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Watchlist
Account
Vanguard Core Bond ETF
VCRB
#381
ETF rank
โฌ6.60 B
Marketcap
๐บ๐ธ US
Market
65,05ย โฌ
Share price
0.03%
Change (1 day)
-2.26%
Change (1 year)
๐๏ธ Bond ETFs
Categories
Market cap
Price history
Shares outstanding
Cost to borrow
Fees (Expense ratio)
Holdings
More
Cost to borrow
Fees (Expense ratio)
Distributions
Vanguard Core Bond ETF - Holdings
Etf holdings as of
July 31, 2026
Number of holdings:
500
Full holdings list
Weight %
Name
Ticker
ISIN
Coupon Rate
Maturity Date
Shares Held
2.80%
Federal National Mortgage Assn.
5.500
04/01/2040-08/01/2056
0
2.05%
Federal National Mortgage Assn.
6.000
09/01/2039-08/01/2056
0
1.95%
Federal National Mortgage Assn.
5.000
08/01/2040-08/01/2056
0
1.33%
United States Treasury Note/Bond
US91282CMW81
3.750
04/15/2028
0
1.14%
Federal National Mortgage Assn.
2.500
08/14/2023-07/01/2053
0
0.95%
Federal National Mortgage Assn.
2.000
09/01/2040-04/01/2052
0
0.88%
Government National Mortgage Assn.
5.000
10/20/2052-08/01/2056
0
0.88%
United States Treasury Note/Bond
US91282CKP58
4.625
04/30/2029
0
0.74%
Government National Mortgage Assn.
5.500
12/20/2052-08/01/2056
0
0.74%
United States Treasury Note/Bond
US91282CPL99
3.375
11/30/2027
0
0.73%
United States Treasury Note/Bond
US91282CQD64
3.500
02/28/2031
0
0.72%
Federal Home Loan Mortgage Corp.
2.000
08/01/2041-05/01/2052
0
0.71%
Federal National Mortgage Assn.
3.000
05/01/2042-03/01/2053
0
0.64%
NVIDIA Corp.
US67066GAP90
4.250
06/15/2028
0
0.62%
Federal Home Loan Mortgage Corp.
5.000
07/01/2040-05/01/2056
0
0.61%
United States Treasury Note/Bond
US91282CQQ77
4.375
05/15/2036
0
0.59%
Federal National Mortgage Assn.
3.500
06/01/2038-01/01/2053
0
0.58%
Government National Mortgage Assn.
4.500
09/20/2052-08/01/2056
0
0.56%
United States Treasury Note/Bond
TNOTE
US91282CEB37
1.875
02/28/2029
0
0.56%
United States Treasury Note/Bond
US91282CPK17
3.500
11/15/2028
0
0.50%
Fannie Mae REMICS
US3136G6NT15
5.066
06/25/2056
0
0.47%
Federal National Mortgage Assn.
4.000
12/01/2039-06/01/2052
0
0.46%
United States Treasury Note/Bond
US91282CMG32
4.250
01/31/2030
0
0.45%
NVIDIA Corp.
US67066GAQ73
4.350
06/15/2029
0
0.45%
Federal Home Loan Mortgage Corp.
6.000
11/01/2053-12/01/2055
0
0.44%
United States Treasury Note/Bond
US91282CMM00
4.625
02/15/2035
0
0.44%
United States Treasury Note/Bond
US91282CLM19
3.625
09/30/2031
0
0.43%
United States Treasury Note/Bond
US91282CKQ32
4.375
05/15/2034
0
0.43%
United States Treasury Note/Bond
US91282CLJ89
3.750
08/31/2031
0
0.42%
Federal Home Loan Mortgage Corp.
5.500
05/01/2039-10/01/2055
0
0.42%
United States Treasury Note/Bond
TNOTE
US91282CHR51
4.000
07/31/2030
0
0.42%
Federal National Mortgage Assn.
4.500
07/01/2040-08/01/2056
0
0.42%
OBX 2026-INV2 Trust
US67123YAU01
5.366
04/25/2056
0
0.41%
United States Treasury Note/Bond
TNOTE
US91282CCY57
1.250
09/30/2028
0
0.41%
United States Treasury Note/Bond
US91282CPC90
3.500
10/15/2028
0
0.41%
United States Treasury Note/Bond
US91282CQX29
4.125
06/30/2031
0
0.41%
OBX 2026-INV4 Trust
US67124KAU97
5.316
05/25/2056
0
0.40%
Government National Mortgage Assn.
3.000
12/20/2045-04/20/2052
0
0.37%
United States Treasury Note/Bond
TNOTE
US91282CEP23
2.875
05/15/2032
0
0.36%
Government National Mortgage Assn.
2.500
12/20/2050-08/01/2056
0
0.36%
United States Treasury Note/Bond
US91282CNX55
3.625
08/31/2030
0
0.35%
Government National Mortgage Assn.
4.000
09/20/2047-11/20/2052
0
0.35%
Government National Mortgage Assn.
2.000
11/20/2050-02/20/2052
0
0.34%
Federal Home Loan Mortgage Corp.
4.500
02/01/2040-06/01/2054
0
0.33%
United States Treasury Note/Bond
TNOTE
US91282CFT36
4.000
10/31/2029
0
0.33%
Mexico Government International Bond
US91087BBE92
5.850
07/02/2032
0
0.32%
Government National Mortgage Assn.
6.000
12/20/2052-10/20/2055
0
0.32%
Federal Home Loan Mortgage Corp.
4.000
12/01/2039-01/01/2054
0
0.31%
United States Treasury Note/Bond
US91282CMR96
4.125
02/29/2032
0
0.29%
Foundry JV Holdco LLC
US350930AG89
5.900
01/25/2033
0
0.29%
Federal Home Loan Mortgage Corp.
2.500
02/01/2051-06/01/2053
0
0.29%
Government National Mortgage Assn.
3.500
05/20/2046-06/20/2052
0
0.28%
Cassa Depositi e Prestiti SPA
XS3193823211
4.375
10/01/2030
0
0.27%
Federal Home Loan Mortgage Corp.
6.500
09/01/2053-10/01/2055
0
0.27%
EFMT 2026-AE4
US26847AAA79
5.500
06/25/2061
0
0.25%
Federal National Mortgage Assn.
