Basket Holdings: 570AS OF 06/30/2026

SymbolCompanyWeight
Fidelity Cash Central Fund1.80
United States Treasury Bonds 4.75%1.50
United States Treasury Bonds 5%1.23
Broadcom Inc 5.15%1.17
Net Other Assets1.05
AerCap Ireland Capital Designated Activity Co. / AerCap Global Aviation Tru0.91
Western Midstream Operating LP0.78
Bayer US Finance LLC 6.875%0.77
Enbridge Inc. 5.55%0.70
Bank of America Corp. 4.571%0.69
Boeing Co. 6.388%0.68
Wells Fargo & Co. 5.389%0.68
JPMorgan Chase & Co. 5.717%0.65
Stellantis Finance Us Inc 5.75%0.61
HSBC Holdings PLC 2.848%0.59
Philip Morris International Inc. 5.75%0.58
Citizens Financial Group Inc 5.718%0.58
Firstenergy Transmission Llc 2.866%0.58
Florida Gas Transmission Co. 5.75%0.54
Columbia Pipelines Holding Co. LLC 4.999%0.54
Bank of America Corp. 5.468%0.53
Citibank, N.A. 4.846%0.51
Mexico (United Mexican States) 6.25%0.51
Puget Energy Inc 4.1%0.50
Morgan Stanley 5.192%0.50
Dell International LLC / EMC Corp. 5%0.50
NTT Finance Corp 4.876%0.49
Pinnacle West Capital Corp. 5.15%0.48
Duke Energy Corp 5%0.47
COPT Defense Properties LP 2.75%0.46
T-Mobile USA, Inc. 2.7%0.45
JPMorgan Chase & Co. 5.14%0.45
Assurant Inc. 5.55%0.45
JERSEY MIKE'S FUNDING LLC 5.7%0.45
Targa Resources Corp. 5.55%0.44
Peachtree Corners Funding Trust 6.089%0.44
Vontier Corporation 2.95%0.44
Puget Energy Inc 4.224%0.44
UnitedHealth Group Inc. 5.95%0.44
Duke Energy Corp 4.5%0.43
Morgan Stanley 2.239%0.43
Charter Communications Operating, LLC/Charter Communications Operating Capi0.42
CVS Health Corp 6.05%0.42
Us Dollar0.42
Boeing Co. 3.625%0.41
Verizon Communications Inc. 5.875%0.40
PNC Financial Services Group Inc. 5.401%0.40
BEIGNET INV LLC 6.581%0.40
Paychex Inc 5.35%0.40
NiSource Inc. 3.6%0.40
Westpac Banking Corp. 5.618%0.40
Agree LP 4.8%0.39
VICI Properties LP 4.95%0.39
Goldman Sachs Group, Inc. 5.065%0.39
Williams Companies Inc. (The) 4.65%0.39
Wells Fargo & Co. 5.499%0.38
Gulfstream Natural Gas System LLC 5.6%0.38
AT&T Inc 6.05%0.38
American Tower Corporation 5.55%0.37
AES Corp. 2.45%0.37
Ingersoll Rand Inc 5.45%0.37
Bank of America Corp. 5.872%0.37
Southern Power Company 4.9%0.36
Fiserv Inc. 4.55%0.36
Japan Tobacco Inc 5.85%0.36
Wells Fargo & Co. 4.65%0.35
The Cleveland Electric Illuminating Company 5.95%0.35
HPS Corporate Lending Fund 5.45%0.35
Gallagher Aj &Co 5.15%0.35
Morgan Stanley 4.708%0.34
NXP B V / NXP Funding LLC & NXP USA Inc 5.25%0.34
Bunge Ltd Finance Corp. 5.15%0.34
Morgan Stanley 4.654%0.34
United States Treasury Notes 4.25%0.34
Xcel Energy Inc 5.6%0.33
Leidos Inc 5%0.33
Ares Strategic Income Fund 5.7%0.33
Charter Communications Operating, LLC/Charter Communications Operating Capi0.33
Fiserv Inc. 5.25%0.33
Truist Financial Corp. 1.95%0.33
Ventas Realty Limited Partnership 3%0.33
Rogers Communications Inc. 3.8%0.33
ABN AMRO Bank N.V.0.33
Uber Technologies Inc 4.8%0.32
Consolidated Edison Company of New York, Inc. 5.75%0.32
AmFam Holdings Inc. 2.805%0.32
BAE Systems PLC 5.3%0.32
Plains All American Pipeline L.P. 5.7%0.32
Broadcom Inc 2.6%0.32
