UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D. C. 20549
FORM 11-K
ANNUAL REPORT
Pursuant to Section 15 (d) of the
Securities Exchange Act of 1934
For the fiscal year ended December 31, 2024
Commission File No. 1-442
THE BOEING COMPANY 401(k) RETIREMENT PLAN
THE BOEING COMPANY
929 Long Bridge Drive
Arlington, Virginia 22202


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The Boeing Company 401(k) Retirement Plan
Employer ID No: 91-0425694
Plan Number: 002
Financial Statements as of December 31, 2024 and 2023 and for the Year Ended December 31, 2024, Supplemental Schedule as of December 31, 2024, and Report of Independent Registered Public Accounting Firm



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THE BOEING COMPANY 401(k) RETIREMENT PLAN
TABLE OF CONTENTS 
   Page
  
FINANCIAL STATEMENTS:  
Statements of Net Assets Available for Benefits as of December 31, 2024 and 2023  
Statement of Changes in Net Assets Available for Benefits for the Year Ended December 31, 2024  
Notes to Financial Statements as of December 31, 2024 and 2023 and for the Year Ended December 31, 2024  
SUPPLEMENTAL SCHEDULE:  
Form 5500, Schedule H, Line 4(i) - Schedule of Assets (Held at End of Year) as of December 31, 2024  
SIGNATURE
NOTE: All other schedules required by Section 2520.103-10 of the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974 have been omitted because they are not applicable.
  


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REPORT OF INDEPENDENT REGISTERED PUBLIC ACCOUNTING FIRM
To the Plan Participants and Plan Administrator of
The Boeing Company 401(k) Retirement Plan
Arlington, Virginia

Opinion on the Financial Statements

We have audited the accompanying statements of net assets available for benefits of The Boeing Company 401(k) Retirement Plan, (the "Plan") as of December 31, 2024 and 2023, the related statement of changes in net assets available for benefits for the year ended December 31, 2024, and the related notes (collectively referred to as the "financial statements"). In our opinion, the financial statements present fairly, in all material respects, the net assets available for benefits of the Plan as of December 31, 2024 and 2023, and the changes in net assets available for benefits for the year ended December 31, 2024, in conformity with accounting principles generally accepted in the United States of America.

Basis for Opinion

These financial statements are the responsibility of the Plan's management. Our responsibility is to express an opinion on the Plan's financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (PCAOB) and are required to be independent with respect to the Plan in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.

We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud. Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. We believe that our audits provide a reasonable basis for our opinion.

Report on Supplemental Schedule

The supplemental Schedule of Assets (Held at End of Year) as of December 31, 2024 has been subjected to audit procedures performed in conjunction with the audit of the Plan's financial statements. The supplemental schedule is the responsibility of the Plan's management. Our audit procedures included determining whether the supplemental schedule reconciles to the financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental schedule. In forming our opinion on the supplemental schedule, we evaluated whether the supplemental schedule, including its form and content, is presented in compliance with the Department of Labor's Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, such schedule is fairly stated, in all material respects, in relation to the financial statements as a whole.

/s/ Deloitte & Touche LLP
Chicago, Illinois
June 10, 2025

We have served as the auditor of the Plan since at least 1990; however, an earlier year could not be reliably determined.
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THE BOEING COMPANY 401(k) RETIREMENT PLAN
STATEMENTS OF NET ASSETS AVAILABLE FOR BENEFITS
AS OF DECEMBER 31, 2024 AND 2023
(Dollars in millions)20242023
ASSETS:
Investments — interest in Master Trust$73,154 $71,387 
Receivables:
Employer contributions50 236 
Notes receivable from participants706 623 
Total receivables756 859 
NET ASSETS AVAILABLE FOR BENEFITS$73,910 $72,246 
See notes to financial statements.
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THE BOEING COMPANY 401(k) RETIREMENT PLAN
STATEMENT OF CHANGES IN NET ASSETS AVAILABLE FOR BENEFITS
FOR THE YEAR ENDED DECEMBER 31, 2024
(Dollars in millions)
Net Master Trust activity$5,201 
Interest income from notes receivable from participants38 
Contributions:
Employer — Boeing common stock1,419 
Participant2,126 
Total contributions3,545 
Benefits paid7,231 
NET INCREASE BEFORE ASSETS TRANSFER
1,553 
ASSETS TRANSFERRED FROM ANOTHER PLAN111 
NET ASSETS AVAILABLE FOR BENEFITS:
Beginning of year72,246 
End of year$73,910 
See notes to financial statements.

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THE BOEING COMPANY 401(k) RETIREMENT PLAN
NOTES TO FINANCIAL STATEMENTS
AS OF DECEMBER 31, 2024 AND 2023 AND FOR THE YEAR ENDED DECEMBER 31, 2024
(Dollars in millions)
1.    DESCRIPTION OF PLAN
The following description of The Boeing Company 401(k) Retirement Plan (the “Plan”) provides only general information. Participants, as defined by the Plan (“Members” or “Participants”), should refer to the plan document for a more complete description of the Plan’s provisions.
General — The Plan is a defined contribution plan intended to qualify under the Internal Revenue Code (“IRC”) as a profit sharing plan with a cash or deferred arrangement and employee stock ownership plan component, and is designed to provide Members with a means of making regular savings for their retirement. An eligible employee of The Boeing Company (the “Company” or “Boeing”) or one of its adopting subsidiaries becomes eligible to participate on the first day of employment.
The Plan includes an auto-enrollment provision for newly-eligible employees unless they affirmatively elect not to participate in the Plan. Automatically enrolled Members have their deferral rate set at a percentage of eligible compensation as defined in the plan document and their contributions are invested in a qualified default investment alternative (“QDIA”) until changed by the Members. The current QDIA for the Plan is the applicable custom target date fund.
The assets of the Plan, excluding notes receivable from participants, are held in The Boeing Company Employee Savings Plans Master Trust (the “Master Trust”). The Northern Trust Company (“NT”) serves as trustee for the Master Trust. The Employee Benefit Plans Committee oversees the operation and administration of the Plan. The Plan is subject to the provisions of the Employee Retirement Income Security Act of 1974 (“ERISA”), as amended.
Contributions — Members may elect to contribute to the Plan a percentage of their eligible compensation on a pretax, after-tax, Roth, or a combination of those contribution types, as defined in the plan document and subject to statutory limitations. Members who have attained age 50 before the end of the plan year are eligible to make catch-up contributions, as defined in the plan document and subject to statutory limits. Catch-up contributions are ineligible for an employer-matching contribution for certain Members. The Plan also accepts certain rollover contributions.
Under the terms of the Plan, Boeing makes employer-matching and Company contributions for eligible Members. During 2024 and 2023, Boeing’s contributions were made in the form of shares of Company common stock and immediately transferred to other investment funds in accordance with Members’ current investment elections.
Employer contributions receivables as of December 31, 2024 and 2023, included the following:
20242023
Nonelective contribution equal to 2% of certain Members eligible compensation
$— $195 
Employer-matching true-up contributions
29 27 
Student loan match program contributions
21 14 
Total receivables: Employer contributions
$50 $236 
Members may elect to change their contribution percentages. These changes are effective the next pay period after the request is received, or as soon as administratively possible thereafter. The allocation of both Members’ contributions and employer contributions to the funds may be changed at any time and become effective on the day of the change or the next business day, according to the time of the request for a change in relation to the stock market close of business.
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Members’ Accounts — Individual accounts are maintained for each Member. Each Member’s account is credited with the Member’s contributions, Boeing’s contributions, and allocations of Plan earnings (losses) from the funds in which the account is invested, and charged with an allocation of certain administrative and investment-related expenses, and Member-specific charges, if applicable. Allocations are based on Member earnings or account balances, as defined by the plan document. The benefit to which a Member is entitled is the benefit that can be provided from the Member’s account.
Investment Funds — Upon enrollment in the Plan, Members may direct the investment of their contributions and any employer contributions to the investment funds offered under the Plan. These investment funds consisted of common/collective trusts, separately managed U.S. equity accounts, separately managed non-U.S. equity accounts, a separately managed fixed-income account, custom target date funds, a stable value fund (composed of synthetic-guaranteed investment contracts (“synthetic GICs”)), and Boeing common stock, which is the Boeing Stock Fund, as of December 31, 2024 and 2023. The Boeing Stock Fund consists of Boeing common stock and cash held in the cash sweep fund. Members may elect that dividends received with respect to their investments in the Boeing Stock Fund be distributed to them in cash or reinvested in the Boeing Stock Fund (a dividend payout program). Investment funds are valued daily and Members may elect to change their investment allocations on a daily basis.
Vesting — Member contributions, Boeing’s contributions, and earnings on those contributions are immediately vested.
Withdrawals — Members may elect to withdraw all or a portion of their accounts, at any time on or after the day the Member attains age 59 1/2. If a Member is under age 59 1/2, withdrawals from his or her accounts are subject to restrictions for certain accounts and certain hardship rules as provided by the Plan. If a Member takes a hardship withdrawal, the Member may continue contributions to the Plan; however, for certain Members, employer-matching contributions will be suspended for six months following the hardship withdrawal.
In addition, a Member may elect to withdraw all or part of his or her employer-matching contribution account before the Member attains age 59 1/2, but only if the Member has attained his or her fifth anniversary of employment. If such a withdrawal is made, employer-matching contributions will generally be suspended for six months following the withdrawal. Company contributions may be fully withdrawn upon termination of employment. Withdrawals of after-tax contributions and rollover contributions can be made at any time. Qualified reservist distributions, active military leave distributions, withdrawals upon disability, qualified birth and adoption withdrawals, domestic abuse withdrawals, emergency personal expense withdrawals, and qualified disaster recovery withdrawals are also available to eligible Members.
In the event of illness or injury and if eligible Members have used all of their regular sick leave benefits, the eligible Members may elect to withdraw, subject to Plan requirements, all or a portion of their salary continuation balance, if applicable.
Notes Receivable from Participants — Members may borrow from their fund accounts a minimum of one thousand dollars up to a maximum equal to the lesser of fifty thousand dollars or 50% of their account balance (subject to restrictions for certain accounts and minus any current outstanding loan balance), reduced by the highest outstanding loan balance under all of the Company’s savings plans during the last 12 months. Members may generally have a maximum of two loans outstanding under the Plan at any time. Loans may be additionally limited in accordance with the Plan provisions and/or loan policies and procedures. The interest rate on new loans is set every month and is equal to the prime rate published in the Wall Street Journal as of the last business day of the calendar month immediately preceding the date of the loan. Interest rates on outstanding loans ranged from 3.25% to 9.50% at December 31, 2024, with loans maturing at various dates through December 2044.
Loan repayments are made through regular payroll deductions for a period of up to 60 months for general loans and over a longer period for loans used to finance the purchase of a principal residence. If a Member’s employment terminates for any reason, and the loan balances are not paid in full by the termination date, the Member may continue to make monthly loan repayments until the loan is scheduled to be paid off. A loan will generally be subject to default if a payment has not been made for 90 days, an outstanding loan balance
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remains 30 days after the scheduled payoff date, or the Member takes a full distribution of his or her net account balance before the loan is paid off. If the loan defaults, the loan balance will become taxable income to the Member.
Benefit Payments — Upon termination of service, a Member may elect to receive a lump-sum amount equal to the full value of the Member’s vested interest in his or her account; a partial payment amount; or monthly, quarterly, semiannual, or annual installments of a fixed dollar amount or for a specific number of years, up to 10 years. Generally, a Member may also elect to have all or a portion of his or her Boeing Stock Fund balance paid in shares and/or cash. A Member also has the option to elect to apply all or a part of his or her account toward the purchase of an annuity contract with payments for a specified number of years, from a provider made available by the Plan administrator in accordance with the procedures established by the Plan administrator. If a Member makes no election, annual distributions of the required minimum amount will generally begin after age 73, in accordance with applicable Plan provisions. Notwithstanding the foregoing, following a Member’s termination of service, if his or her account balance is one thousand dollars or less, it will automatically be paid out to the Member in accordance with applicable Plan provisions.
Assets Transferred from Another Plan — Effective December 31, 2024, the Boeing Distribution Services, Inc. Retirement Plan (“BDSI Plan”) was merged into the Plan. All assets and liabilities of the BDSI Plan were transferred to the Plan. The net assets transferred totaled $111, including $3 of notes receivable from participants.
Plan Amendments — Effective during 2024 as specified in the Plan provisions, the Plan document was amended to permit new lump sum deferrals for certain Members, add new withdrawal options as permitted under the SECURE 2.0 Act of 2022, reflect certain changes as specified or permitted in the applicable collective bargaining agreement for each group, reflect the merger of the BDSI Plan into the Plan, reflect new eligible incentive plans, and clarify or update certain administrative provisions of the Plan. Effective January 1, 2025, the Plan document was updated to incorporate or clarify certain administrative provisions of the Plan and make certain design changes that were effective on or after January 1, 2025.
Subsequent Events — Subsequent events were evaluated through June 10, 2025, the date the financial statements were issued.
2.    SUMMARY OF ACCOUNTING POLICIES
Basis of Accounting — The accompanying financial statements have been prepared in accordance with accounting principles generally accepted in the United States of America (“GAAP”).
Use of Estimates — The preparation of financial statements in conformity with GAAP requires management to make estimates and assumptions that affect the reported amounts of assets and liabilities and changes therein and the disclosure of contingent assets and liabilities. Actual results could differ from those estimates.
Risks and Uncertainties — The Plan utilizes various investment instruments. Investment securities, in general, are exposed to various risks, such as interest rate risk, credit risk, and overall market volatility. Market risks include global events, such as a pandemic or international conflict, which could impact the value of investment securities. Due to the level of risk associated with certain investment securities, it is reasonably possible that changes in the values of investment securities will occur in the near term and that such changes could materially affect the amounts reported in the financial statements.
Valuation of Investments — Investments in the Master Trust are stated at fair value, except for fully benefit-responsive investment contracts (“FBRICs”) or synthetic GICs, which are reported at contract value. Fair value of a financial instrument is the price that would be received to sell an asset or paid to transfer a liability (exit price) in an orderly transaction between market participants at the measurement date. Securities traded in markets that are not considered active may be valued using unobservable inputs, such as less recent trade prices, single broker-dealer quotations, related yield curves, and other assumptions about the security. Contract value is the amount Members would receive if they were to initiate permitted transactions under the terms of the Plan (see Note 3). The Master Trust’s investments, as discussed in Note 4, are valued as follows:
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Common stock, including Boeing common stock, preferred stock, and other investments (rights, warrants, exchange-traded funds, exchange-traded options, and other exchange-traded derivatives) traded in active markets on national and international exchanges are primarily valued using a market approach based on the closing market prices of identical instruments on the last trading day of the year. The other exchange-traded derivatives are included in other receivables and other liabilities on the Master Trust’s statements of net assets.
Forward and spot currency contracts are valued using a market value approach based on spot foreign currency rates if the contract tenor is two days or less and on interpolated forward rates for any contracts with a tenor greater than two days. Forward and spot currency contracts are included in other receivables and other liabilities on the Master Trust’s statements of net assets.
Investments in common/collective trust funds are valued based on the year-end unit net asset value (“NAV”). The NAV is used as a practical expedient to estimate fair value. Unit values are determined by the issuer or third party administrator by dividing the fair values of the total net assets at year-end by the outstanding units. There were no unfunded commitments, no restrictions on redemption frequency, and no advance notice periods required for redemption for these investments.
Synthetic GICs are stated at contract value. There are no reserves against contract value for credit risk of the contract issuer. The fixed-income securities underlying the contracts were valued based on the pricing methodology stated below for fixed-income securities.
Fixed-income securities, including government and agency securities, corporate bonds, and mortgage and asset-backed securities, are primarily valued using a market approach using matrix pricing, which considers a security’s relationship to other securities for which quoted prices in an active market may be available, or alternatively based on an income approach, which uses valuation techniques to convert future cash flows to a single present value amount. The valuation approach is designed to maximize the use of observable inputs, such as observable trade prices, multiple broker-dealer quotations, related yield curves, and other assumptions about the security (prepayment projections, cash flows, other security characteristics, etc.) and minimize unobservable inputs. The securities are valued as of the last trading day of the year. Fixed-income instruments that have a delayed future settlement such as to-be-announced securities (“TBAs”) are valued similarly to fixed-income securities in active markets. TBAs are included in the underlying assets associated with the synthetic GICs, other receivables, and other liabilities on the Master Trust’s statements of net assets.
Mutual funds, which are registered investment companies, are valued at the daily closing price as reported by the fund. Funds held by the Master Trust are open-ended funds that are registered with the Securities and Exchange Commission. These funds are required to publish their daily NAV and to transact at that price.
Short-term investments include certificates of deposits, commercial paper, treasury bills, and discounted notes with original maturities greater than three months, but less than one year. These investments are primarily valued using a market approach in the same manner as fixed-income securities referenced above.
Other investments include physical commodities and over-the-counter (“OTC”) derivatives, such as options and swap contracts. Physical commodities are valued on a market approach using the front month futures contract for the specific commodity. The derivatives are valued using a market approach and are based upon the expected amount that the Master Trust would receive or pay to exit the derivative at the reporting date. The valuation methodology relies on inputs, including, but not limited to, benchmark yields, swap curves, cash flow analysis, ratings updates, and interdealer broker rates. Credit risk of the derivative counterparties is offset by collateralizing the expected amount that the Master Trust would receive or pay to terminate the derivative.
In accordance with the Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (“ASC”) 946, Financial Services - Investment Companies, the synthetic GICs are included at contract value in
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participant-directed investments in the statements of net assets available for benefits. Contract value is the amount Members would receive if they were to initiate permitted transactions under the terms of the Plan and the terms of the synthetic GICs. The statement of changes in net assets available for benefits is presented on a contract-value basis.
Purchases and sales of securities are recorded on a trade-date basis. Interest income is recorded on the accrual basis. Dividends are recorded on the ex-dividend date. Net appreciation/depreciation of investments includes both realized and unrealized gains or losses and is calculated as the difference between the fair value of the investments as of the beginning of the plan year or the purchase date in the current year and either the sales price or the end-of-year fair value.
Cash and Cash Equivalents — Cash and cash equivalents include cash and cash collateral. Cash collateral is related to the collateral posted on derivatives.
Valuation Oversight — Plan management has implemented processes that are designed to ensure that fair value measurements used by the Master Trust are appropriate and reliable, that they are based on observable inputs wherever possible, and that the valuation approaches are consistently applied and the assumptions used are reasonable. The valuation framework has a set of processes that provides for oversight and validation of the fair value methodologies as well as valuations.
The Board of Directors of the Company has delegated the fiduciary oversight of plan assets over various retirement plans held within the Master Trust structures to the Employee Benefit Investment Committee (“EBIC”). The EBIC has sub-delegated this responsibility to the Chief Investment Officer (“CIO”), who manages Trust Investments and chairs the Valuation Committee. Trust Investments is responsible for the oversight of the Plan assets including selection and monitoring of investment managers, asset strategies, and risk management. The Valuation Committee is responsible for the oversight of the valuation practices of the Master Trust and is composed of the Managing Directors of Trust Investments, including Risk Management and Trust Operations and each of the Investment teams, along with the Director of Actuarial Services and Enterprise Benefits Accounting. The Valuation Committee meets periodically with the purpose of fulfilling the following responsibilities and provides an annual review to the EBIC of its findings and actions:
Review and approve annually the Trust Investments valuation practices, and review valuation practices used by third parties
Review and approve the year-end valuations, including the methods used to develop and substantiate the unobservable inputs used in the fair value measurement
Review analysis and benchmarks used by the Company and the Master Trust to assess the reasonableness of the year-end valuations and changes in fair value measurements from period to period
Review and approve annual financial statement disclosures of the investments held in the Master Trust
Common/collective trust funds are generally valued using the NAV or its equivalent. Valuations provided by the funds are reviewed at least quarterly. The asset managers’ audited financial statements are used in the Master Trust's annual financial reporting process, where applicable. Assessments of reasonableness include regular asset manager meetings and review of quarterly reports, third-party reviews and reconciliations, which includes escalation to Trust Investments for exceptions, quarterly CIO investment reviews, and reviews of manager valuation policies. Valuation policies are reviewed when a new mandate is entered into with an asset manager or as changes to policies are provided by managers.
Fixed income, equity, and derivative instruments are generally valued using valuations obtained from pricing vendors. Pricing vendor valuation methodologies and custodian pricing controls and related documentation are assessed for reasonableness on an annual basis. The pricing vendor due diligence process includes reviews of pricing controls and procedures, as well as discussions in order to maintain a current understanding of the valuation processes and related assumptions and inputs that may be used by the vendors to price instruments. The custodian due diligence process includes reviews of pricing controls and procedures that are carried out on the Master Trust's behalf. This includes various levels of tolerances checks on price changes, review of stale
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or unchanged prices, multi-price source comparisons, and vendor price challenges. Additionally, on a monthly basis, the custodian reconciles its valuations to valuations obtained from each investment manager and any exceptions are reported to Trust Investments for resolution, which may include escalation to the Valuation Committee.
Contributions — Contributions from Members and the matching contributions from the Company are recorded in the year in which the employee contributions are withheld from compensation.
Benefits — Benefits are recorded when paid.
Expenses — Necessary and proper expenses of the Plan are paid from the Plan assets at the Master Trust level, except for those expenses the Company is required by law or chooses to pay. Expenses are paid at the Master Trust level, deducted from income earned and therefore are recorded as a reduction of investment return and are not separately reflected in the Plan’s statement of changes in net assets available for benefits.
Notes Receivable from Participants — Notes receivable from participants are measured at the unpaid principal balance, plus any accrued but unpaid interest. Delinquent Member loans are recorded as distributions based on the terms of the plan document.
3.    SYNTHETIC GUARANTEED INVESTMENT CONTRACTS
The Master Trust includes the Stable Value Fund (“SVF”), which is managed by Goldman Sachs Asset Management, L.P. (“GSAM”). The SVF holds synthetic GICs.
A synthetic GIC, also known as a wrap contract, is an investment contract issued by an insurance company or other financial institution, backed by diversified fixed income and cash portfolios that are owned by the SVF. These contracts provide that realized and unrealized gains and losses on the underlying assets are not reflected immediately in the net assets of the SVF, but rather are amortized, over the duration of the underlying assets or other agreed upon period, through adjustments to the contracts’ future crediting rates. Primary variables impacting the future crediting rate of the SVF include the crediting rates of the various wrap contracts, broader market interest rates, the current yield and historical investment performance of the underlying assets, the duration of the underlying assets covered by the wrap contracts, the existing difference between the market value of the SVF’s investment portfolios and the associated wrap contracts’ book value, the timing and amount of participant contributions and withdrawals made to or from the SVF, the percentage of the SVF invested in cash, and SVF expenses, among other factors. The contract issuers guarantee (subject to the terms, conditions and exceptions in the wrap contracts) that all qualified participant withdrawals will occur at contract value (or book value), which represents contributions made under the contract, plus credited interest, less withdrawals made under the contract, and less administrative expenses.
The synthetic GICs are included in the Master Trust’s statements of net assets, as discussed in Note 2, at contract value. There are no reserves against contract value for credit risk of the contract issuers. The fixed income securities underlying the contracts are valued based on the valuation methodology stated in Note 2.
The assets underlying the synthetic GICs are owned by the SVF, which is part of the Master Trust. NT is the custodian for the Master Trust assets. The underlying assets of the synthetic GICs are invested in diversified fixed income and cash portfolios managed by BlackRock Financial Management, Voya Investment Management Co., J.P. Morgan Investment Management (“JPM”), Pacific Investment Management Company, PGIM (the global investment management business of Prudential Financial), and Western Asset Management Co. In addition to the diversified fixed income portfolios, GSAM oversees an allocation to a cash component, which is invested in a separately managed account, managed by JPM.
The wrap providers are each contractually obligated to pay the principal and specified crediting rate that is guaranteed to the SVF, subject to the terms, conditions and exceptions of each wrap contract. The respective crediting rates are each based on a formula agreed upon with each wrap contract issuer; each contract provides an interest rate floor of 0%. Such contract crediting rates are reset on a monthly basis while the crediting rate for the SVF is reset on a daily basis.
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Certain events, including but not limited to a Plan termination or a Plan merger outside the Master Trust initiated by the Company, could limit the ability of the SVF to transact at contract value or may allow for the termination of the wrap contract at less than contract value. The Company does not believe that any events are probable of occurring that could limit the ability of the SVF to transact at contract value.
4.    MASTER TRUST
The Master Trust assets are invested and records are maintained by each investment fund option. Funds are allocated to the participating plans in accordance with the Plan provisions and Member allocation elections. The allocation of net assets is based on the respective number of units held by the plans’ Members as of year-end. The allocation of the changes in net assets is calculated daily based on the units held by the plans’ Members as of that day’s end.
The Plan’s interest in the Master Trust represented 100% of the Master Trust’s net assets at December 31, 2024 and 2023.
Although the Plan is the only participating plan in the Master Trust as of December 31, 2024, the Company intends to keep the Master Trust for potential future acquired plans and file a Form 5500 as a master trust.

The Master Trust’s statements of net assets as of December 31, 2024 and 2023, are as follows:
20242023
ASSETS:
Investments — at fair value:
Common/collective trusts$45,742 $41,439 
Common and preferred stock8,867 7,280 
Government and agency securities737 565 
Corporate bonds553 456 
Mortgage and asset-backed securities356 447 
Boeing common stock5,434 8,444 
Mutual funds133 48 
Short-term investments
42 40 
Other investments
15 14 
Total investments — at fair value
61,879 58,733 
Investments — at contract value:
Synthetic GICs/SVF11,231 12,536 
Total Master Trust investments73,110 71,269 
Cash and cash equivalents180 139 
Receivables:
Receivables for securities sold166 68 
Accrued investment income38 30 
Other
Total receivables210 105 
Total assets73,500 71,513 
LIABILITIES:
Payables for securities purchased296 68 
Accrued investment and administration expenses26 26 
Other24 32 
Total liabilities346 126 
NET ASSETS$73,154 $71,387 
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The statement of changes in net assets for the Master Trust for the year ended December 31, 2024 is as follows:
Net appreciation of investments
$4,682 
Interest income484 
Dividend income137 
Investment income621 
Net investment income
5,303 
Amounts received from participating plan4,032 
Deductions:
Amounts paid to participating plan7,574 
Investment and administration expenses
102 
Total deductions
7,676 
Assets transferred from another plan108 
Increase in net assets
1,767 
Beginning of year
71,387 
End of year
$73,154 
5.    FAIR VALUE OF FINANCIAL ASSETS AND FINANCIAL LIABILITIES
ASC 820, Fair Value Measurement, establishes a fair value hierarchy that prioritizes the inputs to valuation techniques used to measure fair value. The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). The three levels of the fair value hierarchy under ASC 820 for financial assets and financial liabilities are described below:
Level 1 — Values are based on unadjusted quoted prices in active markets that are accessible at the measurement date for identical, unrestricted assets or liabilities. An active market is a market in which transactions for the asset or liability occur with sufficient frequency and volume to provide pricing information on an ongoing basis.
Level 2 — Values are based on (a) quoted prices for similar assets or liabilities in active markets; (b) quoted prices for identical or similar assets or liabilities in nonactive markets; or (c) valuation models whose inputs are observable, directly or indirectly, for substantially the full term of the asset or liability.
Level 3 — Values are based on prices or valuation techniques that require inputs that are both unobservable and significant to the overall fair value measurement.
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The following tables set forth by level within the fair value hierarchy a summary of Master Trust investments by general types of assets and liabilities measured at fair value on a recurring basis as of December 31, 2024 and 2023. As required by ASC 820, assets and liabilities are classified in their entirety based on the lowest level of input that is significant to the fair value measurement.
Quoted Prices
in Active Market
for Identical
Asset
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Not Leveled*
Balance as of December 31, 2024
Investments:
Investments in the fair value hierarchy:
Common and preferred stock$8,863 $— $$— $8,867 
Government and agency securities— 727 10 — 737 
Corporate bonds— 552 — 553 
Mortgage and asset-backed securities— 330 26 — 356 
Boeing common stock5,434 — — — 5,434 
Mutual funds133 — — — 133 
Short-term investments— 42 — — 42 
Other investments— 15 — — 15 
Total investments in the fair value hierarchy
14,430 1,666 41 — 16,137 
Investments measured at net asset value:
Common/collective trusts— — — 45,742 45,742 
Total investments — at fair value
14,430 1,666 41 45,742 61,879 
Investments measured at contract value:
Synthetic GICs/SVF— — — 11,231 11,231 
Cash and cash equivalents
— — — 180 180 
Receivables:
Receivables for securities sold— — — 166 166 
Accrued investment income— — — 38 38 
Other— — 
Total receivables— 204 210 
Total assets14,431 1,671 41 57,357 73,500 
Liabilities:
Payables for securities purchased— — — 296 296 
Accrued investment and administration expenses— — — 26 26 
Other10 — 13 24 
Total liabilities10 — 335 346 
NET ASSETS$14,430 $1,661 $41 $57,022 $73,154 
12

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Quoted Prices
in Active Market
for Identical
Asset
(Level 1)
Significant
Other
Observable
Inputs
(Level 2)
Significant
Unobservable
Inputs
(Level 3)
Not Leveled*
Balance as of December 31, 2023
Investments:
Investments in the fair value hierarchy:
Common and preferred stock$7,279 $— $$— $7,280 
Government and agency securities— 564 — 565 
Corporate bonds— 453 — 456 
Mortgage and asset-backed securities— 428 19 — 447 
Boeing common stock8,444 — — — 8,444 
Mutual funds48 — — — 48 
Short-term investments— 37 — 40 
Other investments— 14 — — 14 
Total investments in the fair value hierarchy
15,771 1,496 27 — 17,294 
Investments measured at net asset value:
Common/collective trusts— — — 41,439 41,439 
Total investments — at fair value
15,771 1,496 27 41,439 58,733 
Investments measured at contract value:
Synthetic GICs/SVF— — — 12,536 12,536 
Cash and cash equivalents
— — — 139 139 
Receivables:
Receivables for securities sold— — — 68 68 
Accrued investment income— — — 30 30 
Other— — 
Total receivables— 98 105 
Total assets15,772 1,502 27 54,212 71,513 
Liabilities:
Payables for securities purchased— — — 68 68 
Accrued investment and administration expenses— — — 26 26 
Other11 — 20 32 
Total liabilities11 — 114 126 
NET ASSETS$15,771 $1,491 $27 $54,098 $71,387 
*The amounts not leveled are related to investments using NAV as a practical expedient to estimate fair value, investments measured at contract value, and non-investment assets and liabilities. The amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the amounts presented in the Master Trust’s statements of net assets.
Master Trust net assets at fair value classified within Level 3 consisted of common and preferred stock, government and agency securities, corporate bonds, mortgage and asset-backed securities, and short-term investments. Such amounts were 0.06% and 0.04% of the Master Trust’s net assets as of December 31, 2024 and 2023, respectively.
Level 3 Transfers — The availability of observable market data is monitored to assess the appropriate classification of financial instruments within the fair value hierarchy. Changes in economic conditions or model-based valuation techniques may require the transfer of financial instruments from one fair value level to another. The significance of transfers between levels is evaluated based upon the nature of the financial instrument and size of the transfer relative to net assets. There were no significant transfers into or out of Level 3 for the years ended December 31, 2024 and 2023.

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6.     DERIVATIVE FINANCIAL INSTRUMENTS
ASC 815, Derivatives and Hedging, requires disclosures on how and why derivatives are used, accounted for, and affect the results of operations and financial position. Derivative instruments held by the Master Trust are not designated as hedging instruments under ASC 815. The Master Trust investments are exposed to the following financial instrument risks:

Interest Rate Risk  Interest rate risk is the risk of change in the market value of the assets due to a change in interest rates. Bond futures, interest rate swaps, and interest rate swaptions are generally used to manage interest rate risk or adjust portfolio duration. A futures contract is an agreement between two parties to buy and sell a financial instrument at a set price on a future date. Interest rate swap agreements involve the exchange of respective commitments to pay or receive interest, e.g., an exchange of floating rate payments for fixed rate payments, with respect to the notional amount of principal between the Master Trust and a counterparty. Interest rate swaptions are options to enter into an interest rate swap based on predetermined conditions.

Credit Risk Credit risk is the risk of change in the market value of assets due to the change in creditworthiness of the underlying issuer. Credit default swaps are used to manage the credit exposure of a security or basket of securities. Credit default swap agreements involve one party (referred to as the buyer of protection) making a stream of payments to another party (the seller of protection) in exchange for the right to receive a specified return in the event of a default or other credit event for the referenced entity, obligation, or index.

Foreign Currency Risk  Currency risk is the risk of a change in market value due to the change in foreign currency exchange rates. Generally, currency futures and forward contracts are used to achieve the desired currency exposure, or generate value-added performance. Foreign currency futures and forwards are agreements between two parties to buy and sell a set of currencies at a set exchange rate on a specified future date. A currency option gives the buyer the right, but not the obligation, to buy one currency or sell another currency at a set exchange rate on or before a given date.

Equity Risk  Equity risk is the risk of a change in market value of assets due to the change in equity or equity index prices. Equity futures and swaps are generally used to manage the market exposure of a security or index, or rebalance the total portfolio to the target asset allocation. An equity futures contract is an agreement between two parties to buy and sell a financial instrument at a set price on a future date. Equity swaps generally exchanges the return on a stock or stock index for the return of another financial instrument such as a different stock or equity index or LIBOR.

Future Settlement Risk  Future settlement risk is the risk of counterparty nonperformance resulting in not receiving the asset or associated gains specified in the contract. Gains are derived from the change in market value of the contract due to a change in price of the underlying security. Mortgage-backed TBAs are used to manage the market exposure of a security or asset class. A TBA is a contract for the purchase or sale of agency mortgage-backed securities to be delivered at a future agreed-upon date.
As of December 31, 2024 and 2023, the Master Trust has invested in derivative contracts. The fair value of these contracts is included in the Master Trust’s statements of net assets, as discussed in Note 4, and was not material.
Derivative contracts realized gains and losses and the change in unrealized gains and losses are reflected in the Master Trust’s statement of changes in net assets as net appreciation or depreciation of investments. The effect of derivative contracts realized gains and losses and the change in unrealized gains and losses for the year ended December 31, 2024 was not material.
The following table summarizes the gross notional value of derivative contracts outstanding as of December 31, 2024 and 2023. The gross notional amounts give an indication of the volume of the Master Trust’s derivative activity and significantly exceed the fair value of the derivative investments, which is more representative of the economic exposure associated with derivatives in the Master Trust.
14

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Interest RateCreditForeign
Currency
EquityFuture
Settlement
Total
December 31, 2024
Forward contracts$— $— $276 $— $— $276 
Futures2,793 — 277 — 3,075 
Options53 — 16 — — 69 
Swaps1,294 50 — — — 1,344 
TBAs— — — — 725 725 
Total$4,140 $50 $297 $277 $725 $5,489 
December 31, 2023
Forward contracts$— $— $223 $— $— $223 
Futures3,838 — 255 — 4,099 
Options96 — — — 98 
Swaps531 45 — — 581 
TBAs— — — — 389 389 
Total$4,465 $45 $236 $255 $389 $5,390 
Derivatives are generally used to manage the market exposure of a security, index or currency, or adjust the portfolio duration. Derivative contracts are instruments that derive their value from underlying assets, indices, reference interest rates, or a combination of these factors. Refer to Note 2 for further description of how derivative instruments are valued. Certain cash instruments, such as mortgage-backed TBAs meet the definition of a derivative instrument under GAAP.
The nature of the counterparty and the settlement mechanism of the derivative affect the credit risk to which the Master Trust is exposed. For OTC derivatives such as swaps, forwards, options and TBAs, the Master Trust is exposed to the credit risk of the derivative counterparty.
For exchange-traded derivatives, such as futures and options, and “cleared” OTC swaps, the Master Trust is generally exposed to the credit risk of the relevant exchange or clearinghouse. Where possible, the Master Trust seeks to mitigate its credit risk exposures arising on derivative transactions through the use of legally enforceable master netting arrangements and collateral agreements.
The Master Trust is also exposed to liquidity risk in the following situations:
1) When the derivative contracts require the Master Trust to post additional cash or securities collateral with counterparties as the fair value of the contracts moves in the counterparties’ favor and the Master Trust’s receivables under related contracts are unavailable for offset or insufficient in value to offset the payment obligation to the counterparty.
2) When certain derivative contracts have credit-related contingent features under the International Swaps and Derivatives Association Master Agreement (generally swaps) with counterparties for contracts in a net liability position.
The Master Trust has liquidity risk if its assets decline by various, pre-specified rates over predetermined time periods. If this occurs, the Master Trust is required to post more collateral or may be required to pay off the open liability contracts given the counterparty’s right to terminate the contract. At December 31, 2024 and 2023, the Master Trust had an insignificant amount of contracts in a net liability position with contingent features with an insignificant amount posted in collateral against those positions.
7.    RECONCILIATION OF FINANCIAL STATEMENTS TO FORM 5500
The following is a reconciliation of net assets available for benefits per the financial statements as of December 31, 2024 and 2023, to Form 5500:
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20242023
Net assets available for benefits per the financial statements$73,910 $72,246 
Amounts allocated to withdrawing Members(76)(109)
Net assets available for benefits per Form 5500$73,834 $72,137 
The following is a reconciliation of benefits paid per the financial statements for the year ended December 31, 2024, to total benefit payments per Form 5500:
Benefits paid per the financial statements$7,231 
Amounts allocated to withdrawing Members — December 31, 2024
76 
Amounts allocated to withdrawing Members — December 31, 2023
(109)
Amounts deemed distributions of Member loans as reflected in the Form 5500(2)
Total benefit payments per Form 5500$7,196 
Amounts allocated to withdrawing Members are recorded on the Form 5500 for benefit claims that have been processed and approved for payment prior to December 31, but not yet paid as of that date.
Amounts deemed distributions of Member loans as reflected in the Form 5500 are for loans that Members failed to make a payment within 30 days of the expected payment date and did not bring loan payments current within 90 days of the end of the calendar quarter in which the payment was missed, Members failed to repay the loan in full within 30 days after the end of the repayment period, or Members whose loans are in default and have not reached a distributable event and are not eligible for an in-service withdrawal in the amount of the defaulted loan balance.
8.    RELATED PARTY AND PARTY-IN-INTEREST TRANSACTIONS
Certain Master Trust investments are managed by NT. NT is the trustee as defined by the Plan and, therefore, these transactions qualify as related party and party-in-interest transactions.
As of December 31, 2024 and 2023, the Plan held approximately 31 million and 32 million shares of common stock of the Company, with a cost basis of $5,291 and $5,527, respectively. During the years ended December 31, 2024 and 2023, purchases of shares by the Plan totaled $227 and $72, respectively, and sales of shares by the Plan totaled $2,105 and $2,116, respectively. Boeing contributed $1,419 in Company common stock to the Plan during the year ended December 31, 2024.
Newport Trust Company (“Newport”), is the independent fiduciary and investment manager of the Boeing Stock Fund. The Plan has authorized Newport with sole responsibility for deciding whether to restrict investment in the Boeing Stock Fund, or to sell or otherwise dispose of all or any portion of the stock held in the Boeing Stock Fund if Newport determines it is in the best interests of the Members. In the event Newport determined to sell or dispose of stock in the Boeing Stock Fund, Newport would designate an alternative investment fund under the Plan for the temporary investment of any proceeds from the sale or other disposition of the Company’s common stock.
9.    TAX STATUS
The IRS has determined and informed the Company by a letter, dated May 11, 2015, that the Plan is designed in accordance with applicable sections of the IRC. The Plan has been amended since receiving the determination letter. The Plan administrator believes that the Plan is designed and is currently being operated in compliance with the applicable requirements of the IRC. Therefore, the Plan administrator believes that the tax-exempt status of the Plan and related trust has not been affected and no provision for income taxes has been included in the Plan’s financial statements.
GAAP requires Plan management to evaluate tax positions taken by the Plan and recognize a tax liability (or asset) if the Plan has taken an uncertain position that more likely than not would not be sustained upon examination by the IRS. The Plan is subject to routine audits by taxing jurisdictions; however, there are
16

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currently no audits for any tax periods in progress. The Plan administrator believes it is no longer subject to income tax examinations for years prior to 2021.
10.     PLAN TERMINATION
Although it has not expressed any intention to do so, the Company has the right under the Plan to discontinue its contributions at any time and to terminate the Plan subject to the provisions set forth in ERISA. In the event of termination of the Plan, both Member and employer contributions, including any income earned, will be distributed to the Members.


*  *  *  *  *  *
17

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SUPPLEMENTAL SCHEDULE
THE BOEING COMPANY 401(k) RETIREMENT PLAN
FORM 5500, SCHEDULE H, LINE 4(i) - SCHEDULE OF ASSETS (HELD AT END OF YEAR)
AS OF DECEMBER 31, 2024
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
1166 AVE OF THE 5.6896% DUE 10-13-2037**$1,976,213 
1166 AVE OF THE 5.6896% DUE 10-13-2037**1,051,343 
1CMO BENCHMARK MORTGAGE TRUST SER 20-B21 CL A5 2.014% DUE 12-15-2053 BEO**8,078,629 
1ST INDL RLTY TR INC COM**6,396,087 
361 DEGREES INTERN HKD0.10**171,391 
3650R 2021-PF1 COML MTG TR COML MTG PASSTHRU CTF CL 2.372% 11-15-2054**4,750,129 
3M CO COM**2,622,205 
3SBIO INC USD0.00001 REG'S'/144A**579,200 
4IMPRINT GROUP PLC ORD GBX38.461538**467,522 
5TH 3RD BK CIN OH 3.85% DUE 03-15-2026**1,315,242 
A.P. MOLLER-MAERSK SER'B'DKK1000**2,729,276 
A10 NETWORKS INC COM**1,375,400 
A2A SPA EUR0.52**1,883,611 
AAC TECHNOLOGIES HOLDINGS INC**1,066,884 
AAON INC COM PAR $0.004 COM PAR $0.004**7,853,963 
ABB LTD CHF0.12 (REGD)**14,607,022 
ABBISKO CAYMAN LTD USD0.00001**76,983 
ABBOTT LAB COM**18,977,935 
ABBOTT LABS 4.9% DUE 11-30-2046**130,820 
ABBVIE INC 3.2% 11-21-2029**463,967 
ABBVIE INC 3.2% 11-21-2029**8,736,493 
ABBVIE INC 3.2% DUE 05-14-2026**1,937,871 
ABBVIE INC 3.6% 05-14-2025**3,495,498 
ABBVIE INC 4.05% DUE 11-21-2039 REG**957,945 
ABBVIE INC 4.25% DUE 11-14-2028**246,153 
ABBVIE INC 4.25% DUE 11-21-2049 REG**1,127,748 
ABBVIE INC 4.4% DUE 11-06-2042**216,724 
ABBVIE INC 4.8% 03-15-2029**4,401,297 
ABBVIE INC 5.05% 03-15-2034**514,250 
ABBVIE INC 5.05% 03-15-2034**4,944,708 
ABBVIE INC 5.4% 03-15-2054**173,320 
ABBVIE INC COM USD0.01**34,310,138 
ABC-MART INC NPV**682,219 
ABERCROMBIE & FITCH CO CL A CL A**3,961,254 
ABN AMRO BK N V 4.75% DUE 07-28-2025**398,396 
ABN AMRO BK N V 6.339% DUE 09-18-2027**4,497,405 
ABU DHABI COMM.BK. AED1**3,308,565 
ABU DHABI ISLAM BK AED1**622,283 
ABU DHABI NATL CO AED0.08**391,011 
ACADEMEDIA AB NPV**615,165 
ACADIA HEALTHCARE CO INC COM**1,016,190 
ACADIA PHARMACEUTICALS INC COM**738,624 
ACADIA RLTY TR COM**4,795,905 
18

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
ACBEL POLYTECH INC TWD10**29,526 
ACCELLERON INDUSTR CHF0.01**1,508,674 
ACCENTURE CAP INC 3.9% 10-04-2027**753,865 
ACCENTURE CAP INC 4.05% 10-04-2029**465,672 
ACCENTURE CAP INC 4.25% 10-04-2031**456,350 
ACCENTURE CAP INC 4.5% 10-04-2034**527,482 
ACCENTURE PLC CLS A**41,492,575 
ACCTON TECH CORP TWD10**1,155,333 
ACCUNIA EUROPEAN CLO I DESIGNATED ACTIVITY COMPANY 07/2030**90,543 
ACELYRIN INC COM**98,423 
ACI WORLDWIDE INC COM STK**5,866,090 
ACTER GROUP CORPOR TWD5**1,099,163 
ACUITY BRANDS INC COM**2,501,801 
ADDUS HOMECARE CORP COM STK**643,422 
ADENTRA INC COM NPV**51,763 
ADIDAS AG**15,678,498 
ADLINK TECHNOLOGY TWD10**30,731 
ADNOC LOGISTICS & USD0.54**528,792 
ADNOC MURBAN RSC LTD GLOBAL MEDIUM 5.125% 09-11-2054**360,840 
ADOBE INC 2.3% DUE 02-01-2030**444,687 
ADOBE INC COM**20,581,124 
ADR ARM HLDGS PLC SPONSORED ADS NEW**432,994 
ADR ASCENDIS PHARMA A/S SPONSORED ADR**142,213 
ADR ASML HLDG NV NY REG 2012 (POST REV SPLIT)**3,604,016 
ADR ASTRAZENECA PLC SPONSORED ADR UNITEDKINGDOM**7,817,912 
ADR ATRENEW INC SPONSORED ADS EACH REP 0.666 ORD SHS CL A**48,384 
ADR AUTOHOME INC SPONSORED ADR REPST CL A**2,318,736 
ADR BARCLAYS PLC ADR**5,836,343 
ADR CANAAN INC SPONSORED ADR**477,371 
ADR CEMEX SAB DE CV**552,714 
ADR CONTROLADORA VUELA COMPANIA DE AVIACION SPONSORED ADR REPSTG 10 CPOS**93,000 
ADR EHANG HLDGS LTD ADS REPSTG CL A SHS**7,873 
ADR EMBRAER S A SPONSORED ADR REPSTG 4 COM SHS**1,477,214 
ADR FINVOLUTION GROUP SPONSORED ADR SPONADS EACH REP 5 ORD SHS CLASS A**429,759 
ADR GDS HLDGS LTD SPONSORED ADR**78,075 
ADR GRAVITY CO LTD SPONSORED ADR NEW**119,341 
ADR GSK PLC**9,010,257 
ADR HELLO GROUP INC ADR**50,763 
ADR ICICI BK LTD**2,162,491 
ADR IMMUNOCORE HLDGS PLC ADS**138,326 
ADR ITAU UNIBANCO HLDG SA SPONSORED ADR REPSTG 500 PFD PFD ADR**1,331,641 
ADR JOYY INC ADS REPSTG COM CL A**628,880 
ADR KANZHUN LTD SPONSORED ADS**104,673 
ADR KB FINL GROUP INC SPONSORED ADR REPSTG 1 COM SH ADR**309,991 
ADR KINGSOFT CLOUD HLDGS LTD ADR**125,880 
ADR NICE LTD SPONSORED ADR**3,982,069 
ADR NOVO-NORDISK A S ADR**10,825,875 
ADR PETROLEO BRASILEIRO SA PETROBRAS SPONSORED ADR**1,146,520 
19

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
ADR RECKITT BENCKISER GROUP PLC SPONSORED ADR**6,274,656 
ADR RLX TECHNOLOGY INC SPONSORED ADS**331,042 
ADR RYANAIR HLDGS PLC SPONSORED ADR NEW**9,483,222 
ADR SEA LTD ADR**8,736,911 
ADR SILICON MOTION TECHNOLOGY CORP SPONSORED ADR REPSTG SHS**1,030,463 
ADR STMICROELECTRONICS N V SHS-N Y REGISTRY SHS-N Y REGISTRY**1,980,271 
ADR STRUCTURE THERAPEUTICS INC SPONSOREDADR**186,396 
ADR TAIWAN SEMICONDUCTOR MANUFACTURING ADS REP 5 TWD10**25,022,575 
ADR UNILEVER PLC SPONSORED ADR NEW**9,763,740 
ADR VERONA PHARMA PLC SPONSORED ADS**2,809,016 
ADR VIPSHOP HLDGS LTD SPONSORED ADR**2,429,005 
ADR VNET GROUP INC SPONSORED ADR**187,358 
ADR WIPRO LTD SPONSORED ADR REPSTG 1 SH SPONSORED ADR REPSTG 1 SH COM**933,526 
ADR WPP PLC ADR DR EACH REPR 5 SHS**8,095,500 
ADVANCE AUTO PTS INC COM**1,073,341 
ADVANCED MICRO DEVICES INC 4.393% DUE 06-01-2052**251,102 
ADVANCED MICRO DEVICES INC COM**28,179,220 
ADVANSIX INC COM**39,886 
ADVENTIST HLTH 2.952% DUE 03-01-2029**4,936,597 
ADYEN NV EUR0.01**2,072,803 
AECOM**508,997 
AECON GROUP INC. COM NPV**101,976 
AEDAS HOMES SA EUR1**160,085 
AEDIFICA NPV**371,867 
AEP TEX INC 3.45% DUE 01-15-2050**222,159 
AEP TEX INC 4.15% DUE 05-01-2049**189,090 
AEP TEX INC 5.25% DUE 05-15-2052**297,574 
AEP TEX INC 5.45% 05-15-2029**3,775,805 
AEP TEXAS CENT CO FIXED 3.95% DUE 06-01-2028**3,559,938 
AEP TRANSM CO LLC 3.1% DUE 12-01-2026**738,026 
AEP TRANSM CO LLC 5.15% DUE 04-01-2034**98,396 
AERCAP HOLDINGS N.V. EUR0.01**7,548,816 
AERCAP IRELAND CAP / GLOBA 3.3% DUE 01-30-2032 BEO**636,205 
AERCAP IRELAND CAP / GLOBA 3.3% DUE 01-30-2032 BEO**697,211 
AERCAP IRELAND CAP / GLOBA 3.0% DUE 10-29-2028**486,011 
AERCAP IRELAND CAP / GLOBA 3.0% DUE 10-29-2028**4,378,727 
AERCAP IRELAND CAP DESIGNATED ACTIVITY C6.5% DUE 07-15-2025 REG**855,495 
AERCAP IRELAND CAP/GLOBA 2.45% DUE 10-29-2026 BEO**2,281,154 
AERCAP IRELAND CAP/GLOBA 2.45% DUE 10-29-2026 BEO**2,632,468 
AERCAP IRELAND CAP/GLOBA 5.1% 01-19-2029**419,346 
AERCAP IRELAND CAPITAL DAC GTD SR NT 3.4% 10-29-2033**357,804 
AERCAP IRELAND FIXED 4.45% DUE 10-01-2025**1,680,206 
AERCAP IRELAND FIXED 4.45% DUE 10-01-2025**997,666 
AEROVIRONMENT INC COM**12,999 
AES CORP 5.45% 06-01-2028**603,199 
AES CORP SR NT 1.375% 01-15-2026**1,183,110 
AETNA INC NEW 6.75% DUE 12-15-2037**95,039 
AFFIRM HLDGS INC CL A CL A**933,353 
20

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
AFFLE (INDIA) LTD INR2 (POST SUB DIVISON)**626,328 
AFLAC INC 1.125% DUE 03-15-2026**1,526,615 
AFTER YOU PCL THB0.10(NVDR)**25,359 
AFYON CIMENTO COMMON STOCK**85,342 
AG ANADOLU GRUBU TRY1 (A SHARES)**66,689 
AGCO CORP COM**3,038,380 
AGCO CORP DEL 5.45% 03-21-2027**1,059,858 
AGESA HAYAT VE EMEKLILIK AS**256,999 
AGILENT TECHNOLOGIES INC COM**16,672,669 
AGILITY PUBLIC WAR KWD0.100**151,511 
AGILON HEALTH INC COM**195,227 
AGL CAP CORP 5.875% DUE 03-15-2041**25,329 
AGL CLO 13 LTD / AGL CLO 13 LLC SR SECD NT CL A-1 FLTG RATE 5.71478% 10-20-2034**3,967,021 
AGL ENERGY NPV**593,112 
AGREE RLTY CORP COM**4,434,475 
AGRICULTURAL BANK OF CHINA CMN STK**5,952,138 
AGTHIA GROUP PJSC COM STK AED1**131,674 
AIA GROUP LTD NPV**9,143,735 
AIB GROUP PLC ORD EUR0.625**5,641,146 
AIC MINES LIMITED**20,188 
AIG GLOBAL FDG SR 5.9% DUE 09-19-2028**580,852 
AIG GLOBAL FDG SR VAR RT 5.663761% DUE 09-25-2026**1,898,405 
AIR ARABIA AED1**48,951 
AIR CANADA VAR VTG SHS NPV**468,974 
AIR LEASE CORP 3.375% DUE 07-01-2025 REG**1,091,458 
AIR LEASE CORP CL A CL A**1,640,635 
AIR LEASE CORP MED FIXED 5.3% DUE 02-01-2028**947,896 
AIR LIQUIDE(L') EUR5.50**16,793,410 
AIRBNB INC CL A COM USD0.0001 CL A**10,067,320 
AJ BELL PLC ORD GBP0.000125**610,342 
AKATSUKI INC NPV**295,242 
AKER SOLUTIONS ASA**318,441 
AKERO THERAPEUTICS INC COM**289,578 
AKESO INC USD0.00001**593,876 
AL BABTAIN POWER SAR10**482,264 
AL YAMAMAH STEEL I SAR10**123,414 
ALABAMA PWR CO 3.45% DUE 10-01-2049**247,472 
ALABAMA PWR CO 3.75% DUE 09-01-2027**1,609,681 
ALAMOS GOLD INC COM NPV**333,113 
ALASKA AIR GROUP INC COM**2,216,975 
ALBA PLC FLT 15/12/2038**197,016 
ALBEMARLE CORP 4.65% 06-01-2027**1,038,144 
ALBERTA PROV CDA BD 3.3% DUE 03-15-2028 REG**482,210 
ALBERTA PROV CDA USD BD 1.3% DUE 07-22-2030 REG**814,171 
ALCHIP TECHNOLOGIE TWD10**700,331 
ALDAR PROPERTIES AED1**1,197,060 
ALECTOR INC COM**64,215 
ALEXANDRIA REAL 4% DUE 02-01-2050**222,976 
21

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
ALEXANDRIA REAL ESTATE E 2.0% DUE 05-18-2032**1,459,366 
ALEXANDRIA REAL ESTATE EQUITIES 1.875% DUE 02-01-2033**96,317 
ALEXANDRIA REAL ESTATE EQUITIES 2.95% 03-15-2034**349,961 
ALFRESA HOLDINGS NPV**645,785 
ALGONQUIN POWER & UTILITIES CORP STEP UP06-15-2026**2,300,781 
ALIBABA GROUP HOLDING LTD**3,900,532 
ALIGNMENT HEALTHCARE INC COM**1,648,429 
ALIMENTATION 3.55% DUE 07-26-2027**4,490,395 
ALK-ABELLO A/S SER'B'DKK0.50**512,056 
ALKAMI TECHNOLOGY INC COM**519,425 
ALKERMES PLC SHS**290,418 
ALLEGIANT TRAVEL CO COM**490,742 
ALLEGRO MICROSYSTEMS INC DEL COM**531,438 
ALLFUNDS GROUP EUR0.0025**849,296 
ALLIANCE BANK MALA NPV**59,966 
ALLIENT INC COM NPV**2,525 
ALLOS S.A COM NPV**103,480 
ALLSTATE CORP COM**1,964,916 
ALLTOP TECHNOLOGY CO LTD**546,539 
ALLY AUTO 4.94% DUE 10-15-2029**2,460,891 
ALLY AUTO RECEIVABLES TR SR 24-1 CL A3 5.17% 12-15-2028**720,045 
ALLY AUTO RECEIVABLES TRUST SER 23-1 CL A3 5.46% DUE 05-15-2028**1,935,338 
ALLY AUTO RECEIVABLES TRUST SER 24-1 CL A2 5.32% 12-15-2026**1,713,727 
ALLY FINL INC 6.848% 01-03-2030**829,270 
ALLY FINL INC COM**3,763,333 
ALPHA METALLURGICAL RES INC COM**152,692 
ALPHA NETWORKS INC TWD10**41,814 
ALPHA SERVICES AND HOLDINGS SA EUR0.3(REV SPLIT)**1,494,939 
ALPHA SYSTEMS INC NPV**44,964 
ALPHABET INC 1.9% DUE 08-15-2040**320,479 
ALPHABET INC CAP STK USD0.001 CL C**37,222,260 
ALPHABET INC CAPITAL STOCK USD0.001 CL A**84,227,710 
ALPHAPOLIS CO LTD NPV**30,305 
ALTRIA GROUP INC 3.875% DUE 09-16-2046**130,601 
ALTRIA GROUP INC 4.8% DUE 02-14-2029**4,868,716 
ALTRIA GROUP INC 6.2% 11-01-2028**673,556 
ALTRIA GROUP INC FIXED 3.4% DUE 05-06-2030**693,046 
ALTRIA GROUP INC FIXED 4.4% DUE 02-14-2026**5,182,447 
AMADEUS IT GROUP EUR0.01**7,501,656 
AMANO CORPORATION NPV**155,448 
AMATA CORP THB1(NVDR)**445,058 
AMAZON COM INC 2.1% DUE 05-12-2031 BEO**153,727 
AMAZON COM INC 2.5% DUE 06-03-2050**113,549 
AMAZON COM INC 2.5% DUE 06-03-2050**310,766 
AMAZON COM INC COM**243,815,347 
AMAZON COM INC FIXED 3.875% DUE 08-22-2037**485,915 
AMAZON COM INC NT 3.1% 05-12-2051**445,815 
AMBEA AB NPV**2,062,649 
22

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
AMCOR FLEXIBLES NORTH AMER INC SR NT 4% 05-17-2025**6,336,470 
AMDOCS ORD GBP0.01**7,322,040 
AMER ELEC PWR CO INC COM**4,599,695 
AMER SPORTS INC COM EUR0.030058**1,324,297 
AMERANT BANCORP INC CL A CL A**1,610,203 
AMEREN CORP 5.7% 12-01-2026**4,194,939 
AMEREN ILL CO 3.7% 12-01-2047**188,491 
AMEREN ILL CO 3.8% DUE 05-15-2028**5,052,408 
AMEREN ILL CO 5.55% DUE 07-01-2054**1,480,566 
AMERICAN AIRLINES INC COM USD1**728,016 
AMERICAN AIRLS INC 16-3 AA PTT 04-15-2030**34,281 
AMERICAN AIRLS PASS THRU 2016-2 AA 3.2% DUE 12-15-2029**653,862 
AMERICAN ASSETS TR INC COM**639,457 
AMERICAN AXLE & MFG HLDGS INC COM**292,135 
AMERICAN EAGLE OUTFITTERS INC NEW COM**5,924,835 
AMERICAN ELEC PWR CO INC 5.2% 01-15-2029**1,436,520 
AMERICAN EXPRESS CO**52,760,655 
AMERICAN EXPRESS CO 2.55% DUE 03-04-2027BEO**6,702,151 
AMERICAN EXPRESS CO 4.42% 08-03-2033**3,845,017 
AMERICAN EXPRESS CO 5.098% 02-16-2028**1,141,611 
AMERICAN EXPRESS CO 5.098% 02-16-2028**8,755,705 
AMERICAN EXPRESS CO 5.389% 07-28-2027**1,201,089 
AMERICAN EXPRESS CO 5.645% 04-23-2027**1,131,947 
AMERICAN EXPRESS CR A/C MASTER SER 22-2 CL A 0% 05-17-2027**5,790,217 
AMERICAN EXPRESS CR ACCOUNT MASTER TR SER 23-3 CL A 5.23% 09-15-2028**6,355,866 
AMERICAN EXPRESS CREDIT ACCOUNT MASTER TRUST SER 23-1 CL A 4.87% DUE 05-15-2028**2,325,896 
AMERICAN HEALTHCARE REIT INC COM**4,386,059 
AMERICAN HOMES 4 RENT 5.25% 03-15-2035**389,332 
AMERICAN HOMES 4 RENT COMMON STOCK**2,667,335 
AMERICAN HONDA FIN 4.95% 01-09-2026**1,952,462 
AMERICAN HONDA FINANCE 4.4% 10-05-2026**492,902 
AMERICAN HONDA FINANCE 4.45% 10-22-2027**947,059 
AMERICAN INTERNATIONAL GROUP INC COM**16,969,680 
AMERICAN MUN PWR OHIO INC REV 6.449% 02-15-2044 BEO TAXABLE**5,259,503 
AMERICAN SUPERCONDUCTOR CORP SHS NEW SHSNEW**175,760 
AMERICAN TOWER CORP 3.65% DUE 03-15-2027**1,267,123 
AMERICAN TOWER CORP 5.0% 01-31-2030**452,420 
AMERICAN TOWER CORP 5.2% 02-15-2029**1,472,506 
AMERICAN TOWER CORP 5.25% 07-15-2028**295,837 
AMERICAN TOWER CORP NEW 1.875% DUE 10-15-2030**628,389 
AMERICAN TOWER CORP NEW 2.3% 09-15-2031**4,158,108 
AMERICAN TOWER CORP NEW 5.9% 11-15-2033**2,370,281 
AMERICAN VANGUARD CORP COM**286,639 
AMERICOLD RLTY TR INC COM**3,378,611 
AMERICREDIT .89% DUE 10-19-2026**236,691 
AMERICREDIT 1.17% DUE 08-18-2027**2,223,007 
AMERICREDIT 1.41% DUE 08-18-2027**3,866,547 
AMERICREDIT 2.45% DUE 11-18-2026**1,003,281 
23

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
AMERICREDIT 5.38% DUE 06-18-2029**2,599,691 
AMERICREDIT 5.81% DUE 05-18-2028**1,426,289 
AMERICREDIT AUTOMOBILE RECEIVABLES AUTO RECEIVABLES BACKED NT 5.62% 11-18-2027**1,057,774 
AMERICREDIT AUTOMOBILE RECEIVABLES AUTO RECEIVABLES BACKED NT 5.8% 12-18-2028**5,814,394 
AMERICREDIT AUTOMOBILE RECEIVABLES TR 20NT CL A-3 4.38% DUE 04-18-2028 REG**195,647 
AMERIPRISE FINL 3% DUE 04-02-2025**2,593,944 
AMERIPRISE FINL INC 4.5% 05-13-2032**1,730,259 
AMERIPRISE FINL INC COM**16,575,611 
AMERIS BANCORP COM**1,430,976 
AMERN AIRLINES INC 3.7% DUE 10-01-2026**1,548,280 
AMERN CR ACCEP 5.59% DUE 04-12-2029**2,748,669 
AMERN CR ACCEP 5.61% DUE 06-14-2027**924,728 
AMERN CR ACCEP RECEIVABLES TR 7.86% 02-15-2029**2,022,293 
AMERN EXPRESS CO FLTG RT 4.99% DUE 05-01-2026**1,002,570 
AMERN EXPRESS CO FLTG RT 4.99% DUE 05-01-2026**808,215 
AMERN EXPRESS CR 5.24% DUE 04-15-2031**6,127,924 
AMERN HONDA FIN 1.3% DUE 09-09-2026**460,297 
AMERN TOWER CORP 2.4% DUE 03-15-2025**1,278,212 
AMERN TOWER CORP 3.125% DUE 01-15-2027**2,999,105 
AMERN TOWER CORP 3.55% DUE 07-15-2027**4,618,519 
AMERN TOWER CORP FIXED 1.45% DUE 09-15-2026**2,349,260 
AMERN WOODMARK CORP COM**8,155,802 
AMETEK INC NEW COM**247,136 
AMGEN INC 2.2% DUE 02-21-2027**1,517,223 
AMGEN INC 2.6% DUE 08-19-2026**2,122,853 
AMGEN INC 4.05% DUE 08-18-2029**3,282,860 
AMGEN INC 4.663% DUE 06-15-2051**397,819 
AMGEN INC 5.25% 03-02-2030**2,745,891 
AMGEN INC 5.25% DUE 03-01-2033**9,930,646 
AMGEN INC 5.6% DUE 03-01-2043**175,633 
AMGEN INC 5.65% 03-02-2053**241,157 
AMGEN INC 5.711% 03-01-2025**2,306,262 
AMGEN INC 5.75% DUE 03-02-2063**375,287 
AMGEN INC COM**2,865,997 
AMGEN INC FIXED 5.15% 03-02-2028**6,694,834 
AMICUS THERAPEUTICS INC COM**235,538 
AMIYAKI TEI CO LTD NPV**58,755 
AMKOR TECHNOLOGY INC COM**1,914,701 
AMMB HOLDINGS BHD MYR1**111,524 
AMP LIMITED NPV**1,420,410 
AMPHENOL CORP 5.375% 11-15-2054**285,751 
AMPHENOL CORP NEW 4.75% DUE 03-30-2026**675,353 
AMPHENOL CORP NEW CL A**5,457,034 
ANADOLU HAYAT EMEK TRY1 (B SHARES)**199,112 
ANADOLU SIGORTA TRY1 (B SHARES)**262,617 
ANALOG DEVICES INC 2.95% DUE 04-01-2025**1,134,043 
ANALOG DEVICES INC 5.3% 04-01-2054**381,693 
ANALOG DEVICES INC COM**36,761,316 
24

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
ANAND RATHI WEALTH INR5**114,249 
ANANT RAJ LIMITED INR2.00**439,415 
ANAPASS INC KRW500**14,149 
ANAPTYSBIO INC COM**60,970 
ANDERSONS INC COM**441,871 
ANDREW W MELLON .947% DUE 08-01-2027**9,036,874 
ANE (CAYMAN) INC. USD0.00002**290,424 
ANEKA TAMBANG TBK IDR100**104,234 
ANGEL ONE LTD**369,753 
ANGIODYNAMICS INC COM STK**250,279 
ANGLO AMERN CAP 4% DUE 09-11-2027**379,430 
ANGLO AMERN CAP 4.75% DUE 04-10-2027**803,244 
ANHEUSER-BUSCH COS LLC CORP 4.7% 02-01-2036**436,066 
ANHEUSER-BUSCH COS LLC CORP 4.9% 02-01-2046**430,496 
ANHEUSER-BUSCH INBEV WOR 8.2 DUE 01-15-2039**276,071 
ANHUI CONCH CEMENT 'H'CNY1**980,187 
ANHUI HENGYUAN STOCK CONNECT**431,182 
ANI PHARMACEUTICALS INC COM**3,990,774 
ANNALY CAPITAL MANAGEMENT INC COM NEW COM USD0.01(POST REV SPLT)**644,837 
ANTARES HLDGS LP 2.75% 01-15-2027**5,903,732 
ANTERO MIDSTREAM CORPORATION COM USD1.00**291,343 
ANTERO RES CORP COM**4,954,668 
ANTHEM INC NT 1.5% 03-15-2026**8,903,274 
ANTHEM INC NT 4.1% 05-15-2032**564,159 
ANZ GROUP HOLDINGS LTD NPV**412,289 
AON NORTH AMER INC 5.125% 03-01-2027**546,684 
AON NORTH AMER INC 5.45% 03-01-2034**799,031 
AON NORTH AMER INC FIXED 5.15% 03-01-2029**4,378,000 
AON PLC**27,394,211 
APA CORP COM**24,692,446 
APELLIS PHARMACEUTICALS INC COM**217,977 
APERAM S.A.**599,346 
APG SGA SA CHF2.60**8,806 
API GROUP CORPORATION COM USD0.0001**8,349,716 
APOGEE THERAPEUTICS INC COM**174,767 
APOLLO GLOBAL MANAGEMENT INC COM USD0.00001**16,520,294 
APOLLO HOSPITALS ENTERPRISE COMSTK**1,206,602 
APPALACHIAN POWER CO 5.65% 04-01-2034**602,176 
APPALACHIAN PWR CO FIXED 3.7% DUE 05-01-2050**166,839 
APPFOLIO INC COM CL A COM CL A**5,639,526 
APPIER GROUP INC NPV**136,561 
APPLE INC 1.65% DUE 05-11-2030**6,053,151 
APPLE INC 2.65% 02-08-2051**210,034 
APPLE INC 2.65% DUE 05-11-2050 REG**673,268 
APPLE INC 3.85% DUE 08-04-2046**74,270 
APPLE INC COM STK**293,209,279 
APPLE INC FIXED 2.95% 09-11-2049**166,862 
APPLE INC FIXED 3.75% 11-13-2047**589,994 
25

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
APPLIED DIGITAL CORPORATION**3,741,277 
APPLIED MATERIALS INC COM**2,142,976 
APPLOVIN CORP 5.125% DUE 12-01-2029**2,236,406 
APPLOVIN CORP COM CL A COM CL A**3,216,927 
APTIV IRISH HOLDINGS LIMITED 4.65% 09-13-2029**2,524,442 
APTIV PLC NEW ORD USD0.01**7,529,760 
ARAB NATIONAL BANK SAR10**1,470,478 
ARABIAN INTERNET & SAR10**1,235,242 
ARAMIS GROUP SA EUR0.02**13,285 
ARBOUR CLO VI DAC IDX/LKD CLO 15/11/2037EUR**622,710 
ARCADIS NV COMSTK**783,804 
ARCADIUM LITHIUM PLC COM USD1**584,220 
ARCADYAN TECHNOLOG TWD10**845,796 
ARCBEST CORP COM USD0.01**972,208 
ARCH CAP FIN LLC 4.011% DUE 12-15-2026**676,818 
ARCHER DANIELS 3.25% DUE 03-27-2030**2,770,485 
ARCHOSAUR GAMES IN HKD0.00001**14,990 
ARCTURUS THERAPEUTICS HLDGS INC COM**82,644 
ARCUS BIOSCIENCES INC COM**279,188 
ARDAGH METAL PACKAGING SA**227,475 
ARDENT HEALTH PARTNERS INC COM**163,404 
AREIT 2022-CRE7 LLC SR SECD NT CL A 144A6.55386% 06-17-2039**2,000,368 
ARES FIN CO IV LLC SR NT 144A 3.65% 02-01-2052**1,051,920 
ARES MANAGEMENT CORPORATION 5.6% 10-11-2054**4,761,078 
ARGAN INC COM**1,740,819 
ARGENT SECS INC 2003-W3 ASSET BKD CTF M-1 FLTG 09-25-2033 REG**279,584 
ARGOSY RESEARCH TWD10**200,491 
ARIS WTR SOLUTIONS INC CL A CL A**6,076,355 
ARISTA NETWORKS INC COM NEW**978,854 
ARISTOCRAT LEISURE NPV**7,951,616 
ARITZIA INC SUB VTG SHS**364,144 
ARIZONA PUB SVC CO 2.55% DUE 09-15-2026**7,067,952 
ARIZONA PUB SVC CO 2.6% DUE 08-15-2029**3,344,462 
ARIZONA PUB SVC CO NT 2.2% 12-15-2031**2,646,774 
ARKEMA SA EUR10**204,112 
ARMSTRONG WORLD INDS INC NEW COM STK**3,285,923 
ARRIYADH DEV CO SAR10**802,147 
ARROW ELECTR INC COM**6,216,510 
ARTHUR J GALLAGHER & CO 4.85% 12-15-2029**1,496,391 
ARTHUR J GALLAGHER & CO 5.15% 02-15-2035**390,548 
ARTIENCE CO LTD NPV**1,076,024 
ARVIND BIO INR**136,153 
ARZ TR 2024-BILT 5.772% 06-11-2029**1,011,013 
ASHLAND INC COM USD0.01**4,590,305 
ASHOK LEYLAND LTD INR1**886,942 
ASHTEAD TECHNOLOGY ORD GBP0.05**80,651 
ASIA AVIATION PUBL THB0.10(NVDR)**346,921 
ASIA OPTICAL CO IN TWD10**137,992 
26

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
ASIA VITAL COMPONE TWD10**418,063 
ASIAN ALLIANCE INT THB1 (NVDR)**360,883 
ASIAN DEVELOPMENT BANK 4.875% 09-26-2028**5,476,452 
ASIAN INFRASTRUCTURE INVT BK GLOBAL NT .5% DUE 05-28-2025 REG**12,009,510 
ASMPT LTD HKD0.10**110,885 
ASPEED TECHNOLOGY TWD10**354,970 
ASROCK INCORPORATI TWD10**1,263,966 
ASSECO POLAND SAPLN1**99,749 
ASSURED GTY US HLDGS INC 6.125% 09-15-2028**1,141,379 
ASSURED GUARANTY LTD COMMON STK**2,131,617 
ASTEC INDS INC COM**258,754 
ASTRA INTL IDR50**421,927 
ASTRAL FOODS ZAR0.01**23,348 
ASTRAZENECA FINANCE LLC. 4.8% 02-26-2027**2,076,871 
ASTRAZENECA PLC 6.45% DUE 09-15-2037**384,040 
ASURANSI TUGU INDONESI**29,834 
ASUSTEK COMPUTER TWD10**4,547,027 
AT&T INC 1.65% DUE 02-01-2028**695,597 
AT&T INC 1.7% DUE 03-25-2026 BEO**1,368,744 
AT&T INC 2.3% DUE 06-01-2027**1,826,029 
AT&T INC 2.55% DUE 12-01-2033**7,564,608 
AT&T INC 2.75% DUE 06-01-2031**870,002 
AT&T INC 3.5% DUE 06-01-2041**368,158 
AT&T INC 3.5% DUE 09-15-2053 REG**754,569 
AT&T INC 3.5% DUE 09-15-2053 REG**5,982,656 
AT&T INC 3.55% DUE 09-15-2055**884,542 
AT&T INC 3.65% DUE 06-01-2051**176,760 
AT&T INC 3.65% DUE 09-15-2059**3,365,074 
AT&T INC 4.5% DUE 05-15-2035**596,623 
AT&T INC CORP 3.875% 01-15-2026**1,883,240 
ATCO LTD CLASS I NON-VOTING COM NPV**138,949 
ATEA PHARMACEUTICALS INC COM**20,070 
ATHENE GLOBAL FDG 5.516% DUE 03-25-2027**303,499 
ATHENE GLOBAL FDG MEDIUM TERM SR TRANCHE# TR 00796 1.73% 10-02-2026**331,471 
ATHENE HLDG LTD 5.875% 01-15-2034**812,070 
ATI INC COM**396,508 
ATKORE INC**670,020 
ATLANTIC UN BANKSHARES CORP COM**147,656 
ATLAS ENERGY SOLUTIONS INC NEW CL A**6,138,093 
ATMOS ENERGY CORP 1.5% DUE 01-15-2031**164,131 
ATMOS ENERGY CORP 4.125% DUE 10-15-2044**339,819 
ATMOS ENERGY CORP 5.0% 12-15-2054**126,526 
ATMOS ENERGY CORP COM**5,496,987 
ATMUS FILTRATION TECHNOLOGIES INC COM**1,342,385 
ATOUR LIFESTYLE HLDGS LTD**869,515 
ATRAE INC NPV**20,610 
ATRICURE INC COM STK**3,338,680 
ATRIUM HOTEL 6.09025% DUE 11-10-2029**1,293,619 
27

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
ATTENDO AB NPV**981,237 
AUCNET INC NPV**27,193 
AUDIOEYE INC COM NEW COM NEW**998,445 
AUDIX CORP TWD10**89,677 
AUSTRALIA(CMNWLTH) 2.5% SNR 21/05/2030 AUD100**344,962 
AUSTRALIA(CMNWLTH) IDX/LKD SNR 21/11/27 AUD100**2,349,908 
AUTODESK INC COM**1,234,596 
AUTONATION INC COM**30,911 
AUTOZONE INC 3.75% DUE 04-18-2029**3,159,022 
AUTOZONE INC 5.4% 07-15-2034**268,471 
AUTOZONE INC FIXED 3.625% DUE 04-15-2025**4,434,964 
AVALONBAY CMNTYS REIT**1,908,680 
AVANGRID INC 3.2% DUE 04-15-2025 REG**1,492,437 
AVANT GROUP CORPORATION NPV**114,280 
AVIAT NETWORKS INC COM NEW COM NEW**41,943 
AVIATION CAP GROUP 4.125% DUE 08-01-2025**1,690,086 
AVIDITY BIOSCIENCES INC COM**399,094 
AVIDXCHANGE HLDGS INC COM USD0.001**871,910 
AVIENT CORPORATION**3,281,303 
AVIS BUDGET RENT 5.2% DUE 10-20-2027**904,614 
AVIS BUDGET RENT 5.25% DUE 04-20-2029**3,029,169 
AVIS BUDGET RENT 5.78% DUE 04-20-2028**1,426,860 
AVIS BUDGET RENT 5.78% DUE 04-20-2028**1,630,697 
AVIS BUDGET RENT 5.81% DUE 12-20-2029**1,439,851 
AVNET INC 6.25% 03-15-2028**1,687,252 
AVOLON HLDGS FDG 2.125% DUE 02-21-2026**507,759 
AVOLON HLDGS FDG 2.875% DUE 02-15-2025**1,395,404 
AVOLON HLDGS FDG 4.25% DUE 04-15-2026**493,966 
AVOLON HLDGS FDG 4.25% DUE 04-15-2026**2,543,924 
AVOLON HLDGS FDG 4.375% DUE 05-01-2026**667,564 
AVOLON HLDGS FDG 5.5% DUE 01-15-2026**1,353,658 
AVOLON HLDGS FDG 5.75% DUE 03-01-2029**393,921 
AXALTA COATING SYSTEMS LTD COM USD1.00**1,133,674 
AXELL CORP NPV**17,681 
AXIAL RETAILING INC**28,099 
AXIOMTEK CO TWD10**175,403 
AXIS CAPITAL HOLDINGS LTD COM USD0.0125**41,829 
AXOGEN INC COM USD0.01**358,028 
AXON ENTERPRISE INC COM**6,043,046 
AXSOME THERAPEUTICS INC. COM**2,192,245 
AZEK CO INC CL A CL A**6,347,688 
B A T CAP CORP 2.259% DUE 03-25-2028**422,620 
B A T CAP CORP 4.39% 08-15-2037**259,080 
B A T CAP CORP 4.54% 08-15-2047**42,937 
B A T CAP CORP FIXED 3.557% DUE 08-15-2027**2,536,764 
B A T INTL FIN PLC FIXED 1.668% DUE 03-25-2026**307,846 
B A T INTL FIN PLC FIXED 1.668% DUE 03-25-2026**1,139,992 
BA CR CARD TR SR 22-A1 CL A1 3.53% DUE 11-15-2027 REG**6,140,637 

28

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
BA CREDIT CARD TRUST SR 23-A1 CL A1 4.79% 05-15-2028**10,667,458 
BABCOCK & WILCOX ENTERPRISES INC COM NEWCOM NEW**31,731 
BABCOCK INTL GROUP ORD GBP0.60**351,919 
BACARDI LTD 4.45% DUE 05-15-2025**798,566 
BAE SYS PLC 3.4% DUE 04-15-2030**534,916 
BAIDU INC USD0.000000625 A CLASS**2,560,437 
BAIRONG INC COMSTK**50,412 
BAKER HUGHES A GE CO LLC/BAKER HUGHES 4.08% 12-15-2047**551,043 
BAKER HUGHES CO**36,125,993 
BAKER HUGHES LLC/CO-OBL 2.061% 12-15-2026**1,069,587 
BALFOUR BEATTY GBP0.50**471,565 
BALMER LAWRIE INVESTMENT LTD. FV INR 1 DEMAT EQUITY**51,723 
BALT GAS & ELEC CO 3.2% DUE 09-15-2049**148,931 
BALT GAS & ELEC CO 3.5% DUE 08-15-2046**18,820 
BALT GAS & ELEC CO FIXED 2.9% DUE 06-15-2050**293,970 
BAMLL COML MTG FLTG RT 5.47648% DUE 09-15-2038**4,762,500 
BANC AMERICA COML MTG TR SER 2016-UB10 CLS A3 2.903% 06-15-2049**3,960,478 
BANCA IFIS EUR1**452,894 
BANCA MEDIOLANUM BANCA MEDIOLANUM SPA**1,881,224 
BANCA MONTE DEI 0.875% 08/10/2026 .875% 08/10/2027**401,428 
BANCA MONTE DEI ORDSHR**348,314 
BANCO BILBAO VIZCAYA ARGENTARIA S A SR NON PFD FXD TO FXD RATE 5.862 09-14-2026**2,614,160 
BANCO SANTANDER S A 2.749% DUE 12-03-2030**169,345 
BANCO SANTANDER S FIXED 2.746% DUE 05-28-2025**1,188,508 
BANCO SANTANDER SA 4.175% 03-24-2028**3,329,035 
BANCO SANTANDER SA 5.538% 03-14-2030**602,768 
BANCO SANTANDER SA 5.588% 08-08-2028**810,523 
BANCO SANTANDER SA 5.588% 08-08-2028**810,523 
BANCO SANTANDER SA FLTG RT 07-15-2028**8,053,358 
BANCO SANTANDER SA SR NON PFD FIXED-FIXED RATE 1.722% 09-14-2027**189,057 
BANCO SANTANDER SA SR NON PFD FIXED-FIXED RATE 1.722% 09-14-2027**3,970,194 
BANCO SANTANDER SA SR NT NON PFD 1.849% 03-25-2026**192,359 
BANCO SANTANDER SA SR NT NON PFD 1.849% 03-25-2026**384,717 
BANCO SANTANDER SA SR NT NON PFD 2.958% 03-25-2031**8,883,790 
BANDAI NAMCO HOLDINGS INC**115,419 
BANDWIDTH INC CL A CL A**273,409 
BANGKOK AIRWAYS THB1 (NVDR)**402,602 
BANGKOK BANK THB10 (NVDR)**4,062,983 
BANGKOK LIFE ASSUR THB1 (NVDR)**70,797 
BANK 2017-BNK4 3.357% DUE 05-15-2050**212,366 
BANK 2017-BNK9 3.47% DUE 11-15-2054**2,011,676 
BANK 2024-BNK47 MTG PASS THRU CTF CL A-SB 5.725% 06-15-2057**1,866,390 
BANK AMER CORP 2.015% DUE 02-13-2026**10,974,311 
BANK AMER CORP 2.496% 02-13-2031**580,254 
BANK AMER CORP 2.572% DUE 10-20-2032 BEO**2,896,191 
BANK AMER CORP 2.592% DUE 04-29-2031**986,763 
BANK AMER CORP 2.687% DUE 04-22-2032**12,899,377 
BANK AMER CORP 3.194% 07-23-2030**1,645,223 
29

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
BANK AMER CORP 3.366% 01-23-2026**1,561,792 
BANK AMER CORP 3.366% 01-23-2026**9,990,559 
BANK AMER CORP 3.419% 12-20-2028**7,100,791 
BANK AMER CORP 3.593% 07-21-2028**13,008,933 
BANK AMER CORP 3.705% 04-24-2028**9,314,667 
BANK AMER CORP 3.95% DUE 04-21-2025**1,894,801 
BANK AMER CORP 4% DUE 01-22-2025**3,643,176 
BANK AMER CORP 4.376% 04-27-2028**678,649 
BANK AMER CORP 4.45% DUE 03-03-2026**3,385,742 
BANK AMER CORP 5.819% 09-15-2029**409,947 
BANK AMER CORP 5.819% 09-15-2029**623,119 
BANK AMER CORP 5.933% DUE 09-15-2027**814,412 
BANK AMER CORP 5.933% DUE 09-15-2027**3,705,574 
BANK AMER CORP FLTG RT 5.33474% DUE 02-05-2026**250,213 
BANK AMER CORP SR NT 2.972% 02-04-2033**8,609 
BANK ISLAM MALAYSI NPV**79,654 
BANK MONTREAL 0% CP 11-21-2025**1,260,268 
BANK MONTREAL 5.266% 12-11-2026**758,647 
BANK MONTREAL 5.266% 12-11-2026**3,176,201 
BANK MONTREAL MEDIUM TERM SR NTS BOOK EN1.25% 09-15-2026**955,149 
BANK MONTREAL QUE 5.3% 06-05-2026**2,393,564 
BANK MONTREAL QUE FIXED 5.203% DUE 02-01-2028**2,564,578 
BANK NEW YORK MELLON CORP 4.89% 07-21-2028**1,571,151 
BANK NEW YORK MELLON CORP 4.947% DUE 04-26-2027**3,600,420 
BANK NEW YORK MELLON CORP 4.975% 03-14-2030**717,908 
BANK NEW YORK MELLON CORP COM STK**11,585,964 
BANK NOVA SCOTIA B C 1.3% DUE 09-15-2026BEO**956,589 
BANK NOVA SCOTIA B C 5.25% 06-12-2028**7,709,833 
BANK NOVA SCOTIA B C 5.65% 02-01-2034**376,925 
BANK NT BUTTERFIELD COM BMD1(POST REV SPLIT)**456,875 
BANK OF AMERICA CORP**17,201,810 
BANK OF AMERICA CORP 1.734% 07-22-2027**762,729 
BANK OF AMERICA CORP 1.734% 07-22-2027**3,096,682 
BANK OF AMERICA CORP 2.299% 07-21-2032**608,997 
BANK OF AMERICA CORP 2.299% 07-21-2032**2,556,954 
BANK OF AMERICA CORP 2.884% 10-22-2030**2,433,777 
BANK OF AMERICA CORP 5.425% 08-15-2035**1,366,367 
BANK OF AMERICA CORP MTN 1.197% 10-24-2026**2,785,315 
BANK OF AMERICA CORPORATION 1.319% 06-19-2026**13,315,778 
BANK OF AMERICA CORPORATION 1.658% 03-11-2027**12,906,890 
BANK OF AMERICA CORPORATION 2.551% 02-04-2028**691,302 
BANK OF AMERICA CORPORATION 2.551% 02-04-2028**1,077,477 
BANK OF AMERICA CORPORATION 2.651% 03-11-2032**3,793,962 
BANK OF AMERICA CORPORATION 2.676% DUE 06-19-2041/06-19-2020 REG**799,629 
BANK OF AMERICA CORPORATION 4.078% 04-23-2040**850,818 
BANK OF AMERICA CORPORATION 4.33% 03-15-2050**409,875 
BANK OF AMERICA CORPORATION 5.08% DUE 01-20-2027**541,540 
BANK OF AMERICA CORPORATION 5.08% DUE 01-20-2027**3,479,893 
30

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
BANK OF AMERICA CORPORATION 5.202% 04-25-2029**5,860,054 
BANK OF AMERICA CORPORATION 5.288% 04-25-2034**198,651 
BANK OF AMERICA CORPORATION 5.468% 01-23-2035**1,021,379 
BANK OF AMERICA CORPORATION 5.468% 01-23-2035**8,010,819 
BANK OF AMERICA CORPORATION 6.204% 11-10-2028**1,133,751 
BANK OF AMERICA CORPORATION MTN 3.384% DUE 04-02-2026**199,251 
BANK OF AMERICA CORPORATION MTN 3.384% DUE 04-02-2026**6,962,211 
BANK OF AMERICA NA 5.526% 08-18-2026**593,712 
BANK OF MONTREAL 4.64% DTD 09-10-2024 DUE 09-10-2030**529,630 
BANK OF MONTREAL 4.588% 12-11-2026**3,924,971 
BANK OF NOVA SCOTIA 1.45% DUE 01-10-2025**1,597,553 
BANK OF NOVA SCOTIA 3.45% 04-11-2025**468,114 
BANK OF NOVA SCOTIA 3.45% 04-11-2025**1,368,487 
BANK PEKAO SA PLN1.00**1,929,685 
BANK SER 2017-BNK8 CL A-3 3.229% 11-15-2050**1,585,008 
BANK ST PETERSBURG COM**922,224 
BANK SYARIAH INDONESIA TBK PT**1,074,970 
BANK5 2024-5YR10 COML MTG PASS THRU CTF CL 5.30200004578% 10-15-2057**11,452,402 
BANK5 2024-5YR10 COML MTG PASS THRU CTF CL B 6.14% 10-15-2057**2,015,272 
BANK5 2024-5YR11 5.893% DUE 11-15-2057**1,208,649 
BANK5 TR 2024-5YR6 MTG PASS THRU CTF CL A-3 6.191% DUE 05-15-2057 REG**675,433 
BANKUNITED INC**403,342 
BANNER CORP COM NEW COM NEW**1,175,953 
BANQUE SAUDI FRANS SAR10**207,242 
BARCLAYS BK PLC CD 12-10-2024 FLTG 12-09-2025**1,330,685 
BARCLAYS PLC 2.279% DUE 11-24-2027**3,842,436 
BARCLAYS PLC 2.852% 05-07-2026**850,942 
BARCLAYS PLC 4.972% 05-16-2029**5,953,914 
BARCLAYS PLC 5.304% DUE 08-09-2026 REG**6,137,326 
BARCLAYS PLC 5.335% 09-10-2035**115,289 
BARCLAYS PLC 5.501% DUE 08-09-2028**3,405,810 
BARCLAYS PLC 5.69% 03-12-2030**2,019,456 
BARCLAYS PLC 5.69% 03-12-2030**1,078,390 
BARCLAYS PLC 6.036% 03-12-2055**200,269 
BARCLAYS PLC 6.692% 09-13-2034**635,361 
BARCLAYS PLC DUE 11-02-2028/05-02-2023 BEO**4,452,326 
BARCLAYS PLC FIXED 2.645% DUE 06-24-2031**8,688,799 
BARCLAYS PLC FIXED 5.829% 05-09-2027**2,734,054 
BARCLAYS PLC FLTG RT 4.837% DUE 09-10-2028**2,653,534 
BARCLAYS PLC FXD RATE RESETTING SUB NT 3.811% 03-10-2042**209,031 
BARCLAYS PLC ORD GBP0.25**303,746 
BARINGS LN FLTG RT 5.90771% DUE 01-20-2034**10,014,627 
BARRETT BUSINESS SVCS INC COM**394,783 
BASF - ORD SHS COMSTK**1,892,926 
BASILEA PHARMACEU CHF1 (REGD)**817,144 
BAT CAPITAL CORPORATION 6.343% DUE 08-02-2030**1,072,963 
BAT CAPITAL CORPORATION 7.081% DUE 08-02-2053**274,352 
BAT INTL FINANCE PLC 5.931% 02-02-2029**5,086,189 
31

