Grunnleggende statistikk
Porteføljeverdi | $ 696 984 601 |
Nåværende posisjoner | 660 |
Siste beholdninger, prestasjoner, forvaltet kapital (fra 13F, 13D)
PMBIX - PIMCO Total Return Fund II Institutional har oppgitt 660 totale beholdninger i sine siste SEC-arkiveringer. Siste porteføljeverdi er beregnet til 696 984 601 USD. Faktisk forvaltet kapital (AUM) er denne verdien pluss kontanter (som ikke er oppgitt). PMBIX - PIMCO Total Return Fund II Institutionals største beholdninger er UMBS TBA (US:US01F0426811) , Freddie Mac Pool (US:US3132DWD674) , U.S. Treasury Bonds (US:US912810TK43) , UMBS (US:US3132DWHE66) , and Ginnie Mae (US:US21H0406734) . PMBIX - PIMCO Total Return Fund II Institutionals nye posisjoner inkluderer UMBS TBA (US:US01F0426811) , Freddie Mac Pool (US:US3132DWD674) , U.S. Treasury Bonds (US:US912810TK43) , UMBS (US:US3132DWHE66) , and Ginnie Mae (US:US21H0406734) .
De største økningene dette kvartalet
Vi bruker endringen i porteføljeallokeringen fordi dette er det mest meningsfulle målet. Endringer kan skyldes handler eller endringer i aksjekursene.
Verdipapirer | Aksjer (MM) |
Verdi (MM$) |
Portefølje % | ΔPortefølje % |
---|---|---|---|---|
15,97 | 2,7344 | 2,7344 | ||
12,75 | 2,1834 | 2,6102 | ||
43,84 | 7,5084 | 2,5318 | ||
5,69 | 0,9737 | 0,9737 | ||
3,58 | 0,6134 | 0,6134 | ||
1,93 | 0,3310 | 0,3310 | ||
1,85 | 0,3176 | 0,3176 | ||
1,85 | 0,3164 | 0,3164 | ||
1,85 | 0,3160 | 0,3160 | ||
1,69 | 0,2892 | 0,2892 |
De største reduksjonene dette kvartalet
Vi bruker endringen i porteføljeallokeringen fordi dette er det mest meningsfulle målet. Endringer kan skyldes handler eller endringer i aksjekurser.
Verdipapirer | Aksjer (MM) |
Verdi (MM$) |
Portefølje % | ΔPortefølje % |
---|---|---|---|---|
−53,71 | −9,1986 | −9,1986 | ||
3,07 | 0,5255 | −6,7556 | ||
14,37 | 2,4604 | −6,5204 | ||
−27,10 | −4,6408 | −4,6408 | ||
−5,56 | −0,9530 | −0,9530 | ||
−5,33 | −0,9130 | −0,9130 | ||
3,09 | 0,5297 | −0,5466 | ||
−2,55 | −0,4373 | −0,4373 | ||
40,19 | 6,8829 | −0,3762 | ||
−1,14 | −0,1952 | −0,1952 |
13F- og Fondsarkiveringer
Dette skjemaet ble sendt inn den 2025-08-28 for rapporteringsperioden 2025-06-30. Klikk på lenkeikonet for å se hele transaksjonshistorikken.
Oppgradere for å låse opp premiedata og eksportere til Excel.
Verdipapirer | Type | Gjennomsnittlig aksjekurs | Aksjer (MM) |
ΔAksjer (%) |
ΔAksjer (%) |
Verdi ($MM) |
Portefølje (%) |
ΔPortefølje (%) |
|
---|---|---|---|---|---|---|---|---|---|
US01F0426811 / UMBS TBA | 43,84 | 38,97 | 7,5084 | 2,5318 | |||||
US TREASURY N/B 02/34 4 / DBT (US91282CJZ59) | 40,19 | −4,38 | 6,8829 | −0,3762 | |||||
US3132DWD674 / Freddie Mac Pool | 27,01 | −2,00 | 4,6261 | −0,1346 | |||||
US912810TK43 / U.S. Treasury Bonds | 22,42 | −2,10 | 3,8395 | −0,1156 | |||||
US3132DWHE66 / UMBS | 18,19 | −2,11 | 3,1154 | −0,0943 | |||||
US TREASURY N/B 11/44 4.625 / DBT (US912810UF39) | 17,53 | −2,23 | 3,0019 | −0,0946 | |||||
US21H0406734 / Ginnie Mae | 17,20 | 0,62 | 2,9464 | 0,2492 | |||||
PMBS / PIMCO ETF Trust - PIMCO Mortgage-Backed Securities Active Exchange-Traded Fund | 0,34 | 0,00 | 16,47 | −0,06 | 2,8200 | −0,0257 | |||
US01F0506844 / UMBS TBA | 15,97 | 2,7344 | 2,7344 | ||||||
TSY INFL IX N/B 01/34 1.75 / DBT (US91282CJY84) | 15,42 | 0,30 | 2,6410 | −0,0144 | |||||
US01F0306781 / UMBS TBA | 14,37 | −71,91 | 2,4604 | −6,5204 | |||||
US912810TU25 / United States Treasury Note/Bond | 14,02 | −2,19 | 2,4005 | −0,0746 | |||||
US01F0206791 / UMBS, 30 Year, Single Family | 12,75 | −624,61 | 2,1834 | 2,6102 | |||||
US91282CFL00 / Treasury, United States Department of | 12,66 | 0,76 | 2,1684 | −0,0020 | |||||
US912810ST60 / TREASURY BOND | 12,05 | −1,99 | 2,0631 | −0,0597 | |||||
US91282CGK18 / U.S. Treasury Inflation Linked Notes | 10,37 | 0,74 | 1,7754 | −0,0019 | |||||
US3133B7GD43 / FED HM LN PC POOL QD9196 FR 03/52 FIXED 3 | 10,19 | −2,53 | 1,7456 | −0,0605 | |||||
US912810RM27 / United States Treas Bds Bond | 9,82 | −2,34 | 1,6811 | −0,0549 | |||||
US36179WZA97 / Ginnie Mae II Pool | 8,55 | −3,16 | 1,4651 | −0,0605 | |||||
US912810TS78 / United States Treasury Note/Bond | 8,22 | −2,14 | 1,4078 | −0,0431 | |||||
US TREASURY N/B 02/55 4.625 / DBT (US912810UG12) | 8,18 | −3,29 | 1,4008 | −0,0600 | |||||
US91282CJM47 / United States Treasury Note/Bond | 7,39 | 0,75 | 1,2652 | −0,0012 | |||||
US91282CEZ05 / U.S. Treasury Inflation Linked Notes | 7,11 | 0,91 | 1,2174 | 0,0008 | |||||
US91282CGW55 / United States Treasury Inflation Indexed Bonds | 6,83 | 0,77 | 1,1702 | −0,0009 | |||||
US912810TH14 / United States Treasury Note/Bond | 6,29 | −2,10 | 1,0772 | −0,0324 | |||||
US01F0526800 / Uniform Mortgage-Backed Security, TBA | 5,69 | −20,91 | 0,9753 | −0,1604 | |||||
US01F0606834 / Uniform Mortgage-Backed Security, TBA | 5,69 | 0,9737 | 0,9737 | ||||||
US91282CDX65 / United States Treasury Inflation Indexed Bonds | 5,67 | 1,14 | 0,9704 | 0,0028 | |||||
US91282CEE75 / United States Treasury Note/Bond | 5,53 | 1,04 | 0,9467 | 0,0018 | |||||
US TREASURY N/B 02/45 4.75 / DBT (US912810UJ50) | 5,27 | −2,30 | 0,9032 | −0,0291 | |||||
RFR USD SOFR/1.75000 12/21/22-30Y CME / DIR (EZ000VCFPMC7) | 4,87 | 6,33 | 0,8343 | 0,0429 | |||||
US TREASURY N/B 08/44 4.125 / DBT (US912810UD80) | 4,86 | −2,21 | 0,8318 | −0,0260 | |||||
US912810TM09 / United States Treasury Note/Bond | 4,84 | −2,20 | 0,8284 | −0,0259 | |||||
US91282CEV90 / United States Treasury Note/Bond | 4,81 | 0,86 | 0,8240 | 0,0001 | |||||
US91282CJA09 / United States Treasury Note/Bond | 4,73 | 0,45 | 0,8098 | −0,0033 | |||||
US912810SY55 / United States Treasury Note/Bond | 4,58 | −2,01 | 0,7839 | −0,0230 | |||||
US91282CHA27 / United States Treasury Note/Bond | 4,48 | 0,63 | 0,7666 | −0,0017 | |||||
US91282CDL28 / UNITED STATES TREASURY NOTE 1.50000000 | 4,46 | 1,23 | 0,7642 | 0,0027 | |||||
GS / The Goldman Sachs Group, Inc. - Depositary Receipt (Common Stock) | 4,27 | 0,90 | 0,7311 | 0,0004 | |||||
US30227FAA84 / Extended Stay America Trust | 3,95 | −0,85 | 0,6763 | −0,0116 | |||||
US91282CJG78 / U.S. Treasury Notes | 3,78 | 0,64 | 0,6473 | −0,0014 | |||||
US91282CHW47 / US TREASURY N/B 4.125000% 08/31/2030 | 3,75 | 0,81 | 0,6430 | −0,0003 | |||||
US91282CHZ77 / United States Treasury Note/Bond | 3,74 | 0,67 | 0,6399 | −0,0012 | |||||
TVC / Tennessee Valley Authority - Preferred Stock | 3,58 | 0,6134 | 0,6134 | ||||||
US TREASURY N/B 02/44 4.5 / DBT (US912810TZ12) | 3,58 | −2,19 | 0,6125 | −0,0191 | |||||
US TREASURY N/B 11/54 4.5 / DBT (US912810UE63) | 3,43 | −3,30 | 0,5877 | −0,0251 | |||||
US3140QNGC08 / Fannie Mae Pool | 3,26 | −1,92 | 0,5585 | −0,0159 | |||||
US91282CHJ36 / United States Treasury Note/Bond | 3,09 | −50,38 | 0,5297 | −0,5466 | |||||
US01F0406854 / UMBS TBA | 3,07 | −92,53 | 0,5255 | −6,7556 | |||||
US3140QNPG11 / FNMA POOL CB3122 FN 03/52 FIXED 3 | 3,01 | −3,09 | 0,5161 | −0,0208 | |||||
US3140X6WA53 / Fannie Mae Pool | 2,94 | −6,54 | 0,5040 | −0,0398 | |||||
US55285AAA51 / MF1 2022-FL9 LLC SER 2022-FL9 CL A V/R REGD 144A P/P 2.96000000 | 2,74 | −4,47 | 0,4690 | −0,0261 | |||||
US91282CJF95 / United States Treasury Note/Bond | 2,69 | 0,41 | 0,4614 | −0,0020 | |||||
US3132DNBC65 / FED HM LN PC POOL SD0935 FR 04/52 FIXED 3 | 2,67 | −1,84 | 0,4581 | −0,0125 | |||||
US912810SD19 / United States Treas Bds Bond | 2,66 | −2,60 | 0,4562 | −0,0162 | |||||
US91282CGQ87 / United States Treasury Note/Bond | 2,63 | 0,73 | 0,4497 | −0,0004 | |||||
US91282CHF14 / United States Treasury Note/Bond | 2,59 | 0,86 | 0,4444 | 0,0000 | |||||
US91282CGS44 / United States Treasury Note/Bond | 2,58 | 0,82 | 0,4422 | −0,0000 | |||||
US9128284V99 / U.S. Treasury Notes 2.875%, due 08/15/2028 | 2,54 | 0,79 | 0,4344 | −0,0002 | |||||
US91282CBZ32 / United States Treasury Note/Bond | 2,52 | 1,12 | 0,4323 | 0,0013 | |||||
US91282CCY57 / UNITED STATES TREASURY NOTE 1.25000000 | 2,41 | 1,31 | 0,4121 | 0,0017 | |||||
US91282CJH51 / US TREASURY I/L 2.375% 10-15-28 | 2,28 | 0,53 | 0,3908 | −0,0012 | |||||
US19075Q6070 / COBANK ACB | 2,20 | 0,00 | 2,27 | 1,48 | 0,3880 | 0,0024 | |||