AEP Texas Inc 5.85%0.32
Alexandria Real Estate Equities, Inc. 5.25%0.31
Appalachian Power Company 4.5%0.31
EQT Corporation 5.75%0.30
General Motors Company 5.35%0.30
Corebridge Global Funding 4.55%0.30
Smurfit Kappa Treasury Unlimited Company 5.2%0.30
Mars Inc. 5.2%0.29
Comcast Corporation 2.937%0.29
Oracle Corp. 6.7%0.29
Aircastle Limited 2.85%0.29
Boeing Co. 5.15%0.29
Commonwealth Bank of Australia 3.784%0.29
Baltimore Gas & Electric Company 5.65%0.28
Morgan Stanley Private Bank National Association 4.465%0.28
Gilead Sciences Inc. 5.6%0.28
Augusta Spinco Corp. 4.945%0.28
Boeing Co. 6.858%0.28
NTT Finance Corp 5.171%0.28
DB Master Finance LLC 0%0.28
National Australia Bank Ltd. 5.625%0.28
Oracle Corp. 6.55%0.27
Alphabet Inc. 5.7%0.27
Centene Corp. 4.625%0.27
Meta Platforms Inc 4.875%0.27
Charter Communications Operating, LLC/Charter Communications Operating Capi0.27
HA Sustainable Infrastructure Capital Inc 5.95%0.26
Medline Borrower LLP / Medline Co-Issuer Inc. 5%0.26
PNC Financial Services Group Inc. 6.875%0.26
Comcast Corporation 6.05%0.26
Equitable Holdings Inc 5%0.26
Cleco Corporate Holdings LLC 4.973%0.26
Oracle Corp. 6.85%0.26
Alphabet Inc. 5.45%0.26
CVS Health Corp 4.78%0.25
Meta Platforms Inc 5.625%0.25
General Motors Financial Company Inc 3.6%0.25
JPMorgan Chase & Co. 4.946%0.25
Bunge Ltd Finance Corp. 4.8%0.25
Southwestern Electric Power Company 5.9%0.25
JPMorgan Chase & Co. 4.912%0.25
Dominion Energy Inc 5.35%0.25
Experian Finance US Inc. 5.35%0.25
Piedmont Operating Partnership, L.P. 5.625%0.25
Canadian Natural Resources Limited 6.25%0.25
Avolon Holdings Funding Ltd. 4.95%0.24
The Cigna Group 4.8%0.24
Huntington Bancshares Incorporated 2.487%0.24
Takeoff Merger Subordinated Inc. 5.5%0.24
Marsh & McLennan Companies, Inc. 4.95%0.24
CRH America Finance, Inc. 5.5%0.24
Truist Financial Corp. 5.7%0.24
VICI Properties LP 5.125%0.24
KBC Group NV 4.932%0.24
Vale Overseas Limited 6.4%0.23
Transcontinental Gas Pipe Line Company, LLC 5.1%0.23
Pine Street Trust III 6.223%0.23
Tampa Electric Company 5.15%0.23
ITC Holdings Corporation 5.65%0.23
Lowes Companies, Inc. 4.85%0.23
Amazon.com, Inc. 5.95%0.23
Morgan Stanley 5.32%0.23
Lloyds Banking Group PLC 4.425%0.23
Healthpeak OP LLC 4.75%0.22
HPS Corporate Lending Fund 6.75%0.22
Brown & Brown Inc 5.55%0.22
Ares Strategic Income Fund 5.55%0.22
Orange SA 5%0.22
Vistra Operations Co LLC 4.7%0.22
JPMorgan Chase & Co. 4.603%0.22
GLP Capital L.P. and GLP Financing II, Inc. 5.625%0.22
Dell International LLC / EMC Corp. 5.1%0.22
Alimentation Couche-Tard Inc. 5.077%0.22
Amazon.com, Inc. 5.65%0.22
JERSEY MIKE'S FUNDING LLC 5.25%0.22
Caixabank S.A.0.22
Southern Company Gas Capital Corp. 5.75%0.21
Space Exploration Technologies Corp. 5.61%0.21
Targa Resources Corp. 5.5%0.20
Meta Platforms Inc 6.3%0.20
Agree LP 5.625%0.20
Sixth Street Lending Partners 6.5%0.20
Arizona Public Service Company 5.1%0.20
Invitation Homes Operating Partnership Lp 4.95%0.20
Plains All American Pipeline L.P. 5.6%0.20
DCP Midstream Operating LP 5.125%0.20