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
BATH & BODY WORKS INC COM USD0.5 WI**1,007,710 
BAWAG GROUP AG COMMON STOCK**1,198,280 
BAXALTA INC 4% DUE 06-23-2025**2,732,718 
BAXTER INTERNATIONAL INC 3.132% 12-01-2051**292,184 
BAYER AG NPV (REGD)**1,472,894 
BAYER US FIN II 4.375% DUE 12-15-2028**576,952 
BAYER US FIN II 4.375% DUE 12-15-2028**3,173,236 
BAYVIEW 5.67% DUE 08-15-2028**1,007,453 
BAYVIEW MSR 3% DUE 11-25-2051**1,664,343 
BBAM EUROPEAN CL1 FRN CLO 07/2034 EUR 'A-R'**618,861 
BBB FOODS INC COM**1,020,427 
BBCMS MTG TR 1.617% DUE 10-15-2053**5,586,393 
BBCMS MTG TR 2024-5C31 COML MTG PASSTHRUCTF CL 5.137% 12-15-2057**2,103,872 
BCA MPS 2.625% SNR 28/04/25 EUR1000**103,259 
BCA POP DI SONDRIO EUR3**136,566 
BDO UNIBANK INC PHP10**1,018,294 
BEAR STEARNS ARM FLTG RT 4.35725% DUE 05-25-2034**3,074 
BEAR STEARNS ASSET BACKED SECS I LLC ASSASSET BKD CTF CL I-A-1A 5.5 25 AUG 2036**39,133 
BECTON DICKINSON & 4.685% DUE 12-15-2044**386,719 
BECTON DICKINSON & CO 4.693% 02-13-2028**1,635,019 
BECTON DICKINSON & CO COM**1,577,427 
BEIERSDORF AG EUR1**10,935,999 
BEIJING URBAN CONSTRUCTION COMSTK**46,890 
BELLRING BRANDS INC COM USD0.01**990,194 
BELLWAY GBP0.125**307,385 
BENCHMARK 2020-B20 1.94539999962% DUE 10-15-2053**3,290,504 
BENCHMARK 2021-B24 2.0103% DUE 03-15-2054**4,628,557 
BENCHMARK 2021-B27 1.792% DUE 07-15-2054**6,505,908 
BENCHMARK 2021-B27 2.163% DUE 07-15-2054**4,044,705 
BENCHMARK 2021-B29 FLTG RT 2.284% DUE 09-15-2054**3,740,099 
BENCHMARK 2021-B30 2.329% DUE 11-15-2054**3,344,093 
BENCHMARK 2023-B38 MTG TR MTG PASS THRU CTF CL A-2 5.62599992752% 04-15-2056**5,003,639 
BENCHMARK 2024-V10 5.2774% DUE 09-15-2057**5,016,180 
BENCHMARK 2024-V12 5.73845% DUE 12-15-2057**6,354,960 
BENEFIT STR PARTNERS CLO XIX LTD / 0% 01-15-2033**1,654,873 
BERKLEY W R CORP COM**1,215,694 
BERKSHIRE HATHAWAY 3.25% DUE 04-15-2028**380,681 
BERKSHIRE HATHAWAY ENERGY CO 3.7% 07-15-2030**1,797,637 
BERKSHIRE HATHAWAY FIN CORP 2.85% DUE 10-15-2050**314,334 
BERKSHIRE HATHAWAY FINANCE CORP 3.85% 03-15-2052**1,083,558 
BERKSHIRE HATHAWAY INC COM USD0.0033 CLASS'B'**6,125,626 
BERRY CORPORATION**200,165 
BERRY GLOBAL INC 1.57% DUE 01-15-2026**13,693,792 
BERRY GLOBAL INC 5.5% 04-15-2028**706,865 
BEST BUY INC COM STK**838,266 
BETSSON AB NPV B**494,251 
BHARAT BIJLEE INR5**53,812 
BHARAT PETROL CORP INR10**1,574,918 
32

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
BHARTI AIRTEL LTD COMSTK**974,603 
BHP BILLITON FIN USA LTD 5.25% 09-08-2026**1,275,064 
BICARA THERAPEUTICS INC COM**103,823 
BIG COML MTG TR FLTG RT 5.65376% DUE 02-15-2039**5,008,917 
BIGCOMMERCE HLDGS INC COM SER 1 COM SER 1**189,273 
BILFINGER SE BILFINGER SE**420,012 
BILIBILI INC USD0.0001 Z CLASS**1,621,823 
BILL HOLDINGS INC COM USD0.00001**2,328,254 
BIOGEN INC COMMON STOCK**3,456,145 
BIOHAVEN LTD COM NPV WI**1,123,115 
BIOMARIN PHARMACEUTICAL INC COM ISIN CH0008107010**1,863,774 
BIOMEA FUSION INC COM**44,321 
BIO-TECHNE CORP COM**1,023,834 
BIPROGY INC NPV**1,076,339 
BIZLINK HOLDING IN TWD10**672,025 
BK HANDLOWY W WARS PLN4.00**93,197 
BK NEW YORK MELLON 4.289% DUE 06-13-2033**3,050,482 
BK NEW YORK MELLON FLTG RT 4.414% DUE 07-24-2026**1,849,008 
BK NOVA SCOTIA B C 4.5% DUE 12-16-2025**248,693 
BK OF AMER CR CARD FIXED 4.98% DUE 11-15-2028**1,461,945 
BK RAKYAT IDR50**306,501 
BKW AG CHF2.50**187,781 
BLACKBERRY LTD COM**1,690,204 
BLACKROCK INC NEW COM**14,392,544 
BLACKSTONE INC COM USD0.00001**966,414 
BLOCK FINL LLC 3.875% DUE 08-15-2030**1,383,886 
BLOOM ENERGY CORP CL A CL A**270,895 
BLOOMIN BRANDS INC COM**3,086,993 
BLOOMSBURY PUBLISHING ORD GBP0.0125**155,039 
BLP COML MTG FLTG RT 6.00351% DUE 03-15-2041**957,978 
BLUE BIRD TBK PT IDR100**108,084 
BLUE OWL CR INCOME CORP NT 7.75% 09-16-2027**661,418 
BLUE STAR INR2**65,888 
BLUELINX HLDGS INC COM NEW COM NEW**202,379 
BLUEPRINT MEDICINES CORP COM**4,521,659 
BLUESCOPE STEEL NPV**2,670,358 
BMO 2024-5C5 MTG TR COML MTG PASS THRU CTF CL 5.4621% 02-15-2057**2,023,073 
BMO 2024-5C6 MTG TR MTG PASS THRU CTF CLA-3 5.31610012054% 09-15-2057**1,614,591 
BMO 2024-5C6 MTG TR MTG PASS THRU CTF CLB 6.08629989624% 09-15-2057**991,125 
BMO 2024-5C7 MTG TR COML MTG PASSTHRU CTF CL 5.09159994125% 11-15-2057**4,996,064 
BMW VEH LEASE TR 5% DUE 06-25-2027**4,875,687 
BMW VEH OWNER TR 2022-A CL A3 3.21% 08-25-2026**3,655,774 
BNK FINANCIAL GROUP INC**997,821 
BNP PARIBAS 5.176% 01-09-2030**996,631 
BNP PARIBAS 5.176% 01-09-2030**2,023,160 
BNP PARIBAS EUR2**8,773,567 
BOARDWALK 3.4% DUE 02-15-2031**89,345 
BOARDWALK PIPELINES LP 4.8% 05-03-2029**98,602 
33

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
BOARDWALK R/EST IN TRUST UNITS**1,304,522 
BOE TECH GP (STOCK CONNECT)**2,123,333 
BOE VARITRONIX LTD HKD0.25**73,971 
*BOEING CO COM
**5,434,126,737 
BOISE CASCADE CO COM**2,952,126 
BOK FINL CORP COM NEW**903,867 
BOMBARDIER INC**421,395 
BOMBARDIER INC BOMBARDIER INC DISC**2,445,936 
BON SECOURS MERCY 1.35% DUE 06-01-2025**1,215,549 
BONOS DE TESORERIA 5.35% GTD SNR BDS 12/08/40**133,777 
BOOKING HLDGS INC COM**6,637,809 
BOOT BARN HLDGS INC COM**6,816,566 
BOOZ ALLEN HAMILTON HLDG CORP CL A COM STK**1,168,982 
BORAL FIN PTY LTD 3.75% 05-01-2028**121,557 
BORALEX INC CL'A'COM NPV**407,234 
BORG WARNER INC COM**3,869,097 
BORGWARNER INC 4.95% 08-15-2029**716,296 
BORYUNG CORPORATION KRW2500.00**334,104 
BOSTON SCIENTIFIC CORP COM**6,123,243 
BOURSA KUWAIT SECU KWD0.1**20,523 
BOWHEAD SPECIALTY HLDGS INC COM**167,086 
BOX INC CL A CL A**842,108 
BP CAP MKTS AMER 1.749% DUE 08-10-2030**313,085 
BP CAP MKTS AMER 1.749% DUE 08-10-2030**854,637 
BP CAP MKTS AMER 2.772% DUE 11-10-2050**168,236 
BP CAP MKTS AMER 2.939% DUE 06-04-2051**387,610 
BP CAP MKTS AMER 3.633% DUE 04-06-2030**603,269 
BP CAP MKTS AMER 3.937% DUE 09-21-2028**1,745,633 
BP CAP MKTS AMER INC 3.0% DUE 02-24-2050**407,571 
BP CAP MKTS AMER INC 3.001% DUE 03-17-2052 BEO**193,838 
BPCE 0% CP 11-13-2025**2,962,333 
BPCE S A MEDIUM 1% DUE 01-20-2026**922,958 
BPCE S A MEDIUM 1% DUE 01-20-2026**1,514,227 
BPCE SR NON PFD VAR RT 2.045% DUE 10-19-2027**1,329,159 
BPCE SR NON PFD VAR RT 5.975% DUE 01-18-2027**413,207 
BPCE SR NON PFD VAR RT 5.975% DUE 01-18-2027**4,217,732 
BPER BANCA NPV**838,654 
BRAMBLES LTD NPV**3,469,250 
BRANDYWINE OPER PARTNERSHIP L P 8.875% 04-12-2029**957,745 
BREAD FINANCIAL HOLDINGS INC COM USD0.01**1,361,699 
BRF SA COM NPV**1,048,346 
BRIDGE 2022-SFR1 TR SINGLE FAMILY RENT PASSTHRU 4.15% 11-17-2037**2,444,434 
BRIDGECREST 5.65% DUE 04-16-2029**3,538,551 
BRIDGECREST 5.94% DUE 02-15-2030**3,549,886 
BRIDGECREST 6.8% DUE 08-15-2029**898,254 
BRIDGECREST 7.1% DUE 08-15-2029**2,573,796 
BRIDGECREST LENDING AUTO SECURITIZATION TR SR 24-1 CL A3 5.53% 01-18-2028**556,009 
BRIDGECREST LENDING AUTO SECURITIZATION TR SR 24-1 CL A3 5.53% 01-18-2028**5,269,035 
34

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
BRIGADE ENTERPRISE INR10**314,620 
BRIGHT HORIZONS FA COM USD0.001**808,429 
BRIGHTHOUSE FINL INC COM**1,574,991 
BRIGHTVIEW HLDGS INC COM**3,756,419 
BRINKER INTL INC COM**1,818,326 
BRISTOL MYERS FIXED 3.4% DUE 07-26-2029**1,322,620 
BRISTOL MYERS FIXED 4.25% DUE 10-26-2049**356,096 
BRISTOL MYERS FIXED 4.35% DUE 11-15-2047**884,334 
BRISTOL MYERS SQUIBB CO 4.9% 02-22-2027**1,232,212 
BRISTOL MYERS SQUIBB CO 5.875% 02-22-2064**627,035 
BRISTOL MYERS SQUIBB CO COM**1,104,334 
BRISTOL-MYERS SQUIBB CO 5.1% 02-22-2031**302,230 
BRISTOL-MYERS SQUIBB CO 5.1% 02-22-2031**10,074 
BRISTOL-MYERS SQUIBB CO 5.2% 02-22-2034**574,453 
BRISTOL-MYERS SQUIBB CO 5.2% 02-22-2034**1,468,601 
BRITANNIA INDUSTRIES COMMON STOCK NR1(POST SUBDIVISION)**657,777 
BRITISH LAND CO ORD GBP0.25**1,353,508 
BRITISH TELECOMMUNICATIONS P L C NT STEPUP 12-15-2030 12-12-2000**182,006 
BRIXMOR OPER 2.5% DUE 08-16-2031**167,872 
BRIXMOR OPER 4.125% DUE 06-15-2026**1,212,250 
BRIXMOR OPER PARTNERSHIP LP SR NT 2.25% 04-01-2028**228,583 
BRIXMOR OPERATING PARTNERSHIP LP 3.85% NTS 02-01-2025 USD1000**7,001,754 
BRIXMOR OPERATING PARTNERSHIP LP 5.5% 02-15-2034**297,964 
BROADCOM CORP / BROADCOM CAYMAN FIN LTD 3.125% 01-15-2025**4,996,939 
BROADCOM INC 3.459% 09-15-2026**6,211,810 
BROADCOM INC 4.15% 02-15-2028**1,547,802 
BROADCOM INC 4.3% DUE 11-15-2032 BEO**1,415,053 
BROADCOM INC 4.55% 02-15-2032**169,180 
BROADCOM INC 4.8% 10-15-2034**318,480 
BROADCOM INC 5.05% 07-12-2027**2,212,061 
BROADCOM INC COM**89,336,762 
BROADCOM INC SR NT 5.15% 11-15-2031**312,168 
BROADCOM INC TERM LOAN 08-14-2026**795,667 
BROOKFIELD CAP FIN LLC SR NT 6.087% 06-14-2033**1,760,109 
BROOKFIELD FIN INC 3.5% DUE 03-30-2051**1,726,311 
BROOKFIELD FIN INC 5.968% 03-04-2054**80,974 
BROOKFIELD FINANCE INC 5.675% 01-15-2035**1,037,904 
BROTHER INDUSTRIES NPV**1,229,684 
BROWN & BROWN INC 2.375% DUE 03-15-2031**357,117 
BROWN & BROWN INC COM**3,283,616 
BRUNSWICK CORP COM**3,160,847 
BSE LIMITED INR2**210,618 
BSTN PPTYS LTD 3.2% DUE 01-15-2025**265,786 
BSTN SCIENTIFIC 1.9% DUE 06-01-2025**1,822,742 
BSTN SCIENTIFIC 2.65% DUE 06-01-2030**50,875 
BUMI ARMADA BERHA MYR**180,380 
BUNGE GLOBAL SA F COMMON STOCK**214,462 
BUNGE LTD FIN CORP FIXED 1.63% DUE 08-17-2025**2,485,724 
35

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
BUNGE LTD FIN CORP FIXED 1.63% DUE 08-17-2025**1,940,472 
BUNGE LTD FIN CORP FIXED 2.75% 05-14-2031**605,466 
BUNGE LTD FINANCE CORP 4.2% 09-17-2029**727,531 
BURCKHARDT COMPRES CHF**789,398 
BURL NORTHN SANTA 4.375% DUE 09-01-2042**831,607 
BURL NORTHN SANTA 5.75% DUE 05-01-2040**82,194 
BURLINGTN N SANTA FIXED 4.05% DUE 06-15-2048**398,727 
BURLINGTON NORTHN SANTA FE LLC 5.2% 04-15-2054**462,153 
BURLINGTON STORES INC COM**2,971,465 
BURSA MALAYSIA BHD MYR0.50**439,233 
BUSINESS BRAIN SHO NPV**24,533 
BUSINESS ENGINEERI NPV**27,755 
BUY TO OPEN REPO W/DEUTSCHE 4.53% FROM 12-31-2024 TO 01-02-2025**4,200,000 
BUY TO OPEN REPO W/J.P. MORG 4.7% FROM 12-31-2024 TO 01-02-2025**36,500,000 
BW LPG LTD**3,092,433 
BWAY 2021-1450 MTG FLTG RT 5.67634% DUE 09-15-2036**1,886,254 
BX 2021-21M MTG TR FLTG RT 5.15648% DUE 10-15-2036**335,559 
BX 2021-21M MTG TR FLTG RT 5.15648% DUE 10-15-2036**1,342,236 
BX 2023-DELC MTG FLTG RT 7.00186% DUE 05-15-2038**2,387,775 
BX COML MTG TR 2.843% DUE 03-09-2044**3,522,233 
BX COML MTG TR 2021-CIP 5.34748% 12-15-2038**3,230,024 
BX COML MTG TR 2022-AHP COML MTG PASS THRU CTF CL A 1.04% 02-15-2039**2,509,921 
BX COML MTG TR 2024-AIRC COML MTG PASSTHRU CTF CL A 6.0031% 08-15-2039**2,748,794 
BX COML MTG TR 2024-GPA3 MTG PASS THRU CTF CL A 144A 5.60468% 12-15-2039**1,260,479 
BX COML MTG TR 2024-MDHS COML MTG PASSTHRU CTF CL A 5.95316% 05-15-2041**809,574 
BX COML MTG TR FLTG RT 5.11498% DUE 10-15-2038**1,387,146 
BX COML MTG TR FLTG RT 5.75347% DUE 02-15-2039**3,568,426 
BX TR 2021-ACNT FLTG RT 5.67648% DUE 11-15-2038**431,841 
BX TR 2021-LGCY COML MTG PASS THRU CTF CL A 4.93248% 10-15-2036**1,993,750 
BX TR 2021-SDMF FLTG RT 5.16448% DUE 09-15-2034**5,691,849 
BX TR 2022-FOX2 5.05544% DUE 04-15-2039**1,460,929 
BX TR 2022-LBA6 FLTG RT 5.31186% DUE 01-15-2039**5,810,000 
BX TR 2022-PSB 6.76286% 08-15-2039**734,075 
BX TR 2024-BIO MTG PASSTHRU CTF CL A 144A 5.95386% 02-15-2041**3,679,446 
BXCOMMERCIAL MTG FLTG RT 6.07328% DUE 12-09-2040**1,754,021 
BXSC COML MTG TR 2022-WSS COML MTG PASS THRU CTF CL B 6.404% 03-15-2035**3,000,938 
BYD COMPANY LTD 'H'CNY1**1,733,186 
BYTES TECHNOLOGY G ORD GBP0.01**72,509 
C H ROBINSON WORLDWIDE INC COM NEW COM NEW**5,691,589 
C&A MODAS SA COM NPV**422,008 
CABOT CORP COM**1,937,507 
CACTUS INC CL A CL A**869,973 
CADENCE BK COM**5,203,362 
CADENCE DESIGN SYS 4.3% DUE 09-10-2029**181,325 
CADENCE DESIGN SYS 4.7% 09-10-2034**426,793 
CADENCE DESIGN SYS INC 4.2% 09-10-2027**765,979 
CADENCE DESIGN SYS INC COM**15,873,602 
CAESARS ENTERTAINMENT, INC. TERM B1 LOANSR SECD TL 01-27-2031**992,808 
36

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
CAESARS ENTMT INC NEW COM**150,724 
CAFE24 CORP KRW500**116,404 
CAIXABANK SA EUR1**3,428,281 
CALAVO GROWERS INC COM**192,857 
CALFRAC WELL SVCS LTD COM NPV**221,624 
CALIX NETWORKS INC COMMON STOCK**833,428 
CALL FXO GSCMUS33 05/15/2025 USD/CNH 7.3 European 31750PL09**3,271 
CALL FXO MIDLGB22 05/13/2025 USD/CNH 7.3 European 31750PJZ5**55,447 
CALL FXO MIDLGB22 05/13/2025 USD/CNH 7.3 European 31750PJZ5**24,462 
CALL FXOBAR BARCGB5G 02/14/2025 USD/CNH 7.3 European 3175FD9K0**15,006 
CALL FXOBAR MIDLGB22 02/14/2025 USD/CNH 7.375 European 3175FB9K4**9,945 
CALL FXODIG BNPAFRPP 01/23/2025 USD/CNH 7.4 European 31750PM57**10,564 
CALL FXODIG CITIUS33 02/14/2025 USD/CNH 7.45 European 31750PX55**8,950 
CAMDEN PPTY TR SH BEN INT**4,644,965 
CAMPING WORLD HLDGS INC CL A CL A**2,299,533 
CANACCORD GENUITY GROUP INC**45,693 
CANADA(GOVT OF) 3.25% BDS 01/12/2033 CAD1**1,187,417 
CANADA(GOVT OF) 4% BDS 01/03/2029 CAD1'Q988**1,520,178 
CANADA(GOVT OF) I/L 1.5% BDS 01/12/44 CAD1000**482,749 
CANADIAN IMPERIAL BANK OF COMMERCE 5.001% DUE 04-28-2028**2,406,950 
CANADIAN IMPERIAL BK COMM TORONTO BRH 5.926% 10-02-2026**3,148,191 
CANADIAN NATL RY CO COM**11,731,003 
CANADIAN TIRE LTD CLASS'A'CUM NON-VTG COM NPV**809,619 
CANFIN HOMES LTD**275,042 
CANNY ELEVATOR CO 'A'CNY1 (STOCK CONNECT)**219,533 
CANTOR FITZGERALD L P SR NT 144A 4.5% 04-14-2027**2,937,307 
CAP 1 FINL CORP 7.149% DUE 10-29-2027**1,919,801 
CAP 1 PRIME AUTO 3.17% DUE 04-15-2027**3,762,367 
CAP 1 PRIME AUTO 3.69% DUE 12-15-2027**1,221,068 
CAPCOM CO LTD NPV**1,143,595 
CAPGEMINI EUR8**10,492,545 
CAPITAL ONE FINANCIAL CORP 5.468% DUE 02-01-2029**6,303,984 
CAPITAL ONE FINANCIAL CORP 6.312% 06-08-2029**2,628,450 
CAPITAL ONE FINL CORP 1.878% 11-02-2027**847,462 
CAPITAL ONE FINL CORP 2.636% 03-03-2026**2,976,758 
CAPITAL ONE FINL CORP 4.985% 07-24-2026**6,356,885 
CAPITAL ONE FINL CORP 5.7% 02-01-2030**268,622 
CAPITAL ONE FINL CORP 5.7% 02-01-2030**1,268,097 
CAPITAL ONE FINL CORP 6.051% 02-01-2035**1,829,355 
CAPITAL ONE FINL CORP COM**4,618,488 
CAPITAL ONE FINL CORP SR NT FIXED / FLTG5.268% 05-10-2033**486,994 
CAPITAL ONE MULTI-ASSET EXECUTION SER 22-A3 CL A 4.95% DUE 10-15-2027**1,334,903 
CAPITAL ONE MULTI-ASSET EXECUTION TR SER22-A1 CL A1 2.8% 03-15-2027**14,604,318 
CAPITAL ONE MULTI-ASSET EXECUTION TR SR 2022-2 NT CL A 3.49% 05-15-2027**391,457 
CAPITAL ONE MULTI-ASSET EXECUTION TR SR 23-A1CLS A 4.42% 05-15-2028**7,900,588 
CAPRICORN METALS L NPV**190,338 
CARABAO GROUP PUBLIC COMPANY LTD THB1 (NVDR)**193,171 
CARDINAL HEALTH INC 4.7% 11-15-2026**802,397 
37

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
CARDINAL HEALTH INC 5.125% 02-15-2029**610,909 
CARDINAL HEALTH INC 5.45% 02-15-2034**488,343 
CARDINAL HLTH INC**2,227,734 
CARDINAL HLTH INC 5% DUE 11-15-2029**655,866 
CARDLYTICS INC COM**14,417 
CARE REIT PLC**302,439 
CAREDX INC COM**522,297 
CARETRUST REIT INC COM**1,701,445 
CARGO THERAPEUTICS INC COM**98,316 
CARGOTEC OYJ SER'B'NPV**357,347 
CARGURUS INC CL A CL A**1,650,548 
CARIBOU BIOSCIENCES INC COM**26,726 
CARL ZEISS MEDITEC NPV**62,597 
CARLSBERG SER'B'DKK20**6,960,936 
CARLYLE GROUP INC COM**22,022,779 
CARMAX AUTO OWNER 1.95% DUE 09-15-2027**1,448,382 
CARMAX AUTO OWNER 3.49% DUE 02-16-2027**302,995 
CARMAX AUTO OWNER 3.49% DUE 02-16-2027**3,022,938 
CARMAX AUTO OWNER 5.5% DUE 02-15-2029**6,095,620 
CARMAX AUTO OWNER FIXED 1.7% DUE 08-16-2027**686,787 
CARMAX AUTO OWNER FIXED 6% DUE 07-17-2028**387,826 
CARMAX AUTO OWNER FIXED 6% DUE 07-17-2028**3,572,083 
CARMAX AUTO OWNER TR 2021-2 ASSET BACKEDNT CL C 1.34% 02-16-2027**1,183,590 
CARMAX AUTO OWNER TR SR 24-1 CL A3 4.92% 10-16-2028**341,852 
CARMAX AUTO OWNER TRUST SER 23-3 CL A3 6% 05-15-2028**206,733 
CARMAX AUTO OWNER TRUST SER 23-3 CL A3 6% 05-15-2028**2,085,486 
CARMAX AUTO OWNER TRUST SER 22-4 CL A3 5.34% DUE 08-16-2027 REG**2,749,878 
CARMAX INC COM**5,625,906 
CARMAX OWNER TR 4.65% DUE 01-16-2029**960,522 
CARNIVAL CORP COM PAIRED**39 
CARPENTER TECHNOLOGY CORP COM**499,796 
CARRIAGE SERVICES INC COM**208,336 
CARRIER GLOBAL CORP 6.2% 03-15-2054**211,683 
CARRIER GLOBAL CORPORATION COM USD0.01 WI**7,933,177 
CARVANA AUTO 1.31% DUE 01-11-2027**1,919,299 
CARVANA AUTO 5.21% DUE 06-10-2030**2,822,656 
CARVANA AUTO RECEIVABLES TR 2021-N1 ASSET BACKED CTF CL C 1.3% 01-10-2028**235,469 
CARVANA AUTO RECEIVABLES TR 2021-N4 ASSET BACKED NT CL C 1.72% 09-11-2028**192,423 
CARVANA AUTO RECEIVABLES TR 2021-P1 ASSET BACKED NT CL A-4 .86% 01-11-2027**971,072 
CARVANA AUTO RECEIVABLES TR 2022-P3 SR 22-P3 CL A3 4.61% DUE 11-10-2027 BEO**399,252 
CARVANA CO CL A CL A**788,223 
CASELLA WASTE SYS INC CL A COM STK**9,469,360 
CASEYS GEN STORES INC COM**1,789,771 
CASSA DEPOSITI E PRESTITI S P A 5.75% 05-05-2026**1,107,763 
CASTLE BIOSCIENCES INC COM**200,754 
CATALYST PHARMACEUTICALS INC COM STK USD0.001 STK**952,757 
CATERPILLAR INC 2.6% DUE 04-09-2030 BEO**1,019,167 
CATERPILLAR INC COM**5,599,201 
38

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
CATHAY FINL HLDG TWD10**1,429,145 
CATHEDRAL LAKE LTD SR 21-7RA CL AR 0% 01-15-2032**5,608,452 
CCC INTELLIGENT SOLUTIONS HLDGS INC COM**646,851 
CCK CONSOLIDATED NPV**84,280 
CD 2016-CD2 MTG TR 3.348% DUE 11-10-2049**1,263,155 
CD 2017-CD6 MTG TR 3.19% DUE 11-13-2050**2,888,325 
CD PROJEKT SA PLN1.00**623,397 
CDN IMPERIAL BK 3.45% DUE 04-07-2027**2,348,262 
CDN NAT RES LTD 5% DUE 12-15-2029**296,899 
CDN NAT RES LTD 5% DUE 12-15-2029**2,469,211 
CDS BARCGB5G 06/20/2025 SELL ITALY GOV'T INT BOND 6 SWPC0JFW0**419 
CDS BARCGB5G 06/20/2025 SELL ITALY GOV'T INT BOND 6 SWPC0JG41**838 
CDS CITIUS33 06/20/2025 SELL ITALY GOV'T INT BOND 6 SWPC0JG66**838 
CDS CITIUS33 06/20/2027 SELL STATE OF ISRAEL 2.875% SWPC0MGC6**9,710 
CDS GSILGB2X 06/20/2029 SELL STATE OF ISRAEL 2.875% SWPC0MMW5**205 
CDS GSILGB2X 12/20/2029 SELL REPUBLIC OF INDONESIA SWPC0MYK8**22,078 
CDW CORP COM**2,164,884 
CDW LLC/CDW FIN FIXED 2.67% DUE 12-01-2026**4,942,726 
CELANESE US HLDGS 6.05% DUE 03-15-2025**55,039 
CELESTICA INC NPV**258,273 
CELLDEX THERAPEUTICS INC NEW SHS**221,593 
CELLEBRITE DI LTD COM USD0.0001**368,892 
CENCORA INC 5.125% 02-15-2034**883,473 
CENCORA INC 5.15% 02-15-2035**463,968 
CENOVUS ENERGY INC 2.65% 01-15-2032**249,695 
CENT ASIA METALS COMSTK**503,013 
CENTENE CORP DEL 3% DUE 10-15-2030**863,109 
CENTENE CORP DEL COM**1,984,661 
CENTERPOINT ENERGY 2.4% DUE 09-01-2026**2,270,677 
CENTERPOINT ENERGY 3.95% 03-01-2048**24,600 
CENTERPOINT ENERGY 5.85 DUE 01-15-2041**80,578 
CENTERPOINT ENERGY RES CORP 1.75% DUE 10-01-2030**251,452 
CENTERPOINT ENERGY RES CORP 5.25% 03-01-2028**64,607 
CENTERRA GOLD INC COM NPV**1,603,489 
CENTRAL DEPOSITORY INR10**865,277 
CENTRAL SEC PATROL NPV**49,432 
CENTRICA ORD GBP0.061728395**2,330,143 
CENTRUS ENERGY CORP CL A COM**70,207 
CENTURION CORP LTD NPV**907,926 
CENTURY ALUM CO COM**467,398 
CENTURY CMNTYS INC COM**384,700 
CES ENERGY SOLUTIO COM NPV**4,427,098 
CESC INR1**293,459 
CF JPMCB LIQUIDITY FD**568,488,044 
CG ONCOLOGY INC COM**165,885 
CGI INC 1.45% 09-14-2026**1,891,760 
CHACHA FOOD CO LTD 'A'CNY1 (STOCK CONNECT LINE)**303,625 

39

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
CHALLENGER LTD NPV**1,194,638 
CHAMPION HOMES INC**9,992,654 
CHARLES RIV LABORATORIES INTL INC COM**5,416,164 
CHARLES SCHWAB CORP 6.196% 11-17-2029**928,561 
CHART INDS INC COM PAR $0.01 COM PAR $0.01**903,246 
CHARTER 2.3% DUE 02-01-2032**5,778,145 
CHARTER 3.5% DUE 06-01-2041**576,143 
CHARTER 4.908% DUE 07-23-2025**2,012,643 
CHARTER 6.384% DUE 10-23-2035**319,545 
CHARTER COMMUNICATIONS OPER LLC 6.15% 11-10-2026**8,017,674 
CHARTER COMMUNICATIONS OPER LLC/CHARTE 4.2% DUE 03-15-2028 BEO**164,528 
CHARTER COMMUNICATIONS OPER LLC/CHARTE 4.2% DUE 03-15-2028 BEO**1,692,699 
CHARTER COMMUNICATIONS OPER LLC/CHARTE 4.8% DUE 03-01-2050**594,684 
CHARTER FIXED 3.85% DUE 04-01-2061**60,358 
CHARTER HALL GROUP NPV (STAPLED)**298,529 
CHASE AUTO OWNER TR 2023-A ASSET BACKED NT CL A-3 144A 5.68% 01-25-2029**1,419,515 
CHASE HOME LENDING 3.25% DUE 09-25-2063**404,396 
CHASE ISSUANCE TRUST SER 23-A CL A 5.16% 09-15-2028**8,274,512 
CHATHAM LODGING TR COM**89,679 
CHECK PT SOFTWARE TECHNOLOGIES ORDILS.01**16,513,428 
CHEESECAKE FACTORY INC COM**435,594 
CHEGG INC COM**111,459 
CHEMED CORP NEW COM**5,305,417 
CHENBRO MICOM CO**170,706 
CHENGDU KANGHONG COMMON STOCK**297,678 
CHENIERE CORPUS CHRISTI HLDGS LLC 3.7% 11-15-2029**2,754,700 
CHENIERE CORPUS CHRISTI HLDGS LLC 5.125% 06-30-2027**3,569,323 
CHENIERE ENERGY 5.65% DUE 04-15-2034**1,221,320 
CHENIERE ENERGY FIXED 4% DUE 03-01-2031**231,328 
CHENIERE ENERGY FIXED 4.5% DUE 10-01-2029**300,136 
CHENIERE ENERGY FIXED 4.5% DUE 10-01-2029**5,689,020 
CHENIERE ENERGY INC COM NEW**1,277,617 
CHENNAI PETRO CP INR10(DEMAT)**154,115 
CHERVON HLDGS LTD NPV**21,104 
CHES FDG II LLC 5.52% DUE 05-15-2036**3,292,191 
CHESTER CNTY PA HLTH & ED FACS AUTH HLTHSYS REV 3.314 06-01-2051 BEO TAXABLE**245,901 
CHEVRON CORP COM**19,369,164 
CHEVRON U S A INC 2.343% DUE 08-12-2050 REG**281,452 
CHEWY INC CLASS A**725,226 
CHICONY ELECTRONI TWD10**1,251,811 
CHILE REP 4.95% 01-05-2036**1,353,532 
CHILE(REP OF) 4.7% SNR 01/09/2030 CLP1000**353,155 
CHIN WELL HOLDS BERHAD MYR0.50**4,959 
CHINA AIRLINES TWD10**1,263,547 
CHINA BKG CORP**16,225 
CHINA CONSTRUCTION BANK HCNY1**10,860,410 
CHINA GOLD INTL RE COM NPV**15,306 
CHINA MEDICAL SYS USD0.005**55,401 
40

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
CHINA MINSHENG BAN 'H'CNY1**217,216 
CHINA OVERSEAS LAND & INVESTMNT HKD0.10**605,797 
CHINA TAIPING INSU NPV**148,093 
CHINA TOBACCO INTL (HK) CO LTD NPV**158,987 
CHINA XLX FERTILSE NPV**40,114 
CHINA YUHUA EDUCAT HKD0.00001**136,277 
CHIPOTLE MEXICAN GRILL INC COM STK**33,298,703 
CHIYODA INTEGRE CO NPV**105,790 
CHOICE INTL INR10**542,347 
CHONGQING BAIYA SA A CNY1**253,249 
CHORD ENERGY CORPORATION COM USD0.01**1,271,856 
CHROMA ATE INC TWD10**648,721 
CHUBB INA HOLDINGS LLC 4.65% 08-15-2029**4,085,835 
CHUBB LTD ORD CHF24.15**19,280,490 
CHUETSU PULP&PAPER NPV**26,903 
CIA DE SANEAMENTO UNITS (1 COM & 4 PRF)**318,482 
CIA ENERG MG-CEMIG PRF BRL5.00**693,911 
CIA SANEAMENTO MIN COM NPV**177,605 
CIE DE ST-GOBAIN EUR4**9,953,076 
CIE FINANCIER TRAD CHF2.50 (BR)**39,292 
CIENA CORP COM NEW**1,609,609 
CIGNA CORP 1.25% 03-15-2026**440,144 
CIGNA CORP NEW 3.4% DUE 03-01-2027 BEO**1,662,674 
CIGNA CORP NEW CORP 4.375% 10-15-2028**9,117,650 
CIGNA GROUP 5.0% 05-15-2029**1,173,327 
CIGNA GROUP 5.125% 05-15-2031**895,619 
CIKARANG LISTRINDO IDR200**57,254 
CIM TR 2023-R2 FLTG RT 5.5% DUE 08-25-2064**8,227,297 
CIN FINL CORP 6.92% DUE 05-15-2028**212,809 
CINEMARK HLDGS INC COM**1,171,168 
CINTAS CORP COM**8,544,148 
CINTAS CORP NO 2 FIXED 3.45% DUE 05-01-2025**1,296,880 
CISCO SYS INC 5.3% 02-26-2054**175,099 
CISEN PHARMACEUTICAL CO LTD A CNY1 (STOCK CONNECT)**29,758 
CIT HOME EQUITY LN TR 2002-1 ASSET BKD CTF CL AF-5 02-25-2033 BEO**81,738 
CITIBANK CR CARD 6.15% DUE 06-15-2039**4,022,416 
CITIBANK CR CARD ISSUANCE TR NT CL 2018-A7 3.96% 10-13-2030**6,826,235 
CITIBANK N A 4.929% 08-06-2026**1,179,494 
CITIBANK N A 5.803% 09-29-2028**3,268,667 
CITIBANK NA FLTG 04-30-2026**2,080,635 
CITIGROUP COML MTG 2.646% DUE 07-10-2049**1,038,031 
CITIGROUP COML MTG 2.71000003815% DUE 08-10-2049**2,041,564 
CITIGROUP COML MTG TR 2016-C2 COML MTG PASSTHRU CTF CL D 3.25% 08-10-2049**1,424,113 
CITIGROUP INC 1.122% DUE 01-28-2027**1,152,380 
CITIGROUP INC 1.462% DUE 06-09-2027 BEO**5,536,527 
CITIGROUP INC 2.52% 11-03-2032**279,314 
CITIGROUP INC 2.561% DUE 05-01-2032 BEO**1,448,627 
CITIGROUP INC 2.572% 06-03-2031**9,756,650 
41

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
CITIGROUP INC 3.106% DUE 04-08-2026**2,134,486 
CITIGROUP INC 3.106% DUE 04-08-2026**5,762,220 
CITIGROUP INC 3.29% 03-17-2026**2,241,672 
CITIGROUP INC 3.668% 07-24-2028**290,588 
CITIGROUP INC 3.7% DUE 01-12-2026**747,422 
CITIGROUP INC 3.785% 03-17-2033**71,842 
CITIGROUP INC 3.887% 01-10-2028**392,136 
CITIGROUP INC 3.887% 01-10-2028**5,043,844 
CITIGROUP INC 4.45% DUE 09-29-2027**887,900 
CITIGROUP INC 4.45% DUE 09-29-2027**4,548,022 
CITIGROUP INC 4.542% 09-19-2030**5,704,888 
CITIGROUP INC 4.6% DUE 03-09-2026**807,796 
CITIGROUP INC 5.174% 02-13-2030**4,235,969 
CITIGROUP INC 5.316% 09-26-2020 REG**481,750 
CITIGROUP INC 5.449% 06-11-2035**2,073,234 
CITIGROUP INC 5.61% 09-29-2026**5,962,214 
CITIGROUP INC COM NEW COM NEW**54,806,499 
CITIGROUP INC FLTG RT 4.412% DUE 03-31-2031**1,278,410 
CITIGROUP INC NEW 2.976% 11-05-2030**3,545,699 
CITIGROUP INC SR NT 3.057% 01-25-2033**356,583 
CITIGROUP INC SR NT 3.057% 01-25-2033**816,274 
CITIGROUP MTG LN FLTG RT 2.5% DUE 05-25-2051**625,044 
CITIGROUP MTG LN FLTG RT 5% DUE 05-25-2051**344,521 
CITIGROUP MTG LN FLTG RT 5.40878% DUE 11-25-2034**264,713 
CITIZENS AUTO 5.83% DUE 02-15-2028**2,027,133 
CITIZENS AUTO 5.84% DUE 01-18-2028**2,932,005 
CITIZENS AUTO 5.84% DUE 01-18-2028**707,725 
CITIZENS FINL GROUP INC 5.967% 07-23-2032**1,204,465 
CITIZENS FINL GROUP INC COM**12,522,318 
CIVITAS RES INC COM**14,495 
CKD CORP NPV**610,813 
CLAREMONT MCKENNA 3.775% DUE 01-01-2122**1,878,163 
CLASSYS INC KRW100**35,216 
CLEAN HBRS INC COM**7,003,851 
CLEAR SECURE INC CL A CL A**912,553 
CLEARWATER ANALYTICS HLDGS INC CL A CL A**921,299 
CLEV ELEC ILLUM CO 4.55% DUE 11-15-2030**178,227 
CLEVELAND CLIFFS USD0.125**246,355 
CLOROX CO COMMON STOCK USD 1 PAR**736,529 
CLSA GLOBAL MARKET(YUTONG BUS CO LTD A) P-NOTE 24/01/2029**678,068 
CME GROUP INC COM STK**5,855,679 
CME_OIS GOLDUS33 09/16/2026 USD P 3.28% / R 1DSOFR SWU02AB68**448,165 
CME_OIS MSNYUS33 06/24/2035 USD P 3.7% / R 1DSOFR SWU027CR8**188,122 
CME_OIS MSNYUS33 06/24/2055 USD P 3.5% / R 1DSOFR SWU027CT4**238,630 
CME_OIS MSNYUS33 12/21/2052 USD P 1.75% / R 1DSOFR SWU01JI06**3,857,627 
CMO ADJBL RATE MTG TR DUE 09-25-2035 BEO**161,513 
CMO BANK 2017-BNK4 MTG PASS THRU CTF CL A-SB 3.419% DUE 05-15-2050 REG**360,737 
CMO BANK 2022-BNK39 CL A4 2.854% DUE 02-15-2055 BEO**1,759,377 
42

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
CMO BANK 2024-BNK48 SR 24-BNK48 CL AS 5.053% 09-15-2034**3,445,885 
CMO BANK5 SR 23-5YR1 CL A3 6.26% 03-15-2056**12,804,208 
CMO BANK5 SR 24-5YR8 CL A3 5.884% 08-15-2057**1,027,484 
CMO BARCLAYS COMMERCIAL MORTGAGE SR 22-C17 CL A5 4.441% 09-15-2055**3,089,724 
CMO BBCMS MTG TR 2018-C2 MTG PASS THRU CTF CL A-3 4.052% DUE 12-15-2051 REG**7,038,017 
CMO BBCMS MTG TR SER 24-5C31 CL A3 5.6% 12-15-2057**5,733,163 
CMO BBMCS MORTGAGE TRUST SER 23-C19 CL A2A 5.756% 04-15-2056**5,057,422 
CMO BEAR STEARNS ALT-A TR SER 2005-4 CL II-3A-2 DUE 05-25-2035 REG**215,582 
CMO BEAR STEARNS ARM TR 2000-2 MTG PASS THRU CTF CL A-1 VAR RATE 11-25-2030 BEO**6,872 
CMO BEAR STEARNS ARM TR 2002-11 CL I-A-1DUE 02-25-2033/04-25-2006 BEO**76 
CMO BEAR STEARNS ARM TR 2004-10 MTG DUE 01-25-2035**12,465 
CMO BEAR STEARNS ARM TR DUE 02-25-2034 REG**69,022 
CMO BEAR STEARNS STRUCTURED PRODS INC TR200 DUE 12-25-2046 REG**706,134 
CMO BEAR STEARNS STRUCTURED PRODS INC TR200 MTG PASSTHRU CTF CL I-A-1 VAR DUE**15,551 
CMO BENCHMARK 2018-B4 MTG TRSE 2018-B4 CL A3 3.886% DUE 07-15-2051**5,910,796 
CMO BENCHMARK 2019-B11 MTG TR SER 2019-B11 CLS A4 3.2805% 05-15-2052**7,273,711 
CMO BENCHMARK 2020-B16 MTG TR 2.475% 12-15-2057**6,215,597 
CMO BENCHMARK 2022-B32 MTG TR CL A5 2.9089% DUE 01-15-2055 BEO**1,666,357 
CMO BENCHMARK MORTGAGE TRUST SR 24-V11 CL A3 5.909% 11-15-2057**6,712,976 
CMO BENCHMARK SER 19-B14 CL A5 3.0486% DUE 12-15-2061**8,130,308 
CMO BMO MORTGAGE TRUST SER 24-5C5 CLS A3 5.8574% 02-15-2057**2,048,084 
CMO BMO MORTGAGE TRUST SR 24-5C8 CL A3 VAR RT 12-15-2057**4,592,496 
CMO CHASE MTG FIN TR SER 2007-A1 PASSTHRU CTF CL 1-A1 4.366 03-25-37 REG**7,133 
CMO CITIGROUP COML MTG TR 2016-C3 COML MTG CTF CL A-3 2.86% 11-15-2049**5,303,510 
CMO CITIGROUP COML MTG TR 2016-P3 BNDS 3.495% 04-15-2049**976,064 
CMO CITIGROUP COML MTG TR 2016-P5 2.684%DUE 10-10-2049 REG**7,756,875 
CMO CITIGROUP COML MTG TR 2016-P5 COML MTG PASSTHRU CTF CL C DUE 10-10-2049 REG**440,788 
CMO CITIGROUP COML MTG TR 2017-B1 COML MTG CTF CL A-AB 3.243% 08-15-2050**1,148,730 
CMO CITIGROUP COML MTG TR SER 2016-P6 CLS A4 3.458% 12-10-2049**1,402,193 
CMO CITIGROUP MTG LN TR SER 2005-6 CL A1FLT RT DUE 09-25-2035/12-25-2021 BEO**3,076 
CMO CITIGRP COMMERICAL MTG CITIGROUP COML MTG TR 3.127 DUE 04-15-2049 REG**1,776,468 
CMO COMM 2015-LC19 MTG TR SER 15-LC19 CLA4 3.183% DUE 02-10-2048/01-10-2025 REG**625,095 
CMO COMM 2015-LC23 MTG TR CL A-SB 3.598% DUE 10-10-2053 REG**2,622,454 
CMO COMM 2019-GC44 MTG TR SER 19-GC44 CLS A3 2.688% DUE 08-15-2057 REG**5,181,426 
CMO COMM MTG TR COML SER 2015-CRE25 CL A-4 3.759% DUE 08-10-2048 REG**991,962 
CMO CREDIT SUISSE 1ST BSTN MTG SECS CORPSER 2004-8 CL 6A1 4.5 DUE 12-25-2019 REG**8,775 
CMO CSAIL 2015-C4 COML MTG TRUST SR 2015-C4 CL-ASB 3.6167% DUE 11-11-2048**300,095 
CMO CSAIL 2016-C5 COML MTG TR CL A-SB 3.5325% DUE 11-15-2048 REG**1,246,543 
CMO CSMC 2018-J1 TR CL A-2 FLTGE 02-01-2048**18,272 
CMO CWMBS INC SER 2005-11 CL 3-A-1 FLT RT DUE 04-25-2035 REG**252,503 
CMO DBJPM 2016-C1 MTG TR CL A-SB 3.038% DUE 05-10-2049 REG**801,212 
CMO FREMF 2016-K53 MTG TR MTG PASSTHRU CTF CL B 144A DUE 03-25-2049 BEO**2,961,959 
CMO GS MTG SECS CORP 2003-2F CL IIIA-1 6% DUE 03-25-2032 BEO**872 
CMO GS MTG SECS TR 2015-GC30 CL A-4 3.382% DUE 05-10-2050**6,759,182 
CMO GS MTG SECS TR 2015-GS1 CL A-AB 3.553% DUE 11-10-2048 REG**2,144,352 
CMO GS MTG SECS TR 2017-GS7 COML MTG PASSTHRU CTF CL A-4 0 DUE 08-10-2050 REG**4,010,156 
CMO GS MTG SECS TR SER 2016-GS3 CL AAB 2.777% 10-10-2049**155,488 
CMO HARBORVIEW MTG LN TR 2003-1 CL A FLTG RT 05-19-2033**1,814 
43

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
CMO HARBORVIEW MTG LN TR 2005-4 MTG PASSTHRU CTF CL 4-A DUE 07-19-2035 REG**6,077 
CMO HARBORVIEW MTG LN TR 2005-9 CL 2-A-1A DUE 06-20-2035 REG**80,018 
CMO J P MORGAN CHASE 2013-C PASSTHRU CTF CL C 12-15-2047 REG**223,014 
CMO J P MORGAN CHASE CML MTG SECS TR 2016-N PTHRU CTF CL A 144A 10-06-38 BEO**2,547,997 
CMO J P MORGAN MTG TR 2005-A1 MTG PASSTHRU CTF CL 6-T-1 DUE 02-25-2035 REG**36,870 
CMO JJPMDB COML MTG SECS SER 17-C5 CL A4 3.4141% DUE 03-15-2050 REG**5,838,269 
CMO JPMBB COML MTG SECS TR 2015-C28 COML CTF A-4 3.2274 DUE 10-15-2048 REG**441,437 
CMO JPMBB COML MTG SER 15-C32 CL A4 3.3293% DUE 11-15-2048 REG**4,983,826 
CMO JPMCC COML MTG SECS 2015-JP1 CL A4 3.6498% 01-15-2049**3,746,186 
CMO JPMCC COML MTG SECS TR 2016-JP2 2.5589% DUE 08-15-2049 BEO**5,994,871 
CMO JPMCC COML MTG SECS TR 2017-JP7 CL A-3 3.3785% 09-15-2050**246,383 
CMO JPMCC COML MTG SECS TR 2017-JP7 CL A-3 3.3785% 09-15-2050**902,142 
CMO JPMDB COML MTG SECS SR 2017-C7 CL A-5 3.4092% DUE 10-15-2050**5,542,325 
CMO JPMDB COML MTG SECS TR 2020-COR7 SR 20-COR7 CL A-4 1.9152% 05-13-2053**6,955,584 
CMO MASTR ADJ RATE MTGS TR 2003-6 MTG PASSTHRU CTF CL 3-A-1 DUE 12-25-2033 REG**32,735 
CMO MELLON RESDNTL FDG CORP 2000-TBC2 MTG PASSTHRU CTF CL A-1 VAR 05-25-30**35,725 
CMO MERRILL LYNCH MTG INVS INC 2004-A CLA-1 FLTG DUE 04-25-2029 REG**1,336 
CMO MERRILL LYNCH MTG INVS INC SER 2003-C CL A1 6-25-28**21,490 
CMO MERRILL LYNCH MTG INVS INC SER 2005-A5 CL A3 DUE 06-25-2035 REG**1,140,109 
CMO MORGAN STANLEY BK AMER MERRILL LYNCH TR SERIES 2015-C24 3.732% 05-15-2048**4,467,464 
CMO MORGAN STANLEY BK AMER MERRILL TR 2017-C33 CL A-3 3.295% 05-15-2050**6,559,763 
CMO MORGAN STANLEY CAP I TR 2018-H3 CL A-SB 4.12% 07-15-2051**3,096,219 
CMO MORGAN STANLEY CAP I TR SER 2019-L2 CL A4 4.071% 03-15-2052**1,240,816 
CMO MORGAN STANLEY CAP I TR SER-2018-H3 CL-A3 3.919% 07-15-2051 REG**373,116 
CMO MORGAN STANLEY CAPITAL I TRUST SR 2019-H6 CL A2 3.228% 06-15-2052**186,570 
CMO MORGAN STANLEY MTG LN TR 2004-2AR DUE 01-25-2035 REG**28,872 
CMO MORTGAGEIT TR 2005-2 MTG BKD NT CL 1-A-1 ADJ RATE DUE 05-25-2035 REG**48,849 
CMO RESDNTL FDG MTG SECS I INC MTG PASS 2003-S9 CL A-1 6.5 03-25-2032 REG**745 
CMO SER 12-CR4 CL A3 2.853% DUE 10-15-2045 REG**122,097 
CMO SMALL BUSINESS ADMIN GTD DEV PARTN CTF SER 2005-20B CL 1 DUE 02-01-2025 REG**18,041 
CMO SMRT 2022-MINI COML MTG PASSTHRU CTFCL A 144A DUE 01-15-2039 BEO**408,975 
CMO STRUCTU ASST MTG INVTS II INC 2004-AR1 FLT MTG PASS CTF CL IA1 3-19-34**32,012 
CMO STRUCTURED ASSET SECS CORP 2004-4 MTG PASSTHRU CTF 2-A1 DUE 04-25-2034 REG**61,136 
CMO STRUCTURED ASSET SECS CORP 2004-4 MTG PASSTHRU CTF 3-A2 DUE 04-25-2034 REG**209 
CMO STRUCTURED AST MTG INVTS II INC DUE 05-19-2035 REG**1,731,240 
CMO STRUCTURED AST MTG INVTS II INC DUE 07-19-2035 REG**297,776 
CMO STRUCTURED AST SECS CORP 2004-1 MTG PASSTHRU CTF CL 4-A1 DUE 02-25-2034 REG**1,433 
CMO STRUCTURED AST SECS CORP FOR FUTURE IS 2003-31A CL 2-A7 10-25-2033 REG**513,787 
CMO STRUCTURED AST SECS CORP FOR FUTURE IS DUE 06-25-2033 REG**11,324 
CMO STRUCTURED AST SECS CORP SER 2003-22A CL 3-A 4.42 DUE 6-25-2033 REG**26,113 
CMO UBS COML MTG TR SER 2017-C3 CL ASB 3.215% 08-15-2050**2,597,413 
CMO WAMU MTG PASS-THROUGH CTFS 2005-AR2 CL 2A-1A VAR DUE 01-25-2045 REG**382,371 
CMO WAMU MTG PASS-THRU CTFS TR 2002-AR2 MTG PASSTHRU CTF CL A VAR DUE 02-27-2034**377,323 
CMO WELLS FARGO COML MTG SER 15-NXS3 CL ASB 3.371% 09-15-2057**547,773 
CMO WELLS FARGO COML MTG SER 2017-C39 CL ASB 3.212% 09-15-2050**1,151,271 
CMO WELLS FARGO COML MTG TR 2016-NXS5 CL A-6 01-15-2059**3,796,453 
CMO WELLS FARGO COML SER 2015-LC22 CL ASB 3.571% 09-15-2058 REG**534,961 
CMO WELLS FARGO COMMERCIAL MORTGAGE TRU SER 24-5C1 CL A3 5.928% 07-15-2057**13,188,861 
44

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
CMOMORGAN STANLEY BK AMER MERRILL SER 2016-C31 CL A-SB 2.952% 12-15-2025**903,940 
CMS ENERGY CORP COM**2,102,008 
CNA FINL CORP 5.5% 06-15-2033**806,365 
CNH EQUIP TR 2006-B SR 2021-C CL A-3 .81% 11-15-2026**370,630 
CNH EQUIP TR 2022-B ASSET BACKED NT CL A-3 3.89% 08-16-2027**3,149,415 
CNH INDL CAP LLC 3.95% 05-23-2025**1,903,363 
CNH INDL CAP LLC 4.55% 04-10-2028**2,135,423 
CNH INDL CAP LLC 5.1% 04-20-2029**690,094 
CNH INDL CAP LLC 5.45% 10-14-2025**1,274,631 
CNH INDL CAP LLC FIXED 1.45% DUE 07-15-2026**4,801,631 
CNH INDUSTRIAL NV COM STK**8,239,459 
COAL INDIA LTD**5,929,588 
COBANK ACB FXD RATE RESET NON CUM PERP 7.25% 12-31-2049**2,864,008 
COCA COLA CO 5.3% 05-13-2054**193,253 
COCA COLA CO 5.4% 05-13-2064**356,679 
COCA COLA CO COM**2,337,054 
COCA-COLA BOTTLERS NPV**1,344,147 
COCA-COLA CONSOLIDATED INC COM**235,618 
COCA-COLA FEMSA S A B DE C V 1.85% DUE 09-01-2032/09-01-2020 REG**290,513 
COCHLEAR LTD NPV**1,531,676 
CODAN LTD NPV**1,283,421 
CODEXIS INC COM**183,969 
COEUR MNG INC COM NEW COM NEW**653,418 
COFORGE LTD**639,842 
COGECO INC SUB-VTG SHS NPV**75,445 
COGENT COMMUNICATIONS HLDGS INC**3,618,975 
COGNYTE SOFTWARE LTD COM NPV WI**124,413 
COHERENT CORP COM**5,861,040 
COHORT ORD GBP0.10**175,281 
COINBASE GLOBAL INC COM CL A**259,722 
COLGATE-PALM (IND) INR1.00**553,515 
COLGATE-PALMOLIVE CO COM**6,028,515 
COLLEGE AVE STUDENT LNS 2021-B LLC ASSETBACKED NT CL A-2 144A 1.76% 06-25-2052**1,299,922 
COLOMBIA REP 7.5% 02-02-2034**786,800 
COLOPL INC NPV**157,292 
COLRUYT GROUP N.V**262,686 
COLUMBIA BKG SYS INC COM**11,613,598 
COM ALCOA CORPORATION COM USD0.01**309,720 
COM7 PCL THB0.25(NVDR)**521,535 
COMCAST CORP 4.55% 01-15-2029**1,151,569 
COMCAST CORP NEW 2.8% DUE 01-15-2051/05-28-2020 REG**638,164 
COMCAST CORP NEW 2.887% 11-01-2051 BEO**247,670 
COMCAST CORP NEW 3.45% DUE 02-01-2050**685,982 
COMCAST CORP NEW 3.55% DUE 05-01-2028**479,010 
COMCAST CORP NEW 3.75% DUE 04-01-2040**185,162 
COMCAST CORP NEW 3.9% DUE 03-01-2038**765,782 
COMCAST CORP NEW 4% DUE 03-01-2048**456,342 
COMCAST CORP NEW 4.15% DUE 10-15-2028**2,184,894 
45

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
COMCAST CORP NEW 4.2% DUE 08-15-2034**137,287 
COMCAST CORP NEW 4.25% DUE 01-15-2033**93,369 
COMCAST CORP NEW 5.1% 06-01-2029**3,031,868 
COMCAST CORP NEW FIXED 3.4% DUE 04-01-2030**1,757,047 
COMCAST CORP NEW FIXED 3.999% DUE 11-01-2049**423,390 
COMCAST CORP NEW-CL A**28,361,721 
COMERICA INC COM**3,044,690 
COMFORT SYS USA INC COM**7,033,035 
COMM MTG TRUST SER 2015-CR24 CL A-4 3.432% 8-10-2048**4,337,260 
COMM 2015-CCRE22 3.309% DUE 03-10-2048**3,478,655 
COMM 2015-CCRE26 3.359% DUE 10-10-2048**5,546,354 
COMM 2015-CCRE26 3.373% DUE 10-10-2048**279,200 
COMM 2018-HOME MTG VAR RT 3.81507% DUE 04-10-2033**961,669 
COMM 2018-HOME MTG VAR RT 3.81507% DUE 04-10-2033**5,845,441 
COMM 2024-CBM MTG TR COML MTG PASSTHRU CTF CL 5.867% 12-10-2041**233,825 
COMMERCIAL METALS CO COM**1,258,749 
COMMONSPIRIT HEALTH 6.073% 11-01-2027**102,872 
COMMONSPIRIT HLTH 2.782% DUE 10-01-2030**575,289 
COMMONWEALTH EDISON CO 2.95% 08-15-2027**2,302,550 
COMMONWEALTH EDISON CO 4.0% DUE 03-01-2048 REG**175,709 
COMMSCOPE HLDG CO INC COM**374,234 
COMMUNITY FINANCIAL SYSTEM INC**4,558,584 
COMMUNITY HEALTH SYS INC NEW COM**517,354 
COMMVAULT SYS INC COM STK**834,985 
COMP.FIN.RICHEMONT CHF1 (REGD)**12,671,583 
COMPANHIA BRASIL COM NPV**162,081 
COMPASS GROUP ORD GBP0.1105**17,112,085 
COMPASS INC CL A CL A**1,098,267 
COMPUTER AGE MGMT PVT LTD**773,222 
COMPUTERSHARE LTD NPV**2,749,897 
COMTURE CORPORATIO NPV**66,178 
COMWLTH BK 5.071% DUE 09-14-2028**8,497,453 
CONAGRA BRANDS INC 1.375% DUE 11-01-2027**226,991 
CONAGRA BRANDS INC COM USD5**5,322,450 
CONCENTRIX CORP COM USD0.0001**4,852,298 
CONCENTRIX CORP 6.6% 08-02-2028**209,294 
CONDUENT INC COM**160,719 
CONE TR 2024-DFW1 MTG PASSTHRU CTF CL A 144A 5.95359% 08-15-2041**914,550 
CONMED CORP COM**2,576,903 
CONNECTICUT LIGHT & POWER CO 1ST MTG BD 4.65% 01-01-2029**802,984 
CONOCOPHILLIPS 5.3% 05-15-2053**138,923 
CONOCOPHILLIPS CO 5.55% 03-15-2054**1,278,448 
CONOCOPHILLIPS COM**29,997,834 
CONOCOPHILLIPS COMPANY 5.5% 01-15-2055**841,742 
CONS EDISON CO N Y 3.875% DUE 06-15-2047**68,690 
CONS EDISON CO N Y 4.2% DUE 03-15-2042**100,141 
CONS EDISON INC COM**964,130 
CONSOLIDATED EDISON CO N Y INC 4.125% 05-15-2049 REG**118,176 
46

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
CONSTELLATION 4.5% DUE 05-09-2047**496,126 
CONSTELLATION 5.25% DUE 11-15-2048**256,001 
CONSTELLATION BRANDS INC 2.25% DUE 08-01-2031 BEO**1,148,528 
CONSTELLATION BRANDS INC 4.8% 01-15-2029**298,168 
CONSTELLATION BRANDS INC CL A CL A**2,989,909 
CONSTELLATION ENERGY GENERATION LLC 5.6%DUE 03-01-2028**1,998,981 
CONSTELLATION ENERGY GENERATION LLC 5.8%DUE 03-01-2033**562,338 
CONSTELLATION ENERGY GENERATION LLC 6.5%10-01-2053**1,036,795 
CONSTELLIUM SE (FRANCE) EUR0.02 CLASS A**62,031 
CONSTRUTORA TENDA COM NPV**127,866 
CONSUMERS 2023 SECURITIZATION FDG 5.21% 09-01-2031**1,817,976 
CONSUMERS 2023 SECURITIZATION FDG 5.55% 03-01-2028**2,169,752 
CONSUMERS ENERGY 4.05% DUE 05-15-2048**199,235 
CONSUMERS ENERGY CO 4.9% 02-15-2029**5,004,180 
CONSUMERS ENERGY FIXED 3.75% 02-15-2050**113,747 
CONSUN PHARMACEUTI HKD0.1**325,247 
CONTINENTAL AG ORD NPV**849,351 
CONVERGE INFO & CO PHP0.25**78,222 
COOPERATIEVE 3.75% DUE 07-21-2026**489,899 
COOPERATIEVE 4.8% DUE 01-09-2029**1,604,462 
COOPER-STANDARD HOLDING COM**100,127 
COPART INC COM**23,146,363 
CORBION N.V. EUR0.25**289,203 
CORCEPT THERAPEUTICS INC OC-COM CORCEPT THERAPEUTICS**1,319,966 
CORE & MAIN INC COM CL A COM CL A**1,557,846 
COREBRIDGE FINL INC COM**12,189,741 
COREBRIDGE FINL INC SR NT 3.65% 04-05-2027**4,236,843 
CORNING INC 3.9% DUE 11-15-2049**225,168 
CORNING INC COM**5,639,151 
COROMANDEL INTL LTD**67,566 
CORPAY INC COM**817,872 
CORPORACION ANDINA DE FOMENTO 2.25% 02-08-2027**1,012,609 
CORPORACION ANDINA DE FOMENTO 5.0% 01-24-2029**1,414,672 
CORPORATE OFFICE PPTYS L P 2.25% DUE 03-15-2026**77,429 
CORPORATE OFFICE PPTYS L P GTD SR NT 2.75% 04-15-2031**170,707 
CORPORATE OFFICE PPTYS L P GTD SR NT 2.75% 04-15-2031**2,197,851 
CORTEVA INC COM USD0.01 WI**5,844,666 
COSMO PHARMA N.V. EUR0.26 (REGD)**931,619 
COSTAIN GROUP ORD GBP0.01**151,470 
COSTCO WHOLESALE CORP NEW COM**51,110,468 
COTE D'IVOIRE 5.25% NTS 22/03/2030 EUR**588,057 
COTE D'IVOIRE 5.875% SNR 17/10/2031 EUR**583,078 
COTERRA ENERGY INC 4.375% 03-15-2029**2,001,654 
COUCHBASE INC COM**338,615 
COUNTRYWIDE AST-BACKED CERTIFICATES SER 2007-13 RATE 02-25-2036 REG**1,486,837 
COVENANT LOGISTICS GROUP INC CL A**336,708 
COVEO SOLUTIONS IN SUB VTG SHS**53,233 
COWAY CO LTD**128,288 
47

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
CP ALL PUBLIC COMPANY LIMITED THB1(NVDR)**847,165 
CR ACCEP AUTO LN 4.68% DUE 09-15-2034**923,646 
CR ACCEP AUTO LN 4.95% DUE 08-16-2032**1,823,710 
CR ACCEP AUTO LN 5.95% DUE 06-15-2034**1,733,771 
CR ACCEP AUTO LN 6.03% DUE 05-15-2034**2,133,792 
CR ACCEP AUTO LN 6.48% DUE 03-15-2033**1,617,756 
CR ACCEP AUTO LN 7.02% DUE 05-16-2033**2,048,375 
CR ACCEP AUTO LN 7.71% DUE 07-15-2033**1,553,744 
CR SUISSE AG NEW 3.7% DUE 02-21-2025**4,490,999 
CR SUISSE AG NEW YORK BRH MEDIUM TRANCHE# SB 00771 2.95% 04-09-2025**4,715,576 
CREDICORP CAP SOCD 10.1% GTD 15/12/43 PEN1000**447,177 
CREDICORP LTD COM STK**1,644,564 
CREDIT ACCEP AUTO LN TR 2022-3 ASSET BACKED NT CL A 144A 6.57% 10-15-2032**840,231 
CREDIT AGRICOLE CORP & INVT BK NEW YORK CD DTD 11-19-2024 4.6% 11-18-2025**4,205,326 
CREDIT SUISSE AG NEW YORK 1.25% 08-07-2026**236,519 
CREDIT SUISSE AG NEW YORK BRH MEDIUM TER5.0% DUE 07-09-2027**251,490 
CREDIT SUISSE AG NEW YORK BRH MEDIUM TER5.0% DUE 07-09-2027**1,194,075 
CREDIT SUISSE AG NEW YORK BRH MEDIUM TER7.5% DUE 02-15-2028**267,717 
CREDIT SUISSE AG NEW YORK BRH MEDIUM TER7.5% DUE 02-15-2028**326,614 
CREEK & RIVER NPV**61,869 
CRESTLINE DENALI CLO XV LTD / SR SECD NTCL A-R FLTG 144A 5.58478% 04-20-2030**75,985 
CRH SMW FIN DESIGNATED ACTIVITY CO 5.2% 05-21-2029**3,282,739 
CRINETICS PHARMACEUTICALS INC COM**1,982,259 
CRISIL LTD INR1**23,779 
CROMPTON GREAVES C INR2**90,086 
CROWDSTRIKE HLDGS INC CL A CL A**9,862,420 
CROWN CASTLE INC 5.2% 09-01-2029**415,493 
CROWN CASTLE INC 5.6% 06-01-2029**484,046 
CROWN CASTLE INTL 2.25% DUE 01-15-2031**5,624,308 
CROWN CASTLE INTL 3.65% DUE 09-01-2027**1,708,425 
CROWN CASTLE INTL CORP NEW 1.05% DUE 07-15-2026 REG**2,068,118 
CROWN CASTLE TOWERS LLC/CROWN PPN BOND 4.241% 07-15-2028**7,892,942 
CROWN HLDGS INC COM**6,172,312 
CRVNA 2022-P2 B NEW ISSUE 5.08% 04-10-2028**2,388,354 
CRYOPORT INC COM PAR $0.001 COM PAR $0.001**108,018 
CRYSTAL INTL GROUP HKD0.01**245,561 
CS DISCO INC COM**45,409 
CSAIL COML MTG SR 2018-CX11 CL ASB 4.0339% 04-15-2051**2,415,327 
CSAIL 2016-C6 COML 2.8233% DUE 01-15-2049**1,503,578 
CSAIL 2016-C6 COML 2.9599% DUE 01-15-2049**2,207,660 
CSAIL 2017-C8 CL A-SB 3.18574% 06-15-2050**4,044,598 
CSL FIN PLC GTD SR NT 144A 3.85% 04-27-2027**670,880 
CSMC 2021-RPL2 TR FLTG RT 1.11456% DUE 01-25-2060**223,170 
CSMC 2022-RPL4 TR MTG BACKED NT CL A-1 144A 3.90435% 04-25-2062**3,291,538 
CSSC (HK) SHIPPING NPV**49,125 
CSWF 2021-SOP2 FLTG RT 5.49322% DUE 06-15-2034**1,016,645 
CSWF 2021-SOP2 FLTG RT 5.49322% DUE 06-15-2034**4,744,343 
CSWF 2021-SOP2 MTG PASSTHRU CTF CL B 144A 5.79322% 06-15-2034**3,612,069 
48

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
CSX CORP 4.5% 11-15-2052**515,247 
CSX CORP 4.75% DUE 11-15-2048**220,379 
CSX CORP COM STK**17,230,502 
CTS CO LTD NPV**25,856 
CUBESMART L P FIXED 2% DUE 02-15-2031**352,748 
CULLEN / FROST BANKERS INC COM**7,710,917 
CUMMINS INC**15,931,020 
CUMMINS INC 4.9% 02-20-2029**206,271 
CURTISS WRIGHT CORP COM**1,304,857 
CUSTOMERS BANCORP INC COM**1,882,164 
CVR ENERGY INC COM STK**294,499 
CVS HEALTH CORP 3.25% DUE 08-15-2029**1,192,962 
CVS HEALTH CORP 4.3% DUE 03-25-2028**67,812 
CVS HEALTH CORP 4.3% DUE 03-25-2028**1,167,339 
CVS HEALTH CORP 5.125% DUE 07-20-2045**707,197 
CVS HEALTH CORP 5.25% 02-21-2033**767,106 
CVS HEALTH CORP 5.4% 06-01-2029**2,191,004 
CVS HEALTH CORP 5.875% 06-01-2053**165,136 
CVS HEALTH CORP COM**18,026,477 
CWABS INC 2004-6 ASSET BKD CTF CL 1-A-1 FLTG RATE 12-25-2034 REG**1,415,129 
CWABS INC FLTG RT 4.93378% DUE 10-25-2034**4,019,800 
CYBERAGENT INC**1,329,901 
CYBER-ARK SOFTWARE LTD COM ILS0.01**4,027,784 
CYBERPOWER SYSTEMS TWD10**130,351 
CYRELA BRAZIL RLTY S A EMPREENDIMENTOS ECOM NPV**340,332 
CYTOKINETICS INC COMMON STOCK**1,570,666 
CYTOMX THERAPEUTICS INC. COM**14,836 
CZECH(REP OF) 0.95% SNR 15/05/30 CZK10000**109,855 
D AMICO INTL NPV**446,923 
D R HORTON INC 1.3% 10-15-2026**143,003 
D R HORTON INC COM**3,229,982 
DAEDUCK CO LTD**85,280 
DAEYANG ELECTRIC C KRW500**13,879 
DAH SING FINANCIAL NPV**81,030 
DAIHATSU DIESEL NPV**99,274 
DAI-ICHI LIFE HOLD NPV**991,652 
DAIKIN INDUSTRIES NPV**8,358,768 
DAIMLER TRUCKS RETAIL TR 2022-1 ASSET BACKED NT CL A-3 5.23% 02-17-2026**410,035 
DAIMLER TRUCKS RETAIL TR 2022-1 ASSET BACKED NT CL A-4 5.39% 01-15-2030**3,015,332 
DAISHIN SECURITIES 1ST PRF KRW5000**82,054 
DALLAS FT WORTH TEX INTL ARPT REV 4.087%11-01-2051**124,233 
DALLAS TEX TAXABLE-CAP APPREC-SER B DUE 02-15-2027 BEO TAXABLE ZCP**2,617,873 
DANA INC COM**906,119 
DANAHER CORP COM**284,412 
DANAHER CORP SR NT 2.8% 12-10-2051**296,512 
DANSKE BK A/S 1.621% DUE 09-11-2026**1,660,519 
DANSKE BK A/S VAR RT 6.259% DUE 09-22-2026**357,571 
DANSKE BK A/S VAR RT 6.259% DUE 09-22-2026**3,660,430 
49

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
DARDEN RESTAURANTS INC 4.35% 10-15-2027**2,471,380 
DARFON ELECTRONICS TWD10**317,481 
DASSAULT SYSTEMES EUR0.10**4,013,616 
DATADOG INC COM USD0.00001 CL A**19,110,394 
DAVE INC COM USD0.0001 CL A (POST REV SPLIT)**7,123,529 
DAY ONE BIOPHARMACEUTICALS INC COM USD0.0001**148,492 
DAYANG ENTERPRISE NPV**119,048 
DAYFORCE INC**2,201,500 
DBJPM 2020-C9 MTG PASS THRU CTF CL A-3 1.88199996948% 08-15-2053**4,487,499 
DBS GROUP HLDGS NPV**9,119,604 
DC COML MTG TR 6.3143% DUE 09-12-2040**717,625 
DC COML MTG TR 6.3143% DUE 09-12-2040**5,125,890 
DCP MIDSTREAM OPER 5.375% DUE 07-15-2025**1,807,244 
DECKERS OUTDOOR CORP COM**1,792,269 
DEEPAK FERTILISERS INR10**93,814 
DEEPHAVEN RESDNTL 2.205% DUE 01-25-2067**10,385 
DEERE & CO COM**13,690,171 
DEERE JOHN CAP 4.85% DUE 03-05-2027**2,181,499 
DEERE JOHN CAP CORP MEDIUM TERM NTS-BOOK4.95% 07-14-2028**391,748 
DELEK GROUP ILS1**539,967 
DELEK US HLDGS INC NEW COM**2,187,662 
DELIVEROO PLC ORD GBP0.005**425,273 
DELL INTL L L C/EMC CORP 4.9% DUE 10-01-2026**146,425 
DELTA AIR LINES INC DEL COM NEW COM NEW**974,232 
DELTA ELECTRONIC TWD10**1,562,613 
DELUXE CORP COM STK USD1**4,864,350 
DENALI THERAPEUTICS INC COM**165,323 
DENSO CORP NPV**8,266,450 
DENTSPLY SIRONA INC COM**5,344,199 
DESCARTES SYSTEMS COM NPV**352,204 
DESPEGAR COM CORP COM NPV**122,295 
DEUTSCHE BANK AG 1.625% SNR NPF 20/01/27EUR**201,348 
DEUTSCHE BANK AG 1.75%-FRN 19/11/2030 EUR**95,503 
DEUTSCHE BANK AG 5%-FRN GTD 05/09/2030 EUR**330,695 
DEUTSCHE BANK AG NPV(REGD)**2,744,802 
DEUTSCHE BK AG N Y 3.547% DUE 09-18-2031**7,183,939 
DEUTSCHE BK AG N Y BRANCH 4.999% 09-11-2030**1,437,258 
DEUTSCHE BK AG N Y BRANCH 2.311% 11-16-2027**8,205,850 
DEUTSCHE BK AG N Y BRANCH 5.403% 09-11-2035**455,353 
DEUTSCHE BK AG N Y BRANCH 6.819% 11-20-2029**774,467 
DEUTSCHE BK AG N Y BRANCH DUE 11-16-2027BEO**1,053,798 
DEUTSCHE BK AG N Y BRH 1.686% DUE 03-19-2026 BEO**868,185 
DEUTSCHE BK AG N Y FIXED 3.035% DUE 05-28-2032**257,179 
DEUTSCHE BK AG N Y FIXED 3.035% DUE 05-28-2032**857,262 
DEUTSCHE BK AG N Y FLTG RT 2.129% DUE 11-24-2026**3,073,151 
DEUTSCHE BK AG NY 5.706% 02-08-2028**1,101,550 
DEUTSCHE BOERSE AG NPV(REGD)**15,774,531 

50

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
DEVON ENERGY CORP 5.6 DUE 07-15-2041**166,689 
DEVON ENERGY CORP 5.75% 09-15-2054**1,172,822 
DEVON ENERGY CORP FIXED 5% DUE 06-15-2045**142,124 
DEVON ENERGY CORP NEW 4.5% 1-15-2030 BEO**361,884 
DEVON ENERGY CORP NEW COM**4,837,854 
DEVON ENERGY CORPORATION 5.2% 09-15-2034**769,658 
DEXCOM INC COM**5,067,882 
DEYAAR DEVELOPMENT AED1**26,327 
DFI RETAIL GROUP HOLDINGS LTD ORD USD5 5/9 CENTS(SINGAPORE REGD)**89,166 
DFI TWD10**47,721 
DH EUROPE FIN II S FIXED 3.25% 11-15-2039**78,011 
DIAGEO CAP PLC 5.3% DUE 10-24-2027**1,671,235 
DIAGEO PLC ORD GBP0.28 101/108**6,545,750 
DIAGEO PLC SPONSORED ADR NEW**10,987,337 
DIAMONDBACK ENERGY INC 3.125% DUE 03-24-2031 BEO**282,831 
DIAMONDBACK ENERGY INC 3.5% DUE 12-01-2029**3,304,407 
DIAMONDBACK ENERGY INC 5.15% 01-30-2030**3,220,076 
DIAMONDBACK ENERGY INC 5.2% 04-18-2027**1,069,344 
DIAMONDBACK ENERGY INC 5.75% 04-18-2054**188,052 
DIC CORPORATION NPV**1,067,997 
DICKS SPORTING GOODS INC OC-COM OC-COM**423,583 
DIGITAL ARTS INC NPV**42,275 
DIGITAL CORE REIT NPV (REIT)**419,804 
DIGITAL HOLDINGS INC**142,484 
DIGITALOCEAN HLDGS INC COM**4,713,789 
DIOS FASTIGHETER NPV**509,402 
DIRECIONAL ENGENHA COM NPV**291,496 
DISC MEDICINE INC COM**228,240 
DISCOVER BK NEW 3.45% DUE 07-27-2026**293,245 
DISCOVER CARD EXECUTION NT TR SER 23-A2 CL A 4.93% 06-15-2028**1,107,191 
DISCOVER CARD EXECUTION NT TR SR 22-A3 CL A3 3.56% DUE 07-15-2027 REG**1,556,033 
DISCOVER FINL SVCS 3.75% DUE 03-04-2025**982,886 
DISCOVERY 4.125% DUE 05-15-2029**5,901,845 
DISCOVERY LIMITED ZAR0.001**821,915 
DISNEY WALT CO 2.75% DUE 09-01-2049**399,949 
DISNEY WALT CO 3.35% DUE 03-24-2025**1,832,857 
DIVERSIFIED HEALTHCARE TR SHS OF BENEFICIAL INTEREST USD0.01**9,660 
DIXON TECHNOLOGIES (INDIA) PVT LTD INR (POST SUBD)**584,303 
DLF LIMITED INR2**1,121,954 
D-LINK TWD10**237,542 
DNB BK ASA 0.0% CP 11-25-2025**2,819,525 
DNOW INC COM USD0.01**288,237 
DOCEBO INC COM NPV**318,221 
DOCTORS CO AN INTERINSURANCE SURPLUS NT 144A 4.5% 01-18-2032**84,089 
DOGAN SIRKETLER TRY1**303,870 
DOLE PLC COM USD0.01**750,211 
DOLP TR 2021-NYC 2.956% DUE 05-10-2041**1,540,887 
DOMINICAN REP 5.3% 01-21-2041**212,125 
51

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
DOMINICAN REP BD USD 144A 7.05% 02-03-2031**512,000 
DOMINICAN REPUBLIC 4.875% DUE 09-23-2032 REG**178,400 
DOMINICAN REPUBLIC 6.6% 06-01-2036**148,725 
DOMINION ENERGY INC 3.3% DUE 04-15-2041**405,394 
DOMINION ENERGY INC 7.0% 06-01-2054**1,795,173 
DOMINION ENERGY INC COM STK NPV**35,076,702 
DOMINION RES INC 2.85% DUE 08-15-2026**601,850 
DOMO INC CL B CL B**56,059 
DOMS INDUSTRIES INR10**110,197 
DONG-A ST(SCIENCE& KRW5000**75,569 
DONGJIN SEMICHEM C KRW500**21,636 
DONGKOOK PHARMACEU KRW500.00**133,067 
DONGSUNG FINETEC C KRW500**232,159 
DOORDASH INC CL A COM USD0.00001 CLASS A**2,147,703 
DOOSAN ENERBILITY KRW5000**432,578 
DORMAKABA HOLDING CHF0.10 'B'(REGD)**1,062,378 
DORMAN PRODS INC COM**688,817 
DOUBLEVERIFY HLDGS INC COM**2,306,698 
DOUGLAS AG NPV**95,780 
DOUGLAS ELLIMAN INC COM**17,750 
DOVER CORP COM USD1.00**250,821 
DOWDUPONT INC 4.725% DUE 11-15-2028**1,890,599 
DOWDUPONT INC 5.319% DUE 11-15-2038**110,364 
DOWNER EDI LTD NPV**683,328 
DR AUTO 1.47% DUE 01-15-2027**89,070 
DR AUTO 4.5% DUE 09-15-2028**947,196 
DR AUTO 4.52% DUE 07-16-2029**2,481,509 
DR AUTO 4.67% DUE 05-17-2032**890,960 
DR LAL PATHLABS LT INR10**92,696 
DR PEPPER SNAPPLE 2.55% DUE 09-15-2026**51,202 
DRAX GROUP ORD GBP0.1155172**685,764 
DREAM FINDERS HOMES INC COM CL A COM CL A**6,239,059 
DRI HEALTHCARE TR UNITS CAD**52,520 
DRIVE AUTO RECEIVABLES TR SR 24-1 CL B 5.31%01-16-2029**332,409 
DRIVE AUTO RECEIVABLES TRUST SR 24-2 CL D 4.94% 05-17-2032**1,717,496 
DROPBOX INC CL A CL A**2,897,358 
DT AUTO OWNER TR 2021-4 ASSET BACKED NT CL C 144A 1.5% 09-15-2027**897,209 
DT AUTO OWNER TR 2023-1 ASSET BACKED NT CL C 144A 5.55% 10-16-2028**1,858,560 
DT AUTO OWNER TR 5.79% DUE 02-15-2029**3,125,324 
DTE ELEC CO 5.2% DUE 04-01-2033**199,861 
DTE ELEC CO GEN & REF MTG BD SER 2022 3%03-01-2032**3,601,654 
DTE ELEC SECURITIZATION FDG II LLC 6.09%09-01-2037**5,311,817 
DTE ENERGY CO 5.1% 03-01-2029**200,441 
DTE ENERGY CO 5.1% 03-01-2029**1,211,665 
DUBAI ISLAMIC BK AED1**1,579,917 
DUERR AG ORD NPV**97,241 
DUKE ENERGY 3.95% DUE 11-15-2028**1,204,035 
DUKE ENERGY 6.1% DUE 06-01-2037**312,328 
52

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
DUKE ENERGY CAROLINAS LLC 5.4% DUE 01-15-2054**1,385,848 
DUKE ENERGY CORP .9% DUE 09-15-2025**1,875,889 
DUKE ENERGY CORP 2.65% DUE 09-01-2026**1,340,466 
DUKE ENERGY CORP 3.75% 04-01-2031**842,923 
DUKE ENERGY CORP 5% DUE 08-15-2052**393,325 
DUKE ENERGY CORP FIXED 5% DUE 12-08-2025**2,025,145 
DUKE ENERGY CORP NEW 4.85% 01-05-2029**4,040,807 
DUKE ENERGY CORP NEW COM NEW COM NEW**21,585,170 
DUKE ENERGY CORP NEW SR NT 3.3% 06-15-2041**514,439 
DUKE ENERGY FIXED 3.7% DUE 12-01-2047**296,495 
DUKE ENERGY FLA FIXED 2.4% DUE 12-15-2031**1,688,800 
DUKE ENERGY FLA FIXED 3.8% DUE 07-15-2028**7,069,798 
DUKE ENERGY PROGRESS LLC 2.5% DUE 08-15-2050**231,862 
DUNDEE PREC METALS COM NPV**1,494,223 
DUOLINGO INC CL A COM CL A COM**3,198,205 
DUPONT DE NEMOURS INC COMMON STOCK**11,686,456 
DUTCH BROS INC CL A CL A**1,313,743 
DWS GROUP SE NPV**38,823 
DXC TECHNOLOGY CO COM**1,694,704 
DYCOM INDS INC COM**650,288 
E L F BEAUTY INC COM**3,268,569 
E.I.D.-PARRY(INDIA INR1**344,407 
E1 CORPORATION KRW5000**240,706 
EAGLE MATLS INC COM**1,737,437 
EASTERN ENERGY GAS 5.65% 10-15-2054**37,785 
EASTMAN CHEM CO 5.0% 08-01-2029**1,165,190 
EASTN GAS TRANSM & FIXED 3.9% DUE 11-15-2049**69,361 
EASTN GAS TRANSM & FIXED 4.8% DUE 11-01-2043**262,506 
EASYJET ORD GBP0.27285714**540,589 
EATON CORP PLC COM USD0.50**46,841,127 
ECLERX SERVICES INR10**192,411 
ECO WORLD DEVL GRP NPV**314,517 
ECOLAB INC 1.65% 02-01-2027**1,507,847 
ECOLAB INC COM STK USD1**1,784,347 
ECOLAB INC FIXED 2.125% DUE 08-15-2050**375,846 
ECOPETROL S A 8.375% 01-19-2036**867,944 
ECORA RESOURCES PLC**45,151 
ECUADOR(REP OF) 5%-VAR SNR 31/07/2030 USD1**293,010 
ECZACIBASI YATIRIM TRY1**23,177 
EDAN INSTRUMENTS I A CNY1**477,299 
EDENRED EUR2**5,081,456 
EDISON INTL 4.7% DUE 08-15-2025**1,098,955 
EDISON INTL 5.25% 11-15-2028**1,052,297 
EDISON INTL 6.95% DUE 11-15-2029**1,815,113 
EDITAS MEDICINE INC COM**23,904 
EDWARDS LIFESCIENCES CORP 4.3% DUE 06-15-2028**277,929 
EDWARDS LIFESCIENCES CORP COM**9,968,658 
EFMT 2022-4 FLTG RT 5.9% DUE 09-25-2067**3,154,437 
53

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
EIDP INC 4.5% 05-15-2026**1,132,847 
EIS ECZACIBASI ILAC VE SINAI**19,489 
EISAI CO LTD NPV**933,782 
EL PUERTO DE LIVER SER'C1'NPV(NON VTG)**79,321 
ELAN MICROELECTRON TWD10**718,510 
ELASTIC N V COM USD0.01**526,808 
ELECTRIC POWER DEVELOPMENT CO LTD NPV**1,049,028 
ELECTRICAL INDUSTRIES COMPANY SAR10**188,384 
ELEVANCE HEALTH INC**34,569,988 
ELEVANCE HEALTH INC 5.15% 06-15-2029**1,498,618 
ELGI EQUIPMENT LTD INR1**6,677 
ELI LILLY & CO 4.95% 02-27-2063**134,807 
ELI LILLY & CO COM**42,110,284 
ELI LILLY AND COMPANY 4.7% 02-09-2034**2,665,917 
ELI LILLY AND COMPANY 5.0% 02-09-2054**823,063 
ELM CO SAR10**2,431,848 
ELM TR 2024-ELM COML MTG PASSTHRU CTF 144A 6.19505% 06-10-2039**1,513,586 
ELMERA GROUP ASA**210,802 
EMAAR DEVELOPMENT AED1**1,661,441 
EMAAR PROPERTIES AED1**2,558,417 
EMBECTA CORPORATION COM USD0.01 WI**60,298 
EMCOR GROUP INC COM**2,588,592 
EMERA US FIN LP 4.75% DUE 06-15-2046**505,636 
EMERALD RESOURCES NPV**755,398 
EMIRATES NBD BANK AED1**3,083,537 
EMP NAC TELECOMUNI COM NPV**13,738 
EMPIRE CO CLASS'A'N/VTG COM NPV**1,779,159 
EMPIRE DIST BONDCO LLC 5.091% 01-01-2037**6,861,347 
EMPIRIC STUDENT PR GBP0.01**498,564 
EMPLOYERS HLDGS INC COM**206,662 
EN JAPAN INC NPV**64,780 
ENACT HLDGS INC COM**29,790 
ENANTA PHARMACEUTICALS INC COM**78,746 
ENBRIDGE INC 1.6% DUE 10-04-2026 BEO**1,107,214 
ENBRIDGE INC 5.25% 04-05-2027**551,335 
ENBRIDGE INC 5.625% 04-05-2034**754,716 
ENBRIDGE INC 5.7% 03-08-2033**1,010,879 
ENBRIDGE INC 5.95% 04-05-2054**585,092 
ENBRIDGE INC 6.2% 11-15-2030**4,797,564 
ENBRIDGE INC 6.7% 11-15-2053**423,839 
ENCANA CORP 6.5% DUE 08-15-2034**103,709 
ENCOMPASS HEALTH CORP COM USD0.01**2,147,507 
ENEA SA PLN1.00**33,067 
ENERFLEX LTD COM NPV**76,674 
ENERGY TRANSFER 3.75% DUE 05-15-2030**2,397,990 
ENERGY TRANSFER 4.95% DUE 06-15-2028**973,463 
ENERGY TRANSFER 6.25% DUE 04-15-2049**1,334,956 
ENERGY TRANSFER FIXED 5.3% DUE 04-15-2047**177,138 
54

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
ENERGY TRANSFER FIXED 5.5% DUE 06-01-2027**5,104,266 
ENERGY TRANSFER L P 6.1% 12-01-2028**5,966,118 
ENERGY TRANSFER L P 6.4% 12-01-2030**523,062 
ENERGY TRANSFER L P 6.55% 12-01-2033**2,980,868 
ENERGY TRANSFER L P 6.55% 12-01-2033**292,764 
ENERGY TRANSFER LP 5.25% 07-01-2029**2,180,305 
ENERGY TRANSFER LP 5.55% 05-15-2034**537,235 
ENERGY TRANSFER OPER L P 5.0% 05-15-2050**322,829 
ENERGY TRANSFER PARTNERS L P 4.05% DUE 03-15-2025**1,250,566 
ENERGY TRANSFER PARTNERS L P 4.2% 04-15-2027**2,620,653 
ENERPAC TOOL GROUP CORP CL A COM CL A COM**4,034,216 
ENERSYS COM**10,510,215 
ENEVA SA**65,111 
ENGHOUSE SYSTEMS COM NPV**674,443 
ENGIE COMSTK**8,642,253 
ENI SPA EUR1**6,554,086 
ENNOCONN CORPORATI TWD10**382,330 
ENNOSTAR INC TWD10**433,498 
ENOVIS CORPORATION COM USD0.001**917,180 
ENSIGN ENERGY SVS COM NPV**55,738 
ENTEGRIS INC COM**994,265 
ENTERGY ARK LLC 2.65% DUE 06-15-2051**384,012 
ENTERGY CORP NEW FIXED .9% DUE 09-15-2025**1,046,427 
ENTERGY LA LLC 2.4% DUE 10-01-2026**77,018 
ENTERGY LA LLC 3.12% 09-01-2027**91,318 
ENTERGY LA LLC 4.0% 03-15-2033**151,018 
ENTERGY MISS LLC 3.85% DUE 06-01-2049**341,942 
ENTERGY MISSISSIPPI LLC 5.0% 09-01-2033**1,369,310 
ENTERGY TEX INC 3.55% DUE 09-30-2049**211,259 
ENTERGY TEX RESTORATION FDG II LLC 3.697% 12-15-2036**651,934 
ENTERGY TEXAS INC 5.55% 09-15-2054**194,179 
ENTERGY TEXAS INC 5.8% 09-01-2053**220,447 
ENTERPRISE FLEET FING 2021-1 LLC ASSET BACKED NT CL A-3 144A .7% 12-21-2026**1,167,279 
ENTERPRISE PRODS 2.8% DUE 01-31-2030**1,555,340 
ENTERPRISE PRODS 6.65% DUE 10-15-2034**478,474 
ENTERPRISE PRODS FIXED 3.2% 02-15-2052**325,315 
ENTERPRISE PRODS OPER LLC 4.6% 01-11-2027**2,690,538 
ENTERPRISE PRODS OPER LLC 5.55% 02-16-2055**317,985 
ENTERPRISE PRODUCTS OPER L P 3.125% DUE 07-31-2029**3,559,385 
ENTRADA THERAPEUTICS INC COM**34,355 
EOG RESOURCES INC COM**9,837,658 
EPAM SYS INC COM STK**521,652 
EPL LIMITED INR2 (POST SUBDIVISION)**119,390 
EQT CORP COM**1,761,079 
EQUIFAX INC COM**12,835,011 
EQUIFAX INC FIXED 2.6% DUE 12-15-2025**1,874,138 
EQUINIX INC 1.25% DUE 07-15-2025**1,729,984 
EQUINIX INC 1.45% DUE 05-15-2026 BEO**617,823 
55