US05490TAA07 / BBCCRE Trust, Series 2015-GTP, Class A | 2,13 | −0,61 | 0,3642 | −0,0054 | |||||
US05377RHM97 / Avis Budget Rental Car Funding AESOP LLC | 2,09 | 0,14 | 0,3586 | −0,0025 | |||||
US054980AA58 / BDS 2022-FL11 LLC | 2,07 | −6,08 | 0,3549 | −0,0261 | |||||
LIBERTY UTILITIES CO LIBERTY UTILITIES CO / DBT (US531542AA64) | 2,06 | 0,54 | 0,3525 | −0,0012 | |||||
US912810RC45 / United States Treas Bds Bond | 1,98 | −2,13 | 0,3390 | −0,0103 | |||||
HCA INC COMPANY GUAR 03/35 5.75 / DBT (US404119DB22) | 1,95 | 1,88 | 0,3348 | 0,0035 | |||||
US912810SA79 / United States Treas Bds Bond | 1,93 | 0,3310 | 0,3310 | ||||||
US912810QZ49 / United States Treas Bds Bond | 1,93 | −2,03 | 0,3307 | −0,0097 | |||||
US91282CHQ78 / United States Treasury Note/Bond | 1,92 | 0,52 | 0,3294 | −0,0011 | |||||
US91282CHK09 / United States Treasury Note/Bond | 1,92 | 0,52 | 0,3282 | −0,0011 | |||||
US912810RY64 / United States Treas Bds Bond | 1,85 | 0,3176 | 0,3176 | ||||||
US92230AAA43 / VASA Trust 2021-VASA | 1,85 | 0,05 | 0,3165 | −0,0025 | |||||
US 10YR NOTE (CBT)SEP25 XCBT 20250919 / DIR (000000000) | 1,85 | 0,3164 | 0,3164 | ||||||
US TREASURY N/B 05/54 4.625 / DBT (US912810UA42) | 1,85 | −3,20 | 0,3161 | −0,0132 | |||||
US48128B5497 / JPMORGAN CHASE and CO 4.625% PERP PFD | 1,85 | 0,3160 | 0,3160 | ||||||
US36179YMH44 / GINNIE MAE II POOL P#MA9360 4.50000000 | 1,82 | −1,25 | 0,3125 | −0,0066 | |||||
US12430YAA82 / BWAY 2021-1450 MORTGAGE TRUST SER 2021-1450 CL A V/R REGD 144A P/P 1.33700000 | 1,74 | 0,93 | 0,2976 | 0,0002 | |||||
US05493LAA44 / BANC OF AMERICA MERRILL LYNCH BAMLL 2021 JACX A 144A | 1,72 | 0,23 | 0,2948 | −0,0018 | |||||
US12660WAA36 / Credit Suisse Mortgage Capital Certificates | 1,71 | −0,12 | 0,2937 | −0,0029 | |||||
US845011AE58 / Southwest Gas Corp | 1,71 | 1,60 | 0,2930 | 0,0021 | |||||
US78473JAA07 / SREIT Trust 2021-IND | 1,70 | 0,65 | 0,2903 | −0,0007 | |||||
US23345LAA70 / DOLP Trust 2021-NYC | 1,69 | 1,26 | 0,2901 | 0,0012 | |||||
US17291GAA40 / CITIGROUP COMMERCIAL MORTGAGE CGCMT 2021 KEYS A 144A | 1,69 | 0,00 | 0,2897 | −0,0025 | |||||
US61774AAD54 / Morgan Stanley Direct Lending Fund | 1,69 | 0,42 | 0,2894 | −0,0012 | |||||
FHLMC MULTIFAMILY STRUCTURED P FHMS Q034 APT2 / ABS-MBS (US3137HLY301) | 1,69 | 0,2892 | 0,2892 | ||||||
US928563AK15 / VMware Inc | 1,67 | 1,46 | 0,2853 | 0,0018 | |||||
US56848DAA72 / Mariner Finance Issuance Trust 2021-A | 1,65 | 0,98 | 0,2821 | 0,0004 | |||||
US63874AAA60 / NCMS 2021 APPL A 144A | 1,64 | 0,67 | 0,2815 | −0,0004 | |||||
US233853AF73 / Daimler Trucks Finance North America LLC | 1,64 | 0,92 | 0,2815 | 0,0002 | |||||
US52607MAA71 / LENDMARK FUNDING TRUST 21-1A A 1.9% 11/20/2031 144A | 1,63 | 0,62 | 0,2792 | −0,0007 | |||||
US292480AL49 / Enable Midstream Partners, L.P. | 1,62 | 0,68 | 0,2780 | −0,0004 | |||||
US78403DAR17 / SBA TOWER TRUST | 1,61 | 1,52 | 0,2754 | 0,0018 | |||||
US842400GN73 / Southern California Edison Co | 1,60 | 0,25 | 0,2737 | −0,0017 | |||||
US694308KC03 / Pacific Gas and Electric Co | 1,60 | 0,19 | 0,2733 | −0,0017 | |||||
US95000U2S19 / Wells Fargo & Co | 1,54 | 0,98 | 0,2641 | 0,0003 | |||||
LVS / Las Vegas Sands Corp. - Depositary Receipt (Common Stock) | 1,53 | 0,59 | 0,2626 | −0,0007 | |||||
US3140XGFP95 / Fannie Mae Pool | 1,53 | −2,68 | 0,2619 | −0,0094 | |||||
US34540TF236 / Ford Motor Credit Co. LLC., 6.800%, 08/20/25 | 1,51 | 0,33 | 0,2590 | −0,0013 | |||||
US65480CAD74 / Nissan Motor Acceptance Co LLC | 1,51 | −1,70 | 0,2581 | −0,0067 | |||||
US842400HQ95 / SOUTHERN CAL EDISON REGD SER D 4.70000000 | 1,51 | 0,47 | 0,2579 | −0,0010 | |||||
US45834QAA76 / INTEGRIS BAPTIST MEDICAL SR SECURED 08/50 3.875 | 1,50 | −3,98 | 0,2565 | −0,0129 | |||||
ENTERPRISE FLEET FINANCING LLC EFF 2024 2 A2 144A / ABS-O (US29375RAB24) | 1,49 | −20,68 | 0,2556 | −0,0694 | |||||
US927804GH15 / Virginia Electric and Power Co | 1,49 | 0,61 | 0,2551 | −0,0006 | |||||
US015271AJ82 / Alexandria Real Estate Equities, Inc. | 1,49 | 0,27 | 0,2549 | −0,0015 | |||||
US65339KAT79 / NextEra Energy Capital Holdings, Inc. | 1,48 | 0,54 | 0,2534 | −0,0007 | |||||
J1EF34 / Jefferies Financial Group Inc. - Depositary Receipt (Common Stock) | 1,47 | 2,66 | 0,2509 | 0,0043 | |||||
US694308JM04 / PACIFIC GAS and ELECTRIC CO 4.55% 07/01/2030 | 1,46 | 0,83 | 0,2509 | 0,0000 | |||||
GXO / GXO Logistics, Inc. | 1,46 | 1,18 | 0,2504 | 0,0008 | |||||
US880591EX64 / Tennessee Valley Authority | 1,46 | 1,39 | 0,2503 | 0,0013 | |||||
US90355RAC60 / UWM 2021-INV3 A3 11/51 | 1,46 | −2,47 | 0,2502 | −0,0085 | |||||
US68249DAA72 / One New York Plaza Trust 2020-1NYP | 1,46 | 1,46 | 0,2499 | 0,0014 | |||||
US649840CT03 / New York State Electric & Gas Corp | 1,46 | 1,18 | 0,2499 | 0,0009 | |||||
US26442CBB90 / Duke Energy Carolinas LLC | 1,45 | 2,18 | 0,2485 | 0,0033 | |||||
US665772CT43 / Northern States Power Co/MN | 1,44 | 3,00 | 0,2471 | 0,0052 | |||||
US037735CZ84 / Appalachian Power Co | 1,44 | 1,55 | 0,2463 | 0,0017 | |||||
CROSS MORTGAGE TRUST CROSS 2024 H3 A1 144A / ABS-MBS (US22758DAA72) | 1,44 | −8,13 | 0,2459 | −0,0239 | |||||
US87166PAL58 / SYNIT 23-A2 A 5.74% 10-15-29/26 | 1,43 | −0,21 | 0,2442 | −0,0025 | |||||
US410867AG05 / Hanover Insurance Group Inc/The | 1,43 | 1,42 | 0,2441 | 0,0013 | |||||
USU5615XAA82 / MANHATTAN WEST | 1,42 | 1,43 | 0,2431 | 0,0014 | |||||
US02377LAA26 / American Airlines Pass Through Trust, Series 2019-1, Class AA | 1,41 | 0,21 | 0,2413 | −0,0015 | |||||
C1FG34 / Citizens Financial Group, Inc. - Depositary Receipt (Common Stock) | 1,40 | 1,23 | 0,2401 | 0,0011 | |||||
US75886FAE79 / Regeneron Pharmaceuticals Inc | 1,39 | 1,91 | 0,2381 | 0,0023 | |||||
US845437BR25 / Southwestern Electric Power Co | 1,39 | 0,80 | 0,2378 | −0,0001 | |||||
US591894CC27 / Metropolitan Edison Co. | 1,39 | 0,58 | 0,2378 | −0,0007 | |||||
US912810RB61 / United States Treas Bds Bond | 1,39 | −2,19 | 0,2377 | −0,0073 | |||||
US36267BAB36 / GS Mortgage-Backed Securities Trust | 1,39 | −1,63 | 0,2376 | −0,0059 | |||||
US12564NAA00 / CLNY Trust 2019-IKPR | 1,38 | −11,40 | 0,2371 | −0,0328 | |||||
US06541LBG05 / BANK 2022-BNK40 | 1,38 | 1,47 | 0,2363 | 0,0016 | |||||
US78403DAP50 / SBA Tower Trust | 1,38 | 0,88 | 0,2359 | −0,0000 | |||||
US12654PAE88 / CSMC 2018-RPL9 TRUST CSMC 2018-RPL9 A | 1,38 | −1,71 | 0,2358 | −0,0062 | |||||
CHASE MORTGAGE FINANCE CORPORA CHASE 2024 7 A11 144A / ABS-MBS (US16159TAP66) | 1,37 | −11,33 | 0,2348 | −0,0321 | |||||
US94990DAA46 / Wells Fargo Commercial Mortgage Trust 2018-1745 | 1,37 | −0,58 | 0,2343 | −0,0035 | |||||
TOWD POINT MORTGAGE TRUST TPMT 2024 5 A1A 144A / ABS-MBS (US891944AA82) | 1,35 | −4,45 | 0,2320 | −0,0128 | |||||
US842587DE49 / Southern Co. (The), Series A | 1,35 | 1,50 | 0,2320 | 0,0015 | |||||
US72201W1541 / PIMCO PRV SHORT TERM FLT III MUTUAL FUND | 1,34 | 1 119,09 | 0,2297 | 0,2106 | |||||
US50085PAA57 / KREST COMMERCIAL MORTGAGE SECU KREST 2021 CHIP A 144A | 1,33 | 0,08 | 0,2270 | −0,0017 | |||||
FANNIE MAE FNR 2024 54 FC / ABS-MBS (US3136BSSC02) | 1,32 | −12,40 | 0,2264 | −0,0343 | |||||
US842400GU17 / Southern California Edison Co | 1,32 | 0,53 | 0,2257 | −0,0006 | |||||
US44891ACL98 / Hyundai Capital America | 1,30 | −0,15 | 0,2227 | −0,0023 | |||||
US02361DAV29 / AMEREN ILL CO 1.55% 11/15/2030 | 1,30 | 1,64 | 0,2224 | 0,0018 | |||||
US575634AU41 / MASSACHUSETTS ELECTRIC CO 144A 1.729000% 11/24/2030 | 1,29 | 2,71 | 0,2207 | 0,0040 | |||||
US90932JAA07 / United Airlines 2019-2 Class AA Pass Through Trust | 1,29 | −2,50 | 0,2207 | −0,0076 | |||||
US912810RE01 / United States Treas Bds Bond | 1,28 | −2,13 | 0,2200 | −0,0068 | |||||
BMO MORTGAGE TRUST BMO 2024 5C4 A3 / ABS-MBS (US09660SAU42) | 1,27 | 0,16 | 0,2183 | −0,0014 | |||||
US46650FAA03 / J.P. MORGAN CHASE COMMERCIAL MORTGAGE SECURITIES T JPMCC 2018-PHH A | 1,26 | −1,57 | 0,2151 | −0,0052 | |||||
US40414LAR06 / HCP, Inc. | 1,26 | 1,70 | 0,2151 | 0,0019 | |||||
CHASE MORTGAGE FINANCE CORPORA CHASE 2024 RPL3 A1A 144A / ABS-MBS (US161917AB58) | 1,25 | −1,73 | 0,2138 | −0,0057 | |||||