6.500
09/01/2053-08/01/2056
0
0.25%
Sequoia Mortgage Trust 2025-S2
US81748UAA88
4.000
11/25/2055
0
0.25%
United States Treasury Note/Bond
TBOND
US912810TM09
4.000
11/15/2042
0
0.24%
PMT Loan Trust 2026-J3
US73015NBA63
5.416
06/25/2057
0
0.24%
United States Treasury Note/Bond
TBOND
US912810RK60
2.500
02/15/2045
0
0.24%
Cassa Depositi e Prestiti SPA
US147918AF37
4.375
10/01/2030
0
0.23%
United States Treasury Note/Bond
US91282CCV19
1.125
08/31/2028
0
0.23%
United States Treasury Note/Bond
TBOND
US912810TV08
4.750
11/15/2053
0
0.23%
United States Treasury Note/Bond
US91282CPJ44
4.000
11/15/2035
0
0.23%
OBX 2026-INV1 Trust
US67123WAB63
5.500
02/25/2056
0
0.22%
Republic of Italy Government International Bond
US465410CG17
6.000
07/14/2056
0
0.22%
PMT Loan Trust 2026-INV2
US69383NAB73
5.500
01/25/2057
0
0.21%
Eskom Holdings
ESKOM
XS2010027709
4.314
07/23/2027
0
0.21%
Corp Andina de Fomento
US219868CP97
4.625
01/15/2036
0
0.21%
Federal Home Loan Mortgage Corp.
3.000
05/01/2042-10/01/2053
0
0.20%
RATE Mortgage Trust 2026-J2
US75410WAA36
5.000
07/25/2056
0
0.19%
United States Treasury Note/Bond
TBOND
US912810SU34
1.875
02/15/2051
0
0.19%
Indonesia Government International Bond
US455780EH58
5.030
05/29/2031
0
0.19%
Fannie Mae REMICS
US3136G6LG12
5.016
06/25/2056
0
0.18%
PMT Loan Trust 2026-CNF1
US729920AA66
5.000
01/25/2057
0
0.18%
Federal National Mortgage Assn.
1.500
01/01/2051-03/01/2051
0
0.18%
EFMT 2026-AE3
US28224YAA47
5.500
06/25/2061
0
0.18%
PMT Loan Trust 2026-CNF5
US69384GAB14
5.000
06/25/2057
0
0.18%
European Union
EU000A4EXVK3
2.875
10/13/2031
0
0.18%
Oman Government International Bond
OMAN
XS1575967218
5.375
03/08/2027
0
0.18%
Cyprus Government International Bond
XS3281842578
3.250
01/28/2036
0
0.18%
United States Treasury Note/Bond
US91282CPZ85
4.125
02/15/2036
0
0.17%
Morgan Stanley Residential Mortgage Loan Trust 2026-INV1
US61780JAM80
4.766
02/25/2061
0
0.17%
Comunidad Autonoma de Canarias
ES0000093502
3.500
04/30/2036
0
0.17%
Junta de Castilla y Leon
ES0001351628
3.330
04/30/2034
0
0.17%
Morgan Stanley Private Bank NA
US61776NU432
4.213
02/08/2030
0
0.16%
Fannie Mae REMICS
US3136G6LE63
5.016
06/25/2056
0
0.16%
PMT Loan Trust 2025-INV11
US729916BK10
4.966
11/25/2056
0
0.16%
Sequoia Mortgage Trust 2026-7
US81750UBD63
5.316
06/25/2056
0
0.16%
Space Exploration Technologies Corp.
US84615QAC78
5.650
07/15/2033
0
0.16%
CRH America Finance Inc.
US12636YAH53
4.400
02/09/2031
0
0.16%
City of Madrid Spain
ES0201001197
3.360
10/31/2035
0
0.15%
United States Treasury Note/Bond
US91282CRC72
4.375
07/31/2033
0
0.15%
QatarEnergy
US746970AA02
4.625
06/23/2029
0
0.15%
Fannie Mae Pool
US3140Y82V76
4.738
05/01/2056
0
0.15%
Freddie Mac Non Gold Pool
US31288RKJ67
4.968
02/01/2056
0
0.15%
Fannie Mae Pool
US3140Y9CW23
4.914
06/01/2056
0
0.15%
Sumisho Air Lease Corp.
US873923AC00
4.500
03/24/2029
0
0.15%
Finland Government International Bond
US317873BK23
4.500
06/03/2036
0
0.15%
Italy Buoni Poliennali Del Tesoro
IT0005668238
4.650
10/01/2055
0
0.15%
Gaci First Investment Co.
PIFKSA
XS2542162321
5.000
10/13/2027
0
0.15%
Morocco Government International Bond
XS3387631313
4.750
05/26/2034
0
0.15%
Fannie Mae REMICS
US3136BBPP17
1.625
08/25/2050
0
0.15%
Fannie Mae Pool
US3140Y8KU91
4.304
02/01/2056
0
0.15%
Space Exploration Technologies Corp.
US84615QAA13
5.350
07/15/2031
0
0.14%
Morgan Stanley Residential Mortgage Loan Trust 2024-INV4
US61776XAA90
6.000
09/25/2054
0
0.14%
PMT Loan Trust 2025-CNF2
US729911AA59
5.500
01/25/2057
0
0.14%
Sequoia Mortgage Trust 2026-HYB2
US81751JAB52
4.629
07/25/2056
0
0.14%
PMT Loan Trust 2025-INV12
US73015KBM62
4.916
12/25/2056
0
0.14%
Ginnie Mae II Pool
US3618N6BT38
5.000
02/20/2056
0
0.14%
United States Treasury Note/Bond
TBOND
US912810QX90
2.750
08/15/2042
0
0.14%
United States Treasury Note/Bond
TBOND
US912810QB70
4.250
05/15/2039
0
0.14%
Hungary Government International Bond
REPHUN
XS2574267188
6.125
05/22/2028
0
0.13%
United States Treasury Note/Bond
TBOND
US912810TT51
4.125
08/15/2053
0
0.13%
United States Treasury Note/Bond
US912810UJ50
4.750
02/15/2045
0
0.13%
Freddie Mac REMICS
US3137F4CW07
4.000
12/15/2047
0
0.13%
Magyar Export-Import Bank Zrt
MAEXIM
XS2618838564
6.125
12/04/2027
0
0.13%
United States Treasury Note/Bond
US912810UA42
4.625
05/15/2054
0
0.13%
United States Treasury Note/Bond
US912810UK24
4.750
05/15/2055
0
0.13%
United States Treasury Note/Bond
TBOND
US912810QD37
4.375
11/15/2039
0
0.13%
United States Treasury Note/Bond
TBOND
US912810QW18
3.000
05/15/2042
0
0.13%
Morgan Stanley
US61748UAM45
4.356
10/22/2031
0
0.13%
United States Treasury Note/Bond
TBOND
US912810QK79
3.875
08/15/2040
0
0.12%
United States Treasury Note/Bond
TBOND
US912810SX72
2.375
05/15/2051
0
0.12%
Slovakia Government Bond
SK4000028858
4.125
02/19/2046
0
0.12%
PMT Loan Trust 2026-INV5
US69393MAB72
5.500
05/25/2057
0
0.12%
GCAT 2025-INV1 Trust
US36171DAA63
6.000
02/25/2055
0
0.12%
United States Treasury Note/Bond
WIT
US912810TW80
4.750
11/15/2043
0
0.12%
Suci Second Investment Co.