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
EQUINIX INC 1.55% DUE 03-15-2028**415,229 
EQUINIX INC 1.8% DUE 07-15-2027**3,513,204 
EQUINIX INC 2.5% DUE 05-15-2031 BEO**427,304 
EQUINIX INC 2.9% 11-18-2026**3,351,137 
EQUINIX INC 3.0% DUE 07-15-2050/06-22-2020 REG**612,228 
EQUINIX INC SR NT 2% 05-15-2028**1,301,096 
EQUINOR ASA 2.875% DUE 04-06-2025**4,280,345 
EQUITABLE HLDGS INC COM**1,952,178 
ERG SPA EUR0.10**137,346 
ERICSSON**34,133,689 
ERSTE GROUP BANK AG NPV**6,585,528 
ESAB CORPORATION COM USD0.001 WI**4,443,777 
ESSENT GROUP LTD COM STK**5,416,236 
ESSEX PORTFOLIO L FIXED 1.65% DUE 01-15-2031**260,343 
ESSEX PORTFOLIO L FIXED 2.65% DUE 03-15-2032**253,001 
ESSEX PORTFOLIO L FIXED 2.65% DUE 09-01-2050**252,830 
ESSEX PPTY TR REIT**2,209,306 
ESSILORLUXOTTICA EUR 0.18**10,488,980 
ESSILORLUXOTTICA EUR0.18**744,411 
ETIHAD ETISALAT CO SAR10**2,365,736 
ETSY INC COM**448,825 
EUGENE TECHNOLOGY KRW500**175,736 
EUREKA FORBES LTD INR10**67,720 
EUROCOMMERCIAL EUR10.00**201,008 
EURONET WORLDWIDE INC COM**8,936,796 
EURONEXT EUR1.60**15,035,234 
EUROPEAN UNION 2.875% NTS 05/10/2029 EUR1**3,790,743 
EVA AIRWAYS TWD10**1,502,931 
EVENTBRITE INC COM CL A**205,377 
EVER SUNSHINE SERVICES GROUP LIMITED HKD0.01**173,212 
EVERCORE INC**2,539,615 
EVEREST GROUP LTD**4,426,724 
EVERGREEN MARINE C TWD10**7,370,861 
EVERGY METRO INC 5.4% 04-01-2034**6,209,127 
EVERLIGHT ELECTRON TWD10**321,493 
EVERQUOTE INC CL A COM CL A COM**57,971 
EVERSOURCE ENERGY 2.9% 03-01-2027**3,140,230 
EVERSOURCE ENERGY 4.75% 05-15-2026**3,801,602 
EVERSOURCE ENERGY 5.125% DUE 05-15-2033**534,519 
EVERSOURCE ENERGY 5.45% 03-01-2028**405,215 
EVERSOURCE ENERGY 5.45% 03-01-2028**1,823,470 
EVERUS CONSTR GROUP INC COM**670,256 
EVOLENT HEALTH INC CL A CL A**443,306 
EVOLUTION MINING NPV**437,208 
EVRAZ PLC ORD US0.5**312,934 
EXACT SCIENCES CORP COM**1,186,901 
EXCELERATE ENERGY INC CL A COM CL A COM**8,327,402 
EXELIXIS INC COM STK**1,724,341 
56

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
EXELON CORP 5.15% 03-15-2028**2,162,661 
EXELON CORP 5.15% 03-15-2029**1,883,141 
EXELON CORP 5.6% DUE 03-15-2053**269,901 
EXELON CORP COM**9,486,173 
EXELON GENERATION 5.75% DUE 10-01-2041**48,838 
EXELON GENERATION FIXED 3.25% DUE 06-01-2025**198,701 
EXELON GENERATION SR NT 6.25 DUE 10-01-2039**292,140 
EXETER AUTOMOBILE 1.46% DUE 10-15-2027**12,392 
EXETER AUTOMOBILE 2.56% DUE 06-15-2028**1,657,407 
EXETER AUTOMOBILE 5.57% DUE 09-15-2028**590,309 
EXETER AUTOMOBILE 5.61% DUE 04-17-2028**4,188,463 
EXETER AUTOMOBILE 5.92% DUE 02-15-2030**1,563,322 
EXETER AUTOMOBILE 6.03% DUE 08-16-2027**296,515 
EXETER AUTOMOBILE 6.21% DUE 06-15-2028**2,025,151 
EXETER AUTOMOBILE 6.32% DUE 05-15-2028**4,799,831 
EXETER AUTOMOBILE 6.51% DUE 12-15-2027**3,240,189 
EXETER AUTOMOBILE RECEIVABLES SER 24-1A CL C 5.410% 05-15-2030**624,962 
EXETER AUTOMOBILE RECEIVABLES TR AUTO RECEIVABLES BKD NT CL 5.82% 02-15-2028**1,697,622 
EXETER AUTOMOBILE RECEIVABLES TR SER 24-3A CL C 5.7% 07-16-2029**4,050,563 
EXETER AUTOMOBILE RECEIVABLES TR SR 23-2A CL B 5.61% 09-15-2027**619,144 
EXETER AUTOMOBILE RECEIVABLES TRUST SR 23-2A CL C 5.75% 07-17-2028**4,088,615 
EXIDE INDUSTRIES INR1**399,313 
EXLSERVICE COM INC COM STK**1,878,073 
EXOR NV EUR0.01**257,659 
EXPAND ENERGY CORP**2,420,260 
EXPEDITORS INTL WASH INC COM**2,354,859 
EXPERIAN ORD USD0.10**20,153,676 
EXPORT DEV CANADA 7.13% 11/03/2029 DUAL CURR**297,552 
EXTENDED STAY AMER TR 2021-ESH MTG PASS THRU CTF CL A 144A 5.50648% 07-15-2038**440,671 
EXTENDED STAY AMER TR 2021-ESH MTG PASS THRU CTF CL A 144A 5.50648% 07-15-2038**1,322,012 
EXTENDICARE INC CDA COM**169,997 
EXTRA SPACE FIXED 5.7% 04-01-2028**306,256 
EXTRA SPACE STORAGE INC 2.35% 03-15-2032**449,432 
EXTRA SPACE STORAGE L P SR NT 2.2% 10-15-2030**106,357 
EXTRA SPACE STORAGE L P SR NT 2.4% 10-15-2031**290,826 
EXTRA SPACE STORAGE LP 5.4% 02-01-2034**495,129 
EXXON MOBIL CORP 2.61% DUE 10-15-2030**7,003,775 
EXXON MOBIL CORP 3.095% DUE 08-16-2049**286,943 
EXXON MOBIL CORP 3.452% DUE 04-15-2051 REG**716,100 
EXXON MOBIL CORP COM**42,377,417 
F5 INC COM STK NPV**34,404,868 
FAIR ISAAC CORPORATION COM**374,295 
FAIRFAX FINANCIAL HLDGS LTD 5.625% 08-16-2032**4,807,713 
FAIRFAX FINL HLDGS 2.75% SNR 29/03/2028 EUR**102,313 
FAIRFAX FINL HLDGS LTD USD SR NT 144A 6.1% 03-15-2055**889,259 
FANNIE MAE 1997-89 CL-ZA 7.0% DUE 12-20-2027**22,293 
FANNIE MAE BS9278 4.65% 08-01-2028**1,752,166 
FANNIE MAE BV2859 3% 03-01-2052**55,367 
57

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FANNIE MAE BZ0819 POOL #BZ0819 4.62% 04-01-2029**2,191,583 
FANNIE MAE CB8026 6.5% 02-01-2054**361,858 
FANNIE MAE FN BY9041 6% 08-01-2053**1,697,969 
FANNIE MAE FN CB2629 2.5% 01-01-2052**3,736,795 
FANNIE MAE FNR 2013-34 PF 5.7851% 08-25-2042**915,072 
FANNIE MAE POOL #CB8226 6.5% 03-01-2054**527,967 
FANNIE MAE POOL #FN BZ2693 5.29% 01-01-2036**335,165 
FANNIE MAE POOL FN CB2666 3.00% 3% 01-01-2052**14,352,299 
FANNIE MAE POOL FN DA5981 6.50% 6.5% 01-01-2054**92,881 
FANNIE MAE REMIC SR 015-60 CL-AF FLTG RATE 08-25-2045**555,679 
FANNIE MAE SR 12-104 CL QC 2.5% 05-25-2042**214,624 
FANNIE MAE SR 13-91 CL DV 3.0% 10-25-2026**1,247,554 
FANNIE MAE SR 15-83 CL EV 3.5% 02-25-2027**1,890,802 
FANNIE POOL #BX6719 5.5% 02-01-2053**335,291 
FANNIEMAE-ACES SER 22-M1G CL A1 VAR 01-25-2031**2,874,319 
FARO TECHNOLOGIES INC COM**146,809 
FAST RETAILING CO LTD NPV**5,106,623 
FATE THERAPEUTICS INC COM**100,718 
FED FARM CR BKS CONS SYSTEMWIDE BDS DTD .7% 01-27-2027**5,565,815 
FED FARM CR BKS CONS SYSTEMWIDE BDS DTD 1.3% 02-03-2031**3,161,316 
FED HOME LN MTG 1% DUE 05-15-2041**3,573,246 
FED HOME LN MTG 2.5% DUE 01-01-2052**7,382,674 
FED HOME LN MTG 2.5% DUE 02-01-2051**1,251,094 
FED HOME LN MTG 2.5% DUE 07-01-2050**1,181,161 
FED HOME LN MTG 2.5% DUE 10-01-2035**1,484,103 
FED HOME LN MTG 2.5% DUE 10-01-2050**1,606,401 
FED HOME LN MTG 3% DUE 02-01-2050**2,585,557 
FED HOME LN MTG 3% DUE 03-01-2052**498,884 
FED HOME LN MTG 3.5% DUE 04-01-2050**4,179,898 
FED HOME LN MTG 3.5% DUE 09-01-2032**1,208,575 
FED HOME LN MTG 4% DUE 04-01-2052**1,178,237 
FED HOME LN MTG 4% DUE 04-01-2052**1,670,855 
FED HOME LN MTG 5.5% DUE 09-01-2053**25,797,676 
FED HOME LN MTG 6% DUE 07-01-2053**435,645 
FED HOME LN MTG 6% DUE 12-01-2053**908,398 
FED HOME LN MTG CORP G14239 4 DUE 09-01-2026**5,919 
FED HOME LOAN MTG SR 3981 CL ME 3.0% 01-15-2027**27,649 
FED NATL MTG ASSOC 5% DUE 05-01-2053**192,383 
FEDERAL BANK**216,770 
FEDERAL FARM CR BK 5.0% 03-18-2026**1,829,145 
FEDERAL FARM CR BKS 4.68% 01-21-2027**1,308,434 
FEDERAL FARM CREDIT 2.17% 10-29-2029**2,241,241 
FEDERAL FARM CREDIT BANK 4.94% 08-13-2025**2,929,553 
FEDERAL HOME LN BKS .78% 02-26-2026**14,416,011 
FEDERAL HOME LN BKS 2.18% 11-06-2029**3,132,914 
FEDERAL HOME LN BKS 4.65% 10-09-2026**1,178,634 
FEDERAL HOME LN BKS 4.7% 02-14-2028**7,995,422 
FEDERAL HOME LN BKS CONS BD DTD 01/27/2021 1.61% 01-27-2033**1,785,395 
58

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FEDERAL HOME LN BKS CONS BD DTD 02/12/2021 .55% 02-12-2026**4,791,178 
FEDERAL HOME LN BKS CONS BD DTD 03/03/2021 .9% 03-03-2026**1,827,745 
FEDERAL HOME LN BKS CONS BD DTD 03/04/2021 .8% 03-04-2026**9,062,299 
FEDERAL HOME LN BKS CONS BD DTD 1.57% 06-30-2032**2,378,607 
FEDERAL HOME LN MTG CORP POOL #QD3960 2.0% 01-01-2052**382,671 
FEDERAL HOME LN MTG CORP 2% 01-01-2042**331,675 
FEDERAL HOME LN MTG CORP 2% 11-01-2051**433,666 
FEDERAL HOME LN MTG CORP 2.5% 01-01-2052**438,534 
FEDERAL HOME LN MTG CORP 2.5% 04-01-2037**1,310,758 
FEDERAL HOME LN MTG CORP 3% 04-01-2052**424,599 
FEDERAL HOME LN MTG CORP 3.5% 05-01-2052**205,160 
FEDERAL HOME LN MTG CORP 5.5% 01-01-2053**532,719 
FEDERAL HOME LN MTG CORP 5.5% 07-01-2053**265,643 
FEDERAL HOME LN MTG CORP 6% 12-01-2052**1,074,700 
FEDERAL HOME LN MTG CORP 6.5% 01-01-2053**213,812 
FEDERAL HOME LN MTG CORP 6.5% 01-01-2053**254,050 
FEDERAL HOME LN MTG CORP DTD 10/28/2020 .8% 10-28-2026**10,789,863 
FEDERAL HOME LN MTG CORP MULTICLASS PREASSIGN SER 3019 CL FN 08-15-2035 REG**549,697 
FEDERAL HOME LN MTG CORP MULTICLASS SER 004639 CL KB STEP UP 04-15-2053**1,196,253 
FEDERAL HOME LN MTG CORP MULTICLASS SER 3384 CL FL FLTG RT 11-15-2037**842,393 
FEDERAL HOME LN MTG CORP MULTICLASS SR 2008-25 CL EF VAR 04-25-2038 REG**528,319 
FEDERAL HOME LN MTG CORP MULTICLASS SR 2008-6 CL BF VAR 02-25-2038 REG**732,199 
FEDERAL HOME LN MTG CORP MULTICLASS SR 2410 CL PF VAR 02-15-2032 REG**285,102 
FEDERAL HOME LN MTG CORP MULTICLASS SR 3055 CL CF VAR 10-15-2035 REG**119,999 
FEDERAL HOME LN MTG CORP MULTICLASS SR 3150 CL FA VAR 05-15-2036 REG**640,350 
FEDERAL HOME LN MTG CORP MULTICLASS VAR SR 2012-17 CL FG 03-25-2042 REG**862,938 
FEDERAL HOME LN MTG CORP POOL #2B0646 FLTG RT DUE 07-01-2042 BEO**18,231 
FEDERAL HOME LN MTG CORP POOL #410792 6.707% 02-01-2030 BEO**4,478 
FEDERAL HOME LN MTG CORP POOL #840698 2.491% 03-01-2047 BEO**559 
FEDERAL HOME LN MTG CORP POOL #841076 3.009% 11-01-2048 BEO**3,051,159 
FEDERAL HOME LN MTG CORP POOL #841077 3.047% 11-01-2047 BEO**866,275 
FEDERAL HOME LN MTG CORP POOL #841081 3.107% 02-01-2050 BEO**1,505,768 
FEDERAL HOME LN MTG CORP POOL #846313 FLTG RT 7.303% 02-01-2026 BEO**95 
FEDERAL HOME LN MTG CORP POOL #849407 7.044% 09-01-2037 BEO**78,047 
FEDERAL HOME LN MTG CORP POOL #84-9790 FLTG RT DUE 03-01-2045**508,222 
FEDERAL HOME LN MTG CORP POOL #A39803 5.5% 11-01-2035 BEO**6,935 
FEDERAL HOME LN MTG CORP POOL #A47038 5%09-01-2035 BEO**25,923 
FEDERAL HOME LN MTG CORP POOL #A62378 6%06-01-2037 BEO**4,851 
FEDERAL HOME LN MTG CORP POOL #A63809 6%08-01-2037 BEO**16,474 
FEDERAL HOME LN MTG CORP POOL #A69654 6%12-01-2037 BEO**6,633 
FEDERAL HOME LN MTG CORP POOL #A71410 6%01-01-2038 BEO**173 
FEDERAL HOME LN MTG CORP POOL #A85726 5%04-01-2039 BEO**35,532 
FEDERAL HOME LN MTG CORP POOL #A91235 4.5% 02-01-2040 BEO**80,347 
FEDERAL HOME LN MTG CORP POOL #A93318 5%08-01-2040 BEO**81,749 
FEDERAL HOME LN MTG CORP POOL #A93625 5%08-01-2040 BEO**142,226 
FEDERAL HOME LN MTG CORP POOL #A93652 5%09-01-2040 BEO**8,692 
FEDERAL HOME LN MTG CORP POOL #A93713 5%09-01-2040 BEO**140,744 
FEDERAL HOME LN MTG CORP POOL #A94069 5%09-01-2040 BEO**50,160 
59

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FEDERAL HOME LN MTG CORP POOL #A94132 5%09-01-2040 BEO**1,993 
FEDERAL HOME LN MTG CORP POOL #A94898 4.5% 11-01-2040 BEO**98,952 
FEDERAL HOME LN MTG CORP POOL #A95085 4%11-01-2040 BEO**88,784 
FEDERAL HOME LN MTG CORP POOL #A95519 4.5% 12-01-2040 BEO**30,616 
FEDERAL HOME LN MTG CORP POOL #A95561 4%12-01-2040 BEO**153,151 
FEDERAL HOME LN MTG CORP POOL #A95575 4%12-01-2040 BEO**130,427 
FEDERAL HOME LN MTG CORP POOL #A97040 4%02-01-2041 BEO**90,055 
FEDERAL HOME LN MTG CORP POOL #C01623 5.5% 09-01-2033 BEO**83,826 
FEDERAL HOME LN MTG CORP POOL #C03517 4.5% 09-01-2040 BEO**66,794 
FEDERAL HOME LN MTG CORP POOL #C03520 4%09-01-2040 BEO**436,172 
FEDERAL HOME LN MTG CORP POOL #C03520 4%09-01-2040 BEO**194,174 
FEDERAL HOME LN MTG CORP POOL #C03545 5%08-01-2040 BEO**64,634 
FEDERAL HOME LN MTG CORP POOL #C03613 4%11-01-2040 BEO**77,725 
FEDERAL HOME LN MTG CORP POOL #C03792 3.5% 04-01-2042 BEO**297,042 
FEDERAL HOME LN MTG CORP POOL #C04240 3.5% 09-01-2042 BEO**182,390 
FEDERAL HOME LN MTG CORP POOL #C04422 3%12-01-2042 BEO**217,732 
FEDERAL HOME LN MTG CORP POOL #C09022 3%01-01-2043 BEO**937,529 
FEDERAL HOME LN MTG CORP POOL #C09055 4%12-01-2043 BEO**136,511 
FEDERAL HOME LN MTG CORP POOL #C10542 7%06-01-2028 BEO**733 
FEDERAL HOME LN MTG CORP POOL #C12585 7%07-01-2028 BEO**283 
FEDERAL HOME LN MTG CORP POOL #C14084 7%08-01-2028 BEO**943 
FEDERAL HOME LN MTG CORP POOL #C91161 5%02-01-2028 BEO**2,731 
FEDERAL HOME LN MTG CORP POOL #C91362 4.5% 03-01-2031 BEO**85,951 
FEDERAL HOME LN MTG CORP POOL #C91581 3%11-01-2032 BEO**510,121 
FEDERAL HOME LN MTG CORP POOL #C91589 3.5% 11-01-2032 BEO**99,275 
FEDERAL HOME LN MTG CORP POOL #C91925 3.5% 04-01-2037 BEO**414,518 
FEDERAL HOME LN MTG CORP POOL #C91928 3.5% 05-01-2037 BEO**67,754 
FEDERAL HOME LN MTG CORP POOL #C91942 4%06-01-2037 BEO**5,140 
FEDERAL HOME LN MTG CORP POOL #C91960 3.5% 11-01-2037 BEO**300,418 
FEDERAL HOME LN MTG CORP POOL #D64290 7%10-01-2025 BEO**1,627 
FEDERAL HOME LN MTG CORP POOL #D70703 7%04-01-2026 BEO**1,084 
FEDERAL HOME LN MTG CORP POOL #D75787 8%11-01-2026 BEO**599 
FEDERAL HOME LN MTG CORP POOL #D80177 7%05-01-2027 BEO**1,288 
FEDERAL HOME LN MTG CORP POOL #FR SD8265 4.0% 11-01-2052**2,073,556 
FEDERAL HOME LN MTG CORP POOL #G00561 9.5% 06-01-2025 BEO**
FEDERAL HOME LN MTG CORP POOL #G00704 7%12-01-2026 BEO**412 
FEDERAL HOME LN MTG CORP POOL #G01665 5.5% 03-01-2034 BEO**107,107 
FEDERAL HOME LN MTG CORP POOL #G02031 5.5% 02-01-2036 BEO**32,156 
FEDERAL HOME LN MTG CORP POOL #G02427 5.5% 12-01-2036 BEO**105,333 
FEDERAL HOME LN MTG CORP POOL #G03073 5.5% 07-01-2037 BEO**52,278 
FEDERAL HOME LN MTG CORP POOL #G03233 6%08-01-2037 BEO**2,555 
FEDERAL HOME LN MTG CORP POOL #G03695 5.5% 11-01-2037 BEO**28,164 
FEDERAL HOME LN MTG CORP POOL #G03812 5.5% 02-01-2038 BEO**37,721 
FEDERAL HOME LN MTG CORP POOL #G03819 6%01-01-2038 BEO**15,272 
FEDERAL HOME LN MTG CORP POOL #G04448 5.5% 07-01-2038 BEO**15,447 
FEDERAL HOME LN MTG CORP POOL #G04585 5.5% 02-01-2038 BEO**27,354 
FEDERAL HOME LN MTG CORP POOL #G04588 5.5% 08-01-2038 BEO**16,292 
FEDERAL HOME LN MTG CORP POOL #G04636 5%12-01-2035 BEO**18,557 
60

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FEDERAL HOME LN MTG CORP POOL #G04688 5.5% 09-01-2038 BEO**15,437 
FEDERAL HOME LN MTG CORP POOL #G05179 5.5% 01-01-2039 BEO**19,570 
FEDERAL HOME LN MTG CORP POOL #G05527 4%07-01-2039 BEO**12,404 
FEDERAL HOME LN MTG CORP POOL #G05676 4%11-01-2039 BEO**227,036 
FEDERAL HOME LN MTG CORP POOL #G05726 5%08-01-2039 BEO**50,416 
FEDERAL HOME LN MTG CORP POOL #G05741 4.5% 12-01-2039 BEO**115,951 
FEDERAL HOME LN MTG CORP POOL #G05927 4.5% 07-01-2040 BEO**267,115 
FEDERAL HOME LN MTG CORP POOL #G06021 5.5% 01-01-2040 BEO**42,912 
FEDERAL HOME LN MTG CORP POOL #G06087 5%09-01-2040 BEO**12,217 
FEDERAL HOME LN MTG CORP POOL #G06601 4.5% 12-01-2040 BEO**521,447 
FEDERAL HOME LN MTG CORP POOL #G07032 3%06-01-2042 BEO**259,707 
FEDERAL HOME LN MTG CORP POOL #G07129 3.5% 09-01-2042 BEO**270,829 
FEDERAL HOME LN MTG CORP POOL #G07434 3.5% 07-01-2043 BEO**502,827 
FEDERAL HOME LN MTG CORP POOL #G08273 5.5% 06-01-2038 BEO**11,288 
FEDERAL HOME LN MTG CORP POOL #G08368 4.5% 10-01-2039 BEO**100,010 
FEDERAL HOME LN MTG CORP POOL #G08457 4.5% 08-01-2041 BEO**162,341 
FEDERAL HOME LN MTG CORP POOL #G08521 3%01-01-2043 BEO**155,998 
FEDERAL HOME LN MTG CORP POOL #G08540 3%08-01-2043 BEO**260,563 
FEDERAL HOME LN MTG CORP POOL #G08567 4%01-01-2044 BEO**296,844 
FEDERAL HOME LN MTG CORP POOL #G08624 4%01-01-2045 BEO**393,241 
FEDERAL HOME LN MTG CORP POOL #G08653 3%07-01-2045 BEO**456,371 
FEDERAL HOME LN MTG CORP POOL #G08672 4%10-01-2045 BEO**232,205 
FEDERAL HOME LN MTG CORP POOL #G08681 3.5% 12-01-2045 BEO**832,364 
FEDERAL HOME LN MTG CORP POOL #G08732 3%11-01-2046 BEO**885,101 
FEDERAL HOME LN MTG CORP POOL #G08734 4%11-01-2046 BEO**473,955 
FEDERAL HOME LN MTG CORP POOL #G08741 3%01-01-2047 BEO**581,418 
FEDERAL HOME LN MTG CORP POOL #G08764 4.5% 05-01-2047 BEO**116,119 
FEDERAL HOME LN MTG CORP POOL #G08770 3.5% 07-01-2047 BEO**1,427,920 
FEDERAL HOME LN MTG CORP POOL #G08772 4.5% 07-01-2047 BEO**71,760 
FEDERAL HOME LN MTG CORP POOL #G08785 4%10-01-2047 BEO**139,140 
FEDERAL HOME LN MTG CORP POOL #G08786 4.5% 10-01-2047 BEO**130,320 
FEDERAL HOME LN MTG CORP POOL #G08790 4.5% 11-01-2047 BEO**108,651 
FEDERAL HOME LN MTG CORP POOL #G08792 3.5% 12-01-2047 BEO**1,516,977 
FEDERAL HOME LN MTG CORP POOL #G08809 4%04-01-2048 BEO**55,164 
FEDERAL HOME LN MTG CORP POOL #G08827 4.5% 07-01-2048 BEO**471,840 
FEDERAL HOME LN MTG CORP POOL #G08832 4.5% 08-01-2048 BEO**200,187 
FEDERAL HOME LN MTG CORP POOL #G08862 4%02-01-2049 BEO**2,236,163 
FEDERAL HOME LN MTG CORP POOL #G13825 4%05-01-2025 BEO**7,620 
FEDERAL HOME LN MTG CORP POOL #G13868 4.5% 07-01-2025 BEO**4,125 
FEDERAL HOME LN MTG CORP POOL #G14375 4%07-01-2026 BEO**5,804 
FEDERAL HOME LN MTG CORP POOL #G14517 2.5% 07-01-2027 BEO**828,430 
FEDERAL HOME LN MTG CORP POOL #G14956 2.5% 05-01-2028 BEO**115,539 
FEDERAL HOME LN MTG CORP POOL #G15100 2.5% 07-01-2028 BEO**712,434 
FEDERAL HOME LN MTG CORP POOL #G15252 3%12-01-2029 BEO**173,566 
FEDERAL HOME LN MTG CORP POOL #G15403 3.5% 04-01-2030 BEO**398,492 
FEDERAL HOME LN MTG CORP POOL #G15441 3%03-01-2030 BEO**162,189 
FEDERAL HOME LN MTG CORP POOL #G16015 3%01-01-2032 BEO**167,890 
FEDERAL HOME LN MTG CORP POOL #G16177 2%01-01-2032 BEO**424,138 
61

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FEDERAL HOME LN MTG CORP POOL #G16763 4%02-01-2034 BEO**1,143,839 
FEDERAL HOME LN MTG CORP POOL #G16789 4%02-01-2034 BEO**1,317,264 
FEDERAL HOME LN MTG CORP POOL #G16792 4%03-01-2034 BEO**1,128,059 
FEDERAL HOME LN MTG CORP POOL #G18475 2.5% 08-01-2028 BEO**36,946 
FEDERAL HOME LN MTG CORP POOL #G18552 3%05-01-2030 BEO**254,125 
FEDERAL HOME LN MTG CORP POOL #G18659 3%09-01-2032 BEO**347,095 
FEDERAL HOME LN MTG CORP POOL #G20028 7.5% 12-01-2036 BEO**145,012 
FEDERAL HOME LN MTG CORP POOL #G30591 6%02-01-2028 BEO**5,875 
FEDERAL HOME LN MTG CORP POOL #G31156 5.5% 02-01-2029 BEO**1,144,501 
FEDERAL HOME LN MTG CORP POOL #G60985 3%05-01-2047 BEO**2,139,761 
FEDERAL HOME LN MTG CORP POOL #G61047 4.5% 07-01-2047 BEO**108,590 
FEDERAL HOME LN MTG CORP POOL #G61502 5%02-01-2048 BEO**88,236 
FEDERAL HOME LN MTG CORP POOL #G61638 4%07-01-2048 BEO**305,855 
FEDERAL HOME LN MTG CORP POOL #G61657 5%12-01-2047 BEO**268,886 
FEDERAL HOME LN MTG CORP POOL #G61713 3.5% 01-01-2045 BEO**285,980 
FEDERAL HOME LN MTG CORP POOL #G61739 3%09-01-2048 BEO**1,381,008 
FEDERAL HOME LN MTG CORP POOL #G61909 4.5% 12-01-2037 BEO**631,283 
FEDERAL HOME LN MTG CORP POOL #J12439 4.5% 06-01-2025 BEO**5,109 
FEDERAL HOME LN MTG CORP POOL #J15658 4%06-01-2026 BEO**6,893 
FEDERAL HOME LN MTG CORP POOL #J15719 4%06-01-2026 BEO**35,566 
FEDERAL HOME LN MTG CORP POOL #J16059 4%07-01-2026 BEO**7,457 
FEDERAL HOME LN MTG CORP POOL #J25735 3%09-01-2028 BEO**71,461 
FEDERAL HOME LN MTG CORP POOL #J27464 3.5% 02-01-2029 BEO**139,124 
FEDERAL HOME LN MTG CORP POOL #J31736 3.5% 05-01-2030 BEO**223,491 
FEDERAL HOME LN MTG CORP POOL #J34888 2.5% 07-01-2031 BEO**209,286 
FEDERAL HOME LN MTG CORP POOL #Q04673 4%11-01-2041 BEO**226,981 
FEDERAL HOME LN MTG CORP POOL #Q04674 4%12-01-2041 BEO**2,550 
FEDERAL HOME LN MTG CORP POOL #Q10448 3.5% 08-01-2042 BEO**120,236 
FEDERAL HOME LN MTG CORP POOL #Q19853 3.5% 06-01-2043 BEO**192,072 
FEDERAL HOME LN MTG CORP POOL #Q25703 4.5% 04-01-2044 BEO**237,286 
FEDERAL HOME LN MTG CORP POOL #Q25705 4.5% 04-01-2044 BEO**102,717 
FEDERAL HOME LN MTG CORP POOL #Q56364 4%05-01-2048 BEO**368,045 
FEDERAL HOME LN MTG CORP POOL #QC3242 3%06-01-2051 BEO**227,337 
FEDERAL HOME LN MTG CORP POOL #QD6056 3%02-01-2052 BEO**373,959 
FEDERAL HOME LN MTG CORP POOL #QF8222 6.5% 02-01-2053 BEO**324,150 
FEDERAL HOME LN MTG CORP POOL #QF8298 6.5% 03-01-2053 BEO**123,349 
FEDERAL HOME LN MTG CORP POOL #RA3882 2.0% DUE 11-01-2050 REG**733,651 
FEDERAL HOME LN MTG CORP POOL #RA-3913 2.5% 11-01-2050**4,378,400 
FEDERAL HOME LN MTG CORP POOL #RA4142 2.5% 12-01-2050 BEO**3,162,697 
FEDERAL HOME LN MTG CORP POOL #RA5373 2%DUE 06-01-2051 REG**859,669 
FEDERAL HOME LN MTG CORP POOL #RB5114 2.0% DUE 05-01-2041**243,242 
FEDERAL HOME LN MTG CORP POOL #RB-5131 2.0% 09-01-2041**1,969,508 
FEDERAL HOME LN MTG CORP POOL #RB-5141 2% DUE 01-01-2042 REG**197,607 
FEDERAL HOME LN MTG CORP POOL #RB5153 2%04-01-2042 BEO**611,146 
FEDERAL HOME LN MTG CORP POOL #RBS5145 2.0% 01-01-2042**3,595,014 
FEDERAL HOME LN MTG CORP POOL #RE0014 3.0% 09-01-2050**1,577,287 
FEDERAL HOME LN MTG CORP POOL #RJ0137 5.0%12-01-2053**12,299,794 

62

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FEDERAL HOME LN MTG CORP POOL #S0-6179 3% 09-15-2042 BEO**1,543,922 
FEDERAL HOME LN MTG CORP POOL #S0-6228 3% 09-15-2042 BEO**1,145,373 
FEDERAL HOME LN MTG CORP POOL #SB0258 4% 06-01-2034**1,207,639 
FEDERAL HOME LN MTG CORP POOL #SB8118 1.5% DUE 08-01-2036 REG**2,626,526 
FEDERAL HOME LN MTG CORP POOL #SB8178 4%DUE 09-01-2037 REG**527,089 
FEDERAL HOME LN MTG CORP POOL #SC0093 2.0% 10-01-2040**321,678 
FEDERAL HOME LN MTG CORP POOL #SC0319 2%04-01-2042 BEO**831,509 
FEDERAL HOME LN MTG CORP POOL #SD-0573 2.0% DUE 04-01-2051 REG**202,579 
FEDERAL HOME LN MTG CORP POOL #SD-0615 4.5% 01-01-2051**604,969 
FEDERAL HOME LN MTG CORP POOL #SD0987 4.5% 01-01-2050 BEO**847,325 
FEDERAL HOME LN MTG CORP POOL #SD1439 2%02-01-2052 BEO**1,158,178 
FEDERAL HOME LN MTG CORP POOL #SD1610 4.5% 09-01-2052 BEO**27,818,373 
FEDERAL HOME LN MTG CORP POOL #SD2394 4.5% 11-01-2052 BEO**577,790 
FEDERAL HOME LN MTG CORP POOL #SD3642 6%09-01-2053 BEO**883,107 
FEDERAL HOME LN MTG CORP POOL #SD3737 6%09-01-2053 BEO**637,142 
FEDERAL HOME LN MTG CORP POOL #SD3853 5.5% 08-01-2053 BEO**22,110,690 
FEDERAL HOME LN MTG CORP POOL #SD3942 4.5% 01-01-2053 BEO**3,051,366 
FEDERAL HOME LN MTG CORP POOL #SD3953 3%02-01-2052 BEO**4,164,598 
FEDERAL HOME LN MTG CORP POOL #SD4030 6.5% 10-01-2053 BEO**2,808,766 
FEDERAL HOME LN MTG CORP POOL #SD4115 4.5% 10-01-2052 BEO**2,221,297 
FEDERAL HOME LN MTG CORP POOL #SD4365 5.5% 09-01-2053 BEO**559,864 
FEDERAL HOME LN MTG CORP POOL #SD7554 2.5% 04-01-2052 BEO**6,426,421 
FEDERAL HOME LN MTG CORP POOL #SD7555 3%08-01-2052 BEO**5,616,482 
FEDERAL HOME LN MTG CORP POOL #SD7560 4.0% 02-01-2053**1,811,107 
FEDERAL HOME LN MTG CORP POOL #SD8090 2.0% DUE 08-01-2050**1,454,158 
FEDERAL HOME LN MTG CORP POOL #SD8141 2.5% DUE 03-01-2051 REG**10,824,979 
FEDERAL HOME LN MTG CORP POOL #SD8151 2.5% DUE 06-01-2051 BEO**4,922,100 
FEDERAL HOME LN MTG CORP POOL #SD8156 2.5% DUE 07-01-2051 BEO**692,664 
FEDERAL HOME LN MTG CORP POOL #SD8238 4.5% DUE 07-01-2052 REG**1,746,235 
FEDERAL HOME LN MTG CORP POOL #SD8244 4%DUE 09-01-2052 BEO**22,831,799 
FEDERAL HOME LN MTG CORP POOL #SD8258 5%DUE 10-01-2052 BEO**2,122,903 
FEDERAL HOME LN MTG CORP POOL #SD8267 5%DUE 11-01-2052 BEO**4,252,251 
FEDERAL HOME LN MTG CORP POOL #SD8284 3%01-01-2053 BEO**703,914 
FEDERAL HOME LN MTG CORP POOL #SD8290 6%01-01-2053 BEO**8,214,094 
FEDERAL HOME LN MTG CORP POOL #T45022 2.5% 01-01-2028 BEO**454,365 
FEDERAL HOME LN MTG CORP POOL #T45023 2.5% 02-01-2028 BEO**198,031 
FEDERAL HOME LN MTG CORP POOL #U79041 3%10-01-2029 BEO**1,781,068 
FEDERAL HOME LN MTG CORP POOL #U79065 3.5% 04-01-2030 BEO**195,776 
FEDERAL HOME LN MTG CORP POOL #U80439 3.5% 07-01-2033 BEO**81,464 
FEDERAL HOME LN MTG CORP POOL #U9-0690 3.5 DUE 06-01-2042**50,909 
FEDERAL HOME LN MTG CORP POOL #U92272 4.5% 12-01-2043 BEO**184,856 
FEDERAL HOME LN MTG CORP POOL #U99076 4.5% 12-01-2043 BEO**67,259 
FEDERAL HOME LN MTG CORP POOL #U99076 4.5% 12-01-2043 BEO**1,402,840 
FEDERAL HOME LN MTG CORP POOL #U99084 4.5% 02-01-2044 BEO**1,132,591 
FEDERAL HOME LN MTG CORP POOL #U99091 4.5% 03-01-2044 BEO**82,537 
FEDERAL HOME LN MTG CORP POOL #U99091 4.5% 03-01-2044 BEO**280,626 
FEDERAL HOME LN MTG CORP POOL #ZA2257 3.5% 04-01-2032 BEO**683,612 
FEDERAL HOME LN MTG CORP POOL #ZA2489 3.5% 01-01-2038 BEO**623,413 
63

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FEDERAL HOME LN MTG CORP POOL #ZA3714 3%06-01-2029 BEO**609,273 
FEDERAL HOME LN MTG CORP POOL #ZA5796 4.5% 11-01-2038 BEO**300,116 
FEDERAL HOME LN MTG CORP POOL #ZK4886 2.5% 01-01-2028 BEO**1,068,691 
FEDERAL HOME LN MTG CORP POOL #ZK5602 2.5% 06-01-2028 BEO**1,059,783 
FEDERAL HOME LN MTG CORP POOL #ZM5659 3.5% 02-01-2048 BEO**713,238 
FEDERAL HOME LN MTG CORP POOL #ZM6968 4%06-01-2048 BEO**49,591 
FEDERAL HOME LN MTG CORP POOL #ZS9316 3.5% 01-01-2038 BEO**2,170,161 
FEDERAL HOME LN MTG CORP POOL #ZT0536 3.5% 03-01-2048 BEO**3,237,513 
FEDERAL HOME LN MTG CORP POOL #ZT1257 3%01-01-2046 BEO**307,668 
FEDERAL HOME LN MTG CORP POOL #ZT1561 3%04-01-2031 BEO**2,541,955 
FEDERAL HOME LN MTG CORP POOL #ZT1985 3.5% DUE 02-01-2031 BEO**2,220,437 
FEDERAL HOME LN MTG CORP POOL# QF5465 5.0% 12-01-2052**478,473 
FEDERAL HOME LN MTG CORP POOL#RB5064 2.0% 06-01-2040**519,972 
FEDERAL HOME LN MTG CORP Q15062 3 DUE 02-01-2043**772,303 
FEDERAL HOME LN MTG CORP Q5-2319 3.5% 11-01-2047**538,836 
FEDERAL HOME LN MTG CORP REMIC SER 4042 CL EB 6.5 08-15-2039**364,806 
FEDERAL HOME LN MTG CORP SER 004299 CL GT 4% 03-15-2038**77,261 
FEDERAL HOME LN MTG CORP SER 004569 CL G3.5% DUE 06-15-2042 REG**234,972 
FEDERAL HOME LN MTG CORP SER 004638 CL FA FLTG 07-15-2040**47,501 
FEDERAL HOME LN MTG CORP SER 004752 CL PL 3% 09-15-2046**1,138,106 
FEDERAL HOME LN MTG CORP SER 004879 CL DF 4.85312% 08-15-2034**886,835 
FEDERAL HOME LN MTG CORP SER 004941 CL MB 3% 07-25-2049**945,789 
FEDERAL HOME LN MTG CORP SER 004949 CL CB 3% 05-25-2037**373,592 
FEDERAL HOME LN MTG CORP SER 004989 CL FA 4.99948% 08-15-2040**317,266 
FEDERAL HOME LN MTG CORP SER 004989 CL FA 4.99948% 08-15-2040**846,042 
FEDERAL HOME LN MTG CORP SER 004989 CL FB 4.99948% 10-15-2040**303,427 
FEDERAL HOME LN MTG CORP SER 004989 CL FB 4.99948% 10-15-2040**640,569 
FEDERAL HOME LN MTG CORP SER 005000 CL MA 2% 06-25-2044**757,490 
FEDERAL HOME LN MTG CORP SER 005006 CL KA 2% 06-25-2045**2,152,272 
FEDERAL HOME LN MTG CORP SER 00KJ47 CL A2 5.42999982834% 06-25-2031**3,059,772 
FEDERAL HOME LN MTG CORP SER 2519 CL NU 5.0% 11-15-2032**685,104 
FEDERAL HOME LN MTG CORP SER 2631 CL DA 3.625 06-15-2033**27,817 
FEDERAL HOME LN MTG CORP SER 3221 CL FW 09-15-2036**366,632 
FEDERAL HOME LN MTG CORP SER 3231 CL FA FRN 10-15-2036**289,598 
FEDERAL HOME LN MTG CORP SER 3326 CL FG 4.80312% 06-15-2037**732,811 
FEDERAL HOME LN MTG CORP SER 3361 CL PF FRN 08-15-2035**754,595 
FEDERAL HOME LN MTG CORP SER 3370 CL FC 5.09312% 10-15-2037**733,374 
FEDERAL HOME LN MTG CORP SER 3404 CL FB FRN 01-15-2038**594,129 
FEDERAL HOME LN MTG CORP SER 3616 CL FG FRN 03-15-2032**149,232 
FEDERAL HOME LN MTG CORP SER 3713 CL PA 2.0% 02-15-2040**27,242 
FEDERAL HOME LN MTG CORP SER 3725 CL PD 2.5% 01-15-2040**141,054 
FEDERAL HOME LN MTG CORP SER 3741 CL HF FLTG 11-15-2039**87,872 
FEDERAL HOME LN MTG CORP SER 3786 CL NA 4.5 DUE 07-15-2040 REG**137,294 
FEDERAL HOME LN MTG CORP SER 3925 CL DE 2.0% 07-15-2040**84,684 
FEDERAL HOME LN MTG CORP SER 3954 CL GF 4.95312% 11-15-2041**434,049 
FEDERAL HOME LN MTG CORP SER 3994 CL JA 2.0% 15/03/2040**58,257 
FEDERAL HOME LN MTG CORP SER 4024 CL C 3.0% 03-15-2027**100,750 
FEDERAL HOME LN MTG CORP SER 4120 CL KA 1.75% 10-15-2032**702,082 
64

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FEDERAL HOME LN MTG CORP SER 4125 CL PH 3 08-15-2041**868,262 
FEDERAL HOME LN MTG CORP SER 4205 CL PC 1.75% 01-15-2033**589,299 
FEDERAL HOME LN MTG CORP SER 4205 CL PE 2% 01-15-2033**591,486 
FEDERAL HOME LN MTG CORP SER 4229 CL MA 3.5 05-15-2041 REG**443,006 
FEDERAL HOME LN MTG CORP SER 4231 CL B 2.5% 07-15-2028**1,120,802 
FEDERAL HOME LN MTG CORP SER 4247 CL AK 4.5 12-15-2042**207,642 
FEDERAL HOME LN MTG CORP SER 4374 CL CE 3.5% 12-15-2043**343,385 
FEDERAL HOME LN MTG CORP SER 4508 CL CF FLTG 09-15-2045**2,388,384 
FEDERAL HOME LN MTG CORP SER 4559 CL AF FLTG 03-15-2042 REG**329,887 
FEDERAL HOME LN MTG CORP SER 4637 CL WF FLTG RT 07-15-2041**1,191,035 
FEDERAL HOME LN MTG CORP SER 4678 CL AF FLTG RT 12-15-2042**955,447 
FEDERAL HOME LN MTG CORP SL 4365 CL FH FRN 01-15-2040 REG**1,881,755 
FEDERAL HOME LN MTG CORP SR 3867 CL FB FLTG RT 05-15-2041**514,758 
FEDERAL HOME LN MTG CORP SR 4097 CL KF FLTG 09-15-2031**150,958 
FEDERAL HOME LN MTG CORP SR 4162 CL DA 1.5% 02-15-2028**2,763,449 
FEDERAL HOME LN MTG CORP SR 4254 CL TA 2.5% 10-15-2031**22,245 
FEDERAL HOME LN MTG CORP SR 4387 CL NA 1.5% 09-15-2029**95,847 
FEDERAL HOME LN MTG CORP SR 5353 CL A 6.5% 08-25-2045**3,575,752 
FEDERAL HOME LN MTG CORP SR 5427 CL DA 5.5% 05-25-2045**3,143,048 
FEDERAL HOME LN MTG CORP#SD-8155 2.0% DUE 06-01-2051**1,182,771 
FEDERAL HOME LOAN BANKS 2.5% 11-01-2051**7,814,527 
FEDERAL HOME LOAN BANKS 3% 01-01-2052**2,363,631 
FEDERAL HOME LOAN MORTGAGE CORP POOL #SD2612 4.5% 10-01-2052**1,780,020 
FEDERAL HOME LOAN MORTGAGE CORP #FR SD8288 5.0% 01-01-2053**2,995,897 
FEDERAL HOME LOAN MORTGAGE CORP 1.5% 07-01-2036**1,148,932 
FEDERAL HOME LOAN MORTGAGE CORP 1.5% 08-01-2036**5,583,704 
FEDERAL HOME LOAN MORTGAGE CORP 1.5% 11-01-2050**1,650,072 
FEDERAL HOME LOAN MORTGAGE CORP 2% 01-01-2042**2,401,481 
FEDERAL HOME LOAN MORTGAGE CORP 2% 02-01-2036**1,328,128 
FEDERAL HOME LOAN MORTGAGE CORP 2% 02-01-2042**530,280 
FEDERAL HOME LOAN MORTGAGE CORP 2% 03-01-2041**979,214 
FEDERAL HOME LOAN MORTGAGE CORP 2% 04-01-2042**1,819,997 
FEDERAL HOME LOAN MORTGAGE CORP 2% 04-01-2051**3,642,278 
FEDERAL HOME LOAN MORTGAGE CORP 2% 05-01-2051**2,805,171 
FEDERAL HOME LOAN MORTGAGE CORP 2% 07-01-2036**195,066 
FEDERAL HOME LOAN MORTGAGE CORP 2% 07-01-2041**300,141 
FEDERAL HOME LOAN MORTGAGE CORP 2% 08-01-2041**500,489 
FEDERAL HOME LOAN MORTGAGE CORP 2% 09-01-2040**417,442 
FEDERAL HOME LOAN MORTGAGE CORP 2% 09-01-2041**2,255,541 
FEDERAL HOME LOAN MORTGAGE CORP 2% 12-01-2041**3,945,303 
FEDERAL HOME LOAN MORTGAGE CORP 2.5% 03-01-2042**410,188 
FEDERAL HOME LOAN MORTGAGE CORP 2.5% 08-01-2051**197,847 
FEDERAL HOME LOAN MORTGAGE CORP 2.5% 08-01-2051**244,626 
FEDERAL HOME LOAN MORTGAGE CORP 2.5% 08-01-2051**1,040,723 
FEDERAL HOME LOAN MORTGAGE CORP 3% 02-01-2051**258,217 
FEDERAL HOME LOAN MORTGAGE CORP 3% 03-01-2052**139,919 
FEDERAL HOME LOAN MORTGAGE CORP 3% 04-01-2052**771,931 
FEDERAL HOME LOAN MORTGAGE CORP 3% 05-01-2042**4,646,386 
65

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FEDERAL HOME LOAN MORTGAGE CORP 3.5% 12-01-2050**764,027 
FEDERAL HOME LOAN MORTGAGE CORP 4% 07-01-2050**343,069 
FEDERAL HOME LOAN MORTGAGE CORP 4% 08-01-2053**185,903 
FEDERAL HOME LOAN MORTGAGE CORP 4.5% 03-01-2047**312,679 
FEDERAL HOME LOAN MORTGAGE CORP 4.5% 12-01-2052**6,132,856 
FEDERAL HOME LOAN MORTGAGE CORP 4.5% 12-01-2052**554,022 
FEDERAL HOME LOAN MORTGAGE CORP 4.8% 10-01-2026**2,000,000 
FEDERAL HOME LOAN MORTGAGE CORP 5% 01-01-2053**484,450 
FEDERAL HOME LOAN MORTGAGE CORP 5% 02-01-2053**4,668,249 
FEDERAL HOME LOAN MORTGAGE CORP 5% 06-01-2053**5,899,679 
FEDERAL HOME LOAN MORTGAGE CORP 5% 06-01-2053**38,212,502 
FEDERAL HOME LOAN MORTGAGE CORP 5% 07-01-2052**2,017,754 
FEDERAL HOME LOAN MORTGAGE CORP 5% 09-01-2052**398,438 
FEDERAL HOME LOAN MORTGAGE CORP 5.5% 01-01-2053**887,795 
FEDERAL HOME LOAN MORTGAGE CORP 5.5% 01-01-2053**322,392 
FEDERAL HOME LOAN MORTGAGE CORP 5.5% 02-01-2053**11,340,435 
FEDERAL HOME LOAN MORTGAGE CORP 5.5% 04-01-2053**608,218 
FEDERAL HOME LOAN MORTGAGE CORP 5.5% 05-01-2053**943,310 
FEDERAL HOME LOAN MORTGAGE CORP 5.5% 05-01-2053**656,880 
FEDERAL HOME LOAN MORTGAGE CORP 5.5% 05-01-2053**761,003 
FEDERAL HOME LOAN MORTGAGE CORP 5.5% 06-01-2053**1,165,867 
FEDERAL HOME LOAN MORTGAGE CORP 5.5% 08-01-2053**1,057,123 
FEDERAL HOME LOAN MORTGAGE CORP 5.5% 08-01-2053**363,670 
FEDERAL HOME LOAN MORTGAGE CORP 5.5% 12-01-2052**430,141 
FEDERAL HOME LOAN MORTGAGE CORP 6% 03-01-2053**594,199 
FEDERAL HOME LOAN MORTGAGE CORP 6% 04-01-2054**276,821 
FEDERAL HOME LOAN MORTGAGE CORP 6% 08-01-2054**14,284,368 
FEDERAL HOME LOAN MORTGAGE CORP 6% 10-01-2053**515,742 
FEDERAL HOME LOAN MORTGAGE CORP 6% 12-01-2052**1,237,244 
FEDERAL HOME LOAN MORTGAGE CORP 6.5% 02-01-2053**641,818 
FEDERAL HOME LOAN MORTGAGE CORP 6.5% 04-01-2054**1,055,053 
FEDERAL HOME LOAN MORTGAGE CORP POOL #QB5093 2.5% 11-01-2050 BEO**229,501 
FEDERAL HOME LOAN MORTGAGE CORP POOL #SD0935 3% DUE 04-01-2052 REG**5,095,389 
FEDERAL HOME LOAN MORTGAGE CORP POOL #SD1218 4.0% DUE 07-01-2049 REG**447,730 
FEDERAL HOME LOAN MORTGAGE CORP POOL #SD2511 5.5% DUE 04-01-2053**419,217 
FEDERAL HOME LOAN MORTGAGE CORP SER 00K509 CL A2 4.85% 09-25-2028**4,919,109 
FEDERAL NATIONAL MORTGAGE ASSOC 2% 02-01-2051**198,507 
FEDERAL NATIONAL MORTGAGE ASSOC 2% 02-01-2051**198,432 
FEDERAL NATIONAL MORTGAGE ASSOC 2% 02-01-2051**306,931 
FEDERAL NATIONAL MORTGAGE ASSOC 2% 02-01-2051**348,915 
FEDERAL NATIONAL MORTGAGE ASSOC 2% 02-01-2051**210,227 
FEDERAL NATIONAL MORTGAGE ASSOC 2% 03-01-2051**1,129,912 
FEDERAL NATIONAL MORTGAGE ASSOC 2% 03-01-2051**278,759 
FEDERAL NATIONAL MORTGAGE ASSOC 2% 03-01-2051**258,899 
FEDERAL NATIONAL MORTGAGE ASSOC 2% 03-01-2051**358,668 
FEDERAL NATIONAL MORTGAGE ASSOC 2% 03-01-2051**457,213 
FEDERAL NATIONAL MORTGAGE ASSOC 2% 03-01-2051**276,956 
FEDERAL NATIONAL MORTGAGE ASSOC 2% 11-01-2051**845,903 
66

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FEDERAL NATIONAL MORTGAGE ASSOC 2.5% 01-01-2052**504,689 
FEDERAL NATIONAL MORTGAGE ASSOC 2.5% 02-01-2036**1,746,809 
FEDERAL NATIONAL MORTGAGE ASSOC 2.5% 02-01-2051**292,883 
FEDERAL NATIONAL MORTGAGE ASSOC 2.5% 02-01-2051**356,381 
FEDERAL NATIONAL MORTGAGE ASSOC 2.5% 02-01-2052**204,263 
FEDERAL NATIONAL MORTGAGE ASSOC 2.5% 02-01-2052**439,472 
FEDERAL NATIONAL MORTGAGE ASSOC 2.5% 02-01-2052**862,732 
FEDERAL NATIONAL MORTGAGE ASSOC 2.5% 04-01-2041**650,251 
FEDERAL NATIONAL MORTGAGE ASSOC 2.5% 07-01-2051**378,797 
FEDERAL NATIONAL MORTGAGE ASSOC 2.5% 08-01-2051**297,941 
FEDERAL NATIONAL MORTGAGE ASSOC 2.5% 10-01-2050**5,634,235 
FEDERAL NATIONAL MORTGAGE ASSOC 2.5% 11-01-2041**1,478,433 
FEDERAL NATIONAL MORTGAGE ASSOC 2.5% 11-01-2050**326,634 
FEDERAL NATIONAL MORTGAGE ASSOC 2.5% 12-01-2051**1,193,944 
FEDERAL NATIONAL MORTGAGE ASSOC 3% 01-01-2052**2,994,517 
FEDERAL NATIONAL MORTGAGE ASSOC 3% 01-01-2052**276,643 
FEDERAL NATIONAL MORTGAGE ASSOC 3% 02-01-2052**60,654 
FEDERAL NATIONAL MORTGAGE ASSOC 3% 03-01-2052**228,408 
FEDERAL NATIONAL MORTGAGE ASSOC 3% 05-01-2052**37,441 
FEDERAL NATIONAL MORTGAGE ASSOC 3% 06-01-2052**673,706 
FEDERAL NATIONAL MORTGAGE ASSOC 3% 06-01-2052**727,780 
FEDERAL NATIONAL MORTGAGE ASSOC 3% 06-01-2052**790,802 
FEDERAL NATIONAL MORTGAGE ASSOC 3% 06-01-2052**41,194 
FEDERAL NATIONAL MORTGAGE ASSOC 3% 07-01-2052**1,412,295 
FEDERAL NATIONAL MORTGAGE ASSOC 3% 08-01-2051**28,379 
FEDERAL NATIONAL MORTGAGE ASSOC 3% 10-01-2051**1,324,304 
FEDERAL NATIONAL MORTGAGE ASSOC 3.5% 03-01-2052**1,095,859 
FEDERAL NATIONAL MORTGAGE ASSOC 3.5% 04-01-2052**308,473 
FEDERAL NATIONAL MORTGAGE ASSOC 3.5% 05-01-2052**682,108 
FEDERAL NATIONAL MORTGAGE ASSOC 4% 04-01-2050**1,555,855 
FEDERAL NATIONAL MORTGAGE ASSOC 4% 04-01-2052**333,033 
FEDERAL NATIONAL MORTGAGE ASSOC 4% 07-01-2053**109,731 
FEDERAL NATIONAL MORTGAGE ASSOC 5% 07-01-2052**474,000 
FEDERAL NATIONAL MORTGAGE ASSOC 5% 10-01-2053**1,843,066 
FEDERAL NATIONAL MORTGAGE ASSOC 5.5% 05-01-2053**874,775 
FEDERAL NATIONAL MORTGAGE ASSOC 5.5% 09-01-2053**2,708,883 
FEDERAL NATIONAL MORTGAGE ASSOC 5.5% 11-01-2052**2,213,388 
FEDERAL NATIONAL MORTGAGE ASSOC 6% 09-01-2054**96,520 
FEDERAL NATIONAL MORTGAGE ASSOC 6% 12-01-2052**1,454,814 
FEDERAL NATIONAL MORTGAGE ASSOC 6.5% 01-01-2053**708,181 
FEDERAL NATIONAL MORTGAGE ASSOC FR SER 11-124 CL JF FLTG RT DUE 02-25-2041**123,864 
FEDERAL NATIONAL MORTGAGE ASSOC SER 2016-M11 CL AL 2.944% 07-25-2039**117,918 
FEDERAL NATL MTG ASSN DISC NT 01-02-2025**3,999,067 
FEDERAL NATL MTG ASSN GTD MTG POOL #AH0210 4.5% 12-01-2040 BEO**302,233 
FEDERAL NATL MTG ASSN GTD MTG POOL #AH0864 4% 12-01-2040 BEO**5,571 
FEDERAL NATL MTG ASSN GTD MTG POOL #AH0943 4% DUE 12-01-2040 BEO**351,612 
FEDERAL NATL MTG ASSN GTD MTG POOL #AH1115 4.5% 01-01-2041 BEO**599,053 
FEDERAL NATL MTG ASSN GTD MTG POOL #AH1266 4% 01-01-2041 BEO**79,751 
67

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FEDERAL NATL MTG ASSN GTD MTG POOL #AH1508 4.5% 12-01-2040 BEO**289,007 
FEDERAL NATL MTG ASSN GTD MTG POOL #AH1559 4% 12-01-2040 BEO**180,293 
FEDERAL NATL MTG ASSN GTD MTG POOL #AH1560 4% 01-01-2041 BEO**287,208 
FEDERAL NATL MTG ASSN GTD MTG POOL #AH1565 4.5% 12-01-2040 BEO**107,991 
FEDERAL NATL MTG ASSN GTD MTG POOL #AH2442 4% 01-01-2041 BEO**14,031 
FEDERAL NATL MTG ASSN GTD MTG POOL #AH3203 4% DUE 01-01-2041 BEO**18,446 
FEDERAL NATL MTG ASSN GTD MTG POOL #AH4404 4% 01-01-2041 BEO**286,206 
FEDERAL NATL MTG ASSN GTD MTG POOL #AH6958 ADJ RT DUE 02-01-2041 BEO**38,659 
FEDERAL NATL MTG ASSN GTD MTG POOL #AI1051 4% DUE 06-01-2026 REG**9,596 
FEDERAL NATL MTG ASSN GTD MTG POOL #AI1892 5% 05-01-2041 BEO**206,779 
FEDERAL NATL MTG ASSN GTD MTG POOL #AI7778 4% 07-01-2041 BEO**2,533 
FEDERAL NATL MTG ASSN GTD MTG POOL #AI8630 4% 07-01-2042 BEO**15,212 
FEDERAL NATL MTG ASSN GTD MTG POOL #AI9940 5% 09-01-2041 BEO**179,045 
FEDERAL NATL MTG ASSN GTD MTG POOL #AJ1884 FIXED 3.5% 02-01-2042 BEO**310,189 
FEDERAL NATL MTG ASSN GTD MTG POOL #AJ2288 4% 09-01-2041 BEO**122,900 
FEDERAL NATL MTG ASSN GTD MTG POOL #AJ4051 4% 10-01-2041 BEO**1,429 
FEDERAL NATL MTG ASSN GTD MTG POOL #AJ9317 4% 01-01-2042 BEO**370,020 
FEDERAL NATL MTG ASSN GTD MTG POOL #AJ9982 3.5% 08-01-2042 BEO**684,521 
FEDERAL NATL MTG ASSN GTD MTG POOL #AK0968 3% 02-01-2027 BEO**44,332 
FEDERAL NATL MTG ASSN GTD MTG POOL #AK1140 3% 02-01-2027 BEO**33,245 
FEDERAL NATL MTG ASSN GTD MTG POOL #AK1608 3% 01-01-2027 BEO**27,751 
FEDERAL NATL MTG ASSN GTD MTG POOL #AK5551 FIXED 4% 04-01-2042 BEO**916,524 
FEDERAL NATL MTG ASSN GTD MTG POOL #AK6966 3% 03-01-2027 BEO**44,534 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL0007 5% 12-01-2034 BEO**175,199 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL0009 5.5% 12-01-2034 BEO**162,814 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL0379 8% 12-01-2036 BEO**29,776 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL0533 ADJ RT DUE 07-01-2041 BEO**111,052 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL0998 4.5% 10-01-2041 BEO**104,966 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL1945 3.5% 06-01-2042 BEO**138,499 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL2151 3.5% 03-01-2042 BEO**323,842 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL2389 3.5% 09-01-2042 BEO**296,325 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL2465 3.0% 10-01-2027**993,625 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL3626 4% 09-01-2042 BEO**4,055 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL3797 2.5% 06-01-2028 BEO**453,805 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL4043 3% 09-01-2028 BEO**587,387 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL4324 6.5% 05-01-2040 BEO**690,397 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL4741 4.5% 01-01-2044 BEO**53,271 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL4741 4.5% 01-01-2044 BEO**146,494 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL4895 3.5% 12-01-2028 BEO**286,875 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL4936 3% 03-01-2029 BEO**208,702 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL5232 3.5% 03-01-2029 BEO**480,258 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL5674 4.5% 08-01-2044 BEO**542,457 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL5760 4% 09-01-2043 BEO**12,713 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL6185 3% 10-01-2029 BEO**491,525 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL6605 3% 04-01-2030 BEO**115,555 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL6851 2.5% 10-01-2043 BEO**240,580 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL7204 5% 10-01-2043 BEO**22,883 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL7320 3% 09-01-2030 BEO**169,108 
68

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FEDERAL NATL MTG ASSN GTD MTG POOL #AL7430 3.5% DUE 08-01-2030 REG**386,139 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL9397 3% 10-01-2046 BEO**659,893 
FEDERAL NATL MTG ASSN GTD MTG POOL #AL9546 3.5% 11-01-2046 BEO**369,791 
FEDERAL NATL MTG ASSN SR 2011-59 CL NZ 5.5 DUE 07-25-2041**957,884 
FEDERAL RLTY INVT TR 3.5% DUE 06-01-2030**1,557,205 
FEDERAL SIGNAL CORP COM**6,215,999 
FEDEX CORP 3.25% DUE 04-01-2026**1,471,007 
FEDEX CORP 4.4% DUE 01-15-2047**202,522 
FEDEX CORP 4.95% 10-17-2048**218,501 
FEDEX CORP COM**16,131,462 
FENBI LTD USD0.00001**51,177 
FERGUSON ENTERPRISES INC USD0.0001**2,995,645 
FFNMA SER 2015-38 CL-PG 3.0% 08-25-2044**984,297 
FHLMC CMO SER 2248 CL FB FLTG DUE 09-15-2030 REG**839 
FHLMC FR SD8363 6% 09-01-2053**260,676 
FHLMC GOLD #A53630 A53630 6 10-01-2036**70,289 
FHLMC GOLD #G00473 7.5% DUE 05-01-2026**17 
FHLMC GOLD 3% MBS 01/06/2029 USD'V6-0564' V60564 3 06-01-2029**155,467 
FHLMC GOLD 3% MBS 01/10/2046 USD'G6-7701' G67701 3 10-01-2046**1,218,121 
FHLMC GOLD 3% MBS 01/10/2046 USD'Q4-3413' Q43413 3 10-01-2046**234,461 
FHLMC GOLD 3.5% MBS 01/01/2046 USD'Q3-8490' Q38490 3.5 01-01-2046**1,116,427 
FHLMC GOLD 4.5% MBS 01/02/2048 USD'V8-3956' V83956 4.5 02-01-2048**346,683 
FHLMC GOLD A47999 5 08-01-2035**98,449 
FHLMC GOLD A62077 6 06-01-2037**12,956 
FHLMC GOLD A9-5825 4.0% DUE 12-01-2040**123,088 
FHLMC GOLD A95831 4.5 12-01-2040**242,602 
FHLMC GOLD C00522 7.0% 05-01-2027**597 
FHLMC GOLD C00632 7 07-01-2028**694 
FHLMC GOLD C00987 7.5 05-01-2030**282 
FHLMC GOLD C01116 7.5 01-01-2031**7,212 
FHLMC GOLD C04272 3 10-01-2042**514,448 
FHLMC GOLD C80373 7.5% 01-01-2026**
FHLMC GOLD C80379 7.0% 02-01-2026**304 
FHLMC GOLD C80407 7.0% 06-01-2026**35 
FHLMC GOLD C91908 3 01-01-2037**235,052 
FHLMC GOLD G02408 5.5 12-01-2036**46,919 
FHLMC GOLD G06506 4 12-01-2040**429,428 
FHLMC GOLD G06507 4 02-01-2041**79,082 
FHLMC GOLD G0-7388 3.5 05-01-2043**485,375 
FHLMC GOLD G07762 4.5 06-01-2044**252,742 
FHLMC GOLD G08372 4.5 11-01-2039**97,371 
FHLMC GOLD G08553 3 10-01-2043**36,672 
FHLMC GOLD G08793 4 12-01-2047**68,650 
FHLMC GOLD G67720 4.5 03-01-2049**990,363 
FHLMC GOLD GROUP #C00636 7.5 MTG PARTN CTF DUE 07-01-2028 REG**2,044 
FHLMC GOLD J23935 3 05-01-2028**47,521 
FHLMC GOLD J2-7964 3 04-01-2029**63,273 
FHLMC GOLD J28196 3 05-01-2029**558,775 
69

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FHLMC GOLD J29007 3 08-01-2029**93,439 
FHLMC GOLD J35097 2.5 08-01-2031**191,314 
FHLMC GOLD POOL #G00675 7.5% DUE 03-01-2027**1,063 
FHLMC GOLD POOL #G00869 7.5% DUE 01-01-2028**1,379 
FHLMC GOLD POOL #Q11288 3.5 09-01-2042**115,460 
FHLMC GOLD POOL #Q1-1788 3 DUE 10-01-2042**68,724 
FHLMC GOLD POOL #Q12052 Q12052 3.5 10-01-2042**132,533 
FHLMC GOLD POOL C00984 8 05-01-2030**244 
FHLMC GOLD POOL G0-0529 7.5% DUE 08-01-2026**43 
FHLMC GOLD POOL G01091 7 12-01-2029**4,179 
FHLMC GOLD POOL G67713 4.0% DUE 06-01-2048**4,028,618 
FHLMC GOLD POOL J12398 FLTG RT 4.5% DUE 06-01-2025**2,051 
FHLMC GOLD POOL Q44963 3.5% 12-01-2046**422,471 
FHLMC GOLD POOL# U91254 4 DUE 04-01-2043**278,171 
FHLMC GOLD POOL#Q17792 3.5 DUE 05-01-2043**688,627 
FHLMC GOLD Q08998 3.5 06-01-2042**236,976 
FHLMC GOLD Q12520 3 10-01-2042**30,981 
FHLMC GOLD Q14326 2.5 01-01-2043**308,143 
FHLMC GOLD Q44452 3 11-01-2046**411,973 
FHLMC GOLD Q45458 4 08-01-2046**110,050 
FHLMC GOLD Q48338 4.5 05-01-2047**23,825 
FHLMC GOLD Q49494 4.5% 07-01-2047**119,180 
FHLMC GOLD U90291 4 10-01-2042**43,793 
FHLMC GOLD U90316 4 10-01-2042**494,048 
FHLMC GOLD U91619 4 06-01-2043**271,783 
FHLMC GOLD V60298 3.0% 10-01-2028**75,476 
FHLMC GOLD V60869 2.5 07-01-2030**395,530 
FHLMC GOLDPOOL #Q10241 3.5 08-01-2042**128,568 
FHLMC GROUP #C00516 8.0 MTG PARTN CTF DUE 05-01-2027 REG**416 
FHLMC GROUP #G00825 7.0 MTG PARTN CTF DUE 11-01-2027 REG**87 
FHLMC MULTICLASS SER 4102 CL EG 1.25% 09-15-2027**60,009 
FHLMC MULTICLASS 2.5% DUE 10-15-2033 REG**18,357 
FHLMC MULTICLASS 2005-S001 CTF CL 2A2 VAR RATE 09-25-2045**184,174 
FHLMC MULTICLASS 3.5 07-15-2041**8,946 
FHLMC MULTICLASS 3122 CL FE FLTG 03-15-2036**628,588 
FHLMC MULTICLASS 5.0% DUE 07-15-2033 REG**198,278 
FHLMC MULTICLASS FHLMC #80-0146 10-15-2037**1,103,782 
FHLMC MULTICLASS FREDDIE MAC SER 2017-SR01 CL A3G 3.089% 11-25-2027**2,916,294 
FHLMC MULTICLASS PREASSIGN 00320 4.5 09-15-2034**195,071 
FHLMC MULTICLASS PREASSIGN 00366 5 08-15-2035**162,322 
FHLMC MULTICLASS SER 004281 CL LG 4 01-15-2043**755,618 
FHLMC MULTICLASS SER 004293 CL KG 3.0% DUE 08-15-2043 REG**314,164 
FHLMC MULTICLASS SER 004302 CL HF 01-15-2038**201,275 
FHLMC MULTICLASS SER 004579 CL FD 01-15-2038**124,336 
FHLMC MULTICLASS SER 004582 CL PA 3 11-15-2045**4,608,692 
FHLMC MULTICLASS SER 004711 CL HA 3 12-15-2043**47,995 
FHLMC MULTICLASS SER 004774 CL LP 3.5% 09-15-2046**338,296 
FHLMC MULTICLASS SER 004864 CL TZ 4 12-15-2048**518,381 
70

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FHLMC MULTICLASS SER 004877 CL CA 3 04-15-2034**957,965 
FHLMC MULTICLASS SER 004936 CL AP 2.5 09-25-2048**3,283,722 
FHLMC MULTICLASS SER 005048 CL B 1% 05-25-2033**886,646 
FHLMC MULTICLASS SER 18-4 CL MA 3.5% FIXED UE 11-25-2057 REG**210,082 
FHLMC MULTICLASS SER 19-1 CL MT 3.5% 07-25-2058 REG**554,845 
FHLMC MULTICLASS SER 2113 CL MW 6.5 01-15-2029**23,859 
FHLMC MULTICLASS SER 2135 CL OH 6.5 03-15-2029**24,653 
FHLMC MULTICLASS SER 2175 CL TH 6 07-15-2029**20,706 
FHLMC MULTICLASS SER 2319 CL PZ 6.5 05-15-2031**91,330 
FHLMC MULTICLASS SER 2338 CL ZC 6.5 07-15-2031**37,722 
FHLMC MULTICLASS SER 2430 CL WF 6.5 03-15-2032 REG**15,807 
FHLMC MULTICLASS SER 2663 CL Z 5.5 08-15-2033**285,039 
FHLMC MULTICLASS SER 2792 CL MB 5.5% 05-15-2034**1,949,223 
FHLMC MULTICLASS SER 2980 CL QA 6 05-15-2035**18,927 
FHLMC MULTICLASS SER 3005 CL ED 5 07-15-2025**657 
FHLMC MULTICLASS SER 3108 CL FP 12-15-2035**673,321 
FHLMC MULTICLASS SER 3117 CL FE FLT RT 02-15-2036**191,738 
FHLMC MULTICLASS SER 3153 CL UF 05-15-2036**1,820,245 
FHLMC MULTICLASS SER 3187 CL Z 5 07-15-2036**39,260 
FHLMC MULTICLASS SER 3531 CL FA 05-15-2039**439,858 
FHLMC MULTICLASS SER 3564 CL AL FLT RT 08-15-2036**35,197 
FHLMC MULTICLASS SER 3578 CL VZ 5.5 08-15-2036**175,592 
FHLMC MULTICLASS SER 3648 CL CY 4.5% DUE 03-15-2030**27,990 
FHLMC MULTICLASS SER 3649 CL BW 4 03-15-2025**1,091 
FHLMC MULTICLASS SER 3653 CL HJ 5 04-15-2040**45,818 
FHLMC MULTICLASS SER 3662 CL PJ 5 DUE 04-15-2040**44,011 
FHLMC MULTICLASS SER 3677 CL PB 4.5 DUE 05-15-2040 REG**42,376 
FHLMC MULTICLASS SER 3746 CL KL 3.25 04-15-2040**265,256 
FHLMC MULTICLASS SER 3846 CL KA 3.5 03-15-2026**29,401 
FHLMC MULTICLASS SER 3939 CL BZ 4.5 06-15-2041**504,938 
FHLMC MULTICLASS SER 3956 CL EB 3.25 11-15-2041**513,723 
FHLMC MULTICLASS SER 3966 CL VZ 4 12-15-2041**230,565 
FHLMC MULTICLASS SER 4016 CL CA 2% 07-15-2041**73,612 
FHLMC MULTICLASS SER 4018 CL AL 2.0% 03-15-2027 REG**39,410 
FHLMC MULTICLASS SER 4059 CL DA 2.0% 02-15-2041 REG**69,045 
FHLMC MULTICLASS SER 406 CL F43 FLTG RT 10-25-2053**6,006,265 
FHLMC MULTICLASS SER 4100 CL EC 1.5 DUE 08-15-2027 REG**34,414 
FHLMC MULTICLASS SER 4118 CL PD 1.5 05-15-2042**112,372 
FHLMC MULTICLASS SER 4148 CL JB 1.5 12-15-2027**40,373 
FHLMC MULTICLASS SER 4150 CL FN FLTG 07-15-2041**635,849 
FHLMC MULTICLASS SER 4170 CL TC 1.625 02-15-2028**42,488 
FHLMC MULTICLASS SER 4171 CL NG 2 06-15-2042**307,344 
FHLMC MULTICLASS SER 4176 CL HA 4 DUE 12-15-2042**105,636 
FHLMC MULTICLASS SER 4188 CL AG 2 04-15-2028**16,939 
FHLMC MULTICLASS SER 4198 CL PN 3 02-15-2033**37,300 
FHLMC MULTICLASS SER 4198 CL QP 4.0% 01-15-2033**327,489 
FHLMC MULTICLASS SER 4203 CL DG 2.25% DUE 04-15-2033 REG**146,440 
FHLMC MULTICLASS SER 4261 CL DA 2.5% DUE06-15-2032**46,607 
71

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FHLMC MULTICLASS SER 4268 CL BP 4.25 08-15-2042**953,453 
FHLMC MULTICLASS SER 4281 CL MP 3.75% 12-15-2043**241,558 
FHLMC MULTICLASS SER 4331 CL EA 4 03-15-2043**171,982 
FHLMC MULTICLASS SER 4338 CL A 2.5% 05-15-2044**498,140 
FHLMC MULTICLASS SER 4373 CL PA 3 02-15-2043**289,019 
FHLMC MULTICLASS SER 4374 CL GA 3.0% 09-15-2036**666,707 
FHLMC MULTICLASS SER 4457 CL BA 3.0% DUE07-15-2039**319,368 
FHLMC MULTICLASS SER 4458 CL CB 2.0% 2.0% DUE 11-15-2028 REG**29,772 
FHLMC MULTICLASS SER 4479 CL AG 2 03-15-2026**13,026 
FHLMC MULTICLASS SER 4480 CL EA 3.5 11-15-2043**377,853 
FHLMC MULTICLASS SER 4482 CL CA 3.0% 04-15-2034**749,321 
FHLMC MULTICLASS SER 4631 CL AE 3.5 05-15-2044**1,212,594 
FHLMC MULTICLASS SER 4631 CL VA 3.5% 02-15-2028**636,491 
FHLMC MULTICLASS SER T-34 CL A1V 07-25-2031**2,332,026 
FHLMC MULTICLASS SER T-61 CL 1A1 FLT RT 07-25-2044**200,356 
FHLMC MULTICLASS SER-4777 CL-CB 3.5% 10-15-2045 REG**1,489,514 
FHLMC MULTICLASS SR 18-1 CL A1 3.5% 06-25-2028**575,371 
FHLMC MULTICLASS SR 24-1 CL MT 3 11-25-2063**1,025 
FHLMC MULTICLASS SR 3814 CL B 3 02-15-2026**141,958 
FHLMC MULTICLASS SR 4569 CL JA FLTG 3.0% 03-15-2042**818,953 
FHLMC MULTICLASS SR K506 CL A2 4.65% 08-25-2028**3,790,774 
FHLMC MULTICLASS TRANCHE 00045 2.952 02-25-2027**910,204 
FHLMC MULTICLASS TRANCHE 00112 3.176 11-25-2028**773,068 
FHLMC MULTICLASS TRANCHE 00544 2.2 07-25-2025**239,145 
FHLMC MULTICLASSSER 3613 CL HJ 5.5 DUE 12-15-2039 REG**124,253 
FHLMC POOL #1B8062 ADJ RT 03-01-2041**13,672 
FHLMC POOL #1G1381 ADJ RT 12-01-2036**10,032 
FHLMC POOL #1J1467 ADJ RT 12-01-2036**29,235 
FHLMC POOL #1J1492 ADJ RT 11-01-2036**10,508 
FHLMC POOL #2B4296 ADJ RT 06-01-2045**497,583 
FHLMC POOL #3132D9KK9 6.0% 01-01-2030**2,632,202 
FHLMC POOL #3132DV6Q3 2 07-01-2050**1,114,409 
FHLMC POOL #C00650 7 09-01-2028**492 
FHLMC POOL #G08788 3.5 11-01-2047**142,235 
FHLMC POOL #Q25818 4.5 04-01-2044**829,955 
FHLMC POOL #Q25819 4.5 04-01-2044**773,123 
FHLMC POOL #QA7477 3.0% DUE 03-01-2050**2,073,319 
FHLMC POOL #QC7397 3.0% 09-01-2051**790,754 
FHLMC POOL #QC-9154 3% DUE 10-01-2051 REG**349,712 
FHLMC POOL #QC-9556 2.5% DUE 10-01-2051 REG**688,176 
FHLMC POOL #QE0992 3.0% 04-01-2052**690,804 
FHLMC POOL #QE3984 3.0% 05-01-2052**1,259,415 
FHLMC POOL #QG2979 3.0% 05-01-2053**62,372 
FHLMC POOL #RA1293 3.0% DUE 09-01-2049**902,271 
FHLMC POOL #RA6486 3.0% 12-01-2051**4,818,982 
FHLMC POOL #RA9079 6.5% 05-01-2053**260,498 
FHLMC POOL #RA-9080 6.5% 05-01-2053**318,293 
FHLMC POOL #RA-9081 6.5% 05-01-2053**503,844 
72

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FHLMC POOL #RA9437 5.5% 07-01-2053**441,774 
FHLMC POOL #SB8123 2.0% 09-01-2036**344,649 
FHLMC POOL #SC0405 3.5% 11-01-2038**420,478 
FHLMC POOL #SD0849 2.5% DUE 01-01-2052**511,451 
FHLMC POOL #SD1967 4.0% 10-01-2052**10,522,648 
FHLMC POOL #SD2269 3% 01-01-2052**3,158,768 
FHLMC POOL #SD2723 5.5% 03-01-2053**629,224 
FHLMC POOL #SD5143 6.0% 04-01-2054**1,588,455 
FHLMC POOL #SD5384 5.5% 07-01-2053**479,971 
FHLMC POOL #SD5691 6.0% 06-01-2054**1,105,464 
FHLMC POOL #SD5709 6.0% 07-01-2054**771,520 
FHLMC POOL #SD5876 6.0% 05-01-2054**1,082,169 
FHLMC POOL #SD7509 3.0% DUE 11-01-2049 REG**641,500 
FHLMC POOL #SD-8113 2.0% 11-01-2050**278,095 
FHLMC POOL #SD-8121 2.0% DUE 12-01-2050 REG**3,350,185 
FHLMC POOL #SD8335 3.0% 04-01-2053**98,362 
FHLMC POOL 846661 ADJ RT DUE 02-01-2029**100 
FHLMC POOL SD5416 5.5% 04-01-2054**385,371 
FHLMC POOL# SD2688 5.5% 04-01-2053**869,589 
FHLMC POOL# SD2866 4.0% 07-01-2049**392,745 
FHLMC POOL#SD2981 6.5% 05-01-2053**478,206 
FHLMC SER 3645 CL KP 5 02-15-2040**194,709 
FHLMC SR 5440 CL F FLTG 08-25-2054**2,082,457 
FHLMC SR 5482 CL FC FLTG RT 12-25-2054**875,876 
FHLMC UMBS 20Y FIXED 2% 12-01-2041**1,302,743 
FHLMC UMBS 30Y FIXED 2% 02-01-2051**1,186,054 
FHLMC UMBS 30Y FIXED 2% 02-01-2051**211,295 
FHLMC UMBS 30Y FIXED 2% 03-01-2051**226,110 
FHLMC UMBS 30Y FIXED 2% 03-01-2051**217,706 
FHLMC UMBS 30Y FIXED 2% 03-01-2051**235,527 
FHLMC UMBS 30Y FIXED 2% 11-01-2051**259,304 
FHLMC UMBS 30Y FIXED 2.5% 08-01-2051**1,822,278 
FHLMC UMBS 30Y FIXED 3% 02-01-2052**16,578 
FHLMC UMBS 30Y FIXED 3% 06-01-2050**319,835 
FHLMC UMBS 30Y FIXED 3% 06-01-2052**684,000 
FHLMC UMBS 30Y FIXED 3% 10-01-2052**542,904 
FHLMC UMBS 30Y FIXED 5% 04-01-2053**1,209,317 
FHLMC UMBS 30Y FIXED 6% 04-01-2054**484,938 
FHLMC UMBS 30Y FIXED 6.5% 02-01-2054**962,722 
FHLMC UMBS 30Y FIXED 6.5% 04-01-2053**771,006 
FHLMC UMBS 30Y FIXED 6.5% 04-01-2054**969,779 
FHLMC UMBS 30Y FXD 2.5% DUE 02-01-2052**589,267 
FHLMC UMBS 30Y FXD 5% DUE 02-01-2053**4,459,414 
FIDELIS INSURANCE HOLDINGS LIMITED**368,946 
FIDELITY NATIONAL INFORMATION SERVICES INC 1.15% 03-01-2026**2,018,202 
FIDELITY NATL FINL INC NEW FORMERLY FIDELITY COMMON STOCK**8,593,518 

73

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FIDELITY NATL INFORMATION SVCS INC COM STK**15,338,223 
FIFTH THIRD BANCORP 5.631% 01-29-2032**131,436 
FIFTH THIRD BANCORP 6.339% 07-27-2029**1,281,173 
FIH MOBILE LTD USD0.04**95,222 
FILA HOLDINGS CORP**95,812 
FILTRONIC PLC ORD GBP0.001**43,879 
FINANCIAL PARTNERS GROUP CO LTD NPV**747,881 
FINCANTIERI SPA NPV**1,205,987 
FINNING INTL INC COM NPV**311,246 
FINNVERA PLC SR NT 144A 2.375% DUE 06-04-2025 BEO**396,650 
FIRST AMERN FINL CORP COM STK**6,503,376 
FIRST HORIZON CORPORATION COM**1,090,561 
FIRST INTERNET BANCORP COM STK**78,458 
FIRSTENERGY CORP 1.6% DUE 01-15-2026/06-08-2020 REG**375,986 
FIRSTENERGY CORP 3.9% 07-15-2027**4,469,706 
FIRSTENERGY CORP FIXED 2.25% DUE 09-01-2030**1,655,368 
FIRSTENERGY TRANSMISSION LLC SR NT 144A 4.55% 04-01-2049**138,317 
FIRSTGROUP ORD GBP0.05**643,314 
FIRSTKEY HOMES 2021-SFR1 TR 1.788% 08-17-2038**2,613,267 
FIRSTKEY HOMES 2021-SFR1 TR 2.389% 08-17-2038**1,236,550 
FIRSTSOURCE SOLUTI INR10**88,702 
FISERV INC 3.5% DUE 07-01-2029**6,923,675 
FISERV INC 5.15% 08-12-2034**488,691 
FISERV INC 5.15% 08-12-2034**6,255,245 
FISERV INC 5.15% 03-15-2027**531,172 
FISERV INC 5.375% 08-21-2028**2,280,834 
FISERV INC 5.45% DUE 03-02-2028**1,668,950 
FISERV INC 5.6% DUE 03-02-2033**506,722 
FIT HON TENG LTD COMM STCK**819,000 
FITIPOWER INTEGRATED TECHNOLOGY INC TWD10**127,652 
FIVE 2023-V1 MTG TR COML MTG PASS THRU CTF CL 5.1719% 02-10-2056**6,068,937 
FIVERR INTERNATIONAL LTD COM**936,098 
FJ NEXT HOLDINGS CO LTD NPV**41,644 
FL PWR & LT CO 3.8% DUE 12-15-2042**95,163 
FL PWR & LT CO 3.95% 03-01-2048**157,278 
FL PWR & LT CO 4.05% DUE 06-01-2042**189,745 
FLAGSHIP CR AUTO 1.46% DUE 09-15-2027**2,536,631 
FLAGSHIP CR AUTO 4.03% DUE 12-15-2026**432,902 
FLAGSHIP CR AUTO 5.38% DUE 12-15-2026**38,871 
FLEX INTERMEDIATE HOLDCO SR SECD NT 144A4.317% 12-30-2039**514,723 
FLEX LTD COM USD0.01**869,034 
FLOOR & DECOR HLDGS INC CL A CL A**78,265 
FLORIDA POWER & LIGHT COMPANY 5.05% DUE 04-01-2028**842,110 
FLORIDA PWR & LT CO 4.4% 05-15-2028**1,000,140 
FLORIDA ST BRD ADMIN FIN CORP REV 1.258%07-01-2025**7,496,834 
FLORIDA ST BRD ADMIN FIN CORP REV 5.526%07-01-2034 BEO TAXABLE**3,939,074 
FLOWERS FOODS INC COM**6,028,237 
FLOWSERVE CORP COM**8,869,124 
74

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FLUENCE ENERGY INC CL A CL A**267,451 
FLUGHAFEN ZURICH A CHF10(REGD) POST SPLIT**567,381 
FLUIDRA SA EUR1**84,658 
FLUOR CORP NEW COM**5,875,146 
FLYWIRE CORP COM VTG COM VTG**525,130 
FMC CORP 3.45% DUE 10-01-2029**2,546,357 
FNMA POOL #QA6364 3.5% 01-01-2050**412,625 
FNMA . POOL #AO6482 ADJ RT DUE 07-01-2042 BEO**9,719 
FNMA .81% DUE 09-25-2028**5,235,916 
FNMA 0.5% DUE 06-17-2025 REG**2,934,843 
FNMA 0.87% DUE 08-05-2030**177,506 
FNMA 01/04/2051 POOL #BR7745 2% DUE 04-01-2051 BEO**206,173 
FNMA 2% CMO 25/08/2040 USD'PB' 2 08-25-2040**48,874 
FNMA 2.0% DUE 02-25-2043 REG**202,763 
FNMA 2.5% 11-01-2041**391,597 
FNMA 2.5% DUE 02-01-2036**858,416 
FNMA 2.5% MBS 01/05/2051 USD'BR1001F' POOL #BR1001 2.5% DUE 05-01-2051 BEO**239,879 
FNMA 2004-W1 CL-2A1 6.5% DUE 12-25-2043**51,282 
FNMA 2011-74 CL QM 4.5 11-25-2040**145,074 
FNMA 3% 06-01-2050**442,970 
FNMA 3% DUE 05-01-2052**51,963 
FNMA 3% DUE 05-01-2052**18,217,502 
FNMA 3% DUE 10-01-2050**522,403 
FNMA 3% DUE 12-01-2051**876,201 
FNMA 4% MBS 01/10/2048 USD'CA2472F' POOL#CA2472 4% DUE 10-01-2048 BEO**530,487 
FNMA 4.5% DUE 03-25-2037 BEO**678,048 
FNMA 4.5% MBS 01/04/2049 USD'BN5404F' POOL #BN5404 4.5% DUE 04-01-2049 BEO**473,884 
FNMA 4.5% MBS 01/07/2029 USD'BO1834F' POOL #BO1834 4.5% DUE 07-01-2029 BEO**512,570 
FNMA AR9203 3.5 DUE 03-01-2043**422,034 
FNMA BS9323 4.855% 08-01-2028**1,510,605 
FNMA CMO SER 2002-86 CL PG 6 09-25-2032 BEO**39,775 
FNMA DTD 11/03/2000 6.625 11-15-2030**2,488,023 
FNMA DTD 12/27/2001 ZCP NT 0 DUE 03-17-2031**643,368 
FNMA FLTG RT SER 16-62 CL FH 09-25-2046**1,723,481 
FNMA FLTG RT SER 19-14 CL FA 04-25-2049 REG**1,697,829 
FNMA FNMA # FS5270 5.5% 07-01-2053**873,375 
FNMA FNMA # MA5190 5.5% 11-01-2053**6,240,095 
FNMA FNMA 11-25-2046**582,020 
FNMA FNR 2006-127 CL-FD FLTG RT 07-25-2036**593,632 
FNMA FNR 2007-58 FLTG RT 06-25-2037**561,294 
FNMA FNR 2011-75 ME 3 08-25-2026**30,978 
FNMA FNR 2012-37 BF FLTG RT 12-25-2035**480,202 
FNMA FR CMO 25/02/2037 USD1000'DF' 2007-4 02-25-2037**144,690 
FNMA FR CMO 25/06/2037 USD1000 'EF' '2007-54 06-25-2037**1,459,331 
FNMA FR CMO 25/10/2037 USD1000 A7 10-25-2037**6,956 
FNMA POOL #190353 5% 08-01-2034 BEO**1,842 
FNMA POOL #190357 5% 03-01-2035 BEO**1,429 
FNMA POOL #190360 5% 08-01-2035 BEO**1,112 
75

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #190377 5% 11-01-2036 BEO**48,299 
FNMA POOL #253947 8% DUE 08-01-2031 REG**9,948 
FNMA POOL #254223 7.5% DUE 02-01-2032 REG**100 
FNMA POOL #256901 6.5% 09-01-2037 BEO**1,202 
FNMA POOL #256937 6.5% 10-01-2037 BEO**1,720 
FNMA POOL #257239 5.5% 06-01-2028 BEO**13,731 
FNMA POOL #313947 7% 01-01-2028 BEO**132 
FNMA POOL #330126 7.1% 08-01-2025 BEO**1,061 
FNMA POOL #331427 ADJ RT DUE 11-01-2025 REG**303 
FNMA POOL #347547 ADJ RT DUE 08-01-2026 BEO**38 
FNMA POOL #347633 7.25% 07-01-2026 BEO**2,620 
FNMA POOL #362968 ADJ RT DUE 01-01-2026 REG**1,997 
FNMA POOL #371073 7.5% 02-01-2027 BEO**1,303 
FNMA POOL #396439 7.5% 11-01-2027 BEO**2,691 
FNMA POOL #397256 7.5% 10-01-2027 BEO**140 
FNMA POOL #398754 7.5% 09-01-2027 BEO**1,430 
FNMA POOL #401788 7.5 GTD MTG PASS THRU CTF DUE 10-01-2027 REG**92 
FNMA POOL #479545 7% DUE 08-01-2029 REG**284 
FNMA POOL #503573 7% DUE 10-01-2029 REG**1,092 
FNMA POOL #509662 7% DUE 08-01-2029 REG**235 
FNMA POOL #511384 7% 09-01-2029 BEO**468 
FNMA POOL #515518 7% DUE 10-01-2029 REG**1,744 
FNMA POOL #523486 8% DUE 08-01-2030 REG**370 
FNMA POOL #534194 8% DUE 04-01-2030 REG**458 
FNMA POOL #545204 ADJ RT DUE 05-01-2036 REG**3,304 
FNMA POOL #545278 7.5% DUE 11-01-2031 REG**14,036 
FNMA POOL #554482 7.5% 10-01-2030 BEO**15,876 
FNMA POOL #593848 8% 07-01-2031 BEO**11,860 
FNMA POOL #602065 7% DUE 09-01-2031 REG**14,002 
FNMA POOL #60680 ADJ RT DUE 02-01-2028 REG**1,700 
FNMA POOL #609504 7% DUE 10-01-2031 REG**39,921 
FNMA POOL #725946 5.5% 11-01-2034 BEO**25,319 
FNMA POOL #735061 6% 11-01-2034 BEO**279,075 
FNMA POOL #735382 5% 04-01-2035 BEO**181,059 
FNMA POOL #735500 5.5% 05-01-2035 BEO**264,131 
FNMA POOL #735501 6% 05-01-2035 BEO**63,936 
FNMA POOL #735503 6% 04-01-2035 BEO**80,365 
FNMA POOL #735561 FLTG DUE 04-01-2034**25,126 
FNMA POOL #735580 5% 06-01-2035 BEO**86,155 
FNMA POOL #735676 5% 07-01-2035 BEO**59,996 
FNMA POOL #735893 5% 10-01-2035 BEO**24,794 
FNMA POOL #735989 5.5% 02-01-2035 BEO**368,084 
FNMA POOL #745140 5% 11-01-2035 BEO**347,124 
FNMA POOL #745327 6% DUE 03-01-2036 REG**42,072 
FNMA POOL #745412 5.5% 12-01-2035 BEO**203,408 
FNMA POOL #745885 6% 10-01-2036 BEO**129,694 
FNMA POOL #745948 6.5% DUE 10-01-2036 BEO**13,761 
FNMA POOL #813599 ADJ RT DUE 01-01-2036 BEO**21,523 
76