US694308KL02 / Pacific Gas and Electric Co | 1,24 | 0,24 | 0,2130 | −0,0012 | |||||
US78436TAC09 / SBALT 2023-A A3 | 1,24 | −27,37 | 0,2128 | −0,0826 | |||||
US90355RAM43 / UNITED WHOLESALE MORTGAGE LLC UWM 2021 INV3 A9 144A | 1,24 | −1,59 | 0,2121 | −0,0054 | |||||
US912810TF57 / TREASURY BOND | 1,24 | −1,98 | 0,2119 | −0,0061 | |||||
CNO GLOBAL FUNDING CNO GLOBAL FUNDING / DBT (US18977W2D15) | 1,23 | 0,08 | 0,2112 | −0,0015 | |||||
US86772HAA59 / Sunrun Demeter Issuer 2021-2 | 1,23 | 0,33 | 0,2110 | −0,0012 | |||||
US79467BDH50 / SALES TAX SECURITIZATION CORP IL | 1,23 | 1,24 | 0,2105 | 0,0008 | |||||
US90355DAV55 / UNITED WHOLESALE MORTGAGE LLC UWM 2021 INV5 A12 144A | 1,23 | −1,68 | 0,2102 | −0,0054 | |||||
US90354TAJ88 / UWM Mortgage Trust, Series 2021-INV2, Class A9 | 1,22 | −1,13 | 0,2090 | −0,0042 | |||||
US46655LAE48 / J.P. Morgan Mortgage Trust | 1,21 | −1,38 | 0,2077 | −0,0046 | |||||
MF1 MULTIFAMILY HOUSING MORTGA MF1 2024 FL14 A 144A / ABS-CBDO (US55416AAA79) | 1,21 | 0,25 | 0,2064 | −0,0012 | |||||
US465973AC95 / JP MORGAN MORTGAGE TRUST SER 2022-INV1 CL A3 V/R REGD 144A P/P 3.00000000 | 1,17 | −1,35 | 0,1996 | −0,0045 | |||||
US92867UAD46 / Volkswagen Auto Lease Trust, Series 2023-A, Class A3 | 1,16 | −27,61 | 0,1995 | −0,0783 | |||||
FANNIE MAE FNR 2024 38 AF / ABS-MBS (US3136BR5A18) | 1,14 | −5,77 | 0,1958 | −0,0139 | |||||
US07336JAD00 / Bayview MSR Opportunity Master Fund Trust, Series 2021-5, Class A1 | 1,14 | −1,98 | 0,1954 | −0,0057 | |||||
US912810RD28 / United States Treas Bds Bond | 1,14 | −2,15 | 0,1946 | −0,0059 | |||||
US46654AAC36 / JP Morgan Mortgage Trust 2021-10 | 1,13 | −1,91 | 0,1934 | −0,0056 | |||||
MSBR34 / Morgan Stanley - Depositary Receipt (Common Stock) | 1,13 | 0,1932 | 0,1932 | ||||||
BLACKSTONE SECURED LEND SR UNSECURED 11/27 5.875 / DBT (US09261XAH52) | 1,12 | 0,45 | 0,1924 | −0,0008 | |||||
US36168FAE88 / GCAT Trust, Series 2022-INV2, Class A5 | 1,12 | −2,36 | 0,1912 | −0,0063 | |||||
US55285BAA35 / MF1 2022-FL10 LLC MF1 2022-FL10 A | 1,12 | −5,66 | 0,1912 | −0,0132 | |||||
US89178BAA26 / TOWD POINT MORTGAGE TRUST TPMT 2019 4 A1 144A | 1,10 | −4,18 | 0,1882 | −0,0099 | |||||
US67114KAC18 / ONSLOW BAY FINANCIAL LLC OBX 2021 INV2 A3 144A | 1,09 | −1,98 | 0,1863 | −0,0054 | |||||
US44555PAN15 / Hundred Acre Wood Trust 2021-INV2 | 1,09 | −1,99 | 0,1860 | −0,0053 | |||||
US67116EAA73 / OBX Trust, Series 2022-INV3, Class A1 | 1,08 | −2,71 | 0,1846 | −0,0066 | |||||
US05351WAB90 / Avangrid Inc | 1,08 | 1,51 | 0,1841 | 0,0011 | |||||
US797440CA05 / San Diego Gas & Electric Co. | 1,07 | 0,28 | 0,1835 | −0,0012 | |||||
US46654DAD57 / JP MORGAN MORTGAGE TRUST 2021-INV4 SER 2021-INV4 CL A2 V/R REGD 144A P/P 3.00000000 | 1,07 | −2,55 | 0,1833 | −0,0065 | |||||
US95000U3G61 / Wells Fargo & Co | 1,06 | 0,57 | 0,1810 | −0,0006 | |||||
US477143AH41 / JetBlue 2019-1 Class AA Pass Through Trust | 1,04 | −2,25 | 0,1789 | −0,0057 | |||||
FLAGSHIP CREDIT AUTO TRUST FCAT 2024 1 A2 144A / ABS-O (US33843VAC72) | 1,04 | −25,97 | 0,1774 | −0,0640 | |||||
PM / Philip Morris International Inc. - Depositary Receipt (Common Stock) | 1,03 | 1,28 | 0,1765 | 0,0007 | |||||
US373334KP56 / Georgia Power Co | 1,03 | 1,18 | 0,1764 | 0,0005 | |||||
US918307AC33 / SER 2021-INV4 CL A3 V/R REGD 144A P/P 2.50000000 | 1,03 | −2,10 | 0,1757 | −0,0052 | |||||
US031162DR88 / Amgen Inc | 1,02 | 0,99 | 0,1754 | 0,0002 | |||||
KMIC34 / Kinder Morgan, Inc. - Depositary Receipt (Common Stock) | 1,02 | 0,1749 | 0,1749 | ||||||
US61747YFA82 / Morgan Stanley | 1,02 | 0,39 | 0,1743 | −0,0008 | |||||
US36264RAE53 / GS MORTGAGE-BACKED SECURITIES CORP TRUST 202 SER 2022-PJ4 CL A4 V/R REGD 144A P/P 2.50000000 | 1,00 | −1,67 | 0,1710 | −0,0045 | |||||
US78432WAA18 / SFO Commercial Mortgage Trust 2021-555 | 1,00 | 1,01 | 0,1706 | 0,0002 | |||||
US341081FP71 / Florida Power & Light Co | 0,99 | 0,00 | 0,1696 | −0,0014 | |||||
US36263TAB89 / GS MORTGAGE-BACKED SECURITIES TRUST 2021-GR3 SER 2021-GR3 CL A2 V/R REGD 144A P/P 2.50000000 | 0,98 | −2,10 | 0,1678 | −0,0051 | |||||
US44935VAD10 / Hyundai Auto Lease Securitization Trust, Series 2023-C, Class A3 | 0,98 | −18,99 | 0,1675 | −0,0410 | |||||
US12659TAC99 / Credit Suisse Mortgage Capital Certificates | 0,97 | −3,47 | 0,1668 | −0,0073 | |||||
US573874AP91 / Marvell Technology Inc | 0,96 | 1,05 | 0,1650 | 0,0003 | |||||
US010392FU79 / Alabama Power Co | 0,95 | 2,25 | 0,1634 | 0,0022 | |||||
US912810RH32 / United States Treas Bds Bond | 0,95 | −2,27 | 0,1621 | −0,0051 | |||||
US61946QAA94 / Mosaic Solar Loan Trust, Series 2022-1A, Class A | 0,93 | −4,43 | 0,1590 | −0,0087 | |||||
BLUE OWL FINANCE LLC COMPANY GUAR 04/34 6.25 / DBT (US09581JAT34) | 0,93 | 0,43 | 0,1587 | −0,0006 | |||||
US29273VAR15 / Energy Transfer LP | 0,92 | 0,00 | 0,1574 | −0,0014 | |||||
US88880LAN38 / TOBACCO SETTLEMENT FIN AUTH WV TOBGEN 06/31 FIXED 2.951 | 0,90 | 1,81 | 0,1545 | 0,0013 | |||||
US68389XBY04 / Oracle Corp | 0,90 | 0,22 | 0,1536 | −0,0009 | |||||
SMB PRIVATE EDUCATION LOAN TRU SMB 2024 C A1B 144A / ABS-O (US83206EAB39) | 0,86 | −4,22 | 0,1477 | −0,0077 | |||||
US912834LR79 / United States Treasury Strip Coupon | 0,84 | −1,97 | 0,1446 | −0,0041 | |||||
US03027XCE85 / American Tower Corp. | 0,84 | 0,72 | 0,1430 | −0,0003 | |||||
SUTTER HEALTH UNSECURED 08/32 5.213 / DBT (US86944BAP85) | 0,82 | 0,1409 | 0,1409 | ||||||
US90931CAA62 / United Airlines Pass Through Trust, Series 2019-1, Class AA | 0,82 | 0,12 | 0,1406 | −0,0010 | |||||
AXP / American Express Company - Depositary Receipt (Common Stock) | 0,82 | 0,99 | 0,1403 | 0,0003 | |||||
ATHENE GLOBAL FUNDING ATHENE GLOBAL FUNDING / DBT (US04685A3T66) | 0,81 | 0,00 | 0,1394 | −0,0011 | |||||
US90931LAA61 / United Airlines 2016-1 Class AA Pass Through Trust | 0,81 | 0,62 | 0,1386 | −0,0003 | |||||
US06051GKW86 / Bank of America Corp. | 0,81 | 0,37 | 0,1386 | −0,0007 | |||||
US29366WAD83 / Entergy Mississippi LLC | 0,80 | 1,14 | 0,1373 | 0,0004 | |||||
PRP ADVISORS, LLC PRPM 2024 RCF2 A1 144A / ABS-MBS (US693987AA72) | 0,80 | −3,51 | 0,1367 | −0,0060 | |||||
US03027XAK63 / American Tower Corp 3.375% 10/15/2026 Bond | 0,79 | 0,64 | 0,1353 | −0,0004 | |||||
US38375UZ783 / GOVERNMENT NATIONAL MORTGAGE A GNR 2017 H25 FB | 0,79 | −6,08 | 0,1351 | −0,0100 | |||||
US61749LAP67 / MORGAN STANLEY MORTGAGE LOAN TRUST 2006-8AR | 0,78 | −6,05 | 0,1330 | −0,0097 | |||||
US36179UWB42 / G2SF 5.0 MA6042 07-20-49 | 0,76 | −3,42 | 0,1308 | −0,0057 | |||||
US3140NEYZ29 / FNMA POOL BX9727 FN 04/53 FIXED 5 | 0,76 | −3,91 | 0,1306 | −0,0065 | |||||
US912810SW99 / United States Treasury Note/Bond | 0,76 | −2,07 | 0,1296 | −0,0037 | |||||
US86358ECL83 / Structured Asset Investment Loan Trust, Series 2003-BC6, Class M1 | 0,71 | −6,91 | 0,1224 | −0,0101 | |||||
S1YF34 / Synchrony Financial - Depositary Receipt (Common Stock) | 0,71 | 1,58 | 0,1210 | 0,0009 | |||||
ATHENE GLOBAL FUNDING ATHENE GLOBAL FUNDING / DBT (US04685A3S83) | 0,70 | −0,42 | 0,1207 | −0,0014 | |||||
US34540TF236 / Ford Motor Credit Co. LLC., 6.800%, 08/20/25 | 0,70 | 1,15 | 0,1202 | 0,0004 | |||||
P1NW34 / Pinnacle West Capital Corporation - Depositary Receipt (Common Stock) | 0,70 | −0,28 | 0,1201 | −0,0014 | |||||
US023771R919 / American Airlines 2016-3 Class AA Pass Through Trust | 0,68 | −3,68 | 0,1165 | −0,0056 | |||||
FREDDIE MAC FHR 5532 FA / ABS-MBS (US3137HKPJ74) | 0,67 | −4,86 | 0,1142 | −0,0069 | |||||
US38375BZS41 / Government National Mortgage Association Series 12-H29 Class SA | 0,66 | −5,44 | 0,1132 | −0,0075 | |||||
US694308KP16 / PACIFIC GAS AND ELECTRIC CO SR SEC 1ST LIEN 6.95% 03-15-34 | 0,65 | −0,62 | 0,1107 | −0,0017 | |||||
SAMMONS FINANCIAL GROUP SAMMONS FINANCIAL GROUP / DBT (US79588TAF75) | 0,64 | 0,47 | 0,1103 | −0,0004 | |||||
US30326MAA36 / FS RIALTO | 0,64 | −1,98 | 0,1100 | −0,0032 | |||||
US529043AF83 / LXP INDUSTRIAL TRUST 6.75% 11/15/2028 | 0,64 | 0,00 | 0,1089 | −0,0008 | |||||
US02005NBU37 / Ally Financial Inc | 0,63 | 1,12 | 0,1085 | 0,0003 | |||||
FED HM LN PC POOL SB1240 FR 12/32 FIXED 2.5 / ABS-MBS (US3132CXLV28) | 0,62 | −6,02 | 0,1070 | −0,0077 | |||||