XS2898168799
4.375
09/10/2027
0
0.12%
Xunta de Galicia
ES0001352659
3.290
04/30/2033
0
0.12%
Spain Government Bond
ES0000012S22
3.400
10/31/2036
0
0.12%
Boeing Co.
BA
US097023CY98
5.150
05/01/2030
0
0.12%
Mexico Government International Bond
MEX
US91087BAK61
4.750
04/27/2032
0
0.12%
Goldman Sachs Group Inc.
US38141GF251
5.094
04/20/2034
0
0.12%
United States Treasury Note/Bond
US912810UG12
4.625
02/15/2055
0
0.12%
United States Treasury Note/Bond
US912810UM89
4.750
08/15/2055
0
0.12%
United States Treasury Note/Bond
TBOND
US912810TN81
3.625
02/15/2053
0
0.12%
United States Treasury Note/Bond
US912810UC08
4.250
08/15/2054
0
0.11%
Freddie Mac REMICS
US3137FE6Y16
4.000
02/15/2048
0
0.11%
Spain Government Bond
ES0000012R56
3.950
10/31/2056
0
0.11%
Ginnie Mae II Pool
US3618N6FY86
4.500
04/20/2056
0
0.11%
United States Treasury Note/Bond
TBOND
US912810TJ79
3.000
08/15/2052
0
0.11%
United States Treasury Note/Bond
US912810UE63
4.500
11/15/2054
0
0.11%
Hungary Government International Bond
XS3101499187
5.375
09/26/2030
0
0.11%
United States Treasury Note/Bond
TBOND
US912810SQ22
1.125
08/15/2040
0
0.11%
Sumisho Air Lease Corp.
US873923AE65
4.850
03/24/2031
0
0.11%
United States Treasury Note/Bond
TBOND
US912810QC53
4.500
08/15/2039
0
0.11%
Chile Government International Bond
XS3459013960
4.000
08/03/2034
0
0.11%
United States Treasury Note/Bond
US912810UQ93
4.625
11/15/2045
0
0.11%
ERAC USA Finance LLC
US26884TBC53
4.500
10/30/2029
0
0.11%
Iceland Government International Bond
XS3388350434
3.250
05/27/2031
0
0.11%
United States Treasury Note/Bond
TBOND
US912810TF57
2.375
02/15/2042
0
0.11%
Chile Government International Bond
US168863EF18
4.350
04/13/2031
0
0.11%
Dominican Republic International Bond
DOMREP
USP3579EBV85
5.950
01/25/2027
0
0.11%
Republic of Uzbekistan International Bond
XS2827786455
5.375
05/29/2027
0
0.11%
Japan Government Thirty Year Bond
JGB
JP1300661L47
0.400
03/20/2050
0
0.10%
Eagle Funding Luxco Sarl
USL2660VAA37
5.500
08/17/2030
0
0.10%
Oman Government International Bond
OMAN
XS1750113661
5.625
01/17/2028
0
0.10%
JPMorgan Chase & Co.
US46647PFP62
5.148
04/23/2037
0
0.10%
Corp Nacional del Cobre de Chile
CDEL
USP3143NAY06
3.625
08/01/2027
0
0.10%
United States Treasury Note/Bond
TBOND
US912810TA60
1.750
08/15/2041
0
0.10%
Capital One Financial Corp.
US14040HDQ56
5.399
01/30/2037
0
0.10%
Equinix Inc.
US29444UBV70
5.000
08/15/2029
0
0.10%
Iceland Government International Bond
XS3081371554
2.625
05/27/2030
0
0.10%
United States Treasury Note/Bond
TBOND
US912810SZ21
2.000
08/15/2051
0
0.10%
Government National Mortgage Assn.
6.500
09/20/2053-08/20/2055
0
0.10%
United States Treasury Note/Bond
TBOND
US912810SL35
2.000
02/15/2050
0
0.10%
PMT Loan Trust 2026-INV4
US69383UAA34
6.000
03/25/2057
0
0.10%
PMT Loan Trust 2025-INV10
US69383EBK64
4.966
10/01/2056
0
0.10%
PMT Loan Trust 2026-CNF1
US729920BE79
4.816
01/25/2057
0
0.10%
United States Treasury Note/Bond
TBOND
US912810SE91
3.375
11/15/2048
0
0.10%
United States Treasury Note/Bond
TBOND
US912810PW27
4.375
02/15/2038
0
0.10%
Oracle Corp.
US68389XDH52
4.450
09/26/2030
0
0.09%
United States Treasury Note/Bond
TNOTE
US91282CHW47
4.125
08/31/2030
0
0.09%
Fannie Mae Pool
US3140Y7WW47
4.939
11/01/2055
0
0.09%
ERAC USA Finance LLC
US26884TBA97
4.700
04/30/2031
0
0.09%
PMT Loan Trust 2026-INV4
US69383UBK07
5.066
03/25/2057
0
0.09%
United States Treasury Note/Bond
TBOND
US912810TL26
4.000
11/15/2052
0
0.09%
United States Treasury Note/Bond
US912810TX63
4.250
02/15/2054
0
0.09%
Intel Corp.
US458140CR99
5.000
08/15/2033
0
0.09%
Mitsubishi UFJ Financial Group Inc.
US606822DL51
5.615
04/24/2036
0
0.09%
OCP SA
XS3040572979
6.100
04/30/2030
0
0.09%
HSBC Holdings plc
US404280FE46
4.619
11/06/2031
0
0.09%
Intel Corp.