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #831561 6.5% 05-01-2036 BEO**4,531 
FNMA POOL #833600 6.5% DUE 11-01-2035 REG**2,127 
FNMA POOL #836464 ADJ RT DUE 10-01-2035 BEO**12,864 
FNMA POOL #836852 ADJ RT DUE 10-01-2035 BEO**7,944 
FNMA POOL #843823 ADJ RT DUE 11-01-2035 BEO**6,817 
FNMA POOL #843997 6.504% 11-01-2035 BEO**2,585 
FNMA POOL #844052 4.065 11-01-2035 BEO**1,669 
FNMA POOL #844148 6.573% 11-01-2035 BEO**3,282 
FNMA POOL #844237 ADJ RT DUE 11-01-2035 BEO**2,512 
FNMA POOL #844789 6.558% 11-01-2035 BEO**4,035 
FNMA POOL #866888 ADJ RT DUE 01-01-2036 BEO**4,667 
FNMA POOL #879067 ADJ RT DUE 04-01-2036 BEO**98,946 
FNMA POOL #880870 6.5% 03-01-2036 BEO**9,593 
FNMA POOL #884773 ADJ RT DUE 10-01-2036 BEO**53,162 
FNMA POOL #888637 6% 09-01-2037 BEO**21,288 
FNMA POOL #888890 6.5% DUE 10-01-2037 BEO**40,078 
FNMA POOL #888893 5.5% 08-01-2037 BEO**9,345 
FNMA POOL #889072 6.5% 12-01-2037 BEO**45,970 
FNMA POOL #889190 6% 03-01-2038 BEO**17,896 
FNMA POOL #889579 6% DUE 05-01-2038 REG**291,435 
FNMA POOL #890236 4.5% 08-01-2040 BEO**17,283 
FNMA POOL #890268 6.5% 10-01-2038 BEO**65,115 
FNMA POOL #890594 3% 01-01-2029 BEO**60,213 
FNMA POOL #890604 4.5% 10-01-2044 BEO**690,038 
FNMA POOL #890827 3.5% 12-01-2037 BEO**121,589 
FNMA POOL #890843 3% 09-01-2047 BEO**2,538,722 
FNMA POOL #891654 6.5% DUE 06-01-2036 REG**71,099 
FNMA POOL #902425 ADJ RT DUE 11-01-2036**9,686 
FNMA POOL #903261 6% 10-01-2036 BEO**1,415 
FNMA POOL #906666 6.5% 12-01-2036 BEO**2,813 
FNMA POOL #908172 6.5% DUE 01-01-2037 REG**429 
FNMA POOL #914875 6.5% DUE 04-01-2037 REG**65,180 
FNMA POOL #918653 6% 06-01-2037 BEO**739 
FNMA POOL #928746 6.5% DUE 09-01-2037 REG**4,312 
FNMA POOL #929298 5% 03-01-2038 BEO**5,615 
FNMA POOL #931307 4.5% 06-01-2039 BEO**83,289 
FNMA POOL #931991 4.5% 09-01-2039 BEO**127,170 
FNMA POOL #932058 4.5% 10-01-2039 BEO**67,073 
FNMA POOL #932426 4.5% 01-01-2040 BEO**407,035 
FNMA POOL #932495 4.5% 02-01-2040 BEO**33,648 
FNMA POOL #932669 4.5% 03-01-2040 BEO**2,184 
FNMA POOL #932850 4% 12-01-2040 BEO**52,753 
FNMA POOL #933409 5% 03-01-2038 BEO**4,005 
FNMA POOL #933638 ADJ RT DUE 08-01-2038 BEO**25,985 
FNMA POOL #942798 6.5% DUE 08-01-2037 REG**13,301 
FNMA POOL #943699 6.5% DUE 08-01-2037 REG**6,810 
FNMA POOL #946065 6.5% 09-01-2037 BEO**7,522 
FNMA POOL #948849 6% 08-01-2037 BEO**15,662 
77

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #955762 6.5% 10-01-2037 BEO**2,838 
FNMA POOL #962062 5% 03-01-2038 BEO**5,858 
FNMA POOL #962444 5% DUE 04-01-2038 BEO**8,283 
FNMA POOL #971053 4.5% 02-01-2039 BEO**8,938 
FNMA POOL #972571 5% 03-01-2038 BEO**11,561 
FNMA POOL #972572 5% DUE 03-01-2038 REG**791 
FNMA POOL #973161 6.5% 02-01-2038 BEO**43,343 
FNMA POOL #975184 5% 03-01-2038 BEO**6,070 
FNMA POOL #975441 5% DUE 03-01-2038 REG**2,657 
FNMA POOL #979973 5% 09-01-2036 BEO**1,753 
FNMA POOL #987325 ADJ RT DUE 09-01-2038 BEO**50,947 
FNMA POOL #995067 6% 09-01-2036 BEO**430,575 
FNMA POOL #995149 6.5% 10-01-2038 BEO**42,689 
FNMA POOL #995899 6% 02-01-2038 BEO**32,704 
FNMA POOL #AA0472 4% 03-01-2039 BEO**31,536 
FNMA POOL #AA2700 5% 01-01-2039 BEO**2,443 
FNMA POOL #AB3701 4.5% 10-01-2041 BEO**231,577 
FNMA POOL #AB4058 4% 12-01-2041 BEO**156,145 
FNMA POOL #AB4590 3.5% DUE 03-01-2042 BEO**306,966 
FNMA POOL #AB4689 3.5% 03-01-2042 BEO**255,138 
FNMA POOL #AB4941 3.5% 04-01-2042 BEO**729,314 
FNMA POOL #AB5236 3% 05-01-2027 BEO**39,720 
FNMA POOL #AB5546 3.5% DUE 06-01-2042 BEO**319,618 
FNMA POOL #AB5593 3.5% 07-01-2042 BEO**153,239 
FNMA POOL #AB6229 3.5% 09-01-2042 BEO**640,238 
FNMA POOL #AB6238 3.5% 09-01-2042 BEO**151,077 
FNMA POOL #AB6390 3% 10-01-2042 BEO**95,124 
FNMA POOL #AB6694 3% 10-01-2042 BEO**134,094 
FNMA POOL #AB6832 3.5% 11-01-2042 BEO**465,556 
FNMA POOL #AB7272 3 12-01-2042 REG**376,153 
FNMA POOL #AB7410 3% 12-01-2042 BEO**668,304 
FNMA POOL #AB7426 3% 12-01-2042 BEO**297,931 
FNMA POOL #AB7568 3% 01-01-2043 BEO**434,499 
FNMA POOL #AB7570 3% 01-01-2043 BEO**690,538 
FNMA POOL #AB7741 3% 01-01-2043 BEO**473,276 
FNMA POOL #AB8680 2% 03-01-2028 BEO**349,524 
FNMA POOL #AB9347 3% 05-01-2043 BEO**603,488 
FNMA POOL #AB9361 3.5% DUE 05-01-2043 BEO**176,341 
FNMA POOL #AB9461 3% 05-01-2043 BEO**575,483 
FNMA POOL #AB9516 2.5% 05-01-2028 BEO**34,961 
FNMA POOL #AB9615 4% 06-01-2033 BEO**46,788 
FNMA POOL #AB9663 3% 06-01-2043 BEO**82,282 
FNMA POOL #AB9825 2.5% 07-01-2028 BEO**13,123 
FNMA POOL #AC1889 4% 09-01-2039 BEO**80,006 
FNMA POOL #AC2953 4.5% 09-01-2039 BEO**25,740 
FNMA POOL #AC3237 5% 10-01-2039 BEO**42,604 
FNMA POOL #AC3237 5% 10-01-2039 BEO**288,969 
FNMA POOL #AC9526 5.5% DUE 01-01-2040 BEO**207,331 
78

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #AD0121 4.5% 09-01-2029 BEO**198,984 
FNMA POOL #AD0249 5.5% 04-01-2037 BEO**118,043 
FNMA POOL #AD0296 FLTG 12-01-2036**24,141 
FNMA POOL #AD0329 6.5 DUE 09-01-2028 BEO**5,613 
FNMA POOL #AD0752 7% 01-01-2039 BEO**26,299 
FNMA POOL #AD0979 7.5% 10-01-2035 BEO**17,945 
FNMA POOL #AD4178 4.5% 06-01-2040 BEO**457,342 
FNMA POOL #AD9143 4.5% 08-01-2040 BEO**7,564 
FNMA POOL #AD9153 4.5% 08-01-2040 BEO**54,436 
FNMA POOL #AD9713 5% 08-01-2040 BEO**28,233 
FNMA POOL #AE0113 4% 07-01-2040 BEO**96,477 
FNMA POOL #AE0478 4% 11-01-2040 BEO**1,441 
FNMA POOL #AE0521 6% 08-01-2037 BEO**139,376 
FNMA POOL #AE0654 6.876% DUE 12-01-2040 BEO**552,094 
FNMA POOL #AE0967 3.5% 06-01-2039 BEO**234,861 
FNMA POOL #AE1807 4% 10-01-2040 BEO**2,331 
FNMA POOL #AE1840 5% 08-01-2040 BEO**8,327 
FNMA POOL #AE1862 5% 08-01-2040 BEO**45,856 
FNMA POOL #AE4456 4% 02-01-2041 BEO**17,436 
FNMA POOL #AE4664 4% 10-01-2040 BEO**17,463 
FNMA POOL #AE6090 4% 10-01-2040 BEO**67,368 
FNMA POOL #AE6191 4% 11-01-2040 BEO**11,323 
FNMA POOL #AE7314 4% 11-01-2040 BEO**585 
FNMA POOL #AE8446 4% 11-01-2040 BEO**801 
FNMA POOL #AE9387 4% 12-01-2040 BEO**519 
FNMA POOL #AH2683 4% 01-01-2041 BEO**347,387 
FNMA POOL #AL8558 6% 07-01-2041 BEO**103,052 
FNMA POOL #AM7514 3.07% DUE 02-01-2025 BEO**1,145,196 
FNMA POOL #AN0360 3.95% DUE 12-01-2045 BEO**3,709,709 
FNMA POOL #AN1371 2.68% DUE 06-01-2028 BEO**1,880,614 
FNMA POOL #AN1461 2.59% 05-01-2026**1,460,171 
FNMA POOL #AN1613 2.55% 07-01-2026 BEO**1,552,965 
FNMA POOL #AN5171 3.29% 04-01-2027**5,018,909 
FNMA POOL #AN6585 2.84% 09-01-2027**1,416,640 
FNMA POOL #AN8612 3.29% 03-01-2028**4,048,939 
FNMA POOL #AN8717 3.02% 03-01-2028**208,477 
FNMA POOL #AN9215 3.43% 05-01-2028**471,082 
FNMA POOL #AN9814 3.63% DUE 08-01-2028 BEO**2,049,927 
FNMA POOL #AO0454 3.5% 08-01-2042 BEO**172,876 
FNMA POOL #AO0527 3% 05-01-2027 BEO**25,904 
FNMA POOL #AO2801 3% DUE 06-01-2027 BEO**148,770 
FNMA POOL #AO2802 3% 06-01-2027 BEO**244,676 
FNMA POOL #AO4135 3.5% 06-01-2042 BEO**364,689 
FNMA POOL #AO4688 3% DUE 07-01-2043 BEO**691,544 
FNMA POOL #AO6757 4% 06-01-2042 BEO**73,976 
FNMA POOL #AO7348 4% 08-01-2042 BEO**85,618 
FNMA POOL #AP0006 ADJ RT DUE 07-01-2042 BEO**18,165 
FNMA POOL #AP0645 3.5% 07-01-2032 BEO**18,161 
79

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #AP2611 3.5% 09-01-2042 BEO**124,593 
FNMA POOL #AP3308 3.5% 09-01-2042 BEO**129,479 
FNMA POOL #AP3902 3% 10-01-2042 BEO**125,480 
FNMA POOL #AP4710 3.5% 08-01-2042 BEO**255,428 
FNMA POOL #AP5143 3% 09-01-2042 BEO**128,399 
FNMA POOL #AP6027 3% 04-01-2043 BEO**111,618 
FNMA POOL #AP6032 3% 04-01-2043 BEO**123,187 
FNMA POOL #AP6053 2.5% 07-01-2028 BEO**21,900 
FNMA POOL #AP6054 3% 07-01-2043 BEO**14,860 
FNMA POOL #AP7126 2.5% 10-01-2027 BEO**43,485 
FNMA POOL #AP8057 3.5% 09-01-2042 BEO**168,711 
FNMA POOL #AP8903 3.5% 10-01-2042 BEO**121,778 
FNMA POOL #AP9539 3% DUE 10-01-2042 BEO**84,162 
FNMA POOL #AP9766 4% 10-01-2042 BEO**321,091 
FNMA POOL #AQ0556 3% 11-01-2042 BEO**580,179 
FNMA POOL #AQ1534 3.5% 10-01-2032 BEO**63,714 
FNMA POOL #AQ1607 3.5% 11-01-2032 BEO**49,270 
FNMA POOL #AQ1802 3.5% 10-01-2042 BEO**68,125 
FNMA POOL #AQ7192 3% DUE 07-01-2043 REG**43,623 
FNMA POOL #AQ8359 3% 01-01-2043 BEO**196,020 
FNMA POOL #AR2638 3.5% 02-01-2043 BEO**204,877 
FNMA POOL #AR3368 2.5% DUE 02-01-2028 REG**38,710 
FNMA POOL #AR4343 3% 06-01-2043 BEO**87,970 
FNMA POOL #AR4410 2.5% 02-01-2028 BEO**898,301 
FNMA POOL #AR7214 3% DUE 06-01-2043 REG**487,965 
FNMA POOL #AR7399 3% 06-01-2043 BEO**36,137 
FNMA POOL #AR7961 3.5% DUE 03-01-2033 REG**58,018 
FNMA POOL #AR8749 3% 03-01-2043 BEO**622,607 
FNMA POOL #AR9215 3% DUE 03-01-2043 REG**403,801 
FNMA POOL #AS0038 3% DUE 07-01-2043 BEO**391,382 
FNMA POOL #AS0047 2.5% 07-01-2028 BEO**92,651 
FNMA POOL #AS0070 4% DUE 08-01-2043 REG**140,738 
FNMA POOL #AS0302 3% 08-01-2043 BEO**34,366 
FNMA POOL #AS0522 3.5% 09-01-2043 BEO**58,693 
FNMA POOL #AS0838 5% 10-01-2043 BEO**40,659 
FNMA POOL #AS1364 3% 12-01-2043 BEO**27,334 
FNMA POOL #AS1745 3% 02-01-2029 BEO**326,922 
FNMA POOL #AS1774 4% 02-01-2044 BEO**26,271 
FNMA POOL #AS2117 4.0% 04-01-2044**2,137 
FNMA POOL #AS2369 3.5% 05-01-2029 BEO**204,614 
FNMA POOL #AS3282 3% 10-01-2043 BEO**52,619 
FNMA POOL #AS3293 4% 09-01-2044 BEO**184,847 
FNMA POOL #AS4302 4% 01-01-2045 BEO**207,308 
FNMA POOL #AS4354 4.5% 01-01-2045 BEO**543,632 
FNMA POOL #AS4427 4.5% 02-01-2045 BEO**516,327 
FNMA POOL #AS4431 4.5% 02-01-2045 BEO**329,020 
FNMA POOL #AS5068 3.5% 06-01-2045 BEO**23,047 
FNMA POOL #AS5103 3% 06-01-2030 BEO**300,526 
80

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #AS5133 3.5% 06-01-2045 BEO**562,566 
FNMA POOL #AS5598 4% 08-01-2045 BEO**378,866 
FNMA POOL #AS5722 3.5% 09-01-2045 BEO**2,410,175 
FNMA POOL #AS6065 3.5% 10-01-2045 BEO**63,795 
FNMA POOL #AS6067 3.5% 10-01-2045 BEO**3,319,914 
FNMA POOL #AS6286 4% 12-01-2045 BEO**471,099 
FNMA POOL #AS6304 4% DUE 12-01-2045 BEO**610,406 
FNMA POOL #AS6315 4% 12-01-2045 BEO**21,792 
FNMA POOL #AS6328 3.5% 12-01-2045 BEO**750,150 
FNMA POOL #AS6386 3% 12-01-2045 BEO**77,365 
FNMA POOL #AS6395 3.5% 12-01-2045 BEO**31,588 
FNMA POOL #AS6452 3.5% 01-01-2046 BEO**123,716 
FNMA POOL #AS6489 4% DUE 01-01-2046 BEO**483,038 
FNMA POOL #AS6534 3.5% 01-01-2046 BEO**1,181,227 
FNMA POOL #AS7125 2.5% 05-01-2046 BEO**265,195 
FNMA POOL #AS7155 3% 05-01-2046 BEO**199,491 
FNMA POOL #AS7530 2.5% 07-01-2046 BEO**509,321 
FNMA POOL #AS7533 3% 07-01-2046 BEO**1,040,623 
FNMA POOL #AS7693 2% DUE 08-01-2031 BEO**455,383 
FNMA POOL #AS7844 3% 09-01-2046 BEO**510,400 
FNMA POOL #AS7877 2.5% 09-01-2046 BEO**562,319 
FNMA POOL #AS8143 4% 10-01-2046 BEO**55,004 
FNMA POOL #AS8249 3% 11-01-2036 BEO**684,089 
FNMA POOL #AS8257 2% 11-01-2026 BEO**714,279 
FNMA POOL #AS8269 3% 11-01-2046 BEO**3,459,524 
FNMA POOL #AS8386 2.5% 11-01-2031 BEO**273,803 
FNMA POOL #AS8740 3.5% 02-01-2037 BEO**132,214 
FNMA POOL #AS8980 4.5% 03-01-2047 BEO**667,634 
FNMA POOL #AS9588 4% 05-01-2047 BEO**1,218,813 
FNMA POOL #AS9610 4.5% 05-01-2047 BEO**1,941,986 
FNMA POOL #AT0874 POOL #AT0874 3% DUE 07-01-2043 REG**28,242 
FNMA POOL #AT1572 3% DUE 05-01-2043 REG**528,375 
FNMA POOL #AT2005 2.5% 04-01-2028 BEO**145,484 
FNMA POOL #AT2043 3% DUE 04-01-2043 REG**19,932 
FNMA POOL #AT2722 3% DUE 05-01-2043 REG**273,010 
FNMA POOL #AT2725 3% 05-01-2043 BEO**3,034,918 
FNMA POOL #AT3179 3% 05-01-2043 BEO**153,121 
FNMA POOL #AT3487 3.5% DUE 04-01-2043 REG**509,409 
FNMA POOL #AT5803 3% 06-01-2043 BEO**16,865 
FNMA POOL #AT5915 4 DUE 06-01-2043 REG**106,248 
FNMA POOL #AT5994 3% 05-01-2043 BEO**57,730 
FNMA POOL #AT6764 3% 07-01-2043 BEO**13,629 
FNMA POOL #AT7213 2.5% DUE 06-01-2028 BEO**10,329 
FNMA POOL #AT7620 3% DUE 06-01-2043 REG**563,040 
FNMA POOL #AT8000 3% 06-01-2043 BEO**37,229 
FNMA POOL #AT8326 3% DUE 06-01-2043 BEO**423,500 
FNMA POOL #AT8419 3 DUE 06-01-2043 REG**89,067 
FNMA POOL #AT8489 3% DUE 08-01-2043 REG**827,234 
81

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #AT8968 2.5% 07-01-2028 BEO**7,688 
FNMA POOL #AT9250 3% 07-01-2043 BEO**510,916 
FNMA POOL #AT9311 FIXED 2.5% 07-01-2028 BEO**24,918 
FNMA POOL #AT9521 2.5% 07-01-2028 BEO**36,129 
FNMA POOL #AU0317 3% 06-01-2043 BEO**44,484 
FNMA POOL #AU0909 2% 07-01-2028 BEO**54,565 
FNMA POOL #AU0923 3.5% 07-01-2043 BEO**146,433 
FNMA POOL #AU1629 3% DUE 07-01-2043 REG**45,642 
FNMA POOL #AU1632 3% DUE 07-01-2043 REG**1,126,237 
FNMA POOL #AU1811 2.5% 08-01-2028 BEO**24,289 
FNMA POOL #AU2032 3% 07-01-2043 BEO**58,293 
FNMA POOL #AU2909 3% 08-01-2028 BEO**139,291 
FNMA POOL #AU3034 2.5% 08-01-2028 BEO**10,774 
FNMA POOL #AU3176 3% DUE 08-01-2043 REG**49,211 
FNMA POOL #AU3191 2.5% DUE 08-01-2028 REG**51,022 
FNMA POOL #AU3195 3% 08-01-2043 BEO**43,355 
FNMA POOL #AU3334 2.5% DUE 07-01-2028 REG**50,665 
FNMA POOL #AU3789 2.5% DUE 08-01-2028 REG**29,433 
FNMA POOL #AU3811 3% DUE 08-01-2043 REG**35,139 
FNMA POOL #AU4585 3% 08-01-2043 BEO**16,066 
FNMA POOL #AU5161 3 DUE 08-01-2043 REG**709,834 
FNMA POOL #AU5190 2.5% 08-01-2028 BEO**49,116 
FNMA POOL #AU5202 3% 08-01-2043 BEO**31,419 
FNMA POOL #AU5904 3.5% 09-01-2033 BEO**137,419 
FNMA POOL #AU6735 3% 10-01-2043 BEO**365,411 
FNMA POOL #AU8066 3% 09-01-2043 BEO**45,414 
FNMA POOL #AV0702 4% 12-01-2043 BEO**70,822 
FNMA POOL #AV0802 2.5% 08-01-2028 BEO**7,733 
FNMA POOL #AV4736 4% 12-01-2043 BEO**74,392 
FNMA POOL #AV5425 4.5% 01-01-2044 BEO**430,640 
FNMA POOL #AV5667 4% 01-01-2044 BEO**63,208 
FNMA POOL #AV5730 4.5% 04-01-2044 BEO**198,016 
FNMA POOL #AV9290 4.5% 02-01-2044 BEO**254,941 
FNMA POOL #AW3146 4% 06-01-2044 BEO**121,279 
FNMA POOL #AW9504 3% 01-01-2045 BEO**38,326 
FNMA POOL #AX1348 4% 10-01-2044 BEO**5,710 
FNMA POOL #AX4277 3% 01-01-2045 BEO**181,665 
FNMA POOL #AX4883 3% 12-01-2044 BEO**574,731 
FNMA POOL #AX6579 3% 01-01-2045 BEO**51,433 
FNMA POOL #AX7578 3% 01-01-2045 BEO**33,225 
FNMA POOL #AY1022 3% 05-01-2045 BEO**262,937 
FNMA POOL #AY1363 4% 04-01-2045 BEO**125,635 
FNMA POOL #AY1377 4% DUE 04-01-2045 REG**236,916 
FNMA POOL #AY3913 3.5% 02-01-2045 BEO**97,693 
FNMA POOL #AY4869 4% 06-01-2045 BEO**105,944 
FNMA POOL #AY5484 4% 12-01-2044 BEO**4,323 
FNMA POOL #AY9434 4% 12-01-2045 BEO**24,751 
FNMA POOL #AZ0711 3.5% 02-01-2046 BEO**26,652 
82

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #AZ3743 3.5% 11-01-2045 BEO**452,849 
FNMA POOL #AZ3926 4% 10-01-2045 BEO**831 
FNMA POOL #AZ4234 3% 06-01-2030 BEO**770,245 
FNMA POOL #AZ4775 3.5% 10-01-2045 BEO**1,606,799 
FNMA POOL #AZ5713 4% 09-01-2045 BEO**221,515 
FNMA POOL #AZ7353 3.5% 11-01-2045 BEO**144,192 
FNMA POOL #BA3779 4% 01-01-2046 BEO**3,591 
FNMA POOL #BA4750 3.5% 01-01-2031 BEO**125,883 
FNMA POOL #BA4766 4% 01-01-2046 BEO**62,107 
FNMA POOL #BA4780 4% 01-01-2046 BEO**1,466,983 
FNMA POOL #BA4801 4% 02-01-2046 BEO**325,666 
FNMA POOL #BA5330 4% 11-01-2045 BEO**14,178 
FNMA POOL #BA5827 3% 11-01-2030 BEO**124,003 
FNMA POOL #BA6018 3% 01-01-2046 BEO**10,745 
FNMA POOL #BA6555 3% 01-01-2046 BEO**13,725 
FNMA POOL #BA6798 4% 01-01-2046 BEO**71,829 
FNMA POOL #BA6824 3% 02-01-2046 BEO**100,023 
FNMA POOL #BA6924 3% 02-01-2046 BEO**12,002 
FNMA POOL #BC1104 3% 02-01-2046 BEO**116,479 
FNMA POOL #BC1509 3% 08-01-2046 BEO**449,295 
FNMA POOL #BC2817 3% 09-01-2046 BEO**906,307 
FNMA POOL #BC3020 3% 02-01-2046 BEO**290,440 
FNMA POOL #BC3883 4% DUE 03-01-2046 BEO**220,524 
FNMA POOL #BC4411 3.5% 03-01-2031 BEO**174,776 
FNMA POOL #BC4764 3% 10-01-2046 BEO**429,702 
FNMA POOL #BC9077 3.5% 12-01-2046 BEO**274,214 
FNMA POOL #BD5992 2.5% 07-01-2031 BEO**70,257 
FNMA POOL #BD8104 3% 10-01-2046 BEO**766,599 
FNMA POOL #BF0194 4.5% 07-01-2040 BEO**614,103 
FNMA POOL #BF0334 3.5% 01-01-2059 BEO**138,414 
FNMA POOL #BJ0669 3.5% 03-01-2033 BEO**388,603 
FNMA POOL #BJ1635 3% 11-01-2032 BEO**468,864 
FNMA POOL #BJ8703 3.5% 05-01-2049 BEO**51,962 
FNMA POOL #BJ9249 4.5% 06-01-2048 BEO**335,603 
FNMA POOL #BK2620 2.5% 06-01-2050 BEO**358,089 
FNMA POOL #BK7608 4% 09-01-2048 BEO**3,583,168 
FNMA POOL #BK8814 4.5% 08-01-2048 BEO**221,840 
FNMA POOL #BK9849 4% 09-01-2033 BEO**328,363 
FNMA POOL #BM1565 3% 04-01-2047 BEO**1,172,058 
FNMA POOL #BM1775 4.5% 07-01-2047 BEO**266,666 
FNMA POOL #BM3119 1.8% 02-01-2047 BEO**741,360 
FNMA POOL #BM3280 4.5% 11-01-2047 BEO**2,160,222 
FNMA POOL #BM3724 3.5% 03-01-2048 BEO**5,127,047 
FNMA POOL #BM3855 4% 03-01-2048 BEO**652,545 
FNMA POOL #BM3904 5% 05-01-2048 BEO**328,837 
FNMA POOL #BM4301 4% 03-01-2048 BEO**8,135,138 
FNMA POOL #BM4676 4% 10-01-2048 BEO**783,957 
FNMA POOL #BM4716 3.5% 12-01-2030 BEO**149,442 
83

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #BM4898 4% 11-01-2038 BEO**562,350 
FNMA POOL #BM5082 4.5% 11-01-2048 BEO**1,067,827 
FNMA POOL #BM5111 3% 11-01-2033 BEO**3,873,611 
FNMA POOL #BM5184 4% 09-01-2033 BEO**628,182 
FNMA POOL #BM5261 4% 01-01-2048 BEO**2,379,539 
FNMA POOL #BM5568 4.5% 02-01-2049 BEO**1,606,013 
FNMA POOL #BM7221 3% 02-01-2031 BEO**1,787,120 
FNMA POOL #BN4428 4.5% DUE 12-01-2048 REG**154,601 
FNMA POOL #BQ6617 1.5% 10-01-2051 BEO**3,380,278 
FNMA POOL #BQ9298 2.5% 12-01-2050**220,515 
FNMA POOL #BR2664 2.0% 02-01-2051**548,192 
FNMA POOL #BR4753 2.0% DUE 03-01-2051**233,825 
FNMA POOL #BR6500 2.5% DUE 03-01-2051 REG**544,496 
FNMA POOL #BS6767 4.27% DUE 10-01-2032 BEO**1,026,845 
FNMA POOL #BS9166 4.61% 08-01-2028**1,585,111 
FNMA POOL #BT0087 2.5% 05-01-2051**1,526,979 
FNMA POOL #BV7598 3.0% 03-01-2052**43,256 
FNMA POOL #BV9613 3% 04-01-2052 BEO**411,945 
FNMA POOL #BW9916 5% 10-01-2052 BEO**859,867 
FNMA POOL #BX7702 6.5% 02-01-2053 BEO**353,923 
FNMA POOL #BZ0874 4.76% 06-01-2029**3,894,077 
FNMA POOL #BZ1178 5.81% 06-01-2031**4,606,581 
FNMA POOL #BZ2692 5.21% DUE 12-01-2039 BEO**150,121 
FNMA POOL #CA0789 3.5% 11-01-2032**378,102 
FNMA POOL #CA0907 3.5% DUE 12-01-2047**393,541 
FNMA POOL #CA1576 5.0% DUE 01-01-2048 REG**230,837 
FNMA POOL #CA3283 4.0% 03-01-2034**735,402 
FNMA POOL #CA3285 4.0% 03-01-2034**714,991 
FNMA POOL #CA3287 4.0% 03-01-2034**164,598 
FNMA POOL #CA4346 3% DUE 10-01-2049 REG**273,925 
FNMA POOL #CA4819 4% DUE 12-01-2049 BEO**358,990 
FNMA POOL #CA5416 2.5% DUE 03-01-2050 REG**499,862 
FNMA POOL #CA6315 3.0% DUE 07-01-2050 REG**387,817 
FNMA POOL #CA7257 2.5% DUE 10-01-2050 REG**889,712 
FNMA POOL #CA7422 2.0% 10-01-2040**4,965,525 
FNMA POOL #CA9358 2.5% DUE 03-01-2041 REG**583,117 
FNMA POOL #CB0100 2.5% DUE 04-01-2041 REG**730,596 
FNMA POOL #CB0470 2.5% 05-01-2041**1,130,788 
FNMA POOL #CB1771 1.5% DUE 09-01-2051 REG**5,178,085 
FNMA POOL #CB2429 3.0% DUE 12-01-2051 REG**12,594,116 
FNMA POOL #CB2858 2.5% DUE 02-01-2052 REG**1,693,932 
FNMA POOL #CB2929 3% 02-01-2052 BEO**62,865 
FNMA POOL #CB3614 4.0% DUE 05-01-2052 REG**599,342 
FNMA POOL #CB4090 4% DUE 07-01-2052**2,995,333 
FNMA POOL #CB4755 5% 09-01-2037 BEO**2,064,305 
FNMA POOL #CB4756 5% 09-01-2037 BEO**1,062,713 
FNMA POOL #CB4757 5% 09-01-2037 BEO**1,902,051 
FNMA POOL #CB4758 5% 09-01-2037 BEO**1,245,442 
84

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #CB4759 5% 09-01-2037 BEO**1,188,268 
FNMA POOL #CB4760 5% 09-01-2037 BEO**2,676,753 
FNMA POOL #CB4991 4.5% 10-01-2037 BEO**523,752 
FNMA POOL #CB4995 4.5% 10-01-2037 BEO**828,632 
FNMA POOL #CB5005 5% 10-01-2037 BEO**876,241 
FNMA POOL #CB6540 6.0% 06-01-2053**2,460,126 
FNMA POOL #CB6753 6.0% 07-01-2053**2,817,163 
FNMA POOL #CB8388 6.5% 04-01-2054**412,922 
FNMA POOL #FM1349 3.5% 03-01-2047 BEO**1,502,595 
FNMA POOL #FM1467 3% 12-01-2047 BEO**1,094,809 
FNMA POOL #FM1727 5% 09-01-2049 BEO**960,036 
FNMA POOL #FM1796 3.5% 10-01-2034 BEO**32,143 
FNMA POOL #FM2477 3% 05-01-2036 BEO**1,484,659 
FNMA POOL #FM2479 2.5% 07-01-2033 BEO**1,619,783 
FNMA POOL #FM2743 3.0% DUE 02-01-2034 REG**1,828,251 
FNMA POOL #FM2922 3% 02-01-2038 BEO**742,899 
FNMA POOL #FM2972 4% 12-01-2044 BEO**4,324,384 
FNMA POOL #FM3004 4% 01-01-2046 BEO**27,735,418 
FNMA POOL #FM3049 4% 04-01-2044 BEO**1,189,885 
FNMA POOL #FM3123 2.5% 03-01-2038 BEO**866,026 
FNMA POOL #FM3241 3% 03-01-2050 BEO**9,985,887 
FNMA POOL #FM3243 3.5% 02-01-2050 BEO**92,695 
FNMA POOL #FM3773 3.5% 11-01-2048 BEO**2,336,623 
FNMA POOL #FM4311 3% 08-01-2050 BEO**317,990 
FNMA POOL #FM4436 4% 06-01-2034 BEO**1,087,455 
FNMA POOL #FM4577 2.5% 10-01-2050 BEO**496,779 
FNMA POOL #FM4817 5% 06-01-2049 BEO**821,434 
FNMA POOL #FM5018 2.5% 12-01-2050 BEO**1,086,910 
FNMA POOL #FM5050 2.5% 02-01-2035 BEO**915,300 
FNMA POOL #FM5313 2.5% 10-01-2050 BEO**737,841 
FNMA POOL #FM5743 2.5% 02-01-2051 BEO**1,030,660 
FNMA POOL #FM5754 3.5% 03-01-2037 BEO**74,678 
FNMA POOL #FM5783 3% 06-01-2038 BEO**465,650 
FNMA POOL #FM5904 2.5% 02-01-2051 BEO**201,582 
FNMA POOL #FM6015 3.5% 08-01-2039 BEO**119,775 
FNMA POOL #FM6036 4% 01-01-2050 BEO**1,182,519 
FNMA POOL #FM6117 3% 11-01-2048 BEO**208,580 
FNMA POOL #FM6448 2% 03-01-2051 BEO**905,725 
FNMA POOL #FM6460 2.5% 03-01-2051 BEO**334,594 
FNMA POOL #FM7100 3.5% 06-01-2050 BEO**226,828 
FNMA POOL #FM7531 3% 05-01-2051 BEO**256,402 
FNMA POOL #FM7630 2.5% 06-01-2051 BEO**289,791 
FNMA POOL #FM7675 2.5% 06-01-2051 BEO**447,450 
FNMA POOL #FM7786 4% 01-01-2049 BEO**386,167 
FNMA POOL #FM7796 4% 06-01-2048 BEO**598,414 
FNMA POOL #FM7869 2.5% 01-01-2051 BEO**230,386 
FNMA POOL #FM7900 2.5% 07-01-2051 BEO**303,806 

85

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #FM7910 2.5% 07-01-2051 BEO**436,131 
FNMA POOL #FM8166 3% 06-01-2051 BEO**341,525 
FNMA POOL #FM8325 2.5% 07-01-2035 BEO**2,099,338 
FNMA POOL #FM8480 3% 11-01-2050 BEO**1,123,079 
FNMA POOL #FM8576 3% 02-01-2050 BEO**657,095 
FNMA POOL #FM8577 3% 08-01-2051 BEO**879,779 
FNMA POOL #FM8648 3% 09-01-2051 BEO**1,395,181 
FNMA POOL #FM8864 2.5% 10-01-2051 BEO**722,624 
FNMA POOL #FM9044 3% 10-01-2051 BEO**305,030 
FNMA POOL #FM9365 3% 11-01-2051 BEO**254,384 
FNMA POOL #FM9464 3% 11-01-2051 BEO**947,939 
FNMA POOL #FN BZ0099 5.69% 12-01-2028**1,241,559 
FNMA POOL #FNAT5995 3 DUE 05-01-2043 REG**62,379 
FNMA POOL #FP0021 4% 05-01-2031 BEO**1,577,580 
FNMA POOL #FP0028 2% 08-01-2040 BEO**364,291 
FNMA POOL #FS0024 2.5% 09-01-2051 BEO**285,068 
FNMA POOL #FS0034 3% 12-01-2051 BEO**391,021 
FNMA POOL #FS0037 3% 08-01-2051 BEO**216,885 
FNMA POOL #FS0041 3% 11-01-2050 BEO**227,522 
FNMA POOL #FS0191 2.5% 01-01-2052 BEO**321,376 
FNMA POOL #FS0240 3% 01-01-2052 BEO**389,017 
FNMA POOL #FS0331 3% 01-01-2052 BEO**470,446 
FNMA POOL #FS0366 2.5% 01-01-2052 BEO**260,608 
FNMA POOL #FS0408 3% 01-01-2052 BEO**397,918 
FNMA POOL #FS0424 2.5% 01-01-2052 BEO**1,370,621 
FNMA POOL #FS0697 2.5% 02-01-2042 BEO**648,047 
FNMA POOL #FS0744 3% 02-01-2052 BEO**4,952,002 
FNMA POOL #FS0751 3% 03-01-2052 BEO**1,351,548 
FNMA POOL #FS0835 2.5% 03-01-2052 BEO**680,019 
FNMA POOL #FS0896 3% 12-01-2051 BEO**5,576,431 
FNMA POOL #FS0995 2.5% 03-01-2042 BEO**201,575 
FNMA POOL #FS1014 2% 02-01-2052 BEO**385,096 
FNMA POOL #FS1015 2% 02-01-2052 BEO**1,243,990 
FNMA POOL #FS1074 3% 03-01-2052 BEO**2,898,092 
FNMA POOL #FS1201 3% 01-01-2050 BEO**726,354 
FNMA POOL #FS1289 3% 03-01-2052 BEO**937,211 
FNMA POOL #FS1373 3% 11-01-2051 BEO**56,295 
FNMA POOL #FS1403 3% 01-01-2045 BEO**390,705 
FNMA POOL #FS1427 3% 02-01-2050 BEO**325,077 
FNMA POOL #FS1462 3.5% 01-01-2052 BEO**210,936 
FNMA POOL #FS1539 3% 11-01-2048 BEO**467,800 
FNMA POOL #FS1553 2.5% 11-01-2050 BEO**258,371 
FNMA POOL #FS1556 3.5% 05-01-2052 BEO**2,323,504 
FNMA POOL #FS1726 2% 09-01-2041 BEO**463,720 
FNMA POOL #FS1836 2.5% 05-01-2052 BEO**3,353,912 
FNMA POOL #FS1845 3.5% 12-01-2029 BEO**770,683 
FNMA POOL #FS2296 3.5% 01-01-2052 BEO**3,949,095 
FNMA POOL #FS2768 2% 01-01-2052 BEO**200,790 
86

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #FS2920 3% 07-01-2036 BEO**1,593,229 
FNMA POOL #FS3009 2% 05-01-2042 BEO**348,598 
FNMA POOL #FS3249 5% 11-01-2052 BEO**1,066,743 
FNMA POOL #FS3275 3% 04-01-2052 BEO**2,090,394 
FNMA POOL #FS3393 4% 10-01-2052 BEO**20,913 
FNMA POOL #FS3393 4% 10-01-2052 BEO**86,305 
FNMA POOL #FS3411 6% 01-01-2053 BEO**405,515 
FNMA POOL #FS3425 4.5% 09-01-2052 BEO**1,074,575 
FNMA POOL #FS3672 5.5% 02-01-2053 BEO**1,165,424 
FNMA POOL #FS3836 4.5% 01-01-2053 BEO**712,601 
FNMA POOL #FS3977 4.5% 11-01-2052 BEO**510,730 
FNMA POOL #FS3978 5% 01-01-2053 BEO**506,404 
FNMA POOL #FS4000 6.0% 07-01-2041**869,830 
FNMA POOL #FS4058 2.5% 12-01-2036 BEO**1,461,003 
FNMA POOL #FS4166 5.5% 04-01-2053 BEO**863,645 
FNMA POOL #FS4269 2.0% 10-01-2051**1,534,685 
FNMA POOL #FS4270 2.0% 03-01-2052**1,529,195 
FNMA POOL #FS4314 2% 03-01-2052 BEO**277,790 
FNMA POOL #FS4363 2.5% 03-01-2035 BEO**1,455,915 
FNMA POOL #FS4377 3% 04-01-2052 BEO**83,770 
FNMA POOL #FS4448 4% 12-01-2044 BEO**233,200 
FNMA POOL #FS4454 6% 04-01-2053 BEO**520,704 
FNMA POOL #FS4471 2.5% 09-01-2042 BEO**298,429 
FNMA POOL #FS4480 4.5% 03-01-2050 BEO**313,211 
FNMA POOL #FS4570 5.0% 12-01-2047**926,979 
FNMA POOL #FS4573 6% 05-01-2053 BEO**1,019,597 
FNMA POOL #FS4805 5.5% 05-01-2053 BEO**531,941 
FNMA POOL #FS4914 2.5% 10-01-2037 BEO**726,428 
FNMA POOL #FS5059 3.5% 11-01-2048 BEO**3,730,125 
FNMA POOL #FS5155 5% 07-01-2053 BEO**2,028,876 
FNMA POOL #FS5191 2% 08-01-2042 BEO**515,239 
FNMA POOL #FS5306 6% 07-01-2053 BEO**603,708 
FNMA POOL #FS5365 3% 02-01-2050 BEO**1,993,115 
FNMA POOL #FS5385 2.5% 04-01-2052 BEO**1,553,378 
FNMA POOL #FS5647 5.5% 07-01-2053 BEO**717,860 
FNMA POOL #FS6072 2.5% 12-01-2036 BEO**634,148 
FNMA POOL #FS6451 5.5% 08-01-2053 BEO**1,169,804 
FNMA POOL #FS6779 6.5% 12-01-2053 BEO**503,444 
FNMA POOL #FS7170 2.0% 08-01-2042**853,493 
FNMA POOL #FS7180 2% 05-01-2042 BEO**453,669 
FNMA POOL #FS7294 5.5% 05-01-2044**722,194 
FNMA POOL #FS7408 2.5% 04-01-2052 BEO**2,464,895 
FNMA POOL #FS7624 6.5% 03-01-2054 BEO**732,517 
FNMA POOL #FS7849 2.5% 05-01-2052 BEO**466,112 
FNMA POOL #FS7997 6% 05-01-2054 BEO**1,712,086 
FNMA POOL #FS8001 5.5% 06-01-2054 BEO**389,177 
FNMA POOL #FS8027 2.5% 03-01-2052 BEO**943,208 
FNMA POOL #FS8087 5.5% 06-01-2054 BEO**1,260,406 
87

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #G67717 4.0% DUE 11-01-2048 REG**326,325 
FNMA POOL #MA0006 4% 03-01-2039 BEO**2,935 
FNMA POOL #MA0214 5% 10-01-2029 BEO**75,321 
FNMA POOL #MA0243 5% 11-01-2029 BEO**58,725 
FNMA POOL #MA0295 5% 01-01-2030 BEO**38,694 
FNMA POOL #MA0583 4% 12-01-2040 BEO**1,401 
FNMA POOL #MA0706 4.5% 04-01-2031 BEO**35,138 
FNMA POOL #MA0734 4.5% DUE 05-01-2031 BEO**118,066 
FNMA POOL #MA0776 4.5% DUE 06-01-2031 BEO**122,253 
FNMA POOL #MA0816 4.5% 08-01-2031 BEO**95,252 
FNMA POOL #MA0939 4.5% 12-01-2031 BEO**87,932 
FNMA POOL #MA1044 3% DUE 04-01-2042 BEO**38,657 
FNMA POOL #MA1045 3% 04-01-2027 BEO**99,590 
FNMA POOL #MA1125 4 07-01-2042 BEO**75,840 
FNMA POOL #MA1177 3.5% 09-01-2042 BEO**65,555 
FNMA POOL #MA1213 3.5% DUE 10-01-2042 BEO**64,445 
FNMA POOL #MA1272 3% 12-01-2042 BEO**309,796 
FNMA POOL #MA1373 3.5% 03-01-2043 BEO**179,404 
FNMA POOL #MA1458 3% 06-01-2043 BEO**258,551 
FNMA POOL #MA1463 3.5% 06-01-2043 BEO**409,671 
FNMA POOL #MA1508 3.5% 07-01-2043 BEO**115,273 
FNMA POOL #MA1510 4% 07-01-2043 BEO**126,101 
FNMA POOL #MA1546 3.5% DUE 08-01-2043 BEO**151,380 
FNMA POOL #MA1553 2.5% 08-01-2028 BEO**247,825 
FNMA POOL #MA1591 4.5% 09-01-2043 BEO**85,425 
FNMA POOL #MA1629 4.5% 10-01-2043 BEO**75,788 
FNMA POOL #MA1711 4.5% 12-01-2043 BEO**66,234 
FNMA POOL #MA1728 5% 11-01-2033 BEO**40,933 
FNMA POOL #MA2110 3.5% 12-01-2034 BEO**441,956 
FNMA POOL #MA2138 3.5% 01-01-2035 BEO**270,131 
FNMA POOL #MA2320 3% 07-01-2035 BEO**136,628 
FNMA POOL #MA2373 2.5% 08-01-2030 BEO**31,269 
FNMA POOL #MA2516 3% 01-01-2046 BEO**218,887 
FNMA POOL #MA2523 3% 02-01-2036 BEO**550,453 
FNMA POOL #MA2579 3% 04-01-2036 BEO**427,318 
FNMA POOL #MA2670 3% 07-01-2046 BEO**695,231 
FNMA POOL #MA2672 3% 07-01-2036 BEO**1,627,609 
FNMA POOL #MA2707 3% 08-01-2036 BEO**3,443,744 
FNMA POOL #MA2728 2.5% 08-01-2031 BEO**271,137 
FNMA POOL #MA2749 2.5% 09-01-2036 BEO**575,853 
FNMA POOL #MA2773 3% 10-01-2036 BEO**1,828,018 
FNMA POOL #MA2798 2.5% 10-01-2031 BEO**108,286 
FNMA POOL #MA2806 3% DUE 11-01-2046 REG**623,990 
FNMA POOL #MA2832 3% 12-01-2036 BEO**1,303,781 
FNMA POOL #MA2863 3% DUE 01-01-2047 BEO**1,975,502 
FNMA POOL #MA2913 2.5% 02-01-2032 BEO**89,250 
FNMA POOL #MA2930 4% 03-01-2047 BEO**80,430 
FNMA POOL #MA2960 4% 04-01-2047 BEO**485,881 
88

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #MA2995 4% 05-01-2047 BEO**402,362 
FNMA POOL #MA3058 4% 07-01-2047 BEO**63,032 
FNMA POOL #MA3060 3% 07-01-2032 BEO**934,763 
FNMA POOL #MA3076 2.5% 07-01-2032 BEO**555,572 
FNMA POOL #MA3114 2.5% 08-01-2032 BEO**618,034 
FNMA POOL #MA3124 2.5% 09-01-2032 BEO**591,452 
FNMA POOL #MA3182 3.5% 11-01-2047 BEO**1,503,513 
FNMA POOL #MA3183 4% 11-01-2047 BEO**136,689 
FNMA POOL #MA3210 3.5% 12-01-2047 BEO**27,880 
FNMA POOL #MA3211 4% DUE 12-01-2047 BEO**322,066 
FNMA POOL #MA3239 4% 01-01-2048 BEO**717,258 
FNMA POOL #MA3305 3.5% 03-01-2048 BEO**8,864,336 
FNMA POOL #MA3310 4% 03-01-2038 BEO**1,558 
FNMA POOL #MA3333 4% 04-01-2048 BEO**55,530 
FNMA POOL #MA3356 3.5% 05-01-2048 BEO**2,186,369 
FNMA POOL #MA3383 3.5% 06-01-2048 BEO**7,689,496 
FNMA POOL #MA3385 4.5% 06-01-2048 BEO**369,995 
FNMA POOL #MA3442 3.5% 08-01-2048 BEO**839,316 
FNMA POOL #MA3564 4.5% 01-01-2049 BEO**175,707 
FNMA POOL #MA3879 4.5% 12-01-2049 BEO**1,320,063 
FNMA POOL #MA3897 3% 01-01-2035 BEO**1,017,463 
FNMA POOL #MA3937 3% 02-01-2050 BEO**1,715,857 
FNMA POOL #MA3945 4.5% DUE 02-01-2050 BEO**832,809 
FNMA POOL #MA3960 3% 03-01-2050 BEO**973,673 
FNMA POOL #MA4014 3% 05-01-2035 BEO**2,596,124 
FNMA POOL #MA4026 4% 05-01-2050 BEO**1,231,190 
FNMA POOL #MA4031 4.5% 05-01-2050 BEO**399,139 
FNMA POOL #MA4047 2% 06-01-2050 BEO**6,566,073 
FNMA POOL #MA4053 2.5% 06-01-2035 BEO**2,627,658 
FNMA POOL #MA4093 2% 08-01-2040 BEO**893,318 
FNMA POOL #MA4099 2.5% 08-01-2035 BEO**8,790,450 
FNMA POOL #MA4119 2% 09-01-2050 BEO**3,886,137 
FNMA POOL #MA4128 2% 09-01-2040 BEO**807,749 
FNMA POOL #MA4157 1.5% 10-01-2050 BEO**522,130 
FNMA POOL #MA4158 2% DUE 10-01-2050 BEO**6,823,999 
FNMA POOL #MA4177 2.5% 11-01-2040 BEO**493,957 
FNMA POOL #MA4181 1.5% 11-01-2050 BEO**1,135,765 
FNMA POOL #MA4182 2% 11-01-2050 BEO**3,811,055 
FNMA POOL #MA4209 1.5% 12-01-2050 BEO**9,236,493 
FNMA POOL #MA4232 2% 01-01-2041 BEO**225,700 
FNMA POOL #MA4237 2% DUE 01-01-2051 BEO**3,470,530 
FNMA POOL #MA4255 2% 02-01-2051 BEO**13,515,636 
FNMA POOL #MA4260 1.5% 02-01-2036 BEO**3,737,865 
FNMA POOL #MA4281 2% 03-01-2051 BEO**601,987 
FNMA POOL #MA4285 2% 03-01-2031 BEO**888,631 
FNMA POOL #MA4305 2% 04-01-2051 BEO**243,660 
FNMA POOL #MA4306 2.5% 04-01-2051 BEO**10,599,041 
FNMA POOL #MA4325 2% DUE 04-01-2051 BEO**11,128,080 
89

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #MA4328 1.5% 05-01-2036 BEO**378,427 
FNMA POOL #MA4329 2% 05-01-2036 BEO**1,602,656 
FNMA POOL #MA4333 2% 05-01-2041 BEO**5,393,849 
FNMA POOL #MA4359 1.5% 06-01-2036 BEO**396,882 
FNMA POOL #MA4364 2% 06-01-2041 BEO**1,107,144 
FNMA POOL #MA4377 1.5% 07-01-2051 BEO**9,346,782 
FNMA POOL #MA4380 3% 07-01-2051 BEO**319,135 
FNMA POOL #MA4382 1.5% DUE 07-01-2036 BEO**1,440,746 
FNMA POOL #MA4389 1.5% 07-01-2031 BEO**5,083,416 
FNMA POOL #MA4398 2% 07-01-2051 BEO**2,139,364 
FNMA POOL #MA4399 2.5% 08-01-2051 BEO**1,358,581 
FNMA POOL #MA4414 2.5% 09-01-2051 BEO**721,509 
FNMA POOL #MA4422 2% 09-01-2041 BEO**2,424,545 
FNMA POOL #MA4446 2% 10-01-2041 BEO**814,649 
FNMA POOL #MA4474 2% 11-01-2041 BEO**891,083 
FNMA POOL #MA4496 1.5% DUE 12-01-2036 BEO**1,004,311 
FNMA POOL #MA4497 2% 12-01-2036 BEO**2,705,966 
FNMA POOL #MA4501 2% 12-01-2041 BEO**2,273,786 
FNMA POOL #MA4523 2% 01-01-2032 BEO**1,826,072 
FNMA POOL #MA4536 2% 02-01-2037 BEO**1,523,943 
FNMA POOL #MA4539 1.5% 02-01-2042 BEO**330,628 
FNMA POOL #MA4540 2% 02-01-2042 BEO**1,506,983 
FNMA POOL #MA4571 2.5% 03-01-2042 BEO**401,641 
FNMA POOL #MA4586 2% 04-01-2042 BEO**407,388 
FNMA POOL #MA4587 2.5% 04-01-2042 BEO**968,678 
FNMA POOL #MA4599 3% 05-01-2052 BEO**1,940,284 
FNMA POOL #MA4626 4% 06-01-2052 BEO**3,059,696 
FNMA POOL #MA4643 3% 05-01-2042 BEO**1,082,519 
FNMA POOL #MA4686 5% 06-01-2052 BEO**1,155,963 
FNMA POOL #MA4732 4% 09-01-2052 BEO**46,773,852 
FNMA POOL #MA4733 4.5% 09-01-2052 BEO**3,936,697 
FNMA POOL #MA4737 5% 08-01-2052 BEO**390,364 
FNMA POOL #MA4783 4% 10-01-2052 BEO**6,416,328 
FNMA POOL #MA4785 5% 10-01-2052 BEO**1,674,890 
FNMA POOL #MA4807 5.5% 11-01-2052 BEO**835,786 
FNMA POOL #MA4840 4.5% 12-01-2052 BEO**19,115,850 
FNMA POOL #MA4867 4.5% 01-01-2053 BEO**9,014,275 
FNMA POOL #MA4894 6% 01-01-2053 BEO**11,876,648 
FNMA POOL #MA4894 6% 01-01-2053 BEO**5,580,080 
FNMA POOL #MA4962 4% 03-01-2053 BEO**171,557 
FNMA POOL #MA4977 4.5% 04-01-2053 BEO**1,864,646 
FNMA POOL #MA4979 5.5% 04-01-2053 BEO**1,844,000 
FNMA POOL #MA4980 6% 04-01-2053 BEO**2,517,752 
FNMA POOL #MA5008 4.5% 05-01-2053 BEO**23,950,793 
FNMA POOL #MA5010 5.5% 05-01-2053 BEO**2,542,035 
FNMA POOL #MA5036 3% 04-01-2053 BEO**157,313 
FNMA POOL #MA5038 5% 06-01-2053 BEO**1,337,450 
FNMA POOL #MA5139 6% 09-01-2053 BEO**1,334,210 
90

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA POOL #MA5167 6.5% 10-01-2053 BEO**15,127,366 
FNMA POOL #MA5188 4.5% 11-01-2053 BEO**1,996,038 
FNMA POOL #MA5191 6% 11-01-2053 BEO**5,055,339 
FNMA POOL #MA5192 6.5% 11-01-2053 BEO**310,871 
FNMA POOL #MA5207 4% 11-01-2053 BEO**12,686,833 
FNMA POOL #MA5246 5.5% 01-01-2054 BEO**798,433 
FNMA POOL #MA5259 4.5% 01-01-2054 BEO**3,398,826 
FNMA POOL #MA5471 6% 09-01-2054 BEO**862,056 
FNMA POOL #SB0623 2.5% 03-01-2037**1,131,540 
FNMA POOL #SD8323 5.0% 05-01-2053**7,424,021 
FNMA POOL #SD8323 5.0% 05-01-2053**30,443,743 
FNMA POOL AT3389 3 DUE 08-01-2043 REG**118,055 
FNMA POOL AU4346 3.5 DUE 07-01-2043 REG**263,332 
FNMA POOL CA0243 4.5% DUE 08-01-2047**98,025 
FNMA POOL FN #BZ0254 4.66% 01-01-2029**1,635,234 
FNMA POOL FN FS7902 6.5% 12-01-2053**362,486 
FNMA POOL# BZ0820 4.66% 04-01-2029**2,000,626 
FNMA POOL# SB0799 2.5% 01-01-2028**1,630,332 
FNMA POOL#CA1535 3.5% 02-01-2048 REG**3,556,366 
FNMA PREASSIGN 00800 5.5 03-25-2033**23,509 
FNMA REMIC 2004-40 CL-FY FRN 05-25-2034**450,543 
FNMA REMIC 2017-77 CL-CA 2.0% DUE 10-25-2047**438,878 
FNMA REMIC SER 03-85 CL PZ 5% 09-25-2033REG**925,468 
FNMA REMIC SER 07-15 CL BF FLTG 03-25-2037**1,270,816 
FNMA REMIC SER 09-62 SER BY 4.0% DUE 08-25-2029 BEO**801,538 
FNMA REMIC SER 10-21 CL FA FLTG 03-25-2040**1,388,732 
FNMA REMIC SER 12-128 CL JC 1.5% 09-25-2042**954,135 
FNMA REMIC SER 12-20 CL-BD 2.0% 01-25-2031**157,349 
FNMA REMIC SER 13-135 CL GA 3.0% 07-25-2032**27,533 
FNMA REMIC SER 13-37 CL JA 1.75% DUE 06-25-2042**90,851 
FNMA REMIC SER 16-49 CL-BA 2.5% 11-25-2041**176,880 
FNMA REMIC SER 16-60 CL Q 1.75% 09-25-2046**488,510 
FNMA REMIC SER 2003-W1 CL IA-1 4.73914 12-25-2042**46,419 
FNMA REMIC SER 2003-W15 CL 1A1 6.5 07-25-2043**17,506 
FNMA REMIC SER 2005-70 CL NA 5.5 08-25-2035**9,273 
FNMA REMIC SER 2005-83 CL LA 5.5 10-25-2035**808,705 
FNMA REMIC SER 2007-73 CL A1 FLT RT 07-25-2037**82,544 
FNMA REMIC SER 2013-133 CL-LA 3.0% 01-25-2033**157,593 
FNMA REMIC SER 2013-9 CL CB 5.50 04-25-2042**1,174,038 
FNMA REMIC SER 2014-87 CL-JB 3.0% 01-25-2045**341,920 
FNMA REMIC SER 2015-33 CL-P 2.5% DUE 06-25-2045**383,512 
FNMA REMIC SR 12-128 CL QC 1.75% 06-25-2042**97,957 
FNMA REMIC SR 12-146 CL KC 2.0% 11-25-2042**112,970 
FNMA REMIC SR 2009-88 CL-MA 4.5% 10-25-2039**16,818 
FNMA REMIC SR 2017-46 CLLB 3.5 12-25-2052**140,365 
FNMA REMIC SR 2018-21 CL CA 3.5% 04-25-2045**432,195 
FNMA REMIC TR 18-35 CL-EA 3.0% 05-25-2048**2,965,412 
FNMA REMIC TR 2001-81 CL-HE 6.5 01-25-2032**121,296 
91

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA REMIC TR 2004-38 CL-FK FLTG RATE 05-25-2034**62,563 
FNMA REMIC TR 2004-W1 CL-1A7 5.681 11-25-2043**119,191 
FNMA REMIC TR 2005-64 CL-PL 5.5% 07-25-2035**113,373 
FNMA REMIC TR 2005-84 CL-XM 5.75 10-25-2035**242,796 
FNMA REMIC TR 2006-48 CL-TF VAR RATE 06-25-2036**8,482 
FNMA REMIC TR 2007-100 CL-YF FLT RATE DUE 10-25-2037**253,544 
FNMA REMIC TR 2009-103 CL-FM VAR RATE 11-25-2039**972,445 
FNMA REMIC TR 2009-19 CL-PW 4.5 10-25-2036**859,539 
FNMA REMIC TR 2009-29 CL-LA VAR RATE 05-25-2039**293,107 
FNMA REMIC TR 2009-73 CL-AB 4.0% 09-25-2029**540,401 
FNMA REMIC TR 2009-87 CL-NF VAR RATE 11-25-2039**282,660 
FNMA REMIC TR 2009-W1 CL-A 6.0% DUE 12-25-2049 REG**15,713 
FNMA REMIC TR 2010-107 CL-KF FLTG RATE 03-25-2036**61,671 
FNMA REMIC TR 2010-115 CL-FD VAR 4.86649% 11-25-2039**493,368 
FNMA REMIC TR 2010-135 CL-BM 4.0% DUE 12-25-2040**596,268 
FNMA REMIC TR 2010-155 CL-PC 4% 02-25-2040**880,918 
FNMA REMIC TR 2010-26 CL-F FLTG RATE DUE 11-25-2036**1,328,183 
FNMA REMIC TR 2010-43 CL-MC 3.5 DUE 05-25-2040 REG**4,658 
FNMA REMIC TR 2011-44 CL-EB 3 05-25-2026**34,231 
FNMA REMIC TR 2012-33 CL-CD 2.0% DUE 03-25-2027**20,246 
FNMA REMIC TR 2012-54 CL-WA 3.0% DUE 04-25-2032 REG**35,850 
FNMA REMIC TR 2012-68 CL-NA 2 DUE 03-25-2042 REG**199,924 
FNMA REMIC TR 2012-90 CL-DA 1.5 03-25-2042**53,621 
FNMA REMIC TR 2012-93 CL-DP 1.5% 09-25-2027**574,455 
FNMA REMIC TR 2013-115 CL-DZ 3% 10-25-2033**1,402,459 
FNMA REMIC TR 2013-126 CL-EZ PRIN ONLY 301-25-2038**1,553,679 
FNMA REMIC TR 2013-15 CL-CP 1.75 % 04-25-2041**280,933 
FNMA REMIC TR 2013-20 CL-YC 1.75% 03-25-2042**568,087 
FNMA REMIC TR 2013-57 CL-DG 3.5 06-25-2028**69,535 
FNMA REMIC TR 2013-58 CL-KJ 3 DUE 02-25-2043**1,694,729 
FNMA REMIC TR 2013-59 CL-HC 1.5 06-25-2028**56,540 
FNMA REMIC TR 2013-6 CL-NE 2.0% DUE 11-25-2032 REG**217,079 
FNMA REMIC TR 2013-86 CL-LC 3 02-25-2043**216,427 
FNMA REMIC TR 2013-90 CL-PD 3% 09-25-2042**572,049 
FNMA REMIC TR 2013-93 CL-PJ 3 07-25-2042 REG**443,940 
FNMA REMIC TR 2013-96 CL-FY VAR RATE 07-25-2042**1,381,151 
FNMA REMIC TR 2014-32 CL-DK 3.0% 08-25-2043**263,034 
FNMA REMIC TR 2015-53 CL-MA 2.5 06-25-2045**636,656 
FNMA REMIC TR 2015-79 CL-FE VAR RATE 11-25-2045**90,243 
FNMA REMIC TR 2016-10 CL-MA 1.5 10-25-2044**189,035 
FNMA REMIC TR 2016-100 CL-WF VAR RATE 01-25-2047**1,337,917 
FNMA REMIC TR 2016-12 CL-EG 2 05-25-2032**1,527,286 
FNMA REMIC TR 2016-14 CL-PN 4% 01-25-2046**455,201 
FNMA REMIC TR 2016-3 CL-HB 2% 10-25-2031**307,502 
FNMA REMIC TR 2016-6 CL-AD 2.5% 04-25-2034**503,985 
FNMA REMIC TR 2016-75 CL-LA 2.5% DUE 05-25-2045 REG**435,540 
FNMA REMIC TR 2016-8 CL-FB VAR 4.86649% 03-25-2046**4,800,503 
FNMA REMIC TR 2016-84 CL-DF VAR RATE 11-25-2046**875,553 
92

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA REMIC TR 2016-97 CL-CF VAR RATE 12-25-2056**290,275 
FNMA REMIC TR 2020-77 CL-DP .75% 11-25-2050**3,344,368 
FNMA REMIC TR 2021-M900 CL-A1 .833% 12-25-2030**1,470,901 
FNMA REMIC TR 2022-M8 CL-A1 VAR 1.93632%12-25-2031**1,594,652 
FNMA REMIC TR 2024-104 CL-FA VAR 5.40201% 01-25-2055**2,086,472 
FNMA REMIC TR SER 06-106 CL FC FLTG DUE 11-25-2036 REG**308,795 
FNMA REMIC TR SER 13-99 CL BD 2% 08-25-2041**120,489 
FNMA REMIC TR SER 2013-12 CL-P 1.75% DUE 11-25-2041 REG**410,349 
FNMA REMIC TR SR 12-128 CL WB 1.5% 10-25-2032**438,947 
FNMA REMIC TR SR 2010-130 CL-EF VAR RATE 11-25-2040**64,716 
FNMA REMIC TR SR 2010-135 CL-CA 2.0% 04-25-2040**33,249 
FNMA REMIC TRUST SER 23-M4 CL A2 VAR RT DUE 08-25-2032**185,453 
FNMA SER 07-15 CL CF FLT RT DUE 03-25-2037 REG**113,374 
FNMA SER 10-118 CLS FN VAR RT 10-25-2040**3,814,707 
FNMA SER 12-118 CL VZ 3.0% DUE 11-25-2042 REG**4,981 
FNMA SER 12-139 CL CA 2.0% 11-25-2042 REG**312,330 
FNMA SER 12-35 CL PL 2.0% DUE 11-25-2041 REG**104,415 
FNMA SER 12-68 CLS CA 1.5 05-25-2031**24,864 
FNMA SER 12-93 CL FL FLTG DUE 09-25-2032 BEO**557,506 
FNMA SER 13-137 CL BA 1.5% 01-25-2029**334,038 
FNMA SER 13-4 CLS GB 3.92 02-25-2043**251,763 
FNMA SER 13-44 CLS PB 1.75% DUE 01-25-2043**321,250 
FNMA SER 13-6 CLS NC 1.5% 11-25-2032**430,968 
FNMA SER 14-35 CLS CA 3.5 06-25-2044**473,949 
FNMA SER 14-67 CL HC 3.0% 03-25-2044**6,224 
FNMA SER 15-79 CLS FA FLTG 11-25-2045**5,927,871 
FNMA SER 16-2 CLS HA 3 12-25-2041**187,200 
FNMA SER 16-8 CLS HA 3.0% 06-25-2027**90,640 
FNMA SER 18-70 CLS HA 3.5% 10-25-2056**3,798,899 
FNMA SER 19-28 CL FJ FLTG DUE 06-25-2059 REG**1,514,686 
FNMA SER 2010-54 CL FT FRN 04-25-2037**3,344,380 
FNMA SER 2010-58 CL NK 3% 05-25-2040**4,855 
FNMA SER 2010-64 CL DM 05/01/2010 5 06/25/2040**42,118 
FNMA SER 2011-146 CL NB 4 09-25-2041**509 
FNMA SER 2012-102 CL GA 1.375 DUE 09-25-2027 REG**411,867 
FNMA SER 2012-145 CL DC 1.5 DUE 01-25-2028**85,718 
FNMA SER 2012-28 CL B 6.5 06-25-2039**4,246 
FNMA SER 2013-23 CL-NH 2% 03-25-2028**93,840 
FNMA SER 2013-9 CL BC 6.5 07-25-2042**571,230 
FNMA SER 2016-76 CL-ME 3.0% 01-25-2046**1,344,392 
FNMA SER 2017-M12 CL A2 FLTG RT 06-25-2027**218,879 
FNMA SER 2017-M5 CL A2 3.303% 04-25-2029**127,083 
FNMA SER 2017-T1 CL A 2.898% DUE 06-25-2027 REG**474,215 
FNMA SER 2017-T1 CL A 2.898% DUE 06-25-2027 REG**226,717 
FNMA SER 2018-17 CL EA 3.5% DUE 11-25-2047**288,355 
FNMA SER 2018-M3 CL A2 3.1935% 02-25-2030**247,116 
FNMA SER 2018-M4 CL A2 VAR RT DUE 03-25-2028 REG**328,518 
FNMA SER 2019-M4 CL A2 3.61% 02-25-2031 REG**341,037 
93

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FNMA SER 20-37 CL FH FLTG RT 06-25-2050**1,050,257 
FNMA SER 20-79 CLS JA 1.5% 11-25-2050**1,712,774 
FNMA SER 21-M2G CL A1 1.198% 03-25-2031 REG**5,459,119 
FNMA SERIES 2013-5 CLASS MP 3.5 02-25-2043**574,849 
FNMA SR 05-79 CL UC 5.75 09-25-2035**593,703 
FNMA SR 06-101 CL FC VAR RT 07-25-2036**57,197 
FNMA SR 12-107 CL-AJ 1.75 12-25-2031**72,744 
FNMA SR 13-54 CL-CA 3.0% 06-25-2033**1,646,626 
FNMA SR 16-55 CL DC 2.5% 12-25-2034**1,365,841 
FNMA SR 17-86 CL AF VAR RT 11-25-2057**6,892,648 
FNMA SR 19-60 CL BA 2.5% 10-25-2049**86,974 
FNMA SR 2013-104 CL-ZT 3.0% 10-25-2033**2,090,378 
FNMA SR 2013-26 CL-JD 3.0% 04-25-2033**1,038,261 
FNMA SR 2017-M7 CL A2 VAR RT 02-25-2027**174,175 
FNMA TRANCHE 00766 2.25 12-25-2032**132,440 
FNMA TRANCHE 05-25-2027**271,822 
FNMA TRANCHE 12-25-2026**333,505 
FNMA TRANCHE 3.5 10-25-2042**142,137 
FNMA TRANCHE SER 2013-1 CL LA 1.25 02-25-2028**444,517 
FNMA TRANCHE SER 2018-57 CL QA 4.5% DUE 05-25-2046 REG**82,746 
FNMA TRUST 2004 W-2 CL 2A-2 7 02-25-2044**8,700 
FOCALTECH SYSTEMS TWD10**187,314 
FOOD & LIFE COMPAN NPV**191,499 
FOOT LOCKER INC COM**914,573 
FORD AUTO 6.082% 15/10/2029**1,913,039 
FORD CR AUTO LEASE 5.05% DUE 06-15-2027**1,107,011 
FORD CR AUTO LEASE 5.87% DUE 01-15-2027**4,248,760 
FORD CR AUTO LEASE 5.9% DUE 02-15-2026**367,469 
FORD CR AUTO OWNER 1.53% DUE 05-15-2034**472,217 
FORD CR AUTO OWNER 1.61% DUE 10-17-2033**690,765 
FORD CR AUTO OWNER 1.91% DUE 05-15-2034**1,132,775 
FORD CR AUTO OWNER 5.53% DUE 09-15-2028**5,124,707 
FORD CR AUTO OWNER TR SER 2021-A CL C .83% DUE 08-15-2028 REG**991,693 
FORD CR FLOORPLAN 4.3% DUE 09-15-2029**8,708,025 
FORD CR FLOORPLAN 4.92% DUE 05-15-2028**3,416,195 
FORD CR FLOORPLAN 5.24% DUE 04-15-2031**2,488,172 
FORD CR FLOORPLAN MASTER OWNER TR A SER 20-2 CL A 1.06% DUE 09-15-2027 REG**1,005,832 
FORD CR FLOORPLAN MASTER OWNER TR SER 18-4 CL A 4.06% 11-15-2030 REG**4,698,745 
FORD CREDIT AUTO OWNER TRUST SER 23-A CL A3 4.65% DUE 02-15-2028**405,721 
FORD CREDIT AUTO OWNER TRUST SER 23-A CL A3 4.65% DUE 02-15-2028**2,015,581 
FORD CREDIT AUTO OWNER TRUST SER 24-B CLS A3 5.1% 04-15-2029**1,163,354 
FORD FNDTN 2.815% DUE 06-01-2070**132,408 
FORD MOTOR CREDIT CO LLC 5.8% 03-05-2027**302,854 
FORD MOTOR CREDIT CO LLC 5.8% 03-05-2027**1,695,984 
FORD MOTOR CREDIT CO LLC 6.125% 03-08-2034**205,384 
FORD MOTOR CREDIT CO LLC 6.125% 03-08-2034**8,508,766 
FORD MOTOR CREDIT CO LLC 6.95% 06-10-2026**3,541,097 
FORD MOTOR CREDIT CO LLC 7.35% DUE 11-04-2027 BEO**633,411 
94

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FORD MTR CO DEL 3.25% 02-12-2032**357,659 
FORD MTR CO DEL 6.1% 08-19-2032A**1,055,516 
FORD MTR CR CO LLC 4.134% DUE 08-04-2025**397,524 
FORD MTR CR CO LLC 3.375% DUE 11-13-2025BEO**3,346,718 
FORD MTR CR CO LLC 4.0% DUE 11-13-2030 BEO**720,770 
FORD MTR CR CO LLC 4.125% DUE 08-17-2027**386,718 
FORD MTR CR CO LLC 4.125% DUE 08-17-2027**816,941 
FORD MTR CR CO LLC 4.95% 05-28-2027**396,313 
FORD MTR CR CO LLC 4.95% 05-28-2027**956,106 
FORD MTR CR CO LLC 5.8% 03-08-2029**500,357 
FORD MTR CR CO LLC 5.8% 03-08-2029**1,829,306 
FORESEA HLDGS S A 7.5% DUE 06-15-2030**44,229 
FORESTAR GROUP INC COM**236,961 
FORMOSA PROSONIC NPV**36,626 
FORTINET INC COM**2,934,265 
FORTIS HEALTHCARELIMITED. W.E.F**98,837 
FORTIS INC 3.055% DUE 10-04-2026**290,544 
FORTREA HLDGS INC COM**633,839 
FORTUNA MNG CORP COM**347,497 
FORTUNE BRANDS INNOVATIONS INC USD0.01**1,273,603 
FORVIA EUR7**75,986 
FOSITEK CORP TWD10**1,161,219 
FOSTER ELECTRIC CO NPV**270,685 
FOX CORP CL A CL A**3,813,919 
FOX CORP CL B CL B**110,828 
FOX CORP FIXED 3.05% DUE 04-07-2025**2,861,233 
FOXCONN TECH CO TWD10**726,197 
FOXSEMICON INTEGRA TWD10**686,178 
FRANCE(GOVT OF) 0.5% SNR 25/05/72 EUR1'REGS**35,557 
FRANCE(GOVT OF) 0.75% SNR 25/05/2052 EUR1**817,875 
FRANCE(GOVT OF) 2% SNR 25/05/2048 EUR1**233,388 
FRANCE(GOVT OF) 3% BDS 25/06/2049 EUR1'144A**187,415 
FRANCE(GOVT OF) 3.25% SNR 25/05/2045 EUR1**99,435 
FRANCE(GOVT OF) IDX/LKD SNR 25/07/2031 EUR1**472,526 
FREDDIE MAC 01/02/2051 2% 02-01-2051**252,032 
FREDDIE MAC 4.5% 01/01/2040 4.5% 01-01-2040**1,577,771 
FREDDIE MAC FR QG7153 4% 07-01-2053**32,857 
FREDDIE MAC FR QG9541 6% 08-01-2053**303,437 
FREDDIE MAC FR QJ0915 6% 08-01-2054**302,867 
FREDDIE MAC FR QJ3945 6% 09-01-2054**93,578 
FREDDIE MAC FR RA7346 3% 06-01-2052**2,424,046 
FREDDIE MAC FR SD1441 4% 08-01-2052**131,165 
FREDDIE MAC FR SD2864 3% 03-01-2052**4,738,519 
FREDDIE MAC POOL #G08847 4% 11-01-2048 BEO**5,753,730 
FREDDIE MAC POOL #SD1749 2.5% 04-01-2052**282,076 
FREDDIE MAC POOL FR QH2780 5.50% 5.5% 09-01-2053**28,407 
FREDDIE MAC POOL FR QI9919 5% 07-01-2054**191,979 
FREDDIE MAC POOL FR SI2103 2% 08-01-2050**301,876 
95

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
FREDDIE MAC RA7026 3% 03-01-2052**3,319,712 
FREDDIE MAC RJ0136 4.5% 12-01-2053**6,284,085 
FREDDIE MAC SER 3914 CL NA 4.0% 06-15-2039**200,496 
FREDDIE MAC SER 4000 CL PJ 3.0% 01-15-2042**20,026 
FREDDIE MAC SER 4102 CL CE 1.5% 11-15-2040**89,403 
FREDDIE MAC SR 5439 CL FK FLTG RT 08-25-2054**3,449,397 
FREDDIE MAC SR 5483 CL FD FLTG RT 12-25-2054**841,904 
FREDDIEMAC STRIP FLTG 6.22809% 10-25-2053**4,748,465 
FREEPORT-MCMORAN INC**2,956,379 
FRESHPET INC COM**1,582,407 
FRIEDRICH VORWERK NPV**209,163 
FRONTIER COMMUNICATIONS PARENT INC COM NPV**382,810 
FRP ADVISORY GROUP ORD GBP0.001**225,201 
FS KKR CAP CORP SR NT 3.125% 10-12-2028**3,622,515 
FTAI AVIATION LTD COM USD0.01**9,139,914 
FUCHS SE**19,542 
FUJI CORP(RETAIL) NPV**36,462 
FUJI MACHINE MFG NPV**462,100 
FUJITSU NPV**6,081,378 
FULGENT SUN INTERNATIONAL CO LTD TWD10 RIGHTS 31/12/2024**356 
FULLER H B CO COM**808,343 
FULLER SMITH&TURNR 'A'ORD GBP0.40**42,093 
FUSHENG PRECISION TWD10**538,059 
FUTURE CORPORATION NPV**87,203 
FY GROUP LTD TWD10**39,485 
G CITY LTD ILS1**340,344 
G8 EDUCATION LTD NPV**153,702 
GABIA INC KRW500**97,859 
GAKKEN HOLDINGS CO LTD NPV**95,370 
GAKUJO CO LTD NPV**82,666 
GALLAGHER ARTHUR J & CO COM**15,676,752 
GALP ENERGIA SGPS EUR1**5,567,801 
GAMMA COMMUNICATIO ORD GBP0.0025**219,153 
GAMUDA BERHAD NPV**730,796 
GAP INC COM**496,183 
GAS MALAYSIA BHD**35,978 
GATES INDL CORP PL COM USD0.01**2,889,077 
GATX CORP SR NT 5.4% 03-15-2027**1,249,012 
GAZPROM PJSC RUB5(RUB)**287,967 
GAZPROM PJSC SPON ADR-EACH REPR 2 ORD SHS**8,180 
G-BITS NETWORK TEC A CNY1 STOCK CONNECT**927,048 
GBL ONE R/EST INV REIT**244,413 
GCAT 2021-NQM7 TR MTG PASSTHRU CTF CL A-1 1.915% 08-25-2066**1,067,422 
GCAT 2022-INV2 TR 3% DUE 04-25-2052**356,063 
GCAT 2023-NQM4 TR 4.25% DUE 05-25-2067**253,006 
GCAT 2023-NQM4 TR 4.25% DUE 05-25-2067**3,036,074 
GDR NESTLE S A SPONSORED ADR REPSTG REG SH**12,526,979 
GE AEROSPACE**8,440,603 
96

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
GE CAP FDG LLC 4.55% 05-15-2032**3,871,659 
GE HEALTHCARE HLDG LLC GTD SR NT 5.6% 11-15-2025**1,189,921 
GE HEALTHCARE TECHNOLOGIES INC COM**12,978,505 
GE VERNOVA T AND D INDIA LIMITED**601,454 
GEBERIT AG CHF0.10 (REGD)**633,135 
GEELY AUTOMOBILE H HKD0.02**404,462 
GEMTEK TECHNOLOGY TWD10**519,087 
GEN DYNAMICS CORP FIXED 3.25% DUE 04-01-2025**996,944 
GEN MTRS CO COM**20,980,709 
GEN MTRS FINL CO 5.25% DUE 03-01-2026**1,284,491 
GENERAL DYNAMICS CORP COM**32,881,444 
GENERAL INTERFACE TWD10**137,364 
GENERAL MILLS INC 5.241% DUE 11-18-2025 BEO**1,510,013 
GENERAL MILLS INC COM**3,214,008 
GENERAL MOTORS CO 5.0% 04-09-2027**1,861,923 
GENERAL MOTORS FINANCIAL CO 5.95% 04-04-2034**246,233 
GENERAL MOTORS FINANCIAL CO INC 2.35% 02-26-2027**2,843,220 
GENERAL MOTORS FINANCIAL CO INC 2.4% 04-10-2028**643,170 
GENERAL MOTORS FINANCIAL CO INC 5.35% 07-15-2027**520,070 
GENERAL MOTORS FINANCIAL CO INC 5.4% DUE04-06-2026**1,023,636 
GENERAL MOTORS FINANCIAL CO INC 5.45% 09-06-2034**140,771 
GENERAL MOTORS FINANCIAL CO INC 5.8% 01-07-2029**510,151 
GENERAL MOTORS FINL CO 2.4% DUE 10-15-2028 BEO**2,225,620 
GENERAL MTRS CO 5.15% DUE 04-01-2038**230,264 
GENERAL MTRS CO 6.125% DUE 10-01-2025**2,114,660 
GENERAL MTRS FINL CO 5.55% 07-15-2029**738,976 
GENERAL MTRS FINL CO INC 1.5% DUE 06-10-2026 BEO**2,301,552 
GENERAL MTRS FINL CO INC 2.7% DUE 06-10-2031 BEO**277,986 
GENERAL MTRS FINL CO INC 2.7% DUE 08-20-2027 REG**1,955,728 
GENERAL MTRS FINL CO INC 3.8% 04-07-2025**3,773,066 
GENERAL MTRS FINL CO INC 5.4% 05-08-2027**1,833,918 
GENERAL PLASTIC IN TWD10**31,158 
GENERALITAT DE CAT 4.22% SNR 26/04/35 EUR1000**106,616 
GENESCO INC COM**342,000 
GENIUS SPORTS LTD COM NPV**3,985,600 
GENMAB AS DKK1**631,383 
GENTERA SAB DE CV COM NPV**86,115 
GENTEX CORP COM**5,717,126 
GENWORTH FINL INC COMMON STOCK**684,160 
GEO GROUP INC(THE) COM USD0.01 NEW**372,218 
GEORGIA POWER CO 4.7% 05-15-2032**4,866,535 
GEORGIA POWER CO 5.004% 02-23-2027**3,243,989 
GEORGIA PWR CO 5.125% DUE 05-15-2052 BEO**204,513 
GERON CORP COM**256,823 
GFL ENVIRONMENTAL INC. COM NPV SUB VTG SHS**4,999,437 
GFPT PCL THB1(NVDR)**263,434 
GIBSON ENERGY INC COMM STK**1,198,298 
GIC HOUSING FINANC INR10**53,640 
97

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
GILDAN ACTIVEWEAR INC COM**11,896,028 
GILEAD SCIENCES 3.65% DUE 03-01-2026**1,741,839 
GILEAD SCIENCES 4.5% DUE 02-01-2045**265,982 
GILEAD SCIENCES 4.75% DUE 03-01-2046**608,535 
GILEAD SCIENCES 4.8% DUE 11-15-2029**2,740,466 
GILEAD SCIENCES INC**2,327,447 
GIVAUDAN SA CHF10**2,122,494 
GLACIER BANCORP INC NEW COM**16,386,133 
GLAUKOS CORP COM**1,284,686 
GLENCORE FDG LLC 3.875% DUE 10-27-2027**3,628,835 
GLENCORE FDG LLC 4% DUE 03-27-2027**784,327 
GLENMARK PHARM INR1.00**555,577 
GLOBAL E ONLINE LTD COM NPV**4,067,120 
GLOBAL LIGHTING TECHNOLOGIES INC SHS**41,270 
GLOBAL PMTS INC 1.2% DUE 03-01-2026**4,813,062 
GLOBAL PMTS INC 2.9% 11-15-2031**1,710,080 
GLOBAL PMTS INC FIXED 2.9% DUE 05-15-2030**1,246,467 
GLOBAL SHIP LEASE INC**239,606 
GLOBE LIFE INC COM**3,321,735 
GLORY LTD NPV**932,478 
GLP CAP L P / GLP 5.25% DUE 06-01-2025**2,729,372 
GLP CAP L P / GLP 5.375% DUE 04-15-2026**6,844,869 
GLP CAP L P/GLP FING II INC 5.625% 09-15-2034**2,262,989 
GLP CAP L P/GLP FING II INC 6.25% 09-15-2054**1,404,053 
GLS AUTO 1.48% DUE 07-15-2027**2,070,213 
GLS AUTO 6.38% DUE 12-15-2028**3,398,314 
GLS AUTO 7.01% DUE 01-16-2029**2,172,742 
GM FINANCIAL AUTOMOBILE LEASIN 5.78% SER 24-2 CL A3 07-20-2027**379,088 
GM FINANCIAL AUTOMOBILE LEASIN SER 24-1 CL A3 0.0% 03-22-2027**2,464,875 
GM FINANCIAL AUTOMOBILE LEASING TRU SER 23-3 CL A3 5.38% DUE 11-20-2026**5,126,696 
GM FINANCIAL CONSUMER AUTOMOBILE SER 2024-1 CL A3 4.85% 12-18-2028**221,124 
GM FINANCIAL SECURITIZED TERM SER 23-1 CL A3 4.66% DUE 02-16-2028**1,857,995 
GM FINANCIAL SECURITIZED TERM SER 23-1 CL A3 4.66% DUE 02-16-2028**735,958 
GM FINANCIAL SECURITIZED TERM SER 24-2 CL A2A 5.33% 03-16-2027**1,362,193 
GM FINL AUTOMOBILE 5.16% DUE 01-20-2027**651,405 
GM FINL AUTOMOBILE 5.43% DUE 09-21-2026**2,798,806 
GM FINL CNSMR 5.5% DUE 08-16-2028**506,115 
GM FINL CNSMR AUTOMOBILE SER 24-1 CL A2A 5.54% 02-16-2027**684,156 
GM FINL CONSUMER AUTOMOBILE RECEIVABLES AUTO NT CL A-4 3.71% 12-16-2027**579,109 
GM FINL CONSUMER AUTOMOBILE RECEIVABLES CL A-4 3.25% 04-17-2028**3,277,573 
GM FINL CONSUMER AUTOMOBILE RECEIVABLES SR 22-2 CL A-3 3.1% 01-19-2027**473,211 
GMO GLOBALSIGN HOLDINGS KK**21,032 
GNMA 2.3% DUE 11-16-2051**129,757 
GNMA 2.4% DUE 09-16-2058**34,346 
GNMA 2.5% DUE 10-16-2057**27,082 
GNMA 2008-047 REMIC CL ML 5.25 DUE 06-16-2038**12,557 
GNMA 2009-069 CL PV 4 DUE 08-20-2039**7,473 
GNMA 2009-076 REMIC PASSTHRU MX CL CF 09-16-2039**254,865 
98

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
GNMA 2009-096 REMIC PASSTHRU FT 10-20-2039**251,044 
GNMA 2010-046 REMIC PASSTHRU 5.22628% 03-20-2035**872,390 
GNMA 2010-H11 REMIC PASSTHRU CTF CL FA 06-20-2060**467,654 
GNMA 2010-H26 REMIC PASSTHRU CTF CL LF INT FLTG 08-20-2058**427,021 
GNMA 2011-157 REMIC PASSTHRU CL PA 3.0% DUE 03-20-2041**84,621 
GNMA 2011-H09 CL AF VAR 03-20-2061**197,383 
GNMA 2012-059 REMIC PASSTHRU CTF CL F 05-20-2042**92,158 
GNMA 2012-105 REMIC PASSTHRU CTF 1.25% 08-16-2027**868,956 
GNMA 2012-106 REMIC PASSTHRU 1.25% 09-20-2027**2,920,848 
GNMA 2012-H08 REMIC PASSTHRU CTF CL FS 04-20-2062**962,803 
GNMA 2012-H31 REMIC PASSTHRU SECS CL FD VAR RT 12-20-2062**498,997 
GNMA 2013-88 REMIC CL WA VAR RT DUE 06-20-2030 REG**5,699 
GNMA 2013-H04 REMIC PASSTHRU CTF CL BA 1.65 DUE 02-20-2063**354 
GNMA 2013-H05 REMIC PASSTHRU CL FB FLTG RT 02-20-2062**689 
GNMA 2013-H15 REMIC PASSTHRU CTF 4.99004% 07-20-2063**856,284 
GNMA 2013-H22 REMIC PASSTHRU 5.08004% 07-20-2063**504,888 
GNMA 2013-H22 REMIC PASSTHRU 6.08004% 08-20-2063**139,059 
GNMA 2014-190 REMIC PASSTHRU CTF CL PA FIXED 3.0% 06-20-2044**496,138 
GNMA 2014-H10 CL FA FLTG RT DUE04-20-2064**57,800 
GNMA 2014-H17 REMIC PASSTHRU CTF 5.11845% 08-20-2064**899,742 
GNMA 2014-H20 REMIC SER 14-H20 CL FA FLTG DUE 10-20-2064 REG**495,835 
GNMA 2015-H06 REMIC PASSTHRU CTF 5.09004% 02-20-2065**1,861,224 
GNMA 2015-H27 REMIC PASSTHRU CTF CL FA 09-20-2065**375,360 
GNMA 2015-H28 REMIC PASSTHRU CTF CL MX-FL 10-20-2065**909,558 
GNMA 2015-H29 REMIC PASSTHRU SEC CL FJ 11-20-2065**1,069,902 
GNMA 2015-H31 REMIC PASSTHRU SEC CL FT 11-20-2065**74,223 
GNMA 2015-H32 REMIC PASSTHRU CTF CL FH 12-20-2065**123,000 
GNMA 2016-H04 MTG PASSTHRU CTF CL FK 02-20-2066**289,862 
GNMA 2016-H11 REMIC PASSTHRU CTF CL FE 04-20-2066**850,119 
GNMA 2016-H13 REMIC PASS THRU SECS CL FT05-20-2066**91,109 
GNMA 2016-H19 REMIC PASSTHRU SECS CL FA 09-20-2066**685,698 
GNMA 2016-H20 REMIC PASSTHRU CTF CL FG 08-20-2066**134,528 
GNMA 2016-H22 REMIC PASSTHRU CTF CL FA 10-20-2066**1,815,046 
GNMA 2016-H23 REMIC PASSTHRU CTF CL F FLTG RT 10-20-2066**551,413 
GNMA 2016-H26 REMIC PASSTHRU SECS CL MX-FC 12-20-2066**42,474 
GNMA 2017-121 MTG PASS THRU CTF 3% 07-20-2046**2,957 
GNMA 2017-153 CL WA DUE 06-20-2036**193,296 
GNMA 2017-H03 CL FB FLTG 06-20-2066**271,653 
GNMA 2017-H03 REMIC PASSTHRU CTF 5.24004% 01-20-2067**383,639 
GNMA 2017-H06 REMIC PASS THRU 5.19004% 11-20-2066**981,589 
GNMA 2017-H10 REMIC PASSTHRU SECS CL FB FLTG RT 04-20-2067 REG**483,120 
GNMA 2017-H14 CL FD FLTG 06-20-2067**282,393 
GNMA 2017-H14 REMIC PASSTHRU CTF CL FB 06-20-2067**546,699 
GNMA 2017-H14 REMIC PASSTHRU CTF CL FE 06-20-2067**1,339,058 
GNMA 2017-H14 REMIC PASSTHRU CTF CL FG 06-20-2067**671,828 
GNMA 2017-H16 REMIC PASSTHRU CTF CL FG FLTG 07-20-2067 REG**9,071,675 
GNMA 2017-H16 REMIC PASSTHRU CTF CL FH 07-20-2067**11,704,122 
GNMA 2017-H23 MTG PASS THRU CTF 4.89004%11-20-2067**1,944,498 
99