TPG OPERATING GROUP II TPG OPERATING GROUP II / DBT (US872652AA01) | 0,62 | 1,47 | 0,1068 | 0,0007 | |||||
US912810RK60 / United States Treas Bds Bond | 0,62 | −2,37 | 0,1061 | −0,0035 | |||||
BRO / Brown & Brown, Inc. | 0,62 | 0,98 | 0,1056 | 0,0001 | |||||
F+G GLOBAL FUNDING F+G GLOBAL FUNDING / DBT (US30321L2G69) | 0,61 | 0,16 | 0,1051 | −0,0007 | |||||
USB / U.S. Bancorp - Depositary Receipt (Common Stock) | 0,61 | 0,83 | 0,1046 | 0,0001 | |||||
US631005BJ39 / Narragansett Electric Co/The | 0,61 | 1,00 | 0,1043 | 0,0001 | |||||
69511JD28 / PACIFICORP | 0,61 | 0,50 | 0,1043 | −0,0002 | |||||
MARS INC SR UNSECURED 144A 03/32 5 / DBT (US571676AZ85) | 0,61 | 1,00 | 0,1042 | 0,0001 | |||||
W1MB34 / The Williams Companies, Inc. - Depositary Receipt (Common Stock) | 0,61 | 1,00 | 0,1040 | 0,0000 | |||||
US745310AJ12 / PUGET ENERGY INC NEW 4.1% 06/15/2030 144A | 0,60 | 0,67 | 0,1034 | −0,0001 | |||||
US61691EAY14 / MORGAN STANLEY CAPITAL I TRUST MSC 2016 UB12 ASB | 0,60 | −18,29 | 0,1034 | −0,0242 | |||||
VOLKSWAGEN GROUP AMERICA COMPANY GUAR 144A 03/28 5.05 / DBT (US928668CP53) | 0,60 | 0,67 | 0,1034 | −0,0002 | |||||
US681936BK50 / Omega Healthcare Investors Inc | 0,60 | 0,67 | 0,1033 | −0,0002 | |||||
US11042CAA80 / British Airways 2021-1 Class A Pass Through Trust | 0,60 | −1,48 | 0,1028 | −0,0024 | |||||
US11135FBP53 / SR UNSECURED 144A 11/35 3.137 | 0,60 | 1,71 | 0,1022 | 0,0009 | |||||
ANGEL OAK MORTGAGE TRUST AOMT 2024 4 A1 144A / ABS-MBS (US034943AA80) | 0,59 | −8,23 | 0,1013 | −0,0100 | |||||
US38376RSG29 / GOVERNMENT NATIONAL MORTGAGE ASSOCIATION SER 2016-H06 CL FD V/R 2.91725000 | 0,57 | −19,75 | 0,0981 | −0,0252 | |||||
US43739EAP25 / HOMEBANC MORTGAGE TRUST HMBT 2005 1 A1 | 0,57 | −2,07 | 0,0976 | −0,0029 | |||||
US11043XAB91 / British Airways Pass Through Trust, Series 2019-1, Class A | 0,56 | −5,59 | 0,0955 | −0,0065 | |||||
US63939KAC36 / Navient Private Education Loan Trust, Series 2015-BA, Class A3 | 0,55 | −11,67 | 0,0935 | −0,0132 | |||||
US065402BA61 / BANK BANK 2019 BN18 ASB | 0,55 | −5,22 | 0,0934 | −0,0061 | |||||
GLS AUTO SELECT RECEIVABLES TR GSAR 2024 2A A2 144A / ABS-O (US379924AC72) | 0,54 | −14,87 | 0,0932 | −0,0172 | |||||
US912810QY73 / United States Treas Bds Bond | 0,53 | −2,02 | 0,0914 | −0,0027 | |||||
US138616AM99 / Cantor Fitzgerald LP | 0,53 | 0,57 | 0,0909 | −0,0002 | |||||
SNX / TD SYNNEX Corporation | 0,53 | 2,33 | 0,0902 | 0,0013 | |||||
MSBR34 / Morgan Stanley - Depositary Receipt (Common Stock) | 0,52 | 0,78 | 0,0890 | −0,0001 | |||||
US38375UXM79 / Government National Mortgage Association | 0,52 | −16,88 | 0,0887 | −0,0189 | |||||
NLG GLOBAL FUNDING SECURED 144A 01/30 5.4 / DBT (US62915W2A05) | 0,51 | 0,98 | 0,0882 | 0,0002 | |||||
US3140JPME21 / Fannie Mae Pool | 0,51 | −2,65 | 0,0882 | −0,0031 | |||||
FCCU AUTO RECEIVABLES TRUST FCCU 2024 1A A4 144A / ABS-O (US30336CAG06) | 0,51 | 0,39 | 0,0877 | −0,0004 | |||||
D1TE34 / DTE Energy Company - Depositary Receipt (Common Stock) | 0,51 | 0,99 | 0,0877 | 0,0002 | |||||
US00130HCH66 / AES Corp/The | 0,51 | 0,59 | 0,0875 | −0,0004 | |||||
PCG.PRD / Pacific Gas and Electric Company - Preferred Stock | 0,51 | 0,20 | 0,0870 | −0,0005 | |||||
US05609CAA53 / BX Commercial Mortgage Trust 2021-21M | 0,51 | −55,62 | 0,0866 | −0,1100 | |||||
AVIATION CAPITAL GROUP SR UNSECURED 144A 04/30 5.125 / DBT (US05369AAS06) | 0,50 | 1,41 | 0,0865 | 0,0006 | |||||
081437AG0 / Bemis Inc Notes 5.65% 08/01/14 | 0,50 | 0,20 | 0,0863 | −0,0006 | |||||
CBRE SERVICES INC COMPANY GUAR 06/30 4.8 / DBT (US12505BAJ98) | 0,50 | 0,0859 | 0,0859 | ||||||
GA GLOBAL FUNDING TRUST SECURED 144A 12/31 5.2 / DBT (US36143L2Q77) | 0,50 | 0,80 | 0,0858 | −0,0001 | |||||
HPS CORPORATE LENDING FU SR UNSECURED 144A 06/27 5.3 / DBT (US40440VAL99) | 0,50 | 0,0858 | 0,0858 | ||||||
US55336V3087 / MPLX LP | 0,50 | 1,02 | 0,0850 | 0,0002 | |||||
US912810TC27 / United States Treasury Note/Bond | 0,48 | −2,04 | 0,0825 | −0,0025 | |||||
US46651QAA58 / JP Morgan Chase Commercial Mortgage Securities Trust 2019-FL12 | 0,47 | −1,89 | 0,0799 | −0,0022 | |||||
US38376REZ55 / Government National Mortgage Association | 0,45 | −10,45 | 0,0779 | −0,0098 | |||||
US29444UBS42 / EQUINIX INC 2.5% 05/15/2031 | 0,44 | 1,61 | 0,0759 | 0,0005 | |||||
US45660LF954 / INDYMAC INDX MORTGAGE LOAN TRU INDX 2005 AR23 6A1 | 0,44 | −0,90 | 0,0752 | −0,0013 | |||||
BA / The Boeing Company - Depositary Receipt (Common Stock) | 0,43 | 0,94 | 0,0737 | −0,0000 | |||||
BA / The Boeing Company - Depositary Receipt (Common Stock) | 0,42 | 0,72 | 0,0724 | −0,0000 | |||||
69511JD28 / PACIFICORP | 0,42 | 2,46 | 0,0714 | 0,0012 | |||||
US3140X4GR15 / FNMA POOL FM1107 FN 06/49 FIXED VAR | 0,41 | −1,66 | 0,0711 | −0,0017 | |||||
US11135FBQ37 / Broadcom Inc | 0,41 | 0,98 | 0,0710 | 0,0001 | |||||
US912810RG58 / United States Treas Bds Bond | 0,41 | −2,14 | 0,0705 | −0,0022 | |||||
US38376RFJ05 / Government National Mortgage Association | 0,41 | −13,50 | 0,0702 | −0,0117 | |||||
H1FC34 / HF Sinclair Corporation - Depositary Receipt (Common Stock) | 0,41 | 0,99 | 0,0702 | 0,0002 | |||||
LVS / Las Vegas Sands Corp. - Depositary Receipt (Common Stock) | 0,41 | 0,0699 | 0,0699 | ||||||
BGC / BGC Group, Inc. | 0,41 | 1,76 | 0,0695 | 0,0007 | |||||
US11120VAA17 / Brixmor Operating Partnership LP | 0,41 | 1,00 | 0,0694 | 0,0001 | |||||
M1TT34 / Marriott International, Inc. - Depositary Receipt (Common Stock) | 0,40 | 1,51 | 0,0693 | 0,0004 | |||||
STELLANTIS FIN US INC COMPANY GUAR 144A 03/30 5.75 / DBT (US85855CAK62) | 0,40 | 1,00 | 0,0691 | 0,0001 | |||||
VICI PROPERTIES LP SR UNSECURED 04/28 4.75 / DBT (US925650AJ26) | 0,40 | 0,50 | 0,0691 | −0,0002 | |||||
US38376RXY79 / GOVERNMENT NATIONAL MORTGAGE A GNR 2016 H18 FA | 0,40 | −15,72 | 0,0689 | −0,0136 | |||||
RGA GLOBAL FUNDING SECURED 144A 12/31 5.05 / DBT (US76209PAF09) | 0,40 | 0,50 | 0,0687 | −0,0003 | |||||
ARES STRATEGIC INCOME FU SR UNSECURED 144A 09/28 5.45 / DBT (US04020EAL11) | 0,40 | 0,0686 | 0,0686 | ||||||
US054561AJ49 / AXA EQUITABLE HOLDINGS I SR UNSECURED 04/28 4.35 | 0,40 | 0,76 | 0,0684 | −0,0001 | |||||
SYSTEM ENERGY RESOURCES 1ST REF MORT 12/34 5.3 / DBT (US871911AV54) | 0,40 | 0,0677 | 0,0677 | ||||||
US674599DJ13 / Occidental Petroleum Corp | 0,39 | −1,26 | 0,0671 | −0,0013 | |||||
US36179TXW07 / Ginnie Mae II Pool | 0,38 | −2,08 | 0,0646 | −0,0019 | |||||
US31416CLT17 / Fannie Mae Pool | 0,37 | −2,11 | 0,0639 | −0,0019 | |||||
RFR USD SOFR/2.00000 12/21/22-10Y CME / DIR (EZFXDWH0DRR4) | 0,35 | −5,22 | 0,0592 | −0,0038 | |||||
US22541QRL85 / CREDIT SUISSE FIRST BOSTON MOR CSFB 2003 AR22 3A1 | 0,33 | −1,47 | 0,0574 | −0,0013 | |||||
US36296DP285 / Ginnie Mae I Pool | 0,33 | −4,60 | 0,0569 | −0,0033 | |||||
US02378MAA99 / AMERICAN AIRLINES 2019-1 CLASS A PASS THROUGH TRUS 3.500000% 02/15/2032 | 0,33 | 0,61 | 0,0565 | −0,0001 | |||||
BA / The Boeing Company - Depositary Receipt (Common Stock) | 0,33 | 0,61 | 0,0563 | −0,0000 | |||||
US38376RVV58 / Government National Mortgage Association | 0,33 | −20,00 | 0,0562 | −0,0147 | |||||
US912810QW18 / United States Treas Bds Bond | 0,32 | −1,85 | 0,0547 | −0,0016 | |||||
US38376RWY88 / GOVERNMENT NATIONAL MORTGAGE ASSOCIATION SER 2016-H15 CL FA V/R 2.79725000 | 0,32 | −25,81 | 0,0547 | −0,0197 | |||||
TSNF34 / Tyson Foods, Inc. - Depositary Receipt (Common Stock) | 0,31 | 0,98 | 0,0532 | 0,0001 | |||||
SIXTH STREET LENDING PAR SR UNSECURED 03/29 6.5 / DBT (US829932AB85) | 0,31 | 0,98 | 0,0531 | 0,0001 | |||||
TSNF34 / Tyson Foods, Inc. - Depositary Receipt (Common Stock) | 0,31 | 0,98 | 0,0530 | −0,0000 | |||||
JACKSON NATL LIFE GLOBAL SECURED 144A 01/30 5.35 / DBT (US46849LVE81) | 0,31 | 0,65 | 0,0529 | −0,0000 | |||||
BA / The Boeing Company - Depositary Receipt (Common Stock) | 0,31 | 0,00 | 0,0529 | −0,0004 | |||||
US30040WAT53 / Eversource Energy | 0,31 | 0,33 | 0,0527 | −0,0002 | |||||
P1EG34 / Public Service Enterprise Group Incorporated - Depositary Receipt (Common Stock) | 0,31 | 0,99 | 0,0525 | 0,0002 | |||||