US458140CU29
6.125
05/15/2056
0
0.09%
OQ SAOC
XS2248458395
5.125
05/06/2028
0
0.09%
American Water Capital Corp.
US03040WBH79
5.200
04/01/2036
0
0.09%
United States Treasury Note/Bond
TBOND
US912810SN90
1.250
05/15/2050
0
0.09%
JPMorgan Chase & Co.
US46647PFK75
5.193
02/05/2037
0
0.09%
Hewlett Packard Enterprise Co.
US42824CCB37
4.050
09/15/2027
0
0.09%
Galaxy Pipeline Assets Bidco Ltd.
ADGLXY
XS2300185613
2.160
03/31/2034
0
0.09%
Abu Dhabi National Energy Co. PJSC
US00388WAV37
5.125
08/03/2031
0
0.09%
Federal Home Loan Mortgage Corp.
3.500
06/01/2038-06/01/2052
0
0.09%
European Union
EU
EU000A3KTGW6
0.700
07/06/2051
0
0.09%
Freddie Mac Non Gold Pool
US3142AWUE37
4.624
03/01/2056
0
0.09%
Government National Mortgage Assn.
US38383MCC01
3.000
02/20/2052
0
0.09%
United States Treasury Note/Bond
TBOND
US912810SP49
1.375
08/15/2050
0
0.09%
Petrobras Global Finance BV
US71647NBM02
5.125
09/10/2030
0
0.09%
Intesa Sanpaolo SPA
US46115HCG02
5.000
06/29/2030
0
0.09%
United States Treasury Note/Bond
TBOND
US912810SS87
1.625
11/15/2050
0
0.08%
United States Treasury Note/Bond
TBOND
US912810PT97
4.750
02/15/2037
0
0.08%
Government National Mortgage Assn.
US38382HUW86
1.375
08/20/2050
0
0.08%
Republic of Uzbekistan International Bond
XS3008639810
5.100
02/25/2029
0
0.08%
Oman Government International Bond
OMAN
XS2234859101
6.750
10/28/2027
0
0.08%
Dominion Energy Inc.
D
US25746UDG13
3.375
04/01/2030
0
0.08%
Philippine Government International Bond
US718286DN44
5.325
06/24/2036
0
0.08%
BPCE SA
US05571ABH77
5.184
06/02/2032
0
0.08%
US Bancorp
US91159HKB59
5.470
07/27/2037
0
0.08%
Government National Mortgage Assn.
US38381PZT38
4.971
07/20/2055
0
0.08%
Vistra Operations Co. LLC
US92840VBB71
5.250
04/30/2033
0
0.08%
United States Treasury Note/Bond
TBOND
US912810RS96
2.500
05/15/2046
0
0.08%
Intesa Sanpaolo SPA
US46115HCN52
6.005
06/29/2037
0
0.08%
Petroleos Mexicanos
PEMEX
US71654QDL32
8.750
06/02/2029
0
0.08%
General Motors Financial Co. Inc.
US37045XFR26
5.100
09/15/2031
0
0.08%
AerCap Ireland Capital DAC / AerCap Global Aviation Trust
AER
US00774MAW55
3.000
10/29/2028
0
0.08%
Peruvian Government International Bond
PERU
US715638DF60
2.783
01/23/2031
0
0.08%
Slovakia Government Bond
SK4000026845
3.750
02/27/2040
0
0.08%
United States Treasury Note/Bond
TBOND
US912810RQ31
2.500
02/15/2046
0
0.08%
United States Treasury Note/Bond
TBOND
US912810TR95
3.625
05/15/2053
0
0.08%
Santander Drive Auto Receivables Trust 2025-2
US80287NAF24
5.470
05/15/2031
0
0.08%
United States Treasury Note/Bond
TBOND
US912810SR05
1.125
05/15/2040
0
0.08%
Treasury Corp. of Victoria
XS3192255449
3.625
09/29/2040
0
0.08%
United States Treasury Note/Bond
TBOND
US912810QT88
3.125
11/15/2041
0
0.08%
Broadcom Inc.
US11135FDA66
4.600
01/15/2033
0
0.08%
Fannie Mae Pool
US3140Y7YM47
4.859
12/01/2055
0
0.08%
United States Treasury Note/Bond
TBOND
US912810SD19
3.000
08/15/2048
0
0.08%
United States Treasury Note/Bond
US912810UP11
4.625
11/15/2055
0
0.07%
Fannie Mae Pool
US3140Y8RC21
4.639
03/01/2056
0
0.07%
Government National Mortgage Assn.
US38383BUL43
5.000
09/20/2055
0
0.07%
PMT Loan Trust 2026-INV1
US73015LBP76
4.916
01/25/2057
0
0.07%
Honeywell Aerospace Inc.
US43849RAK14
5.852
03/16/2066
0
0.07%
Wells Fargo & Co.
US95000U4F79
5.433
01/23/2047
0
0.07%
JP Morgan Mortgage Trust Series 2026-HYB2
US46595AAE10
5.500
11/25/2056
0
0.07%
PMT Loan Trust 2026-INV1
US73015LAB99
5.500
01/25/2057
0
0.07%
Apollo Global Management Inc.
US03769MAE66
5.150
08/12/2035
0
0.07%
JPMorgan Chase & Co.
US48128BAT89
5.803
07/23/2041
0
0.07%
PMT Loan Trust 2025-INV7
US73015FAH91
5.500
06/25/2056
0
0.07%
Freddie Mac REMICS
US3137BHC472
3.500
03/15/2045
0
0.07%
Goldman Sachs Group Inc.
US38141GB607
4.692
10/23/2030
0
0.07%
United States Treasury Note/Bond
TNOTE
US912810TQ13
3.875
02/15/2043
0
0.07%
Turkiye Government International Bond
US900123DV94
6.375
05/22/2031
0
0.07%
Fannie Mae Pool
US3140Y7H279
4.553
10/01/2055
0
0.07%
European Union
EU000A4ES497
4.000
10/12/2046
0
0.07%
Santander UK Group Holdings plc
US80281LAX38
4.320
09/22/2029
0
0.07%
M&T Bank Corp.
MTB
US55261FAS39
7.413
10/30/2029
0
0.07%
Government National Mortgage Assn.
US38383LHV53
4.000
08/20/2041
0
0.07%
NVIDIA Corp.
