| Schedule H, Line 4i – Schedule of Assets (Held At End of Year) |
SUPPLEMENTAL SCHEDULE Schedule H, Line 4i - Schedule of Assets (Held at End of Year) December 31, 2025 EIN 05-0494040 Plan Number: 017 | | | | | | | | | | | | | | | | | | | | | | | | | | | | Fund | | Par value /number of shares | | Identity of issue | | Description | | Current Value | | | | | | | | | | | Small Cap Index Fund | | 62,988,187 | | | Vanguard Small Cap Index Fund* | | Mutual Fund | | $ | 1,363,940,660 | | | Mid Cap Index Fund | | 115,309,646 | | | Vanguard Mid Cap Index Fund* | | Mutual Fund | | 2,702,252,734 | | | International Equity Index Fund | | 171,256,559 | | | Vanguard International Growth Fund Admiral Shares* | | Mutual Fund | | 3,569,802,207 | | | Inflation-Protected Bond Fund | | 9,505,096 | | | Vanguard Inflation-Protected Securities Fund* | | Mutual Fund | | 120,289,057 | | | Socially Responsible Fund | | 7,248,980 | | | Vanguard FTSE Social Index Fund* | | Mutual Fund | | 224,853,465 | | | Core Equity Fund | | 287,352,120 | | | Vanguard Institutional 500 Index Trust Fund* | | Common Collective Trust Fund | | 8,771,298,744 | | | U.S. Bond Index Fund | | 268,164,622 | | | Vanguard Total Bond Market Index Trust Fund* | | Common Collective Trust Fund | | 3,081,099,411 | | | Real Asset Index Fund | | 9,539,958 | | | Real Asset Index Fund | | Common Collective Trust Fund | | 156,766,569 | | | Emerging Markets Index Fund | | 57,974,987 | | | Vanguard Emerging Markets Index Fund* | | Mutual Fund | | 826,086,925 | | | | | | | | | | | | CVS Health Common Stock Fund | | 12,371,850 | | | CVS Health Common Stock | | Common Stock | | 981,830,016 | | | | 14,207,938 | | | EB Temporary Investment Fund II* | | Common Collective Trust Fund | | 14,207,938 | | | | | | | | | | | | | 4,850,343 | | | EB Temporary Investment Fund II* | | Common Collective Trust Fund | | 4,850,343 | | | | | | | | | | | | Stable Value Fund | | | | Invesco Floating Portfolio | | Separately Managed Fund | | | | | 1,500,000 | | | WHEELS FLEET LEASE 2A A2 144A | | Synthetic | | $ | 1,501,020 | | | | 2,000,000 | | | WHEELS FLEET LEASE 1A A2 144A | | Synthetic | | 2,001,840 | | | | 1,119,000 | | | WELLS FARGO & CO | | Synthetic | | 1,121,473 | | | | 1,851,165 | | | WELLS FARGO COM NXS5 A6FL 144A | | Synthetic | | 1,851,053 | | | | 3,000,000 | | | VOLKSWAGEN GROUP OF AMERI 144A | | Synthetic | | 3,002,820 | | | | 3,000,000 | | | VERIZON MASTER TRUST 4 A1B | | Synthetic | | 3,006,000 | | | | 7,500,000 | | | U S TREASURY NOTE | | Synthetic | | 7,504,350 | | | | 7,000,000 | | | U S TREASURY NOTE | | Synthetic | | 7,002,380 | | | | 36,500,000 | | | U S TREASURY NOTE | | Synthetic | | 36,489,415 | | | | 29,000,000 | | | U S TREASURY NOTE | | Synthetic | | 28,999,420 | | | | 2,500,000 | | | US BANK NA/CINCINNATI OH | | Synthetic | | 2,511,000 | | | | 2,000,000 | | | BANK OF NOVA SCOTIA/THE | | Synthetic | | 2,060,400 | | | | 4,857,000 | | | BANK OF MONTREAL | | Synthetic | | 4,879,342 | | | | 2,000,000 | | | BANK OF NOVA SCOTIA/THE | | Synthetic | | 2,001,100 | | | | 1,000,000 | | | CANADIAN IMPERIAL BANK OF COMM | | Synthetic | | 1,006,210 | | | | 2,000,000 | | | MASTER CREDIT CARD T 1A A 144A | | Synthetic | | 2,000,739 | | | | 1,250,000 | | | ROYAL BANK OF CANADA | | Synthetic | | 1,258,175 | | | | 1,000,000 | | | ELMWOOD CLO 23 LTD 2A AR 144A | | Synthetic | | 1,007,071 | | | | 1,250,000 | | | BNP PARIBAS SA 144A | | Synthetic | | 1,264,050 | | | | 1,000,000 | | | SOCIETE GENERALE SA 144A | | Synthetic | | 1,005,030 | | | | 347,000 | | | DEUTSCHE BANK AG/NEW YORK NY | | Synthetic | | 348,902 | | | | 806,000 | | | MITSUBISHI UFJ FINANCIAL GROUP | | Synthetic | | 821,113 | | | | 1,500,000 | | | MIZUHO FINANCIAL GROUP INC | | Synthetic | | 1,501,815 | | | | 467,000 | | | NTT FINANCE CORP 144A | | Synthetic | | 471,787 | | | | 4,000,000 | | | SUMITOMO MITSUI FINANCIAL GROU | | Synthetic | | 4,001,480 | | | | 1,500,000 | | | BARCLAYS PLC | | Synthetic | | 1,516,920 | | | | 1,091,000 | | | HSBC HOLDINGS PLC | | Synthetic | | 1,096,531 | | | | 2,368,000 | | | LLOYDS BANKING GROUP PLC | | Synthetic | | 2,382,942 | | | | 1,000,000 | | | NATIONWIDE BUILDING SOCIE 144A | | Synthetic | | 1,001,700 | | | | 511,000 | | | RIO TINTO FINANCE USA PLC | | Synthetic | | 515,221 | | | | 2,000,000 | | | STANDARD CHARTERED PLC 144A | | Synthetic | | 2,013,480 | | | | 1,500,000 | | | TOYOTA AUTO RECEIVABLES D A2A | | Synthetic | | 1,501,635 | | | | 3,000,000 | | | AMERICAN EXPRESS CO | | Synthetic | | 3,010,800 | | | | 2,000,000 | | | AMERICAN EXPRESS CO | | Synthetic | | 2,007,720 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 1,500,000 | | | ATHENE GLOBAL FUNDING 144A | | Synthetic | | 1,509,375 | | | | 1,500,000 | | | ATHENE GLOBAL FUNDING 144A | | Synthetic | | 1,502,250 | | | | 1,441,000 | | | BMW US CAPITAL LLC 144A | | Synthetic | | 1,445,409 | | | | 3,000,000 | | | BMW VEHICLE LEASE TRUST 2 A2B | | Synthetic | | 3,000,420 | | | | 5,000,000 | | | BANK OF AMERICA CORP | | Synthetic | | 5,018,300 | | | | 1,000,000 | | | BANK OF AMERICA CORP | | Synthetic | | 1,006,530 | | | | 465,000 | | | BRISTOL-MYERS SQUIBB CO | | Synthetic | | 465,246 | | | | 1,500,000 | | | CARGILL INC 144A | | Synthetic | | 1,503,075 | | | | 4,250,000 | | | CARMAX AUTO OWNER TRUST 3 A2B | | Synthetic | | 4,252,125 | | | | 827,355 | | | CHASE HOME LENDING 1 A11 144A | | Synthetic | | 824,658 | | | | 602,977 | | | CHASE HOME LENDING 6 A11 144A | | Synthetic | | 607,529 | | | | 1,094,761 | | | CHESAPEAKE FUNDING 1A A2 144A | | Synthetic | | 1,098,636 | | | | 5,000,000 | | | CITIGROUP INC | | Synthetic | | 5,005,350 | | | | 1,000,000 | | | CITIGROUP INC | | Synthetic | | 1,015,070 | | | | 3,855,000 | | | CITIBANK CREDIT CARD ISS A6 A6 | | Synthetic | | 3,887,266 | | | | 1,500,000 | | | CITIBANK NA | | Synthetic | | 1,502,685 | | | | 1,025,000 | | | CITIGROUP INC | | Synthetic | | 1,026,056 | | | | 1,195,264 | | | CITIGROUP MORTGAGE 1 A11 144A | | Synthetic | | 1,200,882 | | | | 882,000 | | | CONSOLIDATED EDISON CO OF NEW | | Synthetic | | 883,491 | | | | 4,000,000 | | | JOHN DEERE CAPITAL CORP | | Synthetic | | 4,002,720 | | | | 1,250,000 | | | F&G GLOBAL FUNDING 144A | | Synthetic | | 1,260,638 | | | | 868,398 | | | FHLMC MULTICLASS STRIP 350 F2 | | Synthetic | | 857,447 | | | | 1,027,116 | | | FNMA GTD REMIC P/T 18-57 FA | | Synthetic | | 999,004 | | | | 1,658,617 | | | FNMA GTD REMIC P/T 25-3 NF | | Synthetic | | 1,663,361 | | | | 802,715 | | | FNMA GTD REMIC P/T 25-4 FA | | Synthetic | | 805,637 | | | | 419,318 | | | FHLMC MULTICLASS MTG 4477 FG | | Synthetic | | 413,192 | | | | 269,888 | | | FHLMC MULTICLASS MTG 4497 CF | | Synthetic | | 268,797 | | | | 576,670 | | | FHLMC MULTICLASS MTG KF64 A | | Synthetic | | 576,549 | | | | 443,866 | | | FHLMC MULTICLASS MTG 4911 FM | | Synthetic | | 435,237 | | | | 2,614,522 | | | FHLMC MULTICLASS MTG KF157 AS | | Synthetic | | 2,619,307 | | | | 1,140,691 | | | FHLMC MULTICLASS MTG 5475 FG | | Synthetic | | 1,143,897 | | | | 1,578,644 | | | FHLMC MULTICLASS MTG 5499 BF | | Synthetic | | 1,578,312 | | | | 2,407,124 | | | FHLMC MULTICLASS MTG 5597 FB | | Synthetic | | 2,414,875 | | | | 2,452,997 | | | FHLMC MULTICLASS MTG 5600 FA | | Synthetic | | 2,460,969 | | | | 3,500,000 | | | FORD CREDIT FLOORPLA 3 A2 144A | | Synthetic | | 3,513,405 | | | | 3,000,000 | | | FORD CREDIT FLOORPLAN MAS 2 A2 | | Synthetic | | 2,996,190 | | | | 5,000,000 | | | GMF FLOORPLAN OWNER 1 A2 144A | | Synthetic | | 5,014,950 | | | | 901,000 | | | GEORGIA POWER CO | | Synthetic | | 900,982 | | | | 2,372,000 | | | GOLDMAN SACHS GROUP INC/THE | | Synthetic | | 2,386,659 | | | | 1,724,000 | | | HUNTINGTON NATIONAL BANK/THE | | Synthetic | | 1,721,673 | | | | 3,000,000 | | | HYUNDAI CAPITAL AMERICA 144A | | Synthetic | | 3,010,440 | | | | 1,057,260 | | | JP MORGAN MORTGAGE 1 A11 144A | | Synthetic | | 982,132 | | | | 1,248,372 | | | JP MORGAN MORTGAGE 3 A11 144A | | Synthetic | | 1,146,930 | | | | 3,062,231 | | | JP MORGAN CHASE C WPT AFL 144A | | Synthetic | | 2,985,705 | | | | 2,000,000 | | | JPMORGAN CHASE & CO | | Synthetic | | 2,017,840 | | | | 1,500,000 | | | JPMORGAN CHASE & CO | | Synthetic | | 1,506,885 | | | | 1,500,000 | | | JPMORGAN CHASE & CO | | Synthetic | | 1,509,570 | | | | 1,191,323 | | | JP MORGAN MORTGAGE 5 A11 144A | | Synthetic | | 1,189,179 | | | | 2,500,000 | | | KEURIG DR PEPPER INC | | Synthetic | | 2,500,675 | | | | 2,500,000 | | | MERCEDES-BENZ FINANCE NOR 144A | | Synthetic | | 2,509,575 | | | | 4,750,000 | | | MORGAN STANLEY | | Synthetic | | 4,769,190 | | | | 1,500,000 | | | MORGAN STANLEY | | Synthetic | | 1,518,285 | | | | 3,000,000 | | | NATIONAL RURAL UTILITIES COOPE | | Synthetic | | 3,013,290 | | | | 2,000,000 | | | NATIONAL RURAL UTILITIES COOPE | | Synthetic | | 2,012,580 | | | | 297,983 | | | NELNET STUDENT LOA AA A1B 144A | | Synthetic | | 296,872 | | | | 1,173,493 | | | NELNET STUDENT LOA BA AFL 144A | | Synthetic | | 1,172,472 | | | | 1,062,899 | | | NELNET STUDENT LOA DA AFL 144A | | Synthetic | | 1,058,233 | | | | 5,000,000 | | | NEW YORK LIFE GLOBAL FUND 144A | | Synthetic | | 5,008,800 | | | | 2,864,000 | | | NEXTERA ENERGY CAPITAL HOLDING | | Synthetic | | 2,865,146 | | | | 4,000,000 | | | NEXTGEAR FLOORPLAN 1A A1 144A | | Synthetic | | 4,018,800 | | | | 2,250,000 | | | NEXTGEAR FLOORPLAN 1A A1 144A | | Synthetic | | 2,252,318 | | | | 2,690,000 | | | NEXTGEAR FLOORPLAN 2A A1 144A | | Synthetic | | 2,688,547 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 4,216,000 | | | PACIFIC LIFE GLOBAL FUNDI 144A | | Synthetic | | 4,222,788 | | | | 1,147,000 | | | PINNACLE WEST CAPITAL CORP | | Synthetic | | 1,149,007 | | | | 958,751 | | | SLM STUDENT LOAN TRUST 20 6 A3 | | Synthetic | | 957,841 | | | | 5,235,000 | | | SMRT 2022-MINI MINI A 144A | | Synthetic | | 5,235,000 | | | | 3,000,000 | | | CHARLES SCHWAB CORP/THE | | Synthetic | | 3,002,070 | | | | 5,000,000 | | | CHARLES SCHWAB CORP/THE | | Synthetic | | 5,033,750 | | | | 2,902,847 | | | SMB PRIVATE EDUCATI B A1B 144A | | Synthetic | | 2,928,653 | | | | 1,237,554 | | | SMB PRIVATE EDUCATI C A1B 144A | | Synthetic | | 1,249,904 | | | | 2,101,582 | | | SMB PRIVATE EDUCATI F A1B 144A | | Synthetic | | 2,087,018 | | | | 4,819,000 | | | STATE STREET CORP | | Synthetic | | 4,833,650 | | | | 484,000 | | | STATE STREET CORP | | Synthetic | | 486,957 | | | | 2,000,000 | | | TOYOTA MOTOR CREDIT CORP | | Synthetic | | 2,001,500 | | | | | | | | | | | | | 8,002,173 | | | EB TEMP INV FD* | | Common Collective Trust Fund | | 8,002,173 | | | | | | | | | | | | | | | Mass Mutual | | | | | | | 116,097,175 | | | IGT Jennison Short Term Bond Fund | | Synthetic | | 95,075,516 | | | | 252,432,655 | | | IGT Pimco Intermediate Fund | | Synthetic | | 206,724,797 | | | | 84,148,606 | | | IGT Dodge and Cox Core Fixed Income Fund | | Synthetic | | 68,911,859 | | | | | | Mass Mutual | | Wrapper Contract #30096, 3.54% | | 6,771,295 | | | | | | | | | | | | | | | Met Tower Life | | | | | | | 251,892,826 | | | IGT Invesco Intermediate Fund | | Synthetic | | 206,304,288 | | | | 116,631,239 | | | IGT Jennison Short Term Bond Fund | | Synthetic | | 95,522,866 | | | | 84,171,412 | | | IGT Pimco Core Fixed Income Fund | | Synthetic | | 68,937,745 | | | | | | Met Tower Life | | Wrapper Contract #39835, 3.49% | | 7,127,250 | | | | | | | | | | | | | | | PAC Life | | | | | | | 115,904,174 | | | IGT Jennison Short Term Bond Fund | | Synthetic | | 94,785,505 | | | | 252,481,525 | | | IGT Loomis Sayles Intermediate Fund | | Synthetic | | 206,477,369 | | | | 84,428,938 | | | IGT Dodge and Cox Core Fixed Income Fund | | Synthetic | | 69,045,309 | | | | | | Pacific Life Ins | | Wrapper Contract G-027843.01.0001, 3.55% | | 6,407,699 | | | | | | | | | | | | | | | Prudential | | | | | | | 251,515,507 | | | IGT Jennison Intermediate Fund | | Synthetic | | 205,718,518 | | | | 116,556,195 | | | IGT Jennison Short Term Bond Fund | | Synthetic | | 95,333,158 | | | | 84,382,649 | | | IGT Pimco Core Fixed Income Fund | | Synthetic | | 69,017,905 | | | | | | Prudential Ins Co | | Wrapper Contract GA-64259, 3.36% | | 7,219,927 | | | | | | | | | | | | | | | Voya | | | | | | | 316,703,361 | | | IGT Invesco Short Term Bond Fund | | Synthetic | | 309,380,681 | | | | 142,527,123 | | | IGT Invesco Core Fixed Income Fund | | Synthetic | | 139,231,671 | | | | | | Voya Retirement & Annuity | | Wrapper Contract #60512, 3.27% | | 10,618,131 | | | | | | | | | | | | | | | State Street | | | | | | | 319,615,773 | | | IGT Invesco Short Term Bond Fund | | Synthetic | | 312,926,313 | | | | 139,719,704 | | | IGT Loomis Sayles Core Fixed Income Fund | | Synthetic | | 136,795,414 | | | | | | State Street Bank | | Wrapper Contract #200001, 3.32% | | 9,613,750 | | | | | | | | | | | | | | | Invesco | | Wrapper Contract | | 1,585,096 | | | | | | | | | | | | | 54,097,869 | | | EB Temporary Investment Fund II* | | Common Collective Trust Fund | | 54,097,869 | | | | | | Stable Value Fund Subtotal | | | | $ | 2,783,306,794 | | | | | | | | | | | | Diversified Bond Fund | | | | Loomis Sayles, Dodge & Cox | | Separately Managed Fund | | | | | 1,635,000 | | | ELANCO ANIMAL HEALTH INC | | Corporate Bonds | | $ | 1,708,490 | | | | 900,000 | | | WELLS FARGO & CO | | Corporate Bonds | | 907,653 | | | | 2,175,000 | | | WELLS FARGO & CO | | Corporate Bonds | | 2,241,562 | | | | 1,250,000 | | | WELLS FARGO & CO | | Corporate Bonds | | 1,271,383 | | | | 650,000 | | | WELLS FARGO & CO | | Corporate Bonds | | 607,489 | | | | 310,000 | | | WELLS FARGO & CO | | Corporate Bonds | | 289,769 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 330,000 | | | WELLS FARGO & CO | | Corporate Bonds | | 314,081 | | | | 1,800,000 | | | SOUTHERN CO/THE | | Corporate Bonds | | 1,773,896 | | | | 2,875,000 | | | SOUTHERN CO/THE | | Corporate Bonds | | 2,873,276 | | | | 1,575,000 | | | SOUTHERN CO/THE | | Corporate Bonds | | 1,600,477 | | | | 1,125,000 | | | CHARLES SCHWAB CORP/THE | | Corporate Bonds | | 1,124,420 | | | | 1,275,000 | | | CHARLES SCHWAB CORP/THE | | Corporate Bonds | | 1,349,001 | | | | 1,025,000 | | | CHARLES SCHWAB CORP/THE | | Corporate Bonds | | 1,052,400 | | | | 300,000 | | | CHARLES SCHWAB CORP/THE | | Corporate Bonds | | 321,824 | | | | 575,000 | | | CHARLES SCHWAB CORP/THE | | Corporate Bonds | | 596,802 | | | | 64,423 | | | SLM STUDENT LOAN TRUST 20 2 A2 | | Corporate Bonds | | 64,935 | | | | 59,968 | | | SLM STUDENT LOAN TRUST 201 3 A | | Corporate Bonds | | 60,586 | | | | 331,518 | | | SLM STUDENT LOAN TRUST 2 9 A7A | | Corporate Bonds | | 328,966 | | | | 384,990 | | | SLM STUDENT LOAN TR 8A A6 144A | | Corporate Bonds | | 382,605 | | | | 201,715 | | | SLM STUDENT LOAN T 3A A6A 144A | | Corporate Bonds | | 200,271 | | | | 4,568,162 | | | NAVIENT STUDENT LO 1A A1B 144A | | Corporate Bonds | | 4,505,685 | | | | 249,393 | | | NAVIENT STUDENT LOA 4A A2 144A | | Corporate Bonds | | 247,995 | | | | 249,127 | | | NAVIENT STUDENT LOAN 3A A 144A | | Corporate Bonds | | 247,340 | | | | 1,530,931 | | | NAVIENT STUDENT LOA 2A A2 144A | | Corporate Bonds | | 1,534,664 | | | | 737,968 | | | NAVIENT STUDENT LOA 4A A2 144A | | Corporate Bonds | | 730,139 | | | | 900,668 | | | NAVIENT STUDENT LOA 3A A3 144A | | Corporate Bonds | | 895,844 | | | | 877,378 | | | NAVIENT STUDENT LOA 1A A3 144A | | Corporate Bonds | | 883,384 | | | | 2,567,621 | | | NAVIENT STUDENT LOA 6A A3 144A | | Corporate Bonds | | 2,608,938 | | | | 1,511,682 | | | NAVIENT STUDENT LOA 3A A3 144A | | Corporate Bonds | | 1,519,141 | | | | 919,681 | | | NAVIENT STUDENT LOAN 7A A 144A | | Corporate Bonds | | 926,377 | | | | 737,988 | | | NAVIENT STUDENT LOAN 1A A 144A | | Corporate Bonds | | 730,651 | | | | 430,749 | | | NAVIENT STUDENT LOA 1A A3 144A | | Corporate Bonds | | 426,167 | | | | 959,923 | | | NAVIENT STUDENT LOAN 5A A 144A | | Corporate Bonds | | 954,258 | | | | 528,435 | | | NAVIENT STUDENT LOA 4A A3 144A | | Corporate Bonds | | 529,955 | | | | 729,921 | | | NAVIENT STUDENT LOAN 2A A 144A | | Corporate Bonds | | 733,681 | | | | 5,793,872 | | | NAVIENT STUDENT LOAN 5A A 144A | | Corporate Bonds | | 5,896,467 | | | | 4,595,000 | | | JPMORGAN CHASE & CO | | Corporate Bonds | | 4,338,344 | | | | 1,980,000 | | | JPMORGAN CHASE & CO | | Corporate Bonds | | 1,846,031 | | | | 2,595,000 | | | JPMORGAN CHASE & CO | | Corporate Bonds | | 2,619,573 | | | | 70,000 | | | JPMORGAN CHASE & CO | | Corporate Bonds | | 66,444 | | | | 2,100,000 | | | TRANSCANADA TRUST | | Corporate Bonds | | 2,102,570 | | | | 3,605,000 | | | TRANSCANADA TRUST | | Corporate Bonds | | 3,604,491 | | | | 1,620,000 | | | TRANSCANADA TRUST | | Corporate Bonds | | 1,607,899 | | | | 815,000 | | | BNP PARIBAS SA 144A | | Corporate Bonds | | 814,856 | | | | 3,760,000 | | | BNP PARIBAS SA 144A | | Corporate Bonds | | 3,774,491 | | | | 2,700,000 | | | BNP PARIBAS SA 144A | | Corporate Bonds | | 2,442,943 | | | | 1,075,000 | | | BNP PARIBAS SA 144A | | Corporate Bonds | | 1,129,724 | | | | 750,000 | | | BNP PARIBAS SA 144A | | Corporate Bonds | | 766,169 | | | | 1,344,000 | | | FIBERCOP SPA 144A | | Corporate Bonds | | 1,346,691 | | | | 2,770,000 | | | UNICREDIT SPA 144A | | Corporate Bonds | | 2,972,317 | | | | 3,725,000 | | | UNICREDIT SPA 144A | | Corporate Bonds | | 3,800,750 | | | | 400,000 | | | JAPAN TOBACCO INC 144A | | Corporate Bonds | | 407,247 | | | | 575,000 | | | JAPAN TOBACCO INC 144A | | Corporate Bonds | | 597,289 | | | | 400,000 | | | JAPAN TOBACCO INC 144A | | Corporate Bonds | | 427,166 | | | | 1,085,000 | | | ULTRAPAR INTERNATIONAL SA 144A | | Corporate Bonds | | 1,083,802 | | | | 432,000 | | | ULTRAPAR INTERNATIONAL SA 144A | | Corporate Bonds | | 431,095 | | | | 2,475,000 | | | CEMEX SAB DE CV 144A | | Corporate Bonds | | 2,505,695 | | | | 1,625,000 | | | CEMEX SAB DE CV 144A | | Corporate Bonds | | 1,647,581 | | | | 1,350,000 | | | PETROLEOS MEXICANOS | | Corporate Bonds | | 1,281,046 | | | | 5,556,000 | | | PETROLEOS MEXICANOS | | Corporate Bonds | | 5,541,167 | | | | 380,000 | | | PETROLEOS MEXICANOS | | Corporate Bonds | | 329,057 | | | | 11,675,000 | | | PETROLEOS MEXICANOS | | Corporate Bonds | | 10,464,137 | | | | 1,950,000 | | | ENEL FINANCE INTERNATIONA 144A | | Corporate Bonds | | 1,987,727 | | | | 1,050,000 | | | PROSUS NV 144A | | Corporate Bonds | | 1,056,510 | | | | 3,955,000 | | | PROSUS NV 144A | | Corporate Bonds | | 3,799,112 | | | | 4,700,000 | | | PROSUS NV 144A | | Corporate Bonds | | 4,276,885 | | | | 450,000 | | | PROSUS NV 144A | | Corporate Bonds | | 431,292 | | | | 1,975,000 | | | PROSUS NV 144A | | Corporate Bonds | | 1,570,220 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 375,000 | | | UBS GROUP AG 144A | | Corporate Bonds | | 382,838 | | | | 950,000 | | | UBS GROUP AG 144A | | Corporate Bonds | | 1,000,632 | | | | 625,000 | | | UBS GROUP AG 144A | | Corporate Bonds | | 682,893 | | | | 3,300,000 | | | UBS GROUP AG 144A | | Corporate Bonds | | 3,521,533 | | | | 675,000 | | | UBS GROUP AG 144A | | Corporate Bonds | | 705,342 | | | | 575,000 | | | BARCLAYS PLC | | Corporate Bonds | | 577,507 | | | | 925,000 | | | BARCLAYS PLC | | Corporate Bonds | | 933,046 | | | | 1,590,000 | | | HSBC HOLDINGS PLC | | Corporate Bonds | | 1,770,988 | | | | 1,965,000 | | | HSBC HOLDINGS PLC | | Corporate Bonds | | 2,159,709 | | | | 245,000 | | | HSBC HOLDINGS PLC | | Corporate Bonds | | 277,253 | | | | 470,000 | | | HSBC HOLDINGS PLC | | Corporate Bonds | | 482,279 | | | | 4,255,000 | | | IMPERIAL BRANDS FINANCE P 144A | | Corporate Bonds | | 4,174,477 | | | | 2,525,000 | | | IMPERIAL BRANDS FINANCE P 144A | | Corporate Bonds | | 2,599,321 | | | | 2,145,000 | | | LLOYDS BANKING GROUP PLC | | Corporate Bonds | | 2,147,633 | | | | 1,950,000 | | | BARCLAYS PLC | | Corporate Bonds | | 1,992,559 | | | | 1,000,000 | | | BARCLAYS PLC | | Corporate Bonds | | 1,005,654 | | | | 600,000 | | | BARCLAYS PLC | | Corporate Bonds | | 672,906 | | | | 1,000,000 | | | BARCLAYS PLC | | Corporate Bonds | | 1,057,173 | | | | 1,850,000 | | | HSBC HOLDINGS PLC | | Corporate Bonds | | 1,730,838 | | | | 550,000 | | | HSBC HOLDINGS PLC | | Corporate Bonds | | 500,791 | | | | 1,625,000 | | | HSBC HOLDINGS PLC | | Corporate Bonds | | 1,617,752 | | | | 700,000 | | | HSBC HOLDINGS PLC | | Corporate Bonds | | 821,494 | | | | 900,000 | | | HSBC HOLDINGS PLC | | Corporate Bonds | | 974,682 | | | | 975,000 | | | HSBC HOLDINGS PLC | | Corporate Bonds | | 1,005,364 | | | | 3,000,000 | | | LLOYDS BANKING GROUP PLC | | Corporate Bonds | | 3,495,349 | | | | 700,000 | | | LLOYDS BANKING GROUP PLC | | Corporate Bonds | | 732,929 | | | | 1,075,000 | | | NATWEST GROUP PLC | | Corporate Bonds | | 989,590 | | | | 3,200,000 | | | NATWEST GROUP PLC | | Corporate Bonds | | 3,165,306 | | | | 1,200,000 | | | NATWEST GROUP PLC | | Corporate Bonds | | 1,289,130 | | | | 700,000 | | | NATWEST GROUP PLC | | Corporate Bonds | | 729,358 | | | | 575,000 | | | NATWEST GROUP PLC | | Corporate Bonds | | 604,112 | | | | 1,990,000 | | | AT&T INC | | Corporate Bonds | | 1,829,322 | | | | 850,000 | | | ELEVANCE HEALTH INC | | Corporate Bonds | | 877,548 | | | | 950,000 | | | ELEVANCE HEALTH INC | | Corporate Bonds | | 969,521 | | | | 375,000 | | | BAT CAPITAL CORP | | Corporate Bonds | | 405,866 | | | | 1,150,000 | | | BAT CAPITAL CORP | | Corporate Bonds | | 1,270,861 | | | | 425,000 | | | BAT CAPITAL CORP | | Corporate Bonds | | 409,068 | | | | 1,150,000 | | | BAT CAPITAL CORP | | Corporate Bonds | | 1,061,204 | | | | 1,550,000 | | | BAT CAPITAL CORP | | Corporate Bonds | | 1,566,348 | | | | 386,390 | | | BNSF RAILWAY CO 2015-1 PA 144A | | Corporate Bonds | | 379,112 | | | | 1,305,000 | | | BANK OF AMERICA CORP | | Corporate Bonds | | 1,307,567 | | | | 1,675,000 | | | BAYER US FINANCE LLC 144A | | Corporate Bonds | | 1,792,304 | | | | 1,850,000 | | | BAYER US FINANCE LLC 144A | | Corporate Bonds | | 2,005,657 | | | | 590,000 | | | BAYER US FINANCE II LLC 144A | | Corporate Bonds | | 590,693 | | | | 205,000 | | | BOSTON PROPERTIES LP | | Corporate Bonds | | 204,849 | | | | 675,000 | | | BOSTON PROPERTIES LP | | Corporate Bonds | | 667,975 | | | | 1,275,000 | | | BOSTON PROPERTIES LP | | Corporate Bonds | | 1,283,869 | | | | 890,000 | | | BOSTON PROPERTIES LP | | Corporate Bonds | | 835,186 | | | | 2,410,000 | | | BOSTON PROPERTIES LP | | Corporate Bonds | | 2,262,364 | | | | 500,000 | | | BOSTON PROPERTIES LP | | Corporate Bonds | | 523,093 | | | | 650,000 | | | BOSTON PROPERTIES LP | | Corporate Bonds | | 700,876 | | | | 1,600,000 | | | CCO HOLDINGS LLC / CCO HO 144A | | Corporate Bonds | | 1,400,574 | | | | 3,425,000 | | | CCO HOLDINGS LLC / CCO HOLDING | | Corporate Bonds | | 3,074,065 | | | | 835,000 | | | CIGNA GROUP/THE | | Corporate Bonds | | 842,804 | | | | 190,000 | | | CIGNA GROUP/THE | | Corporate Bonds | | 199,074 | | | | 676,000 | | | CIGNA GROUP/THE | | Corporate Bonds | | 627,902 | | | | 800,000 | | | CAPITAL ONE FINANCIAL CORP | | Corporate Bonds | | 798,371 | | | | 2,750,000 | | | CHARTER COMMUNICATIONS OPERATI | | Corporate Bonds | | 2,590,573 | | | | 405,000 | | | CHARTER COMMUNICATIONS OPERATI | | Corporate Bonds | | 334,582 | | | | 835,000 | | | CHARTER COMMUNICATIONS OPERATI | | Corporate Bonds | | 714,410 | | | | 375,000 | | | CHARTER COMMUNICATIONS OPERATI | | Corporate Bonds | | 353,851 | | | | 725,000 | | | COMCAST CORP | | Corporate Bonds | | 743,588 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 980,000 | | | COX COMMUNICATIONS INC 144A | | Corporate Bonds | | 974,866 | | | | 3,815,000 | | | COX COMMUNICATIONS INC 144A | | Corporate Bonds | | 3,771,559 | | | | 1,050,000 | | | COX COMMUNICATIONS INC 144A | | Corporate Bonds | | 919,633 | | | | 300,000 | | | DELL INTERNATIONAL LLC / EMC C | | Corporate Bonds | | 308,231 | | | | 150,000 | | | DILLARD'S INC | | Corporate Bonds | | 151,952 | | | | 90,000 | | | DILLARD'S INC | | Corporate Bonds | | 93,088 | | | | 200,000 | | | DILLARD'S INC | | Corporate Bonds | | 210,193 | | | | 165,000 | | | DOMINION ENERGY INC | | Corporate Bonds | | 159,311 | | | | 1,100,000 | | | DOMINION ENERGY INC | | Corporate Bonds | | 1,091,798 | | | | 765,000 | | | DOMINION ENERGY INC | | Corporate Bonds | | 785,988 | | | | 725,000 | | | DOMINION ENERGY INC | | Corporate Bonds | | 733,787 | | | | 600,000 | | | DOW CHEMICAL CO/THE | | Corporate Bonds | | 528,767 | | | | 575,000 | | | META PLATFORMS INC | | Corporate Bonds | | 580,398 | | | | 1,725,000 | | | META PLATFORMS INC | | Corporate Bonds | | 1,725,588 | | | | 1,687,000 | | | FORD CREDIT AUTO OWNER TR B A4 | | Corporate Bonds | | 1,724,579 | | | | 1,050,000 | | | FORD MOTOR CREDIT CO LLC | | Corporate Bonds | | 1,096,100 | | | | 2,250,000 | | | FORD MOTOR CREDIT CO LLC | | Corporate Bonds | | 2,348,340 | | | | 700,000 | | | FORD MOTOR CREDIT CO LLC | | Corporate Bonds | | 734,632 | | | | 725,000 | | | FORD MOTOR CREDIT CO LLC | | Corporate Bonds | | 734,109 | | | | 1,475,000 | | | FORD MOTOR CREDIT CO LLC | | Corporate Bonds | | 1,544,400 | | | | 1,225,000 | | | FORD MOTOR CREDIT CO LLC | | Corporate Bonds | | 1,245,243 | | | | 1,750,000 | | | FORD MOTOR CREDIT CO LLC | | Corporate Bonds | | 1,750,109 | | | | 1,000,000 | | | FORD MOTOR CREDIT CO LLC | | Corporate Bonds | | 998,694 | | | | 750,000 | | | GE HEALTHCARE TECHNOLOGIES INC | | Corporate Bonds | | 767,173 | | | | 1,250,000 | | | GE HEALTHCARE TECHNOLOGIES INC | | Corporate Bonds | | 1,348,167 | | | | 2,110,000 | | | GM FINANCIAL CONSUMER AUT 4 A4 | | Corporate Bonds | | 2,134,072 | | | | 80,000 | | | HCA INC | | Corporate Bonds | | 80,062 | | | | 700,000 | | | HCA INC | | Corporate Bonds | | 698,142 | | | | 1,075,000 | | | HCA INC | | Corporate Bonds | | 1,110,610 | | | | 2,182,000 | | | HONDA AUTO RECEIVABLES 20 1 A3 | | Corporate Bonds | | 2,206,329 | | | | 1,936,000 | | | HONDA AUTO RECEIVABLES 20 1 A4 | | Corporate Bonds | | 1,969,677 | | | | 1,856,000 | | | HYUNDAI AUTO RECEIVABLES C A3 | | Corporate Bonds | | 1,870,701 | | | | 3,892,000 | | | HYUNDAI AUTO RECEIVABLES B A3 | | Corporate Bonds | | 3,928,012 | | | | 845,000 | | | JPMORGAN CHASE & CO | | Corporate Bonds | | 846,591 | | | | 930,000 | | | JPMORGAN CHASE & CO | | Corporate Bonds | | 936,845 | | | | 360,000 | | | KINDER MORGAN ENERGY PARTNERS | | Corporate Bonds | | 393,191 | | | | 685,000 | | | KINDER MORGAN ENERGY PARTNERS | | Corporate Bonds | | 771,316 | | | | 1,035,000 | | | KINDER MORGAN ENERGY PARTNERS | | Corporate Bonds | | 1,118,864 | | | | 490,000 | | | KINDER MORGAN ENERGY PARTNERS | | Corporate Bonds | | 464,288 | | | | 625,000 | | | KINDER MORGAN INC | | Corporate Bonds | | 627,454 | | | | 325,000 | | | MARS INC 144A | | Corporate Bonds | | 327,387 | | | | 500,000 | | | MARS INC 144A | | Corporate Bonds | | 506,983 | | | | 1,775,000 | | | MARS INC 144A | | Corporate Bonds | | 1,815,094 | | | | 1,275,000 | | | NEXTERA ENERGY CAPITAL HOLDING | | Corporate Bonds | | 1,288,859 | | | | 1,375,000 | | | NEXTERA ENERGY CAPITAL HOLDING | | Corporate Bonds | | 1,391,607 | | | | 1,525,000 | | | NEXTERA ENERGY CAPITAL HOLDING | | Corporate Bonds | | 1,564,017 | | | | 375,000 | | | NEXTERA ENERGY CAPITAL HOLDING | | Corporate Bonds | | 382,027 | | | | 2,325,000 | | | NEXTERA ENERGY CAPITAL HOLDING | | Corporate Bonds | | 2,400,401 | | | | 1,846,000 | | | NISSAN AUTO RECEIVABLES 2 B A3 | | Corporate Bonds | | 1,855,711 | | | | 140,000 | | | NORDSTROM INC | | Corporate Bonds | | 144,477 | | | | 1,300,000 | | | ORACLE CORP | | Corporate Bonds | | 1,274,073 | | | | 575,000 | | | ORACLE CORP | | Corporate Bonds | | 578,087 | | | | 275,000 | | | PHILIP MORRIS INTERNATIONAL IN | | Corporate Bonds | | 289,303 | | | | 325,000 | | | PHILIP MORRIS INTERNATIONAL IN | | Corporate Bonds | | 347,811 | | | | 800,000 | | | PHILIP MORRIS INTERNATIONAL IN | | Corporate Bonds | | 837,944 | | | | 350,000 | | | PHILIP MORRIS INTERNATIONAL IN | | Corporate Bonds | | 358,488 | | | | 250,000 | | | PHILIP MORRIS INTERNATIONAL IN | | Corporate Bonds | | 259,287 | | | | 135,000 | | | UNUM GROUP | | Corporate Bonds | | 141,564 | | | | 525,000 | | | RTX CORP | | Corporate Bonds | | 565,946 | | | | 575,000 | | | RTX CORP | | Corporate Bonds | | 630,349 | | | | 118,833 | | | RIO OIL FINANCE TRUST SER 144A | | Corporate Bonds | | 122,279 | | | | 926,725 | | | RIO OIL FINANCE TRUST SER 144A | | Corporate Bonds | | 956,844 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 650,765 | | | SMB PRIVATE EDUCAT A APT2 144A | | Corporate Bonds | | 596,185 | | | | 1,918,917 | | | SMB PRIVATE EDUCATI B A1A 144A | | Corporate Bonds | | 1,935,051 | | | | 49,196 | | | SMB PRIVATE EDUCATI B A2A 144A | | Corporate Bonds | | 48,931 | | | | 35,066 | | | SMB PRIVATE EDUCATI A A2A 144A | | Corporate Bonds | | 34,926 | | | | 4,921 | | | SMB PRIVATE EDUCATI B A2A 144A | | Corporate Bonds | | 4,907 | | | | 2,188,745 | | | SMB PRIVATE EDUCATI A A1A 144A | | Corporate Bonds | | 2,228,030 | | | | 1,824,834 | | | SMB PRIVATE EDUCATI A A1A 144A | | Corporate Bonds | | 1,852,690 | | | | 1,150,957 | | | SMB PRIVATE EDUCATI B A1A 144A | | Corporate Bonds | | 1,160,639 | | | | 575,000 | | | SOUTHERN CO/THE | | Corporate Bonds | | 585,542 | | | | 1,900,000 | | | SYNOPSYS INC | | Corporate Bonds | | 1,941,963 | | | | 700,000 | | | SYNOPSYS INC | | Corporate Bonds | | 715,674 | | | | 3,360,000 | | | T-MOBILE USA INC | | Corporate Bonds | | 3,307,668 | | | | 1,075,000 | | | T-MOBILE USA INC | | Corporate Bonds | | 1,072,543 | | | | 1,000,000 | | | T-MOBILE USA INC | | Corporate Bonds | | 975,336 | | | | 1,000,000 | | | T-MOBILE USA INC | | Corporate Bonds | | 957,164 | | | | 975,000 | | | TIME WARNER CABLE LLC | | Corporate Bonds | | 996,008 | | | | 2,690,000 | | | TIME WARNER CABLE LLC | | Corporate Bonds | | 2,726,709 | | | | 1,843,000 | | | TOYOTA AUTO RECEIVABLES 2 C A3 | | Corporate Bonds | | 1,862,377 | | | | 1,077,000 | | | TOYOTA AUTO RECEIVABLES 2 A A3 | | Corporate Bonds | | 1,088,588 | | | | 55,000 | | | UNUM GROUP | | Corporate Bonds | | 58,431 | | | | 11,163 | | | UNION PACIFIC RAILROAD CO 2006 | | Corporate Bonds | | 11,618 | | | | 54,637 | | | UNION PACIFIC RAILROAD CO 2007 | | Corporate Bonds | | 57,750 | | | | 1,225,000 | | | VERIZON COMMUNICATIONS INC | | Corporate Bonds | | 1,078,289 | | | | 825,000 | | | VERIZON COMMUNICATIONS INC | | Corporate Bonds | | 754,509 | | | | 825,000 | | | VMWARE LLC | | Corporate Bonds | | 812,843 | | | | 3,908,000 | | | VOLKSWAGEN AUTO LOAN ENHA 1 A3 | | Corporate Bonds | | 3,948,925 | | | | 915,000 | | | WELLS FARGO & CO | | Corporate Bonds | | 915,099 | | | | 1,120,000 | | | WELLS FARGO & CO | | Corporate Bonds | | 1,124,512 | | | | 2,855,000 | | | BANK OF AMERICA CORP | | Corporate Bonds | | 2,661,559 | | | | 3,525,000 | | | BANK OF AMERICA CORP | | Corporate Bonds | | 3,324,064 | | | | 900,000 | | | BANK OF AMERICA CORP | | Corporate Bonds | | 917,093 | | | | 2,275,000 | | | BANK OF AMERICA CORP | | Corporate Bonds | | 2,305,897 | | | | 950,000 | | | CAPITAL ONE FINANCIAL CORP | | Corporate Bonds | | 961,320 | | | | 775,000 | | | CAPITAL ONE FINANCIAL CORP | | Corporate Bonds | | 813,582 | | | | 1,150,000 | | | CAPITAL ONE FINANCIAL CORP | | Corporate Bonds | | 1,300,704 | | | | 485,000 | | | CITIGROUP INC | | Corporate Bonds | | 485,276 | | | | 675,000 | | | CITIGROUP INC | | Corporate Bonds | | 717,928 | | | | 3,968,336 | | | ECMC GROUP STUDENT L 2A A 144A | | Corporate Bonds | | 3,962,152 | | | | 1,200,000 | | | GOLDMAN SACHS GROUP INC/THE | | Corporate Bonds | | 1,213,894 | | | | 950,000 | | | GOLDMAN SACHS GROUP INC/THE | | Corporate Bonds | | 981,874 | | | | 1,275,000 | | | GOLDMAN SACHS GROUP INC/THE | | Corporate Bonds | | 1,275,091 | | | | 3,275,000 | | | GOLDMAN SACHS GROUP INC/THE | | Corporate Bonds | | 3,257,209 | | | | 170,100 | | | CITIGROUP CAPITAL XIII | | Corporate Bonds | | 5,137,020 | | | | 575,000 | | | JPMORGAN CHASE & CO | | Corporate Bonds | | 677,767 | | | | 1,820,000 | | | VODAFONE GROUP PLC | | Corporate Bonds | | 1,927,949 | | | | 1,450,000 | | | COLOMBIA GOVERNMENT INTERNATIO | | Other Securities | | 1,511,118 | | | | 1,175,000 | | | COLOMBIA GOVERNMENT INTERNATIO | | Other Securities | | 1,240,800 | | | | 1,865,000 | | | CALIFORNIA ST | | Other Securities | | 2,263,322 | | | | 1,475,000 | | | CALIFORNIA ST | | Other Securities | | 1,716,565 | | | | 650,000 | | | CALIFORNIA ST | | Other Securities | | 759,674 | | | | 380,000 | | | CALIFORNIA ST | | Other Securities | | 458,140 | | | | 6,478,676 | | | ILLINOIS ST | | Other Securities | | 6,639,799 | | | | 290,000 | | | NEW JERSEY ST TURNPIKE AUTH TU | | Other Securities | | 347,577 | | | | 1,045,000 | | | NEW JERSEY ST TURNPIKE AUTH TU | | Other Securities | | 1,220,977 | | | | 12,467,000 | | | U S TREASURY BD PRIN STRIP | | U. S. GOVERNMENT SECURITIES | | 3,014,402 | | | | 4,087,694 | | | GNMA GTD REMIC P/T 22-H08 FE | | U. S. GOVERNMENT SECURITIES | | 4,084,294 | | | | 4,195,164 | | | GNMA GTD REMIC P/T 23-H04 FC | | U. S. GOVERNMENT SECURITIES | | 4,209,249 | | | | 3,123,218 | | | GNMA GTD REMIC P/T 22-H09 FA | | U. S. GOVERNMENT SECURITIES | | 3,112,374 | | | | 2,209,993 | | | GNMA GTD REMIC P/T 21-H19 FM | | U. S. GOVERNMENT SECURITIES | | 2,214,321 | | | | 1,599,467 | | | GNMA GTD REMIC P/T 23-H13 FJ | | U. S. GOVERNMENT SECURITIES | | 1,635,828 | | | | 201,115 | | | GNMA GTD REMIC P/T 19-H17 FA | | U. S. GOVERNMENT SECURITIES | | 203,467 | | | | 449,296 | | | GNMA GTD REMIC P/T 19-H17 FB | | U. S. GOVERNMENT SECURITIES | | 448,768 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 100,379 | | | GNMA GTD REMIC P/T 18-H04 FK | | U. S. GOVERNMENT SECURITIES | | 100,260 | | | | 177,646 | | | GNMA GTD REMIC P/T 18-H04 FJ | | U. S. GOVERNMENT SECURITIES | | 177,995 | | | | 61,741 | | | GNMA GTD REMIC P/T 19-H04 FE | | U. S. GOVERNMENT SECURITIES | | 62,195 | | | | 87,153 | | | GNMA GTD REMIC P/T 19-H20 AF | | U. S. GOVERNMENT SECURITIES | | 87,017 | | | | 1,539,055 | | | GNMA GTD REMIC P/T 18-H20 FB | | U. S. GOVERNMENT SECURITIES | | 1,537,810 | | | | 143,140 | | | GNMA GTD REMIC P/T 19-H18 F | | U. S. GOVERNMENT SECURITIES | | 143,222 | | | | 122,345 | | | GNMA GTD REMIC P/T 19-H18 LF | | U. S. GOVERNMENT SECURITIES | | 122,224 | | | | 70,669 | | | GNMA GTD REMIC P/T 18-H19 FE | | U. S. GOVERNMENT SECURITIES | | 71,056 | | | | 101,828 | | | GNMA GTD REMIC P/T 18-H19 FG | | U. S. GOVERNMENT SECURITIES | | 102,048 | | | | 190,605 | | | GNMA GTD REMIC P/T 18-H17 DF | | U. S. GOVERNMENT SECURITIES | | 191,177 | | | | 62,161 | | | GNMA GTD REMIC P/T 19-H18 EF | | U. S. GOVERNMENT SECURITIES | | 62,545 | | | | 69,581 | | | GNMA GTD REMIC P/T 18-H15 FK | | U. S. GOVERNMENT SECURITIES | | 69,950 | | | | 36,500 | | | GNMA GTD REMIC P/T 19-H16 FC | | U. S. GOVERNMENT SECURITIES | | 36,733 | | | | 125,578 | | | GNMA GTD REMIC P/T 18-H10 FV | | U. S. GOVERNMENT SECURITIES | | 126,294 | | | | 46,698 | | | GNMA GTD REMIC P/T 18-H11 FA | | U. S. GOVERNMENT SECURITIES | | 46,869 | | | | 112,446 | | | GNMA GTD REMIC P/T 18-H09 FC | | U. S. GOVERNMENT SECURITIES | | 112,549 | | | | 130,813 | | | GNMA GTD REMIC P/T 19-H15 F | | U. S. GOVERNMENT SECURITIES | | 130,449 | | | | 126,360 | | | GNMA GTD REMIC P/T 18-H07 FA | | U. S. GOVERNMENT SECURITIES | | 126,138 | | | | 129,129 | | | GNMA GTD REMIC P/T 18-H06 JF | | U. S. GOVERNMENT SECURITIES | | 128,956 | | | | 40,519 | | | GNMA GTD REMIC P/T 18-H06 MF | | U. S. GOVERNMENT SECURITIES | | 40,619 | | | | 121,126 | | | GNMA GTD REMIC P/T 18-H06 EF | | U. S. GOVERNMENT SECURITIES | | 120,987 | | | | 78,131 | | | GNMA GTD REMIC P/T 18-H06 BF | | U. S. GOVERNMENT SECURITIES | | 77,933 | | | | 102,383 | | | GNMA GTD REMIC P/T 18-H06 AF | | U. S. GOVERNMENT SECURITIES | | 102,653 | | | | 131,485 | | | GNMA GTD REMIC P/T 18-H05 FE | | U. S. GOVERNMENT SECURITIES | | 131,825 | | | | 125,255 | | | GNMA GTD REMIC P/T 18-H05 BF | | U. S. GOVERNMENT SECURITIES | | 125,525 | | | | 427,724 | | | GNMA GTD REMIC P/T 20-H06 FA | | U. S. GOVERNMENT SECURITIES | | 425,718 | | | | 22,790 | | | GNMA GTD REMIC P/T 16-H21 CF | | U. S. GOVERNMENT SECURITIES | | 22,977 | | | | 19,502 | | | GNMA GTD REMIC P/T 16-H09 FM | | U. S. GOVERNMENT SECURITIES | | 19,603 | | | | 28,241 | | | GNMA GTD REMIC P/T 16-H09 FH | | U. S. GOVERNMENT SECURITIES | | 28,378 | | | | 135,509 | | | GNMA GTD REMIC P/T 17-H03 F | | U. S. GOVERNMENT SECURITIES | | 136,157 | | | | 31,141 | | | GNMA GTD REMIC P/T 16-H02 FB | | U. S. GOVERNMENT SECURITIES | | 31,218 | | | | 41,681 | | | GNMA GTD REMIC P/T 16-H27 BF | | U. S. GOVERNMENT SECURITIES | | 41,912 | | | | 32,020 | | | GNMA GTD REMIC P/T 16-H24 FB | | U. S. GOVERNMENT SECURITIES | | 32,137 | | | | 57,433 | | | GNMA GTD REMIC P/T 16-H23 F | | U. S. GOVERNMENT SECURITIES | | 57,603 | | | | 35,571 | | | GNMA GTD REMIC P/T 17-H18 GF | | U. S. GOVERNMENT SECURITIES | | 35,821 | | | | 33,443 | | | GNMA GTD REMIC P/T 17-H14 FA | | U. S. GOVERNMENT SECURITIES | | 33,604 | | | | 28,145 | | | GNMA GTD REMIC P/T 17-H11 FB | | U. S. GOVERNMENT SECURITIES | | 28,321 | | | | 71,512 | | | GNMA GTD REMIC P/T 17-H12 FQ | | U. S. GOVERNMENT SECURITIES | | 71,833 | | | | 45,057 | | | GNMA GTD REMIC P/T 17-H08 FG | | U. S. GOVERNMENT SECURITIES | | 45,286 | | | | 42,233 | | | GNMA GTD REMIC P/T 17-H10 FA | | U. S. GOVERNMENT SECURITIES | | 42,488 | | | | 92,020 | | | GNMA GTD REMIC P/T 17-H25 CF | | U. S. GOVERNMENT SECURITIES | | 92,402 | | | | 51,949 | | | GNMA GTD REMIC P/T 17-H02 FP | | U. S. GOVERNMENT SECURITIES | | 52,212 | | | | 133,309 | | | GNMA GTD REMIC P/T 17-H02 BF | | U. S. GOVERNMENT SECURITIES | | 133,931 | | | | 354,893 | | | GNMA GTD REMIC P/T 17-H22 FA | | U. S. GOVERNMENT SECURITIES | | 356,381 | | | | 44,625 | | | GNMA GTD REMIC P/T 17-H22 FH | | U. S. GOVERNMENT SECURITIES | | 44,807 | | | | 32,023 | | | FHLMC POOL #G3-0683 | | U. S. GOVERNMENT SECURITIES | | 31,849 | | | | 56,784 | | | FHLMC POOL #G0-6875 | | U. S. GOVERNMENT SECURITIES | | 59,469 | | | | 48,976 | | | FHLMC POOL #G0-6447 | | U. S. GOVERNMENT SECURITIES | | 49,420 | | | | 31,603 | | | FHLMC POOL #G0-7775 | | U. S. GOVERNMENT SECURITIES | | 31,698 | | | | 235,586 | | | FHLMC POOL #G0-7942 | | U. S. GOVERNMENT SECURITIES | | 236,489 | | | | 47,710 | | | FHLMC POOL #G0-8607 | | U. S. GOVERNMENT SECURITIES | | 47,736 | | | | 55,625 | | | FHLMC POOL #G0-8696 | | U. S. GOVERNMENT SECURITIES | | 55,654 | | | | 89,786 | | | FHLMC POOL #G0-8699 | | U. S. GOVERNMENT SECURITIES | | 87,046 | | | | 38,744 | | | FHLMC POOL #G0-8707 | | U. S. GOVERNMENT SECURITIES | | 37,557 | | | | 58,730 | | | FHLMC POOL #C9-1765 | | U. S. GOVERNMENT SECURITIES | | 58,322 | | | | 46,891 | | | FHLMC POOL #C9-1769 | | U. S. GOVERNMENT SECURITIES | | 46,565 | | | | 35,188 | | | FHLMC POOL #C9-1795 | | U. S. GOVERNMENT SECURITIES | | 34,896 | | | | 33,375 | | | FHLMC POOL #C9-1382 | | U. S. GOVERNMENT SECURITIES | | 33,667 | | | | 45,875 | | | FHLMC POOL #C9-1395 | | U. S. GOVERNMENT SECURITIES | | 45,771 | | | | 30,837 | | | FHLMC POOL #C9-1862 | | U. S. GOVERNMENT SECURITIES | | 30,085 | | | | 57,866 | | | FHLMC POOL #C9-1841 | | U. S. GOVERNMENT SECURITIES | | 56,582 | | | | 77,208 | | | FHLMC POOL #C9-1853 | | U. S. GOVERNMENT SECURITIES | | 75,352 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 2,686,945 | | | FHLMC POOL #SD-0752 | | U. S. GOVERNMENT SECURITIES | | 2,322,794 | | | | 14,788,002 | | | FHLMC POOL #SD-1581 | | U. S. GOVERNMENT SECURITIES | | 12,615,113 | | | | 6,948,361 | | | FHLMC POOL #SD-6706 | | U. S. GOVERNMENT SECURITIES | | 6,809,494 | | | | 2,581,276 | | | FHLMC POOL #SD-7530 | | U. S. GOVERNMENT SECURITIES | | 2,232,100 | | | | 9,004,632 | | | FHLMC POOL #SD-7536 | | U. S. GOVERNMENT SECURITIES | | 7,785,612 | | | | 9,576,026 | | | FHLMC POOL #SD-8221 | | U. S. GOVERNMENT SECURITIES | | 8,891,563 | | | | 5,653,264 | | | FHLMC POOL #SD-8202 | | U. S. GOVERNMENT SECURITIES | | 5,270,132 | | | | 10,413,645 | | | FHLMC POOL #SD-8214 | | U. S. GOVERNMENT SECURITIES | | 9,669,312 | | | | 10,746,194 | | | FHLMC POOL #SD-8255 | | U. S. GOVERNMENT SECURITIES | | 9,978,091 | | | | 4,462,267 | | | FHLMC POOL #SD-8256 | | U. S. GOVERNMENT SECURITIES | | 4,262,288 | | | | 4,136,235 | | | FHLMC POOL #SD-8237 | | U. S. GOVERNMENT SECURITIES | | 3,952,741 | | | | 1,108,248 | | | FHLMC POOL #SD-8243 | | U. S. GOVERNMENT SECURITIES | | 1,029,034 | | | | 24,638,756 | | | FHLMC POOL #SD-8244 | | U. S. GOVERNMENT SECURITIES | | 23,545,709 | | | | 3,489,114 | | | FHLMC POOL #SD-8266 | | U. S. GOVERNMENT SECURITIES | | 3,423,548 | | | | 4,897,430 | | | FHLMC POOL #SD-8274 | | U. S. GOVERNMENT SECURITIES | | 4,675,740 | | | | 346,662 | | | FHLMC POOL #G3-0804 | | U. S. GOVERNMENT SECURITIES | | 344,137 | | | | 50,352 | | | FHLMC POOL #G3-0964 | | U. S. GOVERNMENT SECURITIES | | 49,216 | | | | 70,999 | | | FHLMC POOL #V8-3157 | | U. S. GOVERNMENT SECURITIES | | 70,308 | | | | 151,700 | | | FHLMC POOL #V8-3204 | | U. S. GOVERNMENT SECURITIES | | 150,142 | | | | 134,532 | | | FHLMC POOL #Q4-8372 | | U. S. GOVERNMENT SECURITIES | | 134,049 | | | | 29,501 | | | FHLMC POOL #G6-0819 | | U. S. GOVERNMENT SECURITIES | | 29,766 | | | | 113,228 | | | FHLMC POOL #G6-0887 | | U. S. GOVERNMENT SECURITIES | | 114,267 | | | | 70,021 | | | FHLMC POOL #G6-0153 | | U. S. GOVERNMENT SECURITIES | | 70,155 | | | | 69,144 | | | FHLMC POOL #G6-0198 | | U. S. GOVERNMENT SECURITIES | | 69,352 | | | | 37,438 | | | FHLMC POOL #G6-0342 | | U. S. GOVERNMENT SECURITIES | | 37,781 | | | | 48,867 | | | FHLMC POOL #G6-0384 | | U. S. GOVERNMENT SECURITIES | | 48,933 | | | | 85,843 | | | FHLMC POOL #G6-0914 | | U. S. GOVERNMENT SECURITIES | | 86,621 | | | | 80,127 | | | FHLMC POOL #G6-0920 | | U. S. GOVERNMENT SECURITIES | | 80,368 | | | | 140,276 | | | FHLMC POOL #G6-1185 | | U. S. GOVERNMENT SECURITIES | | 140,178 | | | | 104,197 | | | FHLMC POOL #G6-1169 | | U. S. GOVERNMENT SECURITIES | | 104,253 | | | | 50,706 | | | FHLMC POOL #G6-1220 | | U. S. GOVERNMENT SECURITIES | | 49,057 | | | | 31,352 | | | FHLMC POOL #G6-1230 | | U. S. GOVERNMENT SECURITIES | | 30,386 | | | | 101,491 | | | FHLMC POOL #G6-1289 | | U. S. GOVERNMENT SECURITIES | | 98,393 | | | | 118,527 | | | FHLMC POOL #G6-1290 | | U. S. GOVERNMENT SECURITIES | | 115,020 | | | | 111,511 | | | FHLMC POOL #QB-0320 | | U. S. GOVERNMENT SECURITIES | | 96,264 | | | | 169,747 | | | FHLMC POOL #QB-0354 | | U. S. GOVERNMENT SECURITIES | | 146,628 | | | | 2,982,681 | | | FHLMC POOL #QF-1212 | | U. S. GOVERNMENT SECURITIES | | 2,849,638 | | | | 295,214 | | | FHLMC POOL #RA-2623 | | U. S. GOVERNMENT SECURITIES | | 255,007 | | | | 374,768 | | | FHLMC POOL #RA-2892 | | U. S. GOVERNMENT SECURITIES | | 323,812 | | | | 788,695 | | | FHLMC POOL #RA-2957 | | U. S. GOVERNMENT SECURITIES | | 651,170 | | | | 419,906 | | | FHLMC POOL #RA-3019 | | U. S. GOVERNMENT SECURITIES | | 362,585 | | | | 13,932,635 | | | FHLMC POOL #RA-3050 | | U. S. GOVERNMENT SECURITIES | | 11,503,263 | | | | 935,919 | | | FHLMC POOL #RA-3454 | | U. S. GOVERNMENT SECURITIES | | 772,718 | | | | 2,673,419 | | | FNMA GTD REMIC P/T 18-28 PT | | U. S. GOVERNMENT SECURITIES | | 2,511,899 | | | | 2,203,035 | | | FHLMC MULTICLASS MTG 4818 ZB | | U. S. GOVERNMENT SECURITIES | | 2,090,391 | | | | 3,679,670 | | | FHLMC MULTICLASS MTG 5175 CA | | U. S. GOVERNMENT SECURITIES | | 3,245,096 | | | | 45,561 | | | FNMA POOL #0555424 | | U. S. GOVERNMENT SECURITIES | | 46,776 | | | | 171,895 | | | FNMA POOL #0AH6790 | | U. S. GOVERNMENT SECURITIES | | 173,252 | | | | 117,796 | | | FNMA POOL #0AL4160 | | U. S. GOVERNMENT SECURITIES | | 118,402 | | | | 78,485 | | | FNMA POOL #0AL5441 | | U. S. GOVERNMENT SECURITIES | | 78,523 | | | | 127,924 | | | FNMA POOL #0AL5856 | | U. S. GOVERNMENT SECURITIES | | 126,563 | | | | 77,071 | | | FNMA POOL #0AL5862 | | U. S. GOVERNMENT SECURITIES | | 77,280 | | | | 249,837 | | | FNMA POOL #0AL5863 | | U. S. GOVERNMENT SECURITIES | | 252,361 | | | | 57,580 | | | FNMA POOL #0AL5958 | | U. S. GOVERNMENT SECURITIES | | 57,333 | | | | 61,337 | | | FNMA POOL #0AL6138 | | U. S. GOVERNMENT SECURITIES | | 61,070 | | | | 61,826 | | | FNMA POOL #0AL6148 | | U. S. GOVERNMENT SECURITIES | | 61,195 | | | | 159,440 | | | FNMA POOL #0AL7147 | | U. S. GOVERNMENT SECURITIES | | 159,381 | | | | 50,429 | | | FNMA POOL #0AL6886 | | U. S. GOVERNMENT SECURITIES | | 50,438 | | | | 117,617 | | | FNMA POOL #0AL6932 | | U. S. GOVERNMENT SECURITIES | | 116,258 | | | | 56,316 | | | FNMA POOL #0AL7049 | | U. S. GOVERNMENT SECURITIES | | 56,419 | | | | 27,538 | | | FNMA POOL #0AL7205 | | U. S. GOVERNMENT SECURITIES | | 27,355 | | | | 183,983 | | | FNMA POOL #0AL7384 | | U. S. GOVERNMENT SECURITIES | | 185,078 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 183,322 | | | FNMA POOL #0AL9840 | | U. S. GOVERNMENT SECURITIES | | 180,498 | | | | 119,327 | | | FNMA POOL #0AL9128 | | U. S. GOVERNMENT SECURITIES | | 120,305 | | | | 80,834 | | | FNMA POOL #0AL9407 | | U. S. GOVERNMENT SECURITIES | | 80,840 | | | | 102,620 | | | FNMA POOL #0AL9579 | | U. S. GOVERNMENT SECURITIES | | 103,419 | | | | 58,532 | | | FNMA POOL #0AL8338 | | U. S. GOVERNMENT SECURITIES | | 58,591 | | | | 36,679 | | | FNMA POOL #0AL8675 | | U. S. GOVERNMENT SECURITIES | | 36,965 | | | | 94,504 | | | FNMA POOL #0AL8830 | | U. S. GOVERNMENT SECURITIES | | 94,132 | | | | 42,343 | | | FNMA POOL #0AS2275 | | U. S. GOVERNMENT SECURITIES | | 42,351 | | | | 40,387 | | | FNMA POOL #0AS4099 | | U. S. GOVERNMENT SECURITIES | | 40,361 | | | | 99,345 | | | FNMA POOL #0AS5841 | | U. S. GOVERNMENT SECURITIES | | 96,292 | | | | 103,475 | | | FNMA POOL #0AS5842 | | U. S. GOVERNMENT SECURITIES | | 100,274 | | | | 189,764 | | | FNMA POOL #0AS8983 | | U. S. GOVERNMENT SECURITIES | | 188,939 | | | | 52,957 | | | FNMA POOL #0AS8700 | | U. S. GOVERNMENT SECURITIES | | 52,836 | | | | 139,812 | | | FNMA POOL #0AS8833 | | U. S. GOVERNMENT SECURITIES | | 139,549 | | | | 15,922 | | | FNMA POOL #0AU6687 | | U. S. GOVERNMENT SECURITIES | | 15,829 | | | | 61,773 | | | FNMA POOL #0AX7607 | | U. S. GOVERNMENT SECURITIES | | 59,913 | | | | 46,698 | | | FNMA GTD REMIC P/T 10-123 WT | | U. S. GOVERNMENT SECURITIES | | 49,255 | | | | 35,026 | | | FNMA POOL #0725228 | | U. S. GOVERNMENT SECURITIES | | 36,445 | | | | 46,515 | | | FNMA POOL #0725330 | | U. S. GOVERNMENT SECURITIES | | 48,314 | | | | 592,523 | | | FNMA POOL #0BF0107 | | U. S. GOVERNMENT SECURITIES | | 578,580 | | | | 156,932 | | | FNMA POOL #0BF0118 | | U. S. GOVERNMENT SECURITIES | | 152,462 | | | | 104,063 | | | FNMA POOL #0BF0199 | | U. S. GOVERNMENT SECURITIES | | 104,316 | | | | 192,369 | | | FNMA POOL #0BJ9262 | | U. S. GOVERNMENT SECURITIES | | 191,295 | | | | 33,918 | | | FNMA POOL #0BM1063 | | U. S. GOVERNMENT SECURITIES | | 34,215 | | | | 50,387 | | | FNMA POOL #0BM1106 | | U. S. GOVERNMENT SECURITIES | | 50,780 | | | | 71,618 | | | FNMA POOL #0BM1176 | | U. S. GOVERNMENT SECURITIES | | 72,176 | | | | 113,986 | | | FNMA POOL #0BM1357 | | U. S. GOVERNMENT SECURITIES | | 114,508 | | | | 72,631 | | | FNMA POOL #0BM1647 | | U. S. GOVERNMENT SECURITIES | | 72,225 | | | | 60,841 | | | FNMA POOL #0BM3363 | | U. S. GOVERNMENT SECURITIES | | 58,484 | | | | 290,869 | | | FNMA POOL #0BM3386 | | U. S. GOVERNMENT SECURITIES | | 281,930 | | | | 549,792 | | | FNMA POOL #0BM4804 | | U. S. GOVERNMENT SECURITIES | | 544,900 | | | | 45,201 | | | FNMA POOL #0BM5117 | | U. S. GOVERNMENT SECURITIES | | 44,949 | | | | 127,788 | | | FNMA POOL #0BM5704 | | U. S. GOVERNMENT SECURITIES | | 129,929 | | | | 1,261,641 | | | FNMA POOL #0BU8931 | | U. S. GOVERNMENT SECURITIES | | 1,171,463 | | | | 1,996,509 | | | FNMA POOL #0BV5583 | | U. S. GOVERNMENT SECURITIES | | 1,906,299 | | | | 61,536 | | | FNMA POOL #0CA5443 | | U. S. GOVERNMENT SECURITIES | | 56,418 | | | | 710,605 | | | FNMA POOL #0CA6035 | | U. S. GOVERNMENT SECURITIES | | 614,148 | | | | 8,874,006 | | | FNMA POOL #0CA6329 | | U. S. GOVERNMENT SECURITIES | | 7,669,476 | | | | 8,227,024 | | | FNMA POOL #0CA6564 | | U. S. GOVERNMENT SECURITIES | | 7,110,317 | | | | 7,118,608 | | | FNMA POOL #0CA8099 | | U. S. GOVERNMENT SECURITIES | | 5,883,498 | | | | 3,504,369 | | | FNMA POOL #0CA7241 | | U. S. GOVERNMENT SECURITIES | | 3,032,257 | | | | 5,539,497 | | | FNMA POOL #0CA7728 | | U. S. GOVERNMENT SECURITIES | | 4,789,345 | | | | 5,815,325 | | | FNMA POOL #0CA8441 | | U. S. GOVERNMENT SECURITIES | | 4,801,869 | | | | 11,690,719 | | | FNMA POOL #0CB3576 | | U. S. GOVERNMENT SECURITIES | | 10,505,616 | | | | 9,772,091 | | | FNMA POOL #0CB3595 | | U. S. GOVERNMENT SECURITIES | | 9,103,397 | | | | 31,469,432 | | | FNMA POOL #0FA0303 | | U. S. GOVERNMENT SECURITIES | | 31,041,479 | | | | 215,875 | | | FNMA POOL #0FM3473 | | U. S. GOVERNMENT SECURITIES | | 186,456 | | | | 487,726 | | | FNMA POOL #0FM3478 | | U. S. GOVERNMENT SECURITIES | | 421,412 | | | | 6,724,890 | | | FNMA POOL #0FM7599 | | U. S. GOVERNMENT SECURITIES | | 6,281,592 | | | | 403,886 | | | FNMA POOL #0FM8768 | | U. S. GOVERNMENT SECURITIES | | 349,058 | | | | 3,611,482 | | | FNMA POOL #0FS1083 | | U. S. GOVERNMENT SECURITIES | | 3,114,731 | | | | 16,026,062 | | | FNMA POOL #0FS1453 | | U. S. GOVERNMENT SECURITIES | | 14,983,405 | | | | 13,562,626 | | | FNMA POOL #0FS2140 | | U. S. GOVERNMENT SECURITIES | | 12,634,452 | | | | 8,310,290 | | | FNMA POOL #0FS3427 | | U. S. GOVERNMENT SECURITIES | | 7,941,630 | | | | 3,838,007 | | | FNMA POOL #0FS3743 | | U. S. GOVERNMENT SECURITIES | | 3,593,138 | | | | 3,101,861 | | | FNMA POOL #0FS7754 | | U. S. GOVERNMENT SECURITIES | | 2,959,623 | | | | 3,059,765 | | | FNMA POOL #0FS9443 | | U. S. GOVERNMENT SECURITIES | | 2,996,219 | | | | 2,096,289 | | | FNMA POOL #0FS9432 | | U. S. GOVERNMENT SECURITIES | | 1,986,103 | | | | 48,933 | | | FNMA POOL #0995788 | | U. S. GOVERNMENT SECURITIES | | 50,197 | | | | 48,666 | | | FNMA POOL #0MA0792 | | U. S. GOVERNMENT SECURITIES | | 49,075 | | | | 72,364 | | | FNMA POOL #0MA0816 | | U. S. GOVERNMENT SECURITIES | | 72,928 | | | | 77,292 | | | FNMA POOL #0MA1689 | | U. S. GOVERNMENT SECURITIES | | 76,770 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 121,662 | | | FNMA POOL #0MA1764 | | U. S. GOVERNMENT SECURITIES | | 120,816 | | | | 112,085 | | | FNMA POOL #0MA1773 | | U. S. GOVERNMENT SECURITIES | | 111,285 | | | | 133,886 | | | FNMA POOL #0MA1662 | | U. S. GOVERNMENT SECURITIES | | 133,012 | | | | 139,256 | | | FNMA POOL #0MA1814 | | U. S. GOVERNMENT SECURITIES | | 138,230 | | | | 86,602 | | | FNMA POOL #0MA1858 | | U. S. GOVERNMENT SECURITIES | | 85,945 | | | | 101,797 | | | FNMA POOL #0MA1890 | | U. S. GOVERNMENT SECURITIES | | 101,002 | | | | 53,117 | | | FNMA POOL #0MA1960 | | U. S. GOVERNMENT SECURITIES | | 52,679 | | | | 163,368 | | | FNMA POOL #0MA1983 | | U. S. GOVERNMENT SECURITIES | | 162,021 | | | | 91,051 | | | FNMA POOL #0MA2019 | | U. S. GOVERNMENT SECURITIES | | 90,259 | | | | 119,603 | | | FNMA POOL #0MA2055 | | U. S. GOVERNMENT SECURITIES | | 118,564 | | | | 108,395 | | | FNMA POOL #0MA2079 | | U. S. GOVERNMENT SECURITIES | | 107,429 | | | | 109,912 | | | FNMA POOL #0MA2121 | | U. S. GOVERNMENT SECURITIES | | 108,881 | | | | 56,869 | | | FNMA POOL #0MA2141 | | U. S. GOVERNMENT SECURITIES | | 56,336 | | | | 36,795 | | | FNMA POOL #0MA2447 | | U. S. GOVERNMENT SECURITIES | | 35,896 | | | | 37,553 | | | FNMA POOL #0MA2480 | | U. S. GOVERNMENT SECURITIES | | 37,162 | | | | 324,120 | | | FNMA POOL #0MA2923 | | U. S. GOVERNMENT SECURITIES | | 317,926 | | | | 38,587 | | | FNMA POOL #0MA3894 | | U. S. GOVERNMENT SECURITIES | | 38,462 | | | | 3,189,962 | | | FNMA POOL #0MA3960 | | U. S. GOVERNMENT SECURITIES | | 2,854,647 | | | | 7,140,764 | | | FNMA POOL #0MA4626 | | U. S. GOVERNMENT SECURITIES | | 6,823,990 | | | | 9,090,362 | | | FNMA POOL #0MA4600 | | U. S. GOVERNMENT SECURITIES | | 8,440,613 | | | | 3,303,532 | | | FNMA POOL #0MA4654 | | U. S. GOVERNMENT SECURITIES | | 3,067,407 | | | | 4,182,252 | | | FNMA POOL #0MA4631 | | U. S. GOVERNMENT SECURITIES | | 3,756,590 | | | | 5,739,223 | | | FNMA POOL #0MA4700 | | U. S. GOVERNMENT SECURITIES | | 5,457,363 | | | | 2,588,175 | | | FNMA POOL #0MA4732 | | U. S. GOVERNMENT SECURITIES | | 2,469,149 | | | | 3,771,583 | | | FNMA POOL #0MA4933 | | U. S. GOVERNMENT SECURITIES | | 3,502,003 | | | | 2,725,229 | | | FNMA POOL #0MA5070 | | U. S. GOVERNMENT SECURITIES | | 2,671,477 | | | | 44,382,727 | | | FNMA POOL #0MA5551 | | U. S. GOVERNMENT SECURITIES | | 43,392,519 | | | | 54,405 | | | FNMA POOL #0AD8529 | | U. S. GOVERNMENT SECURITIES | | 54,849 | | | | 108,082 | | | FNMA POOL #0AE3049 | | U. S. GOVERNMENT SECURITIES | | 108,997 | | | | 23,678 | | | FNMA POOL #0AE4624 | | U. S. GOVERNMENT SECURITIES | | 23,214 | | | | 4,509,509 | | | FHLMC POOL #SL-3293 | | U. S. GOVERNMENT SECURITIES | | 4,408,899 | | | | 56,473 | | | FREDDIE MAC SEASONED CR 4 M45T | | U. S. GOVERNMENT SECURITIES | | 55,782 | | | | 1,076,787 | | | GNMA GTD REMIC P/T 10-115 Z | | U. S. GOVERNMENT SECURITIES | | 1,085,679 | | | | 4,245,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 2,979,957 | | | | 1,728,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 1,243,350 | | | | 5,908,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 5,010,723 | | | | 4,249,725 | | | US TREAS-CPI INFLAT | | U. S. GOVERNMENT SECURITIES | | 3,320,679 | | | | 3,833,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 3,114,612 | | | | 30,247,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 26,892,655 | | | | 22,444,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 20,380,204 | | | | 9,949,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 9,164,739 | | | | 3,796,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 3,596,117 | | | | 11,199,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 11,014,391 | | | | 3,461,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 3,333,781 | | | | 2,688,819 | | | US TREAS-CPI INFLAT | | U. S. GOVERNMENT SECURITIES | | 2,556,551 | | | | 8,632,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 8,619,524 | | | | 3,765,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 3,879,127 | | | | 5,742,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 5,556,282 | | | | 3,301,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 3,237,559 | | | | 33,244,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 33,592,023 | | | | 3,890,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 3,926,469 | | | | 10,269,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 10,143,847 | | | | 2,608,877 | | | FHLMC POOL #84-1677 | | U. S. GOVERNMENT SECURITIES | | 2,460,277 | | | | 13,713 | | | FHLMC POOL #84-0940 | | U. S. GOVERNMENT SECURITIES | | 14,302 | | | | 4,808,021 | | | FHLMC POOL #84-1463 | | U. S. GOVERNMENT SECURITIES | | 4,401,489 | | | | 21,101 | | | FHLMC POOL #84-9777 | | U. S. GOVERNMENT SECURITIES | | 21,923 | | | | 82,585 | | | FHLMC POOL #84-9327 | | U. S. GOVERNMENT SECURITIES | | 85,847 | | | | 18,949 | | | FHLMC POOL #84-9536 | | U. S. GOVERNMENT SECURITIES | | 19,704 | | | | 16,529 | | | FHLMC POOL #84-9713 | | U. S. GOVERNMENT SECURITIES | | 17,168 | | | | 83,631 | | | FHLMC POOL #84-0286 | | U. S. GOVERNMENT SECURITIES | | 86,849 | | | | 8,370 | | | FHLMC POOL #84-0353 | | U. S. GOVERNMENT SECURITIES | | 8,686 | | | | 19,921 | | | FHLMC POOL #84-0385 | | U. S. GOVERNMENT SECURITIES | | 20,710 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 53,529 | | | FNMA GTD REMIC P/T 13-98 FA | | U. S. GOVERNMENT SECURITIES | | 53,113 | | | | 111,726 | | | FHLMC MULTICLASS MTG 4283 DW | | U. S. GOVERNMENT SECURITIES | | 111,890 | | | | 68,658 | | | FHLMC MULTICLASS MTG 4283 EW | | U. S. GOVERNMENT SECURITIES | | 69,199 | | | | 189,493 | | | FHLMC MULTICLASS MTG 4281 BC | | U. S. GOVERNMENT SECURITIES | | 191,311 | | | | 37,804 | | | FHLMC MULTICLASS MTG 4319 MA | | U. S. GOVERNMENT SECURITIES | | 38,167 | | | | 814,090 | | | FHLMC MULTICLASS MTG K152 X1 | | U. S. GOVERNMENT SECURITIES | | 29,412 | | | | 665,218 | | | FHLMC MULTICLASS MTG K055 X1 | | U. S. GOVERNMENT SECURITIES | | 726 | | | | 205,651 | | | FHLMC MULTICLASS MT | | U. S. GOVERNMENT SECURITIES | | 403 | | | | 1,997,528 | | | FHLMC MULTICLASS MT | | U. S. GOVERNMENT SECURITIES | | 5,123 | | | | 2,521,156 | | | FHLMC MULTICLASS MT | | U. S. GOVERNMENT SECURITIES | | 13,669 | | | | 3,052,402 | | | FHLMC MULTICLASS MT | | U. S. GOVERNMENT SECURITIES | | 22,116 | | | | 2,443,594 | | | FHLMC MULTICLASS MTG K066 X1 | | U. S. GOVERNMENT SECURITIES | | 19,014 | | | | 3,138,892 | | | FHLMC MULTICLASS MT | | U. S. GOVERNMENT SECURITIES | | 21,697 | | | | 620,695 | | | FHLMC MULTICLASS MT | | U. S. GOVERNMENT SECURITIES | | 3,143 | | | | 1,320,188 | | | FHLMC MULTICLASS MT | | U. S. GOVERNMENT SECURITIES | | 6,768 | | | | 1,699,928 | | | FHLMC MULTICLASS MTG K071 X1 | | U. S. GOVERNMENT SECURITIES | | 7,260 | | | | 2,480,658 | | | FHLMC MULTICLASS MTG K154 X1 | | U. S. GOVERNMENT SECURITIES | | 35,385 | | | | 3,554,817 | | | FHLMC MULTICLASS MTG K089 X1 | | U. S. GOVERNMENT SECURITIES | | 51,628 | | | | 1,770,487 | | | FHLMC MULTICLASS MT | | U. S. GOVERNMENT SECURITIES | | 29,218 | | | | 1,212,702 | | | FHLMC MULTICLASS MTG 1511 X1 | | U. S. GOVERNMENT SECURITIES | | 54,400 | | | | 3,339,268 | | | FHLMC MULTICLASS MTG K092 X1 | | U. S. GOVERNMENT SECURITIES | | 66,298 | | | | 1,509,235 | | | FHLMC MULTICLASS MT | | U. S. GOVERNMENT SECURITIES | | 40,023 | | | | 2,216,241 | | | FHLMC MULTICLASS MT | | U. S. GOVERNMENT SECURITIES | | 59,260 | | | | 1,517,785 | | | FHLMC MULTICLASS MTG K095 X1 | | U. S. GOVERNMENT SECURITIES | | 41,946 | | | | 3,674,178 | | | FHLMC MULTICLASS MTG K096 X1 | | U. S. GOVERNMENT SECURITIES | | 119,971 | | | | 1,673,612 | | | FHLMC MULTICLASS MTG K097 X1 | | U. S. GOVERNMENT SECURITIES | | 56,468 | | | | 3,256,704 | | | FHLMC MULTICLASS MTG K098 X1 | | U. S. GOVERNMENT SECURITIES | | 114,181 | | | | 3,513,909 | | | FHLMC MULTICLASS MTG K099 X1 | | U. S. GOVERNMENT SECURITIES | | 95,859 | | | | 1,360,807 | | | FHLMC MULTICLASS MTG K101 X1 | | U. S. GOVERNMENT SECURITIES | | 37,049 | | | | 3,809,782 | | | FHLMC MULTICLASS MTG K102 X1 | | U. S. GOVERNMENT SECURITIES | | 100,221 | | | | 969,224 | | | FHLMC MULTICLASS MTG 5524 FM | | U. S. GOVERNMENT SECURITIES | | 971,447 | | | | 126,026 | | | FNMA POOL #0AL5548 | | U. S. GOVERNMENT SECURITIES | | 131,214 | | | | 16,564 | | | FNMA POOL #0AL5858 | | U. S. GOVERNMENT SECURITIES | | 17,274 | | | | 17,178 | | | FNMA POOL #0AL5964 | | U. S. GOVERNMENT SECURITIES | | 17,883 | | | | 14,924 | | | FNMA POOL #0AL6111 | | U. S. GOVERNMENT SECURITIES | | 15,504 | | | | 19,395 | | | FNMA POOL #0AL6664 | | U. S. GOVERNMENT SECURITIES | | 20,259 | | | | 99,748 | | | FNMA POOL #0AL9098 | | U. S. GOVERNMENT SECURITIES | | 103,748 | | | | 13,678 | | | FNMA POOL #0AL8133 | | U. S. GOVERNMENT SECURITIES | | 14,225 | | | | 27,553 | | | FNMA POOL #0AL8289 | | U. S. GOVERNMENT SECURITIES | | 28,632 | | | | 29,330 | | | FNMA POOL #0AL8486 | | U. S. GOVERNMENT SECURITIES | | 30,462 | | | | 7,390 | | | FNMA POOL #0BH1189 | | U. S. GOVERNMENT SECURITIES | | 7,675 | | | | 17,788 | | | FNMA POOL #0BH2522 | | U. S. GOVERNMENT SECURITIES | | 18,497 | | | | 7,435 | | | FNMA POOL #0BH5298 | | U. S. GOVERNMENT SECURITIES | | 7,733 | | | | 10,952 | | | FNMA POOL #0BM1695 | | U. S. GOVERNMENT SECURITIES | | 11,403 | | | | 52,421 | | | FNMA POOL #0BM3836 | | U. S. GOVERNMENT SECURITIES | | 54,472 | | | | 8,420 | | | FNMA POOL #0BM5045 | | U. S. GOVERNMENT SECURITIES | | 8,754 | | | | 31,047 | | | FNMA POOL #0BM6102 | | U. S. GOVERNMENT SECURITIES | | 32,164 | | | | 65,767 | | | FNMA POOL #0BM6108 | | U. S. GOVERNMENT SECURITIES | | 64,818 | | | | 12,856 | | | FNMA POOL #0BM6112 | | U. S. GOVERNMENT SECURITIES | | 13,335 | | | | 48,052 | | | FNMA POOL #0BM6115 | | U. S. GOVERNMENT SECURITIES | | 46,944 | | | | 67,710 | | | FNMA POOL #0BM6117 | | U. S. GOVERNMENT SECURITIES | | 70,540 | | | | 10,018,716 | | | FNMA POOL #0BM6908 | | U. S. GOVERNMENT SECURITIES | | 9,522,885 | | | | 45,217 | | | GNMA GTD REMIC P/T 18-H01 FE | | U. S. GOVERNMENT SECURITIES | | 45,342 | | | | 236,089 | | | GNMA GTD REMIC P/T 18-H03 FD | | U. S. GOVERNMENT SECURITIES | | 236,051 | | | | 76,424 | | | GNMA GTD REMIC P/T 18-H02 FA | | U. S. GOVERNMENT SECURITIES | | 76,590 | | | | 140,080 | | | GNMA GTD REMIC P/T 18-H02 GF | | U. S. GOVERNMENT SECURITIES | | 140,321 | | | | 269,265 | | | GNMA GTD REMIC P/T 18-H02 HF | | U. S. GOVERNMENT SECURITIES | | 269,853 | | | | 90,527 | | | GNMA GTD REMIC P/T 18-H02 PF | | U. S. GOVERNMENT SECURITIES | | 90,822 | | | | 142,489 | | | GNMA GTD REMIC P/T 18-H02 FM | | U. S. GOVERNMENT SECURITIES | | 142,725 | | | | 195,504 | | | GNMA GTD REMIC P/T 17-H13 FQ | | U. S. GOVERNMENT SECURITIES | | 196,329 | | | | 38,179 | | | GNMA GTD REMIC P/T 17-H16 BF | | U. S. GOVERNMENT SECURITIES | | 38,365 | | | | 136,927 | | | GNMA GTD REMIC P/T 17-H17 FQ | | U. S. GOVERNMENT SECURITIES | | 137,892 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 66,313 | | | GNMA GTD REMIC P/T 17-H17 FB | | U. S. GOVERNMENT SECURITIES | | 66,390 | | | | 94,606 | | | GNMA GTD REMIC P/T 17-H20 FB | | U. S. GOVERNMENT SECURITIES | | 95,127 | | | | 330,660 | | | GNMA GTD REMIC P/T 17-H20 BF | | U. S. GOVERNMENT SECURITIES | | 332,438 | | | | 174,237 | | | GNMA GTD REMIC P/T 17-H20 FG | | U. S. GOVERNMENT SECURITIES | | 175,182 | | | | 48,169 | | | GNMA GTD REMIC P/T 17-H21 FA | | U. S. GOVERNMENT SECURITIES | | 48,418 | | | | 32,070 | | | GNMA GTD REMIC P/T 17-H22 FK | | U. S. GOVERNMENT SECURITIES | | 32,197 | | | | 433,000 | | | WARNER MUSIC 9/24 TLB | | Corporate Bonds | | 433,948 | | | | 208,897 | | | TRANSDIGM 9/25 COV-LITE TLK | | Corporate Bonds | | 209,463 | | | | 1,344,344 | | | TRANSUNION 6/24 B8 COV-LITE TL | | Corporate Bonds | | 1,346,535 | | | | 185,771 | | | SRAM 2/25 COV-LITE TLB | | Corporate Bonds | | 185,771 | | | | 448,500 | | | SANDISK 2/25 COV-LITE TLB | | Corporate Bonds | | 450,743 | | | | 540,314 | | | SS&C TECHNOLOGIES 5/24 B8 COV- | | Corporate Bonds | | 543,259 | | | | 1,423,833 | | | SBA COMMUNICATIONS/SBA FINANCE | | Corporate Bonds | | 1,429,016 | | | | 710,788 | | | RENT-A-CENTER/UPBOUND GROUP 8/ | | Corporate Bonds | | 714,342 | | | | 1,025,614 | | | QUIKRETE 2/25 COV-LITE TLB1 | | Corporate Bonds | | 1,028,230 | | | | 407,950 | | | QUIKRETE 2/25 COV-LITE TLB3 | | Corporate Bonds | | 409,117 | | | | 216,440 | | | QUIKRETE 3/24 TLB | | Corporate Bonds | | 217,160 | | | | 1,902,541 | | | PETSMART 7/25 TLB | | Corporate Bonds | | 1,892,438 | | | | 754,466 | | | OPEN TEXT 8/23 TLB | | Corporate Bonds | | 754,564 | | | | 697,178 | | | NOVELIS 2/25 COV-LITE TLB | | Corporate Bonds | | 699,499 | | | | 567,254 | | | SYMANTEC/NORTONLIFELOCK/GEN DI | | Corporate Bonds | | 567,883 | | | | 758,588 | | | MKS INSTRUMENTS 1/25 (USD) TL | | Corporate Bonds | | 761,274 | | | | 1,183,938 | | | IRON MOUNTAIN 12/23 TLB | | Corporate Bonds | | 1,182,458 | | | | 1,186,817 | | | INTERNATIONAL SOS 6/24 TLB | | Corporate Bonds | | 1,191,267 | | | | 1,177,065 | | | HILTON GRAND 1/24 INCREMENTAL | | Corporate Bonds | | 1,170,520 | | | | 461,239 | | | HILTON GRAND 5/21 COV-LITE TLB | | Corporate Bonds | | 462,277 | | | | 367,225 | | | FRONTDOOR 12/24 COV-LITE TLB | | Corporate Bonds | | 369,061 | | | | 