Taco Bell Funding Llc 5.049%0.20
Amphenol Corporation 4.4%0.19
Lincoln National Corp. 5.35%0.19
Amphenol Corporation 4.125%0.19
AerCap Ireland Capital Designated Activity Co. / AerCap Global Aviation Tru0.19
UnitedHealth Group Inc. 4.65%0.19
Smurfit Kappa Treasury Unlimited Company 5.438%0.19
CVS Health Corp 5.875%0.19
UBS Group AG 3.091%0.19
Comm 2004-Lnb3 Commercial Mortgage Pass-Through Certificates0.19
Lowes Companies, Inc. 4.5%0.18
Centene Corp. 2.625%0.18
Charter Communications Operating, LLC/Charter Communications Operating Capi0.18
Augusta Spinco Corp. 4.656%0.18
Oracle Corp. 4.8%0.18
Bank of America Corp. 5.015%0.18
Global Payments Inc 4.5%0.18
Puget Energy Inc 5.725%0.18
Targa Resources Corp. 6.15%0.18
Reinsurance Group of America, Incorporated 5.75%0.17
Ford Motor Company 6.1%0.17
Avolon Holdings Funding Ltd. 5.75%0.17
200 PK Funding Trust 5.74%0.17
Citizens Financial Group Inc 6.645%0.17
Consolidated Edison Company of New York, Inc. 5.125%0.17
Avolon Holdings Funding Ltd. 5.15%0.17
ENEL Finance International N.V. 4.375%0.17
AT&T Inc 5.85%0.17
Barclays PLC 5.367%0.17
Citigroup Inc. 6.27%0.17
Barclays PLC 5.785%0.17
Ares Strategic Income Fund 6.35%0.16
Avilease Capital Ltd. 5.5%0.16
GLP Capital L.P. and GLP Financing II, Inc. 4%0.16
Consolidated Edison Company of New York, Inc. 5.5%0.16
Ford Motor Company 3.25%0.16
FirstEnergy Corp. 2.25%0.16
Intact Financial Corp. 5.459%0.16
Broadcom Inc 4.8%0.16
Sammons Financial Group Inc 4.8%0.16
Reinsurance Group of America, Incorporated 3.9%0.16
Sabra Health Care Ltd Partnership / Sabra Capital Corp 3.2%0.16
Georgia Power Company 5.25%0.16
Columbia Pipelines Holding Co. LLC 5.097%0.16
HPS Corporate Lending Fund 5.45%0.16
Verizon Communications Inc. 3.7%0.16
HSBC Holdings PLC 6.332%0.16
UBS Group AG 4.875%0.16
UBS Group AG 4.194%0.16
Caixabank S.A. 5.673%0.16
PNC Financial Services Group Inc. 5.575%0.15
Ipalco Enterprises Inc. 5.75%0.15
Essent Group Ltd. 6.25%0.15
COPT Defense Properties LP 2.9%0.15
Columbia Pipelines Operating Co. LLC 5.695%0.15
Ingersoll Rand Inc 5.7%0.15
Orange SA 4.25%0.15
Gilead Sciences Inc. 5.5%0.15
Pacific Gas and Electric Company 5.9%0.15
Space Exploration Technologies Corp. 5.35%0.15
Micron Technology Inc. 2.703%0.15
Cheniere Energy Partners Lp 6.15%0.15
ENEL Finance International N.V. 5.5%0.15
KBC Group NV 6.324%0.15
Barclays PLC 6.224%0.15
Volkswagen Group of America Finance LLC 4.75%0.15
HSBC Holdings PLC 2.357%0.15
JPMorgan Chase & Co. 5.294%0.14
Meta Platforms Inc 5.75%0.14
AerCap Ireland Capital Designated Activity Co. / AerCap Global Aviation Tru0.14
AT&T Inc 3.55%0.14
Brixmor Operating Partnership LP 4.05%0.14
AT&T Inc 3.65%0.14
Time Warner Cable LLC 5.5%0.14
Meta Platforms Inc 5.5%0.14
Dell International LLC / EMC Corp. 4.15%0.14
PNC Financial Services Group Inc. 5.222%0.14
Ingersoll Rand Inc 5.314%0.14
Firstenergy Transmission Llc 4.75%0.14
Omega Healthcare Investors, Inc. 5.2%0.14
Piedmont Operating Partnership, L.P. 6.875%0.14
Paychex Inc 5.6%0.14
Agco Corporation 5.8%0.14