US06051GLV94 / Bank of America Corp. | 0,31 | 0,00 | 0,0523 | −0,0006 | |||||
ORCL / Oracle Corporation - Depositary Receipt (Common Stock) | 0,31 | 0,99 | 0,0522 | −0,0000 | |||||
A1JG34 / Arthur J. Gallagher & Co. - Depositary Receipt (Common Stock) | 0,30 | 0,66 | 0,0522 | −0,0000 | |||||
S1NP34 / Synopsys, Inc. - Depositary Receipt (Common Stock) | 0,30 | 0,66 | 0,0521 | −0,0001 | |||||
EVERGY KANSAS CENTRAL 1ST MORTGAGE 03/35 5.25 / DBT (US30036FAD33) | 0,30 | 0,66 | 0,0520 | −0,0000 | |||||
DELL INT LLC / EMC CORP COMPANY GUAR 04/28 4.75 / DBT (US24703TAL08) | 0,30 | 0,66 | 0,0520 | −0,0001 | |||||
STZB34 / Constellation Brands, Inc. - Depositary Receipt (Common Stock) | 0,30 | 1,00 | 0,0519 | −0,0000 | |||||
ATHENE GLOBAL FUNDING SR SECURED 144A 05/26 5.62 / DBT (US04685A3V13) | 0,30 | −0,33 | 0,0518 | −0,0005 | |||||
PYPL / PayPal Holdings, Inc. - Depositary Receipt (Common Stock) | 0,30 | 1,01 | 0,0516 | 0,0001 | |||||
HOST HOTELS + RESORTS LP SR UNSECURED 04/35 5.5 / DBT (US44107TBC99) | 0,30 | 1,02 | 0,0509 | 0,0001 | |||||
US172967MP39 / CITIGROUP INC SR UNSECURED 03/31 VAR | 0,30 | 1,37 | 0,0508 | 0,0003 | |||||
US31402QYY15 / Fannie Mae Pool | 0,30 | −3,58 | 0,0507 | −0,0024 | |||||
US3128LBTX60 / FED HM LN PC POOL A77766 FG 06/38 FIXED 6 | 0,28 | −1,06 | 0,0481 | −0,0009 | |||||
US38376REV42 / GOVERNMENT NATIONAL MORTGAGE A GNR 2015 H17 FL | 0,28 | −19,24 | 0,0476 | −0,0118 | |||||
US07386HSY89 / Bear Stearns ALT-A Trust 2005-4 | 0,28 | −2,14 | 0,0472 | −0,0014 | |||||
US67571QAB68 / Octane Receivables Trust 2023-2 | 0,26 | −43,76 | 0,0441 | −0,0349 | |||||
US31398LN381 / FREDDIE MAC FHR 3609 F | 0,25 | −4,62 | 0,0426 | −0,0024 | |||||
US552754AA14 / MFA 2020-NQM1 TRUST SER 2020-NQM1 CL A1 V/R REGD 144A P/P 0.00000000 | 0,23 | −9,24 | 0,0388 | −0,0043 | |||||
BA / The Boeing Company - Depositary Receipt (Common Stock) | 0,22 | 1,39 | 0,0377 | 0,0002 | |||||
BA / The Boeing Company - Depositary Receipt (Common Stock) | 0,22 | 1,40 | 0,0372 | 0,0002 | |||||
US546676AZ04 / Louisville Gas and Electric Co | 0,21 | 0,98 | 0,0354 | 0,0001 | |||||
SYY / Sysco Corporation - Depositary Receipt (Common Stock) | 0,21 | 0,99 | 0,0351 | 0,0000 | |||||
SIGIP / Selective Insurance Group, Inc. - Preferred Stock | 0,20 | 1,49 | 0,0350 | 0,0002 | |||||
USU5009LAZ32 / Kraft Heinz Foods Co | 0,20 | 0,50 | 0,0349 | −0,0000 | |||||
CENTERPOINT ENER HOUSTON GENL REF MOR 03/30 4.8 / DBT (US15189XBG25) | 0,20 | 1,00 | 0,0349 | 0,0001 | |||||
US07274EAH62 / Bayer US Finance LLC | 0,20 | 0,00 | 0,0348 | −0,0004 | |||||
SODEXO INC COMPANY GUAR 144A 08/30 5.15 / DBT (US833794AC42) | 0,20 | 0,0348 | 0,0348 | ||||||
US29717PAQ00 / Essex Portfolio LP | 0,20 | 1,50 | 0,0348 | 0,0001 | |||||
M1CH34 / Microchip Technology Incorporated - Depositary Receipt (Common Stock) | 0,20 | 1,00 | 0,0346 | −0,0000 | |||||
AMERICAN HOMES 4 RENT SR UNSECURED 06/30 4.95 / DBT (US02666TAK34) | 0,20 | 0,0346 | 0,0346 | ||||||
LPL HOLDINGS INC COMPANY GUAR 04/28 4.9 / DBT (US50212YAN40) | 0,20 | 0,0345 | 0,0345 | ||||||
Z1BH34 / Zimmer Biomet Holdings, Inc. - Depositary Receipt (Common Stock) | 0,20 | 0,50 | 0,0344 | −0,0001 | |||||
VICI PROPERTIES LP SR UNSECURED 11/31 5.125 / DBT (US925650AH69) | 0,20 | 1,52 | 0,0343 | 0,0002 | |||||
KILROY REALTY LP COMPANY GUAR 01/36 6.25 / DBT (US49427RAS13) | 0,20 | 0,51 | 0,0342 | −0,0001 | |||||
OCSL / Oaktree Specialty Lending Corporation | 0,20 | −0,50 | 0,0340 | −0,0005 | |||||
US03027XAU46 / American Tower Corp. | 0,20 | 0,52 | 0,0335 | −0,0000 | |||||
US3138ENEW53 / Fannie Mae Pool | 0,20 | −4,88 | 0,0335 | −0,0021 | |||||
IVW / Meta Platforms, Inc. - Depositary Receipt (Common Stock) | 0,20 | −0,51 | 0,0334 | −0,0004 | |||||
US268668AA87 / EMC Mortgage Loan Trust 2001-A | 0,19 | −4,43 | 0,0332 | −0,0019 | |||||
US09951LAA17 / Booz Allen Hamilton Inc | 0,19 | 2,11 | 0,0332 | 0,0004 | |||||
US345397YT41 / Ford Motor Credit Co. LLC | 0,19 | 1,58 | 0,0331 | 0,0001 | |||||
US3617AU6S46 / GNMA POOL BB4481 GN 07/47 FIXED 5 | 0,19 | −0,52 | 0,0330 | −0,0005 | |||||
US912834LX48 / United States Treasury Strip Coupon | 0,19 | −2,06 | 0,0326 | −0,0010 | |||||
US345397B512 / Ford Motor Credit Co LLC | 0,19 | 1,08 | 0,0321 | 0,0001 | |||||
US36241KW530 / Ginnie Mae I Pool | 0,18 | −3,16 | 0,0317 | −0,0012 | |||||
US07384M3X88 / Bear Stearns ARM Trust 2004-10 | 0,17 | −2,31 | 0,0291 | −0,0008 | |||||
US912834KP23 / United States Treasury Strip Coupon | 0,17 | −1,18 | 0,0288 | −0,0006 | |||||
US912834LB28 / United States Treasury Strip Coupon | 0,17 | −1,76 | 0,0287 | −0,0008 | |||||
US912810QN19 / United Sates Treasury Bond Bond | 0,16 | −1,82 | 0,0278 | −0,0007 | |||||
US38376RTJ58 / GOVERNMENT NATIONAL MORTGAGE A GNR 2016 H09 FB | 0,15 | −18,18 | 0,0263 | −0,0061 | |||||
US3132A9VH75 / FNCI UMBS 3.5 ZS8716 09-01-33 | 0,15 | −5,00 | 0,0261 | −0,0016 | |||||
US3138A2UF49 / Fannie Mae Pool | 0,15 | −0,67 | 0,0256 | −0,0003 | |||||
US38376RLJ31 / Government National Mortgage Association | 0,15 | −9,70 | 0,0256 | −0,0030 | |||||
US31418DB439 / Fannie Mae Pool | 0,14 | −3,40 | 0,0244 | −0,0011 | |||||
US3128M75R30 / Freddie Mac Gold Pool | 0,14 | −2,80 | 0,0239 | −0,0008 | |||||
US85573MAA71 / STARWOOD MORTGAGE RESIDENTIAL STAR 2020 3 A1 144A | 0,14 | −9,21 | 0,0238 | −0,0026 | |||||
US38376RY269 / GNMA, Series 2017-H07, Class FG | 0,14 | −10,97 | 0,0237 | −0,0033 | |||||
US36179TV774 / Ginnie Mae II Pool | 0,13 | −2,94 | 0,0227 | −0,0008 | |||||
US3128M8TX24 / Freddie Mac Gold Pool | 0,13 | −2,26 | 0,0223 | −0,0008 | |||||
US12657VAA08 / CSWF 2021-SOP2 | 0,13 | −85,28 | 0,0215 | −0,1253 | |||||
US16678RCC97 / CCMFC 2004-4A A1 | 0,13 | −1,57 | 0,0215 | −0,0005 | |||||
US86358ELZ78 / Structured Asset Investment Loan Trust | 0,12 | −3,12 | 0,0213 | −0,0008 | |||||
US3128M8HP28 / Freddie Mac Gold Pool | 0,12 | −3,15 | 0,0212 | −0,0008 | |||||
US3132ADRY66 / Freddie Mac Pool | 0,12 | −6,15 | 0,0209 | −0,0016 | |||||
US31410G2H50 / Fannie Mae Pool | 0,12 | −0,83 | 0,0205 | −0,0003 | |||||
US31419BMP75 / Fannie Mae Pool | 0,12 | −1,67 | 0,0204 | −0,0004 | |||||
US81377JAB98 / Securitized Asset Backed Receivables LLC Trust 2007-HE1 | 0,12 | −0,85 | 0,0202 | −0,0003 | |||||
US912834LK27 / United States Treasury Strip Coupon | 0,12 | −1,68 | 0,0201 | −0,0006 | |||||
US31413BU582 / FNMA POOL 940804 FN 07/37 FIXED 6 | 0,12 | −0,86 | 0,0197 | −0,0004 | |||||
US31418CZC18 / Fannie Mae Pool | 0,11 | −5,04 | 0,0194 | −0,0012 | |||||
US31392GVX05 / FANNIEMAE WHOLE LOAN FNW 2003 W1 1A1 | 0,11 | −2,63 | 0,0191 | −0,0006 | |||||
US84858WAA45 / Spirit Airlines Pass-Through Trust, Series 2017-1, Class AA | 0,11 | −2,65 | 0,0190 | −0,0005 | |||||
RFR USD SOFR/3.60364 03/01/24-9Y* LCH / DIR (EZPPGS20SB55) | 0,11 | 66,67 | 0,0188 | 0,0073 | |||||
US312945ZY73 / Freddie Mac Gold Pool | 0,11 | −2,73 | 0,0184 | −0,0007 | |||||
US46590JAX54 / JPMBB Commercial Mortgage Securities Trust 2015-C32 | 0,11 | −36,75 | 0,0180 | −0,0108 | |||||
US31418C2X11 / Fannie Mae Pool | 0,10 | −4,59 | 0,0179 | −0,0011 | |||||
NEW YORK NY NYC 02/55 FIXED 6.385 / DBT (US64966SNJ14) | 0,10 | 0,0178 | 0,0178 | ||||||
AXP / American Express Company - Depositary Receipt (Common Stock) | 0,10 | 0,0177 | 0,0177 | ||||||
AXP / American Express Company - Depositary Receipt (Common Stock) | 0,10 | 0,0175 | 0,0175 | ||||||
S1TT34 / State Street Corporation - Depositary Receipt (Common Stock) | 0,10 | 0,0174 | 0,0174 | ||||||
EVERGY KANSAS CENTRAL SR UNSECURED 03/28 4.7 / DBT (US30036FAE16) | 0,10 | 1,00 | 0,0173 | −0,0000 | |||||
JACKSON NATL LIFE GLOBAL SECURED 144A 01/28 VAR / DBT (US46849CJN20) | 0,10 | 0,00 | 0,0172 | −0,0002 | |||||
US3128MJ3T51 / FEDERAL HOME LOAN MORTGAGE CORP 4.00% 04/01/2048 G30 FGLMC | 0,10 | −0,99 | 0,0172 | −0,0004 | |||||
GENERAL MOTORS COMPANY SNR S* ICE / DCR (EZ0F3ZJ20784) | 0,10 | −4,90 | 0,0167 | −0,0010 | |||||
US3617MR3L62 / GNMA POOL BT3503 GN 02/50 FIXED 4 | 0,09 | −1,12 | 0,0152 | −0,0003 | |||||
CMLTI / CITIGROUP MORTGAGE LOAN TRUST CMLTI 2003 HE3 A | 0,09 | −15,69 | 0,0148 | −0,0029 | |||||
