VCIT holdings
All 2,307 positions of Vanguard Intermediate-Term Corporate Bond ETF.
Positions
2,307
Top 10 weight
2.7%
Effective holdings
1229.8
1 / sum of squared weights
In stocks
0.0%
In bonds
98.8%
Outside the US
12.8%
Asset mix
Sectors
No classified stock holdings.
Countries
Bond holdings
- Weighted average maturity
- 8.1 years stated maturity, not duration
- Weighted average coupon
- 4.98%
- Maturing in 1-3y
- 0.0%
- Maturing in 3-5y
- 1.1%
- Maturing in 5-10y
- 90.2%
- Maturing in 10-20y
- 5.8%
- Maturing in 20y+
- 1.6%
Holdings
| # | Holding | Type | Weight | Value | Shares / par | Country |
|---|---|---|---|---|---|---|
| 1 | Amazon.com Inc2036-03 | Corporate Bond | 0.30% | $207M | 210,087,000 | US |
| 2 | Boeing Co/The2034-05 | Corporate Bond | 0.28% | $192M | 175,730,000 | US |
| 3 | Meta Platforms Inc2035-11 | Corporate Bond | 0.27% | $188M | 192,578,000 | US |
| 4 | Bank of America Corp2033-07 | Corporate Bond | 0.27% | $186M | 184,654,000 | US |
| 5 | Pfizer Investment Enterprises Pte Ltd2033-05 | Corporate Bond | 0.27% | $184M | 185,584,000 | SG |
| 6 | Oracle Corp2036-02 | Corporate Bond | 0.27% | $184M | 187,572,000 | US |
| 7 | Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc2036-02 | Corporate Bond | 0.27% | $183M | 187,527,000 | US |
| 8 | JPMorgan Chase & Co2033-07 | Corporate Bond | 0.25% | $169M | 169,016,000 | US |
| 9 | Vanguard Cmt Funds-Vanguard Market Liquidity Fund | Cash | 0.25% | $169M | 1,685,493 | US |
| 10 | JPMorgan Chase & Co2034-06 | Corporate Bond | 0.24% | $168M | 164,782,000 | US |
| 11 | Alphabet Inc2036-02 | Corporate Bond | 0.24% | $162M | 163,838,000 | US |
| 12 | JPMorgan Chase & Co2036-07 | Corporate Bond | 0.23% | $161M | 158,521,000 | US |
| 13 | Amgen Inc2033-03 | Corporate Bond | 0.23% | $160M | 156,332,000 | US |
| 14 | Goldman Sachs Group Inc/The2037-01 | Corporate Bond | 0.23% | $155M | 158,209,000 | US |
| 15 | Bank of America Corp2033-04 | Corporate Bond | 0.22% | $153M | 155,329,000 | US |
| 16 | Morgan Stanley2037-04 | Corporate Bond | 0.21% | $145M | 145,816,000 | US |
| 17 | Salesforce Inc2036-03 | Corporate Bond | 0.21% | $144M | 143,203,000 | US |
| 18 | Bank of America Corp2037-02 | Corporate Bond | 0.21% | $141M | 142,986,000 | US |
| 19 | Wells Fargo & Co2033-03 | Corporate Bond | 0.20% | $139M | 151,229,000 | US |
| 20 | Bank of America Corp2035-10 | Corporate Bond | 0.20% | $139M | 138,135,000 | US |
| 21 | Oracle Corp2035-09 | Corporate Bond | 0.20% | $138M | 144,834,000 | US |
| 22 | Bank of America Corp2035-01 | Corporate Bond | 0.20% | $137M | 134,516,000 | US |
| 23 | Citigroup Inc2034-05 | Corporate Bond | 0.20% | $135M | 129,251,000 | US |
| 24 | Wells Fargo & Co2034-10 | Corporate Bond | 0.20% | $134M | 123,728,000 | US |
| 25 | JPMorgan Chase & Co2037-04 | Corporate Bond | 0.19% | $133M | 133,712,000 | US |
| 26 | Amazon.com Inc2033-03 | Corporate Bond | 0.19% | $131M | 132,101,000 | US |