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
GNMA 2018-H08 REMIC SER 2018-H08 CLS KF VAR RT DUE 05-20-2068**863,287 
GNMA 2019-H09 REMIC PASSTHRU CTF 4.94004% 04-20-2069**1,024,643 
GNMA 2019-H11 REMIC PASSTHRU CTF 5.04004% 05-20-2069**2,021,342 
GNMA 2020-H13 REMIC PASSTHRU CTF 4.84004% 08-20-2070**1,059,596 
GNMA 2020-H13 REMIC PASSTHRU CTF 4.89004% 07-20-2070**3,332,268 
GNMA 2020-H13 REMIC PASSTHRU CTF 4.89004% 07-20-2070**6,594,323 
GNMA 3% DUE 01-20-2046**364,179 
GNMA 3% DUE 02-16-2046**603,997 
GNMA 3% DUE 09-16-2039**4,471 
GNMA 3.5% DUE 03-20-2046**590,252 
GNMA 4% DUE 04-16-2041**110,227 
GNMA 4% DUE 07-16-2039**7,271 
GNMA 4.86004% 06-20-2070**2,205,756 
GNMA 4.94004% 05-20-2069**1,900,722 
GNMA 4.94004% 07-20-2070**385,635 
GNMA 5% DUE 03-16-2034**79,239 
GNMA 5.5% DUE 08-20-2033**51,188 
GNMA 5.5% DUE 11-20-2037**25,142 
GNMA 6.5% DUE 08-16-2042**166,420 
GNMA CL 2007-035 CL TE 6 DUE 06-20-2037**17,414 
GNMA FIXED 3.5% DUE 02-20-2045**23,272 
GNMA FLTG RT 4.77004% DUE 10-20-2060**918,988 
GNMA FLTG RT 4.94004% DUE 04-20-2061**722,557 
GNMA FLTG RT SER 18-H19 CL FA 12-20-2063 REG**1,832,471 
GNMA GNMA # MA7194 3% 02-20-2051**4,342,571 
GNMA GNMA # MA7471 2% 07-20-2051**2,939,298 
GNMA MTG PASS THRU CTF CL FM 02-20-2066**911 
GNMA POOL #3529 5% 03-20-2034 BEO**817 
GNMA POOL #4028 6% 09-20-2037 BEO**13,971 
GNMA POOL #4041 7% 10-20-2037 BEO**71,174 
GNMA POOL #4222 6% 08-20-2038 BEO**12,693 
GNMA POOL #4245 6% 09-20-2038 BEO**159,405 
GNMA POOL #4247 7% 09-20-2038 BEO**55,985 
GNMA POOL #4423 4.5% 04-20-2039 BEO**1,300 
GNMA POOL #4447 5% 05-20-2039 BEO**27,475 
GNMA POOL #4520 5% 08-20-2039 BEO**120,541 
GNMA POOL #4543 6% 09-20-2039 BEO**11,543 
GNMA POOL #4746 4.5% 07-20-2040 BEO**47,998 
GNMA POOL #4800 4% 09-20-2040 BEO**109,906 
GNMA POOL #4833 4% 10-20-2040 BEO**377,881 
GNMA POOL #4834 4.5% 10-20-2040 BEO**15,828 
GNMA POOL #4855 5% 11-20-2040 BEO**353,317 
GNMA POOL #4883 4.5% 12-20-2040 BEO**83,113 
GNMA POOL #4923 4.5% 01-20-2041 BEO**81,867 
GNMA POOL #4945 4% 02-20-2041 BEO**62,576 
GNMA POOL #497630 SER 2029 6% DUE 02-15-2029 REG**100 
GNMA POOL #4978 4.5% 03-20-2041 BEO**1,618,208 
GNMA POOL #4979 5% 03-20-2041 BEO**157,128 
100

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
GNMA POOL #498387 SER 2029 6% DUE 02-15-2029 REG**460 
GNMA POOL #4984 5.5% 03-20-2041 BEO**168,260 
GNMA POOL #5016 4% 04-20-2041 BEO**55,483 
GNMA POOL #5017 4.5% 04-20-2041 BEO**133,349 
GNMA POOL #5018 5% 04-20-2041 BEO**107,168 
GNMA POOL #5115 4.5% 07-20-2041 BEO**23,161 
GNMA POOL #5140 4.5% 08-20-2041 BEO**223,622 
GNMA POOL #521330 SER 2035 5% DUE 05-15-2035 BEO**51,025 
GNMA POOL #5259 4% 12-20-2041 BEO**31,734 
GNMA POOL #5280 4% 01-20-2042 BEO**47,763 
GNMA POOL #5305 4% 02-20-2042 BEO**281,904 
GNMA POOL #543812 SER 2031 6% DUE 02-15-2031 REG**5,242 
GNMA POOL #586373 5% DUE 02-15-2035 REG**2,309 
GNMA POOL #594106 SER 2033 4.5% DUE 09-15-2033 BEO**11,971 
GNMA POOL #595611 SER 2035 5% DUE 01-15-2035 BEO**1,076 
GNMA POOL #604497 5% 07-15-2033 BEO**2,185 
GNMA POOL #607451 SER 2034 5% DUE 01-15-2034 REG**10,041 
GNMA POOL #607465 5% DUE 02-15-2034 REG**10,796 
GNMA POOL #610410 SER 2033 5% DUE 08-15-2033 BEO**2,818 
GNMA POOL #615656 5% 10-15-2033 BEO**1,764 
GNMA POOL #623871 5.0% 06-15-2034**1,779 
GNMA POOL #633701 5.0% 09-15-2033**2,668 
GNMA POOL #636484 5.0% 03-15-2035**3,006 
GNMA POOL #637746 5.0% 12-15-2034**3,680 
GNMA POOL #638222 5% 12-15-2034 BEO**1,310 
GNMA POOL #643362 5% 10-15-2035 BEO**1,163 
GNMA POOL #668014 3% 11-15-2044 BEO**1,186,287 
GNMA POOL #670030 3% 07-15-2045 BEO**260,879 
GNMA POOL #672676 SER 2038 5.5% DUE 04-15-2038 BEO**24,415 
GNMA POOL #676754 SER 2038 5.5% DUE 03-15-2038 REG**68,483 
GNMA POOL #687179 SER 2038 5.5% DUE 04-15-2038 REG**25,442 
GNMA POOL #687835 6% 08-15-2038 BEO**18,849 
GNMA POOL #688043 6% 11-15-2038 BEO**27,480 
GNMA POOL #690922 5.5% 06-15-2038 BEO**43,284 
GNMA POOL #697586 5.5% 11-15-2038 BEO**1,372 
GNMA POOL #711379 SER 2038 5.5% DUE 07-15-2038 REG**1,300 
GNMA POOL #723344 4% 09-15-2039 BEO**121,921 
GNMA POOL #723430 4.5% 11-15-2039 BEO**32,369 
GNMA POOL #723616 5% 01-15-2040 BEO**333,111 
GNMA POOL #726480 5% 11-15-2039 BEO**445,534 
GNMA POOL #733600 SER 2040 5% DUE 04-15-2040 REG**4,357 
GNMA POOL #733627 5% 05-15-2040 BEO**9,449 
GNMA POOL #736520 SER 2040 4.5% DUE 04-15-2040 REG**140,266 
GNMA POOL #737111 FIXED 4.5% 04-15-2040 BEO**96,773 
GNMA POOL #738108 4.5% 03-15-2041 BEO**150,237 
GNMA POOL #745243 4% 07-15-2040 BEO**131,412 
GNMA POOL #771561 4.0% 08-15-2041**65,596 
GNMA POOL #781804 6% 09-15-2034 BEO**68,915 
101

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
GNMA POOL #781847 6% 12-15-2034 BEO**52,758 
GNMA POOL #781885 SER 2035 5% DUE 03-15-2035 REG**3,604 
GNMA POOL #781902 6% 02-15-2035 BEO**68,420 
GNMA POOL #781958 5% 07-15-2035 BEO**3,431 
GNMA POOL #782382 5.5% 08-15-2038 BEO**5,379 
GNMA POOL #782436 6% 10-15-2038 BEO**30,093 
GNMA POOL #782716 SER 2039 5% DUE 07-15-2039 REG**36,569 
GNMA POOL #784119 3% 02-20-2046 BEO**174,992 
GNMA POOL #786843 3% 03-20-2052 BEO**2,399 
GNMA POOL #799706 SER 2042 3.5% DUE 09-15-2042 BEO**38,106 
GNMA POOL #AA5821 3 DUE 11-15-2042 REG**293,107 
GNMA POOL #AB3031 SER 2042 3% DUE 10-15-2042 REG**77,133 
GNMA POOL #AC3752 3 DUE 12-15-2042 REG**110,097 
GNMA POOL #AD1034 3% DUE 07-15-2043 REG**185,542 
GNMA POOL #AD2413 3.5% DUE 05-15-2043 REG**63,369 
GNMA POOL #AD2414 3.5 DUE 05-15-2043 REG**52,415 
GNMA POOL #AD4102 SER 2043 3 DUE 07-15-2043 REG**406,649 
GNMA POOL #AD6086 3.5% 02-15-2050 BEO**374,874 
GNMA POOL #AE7691 3 DUE 08-15-2043 REG**618,213 
GNMA POOL #AE8109 SER 2044 3.5% DUE 01-15-2044 BEO**17,753 
GNMA POOL #AF5807 SER 2044 3.5% DUE 01-15-2044 BEO**30,456 
GNMA POOL #AI6888 3% 05-15-2045 BEO**434,551 
GNMA POOL #AK6718 3% 01-15-2045 BEO**38,664 
GNMA POOL #AK7285 3% 03-15-2045 BEO**111,620 
GNMA POOL #AK7286 3% 03-15-2045 BEO**149,578 
GNMA POOL #AK7329 3% 04-15-2045 BEO**696,645 
GNMA POOL #AK8997 SER 2045 3% DUE 07-15-2045 BEO**213,185 
GNMA POOL #AL1539 3% 05-15-2045 BEO**59,076 
GNMA POOL #AL4608 SER 2045 3% DUE 03-15-2045 BEO**598,847 
GNMA POOL #AL8635 SER 2045 3% DUE 03-15-2045 BEO**449,049 
GNMA POOL #AM4099 3% 04-15-2045 BEO**349,972 
GNMA POOL #AM8643 3% 05-15-2045 BEO**474,074 
GNMA POOL #AM8646 3% 05-15-2045 BEO**229,807 
GNMA POOL #AN5715 3% 06-15-2045 BEO**58,402 
GNMA POOL #AN5721 3% 06-15-2045 BEO**38,090 
GNMA POOL #AN5726 SER 2045 3% DUE 06-15-2045 BEO**490,048 
GNMA POOL #AN5733 3% 06-15-2045 BEO**49,894 
GNMA POOL #AN5734 SER 2045 3% DUE 06-15-2045 BEO**349,590 
GNMA POOL #AS6414 6.608% 03-20-2066 BEO**266,171 
GNMA POOL #BD4016 3% 10-15-2049 BEO**338,546 
GNMA POOL #BL1045X SER 2049 3.5% 10-15-2049**233,874 
GNMA POOL #BM9692 4.5% 07-20-2049 BEO**332,189 
GNMA POOL #BP6203X 3.5% 11-15-2049**243,635 
GNMA POOL #BP6229 3% 11-15-2049 BEO**499,005 
GNMA POOL #BQ0651 3.5% 11-15-2049 BEO**156,837 
GNMA POOL #BQ7371 3.5% 11-15-2049 BEO**71,128 
GNMA POOL #BR6606 3% 02-15-2050 BEO**23,597 
GNMA POOL #BS5027 3.5% 02-15-2050 BEO**19,502 
102

Table of Contents

Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
GNMA POOL #BS5195 3.5% 01-15-2050 BEO**45,051 
GNMA POOL #MA0318 3.5% 08-20-2042 BEO**601,209 
GNMA POOL #MA1376 4% 10-20-2043 BEO**133,236 
GNMA POOL #MA1377 4.5% 10-20-2043 BEO**238,325 
GNMA POOL #MA1448 3.5% 11-20-2043 BEO**4,290 
GNMA POOL #MA1839 4% 04-20-2044 BEO**154,358 
GNMA POOL #MA1997 4.5% 06-20-2044 BEO**192,041 
GNMA POOL #MA2072 3% 07-20-2044 BEO**100,444 
GNMA POOL #MA2149 4% 08-20-2044 BEO**95,281 
GNMA POOL #MA2303 3.5% 10-20-2044 BEO**262,867 
GNMA POOL #MA2446 4% 12-20-2044 BEO**174,728 
GNMA POOL #MA2489 3% 01-20-2030 BEO**1,172,065 
GNMA POOL #MA2753 3% 04-20-2045 BEO**120,182 
GNMA POOL #MA2825 3% 05-20-2045 BEO**109,437 
GNMA POOL #MA2960 3% 07-20-2045 BEO**222,731 
GNMA POOL #MA3037 5% 08-20-2045 BEO**102,162 
GNMA POOL #MA3243 3% 11-20-2045 BEO**76,726 
GNMA POOL #MA3244 3.5% 11-20-2045 BEO**208,511 
GNMA POOL #MA3245 4% 11-20-2045 BEO**246,559 
GNMA POOL #MA3311 4% 12-20-2045 BEO**303,075 
GNMA POOL #MA3663 3.5% 05-20-2046 BEO**132,011 
GNMA POOL #MA3737 4% 06-20-2046 BEO**402,164 
GNMA POOL #MA3802 3% 07-20-2046 BEO**115,991 
GNMA POOL #MA3803 3.5% 07-20-2046 BEO**1,532,989 
GNMA POOL #MA3873 3% 08-20-2046 BEO**347,715 
GNMA POOL #MA3937 3.5% 09-20-2046 BEO**113,555 
GNMA POOL #MA3939 4.5% 09-20-2046 BEO**149,890 
GNMA POOL #MA4070 4% 11-20-2046 BEO**129,387 
GNMA POOL #MA4071 4.5% 11-20-2046 BEO**332,499 
GNMA POOL #MA4125 2.5% 12-20-2046 BEO**286,430 
GNMA POOL #MA4127 3.5% 12-20-2046 BEO**456,640 
GNMA POOL #MA4261 3% 02-20-2047 BEO**800,349 
GNMA POOL #MA4263 4% 02-20-2047 BEO**169,866 
GNMA POOL #MA4321 3.5% 03-20-2047 BEO**343,078 
GNMA POOL #MA4450 3% 05-20-2047 BEO**562,937 
GNMA POOL #MA4585 3% 07-20-2047 BEO**191,517 
GNMA POOL #MA4781 5% 10-20-2047 BEO**398,942 
GNMA POOL #MA4838 4% 11-20-2047 BEO**1,110,542 
GNMA POOL #MA4899 3% 12-20-2047 BEO**823,089 
GNMA POOL #MA4961 3% 01-20-2048 BEO**518,074 
GNMA POOL #MA4962 3.5% 01-20-2048 BEO**240,702 
GNMA POOL #MA4964 4.5% 01-20-2048 BEO**151,216 
GNMA POOL #MA5019 3.5% 02-20-2048 BEO**1,167,060 
GNMA POOL #MA5021 4.5% 02-20-2048 BEO**873,486 
GNMA POOL #MA5137 4% 04-20-2048 BEO**415,251 
GNMA POOL #MA5138 4.5% 04-20-2048 BEO**543,233 
GNMA POOL #MA5265 4.5% 06-20-2048 BEO**815,229 
103

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
GNMA POOL #MA5399 4.5% 08-20-2048 BEO**175,220 
GNMA POOL #MA5594 3.5% 11-20-2048 BEO**1,468,368 
GNMA POOL #MA5764 4.5% 02-20-2049 BEO**621,349 
GNMA POOL #MA5817 4% 03-20-2049 BEO**287,061 
GNMA POOL #MA5877 4.5% DUE 04-20-2049 REG**245,695 
GNMA POOL #MA6038 3% 07-20-2049 BEO**152,473 
GNMA POOL #MA6157 5% 09-20-2049 BEO**300,258 
GNMA POOL #MA6413 5% 01-20-2050 BEO**269,113 
GNMA POOL #MA6477 4.5% 02-20-2050 BEO**252,100 
GNMA POOL #MA6999 4.5% 11-20-2050 BEO**1,955,751 
GNMA POOL #MA8098 3% 06-20-2052 BEO**704,899 
GNMA POOL AE7613 SER 2043 3 DUE 07-15-2043 REG**59,316 
GNMA POOL G2 MA6409 3.0% 01-20-2050**995,354 
GNMA POOL#MA5712 5.0% 01-20-2049 REG**651,674 
GNMA REMIC 2015-H30 CL FD FLT RT 10-20-2065**690,939 
GNMA REMIC PASS THRU SECS SER 2012-102 CL DA 1.25% DUE 08-20-2027**1,163,643 
GNMA REMIC PASSTHRU SER 2016-H11 CLS F 05-20-2066**2,471,357 
GNMA REMIC SER 10-61 CL KG 4% FIXED DUE 03-16-2040**294,033 
GNMA REMIC SER 11-116 CL BA 2% DUE 08-16-2026**17,809 
GNMA REMIC SER 11-128 CL BL 2% DUE 09-16-2026**23,746 
GNMA REMIC SER 13-H24 CL FB FLTG DUE 09-20-2063**186,395 
GNMA REMIC SER 15-H04 CL FA FLTG DUE 12-20-2064 REG**3,286,406 
GNMA REMIC SER 2010-H02 CL FA 02-20-2060**587,924 
GNMA REMIC SR 17-H05 CL FA FLTG 01-20-2067**1,578,777 
GNMA REMIC SR 2017-H12 CL FL VAR RT 05-20-2067**8,455,806 
GNMA REMIC TRUST SER 17-H07 CL FC FLTG RT DUE 03-20-2067 REG**1,809,983 
GNMA REMIC TRUST SER 19-H03 CL FL FLTG RT DUE 02-20-2069 REG**2,861,887 
GNMA REMIC TRUST SER 20-H10 CL FG FLTG RT DUE 06-20-2070 REG**2,105,563 
GNMA SER 2017-H01 CL FC FLTG 12-20-2066**556,559 
GNMA SER 09-98 CLS DA 3.25% 07-16-2039**698,144 
GNMA SER 12-H12 CL HD 2.0% 05-20-2062**49,282 
GNMA SER 13-H18 CL EA FLTG DUE 07-20-2063 REG**72,246 
GNMA SER 13-H19 CL FB FLT 08-20-2063**1,016,378 
GNMA SER 16-H24 CL FG FLT 10-20-2066**788,689 
GNMA SER 18-36 CL AM 3.0% 07-20-2045**2,116,963 
GNMA SER 19-111 CL NA 3.5% 05-20-2048**2,882,050 
GNMA SER 19-H09 CL FG FLTG RT 05-20-2069**2,663,263 
GNMA SER 19-H14 CL EF FLTG RT 05-20-2069**731,355 
GNMA SER 2.25 DUE 12-16-2041**59,120 
GNMA SER 2009-061 CL NP 4.0% DUE 08-20-2039**193,491 
GNMA SER 2010-H010 CL FC FLTG RT DUE 05-20-2060**369,920 
GNMA SER 2015-H11 CL FC FLTG RT 5-20-2065**654,628 
GNMA SER 2015-H20 CL FB FLT RT 08-20-2065**144,384 
GNMA SER 2017-051 CL AB 2.35% 04-16-2057**71,858 
GNMA SER 2017-H07 CL FG FLTG RT DUE 02-20-2067 REG**1,061,701 
GNMA SER 2017-H19 CL FA FLTG RT DUE 08-20-2067**460,463 
GNMA SER 2018-H06 CL PF FLTG 02-20-2068**646,035 
GNMA SER 2018-H07 CL FD FLTG 05-20-2068 REG**1,355,633 
104

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
GNMA SER 24-23 CL BA 5.5% 10-20-2051**1,502,930 
GNMA SER 24-23 CL PB 5.5% 02-20-2050**1,961,389 
GNMA SER 24-43 CL F FLTG 03-20-2054**5,152,542 
GNMA SR 16-H07 CL FQ FLTG RT 03-20-2066**1,065,523 
GNMA SR 19-H15 CL AF FLTG RT 08-20-2069**456,671 
GNMA SR 2006-38 CL FZ FLTG DUE 09-16-2035**846,506 
GNMA SR 2010-115 CL DA 2.5% DUE 09-20-2040**43,939 
GNMA SR 2011-156 CL PD 2.0% 04-20-2040**132,118 
GNMA SR 20-127 CL LP 1.5% 06-20-2050**1,275,424 
GNMA SR 2018-166 CL H-C 3.5% 09-20-2048**304,851 
GNMA SR 2019-031CL HA 3.0% 07-20-2047**99,262 
GNMA SR 20-H09 CL FL FLTG RT 05-20-2070**1,196,687 
GNMA SR 22-120 CL EA 4% 05-20-2046**2,066,608 
GNMA SR 24-H08 CL FC FLTG 05-20-2074**416,948 
GNMAII POOL #004224 SER 2038 7 DUE 08-20-2038 REG**42,385 
GNMAII POOL #2958 SER 2030 8% DUE 08-20-2030 REG**2,590 
GNMAII POOL #4040 SER 2037 6.5% DUE 10-20-2037 REG**4,737 
GNMAII POOL #4060 SER 2037 6% DUE 12-20-2037 REG**15,273 
GNMAII POOL #4195 SER 2038 6% DUE 07-20-2038 REG**2,237 
GNMAII POOL #4268 SER 2038 6% DUE 10-20-2038 REG**1,652 
GNMAII POOL #4696 SER 2040 4.5% DUE 05-20-2040 REG**75,828 
GNMAII POOL #4697 SER 2040 5% DUE 05-20-2040 REG**47,319 
GNMAII POOL #4747 SER 2040 5% DUE 07-20-2040 BEO**271,175 
GNMAII POOL #4922 SER 2041 4% DUE 01-20-2041 BEO**82,650 
GNMAII POOL #5082 SER 2041 4.5% DUE 06-20-2041 BEO**93,572 
GNMAII POOL #5326 SER 2027 3% DUE 03-20-2027 BEO**18,688 
GNMAII POOL #783637 SER 2042 3% DUE 06-20-2042 REG**29,668 
GNMAII POOL #787154 6.5% 11-20-2053**339,833 
GNMAII POOL #80012 SER 2026 ADJ RT 11-20-2026**1,595 
GNMAII POOL #80106 4.625% DUE 08-20-2027REG**2,580 
GNMAII POOL #80397 SER 2030 ADJ RT 04-20-2030**475 
GNMAII POOL #8744 SER 2025 ADJ RT 11-20-2025**1,233 
GNMAII POOL #8770 SER 2025 ADJ RT 12-20-2025**1,231 
GNMAII POOL #8781 SER 2026 ADJ RT 01-20-2026**37 
GNMAII POOL #8788 SER 2026 4.625% DUE 01-20-2026 REG**314 
GNMAII POOL #BX4951 3.5% 09-20-2050**1,213,809 
GNMAII POOL #CO4938 5.0% 08-20-2052**1,441,783 
GNMAII POOL #CO4960 5.0% 08-20-2052**1,348,225 
GNMAII POOL #G2 MA4654 SER 2047 4.5% DUE08-20-2047 REG GNMAII**197,829 
GNMAII POOL #MA0023 SER 2042 4% DUE 04-20-2042 REG**92,937 
GNMAII POOL #MA0073 SER 2027 3% DUE 05-20-2027 REG**42,896 
GNMAII POOL #MA0272 SER 2027 2.0% DUE 07-20-2027**54,550 
GNMAII POOL #MA0299 SER 2027 2.5% DUE 08-20-2027 REG**98,662 
GNMAII POOL #MA0317 3 DUE 08-20-2012 REG**332,133 
GNMAII POOL #MA0391 SER 2042 3% DUE 09-20-2042 REG**431,878 
GNMAII POOL #MA0392 SER 2042 3.5 DUE 09-20-2042 REG**458,547 
GNMAII POOL #MA0462 3.5 DUE 10-20-2042 REG**642,273 
GNMAII POOL #MA0463 4 DUE 10-20-2042 REG**463,243 
105

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
GNMAII POOL #MA0624 3 12-20-2042 REG**161,465 
GNMAII POOL #MA0626 4 DUE 11-20-2042 REG**238,404 
GNMAII POOL #MA0674 SER 2028 2.5 DUE 01-20-2028 REG**2,016,320 
GNMAII POOL #MA0698 3 01-20-2043 REG**228,612 
GNMAII POOL #MA0933 SER 2043 3% DUE 04-20-2043 REG**190,760 
GNMAII POOL #MA1012 SER 2043 3.5% DUE 05-20-2043 REG**510,963 
GNMAII POOL #MA1995 SER 2044 3.5% DUE 06-20-2044 BEO**1,011,435 
GNMAII POOL #MA2372 SER 2044 4% DUE 11-20-2044 REG**387,414 
GNMAII POOL #MA2678 SER 2045 3.5% DUE 03-20-2045 REG**280,881 
GNMAII POOL #MA2754 SER 2045 3.5% DUE 04-20-2045 REG**772,302 
GNMAII POOL #MA3172 SER 2045 3% DUE 10-20-2045 REG**387,659 
GNMAII POOL #MA3174 SER 2045 4% DUE 10-20-2045 REG**197,938 
GNMAII POOL #MA3597 SER 2046 3.5% DUE 04-20-2046 BEO**1,988,221 
GNMAII POOL #MA3662 SER 2046 3% DUE 05-20-2046 REG**668,616 
GNMAII POOL #MA3736 SER 2046 3.5% DUE 06-20-2046 REG**250,387 
GNMAII POOL #MA4003 SER 2046 3% DUE 10-20-2046 REG**1,475,095 
GNMAII POOL #MA4004 SER 2046 3.5% DUE 10-20-2046 REG**1,400,707 
GNMAII POOL #MA4322 SER 2047 4% DUE 03-20-2047 REG**538,099 
GNMAII POOL #MA4383 SER 2047 4% DUE 04-20-2047 REG**217,475 
GNMAII POOL #MA4452 4.0% DUE 05-20-2047 REG**195,244 
GNMAII POOL #MA4511 SER 2047 4% DUE 06-20-2047 REG**1,427,439 
GNMAII POOL #MA4720 SER 2047 4% DUE 09-20-2047 REG**3,722,023 
GNMAII POOL #MA4837 SER 2047 3.5% DUE 11-20-2047 REG**282,180 
GNMAII POOL #MA4900 SER 2047 3.5% DUE 12-20-2047**67,439 
GNMAII POOL #MA4901 4% 12-20-2047**469,586 
GNMAII POOL #MA5020 4.0% 02-20-2048**319,504 
GNMAII POOL #MA5078 4.0% 03-20-2048**1,900,329 
GNMAII POOL #MA5079 4.5% 03-20-2048**48,854 
GNMAII POOL #MA5266 SER 2048 5% DUE 06-01-2048 REG**70,838 
GNMAII POOL #MA5465 3.5% DUE 09-20-2048 REG**308,918 
GNMAII POOL #MA5529 4.5% 10-20-2048**368,955 
GNMAII POOL #MA5530 SER 2048 5.0% DUE 10-20-2048 REG**598,075 
GNMAII POOL #MA5597 5.0% 11-20-2048 REG**318,643 
GNMAII POOL #MA5653 5.0% DUE 12-20-2048 REG**416,883 
GNMAII POOL #MA5763 4% DUE 02-20-2049 REG**867,624 
GNMAII POOL #MA5818 SER 2049 4.5% DUE 03-20-2049 REG MBS**1,628,176 
GNMAII POOL #MA5876 4.0% 04-20-2049**1,094,454 
GNMAII POOL #MA5988 5.0% 06-20-2049**58,328 
GNMAII POOL #MA6153 3.0% 09-20-2049**497,249 
GNMAII POOL #MA6217 2.5% 10-20-2049**487,397 
GNMAII POOL #MA6411 4.0% 01-20-2050**96,397 
GNMAII POOL #MA6474 3.0% 02-20-2050 REG**969,468 
GNMAII POOL #MA6476 4.0% 02-20-2050**141,855 
GNMAII POOL #MA6659 4.5% 05-20-2050**2,109,168 
GNMAII POOL #MA6768 4.0% DUE 07-20-2050**212,518 
GNMAII POOL #MA6865 SER 2050 2.5% DUE 09-20-2050 REG**447,493 
GNMAII POOL #MA6866 3.0% 09-20-2050**253,857 
GNMAII POOL #MA6930 2.0% 10-20-2050**4,270,089 
106

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
GNMAII POOL #MA6931 2.5% 10-20-2050**2,052,862 
GNMAII POOL #MA6995 2.5% 11-20-2050**1,563,764 
GNMAII POOL #MA7136 SER 2051 2.5% DUE 01-20-2051 REG**277,393 
GNMAII POOL #MA7193 SER 2051 2.5% DUE 02-20-2051 REG**2,730,868 
GNMAII POOL #MA7254 2.0% DUE 03-20-2051 REG**1,575,257 
GNMAII POOL #MA7255 SER 2051 2.5% DUE 03-20-2051 REG**428,314 
GNMAII POOL #MA7312 2.5% DUE 04-20-2051**2,598,853 
GNMAII POOL #MA7367 SER 2051 2.5% DUE 05-20-2051 REG**6,561,558 
GNMAII POOL #MA7419M 3% 06-20-2051**294,550 
GNMAII POOL #MA7589 2.5% 09-20-2051**4,843,607 
GNMAII POOL #MA7704 SER 2051 2% DUE 11-20-2051 REG**370,782 
GNMAII POOL #MA7828 3% DUE 01-20-2052 REG**546,433 
GNMAII POOL #MA7829 SER 2052 3.5% 01-20-2052**2,577,132 
GNMAII POOL #MA7937 SER 2052 3.0% 03-20-2052**402,505 
GNMAII POOL #MA7989 3.5% DUE 04-20-2052 REG**2,441,158 
GNMAII POOL #MA8043 SER 2052 3.0% DUE 05-20-2052 REG**4,130,716 
GNMAII POOL #MA8099 SER 2052 3.5% 06-20-2052**4,831,236 
GNMAII POOL #MA8202 5.0% DUE 08-20-2052 REG**2,096,456 
GNMAII POOL #MA8429 5.5% 11-20-2052**1,758,957 
GNMAII POOL #MA8491 SER 2052 5.5% DUE 12-20-2052 REG**3,319,041 
GNMAII POOL MA5878 5.0% 04-20-2049**278,995 
GODFREY PHILLIPS INR2**1,110,830 
GOLD BULLION BAR .9999-1 OZ**10,149 
GOLD ROAD RES LTD NPV**526,234 
GOLDEN ENTMT INC COM**2,285,786 
GOLDEN OCEAN GROUP LTD COM USD0.0 (POST REV SPLIT)**349,028 
GOLDEN ST TOB SECURITIZATION CORP 3.714%06-01-2041**616,523 
GOLDEN ST TOB SECURITIZATION CORP CALIF 3.0% 06-01-2046**2,624,226 
GOLDEN ST TOB SECURITIZATION CORP CALIF 4.214% DUE 06-01-2050 REG**2,740,676 
GOLDMAN SACHS 3.5% DUE 01-23-2025**6,121,478 
GOLDMAN SACHS 3.75% DUE 02-25-2026**840,631 
GOLDMAN SACHS 3.85% DUE 01-26-2027**12,787,383 
GOLDMAN SACHS 5.851% 04-25-2035**560,672 
GOLDMAN SACHS 6.75% DUE 10-01-2037**655,653 
GOLDMAN SACHS BANK USA 5.283% 03-18-2027**804,374 
GOLDMAN SACHS BANK USA 5.283% 03-18-2027**726,953 
GOLDMAN SACHS BK USA 5.414% 05-21-2027**2,268,874 
GOLDMAN SACHS BK USA 5.414% 05-21-2027**7,964,697 
GOLDMAN SACHS FIXED 2.615% 04-22-2032**4,262,911 
GOLDMAN SACHS FIXED 3.5% DUE 04-01-2025**9,522,059 
GOLDMAN SACHS FLTG RT .855% DUE 02-12-2026**4,725,365 
GOLDMAN SACHS GROUP INC 1.093% DUE 12-09-2026 REG**2,046,781 
GOLDMAN SACHS GROUP INC 1.948% 10-21-2027**9,467,548 
GOLDMAN SACHS GROUP INC 1.992% DUE 01-27-2032 REG**412,904 
GOLDMAN SACHS GROUP INC 2.6% DUE 02-07-2030**885,679 
GOLDMAN SACHS GROUP INC 2.64% DUE 02-24-2028 BEO**917,604 
GOLDMAN SACHS GROUP INC 2.908% DUE 07-21-2042 BEO**347,766 
GOLDMAN SACHS GROUP INC 3.21% DUE 04-22-2042 BEO**474,271 
107

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
GOLDMAN SACHS GROUP INC 3.691% 06-05-2028**971,417 
GOLDMAN SACHS GROUP INC 3.691% 06-05-2028**10,088,164 
GOLDMAN SACHS GROUP INC 4.017% 10-31-2038**499,790 
GOLDMAN SACHS GROUP INC 4.387% 06-15-2027**1,878,900 
GOLDMAN SACHS GROUP INC 4.482% 08-23-2028**6,277,205 
GOLDMAN SACHS GROUP INC 5.016% 10-23-2035**14,364,851 
GOLDMAN SACHS GROUP INC 5.049% 07-23-2030**696,431 
GOLDMAN SACHS GROUP INC 5.049% 07-23-2030**7,552,295 
GOLDMAN SACHS GROUP INC 5.561% 11-19-2045**521,976 
GOLDMAN SACHS GROUP INC 5.727% 04-25-2030**612,301 
GOLDMAN SACHS GROUP INC 5.727% 04-25-2030**285,740 
GOLDMAN SACHS GROUP INC 6 45 05 01 6.45 DUE 05-01-2036 BEO**94,998 
GOLDMAN SACHS GROUP INC 6.484% DUE 10-24-2029**419,022 
GOLDMAN SACHS GROUP INC 6.484% DUE 10-24-2029**6,416,273 
GOLDMAN SACHS GROUP INC COM**8,772,538 
GOLDMAN SACHS GROUP INC FRN 10-28-2027**1,638,697 
GOLDMAN SACHS GROUP INC NT FXD/FLTG 3.615% 03-15-2028**291,784 
GOLDMAN SACHS GROUP INC SR NT FIXED / FLTG 2.65% 10-21-2032**2,329,118 
GOODLEAP 4% DUE 04-20-2049**1,439,220 
GOODRX HLDGS INC COM CL A COM CL A**203,461 
GOODYEAR TIRE & RUBBER CO COM**1,189,800 
GOPRO INC CL A CL A**69,364 
GOVERNMENT NATIONAL MORTGAGE A GNR 2023-86 DA 5.5% 08-20-2050**3,311,531 
GOVERNMENT NATIONAL MORTGAGE ASSOC 5.09004% 11-20-2065**1,048,201 
GOVERNMENT NATIONAL MORTGAGE ASSOC GNMA # MA7135 2% 01-20-2051**2,993,885 
GOVERNMENT NATIONAL MORTGAGE ASSOC GNMA # MA7420 3.5% 06-20-2051**1,359,245 
GOVERNMENT NATIONAL MORTGAGE ASSOC GNMA # MA7473 3% 07-20-2051**727,278 
GOVERNMENT NATIONAL MORTGAGE ASSOC GNMA # MA7534 2.5% 08-20-2051**4,390,374 
GOVERNMENT NATIONAL MORTGAGE ASSOC GNMA # MA7648 2% 10-20-2051**931,491 
GOVERNMENT NATIONAL MORTGAGE ASSOC GNMA # MA7649 2.5% 10-20-2051**1,199,973 
GOVERNMENT NATIONAL MORTGAGE ASSOC GNMA # MA7650 3% 10-20-2051**2,962,792 
GOVERNMENT NATIONAL MORTGAGE ASSOC GNMA # MA7883 3.5% 02-20-2052**3,456,773 
GOVERNMENT NATIONAL MORTGAGE ASSOC GNMA # MA8570 5.5% 01-20-2053**4,328,902 
GOVERNMENT NATIONAL MORTGAGE ASSOC POOL #646853 5.5% 08-15-2035 BEO**624 
GOVERNMENT NATIONAL MORTGAGE ASSOC SR 24-19 CL E 5.0% 09-20-2057**3,288,388 
GOVERNMENT NATL MTG SER 2015-H14 CL FA FLTG RT 06-20-2065**871,169 
GPMT 2021-FL4 LTD FLTG RT 6.38378% DUE 12-15-2036**4,895,793 
GPO AERO SURESTE SER'B'NPV**108,002 
GRAB HLDGS LTD**467,407 
GRACO INC COM**3,448,810 
GRAFTON GROUP PLC**648,020 
GRAIL INC COM**175,823 
GRAINCORP 'A'NPV**871,420 
GRAINGER W W INC 1.85% DUE 02-15-2025**3,171,477 
GRAINGER W W INC COM**4,711,604 
GRANGES AB NPV**529,375 
GRAPHIC PACKAGING HLDG CO COM STK**2,320,659 
GRAY OAK PIPELN 3.45% DUE 10-15-2027**380,712 
108

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
GREAT EASTERN SHI INR10 (POST REORG)**292,868 
GREAT HALL MTGS NO 1 PLC 2007-02 ASSET BACKED NT CL AC 144A 18 JUN 2039**24,688 
GREAT-WEST LIFECO 4.15% DUE 06-03-2047**142,424 
GREE HOLDINGS INC**26,114 
GREEN DOT CORP COM STK**302,516 
GREEN PLAINS INC COM STK**5,688 
GREENCORE GROUP ORD GBP0.01 (CDI)**351,777 
GREENPLY INDUSTRIE INR1**278,863 
GREENPOINT MTG FDG TR 2006-OH1 MTG PASSTHRU CTF CL A-1 FLTG 01-25-2037 REG**735,863 
GREENS CO LTD COMMON STOCK**282,209 
GREENTOWN SERVICE GROUP CO LTD HKD0.00001**79,874 
GREIF INC.**5,037,572 
GREYWOLF CLO VII LTD SRS 18-7A CL A1 10-20-2031**3,391,553 
GROSVENOR PLACE 24 FRN CLO 01/2039 EUR 'A'**517,310 
GRUPO SBF SA COM NPV**192,264 
GS MTG BACKED SECS 5% DUE 01-25-2052**378,586 
GS MTG BACKED SECS FLTG RT 2.5% DUE 09-25-2052**1,885,072 
GS MTG SECS COML MTG PASSTHRU CTF TR 2015-GC30 CL A-S 3.777% DUE 05-10-2050**1,901,175 
GS MTG SECS TR 1.56% DUE 12-12-2053**2,926,756 
GS MTG SECS TR 2015-GC32 COML MTG PASSTHRU CTF CL 3.498% 07-10-2048**1,810,490 
GS MTG SECS TR 2020-GC45 SR 20-GC45 CL A3 2.63% 02-13-2053**2,691,932 
GS MTG SECS TR 3.05% DUE 05-10-2049**1,710,777 
GS MTG SECS TR 3.469% DUE 11-10-2050**1,758,749 
GS MTG SECS TR 3.506% DUE 10-10-2048**6,040,501 
GS MTG SECS TR 3.734% DUE 11-10-2048**2,457,995 
GS MTG-BACKED SECS FLTG RT 2.5% DUE 12-25-2051**62,761 
GS MTG-BACKED SECS FLTG RT 3% DUE 08-26-2052**1,607,294 
GS MTG-BACKED SECS TR 2022-HP1 MTG PASSTHRU CTF CL A-2 3% 09-25-2052**1,441,398 
GTT EUR0.01**1,512,891 
GUANGZHOU KINGMED DIAGNOSTICS GROUP A CNY1**165,746 
GUARDANT HEALTH INC COM**1,640,138 
GUIDEWIRE SOFTWARE INC COM USD0.0001**14,819,362 
GUJARAT STATE PETR INR10(DEMAT)**115,164 
GULF OIL LUBRICANT INR10**214,884 
GULFPORT ENERGY CORP COM USD0.01**711,380 
GUNGHO ONLINE ENTE NPV**42,428 
GUNKUL ENGINEERING THB0.25 (NVDR)**13,328 
GUNZE LTD NPV**236,243 
GUR-SEL TURIZM TAS TRY1**107,817 
H LUNDBECK A/S SER B DKK1**504,376 
H.I.S. CO LTD NPV**107,501 
HA SUSTAINABLE INFRASTRUCTURE CAPITAL INC**7,288,450 
HACKENSACK MERIDIAN HEALTH INC 2.875% 09-01-2050**273,273 
HAEMONETICS CORP MASS COM**701,315 
HAFNIA LIMITED USD0.01**56,373 
HAL TRUST UNITS NPV**37,522 
HALEON UK CAPITAL PLC 3.125% 03-24-2025**1,693,249 
HALEON US CAPITAL LLC 3.375% 03-24-2027**4,650,246 
109

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
HALEON US CAPITAL LLC 3.375% 03-24-2029**761,830 
HALEON US CAPITAL LLC 3.375% 03-24-2029**724,208 
HALLIBURTON CO COM**7,581,442 
HAMAKYOREX CO LTD NPV**65,235 
HAMILTON INSURANCE GROUP LTD.**887,883 
HAMILTON LANE INC CL A CL A**1,400,701 
HAMMOND POWER SOLU CLASS'A'SUB-VTG NPV**267,105 
HANA FINANCIAL GRP KRW5000**5,250,764 
HANCOM LIFECARE IN KRW200**21,080 
HANESBRANDS INC COM STK**4,103,073 
HANGZHOU SUNRISE T A CNY1**304,494 
HANKOOK SHELL OIL KRW5000**77,453 
HANKUK CARBON CO KRW500**429,821 
HANNSTAR BOARD CRP TWD10**83,602 
HANOVER INS GROUP 4.5% DUE 04-15-2026**872,237 
HANOVER INS GROUP INC COM**1,798,232 
HANSOL PAPER CO KRW5000**655 
HANWHA AEROSPACE CO LTD**294,752 
HANWHA ENGINE KRW1000**468,869 
HANWHA GENERAL INSURANCE CO LTD KRW5000**37,454 
HANWHA S&C CO LTD KRW5000**41,450 
HARBOUR ENERGY PLC ORD GBP0.00002**385,435 
HARLEY-DAVIDSON MOTORCYCLE TR 2024-A SER24-A CL A4 5.29% 12-15-2031**3,756,953 
HARLEY-DAVIDSON MOTORCYCLE TR SER 24-A CL A3 5.37% 03-15-2029**3,596,656 
HARMONY BIOSCIENCES HLDGS INC COM**456,655 
HARTFORD FINL SVCS 4.3 DUE 04-15-2043**135,023 
HASBRO INC COM**3,731,993 
HAVERTY FURNITURE COS INC COM STK**191,614 
HAYFIN EMERALD CLO SR 12A CL 25/01/2037**519,017 
HAZAMA ANDO CORP NPV**417,969 
HCA HEALTHCARE INC COM**10,587,791 
HCA INC 4.125% 06-15-2029**6,376,819 
HCA INC 5.2% 06-01-2028**3,517,829 
HCA INC 5.25% DUE 06-15-2026**3,769,327 
HCA INC 5.25% DUE 06-15-2049**130,073 
HCA INC 5.875% DUE 02-15-2026**1,890,409 
HCA INC 5.95% 09-15-2054**666,826 
HCA INC SR SECD NT 4.625% 03-15-2052**1,527,153 
HCL TECHNOLOGIES INR2**3,267,119 
HD HYUNDAI ELECTRIC & ENERGY SYSTEM CO LTD KRW5000**641,101 
HD HYUNDAI MIPO LTD KRW5000**526,627 
HDFC ASSET MANAGEM INR5**2,766,514 
HDFC BANK LTD INR1**9,775,263 
HEALTHCARE REALTY TRUST INC COM USD0.01 CL A**4,281,045 
HEALTHCARE RLTY 2% DUE 03-15-2031**159,470 
HEALTHCARE RLTY 3.1% DUE 02-15-2030**288,206 
HEALTHEQUITY INC COM**5,514,438 
HEALTHPEAK PPTYS FIXED 3% DUE 01-15-2030**2,000,071 
110

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
HEALTHPEAK PPTYS INC SR NT 2.125% 12-01-2028**166,385 
HEALTHPEAK PROPERTIES INC 3.5% DUE 07-15-2029**594,471 
HEARTLAND EXPRESS INC COM**225,668 
HEBA FASTIGHETS AB SER'B'NPV**118,797 
HECLA MNG CO COM**129,379 
HEICO CORP NEW 5.25% 08-01-2028**813,660 
HEICO CORP NEW CL A CL A**1,090,590 
HEIDELBERG MATERIALS AG**1,246,840 
HEIDRICK & STRUGGLES INTL INC COM**271,930 
HELIA GROUP LTD NPV**1,231,801 
HELIOS TECHNOLOGIES INC**768,701 
HELIX ENERGY SOLUTIONS GROUP INC COM STK**312,155 
HELMERICH & PAYNE INC COM**3,173,246 
HENKEL AG & CO KGAA NON-VTG PRF NPV**3,151,834 
HERBALIFE LTD**411,756 
HERITAGE INS HLDGS INC COM**184,235 
HERO FDG 2017-2 FIXED 3.28% DUE 09-20-2048**59,532 
HERTZ VEH FING III 1.99% DUE 06-25-2026**635,072 
HERTZ VEH FING III 2.33% DUE 06-26-2028**1,126,881 
HERTZ VEH FING III 3.89% DUE 09-25-2028**1,742,215 
HESS CORP 4.3% DUE 04-01-2027**1,881,425 
HESS CORP COM STK**665,848 
HEXAGON AB SER'B'NPV**3,385,880 
HEXAGON COMPOSITES NOK0.10**340,036 
HF SINCLAIR HF SINCLAIR CORPORATION5.875% DUE 04-01-2026**503,745 
HF SINCLAIR CORPORATION COM USD0.01**1,390,784 
HIGHBRIDGE LOAN MANAGEMENT LTD 23/01/2035 0% 01-23-2035**751,335 
HIGHWEALTH CONSTRU TWD10**149,761 
HILT COML MTG TR 2024-ORL 5.85309% 05-15-2037**2,000,626 
HILTON FOOD GROUP ORD GBP0.10**278,427 
HILTON WORLDWIDE HLDGS INC COM NEW COM NEW**6,475,592 
HIPPO HLDGS INC COM NEW**22,567 
HISAMITSU PHARM CO NPV**59,783 
HITACHI ENERGY INDIA LTD**380,448 
HITACHI NPV**18,901,042 
HITEJINRO HOLDINGS CO LTD KRW5000**15,089 
HITO COMMUNICATIONS HOLDINGS**16,226 
HITRON TECHNOLOGY TWD10**28,745 
HIVE DIG COM**118,025 
HKBN LTD HKD0.0001**29,159 
HLTN COML MTG TR FLTG RT 5.95336% DUE 06-15-2041**4,743,878 
HOCHSCHILD MINING ORD GBP0.01**212,629 
HOCHTIEF AG NPV**226,840 
HOEGH AUTOLINERS NOK0**26,493 
HOIST FINANCE AB NPV**421,440 
HOME BANCSHARES INC COM**8,191,265 
HOME DEPOT INC 2.375% 03-15-2051**487,589 
HOME DEPOT INC 3.3% DUE 04-15-2040 REG**327,523 
111

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
HOME DEPOT INC 4.5% 09-15-2032**778,868 
HOME DEPOT INC 4.875% 06-25-2027**1,256,945 
HOME DEPOT INC COM**25,485,847 
HOME PARTNERS AMER 2.302% DUE 12-17-2026**3,362,518 
HON HAI PRECISION TWD10**1,229,117 
HONDA AUTO RECEIVABLES OWNER TRUST SER 24-3 CLS A4 4.51% 11-21-2030**3,488,170 
HONDA AUTO RECEIVABLES OWNER TRUST SR 24-1 CL A2 5.36% 09-15-2026**2,447,548 
HONDA AUTO RECEIVABLES OWNER TRUST SR 24-1 CL A3 5.21% 08-15-2028**2,980,476 
HONDA MTR CO LTD 2.534% DUE 03-10-2027**1,802,147 
HONEST CO INC COM**79,002 
HONEYWELL INTERNATIONAL INC 5.35% 03-01-2064**140,907 
HONEYWELL INTL INC COM STK**18,831,320 
HONG KONG EXCHANGES & CLEAR**1,153,705 
HONG LEONG FINANCIAL GROUP MYR1**32,271 
HORACE MANN EDUCATORS CORP COM**4,141,472 
HORIBA LTD NPV**541,573 
HORNBACH HLDG KGAA NPV**796,579 
HOST HOTELS & RESORTS L P 5.5% 04-15-2035**685,406 
HOULIHAN LOKEY INC CL A CL A**1,003,928 
HOWARD HUGHES HLDGS INC COM HOWARD HUGHES HLDG INC**1,219,951 
HOWMET AEROSPACE INC COM USD1.00 WI**9,874,470 
HOYA CORP NPV**3,383,849 
HP ENTERPRISE CO 4.55% 10-15-2029**1,434,514 
HP ENTERPRISE CO 5.0% 10-15-2034**216,409 
HP ENTERPRISE CO 5.6% 10-15-2054**259,348 
HP INC 2.2% DUE 06-17-2025**2,046,317 
HP INC NT 1.45% 06-17-2026**2,886,192 
HPSP CO LTD KRW500**428,790 
HSBC BK USA N A 7 DUE 01-15-2039**278,623 
HSBC HLDGS PLC 2.099% DUE 06-04-2026**3,940,449 
HSBC HLDGS PLC 2.099% DUE 06-04-2026**2,629,727 
HSBC HLDGS PLC 2.357% DUE 08-18-2031 REG**332,200 
HSBC HLDGS PLC 2.848% 06-04-2031**596,960 
HSBC HLDGS PLC 4.041% 03-13-2028**1,272,489 
HSBC HLDGS PLC 4.041% 03-13-2028**195,768 
HSBC HLDGS PLC 5.13% 11-19-2028**2,915,974 
HSBC HLDGS PLC 5.597% 05-17-2028**3,254,912 
HSBC HLDGS PLC 5.719% DUE 03-04-2035**7,555,001 
HSBC HLDGS PLC 5.733% DUE 05-17-2032**7,587,509 
HSBC HLDGS PLC 6.254% 03-09-2034**467,187 
HSBC HLDGS PLC 7.39% 11-03-2028**1,908,491 
HSBC HLDGS PLC FLTG RT 1.645% DUE 04-18-2026**495,065 
HSBC HLDGS PLC FLTG RT 2.871% DUE 11-22-2032**843,687 
HSBC HLDGS PLC FLTG RT 2.871% DUE 11-22-2032**2,277,954 
HSBC HLDGS PLC FLTG RT 2.999% DUE 03-10-2026**1,688,420 
HSBC HLDGS PLC FLTG RT 2.999% DUE 03-10-2026**1,789,873 
HSBC HLDGS PLC FLTG RT 4.292% DUE 09-12-2026**3,631,431 
HSBC HLDGS PLC FLTG RT 5.887% DUE 08-14-2027**202,946 
112

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
HSBC HOLDINGS PLC 6.161% 03-09-2029**1,617,658 
HSBC HOLDINGS PLC 6.332% 03-09-2044**348,662 
HU LANE ASSOCIATE TWD10**372,298 
HUB24 LIMITED NPV**150,825 
HUBBELL INC COM**2,204,199 
HUBER & SUHNER AG CHF0.25 (REGD)**166,208 
HUDBAY MINERALS IN COM NPV**100,920 
HUGEL INC KRW500**136,425 
HUMANA INC 5.75% DUE 03-01-2028**1,682,974 
HUMANA INC COM**9,539,496 
HUNGARY (REPUBLIC 6.75% 25/09/2052**203,206 
HUNGARY REP 5.5% 03-26-2036**654,996 
HUNGARY TNOTE 6.25% DUE 09-22-2032 REG**611,640 
HUNGARY(REP OF) 5.375% SNR 12/09/33 EUR1000**448,341 
HUNTINGTON BANCSHARES INC 5.272% 01-15-2031**500,698 
HUNTINGTON BANCSHARES INC 6.208% 08-21-2029**567,821 
HUNTINGTON FLTG RT 5.023% DUE 05-17-2033**403,652 
HUNTINGTON INGALLS INDS INC 3.844% 05-01-2025**3,534,917 
HUNTINGTON INGALLS INDS INC COM**8,066,562 
HUNTINGTON INGALLS INDS INC SR NT 2.043%08-16-2028**898,123 
HUNTSMAN CORP COM STK**9,071,055 
HYATT HOTELS CORP 5.25% 06-30-2029**805,709 
HYATT HOTELS CORP COM CL A COM CL A**2,494,255 
HYOSUNG HEAVY INDU KRW5000**23,492 
HYSAN DEVELOPMENT NPV**54,872 
HYSTER-YALE INC COM USD0.01 CL A**245,279 
HYUNDAI AUTO 1.33% DUE 11-15-2027**489,931 
HYUNDAI AUTO 1.49% DUE 12-15-2027**1,599,535 
HYUNDAI AUTO 4.58% DUE 04-15-2027**1,442,219 
HYUNDAI AUTO 5.54% DUE 10-16-2028**2,732,598 
HYUNDAI AUTO RECEIVABLES TRUST SER 24-B CL A3 4.84% 03-15-2029**296,496 
HYUNDAI CAP AMER 4.875% DUE 11-01-2027**2,982,907 
HYUNDAI CAP AMER 5.8% DUE 06-26-2025**772,767 
HYUNDAI GLOVIS CO KRW500**364,773 
HYUNDAI MARINE&FIR KRW500**65,485 
HYUNDAI MOVEX CO L KRW100**71,416 
HYUNDAI ROTEM CO L KRW5000**1,398,480 
HYVISION SYSTEM IN SHS**24,859 
I/L CANADA (GOVT OF) 3% 01/12/2036 CAD1000**89,879 
I/O FEDERAL HOME LN MTG CORP SER 2936 CL SC VAR RT 03-15-2029**4,771 
I/O FHLMC MULTICLASS SER 004579 CL SD 01-15-2038**6,514 
I/O FNMA POOL #AN6788 2.87% 09-01-2027**1,679,338 
I/O FNMA REMIC SER 2013-13 CL IK 03-25-2028**1,958 
I/O FNMA REMIC TR 2013-17 CL-TI 3% 03-25-2028 REG**2,179 
I/O FNMA SMBS TR 404 CL 05-25-2040**99,523 
I/O FNMA SMBS TR 421 CL 12-25-2038**28,148 
I3 VERTICALS INC CL A CL A**2,909,192 
IA FINANCIAL CORP COM NPV**2,530,688 
113

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
IBF FINANCIAL HOLDINGS CO LTD TWD10**73,417 
ICE_CDS GOLDUS33 20/12/2025 SELL BARCLAYS BANK PLC 1.5% SWPC0N6P6**5,435 
ICE_CDS MSNYUS33 06/20/2028 SELL AT&T INC 3.8% 02/15/20 SWPC0LX54**3,231 
ICE_CDS MSNYUS33 06/20/2028 SELL GENERAL MOTORS CO 4.2% SWPC0LUG3**111,365 
ICE_CDS MSNYUS33 12/20/2025 SELL FORD MOTOR CREDIT CO L SWPC0L3F5**8,975 
ICE_CDS MSNYUS33 12/20/2028 SELL FORD MOTOR COMPANY 4.3 SWPC0M9M2**109,349 
ICE_CDS MSNYUS33 20/06/2025 SELL BARCLAYS BANK PLC 1.5% SWPC0N7G5**1,089 
ICE_CDS MSNYUS33 20/12/2029 SELL GLENCORE FINANCE EUROP SWPC0N1J5**116,177 
ICE_CDX GOLDUS33 12/20/2029 SELL CDX.NA.IG.43 SWPC0MWQ7**359,363 
ICG US CLO 2020-1 LTD / ICG US CLO 5.75478% 01-20-2035**7,013,328 
ICG US CLO 2024-R1 LTD / ICG US CLO 0% 01-25-2038**7,033,450 
ICNQ 2024-MF MTG TR COML MTG PASS THRU CTF CL A 5.778% 12-10-2034**1,003,208 
ICRA LTD INR10**23,943 
IDACORP INC COM**6,728,588 
IDEXX LABS INC COM**12,715,761 
IFAST CORP LTD CORP LTD**101,031 
IGG INC USD0.0000025**1,078,721 
IHH HEALTHCARE BHD COM**630,332 
IL JIN ELECTRIC KRW1000 (NEW)**206,452 
IL ST BUILD AMERICA BONDS-TAXABLE-SER 3 6.725 04-01-2035 BEO**352,094 
I'LL INC NPV**27,895 
ILL TOOL WKS INC COM**12,733,276 
ILUKA RESOURCES NPV**87,860 
IMB INTERNAT CAPITAL 4.6% 02-05-2029**1,631,283 
IMMUNOVANT INC COM**1,050,124 
IMPALA PLATINUM NPV**467,586 
IMPLENIA AG CHF1.02 (REGD)**151,798 
IN MICH PWR CO FIXED 3.85% 05-15-2028**241,930 
INABATA & CO NPV**110,181 
INCYTE CORP COM**406,339 
INDEPENDENCE RLTY TR INC COM**837,089 
INDEPENDENT BK CORP MASS COM COM STK USD0.01**6,663,821 
INDIAMART INTERMES INR10**279,032 
INDIAN ENERGY EXCHANGE LTD**583,779 
INDIAN METALS & FERRO ALLOY**127,275 
INDIAN OIL CORP INR10**1,196,495 
INDIANA ST FIN AUTH REV 2.496% 03-01-2032 BEO TAXABLE**1,692,083 
INDIGO CRE MANG II IDX/LKD BDS 15/07/2038 EUR**517,750 
INDITEX (IND.DE DISENO TEXTIL SA) EUR0.03 (POST SUBD)**8,157,790 
INDO TAMBANGRAY IDR500**261,609 
INDONESIA GOVERNMEN 8.375% 15/03/34**649,509 
INDONESIA(REPUBLIC OF) T BOND 3.5% 01-11-2028**763,660 
INDOSTAR CAPITAL INR10**57,136 
INDRA SISTEMAS SA EUR0.20 SER 'A'**677,033 
INDUSTRIAL & COMMERCIAL BANK CHINA 'H'**2,880,006 
INFICON HOLDING AG CHF5 (REGD)**277,791 
INFORMATICA INC CL A CL A**1,682,572 
INFOSYS LIMITED**2,688,693 
114

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
INFOSYS LIMITED ADR**1,809,606 
ING GROEP N V 3.869% 03-28-2026**2,991,694 
ING GROEP N V 4.017% 03-28-2028**664,058 
ING GROEP N V 5.55% 03-19-2035**7,460,618 
ING GROEP N V 6.083% 09-11-2027**305,751 
ING GROEP N V 6.083% 09-11-2027**6,479,880 
ING GROEP N V 6.114% 09-11-2034**517,772 
ING GROEP N V FIXED 4.625% DUE 01-06-2026**799,955 
ING GROEP N.V. EUR0.01**9,663,430 
ING US FDG LLC DISC COML PAPER 4/A2 YRS 1&2 10-07-2025**3,954,843 
INGERSOLL RAND INC 5.197% 06-15-2027**2,483,731 
INGERSOLL RAND INC 5.4% DUE 08-14-2028**1,584,562 
INGEVITY CORP COM**590,019 
INGREDION INC COM**5,545,869 
INNERGEX RENEWABLE COM NPV**225,010 
INOGEN INC COM**71,333 
INSIGHT ENTERPRISES INC COM**181,151 
INSMED INC COM PAR $.01**3,352,997 
INSOURCE CO LTD NPV**178,315 
INSPERITY INC COM**995,461 
INSPIRE MED SYS INC COM**2,256,631 
INSTEEL INDS INC COM**19,987 
INSYDE SOFTWARE CO TWD10**47,095 
INTACT FINL CORP COM NPV**4,513,214 
INTEGRAFIN HOLDING ORD GBP0.01**46,282 
INTEGRAL AD SCIENCE HLDG CORP COM**387,773 
INTEL CORP 3.25% DUE 11-15-2049**77,723 
INTEL CORP 3.7% DUE 07-29-2025**593,014 
INTEL CORP 3.734% 12-08-2047 BEO**112,237 
INTEL CORP 4.1% DUE 05-11-2047**149,349 
INTEL CORP 4.875% 02-10-2026**2,516,489 
INTEL CORP COM**1,619,017 
INTEL CORP FIXED 3.75% DUE 08-05-2027**1,541,067 
INTEL CORP SR NT 3.05% 08-12-2051**57,090 
INTELLIA THERAPEUTICS INC COM**65,109 
INTERACTIVE BROKERS GROUP INC CL COM**2,709,941 
INTERCONTINENTAL EXCHANGE INC 4.6% 03-15-2033**2,069,697 
INTERCONTINENTAL EXCHANGE INC COM**7,557,042 
INTERCORP FINANCIAL SERVICES INC COM**59,795 
INTERNATIONAL CONSOLIDATED AIRLINE ORD EUR0.10**4,132,715 
INTERNATIONAL GAME TECHNOLOGY COMMON STOCK**5,603,589 
INTERNATIONAL MONEY EXPRESS INC COM**221,131 
INTERNATIONAL PERSONAL FINANCE PLC ORD GBP0.10**7,120 
INTERPUBLIC GROUP COMPANIES INC COM**1,335,041 
INTERSTATE PWR & LT CO 3.6% 04-01-2029**2,059,706 
INTESA SANPAOLO NPV**9,469,464 
INTESA SANPAOLO S 6.625% DUE 06-20-2033**355,622 
INTL GAME SYSTEM TWD10**5,466,486 
115

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
INTRA-CELLULAR THERAPIES INC COM**2,235,413 
INTUIT COM**34,913,804 
INTUIT INC 5.5% 09-15-2053**460,943 
INTUITIVE SURGICAL INC COM NEW STK**9,535,687 
INVENTRUST PPTYS CORP COM USD0.001**286,114 
INVESCO LTD COM STK USD0.20**6,462,269 
INVESTEC LIMITED ZAR0.0002**108,978 
INVESTEC ORD GBP0.0002**469,644 
INVITATION HOMES 4.15% 04-15-2032**2,305,273 
INVITATION HOMES OPER PARTNERSHIP 2.3% DUE 11-15-2028 BEO**812,221 
INVITATION HOMES OPER PARTNERSHIP SR NT 2.7% 01-15-2034**2,473,335 
IOCHPE-MAXION SA COM NPV**98,963 
IONIS PHARMACEUTICALS INC COM**2,180,700 
IOVANCE BIOTHERAPEUTICS INC COM**2,426,238 
IPALCO ENTERPRISES INC 4.25% DUE 05-01-2030 REG**400,377 
IPALCO ENTERPRISES INC SR SECD NT 5.75% 04-01-2034**3,757,285 
IQVIA HLDGS INC COM USD0.01**210,855 
IRB INFRASTRUCTURE 144A 7.11% 11/03/2032**403,865 
IRB INFRASTRUCTURE INR1 (POST SUB/ DIV)**502,398 
IRESS LIMITED NPV**633,386 
IROBOT CORP COM**122,706 
IRONWOOD PHARMACEUTICALS INC COM CL A**361,519 
IS YATIRIM MENKUL TRY1 (B SHARES)**143,038 
ISB CORPORATION NPV**43,491 
ISRAEL(STATE OF) 1.75% SNR 31/08/25 ILS1000**271,843 
ISRAEL(STATE OF) 2% BDS 31/03/2027 ILS1000**292,068 
ISRAEL(STATE OF) 4.5% DUE 01-17-2033 REG**275,342 
ISRAEL(STATE OF) 5.375% 03-12-2029**1,595,091 
I-TAIL CORPORATION THB1 (NVDR)**286,214 
ITC HLDGS CORP 3.25% DUE 06-30-2026**781,971 
ITC HLDGS CORP 5.3% DUE 07-01-2043**184,040 
ITEOS THERAPEUTICS INC. COM**159,122 
ITRON INC COM STK NPV**620,426 
IVANHOE MINES LTD COM STK**597,776 
J & J SNACK FOODS CORP COM STK NPV**3,893,763 
J FRONT RETAILING NPV**732,223 
J KUMAR INFAPROJEC COM STK**77,134 
J P MORGAN CHASE COML MTG SECS TR 5.79715% 10-05-2039**502,401 
J P MORGAN CHASE FLTG RT 5.69148% DUE 11-15-2038**3,482,500 
J P MORGAN CHASE FLTG RT 5.76648% DUE 06-15-2038**575,573 
J P MORGAN MTG TR FLTG RT 2.5% DUE 10-25-2051**1,251,459 
JAB HOLDINGS BV 2.25% GTD SNR 19/12/39 EUR**582,576 
JABIL INC COM USD0.001**4,476,010 
JACKSON NATIONAL LIFE GLOBAL FNDG 144A 3.875% DUE 06-11-2025 BEO**248,934 
JACKSON NATL LIFE GLOBAL FDG SECD TRANCHE # SR 00457 5.55% 07-02-2027**1,389,429 
JACOBS ENGR GROUP INC 6.35% 08-18-2028**7,297,960 
JAGUAR MINING INC COM NPV (POST REV SPLIT)**44,547 
JAMES RIVER GROUP HOLDINGS COM USD0.0002**69,398 
116

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
JANUS HENDERSON GROUP PLC ORD USD1.50**1,767,717 
JANUS INTL GROUP INC COM**6,457,490 
JANUX THERAPEUTICS INC COM**165,920 
JAPAN (30 YR TBOND .7% 20/06/2051**446,243 
JAPAN EXCHANGE GROUP INC NPV**119,382 
JAPAN GOVT CPI IDX/LKD 10/03/2028**2,044,019 
JAPAN LIFELINE CO NPV**60,544 
JAPAN MEDICAL DYNA NPV**20,673 
JAPAN POST HOLD CO NPV**1,906,277 
JAPAN POST INSURAN NPV**375,491 
JAPAN(GOVT OF) 0.1% I/L SNR 10/03/2029 JPY**2,766,092 
JAPAN(GOVT OF) 0.4% SNR 20/06/29 JPY50000**251,017 
JAPAN(GOVT OF) 0.5% SNR 20/03/49 JPY50000**224,629 
JAPAN(GOVT OF) 1.5% SNR 20/09/43 JPY50000**907,287 
JAPAN(GOVT OF) 1.8% SNR 20/03/54 JPY50000**80,838 
JAPAN(GOVT OF) 2.2% SNR 20/03/64 JPY50000**409,183 
JAPAN(GOVT OF) 2.2% SNR 20/06/54 JPY50000**245,931 
JAPFA COMFEED INDO LKD SHARES (IDR200 & IDR40)**257,208 
JAPFA LTD NPV**68,836 
JASA MARGA(PERSERO) TBK PT**17,541 
JAYA TIASA HLDGS NPV**96,357 
JAYMART GROUP HOLDINGS PCL THB1(NVDR)**16,880 
JAZEERA AIRWAYS KWD0.100**43,697 
JB FINANCIAL GROUP**260,188 
JBS SA COM NPV**198,015 
JBS USA HOLD/FOOD/LUX CO 6.75% 03-15-2034**905,021 
JBS USA LUX S A / JBS USA FOOD CO 7.25% 11-15-2053**242,399 
JCDECAUX SE NPV**953,884 
JCU CORPORATION**46,484 
JD LOGISTICS INC 144A USD0.000025**2,622,138 
JD.COM INC USD0.00002 A CLASS**528,737 
JELD-WEN HLDG INC COM**196,093 
JENOPTIK AG NPV (POST CONS)**1,017,230 
JET2 PLC**1,270,814 
JINDAL SAW LTD FV INR 1 DEMAT EQUITY**887,436 
JOHN DEERE CAPITAL CORP 2.35% 03-08-2027**464,686 
JOHN DEERE OWNER 3.8% DUE 05-15-2029**989,977 
JOHN DEERE OWNER 4.91% DUE 02-18-2031**2,514,878 
JOHN DEERE OWNER FIXED 5.2% DUE 09-17-2029**1,158,323 
JOHN DEERE OWNER TR SR 24-A CL A3 4.96% 11-15-2028**2,239,984 
JOHNSON & JOHNSON COM USD1**22,324,556 
JOHNSON CONTROLS HITACHI AIR C**29,621 
JOHNSON ELEC HLDGS HKD0.05**609,691 
JOHNSON HEALTH TEC TWD10**84,415 
JOHNSON MATTHEY**693,170 
JOHNSON SERVICE GP ORD GBP0.10**273,772 
JONES LANG LASALLE INC COM STK**406,543 
JPMBB COML MTG 3.31060004234% DUE 03-17-2049**731,393 
117

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
JPMBB COML MTG 3.7697% DUE 12-15-2048**3,850,798 
JPMDB COML MTG SECS TR 2016-C4 CL A-2 2.8822% 9-15-2026**5,500,892 
JPMORGAN CHASE & 6.087% DUE 10-23-2029**518,542 
JPMORGAN CHASE & 6.087% DUE 10-23-2029**3,422,375 
JPMORGAN CHASE & CO 1.04% 02-04-2027**5,284,285 
JPMORGAN CHASE & CO 1.47% 09-22-2027**1,315,016 
JPMORGAN CHASE & CO 2.005% 03-13-2026**9,037,419 
JPMORGAN CHASE & CO 2.069% 06-01-2029**1,269,777 
JPMORGAN CHASE & CO 2.083% DUE 04-22-2026/10-22-2020 REG**9,917,939 
JPMORGAN CHASE & CO 2.522% 04-22-2031**5,644,117 
JPMORGAN CHASE & CO 2.947% 02-24-2028**2,744,856 
JPMORGAN CHASE & CO 2.963% 01-25-2033**14,206,717 
JPMORGAN CHASE & CO 3.509% 01-23-2029**1,275,172 
JPMORGAN CHASE & CO 3.96% 01-29-2027**293,699 
JPMORGAN CHASE & CO 4.0% DUE 12-31-2049 REG**2,727,285 
JPMORGAN CHASE & CO 4.323% 04-26-2028**380,358 
JPMORGAN CHASE & CO 4.452% 12-05-2029**5,535,726 
JPMORGAN CHASE & CO 4.505% 10-22-2028**2,864,437 
JPMORGAN CHASE & CO 4.6% DUE 12-31-2049**2,279,778 
JPMORGAN CHASE & CO 4.603% 10-22-2030**343,647 
JPMORGAN CHASE & CO 4.979% 07-22-2028**7,876,283 
JPMORGAN CHASE & CO 4.995% 07-22-2030**6,346,030 
JPMORGAN CHASE & CO 5.012% 01-23-2030**2,169,821 
JPMORGAN CHASE & CO 5.04% 01-23-2028**4,087,807 
JPMORGAN CHASE & CO 5.299% 07-24-2029**2,777,750 
JPMORGAN CHASE & CO 5.53% 07-22-2035**840,929 
JPMORGAN CHASE & CO 5.571% 04-22-2028**4,383,594 
JPMORGAN CHASE & CO 5.766% 04-22-2035**10,231,773 
JPMORGAN CHASE & CO 6.07% 10-22-2027**5,287,059 
JPMORGAN CHASE & CO COM**64,804,640 
JPMORGAN CHASE & CO NT FIXED TO FLTG RATE 1.578% 04-22-2027**1,842,950 
JPMORGAN CHASE & CO SR NT FIXED/FLTG 2.595% 02-24-2026**519,221 
JPMORGAN CHASE & CO. 2.739% 10-15-2030**3,745,426 
JPMORGAN CHASE & CO. 2.956% 05-13-2031**2,934,135 
JPMORGAN CHASE & CO. 4.851% DUE 07-25-2028**849,931 
JPMORGAN CHASE & CO. 5.336% 01-23-2035**597,250 
JPMORGAN CHASE & CO. 5.35% 06-01-2034**1,400,616 
JPMORGAN CHASE & FLTG RT 1.045% DUE 11-19-2026**3,878,820 
JS GLOBAL LIFESTYL USD0.00001**11,381 
JSC KAZMUNAYGAS 3.5% SNR MTN 14/04/2033 USD**413,919 
JSC KAZMUNAYGAS 6.375% SNR MTN 24/10/48 USD**278,625 
JSC OGK-2 RUB0.3627(RUB)**27,406 
JSW ENERGY LTD COM**824,036 
JTC PLC ORD GBP0.01**151,112 
JULIUS BAER GRUPPE CHF0.02 (REGD)**4,651,115 
JUNIPER NETWORKS INC COM**212,042 
JUST DIAL LTD INR10**68,780 

118

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
JUSTSYSTEMS CORP NPV**225,894 
JVCKENWOOD CORPORA NPV**5,289,730 
JYSKE BANK A/S DKK10**46,031 
JYSKE REALKREDIT 1% CVD BDS 01/10/50 DKK0.01**7,821 
JYSKE REALKREDIT 1% SNR 01/10/2050 DKK0.01**
KAKAKU.COM. INC NPV**471,189 
KAKEN PHARM NPV**43,074 
KALMAR OYJ SER'B'NPV**222,538 
KAMIGUMI CO LTD NPV**374,731 
KANADEN CORP NPV**26,849 
KANEMATSU CORP NPV**1,306,783 
KANSAS CITY POWER & LIGHT CO 4.2% 03-15-2048**237,974 
KAORI HEAT TREATME TWD10**647,837 
KARDEX HOLDING AG**378,178 
KARUR VYSYA BANK INR2**383,196 
KASIKORNBANK PCL THB10 (NVDR)**1,493,201 
KATO SANGYO CO NPV**45,966 
KB FINANCIAL GROUP KRW5000**535,642 
KB KOOKMIN BK NEW YORK BRH 06-26-2024 FLTG CTF OF DEP 04-23-2025**1,885,388 
KB KOOKMIN BK NEW YORK BRH DTD 05-23-2024 FLTG CD 05-27-2025**853,081 
KB KOOKMIN BK NEW YORK BRH DTD 10-24-2024 4.67% CTF DEP 07-24-2025**3,019,825 
KBC GROEP NV NPV**4,472,553 
KBR INC COM**5,570,665 
KCTECH CO LTD KRW500**68,781 
KDDI CORP NPV**25,666 
KEARNY FINL CORP MD COM**70,163 
KEC INTERNATIONAL INR 2**213,341 
KEESON TECHNOLOGY A CNY1**149,778 
KEI INDUSTRIES INR2**105,094 
KELLANOVA 4.3% DUE 05-15-2028**3,844,288 
KELLANOVA SR NT 5.75% 05-16-2054**199,815 
KELLOGG CO 5.25% DUE 03-01-2033**260,571 
KELLY SERVICES INC CL A COM**170,291 
KEMPER CORP DEL COM**6,099,126 
KENKO MAYONNAISE NPV**49,879 
KENVUE INC 5.2% 03-22-2063**148,106 
KENVUE INC COM**11,195,364 
KENVUE INC SR NT 5.5% 03-22-2025**822,428 
KEPCO ENGINEERING KRW200**252,840 
KEPCO PLANT SERVICE & ENGINEERING CO LTDKRW200**519,860 
KEPPEL REIT**421,735 
KERRY LOGISTICS NETWORK LTD HKD1**479,159 
KERRY PROPERTIES HKD1**286,444 
KEURIG DR PEPPER INC 5.05% 03-15-2029**261,769 
KEY BK NATL ASSN STEP CPN 4.39% DUE 12-14-2027**1,420,014 
KEYSIGHT TECHNOLOGIES INC COM**8,335,412 
KEYSTONE REALTORS INR10.00**10,186 
KFIN TECHNOLOGIES COMM STOCK**666,891 
119

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
KIATNAKIN PHATRA BANK PCL NON VTG DEP RCPT REP 1 ORD THB10**191,861 
KID ASA NOK1.20**161,191 
KIER GROUP PLC ORD GBP0.01**11,475 
KILLAM APT REAL ES TRUST UNIT**506,508 
KILROY REALTY CORP 2.5% DUE 11-15-2032**582,551 
KILROY RLTY L P 6.25% 01-15-2036**297,714 
KIMBERLY-CLARK CORP COM**7,482,122 
KINAXIS INC COM NPV**939,015 
KINDER MORGAN 6.5% DUE 02-01-2037**230,000 
KINDER MORGAN INC 4.3% DUE 06-01-2025**698,383 
KINDER MORGAN INC DEL 1.75% 11-15-2026**4,576,466 
KINDER MORGAN INC FIXED 3.25% DUE 08-01-2050**168,100 
KING SLIDE WORKS TWD10**661,898 
KINGDEE INTL SOFTW HKD0.025**583,092 
KINGNET NETWORK CO CNY1**569,501 
KINNEVIK AB NPV B**77,416 
KINPO ELECTRONICS TWD10**249,487 
KIRBY CORP COM**677,014 
KIRLOSKAR PNEUMATI INR2 (POST SUB DIVISION)**329,486 
KITE RLTY GROUP TR COM NEW COM NEW**803,818 
KITZ CORPORATION NPV**42,368 
KIWOOM SECURITIES KRW5000**330,489 
KKR & CO INC CL A CL A**14,769,849 
KLA CORP 3.3% 03-01-2050**228,308 
KLA CORP 4.95% 07-15-2052**482,426 
KLA CORPORATION COM USD0.001**15,676,125 
KNIFE RIV HLDG CO COM**3,494,282 
KNIGHT-SWIFT TRANSN HLDGS INC CL A CLASSA COMMON STOCK USD0.01**4,673,089 
KNORR BREMSE AG**1,902,411 
KODIAK SCIENCES INC COM USD0.0001**109,161 
KOMERCNI BANKA CZK100**183,123 
KOMMUNALBANKEN AS 1.9% 19/01/2027**59,043 
KON AHOLD DELHAIZE EUR0.01**3,708,040 
KONECRANES OYJ NPV**836,265 
KONINKLIJKE HEIJMANS N.V**1,410,202 
KONINKLIJKE VOPAK EUR0.50**167,673 
KONOIKE TRANSPORT NPV**88,477 
KOPPERS HLDGS INC COM**85,309 
KOREA ELEC TERM KRW500**146,965 
KOREA TREASURY BD 4.0% 10/12/2031**240,931 
KOREA(REPUBLIC OF) 2.375% SNR 10/12/2028KRW**777,232 
KOREA(REPUBLIC OF) 2.625% SNR 10/06/2028KRW**1,084,686 
KOREA(REPUBLIC OF) 3.25% SNR 10/03/2053 KRW**74,826 
KOREA(REPUBLIC OF) 4.25% SNR 10/12/2032 KRW**351,516 
KOREAN REINSURANCE KRW500**178,398 
KOSE CORPORATION NPV**2,969,172 
KPIT TECHNOLOGIES INR10**58,972 
KRAFT HEINZ CO COM**14,261,724 
120

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
KRAFT HEINZ FOODS CO GTD SR NT 4.625% 10-01-2039**357,964 
KRAFTON INC REG S KRW100**468,915 
KRATOS DEFENSE & SECURITY SOLUTIONS INC**2,158,174 
KRISHNA INST OF KRISHNA INST OF MED DM2**382,470 
KROGER CO 4.45% DUE 02-01-2047**247,116 
KROGER CO 5.358% 09-15-2034**503,040 
KROGER CO 5.5% 09-15-2054**18,861 
KROGER CO 5.65% 09-15-2064**263,730 
KROGER CO COM**950,699 
KRONOS WORLDWIDE INC COM STK**91,075 
KRUNG THAI BNK LTD THB5.15(NVDR)**710,163 
KRYSTAL BIOTECH INC COM**2,644,734 
K'S HOLDINGS CORP NPV**1,241,721 
KS ST DEV FIN AUTH REV PUB EMPLOYEES RETSYS-C 5.501 5-1-34 BEO TXBL SF 5-1-27**1,020,936 
KSA SUKUK LTD 144A 5.268% 10-25-2028**201,816 
KT CORPORATION KRW5000**741,740 
KUAISHOU TECHNOLOG USD0.0000053 B CLASS**4,244,684 
KUKBO DESIGN KRW500**31,082 
KUMAGAI GUMI CO NPV**415,322 
KUMBA IRON ORE LTD ZAR0.01**193,278 
KUMHO TIRE CO KRW5000**127,582 
KURA ONCOLOGY INC COM**329,438 
KURA SUSHI USA INC CL A COM CL A COM**4,844,671 
KURITA WATER INDS NPV**1,044,174 
KUWAIT INTERNATIONAL BANK COM STK**107,184 
KUWAIT TELECOMMUNICATIONS COMPANY KWD0.1**48,322 
KYMERA THERAPEUTICS INC COM**239,047 
KYNDRYL HLDGS INC COM**3,161,021 
KYOCERA CORP NPV**3,819,455 
KYOWA KIRIN CO LTD NPV**222,193 
L A CAL DEPT ARPTS ARPT REV TAX BUILD AMER BD 6.582 DUE 05-15-2039**63,415 
L3HARRIS TECHNOLOGIES INC 3.85% DUE 12-15-2026**246,046 
L3HARRIS TECHNOLOGIES INC 3.85% DUE 12-15-2026**885,765 
L3HARRIS TECHNOLOGIES INC 4.4% DUE 06-15-2028**1,216,073 
L3HARRIS TECHNOLOGIES INC 5.05% 06-01-2029**5,053,302 
L3HARRIS TECHNOLOGIES INC 5.4% 01-15-2027**3,924,399 
L3HARRIS TECHNOLOGIES INC 5.4% 07-31-2033**488,957 
L3HARRIS TECHNOLOGIES INC 5.6% 07-31-2053**339,592 
LAB CORP AMER 2.95% DUE 12-01-2029**2,767,809 
LABCORP HLDGS INC COM**5,019,815 
LABORATORY CORP OF AMER 4.35% 04-01-2030**603,092 
LAD AUTO 6.12% DUE 09-15-2027**1,936,937 
LADDER CAP CORP CL A CL A**271,772 
LAM RESH CORP COM NEW**22,344,928 
LAMAR ADVERTISING CO NEW CL A CL A**340,750 
LANCASHIRE HLDGS COM STK**337,635 
LANDESBANK BADEN-WURTTEMBERG NEW YORK BRH 11-27-2024 4.66% CD 11-28-2025**3,714,705 
LANDIS & GYR GROUP CHF10 (REGD)**381,895 
121

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
LANDSEA HOMES CORP + COM USD**567,252 
LANDSTAR SYS INC COM**2,282,988 
LANTHEUS HLDGS INC COM**1,845,828 
LAQ 2023-LAQ MTG TR 6.40342% 03-15-2036**239,426 
LAS VEGAS SANDS 2.9% DUE 06-25-2025**108,803 
LAS VEGAS SANDS 3.5% DUE 08-18-2026**3,358,230 
LAS VEGAS SANDS 3.9% DUE 08-08-2029**1,357,308 
LAS VEGAS SANDS CORP 6.0% 08-15-2029**455,779 
LASERTEC CORP NPV**482,945 
LASSONDE INDUSTRIE CLASS'A'S/VTG NPV**25,703 
LATHAM GROUP INC COM**61,248 
LATTICE SEMICONDUCTOR CORP COM**2,120,693 
LAUNCH TECH 'H'CNY1.00**25,242 
LAUREL RD PRIME STUDENT SR 19-A CL A2FX 0.0% 10-25-2048**59,076 
LAVVI EMPREENDIMEN COM NPV**109,365 
LAZARD INC COM USD0.01**3,479,791 
LCH_IRS BARCUS31 18/09/2029 CNY P 7DCNRR0 / R 2.25% SWU022IE2**374,626 
LCH_IRS BARCUS31 19/03/2030 CNY P 7DCNRR0 / R 1.5% SWU02DUZ7**36,129 
LCH_IRS GOLDUS33 01/10/2029 ILS P 3MTELBO / R 4.18% SWU02B3H1**1,946 
LCH_IRS GOLDUS33 02/10/2029 ILS P 3MTELBO / R 4.175% SWU02B480**874 
LCH_IRS GOLDUS33 05/03/2034 EUR P 6MEURIB / R 2.75% SWU022FI6**10,165 
LCH_IRS GOLDUS33 09/12/2029 ILS P 4.07% / R 3MTELBO SWU02D8J8**2,716 
LCH_IRS GOLDUS33 10/01/2030 EUR P 6MEURIB / R 2.343% SWU02BRM4**16,513 
LCH_IRS GOLDUS33 13/12/2029 ILS P 3.98% / R 3MTELBO SWU02DEG7**2,975 
LCH_IRS GOLDUS33 15/03/2033 AUD P 6MBBSW / R 4.25% SWU01LGV5**908 
LCH_IRS GOLDUS33 15/06/2027 NZD P 3MBBR / R 3.75% SWU01I841**1,488 
LCH_IRS GOLDUS33 15/12/2035 EUR P 0.45% / R 6MEURIB SWU00XH23**19,322 
LCH_IRS GOLDUS33 17/11/2052 EUR P 0.064% / R 6MEURIB SWU016KP6**135,700 
LCH_IRS GOLDUS33 18/03/2025 NOK P 1.635% / R 6MNIBOR SWU00ZE21**1,600 
LCH_IRS GOLDUS33 18/09/2029 ILS P 3MTELBO / R 4.165% SWU02AS11**422 
LCH_IRS GOLDUS33 19/03/2027 EUR P 6MEURIB / R 3% SWU01NRX5**96,503 
LCH_IRS GOLDUS33 19/03/2030 EUR P 6MEURIB / R 2.5% SWU028Y92**261,163 
LCH_IRS GOLDUS33 19/03/2035 AUD P 6MBBSW / R 4.5% SWU02D2D7**13,700 
LCH_IRS GOLDUS33 19/03/2035 EUR P 6MEURIB / R 2.5% SWU028YB7**396,709 
LCH_IRS GOLDUS33 19/06/2029 NZD P 3MBBR / R 4.75% SWU025HY2**38,530 
LCH_IRS GOLDUS33 20/12/2033 AUD P 6MBBSW / R 4.75% SWU01Z579**2,113 
LCH_IRS GOLDUS33 25/09/2029 ILS P 3MTELBO / R 4.405% SWU02AYJ5**16,013 
LCH_IRS GOLDUS33 27/05/2050 EUR P 0.054% / R 6MEURIB SWU017449**42,274 
LCH_IRS MSNYUS33 02/05/2029 EUR P 6MEURIB / R 2.78% SWU024NY8**6,886 
LCH_IRS MSNYUS33 06/05/2029 EUR P 6MEURIB / R 2.827% SWU024SM9**27,252 
LCH_IRS MSNYUS33 19/03/2035 EUR P 6MEURIB / R 2.5% SWU028YB7**238,973 
LCH_IRS MSNYUS33 20/12/2033 AUD P 6MBBSW / R 4.75% SWU01XLH4**227,819 
LCH_OIS BARCUS31 19/03/2027 SGD P 2.5% / R 1DSIBCS SWU02ADY5**1,540 
LCH_OIS BARCUS31 19/03/2030 THB P 1DTHBRO / R 2% SWU02AE24**4,538 
LCH_OIS BOFAGB2U 02/28/2029 USD P 3.261% / R 1DSOFR SWU02AAL6**1,476,886 
LCH_OIS BOFAGB2U 02/28/2029 USD P 3.28% / R 1DSOFR SWU02A9M6**1,440,988 
LCH_OIS BOFAGB2U 02/28/2029 USD P 3.281% / R 1DSOFR SWU02ABS0**1,855,810 
LCH_OIS BOFAGB2U 06/30/2031 USD P 3.264% / R 1DSOFR SWU02AAH5**1,092,321 
122

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
LCH_OIS BOFAGB2U 06/30/2031 USD P 3.266% / R 1DSOFR SWU02A8V7**3,607,868 
LCH_OIS BOFAGB2U 08/07/2034 USD P 3.715% / R 1DSOFR SWU028NX1**32,447 
LCH_OIS GOLDUS33 01/06/2033 CAD P 2.85% / R 1DCORRA SWU02DVC7**177 
LCH_OIS GOLDUS33 01/09/2029 CAD P 1DCORRA / R 2.85% SWU02C9F7**4,855 
LCH_OIS GOLDUS33 01/09/2033 CAD P 2.88% / R 1DCORRA SWU02D5G7**435 
LCH_OIS GOLDUS33 02/28/2029 USD P 3.851% / R 1DSOFR SWU02CL06**16,688 
LCH_OIS GOLDUS33 02/28/2029 USD P 3.862% / R 1DSOFR SWU02CKS6**14,305 
LCH_OIS GOLDUS33 03/19/2030 USD P 3% / R 1DSOFR SWU02DC95**275,101 
LCH_OIS GOLDUS33 03/19/2035 USD P 3.25% / R 1DSOFR SWU02D619**26,466 
LCH_OIS GOLDUS33 05/15/2026 USD P 4.02% / R 1DSOFR SWU02CRP5**410 
LCH_OIS GOLDUS33 05/15/2034 USD P 3.836% / R 1DSOFR SWU02CLH9**12,837 
LCH_OIS GOLDUS33 05/15/2034 USD P 3.847% / R 1DSOFR SWU02CL22**6,997 
LCH_OIS GOLDUS33 05/15/2034 USD P 3.86% / R 1DSOFR SWU02CKT4**13,193 
LCH_OIS GOLDUS33 05/31/2029 USD P 3.838% / R 1DSOFR SWU02DG42**37,856 
LCH_OIS GOLDUS33 06/15/2027 USD P 1.75% / R 1DSOFR SWU01H5P9**66,337 
LCH_OIS GOLDUS33 06/20/2026 USD P 4% / R 1DSOFR SWU0203Z5**47,964 
LCH_OIS GOLDUS33 06/20/2034 USD P 3.75% / R 1DSOFR SWU0205W0**228,110 
LCH_OIS GOLDUS33 06/21/2025 USD P 3.75% / R 1DSOFR SWU01O3A9**66,742 
LCH_OIS GOLDUS33 06/30/2031 USD P 3.84% / R 1DSOFR SWU02CKU1**22,163 
LCH_OIS GOLDUS33 07/12/2034 USD P 3.885% / R 1DSOFR SWU027RX9**17,998 
LCH_OIS GOLDUS33 08/15/2026 USD P 3.905% / R 1DSOFR SWU02CPU6**1,744 
LCH_OIS GOLDUS33 08/15/2034 USD P 3.825% / R 1DSOFR SWU02DG67**12,762 
LCH_OIS GOLDUS33 08/19/2034 USD P 3.586% / R 1DSOFR SWU028ZY6**17,344 
LCH_OIS GOLDUS33 08/19/2034 USD P 3.595% / R 1DSOFR SWU028ZZ3**8,522 
LCH_OIS GOLDUS33 08/28/2034 USD P 3.599% / R 1DSOFR SWU02A813**20,944 
LCH_OIS GOLDUS33 08/28/2034 USD P 3.643% / R 1DSOFR SWU02A854**19,120 
LCH_OIS GOLDUS33 10/31/2031 USD P 3.813% / R 1DSOFR SWU02DG59**60,991 
LCH_OIS GOLDUS33 11/30/2026 USD P 2.965% / R 1DSOFR SWU01JJ13**129,808 
LCH_OIS GOLDUS33 12/18/2025 USD P 3.5% / R 1DSOFR SWU020B78**75,877 
LCH_OIS GOLDUS33 12/18/2026 USD P 3.75% / R 1DSOFR SWU025TK9**26,927 
LCH_OIS GOLDUS33 12/18/2034 USD P 3.75% / R 1DSOFR SWU025TX1**7,955 
LCH_OIS GOLDUS33 16/05/2027 CHF P 1DSARON / R 0.343% SWU01GDB3**1,336 
LCH_OIS GOLDUS33 17/06/2035 GBP P 3% / R 1DSONIA SWU020E26**104,708 
LCH_OIS GOLDUS33 18/09/2054 GBP P 3.75% / R 1DSONIA SWU022DX5**62,501 
LCH_OIS GOLDUS33 18/09/2054 JPY P 1.5% / R 1DTONAR SWU022IC6**45,825 
LCH_OIS GOLDUS33 18/12/2025 CAD P 1DCORRA / R 3.5% SWU020B60**39,330 
LCH_OIS GOLDUS33 19/03/2026 CAD P 1DCORRA / R 3.5% SWU0252X0**4,444 
LCH_OIS GOLDUS33 19/06/2026 CAD P 1DCORRA / R 3.925% SWU025HD8**21,412 
LCH_OIS GOLDUS33 19/06/2034 CAD P 1DCORRA / R 3.5% SWU01ZUN6**42,526 
LCH_OIS GOLDUS33 19/06/2039 JPY P 0.4% / R 1DTONAR SWU01E105**100,649 
LCH_OIS GOLDUS33 20/03/2026 JPY P 0.25% / R 1DTONAR SWU020AB0**21,648 
LCH_OIS MSNYUS33 01/06/2033 CAD P 2.85% / R 1DCORRA SWU02DVC7**2,301 
LCH_OIS MSNYUS33 01/17/2034 USD P 3.6% / R 1DSOFR SWU020RA4**76,764 
LCH_OIS MSNYUS33 02/28/2031 USD P 3.8% / R 1DSOFR SWU021YQ9**609,819 
LCH_OIS MSNYUS33 05/10/2029 EUR P 2.056% / R 1DESTR SWU02CPZ5**2,015 
LCH_OIS MSNYUS33 05/10/2029 EUR P 2.063% / R 1DESTR SWU02CN46**1,493 
LCH_OIS MSNYUS33 06/20/2026 USD P 4% / R 1DSOFR SWU0203Z5**163,688 
LCH_OIS MSNYUS33 06/20/2029 USD P 3.75% / R 1DSOFR SWU0204X9**352,824 
123