US912834KV90 / United States Treasury Strip Coupon | 0,08 | −1,23 | 0,0138 | −0,0003 | |||||
US31415PYW21 / Fannie Mae Pool | 0,08 | 0,00 | 0,0137 | −0,0002 | |||||
US38375BVS86 / GNR 12-H20 PT FRN 07-20-62 | 0,08 | −23,30 | 0,0137 | −0,0042 | |||||
US 5YR NOTE (CBT) SEP25 XCBT 20250930 / DIR (000000000) | 0,08 | 0,0129 | 0,0129 | ||||||
VSTRONG AUTO RECEIVABLES TRUST VSTRG 2024 A A2 144A / ABS-O (US92891PAC77) | 0,07 | −61,46 | 0,0128 | −0,0205 | |||||
US31418DG891 / FNMA POOL MA3822 FN 09/29 FIXED 3.5 | 0,07 | −12,94 | 0,0127 | −0,0020 | |||||
US3132GRP960 / FED HM LN PC POOL Q06448 FG 02/42 FIXED 4 | 0,07 | −1,35 | 0,0126 | −0,0002 | |||||
US06051GDM87 / Banc of America Funding 2005-D Trust | 0,07 | −5,56 | 0,0117 | −0,0008 | |||||
AES CORPORATION SNR S* ICE / DCR (000000000) | 0,07 | 0,0116 | 0,0116 | ||||||
US3128M6SU38 / Freddie Mac Gold Pool | 0,06 | −3,03 | 0,0110 | −0,0004 | |||||
US76111XG987 / RFMSI Series 2006-SA1 Trust | 0,06 | −1,64 | 0,0104 | −0,0002 | |||||
US92922F4M79 / WaMu Mortgage Pass-Through Certificates Series 2005-AR13 Trust | 0,06 | −4,84 | 0,0103 | −0,0006 | |||||
US3128M5A757 / FGOLD 30YR GIANT | 0,06 | −1,72 | 0,0098 | −0,0003 | |||||
RFR USD SOFR/3.60806 03/01/24-9Y* LCH / DIR (EZPPGS20SB55) | 0,06 | −15,15 | 0,0096 | −0,0019 | |||||
US3133TPB817 / FREDDIE MAC FHR 2237 ZA | 0,05 | −5,26 | 0,0094 | −0,0005 | |||||
US3132AECH71 / FNCI UMBS 3.5 ZT1872 04-01-34 | 0,05 | −3,70 | 0,0090 | −0,0004 | |||||
US36241KN612 / Ginnie Mae I Pool | 0,05 | −3,70 | 0,0089 | −0,0005 | |||||
US31410YRF33 / FNMA POOL 901486 FN 11/36 FIXED 6 | 0,05 | −2,00 | 0,0085 | −0,0002 | |||||
US3622A2FL19 / Ginnie Mae I Pool | 0,05 | −2,00 | 0,0084 | −0,0003 | |||||
US81743XAA72 / Sequoia Mortgage Trust 6 | 0,05 | −11,11 | 0,0083 | −0,0012 | |||||
US31403DD486 / FNMA POOL 745423 FN 04/36 FIXED VAR | 0,05 | −2,08 | 0,0082 | −0,0002 | |||||
US3138A2VH95 / UMBS | 0,05 | −6,00 | 0,0081 | −0,0006 | |||||
US07386HVS74 / BEAR STEARNS ALT A TRUST BALTA 2005 7 22A1 | 0,05 | −4,17 | 0,0080 | −0,0004 | |||||
US31410GTY97 / FNMA POOL 888967 FN 12/37 FIXED VAR | 0,05 | −4,26 | 0,0079 | −0,0003 | |||||
US3617L7K736 / Ginnie Mae I Pool | 0,04 | −12,24 | 0,0075 | −0,0010 | |||||
RFR USD SOFR/3.28000 09/16/24-10Y LCH / DIR (EZH06W9H2QV9) | 0,04 | 366,67 | 0,0073 | 0,0058 | |||||
EZWLHWP69KK1 / GENERAL MOTORS COMPANY SNR S* ICE | 0,04 | −14,58 | 0,0072 | −0,0013 | |||||
US3128M5NP15 / Freddie Mac Gold Pool | 0,04 | −2,38 | 0,0071 | −0,0003 | |||||
US31395M2F53 / Freddie Mac Structured Pass-Through Certificates | 0,04 | −2,63 | 0,0064 | −0,0003 | |||||
US31391HT464 / Fannie Mae Pool | 0,04 | −7,69 | 0,0063 | −0,0004 | |||||
US38376RMX16 / GNMA_15-H31 | 0,04 | 0,00 | 0,0063 | −0,0000 | |||||
US3132GRF300 / FED HM LN PC POOL Q06186 FG 02/42 FIXED 4 | 0,03 | −2,86 | 0,0060 | −0,0001 | |||||
US31396L4R81 / FNMA, REMIC, Series 2006-118, Class A1 | 0,03 | −2,94 | 0,0058 | −0,0001 | |||||
US31418C5V28 / UMBS, 15 Year | 0,03 | −5,71 | 0,0058 | −0,0003 | |||||
US126670JY52 / COUNTRYWIDE HOME LOANS CWHL 2005 HYB9 3A2A | 0,03 | 0,00 | 0,0058 | −0,0001 | |||||
US31392UEE01 / FREDDIE MAC FHR 2504 Z | 0,03 | −2,94 | 0,0057 | −0,0002 | |||||
US3140X5BL64 / FNMA UMBS, 15 Year | 0,03 | −8,57 | 0,0056 | −0,0005 | |||||
RFR USD SOFR/3.61882 03/01/24-9Y* LCH / DIR (EZPPGS20SB55) | 0,03 | −53,03 | 0,0054 | −0,0061 | |||||
US924933AA27 / Veros Auto Receivables Trust, Series 2023-1, Class A | 0,03 | −66,30 | 0,0054 | −0,0105 | |||||
RFR USD SOFR/3.53200 08/20/24-10Y LCH / DIR (EZ4ZGS2N23W5) | 0,03 | −24,39 | 0,0053 | −0,0019 | |||||
US36297KH871 / GNMA POOL 714055 GN 05/39 FIXED 5 | 0,03 | 0,00 | 0,0052 | −0,0001 | |||||
US31406BAA89 / FNMA POOL 804701 FN 01/35 FLOATING VAR | 0,03 | −3,33 | 0,0050 | −0,0002 | |||||
US3128MJ3B44 / Freddie Mac Gold Pool | 0,03 | −3,45 | 0,0050 | −0,0002 | |||||
RFR USD SOFR/3.55500 08/28/24-10Y LCH / DIR (EZT3B05TS4Z8) | 0,03 | −26,32 | 0,0049 | −0,0018 | |||||
US36225CMC72 / GNMA II POOL 080354 G2 12/29 FLOATING VAR | 0,03 | −3,45 | 0,0048 | −0,0003 | |||||
RFR USD SOFR/3.60933 03/01/24-9Y* LCH / DIR (EZPPGS20SB55) | 0,03 | −59,09 | 0,0047 | −0,0068 | |||||
US3128LXMR85 / Freddie Mac Gold Pool | 0,03 | −3,57 | 0,0047 | −0,0002 | |||||
RFR USD SOFR/3.56500 08/28/24-10Y LCH / DIR (EZT3B05TS4Z8) | 0,03 | −28,95 | 0,0047 | −0,0020 | |||||
US3128M5BG44 / FED HM LN PC POOL G03339 FG 08/37 FIXED 6 | 0,03 | 0,00 | 0,0046 | −0,0001 | |||||
US31404VW205 / FNMA POOL 780165 FN 05/34 FIXED 5.5 | 0,03 | −3,70 | 0,0046 | −0,0001 | |||||
US36296URM44 / GNMA POOL 701692 GN 02/39 FIXED 5 | 0,03 | 0,00 | 0,0045 | −0,0001 | |||||
US3132D53J98 / Freddie Mac Pool | 0,03 | −3,70 | 0,0045 | −0,0002 | |||||
US3140J6GM33 / FANNIE MAE 4% 10/01/2047 FNL | 0,03 | −3,85 | 0,0044 | −0,0001 | |||||
US3128P7QS51 / Freddie Mac Gold Pool | 0,03 | −7,41 | 0,0044 | −0,0003 | |||||
US17307GW795 / Citigroup Mortgage Loan Trust 2005-11 | 0,02 | 0,00 | 0,0042 | −0,0001 | |||||
US31418DAL64 / Fannie Mae Pool | 0,02 | −4,00 | 0,0041 | −0,0002 | |||||
US31407HL614 / FNMA POOL 831149 FN 12/35 FIXED 6 | 0,02 | 0,00 | 0,0041 | −0,0001 | |||||
US3128M56F29 / Freddie Mac Gold Pool | 0,02 | 0,00 | 0,0040 | −0,0000 | |||||
EZW8XKN63668 / GENERAL ELECTRIC COMPANY SNR S* ICE | 0,02 | −15,38 | 0,0038 | −0,0007 | |||||
US3140X6NS62 / FNMA POOL FM3100 FN 02/35 FIXED VAR | 0,02 | −4,55 | 0,0038 | −0,0002 | |||||
US 2YR NOTE (CBT) SEP25 XCBT 20250930 / DIR (000000000) | 0,02 | 0,0038 | 0,0038 | ||||||
RFR USD SOFR/3.59500 08/19/24-10Y LCH / DIR (EZN7CQ0TS3K8) | 0,02 | −34,37 | 0,0037 | −0,0019 | |||||
US3128P7PJ61 / FED HM LN PC POOL C91325 FG 08/30 FIXED 4 | 0,02 | −4,55 | 0,0037 | −0,0003 | |||||
RFR USD SOFR/3.24000 09/16/24-10Y LCH / DIR (EZH06W9H2QV9) | 0,02 | 133,33 | 0,0036 | 0,0021 | |||||
US3132AEKD75 / Freddie Mac Pool | 0,02 | 0,00 | 0,0036 | −0,0002 | |||||
US3128P7LR24 / Freddie Mac Gold Pool | 0,02 | −9,09 | 0,0035 | −0,0004 | |||||
US312941D207 / FED HM LN PC POOL A92821 FG 07/40 FIXED 5 | 0,02 | −4,76 | 0,0035 | −0,0001 | |||||
RFR USD SOFR/3.8724* 03/20/25-30Y* LCH / DIR (EZGJ99MVMFL2) | 0,02 | −433,33 | 0,0035 | 0,0046 | |||||
EZNNZGXLPF67 / HESS CORPORATION SNR S* ICE | 0,02 | −17,39 | 0,0034 | −0,0007 | |||||
RFR USD SOFR/3.81358 03/10/25-30Y* LCH / DIR (EZD73F8JTWY7) | 0,02 | −272,73 | 0,0033 | 0,0054 | |||||
US31394ALL88 / FANNIEMAE WHOLE LOAN FNW 2004 W8 2A | 0,02 | −5,00 | 0,0033 | −0,0003 | |||||
US31417Y3N59 / Fannie Mae Pool | 0,02 | −10,00 | 0,0032 | −0,0003 | |||||
US07384MTN29 / Bear Stearns ARM Trust 2003-1 | 0,02 | −5,56 | 0,0030 | −0,0001 | |||||
US31405PRS10 / Fannie Mae Pool | 0,02 | −5,56 | 0,0030 | −0,0001 | |||||
VERIZON COMMUNICATIONS INC SNR S* ICE / DCR (EZL2Z9F4XSP5) | 0,02 | −5,56 | 0,0030 | −0,0002 | |||||
US3128KWH553 / Freddie Mac Gold Pool | 0,02 | 0,00 | 0,0029 | −0,0000 | |||||
US35729NAB10 / Fremont Home Loan Trust, Series 2006-E, Class 2A1 | 0,02 | 0,00 | 0,0029 | −0,0000 | |||||
EZRRBYCX3652 / BOEING CO/THE SNR S* ICE | 0,02 | 0,00 | 0,0029 | 0,0001 | |||||
RFR USD SOFR/3.55000 08/21/24-10Y LCH / DIR (EZHZRCBWPB39) | 0,02 | −30,43 | 0,0029 | −0,0011 | |||||
US31416Q6H37 / Fannie Mae Pool | 0,02 | −5,88 | 0,0028 | −0,0001 | |||||
US36225CDM55 / GNMA II POOL 080107 G2 08/27 FLOATING VAR | 0,02 | −11,11 | 0,0028 | −0,0003 | |||||
EZZVSNMRWDZ0 / GENERAL ELECTRIC COMPANY SNR S* ICE | 0,02 | −20,00 | 0,0028 | −0,0008 | |||||
US36225CDA18 / GNMA II POOL 080096 G2 07/27 FLOATING VAR | 0,02 | −11,11 | 0,0027 | −0,0005 | |||||
US3128P7N332 / Freddie Mac Gold Pool | 0,02 | 0,00 | 0,0027 | −0,0002 | |||||
RFR USD SOFR/3.47000 09/04/24-10Y LCH / DIR (EZSXZYY2VD17) | 0,02 | −25,00 | 0,0027 | −0,0008 | |||||
US31394VL730 / Fannie Mae REMICS | 0,02 | −6,25 | 0,0027 | −0,0001 | |||||
US3128M5H455 / Freddie Mac Gold Pool | 0,02 | 0,00 | 0,0026 | −0,0001 | |||||
US36296AVV33 / GNMA POOL 685628 GN 04/38 FIXED 5 | 0,02 | 0,00 | 0,0026 | −0,0001 | |||||
US74160MDL37 / Prime Mortgage Trust 2004-CL1 | 0,01 | −6,67 | 0,0025 | −0,0003 | |||||
US912834KH07 / United States Treasury Strip Coupon | 0,01 | −7,14 | 0,0024 | −0,0001 | |||||