| 27 | Morgan Stanley2034-04 | Corporate Bond | 0.19% | $129M | 127,961,000 | US |
| 28 | Goldman Sachs Group Inc/The2032-07 | Corporate Bond | 0.19% | $127M | 144,019,000 | US |
| 29 | JPMorgan Chase & Co2036-04 | Corporate Bond | 0.19% | $127M | 123,663,000 | US |
| 30 | JPMorgan Chase & Co2033-01 | Corporate Bond | 0.18% | $127M | 139,751,000 | US |
| 31 | United States Treasury Note/Bond2031-04 | Treasury | 0.18% | $126M | 126,982,000 | US |
| 32 | Goldman Sachs Group Inc/The2033-02 | Corporate Bond | 0.18% | $125M | 138,100,000 | US |
| 33 | Verizon Communications Inc2032-03 | Corporate Bond | 0.18% | $124M | 141,790,000 | US |
| 34 | Goldman Sachs Group Inc/The2034-04 | Corporate Bond | 0.18% | $123M | 123,048,000 | US |
| 35 | Citigroup Inc2036-01 | Corporate Bond | 0.18% | $122M | 118,822,000 | US |
| 36 | Wells Fargo & Co2036-04 | Corporate Bond | 0.18% | $122M | 118,515,000 | US |
| 37 | Abbott Laboratories2036-03 | Corporate Bond | 0.18% | $121M | 124,886,000 | US |
| 38 | JPMorgan Chase & Co2035-07 | Corporate Bond | 0.18% | $121M | 119,888,000 | US |
| 39 | Wells Fargo & Co2034-07 | Corporate Bond | 0.18% | $121M | 117,397,000 | US |
| 40 | HSBC Holdings PLC2037-03 | Corporate Bond | 0.17% | $120M | 121,630,000 | GB |
| 41 | JPMorgan Chase & Co2037-01 | Corporate Bond | 0.17% | $120M | 123,084,000 | US |
| 42 | Morgan Stanley2036-09 | Corporate Bond | 0.17% | $120M | 137,826,000 | US |
| 43 | Goldman Sachs Group Inc/The2036-10 | Corporate Bond | 0.17% | $120M | 123,419,000 | US |
| 44 | Wells Fargo & Co2035-01 | Corporate Bond | 0.17% | $119M | 116,892,000 | US |
| 45 | Alphabet Inc2035-11 | Corporate Bond | 0.17% | $119M | 120,876,000 | US |
| 46 | Honeywell Aerospace Inc2036-03 | Corporate Bond | 0.17% | $117M | 118,292,000 | US |
| 47 | Morgan Stanley2032-07 | Corporate Bond | 0.17% | $116M | 132,374,000 | US |
| 48 | Citigroup Inc2033-03 | Corporate Bond | 0.17% | $116M | 123,325,000 | US |
| 49 | Morgan Stanley2033-10 | Corporate Bond | 0.17% | $116M | 108,071,000 | US |
| 50 | Wells Fargo & Co2037-01 | Corporate Bond | 0.17% | $114M | 117,168,000 | US |
| 51 | Citigroup Inc2033-01 | Corporate Bond | 0.17% | $114M | 125,737,000 | US |
| 52 | Morgan Stanley2035-04 | Corporate Bond | 0.17% | $113M | 108,837,000 | US |
| 53 | AT&T Inc2034-02 | Corporate Bond | 0.16% | $113M | 110,425,000 | US |
| 54 | JPMorgan Chase & Co2034-10 | Corporate Bond | 0.16% | $113M | 105,059,000 | US |
| 55 | Bank of America Corp2036-02 | Corporate Bond | 0.16% | $112M | 110,009,000 | US |
| 56 | JPMorgan Chase & Co2036-10 | Corporate Bond | 0.16% | $112M | 115,098,000 | US |
| 57 | Morgan Stanley2037-01 | Corporate Bond | 0.16% | $111M | 113,326,000 | US |
| 58 | AbbVie Inc2034-03 | Corporate Bond | 0.16% | $111M | 109,118,000 | US |
| 59 | Bank of America Corp2032-10 | Corporate Bond | 0.16% | $110M | 123,490,000 | US |