US67066GAS30
4.750
06/15/2033
0
0.07%
Georgia-Pacific LLC
US37331NAX93
4.600
05/15/2031
0
0.07%
Fannie Mae REMICS
US3136G5HQ66
4.716
04/25/2056
0
0.07%
Chile Government International Bond
CHILE
US168863DX33
2.750
01/31/2027
0
0.07%
United States Treasury Note/Bond
TBOND
US912810QU51
3.125
02/15/2042
0
0.07%
Ford Credit Auto Owner Trust 2026-REV1
US34532XAA19
4.320
08/15/2038
0
0.07%
Capital Street Master Trust
US14051LAG77
0.000
08/16/2030
0
0.07%
Boeing Co.
US097023DS12
6.528
05/01/2034
0
0.07%
Adif Alta Velocidad
ES0200002147
3.625
04/30/2035
0
0.07%
Oracle Corp.
US68389XDX03
4.950
02/04/2031
0
0.07%
Indonesia Government International Bond
XS3385337723
4.500
05/29/2033
0
0.07%
Saudi Government International Bond
KSA
XS2577134401
4.750
01/18/2028
0
0.07%
SA Global Sukuk Ltd.
XS3182415979
4.125
09/17/2030
0
0.07%
Freddie Mac Non Gold Pool
US3142BGX207
5.024
06/01/2056
0
0.07%
United States Treasury Note/Bond
TBOND
US912810SF66
3.000
02/15/2049
0
0.07%
Fannie Mae Pool
US3140Y9H648
4.606
06/01/2056
0
0.07%
JPMorgan Chase & Co.
US46647PFM32
4.622
04/23/2032
0
0.07%
Ginnie Mae II Pool
US3618N6H830
4.500
05/20/2056
0
0.07%
United Kingdom Inflation-Linked Gilt
GB00BMY62Z61
1.750
09/22/2038
0
0.07%
Northwestern Mutual Life Insurance Co.
US668138AG50
6.050
06/30/2056
0
0.07%
Foundry JV Holdco LLC
US350930AH62
6.100
01/25/2036
0
0.07%
United States Treasury Note/Bond
TBOND
US912810SC36
3.125
05/15/2048
0
0.07%
General Motors Financial Co. Inc.
US37045XFQ43
4.750
04/06/2029
0
0.07%
Charter Communications Operating LLC / Charter Communications Operating Capital
US161175CQ56
6.100
06/01/2029
0
0.07%
Truist Bank Auto Credit-Linked Notes Series 2026-1
US897926DQ15
5.067
06/26/2034
0
0.07%
United States Treasury Note/Bond
TBOND
US912810TC27
2.000
11/15/2041
0
0.07%
Fifth Third Bancorp
FITB
US316773DJ68
6.361
10/27/2028
0
0.07%
Extra Space Storage LP
US30225VAW72
4.900
02/01/2032
0
0.07%
United States Treasury Note/Bond
TBOND
US912810TB44
1.875
11/15/2051
0
0.07%
Chpe LLC
US12602LAB62
5.100
06/30/2033
0
0.07%
United States Treasury Note/Bond
TBOND
US912810QL52
4.250
11/15/2040
0
0.07%
United States Treasury Note/Bond
TBOND
US912810TU25
4.375
08/15/2043
0
0.07%
United States Treasury Note/Bond
TBOND
US912810SW99
1.875
02/15/2041
0
0.07%
Boeing Co.
BA
US097023DC69
3.625
02/01/2031
0
0.06%
Intel Corp.
INTC
US458140BH27
2.450
11/15/2029
0
0.06%
Toronto-Dominion Bank
US89115KAR14
4.866
04/22/2033
0
0.06%
PNC Financial Services Group Inc.
US693475CM59
5.463
07/21/2037
0
0.06%
United States Treasury Note/Bond
TBOND
US912810SK51
2.375
11/15/2049
0
0.06%
Cheniere Energy Partners LP
US16411QAZ46
6.050
11/30/2056
0
0.06%
Fannie Mae REMICS
US3136AUY622
3.000
01/25/2047
0
0.06%
United States Treasury Note/Bond
TBOND
US912810RH32
3.125
08/15/2044
0
0.06%
Dominican Republic International Bond
DOMREP
USP3579ECR64
7.050
02/03/2031
0
0.06%
State Street Corp.
US857477DE08
4.784
10/23/2036
0
0.06%
Dell International LLC / EMC Corp.
US24703DBV29
4.750
07/15/2031
0
0.06%
Fannie Mae Pool
US3140Y8RD04
4.976
03/01/2056
0
0.06%
United States Treasury Note/Bond
TBOND
US912810TD00
2.250
02/15/2052
0
0.06%
Intel Corp.
INTC
US458140CA64
4.150
08/05/2032
0
0.06%
Smurfit Westrock Financing DAC
US83272YAB83
5.418
01/15/2035
0
0.06%
Chase Home Lending Mortgage Trust Series 2026-HYB1
US16162VAE11
5.375
03/25/2057
0
0.06%
Stellantis Financial Services US Corp.
US85855FAA12
4.950
09/15/2028
0
0.06%
Athora Holding Ltd.
ATHORA
XS2628821790
6.625
06/16/2028
0
0.06%
UBS Group AG
US225401BK37
4.151
12/23/2029
0
0.06%
Chpe LLC
US12602LAA89
4.875
06/30/2031
0
0.06%
Volkswagen Credit Auto Master Trust
US928667AE42
4.710
05/20/2031
0
0.06%
Charter Communications Operating LLC / Charter Communications Operating Capital
CHTR
US161175BA14
6.484
10/23/2045
0
0.06%
Freddie Mac Non Gold Pool
US3142BGXV65
5.054
05/01/2056
0
0.06%
Florida Power & Light Co.
US341081HD24
5.750
06/01/2056
0
0.06%
Morgan Stanley
US61747YFR18
5.831
04/19/2035
0
0.06%
United States Treasury Note/Bond
TBOND
US912810QH41
4.375
05/15/2040
0
0.06%
Kommunalkredit Austria AG
AT0000A3BMD1
5.250
03/28/2029
0
0.06%
Ginnie Mae II Pool
US3618N5ZW28
5.000
11/20/2055
0
0.06%
United States Treasury Note/Bond
TBOND
US912810RY64
2.750
08/15/2047
0
0.06%
PMT Loan Trust 2025-INV9
US69392UAJ34
5.500
09/01/2056
0
0.06%
Narragansett Electric Co.