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
LCH_OIS MSNYUS33 06/20/2034 USD P 3.75% / R 1DSOFR SWU0205W0**321,282 
LCH_OIS MSNYUS33 06/20/2054 USD P 3.5% / R 1DSOFR SWU0206W9**1,968,870 
LCH_OIS MSNYUS33 08/05/2034 USD P 3.85% / R 1DSOFR SWU028KU0**21,984 
LCH_OIS MSNYUS33 08/15/2033 USD P 3.604% / R 1DSOFR SWU020NU4**582,465 
LCH_OIS MSNYUS33 08/15/2033 USD P 3.608% / R 1DSOFR SWU020O41**513,537 
LCH_OIS MSNYUS33 08/15/2033 USD P 3.609% / R 1DSOFR SWU020RD8**155,335 
LCH_OIS MSNYUS33 08/15/2033 USD P 3.619% / R 1DSOFR SWU020QQ0**189,536 
LCH_OIS MSNYUS33 08/21/2034 USD P 3.55% / R 1DSOFR SWU02A1B8**73,984 
LCH_OIS MSNYUS33 08/28/2034 USD P 3.555% / R 1DSOFR SWU02A7Z9**91,070 
LCH_OIS MSNYUS33 08/28/2034 USD P 3.565% / R 1DSOFR SWU02A805**89,412 
LCH_OIS MSNYUS33 08/28/2034 USD P 3.6% / R 1DSOFR SWU02A821**104,510 
LCH_OIS MSNYUS33 08/28/2034 USD P 3.605% / R 1DSOFR SWU02A839**12,417 
LCH_OIS MSNYUS33 08/28/2034 USD P 3.643% / R 1DSOFR SWU02A854**34,415 
LCH_OIS MSNYUS33 11/15/2033 USD P 3.721% / R 1DSOFR SWU022OM7**246,525 
LCH_OIS MSNYUS33 12/12/2032 USD P 3.61% / R 1DSOFR SWU01NG17**12,317 
LCH_OIS MSNYUS33 12/18/2034 USD P 3.75% / R 1DSOFR SWU025TX1**5,303 
LCH_OIS SBSIUS33 08/15/2034 USD P 3.895% / R 1DSOFR 3553534**28,623 
LCH_OIS SBSIUS33 11/15/2053 USD P 0.032% / R 1DSOFR 3548220**144,497 
LEAR CORP COM NEW COM NEW**3,752,866 
LEGALZOOM COM INC COM**447,573 
LEGRAND SA EUR4**5,568,001 
LEIDOS HLDGS INC COM**176,474 
LEIDOS INC 3.625% 05-15-2025**2,577,500 
LEIDOS INC 5.75% 03-15-2033**517,101 
LEMAITRE VASCULAR INC COM STK**8,327,613 
LENDINGTREE INC NEW COM USD0.01**407,728 
LENDMARK FDG TR 2021-1 1.9% 11-20-2031**1,879,738 
LENNOX INTL INC COM**1,342,288 
LENOVO GROUP LIMITED HKD0.025**1,541,596 
LEONARDO DRS INC COM**820,319 
LEONARDO SPA NPV**1,787,654 
LEONG HUP INTERNAT NPV**15,465 
LEONTEQ AG CHF1 (REGD)**298,698 
LIFE TIME GROUP HLDGS INC COM**1,144,046 
LIFESTANCE HEALTH GROUP INC COM**617,886 
LINDE PLC**19,405,773 
LINKLOGIS INC USD0.00000833 B CLASS**262,621 
LINTEC CORP NPV**1,187,813 
LION FINANCE GROUP PLC**625,804 
LIVE NATION ENTERTAINMENT INC**16,989,364 
LIVE OAK BANCSHARES INC COM**374,143 
LKQ CORP COM LKQ CORP**5,489,715 
LLOYDS BANK PLC 0%-VAR SNR 02/04/2032 USD**1,314,312 
LLOYDS BANKING GROUP PLC 5.087% 11-26-2028**3,033,001 
LLOYDS BANKING GROUP PLC 5.871% 03-06-2029**5,092,536 
LLOYDS BANKING GROUP PLC 5.985% 08-07-2027**8,340,111 
LLOYDS BKG GROUP PLC 4.716% DUE 08-11-2026 BEO**9,336,376 
LLOYDS BKG GROUP PLC 5.679% 01-05-2035**199,221 
124

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
LLOYDS BKG GROUP PLC 5.679% 01-05-2035**8,964,937 
LOCKHEED MARTIN CORP 3.9% 06-15-2032**2,332,202 
LOCKHEED MARTIN CORP 5.2% 02-15-2055**188,503 
LOCKHEED MARTIN CORP COM**7,593,784 
LOCKHEED MARTIN CORP NT 6.15% DUE 09-01-2036/12-18-2006**280,274 
LOGISTA INTEGRAL S A**3,310,696 
LOGITECH INTL CHF0.25 (REGD)**8,151,269 
LOGO YAZILIM TRY1**54,138 
LOJAS RENNER SA COM NPV**584,179 
LONDON STOCK EXCHANGE GROUP ORD GBP0.06918604**10,126,393 
LONKING HOLDINGS HKD0.1**54,429 
LOOMIS AK**975,352 
LOT VACUUM CO LTD KRW500**34,237 
LOTES CO LTD TWD10**834,846 
LOTTERY CORPORATIO NPV**756,955 
LOTTOMATICA GROUP NPV**1,120,120 
LOUISIANA LOC GOVT ENVRNMNTL FACS & TAX-LA UTILS RESTRTN CORP 5.048% 12-01-2034**399,863 
LOUISIANA-PACIFIC CORP COM**3,657,075 
LOUISVILLE GAS & ELEC CO 5.45% DUE 04-15-2033**303,335 
LOWE'S COMPANIES INC 4.4% DUE 09-08-2025 BEO**828,807 
LOWES COS INC 3.35% 04-01-2027**1,839,737 
LOWES COS INC 4.05% DUE 05-03-2047**233,118 
LOWES COS INC COM**47,996,929 
LPL HLDGS INC 6.75% 11-17-2028**740,687 
LPL HLDGS INC SR NT 5.7% 05-20-2027**759,182 
LS CORP KRW5000**71,679 
LUCECO PLC ORD GBP0.0005**3,440 
LUKOIL PJSC**432,147 
LULULEMON ATHLETICA INC COM**175,144 
LUMENTUM HLDGS INC COM**1,214,924 
LUYE PHARMA GP LTD USD0.02**129,759 
LVMH MOET HENNESSY EUR0.30**11,654,248 
LX HOLDINGS COM KRW**14,842 
LYB INTL FIN III 1.25% DUE 10-01-2025**96,384 
LYFT INC CL A CL A**2,119,535 
LYONDELLBASELL IND N V COM USD0.01 CL 'A'**3,217,971 
M3 INC NPV**70,223 
MACERICH CO REIT**1,748,936 
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC COM STK**434,404 
MACQUARIE GROUP LTD 21/06/2028 4.098% 06-21-2028**4,888,221 
MACQUARIE GROUP LTD SR MEDIUM TERM TRANCHE # TR 00030 5.108% 08-09-2026**9,319,152 
MACQUARIE GROUP LTD SR MEDIUM TERM 1.34%01-12-2027**1,517,932 
MACROGENICS INC COM**27,144 
MADDEN STEVEN LTD COM**3,895,002 
MADISON PARK FUNDING LTD 20/04/2032 0% 04-20-2032**1,241,656 
MADISON PK FDG XXX FLTG RT 0% DUE 07-16-2037**903,825 
MADISON SQUARE GARDEN ENTMT CORP CL A**759,918 
MADRIGAL PHARMACEUTICALS INC COM**879,116 
125

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
MAGNA INTERNATIONAL INC COMMON STOCK**16,423,470 
MAGNETITE XXVI LTD / MAGNETITE XXVI SR SECD NT CL A-2-R 144A 5.96168 07-25-2034**804,427 
MAGNETITE XXVI LTD/MAGNETITE XXVI LLC SRSECD NT CL A-R-1 FLTG 144A 07-25-2034**1,631,135 
MAGNITE INC COM**1,269,238 
MAGNOLIA OIL & GAS CORP CL A CL A**4,529,501 
MAGYAR TELEKOM HUF100**485,481 
MAH SING GROUP BHD NPV**257,873 
MAIN STR CAP CORP 6.95% 03-01-2029**1,284,806 
MAJOR CINEPLEX GRO THB1(NVDR)**219,886 
MALAYSIA (GOVT OF) 2.632% GTD 15/04/2031MYR**188,588 
MALAYSIA (GOVT OF) 4.054% BDS 18/04/2039MYR**451,569 
MALAYSIA 3.519% 20/04/2028**422,015 
MALIBU BOATS INC COM CL A COM CL A**5,399,428 
MAN INFRACONSTRUCTION LTD INR2**71,372 
MANDOM CORP NPV**391,039 
MANHATTAN ASSOCS INC COM**1,374,441 
MANITOBA PROV CDA DEB SER GM 2.125% DUE 06-22-2026 REG**193,292 
MANITOWOC CO INC COM USD0.01(POST REV SPLIT)**137,050 
MANNKIND CORP COM USD0.01(POST REV SPLIT)**547,707 
MANPOWERGROUP INC**1,169,119 
MANULIFE FINL CORP 4.15% DUE 03-04-2026**50,672 
MANULIFE FINL CORP COM NPV**10,041 
MAPLE GROVE FDG TR I PRE-CAPITALIZED TR SECS 4.161% 08-15-2051**1,420,667 
MAPLEBEAR INC COM**3,430,280 
MARATHON PETE CORP 5.125% 05-22-2019**1,372,107 
MARATHON PETE CORP 6.5% DUE 03-01-2041**176,245 
MARATHON PETE CORP COM**2,797,115 
MARAVAI LIFESCIENCES HLDGS INC CL A CL A**48,505 
MARCO POLO MARINE NPV**130,266 
MARICOPA CNTY ARIZ INDL DEV AUTH ED 7.375% 10-01-2029**203,863 
MARKEL GROUP INC**6,221,333 
MARKEL GROUP INC 5% DUE 04-05-2046**271,493 
MARKETECH INTERNATIONAL CORP**80,983 
MARKS & SPENCER GROUP ORD GBP0.01**855,903 
MARRIOTT INTERNATIONAL INC 5.0% 10-15-2027**2,464,749 
MARRIOTT INTL INC NEW 4.9% 04-15-2029**244,554 
MARRIOTT INTL INC NEW 5.45% 09-15-2026**1,443,394 
MARRIOTT INTL INC NEW COM STK CL A**30,441,001 
MARSH & MCLENNAN COS INC 4.55% 11-08-2027**2,906,910 
MARSH & MCLENNAN CO'S INC COM**26,706,309 
MARTIN MARIETTA 3.45% DUE 06-01-2027**101,831 
MARTIN MARIETTA 4.25% 12-15-2047**200,880 
MARTIN MARIETTA MATLS INC COM**16,322,950 
MARTINREA INTL INC COM NPV**660,168 
MARUBUN CORP NPV**56,900 
MARUHA NICHIRO COR NPV**1,331,441 
MARUTI SUZUKI IND INR5**758,698 
MARUZEN SHOWA UNYU NPV**27,214 
126

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
MARVELL TECHNOLOGY INC 5.75% 02-15-2029**128,102 
MARVELL TECHNOLOGY INC 5.75% 02-15-2029**3,320,408 
MARVELL TECHNOLOGY INC COM**13,140,016 
MASCO CORP 6.5% DUE 08-15-2032**316,123 
MASCO CORP FIXED 2% DUE 10-01-2030**84,322 
MASSACHUSETTS EDL FING AUTH SER 8-1 CL A1 FLTG 04-25-2038**4,485 
MASTEC INC 5.9% 06-15-2029**274,834 
MASTEC INC COM**12,023,204 
MASTEK INR5**450,802 
MASTERCARD INC CL A**102,447,879 
MASTERCRAFT BOAT HLDGS INC COM**115,164 
MASTR AST BACKED FLTG RT 4.65378% DUE 11-25-2036**1,088,376 
MATADOR RES CO COM**673,038 
MATRIMONY COM LTD INR5**67,009 
MATRIX SVC CO COM**90,302 
MAVI GIYIM SANAYI TRY1**744,531 
MAX FINANCIAL SERV INR2**472,694 
MAYVILLE ENGR CO INC COM**88,975 
MAZDA MOTOR CORP NPV**1,135,819 
MBM RESOURCES NPV**75,478 
MBX BIOSCIENCES INC COM**98,969 
MC DONALDS CORP COM**17,934,915 
MCDONALDS CORP 4.45% DUE 03-01-2047 REG**75,618 
MCDONALD'S CORP FIXED 4.45% DUE 09-01-2048**208,697 
MCDONALDS CORP MEDIUM TERM NTS BOOK 3.625% DUE 09-01-2049**173,267 
MCKESSON CORP**29,519,628 
MCKESSON CORP NEW 4.25% 09-15-2029**388,050 
MDA SPACE LTD COM NPV**1,375,685 
MDU RES GROUP INC COM**735,054 
MEARS GROUP ORD GBP0.01**1,078,691 
MECHEL PJSC RUB10(RUB)**462 
MECHEL-PFD**323 
MEDIAALPHA INC CL A CL A**184,592 
MEDIATEK INC TWD10**11,351,248 
MEDIFAST INC COM**121,525 
MEDIPAL HOLDINGS CORP**165,102 
MEDPACE HLDGS INC COM**4,523,311 
MEDSTAR HEALTH INC 3.626% DUE 08-15-2049**431,182 
MEDTRONIC PLC COMMON STOCK STOCK**37,935,252 
MEGACHIPS CORP NPV**28,150 
MEITU INC USD0.00001**209,714 
MEITUAN USD0.00001 B CLASS**2,976,214 
MEKO AB NPV**171,954 
MELCO RESORTS & ENTERTAINMENT LIMITED**908,248 
MELIA HOTELS INTL EUR0.2**765,239 
MEMORIAL HLTH SVCS 3.447% DUE 11-01-2049**341,515 
MERCADOLIBRE INC COM STK**10,437,301 
MERCEDES-BENZ AUTO FIXED 4.51% DUE 11-15-2027**607,176 
127

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
MERCHANTS BANCORP IND COM**54,705 
MERCIALYS EUR1**335,947 
MERCK & CO INC 2.9% DUE 12-10-2061**183,878 
MERCK & CO INC NEW COM**14,268,118 
MERCK KGAA NPV**9,071,682 
MERCURY GEN CORP NEW COM**729,950 
MERIDIANLINK INC COM**218,622 
MERIT MED SYS INC COM**3,027,820 
MERITAGE HOMES CORP COM**2,159,325 
MERRILL LYNCH MTG FLTG RT 5.22878% DUE 09-25-2035**3,537 
MERRY ELECTRONICS TWD10**105,416 
MERSANA THERAPEUTICS INC COM**82,143 
MERUS B V MERUS N V**103,906 
MESA LABS INC COM**4,112,498 
META PLATFORMS INC 4.3% 08-15-2029**5,595,291 
META PLATFORMS INC 4.75% 08-15-2034**448,039 
META PLATFORMS INC 5.4% 08-15-2054**639,562 
META PLATFORMS INC 5.55% 08-15-2064**558,040 
META PLATFORMS INC COM USD0.000006 CL 'A'**173,916,377 
META PLATFORMS INC FIXED 4.45% DUE 08-15-2052**455,887 
METALLUS INC**237,652 
METALURGICA GERDAU PRF NPV**158,947 
METLIFE INC 5.25% DUE 01-15-2054**309,426 
MEXICO(UTD MEX ST) 2.75% GTD 27/11/2031 MXV100**1,544,531 
MEXICO(UTD MEX ST) 3% GTD 03/12/2026 DUAL CURR**156,112 
MEXICO(UTD MEX ST) 4% GTD 24/08/2034 DUAL CURR**106,716 
MEXICO(UTD MEX ST) 4% GTD 30/11/2028 DUAL CURR**687,832 
MEXICO(UTD MEX ST) 4.4899% SNR 25/05/2032 EUR**735,831 
MF1 2021-FL5 LTD / MF1 2021-FL5 LLC SR SECD NT CL A FLTG 144A 5.3463 07-15-2036**233,286 
MFA 2020-NQM2 TR 1.381% DUE 04-25-2065**133,902 
MFA 2023-NQM2 TR FLTG RT 4.4% DUE 03-25-2068**2,267,628 
MFA 2023-NQM4 TR FLTG RT 6.105% DUE 12-25-2068**401,479 
MFA 2023-NQM4 TR FLTG RT 6.105% DUE 12-25-2068**1,846,802 
*MFB NT COLLECTIVE 1-10 YR.INTERMEDIATE GOVT BOND INDEX FD-NON-LENDING
**311,638,055 
*MFB NT COLLECTIVE AGGREGATE BOND INDEX FUND-NON LENDING
**7,180,770,357 
*MFB NT COLLECTIVE LONG-TERM GOVT BD INDEX FUND-NON-LENDING
**134,617,376 
*MFB NT COLLECTIVE RUSSELL 2000 INDEX FUND - DC - NON LENDING (TIER J)
**4,123,786,780 
MFC ISHARES TR RUSSELL 2000 ETF**3,930,878 
MFE-MEDIAFOREUROPE N.V. EUR0.06 A**313,109 
MFO AEW GLOBAL PROPERTIES TRUST FUND DC PLAN CLASS B 00105A30-0452**285,058,299 
MFO GALLIARD MANAGED INCOME FUND D**6,770,849 
MFO JPMORGAN MBS FUND COMMINGLED**225,133,481 
MFO PIMCO ABS AND SHORT TERM INVESTMENT PORT**25,911,002 
MFO PIMCO COMMODITIES PLUS COLTV TR (SEI) 92202**54,852,543 
MFO PIMCO FDS PAC INVT MGMT SER SHORT-TERM PORTFOLIO INSTL CL**2,702,215 
MFO PIMCO FDS PIMCO SECTOR FD SER H**2,658,478 
MFO PIMCO LONG DURATION CREDIT BOND PORT**93,349,727 
MFO PIMCO SHORT TERM FLOATING NAV II**4,449,345 
128

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
MFO WTC CIF II DIVERSIFIED REAL ASSETS SERIES**478,402,249 
MFO WTC CIF II GLOBAL EQUITY SERIES 3**716,564,309 
MGAME CORP KRW500**75,993 
MGIC INVT CORP WIS COM**495,634 
MICHELIN (CGDE) EUR0.50 (POST SUBDIVISION)**5,390,494 
MICHIGAN FIN AUTH REV MUNI 3.384% 12-01-2040**5,597,614 
MICROCHIP TECHNOLOGY INC 4.25% DUE 09-01-2025**1,343,268 
MICROCHIP TECHNOLOGY INC 4.9% 03-15-2028**299,049 
MICROCHIP TECHNOLOGY INC 4.9% 03-15-2028**1,275,941 
MICROCHIP TECHNOLOGY INC 5.05% 03-15-2029**2,220,937 
MICROCHIP TECHNOLOGY INC COM**62,684 
MICRON TECH INC COM**10,202,885 
MICRON TECHNOLOGY INC 2.703% 04-15-2032**1,676,751 
MICRON TECHNOLOGY INC 5.3% 01-15-2031**329,603 
MICRON TECHNOLOGY INC 5.875% 02-09-2033**450,790 
MICRONIC MYDATA AB NPV**626,829 
MICROSOFT CORP 3.45% DUE 08-08-2036**34,009 
MICROSOFT CORP COM**320,945,274 
MICROSOFT CORP SR NT 2.5% 09-15-2050**478,812 
MICROSTRATEGY INC CL A NEW CL A NEW**322,637 
MID-AMERICA APARTMENT 1.7% DUE 02-15-2031 BEO**280,129 
MIDAMERICAN ENERGY 3.65% DUE 04-15-2029**1,296,908 
MIDAMERICAN ENERGY 4.4% DUE 10-15-2044**555,921 
MIDAMERICAN ENERGY 5.858% 09-15-2054**203,706 
MIDDLEBY CORP COM**2,714,689 
MIDMICHIGAN HEALTH 3.409% DUE 06-01-2050**278,674 
MIDOCEAN CR CLO VIII / MIDOCEAN CR 0% 02-20-2031**208,586 
MIDOCEAN CR CLO VIII / MIDOCEAN CR 0% 02-20-2031**930,295 
MIGOS TICARET A.S COMSTK**296,468 
MILLERKNOLL INC COM STK USD0.20**3,810,029 
MIMAKI ENGINEERING NPV**58,947 
MINDSPACE BUS PRK NPV(REIT)**218,283 
MINERVA SA COM NPV**237,616 
MINISTERIO HAC 5.75% GTD 03/11/2027 COP**411,832 
MINSHENG EDUCATION GROUP CO LTD USD0.00001**15,422 
MINTH GRP HKD0.1**23,358 
MINTO APT REAL UNIT**1,046,850 
MIRAE ASSET SEC 2ND PRF KRW5000**257,163 
MIRAIT ONE CORPORATION NPV**853,949 
MIRARTH HOLDINGS INC NPV**498,073 
MISUMI GROUP INC NPV**1,431,658 
MITAC HOLDINGS CORP**218,423 
MITIE GROUP ORD GBP0.025**465,089 
MITRABARA ADIPERDA IDR100**13,203 
MITSUBISHI ELEC CP NPV**9,374,409 
MITSUBISHI RESEARC NPV**506,108 
MITSUBISHI UFJ 1.538% DUE 07-20-2027**494,542 
MITSUBISHI UFJ 1.538% DUE 07-20-2027**1,573,974 
129

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
MITSUBISHI UFJ 2.309% DUE 07-20-2032**1,003,428 
MITSUBISHI UFJ 2.757% DUE 09-13-2026**292,621 
MITSUBISHI UFJ 5.017% DUE 07-20-2028**2,062,462 
MITSUBISHI UFJ FIN GRP BDS 3.195% 07-18-2029**6,957,800 
MITSUBISHI UFJ FINANCIAL GROUP INC 5.242% DUE 04-19-2029**846,155 
MITSUBISHI UFJ FINANCIAL GROUP INC SR NT2.048% 07-17-2030**384,906 
MITSUBISHI UFJ FINANCIAL GROUP INC SR NT2.048% 07-17-2030**3,421,390 
MITSUBISHI UFJ FINL GROUP INC 1.64% 10-13-2027**3,561,242 
MITSUBISHI UFJ FINL GROUP INC 2.193% DUE02-25-2025**1,962,450 
MITSUBISHI UFJ FINL GROUP INC 3.837% 04-17-2026**4,594,275 
MITSUBISHI UFJ FINL GROUP INC 3.837% 04-17-2026**687,585 
MITSUBISHI UFJ FINL GROUP INC 4.08% 04-19-2028**697,778 
MITSUBISHI UFJ FINL GROUP INC 5.258% 04-17-2030**605,077 
MITSUBISHI UFJ FIXED 1.412% DUE 07-17-2025**687,670 
MITSUBISHI UFJ FIXED 1.412% DUE 07-17-2025**1,090,447 
MITSUI MINING & SM NPV**614,502 
MIXI. INC NPV**1,191,588 
MIZUHO BK LTD 0% CP 11-18-2025**2,368,188 
MIZUHO BK LTD NEW YORK CD 4.6% 11-19-2024 DUE 11-20-2025**1,581,002 
MIZUHO FINL GROUP 1.234% DUE 05-22-2027**713,806 
MIZUHO FINL GROUP 1.234% DUE 05-22-2027**1,237,264 
MIZUHO FINL GROUP 3.17% DUE 09-11-2027**287,851 
MIZUHO FINL GROUP 5.382% 07-10-2030**1,514,688 
MIZUHO FINL GROUP 5.382% 07-10-2030**1,595,471 
MIZUHO FINL GROUP INC 2.172% DUE 05-22-2032 REG**4,069,957 
MIZUHO FINL GROUP INC 2.201% 07-10-2031**4,271,994 
MIZUHO FINL GROUP INC 2.869% 09-13-2030**2,990,222 
MIZUHO FINL GROUP INC 5.376% 05-26-2030**947,526 
MIZUNO CORP NPV**85,518 
MK RESTAURANT GROU THB1(NVDR)**17,966 
MKS INSTRS INC COM**8,422,290 
MLP VIPER ENERGY INC**1,691,688 
MMC NORILSK NICKEL ADR EACH REPR 1/10 SHARE (S**
MMC NORILSK NICKEL PJSC**191,125 
MMG LTD NPV**242,556 
MOBILE TEL SYSTEMS KWD0.1**310,381 
MOBILE TELESYSTEMS PJSC**45,120 
MODEC INC(JAPAN) NPV**810,922 
MODERN TIMES GROUP SER'B'NPV**432,576 
MODERNA INC COM**505,405 
MODIVCARE INC COM**89,179 
MOLINA HEALTHCARE INC COM**643,221 
MOMENTUM GROUP LTD ZAR0.000001**489,604 
MONADELPHOUS GROUP NPV**136,089 
MONARCH NETWORTH C INR10**8,953 
MONDAY COM LTD COM NPV**804,028 
MONDELEZ INTL INC 4.75% 08-28-2034**861,414 
MONDELEZ INTL INC 4.75% 02-20-2029**411,491 
130

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
MONDELEZ INTL INC COM**22,451,910 
MONETA MONEY BANK CZK20.00**2,966,012 
MONGODB INC CL A CL A**2,022,188 
MONOLITHIC PWR SYS INC COM**921,277 
MONSTER BEVERAGE CORP NEW COM**12,823,273 
MOODYS CORP 5.25% DUE 07-15-2044**473,781 
MOODYS CORP COM**12,373,418 
MOONLAKE IMMUNOTHERAPEUTICS COM**1,286,225 
MORGAN STANLEY .985% DUE 12-10-2026**7,078,599 
MORGAN STANLEY 1.794% 02-13-2032**2,125,280 
MORGAN STANLEY 1.928% DUE 04-28-2032**572,674 
MORGAN STANLEY 2.188% 04-28-2026**1,482,276 
MORGAN STANLEY 2.188% 04-28-2026**223,983 
MORGAN STANLEY 2.239% 07-21-2032**5,055,932 
MORGAN STANLEY 2.475% 01-21-2028**1,890,510 
MORGAN STANLEY 2.511% 10-20-2032**1,466,481 
MORGAN STANLEY 2.699% DUE 01-22-2031**986,320 
MORGAN STANLEY 3.125% DUE 07-27-2026**748,213 
MORGAN STANLEY 3.625% DUE 01-20-2027**4,104,401 
MORGAN STANLEY 3.772% 01-24-2029**80,010 
MORGAN STANLEY 3.772% 01-24-2029**3,725,784 
MORGAN STANLEY 3.79%-FRN SNR 21/03/30 EUR**318,879 
MORGAN STANLEY 3.875% DUE 01-27-2026**6,126,344 
MORGAN STANLEY 3.955% 03-21-2035**2,864,896 
MORGAN STANLEY 4.3% DUE 01-27-2045**288,747 
MORGAN STANLEY 4.35 DUE 09-08-2026**496,085 
MORGAN STANLEY 4.35 DUE 09-08-2026**7,153,544 
MORGAN STANLEY 4.431% 01-23-2030**303,748 
MORGAN STANLEY 5.042% 07-19-2030**3,009,238 
MORGAN STANLEY 5.123% DUE 02-01-2029**290,805 
MORGAN STANLEY 5.123% DUE 02-01-2029**930,577 
MORGAN STANLEY 5.164% 04-20-2029**6,977,007 
MORGAN STANLEY 5.173% 01-16-2030**2,979,896 
MORGAN STANLEY 5.173% 01-16-2030**8,013,165 
MORGAN STANLEY 5.25% 04-21-2034**728,419 
MORGAN STANLEY 5.32% 07-19-2035**1,505,468 
MORGAN STANLEY 5.449% 07-20-2029**141,552 
MORGAN STANLEY 5.449% 07-20-2029**3,624,732 
MORGAN STANLEY 5.466% 01-18-2035**546,982 
MORGAN STANLEY 5.466% 01-18-2035**2,287,379 
MORGAN STANLEY 5.652% 04-13-2028**2,817,053 
MORGAN STANLEY 5.656% 04-18-2030**1,119,643 
MORGAN STANLEY 5.656% 04-18-2030**7,304,143 
MORGAN STANLEY 5.831% 04-19-2035**316,469 
MORGAN STANLEY 5.948% 01-19-2038**451,227 
MORGAN STANLEY 6.407% 11-01-2029**417,823 
MORGAN STANLEY 6.407% 11-01-2029**1,532,365 
MORGAN STANLEY 6.627% 11-01-2034**8,605,467 
131

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
MORGAN STANLEY BAML TRUST SERIES 2015-C22 CLASS A3 3.046% 03-15-2015**1,491,220 
MORGAN STANLEY BANK NA 5.504% 05-26-2028**12,092,275 
MORGAN STANLEY BK 2.84% DUE 11-15-2049**3,742,963 
MORGAN STANLEY BK 3.077% DUE 03-15-2048**43,728 
MORGAN STANLEY BK 3.372% DUE 10-15-2048**694,058 
MORGAN STANLEY BK 3.372% DUE 10-15-2048**6,841,427 
MORGAN STANLEY BK 3.473% DUE 12-15-2047**5,407,148 
MORGAN STANLEY BK 3.719% DUE 07-15-2050**1,360,674 
MORGAN STANLEY BK AMER MERRILL LYNCH TR 2017-C34 CL A-SB 3.354% 11-15-2052**1,091,268 
MORGAN STANLEY BK AMER MERRILL LYNCH TR SER 2015-C23 CL A-3 3.451% 07-15-2050**1,116,434 
MORGAN STANLEY BK N A 4.447% 10-15-2027**4,817,377 
MORGAN STANLEY BK N A 4.968% 07-14-2028**1,680,262 
MORGAN STANLEY BK N A SALT LAKE CITY UTAH 4.952% 01-14-2028**1,972,663 
MORGAN STANLEY BK N A SALT LAKE CY GLOBAL NT SER A 3/A2 4.754% 04-21-2026**1,639,467 
MORGAN STANLEY CAP 3.9% DUE 09-24-2057**660,431 
MORGAN STANLEY COM STK USD0.01**42,255,623 
MORGAN STANLEY FIXED 1.593% DUE 05-04-2027**6,375,595 
MORGAN STANLEY FIXED 5.516% 11-19-2055**144,875 
MORGAN STANLEY FLTG RT 6.296% DUE 10-18-2028**3,309,828 
MORGAN STANLEY MTN 1.512% DUE 07-20-2027**1,257,527 
MORGAN STANLEY SR NT FXD/FLTG 2.63% 02-18-2026**1,314,934 
MORGAN STANLEY VAR RT 07-22-2028**482,109 
MORIROKU HOLDINGS NPV**33,021 
MORITO CO LTD NPV**66,207 
MORNINGSTAR INC COM STK**2,180,521 
MOSAIC CO NEW FIXED 4.05% DUE 11-15-2027**146,964 
MOSAIC CO/THE**799,637 
MOTOROLA SOLUTIONS INC**7,317,101 
MOVADO GROUP INC COM**150,887 
MP CLO VII LTD / MP CLO VII LLC SR NT CLA-R3 FLTG 144A 3C7 5.44478% 10-18-2028**42,976 
MP MATERIALS CORP COM USD0.0001 CL A**198,931 
MPHASIS LTD INR10**490,897 
MPI CORPORATION TWD10**84,735 
MPLX LP 1.75% DUE 03-01-2026**4,351,529 
MPLX LP 1.75% DUE 03-01-2026**10,832,162 
MPLX LP 2.65% DUE 08-15-2030**2,450,127 
MPLX LP 4% 03-15-2028**1,503,606 
MPLX LP 4.5% 04-15-2038**287,708 
MPLX LP 4.8% 02-15-2029**1,298,520 
MPLX LP 4.875% DUE 06-01-2025**330,304 
MPLX LP 5.0% 03-01-2033**288,192 
MPLX LP 5.0% 03-01-2033**970,248 
MPLX LP 5.5% 06-01-2034**217,038 
MPLX LP 5.65% 03-01-2053**116,683 
MPLX LP FIXED 4.125% DUE 03-01-2027**724,136 
MPLX LP FIXED 5.2% 12-01-2047**424,815 
MPLX LP SR NT 4.95% 03-14-2052**252,559 
MR PRICE GROUP COM STK**1,832,521 
132

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
MS&AD INS GP HLDGS NPV**500,364 
MSA SAFETY INC COM**10,173,305 
MSC INDL DIRECT INC CL A COM**3,818,227 
MSCI INC COM USD0.01**1,881,031 
MSWF COML MTG TR FLTG RT 6.014% DUE 12-15-2056**3,655,134 
MTN COML MTG TR FLTG RT 5.7169% DUE 03-15-2039**2,497,656 
MTU AERO ENGINES A NPV (REGD)**5,210,860 
MUELLER INDS INC COM**916,370 
MUHAK CO KRW200**26,501 
MULTI COMMODITY EX INR10**837,463 
MULTICAMPUS CO LTD KRW5000**19,600 
MULTICLASS SR 5410 CL DF FLTG RT 05-25-2054**1,263,367 
MULTICONSULT AS NOK0.50**52,810 
MUNICIPAL ELEC AUTH GA 2.257% 01-01-2029BEO TAXABLE**3,417,308 
MUNICIPAL ELEC AUTH GA 2.397% 01-01-2030BEO TAXABLE**2,279,235 
MUNICIPAL ELEC AUTH GA 6.637% 04-01-2057BEO TAXABLE**8,536 
MUNICIPAL ELEC AUTH GA 6.655% 04-01-2057BEO TAXABLE**2,104,801 
MURPHY OIL CORP COM**2,647,750 
MXC SOLUTIONS PRIVATE LTD**177,631 
MYLAN N V FIXED 3.95% DUE 06-15-2026**4,559,913 
MYR GROUP INC DEL COM STK**1,126,635 
NAMCHOW HOLDINGS C TWD10**50,077 
NAMEN-AKT BELIMO HOLDING AG (SPLIT HOLDING AG (SPLIT)**1,243,652 
NAMYONG TERMINAL THB0.50 (NVDR)**87,299 
NAN PAO RESINS CHE TWD10**239,442 
NAPCO SECURITY TECHNOLOGIES INC**442,153 
NASDAQ INC**20,398,475 
NASDAQ INC 5.55% 02-15-2034**322,983 
NASDAQ INC 5.95% 08-15-2053**151,483 
NASDAQ INC 6.1% 06-28-2063**152,870 
NASPERS NPV (POST REV SPLIT)**1,250,860 
NATERA INC COM**3,775,455 
NATIONAL ALUMINUM**482,574 
NATIONAL AUSTRALIA BK LTD FLTG CP 04-09-2025**2,435,084 
NATIONAL BANK OF CANADA 5.6% 12-18-2028**3,378,869 
NATIONAL BK HLDGS CORP CL A COM STK**4,832,193 
NATIONAL FL GAS CO 2.95% DUE 03-01-2031**1,549,987 
NATIONAL GRID PLC 5.418% 01-11-2034**748,241 
NATIONAL GRID PLC 5.809% 06-12-2033**1,428,886 
NATIONAL GRID PLC 5.809% 06-12-2033**2,551,583 
NATIONAL HEALTHCARE CORP COM**1,080,118 
NATIONAL RURAL UTILITIES COOP FIN 5.15% 06-15-2029**710,341 
NATIONAL RURAL UTILS COOP 5.6% 11-13-2026**354,733 
NATIONAL RURAL UTILS COOP FIN CORP 1.875% 02-07-2025**1,118,619 
NATIONWIDE BLDG 4.85% DUE 07-27-2027**5,502,411 
NATL AUSTRALIA BK 3.905% DUE 06-09-2027**2,722,319 
NATL HLTH INVS INC 3% DUE 02-01-2031**1,546,936 
NATL MOBILE TELECO KWD0.1**23,376 
133

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
NATL RURAL UTILS 5.1% DUE 05-06-2027**3,527,747 
NATL RURAL UTILS COOP FIN CORP 4.12% 09-16-2027**273,238 
NATWEST GROUP PLC 1.642% 06-14-2027**4,770,846 
NATWEST GROUP PLC 4.892% 05-18-2029**762,432 
NATWEST GROUP PLC 4.892% 05-18-2029**14,916,928 
NATWEST GROUP PLC 4.964% DUE 08-15-2030**394,014 
NATWEST GROUP PLC 5.583% 03-01-2028**942,989 
NATWEST GROUP PLC 5.778% 03-01-2035**603,958 
NATWEST GROUP PLC 5.847% DUE 03-02-2027**232,313 
NATWEST GROUP PLC 6.016% DUE 03-02-2034**307,365 
NATWEST GROUP PLC FIXED 7.472% DUE 11-10-2026**802,318 
NATWEST GROUP PLC ORD GBP1.0769**2,764,035 
NATWEST GROUP PLC SR GLBL COCO 5.076% 01-27-2030**277,093 
NAVER CORPORATION KRW500**3,304,484 
NAVIENT PRIVATE ED LN TR 2020-I 5.42634%04-15-2069**4,386,031 
NAVIENT PVT ED 5.66% DUE 10-15-2072**4,671,360 
NAVISTAR FINL 6.18% DUE 08-25-2028**850,690 
NBT BANCORP INC COM**4,772,561 
NCC LTD INR2**239,093 
NCINO INC NEW COM**3,051,247 
NCL INDUSTRIES INR10**49,105 
NCR ATLEOS CORPORATION COM USD0.01 WI**988,564 
NEC CORP NPV**4,997,063 
NEKTAR THERAPEUTICS COM**29,381 
NEMETSCHEK SE ORD NPV**343,979 
NEO JAPAN INC NPV**20,089 
NEO PERFORMANCE MA COM NPV**44,444 
NEOBO FASTIGHETER AB NPV**123,236 
NERDWALLET INC CL A CL A**171,836 
NESCO LTD INR2**134,743 
NESTLE SA CHF0.10(REGD)**13,299,542 
NETAPP INC COM STK**1,140,022 
NETEASE CLOUD MUSIC INC 144A**285,208 
NETEASE INC COMSTK**7,875,025 
NETFLIX INC 5.4% 08-15-2054**312,903 
NETFLIX INC COM STK**38,594,156 
NETGEAR INC COM**448,791 
NETSTREIT CORP COM USD0.01**4,306,142 
NETWEALTH GROUP NPV**364,912 
NETWEB TECHNOLOGIE INR2**441,191 
NEUROCRINE BIOSCIENCES INC COM**6,178,809 
NEVRO CORP COM**58,921 
NEW FORTRESS INC CL A SHS REPSTG LTD LIABILITY**5,729,050 
NEW ISSUE HOME DEPOT 30YR USD 3.625% 04-15-2052**188,680 
NEW S WALES TREAS CORP 1.75% 20/03/2034**330,376 
NEW YORK & FIXED 2.606% DUE 08-01-2060**54,262 
NEW YORK N Y CITY HSG DEV CORP MULTIFAMILY 5.458% 12-15-2031**428,211 
NEW YORK N Y CITY TRANSITIONAL FIN AUTH REV 3.13% 11-01-2028 BEO TAXABLE**13,631,937 
134

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Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
NEW YORK N Y CITY TRANSITIONAL FIN AUTH REV 4.375% 05-01-2037 BEO TAXABLE**918,303 
NEW YORK N Y CITY TRANSITIONAL FIN AUTH REV 5.572% 11-01-2038 BEO TAXABLE**99,321 
NEW YORK ST DORM AUTH ST PERS INCOME TAXREV 5.051% 09-15-2027 BEO TAXABLE**604,913 
NEW YORK ST TWY AUTH SECOND GEN HWY & BRDG TR FD 5.449% 04-01-2025 BEO TAXABLE**660,768 
NEW YORK ST URBAN DEV CORP REV 3.9% 03-15-2033**10,921,380 
NEW YORK ST URBAN DEV CORP REV 3.9% 03-15-2033**2,699,583 
NEW YORK TIMES CO CL A ISIN #US6501111073**2,965,080 
NEW ZEALAND (GOVT) 1.5% 15/05/2031**95,969 
NEWBORN TOWN INC COM**175,274 
NEWELL BRANDS INC COM**9,806,407 
NEWFIELD EXPL CO 5.375% DUE 01-01-2026**504,756 
NEWGATE FUND.PLC FRN M/BKD 12/2050 GBP 'A3A'**650,759 
NEWGEN SOFTWARE INR10**247,695 
NEWMARK GROUP INC CL A CL A**371,695 
NEWMONT CORP / NEWCREST FIN PTY LTD NT 5.3% 03-15-2026**2,849,778 
NEWMONT CORPORATION**321,395 
NEXGEN ENERGY LTD COMSTK**1,931,853 
NEXI SPA 2.125% SNR 30/04/2029 EUR**98,790 
NEXON CO LTD NPV**365,941 
NEXTDC LTD NPV**485,191 
NEXTDOOR HLDGS INC CL A CL A**126,029 
NEXTEER AUTOMOTIVE GROUP LIMITED HKD0.1**15,386 
NEXTERA ENERGY CAP 1.9% DUE 06-15-2028**978,287 
NEXTERA ENERGY CAP 4.625% DUE 07-15-2027**4,382,792 
NEXTERA ENERGY CAP 5.38% 02-28-2053**137,883 
NEXTERA ENERGY CAP HLDGS INC .509% 09-01-2025**4,919,979 
NEXTERA ENERGY CAP HLDGS INC 1.875% 01-15-2027**1,018,545 
NEXTERA ENERGY CAP HLDGS INC 2.25% DUE 06-01-2030/05-12-2020 REG**1,513,344 
NEXTERA ENERGY CAP HLDGS INC 4.9% 02-28-2028**3,582,704 
NEXTERA ENERGY CAP HLDGS INC 5.55% 03-15-2054**1,630,645 
NEXTERA ENERGY CAPITAL HOLDINGS INC 6.051% DUE 03-01-2025**1,557,757 
NEXTERA ENERGY INC COM**11,696,887 
NEXTRACKER INC CL A COM USD0.0001 CL A**678,179 
NEXXEN INTERNATIONAL LTD**645,081 
NGK INSULATORS LTD NPV**1,258,421 
NH INVESTMENT AND SECURITIES CO LTD KRW5000**160,627 
NICE CORPORATION**32,448 
NIEN MADE ENTERPRI TWD10**134,149 
NIHON DENKEI CO NPV**82,321 
NIHON TRIM CO LTD NPV**69,012 
NIPPON KAYAKU CO NPV**1,330,896 
NIPPON LIFE INDIA INR10**361,412 
NIPPON RIETEC CO NPV**32,037 
NIPPON SHINYAKU CO NPV**304,581 
NIPPON TV HLDGS IN NPV**85,663 
NISOURCE FIN CORP 5.65% DUE 02-01-2045**86,010 
NISOURCE INC .95% DUE 08-15-2025 REG**1,599,648 
NISOURCE INC 1.7% DUE 02-15-2031**997,771 
135

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
NISOURCE INC 5.2% 07-01-2029**1,320,549 
NISOURCE INC 5.4% 06-30-2033**299,068 
NISOURCE INC COM**2,966,679 
NISSAN AUTO 5.93% DUE 03-15-2028**1,026,183 
NISSAN AUTO LEASE 4.91% DUE 01-15-2026**96,169 
NISSAN AUTO LEASE 4.97% DUE 09-15-2028**853,326 
NISSIN CORP NPV**67,832 
NISSO HOLDINGS CO NPV**42,132 
NKT A/S**381,646 
NN GROUP N.V. EUR0.12**4,677,760 
NNN REIT INC 3.6% DUE 12-15-2026**195,800 
NNN REIT INC 4% DUE 11-15-2025**132,907 
NODA CORP NPV**43,704 
NOMURA CO LTD NPV**107,182 
NOMURA HLDGS INC 2.329% DUE 01-22-2027**853,328 
NOMURA HLDGS INC 2.648% 01-16-2025**2,397,784 
NOMURA HLDGS INC 2.999% DUE 01-22-2032**4,688,260 
NOMURA HLDGS INC 5.783% DUE 07-03-2034**960,540 
NOMURA HLDGS INC FIXED 2.679% DUE 07-16-2030**591,683 
NOMURA HLDGS INC SR NT 1.851% 07-16-2025**625,087 
NOMURA RL EST INC NPV**248,413 
NORCONSULT ASA NOK0.02**351,807 
NORDEA BANK AB NEW YORK BRH 27/02/2025 DTD 02-28-2024 VAR RT DUE 02-27-2025**1,970,496 
NORDEA REALKREDIT 1% CVD BDS 01/10/50 DKK0.01**
NORDEA REALKREDIT 1.5% CVD BDS 01/10/2053 DKK**
NORDEA REALKREDIT 1.5% CVD BDS 01/10/2053 DKK**53,275 
NORFOLK SOUTHN 2.9% DUE 06-15-2026**639,761 
NORFOLK SOUTHN CORP COM**7,674,690 
NORFOLK SOUTHN FIXED 4.05% DUE 08-15-2052**230,561 
NORITSU KOKI CO NPV**1,093,083 
NORTH WEST CO INC VAR VTG AND COM VTG SHS**10,998 
NORTHEAST UTILS 3.15% DUE 01-15-2025**999,270 
NORTHEASTERN UNIV 2.894% 10-01-2050**76,984 
NORTHERN OIL & GAS INC COM NEW**1,343,371 
NORTHERN STAR RESOURCES LTD**2,480,813 
NORTHERN STATES POWER CO WISCONSIN 5.65%06-15-2054**260,037 
*NORTHERN TRUST CORP 4.0% DUE 05-10-2027 BEO
**2,457,174 
NORTHROP GRUMMAN 5.15% DUE 05-01-2040**191,509 
NORTHROP GRUMMAN CORP 5.2% 06-01-2054**474,386 
NORTHROP GRUMMAN CORP COM**44,235,275 
NORWEGIAN CRUISE LINE HLDGS LTD COM USD0.001**792,716 
NOV INC COM**19,172,107 
NOVA TECHNOLOGY CO TWD5**56,458 
NOVABEV GROUP 1 01 55052 E 004D ORDINARY SH RUB 100.00**25,613 
NOVABEV GROUP RUB100 RUB**3,929 
NOVAGOLD RES INC COM NEW**66,697 
NOVARTIS AG CHF0.49 (REGD)**11,777,305 
NOVARTIS CAP CORP 3% DUE 11-20-2025**340,626 
136

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
NOVARTIS CAPITAL CORP 3.8% 09-18-2029**746,239 
NOVATEK MICROELECTRONICS CORP TWD10**5,359,240 
NOVATEK PJSC RUB0.1(RUB)**128,945 
NOVO NORDISK A/S SER'B'DKK0.1**11,239,344 
NOVOLIPETSK STEEL RUB1(RUB)**82,256 
NRG ENERGY INC COM NEW**7,750,890 
NSD CO LTD NPV**137,602 
NSI N.V. EUR3.68(POST CONSOLIDATION)**54,876 
NSL FOODS PCL THB1 (NVDR)**83,982 
*NT COLLECTIVE ALL COUNTRY WORLD EX-US INVESTABLE MARKET INDEX FUND - DC - NONLEN
**7,158,187,133 
*NT COLLECTIVE ALL COUNTRY WORLD INVESTABLE MARKET INDEX FUND - DC - TIER J
**1,248,876,456 
*NT COLLECTIVE S&P500 INDEX FUND-DC-NON LENDING (TIER J)
**23,563,816,925 
NTT FIN CORP 1.162% 04-03-2026**2,232,040 
NTT FIN CORP 1.162% 04-03-2026**1,450,610 
NUCOR CORP 2.0% DUE 06-01-2025 REG**1,137,659 
NUCOR CORP COM**2,947,511 
NUCOR CORP FIXED 2.979% DUE 12-15-2055**14,872 
NUCOR CORP NT 3.85% 04-01-2052**170,474 
NUIX LTD NPV**24,726 
NURIX THERAPEUTICS INC COM**209,614 
NUTANIX INC CL A CL A**4,151,920 
NUTRIEN LTD 4.9% DUE 03-27-2028**1,091,592 
NUTRIEN LTD 5.875% 12-01-2036**172,852 
NUTRIEN LTD 5.95% DUE 11-07-2025 BEO**1,235,764 
NUTRIEN LTD FIXED 4.125% DUE 03-15-2035**8,855 
NUTRIEN LTD FIXED 5.25% DUE 01-15-2045**184,722 
NUVALENT INC CL A CL A**231,004 
NUVAMA WEALTH MAN INR10**199,528 
NVIDIA CORP COM**328,059,523 
NVR INC COM STK USD0.01**294,440 
NXP B V / NXP FDG LLC / NXP USA INC SR NT 2.7% 05-01-2025**1,868,054 
NXP B V / NXP FDG LLC / NXP USA INC SR NT 3.25% 05-11-2041**621,400 
NXP B V/NXP FDG LLC/NXP USA INC 4.3% 06-18-0209**932,048 
NXP B V/NXP FUNDING LLC/NXP USA INC 2.5%DUE 05-11-2031**468,966 
NXP SEMICONDUCTORS N V COM STK**31,571,584 
NXPT COML MTG TR 2024-STOR 4.31158% 11-05-2041**1,908,344 
NY N Y TAXABLE-BUILD AMER BDS-F-1 6.271 DUE 12-01-2037**6,822,832 
NYKREDIT REALKREDI 1% CVD BDS 01/04/25 DKK0.01**595,002 
NYKREDIT REALKREDI 1% CVD BDS 01/10/2053DKK**
NYKREDIT REALKREDI 1% SNR 01/10/2050 DKK0.01**
NYKREDIT REALKREDIT A/S 1.0% 01/10/2050**
NYO COML MTG TR FLTG RT 5.52148% DUE 11-15-2038**490,000 
O REILLY AUTOMOTIVE INC NEW 3.6% DUE 09-01-2027**54,344 
O REILLY AUTOMOTIVE INC NEW COM USD0.01**26,025,938 
OBIC BUSINESS CONS NPV**105,920 
OBIC CO LTD NPV**1,269,105 
OBX 2021-INV2 TR FLTG RT 2.5% DUE 10-25-2051**1,287,464 
137

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Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
OBX 2021-INV2 TR FLTG RT 5% DUE 10-25-2051**375,405 
OBX 2022 INV3 TR 3% DUE 02-25-2052**1,298,061 
OBX 2023-NQM3 TR MTG BACKED NT CL A-1 144A 5.94871% 02-25-2063**2,197,850 
OCCIDENTAL PETE 3% DUE 02-15-2027**2,262,528 
OCCIDENTAL PETE CORP 5.0% 08-01-2027**1,367,545 
OCCIDENTAL PETE CORP 5.375% 01-01-2032**161,708 
OCCIDENTAL PETE CORP 6.05% 10-01-2054**189,758 
OCCIDENTAL PETE CORP 6.625% DUE 09-01-2030 REG**1,276,751 
OCCIDENTAL PETROLEUM CORP 3.5% DUE 08-15-2029/08-08-2019 REG**1,613,682 
OCEAN WILSON HLDGS ORD GBP0.20**26,555 
OCEANAGOLD CORP COM NPV**670,252 
OCEANEERING INTL INC COM**4,438,425 
OCHI HLDG CO LTD NPV**33,551 
ODFJELL SE COMMON STOCK**11,837 
ODFJELL SE CONMMON STOCK**50,452 
OFSI BSL XIV CLO FLTG RT 0% DUE 07-20-2037**1,816,366 
OGE ENERGY CORP COM**2,216,033 
OHA CR FDG 18 LTD FLTG RT 5.79317% DUE 04-20-2037**1,245,893 
OIL INDIA LTD INR10**324,887 
OIS CHASUS33 11/02/2029 COP P 5.96% / R 1DCOOVI SWU00SKM6**115 
OKAMURA CORP NPV**73,510 
OKI ELECTRIC IND NPV**43,723 
OKTA INC CL A CL A**375,324 
OLD MUTUAL LTD NPV**100,438 
OLD NATL BANCORP IND COM**410,203 
OLEMA PHARMACEUTICALS INC COM**92,079 
OLIN CORP COM**11,755,640 
OLLIES BARGAIN OUTLET HLDGS INC COM**4,046,952 
OLYMPIC STL INC COM**129,993 
OLYMPUS CORP NPV**6,388,336 
OMNICOM GROUP INC COM**6,418,584 
ON HLDNG AG CHF0.1 CLASS A**3,408,063 
ON24 INC COM**54,742 
ONCOR ELEC DELIVERY 4.3% 05-15-2028**1,604,356 
ONCOR ELEC FIXED 4.95% DUE 09-15-2052**1,163,119 
ONE GAS INC 5.1% 04-01-2029**1,421,927 
ONE GAS INC COM**1,820,860 
ONE NEW YORK PLAZA TR 2020-1NYP COML MTGPASSTHRU CTF CL A 5.37648% 01-15-2036**572,250 
ONEMAIN DIRECT 5.41% DUE 11-14-2029**2,010,398 
ONEMAIN DIRECT 5.41% DUE 11-14-2029**9,698,400 
ONEMAIN FINL 5.84% DUE 09-15-2036**9,485,680 
ONEMAIN FINL ISSUANCE TR 2020-2 1.75% 09-14-2035**768,352 
ONEMAIN FINL ISSUANCE TR 2021-1 AST BACKED NT CL A-2 FLTG 5.09763 06-16-2036**2,906,120 
ONEMAIN FINL ISSUANCE TR 2022-2 ASSET BACKED NT CL A 144A 4.89% 10-14-2034**2,106,426 
ONEMAIN HLDGS INC COM**419,073 
ONEOK INC 5.65% 11-01-2028**1,806,055 
ONEOK INC 5.7% 11-01-2054**1,110,835 
ONEOK INC 5.8% 11-01-2030**608,189 
138

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
ONEOK INC 6.625% DUE 09-01-2053**147,367 
ONEOK INC NEW 4% DUE 07-13-2027**1,104,860 
ONEOK INC NEW 4.55% DUE 07-15-2028**1,961,564 
ONEOK INC NEW 4.75% 10-15-2031**387,021 
ONEOK INC NEW FIXED 2.2% DUE 09-15-2025**5,371,502 
ONESOURCE SPE PHAR INR1**478,000 
ONESPAWORLD HLDGS LTD COM USD0.0001**7,144,001 
ONESTREAM INC CL A CL A**678,690 
ONO PHARMACEUTICAL NPV**232,965 
ONTARIO PROV CDA PROV OF ON 2.5% 2.5% DUE 04-27-2026 BEO**29,347,140 
ONTARIO(PROV OF) 3.65% NTS 02/06/2033 CAD1**2,082,499 
ONTO INNOVATION INC**1,865,204 
ONWARD HOLDINGS NPV**570,629 
OOMA INC COM**92,276 
OOREDOO QAR1**34,076 
OPEN TEXT CORP COM**7,654,896 
OPPLE LIGHTING CO LTD-A STOCK CONNECT**837,793 
OPT MACHINE VISION A CNY1**126,873 
OPTEX GROUP COMPAN NPV**158,300 
OPTIM CORPORATION NPV**21,502 
OPTION CARE HEALTH INC COM NEW COM NEW**895,891 
OPTORUN CO LTD NPV**128,926 
OPUS GLOBAL HUF25**43,595 
ORACLE CORP 1.65% 03-25-2026**1,752,916 
ORACLE CORP 2.5% DUE 04-01-2025 REG**1,200,061 
ORACLE CORP 2.65% DUE 07-15-2026**8,078,338 
ORACLE CORP 3.6% DUE 04-01-2040 REG**3,914,966 
ORACLE CORP 3.6% DUE 04-01-2050 REG**851,282 
ORACLE CORP 3.85% DUE 07-15-2036**163,688 
ORACLE CORP 3.9% DUE 05-15-2035**60,467 
ORACLE CORP 4.65% 05-06-2030**680,232 
ORACLE CORP 4.9% 02-06-2033**365,230 
ORACLE CORP 5.55% 02-06-2053**284,063 
ORACLE CORP COM**20,934,483 
ORACLE CORP FIXED 2.3% DUE 03-25-2028**2,819,615 
ORACLE CORP FIXED 2.875% DUE 03-25-2031**70,409 
ORACLE CORP FIXED 2.95% DUE 04-01-2030**2,854,270 
ORACLE CORP FIXED 3.65% DUE 03-25-2041**476,146 
ORACLE CORP FIXED 3.85% DUE 04-01-2060**6,401,127 
ORACLE CORP JAPAN NPV**115,716 
ORACLE FIN SERVICE INR5**249,922 
ORASURE TECHNOLOGIES INC COM**22,794 
ORGANON & CO COM**5,568,204 
ORICA LIMITED NPV**2,186,738 
ORIENTAL PRECISION KRW500**81,055 
ORION S A COM NPV**367,907 
ORIX JREIT INC REIT**1,289,536 
OSB GROUP PLC ORD GBP 0.0100**50,728 
139

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
OSCAR HEALTH INC CL A CL A**768,499 
OSCAR US FDG XIV LLC NT CL A-4 144A 2.82% 04-10-2029**1,953,821 
OSHKOSH CORPORATION**1,581,014 
OTE(HELLENIC TLCM) EUR2.83(CR)**798,902 
OTIS WORLDWIDE CORP 2.565% DUE 02-15-2030 BEO**284,338 
OTIS WORLDWIDE CORP COM USD0.01 WI**3,229,774 
OTSUKA CORP NPV**1,566,135 
OUTSURANCE GROUP ZAR0.0001**101,456 
OVERSEAS PVT INVT 3.43% DUE 05-15-2030**3,508,330 
OVINTIV INC 5.65% 05-15-2025**1,283,000 
OVINTIV INC COM USD0.01**11,334,087 
OVS SPA NPV**866,508 
OWENS CORNING NEW 5.5% 06-15-2027**1,052,736 
PAC GAS & ELEC CO 4.2% DUE 06-01-2041**265,166 
PAC GAS & ELEC CO 5.9% DUE 10-01-2054**350,987 
PAC GAS & ELEC CO 6.95% 03-15-2034**657,393 
PAC GAS & ELEC CO FIXED 2.1% DUE 08-01-2027**5,838,265 
PAC GAS & ELEC CO FIXED 2.95% DUE 03-01-2026**586,618 
PAC GAS & ELEC CO FIXED 3.15% DUE 01-01-2026**1,670,063 
PAC GAS & ELEC CO FIXED 3.45% DUE 07-01-2025**322,465 
PAC GAS & ELEC CO FIXED 3.45% DUE 07-01-2025**159,744 
PAC GAS & ELEC CO FIXED 4.95% DUE 07-01-2050**450,845 
PAC GAS & ELEC CO FLTG RT 5.325333% DUE 09-04-2025**4,607,677 
PACCAR FINANCIAL CORP 4.0% 09-26-2029**507,889 
PACCAR INC COM**19,497,821 
PACIFIC BASIN SHIP USD0.01**340,332 
PACIFIC GAS & ELEC CO 2.5% DUE 02-01-2031/06-19-2020 REG**4,020,175 
PACIFIC GAS & ELEC CO 4.0% 12-01-2046**226,103 
PACIFIC GAS & ELEC CO 4.45% DUE 4-15-2042**82,981 
PACIFIC GAS & ELEC CO 5.55% 05-15-2029**2,103,258 
PACIFIC GAS & ELEC CO 5.8% 05-15-2034**409,137 
PACIFIC GAS & ELEC CO 6.7% 04-01-2053**867,005 
PACIFIC GAS & ELEC CO 6.75% 01-15-2053**1,124,147 
PACIFIC GAS & ELECTRIC CO 6.4% 06-15-2033**2,425,080 
PACIFIC LIFECORP SR NT 144A 5.4% 09-15-2052**234,820 
PACIFICORP 2.7% DUE 09-15-2030**918,762 
PACIFICORP 5.3% 02-15-2031**201,811 
PACIFICORP 5.8% 01-15-2055**778,942 
PACKAGING CORP AMER COM ISIN US6951561090**7,310,609 
PACS GROUP INC COM**444,560 
PAGSEGURO DIGITAL LTD COM USD CLS A**1,066,923 
PALANTIR TECHNOLOGIES INC CL A CL A**1,394,768 
PALFINGER AG NPV**26,064 
PALO ALTO NETWORKS INC COM USD0.0001**22,208,036 
PAN AMERN SILVER CORP COM**943,910 
PANAMA REP 6.875% 01-31-2036**281,270 
PANAMA REP GLOBAL BD 4.3% DUE 04-29-2053REG SINKING FUND 04-29-2051**175,380 
PANDORA A/S DKK0.01**3,935,309 
140

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PANTORO LIMITED**239,657 
PAPA JOHNS INTL INC COM**5,753,702 
PARADEEP PHOSPHATE INR10**581,550 
PARAGON BANKING GR ORD GBP1**1,184,723 
PARAMOUNT GLOBAL OM USD0.001 CL B**3,640,080 
PARIS MIKI HOLDINGS INC**391 
PARK 24 CO LTD NPV**1,167,594 
PARK HOTELS & RESORTS INC COM**1,297,071 
PARKER-HANNIFIN CORP COM**5,264,420 
PARKIN COMPANY PJS AED0.02**268,057 
PARKWAY LIFE REAL NPV (REIT)**95,111 
PASON SYSTEM INCOR COM NPV**31,229 
PATTERSON-UTI ENERGY INC COM**5,091,373 
PAWNEE EQUIP 5.17% DUE 02-15-2028**1,035,160 
PAYLOCITY HLDG CORP COM**5,809,564 
PAYONEER GLOBAL INC COM**789,736 
PAYPAL HLDGS INC COM**125,806 
PAYSAFE LTD COM**243,282 
PCA CORPORATION NPV**42,527 
PCC ROKITA SA PLN1.00**9,020 
PDF SOLUTIONS INC COM**3,106,238 
PEAB AB SER'B'NPV**829,327 
PEACEHEALTH 1.375% DUE 11-15-2025**751,934 
PECCA GROUP BHD NPV**90,150 
PECO ENERGY CO 5.25% 09-15-2054**170,595 
PEGASYSTEMS INC COM**12,353,567 
PENNAR INDUSTRIES LTD**368,200 
PENNYMAC FINL SVCS INC NEW COM**387,826 
PEPPERDINE UNIV FIXED 3.301% DUE 12-01-2059**154,561 
PEPSICO INC COM**12,442,005 
PERELLA WEINBERG PARTNERS COM USD0.0001 CL A**299,740 
PERENTI LIMITED NPV**266,173 
PERFECT PRESENTATI SAR1**126,642 
PERFORMANCE FOOD GROUP CO COM**1,725,835 
PERION NETWORK LTD PERION NETWORK LTD**187,102 
PERMIAN RES CORP CL A**6,515,794 
PERNOD RICARD NPV EUR 1.55**6,439,770 
PERRIGO COMPANY LIMITED COM EUR0.001**15,741,693 
PERSEUS MINING LTD NPV**413,948 
PERSONALIS INC COM**25,542 
PERU REP 2.78% 12-01-2060**401,482 
PERU(REP OF) 6.15% GTD 12/08/2032 PEN**2,693,695 
PERU(REP OF) 6.9% BDS 12/08/37 USD'144A'**263,725 
PERU(REPUBLIC OF) 7.3% 12/08/2033**1,794,435 
PERU(REPUBLIC OF) 7.60% 12/08/2039**195,197 
PETRO-CDA 7.875% DUE 06-15-2026**208,320 
PETROL BRASILEIROS PRF NPV**76,506 
PETROLEOS MEXICANOS 6.5% 03-13-2027**4,640,512 
141

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PETROLEOS MEXICANOS GTD NT 7.69% DUE 01-23-2050 REG**188,625 
PETRONAS DAGANGAN NPV**42,343 
PETRORECONCAVO S.A COM NPV**49,592 
PEXA GROUP LTD NPV**119,545 
PEXIP HOLDINGS AS**338,546 
PFIZER INC COM**22,451,570 
PFIZER INVESTMENT ENTER 4.45% 05-19-2026**3,159,568 
PFIZER INVESTMENT ENTER 5.3% 05-19-2053**215,694 
PFIZER INVESTMENT ENTER 5.34% 05-19-2063**459,721 
PFIZER LTD INR10**51,819 
PFS FING CORP 2022-D PREM FIN AST BKD NT4.27% 08-15-2027**698,596 
PFS FING CORP 4.94999980927% DUE 02-15-2029**7,424,703 
PFS FING CORP 5.52% DUE 10-15-2028**2,070,060 
PG ELECTROPLAST LTD FV INR 1 DEMAT EQUITY**337,256 
PG& E CORP COM**31,747,277 
PG&E RECOVERY FDG LLC SR SECD NT CL A-3 2.822% 07-15-2048**135,456 
PG&E WILDFIRE 3.594% DUE 06-01-2032**579,154 
PG&E WILDFIRE 4.263% DUE 06-01-2038**896,727 
PG&E WILDFIRE 4.263% DUE 06-01-2038**3,568,129 
PG&E WILDFIRE 4.674% DUE 12-01-2053**444,571 
PG&E WILDFIRE 4.722% DUE 06-01-2039**2,866,496 
PG&E WILDFIRE RECOVERY FDG LLC SR SECD RECOVERY BD SER 5.099% 06-01-2054**1,257,696 
PHEAA STUDENT LN TR 2021-1 STUD LN AST BACKED NT 144A 4.99649% 05-25-2070**1,333,649 
PHIBRO ANIMAL HEALTH CORP CL A COM CL A COM**117,516 
PHILIP MORRIS INTL 2.1% DUE 05-01-2030**544,560 
PHILIP MORRIS INTL 4.375% DUE 11-15-2041**153,303 
PHILIP MORRIS INTL 5% DUE 11-17-2025**607,348 
PHILIP MORRIS INTL INC 4.375% 11-01-2027**1,551,593 
PHILIP MORRIS INTL INC 4.875 DUE 11-15-2043**358,576 
PHILIP MORRIS INTL INC 4.875% 02-13-2029**199,731 
PHILIP MORRIS INTL INC 4.875% 02-13-2029**2,241,985 
PHILIP MORRIS INTL INC 4.875% 02-15-2028**3,327,719 
PHILIP MORRIS INTL INC 4.875% 02-13-2026**1,889,997 
PHILIP MORRIS INTL INC 5.125% 02-15-2030**401,891 
PHILIP MORRIS INTL INC 5.125% 02-13-2031**600,375 
PHILIP MORRIS INTL INC 5.125% 02-13-2031**8,135,085 
PHILIP MORRIS INTL INC 5.25% 02-13-2034**355,946 
PHILIP MORRIS INTL INC 5.375% 02-15-2033**400,869 
PHILIPPINES(REP OF 6.25% BDS 14/01/2036 PHP**172,161 
PHILIPPINES(REPUBLIC OF) 5.175% 09-05-2049**186,192 
PHILLIPS 66 3.85% DUE 04-09-2025**2,333,459 
PHILLIPS 66 5.3% DUE 06-30-2033**495,283 
PHILLIPS 66 FIXED 1.3% DUE 02-15-2026**1,970,467 
PHILLIPS EDISON & CO INC COM NEW COM NEW**1,557,025 
PHINIA INC COM USD0.01 WI**953,092 
PHISON ELECTRONICS TWD10**1,189,038 
PHOENIX FINANCE LTD**381,535 
PHOENIX MILLS INR2**834,599 
142

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PHX ENERGY SVCS CO COM NPV**647,384 
PHYSICIANS RLTY L P 2.625% 11-01-2031**287,399 
PI ADVANCED MATERIALS CO LTD**80,346 
PIEDMONT NAT GAS 3.5% DUE 06-01-2029**588,159 
PIEDMONT NAT GAS 3.64% DUE 11-01-2046**574,606 
PILGRIMS PRIDE CORP**824,419 
PING AN INSURANCE GROUP H CNY1**1,926,667 
PINNACLE FINL PARTNERS INC COM**2,176,499 
PINNACLE INV MGMT NPV**213,628 
PINNACLE W. CAP CORP COM**6,459,813 
PINTEREST INC CL A CL A**946,618 
PIONEER NAT RES CO 1.125% DUE 01-15-2026 REG**627,465 
PIONEER NAT RES CO 1.125% DUE 01-15-2026 REG**2,957,775 
PIONEER NATURAL RESOURCES 5.1% DUE 03-29-2026**1,575,696 
PIXART IMAGING TWD10**624,685 
PLAINS ALL AMER PIPELINE BNDS 4.65% DUE 10-15-2025**1,943,145 
PLAINS ALL AMERN 4.5% DUE 12-15-2026**1,423,074 
PLAINS ALL AMERN PIPELN L P/PAA 4.9% 02-15-2045**212,387 
PLATZER FASTIGHETER AB NPV**120,267 
PLAYTIKA HLDG CORP COM**177,463 
PLAZA SA NPV**137,499 
PLUS500 LTD ORD ILS0.01 (DI)**839,023 
PNC BK N A PITT PA FIXED 4.775% DUE 01-15-2027**6,528,269 
PNC FINANCIAL SERVICES 5.3% 01-21-2028**226,910 
PNC FINANCIAL SERVICES 5.939% 08-18-2034**406,883 
PNC FINANCIAL SERVICES GROUP COM STK**23,971,483 
PNC FINL SVCS 2.55% DUE 01-22-2030**2,592,731 
PNC FINL SVCS FLTG RT 5.812% DUE 06-12-2026**5,322,529 
POLAND(REP OF) 3.875% SNR 14/02/2033 EUR**971,575 
POLAND(REP OF) 4.25% SNR EMTN 14/02/43 EUR**215,060 
POLY PROPERTY GROUP CO LTD HKD0.50**272,594 
POOL CORP COM STK**3,737,043 
POP MART INTL GRP LTD**4,194,004 
POPULAR INC COM NEW COM USD6 (POST REV SPLIT)**3,044,346 
PORSCHE FINL AUTO 5.79% DUE 01-22-2029**5,242,873 
PORSCHE INNOVATIVE 4.66% DUE 02-20-2030**1,246,563 
PORSCHE INNOVATIVE 4.67% DUE 11-22-2027**640,814 
PORT AUTH N Y & N J 4.458% 10-01-2062 BEO TAXABLE**235,198 
PORT MORROW ORE TRANSMISSION FACS REV 2.987% 09-01-2036 BEO TAXABLE**4,935,407 
POSIFLEX TECH INC**594,107 
POSTAL SAVINGS BANK OF CHINA (LOCAL 1658)**8,569,867 
POTLATCHDELTIC CORPORATION**9,897,987 
POWELL INDS INC COM**633,032 
POWER FINANCE CORP INR10**1,112,599 
POWER INTEGRATIONS INC COM**153,325 
POWERFLEET COM USD0.01**841,711 
POWSZECHNY ZAKLAD UBEZPIECZE**1,742,344 
PPG IND INC COM**4,299,961 
143

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PPL CAPITAL FUNDING INC 5.25% 09-01-2034**536,771 
PPL CORP COM ISIN US69351T1060**14,594,016 
PPL ELEC UTILS 4.125% DUE 06-15-2044**61,594 
PRA GROUP INC COM**358,368 
PRARAM 9 HOSPITAL THB1(NVDR)**592,038 
PRECISION 4.375% DUE 06-15-2045**213,248 
PRIMARIS REAL TR UNIT SER A**1,234,481 
PRIMAX ELECTRONICS TWD10**238,771 
PRIMO BRANDS CORPORATION USD0.01 A**70,734 
PRIMO BRANDS CORPORATION COM USD0.01**5,127,020 
PRIN FINL GROUP 3.7% DUE 05-15-2029**23,810 
PRIO S.A**743,488 
PRIVIA HEALTH GROUP INC COM**705,892 
PRKCM 2023-AFC4 TR 7.225% DUE 11-25-2058**1,253,442 
PRO MEDICUS NPV**5,594,073 
PROACT IT GROUP NPV**77,274 
PROASSURANCE CORP COM**172,894 
PROCORE TECHNOLOGIES INC COM**3,914,193 
PROCTER & GAMBLE COM NPV**5,826,173 
PROG HOLDINGS INC COM**799,686 
PROGRESS RESDNTL 2.393% DUE 12-17-2040**1,651,956 
PROGRESS RESDNTL 2.409% DUE 05-17-2038**860,399 
PROGRESS RESDNTL 2.425% DUE 07-17-2038**1,210,591 
PROGRESS RESIDENTIAL 2021-SFR6 TR SINGLEFAMILY RENT PASS 1.524% 07-17-2038**3,534,376 
PROGRESS RESIDENTIAL 2022-SFR6 TR RENT PASSTHRU CTF CL C 144A 5.195% 07-20-2039**1,982,694 
PROGRESSIVE CORP OH 3.7% DUE 03-15-2052 BEO**444,041 
PROGRESSIVE CORP OH COM**59,553,149 
PROLOGIS INC COM**26,863,972 
PROLOGIS L P 4.875% 06-15-2028**797,799 
PROLOGIS L P FIXED 2.125% DUE 10-15-2050**693,139 
PROLOGIS L P SR NT 3.375% 12-15-2027**483,749 
PROLOGIS LP 3.0% DUE 04-15-2050**128,356 
PROS HLDGS INC COM**438,300 
PROSPERITY BANCSHARES INC COM**4,827,599 
PROSUS N.V. 1.207% 19/01/2026**304,649 
PROTAGONIST THERAPEUTICS INC COM**214,539 
PROVID HLTH & SVCS 2.746% DUE 10-01-2026**1,446,926 
PROVIDUS CLO SR 2A CL ARR FRN 3.945% 15/10/2038**621,291 
PRUDENT CORPORATE INR5**154,928 
PRUDENTIAL FINL INC 3.935% DUE 12-07-2049**173,649 
PRUDENTIAL PLC GBP0.05**3,329,977 
PT ASPIRASI HIDUP INDONESIA TBK**637,746 
PT BANK DANAMON 'A' IDR50000 & 'B' IDR500**135,972 
PTC THERAPEUTICS INC COM**2,005,706 
PTT EXPLORTN & PRD THB1(NVDR)**1,476,724 
PUB SERVICE ENTERPRISE GROUP INC COM**275,268 
PUB STORAGE COM**3,591,483 
PUB SVC ELEC & GAS FIXED 3.65% DUE 09-01-2028**4,953,336 
144

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PUB SVC ENTERPRISE .8% DUE 08-15-2025**1,218,506 
PUBLIC JOINT STOCK COMPANY MAGNIT RUB0.01(RUB)**102,788 
PUBLIC SERVICE CO OF OKLAHOMA 5.2% 01-15-2035**67,930 
PUBLIC SERVICE CO OF OKLAHOMA 5.25% 01-15-2033**492,475 
PUBLIC SERVICE ELECTRIC 4.85% 08-01-2034**3,403,484 
PUBLIC SERVICE ENTERPRISE 5.45% 04-01-2034**399,167 
PUBLIC SERVICE ENTERPRISE GROUP INC 5.85% DUE 11-15-2027 BEO**1,687,881 
PUBLIC SERVICE ENTERPRISE GROUP INC 1.6%DUE 08-15-2030 BEO**1,461,789 
PUBLIC STORAGE 2.3% DUE 05-01-2031 BEO**281,917 
PUBLIC STORAGE 5.125% 01-15-2029**1,240,060 
PUBLIC STORAGE 5.35% 08-01-2053**190,440 
PUBLIC SVC CO OKLA 2.2% DUE 08-15-2031**1,654,686 
PUBMATIC INC CL A COM CL A COM**233,218 
PUGET ENERGY INC FIXED 2.379% DUE 06-15-2028**114,129 
PUGET ENERGY INC SR NT 5.33% 06-15-2034**4,870,947 
PULMONX CORPORATION COM**60,132 
PULTE GROUP INC**870,764 
PURE STORAGE INC CL A CL A**394,381 
PUT BONDOPT BNPAFRPP 23/05/2025 FRANCE (GOVT OF) 0 97 3175SQ653**188,592 
PUT SWO USD BARCGB33 P 4.005% / R 1DSOFR 317U6EGA7 09/25/2025**4,569 
PUT SWO USD BNPAFRPP P 4.57% / R 1DSOFR 317U7LXA1 08/13/2025**10,997 
PUT SWO USD BOFAUS6S P 3.93% / R 1DSOFR 317U6E2A2 06/23/2025**25,086 
PUT SWO USD CHASUS33 P 4.48% / R 1DSOFR 317U7MBA3 05/13/2025**5,504 
PUT SWO USD CHASUS33 P 4.57% / R 1DSOFR 317U7MCA2 08/13/2025**216 
PUT SWO USD DEUTGB2L P 3.96% / R 1DSOFR 317U6E8A6 06/25/2025**27,782 
PUT SWO USD DEUTGB2L P 3.96% / R 1DSOFR 317U6F4A7 06/25/2025**7,938 
PUT SWO USD DEUTGB2L P 4.005% / R 1DSOFR 317U6F2A9 09/25/2025**9,138 
PUT SWO USD DEUTGB2L P 4.065% / R 1DSOFR 317U6E4A0 06/24/2025**19,321 
PUT SWO USD GSCMUS33 P 4.42% / R 1DSOFR 317U7M2A3 05/13/2025**6,167 
PVH CORP COM USD1**1,502,708 
PVH CORPORATION 4.125% 07-16-2029**959,181 
PVPTL ABU DHABI GOVT INTL 3.0% 09-15-2051**162,565 
PVPTL BANK OF NOVA SCOTIA 1.188% 10-13-2026**11,544,461 
PVPTL COMM MORTGAGE TRUST SER 2016-787S CL A BNDS 3.545% 02-10-2036**1,750,139 
PVPTL DELTA AIR LINES/SKYMILES 4.75% DUE 10-20-2028**197,297 
PVPTL MID-ATLANTIC INTST TRANSMISSION LLC 4.1% DUE 05-15-2028**1,514,089 
PVPTL ONEMAIN DIRECT AUTO RECEIVABLES TR 2021-SR 21-1A CL A .87% 07-14-2028**4,278,615 
PVT PLBNP PARIBAS SR NON PFD 5.198% 01-10-2030**1,410,264 
PVTL INTESA SANPAOLO S P A 8.248% 11-21-2033**224,369 
PVTPL 1166 AVE OF THE AMERS COML MTG TR II 2005-C6 COML 5.6896% 10-13-2037**980,032 
PVTPL 37 CAPITAL CLO LTD SR 21-1A CL AR FLTG 10-15-2034**3,004,308 
PVTPL 37 CAPITAL CLO LTD SR 22-1A CL A1R FLTG RT07-15-2034**4,007,120 
PVTPL ABN AMRO BANK N V 5.515% 12-03-2035**391,155 
PVTPL ABN AMRO BANK NV 6.575% 10-13-2026**404,231 
PVTPL ABN AMRO BANK NV FRN 12-03-2028**500,360 
PVTPL ABU DHABI DEVELOPMENTAL HOL 4.375% 10-02-2031**765,414 
PVTPL ABU DHABI DEVELOPMENTAL HOL 5.375% 05-08-2029**1,011,199 
PVTPL AIA GROUP LTD 5.4% 09-30-2054**185,553 
145

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PVTPL AIA GROUP LTD GLOBAL MEDIUM TERM NTS BOO 3.2% DUE 09-16-2040**223,882 
PVTPL AIA GROUP LTD TRANCHE # 3.6% 04-09-2029**252,258 
PVTPL AIB GROUP PLC 6.608% 09-13-2029**303,070 
PVTPL AIB GROUP PLC 6.608% 09-13-2029**5,225,347 
PVTPL AIMCO CLO SER 2017-A/AIMCO CLO SER201 SR SECD NT CL A-R FLTG 04-20-2034**1,352,141 
PVTPL AIMCO SR 22-17A CL A1R FLTG RT 07-20-2037**1,404,248 
PVTPL AIR CANADA AIR CANADA 2017-1AA PTT3.3% DUE 07-15-2031 BEO**422,305 
PVTPL AIR CDA 2013-1 PASS THRU 4.125 DUE 11-15-2026 BEO**141,910 
PVTPL AIR CDA PASS THRU TR 2017-1 PVTPL AIR CANADA BNDS 3.55% DUE 07-15-2031**259,168 
PVTPL AIRCASTLE LTD 2.85% DUE 01-26-2028BEO**1,674,641 
PVTPL AKER BP ASA 5.125% 10-01-2034**187,852 
PVTPL AKER BP ASA 5.8% 10-01-2054**317,669 
PVTPL ALIGNED DATA CTRS ISSUER LLC 21-1A CL A2 1.937% DUE 08-15-2046 BEO**2,812,790 
PVTPL ALLIANT ENERGY FIN 5.4% 06-06-2027**1,162,558 
PVTPL AMERICAN HERITAGE AUTO RECEIVABLES TR SR 24-1A CL A3 4.9% 09-17-2029**1,150,805 
PVTPL AMERICAN TRANSMISSION SYSTEMS 2.65% 01-15-2032**237,416 
PVTPL AMSR TRUST 21-SFR2 C 958609% 08-17-2026**2,025,730 
PVTPL AMSR TRUST SR 21-SFR3 CL A 1.476% 10-17-2038**2,829,870 
PVTPL ANCHORAGE CAP CLO 16 LTD/ANCHORAGE CAP SR 20-16A CL A1R FLTG RT 01-19-2035**10,003,817 
PVTPL ANCHORAGE CAP CLO SR 15-7A CL AR3 FLTG RT 04-28-2037**8,318,479 
PVTPL ANCHORAGE CAPITAL CLO LTD SR 18-10A CL A1AR FLTG RT 10-15-2031**3,192,687 
PVTPL ANTOFAGASTA PLC 2.375% DUE 10-14-2030/10-14-2020 BEO**251,709 
PVTPL ANZ NEW ZEALAND INTL LTD 3.45% 01-21-2028**239,300 
PVTPL APA INFRASTRUCTURE LTD 4.25% DUE 07-15-2027**128,878 
PVTPL APA INFRASTRUCTURE LTD 5.75% 09-16-2044**63,621 
PVTPL APA INFRASTRUCTURE LTD. 5.125% 09-16-2034**280,961 
PVTPL APEX CR CLO LTD SER 20-1A CLA R FLTG RT 04-20-2035**2,243,355 
PVTPL APIDOS CLO LTD SER 18-18A CL A1R2 FLTG 01-22-2038**17,144,500 
PVTPL APIDOS CLO XXII 15-22A CL A-1R FLTG 144A FLTG RT DUE 04-20-2031**407,889 
PVTPL AQUA FIN TR 2021-A SR 21-A CL A 1.54% DUE 07-17-2046 BEO**1,354,972 
PVTPL ARBOR RLTY COML REAL ESTATE NTS 2021-FL4 SR 21-FL4 CL A 11-15-2036**802,406 
PVTPL ARES LXIII CLO LTD CL A-1A FLTG 04-20-2035**801,423 
PVTPL ARES XLIV CLO LTD SR NT CL A-1-R FLTG 144A 3C7 VAR RT DUE 04-15-2034 BEO**1,840,034 
PVTPL ARES XXVII CLO LTD SR 13 2A CL A-R3 FLTG 10-28-2034**3,900,938 
PVTPL ARI FLEET LEASE TR SR 24-A CL A2 5.3%11-15-2032**2,272,164 
PVTPL ASHTEAD CAPITAL 2.45% 08-12-2031**1,247,944 
PVTPL ATHENE GLOBAL FDG MEDIUM TERM SR SECD NT 1.45% 01-08-2026**482,942 
PVTPL ATHENE GLOBAL FUNDING 4.86% 08-27-2026**3,595,925 
PVTPL ATHENE GLOBAL FUNDING 5.62% 05-08-2026**1,917,394 
PVTPL ATLAS SR LN FD XIV LTD/ATLAS SR LN FD SR 19-14A CL AR VAR RT 07-20-2032**7,156,346 
PVTPL AUSTRALIA & NEW ZEALAND BKG GROUP LTD 0% CP 11-25-2025**4,265,893 
PVTPL AUSTRALIA & NEW ZEALAND BKG GROUP LTD FLTG RT 03-18-2026**3,764,768 
PVTPL AVIATION CAP GROUP LLC SR NT 144A 3.5% DUE 11-01-2027/07-01-2027 BEO**382,350 
PVTPL AVIATION CAPITAL GROUP LLC 6.375% DUE 07-15-2030**1,099,379 
PVTPL AVIS BUDGET RENT CAR FDG AESOP LLC SR 2023-8 CL A 6.02% DUE 02-20-2030**3,317,425 
PVTPL AVIS BUDGET RENT CAR FDG AESOP LLC SR 2023-8 CL A 6.02% DUE 02-20-2030**3,835,773 
PVTPL AVIS BUDGET RENT CAR FDG AESOP LLC SRS 20-2 CL A 2.02% DUE 02-20-2027**2,423,402 
PVTPL AVIS BUDGET RENT CAR FDG AESOP LLCSER 21-2A CL A 1.66% DUE 02-20-2028**17,338,841 
146

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PVTPL AVIS BUDGET RENTAL CAR FNDG AESOP 5.36% 06-20-2030**3,264,252 
PVTPL AVIS BUDGET RENTAL CAR FNDG AESOP SER 23-3A CL A 5.24% DUE 02-22-2028**3,237,091 
PVTPL AVIS BUDGET RENTAL CAR FNDG AESOP SER 24-3A CL A 5.23% 12-20-2030**3,453,050 
PVTPL AVOLON HLDGS FDG LTD 2.528% DUE 11-18-2027**1,091,301 
PVTPL AVOLON HLDGS FDG LTD 2.528% DUE 11-18-2027**564,658 
PVTPL AVOLON HLDGS FDG LTD 5.15% 01-15-2030**416,693 
PVTPL AVOLON HLDGS FDG LTD 6.375% DUE 05-04-2028**452,281 
PVTPL AVOLON HOLDINGS FNDG LTD 5.75% 11-15-2029**632,555 
PVTPL AXIS EQUIPMENT FINANCE RECEIVABLESSER 22-2A CL A2 5.3% DUE 06-21-2028**308,947 
PVTPL BACARDI LTD GTD NT 144A 4.7% DUE 05-15-2028/04-30-2018 BEO**1,380,480 
PVTPL BAE SYS PLC 1.9% DUE 02-15-2031/09-15-2020 BEO**330,923 
PVTPL BAE SYS PLC 5.0% 03-26-2027**2,129,243 
PVTPL BAE SYS PLC 5.125% 03-26-2029**711,456 
PVTPL BAIN CAP CR CLO 2022-1 LTD CL A-1 FLTG 04-18-2035**8,512,972 
PVTPL BAIN CAPITAL CREDIT CLO LIMITED SR 18-2A CLA1R FLTG RT 07-19-2031**746,938 
PVTPL BANCO SANTANDER CHILE MEDIUM TERM NTS BO 2.7 DUE 01-10-2025/01-10-2020 REG**499,043 
PVTPL BANK IRELAND GROUP PLC 5.601% 03-20-2030**5,047,470 
PVTPL BANK OF AMERICA AUTO TRUST SER 23-2A CL A2 5.85% 08-17-2026**1,059,708 
PVTPL BANK OF IRELAND GROUP 2.029% 09-30-2027**589,546 
PVTPL BANK OF NOVA SCOTIA 3.186% DUE 06-03-2025 BEO**7,801,500 
PVTPL BANQUE FED CRED MUTUEL 5.194% 02-16-2028**3,817,073 
PVTPL BAYER US FIN II LLC 2.85% DUE 04-15-2025 BEO**1,388,134 
PVTPL BAYER US FIN II LLC 5.5% DUE 08-15-2025 BEO**3,000,339 
PVTPL BAYER US FINANCE LLC 6.125% 11-21-2026**203,831 
PVTPL BAYER US FINANCE LLC 6.375% 11-21-2030**617,385 
PVTPL BDS 2021-FL10 LTD/BDS 2021-FL10 LLC 3RD PRTY SECD CL B FLTG 12-18-2036**4,994,083 
PVTPL BDS 2021-FL10 LTD/BDS 2021-FL10 LLC SR SECD NT CL A FLTG 12-18-2036**638,867 
PVTPL BIMBO BAKERIES USA INC 5.375% 01-09-2036**549,861 
PVTPL BIMBO BAKERIES USA INC 6.05% DUE 01-15-2029**204,136 
PVTPL BLACKSTONE HLDGS FIN CO L L C 5.9%DUE 11-03-2027/11-03-2022 BEO**995,909 
PVTPL BLUE OWL CREDIT INCOME CORP. 6.6% 09-15-2029**760,009 
PVTPL BLUEMOUNTAIN CLO 2013-2A LTD CL A-1-R FLTG 10-22-2030**188,910 
PVTPL BLUEMOUNTAIN CLO SER 18-2A CLS A VAR RT 08-15-2031**631,744 
PVTPL BLUEMOUNTAIN CLO XXII LTD 18-1A CL A-1 FLTG RT 07-15-2031**456,301 
PVTPL BMW US CAP LLC 1.25% DUE 08-12-2026 BEO**2,432,240 
PVTPL BMW US CAPITAL LLC 4.65% 08-13-2029**1,268,993 
PVTPL BNP PARIBAS 1.323% 01-13-2027**4,009,212 
PVTPL BNP PARIBAS 3.132% 01-20-2033**852,542 
PVTPL BNP PARIBAS 3.375% 01-09-2025**589,851 
PVTPL BNP PARIBAS 5.283%11-19-2030**346,334 
PVTPL BNP PARIBAS 5.894% 12-05-2034**4,206,992 
PVTPL BNP PARIBAS MEDIUM TERM NTS BOOK ENTRY 5.335% 06-12-2029**5,018,806 
PVTPL BNP PARIBAS SR 2.159% 09-15-2029**6,000,452 
PVTPL BNP PARIBAS SR NON PFD 1.904% 09-30-2028**3,025,157 
PVTPL BNP PARIBAS SR NON PFD MED 4.4% 08-14-2028**1,020,257 
PVTPL BOOZ ALLEN HAMILTON INC 144A 3.875% DUE 09-01-2028 BEO**149,803 
PVTPL BOOZ ALLEN HAMILTON INC 4.0% DUE 07-01-2029 BEO**307,565 
PVTPL BPCE SA 5.716% 01-18-2030**401,964 
147