| 60 | Citigroup Inc2033-11 | Corporate Bond | 0.16% | $110M | 102,897,000 | US |
| 61 | AerCap Ireland Capital DAC / AerCap Global Aviation Trust2032-01 | Corporate Bond | 0.16% | $110M | 119,873,000 | IE |
| 62 | Morgan Stanley2035-07 | Corporate Bond | 0.16% | $109M | 108,459,000 | US |
| 63 | Goldman Sachs Group Inc/The2035-04 | Corporate Bond | 0.16% | $109M | 105,060,000 | US |
| 64 | Oracle Corp2032-09 | Corporate Bond | 0.16% | $108M | 112,216,000 | US |
| 65 | Wells Fargo & Co2034-04 | Corporate Bond | 0.16% | $108M | 105,898,000 | US |
| 66 | Morgan Stanley2036-04 | Corporate Bond | 0.16% | $107M | 103,820,000 | US |
| 67 | Goldman Sachs Group Inc/The2036-01 | Corporate Bond | 0.16% | $107M | 104,753,000 | US |
| 68 | Meta Platforms Inc2032-08 | Corporate Bond | 0.15% | $106M | 112,210,000 | US |
| 69 | Oracle Corp2033-05 | Corporate Bond | 0.15% | $106M | 108,074,000 | US |
| 70 | Salesforce Inc2031-09 | Corporate Bond | 0.15% | $106M | 106,106,000 | US |
| 71 | JPMorgan Chase & Co2033-09 | Corporate Bond | 0.15% | $106M | 102,563,000 | US |
| 72 | Broadcom Inc2035-07 | Corporate Bond | 0.15% | $106M | 105,370,000 | US |
| 73 | Meta Platforms Inc2032-11 | Corporate Bond | 0.15% | $105M | 106,535,000 | US |
| 74 | PNC Financial Services Group Inc/The2034-10 | Corporate Bond | 0.15% | $104M | 94,430,000 | US |
| 75 | Meta Platforms Inc2036-05 | Corporate Bond | 0.15% | $104M | 104,231,000 | US |
| 76 | Broadcom Inc2034-04 | Corporate Bond | 0.15% | $104M | 115,026,000 | US |
| 77 | Enbridge Inc2033-03 | Corporate Bond | 0.15% | $102M | 98,059,000 | CA |
| 78 | Goldman Sachs Group Inc/The2035-07 | Corporate Bond | 0.15% | $101M | 100,880,000 | US |
| 79 | Bank of America Corp2033-02 | Corporate Bond | 0.15% | $100M | 110,291,000 | US |
| 80 | Philip Morris International Inc2033-02 | Corporate Bond | 0.14% | $97M | 94,671,000 | US |
| 81 | Ally Financial Inc2031-11 | Corporate Bond | 0.14% | $97M | 87,256,000 | US |
| 82 | Ford Motor Co2032-02 | Corporate Bond | 0.14% | $97M | 108,966,000 | US |
| 83 | Bank of America Corp2034-04 | Corporate Bond | 0.14% | $96M | 95,027,000 | US |
| 84 | Bristol-Myers Squibb Co2034-02 | Corporate Bond | 0.14% | $96M | 94,045,000 | US |
| 85 | Broadcom Inc2035-11 | Corporate Bond | 0.14% | $96M | 112,881,000 | US |
| 86 | Bank of America Corp2034-09 | Corporate Bond | 0.14% | $95M | 90,347,000 | US |
| 87 | JPMorgan Chase & Co2035-01 | Corporate Bond | 0.14% | $94M | 93,032,000 | US |
| 88 | Verizon Communications Inc2033-08 | Corporate Bond | 0.14% | $94M | 96,184,000 | US |
| 89 | Citigroup Inc2035-02 | Corporate Bond | 0.14% | $93M | 91,294,000 | US |
| 90 | Goldman Sachs Group Inc/The2032-10 | Corporate Bond | 0.13% | $92M | 103,451,000 | US |
| 91 | Barclays PLC2036-02 | Corporate Bond | 0.13% | $91M | 89,081,000 | GB |
| 92 | Wells Fargo & Co2035-12 | Corporate Bond | 0.13% | $91M | 90,680,000 | US |