US631005BL84
6.000
05/15/2056
0
0.06%
Artea Bankas AB
XS3025213102
4.597
06/25/2030
0
0.06%
Morgan Stanley
US61747YGB56
4.708
03/12/2032
0
0.06%
Charter Communications Operating LLC / Charter Communications Operating Capital
CHTR
US161175BJ23
3.750
02/15/2028
0
0.06%
Honeywell Aerospace Inc.
US43849RAG02
4.950
03/16/2036
0
0.06%
Charter Communications Operating LLC / Charter Communications Operating Capital
CHTR
US161175BK95
4.200
03/15/2028
0
0.06%
Adif Alta Velocidad
ES0200002139
3.125
01/31/2030
0
0.06%
Amgen Inc.
US031162DY30
5.650
02/19/2056
0
0.06%
Fannie Mae Pool
US3140JCYD07
5.047
12/01/2055
0
0.06%
Orange SA
US685218AE91
4.750
01/13/2033
0
0.06%
United States Treasury Note/Bond
US91282CQZ76
4.125
07/15/2029
0
0.06%
Equinix Europe 2 Financing Corp. LLC
US29390XAH70
4.700
03/15/2033
0
0.06%
Republic of Chile
CHILE
US168863CF36
3.240
02/06/2028
0
0.06%
Fannie Mae REMICS
US3136BKYQ97
2.500
09/25/2048
0
0.06%
Close Brothers Group plc
CBGLN
XS2635182509
7.750
06/14/2028
0
0.06%
BNP Paribas SA
US09659W2Z63
5.283
11/19/2030
0
0.06%
CRH America Finance Inc.
US12636YAJ10
5.000
02/09/2036
0
0.06%
Oracle Corp.
US68389XEA90
6.550
02/04/2046
0
0.06%
Netflix Inc.
US64110LBB18
5.250
08/15/2036
0
0.06%
Morgan Stanley
US61748UBB70
5.605
07/17/2037
0
0.06%
Perusahaan Listrik Negara PT
PLNIJ
US71568QAE70
5.450
05/21/2028
0
0.06%
HCA Inc.
US404119DK21
5.000
05/15/2033
0
0.06%
Affirm Master Trust
US00833BBA52
4.780
08/15/2034
0
0.06%
Freddie Mac Non Gold Pool
US31288RKZ00
5.133
01/01/2056
0
0.06%
Boeing Co.
US097023DQ55
6.298
05/01/2029
0
0.05%
Morgan Stanley
US61747YFU47
4.654
10/18/2030
0
0.05%
Freddie Mac Non Gold Pool
US3142BBTC44
4.606
05/01/2056
0
0.05%
Chase Home Lending Mortgage Trust 2026-AGY1
US16160FAJ75
5.000
02/25/2057
0
0.05%
Volksbank Wien AG
AT000B122270
5.750
06/21/2034
0
0.05%
United States Treasury Note/Bond
TBOND
US912810SH23
2.875
05/15/2049
0
0.05%
JPMorgan Chase & Co.
US46647PFJ03
4.898
01/22/2037
0
0.05%
Israel Government International Bond
US46514BRN90
5.375
03/12/2029
0
0.05%
Danske Bank A/S
US23636ABN00
4.999
03/27/2032
0
0.05%
McKesson Corp.
US581557BX22
4.950
05/30/2032
0
0.05%
PSEG Power LLC
US69362BBD38
5.200
05/15/2030
0
0.05%
Fannie Mae Pool
US3140USCJ38
5.284
08/01/2056
0
0.05%
Fannie Mae REMICS
US3136BQ3V90
5.500
03/25/2054
0
0.05%
Honeywell Aerospace Inc.
US43849RAJ41
5.732
03/16/2056
0
0.05%
SCE Recovery Funding LLC
US78433LAM81
5.388
12/15/2043
0
0.05%
RD Michigan Property Owner I LLC
US74941YAA01
7.500
03/30/2045
0
0.05%
Lowe's Cos. Inc.
US548661EW30
4.500
10/15/2032
0
0.05%
Sumitomo Mitsui Financial Group Inc.
US86562MEP14
5.296
07/07/2037
0
0.05%
Freddie Mac Non Gold Pool
US31288RJT68
5.126
12/01/2055
0
0.05%
Pacific Gas and Electric Co.
PCG
US694308KL02
6.100
01/15/2029
0
0.05%
Israel Government International Bond
US46515CJY12
4.500
01/13/2031
0
0.05%
Fannie Mae Pool
US3140Y7FT01
4.522
09/01/2055
0
0.05%
Morgan Stanley
US61748UAT97
5.073
01/30/2037
0
0.05%
BVCLN 2026-CRD1 LLC
US124290AC11
5.216
09/25/2034
0
0.05%
Connecticut Avenue Securities Trust 2026-R02
US20753EAA47
4.566
02/25/2046
0
0.05%
AT&T Inc.
US00206RNJ76
5.850
04/30/2046
0
0.05%
United States Treasury Note/Bond
TBOND
US912810SY55
2.250
05/15/2041
0
0.05%
DB Master Finance LLC
US233046AY78
5.200
05/20/2056
0
0.05%
Freddie Mac Non Gold Pool
US3142BBV236
5.381
07/01/2056
0
0.05%
Boeing Co.
US097023DU67
7.008
05/01/2064
0
0.05%
Fannie Mae Pool
US3140Y7NM65
5.095
10/01/2055
0
0.05%
Galaxy Pipeline Assets Bidco Ltd.
ADGLXY
XS2249741245
2.625
03/31/2036
0
0.05%
Sumitomo Mitsui Financial Group Inc.
US86562MEG15
5.570
01/15/2047
0
0.05%
Guatemala Government Bond
GUATEM
USP5015VAG16
4.375
06/05/2027
0
0.05%
BP Capital Markets America Inc.
BPLN
US10373QBP46
2.939
06/04/2051
0
0.05%
Mitsubishi UFJ Financial Group Inc.
US606822DS05
4.505
01/14/2032
0
0.05%
Freddie Mac Non Gold Pool
US3142B3WV61
5.195
06/01/2056
0
0.05%
United States Treasury Note/Bond
TBOND
US912810RC45
3.625
08/15/2043
0
0.05%
Occidental Petroleum Corp.
US674599EM33
6.050
10/01/2054
0
0.05%
Fannie Mae REMICS
US3136BKB769
1.750
09/25/2049
0
0.05%
Ginnie Mae II Pool
US3618N6JB48
5.000
05/20/2056
0
0.05%
Amazon.com Inc.