US31404EFS00 / FNMA POOL 766177 FN 02/34 FIXED 5.5 | 0,01 | 0,00 | 0,0022 | −0,0001 | |||||
US3128M6RW03 / Freddie Mac Gold Pool | 0,01 | −7,69 | 0,0022 | −0,0001 | |||||
US31417LBK08 / FNMA POOL AC1841 FN 09/39 FIXED 4.5 | 0,01 | −7,69 | 0,0022 | −0,0001 | |||||
US31410FYU38 / Fannie Mae Pool | 0,01 | −7,69 | 0,0022 | −0,0001 | |||||
BOEING CO/THE SNR S* ICE / DCR (EZC4SH442RJ4) | 0,01 | −7,69 | 0,0022 | −0,0002 | |||||
RFR USD SOFR/3.56900 08/14/24-10Y LCH / DIR (EZBVMXZPZB61) | 0,01 | −29,41 | 0,0021 | −0,0009 | |||||
US07387AFZ30 / Bear Stearns ARM Trust 2005-12 | 0,01 | 0,00 | 0,0020 | −0,0000 | |||||
US3128M4M672 / Freddie Mac Gold Pool | 0,01 | 0,00 | 0,0020 | −0,0000 | |||||
US3132AD4R60 / FNCI UMBS 3.5 ZT1732 02-01-34 | 0,01 | −9,09 | 0,0018 | −0,0001 | |||||
RFR USD SOFR/3.84598 03/20/25-30Y* LCH / DIR (EZGJ99MVMFL2) | 0,01 | −266,67 | 0,0018 | 0,0030 | |||||
US86358HNX34 / Structured Asset Mortgage Investments Trust 2002-AR3 | 0,01 | −9,09 | 0,0018 | −0,0001 | |||||
US3128KUGS03 / FED HM LN PC POOL A63809 FG 08/37 FIXED 6 | 0,01 | 0,00 | 0,0015 | −0,0000 | |||||
US3128M74F01 / Freddie Mac Gold Pool | 0,01 | 0,00 | 0,0015 | −0,0000 | |||||
US3128M6AX68 / Freddie Mac Gold Pool | 0,01 | 0,00 | 0,0015 | −0,0000 | |||||
US31407YK405 / Fannie Mae Pool | 0,01 | −12,50 | 0,0014 | −0,0000 | |||||
RFR USD SOFR/3.27750 09/16/24-10Y LCH / DIR (EZH06W9H2QV9) | 0,01 | −22,22 | 0,0013 | −0,0002 | |||||
US3128M5WA45 / Freddie Mac Gold Pool | 0,01 | 0,00 | 0,0013 | −0,0000 | |||||
US31416XX963 / FNMA POOL AB2503 FN 03/31 FIXED 4.5 | 0,01 | −12,50 | 0,0013 | −0,0001 | |||||
US31418DJL73 / FNMA 15YR 3.5% 12/01/2034#MA3866 | 0,01 | −12,50 | 0,0013 | −0,0001 | |||||
US36241KGU60 / Ginnie Mae I Pool | 0,01 | 0,00 | 0,0013 | −0,0001 | |||||
US31410G2F94 / Fannie Mae Pool | 0,01 | −14,29 | 0,0012 | −0,0000 | |||||
US312938NJ83 / FED HM LN PC POOL A90393 FG 12/39 FIXED 5 | 0,01 | 0,00 | 0,0011 | −0,0000 | |||||
US31288CA430 / FED HM LN PC POOL C73627 FG 11/32 FIXED 6 | 0,01 | 0,00 | 0,0011 | −0,0001 | |||||
US3128P7RJ44 / FED HM LN PC POOL C91389 FG 08/31 FIXED 4 | 0,01 | 0,00 | 0,0011 | −0,0001 | |||||
US3128M5RA00 / Freddie Mac Gold Pool | 0,01 | 0,00 | 0,0010 | −0,0000 | |||||
US31414CGL63 / FNMA POOL 962003 FN 03/38 FIXED 5.5 | 0,01 | 0,00 | 0,0010 | −0,0000 | |||||
US36241KKS68 / Ginnie Mae I Pool | 0,01 | 0,00 | 0,0010 | −0,0000 | |||||
US36225CCY03 / Ginnie Mae II Pool | 0,01 | −28,57 | 0,0010 | −0,0003 | |||||
US31376KHD19 / Fannie Mae Pool | 0,01 | 0,00 | 0,0010 | −0,0001 | |||||
US36291YVQ78 / GNMA POOL 642423 GN 11/35 FIXED 5 | 0,01 | 0,00 | 0,0010 | −0,0000 | |||||
US36241KA734 / Ginnie Mae I Pool | 0,01 | 0,00 | 0,0009 | −0,0000 | |||||
US31419FGN06 / FNMA POOL AE4704 FN 09/30 FIXED 4.5 | 0,01 | 0,00 | 0,0009 | −0,0000 | |||||
US31417YSY40 / Fannie Mae Pool | 0,01 | 0,00 | 0,0009 | −0,0001 | |||||
US3132AEG671 / FHLG 15YR 3.5% 05/01/2034#ZT2021 | 0,01 | 0,00 | 0,0009 | −0,0000 | |||||
VERIZON COMMUNICATIONS INC SNR S* ICE / DCR (EZKBMTL78RT9) | 0,01 | 25,00 | 0,0009 | 0,0000 | |||||
US36179UKZ48 / Ginnie Mae II Pool | 0,00 | 0,00 | 0,0008 | −0,0000 | |||||
US3620C1A223 / GNMA POOL 745325 GN 08/40 FIXED 5 | 0,00 | 0,00 | 0,0008 | −0,0000 | |||||
US31406AWK41 / Federal National Mortgage Association | 0,00 | 0,00 | 0,0008 | −0,0001 | |||||
US3620AYT890 / GNMA POOL 744075 GN 06/41 FIXED 5 | 0,00 | 0,00 | 0,0008 | −0,0000 | |||||
US36225CBQ87 / Ginnie Mae II Pool | 0,00 | −20,00 | 0,0008 | −0,0001 | |||||
US31415B3T48 / FNMA POOL 982410 FN 04/38 FIXED 6 | 0,00 | 0,00 | 0,0007 | −0,0000 | |||||
RFR USD SOFR/3.60000 01/17/24-10Y LCH / DIR (EZ3PH80XK7T0) | 0,00 | −60,00 | 0,0007 | −0,0011 | |||||
US31418DFK37 / FNMA POOL MA3769 FN 09/34 FIXED 3.5 | 0,00 | 0,00 | 0,0007 | −0,0000 | |||||
US36200JHK97 / GNMA POOL 602434 GN 03/35 FIXED 5 | 0,00 | −25,00 | 0,0007 | −0,0000 | |||||
US36200JJ501 / GNMA POOL 602484 GN 12/35 FIXED 5 | 0,00 | 0,00 | 0,0007 | −0,0000 | |||||
US36291XXK08 / GNMA POOL 641582 GN 08/35 FIXED 5 | 0,00 | 0,00 | 0,0006 | −0,0000 | |||||
US617463AA25 / Morgan Stanley IXIS Real Estate Capital Trust 2006-2 | 0,00 | 0,00 | 0,0006 | −0,0000 | |||||
US3138EGG576 / FANNIE MAE 3.963% 04/01/2041 FAR FNARM | 0,00 | 0,00 | 0,0006 | −0,0000 | |||||
US3128M5Q522 / FEDERAL HOME LOAN MORTGAGE CORP 6.00% 01/01/2038 FHLMC G30 | 0,00 | 0,00 | 0,0006 | −0,0000 | |||||
US3140QBQV31 / FNMA POOL CA4067 FN 08/34 FIXED 3.5 | 0,00 | 0,00 | 0,0006 | −0,0001 | |||||
RFR USD SOFR/3.60500 08/28/24-10Y LCH / DIR (EZT3B05TS4Z8) | 0,00 | −92,11 | 0,0006 | −0,0061 | |||||
US3128M7HN96 / Freddie Mac Gold Pool | 0,00 | 0,00 | 0,0006 | −0,0000 | |||||
US31295LBG68 / FED HM LN PC POOL 787239 FH 07/30 FLOATING VAR | 0,00 | 0,00 | 0,0006 | −0,0000 | |||||
RFR USD SOFR/3.71500 08/07/24-10Y LCH / DIR (EZ2H268MSWS8) | 0,00 | −72,73 | 0,0006 | −0,0014 | |||||
US36292HJJ32 / GNMA POOL 649265 GN 11/35 FIXED 5 | 0,00 | 0,00 | 0,0006 | −0,0000 | |||||
US31418C7A62 / UMBS, 15 Year | 0,00 | 0,00 | 0,0005 | −0,0000 | |||||
US3128M7PQ36 / FED HM LN PC POOL G05531 FG 08/38 FIXED 6 | 0,00 | 0,00 | 0,0005 | −0,0000 | |||||
US36225B6B92 / GOVT NATL MORTG ASSN 5.00% 07/15/2034 GNMA | 0,00 | 0,00 | 0,0005 | −0,0000 | |||||
US3128K9SR67 / FGOLD 30YR | 0,00 | 0,00 | 0,0005 | −0,0000 | |||||
US31412RAL15 / FNMA POOL 932511 FN 02/40 FIXED 5.5 | 0,00 | 0,00 | 0,0005 | −0,0000 | |||||
US36292BPM27 / GNMA POOL 644028 GN 08/35 FIXED 5 | 0,00 | −33,33 | 0,0005 | −0,0000 | |||||
US3128M5GM66 / Freddie Mac Gold Pool | 0,00 | 0,00 | 0,0005 | −0,0000 | |||||
US31407KGK97 / FNMA POOL 832802 FN 09/35 FLOATING VAR | 0,00 | −71,43 | 0,0005 | −0,0007 | |||||
US36292HR620 / GNMA POOL 649509 GN 10/35 FIXED 5 | 0,00 | 0,00 | 0,0005 | −0,0000 | |||||
US3128M6SG44 / FED HM LN PC POOL G04719 FG 01/38 FIXED 5.5 | 0,00 | 0,00 | 0,0005 | −0,0000 | |||||
US36292FWA10 / GNMA POOL 647841 GN 10/35 FIXED 5 | 0,00 | 0,00 | 0,0005 | −0,0000 | |||||
US36225CCN48 / GNMA II POOL 080076 G2 05/27 FLOATING VAR | 0,00 | −33,33 | 0,0005 | −0,0001 | |||||
US36225CPL45 / Ginnie Mae II Pool | 0,00 | 0,00 | 0,0004 | −0,0000 | |||||
US3128M6AU20 / Freddie Mac Gold Pool | 0,00 | 0,00 | 0,0004 | −0,0000 | |||||
US31403DWH87 / Fannie Mae Pool | 0,00 | 0,00 | 0,0004 | −0,0000 | |||||
US3128L15M88 / FED HM LN PC POOL A69852 FG 12/37 FIXED 5.5 | 0,00 | 0,00 | 0,0004 | −0,0000 | |||||
US45660UAT60 / IndyMac ARM Trust 2001-H2 | 0,00 | 0,00 | 0,0004 | −0,0000 | |||||
US31418DBA90 / UMBS | 0,00 | 0,00 | 0,0004 | −0,0000 | |||||
US3128M6NE41 / Freddie Mac Gold Pool | 0,00 | 0,00 | 0,0003 | −0,0000 | |||||
VERIZON COMMUNICATIONS INC SNR S* ICE / DCR (EZSQ5BJRJBN9) | 0,00 | 0,00 | 0,0003 | 0,0000 | |||||
US36292FSX68 / GNMA POOL 647734 GN 08/35 FIXED 5 | 0,00 | 0,00 | 0,0003 | −0,0000 | |||||
US31415QAV86 / FNMA POOL 985720 FN 06/38 FIXED 5.5 | 0,00 | 0,00 | 0,0003 | −0,0000 | |||||
US31390RXM05 / FNMA POOL 654184 FN 10/32 FIXED 6 | 0,00 | 0,00 | 0,0003 | −0,0001 | |||||
US36291NRF05 / GNMA POOL 633286 GN 11/35 FIXED 5 | 0,00 | 0,00 | 0,0002 | −0,0000 | |||||
US31405UXK05 / FNMA POOL 799982 FN 12/34 FIXED 5.5 | 0,00 | 0,00 | 0,0002 | −0,0000 | |||||
US3128KKFS30 / FED HM LN PC POOL A56477 FG 01/37 FIXED 6 | 0,00 | 0,00 | 0,0002 | −0,0001 | |||||
US3128M6AR90 / Freddie Mac Gold Pool | 0,00 | 0,00 | 0,0002 | −0,0000 | |||||
US31404UMY37 / FNMA POOL 778975 FN 06/34 FIXED 5.5 | 0,00 | 0,00 | 0,0002 | −0,0000 | |||||
US31371LTV17 / FNMA 30YR | 0,00 | 0,0002 | −0,0000 | ||||||
RFR USD SOFR/3.64750 01/08/24-10Y LCH / DIR (EZG7FCZ335H8) | 0,00 | −100,00 | 0,0002 | −0,0012 | |||||
US31417YTV91 / Fannie Mae Pool | 0,00 | 0,0001 | −0,0000 | ||||||
US3128M5W553 / FED HM LN PC POOL G03968 FG 12/36 FIXED 5.5 | 0,00 | 0,0001 | −0,0000 | ||||||
US3138A5AW23 / FNMA POOL AH3620 FN 01/26 FIXED 3.5 | 0,00 | −100,00 | 0,0001 | −0,0001 | |||||
US31410GRK12 / Fannie Mae Pool | 0,00 | 0,0001 | −0,0000 | ||||||
US31385XAS62 / Fannie Mae Pool | 0,00 | 0,0001 | −0,0000 | ||||||
US3128KUG500 / Freddie Mac Gold Pool | 0,00 | 0,0001 | −0,0000 | ||||||
US312926M399 / FED HM LN PC POOL A80378 FG 12/36 FIXED 5.5 | 0,00 | 0,0001 | −0,0000 | ||||||