| 93 | HSBC Holdings PLC2034-06 | Corporate Bond | 0.13% | $90M | 84,923,000 | GB |
| 94 | HSBC Holdings PLC2033-11 | Corporate Bond | 0.13% | $90M | 78,240,000 | GB |
| 95 | AT&T Inc2033-12 | Corporate Bond | 0.13% | $90M | 105,851,000 | US |
| 96 | Verizon Communications Inc2036-01 | Corporate Bond | 0.13% | $89M | 91,129,000 | US |
| 97 | Bank of America Corp2035-08 | Corporate Bond | 0.13% | $89M | 88,531,000 | US |
| 98 | Bank of America Corp2032-07 | Corporate Bond | 0.13% | $89M | 100,561,000 | US |
| 99 | American Express Co2036-10 | Corporate Bond | 0.13% | $88M | 91,433,000 | US |
| 100 | US Bancorp2035-01 | Corporate Bond | 0.13% | $88M | 85,454,000 | US |
| 101 | Amazon.com Inc2032-04 | Corporate Bond | 0.13% | $87M | 91,423,000 | US |
| 102 | Broadcom Inc2032-11 | Corporate Bond | 0.13% | $86M | 88,438,000 | US |
| 103 | BP Capital Markets America Inc2034-11 | Corporate Bond | 0.13% | $86M | 84,353,000 | US |
| 104 | Novartis Capital Corp2036-03 | Corporate Bond | 0.12% | $85M | 85,631,000 | US |
| 105 | HSBC Holdings PLC2034-03 | Corporate Bond | 0.12% | $85M | 79,942,000 | GB |
| 106 | Capital One Financial Corp2034-06 | Corporate Bond | 0.12% | $85M | 80,146,000 | US |
| 107 | AT&T Inc2032-02 | Corporate Bond | 0.12% | $85M | 97,096,000 | US |
| 108 | Verizon Communications Inc2035-02 | Corporate Bond | 0.12% | $85M | 87,026,000 | US |
| 109 | Intel Corp2033-02 | Corporate Bond | 0.12% | $85M | 83,467,000 | US |
| 110 | Citigroup Inc2036-03 | Corporate Bond | 0.12% | $84M | 83,850,000 | US |
| 111 | Morgan Stanley2032-10 | Corporate Bond | 0.12% | $84M | 94,611,000 | US |
| 112 | Wells Fargo & Co2033-07 | Corporate Bond | 0.12% | $84M | 83,884,000 | US |
| 113 | Citibank NA2034-04 | Corporate Bond | 0.12% | $84M | 80,241,000 | US |
| 114 | Barclays PLC2033-11 | Corporate Bond | 0.12% | $83M | 74,446,000 | GB |
| 115 | Synopsys Inc2035-04 | Corporate Bond | 0.12% | $83M | 83,289,000 | US |
| 116 | Morgan Stanley2033-07 | Corporate Bond | 0.12% | $83M | 83,052,000 | US |
| 117 | US Bancorp2034-06 | Corporate Bond | 0.12% | $83M | 79,224,000 | US |
| 118 | Morgan Stanley2035-01 | Corporate Bond | 0.12% | $82M | 80,916,000 | US |
| 119 | BP Capital Markets America Inc2033-02 | Corporate Bond | 0.12% | $82M | 82,009,000 | US |
| 120 | Bank of America Corp2036-05 | Corporate Bond | 0.12% | $82M | 79,991,000 | US |
| 121 | HSBC Holdings PLC2033-08 | Corporate Bond | 0.12% | $82M | 80,468,000 | GB |
| 122 | Philip Morris International Inc2034-02 | Corporate Bond | 0.12% | $82M | 80,091,000 | US |
| 123 | Charter Communications Operating LLC / Charter Communications Operating Capital2035-10 | Corporate Bond | 0.12% | $81M | 80,553,000 | US |
| 124 | Meta Platforms Inc2034-08 | Corporate Bond | 0.12% | $80M | 81,728,000 | US |
| 125 | Broadcom Inc2032-07 | Corporate Bond | 0.12% | $80M | 79,805,000 | US |