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PVTPL BPCE SA 6.612% 10-19-2027**2,613,207 
PVTPL BPCE SA 7.003% 10-19-2034**959,404 
PVTPL BPCE SR NON PFD 1.652% 10-06-2026**4,718,526 
PVTPL BRITISH AWYS PASS THRU 3.8% 09-20-2031**318,337 
PVTPL BRITISH AWYS PASS THRU CTFS 3.3% FIXED 06-15-2034 BEO**107,093 
PVTPL BRITISH AWYS PASS THRU TR 2018-1A 4.125% 09-20-2031**280,086 
PVTPL BROADCOM INC 1.95% DUE 02-15-2028/01-19-2021 BEO**457,453 
PVTPL BROADCOM INC 2.45% DUE 02-15-2031/01-19-2021 BEO**625,340 
PVTPL BROADCOM INC 3.137% DUE 11-15-2035 BEO**662,447 
PVTPL BROADCOM INC 3.137% DUE 11-15-2035 BEO**1,810,906 
PVTPL BROADCOM INC 3.419% DUE 04-15-2033BEO**4,986,287 
PVTPL BROADCOM INC 3.469% DUE 04-15-2034BEO**1,615,075 
PVTPL BROADCOM INC 3.469% DUE 04-15-2034BEO**5,374,914 
PVTPL BROADCOM INC AVGO 3.187 11/15/36 3.187% DUE 11-15-2036/09-30-2021 BEO**539,898 
PVTPL BROADCOM INC AVGO 3.187 11/15/36 3.187% DUE 11-15-2036/09-30-2021 BEO**3,730,129 
PVTPL BROOKLYN UN GAS CO 6.415% 07-18-2054**726,713 
PVTPL BSPRT 2022-FL9 ISSUER LLC SR SECD NT CL A FLTG 07-15-2039**1,608,964 
PVTPL BUSINESS JET SECS 2022-1 LLC SER 22-1A CL A 4.455% 06-15-2037**1,198,866 
PVTPL BX COML MTG TR 2024-XL4 FLTG 02-15-2039**1,986,075 
PVTPL CADILLAC FAIRVIEW CORP 2.5% DUE 10-15-2031 BEO**1,687,281 
PVTPL CAIXABANK S A 5.673% 03-15-2030**313,059 
PVTPL CAIXABANK S A 6.684% 09-13-2027**1,539,212 
PVTPL CAIXABANK S A 6.684% 09-13-2027**600,293 
PVTPL CAMERON LNG LLC 2.902% 07-15-2031**2,508,289 
PVTPL CAMERON LNG LLC 3.302% DUE 01-15-2035**94,928 
PVTPL CANTOR FITZGERALD LP 7.2% 12-12-2028**731,582 
PVTPL CANYON CAPITAL CLO LTD SER 20-1A CL AR FLTG 07-15-2034**3,696,634 
PVTPL CAPITAL AUTOMOTIVE REIT SR 23-1A CL A1 5.75% 09-15-2053**1,869,189 
PVTPL CARLYLE GLOBAL MARKET STRATEGIES SR 17-3A CL A1R2 FLTG RT 10-21-2037**601,899 
PVTPL CARLYLE GLOBAL MKT SER 14-3RA CL A1A FLTG 07-27-2031**1,630,674 
PVTPL CARLYLE GLOBAL MKT STRAT CLO SER 12-3A CLS A1A2 FLTG RT DUE 01-14-2032 BEO**193,361 
PVTPL CARLYLE US CLO 2021-4 LTD CL A-2 FLTG DUE 04-20-2034 BEO**2,614,109 
PVTPL CARVANA AUTO RECEIVABLES TRUST SER 24-P1 CL A2 5.5% DUE 08-10-2027**1,569,518 
PVTPL CASSA DEPOSITI E PRESTIT 5.875% 04-30-2029**1,629,118 
PVTPL CATAMARAN CLO SER 2014-1A CL A-1A FLTG 04-20-2030**921,258 
PVTPL CAYUGA PK CLO LTD SER 20-1A CL AR FLTG 07-17-2034**751,224 
PVTPL CF HIPPOLYTA ISSUER LLC SER 20-1 CL A1 1.69% DUE 07-15-2060 BEO**351,529 
PVTPL CHESAPEAKE FUNDING II LLC SER 23-2A CL A1 6.16% DUE 10-15-2035**1,466,439 
PVTPL CHILE ELECTRICITY LUX MPC 6.01% 07-20-2024**389,200 
PVTPL CIFC FDG 2017-IV LTD SER 17-4A CL A1R FLTG 10-24-2030**241,060 
PVTPL CIFC FDG 2018-IV LTD/CIFC FDG 2018-IV SER 18-4A CLS A1 VAR RT 10-17-2031**550,670 
PVTPL CIFC FUNDING LTD SER 19-6A CL A2R FLTG RT 07-16-2037**1,591,671 
PVTPL CIFC FUNDING LTD SR 14-3A CL A1R2 FLTG RT 10-22-2031**1,060,688 
PVTPL CITIZENS AUTO RECEIVABLES TR 2023-2 5.74% 10-15-2030**1,480,128 
PVTPL CITIZENS AUTO RECEIVABLES TRUST SER 24-1 CL A3 5.11% 04-17-2028**906,033 
PVTPL CMO 1166 AVE OF THE AMERS COML 2005-C6A CL D 144A 5.6896 10/13/2037**444,533 
PVTPL CMO 1166 AVE OF THE AMERS COML 2005-C6A CL F 144A 5.6896 10/13/2037**335,011 
PVTPL CMO ARBOR MULTIFAMILY MTG SECS SER 20-MF1 CL A5 2.7563% DUE 05-15-2053 BEO**1,074,029 
148

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PVTPL CMO AREIT 2021-CRE5 LTD/AREIT AREIT 2021-C SR NT CL A VAR RT 07-17-2026**273,612 
PVTPL CMO AREIT 2021-CRE5 LTD/AREIT AREIT 2021-C SR NT CL A VAR RT 07-17-2026**912,040 
PVTPL CMO ARROYO MTG TR 2022-2 SR 22-2 CL A1 4.95% DUE 07-25-2057 BEO**3,747,501 
PVTPL CMO ASHFORD HOSPITALITY TR SER-2018-KEYS CL-A VAR 05-15-2035 BEO**254,666 
PVTPL CMO BBCCRE TRUST SER 2015-GTP CL A 3.966% 08-10-2033**1,071,083 
PVTPL CMO BENCHMARK 2020-IG3 MTG TR SR 20-IG3 CL A2 2.475% UE 09-15-2048**8,241,631 
PVTPL CMO BFLD TRUST SER 24-WRHS CL A FLTG 08-15-2026**1,373,969 
PVTPL CMO BFLD TRUST SR 24-UNIV CL A FLTG 11-15-2029**700,000 
PVTPL CMO BOCA COML MTG TR SR 24- BOCA CL A FLTG 08-15-2041**3,967,267 
PVTPL CMO BX TR SR 24-AIR2 CL A FLTG 10-15-2041**2,584,656 
PVTPL CMO BX TR 2021-ARIA BX 2021-ARIA AVAR RT DUE 10-15-2036 BEO**2,991,563 
PVTPL CMO BX TR 2021-VIEW VAR RT DUE 06-15-2023 BEO**1,494,511 
PVTPL CMO BX TR 2021-VIEW VAR RT DUE 06-15-2023 BEO**1,985,371 
PVTPL CMO BX TRUST SR 24-BRBK CL A FLTG 10-15-2041**991,508 
PVTPL CMO BX TRUST SR 24-KING CL A FLTG RT 05-15-2039**493,812 
PVTPL CMO BX TRUST SR 24-PALM CL A FLTG RT 06-15-2037**2,601,022 
PVTPL CMO BX TRUST VAR RT DUE 07-15-2029BEO**3,142,716 
PVTPL CMO BXMT LTD SR 20-FL3 CL A VAR RTDUE 03-15-2037 BEO**2,031,421 
PVTPL CMO CITIGROUP COML MTG TR SER 21-KEYS CL A FLTG 10-15-2036**1,982,766 
PVTPL CMO COLONY MTG CAP LTD SR 19-IKPR CL A FLTG 11-15-2038**890,619 
PVTPL CMO CREDIT SUISSE MORTGAGE TRUST SER 2014-USA CL A2 3.953% DUE 09-15-2037**1,803,313 
PVTPL CMO CSMC 2019-AFC1 TR MTG BACKED NT CL A-1 144A VAR RT DUE 07-25-2049 BEO**1,071,921 
PVTPL CMO CSMC 2022-ATH3 TR VAR RT DUE 08-25-2067 BEO**2,984,310 
PVTPL CMO CSMC TR SR 2017-CHOP CL A VAR RT 07-15-2032**516,679 
PVTPL CMO EQUS 2021-EQAZ MTG TR SR 21-EQAZ CL B VAR RT DUE 10-15-2036 BEO**1,298,755 
PVTPL CMO GS MTG SECS CORP SER 2017-GPTX CL B 3.103915% FIXED 05-10-2034**315,395 
PVTPL CMO HERO FDG 2016-3 NT CL A-1 144A3.07999992371% DUE 09-20-2042 BEO**10,984 
PVTPL CMO J P MORGAN CHASE COML MOTGAGE SECS SER 20-MKST CL A FRN 12-15-2036 BEO**3,663,607 
PVTPL CMO MANHATTAN WEST 2020-1MW MTG TRSR 20-0MW CL A 2.13% 09-10-2040**459,229 
PVTPL CMO MORGAN STANLEY CAP I TR SRS 20-CNP CL A VAR RT DUE 04-05-2042**1,245,783 
PVTPL CMO MSDB TR 2017-712F CL A VAR RT DUE 07-11-2039 BEO**6,158,160 
PVTPL CMO NEW ORL HOTEL TR 2019-HNLASER 19-HNLA CLS A VAR RT DUE 04-15-2032 BEO**1,773,620 
PVTPL CMO NEW RESIDENTIAL MTG LN SER 19-RPL3 CL A1 FRN 07-25-2059 BEO**197,078 
PVTPL CMO NEW RESIDENTIAL MTG LN TR 20-RPL1 CL A-1 VAR RT DUE 11-25-2059**175,895 
PVTPL CMO NYC COMMERCIAL MORTGAGE TRUST SR 24-3ELV CL A FLTG RT 08-15-2029**977,185 
PVTPL CMO ONE MKT PLAZA TR SER 2017-1MKT CL A 144A 3.6139% 02-10-2032 BEO**4,435,979 
PVTPL CMO OPG TR 2021-PORT SR 21-PORT CLA FLTG RT 10-15-2036**2,436,720 
PVTPL CMO PRPM SER 23-NQM3 CL A1 STEP 11-25-2068**422,478 
PVTPL CMO READY CAP MTG SR 21-FL6 CL A FLTG RT 07-25-2036**219,033 
PVTPL CMO READY CAP MTG SR 21-FL6 CL A FLTG RT 07-25-2036**525,680 
PVTPL CMO SFO COML MTG TR 2021-555 SFO 2021-555 A VAR RT DUE 05-15-2038 BEO**7,507,500 
PVTPL CMO SMB PRIVATE ED LN TR 2022-B 0%DUE 12-31-2049**1,009,522 
PVTPL CMO SMB PRIVATE ED LN TR 2022-B 0%DUE 12-31-2049**3,744,765 
PVTPL CMO SMB PRIVATE ED LN TR 2022-B 0%DUE 12-31-2049 BEO**1,306,528 
PVTPL CMO SMB PRIVATE ED LN TR 2022-B 0%DUE 12-31-2049 BEO**4,863,254 
PVTPL CMO TOWD PT MTG TR 2019-4 SER 19-4CLS A1 VAR RT DUE 07-25-2059 BEO**642,470 
PVTPL CMO TOWD PT MTG TR 2022-4 TPMT 2022-4 A1 VAR RT DUE 09-25-2062 BEO**7,124,322 
PVTPL CMO UBS-BAMLL TR 2012-WRM CTF CL A144A 3.663 DUE 06-10-2030 BEO**4,894 
149

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PVTPL CMO UWM MTG TR 2021-INV3 CL A3 VAR RT DUE 11-25-2051 BEO**1,794,437 
PVTPL CMO VERUS SECURITIZATION TR 2021-3SER 21-3 CL A2 VAR RT DUE 06-25-2066 BEO**749,424 
PVTPL CMO VERUS SECURITIZATION TRUST SER 23-5 CL A1 STEP UP DUE 06-25-2068**3,035,155 
PVTPL CMO VMC FIN 2021-FL4 LLC VMC 2021-FL4 C VAR RT DUE 06-16-2036 BEO**957,716 
PVTPL CMO WFRBS COML MTG TR 2013-C11 COML PASS THRU CTF CL D VAR RT 03-15-45**333,120 
PVTPL CMO WSTN TR 2023-MAUI CLA VAR RT 08-05-2027**2,026,591 
PVTPL CNO GLOBAL FDG MEDIUM TERM NTS BOOK ENTRY 1.75% 10-07-2026**425,451 
PVTPL CNO GLOBAL FUNDING 4.875% 12-10-2027**4,976,437 
PVTPL COCA-COLA EUROPEAN PARTNERS PLC 1.5% DUE 01-15-2027 BEO**652,843 
PVTPL CODELCO INC 6.44% 01-26-2036**305,656 
PVTPL COLLEGE AVE STUDENT LNS 2023-A LLCSER 23-A CL A1 FLTG RT 05-25-2055**2,250,008 
PVTPL COLLEGE AVE STUDENT LNS SR 23-B CL A1A 6.5% 06-25-2054**2,058,227 
PVTPL COLUMBIA PIPELINE GROUP 5.097% 10-01-2031**258,536 
PVTPL COLUMBIA PIPELINES HLDG CO LLC 5.681% 01-15-2034**246,967 
PVTPL COLUMBIA PIPELINES OPER CO LLC 6.036% 11-15-2033**2,289,327 
PVTPL COLUMBIA PIPELINES OPER CO LLC 6.544% 11-15-2053**356,834 
PVTPL CONTINENTAL RESOURCES 2.268% 11-15-2026**1,780,173 
PVTPL COOPERATIEVE RABOBANK UA 5.447% 03-05-2030**505,742 
PVTPL COOPERATIEVE RABOBANK UA 5.564% 02-28-2029**3,151,085 
PVTPL COREBRIDGE GLOB FUNDING 4.65% 08-20-2027**3,342,781 
PVTPL COREVEST AMERN FIN 2019-3 TR SER 19-3 CLS A 2.772% DUE 10-15-2052 BEO**98,206 
PVTPL COREVEST AMERN FIN 2022-1 TR SR 22-1 CL A VAR RT 12-31-2049**1,536,002 
PVTPL COX COMMUNICATIONS INC NEW NT 3.5% 08-15-2027**7,105,694 
PVTPL COX COMMUNICATIONS INC NEW NT 144A3.35% DUE 09-15-2026/09-13-2016 BEO**1,952,122 
PVTPL CPS AUTO RECEIVABLES TR 2022-C NT CL B 144A 4.88% DUE 04-15-2030 BEO**205,078 
PVTPL CREDICORP CAP SOCIEDAD TIT SA 10.1% 12-15-2043**447,177 
PVTPL CREDIT ACCEP AUTO LN TR 2023-2 SER 23-2A CL A 5.92% 05-16-2033**3,027,173 
PVTPL CREDIT ACCEP AUTO LN TR SER 23-3A CL A 6.39% 08-15-2033**1,226,200 
PVTPL CREDIT ACCEPTANCE AUTO LOAN TRUST SER 24-1A CL A 5.68% 03-15-2034**1,007,755 
PVTPL CREDIT ACCEPTANCE AUTO LOAN TRUST SER 24-2A CLS C 6.7% 10-16-2034**1,299,633 
PVTPL CREDIT AGRICOLE S A 6.316% 10-03-2029**475,266 
PVTPL CREDIT AGRICOLE S A 6.316% 10-03-2029**7,516,433 
PVTPL CREDIT AGRICOLE S A LONDON 4.125% 01-10-2027**491,163 
PVTPL CREDIT AGRICOLE S A LONDON BRH 1.247% 01-26-2027**528,161 
PVTPL CREDIT AGRICOLE S A LONDON BRH 1.247% 01-26-2027**992,943 
PVTPL CREDIT AGRICOLE S A LONDON BRH 4.631% 09-11-2028**2,182,027 
PVTPL CREDIT AGRICOLE S.A.(LONDON BRANCH) 5.589% 07-05-2026**465,270 
PVTPL CREDIT AGRICOLE SA 5.335% 01-10-2030**1,313,382 
PVTPL CRESTWOOD MIDSTREAM PARTNERS 5.625% 05-01-2027**3,160,708 
PVTPL CRH AMERICA INC BNDS 3.875% DUE 05-18-2025 BEO**665,211 
PVTPL CSL FINANCE PLC 4.75% DUE 04-27-2052 BEO**224,582 
PVTPL CVS LEASE BACKED PASS THRU CTF 8.353% DUE 07-10-2031**80,721 
PVTPL CVS LEASE BACKED PASS THRU SER 2013 TR 4.704 01-10-2036**204,432 
PVTPL DANSKE BANK A/S 4.298% DUE 04-01-2028**404,058 
PVTPL DANSKE BANK A/S 4.613% 10-02-2030**213,429 
PVTPL DANSKE BANK A/S 4.613% 10-02-2030**351,187 
PVTPL DANSKE BANK A/S 5.427% 03-01-2028**5,043,341 
PVTPL DANSKE BANK A/S 5.705% 03-01-2030**304,136 
150

Table of Contents

Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PVTPL DENSO CORP 4.42% 09-11-2029**515,077 
PVTPL DIAMOND ISSUER LLC 2021-1 SECD CL A 2.305% 11-20-2051**1,576,786 
PVTPL DLLMT 2023-1 LLC NT CL A-2 144A 5.78% DUE 11-20-2025 BEO**182,337 
PVTPL DNB BK ASA 4.853% 11-05-2030**358,931 
PVTPL DNB BK ASA MED TERM NTS BOOK ENTRY 1.605% 03-30-2028**4,645,993 
PVTPL DRYDEN 75 CLO LTD/DRYDEN 75 CLO LLC SR SECD NT CL A-R2 FLTG 04-15-2034**1,682,335 
PVTPL DRYDEN 80 CLO LTD/DRYDEN 80 CLO LLC SR SECD NT CL A-R 01-17-2033 BEO**499,860 
PVTPL DRYDEN 87 CLO LTD SER 21-87A CL A-1 FLTG 3C7 05-20-2034 BEO**4,120,174 
PVTPL DT AUTO OWNER TRUST SER 23-2A CL A 5.88% DUE 04-15-2027**101,149 
PVTPL DT AUTO OWNER TRUST SER 23-3A CL A6.57% 08-16-2027**111,571 
PVTPL DT MIDSTREAM 10YR 144A NEW ISSUE 4.3% 04-15-2032**346,788 
PVTPL ECMC GROUP STUDENT LN TR SR 17-2A CL A FLTG RT 05-25-2067**2,157,447 
PVTPL ELECTRICITE DE FRANCE 5.7% 05-23-2028**1,117,119 
PVTPL ELEVATION CLO LTD SR 18-3A CL A1R2 FLTG RT 01-25-2035**3,408,604 
PVTPL EMPOWER CLO LTD SR 22-1A CL A1R FLTG 10-20-2037**1,256,249 
PVTPL ENEL FIN AMER LLC 2.875% 07-12-2041**1,353,090 
PVTPL ENEL FIN INTL N V 6.8% DUE 10-14-2025 BEO**1,223,697 
PVTPL ENEL FIN INTL N V NT 4.75% DUE 05-25-2047**272,763 
PVTPL ENEL FINANCE INTERNATIONAL N.V 5.125% 06-26-2029**1,188,358 
PVTPL ENEL FINANCE INTL NV 2.125% 07-12-2028**4,524,633 
PVTPL ENGIE S A 5.875% 04-10-2054**195,621 
PVTPL ENI S P A 5.5% 05-15-2034**1,186,356 
PVTPL ENI S P A 5.5% 05-15-2034**6,030,644 
PVTPL ENI S P A 5.95% 05-15-2054**230,990 
PVTPL ENLINK MIDSTREAM LLC 6.5% 09-01-2030**1,570,890 
PVTPL ENTERPRISE FLEET FINANCING LLC SER 24-1 CL A3 5.16% 09-20-2030**145,770 
PVTPL ENTERPRISE FLEET FINANCING LLC SER24-4 CL A3 4.56% 11-20-2028**872,181 
PVTPL ENTERPRISE FLEET FINANCING LLC SR 24-1 CL A2 6.52% 03-20-2030**4,585,190 
PVTPL ENTERPRISE FLEET FINANCING LLC SR 24-2 CL A2 5.74% 12-20-2026**1,008,436 
PVTPL ENTERPRISE FLEET FINANCING LLC SR 24-2 CL A3 5.61% 04-20-2028**3,560,258 
PVTPL ENTERPRISE FLEET FING 2023-2 LLC 5.5% 04-22-2030**169,365 
PVTPL ENTERPRISE FLEET FING 2023-2 LLC SRS 23-2 CLS A2 5.56% 04-22-2030**2,280,371 
PVTPL ENTERPRISE FLEET FING LLC SR 23-3 CL A2 6.4% 03-20-2030**2,691,698 
PVTPL ERAC USA FIN LLC GTD NT 144A 3.8% DUE 11-01-2025/11-09-2015 BEO**1,489,693 
PVTPL EXPERIAN FIN PLC 2.75% DUE 03-08-2030**3,095,669 
PVTPL F G GLOBAL FUNDING 144A 5.875% DUE06-10-2027 BEO**993,009 
PVTPL F G GLOBAL FUNDING 144A 5.875% DUE06-10-2027 BEO**3,212,079 
PVTPL FED DES CAISSES DESJARDINS QUEBEC 1.2% 10-14-2026**7,540,536 
PVTPL FED DES CAISSES DESJARDINS QUEBEC 4.55% DUE 08-23-2027 BEO**4,938,125 
PVTPL FIRST FNDTN INC COM**108,638 
PVTPL FIRST INVS AUTO OWNER TR 2023-1 SR 23-1A CL A 6.44% 10-16-2028**1,763,003 
PVTPL FIRSTENERGY TRANSMISSION LLC 4.55%01-15-2030**832,546 
PVTPL FIRSTENERGY TRANSMISSION LLC 5.0% 01-15-2035**454,471 
PVTPL FIRSTKEY HOMES 2020-SFR1 TR 1.339%09/17/2025 1.339% DUE 08-17-2037 BEO**4,656,385 
PVTPL FIRSTKEY HOMES 2020-SFR2 TRUST SER20-SFR2 CL A 1.266% 10-19-2037**1,429,073 
PVTPL FLAGSHIP CREDIT AUTO TRUST SER 22-3 CL D 6.0% DUE 07-17-2028 BEO**1,486,099 
PVTPL FLAGSHIP CREDIT AUTO TRUST SER 23-2 CL A2 5.76% DUE 04-15-2027**212,525 
151

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PVTPL FORD CR AUTO OWN TR 2024-REV1 SR 24-1 CL A STEP UP 08-15-2036**13,859,825 
PVTPL FORD CR AUTO OWNER TR 2023-REV1 231 CL A 4.85% 08-15-2035**11,586,800 
PVTPL FORD CR AUTO OWNER TR 2023-REV2 SER 23-2 CL A 5.28% 02-15-2036**11,060,791 
PVTPL FORD CR FLOORPLAN MASTER OWNER TR SR 24-1 CL A1 5.29% 04-15-2029**2,635,558 
PVTPL FORT CRE 2022-FL3 ISSUER LLC NT CLA FLTG 12-17-2026**137,660 
PVTPL FORTRESS CR BSL VII LTD SR 21-1A CL A-1-R FLTG 07-23-2032**2,999,931 
PVTPL FREEDOM MORTGAGE CORPORATION 9.25%02-01-2029**722,360 
PVTPL FREMF MORTGAGE TRUST SER 15-K45 CL C VAR 04-25-2048**597,834 
PVTPL FREMF MORTGAGE TRUST SER 15-K45 CL C VAR 04-25-2048**298,917 
PVTPL FREMF MORTGAGE TRUST SER 15-K46 CL C VAR RT 04-25-2048**1,988,005 
PVTPL FREMF MORTGAGE TRUST SER 15-K48 CL B VAR 08-25-2048**441,287 
PVTPL FREMF MORTGAGE TRUST SER 16-K59 CL B VAR RT 11-25-2049**172,020 
PVTPL FREMF MORTGAGE TRUST SER 19-K734 CL B VAR RT 02-25-2051**1,261,102 
PVTPL FS RIALTO 2022-FL4 ISSUER LLC SR 22-FL4 CL A VAR RT DUE 01-19-2039 BEO**2,472,899 
PVTPL GA GLOBAL FDG 01-06-2027**141,932 
PVTPL GA GLOBAL FDG TR 5.5% 01-08-2029**2,019,783 
PVTPL GAIF BD ISSUER PTY LTD SR NT 144A 3.4% DUE 09-30-2026/09-30-2016 BEO**73,020 
PVTPL GALAXY CLO LTD SER 24-33A CL A1 FLTG RT 04-20-2037**1,737,568 
PVTPL GALAXY XXVIII CLO LTD/GALAXY XXVIII CL SER-18-28A CL-A1 VAR 07-15-2031**190,551 
PVTPL GENERAL MOTORS CO SER 24-4A CL A1 4.73% 11-15-2029**2,455,147 
PVTPL GENERAL MOTORS SR 24-1 CL A1 5.13%03-15-2029**6,565,319 
PVTPL GENERATE CLO 8 LTD/GENERATE SR 8A CL A1R2 FLTG 01-20-2038**9,277,860 
PVTPL GLENCORE FDG LLC 1.625% DUE 09-01-2025/08-01-2025 BEO**244,642 
PVTPL GLENCORE FDG LLC 1.625% DUE 09-01-2025/08-01-2025 BEO**2,582,336 
PVTPL GLENCORE FDG LLC 6.125% 10-06-2028**2,098,803 
PVTPL GLENCORE FUNDING LLC 5.371% 04-04-2029**403,293 
PVTPL GLENCORE FUNDING LLC 5.371% 04-04-2029**2,455,047 
PVTPL GLS AUTO RECEIVABLES TRUST SR 24-1A CL A2 5.57% 02-16-2027**776,019 
PVTPL GM FINANCIAL REVOLVING RECEIVABLESSER 23-2 CL A 5.77% 08-11-2036**5,698,758 
PVTPL GM FINL REVOLVING RECEIVABLES TR SER 24-2 CL A 4.52% 03-11-2037**10,377,990 
PVTPL GM FINL REVOLVING RECEIVABLES TR SR 24-1 CL A 4.9% 12-11-2036**3,831,859 
PVTPL GOLDENTREE LOAN MANAGEMENT SER 19-4A CL ARR FLTG 04-24-2031**1,970,479 
PVTPL GOLUB CAPITAL PARTNERS CLO LTD SER 23-66A CL A FLTG RT 04-25-2036**1,003,852 
PVTPL GOODGREEN 2017-1 TR NT CL A 144A 3.74% DUE 10-15-2052 BEO**46,944 
PVTPL GOODGREEN 2017-2 NT CL A 144A 3.26% DUE 10-15-2053 BEO**98,043 
PVTPL GOODMAN US FIN FOUR LLC 4.625% DUE05-04-2032 BEO**1,894,628 
PVTPL GOODMAN US FIN THREE LLC 3.7% DUE 03-15-2028**952,528 
PVTPL GOODMAN US FINANCE SIX LLC 5.125% 10-07-2034**361,823 
PVTPL GPMT 2021-FL3 LTD/GPMT 2021-FL3 LLC SR SECD NT CL A FLTG 07-16-2035**712,812 
PVTPL GPMT LTD SR 21-FL4 CL A FLTG RT 11-15-2036**1,883,527 
PVTPL GREENSAIF PIPELINES BIDCO S A R L 6.1027% 08-23-2042**2,242,523 
PVTPL GREENWOOD PK CLO LTD SER 18-1A CL A2 FLTG 04-15-2031**469,244 
PVTPL GREYWOLF CLO I LTD SR 20-3RA CL A1R2 FLTG 04-22-2033**4,005,006 
PVTPL GREYWOLF CLO V LTD VAR RT SR 15-1A CL A-1-R 01-25-2031**384,361 
PVTPL GUARDIAN LIFE INSURANCE CORP 3.7% 01-22-2070**66,491 
PVTPL GULFSTREAM NAT GAS SYS LLC GULFSTREAM NAT 6.19% DUE 11-01-2025 BEO**4,914,763 
PVTPL HALSEYPOINT CLO 6 LTD/HALSEYPOINT SER 22-6A CL A1 FLTG RT DUE 10-30-2034**2,333,057 
PVTPL HEALTH CARE SERVICE CORP 5.2% 06-15-2029**427,087 
152

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PVTPL HERO FDG 2017-3 NT CL A2 3.95% 09-20-2048**218,512 
PVTPL HERO FDG SER 2017-1A NT CL A2 4.46% 09-20-2047 BEO**39,063 
PVTPL HERTZ VEH FING III LLC SR 23-1A CLA 5.49% 06-25-2027**3,420,954 
PVTPL HERTZ VEH FING III LLC SR 23-4A CL A 6.15% 03-25-2030**1,027,823 
PVTPL HILTON GRAND VACATIONS TRUST SR 24-2A CL 5.5% 03-25-2038**1,324,072 
PVTPL HYUNDAI AUTO LEASE SECURITIZATION T SER 23-B CL A3 5.15% 06-15-2026**395,093 
PVTPL HYUNDAI AUTO LEASE SECURITIZATION TR 202 SER 23-A 5.05% DUE 01-15-2026**328,064 
PVTPL HYUNDAI CAP AMER 1.3% 01-08-2026**1,755,988 
PVTPL HYUNDAI CAP AMER 1.8% 10-15-2025**312,002 
PVTPL HYUNDAI CAP AMER MEDIUM TERM NTS BOOK EN 1.5% DUE 06-15-2026**414,132 
PVTPL HYUNDAI CAPITAL AMERICA 4.3% 09-24-2027**2,386,153 
PVTPL HYUNDAI CAPITAL AMERICA 4.55% 09-26-2029**242,688 
PVTPL HYUNDAI CAPITAL AMERICA 5.3% 03-19-2027**2,340,802 
PVTPL HYUNDAI CAPITAL AMERICA 5.3% 06-24-2029**1,002,867 
PVTPL HYUNDAI CAPITAL AMERICA 5.45% 06-24-2026**939,642 
PVTPL HYUNDAI CAPITAL AMERICA 5.95% 08-21-2026**2,534,829 
PVTPL HYUNDAI CAPITAL AMERICA 5.95% 08-21-2026**1,808,333 
PVTPL ICG US CLO 2015-2R LTD/ICG US CLO 2015-2RA CL A1 VAR RT DUE 01-16-2033**1,249,183 
PVTPL IMPERIAL BRANDS FIN PLC GTD SR NT 144A 6.125 DUE 07-27-2027/07-27-2022 BEO**1,848,478 
PVTPL ING GROEP N V 1.4% DUE 07-01-2026**491,182 
PVTPL INTERNATIONAL FLAVORS & FRAGRANCESINC 1.23% DUE 10-01-2025**5,409,764 
PVTPL INTESA SANPAOLO S P A 7.2% 11-28-2033**973,588 
PVTPL INTESA SANPAOLO S P A 7.8% 11-28-2053**235,183 
PVTPL J P MORGAN MTG TR SER 21-14 CL A11 FLTG DUE 05-25-2052**1,455,734 
PVTPL JACKSON NATL LIFE GLOBAL 4.6% 10-01-2029**1,945,166 
PVTPL JACKSON NATL LIFE GLOBAL 5.6% 04-10-2026**5,500,375 
PVTPL JAMESTOWN CLO LTD SR 22-18A CL AR FLTG RT 07-25-2035**7,613,108 
PVTPL JAPAN FIN ORGANIZATION FOR MUNICIPALITIE .625% DUE 09-02-2025**486,689 
PVTPL JERSEY CENT PWR & LT CO 5.1% 01-15-2035**2,929,432 
PVTPL KBC GROUP NV 4.932% 10-16-2030**462,548 
PVTPL KBC GROUP NV 4.932% 10-16-2030**693,822 
PVTPL KBC GROUP NV 5.796% 01-19-2029**8,960,731 
PVTPL KKR GROUP FIN CO LLC 3.25% 12-15-2051**915,639 
PVTPL KREF 2022-FL3 LTD CL A FLTG 02-15-2039**3,330,504 
PVTPL KUBOTA CREDIT OWNER TRUST SER 23-1A CL A3 5.02% 05-17-2027**1,105,776 
PVTPL LBA TRUST SR 24-BOLT CL A FLTG RT 06-15-2026**1,501,875 
PVTPL LCM 31 LTD SR SECD NT CL A-R FLTG 07-20-2034**2,306,398 
PVTPL LCM XV LTD PARTNERSHIP/LCM XV LLC VAR RT DUE 07-20-2030 BEO**68,786 
PVTPL LCM XXV LTD/LCM XXV LLC SR SECD NTCL AR FLTG 07-20-2030**82,898 
PVTPL LIBERTY MUT GROUP INC 4.569% DUE 02-01-2029 BEO**6,539,232 
PVTPL LIBERTY UTILITIES CO 5.577% 01-31-2029**596,722 
PVTPL LOANCORE 2021-CRE6 ISSUER LTD SER 21-CRE6 CL A FLTG 11-15-2038**917,896 
PVTPL LPL HLDGS INC 4.625% 11-15-2027**791,794 
PVTPL LSEG US FINANCE CORP 4.875% 03-28-2027**510,065 
PVTPL LSEG US FINANCE CORP 5.297% 03-28-2034**597,582 
PVTPL MACQUARIE GROUP LTD SR MEDIUM 3.763% 11-28-2028**139,822 
PVTPL MACQUARIE GROUP LTD SR NT 2.691%06-23-2032**381,471 
PVTPL MADISON PARK FUNDING LTD SER 21-39A CL AR FLTG 10-22-2034**2,203,295 
153

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PVTPL MADISON PARK FUNDING LTD SR 16-22A CL AR2 FLTG RT 01-15-2038**3,090,000 
PVTPL MADISON PK FDG XXI LTD/MADISON PK FDG SR 16-21A CL AB VAR RT 10-15-2032**603,127 
PVTPL MADISON PK FDG XXII LTD SER 16-22A CL A1R FRN 01-15-2033 BEO**3,091,154 
PVTPL MADISON PK FDG XXXIII LTD CL A-R FLTG 10-15-2032**3,504,413 
PVTPL MAPS LTD SER 19-1A CL A 4.458% 03-15-2044**1,996,223 
PVTPL MASSMUTUAL GLOBAL FDG II MEDIUM TERM NTS 2.95% 01-11-2025**499,755 
PVTPL MASSMUTUAL GLOBAL FUNDIN 5.15%05-30-2029**2,127,284 
PVTPL MENLO SER 24-1A CL A1 FLTG 01-20-2038**16,585,487 
PVTPL MERCEDES-BENZ FIN NORTH AMER LLC 4.95% 03-30-2025**1,850,404 
PVTPL MERCURY FINL CR CARD MASTER TR SR 23-1A CL A 8.04% 09-20-2027**1,749,654 
PVTPL MET TOWER GLOBAL FUNDING 4.0% 10-01-2027**669,486 
PVTPL METROPOLITAN LIFE GLOBAL FDG 2.8% 03-21-2025**2,923,826 
PVTPL MF1 2021-FL6 LTD SER 21-FL6 CL A FLTG 07-16-2036**1,962,260 
PVTPL MF1 MULTIFAMILY HOUSING MORTGAGE LO SR 22-FL8 CL A FLTG RT 02-19-2037**459,426 
PVTPL MF1 MULTIFAMILY HOUSING MORTGAGE LO SR 22-FL8 CL A FLTG RT 02-19-2037**4,594,259 
PVTPL MGM CHINA HLDGS LTD 7.125% 06-26-2031**1,415,191 
PVTPL MIDOCEAN CR CLO SER 17-7A CL BR FLTG 07-15-2029**1,728,213 
PVTPL MMAF EQUIPMENT FINANCE LLC SR 24-ACL A3 4.95% 07-14-2031**766,938 
PVTPL MONDELEZ INTL HLDGS NETH B V 4.25%DUE 09-15-2025 BEO**4,872,885 
PVTPL MONONGAHELA PWR CO 3.55% DUE 05-15-2027 BEO**2,230,852 
PVTPL MORGAN STANLEY DIRECT LENDING FUND6.15% 05-17-2029**1,207,909 
PVTPL MOUNTAIN VIEW CLO 2017-2 LTD SR 17-2A CL AR FLTG RT 01-16-2031**2,959,836 
PVTPL MOUNTAIN VIEW CLO SER 22-1A CL A1R FLTG 04-15-2034**1,705,044 
PVTPL MRCD MORTGAGE TRUST SER 19-PARK CL A 2.71752% 12-15-2036**438,750 
PVTPL MVW OWNER TRUST SER 19-2A CL B 2.44% 10-20-2038**198,888 
PVTPL NATIONWIDE BLDG SOC SR NON-PFD 6.557% 10-18-2027**5,129,962 
PVTPL NATWEST MARKETS PLC 5.416% 05-17-2027**2,199,415 
PVTPL NATWEST MKTS PLC 0% CP 11-18-2025**1,830,743 
PVTPL NATWEST MKTS PLC 5.41% DUE 05-17-2029 BEO**896,440 
PVTPL NAVIENT PRIVATE ED LN TR 2020-A NTCL A-2B VAR RT DUE 11-15-2068**152,311 
PVTPL NAVIENT PRIVATE ED REFI LN SER 20-BA CL A2 2.12% 01-15-2069 BEO**471,797 
PVTPL NAVIENT PRIVATE ED REFI LN TR 2019-FA CL A2 2.6% DUE 08-15-2068**685,549 
PVTPL NAVIENT PRIVATE ED REFI LN TR 2021-B SER 21-BA CL A .94% 07-15-2069**440,370 
PVTPL NAVIENT PRIVATE ED REFI LN TR 2021-F SR 21-FA CL A 1.11% 02-18-2070**3,836,011 
PVTPL NAVIENT PRIVATE ED REFI LN TR SR 2019-C CL A-2 02-15-2068**391,045 
PVTPL NAVIENT PRIVATE ED REFI LN TR SRS 20-HA CL A 1.31% DUE 01-15-2069**2,397,624 
PVTPL NAVIENT PVT ED LN TR 2015-B NT CL A-3 FLTG RATE 144A VAR RT DUE 07-16-2040**744,302 
PVTPL NAVIENT PVT ED REFI LN TR 2020-G SER 20-GA CL A 1.17% DUE 09-16-2069 BEO**1,160,040 
PVTPL NAVIENT PVT ED REFI LN TR 2023-A NT CL A 144A 5.51 DUE 10-15-2071BEO**1,692,171 
PVTPL NAVIENT STUDENT LOAN TRUST SER 21-A CL A 0.84% DUE 05-15-2069 BEO**229,193 
PVTPL NAVIENT STUDENT LOAN TRUST SR 23-BA CL A1A 6.48% 03-15-2072**821,569 
PVTPL NBN CO LTD 4.0% 10-01-2027**1,102,507 
PVTPL NBN CO LTD 4.25% 10-01-2029**397,319 
PVTPL NBN CO LTD 4.25% 10-01-2029**1,356,698 
PVTPL NBN CO LTD 5.75% 10-06-2028**600,692 
PVTPL NELNET STUDENT LN TR SER 17-3A CL A FLTG 02-25-2066**2,797,187 
PVTPL NELNET STUDENT LN TR SER 21-BA CL AFX 1.42% 04-20-2062**376,352 
PVTPL NESTLE CAPITAL CORPORATION 5.1% 03-12-2054**301,810 
154

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PVTPL NEUBERGER BERMAN CLO XIV LTD/NEUBERGER SR13-14A CL AR2 VAR DUE 01-28-30**2,113,522 
PVTPL NEUBERGER BERMAN LN ADVISERS CLO SR 17-26A CL AR2 FLTG 10-18-2038**3,992,893 
PVTPL NEW YORK LIFE GLOBAL FDG 2.35% 07-14-2026**43,568 
PVTPL NEW YORK LIFE GLOBAL FDG 4.4% 12-13-2027**2,062,985 
PVTPL NEW YORK LIFE INS CO 3.75% DUE 05-15-2050**618,919 
PVTPL NEW YORK ST ELEC & GAS CORP 5.65% 08-15-2028**767,322 
PVTPL NEW YORK ST ELEC & GAS CORP 5.65% 08-15-2028**723,329 
PVTPL NEW YORK ST ELEC & GAS CORP SR NT 144A 3.25% DUE 12-01-2026/11-29-2016 BEO**93,996 
PVTPL NEW YORK STATE ELECTRIC & GAS CORP 5.3% 08-15-2034**2,758,247 
PVTPL NGPL PIPECO LLC 3.25% DUE 07-15-2031 BEO**129,401 
PVTPL NIAGARA MOHAWK PWR CORP NEW SR NT 144A 1.96% DUE 06-27-2030/06-25-2020 BEO**846,170 
PVTPL NISSAN MOTOR ACCEPTANCE CORP 2.75%03-09-2028**1,636,272 
PVTPL NISSAN MTR ACCEP CO LLC NT 1.85% 09-16-2026**281,971 
PVTPL NORDEA BANK ABP 5.375% DUE 09-22-2027 BEO**708,830 
PVTPL NORTHERN NAT GAS CO DEL SR BD 144A4.3% 01-15-2049**197,316 
PVTPL NORTHERN STAR RESOURCES LTD 6.125%04-11-2033**409,537 
PVTPL NORTHWESTERN MUTUA 3.45% DUE 03-30-2051 BEO**213,093 
PVTPL NORTHWOODS CAPITAL LTD SR 18-12BA CL AR FLTG RT 06-15-2031**4,155,432 
PVTPL NRG ENERGY INC 2% DUE 12-02-2025/12-02-2020 BEO**5,680,465 
PVTPL NRG ENERGY INC 2.45% DUE 12-02-2027/12-02-2020 BEO**440,994 
PVTPL NTT FIN CORP SR NT 144A 4.372% DUE07-27-2027/07-27-2022 BEO**1,194,414 
PVTPL OCEAN TRAILS CLO CLO SER 20-8A CL ARR FLTG 07-15-2034**4,309,922 
PVTPL OCEAN TRAILS CLO NT SR 20-10A CL AR2 FLTG RT 10-15-2034**500,503 
PVTPL OCP OCP CLO LTD SR-14-5A CL-A1R VAR04-26-2031**377,918 
PVTPL OCTAGON INVT PARTNERS 20-3A CL A1R2 FLTG 01-15-2038**753,552 
PVTPL OCTAGON INVT PARTNERS XXI LTD/OCTAGON SR SECD NT 02-14-2031**5,467,479 
PVTPL OCTAGON LN FDG LTDSR 14-1A NT CL AA-RR FLTG 11-18-2031**749,615 
PVTPL OCTANE RECEIVABLES TR 23-1A CL C 6.37% 09-20-2029**4,468,721 
PVTPL OCTANE RECEIVABLES TRUST SER 23-3ACL A2 6.44% 03-20-2029**1,169,941 
PVTPL OFSI FUND LTD SR 21-10A CL AR FLTGRT 04-20-2034**2,604,755 
PVTPL OHA CR FDG 7 LTD/OHA CR FDG 7 LLC SER 20-7A CL AR FLTG RT 02-24-2037**751,277 
PVTPL OHA CR PARTNERS XI LTD SR 15-11A CL A1R2 FLTG RT 04-20-2037**487,006 
PVTPL ONCOR ELECTRIC DELIVERY CO 4.65% 11-01-2029**2,495,580 
PVTPL ONEMAIN DIRECT AUTO RECEIVABLE TR 2019-1 SER 19-1A CLS A 3.63% 09-14-2027**4,893,507 
PVTPL ORGANON FIN 1 LLC 4.125% DUE 04-30-2028 BEO**187,884 
PVTPL OZLM XXIV LTD / OZLM XXIV LLC 20/07/2032 VAR RT DUE 07-20-2032 BEO**3,600,072 
PVTPL PACIFIC LIFE GLOBAL FDG II 4.5% 08-28-2029**3,552,317 
PVTPL PALMER SQUARE CLO LTD SR 15-1A CL A1A5 FLTG RT 05-21-2034**7,750,000 
PVTPL PENFED AUTO RECEIVABLES OWNER SER 24-A CL A3 4.7% 06-15-2029**3,046,378 
PVTPL PENNSYLVANIA ELEC CO 5.15% 03-30-2026**601,545 
PVTPL PENNSYLVANIA ELEC CO FIXED 3.6%06-01-2029 BEO**235,128 
PVTPL PENNSYLVANIA HIGHER ED ASSISTANCE A VAR RT DUE 11-25-2065**67,944 
PVTPL PENNSYLVANIA HIGHER ED ASSISTANCE A VAR RT DUE 11-25-2065**458,622 
PVTPL PENSKE TRUCK LEASING CO L P / PTL FIN CORP 5.55% 05-01-2028**91,356 
PVTPL PENSKE TRUCK LEASING CO L P / PTL FIN CORP 5.55% 05-01-2028**2,918,318 
PVTPL PENSKE TRUCK LEASING CO L P / PTL FIN CORP 5.75% 05-24-2026**4,594,693 
PVTPL PENSKE TRUCK LEASING CO L P/PTL FIN CO 1.7% DUE 06-15-2026 BEO**181,381 
PVTPL PENSKE TRUCK LEASING CO L P/PTL FIN CO 6.05% 08-01-2028**1,403,842 
155

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PVTPL PENSKE TRUCK LEASING CO L P/PTL FIN CO SR NT 144A 1.2 DUE 11-15-2025 BEO**3,042,332 
PVTPL PENSKE TRUCK LEASING CO L P/PTL 3.95%03-10-2025**99,810 
PVTPL PERNOD RICARD S A NT 144A 3.25% DUE 06-08-2026/06-08-2016 BEO**2,100,312 
PVTPL PERU(REPUBLIC OF) 6.15% 08-12-2032**7,886,756 
PVTPL PETRONAS CAP LTD 2.48% DUE 01-28-2032**167,219 
PVTPL PORSCHE FINANCIAL AUTO SECURITIZATI SR 24-1A CL A3 4.44% 01-22-2030**3,367,210 
PVTPL PORSCHE FINL AUTO SECURITIZATION TR SR 23-1A CLS A4 4.72% 06-23-2031**1,351,773 
PVTPL PPIB CAP INC C 2.75% 11-02-2027**238,633 
PVTPL PRINCIPAL LIFE GLOBAL FDG II 1.375% DUE 01-10-2025 BEO**499,625 
PVTPL PRINCIPAL LIFE GLOBAL FDG II .875% DUE 01-12-2026 REG**5,372,995 
PVTPL PRKCM TRUST SER 23-AFC3 CL A1 6.584% 09-25-2058**1,516,859 
PVTPL PROGRESS RESIDENTIAL TRUST SER 22-SFR6 CL B 4.997% 07-20-2039**991,368 
PVTPL PROLOGIS TARGETED US 5.25% 01-15-2035**687,648 
PVTPL PROLOGIS TARGETED US 5.25% 04-01-2029**4,218,160 
PVTPL PROLOGIS TARGETED US 5.5% 04-01-2034**1,201,675 
PVTPL PROSUS N V 3.257% DUE 01-19-2027/01-19-2022 BEO**573,623 
PVTPL PROTECTIVE LIFE GF 5.467% 12-08-2028**1,300,980 
PVTPL PROTECTIVE LIFE GLOBAL 1.303% 09-20-2026**518,904 
PVTPL PT FREEPORT INDONESIA NT 4.763% DUE04-14-2027**221,920 
PVTPL RABOBANK NEDERLAND GLOBAL MED TM NT TRANCHE # TR 00088 4.655% 8-22-2028**3,216,800 
PVTPL RAD CLO 5 LTD/RAD CLO 5 LLC SR 19-5A CL AR VAR RT DUE 07-24-2032 BEO**423,647 
PVTPL RAD CLO 5 LTD/RAD CLO 5 LLC SR 19-5A CL AR VAR RT DUE 07-24-2032 BEO**2,287,693 
PVTPL RAD CLO 6 LTD/RAD CLO SR 19 6A CL A1R FLTG 10-20-2037**5,135,894 
PVTPL READY CAP MTG FING 2022-FL9 LLC NTCL A FLTG 144A VAR RT DUE 06-25-2037 BEO**527,500 
PVTPL RECETTE CLO LTD/RECETTE CLO LLC SRSECD NT CL A-RR FLTG 144A 01-20-2033**961,369 
PVTPL RECKITT BENCKISER TREAS SVCS BNDS 3.0% DUE 06-26-2027**2,723,989 
PVTPL REGATTA XV FDG LTD SR 18-4A CL A1R FLTG RT 10-25-2031**501,151 
PVTPL REGATTA XVI FUNDING LTD SR 19-2A CL A1R FLTG RT 01-15-2033**7,335,791 
PVTPL RENEW 2017-1 FDG NT CL A 144A 3.67% DUE 09-20-2052 BEO**21,481 
PVTPL RGA GLOBAL FDG 2.7% 01-18-2029**2,101,095 
PVTPL ROCC TRUST SER 24-CNTR CL A 5.38834% 11-13-2041**188,047 
PVTPL ROCHE HLDGS INC 5.338% 11-13-2028**1,364,643 
PVTPL ROCHE HOLDINGS INC 2.607% 12-13-2051**149,005 
PVTPL ROCKFORD TOWER CLO 2018-2 LTD SER 2018-2A CLS A FLTG 10-20-2031**1,588,251 
PVTPL ROCKFORD TOWER CLO LTD SR 2017-3 CL A FLTG DUE 10-20-2030**424,715 
PVTPL ROMANIA 5.75% 03-24-2035**303,378 
PVTPL ROMARK WM-R LTD SER 2018-1A CL A-1 FLTG 04-20-2031**4,536,700 
PVTPL ROYAL BANK OF CANADA 4.851% 12-14-2026**401,890 
PVTPL RWE FINANCE US LLC 6.25% 04-16-2054**197,766 
PVTPL SANDSTONE PEAK LTD SR 21-1A CL A1R FLTG RT 10-15-2034**3,311,534 
PVTPL SANTANDER BANK AUTO CREDIT-LIN SER 24-A CL B 5.622% 06-15-2032**2,520,975 
PVTPL SAUDI ARABIA (KINGDOM OF) 5.0% 01-16-2034**2,428,770 
PVTPL SAUDI ARABIA (KINGDOM OF) 5.75% 01-16-2054**186,724 
PVTPL SAUDI ARABIA KINGDOM GLOBAL MEDIUM TERM 5.0% DUE 01-18-2053**338,292 
PVTPL SAUDI ARABIA KINGDOM GLOBAL MEDIUM TERM TBOND 4.875% 07-18-2033**2,519,478 
PVTPL SAUDI ARABIAN OIL CO 5.25% 07-17-2034**986,428 
PVTPL SAUDI ARABIAN OIL CO GLOBAL 5.75%07-17-2054**187,045 
PVTPL SAUDI INTERNATIONAL BOND 4.75% DUE 01-18-2028**496,523 
156

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PVTPL SBA TOWER TR 2.836% 144A 15/01/2050 2.836% DUE 01-15-2050 REG**1,898,053 
PVTPL SBA TOWER TR 2020-1C SECD TOWER REV SECS 144A 1.884% DUE 07-15-2050**1,647,186 
PVTPL SBNA AUTO LEASE TR SR 24-A CL A4 5.24% 01-22-2029**287,171 
PVTPL SBNA AUTO LEASE TRUST SER 24-A CL A2 5.45% 01-20-2026**1,048,695 
PVTPL SBNA AUTO RECEIVABLES TRUST SR 24-A CL A2 6.2% 03-15-2027**153,167 
PVTPL SCENTRE GROUP TR 1/2 3.25% 10-28-2025**394,136 
PVTPL SCF EQUIPMENT TRUST LLC SER 24-1A CLS A3 5.52% DUE 01-20-2032**238,756 
PVTPL SCHLUMBERGER HLDGS CORP 3.9% DUE 05-17-2028 BEO**242,703 
PVTPL SERBIA (REPUBLIC) 6% 06-12-2034**295,070 
PVTPL SFS AUTO RECEIVABLES SECURITIZATION TR 2 SER 23-1A CL B 01-22-2030**509,943 
PVTPL SFS AUTO RECEIVABLES SECURITIZATION TR 2 SER 23-1A CL C 5.97% 02-20-2031**818,100 
PVTPL SFS AUTO RECEIVABLES SECURITIZATIONSR 23-1A CL A4 5.47% 12-20-2029**3,249,572 
PVTPL SFS AUTO RECEIVABLES SECURITIZATIONSR 23-1A CL A4 5.47% 12-20-2029**1,218,589 
PVTPL SHACKLETON SER 13-3A CL AR FLTG 07-15-2030**109,010 
PVTPL SLM STUD LN TR 2004-3 STUD LN BKD NT CL 144A A-6B VAR RT DUE 10-25-2064**2,187,779 
PVTPL SMB PRIVATE ED LN TR 2014-A SER 23-B CL A1B FLTG RT 10-16-2056**1,035,973 
PVTPL SMB PRIVATE ED LN TR SE 2018-A CLA-2B FLTG RATE DUE 02-15-2036**129,031 
PVTPL SMB PRIVATE ED LN TR SER 17-B CL A-2B FLTG RATE 10-15-2035**61,387 
PVTPL SMB PRIVATE ED LN TR SER 20-A CL 2A2 2.23% 09-15-2037 BEO**552,300 
PVTPL SMB PRIVATE ED LN TR SER 24-C CL A1A 5.5% 06-17-2052**3,151,061 
PVTPL SMB PRIVATE EDUACATION LN TR 2023-C NT CL A-1A 5.67% 11-15-2052**711,151 
PVTPL SMB PRIVATE EDUCATION LOAN TRUST 20SR 23-A CLS A1B 01-15-2053**1,316,351 
PVTPL SMB PRIVATE EEDUCATION LN TR SER 24-A CL A1B 03-15-2056**8,445,602 
PVTPL SMB PVT ED LN TR 2016-B LN BACKED NT CL A-2A 144A 2.43 DUE 02-17-2032 BEO**53,973 
PVTPL SMB PVT ED LN TR 2022-C DUE 05-16-2050 BEO**1,488,715 
PVTPL SMBC AVIATION CAP FIN DAC 5.7% 07-25-2033**3,019,460 
PVTPL SOCIAL PROFESSIONAL LOAN PROGRAM LLC SR 21-B CL AFX 1.14% 02-15-2047**2,767,788 
PVTPL SOCIETE GENERALE 2.889% 06-09-2032/**342,475 
PVTPL SOCIETE GENERALE 4.027% 01-21-2043**152,448 
PVTPL SOCIETE GENERALE 6.066% 01-19-2035**661,536 
PVTPL SOCIETE GENERALE 6.447% 01-12-2027**8,296,426 
PVTPL SOFI PROFESSIONAL LN PROGRAM SER 19-C CL A2FX 2.8% 11-16-2048**656,435 
PVTPL SOFI PROFESSIONAL LN PROGRAM 2016-F LLC CL A-2 3.02% DUE 02-25-2040**102,857 
PVTPL SOFI PROFESSIONAL LN PROGRAM 2018-A LLC SER 18-A CL A2B 02-25-2042**114,130 
PVTPL SOFI PROFESSIONAL LN PROGRAM SR 20-A CL A2FX 2.54% 05-15-2046**1,936,534 
PVTPL SOLRR AIRCRAFT 2021-1 LTD/SOLRR AIRCRA SR 21-1 CL A 2.636% 10-15-2046**2,311,905 
PVTPL SOLVENTUM CORP 5.45% 02-25-2027**1,290,974 
PVTPL SOUND POINT CLO LTD SR 20-3A CLA1RFLTG RT 01-25-2032**1,301,660 
PVTPL SOUND PT CLO LTD SER 17-4A CL A1 FLTG RATE 01-20-2031 BEO**2,455,358 
PVTPL SOUND PT CLO XVII LTDCL A-1-R FLTG 144A VAR RT 10-20-2030**168,728 
PVTPL SP POWERASSETS LTD GLOBAL MEDIUM TERM NT 3% DUE 09-26-2027 BEO**1,990,696 
PVTPL STANDARD CHARTERED PLC 2.608% 01-12-2028**190,483 
PVTPL STANDARD CHARTERED PLC 5.688% 05-14-2028**344,326 
PVTPL STANDARD CHARTERED PLC 5.688% 05-14-2028**2,217,865 
PVTPL STANDARD CHARTERED PLC 5.905% 05-14-2035**551,091 
PVTPL STANDARD CHARTERED PLC 6.296% 07-06-2034**415,479 
PVTPL STANDARD CHARTERED PLC NT FIXED RESET 6.187% 07-06-2027**406,726 
PVTPL STARWOOD COMMERCIAL MORTGAGE TRUSTSER 21-FL2 CL A FLTG RT 04-18-2038**323,708 
157

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PVTPL STARWOOD PROPERTY TRUST 7.25% 04-01-2029**410,306 
PVTPL STATE OF QATAR 4.625% 05-29-2029**199,622 
PVTPL STELLANTIS FINANCE US INC 2.0% DUE01-29-2027**559,688 
PVTPL SUMITOMO MITSUI TRUST BANK LTD 5.65% DUE 03-09-2026**708,579 
PVTPL SUMITOMO MITSUI TRUST BANK LTD 5.65% DUE 03-09-2026**1,167,035 
PVTPL SYMPHONY CLO LTD SR 20-22A CL A1ARFLTG RT 04-18-2033**799,608 
PVTPL SYMPHONY CLO LTD SR 20-22A CL A1ARFLTG RT 04-18-2033**4,897,600 
PVTPL SYMPHONY CLO XIX LTD/SYMPHONY CLO XIX SR SECD NT CL A FLTG 04-16-2031**539,200 
PVTPL TCI-FLATIRON CLO 2016-1 LTD CL A-R-3 FLTG 01-17-2032**879,640 
PVTPL TCW CLO 2019-1 AMR LTD SR 19-1A CLASNR FLTG RT 08-16-2034**3,005,865 
PVTPL TCW GEM LTD SR 20-1A CL A1R3 FLTG RT 04-20-2034**7,750,000 
PVTPL TENNESSEE GAS PIPELINE CO SR NT 144A 2.9% DUE 03-01-2030**331,711 
PVTPL TESLA AUTO LEASE TR SR 24-A CL A2A 5.37% 06-22-2026**66,197 
PVTPL TESLA AUTO LEASE TRUST 6.18% 09-21-2026**1,510,267 
PVTPL TESLA AUTO LEASE TRUST SR 24-B CL A3 4.82% 10-20-2027**3,818,975 
PVTPL TEXAS EASTN TRANSMISSION LP 3.5% DUE 01-15-2028 BEO**2,391,119 
PVTPL THAYER PK CLO LTD / THAYER PK CLO LLC LTD VAR RT DUE 04-20-2034 BEO**500,764 
PVTPL TOWD POINT ASSET TRUST SER21-SL1 CL A2 FLTG 11-20-2061**884,028 
PVTPL TOWD PT MTG TR FLTG RT SER 19-HY2 CL A1 12-25-2048 BEO**74,720 
PVTPL TOWD PT MTG TR SER 18-2 CL A1 VAR 03-25-2058**68,703 
PVTPL TOWD PT MTG TR SER 2019-HY3 CL A1A FLTG 12-25-2048**100,256 
PVTPL TOWD PT MTG TR SER 2019-HY3 CL A1A FLTG 12-25-2048**2,005,119 
PVTPL TOYOTA AUTO LOAN EXTENDED NOTE SER 23-1A CL A 4.93% DUE 06-25-2036**973,161 
PVTPL TOYOTA AUTO LOAN EXTENDED NOTE SER 23-1A CL A 4.93% DUE 06-25-2036**7,976,897 
PVTPL TOYOTA LEASE OWNER TRUST SER 24-B CL A3 4.21% 09-20-2027**1,093,609 
PVTPL TRIMARAN CAVU LTD SR 19-1A CL A1R FLTG RT 01-20-2037**7,765,500 
PVTPL TRINITAS CLO LTD SR 17-7A CL A1R FLTG RT 01-25-2035**3,250,716 
PVTPL TRINITAS CLO LTD SR 22-19A CL A1R FLTG RT 10-20-2033**4,074,989 
PVTPL TRINITAS CLO LTD SR 24-29A CL A FLTG RT 07-23-2037**1,837,973 
PVTPL TRINITAS CLO XI LTD 19-11A A1RR FLTG 07-15-2034**17,501,855 
PVTPL TRINITAS CLO XII LTD/TRINITAS CLO XII SR 20-12A CL A1R VAR RT 04-25-2033**2,002,808 
PVTPL TRTX 2021-FL4 ISSUER LTD SER 21-FL4 CL A FLTG 03-15-2038**1,508,228 
PVTPL UBS GROUP AG 1.305% 02-02-2027**2,118,842 
PVTPL UBS GROUP AG 11/02/2032 2.095% DUE02-11-2032/02-11-2031 BEO**647,438 
PVTPL UBS GROUP AG 3.869% 01-12-2018**1,203,372 
PVTPL UBS GROUP AG 4.282% 01-09-2017**879,970 
PVTPL UBS GROUP AG 4.488% 05-12-2026**7,992,025 
PVTPL UBS GROUP AG 4.751% DUE 05-12-2028BEO**4,968,277 
PVTPL UBS GROUP AG 4.988% 08-05-2033 BEO**4,849,462 
PVTPL UBS GROUP AG 5.379% 09-06-2045**858,350 
PVTPL UBS GROUP AG 5.428% 02-08-2030**201,327 
PVTPL UBS GROUP AG 5.428% 02-08-2030**1,317,688 
PVTPL UBS GROUP AG 6.327% 12-22-2027**513,122 
PVTPL UBS GROUP AG 6.373% 07-15-2026**302,141 
PVTPL UBS GROUP AG 6.537% 08-12-2033**1,909,548 
PVTPL UBS GROUP AG 9.016% 11-15-2033**363,914 
PVTPL UBS GROUP AG 9.016% 11-15-2033**6,829,444 
PVTPL UBS GROUP AG VAR RT 05-14-2032**217,589 
158

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
PVTPL UBS GROUP AG VAR RT 05-14-2032**4,264,740 
PVTPL UBS GROUP FDG SWITZ AG SR 4.253% DUE 03-23-2028**5,145,868 
PVTPL UBS GROUP FUNDING 4.125% 09-24-2025 BEO**1,677,155 
PVTPL UNICREDIT SPA RCPT CL X 3.127% 06-03-2032**234,445 
PVTPL VENTURE CDO LTD SER 19-36A CL A1AR FLTG 04-20-2032**2,172,544 
PVTPL VERIZON COMMUNICATIONS 4.78% 02-15-2035**11,085,551 
PVTPL VICI PPTYS /NT 4.25% DUE 12-01-2026**1,676,708 
PVTPL VICI PPTYS L P/VICI NT CO INC 3.875% DUE 02-15-2029 BEO**353,359 
PVTPL VICI PPTYS L P/VICI NT CO INC 4.625% 06-15-2025**4,766,131 
PVTPL VICI PROPERTIES INC 4.5% 09-01-2026**1,385,745 
PVTPL VISTRA OPERATIONS CO LLC 3.7% 01-30-2027**2,992,793 
PVTPL VISTRA OPERATIONS CO LLC 5.05% 12-30-2026**1,947,539 
PVTPL VISTRA OPERATIONS CO LLC 5.125% DUE 05-13-2025 BEO**3,735,833 
PVTPL VITERRA INC 2.0% DUE 04-21-2026 BEO**3,830,714 
PVTPL VOLKSWAGEN GROUP AMER FIN LLC 5.65% 09-12-2028**570,580 
PVTPL VOLKSWAGEN GROUP AMER FIN LLC 4.95%08-15-2029**2,893,517 
PVTPL VOLKSWAGEN GROUP AMER FIN LLC FLTG RT 09-12-2025**3,465,389 
PVTPL VOLKSWAGEN GROUP AMER FIN LLC GTD NT 6.45% 11-16-2030**724,783 
PVTPL VOLVO FINANCIAL EQUIPMENT LLC SR 24-1A CL A4 4.29% 07-15-2031**540,253 
PVTPL VOLVO FINL EQUIP LLC SER 24-1A CL A3 4.29% 10-16-2028**595,697 
PVTPL VOYA CLO 2014-2 LTD/VOYA CLO SER 14-2A CLS A1R FLTG RT 04-17-2030**550,121 
PVTPL VOYA CLO 2017-3 LTD/VOYA CLO 2017-3 LL SR SECD NT CL 04-20-2034**1,071,740 
PVTPL VOYA CLO LTD SER 2018-3A CL AIR2 FLTG 10-15-2031**1,446,804 
PVTPL WESTGATE RESORTS SR 24-1A CL A 6.06% 6.06% 01-20-2038**1,025,284 
PVTPL WESTLAKE AUTOMOBILE RECEIVABLE 2023-3 SR 23-3A CL B 5.92% 09-15-2028**1,818,569 
PVTPL WESTLAKE AUTOMOBILE RECEIVABLES TRSER 22-3A CL A3 5.49% DUE 07-15-2026**97,196 
PVTPL WESTPAC NEW ZEALAND LIMITED 5.132%02-26-2027**1,686,457 
PVTPL WHEELS FLEET LEASE FDG 1 LLC SR 24-1A CL A1 5.49% 02-18-2039**2,022,762 
PVTPL WIND RIVER CLO LTD SR 22-1A CL AR FLTG 07-20-2035**3,710,164 
PVTPL WISE CLO 2023-2 LTD/WISE CLO 2023-2 LL SER 23-2A CL A FLTG 01-15-2037**1,759,618 
PVTPL XSTRATA FIN CDA LTD GTD NT 5.3 DUE10-25-2042 BEO**122,210 
PVTPL ZAIS ZAIS CLO 13 LTD SR 19-13A CL A1AR FRN 07-15-2032**1,234,219 
PVTPLSAMMONS FINL GROUP 6.875% 04-15-2034**836,169 
Q TECHNOLOGY GROUP CO LTD HKD0.01**43,378 
Q2 HLDGS INC COM**2,844,067 
QANTAS AIRWAYS NPV**1,967,831 
QATAR NATIONAL BANK QAR 1.0000**602,434 
QATAR ST 4.4% 144A 04-16-2050 REG**169,462 
QATAR(STATE OF) 4.75% SNR MTN 29/05/34 USD**298,305 
QIAGEN NV ORD EUR0.01**703,396 
QIAGEN NV ORD EUR0.01 (POST REV SPLT)**5,808,945 
QUAKER CHEM CORP COM**6,630,359 
QUALCOMM INC 4.5% 05-20-2052**209,924 
QUALCOMM INC COM**5,707,908 
QUALITAU ILS1**115,206 
QUALYS INC COM USD0.001**54,826 
QUANEX BLDG PRODS CORP COM STK**3,254,511 
QUANTA SVCS INC 2.9% DUE 10-01-2030**625,213 
159

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
QUANTA SVCS INC 4.75% 08-09-2027**1,712,517 
QUANTA SVCS INC SR NT 3.05% 10-01-2041**239,194 
QUE PROV CDA MEDIUM TERM NTS BOOK ENT TRANCHE # TR 00050 7.14 2-27-26**532,422 
QUEBEC PROV CDA 2.75% DUE 04-12-2027 BEO**876,766 
QUEBEC PROV CDA PROVINCE OF QUEBEC 2.5% 04-20-2026 REG 2.5% DUE 04-20-2026 REG**14,140,147 
QUEBEC(PROV OF) 3.6% NTS 01/09/2033 CAD1000**2,688,714 
QUEENSLAND TSY CP 1.75% GTD SNR 20/07/34AUD**92,829 
QUESS CORP LTD INR10**701,253 
QUEST DIAGNOSTICS INC 2.95% DUE 06-30-2030 BEO**224,553 
QUEST DIAGNOSTICS INC 4.6% 12-15-2027**773,774 
QUINSTREET INC COM STK**2,042,809 
R&D COMPUTER CO LTD NPV**1,718 
RADIANT OPTO-ELECT TWD10**1,522,396 
RADIUS RECYCLING INC CL A COM STK CLASS A USD1**146,569 
RADNET INC COM STK**3,267,744 
RADWARE LTD COM STK**726,547 
RAIFFEISEN BK INTL NPV (REGD)**798,739 
RAIN INDUSTRIES LTD**27,990 
RAINBOW TOURS SA PLN0.10**224,939 
RALPH LAUREN CORP CL A CL A**888,349 
RAMBUS INC DEL COM**764,937 
RATIONAL AG NPV**257,682 
RATOS AB SER'B'NPV**25,905 
RAYDIUM SEMI-CONDU TWD10**408,608 
RAYONIER ADVANCED MATLS INC COM**430,625 
RB GLOBAL INC COM NPV**8,224,175 
RE/MAX HLDGS INC CL A CL A**187,707 
REA GROUP LIMITED NPV**1,123,707 
REALKREDIT DANMARK 1% CVD BDS 01/01/25 DKK0.01**166,631 
REALTEK SEMICOND TWD10**3,499,703 
REALTY INCOME CORP .75% DUE 03-15-2026**524,518 
REALTY INCOME CORP 2.7% 02-15-2032**849,037 
REALTY INCOME CORP 3% DUE 01-15-2027**22,247 
REALTY INCOME CORP 3.25% DUE 01-15-2031 REG**1,539,502 
REALTY INCOME CORP 3.25% DUE 06-15-2029**1,001,707 
REALTY INCOME CORP 5.975% 09-01-2054**342,280 
REC LTD**2,385,792 
RECHI PRECISION CO LTD TWD10**501,237 
RECRUIT HLDGS CO L NPV**11,744,438 
REDDIT INC CL A CL A**3,499,916 
REDFIN CORP COM**623,658 
REDINGTON LIMITED**39,187 
REDWIRE CORP COM**40,146 
REGENCY CTRS CORP COM**2,617,196 
REGENCY CTRS L P 2.95% DUE 09-15-2029**297,813 
REGENERON FIXED 2.8% DUE 09-15-2050**118,095 
REGENERON PHARMACEUTICALS INC COM**18,170,114 
REGIONAL SAB DE CV COM SER 'A' MXN3.33**822,521 
160

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
REGIS HEALTHCARE LIMITED NPV**1,217,592 
REGIS RESOURCES LT NPV**909,092 
REINSURANCE GROUP AMER INC 6.0% 09-15-2033**616,803 
REINSURANCE GROUP AMER INC COM NEW STK**6,216,633 
REITMANS(CANADA) CLASS'A'NON VTG NPV**36,002 
RELIANCE INC COM NPV**767,930 
RELIANCE INDS INR10(100%DEMAT)**2,117,411 
RELIANCE STL & 2.15% DUE 08-15-2030**768,540 
RELX PLC**12,449,554 
RENAISSANCE RE HLDGS LTD COM**8,823,798 
RENASANT CORP COM**6,397,820 
RENEW WIND ENERGY AP 2 PVT LTD / SR SECDNT 144A 4.5% 07-14-2028**1,670,784 
REORG/BM TECHNOLOGIES MERGER 01-31-2025**2,577 
REORG/SMARTSHEET INC MERGER 01-22-2025**1,387,527 
REPAY HLDGS CORP CL A CL A**2,957,853 
REPCO HOME FIN LTD INR10**165,569 
REPLIGEN CORP COM STK USD0.01**6,115,291 
REPLIMUNE GROUP INC COM**136,468 
REPUBLIC OF CHILE 4.34% 03-07-2042**184,148 
REPUBLIC OF CHILE 4.85% 01-22-2029**395,571 
REPUBLIC OF GUATEMALA 5.375% DUE 04-24-2032 REG**188,500 
REPUBLIC OF PERU 5.375% 02-08-2035**192,035 
REPUBLIC OF PERU 5.875% 08-08-2054**381,136 
REPUBLIC OF POLAND 4.625% 03-18-2029**692,013 
REPUBLIC OF POLAND 4.875% DUE 10-04-2033**192,166 
REPUBLIC OF POLAND 5.125% 09-18-2034**678,124 
REPUBLIC OF POLAND 5.5% 03-18-2054**258,082 
REPUBLIC OF POLAND 5.5% DUE 04-04-2053**831,712 
REPUBLIC OF SERBIA 1.0% 23/09/2028**1,675,904 
REPUBLIC OF TURKIYE 7.625% 05-15-2034**913,921 
REPUBLIC SERVICES INC 5.0% 11-15-2029**3,055,745 
REPUBLICA ORIENT URUGUAY 5.25% T-BOND 09-10-2060**409,493 
RERORG/OUTFRONT MEDIA INC REVERSE STOCK SPLIT OUTFRONT MEDIA 241GAR4 01-17-2025**1,276,216 
RESOLUTE MINING NPV**80,210 
RESORTTRUST INC NPV**135,948 
RESOURCES CONNECTION INC COM**140,899 
RETAL URBAN DEVELO SAR1**459,137 
REV GROUP INC COM**421,608 
REVOLUTION MEDICINES INC COM**2,987,923 
REXFORD INDUSTRIAL REALTY INC 5.0% DUE 06-15-2028**1,195,425 
REYNOLDS AMERN INC FIXED 4.45% DUE 06-12-2025**1,024,460 
REYNOLDS AMERN INC FIXED 4.45% DUE 06-12-2025**1,190,689 
REYNOLDS AMERN INC FIXED 5.85% DUE 08-15-2045**257,474 
RGA GLOBAL FDG 5.448% DUE 05-24-2029**2,331,691 
RGA GLOBAL FDG MEDIUM TERM SR SECD TRANCHE # TR 00006 5.05% 12-06-2031**2,458,538 
RGB INTERNATIONAL MYR0.1**81,641 
RHB BANK BHD NPV**272,590 
RHEON AUTO MACHNRY NPV**23,965 
161

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
RHYTHM PHARMACEUTICALS INC COM**1,286,812 
RIBBON COMMUNICATIONS INC COM STK USD0.0001**80,363 
RICH HONOUR INTERN TWD10**19,552 
RICOH CO LTD NPV**1,387,790 
RIGEL PHARMACEUTICALS INC COM PAR $0.001**139,455 
RIGHTMOVE COM STCK**159,247 
RIKEN VITAMIN CO NPV**51,507 
RINGCENTRAL INC CL A CL A**1,046,764 
RIO TINTO FIN USA 5.125% DUE 03-09-2053**287,291 
RIO TINTO ORD GBP0.10**4,687,232 
RIPON MORTGAGES 28/08/2056**3,568,314 
RISO KAGAKU CORP NPV**53,138 
RITHM CAPITAL CORP**707,307 
RIYAD BANK SAR10**1,023,508 
RIYADH CABLES GROUP CO. SAR10**1,198,223 
RLI CORP COM**1,572,808 
RMAC SECS NO 1 PLC FRN M/BKD 06/2044 GBP'A2A'**1,419,656 
RMAC SECS NO 1 PLC FRN M/BKD 06/2044 GBP'A2A'**702,325 
RMAC SECS NO 1 PLC FRN M/BKD 06/2044 GBP'A3A'**459,087 
RMAC SECS NO 1 PLC FRN MTG 06/44 EUR REGS'A2C'**323,964 
RMR GROUP INC CL A CL A**702 
ROBERT HALF INC COM USD0.001**9,178,331 
ROBINHOOD MKTS INC COM CL A COM CL A**3,692,988 
ROBLOX CORP COM USD0.0001 CL A**925,355 
ROCHE HLDGS AG GENUSSCHEINE NPV**33,793,290 
ROCKET PHARMACEUTICALS INC COM USD0.01**169,733 
ROCKWOOL A/S SER'B'DKK10**1,771,828 
ROGERS 2.9% DUE 11-15-2026**138,084 
ROGERS COMMUNICATIONS INC 3.2% 03-15-2027**3,526,229 
ROGERS COMMUNICATIONS INC 4.55% 03-15-2052**240,346 
ROGERS COMMUNICATIONS INC 5.0% 02-15-2029**4,118,167 
ROJANA INDUSTRIAL THB1(NVDR)**39,358 
ROKU INC COM CL A COM CL A**3,520,073 
ROLLS ROYCE HLDGS ORD GBP0.20**11,935,484 
ROMANIA BDS 144A 2.625% 02/12/2040**66,342 
ROMANIA(REP OF) 1.375% MTN 02/12/29 EUR1000**319,243 
ROMANIA(REP OF) 1.75% SNR MTN 13/07/30 EUR**173,490 
ROMANIA(REP OF) 1.75% SNR MTN 13/07/30 EUR**260,235 
ROMANIA(REP OF) 2% SNR MTN 14/04/33 EUR1000**110,289 
ROMANIA(REP OF) 2% SNR MTN 14/04/33 EUR1000**78,778 
ROMANIA(REP OF) 2.75% SNR MTN 14/04/41 EUR**67,287 
ROMANIA(REP OF) 2.875% SNR MTN 13/04/42 EUR**202,090 
ROMANIA(REP OF) 5.125% MTN 24/09/31 EUR1000**608,130 
ROMANIA(REP OF) 5.25% MTN 30/05/32 EUR1000**2,430,246 
ROMANIA(REP OF) 5.625% MTN 22/02/36 EUR1000**1,891,424 
ROMANIA(REP OF) 6.625% SNR MTN 27/09/29 EUR**335,210 
ROMANIA(REPUBLIC OF) 144A 6.375% 18/09/2033**108,076 
ROPER TECHNOLOGIES 1% DUE 09-15-2025**1,678,133 
162

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
ROPER TECHNOLOGIES FIXED 2% DUE 06-30-2030**63,918 
ROPER TECHNOLOGIES INC 4.2% 09-15-2028**244,032 
ROPER TECHNOLOGIES INC 4.75% 02-15-2032**179,946 
ROSNEFT OIL CO RUB0.01(RUB)**81,641 
ROSS STORES INC COM**150,967 
ROSS STORES INC FIXED 4.6% DUE 04-15-2025**1,645,949 
ROYAL BANK OF CANADA 4.875% 01-19-2027**4,989,550 
ROYAL BANK OF CANADA 4.969% 08-02-2030**352,242 
ROYAL BANK OF CANADA MTN 4.522% 10-18-2028**3,916,787 
ROYAL BANK OF CANADA MTN 4.95% 02-01-2029**744,876 
ROYAL BK CDA 1.6% DUE 01-21-2025**1,599,420 
ROYAL BK CDA 6% DUE 11-01-2027**67,133 
ROYAL BK CDA GLOBAL MEDIUM TERM SR BK NTS BOOK ENTRY 5.2% 07-20-2026**1,590,486 
ROYAL BK CDA GLOBAL MEDIUM TERM SR BK NT1.15% 07-14-2026**998,192 
ROYAL BK CDA GLOBAL MEDIUM TERM SR BK NT3.875% 05-04-2032**4,553,709 
ROYAL DUTCH SHELL PLC SPONSORED ADR REPSTG ORD SH**16,727,989 
ROYAL GOLD INC COM STK USD0.01**457,915 
RTX CORP 5.75% 11-08-2026**3,897,517 
RTX CORP 6.0% 03-15-2031**3,159,660 
RTX CORPORATION 2.375% 03-15-2032**539,626 
RTX CORPORATION 2.82% 09-01-2051**498,207 
RTX CORPORATION 2.25% DUE 07-01-2030**1,878,754 
RTX CORPORATION 3.125% 05-04-2027**3,657,506 
RTX CORPORATION 3.5% 03-15-2027 USD**2,207,207 
RTX CORPORATION 3.95% 08-16-2025**1,924,763 
RTX CORPORATION 4.125% 11-16-2028**2,870,053 
RTX CORPORATION 4.15% 05-15-2045**161,462 
RTX CORPORATION 4.35% DUE 04-15-2047**254,888 
RTX CORPORATION COMSTK**38,326,811 
RUSH ENTERPRISES INC CL A CL A**6,114,564 
RUSH STREET INTERACTIVE INC COM USD0.0001 CL A**2,090,215 
RUSSEL METALS INC COM NPV**936,726 
RYDER SYS INC COM**2,235,882 
RYDER SYSTEM INC 2.85% 03-01-2027**1,497,480 
RYDER SYSTEM INC 4.95% 09-01-2029**606,712 
RYDER SYSTEM INC 5.25% 06-01-2028**1,176,988 
RYDER SYSTEM INC 5.375% 03-15-2029**633,913 
RYDER SYSTEM INC 5.5% 06-01-2029**236,156 
RYERSON HLDG CORP COM STOCK**235,281 
RYMAN HOSPITALITY PPTYS INC COM**5,978,160 
S&P GLOBAL INC 2.3% 08-15-2060**300,762 
S&P GLOBAL INC 2.45% 03-01-2027**1,550,297 
S&P GLOBAL INC 2.7% 03-01-2029**1,325,472 
S&P GLOBAL INC 2.9% 03-01-2032**493,272 
S&P GLOBAL INC COM**913,885 
S&S TECH CORPORATI COM**36,448 
S.P.APPARELS LTD INR10**18,381 
SABINE PASS 5.625% DUE 03-01-2025**221,085 
163

Table of Contents

Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
SABINE PASS 5.625% DUE 03-01-2025**1,494,572 
SABINE PASS FIXED 4.2% DUE 03-15-2028**2,024,783 
SABINE PASS LIQUEFACTION LLC 5.0% 03-15-2027**4,229,654 
SABRA HLTH CARE 3.9% DUE 10-15-2029**1,214,738 
SAFEHOLD OPER PARTNERSHIP LP 2.85% 01-15-2032**546,238 
SAGE THERAPEUTICS INC COM**226,121 
SAIA INC COM STK**6,107,238 
SALES TAX SECURITIZATION CORP ILL 3.238%01-01-2042 BEO TAXABLE**6,593,433 
SALESFORCE INC COM USD0.001**44,296,385 
SALIK COMPANY P.J. AED0.01**748,437 
SAMSUNG BIOLOGICS KRW2500**850,919 
SAMSUNG CARD KRW5000**182,545 
SAMSUNG ELECTRONIC KRW100**7,027,430 
SAMSUNG SECURITIES KRW5000**654,561 
SAN DIEGO CALIF REDEV AGY SUCCESSOR AGY TX ALLOCATION 3.5 09-01-2028 BEO TAXABLE**1,264,415 
SAN DIEGO G & E FIXED 2.95% DUE 08-15-2051**1,288,037 
SAN DIEGO GAS & ELEC CO 4.95% 08-15-2028**602,573 
SAN DIEGO GAS & ELEC CO 5.55% 04-15-2054**339,743 
SAN DIEGO GAS & ELECTRIC CO 4.1% 06-15-2049**431,439 
SAN FANG CHEMICAL TWD10**87,673 
SANDS CHINA LTD 4.3% 01-08-2026**1,765,319 
SANDS CHINA LTD FIXED 5.4% DUE 08-08-2028**197,769 
SANDSTORM GOLD LTD COM NEW**312,536 
SANGAMO THERAPEUTICS INC COM**2,818 
SANKI ENGINEERING NPV**149,026 
SANKYO CO LTD NPV**1,437,984 
SANOFI SPONSORED ADR**3,380,923 
SANSAN INC NPV**80,316 
SANTA ANA CALIF PENSION OBLIG 1.665% 08-01-2028 BEO TAXABLE**4,046,871 
SANTA ANA CALIF PENSION OBLIG 1.869% 08-01-2029 BEO TAXABLE**2,580,056 
SANTA ANA CALIF PENSION OBLIG 2.089% 08-01-2030 BEO TAXABLE**1,379,894 
SANTAM LIMITED NPV**15,377 
SANTANDER DR AUTO 1.48% DUE 01-15-2027**372,924 
SANTANDER DR AUTO 4.96% DUE 11-15-2028**4,861,160 
SANTANDER DR AUTO 5% DUE 11-15-2029**6,530,633 
SANTANDER DR AUTO 5.21% DUE 07-15-2027**891,350 
SANTANDER DR AUTO 5.61% DUE 07-17-2028**307,788 
SANTANDER DR AUTO 5.77% DUE 11-15-2030**2,439,224 
SANTANDER DR AUTO 5.84% DUE 06-17-2030**356,854 
SANTANDER DR AUTO 5.84% DUE 06-17-2030**4,885,836 
SANTANDER DR AUTO 6.02% DUE 09-15-2028**3,346,904 
SANTANDER DR AUTO 6.31% DUE 07-15-2027**508,056 
SANTANDER DR AUTO 6.43% DUE 02-18-2031**7,990,250 
SANTANDER DR AUTO RECEIVABLES TR 6.69% 03-17-2031**1,368,712 
SANTANDER DR AUTO RECEIVABLES TR ASSET BACKED NT CL D 1.35% 07-15-2027**2,176,028 
SANTANDER DR AUTO RECEIVABLES TR SER 24-4 CL B 4.93% 09-17-2029**701,959 
SANTANDER DRIVE AUTO REC SER 24-1 CL A3 5.25% 04-17-2028**1,205,236 
164

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Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
SANTANDER DRIVE AUTO REC TR 2012-6 SER 24-A CLS C 4.95% 04-15-2030**2,391,190 
SANTANDER DRIVE AUTO REC TR SER 24-4 CLS A3 4.85% 01-16-2029**1,804,871 
SANTANDER DRIVE AUTO REC TST 2026 NT CL D 1.13% 11-16-2026**399,186 
SANTANDER DRIVE AUTO RECEIVABLES SER 24-5 CL B 4.63% 08-15-2029**1,990,479 
SANTANDER DRIVE AUTO RECEIVABLES TR SER 23-4 CL B 5.77% DUE 12-15-2028**856,533 
SANTANDER DRIVE AUTO RECEIVABLES TR SER 23-4 CL C 6.04% DUE 12-15-2031**3,779,168 
SANTANDER DRIVE AUTO RECEIVABLES TR 2022AUTO LN NT CL C 4.86% 08-15-2029**4,779,665 
SANTANDER DRIVE AUTO RECEIVABLES TRUST SR 24-3 CL C 6.03% 08-15-2030**1,170,879 
SANTANDER DRIVE AUTO RECEIVABLES TRUST SR 24-3 CL C 6.03% 08-15-2030**4,054,993 
SANTANDER DRIVE AUTO SER 24-1 CL B 5.23% 12-15-2028**352,043 
SANTANDER HLDGS FIXED 5.807% DUE 09-09-2026**2,013,365 
SANTANDER HLDGS USA INC 2.49% 01-06-2028**1,896,493 
SANTANDER HLDGS USA INC 6.124% 05-31-2027**761,067 
SANTANDER UK GROUP FLTG RT 2.896% DUE 03-15-2032**2,479,875 
SANTANDER UK GROUP HLDGS PLC 1.53% 08-21-2026**5,031,956 
SANTANDER UK GROUP HLDGS PLC 1.53% 08-21-2026**857,897 
SANTANDER UK GROUP HLDGS PLC 2.469% 01-11-2028**663,030 
SANTANDER UK GROUP HLDGS PLC 6.833% 11-21-2026**4,438,038 
SANTANDER UK GROUP HLDGS PLC NT FXD/FLTG1.673% 06-14-2027**380,759 
SANTANDER UK GROUP HOLDINGS PLC 6.534% 01-10-2029**1,236,895 
SANTANDER UK PLC 144A FLTG 12/02/2027**753,794 
SANTEN PHARM CO NPV**1,390,287 
SAP SE**25,986,181 
SAREPTA THERAPEUTICS INC COM**648,561 
SASSEUR REAL REIT FUND**316,523 
SATO HOLDINGS NPV**294,502 
SATS ASA NOK2.125**255,341 
SATS LTD NPV**1,317,572 
SAUDI ARABIAN COOP SAR10**61,958 
SAUDI ELECTRIC CO SAR10**436,056 
SAUDI NATIONAL BANK SAR10**797,977 
SAUDI STEEL PIPE C COM STK**109,464 
SAUDI TELECOM SAR10**1,129,558 
SAVARA INC COM**104,960 
SBA TOWER TR 2.328% DUE 07-15-2052**1,732,932 
SBA TOWER TR 2.328% DUE 07-15-2052**2,097,760 
SBERBANK OF RUSSIA**516,307 
SBERBANK OF RUSSIA SPON ADR**1,065 
SBM OFFSHORE NV EUR0.25**851,287 
SBNA AUTO LEASE TR 5.67% DUE 11-20-2026**1,243,082 
SBNA AUTO LEASE TR 6.51% DUE 04-20-2027**2,126,129 
SCALES CORP LT NPV**71,630 
SCANSOURCE INC COM**278,769 
SCCU AUTO 5.11% DUE 06-15-2029**1,103,045 
SCENTRE GROUP TR 1 FIXED 3.5% DUE 02-12-2025**24,948 
SCF EQUIP LEASING 6.17% DUE 05-20-2032**3,349,141 
SCHINDLER-HLDG AG CHF0.10 (PTG CERT)**3,559,065 
SCHLUMBERGER FIN CDA LTD 1.4% DUE 09-17-2025/09-18-2020 REG**987,221 
165

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
SCHNEIDER ELECTR INR2**577,125 
SCHNEIDER ELECTRIC EUR4.00**20,544,614 
SCHNEIDER NATL INC WIS CL B CL B**4,007,085 
SCHOLAR ROCK HLDG CORP COM**3,158,302 
SCHOLASTIC CORP COM**186,701 
SCHWAB CHARLES .9% DUE 03-11-2026**3,606,953 
SCHWAB CHARLES 3.2% DUE 01-25-2028**311,053 
SCHWAB CHARLES 3.2% DUE 03-02-2027**87,162 
SCHWAB CHARLES CORP COM NEW**2,813,426 
SCHWAB CHARLES CORP NEW 5.875% 08-24-2026**1,174,905 
SCHWAB CHARLES CORP NEW 6.136% 08-24-2034**430,750 
SCHWAB(CHARLES)CORP 1.95% 12-01-2031 BEO**7,104,566 
SCIENCE APPLICATIONS INTL CORP NEW COM USD0.0001**1,592,641 
SCIENTEX BERHAD NPV**48,158 
SCOTTS MIRACLE-GRO CLASS'A'COM NPV**917,748 
SCREEN HOLDINGS CO LTD NPV**1,101,284 
SCSK CORP NPV**108,094 
SEACOAST BKG CORP FLA COM NEW COM NEW**6,038,788 
SEADRILL LIMITED**355,119 
SEBANG GLOBAL BATT KRW500**309,646 
SECRETARIA TESOURO 0% T-BILL 01/04/25 BRL1000**12,116,404 
SECRETARIA TESOURO 0% T-BILL 01/10/25 BRL1000**7,971,820 
SECURE ENERGY SERV COM NPV**1,406,441 
SEEGENE INC KRW500**211,312 
SELECT MED HLDGS CORP COM**889,155 
SELECT WATER SOLUTIONS INC**1,942,480 
SELECTQUOTE INC COM**89,875 
SEMPRA 5.4% 08-01-2026**581,814 
SEMPRA 6% DUE 10-15-2039**183,555 
SEMPRA ENERGY 3.3% 04-01-2025**1,294,901 
SEMPRA ENERGY 3.8% DUE 02-01-2038**272,866 
SEMTECH CORP COM**8,228,524 
SENCO GOLD LIMITED INR10**96,539 
SENTINELONE INC CL A COM CL A COM**3,412,029 
SERBIA (REPUBLIC) 1.65% SNR MTN 03/03/33EUR**249,624 
SERBIA (REPUBLIC) 3.125% 15/05/2027**1,429,976 
SERVICENOW INC COM USD0.001**46,452,338 
SERVISFIRST BANCSHARES INC COMMON STOCK**5,577,756 
SES FDR EACH REP 1 'A' NPV**251,380 
SEVEN & I HOLDINGS NPV**6,913,784 
SEVERSTAL PJSC GDR EACH REPR 1 ORD 'REGS'**994 
SG COML MTG SECS 3.055% DUE 10-10-2048**3,189,082 
SHAKE SHACK INC CL A CL A**1,601,602 
SHANDONG CHENMING 'H'CNY1**10,540 
SHANGHAI CHICMAX COSMETIC CO LTD**253,481 
SHARDA CROPCHEM LTD**387,646 
SHARKNINJA COM USD0.0001**7,612,286 
SHELL FIN US INC 4.0% 05-10-2046**131,716 
166