US31402X4D54 / FNMA POOL 741620 FN 10/33 FIXED 5.5 | 0,00 | 0,0001 | −0,0000 | ||||||
US12669GHG91 / COUNTRYWIDE HOME LOANS CWHL 2004 HYB9 1A1 | 0,00 | 0,0001 | −0,0000 | ||||||
US3138A3DJ37 / FNMA POOL AH1904 FN 03/26 FIXED 4 | 0,00 | 0,0001 | −0,0000 | ||||||
US31407HUA21 / FNMA POOL 831377 FN 04/36 FIXED 6.5 | 0,00 | 0,0001 | −0,0000 | ||||||
US31411WDB00 / FNMA POOL 916398 FN 05/37 FIXED 6.5 | 0,00 | 0,0001 | −0,0000 | ||||||
US36202KUY99 / Ginnie Mae II Pool | 0,00 | −100,00 | 0,0001 | −0,0002 | |||||
US31405PGB04 / FNMA POOL 794994 FN 10/34 FIXED 5.5 | 0,00 | 0,0001 | −0,0000 | ||||||
US31400HJ530 / FNMA POOL 687984 FN 03/33 FIXED 5.5 | 0,00 | 0,0001 | −0,0000 | ||||||
US31402VKA79 / FNMA POOL 739289 FN 09/33 FIXED 5.5 | 0,00 | 0,0001 | −0,0000 | ||||||
US31391ABE82 / FNMA POOL 660737 FN 07/31 FIXED 6.5 | 0,00 | 0,0000 | −0,0000 | ||||||
US3132A74F58 / FED HM LN PC POOL ZS7122 FR 08/27 FIXED 3.5 | 0,00 | 0,0000 | −0,0000 | ||||||
US3128M5K582 / Freddie Mac Gold Pool | 0,00 | 0,0000 | −0,0000 | ||||||
US36202KXR12 / Ginnie Mae II Pool | 0,00 | 0,0000 | −0,0000 | ||||||
US3128M6PK82 / Freddie Mac Gold Pool | 0,00 | 0,0000 | −0,0000 | ||||||
US31385PRQ99 / FNMA POOL 548695 FN 10/30 FIXED 8 | 0,00 | 0,0000 | −0,0000 | ||||||
US36225CC797 / GNMA II POOL 080093 G2 07/27 FLOATING VAR | 0,00 | 0,0000 | −0,0000 | ||||||
US31416KNZ74 / FNMA POOL AA2207 FN 03/39 FIXED 5.5 | 0,00 | 0,0000 | −0,0000 | ||||||
US3138AAYJ48 / Fannie Mae Pool | 0,00 | 0,0000 | −0,0000 | ||||||
US31391TDF21 / FNMA POOL 676102 FN 12/32 FIXED 5.5 | 0,00 | 0,0000 | −0,0000 | ||||||
US3128M6PP79 / FED HM LN PC POOL G04630 FG 11/29 FIXED 6 | 0,00 | 0,0000 | −0,0000 | ||||||
US36206FAB85 / GOVT NATL MORTG ASSN 7.50% 09/15/2025 GNMA SF | 0,00 | 0,0000 | −0,0000 | ||||||
317U9EOA5 PIMCO SWAPTION 4.101 PUT USD 2025063 / DIR (EZXJWB9HGZH3) | 0,00 | 0,0000 | 0,0000 | ||||||
317U9EIA2 PIMCO SWAPTION 4.127 PUT USD 2025063 / DIR (EZXJWB9HGZH3) | 0,00 | 0,0000 | 0,0000 | ||||||
317U9G6A0 PIMCO SWAPTION 4.065 PUT USD 2025070 / DIR (EZJQZP36X547) | 0,00 | 0,0000 | 0,0000 | ||||||
317U9IZA4 PIMCO SWAPTION 4.125 PUT USD 2025070 / DIR (EZY1VWC6W1B5) | 0,00 | 0,0000 | 0,0000 | ||||||
317U9GEA1 PIMCO SWAPTION 4.075 PUT USD 2025070 / DIR (EZ78N9X8M3Y4) | −0,00 | −0,0000 | −0,0000 | ||||||
317U9HMA0 PIMCO SWAPTION 4.019 PUT USD 2025070 / DIR (EZY1VWC6W1B5) | −0,00 | −0,0000 | −0,0000 | ||||||
317U9JKA8 PIMCO SWAPTION 4.14 PUT USD 20250709 / DIR (EZYG54DQ9CL7) | −0,00 | −0,0000 | −0,0000 | ||||||
317U9LLA2 PIMCO SWAPTION 4.095 PUT USD 2025071 / DIR (EZBYVN1N6JS0) | −0,00 | −0,0000 | −0,0000 | ||||||
317U9JRA1 PIMCO SWAPTION 4.12 PUT USD 20250709 / DIR (EZYG54DQ9CL7) | −0,00 | −0,0000 | −0,0000 | ||||||
317U9LGA8 PIMCO SWAPTION 4.097 PUT USD 2025071 / DIR (EZHBWHSTV570) | −0,00 | −0,0000 | −0,0000 | ||||||
317U9M3A0 PIMCO SWAPTION 4.037 PUT USD 2025071 / DIR (EZ1JLHJ8JY10) | −0,00 | −0,0001 | −0,0001 | ||||||
US 10YR FUT OPTN AUG25P 109 EXP 07/25/2025 / DIR (000000000) | −0,00 | −0,0001 | −0,0001 | ||||||
317U9LMA1 PIMCO SWAPTION 3.695 CALL USD 202507 / DIR (EZSG2674R1G7) | −0,00 | −0,0001 | −0,0001 | ||||||
317U9EPA4 PIMCO SWAPTION 3.701 CALL USD 202506 / DIR (EZY1GXGHBZM5) | −0,00 | −0,0001 | −0,0001 | ||||||
317U9J0A0 PIMCO SWAPTION 3.775 CALL USD 202507 / DIR (EZJFGPMJB918) | −0,00 | −0,0002 | −0,0002 | ||||||
RFR USD SOFR/3.67000 01/08/24-10Y LCH / DIR (EZG7FCZ335H8) | −0,00 | −114,29 | −0,0002 | −0,0015 | |||||
US 10YR FUT OPTN AUG25P 109.5 EXP 07/25/2025 / DIR (000000000) | −0,00 | −0,0002 | −0,0002 | ||||||
317U9MPA6 PIMCO SWAPTION 3.933 PUT USD 2025072 / DIR (EZTRLD6PX319) | −0,00 | −0,0003 | −0,0003 | ||||||
317U9N3A8 PIMCO SWAPTION 3.905 PUT USD 2025072 / DIR (EZBGX0TQ91B3) | −0,00 | −0,0003 | −0,0003 | ||||||
317U9HNA9 PIMCO SWAPTION 3.669 CALL USD 202507 / DIR (EZJFGPMJB918) | −0,00 | −0,0003 | −0,0003 | ||||||
317U9O2A7 PIMCO SWAPTION 3.895 PUT USD 2025072 / DIR (EZHZLXVZP143) | −0,00 | −0,0004 | −0,0004 | ||||||
317U9N4A7 PIMCO SWAPTION 3.555 CALL USD 202507 / DIR (EZMYNDCY8F38) | −0,00 | −0,0006 | −0,0006 | ||||||
317U9O3A6 PIMCO SWAPTION 3.545 CALL USD 202507 / DIR (EZ24N26H1YR9) | −0,00 | −0,0006 | −0,0006 | ||||||
317U9MQA5 PIMCO SWAPTION 3.583 CALL USD 202507 / DIR (EZCLF3R2NG23) | −0,00 | −0,0008 | −0,0008 | ||||||
317U9EJA1 PIMCO SWAPTION 3.727 CALL USD 202506 / DIR (EZY1GXGHBZM5) | −0,01 | −0,0010 | −0,0010 | ||||||
317U9M4A9 PIMCO SWAPTION 3.637 CALL USD 202507 / DIR (EZ7SJVNDKPC9) | −0,01 | −0,0010 | −0,0010 | ||||||
317U9G7A9 PIMCO SWAPTION 3.715 CALL USD 202507 / DIR (EZL4V0T519J1) | −0,01 | −0,0012 | −0,0012 | ||||||
RFR USD SOFR/3.84200 12/26/23-10Y LCH / DIR (EZXF72WB6QT0) | −0,01 | 133,33 | −0,0012 | −0,0007 | |||||
RFR USD SOFR/3.88400 03/25/25-10Y LCH / DIR (EZH2QB9TLWH9) | −0,01 | 75,00 | −0,0014 | −0,0005 | |||||
317U9GFA0 PIMCO SWAPTION 3.725 CALL USD 202507 / DIR (EZ78XR7L6YX2) | −0,01 | −0,0015 | −0,0015 | ||||||
RFR USD SOFR/3.85400 12/29/23-10Y LCH / DIR (EZ691JFCS359) | −0,01 | 125,00 | −0,0016 | −0,0008 | |||||
317U9LHA7 PIMCO SWAPTION 3.697 CALL USD 202507 / DIR (EZ1ZLHZPLNC3) | −0,01 | −0,0016 | −0,0016 | ||||||
RFR USD SOFR/3.85000 08/05/24-10Y LCH / DIR (EZKZ3H4L0SC3) | −0,01 | 400,00 | −0,0018 | −0,0014 | |||||
RFR USD SOFR/3.90500 03/12/25-10Y LCH / DIR (EZ2V6Q3C4Q52) | −0,01 | 66,67 | −0,0018 | −0,0006 | |||||
RFR USD SOFR/3.89000 03/03/25-10Y LCH / DIR (EZ6496BPGLD0) | −0,01 | 66,67 | −0,0018 | −0,0007 | |||||
RFR USD SOFR/3.87400 03/05/25-10Y LCH / DIR (EZMZ9H14KX59) | −0,01 | 57,14 | −0,0021 | −0,0008 | |||||
RFR USD SOFR/3.90750 03/04/25-10Y LCH / DIR (EZP5RC766JJ0) | −0,01 | 55,56 | −0,0024 | −0,0008 | |||||
317U9JQA2 PIMCO SWAPTION 3.77 CALL USD 2025070 / DIR (EZT76LRY6S63) | −0,01 | −0,0025 | −0,0025 | ||||||
317U9JLA7 PIMCO SWAPTION 3.79 CALL USD 2025070 / DIR (EZT76LRY6S63) | −0,02 | −0,0029 | −0,0029 | ||||||
RFR USD SOFR/3.95561 02/11/25-30Y* LCH / DIR (EZNV8KC0QQ05) | −0,02 | −81,82 | −0,0029 | 0,0124 | |||||
US 10YR FUT OPTN AUG25C 112.5 EXP 07/25/2025 / DIR (000000000) | −0,02 | −0,0032 | −0,0032 | ||||||
RFR USD SOFR/3.84200 03/04/25-5Y LCH / DIR (EZSYJ06JDLK1) | −0,02 | 122,22 | −0,0035 | −0,0017 | |||||
RFR USD SOFR/3.88000 07/10/24-10Y LCH / DIR (EZG0BTDH1HZ1) | −0,02 | 228,57 | −0,0040 | −0,0027 | |||||
RFR USD SOFR/3.99400 07/02/24-10Y LCH / DIR (EZ6F7BKB3SW9) | −0,02 | 53,33 | −0,0041 | −0,0015 | |||||
RFR USD SOFR/3.93000 03/24/25-10Y LCH / DIR (EZKR9TWV5646) | −0,03 | 47,06 | −0,0044 | −0,0013 | |||||
RFR USD SOFR/3.97500 03/21/25-10Y LCH / DIR (EZSTF4LLCQZ1) | −0,04 | 34,62 | −0,0061 | −0,0016 | |||||
RFR USD SOFR/4.08000 06/05/24-10Y LCH / DIR (EZZ07KT62N06) | −0,04 | 83,33 | −0,0076 | −0,0033 | |||||
RFR USD SOFR/2.85000 08/29/22-5Y LCH / DIR (EZTLVW57JR59) | −0,07 | −8,97 | −0,0123 | 0,0012 | |||||
RFR USD SOFR/3.75000 12/18/24-5Y LCH / DIR (EZ2V74HC3Q62) | −0,08 | 326,32 | −0,0140 | −0,0107 | |||||
RFR USD SOFR/3.75000 06/20/24-10Y LCH / DIR (EZ52H44WTW83) | −0,09 | −201,14 | −0,0153 | −0,0306 | |||||
RFR USD SOFR/3.80000 06/03/24-7Y* LCH / DIR (EZRYBJZD4558) | −0,11 | 146,51 | −0,0182 | −0,0107 | |||||
RFR USD SOFR/1.78750 05/03/22-5Y LCH / DIR (EZRTX2S89N60) | −0,18 | −48,73 | −0,0310 | 0,0301 | |||||
RFR USD SOFR/2.15000 06/15/22-5Y LCH / DIR (EZG3K81HS5Q1) | −0,29 | −51,93 | −0,0491 | 0,0538 | |||||
US LONG BOND(CBT) SEP25 XCBT 20250919 / DIR (000000000) | −0,90 | −0,1542 | −0,1542 | ||||||
US 10YR ULTRA FUT SEP25 XCBT 20250919 / DIR (000000000) | −1,07 | −0,1826 | −0,1826 | ||||||
US ULTRA BOND CBT SEP25 XCBT 20250919 / DIR (000000000) | −1,14 | −0,1952 | −0,1952 | ||||||
REVERSE REPO DEUTSCHE REVERSE REPO / RA (000000000) | −2,55 | −0,4373 | −0,4373 | ||||||
REVERSE REPO JPM CHASE / RA (000000000) | −5,33 | −0,9130 | −0,9130 | ||||||
REVERSE REPO JPM CHASE / RA (000000000) | −5,56 | −0,9530 | −0,9530 | ||||||
REVERSE REPO THE BANK OF NOVA REVERSE REPO / RA (000000000) | −27,10 | −4,6408 | −4,6408 | ||||||
REPU STATE STREET GLOBAL MARKE USD REPU SSB T / RA (000000000) | −53,71 | −9,1986 | −9,1986 |