| 126 | Barclays PLC2034-05 | Corporate Bond | 0.12% | $80M | 75,556,000 | GB |
| 127 | Sprint Capital Corp2032-03 | Corporate Bond | 0.12% | $79M | 66,905,000 | US |
| 128 | Royal Bank of Canada2033-02 | Corporate Bond | 0.12% | $79M | 78,518,000 | CA |
| 129 | Verizon Communications Inc2035-04 | Corporate Bond | 0.11% | $79M | 78,220,000 | US |
| 130 | AbbVie Inc2035-03 | Corporate Bond | 0.11% | $79M | 80,736,000 | US |
| 131 | Marsh & McLennan Cos Inc2035-03 | Corporate Bond | 0.11% | $78M | 78,934,000 | US |
| 132 | HSBC Holdings PLC2034-11 | Corporate Bond | 0.11% | $78M | 70,304,000 | GB |
| 133 | Novartis Capital Corp2033-03 | Corporate Bond | 0.11% | $78M | 78,595,000 | US |
| 134 | PNC Financial Services Group Inc/The2036-01 | Corporate Bond | 0.11% | $78M | 76,171,000 | US |
| 135 | Truist Financial Corp2034-06 | Corporate Bond | 0.11% | $78M | 74,844,000 | US |
| 136 | Merck & Co Inc2035-09 | Corporate Bond | 0.11% | $78M | 77,642,000 | US |
| 137 | Broadcom Inc2033-04 | Corporate Bond | 0.11% | $77M | 84,552,000 | US |
| 138 | Abbott Laboratories2033-03 | Corporate Bond | 0.11% | $77M | 79,185,000 | US |
| 139 | Morgan Stanley2034-11 | Corporate Bond | 0.11% | $77M | 70,421,000 | US |
| 140 | Salesforce Inc2033-03 | Corporate Bond | 0.11% | $77M | 76,328,000 | US |
| 141 | PNC Financial Services Group Inc/The2035-01 | Corporate Bond | 0.11% | $76M | 74,040,000 | US |
| 142 | American Express Co2036-04 | Corporate Bond | 0.11% | $76M | 73,494,000 | US |
| 143 | Goldman Sachs Group Inc/The2035-10 | Corporate Bond | 0.11% | $76M | 76,624,000 | US |
| 144 | Eaton Corp2036-03 | Corporate Bond | 0.11% | $75M | 76,630,000 | US |
| 145 | AbbVie Inc2035-05 | Corporate Bond | 0.11% | $75M | 77,952,000 | US |
| 146 | Bank of America Corp2037-04 | Corporate Bond | 0.11% | $75M | 75,617,000 | US |
| 147 | American Express Co2033-07 | Corporate Bond | 0.11% | $75M | 74,589,000 | US |
| 148 | HCA Inc2035-03 | Corporate Bond | 0.11% | $75M | 72,399,000 | US |
| 149 | JPMorgan Chase & Co2037-02 | Corporate Bond | 0.11% | $74M | 75,575,000 | US |
| 150 | HSBC Holdings PLC2033-03 | Corporate Bond | 0.11% | $74M | 76,074,000 | GB |
| 151 | Mitsubishi UFJ Financial Group Inc2036-04 | Corporate Bond | 0.11% | $74M | 71,658,000 | JP |
| 152 | General Electric Co2032-03 | Corporate Bond | 0.11% | $74M | 66,700,000 | US |
| 153 | Uber Technologies Inc2034-09 | Corporate Bond | 0.11% | $73M | 75,072,000 | US |
| 154 | Kinder Morgan Inc2033-06 | Corporate Bond | 0.11% | $73M | 72,170,000 | US |
| 155 | Sumitomo Mitsui Financial Group Inc2033-01 | Corporate Bond | 0.11% | $73M | 70,216,000 | JP |
| 156 | Intercontinental Exchange Inc2033-03 | Corporate Bond | 0.11% | $73M | 74,091,000 | US |
| 157 | Amazon.com Inc2033-03 | Corporate Bond | 0.11% | $73M | 74,795,000 | US |
| 158 | Bank of America Corp2036-01 | Corporate Bond | 0.11% | $73M | 71,400,000 | US |