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
SHELL FIN US INC NT 3.25% 04-06-2050**795,006 
SHELL FIN US INC NT 4.125% 05-11-2035**144,068 
SHELL FINANCE US INC 2.75% 04-06-2030**1,689,751 
SHELL FINANCE US INC 3.75% 09-12-2046**376,057 
SHELTER GROWTH CRE 2022-FL4 ISSUER 3.416% 06-19-2037**1,030,436 
SHENZHEN FUANNA BEDDING & FURNISHIN 'A'CNY1 (STOCK CONNECT)**125,830 
SHENZHEN LAIBAO HI 'A'CNY1(STOCK CONNECT)**574,813 
SHERWIN-WILLIAMS 3.45% DUE 06-01-2027**52,503 
SHERWIN-WILLIAMS CO COM**6,579,005 
SHIBAURA MACHINE CO LTD**13,563 
SHIBAURA MECHATRON NPV**433,733 
SHIMOJIMA CO LTD NPV**49,416 
SHINDENGEN ELECTRC NPV**23,586 
SHIN-ETSU CHEMICAL NPV**6,651,550 
SHINMAYWA INDS NPV**178,446 
SHINNIHONSEIYAKU C NPV**101,691 
SHIONOGI & CO LTD NPV**855,634 
SHOWBOX CORP COMMMON STOCK**3,653 
SHR TR 2024-LXRY 7.05% 10-15-2041**1,007,183 
SHRIRAM FINANCE LIMITED**597,243 
SHYFT GROUP INC COM**181,266 
SIEGFRIED HLDG AG CHF11 (REGD)**1,081,472 
SIERRA TIMESHARE 2020-2 RECEIVABLES VACATION TIMESHARE LN 2.32% 07-20-2037**183,082 
SIERRA TIMESHARE 2021-1 RECEIVABLES VACATION TIMESHARE LN BKD .99 11-20-2037**356,641 
SIGNIFY NV EUR0.01**1,428,809 
SIKA AG CHF0.01 (REG)**4,033,347 
SILGAN HLDGS INC COM**2,755,475 
SILICON LABORATORIES INC COM**930,035 
SIME DARBY PROPERTY BERHAD**275,147 
SIMON PPTY GROUP L FIXED 2.45% 09-13-2029**427,180 
SIMON PPTY GROUP L FIXED 3.25% 09-13-2049**134,561 
SIMON PROPERTY GROUP INC COM**7,540,731 
SIMPSON MFG INC COM**3,124,237 
SIMULATIONS PLUS INC COM**2,504,243 
SINBON ELECTRONICS TWD10**55,941 
SINFONIA TECH CO LTD**60,297 
SINGAPORE EXCHANGE NPV**3,289,128 
SINGAPORE(GOVT OF) 2.375% SNR 01/07/39 SGD1000**82,405 
SINGAPORE(GOVT OF) 3.25% BDS 01/06/2054 SGD**969,318 
SINKO INDUSTRIES NPV**95,068 
SINOPEC ENGINEERIN 'H' CNY1**291,104 
SIRIUSPOINT LTD COM USD0.1**604,562 
SITIO ROYALTIES CORP COM CL A**3,181,943 
SJG SEJONG KRW500**28,715 
SK BIOPHARMACEUTIC KRW500**847,202 
SK HYNIX INC 000660**1,206,095 
SK TELECOM KRW100**724,876 
SKAND ENSKILDA BKN SER'A'NPV**2,411,371 
167

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
SKECHERS U S A INC CL A CL A ISIN #US8305661055**3,057,470 
SKISTAR AB SER'B'NPV**647,767 
SKYWORTH GROUP LIMITED**239,955 
SL GREEN RLTY CORP COM**2,207,943 
SLEEP NUMBER CORP COM**284,119 
SLM CORP COM**2,665,828 
SLM PRIVATE CR STUDENT LN TR 2007-A STUDLN BACKED NT A-4 FLTG 12-16-2041BEO**3,667,795 
SLM PRIVATE CR STUDENT LN TR ASSTBCKD SER 2005-A CL A4 FLTG 12-15-2038 BEO**517,824 
SLM STUDENT LN 3-7 3.8%-FRN A/BKD 15/12/33 EUR**136,116 
SMALL BUSINESS 5.67999982834% DUE 06-01-2028**21,189 
SMART-CORE HOLDING USD0.00001**20,752 
SMARTGROUP CORPORATION LIMITED NPV**86,811 
SMB PRIVATE ED LN TR 2020-PT-B PVT ED LNBACKED EXCHANGE 1.6% 09-15-2054**2,870,544 
SMB PRIVATE ED LN TR 2021-A PVT ED LN BKD NT CL A-2A1 5.15813% 01-15-2053**885,016 
SMB PRIVATE ED LN TR 2021-E PVT ED LN BKS NTS CL A-1A 1.68% 02-15-2051**896,827 
SMB PVT ED LN TR 4.48% DUE 05-16-2050**2,129,675 
SMB PVT ED LN TR 5.38% DUE 01-15-2053**636,905 
SMB PVT ED LN TR FLTG RT 5.44031% DUE 06-17-2052**3,065,460 
SMC CORP NPV**4,522,222 
SMITH & NEPHEW PLC 5.15% 03-20-2027**1,566,024 
SMITH & NEPHEW PLC 5.4% 03-20-2034**3,324,375 
SMITHS NEWS PLC**121,465 
SMK CORP NPV**40,977 
SMRT 2022-MINI COML MTG PASSTHRU CTF CL B 5.662% 01-15-2039**2,482,128 
SMS CO LTD NPV**66,059 
SMUCKER J M CO 6.5% 11-15-2053**392,205 
SNAP INC SNAP INC**223,510 
SNOWFLAKE INC CL A CL A**6,775,820 
SOCIETE GENERALE 2.625% DUE 01-22-2025**499,313 
SOCIETE GENERALE 2.625% DUE 01-22-2025**3,245,537 
SOCIETE GENERALE 5.25% DUE 02-19-2027**230,150 
SOCIETE GENERALE 5.25% DUE 02-19-2027**1,796,172 
SOCIETE GENERALE EUR1.25**5,619,886 
SODICK CO LTD NPV**157,821 
SOFI PROFESSIONAL LN PROGRAM 2020-C POSTGRADUATE LN AST BKD NT 1.95% 02-15-2046**397,840 
SOFTBANK GROUP CORP**2,340,802 
SOFTCREATE HLDGS C NPV**30,786 
SOHU COM LTD SPONSORED ADR**25,042 
SOLARA ACTIVE PHAR INR10**222,137 
SOLENO THERAPEUTICS INC COM PAR**251,315 
SOLVENTUM CORP COM COM USD0.01**198,312 
SOMPO HOLDINGS INC**3,263,015 
SONAE SGPS SA EUR1**1,032,315 
SONIC AUTOMOTIVE INC CL A**540,122 
SONOCO PROD CO COM**4,506,266 
SONOCO PRODS CO 5.0% 09-01-2034**94,826 
SONOCO PRODS CO NT 2.25% 02-01-2027**650,583 
SONOCO PRODUCTS CO 4.45% 09-01-2026**59,570 
168

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
SONOS INC COM**1,358,909 
SONOVA HOLDING AG COMMON STOCK**5,573,546 
SONY GROUP CORPORA NPV**12,624,103 
SOOP CO LTD KRW500**177,336 
SOPRA STERIA GROUP**73,838 
SOUTH AFRICA REP NT 5.375% DUE 07-24-2044 REG**149,946 
SOUTHERN CALI EDISON 5.45% 06-01-2031**711,244 
SOUTHERN CALIF EDISON CO 3.65% 02-01-2050**157,395 
SOUTHERN CALIF EDISON CO 4.125% 03-01-2048**522,183 
SOUTHERN CALIF EDISON CO 4.2% 03-01-2029**387,901 
SOUTHERN CALIF EDISON CO 5.15% 06-01-2029**2,560,605 
SOUTHERN CALIF EDISON CO 5.3% 03-01-2028**891,088 
SOUTHERN CALIF EDISON CO 5.65% 10-01-2028**2,865,973 
SOUTHERN CALIF EDISON CO 5.875% 12-01-2053**50,731 
SOUTHERN CALIF EDISON CO SR NT 2.75% 02-01-2032**1,795,034 
SOUTHERN CALIF GAS CO 5.75% 06-01-2053**208,967 
SOUTHERN CO 3.7% DUE 04-30-2030 REG**1,502,536 
SOUTHERN CO 4.4% DUE 07-01-2046**289,691 
SOUTHERN CO 5.2% 06-15-2033**385,630 
SOUTHERN CO 5.5% 03-15-2029**3,401,558 
SOUTHERN CO COM STK**29,026,773 
SOUTHERN CO GAS CAP 3.15% 09-30-2051**226,436 
SOUTHERN CO GAS CAP 3.25% 06-15-2026**2,740,317 
SOUTHERN CROSS ELE NPV**224,443 
SOUTHERN PWR CO 5.15% DUE 09-15-2041**56,110 
SOUTHN CAL EDISON 1.2% DUE 02-01-2026**289,053 
SOUTHN CAL EDISON 2.85% DUE 08-01-2029**638,818 
SOUTHN CAL EDISON 3.65% DUE 03-01-2028**337,096 
SOUTHN CAL EDISON 4% DUE 04-01-2047**227,286 
SOUTHN CAL EDISON CO 5.55 DUE 01-15-2036BEO**163,670 
SOUTHSTATE CORP COM**1,075,777 
SOUTHWEST GAS CORP 5.45% 03-23-2028**303,720 
SOUTHWESTERN ELEC PWR CO 5.3% 04-01-2033**692,754 
SOUTHWESTERN PUBLIC SERVICE CO 3.75% 06-15-2049**181,872 
SOUTHWESTN ELEC 3.9% DUE 04-01-2045**71,513 
SP GROUP AS DKK2**268,106 
SPACE CO LTD NPV**28,481 
SPAIN(KINGDOM OF) 3.45% SNR 30/07/66 EUR1000**340,875 
SPAREBANK 1 NORD-NORGE GRUNNFONDSBEVIS NOK50**276,481 
SPAREBANK 1 SMN NOK25**476,248 
SPAREBANKEN VEST NOK25 GRUNNFONDSBEVIS**147,585 
SPARTANNASH CO COM NPV**220,445 
SPEED TECH TWD10**54,843 
SPHERE ENTERTAINMENT CO COM USD0.01 CLASS A**167,812 
SPIE SA EUR0.47**137,801 
SPIRE MO INC SER 1ST MTG BD 4.8% 02-15-2033**489,111 
SPORTRADAR GROUP AG**1,768,108 
SPORTS GEAR CO LTD TWD10**267,199 
169

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
SPOTIFY TECHNOLOGY S A COM EUR0.025**8,648,750 
SPRINT CAP CORP 6.875% DUE 11-15-2028**1,262,728 
SPRINT CAP CORP 8.75% DUE 03-15-2032**370,977 
SPRINT CORP FIXED 7.625% DUE 03-01-2026**2,136,877 
SPROTT INC COM NPV**54,750 
SPROUTS FMRS MKT INC COM**8,439,481 
SPYRE THERAPEUTICS INC COM NEW COM USD0.0001 POST REV SPLIT**174,414 
SREIT TR 2021-IND FLTG RT 5.12648% DUE 10-15-2038**1,990,000 
SSR MNG INC COM NPV**80,680 
STAGWELL INC**130,652 
STANDARD CHARTERED BK/NY 4.853% 12-03-2027**8,593,885 
STANDARD CHARTERED PLC NT FIXED RATE RESET 144A 1.456% 01-14-2027**452,682 
STANDARD CHARTERED PLC SHS**1,435,950 
STANDARDAERO INC. COM USD0.01**1,793,466 
STANLEY BLACK & DECKER INC 6.0% 03-06-2028**1,869,013 
STANLEY BLACK & DECKER INC COM**12,502,759 
STARHILL GLOBAL REIT**346,540 
STARHUB LTD NPV**78,408 
STARWOOD MTG 1.172% DUE 05-25-2065**180,147 
STARWOOD MTG 1.431% DUE 05-25-2065**260,460 
STARWOOD MTG 1.486% DUE 04-25-2065**59,981 
STATE OF ISRAEL 5.5% 03-12-2034**585,411 
STATE STR CORP 2.901% DUE 03-30-2026 BEO**496,655 
STATE STR CORP COM**17,895,788 
STATE STR CORP FLTG RT 4.53% DUE 02-20-2029**1,230,935 
STATE STR CORP FLTG RT 4.821% DUE 01-26-2034**553,186 
STATE STREET BANK & TRUST 4.594% 11-25-2026**1,768,240 
STATE STREET BANK & TRUST 4.594% 11-25-2026**455,928 
STATE STREET CORP 5.684% 11-21-2029**1,485,091 
STEEL DYNAMICS INC 1.65% DUE 10-15-2027**179,404 
STEEL DYNAMICS INC 3.25% DUE 10-15-2050**128,261 
STEEL DYNAMICS INC 3.45% DUE 04-15-2030 BEO**92,712 
STEEL DYNAMICS INC COM**42,434 
STEEL DYNAMICS INC SR NT 5.375% 08-15-2034**382,320 
STEELCASE INC CL A COM**5,507,742 
STELLA INTL HLDG HKD0.1**56,725 
STEPAN CO COM**3,964,945 
STEPSTONE GROUP INC CL A CL A**881,223 
STERIS PLC ORD USD0.001**347,191 
STEVANATO GROUP S.P.A. COM NPV**2,432,854 
STH AFRICA(REP OF) 10% BDS 31/03/33 ZAR1000000**904,497 
STH AFRICA(REP OF) 8% SNR 31/01/2030 ZAR1000**995,132 
STH AFRICA(REP OF) 8.5% SNR 31/01/2037 ZAR1000**202,561 
STH AFRICA(REP OF) 8.875% SNR 28/02/35 ZAR1000**10,491,386 
STICHTING AK RABOBANK CERTIFICATEN 6.5% 31/12/2049**483,194 
STIFEL FINL CORP COM**2,424,246 
STITCH FIX INC CL A CL A**195,674 
STOLT-NIELSEN LTD USD1**241,381 
170

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
STONERIDGE INC COM**44,517 
STOREBRAND ASA SER'A'NOK5**797,332 
STRIDES PHARMA SCIENCE LIMITED**339,606 
STRUCTURED ASSET INVT LN TR 2004-2 MTG PASSTHRU CTF CL A4 03-25-2034 REG**152,610 
STRYKER CORP**19,748,022 
STRYKER CORP 3.65% 03-07-2028**551,419 
STX METAL CO LTD KRW2500**232,492 
SUBARU CORPORATION NPV**709,226 
SUBSEA 7 SA USD2**140,974 
SUGI HOLDINGS NPV**51,812 
SUMITOMO BAKELITE NPV**196,540 
SUMITOMO MITSUI 1.474% DUE 07-08-2025**1,549,618 
SUMITOMO MITSUI 5.316% DUE 07-09-2029**773,570 
SUMITOMO MITSUI FINANCIAL GROUP NPV**7,793,367 
SUMITOMO MITSUI FINL GROUP INC 5.464% 01-13-2026**944,353 
SUMITOMO MITSUI FINL GROUP INC 5.464% 01-13-2026**352,657 
SUMITOMO MITSUI FINL GROUP INC 5.52% 01-13-2028**507,895 
SUMITOMO MITSUI FINL GROUP INC 5.52% 01-13-2028**4,108,867 
SUMITOMO MITSUI FINL GROUP INC 5.716% 09-14-2028**534,606 
SUMITOMO MITSUI FINL GROUP INC 5.88% 07-13-2026**7,058,016 
SUMITOMO RIKO CO L NPV**66,297 
SUN FRONTIER FUDOS NPV**140,874 
SUN INC NPV**37,751 
SUNAC CHINA HLDGS HKD0.10**55,253 
SUNAC SERVICES HLD HKD0.1**27,781 
SUNCOKE ENERGY INC COM USD0.01**367,909 
SUNCOR ENERGY INC 4% DUE 11-15-2047**297,047 
SUNCOR ENERGY INC COM NPV 'NEW'**5,736,716 
SUNNY OPTICAL TECH HKD0.10**1,395,976 
SUNOCO LOGISTICS PARTNER 4.0% 10-01-2027**1,813,674 
SUNOCO LOGISTICS PARTNERS 5.4% 10-01-2047**440,539 
SUNPLUS INNOVATION TWD10**99,986 
SUNREX TECHNOLOGY TWD10**359,103 
SUNRUN INC COM**32,079 
SUNTECK REALTY LTD INR1**155,931 
SUNWAY CONSTRUCTION GROUP BHD MYR0.2**196,631 
SUNWAY REAL ESTATE REIT**46,959 
SUPREMEX INC COM NPV**27,103 
SURGERY PARTNERS INC COM**576,883 
SURGUTNEFTEGAS PJS RUB1(RUB)**41,969 
SURYA SEMESTA TBK IDR125**406,483 
SUSCO PCL THB1(NVDR)**45,276 
SUSS MICROTEC SE NPV**1,230,510 
SUTRO BIOPHARMA INC COM**76,544 
SUZUKEN CO LTD NPV**1,847,659 
SVENSKA HANDELSBANKEN AB INSTL CD DTD 02-28-2024 FLTG RT 02-26-2025**2,495,160 
SVENSKA HANDELSBANKEN AB PUBL 0% CP 11-18-2025**3,240,267 
SVENSKA HANDELSBANKEN SER'A'NPV (P/S)**2,021,198 
171

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
SWEDBANK SPARBANKEN SVENGE AB DTD 10-15-2024 4.5% CD 10-15-2025**1,772,245 
SWEETGREEN INC CL A CL A**2,194,988 
SWEPCO STORM RECOVERY FU 4.88% 09-01-2041**4,007,443 
SWISSQUOTE GP HLDG CHF0.20 (REGD)(POST SUBD)**242,304 
SY HOLDINGS GROUP LTD HKD0.01**521,894 
SYARIKAT TAKAFUL NPV**15,050 
SYDBANK DKK10**705,799 
SYMBOTIC INC COM USD0.0001 CLASS A**1,513,812 
SYMPHONY LTD INR2**403,064 
SYNAPTICS INC COM**299,556 
SYNCHRONY CARD ISSUANCE TR SER 23-A2 CL A 5.74% 10-15-2029**1,732,192 
SYNCHRONY CARD ISSUANCE TR SER 23-A2 CL A 5.74% 10-15-2029**7,540,129 
SYNCHRONY FINANCIAL 5.935% 08-02-2030**1,412,819 
SYNDAX PHARMACEUTICALS INC COM**133,879 
SYNEKTIK SA PLN0.50**164,242 
SYNOPSYS INC COM**3,693,592 
SYNOVUS FINL CORP COM NEW COM NEW**4,024,065 
SYSTEM RESEARCH CO NPV**23,638 
SYSTEM SUPPORT HOLDINGS INC**30,254 
SYSTENA CORP NPV**104,401 
SYUPPIN CO LTD NPV**254,516 
T RAD CO LTD JPY50**49,507 
T&D HOLDINGS INC NPV**184,875 
TABOOLA COM LTD COM NPV**512,380 
TAC CONSUMER PCL THB0.25 (NVDR)**54,164 
TAG IMMOBILIEN AG NPV**665,899 
TAIKO BANK NPV**20,368 
TAIWAN PAIHO TWD10**309,957 
TAIWAN PCB TECHVES TWD10**14,626 
TAIWAN SEMICON MAN TWD10**19,542,772 
TAKARA & CO LTD**36,002 
TAKEDA PHARMACEUTICAL CO LTD SR NT 3.025% 07-09-2040**305,805 
TAKE-TWO INTERACTIVE SOF 5.6% 06-12-2034**513,919 
TAKE-TWO INTERACTIVE SOFTWARE INC 3.55% 04-14-2025**1,788,429 
TAKE-TWO INTERACTIVE SOFTWARE INC 4.95% 04-14-2023**2,167,570 
TALANX AG NPV**901,958 
TALEN ENERGY CORP NEW COM**378,361 
TAMPA ELEC CO 4.9% 03-01-2029**309,781 
TAMRON CO LTD NPV**949,567 
TANDEM DIABETES CARE INC COM NEW COM USD0.001(POST REV SPLT)**2,932,841 
TANGO THERAPEUTICS INC COM**20,085 
TAPESTRY INC COM USD0.01**1,385,192 
TARGA RES CORP COM**824,135 
TARGA RES FIXED 5.2% DUE 07-01-2027**2,650,737 
TARGA RES PARTNERS LP/TARGA RES FIN 5.5% SNR NTS 03-01-2030 USD**5,748,021 
TARGET CORP COM STK**12,338,825 
TASEKO MINES LTD COM**54,126 
TASKUS INC CL A CL A**110,957 
172

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
TATA CONSULTANCY S INR1**3,751,258 
TATNEFT PJSC RUB1(RUB)**218,193 
TAYLOR MORRISON HOME CORP COM USD0.00001**2,252,406 
TCL ELECTRONICS HOLDINGS LTD**592,660 
TCO COML MTG TR 2024-DPM COML MTG PASS THRU CTF CL A 5.55477% 12-15-2039**2,105,345 
TCW CLO 2019-2 LTD FLTG RT 5.91904% DUE 10-20-2032**9,518,976 
TD SYNNEX CORP 6.1% 04-12-2034**820,120 
TE CONNECTIVITY PLC COM USD0.01**7,920,538 
TEACHERS INS & 3.3% DUE 05-15-2050**3,337,637 
TEACHERS INS & 4.27% DUE 05-15-2047**376,635 
TEAM INTERNET GROUP PLC ORD GBP0.001**22,588 
TEAMVIEWER SE NPV**840,998 
TECHNIPFMC PLC COM USD1**3,907,189 
TECHNO ELECTRIC & INR2**52,837 
TECHNOGYM S P A**718,480 
TECHNOLOGY ONE NPV**1,594,562 
TECNOGLASS INC COMMON STOCK**8,396,657 
TECSYS INC COM NPV**60,572 
TEEKAY TANKERS LTD (BM) COM USD0.01 CL A**283,703 
TEIKOKU ELECTRIC M NPV**132,288 
TEL AVIV STK COM**530,485 
TELECHIPS INC KRW500**32,653 
TELEDYNE TECHNOLOGIES INC NT 2.75% 04-01-2031**4,159,761 
TELEFLEX INC COM**7,865,292 
TELEFONICA EMISIONES S A U 5.213% 03-08-2047 REG**267,168 
TELOS CORP MD COM**50,035 
TEMAIRAZU INC NPV**47,197 
TENABLE HLDGS INC COM**74,743 
TENCENT HLDGS LTD HKD0.00002**21,295,696 
TENET HEALTHCARE CORP COM NEW .**1,020,822 
TENN VALLEY AUTHORITY 1.5% 09-15-2031**65,457 
TENNESSEE VALLEY A 0% DUE 04-01-2026 REG**1,496,538 
TENNESSEE VALLEY AUTH FED 0% CPN IO STRIPS DUE 09-15-2026**1,638,004 
TENNESSEE VALLEY AUTH FED BOOK ENTRY CPNGENERIC INT PMT 04-01-2028**2,539,971 
TENNESSEE VALLEY AUTHORITY 4.375% 08-01-2034**2,319,623 
TENNESSEE VY AUTH GLOBAL POWER BD SER A 4.625% DUE 09-15-2060 REG**40,435 
TENNESSEE VY AUTH GLOBAL PWR BD SER A 4.25% DUE 09-15-2065 REG**58,765 
TENNESSEE VY AUTH TENN VALLEY AUTH 4.875% DUE 01-15-2048 REG**295,325 
TERADATA CORP DEL COM STK**981,412 
TERRENO RLTY CORP**3,612,863 
TERUMO CORP NPV**6,795,785 
TERWIN MTG TR 2003-6HE ASSET BKD CTF CL A-1 FLTG 11-25-2033 REG**19,653 
TESCO ORD GBP0.0633333**6,585,412 
TESLA AUTO LEASE 5.89% DUE 06-22-2026**432,871 
TESLA INC COM USD0.001**59,922,991 
TETRA TECH INC NEW COM**1,940,885 
TEXAS CAP BANCSHARES INC DEL COM**615,356 
TEXAS HEALTH RES FIXED 2.328% DUE 11-15-2050**245,279 
173

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
TEXAS INSTRS INC 3.875% 03-15-2039**300,793 
TEXAS INSTRS INC 5.15% 02-08-2054**187,626 
TEXAS INSTRUMENTS INC 5.05% DUE 05-18-2063**613,829 
TEXAS INSTRUMENTS INC COM**29,184,244 
TEXAS NAT GAS SECURITIZATION FIN CORP RE0.0% SER 23-1 CL A1 04-01-2035**92,885 
TEXAS NAT GAS SECURITIZATION FIN CORP RE0.0% SER 23-1 CL A1 04-01-2035**5,201,564 
TEXAS ROADHOUSE INC COMMON STOCK**15,817,396 
TEXTRON INC 3.9% 09-17-2029**1,449,163 
TEXTRON INC COM**2,320,324 
TEXTRON INC FIXED 2.45% DUE 03-15-2031**595,634 
THAIFOODS GROUP THB1 (NVDR)**172,435 
THAILAND(KINGDOM) 2.5% GTD 17/11/2029 THB1000**1,051,158 
THE ANUP ENGINEERI INR10**162,808 
THE BEAUTY HEALTH CO CL A**67,445 
THE CIGNA GROUP**38,888,244 
THE COOPER COMPANIES, INC.**14,157 
THE HARTFORD INSURANCE GROUP INC COM USD0.01**15,793,750 
THE REAL BROKERAGE INC COM NPV (POST REVSPLIT)**87,211 
THE SAGE GROUP PLC GBP0.01051948**983,001 
THE TRADE DESK INC COM CL A COM CL A**11,242,920 
THERAVANCE BIOPHARMA INC COM**121,878 
THERMO FISHER SCIENTIFIC 1.75% 10-15-2028**449,666 
THERMO FISHER SCIENTIFIC INC 2.8% 10-15-2041**151,384 
THERMO FISHER SCIENTIFIC INC 5.0% 12-05-2026**1,591,980 
THERMO FISHER SCIENTIFIC INC COM USD1**7,308,711 
THIRD COAST BANCSHARES INC COM**23,086 
THOR INDS INC COM STK**5,753,032 
THULE GROUP AB NPV**508,014 
THYROCARE TECHNOL INR10**325,479 
THYSSENKRUPP AG NPV**100,202 
TIMAH IDR50**326,551 
TIME WARNER CABLE 4.5% DUE 09-15-2042**321,973 
TIMES PUB & MEDIA A CNY1 STOCK CONNECT**206,082 
TIPCO ASPHALT THB1(NVDR)**343,950 
TIPS MUSIC LIMITED INR1(POST SUBD)**54,556 
TIS INC**1,486,145 
TITAN CEMENT INTL NPV**37,839 
TJX COS INC COM NEW**10,547,317 
T-MOBILE US INC 5.5% 01-15-2055**221,392 
T-MOBILE USA INC 2.05% DUE 02-15-2028**206,587 
T-MOBILE USA INC 2.05% DUE 02-15-2028**4,069,306 
T-MOBILE USA INC 2.25% DUE 02-15-2026**4,376,577 
T-MOBILE USA INC 2.55% 02-15-2031**6,093,914 
T-MOBILE USA INC 2.625% DUE 04-15-2026 BEO**3,176,921 
T-MOBILE USA INC 3.0% DUE 02-15-2041 BEO**1,124,755 
T-MOBILE USA INC 3.875% 04-15-2030**4,883,049 
T-MOBILE USA INC 4.5% DUE 04-15-2050**344,852 
T-MOBILE USA INC 4.7% 01-15-2035**2,270,998 
174

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
T-MOBILE USA INC 4.85% 01-15-2029**1,029,014 
T-MOBILE USA INC 4.95% DUE 03-15-2028**683,268 
T-MOBILE USA INC 5.05% 07-15-2033**352,595 
T-MOBILE USA INC 5.15% 04-15-2034**605,228 
T-MOBILE USA INC 5.15% 04-15-2034**39,364 
T-MOBILE USA INC 5.2% DUE 01-15-2033 BEO**3,356,456 
T-MOBILE USA INC 5.75% 01-15-2054**137,082 
T-MOBILE USA INC FIXED 3.75% DUE 04-15-2027**586,119 
T-MOBILE USA INC FIXED 3.75% DUE 04-15-2027**5,861,186 
T-MOBILE USA INC SR SECD NT 1.5% 02-15-2026**6,714,149 
TMX GROUP LIMITED COM NPV**6,293,166 
TN VY AUTH FED BOOK ENTRY CPNSTRIPS GENERIC INT PMT 09-15-2028 (UNDDATE) REG**635,032 
TN VY AUTH FED BOOK ENTRY PRIN STRIPS GENERIC PRIN PMT 06-15-2035 (UNDDATE)**260,766 
TN VY AUTH FED ZERO CPN 0% DUE 03-15-2026**1,949,196 
TOA CORP (CONST) NPV**282,858 
TOBACCO SETTLEMENT FIN AUTH WEST VA AST BACKED 3.151 06-01-2032 BEO TAXABLE**4,477,960 
TOCALO CO LTD NPV**28,065 
TOFU RESTAURANT CO TWD10**28,916 
TOKAI TOKYO FINANCIAL HOLDINGS INC**1,254,066 
TOKIO MARINE HOLDINGS INC NPV**1,125,844 
TOKYU FUDOSAN HLDG NPV**654,660 
TOLL BROS FIN CORP 4.35% DUE 02-15-2028**1,826,244 
TOLL BROS INC COM**5,409,678 
TON YI INDL CORP TWD10**48,535 
TOPBUILD CORP COM**1,933,421 
TOPCO SCIENTIFIC C TWD10**264,759 
TOREX GOLD RES INC COM NPV (POST REV SPLT)**829,003 
TORONTO DOMINION 3.766% DUE 06-06-2025**1,636,898 
TORONTO DOMINION 4.108% DUE 06-08-2027**2,690,360 
TORONTO DOMINION BANK 4.783% 12-17-2029**493,035 
TORONTO DOMINION BANK 4.98% 04-05-2027**1,314,525 
TORONTO DOMINION BANK 5.156% 01-10-2028**69,322 
TORONTO DOMINION BK 1.15% 06-12-2025**1,751,883 
TORONTO DOMINION BK 4.456% 06-08-2032**596,797 
TORONTO DOMINION BK ONT COVERED BD 144A 5.141% 09-13-2029**8,189,161 
TORONTO DOMINION BK SR MEDIUM TERM BK NTS BOOK ENTRY 1.45% 01-10-2025**1,599,808 
TORONTO DOMINION FIXED 5.532% 07-17-2026**1,946,954 
TORONTO-DOMINION BANK 4.568% 12-17-2026**2,209,799 
TORONTO-DOMINION BANK 4.693% 09-15-2027**748,330 
TORONTO-DOMINION BANK MTN 2.8% DUE 03-10-2027**3,352,754 
TORONTO-DOMINION COM NPV**5,616,351 
TOSHIBA TEC CORP NPV**254,969 
TOTAL CAP INTL 3.127% DUE 05-29-2050 REG**518,330 
TOTAL CAP INTL 3.461% DUE 07-12-2049**140,771 
TOTALENERGIES CAPITAL SA 5.488% 04-05-2054**144,012 
TOTVS SA COM NPV TOTS3**622,219 
TOWA PHARMACEUTICAL CO. LTD NPV**10,674 
TOWD PT MTG TR 2020-1 MTG PASS THRU CTF CL A1 2.71% 01-25-2060**157,734 
175

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
TOWD PT MTG TR 2020-2 ASSET BACKED NT CLA1A VAR RT 04-25-2060**209,176 
TOYO ENG CORP NPV**124,168 
TOYO SEIKAN GROUP HOLDINGS LTD**98,803 
TOYOTA AUTO RECEIVABLES 2022-B OWNER TR ASSET BACKED NT CL A-3 2.93% 09-15-2026**2,629,141 
TOYOTA AUTO RECEIVABLES OWNER TR SR 24-4 CL A3 4.83% 10-16-2028**3,118,098 
TOYOTA AUTO RECEIVABLES OWNER TRUST SER 23-C CL A3 5.16% DUE 04-17-2028**332,576 
TOYOTA AUTO RECEIVABLES OWNER TRUST SER 23-D CL A3 5.54% DUE 08-15-2028**1,942,058 
TOYOTA AUTO RECEIVABLES SER 23-A CL A4 4.42% 08-15-2028**897,282 
TOYOTA MOTOR CREDIT CORP 5.45% 11-10-2027**97,222 
TOYOTA MTR CR CORP 4.35% 10-08-2027**506,372 
TOYOTA MTR CR CORP 5.4% 11-20-2026**1,598,239 
TOYOTA MTR CR CORP MEDIUM TERM NTS BOOK 5.0% DUE 03-19-2027**1,575,897 
TP ICAP GROUP PLC ORD GBP0.25**530,239 
TPG OPER GROUP II LP 5.875% 03-05-2034**716,517 
TPG PARTNERS LLC CL A COM**1,612,851 
TRAINLINE PLC ORD GBP0.01**861,493 
TRANE TECHNOLOGIES PLC COM USD1**21,294,505 
TRANSUNION COM**18,497,685 
TRANSURBAN FIN CO 2.45% DUE 03-16-2031**147,668 
TRAVEL + LEISURE CO COM USD0.01**131,725 
TRAVELERS COS INC COM STK**29,288,129 
TRAVELSKY TECHNOLOGY CLS H CNY1**251,701 
TRAVERE THERAPEUTICS INC COM**844,435 
TRCNTNTL GAS PIPE 3.25% DUE 05-15-2030**1,754,185 
TRCNTNTL GAS PIPE 7.25% DUE 12-01-2026**1,525,960 
TREASURY CORP OF VICTORIA 2.25% 15/09/2033**499,611 
TREND MICRO INC NPV**3,573,444 
TREX CO INC COM**2,403,279 
TRI POINTE HOMES INC**1,063,796 
TRINET GROUP INC COM USD0.000025**3,580,150 
TRINITY HLTH CORP 3.434% DUE 12-01-2048**170,864 
TRIP COM GROUP LTD USD0.00125**1,849,137 
TRIPADVISOR INC COM USD0.001**729,505 
TRIPOD TECHNOLOGY TWD10**162,653 
TRITON CONTAINER INTL LTD / TAL GTD SR NT 3.25% 03-15-2032**419,092 
TRIUMPH FINANCIAL INC COM USD0.01**4,941,509 
TRIVENI TURBINE LTD**541,185 
TRUEBLUE INC COM STK**98,683 
TRUIST FINANCIAL CORPORATION 1.887%06-07-2029**1,050,978 
TRUIST FINANCIAL CORPORATION 5.435% 01-24-2030**2,137,408 
TRUIST FINANCIAL CORPORATION 7.161% 10-30-2029**229,961 
TRUIST FINL CORP 5.711% 01-24-2035**272,123 
TRUIST FINL CORP COM**5,426,871 
TRUIST FINL CORP SR 4.26% 07-28-2026**950,247 
TRUIST FINL CORP SR MED TERM NTS 5.122% 01-26-2034**345,024 
TRUIST FINL CORP SR MED TERM NTS BOOK EN6.047% 06-08-2027**8,712,069 
TRUIST FINL CORP VAR RT 1.267% DUE 03-02-2027**2,172,974 
TRUMP MEDIA & TECHNOLOGY GROUP CORP**85,864 
176

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Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
TRUPANION INC COM**2,023,484 
TRUSTEES OF 2.612% DUE 07-01-2026**967,692 
TRUSTPILOT GROUP P ORD GBP0.01**412,162 
TSMC ARIZ CORP 2.5% DUE 10-25-2031**2,157,878 
TSUBAKIMOTO CHAIN NPV**62,772 
TSUBURAYA FIELDS HOLDINGS INC NPV**143,458 
TSUKADA GLOBAL HOLDINGS INC. NPV**23,743 
TSY INFL IX N/B 1.75% 01-15-2034**17,232,063 
TSY INFL IX N/B TII 0 1/8 01/15/32 01-15-2032**7,897,350 
TSY INFL IX N/B TII 2 3/8 10/15/28 10-15-2028**6,278,931 
TUI AG ORD REG SHS NPV**1,315,204 
TULARE CNTY CALIF PENSION OBLIG 4.009% 06-01-2028 BEO TAXABLE**978,602 
TULARE CNTY CALIF PENSION OBLIG 4.109% 06-01-2029 BEO TAXABLE**2,219,837 
TURKEY(REP OF) 5.875% SNR 21/05/2030 EUR**108,670 
TURKIYE SIGORTA TRY1**121,727 
TUTOR PERINI CORP COM**365,251 
TUYA INC SPON ADS EACH REP 1 CL A ORD SHS**94,986 
TWILIO INC CL A CL A**2,308,913 
TX NAT GAS SECURITIZATION FIN CORP 5.169% 04-01-2041**590,871 
TXNM ENERGY INC COM NPV**345,518 
TXT E-SOLUTIONS SP EUR0.50**47,250 
TYLER TECHNOLOGIES INC COM STK**634,881 
TYRA BIOSCIENCES INC COM**91,740 
TYSON FOODS INC 4.875% DUE 08-15-2034**91,469 
TYSON FOODS INC 5.4% 03-15-2029**450,927 
TYSON FOODS INC CL A COM (DELAWARE)**770,270 
U S BANCORP 2.215% 01-27-2028**2,218,435 
U S BANCORP 5.775% 06-12-2029**5,002,348 
U S BANCORP MEDIUM TERM NTS- BOOK 5.384%01-23-2030**176,518 
U S BANCORP MEDIUM TERM NTS- BOOK 5.384%01-23-2030**1,004,637 
UBER TECHNOLOGIES INC 4.8% 09-15-2034**272,765 
UBER TECHNOLOGIES INC 5.35% 09-15-2054**404,511 
UBER TECHNOLOGIES INC COM USD0.00001**30,842,400 
UBER TECHNOLOGIES INC SR NT 4.3% 01-15-2030**2,771,629 
UBS (GREE ELECTRIC APPLIANCES I-A) P-NOTE 29/10/2025**398,289 
UBS (SHENZHEN ENVICOOL TECHNOLOGY CO LTD) P-NOTE 16/07/2025**1,719,258 
UBS AG (EASTROC BEVRAGE GRP CO) P-NOTE 22/08/2025**1,848,225 
UBS AG LONDON BRH 1.25% 06-01-2026**3,198,164 
UBS AG LONDON BRH 5.65% 09-11-2028**511,522 
UBS AG LONDON BRH 5.8% 09-11-2025**763,658 
UBS GROUP AG 0.65%-FRN SNR EMTN 14/01/2028 EUR100000**494,220 
UBS GROUP AG 2.125% 13/10/2026**411,657 
UBS GROUP AG 2.193% 06-05-2026**395,253 
UBS GROUP AG 4.703% DUE 08-05-2027**2,608,307 
UBS GROUP AG 6.442% 08-11-2028**1,550,172 
UBS GROUP AG 6.442% 08-11-2028**2,105,133 
UBS GROUP AG 7.75% 01/03/2029**2,360,692 
177

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
UBS GROUP AG FLTG RT 1.364% DUE 01-30-2027**519,297 
UBS GROUP AG FLTG RT 5.617% DUE 09-13-2030**609,473 
UBS GROUP AG SR NT 3.75% 03-26-2025**747,756 
UBS GROUP AG USD0.10 (REGD)**14,189,774 
UDEMY INC COM**234,555 
UDR INC 5.125% 09-01-2034**135,888 
UDR INC CORP 3.2% 01-15-2030**457,782 
UDR INC FIXED 1.9% DUE 03-15-2033**84,534 
UDR INC MEDIUM TERM NTS BOOK ENTRY 2.1% 08-01-2032**317,828 
UIPATH INC CL A CL A**2,576,762 
UK(GOVT OF) 4.375% BDS 31/07/54 GBP1000**2,883,401 
UK(GOVT OF) IDX/LKD GTD 22/03/2051 GBP**106,312 
UK(GOVT OF) IDX/LKD SNR 22/03/2068 GBP**10,192 
UK(GOVT OF) IDX/LKD SNR 22/11/2042 GBP**175,211 
UL SOLUTIONS INC CL A CL A**2,612,216 
ULKER BISKUVI SANA TRY1**67,567 
ULTRAGENYX PHARMACEUTICAL INC COM**1,378,129 
ULTRAPAR PARTICIPA COM NPV**1,049,991 
UMB FINL CORP COM STK**1,442,689 
UMICORE NPV**673,139 
UNDER ARMOUR INC CL C COM**23,857 
UNICAJA BANCO EUR0.25**174,051 
UNICREDIT SPA RCPT CL X 144A 1.982% 06-03-2027**239,293 
UNID CO LTD KRW5000**38,651 
UNIFI INC COM**12,731 
UNILUMIN GROUP CO LTD**82,068 
UNION ELEC CO 4.0% DUE 04-01-2048**272,161 
UNION ELECTRIC COMPANY 5.125% 03-15-2055**183,530 
UNION ELECTRIC COMPANY 5.25% 01-15-2054**196,099 
UNION PAC CORP 3.95% DUE 08-15-2059**247,606 
UNION PAC CORP COM**20,415,509 
UNIPOL ASSICURAZIONI SPA NPV**26,210 
UNISYS CORP COM NEW**135,677 
UNITE GROUP ORD GBP0.25**68,583 
UNITED AIR 2019-1 AA PTT 4.15% 08-25-2031**136,418 
UNITED AIRLINES 2019-1A 2.7% 11-01-2033**397,475 
UNITED AIRLINES INC 5.45% 08-15-2038**660,121 
UNITED AIRLS INC 2018-1B PASS THRU TR 4.6% 09-01-2027**98,924 
UNITED ARROWS LTD NPV**80,716 
UNITED ELECTRON CO SAR55**1,285,159 
UNITED FIRE GROUP INC COM USD0.001**36,985 
UNITED MEXICAN STATES 6.338% DUE 05-04-2053**622,871 
UNITED MEXICAN STATES 6.4% 05-07-2054**662,660 
UNITED MEXICAN STS 3.75% 01-11-2028**589,563 
UNITED MEXICAN STS 4.75% DUE 04-27-2032 REG**1,811,993 
UNITED MEXICAN STS BDS 2.659% DUE 05-24-2031/11-24-2020 REG**249,081 
UNITED MEXICAN STS GLOBAL NT 3.25% DUE 04-16-2030 REG**608,872 
UNITED PARCEL SVC INC 5.6% 05-22-2064**223,361 
178

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
UNITED PARCEL SVC INC CL B**2,426,921 
UNITED STATES OF AMER TBOND 2.625% 01-31-2026**199,409,094 
UNITED STATES OF AMER TREAS BOND 3.125% 11-15-2028**4,783,789 
UNITED STATES OF AMER TREAS BONDS 4.25% 05-15-2039**4,461,879 
UNITED STATES OF AMER TREAS BONDS 4.125% 08-15-2044**15,604,773 
UNITED STATES OF AMER TREAS BONDS 4.125% 08-15-2044**26,543,969 
UNITED STATES OF AMER TREAS BONDS 2.0% 08-15-2051**2,862,305 
UNITED STATES OF AMER TREAS BONDS 2.75 BDS DUE 08-15-2042 USD100'BONDS 08/42'**225,645 
UNITED STATES OF AMER TREAS BONDS 2.875% 05-15-2052**280,219 
UNITED STATES OF AMER TREAS BONDS 3% DUE08-15-2052**3,593,555 
UNITED STATES OF AMER TREAS BONDS 3.375% 05-15-2044**5,517,297 
UNITED STATES OF AMER TREAS BONDS 3.375%DUE 08-15-2042 REG**14,544,063 
UNITED STATES OF AMER TREAS BONDS 3.625%02-15-2053**4,069,336 
UNITED STATES OF AMER TREAS BONDS 4.0% 11-15-2042**6,665,492 
UNITED STATES OF AMER TREAS BONDS 4.0% 11-15-2042**46,658,445 
UNITED STATES OF AMER TREAS BONDS 4.25% 02-15-2054**27,780,375 
UNITED STATES OF AMER TREAS BONDS 4.375% 08-15-2043**6,499,207 
UNITED STATES OF AMER TREAS BONDS 4.5% 02-15-2044**20,160,391 
UNITED STATES OF AMER TREAS NOTES 2.25% 08-15-2027**20,244,152 
UNITED STATES OF AMER TREAS NOTES 4.5% DUE 11-15-2033**5,973,750 
UNITED STATES OF AMER TREAS NOTES .625% 07-31-2026**2,967,300 
UNITED STATES OF AMER TREAS NOTES .875% 09-30-2026**1,443,758 
UNITED STATES OF AMER TREAS NOTES 0.125%TIPS 10-15-2025**120,243 
UNITED STATES OF AMER TREAS NOTES 0.375% 11-30-2025**52,792,000 
UNITED STATES OF AMER TREAS NOTES 0.375%31/01/2026 .375% DUE 01-31-2026 BEO**150,520,337 
UNITED STATES OF AMER TREAS NOTES 1.125% 01-15-2033**14,563,619 
UNITED STATES OF AMER TREAS NOTES 1.125% 01-15-2033**4,006,458 
UNITED STATES OF AMER TREAS NOTES 1.125%NTS 08-31-2028 USD**7,375,160 
UNITED STATES OF AMER TREAS NOTES 1.875% 07-15-2034**12,977,571 
UNITED STATES OF AMER TREAS NOTES 2.875%DUE 05-15-2032 REG**3,592,344 
UNITED STATES OF AMER TREAS NOTES 3.25% DUE 06-30-2029**8,205,273 
UNITED STATES OF AMER TREAS NOTES 3.5% 03-31-2030**2,312,719 
UNITED STATES OF AMER TREAS NOTES 3.5% 04-30-2030**3,827,344 
UNITED STATES OF AMER TREAS NOTES 3.5% 09-30-2026**6,718,874 
UNITED STATES OF AMER TREAS NOTES 3.5% 04-30-2028**2,046,762 
UNITED STATES OF AMER TREAS NOTES 3.625 05-31-2028**3,911,875 
UNITED STATES OF AMER TREAS NOTES 3.625% 09-30-2031**24,382,012 
UNITED STATES OF AMER TREAS NOTES 3.75% 06-30-2030**5,610,141 
UNITED STATES OF AMER TREAS NOTES 3.75% 04-15-2026**3,582,046 
UNITED STATES OF AMER TREAS NOTES 3.75% 08-15-2027**233,963,438 
UNITED STATES OF AMER TREAS NOTES 3.875% 10-15-2027**154,203,988 
UNITED STATES OF AMER TREAS NOTES 3.875%12-31-2030**3,853,438 
UNITED STATES OF AMER TREAS NOTES 4.0% 02-28-2030**2,355,281 
UNITED STATES OF AMER TREAS NOTES 4.0% 02-29-2028**198,156 
UNITED STATES OF AMER TREAS NOTES 4.0% 06-30-2028**890,578 
UNITED STATES OF AMER TREAS NOTES 4.0% 01-31-2031**25,295,931 
UNITED STATES OF AMER TREAS NOTES 4.0% 02-15-2034**22,023,398 
UNITED STATES OF AMER TREAS NOTES 4.125% 03-31-2029**1,485,059 
179

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
UNITED STATES OF AMER TREAS NOTES 4.125% 03-31-2029**41,175,725 
UNITED STATES OF AMER TREAS NOTES 4.125% 11-15-2027**80,334,328 
UNITED STATES OF AMER TREAS NOTES 4.125% 11-30-2031**789,823 
UNITED STATES OF AMER TREAS NOTES 4.125%02-15-2027**56,989,266 
UNITED STATES OF AMER TREAS NOTES 4.125%07-31-2028**893,672 
UNITED STATES OF AMER TREAS NOTES 4.25% 08-31-2030**10,435,617 
UNITED STATES OF AMER TREAS NOTES 4.25% 08-31-2030**413,487 
UNITED STATES OF AMER TREAS NOTES 4.25% 11-15-2034**185,102 
UNITED STATES OF AMER TREAS NOTES 4.25% 12-31-2026**33,338,900 
UNITED STATES OF AMER TREAS NOTES 4.375% 05-15-2034**3,053,016 
UNITED STATES OF AMER TREAS NOTES 4.375%07-15-2027**2,506,152 
UNITED STATES OF AMER TREAS NOTES 4.375%07-15-2027**29,602,672 
UNITED STATES OF AMER TREAS NOTES 4.375%08-31-2028**42,007,877 
UNITED STATES OF AMER TREAS NOTES 4.375%12-15-2026**84,184 
UNITED STATES OF AMER TREAS NOTES 4.5% 04-15-2027**70,017,932 
UNITED STATES OF AMER TREAS NOTES 4.5% 05-15-2027**3,014,648 
UNITED STATES OF AMER TREAS NOTES 4.5% 05-15-2027**62,584,101 
UNITED STATES OF AMER TREAS NOTES 4.5% 12-31-2031**4,692,063 
UNITED STATES OF AMER TREAS NOTES 4.625%04-30-2029**5,400,574 
UNITED STATES OF AMER TREAS NOTES 4.625%06-30-2026**2,513,281 
UNITED STATES OF AMER TREAS NOTES 4.625%09-30-2028**2,119,359 
UNITED STATES OF AMER TREAS NOTES 4.625%09-30-2028**32,103,248 
UNITED STATES OF AMER TREAS NOTES 4.625%10-15-2026**43,964,590 
UNITED STATES OF AMER TREAS NOTES 4.875%DUE 10-31-2028**1,221,422 
UNITED STATES OF AMER TREAS NOTES DTD 05/31/2021 .75% 05-31-2026**64,385,840 
UNITED STATES OF AMER TREAS NOTES DTD 10/31/2022 4.125% 10-31-2027**4,979,688 
UNITED STATES OF AMER TREAS NOTES DTD 10/31/2022 4.125% 10-31-2027**8,824,006 
UNITED STATES OF AMER TREAS NOTES WIT 1 1/8 11/30/26 1.25% DUE 11-30-2026 BEO**207,977 
UNITED STATES TREAS 2.375% DUE 02-15-2042 REG**4,276,172 
UNITED STATES TREAS 4.625% 06-15-2027**21,370,521 
UNITED STATES TREAS BDS 1.375% 11-15-2040**15,554,156 
UNITED STATES TREAS BDS 2.875% DUE 11-15-2046**290,969 
UNITED STATES TREAS BDS 0 DEB 15/02/2040USD1000 4.625 DUE 02-15-2040REG**2,463,477 
UNITED STATES TREAS BDS 1.875% DUE 02-15-2041 REG**10,462,969 
UNITED STATES TREAS BDS 15/05/2042 3.25%DUE 05-15-2042 REG**13,354,469 
UNITED STATES TREAS BDS 2% 11-15-2041**672,227 
UNITED STATES TREAS BDS 2% 11-15-2041**225,196 
UNITED STATES TREAS BDS 2.0% 02-15-2052**3,036,719 
UNITED STATES TREAS BDS 2.25% 05-15-2041 REG**213,141 
UNITED STATES TREAS BDS 2.25% 05-15-2041 REG**31,814,791 
UNITED STATES TREAS BDS 2.25% 08-15-2049**248,063 
UNITED STATES TREAS BDS 2.25% DUE 05-15-2051 REG**3,149,609 
UNITED STATES TREAS BDS 2.875 DUE DUE 05-15-2043**7,810,297 
UNITED STATES TREAS BDS 3.0% DUE 08-15-2048**4,256,784 
UNITED STATES TREAS BDS 3.0% DUE 02-15-2048**293,828 
UNITED STATES TREAS BDS 3.625 DUE 02-15-2044 TBOND**1,689,375 
UNITED STATES TREAS BDS 3.625 DUE 08-15-2043**1,272,012 
UNITED STATES TREAS BDS 4.375% DUE 11-15-2039**959,336 
180

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
UNITED STATES TREAS BDS 4.625% 05-15-2044**1,539,163 
UNITED STATES TREAS BDS 4.625% 11-15-2044**9,123,875 
UNITED STATES TREAS BDS BD 3.125% DUE 02-15-2043 REG**1,004,342 
UNITED STATES TREAS BDS BDS 3% DUE 05-15-2042 REG**157,141 
UNITED STATES TREAS BDS DTD 3.125% 05-15-2048**1,125,176 
UNITED STATES TREAS BDS DTD 00271 1.125%DUE 08-15-2040**1,790,977 
UNITED STATES TREAS BDS DTD 00305 4.75% 05-15-2054**437,977 
UNITED STATES TREAS BDS DTD 02/15/2023 3.875% 02-15-2043**5,564,672 
UNITED STATES TREAS BDS DTD 11/15/2012 2.75% DUE 11-15-2042 REG**4,339,578 
UNITED STATES TREAS BDS DTD 11/15/2023 4.75% 11-15-2043**8,796,746 
UNITED STATES TREAS BDS DTD 2.75% 08-15-2047**8,732,313 
UNITED STATES TREAS BDS TBOND FIXED 3% 02-15-2049**346,101 
UNITED STATES TREAS BDS TBOND FIXED 3% 02-15-2049**17,195,734 
UNITED STATES TREAS BDS TREASURY BOND 2.375% DUE 11-15-2049 REG**1,082,023 
UNITED STATES TREAS BDS WIT 1 7/8 08/15/41 1.75% DUE 08-15-2041 REG**2,269,121 
UNITED STATES TREAS BDS WIT 1 7/8 08/15/41 1.75% DUE 08-15-2041 REG**41,686,996 
UNITED STATES TREAS INFL NTS 0.375% DTD 07/15/2015 07-15-2025**1,786,051 
UNITED STATES TREAS INFL INDEX NTS 0.5% 01-15-2028**5,235,504 
UNITED STATES TREAS NTS 2.875% 08-15-2028**1,236,473 
UNITED STATES TREAS NTS .125% DUE 04-15-2025 REG**1,760,985 
UNITED STATES TREAS NTS .125% DUE 07-15-2030**2,219,403 
UNITED STATES TREAS NTS .625% DUE 07-15-2032 REG**8,642,460 
UNITED STATES TREAS NTS 1.5% DUE 11-30-2028 BEO**7,722,867 
UNITED STATES TREAS NTS 1.5% DUE 11-30-2028 BEO**28,498,278 
UNITED STATES TREAS NTS 1.875% DUE 02-15-2032 REG**32,002,131 
UNITED STATES TREAS NTS 2.375% 03-31-2029**13,841,602 
UNITED STATES TREAS NTS 2.75% 04-30-2025**1,736,861 
UNITED STATES TREAS NTS 3.5% 09-30-2029**44,370,683 
UNITED STATES TREAS NTS 3.75% 12-31-2028**97,742 
UNITED STATES TREAS NTS 3.875% 09-30-2029**21,518,750 
UNITED STATES TREAS NTS 30/04/2028 1.25%DUE 04-30-2028 BEO**1,177,566 
UNITED STATES TREAS NTS 4.0% 12-15-2027**246,507,992 
UNITED STATES TREAS NTS 4.0% 08-31-2026**5,952,188 
UNITED STATES TREAS NTS 4.25% 06-30-2029**27,344,238 
UNITED STATES TREAS NTS 4.25% 12-31-2025**77,033,652 
UNITED STATES TREAS NTS 4.25% 11-30-2026**12,256,948 
UNITED STATES TREAS NTS 4.375% 08-15-2026**95,015,425 
UNITED STATES TREAS NTS 4.375% 07-31-2026**104,537,155 
UNITED STATES TREAS NTS 4.375% 11-30-2030**6,774,500 
UNITED STATES TREAS NTS 4.625% 11-15-2026**129,851,574 
UNITED STATES TREAS NTS 4.625% 09-15-2026**94,544,394 
UNITED STATES TREAS NTS 4.875% 10-31-2030**3,474,641 
UNITED STATES TREAS NTS DTD 4.625% 05-31-2031**3,024,375 
UNITED STATES TREAS NTS DTD 4.625% 05-31-2031**13,700,419 
UNITED STATES TREAS NTS DTD 02/15/2023 3.5% 02-15-2033**279,105 
UNITED STATES TREAS NTS DTD 02/15/2023 3.5% 02-15-2033**2,074,684 
UNITED STATES TREAS NTS DTD 04/30/2022 2.875% 04-30-2029**5,646,797 
UNITED STATES TREAS NTS DTD 04-28-2023 1.25% DUE 04-15-2028**18,249,546 
181

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
UNITED STATES TREAS NTS DTD 05/31/2023 3.75% 05-31-2030**5,225,977 
UNITED STATES TREAS NTS DTD 06/30/2021 1.25% 06-30-2028**2,702,695 
UNITED STATES TREAS NTS DTD 07/15/2023 4.5% 07-15-2026**70,128,402 
UNITED STATES TREAS NTS DTD 09/30/2021 1.25% 09-30-2028**1,161,672 
UNITED STATES TREAS NTS DTD 09/30/2023 4.625% 09-30-2030**3,431,211 
UNITED STATES TREAS NTS DTD 10/31/2022 4% 10-31-2029**3,932,188 
UNITED STATES TREAS NTS DTD 3.875% 11-30-2029**46,564,378 
UNITED STATES TREAS NTS WIT 0 3/4 04/30/26 .75% DUE 04-30-2026 BEO**65,501,937 
UNITED STATES TREAS SEC STRIP DISC NT 02-15-2049**199,811 
UNITED STATES TREAS SEC STRIPPED 11-15-2048**69,680 
UNITED STATES TREAS SEC STRIPPED INT PMT00005 05-15-2038 (UNDDATE) REG**836,961 
UNITED STATES TREAS SEC STRIPPED INT PMT00122 02-15-2040 (UNDDATE) REG**1,149,879 
UNITED STATES TREAS SEC STRIPPED INT PMT00521 05-15-2029 (UNDDATE) REG**2,465,905 
UNITED STATES TREAS SEC STRIPPED INT PMT00765 02-15-2038 (UNDDATE) REG**736,694 
UNITED STATES TREAS SEC STRIPPED INT PMT00835 08-15-2032 (UNDDATE) BEO**6,644,183 
UNITED STATES TREAS SEC STRIPPED INT PMT00839 08-15-2034 (UNDDATE) REG**3,166,155 
UNITED STATES TREAS SEC STRIPPED INT PMT00882 05-15-2031**2,973,614 
UNITED STATES TREAS SEC STRIPPED INT PMT00888 05-15-2034 (UNDDATE) REG**1,077,270 
UNITED STATES TREAS SEC STRIPPED INT PMTINT PMT 05-15-2041**2,184,566 
UNITED STATES TREAS SEC STRIPPED INT PMTINT PMT 05-15-2041**362,638 
UNITED STATES TREAS SEC STRIPPED INT PMTINT PMT 05-15-2042 (UNDDATE) REG**132,931 
UNITED STATES TREAS SEC STRIPPED INT PMTINT PMT 08-15-2041 (UNDDATE) REG**8,607 
UNITED STATES TREAS SEC STRIPPED INT PMTINT PMT 08-15-2041 (UNDDATE) REG**1,852,615 
UNITED STATES TREAS SEC STRIPPED INT PMTNT 194 08-15-2040 (UNDDATE) REG**2,402,436 
UNITED STATES TREASURY 2.25% 11-15-2027**2,836,055 
UNITED STS STL CORP NEW COM**424,569 
UNITED STS TREAS 0.375% 12-31-2025**41,983,053 
UNITED STS TREAS NTS 0.125% 07-15-2031**725,749 
UNITED STS TREAS NTS .5% DUE 02-28-2026 REG**16,167,041 
UNITED STS TREAS NTS .875% 06-30-2026**3,234,914 
UNITED STS TREAS NTS 1.25% 03-31-2028**2,724,258 
UNITED STS TREAS NTS DTD .875% 11-15-2030**3,272,344 
UNITED THERAPEUTICS CORP DEL COM STK**1,934,975 
UNITED URBAN INVES REIT**745,391 
UNITEDHEALTH GROUP 3.875% DUE 08-15-2059**113,410 
UNITEDHEALTH GROUP 5.875% DUE 02-15-2053**938,841 
UNITEDHEALTH GROUP 6.05% DUE 02-15-2063**204,494 
UNITEDHEALTH GROUP FIXED 2.95% DUE 10-15-2027**1,095,987 
UNITEDHEALTH GROUP INC 2.0% 05-15-2030**129,327 
UNITEDHEALTH GROUP INC 2.3% DUE 05-15-2031 BEO**127,618 
UNITEDHEALTH GROUP INC 3.05% DUE 05-15-2041 BEO**600,517 
UNITEDHEALTH GROUP INC 4.45% DUE 12-15-2048 REG**24,736 
UNITEDHEALTH GROUP INC 4.5% 04-15-2033**7,129,243 
UNITEDHEALTH GROUP INC 4.75% 07-15-2026**949,962 
UNITEDHEALTH GROUP INC 4.8% 01-15-2030**2,848,503 
UNITEDHEALTH GROUP INC 5.778% 07-15-2044**359,577 
UNITEDHEALTH GROUP INC COM**49,916,747 
UNITEDHEALTH GROUP INC SR NT 4.25% 01-15-2029**9,195,956 
182

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
UNITY SOFTWARE INC COM**1,650,040 
UNIV CALIF REGTS MED CTR POOLED REV 3.256% 05-15-2060 BEO TAXABLE**193,456 
UNIV CALIF REGTS MED CTR POOLED REV 4.132% DUE 05-15-2032 REG**1,750,467 
UNIVERSAL DISPLAY CORP COM**764,918 
UNIVERSAL ELECTRS INC COM**9,416 
UNIVERSAL INS HLDGS INC COM**184,022 
UNIVERSAL MICROWAV TWD10**400,189 
UNIVERSAL SCIENTIFIC IND 'A'CNY1 (STOCK CONNECT)**1,923,664 
UNUM GROUP**1,082,378 
UNVL HEALTH SERVICES INC CL B COM**511,168 
UPLAND SOFTWARE INC COM**5,208 
US BANCORP**24,715,483 
US BANCORP 5.678% 01-23-2035**186,689 
US FOODS HLDG CORP COM**5,133,031 
US TREAS BDS DTD 02-15-2011 4.75% DUE 02-15-2041 REG**239,109 
US TREAS SEC 0 DUE 11-15-2041**8,518 
US TREAS SEC 0 DUE 11-15-2041**664,397 
US TREAS SEC 4.5 DUE 08-15-2039 REG**1,558,813 
US TREAS SEC STRIPPED INT PMT 0 STRIP 15/11/2028 USD1000 11-15-2028 REG**1,682,203 
US TREAS SEC STRIPPED INT PMT GENERIC TINT PMT 08-15-2028 REG**4,254,433 
US TREAS SEC STRIPPED INT PMT NT 200 0 11-15-2040 REG**1,648,244 
US TREAS SEC STRIPPED INT PMT NT 200 0 11-15-2040 REG**208,837 
US TREAS SEC STRIPPED INT PMT ZCP NT 2060 2-15-2041 REG**1,042,381 
US TREAS SEC STRIPPED INT PMT ZCP NT 2060 2-15-2041 REG**959,057 
US TREASURY N/B 2% DUE 02-15-2050 REG**2,908,398 
US TREASURY N/B 3.375% 05-15-2033**3,676,250 
US TREASURY N/B 3.625% 08-31-2029**48,406 
US TREASURY N/B 3.625% 09-15-2027**76,853,561 
US TREASURY N/B 3.875% 08-15-2034**6,620,469 
US TREASURY N/B 3.875% 08-15-2034**1,286,263 
US TREASURY N/B 4.125% 11-30-2029**4,045,006 
US TREASURY N/B 4.25% 08-15-2054**1,514,066 
US TREASURY N/B 4.25% 08-15-2054**4,418,695 
USANA HEALTH SCIENCES INC CDT-SHS**111,259 
USD INTEREST BEARING DEPOSIT**44,986,919 
USS CO LTD NPV**1,422,036 
UTD AIRLS INC 3.5% DUE 09-01-2031**135,897 
UTD AIRLS INC 3.7% DUE 09-01-2031**453,375 
UTD AIRLS PASS 3.1% DUE 01-07-2030**298,828 
UTD AIRLS PASS 3.1% DUE 01-07-2030**2,590,842 
UTD MEXICAN STS TRANCHE # TR 00026 4.75 DUE 03-08-2044**379,380 
UTD STATES TREAS 2.75% DUE 07-31-2027**12,846,003 
UTD STATES TREAS 4.375% DUE 12-31-2029**7,514,301 
UTD STATES TREAS SEC STRIPPED INT GENERIC TINT PMT 0% 02-15-2050**75,957 
UTD STATES TREAS SEC STRIPPED INT GENERIC TINT PMT 0% 05-15-2050**433,881 
UTD STATES TREAS ZERO CPN 0% DUE 02-15-2030**3,961,904 
UTD STATES TREAS ZERO CPN 0% DUE 02-15-2042**473,252 
UTD STATES TREAS ZERO CPN 0% DUE 02-15-2051**828,051 
183

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
UTD STATES TREAS ZERO CPN 0% DUE 05-15-2044**341,093 
UTD STATES TREAS ZERO CPN 0% DUE 08-15-2042**36,951 
UTD STATES TREAS ZERO CPN 0% DUE 08-15-2042**3,140,867 
UTD STATES TREAS ZERO CPN 0% DUE 11-15-2042**8,095 
UTD STATES TREAS ZERO CPN 0% DUE 11-15-2042**182,148 
UTD STATES TREAS ZERO CPN 0% DUE 11-15-2043**3,475,111 
UTD TRACTORS IDR250**2,072,130 
UTI ASSET MANAG.CO INR10**30,265 
UWM MTG TR 2.5% DUE 12-25-2051**1,297,993 
UWM MTG TR FLTG RT 3% DUE 01-25-2052**1,376,220 
UWM MTG TR FLTG RT 5% DUE 11-25-2051**2,025,441 
V F CORP COM**558,218 
V2X INC COM USD0.01**281,527 
VA ELEC & PWR CO 4.45 02-15-2044**99,511 
VA ELEC & PWR CO 3.8% DUE 04-01-2028**159,910 
VA TECH WABAG LTD**94,655 
VALARIS LTD COM USD0.40**326,978 
VALE OVERSEAS LTD 6.4% 06-28-2054**117,990 
VALEO SE EUR1**225,694 
VALERO ENERGY CORP COM STK NEW**2,565,686 
VALERO ENERGY CORP NEW 2.8% 12-01-2031**3,311,584 
VALHI INC NEW COM NEW COM NEW**37,611 
VALOR HOLDINGS NPV**44,632 
VALUECOMMERCE CO.L NPV**95,032 
VAN LANSCHOT KEMPE CVA REP CLASS 'A' NPV**1,285,507 
VAR ENERGI ASA SR NT 144A 5% 05-18-2027**6,417,177 
VAREX IMAGING CORP COM**248,584 
VARONIS SYS INC COM**2,839,743 
VAULT MINERALS LIMITED NPV**195,472 
VAXCYTE INC COM**1,559,351 
VECTOR INC COM STK**230,067 
VEEVA SYS INC CL A COM CL A COM**12,526,695 
VENTAS REALTY LP 5.0% 01-15-2035**669,230 
VENTAS REALTY LP 5.0% 01-15-2035**2,724,722 
VENTAS RLTY LTD PARTNERSHIP 3.0% 01-15-2030 REG**1,444,978 
VENTURE 37 CLO LTD / VENTURE 37 CLO 0% 07-15-2032**2,194,321 
VERACYTE INC COM**552,460 
VERALTO CORP SR NT 5.5% 09-18-2026**1,338,309 
VERICEL CORP COM**585,505 
VERIZON 2.65% DUE 11-20-2040**290,937 
VERIZON 2.65% DUE 11-20-2040**1,108,985 
VERIZON 3.85% DUE 11-01-2042**47,263 
VERIZON 3.875% DUE 02-08-2029**1,626,058 
VERIZON 4% DUE 03-22-2050**281,258 
VERIZON COMMUNICATIONS COM**3,061,514 
VERIZON COMMUNICATIONS INC 1.68% 10-30-2030 USD**332,823 
VERIZON COMMUNICATIONS INC 2.875% DUE 11-20-2050 BEO**738,409 
VERIZON COMMUNICATIONS INC 3.15% DUE 03-22-2030**1,308,188 
184

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
VERIZON COMMUNICATIONS INC NT 2.355% 03-15-2032**3,135,499 
VERIZON FIXED 2.55% DUE 03-21-2031**1,064,235 
VERIZON FIXED 4.016% DUE 12-03-2029**6,236,391 
VERIZON MASTER TR 4.17% 08-20-2030**7,922,211 
VERIZON MASTER TR SER 23-7 CL A1A 0.0567% 11-20-2029**5,100,887 
VEROS AUTO 7.12% DUE 11-15-2028**176,400 
VERTEX PHARMACEUTICALS INC COM**20,882,009 
VERTIV HOLDINGS LLC COM USD0.0001**6,225,374 
VERUS SECURITIZATION TR 2021-3 MTG BACKED NT CL A-3 144A 1.437% 06-25-2066**1,878,054 
VERVE THERAPEUTICS INC COM**190,406 
VESTAS WIND SYSTEM DKK0.20**1,816,338 
VESTEL BEYAZ ESYA TRY1**52,253 
VESTEL ELECTRONIK TRY1**21,539 
VESTIS CORP COM**884,789 
VGP NV NPV**31,053 
VIA TECHNOLOGIES TWD10**36,786 
VIATRIS INC SR NT 2.7% 06-22-2030**2,933,126 
VIATRIS INC SR NT 3.85% 06-22-2040**821,038 
VIAVI SOLUTIONS INC COM NPV**1,133,473 
VIBRA ENERGIA S.A. COM NPV**678,907 
VICAT SA EUR4**62,467 
VICI PPTYS LP 4.95% DUE 02-15-2030 BEO**1,970,813 
VICI PROPERTIES LP 4.75% 02-15-2028**6,375,680 
VICI PROPERTIES LP 5.125% 11-15-2031**293,350 
VICI PROPERTIES LP NEW ISSUE 3YR 4.375% 05-15-2025**7,244,248 
VICTORIAS SECRET & CO COM**968,275 
VIENNA INS GRP AG NPV (BR)**370,812 
VIJAYA DIAGNOSTIC INR1**189,042 
VIKING HOLDINGS LTD**2,703,081 
VIKING THERAPEUTICS INC COM**470,084 
VIMEO INC COM**469,203 
VIRGINIA ELEC & PWR CO 5.0% 01-15-2034**778,264 
VIRGINIA ELEC & PWR CO 5.55% 08-15-2054**319,476 
VIRGINIA PWR FUEL SECURITIZATION LLC 4.877% 05-01-2033**1,074,132 
VIRGINIA PWR FUEL SECURITIZATION LLC 4.877% 05-01-2033**9,991,922 
VIRGINIA PWR FUEL SECURITIZATION LLC 5.088% 05-01-2029**721,492 
VISA INC COM CL A STK**37,204,876 
VISHAY INTERTECHNOLOGY INC COM STK**6,439,910 
VISTEON CORP COM NEW COM NEW**459,924 
VITAL FARMS INC COM**233,942 
VIVA ENERGY GROUP NPV**818,305 
V-MART RETAIL LTD INR10(FOREIGN PREMIUM)**7,908 
VMED O2 UK FING I 5.625% SNR SEC 15/04/32 EUR**739,821 
VMWARE INC 1.4% 08-15-2026**236,820 
VMWARE INC 1.4% 08-15-2026**6,491,717 
VMWARE INC 3.9% 08-21-2027**8,406,276 
VMWARE LLC SR NT 1.8% 08-15-2028**116,621 
VODAFONE GROUP PLC 5.625% DUE 02-10-2053**190,476 
185

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
VODAFONE GROUP PLC 5.75% 06-28-2054**1,351,587 
VODAFONE QATAR QAR1**140,144 
VOLKSWAGEN AUTO 5.8% DUE 04-20-2028**2,227,747 
VOLKSWAGEN AUTO LN 5.48% DUE 12-20-2028**6,929,979 
VOLKSWAGEN AUTO LN ENHANCED TR 2023-1 SER 23-1 CL A2A 5.5% 12-21-2026**731,566 
VOLKSWAGEN AUTO LOAN ENHANCED TRUST SER 23-1 CL A3 5.02% 06-20-2028**2,348,455 
VOLKSWAGEN GROUP 4.35% DUE 06-08-2027**2,708,654 
VOLKSWAGEN GROUP 5.25% DUE 03-22-2029**1,661,418 
VOLUTION GRP PLC ORD GBP0.01**692,886 
VOLVO AB SER'B'NPV**295,918 
VOLVO CAR AB SER'B'NPV**382,497 
VOSSLOH AG ORD NPV**135,830 
VSTRONG AUTO 6.87% DUE 11-15-2027**2,424,470 
VTEX COM USD0.0001 CL A**280,099 
VULCAN MATERIALS CO 4.95% 12-01-2029**1,625,419 
VULCAN MATERIALS CO COM**18,316,834 
W & T OFFSHORE INC COM**113,212 
W P CAREY INC 2.25% DUE 04-01-2033**669,877 
W P CAREY INC 2.4% DUE 02-01-2031**76,508 
W VA UNIV HLTH SYS 3.129% DUE 06-01-2050**264,010 
WABTEC CORP COM**307,894 
WACOM CO LTD NPV**597,812 
WALMART INC 4.5% DUE 04-15-2053**583,936 
WALMART INC COM**27,268,624 
WALT DISNEY CO**14,593,086 
WAN HAI LINES TWD10**2,547,563 
WARBA BANK K.S.C.P KWD0.1**19,178 
WARNER BROS DISCOVERY INC**8,766,758 
WARNER MUSIC GROUP CORP CL A CL A**6,859,680 
WARNERMEDIA HLDGS INC 5.141% 03-15-2052**597,230 
WARNERMEDIA HLDGS INC SR NT 3.755% 03-15-2027**6,529,805 
WARTSILA EUR3.50**1,711,271 
WASION HOLDINGS LTD**378,164 
WASTE CONNECTIONS INC 5.0% 03-01-2034**2,490,418 
WASTE MGMT INC DEL 4.95% 07-03-2027**783,155 
WASTE MGMT INC DEL COM STK**4,835,897 
WASU MEDIA HOLDING CO LTD(STOCK CONNECT)**163,095 
WEATHERFORD INTL LTD COMMON STOCK**285,517 
WEAVE COMMUNICATIONS INC COM**233,037 
WEBLINK INTERNATIO TWD10**71,256 
WEC ENERGY GROUP 5.15% DUE 10-01-2027**1,451,895 
WEC ENERGY GROUP INC 4.75% DUE 01-09-2026**5,150,536 
WEC ENERGY GROUP INC 5.0% DUE 09-27-2025BEO**155,266 
WEILONG DELICIOUS HKD**126,798 
WELL SHIN TECHNOLO TWD10**30,112 
WELLS FARGO & CO 2.572% 02-11-2031**2,945,691 
WELLS FARGO & CO 2.879% 10-30-2030**1,368,060 
WELLS FARGO & CO 3% DUE 10-23-2026**242,395 
186

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
WELLS FARGO & CO 3% DUE 10-23-2026**3,422,624 
WELLS FARGO & CO 3.068% 04-30-2041**437,129 
WELLS FARGO & CO 4.1% DUE 06-03-2026**348,218 
WELLS FARGO & CO 4.4% DUE 06-14-2046**96,469 
WELLS FARGO & CO 4.478% 04-04-2031**116,198 
WELLS FARGO & CO 4.611% 04-25-2053**184,230 
WELLS FARGO & CO 4.808% 07-25-2028**4,847,492 
WELLS FARGO & CO 4.9% DUE 11-17-2045**321,047 
WELLS FARGO & CO 5.606% DUE 01-15-2044**335,214 
WELLS FARGO & CO MEDIUM TERM 5.013% 04-04-2051**613,356 
WELLS FARGO & CO MEDIUM TERM SR NTS 6.491% 10-23-2034**595,004 
WELLS FARGO & CO MEDIUM TERM SR NTS 2.188% 04-30-2026**1,050,423 
WELLS FARGO & CO MEDIUM TERM SR NTS BOOK3.526% 03-24-2028**707,925 
WELLS FARGO & CO MEDIUM TERM SR NTS BOOKENTRY 3.35% 03-02-2033**280,591 
WELLS FARGO & CO MEDIUM TERM SR NTS BOOKENTRY 3.35% 03-02-2033**26,305 
WELLS FARGO & CO NEW COM STK**53,035,906 
WELLS FARGO & CO NEW MEDIUM TERM SR NTS TRANCHE # TR 00155 4.3% DUE 07-22-2027**3,243,672 
WELLS FARGO & COMPANY 2.164% 02-11-2026**7,655,503 
WELLS FARGO & COMPANY 3.584% 05-22-2028**2,582,741 
WELLS FARGO & COMPANY 4.54% 08-15-2026**1,773,436 
WELLS FARGO & COMPANY 4.897% 07-25-2033**4,828,069 
WELLS FARGO & COMPANY 5.198% 01-23-2030**1,012,244 
WELLS FARGO & COMPANY 5.389% 04-24-2034**1,978,224 
WELLS FARGO & COMPANY 5.389% 04-24-2034**2,705,222 
WELLS FARGO & COMPANY 5.499% 01-23-2035**2,363,237 
WELLS FARGO & COMPANY 5.499% 01-23-2035**14,957,199 
WELLS FARGO & COMPANY 5.557% 07-25-2034**2,016,897 
WELLS FARGO & COMPANY 5.557% 07-25-2034**19,969 
WELLS FARGO & COMPANY 5.574% 07-25-2029**9,691,304 
WELLS FARGO & COMPANY 5.707% 04-22-2028**6,145,236 
WELLS FARGO & COMPANY 6.303% 10-23-2029**312,176 
WELLS FARGO & COMPANY 6.303% 10-23-2029**9,802,312 
WELLS FARGO AND COMPANY 5.211% 12-03-2035**749,358 
WELLS FARGO BK N A 5.45% DUE 08-07-2026**1,011,971 
WELLS FARGO BK N A 5.45% DUE 08-07-2026**1,299,371 
WELLS FARGO COML 2.788% DUE 07-15-2048**632,294 
WELLS FARGO COML 3.247% DUE 07-15-2058**5,180,297 
WELLS FARGO COML 3.426% DUE 03-15-2059**2,679,166 
WELLS FARGO COML 3.656% DUE 12-15-2048**1,341,424 
WELLS FARGO COML 3.783% DUE 02-15-2048**895,480 
WELLS FARGO COML 3.789% DUE 09-15-2048**2,809,224 
WELLS FARGO COML 3.862% DUE 12-15-2039**1,768,991 
WELLS FARGO COML 5.309% DUE 08-15-2057**1,124,500 
WELLS FARGO COML 5.92% DUE 11-15-2057**6,695,957 
WELLS FARGO COML FLTG RT 3.7487% DUE 06-15-2036**1,603,977 
WELLS FARGO COML MTG TR 2016-C36 SR 16-C36 CL A3 2.807% 11-15-2059**816,216 
WELLS FARGO COML MTG TR 2017-C40 SR 17-C40 CL A2 2.495% 10-15-2050**497,163 
WELLS FARGO COML MTG TR 2017-C40 CL A-SB 3.395% 10-15-2050 10-15-2050**1,504,091 
187

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
WELLS FARGO COML MTG TR 2017-C41 CL A-SB 3.39% 11-15-2050**3,426,784 
WELLS FARGO COML MTG TR 2021-C59 COML MTG PASSTHRU CTF CL 1.354% 04-15-2054**3,642,406 
WELLS FARGO COML MTG TR 2021-C59 COML MTG PASSTHRU CTF CL 2.298% 04-15-2054**1,567,319 
WELLS FARGO COML MTG TR 2022-C62 COML MTG PASS THRU CTF CL 3.589% 04-15-2055**8,326,473 
WELLS FARGO COML SER 2018-C44 CL ASB 4.167% 05-15-2051**2,680,047 
WELLTOWER INC 4% DUE 06-01-2025**99,630 
WELLTOWER INC 2.7% DUE 02-15-2027**1,479,795 
WELLTOWER INC 3.1% DUE 01-15-2030**227,634 
WERNER ENTERPRISES INC COM**8,078,516 
WESCO INTL INC COM**5,240,964 
WESDOME GOLD MIN L COM NPV**549,362 
WEST PHARMACEUTICAL SVCS INC COM**12,750,113 
WESTAR ENERGY INC 3.1% DUE 04-01-2027**174,024 
WESTAR ENERGY INC FIXED 3.25% 09-01-2049**99,648 
WESTERN ALLIANCE BANCORPORATION COM**6,998,647 
WESTERN MIDSTREAM OPERATING LP 5.25% 02-01-2050**239,734 
WESTERN UN CO FIXED 1.35% DUE 03-15-2026**1,720,806 
WESTGOLD RESOURCES NPV**208,897 
WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP 4.7% 09-15-2028**3,599,748 
WESTINGHOUSE AIR FIXED 3.45% DUE 11-15-2026**4,563,456 
WESTLAKE 4.72% DUE 11-15-2029**2,993,641 
WESTLAKE 5.82% DUE 05-17-2027**2,013,975 
WESTLAKE 6.68% DUE 04-17-2028**1,427,161 
WESTLAKE 7.01% DUE 11-15-2028**1,027,307 
WESTN GAS PARTNERS 4.65% DUE 07-01-2026**2,864,870 
WESTPAC BKG CORP 4.184% DUE 05-22-2028**6,153,631 
WESTPAC BKG CORP 4.322% DUE 11-23-2031**285,465 
WESTPAC BKG FIXED 2.668% DUE 11-15-2035**425,438 
WESTPAC NEW 4.902% DUE 02-15-2028**4,990,203 
WESTROCK CO CORP BOND 3.75% 03-15-2025**3,306,222 
WEX INC COM**2,180,104 
WEYERHAEUSER CO FIXED 4% DUE 04-15-2030**4,548,040 
WEYERHAEUSER CO SR NT 4% 03-09-2052**754,685 
WF CARD ISSUANCE 4.94% DUE 02-15-2029**4,704,959 
WHIRLPOOL OF INDIA INR10**60,053 
WHITE MOUNTAINS INSURANCE GROUP COM STOCK**3,147,107 
WHITEBOX CLO IV LTD / WHITEBOX CLO 6.44317% 04-20-2036**2,313,532 
WI TREASURY N/B 28/02/2029 1.875% 02-28-2029**3,622,344 
WI TREASURY SEC 3% DUE 05-15-2045 REG**461,432 
WI TREASURY SEC 3.375% DUE 11-15-2048 REG**649,183 
WI TREASURY SEC 3.875% 05-15-2043**8,810,547 
WILEY JOHN & SONS INC CL A**353,789 
WILH WILHEL. HLDG SER'A'NOK20**423,405 
WILL GROUP INC NPV**32,743 
WILLIAMS CO INC COM**2,533,087 
WILLIAMS COMPANIES INC 2.6% 03-15-2031**8,616 
WILLIAMS COMPANIES INC 5.15% 03-15-2034**875,086 
WILLIAMS COMPANIES INC 5.15% 03-15-2034**2,839,168 
188

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
WILLIAMS COMPANIES INC 5.4% DUE 03-02-2026**4,701,849 
WILLIAMS COS INC 5.8% 11-15-2054**685,732 
WILLIAMS PARTNERS 3.75% DUE 06-15-2027**2,081,372 
WILLIAMS PARTNERS 4.9% DUE 01-15-2045**393,386 
WILLIAMS PARTNERS 5.1% DUE 09-15-2045**610,787 
WILLIAMS PARTNERS 5.4% DUE 03-04-2044**234,424 
WILLIAMS PARTNERS FIXED 4.85% DUE 03-01-2048**255,812 
WILLSCOT HOLDINGS CORPORATION COM**5,428,935 
WIND RIVER CLO LTD WINDR 2018-2A A2R FLTG 0% 07-15-2030**1,677,828 
WINGARC1ST INC NPV**1,270,400 
WINGSTOP INC COM**5,156,241 
WINNEBAGO INDS INC COM**6,876,975 
WINPAK LTD COM NPV**147,750 
WINWAY TECH CO LTD TWD10**34,925 
WIWYNN CORPORATION TWD10**879,074 
WIX.COM LTD COM ILS0.01**10,844,859 
WK KELLOGG CO COM**339,381 
WOLTERS KLUWER EUR0.12**15,061,589 
WOLVERINE WORLD WIDE INC COM**703,718 
WONIK MATERIALS CO LTD SHS**64,503 
WOODSIDE FIN LTD 5.1% 09-12-2034**4,565,154 
WOODWARD INC COM**10,564,009 
WOORI FINANCIAL GR KRW5000**901,183 
WORKDAY INC CL A COM USD0.001**531,550 
WORKDAY INC SR NT 3.5% 04-01-2027**3,007,862 
WORKDAY INC SR NT 3.8% 04-01-2032**2,968,407 
WORKIVA INC COM CL A COM CL A**10,902,477 
WORKSPACE GROUP ORD GBP1**38,126 
WORLD FINL NETWORK CR CARD MASTER SER 2023-A AST BACKED NT CL 5.02% 03-15-2030**1,040,452 
WORLD FINL NETWORK CR SR 24-A CL A 5.47 5.47% 5.47% 02-17-2031**9,131,719 
WORLD KINECT CORPORATION COM USD0.01**799,413 
WORLD OMNI AUTO RECEIVABLES SER 22-B CL A3 3.25% 07-15-2027**811,651 
WORLD OMNI AUTO RECEIVABLES TR SR 24-B CL A3 5.27% 09-17-2029**5,569,199 
WORLD OMNI AUTO RECEIVABLES TRUST SER 23-C CL A3 5.15% DUE 11-15-2028**9,567,574 
WORLD OMNI AUTOMOBILE LEASE SECURITIZATISR 23-A CL A-3 5.07% DUE 09-15-2026**455,793 
WORLDWIDE PLAZA TR 3.5263% DUE 11-10-2036 BEO**1,245,653 
WORTHINGTON STL INC COMMON STOCK**321,318 
WOWOW INC NPV**21,634 
WOWPRIME CORP TWD10**21,641 
WP CAREY INC 2.45% 02-01-2032**1,899,869 
WRKCO INC 3% DUE 06-15-2033**209,991 
WRKCO INC 3.9% DUE 06-01-2028**48,254 
WYETH NT 5.95 DUE 04-01-2037/03-27-2007 BEO**522,139 
XCEL ENERGY INC COM**10,518,603 
XD INC COM**217,571 
XEBIO HOLDINGS CO NPV**76,365 
XENCOR INC COM**27,576 
XENIA HOTELS & RESORTS INC COM**608,472 
189

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
XERO LIMITED NPV**676,174 
XIAMEN COMFORT SCI 'A'CNY1**663,758 
XIAMEN JIHONG TECH 'A'CNY1**779,298 
XOMETRY INC CL A COM CL A COM**3,014,612 
XPERI INC COM**192,830 
XPO INC COM**3,746,037 
XTB SA PLN0.05**4,060,365 
XTEP INTERNATIONAL HKD0.01**341,974 
YALE UNIV FIXED .873% DUE 04-15-2025**16,523,164 
YAMABIKO CORPO NPV**92,916 
YAMADA HOLDINGS CO LTD**1,309,481 
YAMAICHI ELECTRONI NPV**965,132 
YANGMING MARINE TWD10**540,310 
YANGZIJIANG SHIPBU NPV (SGD)**1,834,942 
YAPI KREDI BANKASI TRY1**593,541 
YEXT INC COM**212,570 
YIHAI INTERNATIONA USD0.00001**339,729 
YOROZU CORP NPV**40,907 
YOSSIX HOLDINGS CO LTD NPV**35,101 
YTL CORP NPV**820,317 
YTL POWER INTL NPV**1,031,580 
YUE YUEN INDL HLDG HKD0.25**1,408,943 
YUNDA HOLDING GROUP CO LTD 'A'CNY1 (STOCK CONNECT)**681,988 
ZABKA GROUP SA NPV**586,648 
ZAMIL IND INV CO SAR10**372,067 
ZEN TECHNOLOGIES INR1**155,742 
ZENAS BIOPHARMA INC COM**41,957 
ZENITRON CORP TWD10**76,634 
ZENTALIS PHARMACEUTICALS INC COM**189,642 
ZERIA PHARMACEUTIC NPV**82,353 
ZETA GLOBAL HLDGS CORP CL A CL A**1,597,872 
ZHEJIANG PUBLISHIN A CNY1**1,387,305 
ZHEJIANG SEMIR GARMENT CO LTD 'A'CNY1 (STOCK CONNECT LINE)**156,914 
ZHEJIANG SUPOR CO 'A'CNY1**27,542 
ZHEN DING TECHNOLO TWD10**1,116,381 
ZIGEXN CO LTD NPV**128,993 
ZILLOW GROUP INC COM USD0.0001**1,763,740 
ZIMMER BIOMET HLDGS INC 5.2% 09-15-2034**392,622 
ZIMMER BIOMET HLDGS INC COM**6,855,387 
ZIMMER BIOMET HLDGS INC NT 2.6% 11-24-2031**520,540 
ZIMVIE INC COM USD0.01 WI**112,549 
ZIONS BANCORPORATION N A**483,259 
ZIP CO LTD NPV**334,677 
ZIPRECRUITER INC CL A CL A**322,325 
ZOETIS INC 2% DUE 05-15-2030**197,969 
ZOETIS INC COM USD0.01 CL 'A'**1,872,229 
ZOETIS INC FIXED 5.4% DUE 11-14-2025**1,173,119 

190

Table of Contents
Security Name, Maturity Date, and RateCostCurrent Value
(in dollars)
ZOMATO LIMITED INR1.00**1,153,881 
ZOOMINFO TECHNOLOGIES INC COM USD0.01**1,697,638 
ZOOMLION HEAVY INDUSTRY SCIENC**835,634 
ZOZO INC**4,617,812 
ZUMIEZ INC COM**227,395 
ZURICH INSURANCE GROUP AG CHF0.10**11,544,143 
ZYMEWORKS DEL INC COM**157,219 
Metropolitan Life (wrap contract)**151,683,234 
Prudential (wrap contract)**156,559,341 
RGA (wrap contract)**73,452,445 
Royal Bank of Canada (wrap contract)**156,121,904 
Voya (wrap contract)**215,698,016 
TOTAL$73,109,726,419 
*PARTICIPANT LOANS (Interest from 3.25% to 9.50% maturing through December 2044)
**$706,175,963 
*Party-in-interest
**Cost information is not required for participant directed investment and therefore is not included.
 (Concluded)

191

Table of Contents
SIGNATURE
Pursuant to the requirements of the Securities Exchange Act of 1934, the Plan Administrator has duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized.
THE BOEING COMPANY
    
 401(k) RETIREMENT PLAN
 June 10, 2025   /s/ Michael Cleary      
 Date   Michael Cleary
    Senior Vice President and Controller
    
    

192

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