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Watchlist
Account
Performance Trust Total Return Bond UCITS ETF
PTAM.DE
#3132
ETF rank
NZ$7.45 M
Marketcap
๐ช๐บ EU
Market
NZ$14.34
Share price
-0.01%
Change (1 day)
5.72%
Change (1 year)
๐๏ธ Bond ETFs
Categories
Market cap
Price history
Shares outstanding
Fees (Expense ratio)
Holdings
More
Fees (Expense ratio)
Performance Trust Total Return Bond UCITS ETF - Holdings
Etf holdings as of
December 3, 2025
Number of holdings:
49
Full holdings list
Weight %
ISIN
Description
Shares Held
Country
4.08%
US912803DY69
STRIP PRINC 0.000% 08/15/42 0% 08/15/2042
385000
United States
3.97%
US010831BE49
ALAMEDA JT PWRS-A-TXB 7.046% 12/01/44 SR:BUILD 7.05% 12/01/2044
150000
United States
3.88%
US646136XR74
NJ TRN TR FD BABS 6.561% 12/15/40 SR:BUILD 6.56% 12/15/2040
150000
United States
3.80%
US91523NFP69
UNIV WA REV-GEN-BUILD 6.060% 07/01/39 SR:BUILD 6.06% 07/01/2039
150000
United States
3.64%
US840441AA79
SOUTHSTATE CORP FLT 06/13/35 7% 06/13/2035
150000
United States
3.61%
US89602NUN29
TRIBORO BRDGE-GEN-B 5.500% 11/15/39 SR:BUILD 5.5% 11/15/2039
150000
United States
3.57%
US84470PAG46
SOUTHSIDE BANCSHARES INC FLT 08/15/35 7% 08/15/2035
150000
United States
3.44%
US38136FCA93
GLM 2017-1A DR3 FLT 04/20/34 SR:1A Tranche:DR3 6.28% 04/20/2034
150000
United States
3.43%
US017154BA21
ALLPK 2019-1A DRR FLT 01/20/35 SR:1A Tranche:DRR 6.73% 01/20/2035
150000
United States
3.43%
US17290YAV02
CGCMT 2016-C1 C FLT 05/10/49 SR:C1 Tranche:C 5.11% 05/10/2049
150000
United States
3.35%
US159864AG27
CHARLES RIVER LABORATORI 3.750% 03/15/29 SR:144A 3.75% 03/15/2029
150000
United States
3.27%
US61767EAJ38
MSBAM 2017-C34 B FLT 11/15/52 SR:C34 Tranche:B 4.11% 11/15/2052
150000
United States
3.25%
US3137H9ZX00
FHMS K-155 X1 FLT 04/25/33 SR:155 Tranche:X1 0.42% 04/25/2033
7176294
United States
2.92%
US3137F62P19
FHMS K118 X1 FLT 09/25/30 SR:K118 Tranche:X1 1.04% 09/25/2030
3333090
United States
2.82%
US933634AJ62
WAMU 2007-HY3 4A1 FLT 03/25/37 SR:HY3 Tranche:4A1 4.98% 03/25/2037
131795
United States
2.52%
US3137FWHG83
FHMS K-1517 X1 FLT 07/25/35 SR:1517 Tranche:X1 1.44% 07/25/2035
1189137
United States
2.35%
US00109LAB99
ADT SEC CORP 5.875% 10/15/33 SR:144A 5.88% 10/15/2033
100000
United States
2.33%
US320209AC31
FIRST FINANCIAL BANCORP FLT 12/01/35 6.38% 12/01/2035
100000
United States
2.32%
US38136NBA37
GLM 2020-8A BRR FLT 10/20/34 SR:8A Tranche:BRR 5.43% 10/20/2034
100000
United States
2.24%
US682691AC47
ONEMAIN FINANCE CORP 3.875% 09/15/28 3.88% 09/15/2028
100000
United States
2.20%
US156504AM47
CENTURY COMMUNITIES 3.875% 08/15/29 SR:144A 3.88% 08/15/2029
100000
United States
2.15%