US023135DG82
5.650
03/13/2046
0
0.05%
Czechoslovak Group AS
XS3105190576
5.250
01/10/2031
0
0.05%
Charter Communications Operating LLC / Charter Communications Operating Capital
CHTR
US161175CD44
2.250
01/15/2029
0
0.05%
Charter Communications Operating LLC / Charter Communications Operating Capital
CHTR
US161175BR49
5.050
03/30/2029
0
0.05%
Foundry JV Holdco LLC
US350930AJ29
6.200
01/25/2037
0
0.05%
PMT Loan Trust 2026-INV6
US69393NAB55
5.500
06/25/2057
0
0.05%
Commonwealth Edison Co.
US202795KD12
5.850
06/01/2056
0
0.05%
Huntington National Bank
US44644MAK71
4.871
04/12/2028
0
0.05%
Israel Government International Bond
XS2711443932
5.000
10/30/2026
0
0.05%
PMT Loan Trust 2025-INV9
US69392UAC80
5.500
09/01/2056
0
0.05%
Philip Morris International Inc.
US718172EG07
4.875
04/29/2036
0
0.05%
Honeywell Aerospace Inc.
US43849RAF29
4.600
03/16/2033
0
0.05%
Devon Energy Corp.
US25179MBH51
5.750
09/15/2054
0
0.05%
Merck & Co. Inc.
US58933YCJ29
5.850
05/22/2056
0
0.05%
United States Treasury Note/Bond
US912810UU06
5.000
05/15/2056
0
0.05%
Freddie Mac Non Gold Pool
US31288RLV86
4.953
12/01/2055
0
0.05%
Smurfit Kappa Treasury ULC
US83272GAD34
5.200
01/15/2030
0
0.05%
Mexico Government International Bond
MEX
US91087BAM28
2.659
05/24/2031
0
0.05%
Oracle Corp.
US68389XDW20
4.550
02/04/2029
0
0.05%
Vistra Operations Co. LLC
US92840VAX01
4.300
10/15/2028
0
0.05%
Aercap Funding DAC
US00784MAA18
4.875
07/07/2031
0
0.05%
Athene Holding Ltd.
ATH
US04686JAA97
4.125
01/12/2028
0
0.05%
UBS Group AG
US902613BT44
4.844
11/06/2033
0
0.05%
Amazon.com Inc.
CA023135DX18
4.350
06/12/2036
0
0.05%
Intel Corp.
INTC
US458140BU38
2.000
08/12/2031
0
0.05%
JBS NV/JBS USA Foods Group Holdings Inc./JBS USA Food Co. Holdings
US472140AD49
6.375
02/25/2055
0
0.04%
United States Treasury Note/Bond
US912810UV88
5.000
05/15/2046
0
0.04%
Hungary Government International Bond
XS3269554690
4.250
05/26/2033
0
0.04%
American Honda Finance Corp.
US02665WGS44
4.450
01/08/2031
0
0.04%
Liberty Utilities Co.
US531542AC21
5.100
05/15/2031
0
0.04%
Ginnie Mae II Pool
US3618N5V221
4.500
09/20/2055
0
0.04%
Manhattan West 2026-2MW Mortgage Trust
US563126AA95
5.321
06/10/2048
0
0.04%
Fifth Third Bancorp
FITB
US316773DK32
6.339
07/27/2029
0
0.04%
HPS Corporate Lending Fund
US40440VBB09
4.900
09/11/2028
0
0.04%
Kroger Co.
US501044DV05
5.000
09/15/2034
0
0.04%
US Bancorp
US91159HJV33
5.083
05/15/2031
0
0.04%
Fannie Mae Pool
US3140U0WP82
5.059
01/01/2056
0
0.04%
JBS NV/JBS USA Foods Group Holdings Inc./JBS USA Food Co. Holdings
JBSSBZ
US46590XAX49
6.500
12/01/2052
0
0.04%
Broadcom Inc.
US11135FCM14
5.200
07/15/2035
0
0.04%
United States Treasury Note/Bond
TBOND
US912810SA79
3.000
02/15/2048
0
0.04%
Mastercard Inc.
US57636QBL77
4.600
06/08/2031
0
0.04%
Fannie Mae Pool
US3140Y8RE86
5.037
03/01/2056
0
0.04%
Chpe LLC
US12602LAC46
5.350
06/30/2036
0
0.04%
Nomura Holdings Inc.
US65535HCK32
4.996
06/29/2029
0
0.04%
American Airlines 2026-2 Class A Pass Through Trust
US02377TAA51
5.700
02/20/2039
0
0.04%
Verizon Communications Inc.
US92343VHF40
4.750
01/15/2033
0
0.04%
United States Treasury Note/Bond
TBOND
US912810RZ30
2.750
11/15/2047
0
0.04%
Eli Lilly & Co.
US532457DP08
5.600
05/20/2056
0
0.04%
Cemex SAB de CV
US151290CD37
5.750
06/05/2036
0
0.04%
Pacific Gas and Electric Co.
US694308LA38
5.200
05/01/2036
0
0.04%
T-Mobile USA Inc.
TMUS
US87264AAZ84
4.500
04/15/2050
0
0.04%
Hubbell Inc.
US443510AP71
5.150
06/15/2036
0
0.04%
Ecolab Inc.
US278865BW98
5.150
06/15/2033
0
0.04%
Hewlett Packard Enterprise Co.
US42824CBS70
4.400
09/25/2027
0
0.04%
Freddie Mac REMICS
US3137H4FG00
2.000
07/25/2050
0
0.04%
Indonesia Government International Bond
INDON
US455780DR40
4.850
01/11/2033
0
0.04%
Freddie Mac Non Gold Pool
US31288RGG74
5.142
08/01/2055
0
0.04%
Deutsche Bank AG/New York NY
DB
US251526CD98
3.547
09/18/2031
0
0.04%
Capital Street Master Trust
US14051LAE20
4.770
05/16/2030
0
0.04%
Nelnet Student Loan Trust 2026-A
US64032UAC53
4.780
02/21/2061
0
0.04%
BMO 2026-5C15 Mortgage Trust
US09664LAC54
5.684
06/15/2059
0
0.04%
Pinnacle Financial Partners Inc.
US72348NAA72
5.596
05/19/2032
0
0.04%
GS Mortgage Securities Trust 2020-GC47
GSMS_20-GC
US36258RBA05
2.377
05/12/2053
0
0.04%
Sumitomo Mitsui Financial Group Inc.