325,000 | | | ELANCO ANIMAL HEALTH 10/25 COV | | Corporate Bonds | | 325,338 | | | | 1,048,761 | | | DISCOVERY ENERGY/KOHLER ENERGY | | Corporate Bonds | | 1,053,481 | | | | 1,402,461 | | | CITADEL SECURITIES 10/24 TLB | | Corporate Bonds | | 1,409,305 | | | | 295,000 | | | CALPINE 1/24 B5 TL | | Corporate Bonds | | 294,894 | | | | 1,134,116 | | | CALPINE 1/24 B10 TL | | Corporate Bonds | | 1,133,991 | | | | 749,093 | | | CAESARS ENTERTAINMENT 1/24 TL | | Corporate Bonds | | 741,602 | | | | 843,119 | | | ASURION 6/25 B13 TLB | | Corporate Bonds | | 842,461 | | | | 935,505 | | | ASURION 9/24 B12 TLB | | Corporate Bonds | | 935,066 | | | | 766,630 | | | ARAMARK 12/25 TL | | Corporate Bonds | | 768,240 | | | | 431,355 | | | ARAMARK 8/25 TL | | Corporate Bonds | | 431,679 | | | | 888,253 | | | ABC SUPPLY 1/24 TLB | | Corporate Bonds | | 891,264 | | | | 706,000 | | | WEC ENERGY GROUP INC | | Corporate Bonds | | 711,618 | | | | 182,622 | | | WFRBS COMMERCIAL MOR C4 D 144A | | Corporate Bonds | | 179,572 | | | | 310,002 | | | VCAT 2025-NPL1 LL NPL1 A1 144A | | Corporate Bonds | | 311,114 | | | | 139,883 | | | TOWD POINT MORTGAGE 3 A1 144A | | Corporate Bonds | | 137,838 | | | | 304,940 | | | TOWD POINT MORTGAGE 2 M2 144A | | Corporate Bonds | | 295,653 | | | | 330,000 | | | TOORAK MORTGAGE RRTL1 A1 144A | | Corporate Bonds | | 331,262 | | | | 610,000 | | | SYNCHRONY FINANCIAL | | Corporate Bonds | | 625,885 | | | | 440,771 | | | SMB PRIVATE EDUCATIO C A2 144A | | Corporate Bonds | | 437,472 | | | | 14,862 | | | SEQUOIA MORTGAGE T CH1 A1 144A | | Corporate Bonds | | 13,956 | | | | 3,243 | | | SEQUOIA MORTGAGE T CH3 A2 144A | | Corporate Bonds | | 3,223 | | | | 1,898 | | | SEQUOIA MORTGAGE T CH1 A1 144A | | Corporate Bonds | | 1,805 | | | | 1,491,000 | | | SANTANDER HOLDINGS USA INC | | Corporate Bonds | | 1,465,634 | | | | 830,000 | | | PNC FINANCIAL SERVICES GROUP I | | Corporate Bonds | | 850,422 | | | | 25,646 | | | OBX 2018-EXP1 TR EXP1 1A3 144A | | Corporate Bonds | | 24,491 | | | | 2,240,000 | | | MORGAN STANLEY | | Corporate Bonds | | 2,291,158 | | | | 690,000 | | | MORGAN STANLEY | | Corporate Bonds | | 685,303 | | | | 1,050,000 | | | JPMORGAN CHASE & CO | | Corporate Bonds | | 1,104,509 | | | | 1,783,000 | | | JPMORGAN CHASE & CO | | Corporate Bonds | | 1,683,410 | | | | 2,695,000 | | | JPMORGAN CHASE & CO | | Corporate Bonds | | 2,558,094 | | | | 675,000 | | | JP MORGAN CHASE COM BMS A 144A | | Corporate Bonds | | 674,788 | | | | 1,775,000 | | | HEWLETT PACKARD ENTERPRISE CO | | Corporate Bonds | | 1,922,969 | | | | 31,785,000 | | | INTERNATIONAL BANK FOR RECONST | | Corporate Bonds | | 5,468,189 | | | | 3,230,000 | | | GRUPO TELEVISA SAB | | Corporate Bonds | | 107,562 | | | | 210,000 | | | PAN AMERICAN ENERGY LLC/A 144A | | Corporate Bonds | | 213,675 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 1,420,000 | | | ALUMINA PTY LTD 144A | | Corporate Bonds | | 1,467,607 | | | | 650,000 | | | FORTESCUE TREASURY PTY LT 144A | | Corporate Bonds | | 628,478 | | | | 1,325,000 | | | KLABIN AUSTRIA GMBH 144A | | Corporate Bonds | | 1,385,775 | | | | 2,354,000 | | | AIRCASTLE LTD 144A | | Corporate Bonds | | 2,287,700 | | | | 200,000 | | | ASCOT GROUP LTD 144A | | Corporate Bonds | | 186,039 | | | | 529,628 | | | TEXTAINER MARINE CON 2A A 144A | | Corporate Bonds | | 502,939 | | | | 1,490,000 | | | BRF SA 144A | | Corporate Bonds | | 1,247,483 | | | | 990,000 | | | GERDAU TRADE INC | | Corporate Bonds | | 1,025,145 | | | | 1,568,724 | | | BURGER KING/RESTAURANT 6/24 TL | | Corporate Bonds | | 1,569,211 | | | | 1,565,000 | | | AVOLON HOLDINGS FUNDING L 144A | | Corporate Bonds | | 1,516,029 | | | | 575,000 | | | AVOLON HOLDINGS FUNDING L 144A | | Corporate Bonds | | 590,740 | | | | 2,367,188 | | | HORIZON AIRCRAFT FINA 1 A 144A | | Corporate Bonds | | 2,392,523 | | | | 562,060 | | | NAVIGATOR AIRCRAFT AB 1 A 144A | | Corporate Bonds | | 536,951 | | | | 835,000 | | | CELULOSA ARAUCO Y CONSTIT 144A | | Corporate Bonds | | 861,762 | | | | 275,000 | | | EMPRESA DE LOS FERROCARRI 144A | | Corporate Bonds | | 175,731 | | | | 168,000 | | | ENEL AMERICAS SA | | Corporate Bonds | | 167,531 | | | | 1,185,000 | | | FALABELLA SA 144A | | Corporate Bonds | | 1,057,139 | | | | 805,000 | | | LATAM AIRLINES GROUP SA 144A | | Corporate Bonds | | 846,675 | | | | 908,000 | | | SOCIEDAD QUIMICA Y MINERA 144A | | Corporate Bonds | | 744,055 | | | | 200,000 | | | SOCIEDAD QUIMICA Y MINERA 144A | | Corporate Bonds | | 142,405 | | | | 1,840,000 | | | SOCIEDAD QUIMICA Y MINERA 144A | | Corporate Bonds | | 1,998,913 | | | | 1,000,000 | | | ECOPETROL SA | | Corporate Bonds | | 1,028,617 | | | | 1,225,000 | | | ECOPETROL SA | | Corporate Bonds | | 1,260,721 | | | | 630,000 | | | DANSKE BANK A/S 144A | | Corporate Bonds | | 635,875 | | | | 1,525,000 | | | BNP PARIBAS SA 144A | | Corporate Bonds | | 1,523,556 | | | | 1,420,000 | | | CREDIT AGRICOLE SA 144A | | Corporate Bonds | | 1,510,141 | | | | 1,625,000 | | | SOCIETE GENERALE SA 144A | | Corporate Bonds | | 1,705,402 | | | | 1,210,000 | | | SOCIETE GENERALE SA 144A | | Corporate Bonds | | 1,215,709 | | | | 680,000 | | | DEUTSCHE BANK AG/NEW YORK NY | | Corporate Bonds | | 676,720 | | | | 610,000 | | | DEUTSCHE BANK AG/NEW YORK NY | | Corporate Bonds | | 577,084 | | | | 600,000 | | | DEUTSCHE BANK AG/NEW YORK NY | | Corporate Bonds | | 660,094 | | | | 805,000 | | | DEUTSCHE BANK AG/NEW YORK NY | | Corporate Bonds | | 748,994 | | | | 1,110,000 | | | FREEPORT INDONESIA PT 144A | | Corporate Bonds | | 1,131,719 | | | | 485,000 | | | AERCAP IRELAND CAPITAL DAC / A | | Corporate Bonds | | 470,367 | | | | 1,140,000 | | | AERCAP IRELAND CAPITAL DAC / A | | Corporate Bonds | | 1,166,089 | | | | 363,459 | | | LUNAR 2021-1 STRUCTUR 1 A 144A | | Corporate Bonds | | 346,811 | | | | 26,401 | | | ICON/PRA HEALTH 3/24 US TLB | | Corporate Bonds | | 26,590 | | | | 570,000 | | | AIB GROUP PLC 144A | | Corporate Bonds | | 602,445 | | | | 852,325 | | | JAZZ PHARMACEUTICALS 6/24 | | Corporate Bonds | | 855,521 | | | | 105,962 | | | ICON/PRA HEALTH 3/24 LUX TLB | | Corporate Bonds | | 106,724 | | | | 1,145,000 | | | INTESA SANPAOLO SPA 144A | | Corporate Bonds | | 1,309,827 | | | | 545,000 | | | INTESA SANPAOLO SPA 144A | | Corporate Bonds | | 520,524 | | | | 1,520,000 | | | UNICREDIT SPA 144A | | Corporate Bonds | | 1,506,116 | | | | 330,000 | | | NORINCHUKIN BANK/THE 144A | | Corporate Bonds | | 336,747 | | | | 710,000 | | | NORINCHUKIN BANK/THE 144A | | Corporate Bonds | | 721,345 | | | | 1,130,000 | | | SUMITOMO MITSUI FINANCIAL GROU | | Corporate Bonds | | 1,085,289 | | | | 1,245,000 | | | MITSUBISHI UFJ FINANCIAL GROUP | | Corporate Bonds | | 1,111,586 | | | | 2,190,000 | | | ARDONAGH FINCO LTD 144A | | Corporate Bonds | | 2,295,897 | | | | 420,000 | | | MILLICOM INTERNATIONAL CE 144A | | Corporate Bonds | | 391,211 | | | | 1,305,000 | | | MINERVA LUXEMBOURG SA 144A | | Corporate Bonds | | 1,213,054 | | | | 200,000 | | | NATURA &CO LUXEMBOURG HOL 144A | | Corporate Bonds | | 188,453 | | | | 855,000 | | | RAIZEN FUELS FINANCE SA 144A | | Corporate Bonds | | 699,450 | | | | 610,000 | | | RAIZEN FUELS FINANCE SA 144A | | Corporate Bonds | | 465,125 | | | | 200,000 | | | ALPEK SAB DE CV 144A | | Corporate Bonds | | 170,131 | | | | 1,695,000 | | | SITIOS LATINOAMERICA SAB 144A | | Corporate Bonds | | 1,702,765 | | | | 505,000 | | | BANCO SANTANDER MEXICO SA 144A | | Corporate Bonds | | 524,695 | | | | 870,000 | | | BBVA MEXICO SA INSTITUCIO 144A | | Corporate Bonds | | 890,793 | | | | 1,465,590 | | | COMETA ENERGIA SA DE CV 144A | | Corporate Bonds | | 1,536,621 | | | | 530,000 | | | EL PUERTO DE LIVERPOOL SA 144A | | Corporate Bonds | | 566,184 | | | | 1,315,000 | | | EL PUERTO DE LIVERPOOL SA 144A | | Corporate Bonds | | 1,406,919 | | | | 200,000 | | | KIMBERLY-CLARK DE MEXICO 144A | | Corporate Bonds | | 181,675 | | | | 566,000 | | | ORBIA ADVANCE CORP SAB DE 144A | | Corporate Bonds | | 489,426 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 1,519,000 | | | ORBIA ADVANCE CORP SAB DE 144A | | Corporate Bonds | | 1,178,467 | | | | 940,000 | | | ORBIA ADVANCE CORP SAB DE 144A | | Corporate Bonds | | 928,359 | | | | 630,000 | | | SITIOS LATINOAMERICA SAB 144A | | Corporate Bonds | | 652,995 | | | | 785,000 | | | OCP SA 144A | | Corporate Bonds | | 734,272 | | | | 1,350,000 | | | OCP SA 144A | | Corporate Bonds | | 1,456,402 | | | | 950,000 | | | EMBRAER NETHERLANDS FINANCE BV | | Corporate Bonds | | 1,009,518 | | | | 2,685,000 | | | JBS NV/JBS USA FOODS GROUP HOL | | Corporate Bonds | | 3,007,407 | | | | 1,320,000 | | | PROSUS NV 144A | | Corporate Bonds | | 1,267,972 | | | | 1,670,000 | | | PROSUS NV 144A | | Corporate Bonds | | 1,116,209 | | | | 444,000 | | | TEVA PHARMACEUTICAL FINANCE NE | | Corporate Bonds | | 438,868 | | | | 215,000 | | | TEVA PHARMACEUTICAL FINANCE NE | | Corporate Bonds | | 225,644 | | | | 2,265,000 | | | AKER BP ASA 144A | | Corporate Bonds | | 2,217,045 | | | | 1,270,000 | | | SAUDI ARABIAN OIL CO 144A | | Corporate Bonds | | 803,012 | | | | 220,000 | | | FLEX LTD | | Corporate Bonds | | 224,515 | | | | 450,000 | | | POSCO 144A | | Corporate Bonds | | 450,238 | | | | 514,000 | | | THAIOIL TREASURY CENTER C 144A | | Corporate Bonds | | 458,074 | | | | 501,000 | | | THAIOIL TREASURY CENTER C 144A | | Corporate Bonds | | 367,837 | | | | 1,213,000 | | | ANGLO AMERICAN CAPITAL PL 144A | | Corporate Bonds | | 1,267,512 | | | | 200,000 | | | ANGLO AMERICAN CAPITAL PL 144A | | Corporate Bonds | | 184,536 | | | | 245,000 | | | ANGLO AMERICAN CAPITAL PL 144A | | Corporate Bonds | | 184,402 | | | | 200,000 | | | ANGLO AMERICAN CAPITAL PL 144A | | Corporate Bonds | | 197,464 | | | | 1,740,000 | | | FRESNILLO PLC 144A | | Corporate Bonds | | 1,387,358 | | | | 200,000 | | | HSBC HOLDINGS PLC | | Corporate Bonds | | 205,225 | | | | 1,310,000 | | | HARBOUR ENERGY PLC 144A | | Corporate Bonds | | 1,328,755 | | | | 240,000 | | | MACQUARIE AIRFINANCE HOLD 144A | | Corporate Bonds | | 251,669 | | | | 1,570,000 | | | BARCLAYS PLC | | Corporate Bonds | | 1,263,497 | | | | 600,000 | | | BARCLAYS PLC | | Corporate Bonds | | 646,575 | | | | 2,055,000 | | | SANTANDER UK GROUP HOLDINGS PL | | Corporate Bonds | | 2,144,045 | | | | 200,000 | | | STANDARD CHARTERED PLC 144A | | Corporate Bonds | | 185,313 | | | | 1,785,000 | | | STANDARD CHARTERED PLC 144A | | Corporate Bonds | | 1,649,686 | | | | 460,000 | | | STANDARD CHARTERED PLC 144A | | Corporate Bonds | | 498,166 | | | | 394,000 | | | AES CORP/THE 144A | | Corporate Bonds | | 384,611 | | | | 874,757 | | | ALTDE 2025-1 TRUST 1A A 144A | | Corporate Bonds | | 894,591 | | | | 220,000 | | | AT&T INC | | Corporate Bonds | | 155,221 | | | | 475,000 | | | AT&T INC | | Corporate Bonds | | 319,245 | | | | 290,000 | | | AT&T INC | | Corporate Bonds | | 193,889 | | | | 2,160,000 | | | AT&T INC | | Corporate Bonds | | 1,432,059 | | | | 524,000 | | | AT&T INC | | Corporate Bonds | | 361,841 | | | | 995,000 | | | AMERICAN AIRLINES INC/AAD 144A | | Corporate Bonds | | 1,013,180 | | | | 1,784,000 | | | AIR LEASE CORP | | Corporate Bonds | | 1,780,612 | | | | 675,000 | | | AMERICAN CREDIT ACCEP 1 B 144A | | Corporate Bonds | | 677,785 | | | | 125,000 | | | AMERICAN HOMES 4 RENT LP | | Corporate Bonds | | 84,823 | | | | 385,000 | | | AMERICREDIT AUTOMOBILE REC 1 C | | Corporate Bonds | | 391,050 | | | | 1,365,000 | | | AMGEN INC | | Corporate Bonds | | 1,337,432 | | | | 635,000 | | | ANTARES HOLDINGS LP 144A | | Corporate Bonds | | 632,639 | | | | 2,085,000 | | | ANTARES HOLDINGS LP 144A | | Corporate Bonds | | 2,127,739 | | | | 869,587 | | | APL FINANCE 2023-1 D 1A A 144A | | Corporate Bonds | | 872,611 | | | | 2,230,000 | | | ARES CAPITAL CORP | | Corporate Bonds | | 2,201,338 | | | | 1,970,000 | | | ARES CAPITAL CORP | | Corporate Bonds | | 1,992,022 | | | | 255,000 | | | AVIS BUDGET RENTAL C 2A A 144A | | Corporate Bonds | | 254,481 | | | | 420,000 | | | AVIS BUDGET RENTAL C 1A A 144A | | Corporate Bonds | | 418,338 | | | | 200,000 | | | AVIS BUDGET RENTAL C 2A A 144A | | Corporate Bonds | | 201,296 | | | | 510,000 | | | AVIS BUDGET RENTAL C 8A A 144A | | Corporate Bonds | | 534,643 | | | | 380,000 | | | BGC GROUP INC | | Corporate Bonds | | 393,706 | | | | 255,000 | | | BANK 2019-BNK16 BN16 A4 | | Corporate Bonds | | 252,913 | | | | 1,006,921 | | | BANK 2019-BNK24 BN24 A3 | | Corporate Bonds | | 954,612 | | | | 758,929 | | | BANK 2019-BNK22 BN22 A4 | | Corporate Bonds | | 720,221 | | | | 1,319,000 | | | BEIGNET INVESTOR LLC 144A | | Corporate Bonds | | 1,393,517 | | | | 1,920,000 | | | BLUEPEAK ABS ISSUER 1A A2 144A | | Corporate Bonds | | 1,929,756 | | | | 1,698,000 | | | BOEING CO/THE | | Corporate Bonds | | 1,737,789 | | | | 540,000 | | | BOEING CO/THE | | Corporate Bonds | | 573,366 | | | | 620,000 | | | BOEING CO/THE | | Corporate Bonds | | 699,372 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 161,000 | | | BOSTON GAS CO 144A | | Corporate Bonds | | 153,950 | | | | 2,356,000 | | | BRASKEM AMERICA FINANCE C 144A | | Corporate Bonds | | 836,380 | | | | 1,595,000 | | | BRIGHTHOUSE FINANCIAL INC | | Corporate Bonds | | 1,614,588 | | | | 810,000 | | | BROADCOM INC 144A | | Corporate Bonds | | 699,221 | | | | 493,000 | | | CCO HOLDINGS LLC / CCO HO 144A | | Corporate Bonds | | 419,185 | | | | 261,499 | | | CLI FUNDING VIII LLC 1A A 144A | | Corporate Bonds | | 243,487 | | | | 183,088 | | | CSMC 2014-USA OA L USA A1 144A | | Corporate Bonds | | 168,239 | | | | 702,000 | | | CSMC 2014-USA OA L USA A2 144A | | Corporate Bonds | | 645,050 | | | | 810,000 | | | CALPINE LLC 144A | | Corporate Bonds | | 810,529 | | | | 1,017,000 | | | CENTENE CORP | | Corporate Bonds | | 935,876 | | | | 140,000 | | | CITADEL LP 144A | | Corporate Bonds | | 148,835 | | | | 185,000 | | | CITADEL LP 144A | | Corporate Bonds | | 193,447 | | | | 847,619 | | | CITIGROUP COMMERCIAL MOR C7 A4 | | Corporate Bonds | | 807,033 | | | | 1,311,815 | | | CITIGROUP COMMERCIAL M GC43 A4 | | Corporate Bonds | | 1,238,296 | | | | 790,000 | | | CITIGROUP COMMERCIAL M GC46 A5 | | Corporate Bonds | | 735,333 | | | | 520,000 | | | SM ENERGY CO 144A | | Corporate Bonds | | 544,999 | | | | 1,630,000 | | | CLEARWAY ENERGY OPERATING 144A | | Corporate Bonds | | 1,522,341 | | | | 715,000 | | | COMPASS DATACENTERS 1A A2 144A | | Corporate Bonds | | 723,374 | | | | 19,795 | | | COREVEST AMERICAN FIN 3 A 144A | | Corporate Bonds | | 19,756 | | | | 1,498,000 | | | CORNING INC | | Corporate Bonds | | 1,373,422 | | | | 595,119 | | | CROCKETT PARTNERS EQ 1C A 144A | | Corporate Bonds | | 605,685 | | | | 59,000 | | | CROWN CASTLE INC | | Corporate Bonds | | 46,053 | | | | 175,000 | | | DPL LLC/OHIO | | Corporate Bonds | | 172,614 | | | | 75,875 | | | DT AUTO OWNER TRUST 1A C 144A | | Corporate Bonds | | 76,040 | | | | 1,510,000 | | | DC COMMERCIAL MORTGA DC A 144A | | Corporate Bonds | | 1,555,110 | | | | 996,000 | | | DEVON ENERGY CORP | | Corporate Bonds | | 999,291 | | | | 1,585,000 | | | DICK'S SPORTING GOODS INC | | Corporate Bonds | | 1,162,690 | | | | 366,000 | | | EQT CORP | | Corporate Bonds | | 364,383 | | | | 530,000 | | | EQT CORP | | Corporate Bonds | | 537,103 | | | | 115,000 | | | EQT CORP 144A | | Corporate Bonds | | 114,340 | | | | 882,000 | | | EQT CORP | | Corporate Bonds | | 912,893 | | | | 505,000 | | | EPR PROPERTIES | | Corporate Bonds | | 468,642 | | | | 1,067,000 | | | EASTMAN CHEMICAL CO | | Corporate Bonds | | 1,089,134 | | | | 80,000 | | | ENERGY TRANSFER LP | | Corporate Bonds | | 86,982 | | | | 511,000 | | | ENERGY TRANSFER LP | | Corporate Bonds | | 539,861 | | | | 34,000 | | | ENERGY TRANSFER LP | | Corporate Bonds | | 30,692 | | | | 353,000 | | | ENERGY TRANSFER LP | | Corporate Bonds | | 346,600 | | | | 551,000 | | | ENTERGY CORP | | Corporate Bonds | | 516,371 | | | | 259,000 | | | EQUIFAX INC | | Corporate Bonds | | 292,047 | | | | 11,455 | | | EXETER AUTOMOBILE RECEIVA 1A C | | Corporate Bonds | | 11,461 | | | | 1,720,000 | | | FS KKR CAPITAL CORP | | Corporate Bonds | | 1,719,338 | | | | 1,365,000 | | | META PLATFORMS INC | | Corporate Bonds | | 1,307,083 | | | | 345,000 | | | META PLATFORMS INC | | Corporate Bonds | | 345,118 | | | | 465,000 | | | META PLATFORMS INC | | Corporate Bonds | | 447,185 | | | | 350,000 | | | FORD CREDIT AUTO LEASE TRU B C | | Corporate Bonds | | 351,601 | | | | 280,000 | | | FORD MOTOR CREDIT CO LLC | | Corporate Bonds | | 278,567 | | | | 470,000 | | | FORD MOTOR CREDIT CO LLC | | Corporate Bonds | | 471,061 | | | | 1,380,000 | | | FORD MOTOR CREDIT CO LLC | | Corporate Bonds | | 1,440,315 | | | | 570,000 | | | FORD MOTOR CREDIT CO LLC | | Corporate Bonds | | 613,214 | | | | 425,000 | | | FORTITUDE GROUP HOLDINGS 144A | | Corporate Bonds | | 442,946 | | | | 142,019 | | | FOUNDATION FINANCE T 1A A 144A | | Corporate Bonds | | 143,769 | | | | 1,360,000 | | | FRONTIER ISSUER LLC 1 A2 144A | | Corporate Bonds | | 1,402,516 | | | | 545,000 | | | GATX CORP | | Corporate Bonds | | 580,458 | | | | 425,000 | | | GATX CORP | | Corporate Bonds | | 431,612 | | | | 394,288 | | | GS MORTGAGE SECURITIES GC45 A5 | | Corporate Bonds | | 371,618 | | | | 345,000 | | | GENERAL MOTORS FINANCIAL CO IN | | Corporate Bonds | | 310,283 | | | | 204,000 | | | GEORGETOWN UNIVERSITY/THE | | Corporate Bonds | | 179,603 | | | | 2,265,000 | | | GLENCORE FUNDING LLC 144A | | Corporate Bonds | | 2,077,084 | | | | 345,000 | | | GLENCORE FUNDING LLC 144A | | Corporate Bonds | | 371,622 | | | | 735,000 | | | GLENCORE FUNDING LLC 144A | | Corporate Bonds | | 768,926 | | | | 1,527,000 | | | GOLDMAN SACHS GROUP INC/THE | | Corporate Bonds | | 1,708,836 | | | | 449,000 | | | GOLUB CAPITAL PRIVATE CRE 144A | | Corporate Bonds | | 451,905 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 70,000 | | | GRAY OAK PIPELINE LLC 144A | | Corporate Bonds | | 69,192 | | | | 175,190 | | | GREENSKY HOME IMPROV 1 A4 144A | | Corporate Bonds | | 179,569 | | | | 142,869 | | | GREENSKY HOME IMPRO 1A A4 144A | | Corporate Bonds | | 145,036 | | | | 1,450,000 | | | HCA INC | | Corporate Bonds | | 1,187,607 | | | | 485,000 | | | HCA INC | | Corporate Bonds | | 506,539 | | | | 1,305,000 | | | HCA INC | | Corporate Bonds | | 1,372,345 | | | | 595,000 | | | HERC HOLDINGS INC 144A | | Corporate Bonds | | 626,174 | | | | 1,327,000 | | | HERCULES CAPITAL INC | | Corporate Bonds | | 1,344,686 | | | | 1,210,000 | | | HERTZ VEHICLE FINANC 2A A 144A | | Corporate Bonds | | 1,246,296 | | | | 605,000 | | | HYUNDAI CAPITAL AMERICA 144A | | Corporate Bonds | | 598,239 | | | | 575,000 | | | HYUNDAI CAPITAL AMERICA 144A | | Corporate Bonds | | 557,945 | | | | 290,000 | | | HYUNDAI CAPITAL AMERICA 144A | | Corporate Bonds | | 299,410 | | | | 1,435,000 | | | HYUNDAI CAPITAL AMERICA 144A | | Corporate Bonds | | 1,501,936 | | | | 795,000 | | | HYUNDAI CAPITAL AMERICA 144A | | Corporate Bonds | | 823,509 | | | | 1,951,000 | | | CRESCENT ENERGY FINANCE L 144A | | Corporate Bonds | | 1,891,538 | | | | 1,220,000 | | | IRON MOUNTAIN INC 144A | | Corporate Bonds | | 1,163,265 | | | | 635,000 | | | JABIL INC | | Corporate Bonds | | 592,098 | | | | 319,125 | | | JACK IN THE BOX FU 1A A2I 144A | | Corporate Bonds | | 308,921 | | | | 380,000 | | | JABIL INC | | Corporate Bonds | | 392,508 | | | | 1,523,000 | | | ZIFF DAVIS INC 144A | | Corporate Bonds | | 1,446,485 | | | | 875,000 | | | KROGER CO/THE | | Corporate Bonds | | 836,572 | | | | 1,216,000 | | | LEAR CORP | | Corporate Bonds | | 1,101,174 | | | | 350,000 | | | LEAR CORP | | Corporate Bonds | | 238,251 | | | | 834,000 | | | LIBERTY MUTUAL GROUP INC 144A | | Corporate Bonds | | 579,275 | | | | 955,000 | | | LITHIA MOTORS INC 144A | | Corporate Bonds | | 917,942 | | | | 1,395,000 | | | MGM RESORTS INTERNATIONAL | | Corporate Bonds | | 1,437,276 | | | | 918,000 | | | MSD INVESTMENT CORP 144A | | Corporate Bonds | | 924,420 | | | | 660,000 | | | MSD INVESTMENT CORP 144A | | Corporate Bonds | | 656,300 | | | | 398,876 | | | MVW 2024-2 LLC 2A A 144A | | Corporate Bonds | | 399,733 | | | | 475,000 | | | MAIN STREET CAPITAL CORP | | Corporate Bonds | | 496,188 | | | | 1,650,000 | | | MERCADOLIBRE INC | | Corporate Bonds | | 1,635,315 | | | | 1,510,000 | | | METHANEX US OPERATIONS IN 144A | | Corporate Bonds | | 1,554,803 | | | | 1,290,000 | | | METRONET INFRASTRUC 2A A2 144A | | Corporate Bonds | | 1,308,564 | | | | 1,540,000 | | | MICRON TECHNOLOGY INC | | Corporate Bonds | | 1,625,629 | | | | 349,000 | | | MICRON TECHNOLOGY INC | | Corporate Bonds | | 367,423 | | | | 220,000 | | | MICRON TECHNOLOGY INC | | Corporate Bonds | | 235,227 | | | | 84,000 | | | MOHAWK INDUSTRIES INC | | Corporate Bonds | | 81,463 | | | | 1,361,000 | | | NRG ENERGY INC 144A | | Corporate Bonds | | 1,375,154 | | | | 515,606 | | | NAVIENT PRIVATE EDUCA A A 144A | | Corporate Bonds | | 530,320 | | | | 14,259 | | | NAVIENT PRIVATE EDUC HA A 144A | | Corporate Bonds | | 13,497 | | | | 653,000 | | | NAVIENT CORP | | Corporate Bonds | | 654,235 | | | | 690,000 | | | NAVIENT CORP | | Corporate Bonds | | 682,276 | | | | 381,132 | | | NAVIENT PRIVATE EDUC CA A 144A | | Corporate Bonds | | 349,616 | | | | 550,000 | | | NISSAN MOTOR ACCEPTANCE C 144A | | Corporate Bonds | | 568,829 | | | | 215,000 | | | ONEAMERICA FINANCIAL PART 144A | | Corporate Bonds | | 164,933 | | | | 1,955,000 | | | ONEMAIN FINANCE CORP | | Corporate Bonds | | 2,024,606 | | | | 1,735,000 | | | ORACLE CORP | | Corporate Bonds | | 1,121,650 | | | | 2,230,000 | | | ORACLE CORP | | Corporate Bonds | | 2,163,595 | | | | 945,000 | | | BLUE OWL TECHNOLOGY FINAN 144A | | Corporate Bonds | | 939,365 | | | | 1,195,000 | | | BLUE OWL CAPITAL CORP | | Corporate Bonds | | 1,187,011 | | | | 325,000 | | | BLUE OWL CAPITAL CORP | | Corporate Bonds | | 317,618 | | | | 1,079,000 | | | BLUE OWL CAPITAL CORP | | Corporate Bonds | | 1,089,136 | | | | 479,104 | | | OWN EQUIPMENT FUND I 2M A 144A | | Corporate Bonds | | 486,019 | | | | 530,000 | | | PHINIA INC 144A | | Corporate Bonds | | 548,793 | | | | 286,000 | | | PLAINS ALL AMERICAN PIPELINE L | | Corporate Bonds | | 287,873 | | | | 476,000 | | | PLAINS ALL AMERICAN PIPELINE L | | Corporate Bonds | | 482,592 | | | | 914,375 | | | PLANET FITNESS MA 1A A2II 144A | | Corporate Bonds | | 867,733 | | | | 274,531 | | | PROGRESS RESIDENTI SFR1 A 144A | | Corporate Bonds | | 274,071 | | | | 619,000 | | | QNITY ELECTRONICS INC 144A | | Corporate Bonds | | 632,895 | | | | 770,000 | | | ROCKET MORTGAGE LLC / ROC 144A | | Corporate Bonds | | 731,160 | | | | 411,000 | | | ROCKET COS INC 144A | | Corporate Bonds | | 424,978 | | | | 175,000 | | | SCF EQUIPMENT LEASI 1A A3 144A | | Corporate Bonds | | 178,370 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 140,697 | | | SMB PRIVATE EDUCAT A APT2 144A | | Corporate Bonds | | 128,897 | | | | 496,031 | | | SMB PRIVATE EDUCATI A A1A 144A | | Corporate Bonds | | 504,996 | | | | 665,000 | | | SM ENERGY CO 144A | | Corporate Bonds | | 669,883 | | | | 770,000 | | | SM ENERGY CO 144A | | Corporate Bonds | | 756,963 | | | | 1,505,000 | | | SEMPRA INFRASTRUCTURE PAR 144A | | Corporate Bonds | | 1,333,789 | | | | 825,000 | | | SENSATA TECHNOLOGIES INC 144A | | Corporate Bonds | | 774,250 | | | | 613,000 | | | SIXTH STREET LENDING PARTNERS | | Corporate Bonds | | 629,828 | | | | 435,000 | | | SIXTH STREET SPECIALTY LENDING | | Corporate Bonds | | 440,241 | | | | 1,475,000 | | | DELTA AIR LINES INC / SKY 144A | | Corporate Bonds | | 1,484,108 | | | | 110,000 | | | SMITHFIELD FOODS INC 144A | | Corporate Bonds | | 101,302 | | | | 65,187 | | | SOFI PROFESSIONAL A A2FX 144A | | Corporate Bonds | | 63,073 | | | | 790,000 | | | STARWOOD PROPERTY TRUST I 144A | | Corporate Bonds | | 824,203 | | | | 708,000 | | | STARWOOD PROPERTY TRUST I 144A | | Corporate Bonds | | 713,258 | | | | 1,341,000 | | | STARWOOD PROPERTY TRUST I 144A | | Corporate Bonds | | 1,358,222 | | | | 525,000 | | | SUNCOKE ENERGY INC 144A | | Corporate Bonds | | 487,473 | | | | 1,210,000 | | | ENERGY TRANSFER LP | | Corporate Bonds | | 1,090,824 | | | | 400,000 | | | TD SYNNEX CORP | | Corporate Bonds | | 423,350 | | | | 1,540,000 | | | TD SYNNEX CORP | | Corporate Bonds | | 1,529,435 | | | | 430,000 | | | TARGA RESOURCES CORP | | Corporate Bonds | | 441,246 | | | | 164,000 | | | TAYLOR MORRISON COMMUNITI 144A | | Corporate Bonds | | 168,737 | | | | 428,000 | | | TIME WARNER CABLE LLC | | Corporate Bonds | | 437,222 | | | | 102,000 | | | TIME WARNER CABLE LLC | | Corporate Bonds | | 103,392 | | | | 134,000 | | | TIME WARNER CABLE LLC | | Corporate Bonds | | 124,395 | | | | 47,000 | | | TIME WARNER CABLE LLC | | Corporate Bonds | | 41,352 | | | | 1,465,000 | | | TIME WARNER CABLE LLC | | Corporate Bonds | | 1,130,246 | | | | 579,000 | | | TRANSCONTINENTAL GAS PIPE 144A | | Corporate Bonds | | 584,357 | | | | 155,000 | | | UNITED AIRLINES INC 144A | | Corporate Bonds | | 154,806 | | | | 685,000 | | | UNITED AIRLINES INC 144A | | Corporate Bonds | | 681,967 | | | | 611,096 | | | UNITED AIRLINES 2023-1 CLASS A | | Corporate Bonds | | 639,338 | | | | 1,215,000 | | | UNITED RENTALS NORTH AMER 144A | | Corporate Bonds | | 1,214,079 | | | | 174,000 | | | VIATRIS INC | | Corporate Bonds | | 116,380 | | | | 250,000 | | | VIPER ENERGY PARTNERS LLC | | Corporate Bonds | | 255,133 | | | | 3,615,000 | | | VOLKSWAGEN GROUP OF AMERI 144A | | Corporate Bonds | | 3,882,028 | | | | 535,829 | | | VOLOFIN FINANCE DESI 1A A 144A | | Corporate Bonds | | 546,100 | | | | 331,039 | | | WESTLAKE AUTOMOBILE 2A C 144A | | Corporate Bonds | | 332,408 | | | | 407,451 | | | WHEELS FLEET LEASE F 1A A 144A | | Corporate Bonds | | 410,051 | | | | 817,826 | | | WILLIS ENGINE STRUCTU A A 144A | | Corporate Bonds | | 840,761 | | | | 2,055,000 | | | ZAYO ISSUER LLC 2A A2 144A | | Corporate Bonds | | 2,103,900 | | | | 450,000 | | | ARIXA MORTGAGE TR RTL1 A1 144A | | Corporate Bonds | | 452,710 | | | | 545,000 | | | BPR TRUST 2021-NRD NRD A 144A | | Corporate Bonds | | 541,267 | | | | 2,831,000 | | | BANK OF AMERICA CORP | | Corporate Bonds | | 2,825,906 | | | | 255,000 | | | BANK OF AMERICA CORP | | Corporate Bonds | | 260,536 | | | | 600,000 | | | BANK OF AMERICA CORP | | Corporate Bonds | | 623,586 | | | | 1,970,000 | | | BANK OF AMERICA CORP | | Corporate Bonds | | 2,031,574 | | | | 2,220,000 | | | BANK OF AMERICA CORP | | Corporate Bonds | | 2,277,943 | | | | 402 | | | COUNTRYWIDE ASSET-BACKED S1 A3 | | Corporate Bonds | | 401 | | | | 2,710,000 | | | CAPITAL ONE FINANCIAL CORP | | Corporate Bonds | | 2,933,771 | | | | 225,000 | | | EXTENDED STAY AMERI ESH A 144A | | Corporate Bonds | | 225,351 | | | | 336,361 | | | GS MORTGAGE SECURIT GC5 C 144A | | Corporate Bonds | | 302,940 | | | | 760,000 | | | GOLDMAN SACHS GROUP INC/THE | | Corporate Bonds | | 756,022 | | | | 6,350,000 | | | URUGUAY GOVERNMENT INTERN REGS | | Other Securities | | 165,349 | | | | 30,356,000 | | | URUGUAY GOVERNMENT INTERN 144A | | Other Securities | | 790,447 | | | | 179,836,774 | | | URUGUAY GOVERNMENT INTERNATION | | Other Securities | | 4,731,206 | | | | 123,810,000 | | | URUGUAY GOVERNMENT INTERNATION | | Other Securities | | 3,544,222 | | | | 9,044,000 | | | BRAZILIAN GOVERNMENT INTERNATI | | Other Securities | | 1,613,558 | | | | 9,095,000 | | | BRAZILIAN GOVERNMENT INTERNATI | | Other Securities | | 1,643,814 | | | | 87,031,500 | | | MEXICAN BONOS | | Other Securities | | 4,880,918 | | | | 1,250,000 | | | RLGH FINANCE BERMUDA LTD REGS | | Other Securities | | 1,326,727 | | | | 2,470,000 | | | CHILE GOVERNMENT INTERNATIONAL | | Other Securities | | 2,609,555 | | | | 351,000 | | | COLOMBIA GOVERNMENT INTERNATIO | | Other Securities | | 373,991 | | | | 1,460,000 | | | MEXICO GOVERNMENT INTERNATIONA | | Other Securities | | 1,446,860 | | | | 1,095,000 | | | SAUDI GOVERNMENT INTERNAT 144A | | Other Securities | | 1,162,093 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 1,610,000 | | | REPUBLIC OF SOUTH AFRICA GOVER | | Other Securities | | 1,626,859 | | | | 880,000 | | | REPUBLIC OF SOUTH AFRICA 144A | | Other Securities | | 944,824 | | | | 485,000 | | | SOUTHERN CALIFORNIA EDISON CO | | Other Securities | | 489,041 | | | | 1,035,000 | | | UNIV OF VIRGINIA VA UNIV REVEN | | Other Securities | | 591,202 | | | | 254 | | | GNMA GTD REMIC P/T 15-H13 FL | | U. S. GOVERNMENT SECURITIES | | 253 | | | | 2,595,000 | | | COMMIT TO PUR FNMA SF MTG | | U. S. GOVERNMENT SECURITIES | | 2,198,452 | | | | 515,000 | | | COMMIT TO PUR FNMA SF MTG | | U. S. GOVERNMENT SECURITIES | | 456,419 | | | | 1,071,000 | | | COMMIT TO PUR FNMA SF MTG | | U. S. GOVERNMENT SECURITIES | | 988,650 | | | | 148 | | | FHLMC POOL #G0-1843 | | U. S. GOVERNMENT SECURITIES | | 154 | | | | 47,588 | | | FHLMC POOL #ZM-8305 | | U. S. GOVERNMENT SECURITIES | | 48,366 | | | | 140,889 | | | FHLMC POOL #ZN-2092 | | U. S. GOVERNMENT SECURITIES | | 143,339 | | | | 66,396 | | | FHLMC POOL #ZA-5559 | | U. S. GOVERNMENT SECURITIES | | 67,468 | | | | 118,136 | | | FHLMC POOL #ZT-0714 | | U. S. GOVERNMENT SECURITIES | | 119,825 | | | | 172,955 | | | FHLMC POOL #SD-0136 | | U. S. GOVERNMENT SECURITIES | | 155,223 | | | | 103,230 | | | FHLMC POOL #SD-3125 | | U. S. GOVERNMENT SECURITIES | | 105,622 | | | | 2,199,350 | | | FHLMC POOL #SD-7374 | | U. S. GOVERNMENT SECURITIES | | 2,218,492 | | | | 4,737,481 | | | FHLMC POOL #SD-8199 | | U. S. GOVERNMENT SECURITIES | | 3,847,963 | | | | 889,695 | | | FHLMC POOL #SD-8205 | | U. S. GOVERNMENT SECURITIES | | 758,133 | | | | 868,156 | | | FHLMC POOL #SD-8379 | | U. S. GOVERNMENT SECURITIES | | 826,663 | | | | 1,285,078 | | | FHLMC POOL #SD-4121 | | U. S. GOVERNMENT SECURITIES | | 1,139,890 | | | | 25,958 | | | FHLMC POOL #Q0-2117 | | U. S. GOVERNMENT SECURITIES | | 26,194 | | | | 51,836 | | | FHLMC POOL #Q1-2458 | | U. S. GOVERNMENT SECURITIES | | 48,089 | | | | 4,120 | | | FHLMC POOL #Q2-4035 | | U. S. GOVERNMENT SECURITIES | | 4,099 | | | | 10,199 | | | FHLMC POOL #Q2-5923 | | U. S. GOVERNMENT SECURITIES | | 10,156 | | | | 20,504 | | | FHLMC POOL #Q3-4582 | | U. S. GOVERNMENT SECURITIES | | 19,883 | | | | 1,012 | | | FHLMC POOL #Q3-9583 | | U. S. GOVERNMENT SECURITIES | | 1,009 | | | | 37,423 | | | FHLMC POOL #Q4-3410 | | U. S. GOVERNMENT SECURITIES | | 37,474 | | | | 43,419 | | | FHLMC POOL #Q4-5220 | | U. S. GOVERNMENT SECURITIES | | 42,408 | | | | 13,504 | | | FHLMC POOL #Q4-8674 | | U. S. GOVERNMENT SECURITIES | | 13,080 | | | | 56,401 | | | FHLMC POOL #G6-1658 | | U. S. GOVERNMENT SECURITIES | | 57,436 | | | | 319,305 | | | FHLMC POOL #QB-5275 | | U. S. GOVERNMENT SECURITIES | | 259,233 | | | | 925,832 | | | FHLMC POOL #QB-7306 | | U. S. GOVERNMENT SECURITIES | | 750,028 | | | | 225,322 | | | FHLMC POOL #QE-7134 | | U. S. GOVERNMENT SECURITIES | | 221,051 | | | | 712,573 | | | FHLMC POOL #QE-6417 | | U. S. GOVERNMENT SECURITIES | | 680,983 | | | | 301,098 | | | FHLMC POOL #QE-8515 | | U. S. GOVERNMENT SECURITIES | | 296,481 | | | | 1,508,792 | | | FHLMC POOL #QF-0467 | | U. S. GOVERNMENT SECURITIES | | 1,516,545 | | | | 192,286 | | | FHLMC POOL #QG-3397 | | U. S. GOVERNMENT SECURITIES | | 199,989 | | | | 105,347 | | | FHLMC POOL #QG-3398 | | U. S. GOVERNMENT SECURITIES | | 108,853 | | | | 94,783 | | | FHLMC POOL #QG-4234 | | U. S. GOVERNMENT SECURITIES | | 98,525 | | | | 69,508 | | | FHLMC POOL #QG-4235 | | U. S. GOVERNMENT SECURITIES | | 72,054 | | | | 54,923 | | | FHLMC POOL #QG-4238 | | U. S. GOVERNMENT SECURITIES | | 56,518 | | | | 75,381 | | | FHLMC POOL #QG-4239 | | U. S. GOVERNMENT SECURITIES | | 77,707 | | | | 90,274 | | | FHLMC POOL #QG-4209 | | U. S. GOVERNMENT SECURITIES | | 92,540 | | | | 58,816 | | | FHLMC POOL #QG-4248 | | U. S. GOVERNMENT SECURITIES | | 61,183 | | | | 43,493 | | | FHLMC POOL #QG-6266 | | U. S. GOVERNMENT SECURITIES | | 44,916 | | | | 173,224 | | | FHLMC POOL #QG-6267 | | U. S. GOVERNMENT SECURITIES | | 175,818 | | | | 24,934 | | | FHLMC POOL #QG-7117 | | U. S. GOVERNMENT SECURITIES | | 25,949 | | | | 50,196 | | | FHLMC POOL #QG-8087 | | U. S. GOVERNMENT SECURITIES | | 51,975 | | | | 84,729 | | | FHLMC POOL #QG-7314 | | U. S. GOVERNMENT SECURITIES | | 86,966 | | | | 67,651 | | | FHLMC POOL #QG-8118 | | U. S. GOVERNMENT SECURITIES | | 70,330 | | | | 1,681,399 | | | FHLMC POOL #QG-9479 | | U. S. GOVERNMENT SECURITIES | | 1,741,665 | | | | 348,831 | | | FHLMC POOL #QG-9634 | | U. S. GOVERNMENT SECURITIES | | 371,007 | | | | 55,453 | | | FHLMC POOL #QU-7615 | | U. S. GOVERNMENT SECURITIES | | 41,208 | | | | 137,577 | | | FHLMC POOL #QU-7709 | | U. S. GOVERNMENT SECURITIES | | 103,605 | | | | 299,861 | | | FHLMC POOL #RA-1266 | | U. S. GOVERNMENT SECURITIES | | 273,608 | | | | 830,892 | | | FHLMC POOL #RA-7724 | | U. S. GOVERNMENT SECURITIES | | 737,850 | | | | 972,070 | | | FHLMC POOL #RA-9647 | | U. S. GOVERNMENT SECURITIES | | 1,009,873 | | | | 497,893 | | | FHLMC POOL #SE-9083 | | U. S. GOVERNMENT SECURITIES | | 478,777 | | | | 17,840 | | | FHLMC POOL #QI-0154 | | U. S. GOVERNMENT SECURITIES | | 18,860 | | | | 17,898 | | | FHLMC POOL #QI-0156 | | U. S. GOVERNMENT SECURITIES | | 18,909 | | | | 118,445 | | | FHLMC POOL #QI-1316 | | U. S. GOVERNMENT SECURITIES | | 127,680 | | | | 1,115,504 | | | FHLMC POOL #QI-1317 | | U. S. GOVERNMENT SECURITIES | | 1,168,124 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 433,381 | | | FHLMC POOL #QI-2311 | | U. S. GOVERNMENT SECURITIES | | 455,025 | | | | 710,000 | | | FNMA GTD REMIC P/T 23-51 L | | U. S. GOVERNMENT SECURITIES | | 751,171 | | | | 885,000 | | | FNMA GTD REMIC P/T 25-70 GD | | U. S. GOVERNMENT SECURITIES | | 871,831 | | | | 172 | | | FNMA POOL #0253355 | | U. S. GOVERNMENT SECURITIES | | 177 | | | | 48 | | | FNMA POOL #0323621 | | U. S. GOVERNMENT SECURITIES | | 50 | | | | 2,853,366 | | | FHLMC MULTICLASS MTG 5365 LY | | U. S. GOVERNMENT SECURITIES | | 3,017,596 | | | | 98 | | | FNMA POOL #0545448 | | U. S. GOVERNMENT SECURITIES | | 100 | | | | 273 | | | FNMA POOL #0550002 | | U. S. GOVERNMENT SECURITIES | | 287 | | | | 182 | | | FNMA POOL #0554493 | | U. S. GOVERNMENT SECURITIES | | 191 | | | | 29 | | | FNMA POOL #0575078 | | U. S. GOVERNMENT SECURITIES | | 30 | | | | 143,548 | | | FNMA POOL #0AJ0806 | | U. S. GOVERNMENT SECURITIES | | 140,588 | | | | 68,137 | | | FNMA POOL #0AK0080 | | U. S. GOVERNMENT SECURITIES | | 66,725 | | | | 47,885 | | | FNMA POOL #0AS7378 | | U. S. GOVERNMENT SECURITIES | | 43,557 | | | | 50,087 | | | FNMA POOL #0AS7580 | | U. S. GOVERNMENT SECURITIES | | 45,313 | | | | 6,685 | | | FNMA POOL #0AS8263 | | U. S. GOVERNMENT SECURITIES | | 6,127 | | | | 18,418 | | | FNMA POOL #0AS8276 | | U. S. GOVERNMENT SECURITIES | | 16,739 | | | | 83,627 | | | FNMA POOL #0AS8309 | | U. S. GOVERNMENT SECURITIES | | 75,873 | | | | 22,435 | | | FNMA POOL #0AS9412 | | U. S. GOVERNMENT SECURITIES | | 21,720 | | | | 1,700 | | | FNMA POOL #0AU6205 | | U. S. GOVERNMENT SECURITIES | | 1,689 | | | | 5,098 | | | FNMA POOL #0AV9213 | | U. S. GOVERNMENT SECURITIES | | 5,091 | | | | 4,502 | | | FNMA POOL #0AW4986 | | U. S. GOVERNMENT SECURITIES | | 4,459 | | | | 36,198 | | | FNMA POOL #0AX7617 | | U. S. GOVERNMENT SECURITIES | | 35,074 | | | | 15,223 | | | FNMA POOL #0AX8509 | | U. S. GOVERNMENT SECURITIES | | 14,811 | | | | 107,454 | | | FNMA POOL #0AY5788 | | U. S. GOVERNMENT SECURITIES | | 98,502 | | | | 7,351 | | | FNMA POOL #0AY8481 | | U. S. GOVERNMENT SECURITIES | | 7,347 | | | | 25,219 | | | FNMA POOL #0AZ0810 | | U. S. GOVERNMENT SECURITIES | | 24,921 | | | | 13,384 | | | FNMA POOL #0AZ5596 | | U. S. GOVERNMENT SECURITIES | | 13,298 | | | | 679 | | | FNMA POOL #0725690 | | U. S. GOVERNMENT SECURITIES | | 708 | | | | 833,666 | | | FNMA POOL #0DA1685 | | U. S. GOVERNMENT SECURITIES | | 884,374 | | | | 67,988 | | | FNMA POOL #0DA3498 | | U. S. GOVERNMENT SECURITIES | | 72,039 | | | | 390,635 | | | FNMA POOL #0DA3499 | | U. S. GOVERNMENT SECURITIES | | 412,632 | | | | 1,473,536 | | | FNMA POOL #0DB1398 | | U. S. GOVERNMENT SECURITIES | | 1,556,773 | | | | 944,285 | | | FNMA POOL #0DD0995 | | U. S. GOVERNMENT SECURITIES | | 967,329 | | | | 2,920,314 | | | FNMA POOL #0DE5878 | | U. S. GOVERNMENT SECURITIES | | 2,991,584 | | | | 16,193 | | | FNMA POOL #0AZ7724 | | U. S. GOVERNMENT SECURITIES | | 16,104 | | | | 21,776 | | | FNMA POOL #0BC2994 | | U. S. GOVERNMENT SECURITIES | | 19,743 | | | | 21,429 | | | FNMA POOL #0BC4918 | | U. S. GOVERNMENT SECURITIES | | 21,453 | | | | 9,355 | | | FNMA POOL #0BC9468 | | U. S. GOVERNMENT SECURITIES | | 8,532 | | | | 772 | | | FNMA POOL #0BD2217 | | U. S. GOVERNMENT SECURITIES | | 772 | | | | 7,057 | | | FNMA POOL #0BD9396 | | U. S. GOVERNMENT SECURITIES | | 7,009 | | | | 19,089 | | | FNMA POOL #0BE0249 | | U. S. GOVERNMENT SECURITIES | | 19,036 | | | | 13,437 | | | FNMA POOL #0BE2507 | | U. S. GOVERNMENT SECURITIES | | 13,334 | | | | 86,536 | | | FNMA POOL #0BE4435 | | U. S. GOVERNMENT SECURITIES | | 78,769 | | | | 31,084 | | | FNMA POOL #0BE4442 | | U. S. GOVERNMENT SECURITIES | | 28,218 | | | | 68,095 | | | FNMA POOL #0BE4203 | | U. S. GOVERNMENT SECURITIES | | 68,080 | | | | 40,299 | | | FNMA POOL #0BE4310 | | U. S. GOVERNMENT SECURITIES | | 36,563 | | | | 23,123 | | | FNMA POOL #0BE5275 | | U. S. GOVERNMENT SECURITIES | | 20,872 | | | | 21,461 | | | FNMA POOL #0BE7913 | | U. S. GOVERNMENT SECURITIES | | 19,574 | | | | 16,326 | | | FNMA POOL #0BE8280 | | U. S. GOVERNMENT SECURITIES | | 15,780 | | | | 1,958,776 | | | FNMA POOL #0BF0773 | | U. S. GOVERNMENT SECURITIES | | 1,616,604 | | | | 458,869 | | | FNMA POOL #0BF0803 | | U. S. GOVERNMENT SECURITIES | | 378,721 | | | | 1,053,313 | | | FNMA POOL #0BF0830 | | U. S. GOVERNMENT SECURITIES | | 913,906 | | | | 1,791,856 | | | FNMA POOL #0BF0535 | | U. S. GOVERNMENT SECURITIES | | 1,478,902 | | | | 965,858 | | | FNMA POOL #0BF0546 | | U. S. GOVERNMENT SECURITIES | | 797,169 | | | | 603,561 | | | FNMA POOL #0BF0560 | | U. S. GOVERNMENT SECURITIES | | 498,146 | | | | 9,941,291 | | | FNMA POOL #0BF0578 | | U. S. GOVERNMENT SECURITIES | | 8,204,972 | | | | 7,846,725 | | | FNMA POOL #0BF0618 | | U. S. GOVERNMENT SECURITIES | | 6,476,231 | | | | 3,061,952 | | | FNMA POOL #0BF0619 | | U. S. GOVERNMENT SECURITIES | | 2,527,142 | | | | 8,484,214 | | | FNMA POOL #0BF0653 | | U. S. GOVERNMENT SECURITIES | | 7,002,402 | | | | 7,280,014 | | | FNMA POOL #0BF0701 | | U. S. GOVERNMENT SECURITIES | | 6,628,011 | | | | 7,117,124 | | | FNMA POOL #0BF0672 | | U. S. GOVERNMENT SECURITIES | | 5,874,062 | | | | 59,622 | | | FNMA POOL #0BF0675 | | U. S. GOVERNMENT SECURITIES | | 51,611 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 4,697,669 | | | FNMA POOL #0BF0676 | | U. S. GOVERNMENT SECURITIES | | 4,276,978 | | | | 5,049,364 | | | FNMA POOL #0BF0733 | | U. S. GOVERNMENT SECURITIES | | 4,370,933 | | | | 3,472,911 | | | FNMA POOL #0BF0704 | | U. S. GOVERNMENT SECURITIES | | 2,866,286 | | | | 3,347,122 | | | FNMA POOL #0BF0717 | | U. S. GOVERNMENT SECURITIES | | 2,904,148 | | | | 11,249,900 | | | FNMA POOL #0BF0760 | | U. S. GOVERNMENT SECURITIES | | 9,284,900 | | | | 1,759,081 | | | FNMA POOL #0BF0742 | | U. S. GOVERNMENT SECURITIES | | 1,526,284 | | | | 1,587,961 | | | FNMA POOL #0BF0743 | | U. S. GOVERNMENT SECURITIES | | 1,450,218 | | | | 24,119 | | | FNMA POOL #0BH4224 | | U. S. GOVERNMENT SECURITIES | | 23,051 | | | | 31,823 | | | FNMA POOL #0BH4896 | | U. S. GOVERNMENT SECURITIES | | 31,433 | | | | 9,848 | | | FNMA POOL #0BJ2239 | | U. S. GOVERNMENT SECURITIES | | 8,943 | | | | 16,395 | | | FNMA POOL #0BJ5653 | | U. S. GOVERNMENT SECURITIES | | 15,858 | | | | 71,106 | | | FNMA POOL #0BJ7195 | | U. S. GOVERNMENT SECURITIES | | 70,709 | | | | 46,077 | | | FNMA POOL #0BK1766 | | U. S. GOVERNMENT SECURITIES | | 44,037 | | | | 68,945 | | | FNMA POOL #0BK0916 | | U. S. GOVERNMENT SECURITIES | | 70,158 | | | | 18,151 | | | FNMA POOL #0BK6899 | | U. S. GOVERNMENT SECURITIES | | 18,050 | | | | 165,203 | | | FNMA POOL #0BK8202 | | U. S. GOVERNMENT SECURITIES | | 124,411 | | | | 151,579 | | | FNMA POOL #0BK8385 | | U. S. GOVERNMENT SECURITIES | | 114,150 | | | | 49,136 | | | FNMA POOL #0BM3138 | | U. S. GOVERNMENT SECURITIES | | 47,564 | | | | 137,260 | | | FNMA POOL #0BM5804 | | U. S. GOVERNMENT SECURITIES | | 139,369 | | | | 275,864 | | | FNMA POOL #0BN5403 | | U. S. GOVERNMENT SECURITIES | | 273,698 | | | | 5,586 | | | FNMA POOL #0BP1638 | | U. S. GOVERNMENT SECURITIES | | 5,354 | | | | 42,207 | | | FNMA POOL #0BP7820 | | U. S. GOVERNMENT SECURITIES | | 38,317 | | | | 1,019,990 | | | FNMA POOL #0BQ7559 | | U. S. GOVERNMENT SECURITIES | | 828,305 | | | | 572,236 | | | FNMA POOL #0BQ7589 | | U. S. GOVERNMENT SECURITIES | | 463,930 | | | | 886,222 | | | FNMA POOL #0BQ7604 | | U. S. GOVERNMENT SECURITIES | | 719,868 | | | | 288,930 | | | FNMA POOL #0BQ7618 | | U. S. GOVERNMENT SECURITIES | | 236,155 | | | | 1,687,361 | | | FNMA POOL #0BR0772 | | U. S. GOVERNMENT SECURITIES | | 1,367,979 | | | | 2,132,558 | | | FNMA POOL #0BR3283 | | U. S. GOVERNMENT SECURITIES | | 1,727,611 | | | | 336,735 | | | FNMA POOL #0BR7743 | | U. S. GOVERNMENT SECURITIES | | 272,793 | | | | 1,658,228 | | | FNMA POOL #0BV3076 | | U. S. GOVERNMENT SECURITIES | | 1,343,701 | | | | 1,349,813 | | | FNMA POOL #0BV4172 | | U. S. GOVERNMENT SECURITIES | | 1,093,500 | | | | 405,180 | | | FNMA POOL #0BV8553 | | U. S. GOVERNMENT SECURITIES | | 385,288 | | | | 665,241 | | | FNMA POOL #0BV9951 | | U. S. GOVERNMENT SECURITIES | | 635,730 | | | | 388,262 | | | FNMA POOL #0BW6279 | | U. S. GOVERNMENT SECURITIES | | 370,706 | | | | 2,723,741 | | | FNMA POOL #0BW6333 | | U. S. GOVERNMENT SECURITIES | | 2,604,253 | | | | 1,461,128 | | | FNMA POOL #0BW9845 | | U. S. GOVERNMENT SECURITIES | | 1,476,772 | | | | 121,722 | | | FNMA POOL #0BY1712 | | U. S. GOVERNMENT SECURITIES | | 127,025 | | | | 169,929 | | | FNMA POOL #0BY1713 | | U. S. GOVERNMENT SECURITIES | | 176,665 | | | | 373,584 | | | FNMA POOL #0BY1783 | | U. S. GOVERNMENT SECURITIES | | 390,173 | | | | 399,381 | | | FNMA POOL #0BY1784 | | U. S. GOVERNMENT SECURITIES | | 415,154 | | | | 58,550 | | | FNMA POOL #0BY4136 | | U. S. GOVERNMENT SECURITIES | | 59,754 | | | | 170,207 | | | FNMA POOL #0BY4137 | | U. S. GOVERNMENT SECURITIES | | 173,791 | | | | 76,248 | | | FNMA POOL #0BY4135 | | U. S. GOVERNMENT SECURITIES | | 77,596 | | | | 205,894 | | | FNMA POOL #0BY4148 | | U. S. GOVERNMENT SECURITIES | | 214,524 | | | | 90,634 | | | FNMA POOL #0BY4149 | | U. S. GOVERNMENT SECURITIES | | 94,232 | | | | 277,661 | | | FNMA POOL #0BY8309 | | U. S. GOVERNMENT SECURITIES | | 291,759 | | | | 110,661 | | | FNMA POOL #0BY8509 | | U. S. GOVERNMENT SECURITIES | | 114,495 | | | | 76,512 | | | FNMA POOL #0BY8519 | | U. S. GOVERNMENT SECURITIES | | 79,973 | | | | 114,374 | | | FNMA POOL #0BY8520 | | U. S. GOVERNMENT SECURITIES | | 118,794 | | | | 388,750 | | | FNMA POOL #0BY8521 | | U. S. GOVERNMENT SECURITIES | | 405,498 | | | | 464,090 | | | FNMA POOL #0BY8531 | | U. S. GOVERNMENT SECURITIES | | 484,618 | | | | 180,562 | | | FNMA POOL #0BY9392 | | U. S. GOVERNMENT SECURITIES | | 192,094 | | | | 1,899,537 | | | FNMA POOL #0CB2644 | | U. S. GOVERNMENT SECURITIES | | 1,610,449 | | | | 5,209,599 | | | FNMA POOL #0CB2773 | | U. S. GOVERNMENT SECURITIES | | 4,227,938 | | | | 2,142,890 | | | FNMA POOL #0CB6880 | | U. S. GOVERNMENT SECURITIES | | 2,226,224 | | | | 1,873,899 | | | FNMA POOL #0FA2386 | | U. S. GOVERNMENT SECURITIES | | 1,835,963 | | | | 4,394,953 | | | FNMA POOL #0FA3623 | | U. S. GOVERNMENT SECURITIES | | 3,560,406 | | | | 366,466 | | | FNMA POOL #0FM3718 | | U. S. GOVERNMENT SECURITIES | | 372,078 | | | | 138,117 | | | FNMA POOL #0FM5679 | | U. S. GOVERNMENT SECURITIES | | 142,442 | | | | 2,203,183 | | | FNMA POOL #0FM5977 | | U. S. GOVERNMENT SECURITIES | | 1,702,946 | | | | 1,212,745 | | | FNMA POOL #0FM6097 | | U. S. GOVERNMENT SECURITIES | | 937,845 | | | | 19,531 | | | FNMA POOL #0FM6075 | | U. S. GOVERNMENT SECURITIES | | 19,302 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 911,825 | | | FNMA POOL #0FM9086 | | U. S. GOVERNMENT SECURITIES | | 774,786 | | | | 23,608 | | | FNMA POOL #0FM9765 | | U. S. GOVERNMENT SECURITIES | | 20,974 | | | | 115,990 | | | FNMA POOL #0FS6235 | | U. S. GOVERNMENT SECURITIES | | 122,460 | | | | 749,626 | | | FNMA POOL #0FS6121 | | U. S. GOVERNMENT SECURITIES | | 664,945 | | | | 1,561,613 | | | FNMA POOL #0FS8321 | | U. S. GOVERNMENT SECURITIES | | 1,656,101 | | | | 2,940,385 | | | FNMA POOL #0FS9761 | | U. S. GOVERNMENT SECURITIES | | 2,608,917 | | | | 2,125,644 | | | FNMA POOL #0CC0287 | | U. S. GOVERNMENT SECURITIES | | 2,210,888 | | | | 733,826 | | | FNMA POOL #0CC0617 | | U. S. GOVERNMENT SECURITIES | | 773,940 | | | | 2,781 | | | FNMA POOL #0906734 | | U. S. GOVERNMENT SECURITIES | | 2,919 | | | | 150,211 | | | FNMA POOL #0MA2218 | | U. S. GOVERNMENT SECURITIES | | 138,256 | | | | 30,108 | | | FNMA POOL #0MA2490 | | U. S. GOVERNMENT SECURITIES | | 30,088 | | | | 17,533 | | | FNMA POOL #0MA3472 | | U. S. GOVERNMENT SECURITIES | | 17,780 | | | | 49,111 | | | FNMA POOL #0MA2705 | | U. S. GOVERNMENT SECURITIES | | 44,721 | | | | 115,198 | | | FNMA POOL #0MA2737 | | U. S. GOVERNMENT SECURITIES | | 104,817 | | | | 17,770 | | | FNMA POOL #0MA3351 | | U. S. GOVERNMENT SECURITIES | | 15,828 | | | | 85,016 | | | FNMA POOL #0MA3401 | | U. S. GOVERNMENT SECURITIES | | 76,705 | | | | 31,519 | | | FNMA POOL #0MA3448 | | U. S. GOVERNMENT SECURITIES | | 32,060 | | | | 836,263 | | | FNMA POOL #0MA4436 | | U. S. GOVERNMENT SECURITIES | | 646,687 | | | | 3,351,458 | | | FNMA POOL #0MA4492 | | U. S. GOVERNMENT SECURITIES | | 2,724,303 | | | | 1,701,370 | | | FNMA POOL #0MA4511 | | U. S. GOVERNMENT SECURITIES | | 1,382,460 | | | | 3,218,530 | | | FNMA POOL #0MA4602 | | U. S. GOVERNMENT SECURITIES | | 2,981,167 | | | | 109,554 | | | FNMA POOL #0MA5231 | | U. S. GOVERNMENT SECURITIES | | 113,469 | | | | 162,025 | | | FNMA POOL #0MA5261 | | U. S. GOVERNMENT SECURITIES | | 168,182 | | | | 760,527 | | | FHLMC POOL #QX-4525 | | U. S. GOVERNMENT SECURITIES | | 767,146 | | | | 1,256,186 | | | FHLMC POOL #QX-4960 | | U. S. GOVERNMENT SECURITIES | | 1,294,868 | | | | 850,491 | | | FHLMC POOL #QX-5011 | | U. S. GOVERNMENT SECURITIES | | 856,709 | | | | 661,712 | | | FHLMC POOL #QX-7273 | | U. S. GOVERNMENT SECURITIES | | 664,143 | | | | 602,484 | | | FHLMC POOL #QX-9100 | | U. S. GOVERNMENT SECURITIES | | 617,186 | | | | 731,535 | | | FHLMC POOL #QZ-7248 | | U. S. GOVERNMENT SECURITIES | | 735,357 | | | | 1,861,448 | | | FHLMC POOL #SL-1588 | | U. S. GOVERNMENT SECURITIES | | 1,911,441 | | | | 669,168 | | | FHLMC POOL #RJ-2689 | | U. S. GOVERNMENT SECURITIES | | 721,341 | | | | 3,288,892 | | | FHLMC POOL #RJ-4585 | | U. S. GOVERNMENT SECURITIES | | 3,384,532 | | | | 81 | | | GNMA POOL #0587280 | | U. S. GOVERNMENT SECURITIES | | 83 | | | | 75 | | | GNMA POOL #0486844 | | U. S. GOVERNMENT SECURITIES | | 76 | | | | 103 | | | GNMA POOL #0530269 | | U. S. GOVERNMENT SECURITIES | | 106 | | | | 69 | | | GNMA POOL #0563646 | | U. S. GOVERNMENT SECURITIES | | 71 | | | | 204 | | | GNMA POOL #0780958 | | U. S. GOVERNMENT SECURITIES | | 207 | | | | 10 | | | GNMA POOL #0781199 | | U. S. GOVERNMENT SECURITIES | | 10 | | | | 196 | | | GNMA POOL #0675324 | | U. S. GOVERNMENT SECURITIES | | 207 | | | | 3,531 | | | GNMA POOL #0675312 | | U. S. GOVERNMENT SECURITIES | | 3,712 | | | | 2 | | | GNMA GTD REMIC P/T 13-H01 FA | | U. S. GOVERNMENT SECURITIES | | 1 | | | | 500 | | | GNMA GTD REMIC P/T 13-H03 HA | | U. S. GOVERNMENT SECURITIES | | 456 | | | | 437 | | | GNMA GTD REMIC P/T 13-H04 BA | | U. S. GOVERNMENT SECURITIES | | 419 | | | | 5,422 | | | GNMA GTD REMIC P/T 13-H10 PA | | U. S. GOVERNMENT SECURITIES | | 5,143 | | | | 29,802 | | | GNMA GTD REMIC P/T 15-H10 JA | | U. S. GOVERNMENT SECURITIES | | 28,671 | | | | 322,000 | | | TENNESSEE VALLEY AUTH BD | | U. S. GOVERNMENT SECURITIES | | 287,681 | | | | 11,130,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 8,641,836 | | | | 735,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 542,637 | | | | 12,680,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 8,589,214 | | | | 20,695,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 14,500,243 | | | | 11,665,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 8,619,797 | | | | 7,290,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 6,102,243 | | | | 945,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 801,478 | | | | 17,445,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 14,187,010 | | | | 3,290,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 2,970,510 | | | | 3,875,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 3,489,014 | | | | 2,190,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 1,947,132 | | | | 1,410,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 1,280,346 | | | | 3,190,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 3,097,291 | | | | 2,065,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 1,902,220 | | | | 12,985,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 12,301,259 | | | | 3,606,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 3,488,664 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 892,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 880,432 | | | | 1,358,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 1,399,164 | | | | 1,133,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 1,118,838 | | | | 5,042,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 4,878,923 | | | | 718,000 | | | U S TREASURY BOND | | U. S. GOVERNMENT SECURITIES | | 704,201 | | | | 15,015,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 14,017,324 | | | | 12,892,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 13,010,848 | | | | 21,420,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 21,697,791 | | | | 670,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 652,177 | | | | 6,247,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 6,015,666 | | | | 30,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 30,096 | | | | 16,633,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 16,523,196 | | | | 605,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 625,773 | | | | 1,580,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 1,576,605 | | | | 6,325,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 6,327,718 | | | | 20,080,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 19,903,516 | | | | 1,795,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 1,787,708 | | | | 1,950,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 1,984,582 | | | | 1,090,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 1,108,138 | | | | 4,025,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 4,090,721 | | | | 3,220,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 3,336,473 | | | | 1,995,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 2,053,136 | | | | 4,910,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 4,976,170 | | | | 22,095,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 22,268,480 | | | | 23,020,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 23,354,509 | | | | 5,625,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 5,701,245 | | | | 22,080,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 22,238,700 | | | | 1,930,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 1,946,134 | | | | 1,060,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 1,068,737 | | | | 8,418,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 8,474,230 | | | | 8,690,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 8,771,469 | | | | 445,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 446,026 | | | | 2,315,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 2,312,378 | | | | 3,140,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 3,131,537 | | | | 1,047,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 1,045,323 | | | | 10,087,700 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 10,057,752 | | | | 449,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 447,527 | | | | 11,289,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 11,181,402 | | | | 2,715,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 2,681,911 | | | | 7,366,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 7,292,340 | | | | 3,232,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 3,202,458 | | | | 8,134,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 8,111,123 | | | | 12,256,000 | | | U S TREASURY NOTE | | U. S. GOVERNMENT SECURITIES | | 12,210,040 | | | | 1,755,857 | | | FHLMC MULTICLASS MTG | | U. S. GOVERNMENT SECURITIES | | 1,771,347 | | | | 954 | | | GNMA II POOL #0765229 | | U. S. GOVERNMENT SECURITIES | | 937 | | | | 226 | | | GNMA II POOL #0766529 | | U. S. GOVERNMENT SECURITIES | | 221 | | | | 28 | | | GNMA II POOL #0766544 | | U. S. GOVERNMENT SECURITIES | | 27 | | | | 55 | | | GNMA II POOL #0766566 | | U. S. GOVERNMENT SECURITIES | | 55 | | | | 16,219 | | | GNMA II POOL #0771828 | | U. S. GOVERNMENT SECURITIES | | 16,256 | | | | 3,364 | | | GNMA II POOL #0771829 | | U. S. GOVERNMENT SECURITIES | | 3,359 | | | | 10,948 | | | GNMA II POOL #0798521 | | U. S. GOVERNMENT SECURITIES | | 10,881 | | | | 1,851 | | | GNMA II POOL #0AB6552 | | U. S. GOVERNMENT SECURITIES | | 1,849 | | | | 29 | | | GNMA II POOL #0AC0988 | | U. S. GOVERNMENT SECURITIES | | 29 | | | | 43 | | | GNMA II POOL #0AC9906 | | U. S. GOVERNMENT SECURITIES | | 42 | | | | 818 | | | GNMA II POOL #0AE0488 | | U. S. GOVERNMENT SECURITIES | | 819 | | | | 4,970 | | | GNMA II POOL #0AF7339 | | U. S. GOVERNMENT SECURITIES | | 4,983 | | | | 15,719 | | | GNMA II POOL #0AF7379 | | U. S. GOVERNMENT SECURITIES | | 15,729 | | | | 50,013 | | | GNMA II POOL #0AH1236 | | U. S. GOVERNMENT SECURITIES | | 50,101 | | | | 10,380 | | | GNMA II POOL #0AH1377 | | U. S. GOVERNMENT SECURITIES | | 10,342 | | | | 40,067 | | | GNMA II POOL #0AK0201 | | U. S. GOVERNMENT SECURITIES | | 39,975 | | | | 23,382 | | | GNMA II POOL #0AK8743 | | U. S. GOVERNMENT SECURITIES | | 23,406 | | | | 1,648 | | | GNMA II POOL #0AL7424 | | U. S. GOVERNMENT SECURITIES | | 1,646 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 25,044 | | | GNMA II POOL #0AR6523 | | U. S. GOVERNMENT SECURITIES | | 24,928 | | | | 60,710 | | | GNMA II POOL #0AR6570 | | U. S. GOVERNMENT SECURITIES | | 60,539 | | | | 47,246 | | | GNMA II POOL #0AR7510 | | U. S. GOVERNMENT SECURITIES | | 47,167 | | | | 147,845 | | | GNMA II POOL #0AS6008 | | U. S. GOVERNMENT SECURITIES | | 147,170 | | | | 29,433 | | | GNMA II POOL #0AS5980 | | U. S. GOVERNMENT SECURITIES | | 29,303 | | | | 21,547 | | | GNMA II POOL #0AS8942 | | U. S. GOVERNMENT SECURITIES | | 21,485 | | | | 9,611 | | | GNMA II POOL #0AU1288 | | U. S. GOVERNMENT SECURITIES | | 9,592 | | | | 20,235 | | | GNMA II POOL #0AU1850 | | U. S. GOVERNMENT SECURITIES | | 20,237 | | | | 22,829 | | | GNMA II POOL #0AU3149 | | U. S. GOVERNMENT SECURITIES | | 22,838 | | | | 46,721 | | | GNMA II POOL #0AW1858 | | U. S. GOVERNMENT SECURITIES | | 46,593 | | | | 133,871 | | | GNMA II POOL #0AY2208 | | U. S. GOVERNMENT SECURITIES | | 133,858 | | | | 74 | | | GNMA II POOL #0751415 | | U. S. GOVERNMENT SECURITIES | | 74 | | | | 2,720 | | | GNMA II POOL #0756718 | | U. S. GOVERNMENT SECURITIES | | 2,728 | | | | 5,575,000 | | | U S TREASURY BILL | | U. S. GOVERNMENT SECURITIES | | 5,528,022 | | | | 4,747,000 | | | U S TREASURY BILL | | U. S. GOVERNMENT SECURITIES | | 4,706,301 | | | | 4,164,000 | | | U S TREASURY BILL | | U. S. GOVERNMENT SECURITIES | | 4,117,829 | | | | 1,470,000 | | | FEDERAL HOME LN BK CONS DISC | | U. S. GOVERNMENT SECURITIES | | 1,469,150 | | | | 10,771,000 | | | FEDERAL HOME LN BK CONS DISC N | | U. S. GOVERNMENT SECURITIES | | 10,760,558 | | | | 6,880,000 | | | FEDERAL HOME LN BK CONS DISC | | U. S. GOVERNMENT SECURITIES | | 6,872,663 | | | | 8,565,000 | | | FEDERAL HOME LN BK CONS DISC | | U. S. GOVERNMENT SECURITIES | | 8,554,206 | | | | 241 | | | BNY MELLON CASH RESERVE | | U. S. GOVERNMENT SECURITIES | | 241 | | | | | | | | | | | | | 12,207,720 | | | EB TEMP INV FD* | | Common Collective Trust Fund | | 12,207,720 | | | | | | | | | | | | | 25,734,020 | | | EB TEMP INV FD* | | Common Collective Trust Fund | | 25,734,020 | | | | | | | | | | | | | | | Diversified Bond Fund Subtotal | | | | $ | 1,863,063,230 | | | | | | | | | | | | | | | | | | | | | International Equity Fund | | | | American Funds, First Eagle, Hartford, All Spring and Vanguard | | Separately Managed Fund | | | | | 3,768,926 | | | VANGUARD INTL GROWTH-ADM | | Mutual Fund | | $ | 429,619,866 | | | | 15,644,685 | | | HARTFORD INTL VAL-R6 | | Mutual Fund | | 388,613,967 | | | | 15,501,298 | | | FIRST EAGLE OVERSEAS-R6 | | Mutual Fund | | 485,345,653 | | | | 7,407,346 | | | EUPAC FUND-R-6 | | Mutual Fund | | 448,736,991 | | | | 5,719,521 | | | ALLSPRING EMRG MRK EQ-R6 | | Mutual Fund | | 198,124,193 | | | | | | | | | | | | | | | Cash | | Cash | | (1,971) | | | | | | | | | | | | | | | International Equity Fund Subtotal | | | | $ | 1,950,438,699 | | | | | | | | | | | | Small Mid Cap Core Fund | | | | Baron Discovery Strategy, DF Dent Mid Cap Growth, Earnest, MFS Mid Cap Value Equity, and Snyder Capital Mgt Small/Mid Cap Value | | Separately Managed Fund | | | | | 4,902 | | | NETSKOPE INC | | Common Stock | | $ | 85,981 | | | | 9,778 | | | STANDARDAERO INC | | Common Stock | | 280,433 | | | | 3,398 | | | ZSCALER INC | | Common Stock | | 764,278 | | | | 4,779 | | | ZEBRA TECHNOLOGIES CORP | | Common Stock | | 1,160,437 | | | | 43,183 | | | WYNN RESORTS LTD | | Common Stock | | 5,196,210 | | | | 31,983 | | | WOODWARD INC | | Common Stock | | 9,669,101 | | | | 130,521 | | | WOLVERINE WORLD WIDE INC | | Common Stock | | 2,368,956 | | | | 18,335 | | | WINGSTOP INC | | Common Stock | | 4,372,714 | | | | 34,411 | | | WEX INC | | Common Stock | | 5,126,551 | | | | 21,557 | | | WEST PHARMACEUTICAL SERVICES I | | Common Stock | | 5,931,193 | | | | 123,500 | | | WAYSTAR HOLDING CORP | | Common Stock | | 4,044,625 | | | | 11,026 | | | WESTINGHOUSE AIR BRAKE TECHNOL | | Common Stock | | 2,353,500 | | | | 27,303 | | | WP CAREY INC | | Common Stock | | 1,757,221 | | | | 31,305 | | | VULCAN MATERIALS CO | | Common Stock | | 8,928,812 | | | | 22,196 | | | VOYA FINANCIAL INC | | Common Stock | | 1,653,380 | | | | 63,667 | | | VICI PROPERTIES INC | | Common Stock | | 1,790,316 | | | | 70,537 | | | VERALTO CORP | | Common Stock | | 7,038,182 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 55,937 | | | VERACYTE INC | | Common Stock | | 2,354,948 | | | | 23,563 | | | VENTAS INC | | Common Stock | | 1,823,305 | | | | 29,133 | | | VEEVA SYSTEMS INC | | Common Stock | | 6,503,360 | | | | 105,865 | | | VARONIS SYSTEMS INC | | Common Stock | | 3,472,372 | | | | 13,187 | | | VALERO ENERGY CORP | | Common Stock | | 2,146,712 | | | | 7,525 | | | UNIVERSAL HEALTH SERVICES INC | | Common Stock | | 1,640,601 | | | | 31,289 | | | US FOODS HOLDING CORP | | Common Stock | | 2,356,687 | | | | 114,063 | | | UNITED BANKSHARES INC/WV | | Common Stock | | 4,380,019 | | | | 146,284 | | | UNITED COMMUNITY BANKS INC/GA | | Common Stock | | 4,566,986 | | | | 38,149 | | | UMB FINANCIAL CORP | | Common Stock | | 4,388,603 | | | | 254,540 | | | UGI CORP | | Common Stock | | 9,527,432 | | | | 11,277 | | | TYLER TECHNOLOGIES INC | | Common Stock | | 5,119,194 | | | | 110,335 | | | TRUSTMARK CORP | | Common Stock | | 4,297,548 | | | | 25,601 | | | TRINET GROUP INC | | Common Stock | | 1,513,787 | | | | 20,058 | | | TRANSUNION | | Common Stock | | 1,719,974 | | | | 4,811 | | | TRANSDIGM GROUP INC | | Common Stock | | 6,397,908 | | | | 33,320 | | | TIMKEN CO/THE | | Common Stock | | 2,803,212 | | | | 24,986 | | | TEXAS ROADHOUSE INC | | Common Stock | | 4,147,676 | | | | 36,704 | | | TEMPUS AI INC | | Common Stock | | 2,167,371 | | | | 13,975 | | | TARGA RESOURCES CORP | | Common Stock | | 2,578,388 | | | | 1,399 | | | TALEN ENERGY CORP | | Common Stock | | 524,401 | | | | 102,061 | | | TWFG INC | | Common Stock | | 2,936,295 | | | | 21,076 | | | TPG INC | | Common Stock | | 1,345,492 | | | | 20,838 | | | SYSCO CORP | | Common Stock | | 1,535,552 | | | | 17,415 | | | SYNCHRONY FINANCIAL | | Common Stock | | 1,452,933 | | | | 40,815 | | | STIFEL FINANCIAL CORP | | Common Stock | | 5,110,854 | | | | 59,102 | | | STEPSTONE GROUP INC | | Common Stock | | 3,792,575 | | | | 17,274 | | | STANLEY BLACK & DECKER INC | | Common Stock | | 1,283,113 | | | | 6,481 | | | STANDARDAERO INC | | Common Stock | | 185,875 | | | | 97,570 | | | STAG INDUSTRIAL INC | | Common Stock | | 3,586,673 | | | | 35,766 | | | SOUTHWEST AIRLINES CO | | Common Stock | | 1,478,209 | | | | 51,725 | | | SOUTHSTATE BANK CORP | | Common Stock | | 4,867,840 | | | | 12,330 | | | SKYWORKS SOLUTIONS INC | | Common Stock | | 781,845 | | | | 10,319 | | | SITIME CORP | | Common Stock | | 3,644,568 | | | | 37,501 | | | SITEONE LANDSCAPE SUPPLY INC | | Common Stock | | 4,671,125 | | | | 21,238 | | | SITEONE LANDSCAPE SUPPLY INC | | Common Stock | | 2,645,405 | | | | 122,114 | | | ARS PHARMACEUTICALS INC | | Common Stock | | 1,422,628 | | | | 50,811 | | | SHIFT4 PAYMENTS INC | | Common Stock | | 3,199,569 | | | | 48,819 | | | SERVICETITAN INC | | Common Stock | | 5,199,224 | | | | 218,584 | | | SENTINELONE INC | | Common Stock | | 3,278,760 | | | | 20,601 | | | SEMPRA | | Common Stock | | 1,818,862 | | | | 75,628 | | | SCOTTS MIRACLE-GRO CO/THE | | Common Stock | | 4,412,894 | | | | 102,336 | | | HENRY SCHEIN INC | | Common Stock | | 7,734,555 | | | | 1,071,368 | | | SABRE CORP | | Common Stock | | 1,457,060 | | | | 27,918 | | | SPX TECHNOLOGIES INC | | Common Stock | | 5,585,275 | | | | 157,724 | | | SS&C TECHNOLOGIES HOLDINGS INC | | Common Stock | | 13,788,232 | | | | 57,431 | | | SLM CORP | | Common Stock | | 1,554,083 | | | | 24,811 | | | RYDER SYSTEM INC | | Common Stock | | 4,748,577 | | | | 12,441 | | | ROSS STORES INC | | Common Stock | | 2,241,122 | | | | 28,082 | | | REXFORD INDUSTRIAL REALTY INC | | Common Stock | | 1,087,335 | | | | 33,326 | | | REPLIGEN CORP | | Common Stock | | 5,460,798 | | | | 24,045 | | | REPLIGEN CORP | | Common Stock | | 3,940,014 | | | | 22,181 | | | REINSURANCE GROUP OF AMERICA I | | Common Stock | | 4,512,946 | | | | 71,493 | | | REGIONS FINANCIAL CORP | | Common Stock | | 1,937,460 | | | | 11,147 | | | REGAL REXNORD CORP | | Common Stock | | 1,564,147 | | | | 7,493 | | | RBC BEARINGS INC | | Common Stock | | 3,360,086 | | | | 16,450 | | | RAYMOND JAMES FINANCIAL INC | | Common Stock | | 2,641,706 | | | | 12,895 | | | QNITY ELECTRONICS INC | | Common Stock | | 1,052,877 | | | | 19,174 | | | PULTEGROUP INC | | Common Stock | | 2,248,343 | | | | 29,010 | | | PUBLIC SERVICE ENTERPRISE GROU | | Common Stock | | 2,329,503 | | | | 75,100 | | | PROSPERITY BANCSHARES INC | | Common Stock | | 5,190,161 | | | | 14,974 | | | PROSPERITY BANCSHARES INC | | Common Stock | | 1,034,853 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 61,650 | | | PROCORE TECHNOLOGIES INC | | Common Stock | | 4,484,421 | | | | 188,322 | | | PRIMO BRANDS CORP | | Common Stock | | 3,079,065 | | | | 160,513 | | | POWER INTEGRATIONS INC | | Common Stock | | 5,704,632 | | | | 28,396 | | | PLEXUS CORP | | Common Stock | | 4,174,212 | | | | 74,672 | | | PLAINS GP HOLDINGS LP | | Common Stock | | 1,429,222 | | | | 19,382 | | | PINNACLE WEST CAPITAL CORP | | Common Stock | | 1,719,183 | | | | 134,979 | | | PERMIAN RESOURCES CORP | | Common Stock | | 1,893,755 | | | | 11,301 | | | REVVITY INC | | Common Stock | | 1,093,372 | | | | 12,385 | | | PEGASYSTEMS INC | | Common Stock | | 739,632 | | | | 101,825 | | | PEBBLEBROOK HOTEL TRUST | | Common Stock | | 1,152,659 | | | | 23,654 | | | PEABODY ENERGY CORP | | Common Stock | | 702,524 | | | | 73,955 | | | PARSONS CORP | | Common Stock | | 4,570,419 | | | | 12,606 | | | PACCAR INC | | Common Stock | | 1,380,483 | | | | 32,282 | | | PTC INC | | Common Stock | | 5,623,847 | | | | 163,810 | | | PG&E CORP | | Common Stock | | 2,632,427 | | | | 16,892 | | | OTIS WORLDWIDE CORP | | Common Stock | | 1,475,516 | | | | 50,989 | | | ORGANON & CO | | Common Stock | | 365,591 | | | | 50,243 | | | ONE GAS INC | | Common Stock | | 3,881,272 | | | | 16,042 | | | OMNICOM GROUP INC | | Common Stock | | 1,295,392 | | | | 31,102 | | | OLD DOMINION FREIGHT LINE INC | | Common Stock | | 4,876,794 | | | | 162,012 | | | OCEANEERING INTERNATIONAL INC | | Common Stock | | 3,893,148 | | | | 9,098 | | | CHORD ENERGY CORP | | Common Stock | | 843,385 | | | | 8,741 | | | NUCOR CORP | | Common Stock | | 1,425,745 | | | | 18,024 | | | NORTHERN TRUST CORP | | Common Stock | | 2,461,898 | | | | 27,870 | | | NORTHEAST BANK | | Common Stock | | 2,896,529 | | | | 5,553 | | | NORDSON CORP | | Common Stock | | 1,335,108 | | | | 4,619 | | | NEXSTAR MEDIA GROUP INC | | Common Stock | | 937,888 | | | | 126,649 | | | NEWELL BRANDS INC | | Common Stock | | 471,134 | | | | 188,277 | | | NETSKOPE INC | | Common Stock | | 3,302,379 | | | | 77,787 | | | NNN REIT INC | | Common Stock | | 3,082,699 | | | | 10,375 | | | MORNINGSTAR INC | | Common Stock | | 2,254,591 | | | | 25,289 | | | MOOG INC | | Common Stock | | 6,159,136 | | | | 8,687 | | | MOODY'S CORP | | Common Stock | | 4,437,754 | | | | 207,698 | | | MONTROSE ENVIRONMENTAL GROUP I | | Common Stock | | 5,157,141 | | | | 4,551 | | | MONOLITHIC POWER SYSTEMS INC | | Common Stock | | 4,124,844 | | | | 10,846 | | | MOHAWK INDUSTRIES INC | | Common Stock | | 1,185,468 | | | | 33,197 | | | MID-AMERICA APARTMENT COMMUNIT | | Common Stock | | 4,611,395 | | | | 10,690 | | | MID-AMERICA APARTMENT COMMUNIT | | Common Stock | | 1,484,948 | | | | 41,461 | | | MICROCHIP TECHNOLOGY INC | | Common Stock | | 2,641,895 | | | | 3,085 | | | METTLER-TOLEDO INTERNATIONAL I | | Common Stock | | 4,301,076 | | | | 53,303 | | | MERITAGE HOMES CORP | | Common Stock | | 3,507,337 | | | | 72,152 | | | MERCURY SYSTEMS INC | | Common Stock | | 5,267,818 | | | | 15,039 | | | MEDLINE INC | | Common Stock | | 631,638 | | | | 53,251 | | | MATTEL INC | | Common Stock | | 1,056,500 | | | | 33,689 | | | MASIMO CORP | | Common Stock | | 4,381,591 | | | | 891 | | | MARKEL GROUP INC | | Common Stock | | 1,915,338 | | | | 1,365 | | | MARKEL GROUP INC | | Common Stock | | 2,934,272 | | | | 15,480 | | | MANHATTAN ASSOCIATES INC | | Common Stock | | 2,682,839 | | | | 7,287 | | | MSCI INC | | Common Stock | | 4,180,771 | | | | 10,908 | | | M&T BANK CORP | | Common Stock | | 2,197,744 | | | | 88,879 | | | LOAR HOLDINGS INC | | Common Stock | | 6,043,772 | | | | 14,150 | | | LITTELFUSE INC | | Common Stock | | 3,578,818 | | | | 39,975 | | | LINCOLN NATIONAL CORP | | Common Stock | | 1,780,087 | | | | 25,449 | | | LIBERTY MEDIA CORP-LIBERTY FOR | | Common Stock | | 2,274,632 | | | | 84,603 | | | LIBERTY LIVE HOLDINGS INC | | Common Stock | | 7,035,585 | | | | 9,924 | | | LEIDOS HOLDINGS INC | | Common Stock | | 1,790,290 | | | | 5,761 | | | LABCORP HOLDINGS INC | | Common Stock | | 1,445,320 | | | | 7,002 | | | L3HARRIS TECHNOLOGIES INC | | Common Stock | | 2,055,577 | | | | 191,389 | | | LKQ CORP | | Common Stock | | 5,779,948 | | | | 47,622 | | | LKQ CORP | | Common Stock | | 1,438,184 | | | | 42,111 | | | KRATOS DEFENSE & SECURITY SOLU | | Common Stock | | 3,196,646 | | | | 17,125 | | | KINSALE CAPITAL GROUP INC | | Common Stock | | 6,697,930 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 9,418 | | | KINSALE CAPITAL GROUP INC | | Common Stock | | 3,683,568 | | | | 39,614 | | | KEYSIGHT TECHNOLOGIES INC | | Common Stock | | 8,049,169 | | | | 109,697 | | | KENVUE INC | | Common Stock | | 1,892,273 | | | | 64,499 | | | KARMAN HOLDINGS INC | | Common Stock | | 4,719,392 | | | | 25,079 | | | KBR INC | | Common Stock | | 1,008,176 | | | | 5,957 | | | JONES LANG LASALLE INC | | Common Stock | | 2,004,352 | | | | 13,910 | | | JACOBS SOLUTIONS INC | | Common Stock | | 1,842,519 | | | | 29,565 | | | INTERNATIONAL PAPER CO | | Common Stock | | 1,164,565 | | | | 18,554 | | | INTERNATIONAL FLAVORS & FRAGRA | | Common Stock | | 1,250,354 | | | | 100,715 | | | INTAPP INC | | Common Stock | | 4,614,761 | | | | 43,502 | | | INTEGER HOLDINGS CORP | | Common Stock | | 3,411,862 | | | | 10,157 | | | INSPIRE MEDICAL SYSTEMS INC | | Common Stock | | 936,780 | | | | 71,971 | | | INGREDION INC | | Common Stock | | 7,935,522 | | | | 11,447 | | | INGREDION INC | | Common Stock | | 1,262,146 | | | | 16,475 | | | INGERSOLL RAND INC | | Common Stock | | 1,305,150 | | | | 616,091 | | | INDIE SEMICONDUCTOR INC | | Common Stock | | 2,174,801 | | | | 36,434 | | | IDEX CORP | | Common Stock | | 6,483,066 | | | | 6,285 | | | ITT INC | | Common Stock | | 1,090,510 | | | | 11,402 | | | HYATT HOTELS CORP | | Common Stock | | 1,827,969 | | | | 572,447 | | | HUNTINGTON BANCSHARES INC/OH | | Common Stock | | 9,931,955 | | | | 6,881 | | | JB HUNT TRANSPORT SERVICES INC | | Common Stock | | 1,337,254 | | | | 7,218 | | | HUMANA INC | | Common Stock | | 1,848,746 | | | | 3,104 | | | HUBBELL INC | | Common Stock | | 1,378,517 | | | | 41,642 | | | HOULIHAN LOKEY INC | | Common Stock | | 7,253,620 | | | | 45,080 | | | HORACE MANN EDUCATORS CORP | | Common Stock | | 2,081,794 | | | | 67,482 | | | HEXCEL CORP | | Common Stock | | 4,986,920 | | | | 67,549 | | | HEXCEL CORP | | Common Stock | | 4,991,871 | | | | 7,280 | | | HERSHEY CO/THE | | Common Stock | | 1,324,814 | | | | 84,615 | | | HELMERICH & PAYNE INC | | Common Stock | | 2,426,758 | | | | 27,345 | | | HEICO CORP | | Common Stock | | 6,902,698 | | | | 35,685 | | | HEICO CORP | | Common Stock | | 9,007,965 | | | | 99,934 | | | HEARTFLOW INC | | Common Stock | | 2,913,076 | | | | 20,550 | | | HARTFORD INSURANCE GROUP INC/T | | Common Stock | | 2,831,790 | | | | 9,974 | | | HANOVER INSURANCE GROUP INC/TH | | Common Stock | | 1,822,948 | | | | 117,762 | | | HALOZYME THERAPEUTICS INC | | Common Stock | | 7,925,383 | | | | 7,036 | | | GUIDEWIRE SOFTWARE INC | | Common Stock | | 1,414,306 | | | | 19,844 | | | GUIDEWIRE SOFTWARE INC | | Common Stock | | 3,988,842 | | | | 1,234 | | | GROUP 1 AUTOMOTIVE INC | | Common Stock | | 485,332 | | | | 96,934 | | | GRAPHIC PACKAGING HOLDING CO | | Common Stock | | 1,459,826 | | | | 51,810 | | | GRACO INC | | Common Stock | | 4,246,866 | | | | 75,024 | | | GOOSEHEAD INSURANCE INC | | Common Stock | | 5,525,518 | | | | 20,073 | | | GLOBAL PAYMENTS INC | | Common Stock | | 1,553,650 | | | | 123,247 | | | GITLAB INC | | Common Stock | | 4,625,460 | | | | 5,535 | | | GENERAC HOLDINGS INC | | Common Stock | | 754,808 | | | | 13,320 | | | GE HEALTHCARE TECHNOLOGIES INC | | Common Stock | | 1,092,506 | | | | 69,300 | | | GCI LIBERTY INC | | Common Stock | | 2,578,653 | | | | 31,025 | | | GATX CORP | | Common Stock | | 5,261,840 | | | | 44,411 | | | FRANKLIN ELECTRIC CO INC | | Common Stock | | 4,242,583 | | | | 103,881 | | | FOUR CORNERS PROPERTY TRUST IN | | Common Stock | | 2,395,496 | | | | 122,477 | | | FORMFACTOR INC | | Common Stock | | 6,831,767 | | | | 20,888 | | | FLOWSERVE CORP | | Common Stock | | 1,449,209 | | | | 106,988 | | | FLOWSERVE CORP | | Common Stock | | 7,422,827 | | | | 42,329 | | | FLOOR & DECOR HOLDINGS INC | | Common Stock | | 2,577,413 | | | | 52,497 | | | FLOOR & DECOR HOLDINGS INC | | Common Stock | | 3,196,542 | | | | 36,523 | | | FIRSTCASH HOLDINGS INC | | Common Stock | | 5,821,036 | | | | 96,280 | | | FIRST MERCHANTS CORP | | Common Stock | | 3,608,574 | | | | 59,112 | | | FIRST AMERICAN FINANCIAL CORP | | Common Stock | | 3,631,841 | | | | 35,115 | | | FIFTH THIRD BANCORP | | Common Stock | | 1,643,733 | | | | 27,633 | | | FIDELITY NATIONAL INFORMATION | | Common Stock | | 1,836,489 | | | | 5,609 | | | FERGUSON ENTERPRISES INC | | Common Stock | | 1,248,732 | | | | 4,863 | | | FEDEX CORP | | Common Stock | | 1,404,726 | | | | 14,434 | | | EXTRA SPACE STORAGE INC | | Common Stock | | 1,879,595 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 158,654 | | | EXACT SCIENCES CORP | | Common Stock | | 16,112,900 | | | | 41,829 | | | EVERUS CONSTRUCTION GROUP INC | | Common Stock | | 3,578,889 | | | | 15,979 | | | EVERGY INC | | Common Stock | | 1,158,318 | | | | 5,861 | | | ESSEX PROPERTY TRUST INC | | Common Stock | | 1,533,706 | | | | 27,874 | | | EQUITY LIFESTYLE PROPERTIES IN | | Common Stock | | 1,689,443 | | | | 19,941 | | | EQUITABLE HOLDINGS INC | | Common Stock | | 950,189 | | | | 62,959 | | | ENTERPRISE FINANCIAL SERVICES | | Common Stock | | 3,399,786 | | | | 14,587 | | | ENTEGRIS INC | | Common Stock | | 1,228,955 | | | | 149,126 | | | ENTEGRIS INC | | Common Stock | | 12,563,866 | | | | 32,641 | | | ENTEGRIS INC | | Common Stock | | 2,750,004 | | | | 16,827 | | | ENTEGRIS INC | | Common Stock | | 1,417,675 | | | | 45,723 | | | ENERPAC TOOL GROUP CORP | | Common Stock | | 1,748,448 | | | | 36,762 | | | ENERSYS | | Common Stock | | 5,394,824 | | | | 33,479 | | | ECOLAB INC | | Common Stock | | 8,788,907 | | | | 22,590 | | | EASTMAN CHEMICAL CO | | Common Stock | | 1,441,920 | | | | 15,195 | | | EAST WEST BANCORP INC | | Common Stock | | 1,707,766 | | | | 129,778 | | | DYNATRACE INC | | Common Stock | | 5,624,579 | | | | 25,791 | | | DUPONT DE NEMOURS INC | | Common Stock | | 1,036,798 | | | | 184,274 | | | DRAFTKINGS INC | | Common Stock | | 6,350,082 | | | | 107,526 | | | DOLBY LABORATORIES INC | | Common Stock | | 6,905,320 | | | | 43,646 | | | DIODES INC | | Common Stock | | 2,153,494 | | | | 12,294 | | | DIAMONDBACK ENERGY INC | | Common Stock | | 1,848,157 | | | | 27,742 | | | DELTA AIR LINES INC | | Common Stock | | 1,925,295 | | | | 117,888 | | | DARLING INGREDIENTS INC | | Common Stock | | 4,243,968 | | | | 6,125 | | | DARDEN RESTAURANTS INC | | Common Stock | | 1,127,123 | | | | 105,133 | | | COSTAR GROUP INC | | Common Stock | | 7,069,143 | | | | 69,700 | | | COPT DEFENSE PROPERTIES | | Common Stock | | 1,937,660 | | | | 33,260 | | | CORNING INC | | Common Stock | | 2,912,246 | | | | 52,351 | | | COREBRIDGE FINANCIAL INC | | Common Stock | | 1,579,430 | | | | 132,134 | | | CORE LABORATORIES INC | | Common Stock | | 2,118,108 | | | | 84,797 | | | COPART INC | | Common Stock | | 3,319,803 | | | | 90,494 | | | COPART INC | | Common Stock | | 3,542,840 | | | | 13,556 | | | COOPER COS INC/THE | | Common Stock | | 1,111,050 | | | | 45,777 | | | CONMED CORP | | Common Stock | | 1,858,546 | | | | 39,107 | | | COLUMBIA BANKING SYSTEM INC | | Common Stock | | 1,093,041 | | | | 78,501 | | | COHERENT CORP | | Common Stock | | 14,488,930 | | | | 5,750 | | | COHERENT CORP | | Common Stock | | 1,061,278 | | | | 14,116 | | | COGNIZANT TECHNOLOGY SOLUTIONS | | Common Stock | | 1,171,628 | | | | 232,261 | | | CLEARWATER ANALYTICS HOLDINGS | | Common Stock | | 5,602,135 | | | | 66,199 | | | CLEAN HARBORS INC | | Common Stock | | 15,522,342 | | | | 19,959 | | | EXPAND ENERGY CORP | | Common Stock | | 2,202,675 | | | | 89,874 | | | CHEESECAKE FACTORY INC/THE | | Common Stock | | 4,536,840 | | | | 41,625 | | | CHARLES RIVER LABORATORIES INT | | Common Stock | | 8,303,355 | | | | 46,159 | | | CENTERPOINT ENERGY INC | | Common Stock | | 1,769,736 | | | | 48,857 | | | CASELLA WASTE SYSTEMS INC | | Common Stock | | 4,785,055 | | | | 39,889 | | | CASELLA WASTE SYSTEMS INC | | Common Stock | | 3,906,729 | | | | 23,935 | | | CARLYLE GROUP INC/THE | | Common Stock | | 1,414,798 | | | | 279,585 | | | CAREDX INC | | Common Stock | | 5,267,381 | | | | 24,285 | | | CAMPBELL'S COMPANY/THE | | Common Stock | | 676,823 | | | | 12,564 | | | CADENCE DESIGN SYSTEMS INC | | Common Stock | | 3,927,255 | | | | 66,755 | | | CABOT CORP | | Common Stock | | 4,424,521 | | | | 49,669 | | | CABOT CORP | | Common Stock | | 3,292,061 | | | | 74,719 | | | CTS CORP | | Common Stock | | 3,203,204 | | | | 30,681 | | | CMS ENERGY CORP | | Common Stock | | 2,145,522 | | | | 9,731 | | | CDW CORP/DE | | Common Stock | | 1,325,362 | | | | 41,680 | | | CBRE GROUP INC | | Common Stock | | 6,701,727 | | | | 8,475 | | | BUILDERS FIRSTSOURCE INC | | Common Stock | | 871,993 | | | | 25,327 | | | BRUNSWICK CORP/DE | | Common Stock | | 1,880,276 | | | | 23,908 | | | BROWN-FORMAN CORP | | Common Stock | | 623,042 | | | | 95,856 | | | BROWN & BROWN INC | | Common Stock | | 7,639,723 | | | | 44,890 | | | BROWN & BROWN INC | | Common Stock | | 3,577,733 | | | | 68,410 | | | BRIXMOR PROPERTY GROUP INC | | Common Stock | | 1,793,710 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 125,584 | | | BOX INC | | Common Stock | | 3,756,217 | | | | 31,932 | | | BOOZ ALLEN HAMILTON HOLDING CO | | Common Stock | | 2,693,784 | | | | 114,068 | | | BIO-TECHNE CORP | | Common Stock | | 6,708,339 | | | | 139,276 | | | BIO-TECHNE CORP | | Common Stock | | 8,190,822 | | | | 5,955 | | | BIOGEN INC | | Common Stock | | 1,048,020 | | | | 5,405 | | | BILLIONTOONE INC | | Common Stock | | 442,345 | | | | 74,289 | | | BENCHMARK ELECTRONICS INC | | Common Stock | | 3,176,598 | | | | 8,948 | | | BECTON DICKINSON & CO | | Common Stock | | 1,736,538 | | | | 15,523 | | | BAKER HUGHES CO | | Common Stock | | 706,917 | | | | 19,245 | | | BADGER METER INC | | Common Stock | | 3,356,520 | | | | 68,746 | | | BWX TECHNOLOGIES INC | | Common Stock | | 11,882,059 | | | | 12,307 | | | BJ'S WHOLESALE CLUB HOLDINGS I | | Common Stock | | 1,107,999 | | | | 8,203 | | | AVERY DENNISON CORP | | Common Stock | | 1,491,962 | | | | 73,691 | | | AVANTOR INC | | Common Stock | | 844,499 | | | | 9,489 | | | ATMOS ENERGY CORP | | Common Stock | | 1,590,641 | | | | 20,098 | | | ATLASSIAN CORP | | Common Stock | | 3,258,690 | | | | 103,259 | | | ATLANTIC UNION BANKSHARES CORP | | Common Stock | | 3,645,043 | | | | 69,326 | | | ATEGRITY SPECIALTY HOLDINGS LL | | Common Stock | | 1,456,539 | | | | 9,035 | | | ASSURANT INC | | Common Stock | | 2,176,080 | | | | 22,449 | | | ASHLAND INC | | Common Stock | | 1,317,083 | | | | 39,000 | | | ARCUTIS BIOTHERAPEUTICS INC | | Common Stock | | 1,132,560 | | | | 97,714 | | | ARCHROCK INC | | Common Stock | | 2,542,518 | | | | 28,156 | | | ARCELLX INC | | Common Stock | | 1,835,771 | | | | 49,301 | | | ARAMARK | | Common Stock | | 1,817,235 | | | | 26,306 | | | APPFOLIO INC | | Common Stock | | 6,120,091 | | | | 59,206 | | | AMPHENOL CORP | | Common Stock | | 8,001,099 | | | | 158,482 | | | AMKOR TECHNOLOGY INC | | Common Stock | | 6,256,869 | | | | 67,286 | | | AMETEK INC | | Common Stock | | 13,814,489 | | | | 5,795 | | | CENCORA INC | | Common Stock | | 1,957,261 | | | | 22,001 | | | AMERICAN INTERNATIONAL GROUP I | | Common Stock | | 1,882,186 | | | | 33,070 | | | ALLIANT ENERGY CORP | | Common Stock | | 2,149,881 | | | | 260,041 | | | ALKAMI TECHNOLOGY INC | | Common Stock | | 5,999,146 | | | | 76,389 | | | ALBERTSONS COS INC | | Common Stock | | 1,311,599 | | | | 38,005 | | | ALBANY INTERNATIONAL CORP | | Common Stock | | 1,926,854 | | | | 26,166 | | | ALASKA AIR GROUP INC | | Common Stock | | 1,316,150 | | | | 20,258 | | | AGILENT TECHNOLOGIES INC | | Common Stock | | 2,756,506 | | | | 34,228 | | | ADVANCED ENERGY INDUSTRIES INC | | Common Stock | | 7,166,316 | | | | 34,564 | | | ADVANCED ENERGY INDUSTRIES INC | | Common Stock | | 7,236,665 | | | | 16,222 | | | AGCO CORP | | Common Stock | | 1,692,279 | | | | 58,035 | | | AAR CORP | | Common Stock | | 4,804,718 | | | | 38,949 | | | AAON INC | | Common Stock | | 2,969,861 | | | | 38,801 | | | TECHNIPFMC PLC | | Common Stock | | 1,728,973 | | | | 60,423 | | | BRIGHTSTAR LOTTERY PLC | | Common Stock | | 935,348 | | | | 15,812 | | | COCA-COLA EUROPACIFIC PARTNERS | | Common Stock | | 1,434,148 | | | | 299,414 | | | RENTOKIL INITIAL PLC | | Common Stock | | 8,820,736 | | | | 51,134 | | | ON HOLDING AG | | Common Stock | | 2,376,708 | | | | 49,608 | | | FLEX LTD | | Common Stock | | 2,997,315 | | | | 6,830 | | | NXP SEMICONDUCTORS NV | | Common Stock | | 1,482,520 | | | | 275,598 | | | EXPRO GROUP HOLDINGS NV | | Common Stock | | 3,679,233 | | | | 101,776 | | | BIRKENSTOCK HOLDING PLC | | Common Stock | | 4,162,638 | | | | 28,997 | | | APTIV PLC | | Common Stock | | 2,206,382 | | | | 148,158 | | | AMCOR PLC | | Common Stock | | 1,235,638 | | | | 165,069 | | | STEVANATO GROUP SPA | | Common Stock | | 3,321,188 | | | | 9,254 | | | NOVA LTD | | Common Stock | | 3,038,921 | | | | 40,000 | | | JFROG LTD | | Common Stock | | 2,498,400 | | | | 7,129 | | | CHECK POINT SOFTWARE TECHNOLOG | | Common Stock | | 1,322,857 | | | | 7,773 | | | WILLIS TOWERS WATSON PLC | | Common Stock | | 2,554,208 | | | | 5,585 | | | TE CONNECTIVITY PLC | | Common Stock | | 1,270,643 | | | | 6,469 | | | STERIS PLC | | Common Stock | | 1,640,021 | | | | 25,276 | | | STERIS PLC | | Common Stock | | 6,407,972 | | | | 19,076 | | | PENTAIR PLC | | Common Stock | | 1,986,575 | | | | 3,954 | | | SEAGATE TECHNOLOGY HOLDINGS PL | | Common Stock | | 1,088,892 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 17,458 | | | NVENT ELECTRIC PLC | | Common Stock | | 1,780,192 | | | | 6,193 | | | ICON PLC | | Common Stock | | 1,128,488 | | | | 48,357 | | | JAMES HARDIE INDUSTRIES PLC | | Common Stock | | 1,003,408 | | | | 14,475 | | | ALLEGION PLC | | Common Stock | | 2,304,710 | | | | 28,633 | | | ALLEGION PLC | | Common Stock | | 4,558,946 | | | | 75,903 | | | WASTE CONNECTIONS INC | | Common Stock | | 13,310,350 | | | | 28,267 | | | WASTE CONNECTIONS INC | | Common Stock | | 4,956,901 | | | | 16,242 | | | NOVANTA INC | | Common Stock | | 1,932,636 | | | | 35,925 | | | NOVANTA INC | | Common Stock | | 4,274,716 | | | | 37,301 | | | GFL ENVIRONMENTAL INC | | Common Stock | | 1,602,078 | | | | 87,297 | | | ESTABLISHMENT LABS HOLDINGS IN | | Common Stock | | 6,362,205 | | | | 12,862 | | | VIKING HOLDINGS LTD | | Common Stock | | 918,475 | | | | 12,938 | | | VIKING HOLDINGS LTD | | Common Stock | | 923,903 | | | | 4,162 | | | EVEREST GROUP LTD | | Common Stock | | 1,412,375 | | | | 19,806 | | | BOEING CO/THE | | Common Stock | | 1,375,527 | | | | | | | | | | | | | 3,994,561 | | | EB TEMP INV FD* | | Common Collective Trust Fund | | 3,994,561 | | | | 7,995,307 | | | EB TEMP INV FD* | | Common Collective Trust Fund | | 7,995,307 | | | | 6,137,194 | | | EB TEMP INV FD* | | Common Collective Trust Fund | | 6,137,194 | | | | 3,951,423 | | | EB TEMP INV FD* | | Common Collective Trust Fund | | 3,951,423 | | | | | | | | | | | | | | | Small Mid Cap Core Fund Subtotal | | | | $ | 1,164,755,801 | | | | | | | | | | | | | Large Cap Core Fund | | | | Barrow Hanley, Columbia Threadneedle, MFS Growth Equity, T. Rowe Price, and Wellington | | Separately Managed Fund | | | | | 1,349 | | | FIGMA INC | | Common Stock | | $ | 50,412 | | | | 148,931 | | | XCEL ENERGY INC | | Common Stock | | 11,000,044 | | | | 98,681 | | | WYNN RESORTS LTD | | Common Stock | | 11,874,285 | | | | 91,309 | | | WILLIAMS COS INC/THE | | Common Stock | | 5,488,584 | | | | 573,305 | | | WILLIAMS COS INC/THE | | Common Stock | | 34,461,364 | | | | 78,533 | | | WESTERN ALLIANCE BANCORP | | Common Stock | | 6,602,269 | | | | 44,007 | | | WESCO INTERNATIONAL INC | | Common Stock | | 10,765,872 | | | | 63,121 | | | WELLTOWER INC | | Common Stock | | 11,715,889 | | | | 162,187 | | | WELLS FARGO & CO | | Common Stock | | 15,115,828 | | | | 357,437 | | | WELLS FARGO & CO | | Common Stock | | 33,313,128 | | | | 152,800 | | | WELLS FARGO & CO | | Common Stock | | 14,240,960 | | | | 284,370 | | | WARNER MUSIC GROUP CORP | | Common Stock | | 8,721,628 | | | | 158,905 | | | WALMART INC | | Common Stock | | 17,703,606 | | | | 67,418 | | | WEC ENERGY GROUP INC | | Common Stock | | 7,109,902 | | | | 16,762 | | | VULCAN MATERIALS CO | | Common Stock | | 4,780,858 | | | | 35,522 | | | VISTRA CORP | | Common Stock | | 5,730,764 | | | | 79,213 | | | VISA INC | | Common Stock | | 27,780,791 | | | | 283,176 | | | VICI PROPERTIES INC | | Common Stock | | 7,962,909 | | | | 31,072 | | | VERTIV HOLDINGS CO | | Common Stock | | 5,033,975 | | | | 20,944 | | | VERTEX PHARMACEUTICALS INC | | Common Stock | | 9,495,172 | | | | 8,599 | | | VERISK ANALYTICS INC | | Common Stock | | 1,923,510 | | | | 1,061,741 | | | VERIZON COMMUNICATIONS INC | | Common Stock | | 43,244,711 | | | | 4,351 | | | VERALTO CORP | | Common Stock | | 434,143 | | | | 23,184 | | | VEEVA SYSTEMS INC | | Common Stock | | 5,175,364 | | | | 31,236 | | | UNITEDHEALTH GROUP INC | | Common Stock | | 10,311,316 | | | | 19,146 | | | UNITEDHEALTH GROUP INC | | Common Stock | | 6,320,286 | | | | 10,352 | | | UNITED THERAPEUTICS CORP | | Common Stock | | 5,044,012 | | | | 60,544 | | | UBER TECHNOLOGIES INC | | Common Stock | | 4,947,050 | | | | 11,650 | | | TYLER TECHNOLOGIES INC | | Common Stock | | 5,288,518 | | | | 73,294 | | | TRIMBLE INC | | Common Stock | | 5,742,585 | | | | 20,636 | | | TRANSUNION | | Common Stock | | 1,769,537 | | | | 1,768 | | | TRANSDIGM GROUP INC | | Common Stock | | 2,351,175 | | | | 21,411 | | | TOPBUILD CORP | | Common Stock | | 8,932,455 | | | | 26,178 | | | THERMO FISHER SCIENTIFIC INC | | Common Stock | | 15,168,842 | | | | 9,475 | | | THERMO FISHER SCIENTIFIC INC | | Common Stock | | 5,490,289 | | | | 13,019 | | | TEXAS INSTRUMENTS INC | | Common Stock | | 2,258,666 | | | | 15,724 | | | TESLA INC | | Common Stock | | 7,071,397 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 62,122 | | | TESLA INC | | Common Stock | | 27,937,506 | | | | 260,562 | | | TERADATA CORP | | Common Stock | | 7,931,507 | | | | 143,743 | | | TENET HEALTHCARE CORP | | Common Stock | | 28,564,609 | | | | 30,315 | | | TAKE-TWO INTERACTIVE SOFTWARE | | Common Stock | | 7,761,549 | | | | 40,332 | | | T-MOBILE US INC | | Common Stock | | 8,189,009 | | | | 35,256 | | | T-MOBILE US INC | | Common Stock | | 7,158,378 | | | | 12,169 | | | TKO GROUP HOLDINGS INC | | Common Stock | | 2,543,321 | | | | 29,156 | | | TJX COS INC/THE | | Common Stock | | 4,478,653 | | | | 7,788 | | | SYNOPSYS INC | | Common Stock | | 3,658,179 | | | | 10,026 | | | SYNOPSYS INC | | Common Stock | | 4,709,413 | | | | 11,721 | | | STRYKER CORP | | Common Stock | | 4,119,580 | | | | 81,648 | | | STARBUCKS CORP | | Common Stock | | 6,875,578 | | | | 73,285 | | | STARBUCKS CORP | | Common Stock | | 6,171,330 | | | | 677,190 | | | SOUTHWEST AIRLINES CO | | Common Stock | | 27,988,263 | | | | 21,332 | | | SNOWFLAKE INC | | Common Stock | | 4,679,388 | | | | 25,906 | | | SHERWIN-WILLIAMS CO/THE | | Common Stock | | 8,394,321 | | | | 9,462 | | | SHERWIN-WILLIAMS CO/THE | | Common Stock | | 3,065,972 | | | | 90,016 | | | SERVICENOW INC | | Common Stock | | 13,789,551 | | | | 18,537 | | | SERVICENOW INC | | Common Stock | | 2,839,683 | | | | 125,725 | | | UNITED PARKS & RESORTS INC | | Common Stock | | 4,563,818 | | | | 29,194 | | | CHARLES SCHWAB CORP/THE | | Common Stock | | 2,916,773 | | | | 153,693 | | | SALESFORCE INC | | Common Stock | | 40,714,813 | | | | 399,887 | | | SLM CORP | | Common Stock | | 10,820,942 | | | | 22,329 | | | ROSS STORES INC | | Common Stock | | 4,022,346 | | | | 7,490 | | | ROPER TECHNOLOGIES INC | | Common Stock | | 3,334,024 | | | | 19,683 | | | REPUBLIC SERVICES INC | | Common Stock | | 4,171,418 | | | | 51,729 | | | RTX CORP | | Common Stock | | 9,487,099 | | | | 178,728 | | | RTX CORP | | Common Stock | | 32,778,715 | | | | 158,560 | | | QUALCOMM INC | | Common Stock | | 27,121,688 | | | | 64,817 | | | QUALCOMM INC | | Common Stock | | 11,086,948 | | | | 75,973 | | | QNITY ELECTRONICS INC | | Common Stock | | 6,203,195 | | | | 27,652 | | | PUBLIC STORAGE | | Common Stock | | 7,175,694 | | | | 100,138 | | | PROSPERITY BANCSHARES INC | | Common Stock | | 6,920,537 | | | | 88,483 | | | PROLOGIS INC | | Common Stock | | 11,295,740 | | | | 15,157 | | | PROCTER & GAMBLE CO/THE | | Common Stock | | 2,172,150 | | | | 27,917 | | | POOL CORP | | Common Stock | | 6,386,014 | | | | 243,429 | | | PLAINS GP HOLDINGS LP | | Common Stock | | 4,659,231 | | | | 107,797 | | | PINNACLE WEST CAPITAL CORP | | Common Stock | | 9,561,594 | | | | 70,629 | | | PHILLIPS 66 | | Common Stock | | 9,113,966 | | | | 218,859 | | | PHILIP MORRIS INTERNATIONAL IN | | Common Stock | | 35,104,984 | | | | 47,603 | | | PHILIP MORRIS INTERNATIONAL IN | | Common Stock | | 7,635,521 | | | | 276,232 | | | PERMIAN RESOURCES CORP | | Common Stock | | 3,875,535 | | | | 7,909 | | | PARKER-HANNIFIN CORP | | Common Stock | | 6,951,695 | | | | 16,909 | | | PALANTIR TECHNOLOGIES INC | | Common Stock | | 3,005,575 | | | | 35,258 | | | PTC INC | | Common Stock | | 6,142,296 | | | | 652,094 | | | PG&E CORP | | Common Stock | | 10,479,151 | | | | 2,221,325 | | | PG&E CORP | | Common Stock | | 35,696,693 | | | | 50,351 | | | ORACLE CORP | | Common Stock | | 9,813,913 | | | | 51,916 | | | ORACLE CORP | | Common Stock | | 10,118,948 | | | | 41,544 | | | ORACLE CORP | | Common Stock | | 8,097,341 | | | | 11,640 | | | OLD DOMINION FREIGHT LINE INC | | Common Stock | | 1,825,152 | | | | 55,075 | | | O'REILLY AUTOMOTIVE INC | | Common Stock | | 5,023,391 | | | | 708,684 | | | NVIDIA CORP | | Common Stock | | 132,169,566 | | | | 437,789 | | | NVIDIA CORP | | Common Stock | | 81,647,649 | | | | 720,885 | | | NVIDIA CORP | | Common Stock | | 134,445,053 | | | | 202,330 | | | NETFLIX INC | | Common Stock | | 18,970,461 | | | | 101,441 | | | NETFLIX INC | | Common Stock | | 9,511,108 | | | | 121,690 | | | NETFLIX INC | | Common Stock | | 11,409,654 | | | | 102,967 | | | NASDAQ INC | | Common Stock | | 10,001,185 | | | | 98,857 | | | NASDAQ INC | | Common Stock | | 9,601,980 | | | | 24,018 | | | MORGAN STANLEY | | Common Stock | | 4,263,916 | | | | 194,791 | | | MORGAN STANLEY | | Common Stock | | 34,581,246 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 10,127 | | | MOODY'S CORP | | Common Stock | | 5,173,378 | | | | 5,600 | | | MOODY'S CORP | | Common Stock | | 2,860,760 | | | | 60,216 | | | MONSTER BEVERAGE CORP | | Common Stock | | 4,616,761 | | | | 88,127 | | | MONSTER BEVERAGE CORP | | Common Stock | | 6,756,697 | | | | 5,078 | | | MONOLITHIC POWER SYSTEMS INC | | Common Stock | | 4,602,496 | | | | 5,136 | | | MONGODB INC | | Common Stock | | 2,155,528 | | | | 27,117 | | | MONDELEZ INTERNATIONAL INC | | Common Stock | | 1,459,708 | | | | 33,844 | | | MID-AMERICA APARTMENT COMMUNIT | | Common Stock | | 4,701,270 | | | | 147,998 | | | MICROCHIP TECHNOLOGY INC | | Common Stock | | 9,430,433 | | | | 139,151 | | | MICROSOFT CORP | | Common Stock | | 67,296,207 | | | | 232,242 | | | MICROSOFT CORP | | Common Stock | | 112,316,876 | | | | 241,025 | | | MICROSOFT CORP | | Common Stock | | 116,564,511 | | | | 256,503 | | | METLIFE INC | | Common Stock | | 20,248,347 | | | | 143,696 | | | MERCK & CO INC | | Common Stock | | 15,125,441 | | | | 94,875 | | | MERCK & CO INC | | Common Stock | | 9,986,543 | | | | 19,443 | | | MEDLINE INC | | Common Stock | | 816,606 | | | | 59,736 | | | MEDLINE INC | | Common Stock | | 2,508,912 | | | | 92,838 | | | MCCORMICK & CO INC/MD | | Common Stock | | 6,323,196 | | | | 32,424 | | | MASTERCARD INC | | Common Stock | | 18,510,213 | | | | 37,603 | | | MASTERCARD INC | | Common Stock | | 21,466,801 | | | | 55,795 | | | MASTERCARD INC | | Common Stock | | 31,852,250 | | | | 32,694 | | | MARRIOTT INTERNATIONAL INC/MD | | Common Stock | | 10,142,987 | | | | 14,746 | | | MARSH & MCLENNAN COS INC | | Common Stock | | 2,735,678 | | | | 113,387 | | | MARATHON PETROLEUM CORP | | Common Stock | | 18,440,128 | | | | 546,833 | | | MDU RESOURCES GROUP INC | | Common Stock | | 10,674,180 | | | | 37,864 | | | LOWE'S COS INC | | Common Stock | | 9,131,282 | | | | 151,413 | | | LOWE'S COS INC | | Common Stock | | 36,514,759 | | | | 36,869 | | | LITTELFUSE INC | | Common Stock | | 9,324,907 | | | | 20,719 | | | ELI LILLY & CO | | Common Stock | | 22,266,295 | | | | 27,737 | | | ELI LILLY & CO | | Common Stock | | 29,808,399 | | | | 69,568 | | | LIBERTY MEDIA CORP-LIBERTY FOR | | Common Stock | | 6,853,144 | | | | 57,476 | | | LENNAR CORP | | Common Stock | | 5,908,533 | | | | 16,111 | | | LPL FINANCIAL HOLDINGS INC | | Common Stock | | 5,754,366 | | | | 18,562 | | | LPL FINANCIAL HOLDINGS INC | | Common Stock | | 6,629,790 | | | | 100,101 | | | KNIFE RIVER CORP | | Common Stock | | 7,042,105 | | | | 406,427 | | | KEURIG DR PEPPER INC | | Common Stock | | 11,384,020 | | | | 110,591 | | | KKR & CO INC | | Common Stock | | 14,098,141 | | | | 68,980 | | | KKR & CO INC | | Common Stock | | 8,793,570 | | | | 5,881 | | | KLA CORP | | Common Stock | | 7,145,885 | | | | 9,085 | | | KLA CORP | | Common Stock | | 11,039,002 | | | | 127,169 | | | JEFFERIES FINANCIAL GROUP INC | | Common Stock | | 7,880,663 | | | | 70,496 | | | JPMORGAN CHASE & CO | | Common Stock | | 22,715,221 | | | | 92,728 | | | JPMORGAN CHASE & CO | | Common Stock | | 29,878,816 | | | | 23,691 | | | INTUITIVE SURGICAL INC | | Common Stock | | 13,417,635 | | | | 11,692 | | | INTUIT INC | | Common Stock | | 7,745,015 | | | | 5,509 | | | INTUIT INC | | Common Stock | | 3,649,272 | | | | 61,079 | | | INTERCONTINENTAL EXCHANGE INC | | Common Stock | | 9,892,355 | | | | 28,190 | | | ITT INC | | Common Stock | | 4,891,247 | | | | 32,813 | | | JB HUNT TRANSPORT SERVICES INC | | Common Stock | | 6,376,878 | | | | 122,637 | | | HUMANA INC | | Common Stock | | 31,411,015 | | | | 71,750 | | | HOWMET AEROSPACE INC | | Common Stock | | 14,710,185 | | | | 33,675 | | | HILTON WORLDWIDE HOLDINGS INC | | Common Stock | | 9,673,144 | | | | 231,199 | | | HEWLETT PACKARD ENTERPRISE CO | | Common Stock | | 5,553,400 | | | | 22,789 | | | GUIDEWIRE SOFTWARE INC | | Common Stock | | 4,580,817 | | | | 7,039 | | | GOLDMAN SACHS GROUP INC/THE | | Common Stock | | 6,187,281 | | | | 4,345 | | | GOLDMAN SACHS GROUP INC/THE | | Common Stock | | 3,819,255 | | | | 14,124 | | | GOLDMAN SACHS GROUP INC/THE | | Common Stock | | 12,414,996 | | | | 39,483 | | | GILEAD SCIENCES INC | | Common Stock | | 4,846,143 | | | | 74,069 | | | GILEAD SCIENCES INC | | Common Stock | | 9,091,229 | | | | 46,829 | | | GE AEROSPACE | | Common Stock | | 14,424,737 | | | | 38,451 | | | GE AEROSPACE | | Common Stock | | 11,844,062 | | | | 55,689 | | | GE AEROSPACE | | Common Stock | | 17,153,883 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 9,837 | | | GE VERNOVA INC | | Common Stock | | 6,429,168 | | | | 9,576 | | | GE VERNOVA INC | | Common Stock | | 6,258,586 | | | | 24,723 | | | GE VERNOVA INC | | Common Stock | | 16,158,211 | | | | 27,744 | | | ARTHUR J GALLAGHER & CO | | Common Stock | | 7,179,870 | | | | 128,627 | | | GE HEALTHCARE TECHNOLOGIES INC | | Common Stock | | 10,549,987 | | | | 867,822 | | | FREEPORT-MCMORAN INC | | Common Stock | | 44,076,679 | | | | 103,557 | | | FORTIVE CORP | | Common Stock | | 5,717,382 | | | | 162,930 | | | FIDELITY NATIONAL INFORMATION | | Common Stock | | 10,828,328 | | | | 27,030 | | | FERGUSON ENTERPRISES INC | | Common Stock | | 6,017,689 | | | | 40,407 | | | META PLATFORMS INC | | Common Stock | | 26,672,257 | | | | 46,359 | | | META PLATFORMS INC | | Common Stock | | 30,601,112 | | | | 72,002 | | | META PLATFORMS INC | | Common Stock | | 47,527,800 | | | | 112,149 | | | EXXON MOBIL CORP | | Common Stock | | 13,496,011 | | | | 133,061 | | | EXXON MOBIL CORP | | Common Stock | | 16,012,561 | | | | 111,421 | | | EVERUS CONSTRUCTION GROUP INC | | Common Stock | | 9,533,181 | | | | 163,837 | | | EPAM SYSTEMS INC | | Common Stock | | 33,566,925 | | | | 113,734 | | | ENTERGY CORP | | Common Stock | | 10,512,434 | | | | 118,752 | | | ENTEGRIS INC | | Common Stock | | 10,004,856 | | | | 46,609 | | | EMERSON ELECTRIC CO | | Common Stock | | 6,185,946 | | | | 343,354 | | | ELANCO ANIMAL HEALTH INC | | Common Stock | | 7,770,101 | | | | 90,454 | | | EDWARDS LIFESCIENCES CORP | | Common Stock | | 7,711,204 | | | | 173,307 | | | DUPONT DE NEMOURS INC | | Common Stock | | 6,966,941 | | | | 19,561 | | | DOORDASH INC | | Common Stock | | 4,430,175 | | | | 145,094 | | | DOMINION ENERGY INC | | Common Stock | | 8,501,057 | | | | 26,594 | | | DIAMONDBACK ENERGY INC | | Common Stock | | 3,997,876 | | | | 20,327 | | | DATADOG INC | | Common Stock | | 2,764,269 | | | | 10,621 | | | DATADOG INC | | Common Stock | | 1,444,350 | | | | 22,438 | | | DANAHER CORP | | Common Stock | | 5,136,507 | | | | 48,699 | | | DANAHER CORP | | Common Stock | | 11,148,175 | | | | 3,911 | | | CURTISS-WRIGHT CORP | | Common Stock | | 2,156,017 | | | | 9,538 | | | CUMMINS INC | | Common Stock | | 4,868,672 | | | | 7,985 | | | CROWDSTRIKE HOLDINGS INC | | Common Stock | | 3,743,049 | | | | 8,835 | | | CROWDSTRIKE HOLDINGS INC | | Common Stock | | 4,141,495 | | | | 25,200 | | | COSTAR GROUP INC | | Common Stock | | 1,694,448 | | | | 86,106 | | | CORNING INC | | Common Stock | | 7,539,441 | | | | 342,344 | | | CORNING INC | | Common Stock | | 29,975,641 | | | | 14,757 | | | CONSTELLATION ENERGY CORP | | Common Stock | | 5,213,205 | | | | 262,293 | | | CONSTELLATION BRANDS INC | | Common Stock | | 36,185,942 | | | | 32,730 | | | COLGATE-PALMOLIVE CO | | Common Stock | | 2,586,325 | | | | 59,511 | | | COHERENT CORP | | Common Stock | | 10,983,945 | | | | 102,217 | | | COGNIZANT TECHNOLOGY SOLUTIONS | | Common Stock | | 8,484,011 | | | | 296,891 | | | CITIGROUP INC | | Common Stock | | 34,644,211 | | | | 10,449 | | | CINTAS CORP | | Common Stock | | 1,965,143 | | | | 113,398 | | | CHIPOTLE MEXICAN GRILL INC | | Common Stock | | 4,195,726 | | | | 175,585 | | | CHEVRON CORP | | Common Stock | | 26,760,910 | | | | 83,609 | | | CHEVRON CORP | | Common Stock | | 12,742,848 | | | | 36,021 | | | EXPAND ENERGY CORP | | Common Stock | | 3,975,278 | | | | 30,778 | | | CHENIERE ENERGY INC | | Common Stock | | 5,982,935 | | | | 278,873 | | | CENTERPOINT ENERGY INC | | Common Stock | | 10,691,991 | | | | 642,524 | | | CENTENE CORP | | Common Stock | | 26,439,863 | | | | 22,594 | | | CATERPILLAR INC | | Common Stock | | 12,943,425 | | | | 38,590 | | | CATERPILLAR INC | | Common Stock | | 22,107,053 | | | | 8,202 | | | CATERPILLAR INC | | Common Stock | | 4,698,680 | | | | 89,172 | | | CARVANA CO | | Common Stock | | 37,632,367 | | | | 53,150 | | | CAPITAL ONE FINANCIAL CORP | | Common Stock | | 12,881,434 | | | | 34,203 | | | CADENCE DESIGN SYSTEMS INC | | Common Stock | | 10,691,174 | | | | 17,159 | | | CACI INTERNATIONAL INC | | Common Stock | | 9,142,487 | | | | 627,621 | | | CSX CORP | | Common Stock | | 22,751,261 | | | | 121,598 | | | CIGNA GROUP/THE | | Common Stock | | 33,467,418 | | | | 25,439 | | | CBRE GROUP INC | | Common Stock | | 4,090,337 | | | | 37,733 | | | BUILDERS FIRSTSOURCE INC | | Common Stock | | 3,882,348 | | | | 136,605 | | | BROADCOM INC | | Common Stock | | 47,278,991 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 78,264 | | | BROADCOM INC | | Common Stock | | 27,087,170 | | | | 92,660 | | | BROADCOM INC | | Common Stock | | 32,069,626 | | | | 509,615 | | | BRISTOL-MYERS SQUIBB CO | | Common Stock | | 27,488,633 | | | | 98,946 | | | BOSTON SCIENTIFIC CORP | | Common Stock | | 9,434,501 | | | | 1,645 | | | BOOKING HOLDINGS INC | | Common Stock | | 8,809,518 | | | | 184,316 | | | BOEING CO/THE | | Common Stock | | 40,018,690 | | | | 39,917 | | | BOEING CO/THE | | Common Stock | | 8,666,779 | | | | 33,691 | | | BERKSHIRE HATHAWAY INC | | Common Stock | | 16,934,781 | | | | 589,882 | | | BANK OF AMERICA CORP | | Common Stock | | 32,443,510 | | | | 306,517 | | | BANK OF AMERICA CORP | | Common Stock | | 16,858,435 | | | | 24,350 | | | BWX TECHNOLOGIES INC | | Common Stock | | 4,208,654 | | | | 93,530 | | | BJ'S WHOLESALE CLUB HOLDINGS I | | Common Stock | | 8,420,506 | | | | 2,489 | | | AXON ENTERPRISE INC | | Common Stock | | 1,413,578 | | | | 816,410 | | | AVANTOR INC | | Common Stock | | 9,356,059 | | | | 2,098 | | | AUTOZONE INC | | Common Stock | | 7,115,367 | | | | 46,235 | | | AUTODESK INC | | Common Stock | | 13,686,022 | | | | 40,792 | | | ATMOS ENERGY CORP | | Common Stock | | 6,837,963 | | | | 48,084 | | | ARISTA NETWORKS INC | | Common Stock | | 6,300,447 | | | | 39,026 | | | ARES MANAGEMENT CORP | | Common Stock | | 6,307,772 | | | | 16,077 | | | APPLOVIN CORP | | Common Stock | | 10,833,004 | | | | 4,354 | | | APPLOVIN CORP | | Common Stock | | 2,933,812 | | | | 114,496 | | | APPLIED MATERIALS INC | | Common Stock | | 29,424,327 | | | | 237,794 | | | APPLE INC | | Common Stock | | 64,646,677 | | | | 314,740 | | | APPLE INC | | Common Stock | | 85,565,216 | | | | 261,580 | | | APPLE INC | | Common Stock | | 71,113,139 | | | | 14,465 | | | ELEVANCE HEALTH INC | | Common Stock | | 5,070,706 | | | | 129,585 | | | AMPHENOL CORP | | Common Stock | | 17,512,117 | | | | 36,420 | | | AMERICAN TOWER CORP | | Common Stock | | 6,394,259 | | | | 226,891 | | | AMERICAN TOWER CORP | | Common Stock | | 39,835,253 | | | | 77,933 | | | AMERICAN INTERNATIONAL GROUP I | | Common Stock | | 6,667,168 | | | | 328,629 | | | AMERICAN INTERNATIONAL GROUP I | | Common Stock | | 28,114,211 | | | | 32,878 | | | AMERICAN EXPRESS CO | | Common Stock | | 12,163,216 | | | | 9,209 | | | AMERICAN EXPRESS CO | | Common Stock | | 3,406,870 | | | | 207,278 | | | AMAZON.COM INC | | Common Stock | | 47,843,908 | | | | 274,770 | | | AMAZON.COM INC | | Common Stock | | 63,422,411 | | | | 264,311 | | | AMAZON.COM INC | | Common Stock | | 61,008,265 | | | | 195,258 | | | ALPHABET INC | | Common Stock | | 61,115,754 | | | | 45,243 | | | ALPHABET INC | | Common Stock | | 14,161,059 | | | | 75,326 | | | ALPHABET INC | | Common Stock | | 23,577,038 | | | | 252,178 | | | ALPHABET INC | | Common Stock | | 78,931,714 | | | | 167,509 | | | ALPHABET INC | | Common Stock | | 52,564,324 | | | | 80,801 | | | ALPHABET INC | | Common Stock | | 25,355,354 | | | | 32,665 | | | AIR PRODUCTS AND CHEMICALS INC | | Common Stock | | 8,068,908 | | | | 10,464 | | | AIRBNB INC | | Common Stock | | 1,420,174 | | | | 23,875 | | | AGILENT TECHNOLOGIES INC | | Common Stock | | 3,248,671 | | | | 45,978 | | | ADVANCED MICRO DEVICES INC | | Common Stock | | 9,846,648 | | | | 88,376 | | | AECOM | | Common Stock | | 8,424,884 | | | | 98,439 | | | ABBOTT LABORATORIES | | Common Stock | | 12,333,422 | | | | 52,170 | | | ABBOTT LABORATORIES | | Common Stock | | 6,536,379 | | | | 2,652,188 | | | AES CORP/THE | | Common Stock | | 38,032,376 | | | | 752,464 | | | TECHNIPFMC PLC | | Common Stock | | 33,529,796 | | | | 104,779 | | | KLARNA GROUP PLC | | Common Stock | | 3,029,161 | | | | 103,820 | | | UNILEVER PLC | | Common Stock | | 6,789,828 | | | | 18,301 | | | TAIWAN SEMICONDUCTOR MANUFACTU | | Common Stock | | 5,561,491 | | | | 34,363 | | | TAIWAN SEMICONDUCTOR MANUFACTU | | Common Stock | | 10,442,572 | | | | 26,973 | | | CHUBB LTD | | Common Stock | | 8,418,813 | | | | 26,802 | | | CHUBB LTD | | Common Stock | | 8,365,440 | | | | 27,345 | | | CHUBB LTD | | Common Stock | | 8,534,921 | | | | 482,771 | | | CARNIVAL CORP | | Common Stock | | 14,743,826 | | | | 23,360 | | | MAGNUM ICE CREAM CO NV/THE | | Common Stock | | 370,250 | | | | 7,206 | | | ASML HOLDING NV | | Common Stock | | 7,709,411 | | | | 103,597 | | | ADYEN NV | | Common Stock | | 1,654,444 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | | | | 19,919 | | | SPOTIFY TECHNOLOGY SA | | Common Stock | | 11,567,162 | | | | 57,725 | | | APTIV PLC | | Common Stock | | 4,392,295 | | | | 31,638 | | | WILLIS TOWERS WATSON PLC | | Common Stock | | 10,396,247 | | | | 13,118 | | | TRANE TECHNOLOGIES PLC | | Common Stock | | 5,105,526 | | | | 19,260 | | | TE CONNECTIVITY PLC | | Common Stock | | 4,381,843 | | | | 9,933 | | | SEAGATE TECHNOLOGY HOLDINGS PL | | Common Stock | | 2,735,449 | | | | 126,572 | | | MEDTRONIC PLC | | Common Stock | | 12,158,506 | | | | 93,295 | | | MEDTRONIC PLC | | Common Stock | | 8,961,918 | | | | 10,272 | | | LINDE PLC | | Common Stock | | 4,379,878 | | | | 21,376 | | | LINDE PLC | | Common Stock | | 9,114,513 | | | | 6,444 | | | LINDE PLC | | Common Stock | | 2,747,657 | | | | 125,816 | | | JOHNSON CONTROLS INTERNATIONAL | | Common Stock | | 15,066,466 | | | | 11,873 | | | EATON CORP PLC | | Common Stock | | 3,781,669 | | | | 67,808 | | | CRH PLC | | Common Stock | | 8,462,438 | | | | 14,733 | | | SAP SE | | Common Stock | | 3,578,793 | | | | 203,474 | | | SANOFI SA | | Common Stock | | 9,860,350 | | | | 43,165 | | | FTAI AVIATION LTD | | Common Stock | | 8,497,030 | | | | 34,223 | | | SEA LTD | | Common Stock | | 4,365,828 | | | | 48,071 | | | SHOPIFY INC | | Common Stock | | 7,737,989 | | | | 54,797 | | | SHOPIFY INC | | Common Stock | | 8,820,673 | | | | 142,479 | | | ENBRIDGE INC | | Common Stock | | 6,814,771 | | | | 674,644 | | | BARRICK MINING CORP | | Common Stock | | 29,380,746 | | | | 378,768 | | | AXALTA COATING SYSTEMS LTD | | Common Stock | | 12,237,994 | | | | | | | | | | | | | | | | | | | | | | 18,390,994 | | | EB TEMP INV FD* | | Common Collective Trust Fund | | 18,390,994 | | | | | 4,141,414 | | | EB TEMP INV FD* | | Common Collective Trust Fund | | 4,141,414 | | | | 13,917,293 | | | EB TEMP INV FD* | | Common Collective Trust Fund | | 13,917,293 | | | | 6,860,862 | | | EB TEMP INV FD* | | Common Collective Trust Fund | | 6,860,862 | | | | 1,894,465 | | | EB TEMP INV FD* | | Common Collective Trust Fund | | 1,894,465 | | | | | | | | | | | | | | | | Large Cap Core Fund Subtotal | | | | $ | 4,692,441,664 | | | | | | | | | | | | | | | | | | | | | | | | Total investments | | | | $ | 34,271,284,257 | | | | | | | | | | | | | | | Notes receivable from participants* | | Prime rate as of the month end prior to loan request date plus 1% | | $ | 455,962,773 | |
*Party-in-interest
|