PPL Capital Funding Inc. 5.25%0.14
Barclays PLC 2.645%0.14
NiSource Inc. 5.85%0.13
Ford Motor Credit Company LLC 4.97%0.13
Five Corners Funding Trust 2.85%0.13
Bank of America Corp. 3.194%0.13
Broadcom Inc 5.7%0.13
JPMorgan Chase & Co. 6.254%0.13
Oracle Corp. 5.875%0.13
General Motors Company 5.4%0.13
Bank of America Corp. 2.676%0.13
Verizon Communications Inc. 5.401%0.13
Cenovus Energy Inc 2.65%0.13
Orange SA 4.75%0.13
Blackstone Reg Finance Co LLC 5%0.13
Oracle Corp. 5.95%0.13
Columbia Pipelines Operating Co. LLC 5.962%0.13
FirstEnergy Corp. 2.65%0.13
Aircastle Ltd. / Aircastle Ireland DAC 5.25%0.13
Oracle Corp. 6.1%0.13
Ford Motor Credit Company LLC 6.798%0.13
United States Treasury Bonds 4.75%0.13
Intesa Sanpaolo S.p.A. 7.2%0.13
Societe Generale S.A. 3%0.13
Deutsche Bank AG New York Branch 3.035%0.13
Shops Commercial Mortgage Trust 2026 CSTL 4%0.13
Amazon.com, Inc. 5.8%0.12
JPMorgan Chase & Co. 2.956%0.12
Smurfit Westrock Financing Designated Activity Co. 5.418%0.12
Canadian Natural Resources Limited 6.5%0.12
Invitation Homes Operating Partnership Lp 4.875%0.12
Wells Fargo & Co. 4.478%0.12
Plains All American Pipeline L.P. 4.9%0.12
Meta Platforms Inc 4.6%0.12
Bayer US Finance LLC 6.25%0.12
JPMorgan Chase & Co. 2.522%0.12
Duquesne Light Holdings, Inc. 2.775%0.12
Kilroy Realty L.P. 3.05%0.12
Voya Financial Inc 4.7%0.12
Hess Corporation 5.6%0.12
Goldman Sachs Group, Inc. 4.516%0.12
CCO Holdings, LLC/ CCO Holdings Capital Corp. 4.5%0.12
Standard Chartered PLC 6.228%0.12
T-Mobile USA, Inc. 4.95%0.12
Tanger Properties Limited Partnership 3.125%0.12
Morgan Stanley 4.431%0.12
United States Treasury Bonds 4.625%0.12
Standard Chartered PLC 5.005%0.12
Hess Corporation 6%0.11
Invitation Hms 4.95% 02/01/320.11
NXP B V / NXP Funding LLC & NXP USA Inc 2.65%0.11
Stellantis Financial Services US Corp. 4.95%0.11
Elanco Animal Health Inc0.11
Occidental Petroleum Corp. 5.375%0.11
Stellantis Financial Services US Corp. 5.4%0.11
Enbridge Inc. 6.2%0.11
Energy Transfer LP 6.55%0.11
AerCap Ireland Capital Designated Activity Co. / AerCap Global Aviation Tru0.11
Morgan Stanley 1.794%0.11
Alimentation Couche-Tard Inc. 2.95%0.11
BAE Systems PLC 1.9%0.11
Charter Communications Operating, LLC/Charter Communications Operating Capi0.11
Enbridge Inc. 7.2%0.11
Brown & Brown Inc 5.25%0.11
Allianz SE 5.6%0.11
General Motors Company 5.95%0.11
Sun Communities Operating Limited Partnership 2.7%0.11
Ford Motor Credit Company LLC 4.95%0.11
Selective Insurance Group Inc. 5.9%0.11
Broadcom Inc 4.6%0.11
Augusta Spinco Corp. 5.245%0.11
Citizens Financial Group Inc 5.253%0.11
Canadian Natural Resources Limited 5.4%0.11
Fortitude Group Holdings LLC 6.25%0.11
NTT Finance Corp 5.502%0.11
Broadcom Inc 4.9%0.11
Lloyds Banking Group PLC 7.953%0.11
Assurant Inc. 2.65%0.10
Truist Bank (North Carolina) 2.25%0.10
Emera US Finance LP 4.75%0.10
Extra Space Storage LP 4.95%0.10
General Motors Financial Company Inc 3.1%0.10
Brixmor Operating Partnership LP 4.125%0.10
Williams Companies Inc. (The) 5.75%0.10
Brown & Brown Inc 6.25%0.10