US82967NBJ63
SIRIUS XM RADIO INC 4.000% 07/15/28 SR:144A 4% 07/15/2028
95000
United States
2.13%
US75970EAD94
RENASANT CORP FLT 09/15/35 4.5% 09/15/2035
100000
United States
2.02%
US3137HASM94
FHMS K-160 X1 FLT 08/25/33 SR:160 Tranche:X1 0.38% 08/25/2033
4997133
United States
1.92%
US958697HP27
WESTERN MUN PWR-BABS 6.770% 01/01/46 SR:BUILD 6.77% 01/01/2046
75000
United States
1.74%
US85172FAR01
ONEMAIN FINANCE CORP 5.375% 11/15/29 5.38% 11/15/2029
75000
United States
1.63%
US3137HHJ284
FHMS K-165 X1 FLT 09/25/34 SR:165 Tranche:X1 0.79% 09/25/2034
1539836
United States
1.62%
US2511295D01
DETROIT CITY SD-BABS 7.747% 05/01/39 SR:BUILD 7.75% 05/01/2039
60000
United States
1.48%
US254845JZ44
DC WTR & SWR-A-TXBL 4.814% 10/01/14 SR:TXBL-S 4.81% 10/01/2114
73000
United States
1.32%
NONE
Cash & Other
56957.88
Cash
1.29%
US75970EAE77
RENASANT CORP FLT 12/01/31 3% 12/01/2031
60000
United States
1.25%
US345397D674
FORD MOTOR CREDIT CO LLC 7.122% 11/07/33 7.12% 11/07/2033
50000
United States
1.22%
US03168LAA35
AMNEAL PHARMACEUTICALS L 6.875% 08/01/32 SR:144A 6.88% 08/01/2032
50000
United States
1.17%
US914886AD89
UNIV SOUTHERN CALIFORNIA 3.226% 10/01/20 SR:A 3.23% 10/01/2120
85000
United States
1.15%
US67884XCP06
OKLAHOMA ST DEV FIN A 5.450% 08/15/28 SR:TXBL-O 5.45% 08/15/2028
50000
United States
1.09%
US912797RX70
TREASURY BILL 0.000% 12/16/25 0% 12/16/2025
47000
United States
1.09%
US02765UCR32
AMERN MUN PWR-C 6.053% 02/15/43 SR:BUILD 6.05% 02/15/2043
45000
United States
1.05%
US30711XBU72
CAS 2016-C01 2M2 FLT 08/25/28 SR:C01 Tranche:2M2 11.14% 08/25/2028
44774
United States
1.01%
US02146TAL17
CWALT 2006-24CB A11 5.750% 08/25/36 SR:24CB Tranche:A11 5.75% 08/25/2036
89251
United States
0.98%
US677632PA36
OHIO ST UNIV-A-TXBL 4.800% 06/01/11 SR:TXBL-S 4.8% 06/01/2111
50000
United States
0.97%
US912810UB25
US TREASURY N/B 4.625% 05/15/44 4.63% 05/15/2044
42000
United States
0.96%
US91412GC869
UNIV OF CALIFORNIA-AQ 4.767% 05/15/15 SR:TXBL-G 4.77% 05/15/2115
50000
United States
0.92%
US914455UJ72
UNIV OF MICHIGAN-A 4.454% 04/01/22 SR:TXBL-S 4.45% 04/01/2122
50000
United States
0.91%
US358240FC86
FRESNO WTR-TXB-A2-BAB 6.750% 06/01/40 SR:REF-BU 6.75% 06/01/2040
35000
United States
0.89%
US606092ET71
MO JT MUN ELEC-BABS 6.890% 01/01/42 SR:BUILD 6.89% 01/01/2042
35000
United States
0.69%
US592248BA54
MET PIER 0.000% 06/15/43 SR:CAP AP 0% 06/15/2043
65000
United States
0.53%
US95000PAX24
WFCM 2016-C37 D FLT 12/15/49 SR:C37 Tranche:D 3.31% 12/15/2049
25000
United States
0.23%
US912797QY62
TREASURY BILL 0.000% 12/11/25 0% 12/11/2025
10000
United States
0.18%
US912797RZ29
TREASURY BILL 0.000% 12/30/25 0% 12/30/2025
8000
United States