US86562MEJ53
4.108
01/15/2029
0
0.04%
HUT 8 DC LLC
US44813DAA46
6.192
11/15/2042
0
0.04%
JBS NV/JBS USA Foods Group Holdings Inc./JBS USA Food Co. Holdings
US47214BAD01
7.250
11/15/2053
0
0.04%
BX Commercial Mortgage Trust 2026-Vlt10
US05620TAA34
5.358
07/13/2058
0
0.04%
Goldman Sachs Group Inc.
GS
US38141GA468
6.484
10/24/2029
0
0.04%
Boeing Co.
BA
US097023CP81
3.250
02/01/2035
0
0.04%
Ginnie Mae II Pool
US3618N56S38
4.000
01/20/2056
0
0.04%
PMT Loan Trust 2026-J1
US73015MBC47
4.766
01/25/2057
0
0.04%
GCAT 2022-INV1 Trust
GCAT_22-IN
US36168YAA55
3.000
12/25/2051
0
0.04%
Bulgaria Government International Bond
XS2890420834
3.625
09/05/2032
0
0.04%
JPMorgan Chase & Co.
US46647PEG72
5.581
04/22/2030
0
0.04%
PMT Loan Trust 2024-INV2
US73015CAA18
6.000
12/25/2059
0
0.04%
Truist Financial Corp.
US89788MAT99
5.153
08/05/2032
0
0.04%
Pacific Gas and Electric Co.
US694308KV83
6.150
03/01/2055
0
0.04%
Republic of Poland Government International Bond
US857524AL62
6.125
04/14/2056
0
0.04%
SFS Auto Receivables Securitization Trust 2026-1
US81885FAG19
4.460
11/21/2033
0
0.04%
Chile Government International Bond
US168863EB04
4.850
01/22/2029
0
0.04%
Intel Corp.
INTC
US458140AN04
4.000
12/15/2032
0
0.04%
Capital One Multi-Asset Execution Trust
US14041NGH89
4.650
10/15/2037
0
0.04%
Duke Energy Corp.
DUK
US26441CBL81
2.550
06/15/2031
0
0.04%
US Bank NA
US90355PAJ57
4.959
12/25/2046
0
0.04%
Wells Fargo Commercial Mortgage Trust 2026-C66
US95005CAD02
5.649
04/15/2059
0
0.04%
Ford Motor Credit Co. LLC
US345397J382
5.753
04/06/2033
0
0.04%
Cheniere Energy Inc.
US16411RAQ20
6.000
07/30/2056
0
0.04%
Freddie Mac Non Gold Pool
US3142BGXW49
5.254
05/01/2056
0
0.04%
Baiterek National Investment Holding JSC
XS3067899610
5.450
05/08/2028
0
0.04%
HSBC Holdings plc
HSBC
US404280CH04
2.848
06/04/2031
0
0.04%
Affirm Master Trust Series 2025-3
US00833BAN82
4.450
10/16/2034
0
0.04%
Onemain Financial Issuance Trust 2025-1
US68270DAA90
4.820
07/14/2038
0
0.04%
Eni SPA
US26874RAW88
5.250
05/18/2036
0
0.04%
UnitedHealth Group Inc.
US91324PFL13
5.625
07/15/2054
0
0.04%
PMT Loan Trust 2026-INV5
US69393MBK62
5.116
05/25/2057
0
0.04%
GE Vernova Inc.
US36828AAC53
5.500
02/04/2056
0
0.04%
Mexico Government International Bond
US91087BBK52
5.375
03/22/2033
0
0.04%
OneMain Financial Issuance Trust 2026-1
US68270GAA22
4.980
07/14/2039
0
0.04%
Government National Mortgage Assn.
US38382LWG21
1.250
12/20/2050
0
0.04%
ALPHABET INC
US02079KBL08
4.400
0
0.04%
Fedex Freight Holding Co. Inc.
US314352AC96
4.650
03/15/2031
0
0.04%
Republic of Peru
PERU
US715638AP79
8.750
11/21/2033
0
0.04%
APIDOS CLO XLVIII Ltd.
US03770WAQ42
0.000
07/25/2039
0
0.04%
Turkiye Government International Bond
US900123DT49
6.300
03/14/2033
0
0.04%
Abbott Laboratories
US002824BT63
4.300
03/15/2033
0
0.04%
JPMorgan Chase & Co.
US46647PEB85
5.012
01/23/2030
0
0.04%
National Bank of Canada
US63307A3D55
4.950
02/01/2028
0
0.04%
Vantage Data Centers Issuer LLC
US92212KAJ51
5.239
11/15/2055
0
0.04%
AIMCO CLO 18 Ltd.
US00889EBS37
0.000
07/20/2039
0
0.04%
Voya CLO 2024-2 Ltd.
US92920HAL06
4.972
07/20/2039
0
0.04%
RR 44 Ltd.
US78109WAA36
4.923
04/15/2041
0
0.04%
Mexico Government International Bond
US91087BAY65
5.000
05/07/2029
0
0.04%
Intuit Inc.
US46124HAK23
4.950
06/15/2031
0
0.04%
Robinhood Credit Card Trust
US77071CAA36
4.800
07/21/2031
0
0.04%
Hungary Government International Bond
REPHUN
XS2680932907
5.375
09/12/2033
0
0.04%
Indonesia Government International Bond
XS3200124496
3.750
10/16/2033
0
0.04%
Ameren Corp.
AEE
US023608AQ57
5.000
01/15/2029
0
0.04%
Regions Financial Corp.
US7591EPAU41
5.722
06/06/2030
0
0.04%
Freddie Mac REMICS
US3137HD2F60
6.000
06/25/2054
0
0.04%
Fannie Mae Pool
US3140U6SP09
4.592
03/01/2056
0
0.04%
JPMorgan Chase & Co.
JPM
US46647PCU84
2.963
01/25/2033
0
0.03%
Arch Capital Group Ltd.
US03939AAC18
5.950
06/15/2056
0
0.03%
Citigroup Inc.
US172967QF11
4.503
09/11/2031
0
0.03%
AbbVie Inc.
US00287YEJ47
5.650
03/15/2066
0
0.03%
United States Treasury Note/Bond
TBOND
US912810QN19
4.750
02/15/2041
0
0.03%
Indonesia Government International Bond
INDON
XS2280331898
1.100
03/12/2033
0
0.03%
HSBC Holdings plc
HSBC
US404280DR76
7.390
11/03/2028
0