JPMorgan Chase & Co. 4.347%0.10
The Cigna Group 4.9%0.10
RTX Corp. 6.4%0.10
JBS NV / JBS USA Food Co Holdings Inc. / JBS USA Foods Group Holdings Inc.0.10
Wells Fargo & Co. 5.244%0.10
Omega Healthcare Investors, Inc. 3.25%0.10
KeyCorp 5.305%0.10
Time Warner Cable LLC 7.3%0.10
EQT Corporation 4.75%0.10
Gallagher Aj &Co 5.55%0.10
Invitation Homes Operating Partnership Lp 2%0.10
Constellation Brands, Inc. 2.875%0.10
Athene Global Funding 2.5%0.09
NiSource Inc. 3.95%0.09
Comcast Corporation 5.5%0.09
Marsh & McLennan Companies, Inc. 6.25%0.09
CIMIC Finance Limited 6%0.09
Time Warner Cable LLC 5.875%0.09
Fairfax Financial Holdings Limited 4.85%0.09
Western Midstream Operating LP 5.3%0.09
Oracle Corp. 4.95%0.09
Bank of Ireland Group PLC 5.01%0.09
Oracle Corp. 5.35%0.09
Home Depot Inc. 5.4%0.09
Hudson Pacific Properties LP 5.95%0.09
Athene Global Funding 1.985%0.09
SUBWAY FUNDING LLC 5.556%0.09
BPCE SA 2.277%0.09
Centene Corp. 3%0.08
American Express Company 4.456%0.08
Morgan Stanley 2.699%0.08
Booz Allen Hamilton Inc 5.95%0.08
Emera US Finance LP 2.639%0.08
Advance Auto Parts Inc. 1.75%0.08
CRH America Finance, Inc. 4.4%0.08
Takeoff Merger Subordinated Inc. 4.85%0.08
B.A.T. Capital Corporation 4.625%0.08
Atlantica Sustainable Infrastructure PLC 4.125%0.08
Broadcom Inc 3.5%0.08
Oracle Corp. 6.9%0.08
Verizon Communications Inc. 2.55%0.08
Kilroy Realty L.P. 2.65%0.08
UnitedHealth Group Inc. 5.3%0.08
Southern Company Gas Capital Corp. 3.15%0.08
Sammons Financial Group Inc 6.039%0.08
Ohio Edison Company 4.95%0.08
Plains All American Pipeline L.P. 3.8%0.08
Sun Communities Operating Limited Partnership 4.2%0.08
Brown & Brown Inc 4.9%0.08
Boeing Co. 7.008%0.08
Verizon Communications Inc. 6%0.08
SUBWAY FUNDING LLC 6.028%0.08
Citigroup Inc. 4.91%0.08
Barclays PLC 2.894%0.08
Burlington Northern Santa Fe LLC 5.55%0.07
Phillips Edison Grocery Center Operating Partnership I L P 4.75%0.07
Voya Financial Inc 5.05%0.07
Pacific Lifecorp 5.125%0.07
Kilroy Realty L.P. 5.875%0.07
COPT Defense Properties LP 2%0.07
Energy Transfer LP 5.4%0.07
Southern Power Company 4.25%0.07
Kite Realty Group, L.P. 4.75%0.07
Empower Finance 2020 LP 1.776%0.07
Energy Transfer LP 6%0.07
Cenovus Energy Inc 3.75%0.07
Marsh & McLennan Companies, Inc. 5%0.07
Duquesne Light Holdings, Inc. 3.616%0.07
Hexcel Corporation 4.9%0.07
Energy Transfer LP 5%0.07
180 Medical Inc. 5.39%0.07
Hut 8 DC LLC 6.192%0.07
AES Corp. 5.75%0.07
Hess Corporation 5.8%0.07
Blackstone Holdings Finance Co. L.L.C. 3.5%0.07
Lowes Companies, Inc. 5.625%0.07
Duke Energy Corp 4.95%0.07
NiSource Inc. 4.8%0.07
National Health Investors, Inc. 5.35%0.07
Exelon Corp. 4.05%0.07
Vistra Operations Co LLC 5.55%0.07
McCormick & Company, Incorporated 1.85%0.07
United States Treasury Bonds 4.125%0.07
Taco Bell Funding Llc 4.821%0.07
Enbridge Inc. 5.75%0.07
UBS Group AG 4.375%0.07
Teva Pharmaceutical Finance Netherlands IV B.V. 5.75%0.06
Oracle Corp. 4.3%0.06
Fifth Third Bancorp 8.25%0.06
Stellantis Finance Us Inc 2.691%0.06
Mars Inc. 5.7%0.06
NTT Finance Corp 4.62%0.06