| 159 | ING Groep NV2035-03 | Corporate Bond | 0.11% | $72M | 71,053,000 | NL |
| 160 | Lloyds Banking Group PLC2035-01 | Corporate Bond | 0.11% | $72M | 70,439,000 | GB |
| 161 | Bank of America Corp2036-09 | Corporate Bond | 0.11% | $72M | 83,055,000 | US |
| 162 | Merck & Co Inc2035-12 | Corporate Bond | 0.11% | $72M | 73,772,000 | US |
| 163 | Haleon US Capital LLC2032-03 | Corporate Bond | 0.10% | $72M | 76,501,000 | US |
| 164 | Alphabet Inc2033-02 | Corporate Bond | 0.10% | $72M | 72,713,000 | US |
| 165 | Amazon.com Inc2031-05 | Corporate Bond | 0.10% | $71M | 79,719,000 | US |
| 166 | T-Mobile USA Inc2033-07 | Corporate Bond | 0.10% | $71M | 70,463,000 | US |
| 167 | Sumitomo Mitsui Financial Group Inc2034-07 | Corporate Bond | 0.10% | $71M | 68,745,000 | JP |
| 168 | JPMorgan Chase & Co2035-04 | Corporate Bond | 0.10% | $70M | 67,536,000 | US |
| 169 | Intel Corp2036-05 | Corporate Bond | 0.10% | $70M | 70,218,000 | US |
| 170 | HSBC Holdings PLC2036-03 | Corporate Bond | 0.10% | $70M | 69,379,000 | GB |
| 171 | CVS Health Corp2035-09 | Corporate Bond | 0.10% | $70M | 68,805,000 | US |
| 172 | Florida Power & Light Co2032-02 | Corporate Bond | 0.10% | $70M | 77,872,000 | US |
| 173 | Kroger Co/The2034-09 | Corporate Bond | 0.10% | $69M | 70,033,000 | US |
| 174 | UnitedHealth Group Inc2032-01 | Corporate Bond | 0.10% | $69M | 68,560,000 | US |
| 175 | Charles Schwab Corp/The2034-05 | Corporate Bond | 0.10% | $69M | 66,082,000 | US |
| 176 | RTX Corp2034-03 | Corporate Bond | 0.10% | $69M | 64,388,000 | US |
| 177 | Rio Tinto Finance USA PLC2035-03 | Corporate Bond | 0.10% | $69M | 67,642,000 | GB |
| 178 | Morgan Stanley2033-01 | Corporate Bond | 0.10% | $69M | 76,376,000 | US |
| 179 | Meta Platforms Inc2033-05 | Corporate Bond | 0.10% | $68M | 68,099,000 | US |
| 180 | Bank of New York Mellon Corp/The2033-10 | Corporate Bond | 0.10% | $67M | 64,001,000 | US |
| 181 | Goldman Sachs Group Inc/The2041-02 | Corporate Bond | 0.10% | $67M | 69,051,000 | US |
| 182 | Amazon.com Inc2032-12 | Corporate Bond | 0.10% | $67M | 66,469,000 | US |
| 183 | Canadian Pacific Railway Co2031-12 | Corporate Bond | 0.10% | $67M | 75,201,000 | CA |
| 184 | Duke Energy Carolinas LLC2033-01 | Corporate Bond | 0.10% | $67M | 66,001,000 | US |
| 185 | HCA Inc2032-03 | Corporate Bond | 0.10% | $67M | 71,839,000 | US |
| 186 | Baxter International Inc2032-02 | Corporate Bond | 0.10% | $67M | 78,168,000 | US |
| 187 | Truist Financial Corp2035-01 | Corporate Bond | 0.10% | $67M | 64,825,000 | US |
| 188 | EOG Resources Inc2032-07 | Corporate Bond | 0.10% | $66M | 65,630,000 | US |
| 189 | Comcast Corp2034-06 | Corporate Bond | 0.10% | $66M | 65,337,000 | US |
| 190 | Mitsubishi UFJ Financial Group Inc2032-07 | Corporate Bond | 0.10% | $66M | 74,929,000 | JP |
| 191 | BHP Billiton Finance USA Ltd2035-02 | Corporate Bond | 0.10% | $66M | 64,659,000 | AU |