Stellantis Financial Services US Corp. 5.4%0.06
Boeing Co. 5.805%0.06
Amgen Inc. 5.65%0.06
Amphenol Corporation 5.3%0.06
American Homes 4 Rent L P 5.5%0.06
Stellantis Financial Services US Corp. 5.8%0.06
The Cleveland Electric Illuminating Company 3.5%0.06
Sempra 3.8%0.06
Lincoln National Corp. 2.33%0.06
Alabama Power Co. 5.1%0.06
Dell International LLC / EMC Corp. 3.45%0.06
Symetra Life Insurance Co. 6.55%0.06
CVS Health Corp 5.3%0.06
Hudson Pacific Properties LP 3.95%0.06
Teva Pharmaceutical Finance Netherlands III B.V. 6%0.06
Time Warner Cable LLC 4.5%0.06
SUBWAY FUNDING LLC 6.505%0.06
Banco Santander SA 2.749%0.06
Barclays PLC 5.088%0.06
Cenovus Energy Inc 5.4%0.05
RWE Finance US LLC 5.125%0.05
Sixth Street Lending Partners 6.125%0.05
Exelon Corp. 4.1%0.05
Rexford Industrial Realty L P 2.15%0.05
Mars Inc. 4.8%0.05
Agree LP 5.6%0.05
Southern Company Gas Capital Corp. 4.4%0.05
American Express Company 5.085%0.05
CommonSpirit Health 4.352%0.05
Dell International LLC / EMC Corp. 4.75%0.05
CommonSpirit Health 4.975%0.05
Bank of America Corp. 2.884%0.05
CSX Corporation 4.75%0.05
Emera US Finance LLC 5.2%0.05
Verizon Communications Inc. 4.4%0.05
JPMorgan Chase & Co. 4.95%0.05
Citizens Financial Group Inc 2.638%0.05
Suncor Energy Inc. 6.85%0.05
SUBWAY FUNDING LLC 6.268%0.05
SUBWAY FUNDING LLC 5.914%0.05
Westpac Banking Corp. 5.405%0.05
Citigroup Inc. 2.666%0.05
Mars Inc. 5%0.04
Vistra Operations Co LLC 5.25%0.04
180 Medical Inc. 3.875%0.04
CVS Health Corp 4.875%0.04
Southern Co. 5.7%0.04
Southwestern Electric Power Company 5.3%0.04
AEP Texas Inc 5.7%0.04
CVS Health Corp 6%0.04
Cheniere Energy Partners Lp 5.5%0.04
Oracle Corp. 5.2%0.04
AT&T Inc 4.5%0.04
AerCap Ireland Capital Designated Activity Co. / AerCap Global Aviation Tru0.04
AES Corp. 3.95%0.04
AbbVie Inc. 4.55%0.04
AerCap Ireland Capital Designated Activity Co. / AerCap Global Aviation Tru0.04
Hexcel Corporation 5.875%0.04
VICI Properties LP 5.125%0.04
MSCI Inc. 5.25%0.04
Broadcom Inc 2.45%0.04
Occidental Petroleum Corp. 5.55%0.04
Virginia Electric and Power Company 5.55%0.04
Medline Borrower LLP / Medline Co-Issuer Inc. 5.25%0.04
AstraZeneca PLC 6.45%0.04
Lowes Companies, Inc. 4.25%0.04
Oracle Corp. 2.875%0.04
Energy Transfer LP 5.8%0.04
Smithfield Foods Inc 3%0.04
Kilroy Realty L.P. 2.5%0.04
DB Master Finance LLC 4.891%0.04
JERSEY MIKE'S FUNDING LLC 5.636%0.04
British Airways PLC 2.9%0.04
SUBWAY FUNDING LLC 6.268%0.04
DB Master Finance LLC 0%0.04
UBS Group AG 3.869%0.04
Citigroup Inc. 2.572%0.04
CENT TRUST 2025-CITY0.04
Alphabet Inc. 5.65%0.03
Amgen Inc. 5.25%0.03
Vsp Optical Group Inc. 5.45%0.03
Vsp Optical Group Inc. 5.4%0.03
Vsp Optical Group Inc. 5.65%0.03
Oracle Corp. 4.45%0.03
Phillips Edison Grocery Center Operating Partnership I L P 4.95%0.03
Nuveen LLC 5.55%0.03
Eastern Gas Transmission and Storage Inc 3.9%0.03
Rogers Communications Inc. 4.55%0.03
Canadian Natural Resources Limited 4.95%0.03
Vistra Operations Co LLC 5%0.03
Takeoff Merger Subordinated Inc. 4.5%0.03
Mars Inc. 5.65%0.03
Southwestern Electric Power Company 5.2%0.03
United States Treasury Bonds 4.75%0.03
United States Treasury Notes 4.25%0.03
DB Master Finance LLC 5.165%0.03
Caixabank S.A. 5.402%0.03
TCO Commercial Mortgage Trust 2024-DPM0.03
Comm 2004-Lnb3 Commercial Mortgage Pass-Through Certificates 4.71318%0.03
INT COMMERCIAL MORTGAGE TRUST 2025-PLAZA 5.27253%0.03
INT COMMERCIAL MORTGAGE TRUST 2025-PLAZA0.03
Boeing Co. 6.528%0.02
Invitation Homes Operating Partnership Lp 4.15%0.02
Regency Centers, L.P. 4.5%0.02
Fairfax Financial Holdings Limited 6%0.02
Rio Grande LNG LLC 5.25%0.02
Boeing Co. 6.298%0.02
CVS Health Corp 5%0.02
Columbia Pipelines Operating Co. LLC 6.036%0.02
Gallagher Aj &Co 5%0.02
Amgen Inc. 5.75%0.02
Duquesne Light Holdings, Inc. 2.532%0.02
Charter Communications Operating, LLC/Charter Communications Operating Capi0.02
Discovery Global Holdings Inc. 3.755%0.02
Rio Grande LNG LLC 5.5%0.02
Duke Energy Indiana, LLC. 4.9%0.02
NXP B V / NXP Funding LLC & NXP USA Inc 4.85%0.02
Centene Corp. 4.25%0.02
BNP Paribas SA 5.738%0.02
Carrier Global Corporation 5.9%0.01
Columbia Pipelines Operating Co. LLC 6.497%0.01
Corebridge Financial Inc. 4.35%0.01
Mars Inc. 5.8%0.01
CVS Health Corp 5.25%0.01
COPT Defense Properties LP 4.5%0.01
Kite Realty Group, L.P. 5.5%0.01
Phillips Edison Grocery Center Operating Partnership I L P 5.75%0.01
Columbia Pipelines Operating Co. LLC 6.544%0.01
Cenovus Energy Inc 6.75%0.01
Aon North America Inc. 5.75%0.01
Verisk Analytics, Inc. 4.45%0.01
Piedmont Operating Partnership, L.P. 2.75%0.01
Williams Companies Inc. (The) 5.3%0.01
Carrier Global Corporation 6.2%0.00
Cash†0.00

†Part or all of this cash position may represent cash-in-lieu of marketable securities and not actual cash. ETF shares are created when a large institutional investor called an Authorized Participant deposits a portfolio of stocks into the fund in exchange for an institutional block of ETF shares (usually 50,000). This is referred to as "in kind" creation because a basket of stocks is exchanged for ETF shares rather than using cash. However, some ETFs allow for the creation (and redemption) of ETF shares in cash in certain circumstances rather than through "in kind" creation.

Top basket holdings are as of the date indicated and may not be representative of the fund's current or future investments. ETF shares are created when a large institutional investor called an Authorized Participant deposits a portfolio of securities into the fund (a "Basket") in exchange for an institutional block of ETF shares (usually 50,000). This is referred to as "in kind" creation because a basket of securities is exchanged for ETF shares rather than using cash. In the case of redemptions, the ETF sponsor returns a basket of securities to the Authorized Participant in exchange for an institutional block of ETF shares. The Basket Holdings is the portfolio of securities that can be exchanged on a daily basis for ETF shares. In some circumstances, cash may be accepted in lieu of some or all of the securities in the Basket.