| 192 | PepsiCo Inc2035-07 | Corporate Bond | 0.10% | $66M | 65,472,000 | US |
| 193 | Hewlett Packard Enterprise Co2031-10 | Corporate Bond | 0.10% | $66M | 65,813,000 | US |
| 194 | Cigna Group/The2032-09 | Corporate Bond | 0.10% | $65M | 65,350,000 | US |
| 195 | Chubb INA Holdings LLC2035-08 | Corporate Bond | 0.10% | $65M | 66,269,000 | US |
| 196 | Johnson & Johnson2032-03 | Corporate Bond | 0.10% | $65M | 63,696,000 | US |
| 197 | TransCanada PipeLines Ltd2034-03 | Corporate Bond | 0.09% | $65M | 67,031,000 | CA |
| 198 | Barclays PLC2034-06 | Corporate Bond | 0.09% | $64M | 58,847,000 | GB |
| 199 | Lowe's Cos Inc2032-10 | Corporate Bond | 0.09% | $64M | 65,505,000 | US |
| 200 | Bristol-Myers Squibb Co2032-03 | Corporate Bond | 0.09% | $64M | 70,113,000 | US |
| 201 | Citigroup Inc2036-09 | Corporate Bond | 0.09% | $64M | 64,429,000 | US |
| 202 | Cheniere Energy Partners LP2033-06 | Corporate Bond | 0.09% | $64M | 61,175,000 | US |
| 203 | ONEOK Inc2033-09 | Corporate Bond | 0.09% | $64M | 60,818,000 | US |
| 204 | JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings2033-04 | Corporate Bond | 0.09% | $64M | 62,029,000 | NL |
| 205 | BP Capital Markets America Inc2033-09 | Corporate Bond | 0.09% | $64M | 63,717,000 | US |
| 206 | Banco Santander SA2033-08 | Corporate Bond | 0.09% | $64M | 58,488,000 | ES |
| 207 | Mitsubishi UFJ Financial Group Inc2035-04 | Corporate Bond | 0.09% | $63M | 62,080,000 | JP |
| 208 | Pfizer Inc2035-11 | Corporate Bond | 0.09% | $63M | 63,792,000 | US |
| 209 | Regal Rexnord Corp2033-04 | Corporate Bond | 0.09% | $63M | 59,461,300 | US |
| 210 | CVS Health Corp2034-06 | Corporate Bond | 0.09% | $63M | 60,848,000 | US |
| 211 | ONEOK Inc2034-11 | Corporate Bond | 0.09% | $63M | 63,825,000 | US |
| 212 | HSBC Holdings PLC2035-11 | Corporate Bond | 0.09% | $63M | 61,273,000 | GB |
| 213 | Barclays PLC2034-09 | Corporate Bond | 0.09% | $62M | 57,792,000 | GB |
| 214 | S&P Global Inc2032-03 | Corporate Bond | 0.09% | $62M | 67,678,000 | US |
| 215 | AT&T Inc2031-06 | Corporate Bond | 0.09% | $62M | 67,661,000 | US |
| 216 | Walmart Inc2035-04 | Corporate Bond | 0.09% | $62M | 60,886,000 | US |
| 217 | PacifiCorp2034-02 | Corporate Bond | 0.09% | $61M | 60,458,000 | US |
| 218 | Morgan Stanley2038-01 | Corporate Bond | 0.09% | $61M | 58,897,000 | US |
| 219 | Takeda US Financing Inc2035-07 | Corporate Bond | 0.09% | $61M | 60,669,000 | US |
| 220 | MPLX LP2035-09 | Corporate Bond | 0.09% | $60M | 60,437,000 | US |
| 221 | Capital One Financial Corp2036-01 | Corporate Bond | 0.09% | $60M | 59,104,000 | US |
| 222 | Energy Transfer LP2033-12 | Corporate Bond | 0.09% | $60M | 55,338,000 | US |
| 223 | Virginia Electric and Power Co2036-03 | Corporate Bond | 0.09% | $60M | 61,146,000 | US |
| 224 | United Parcel Service Inc2035-05 | Corporate Bond | 0.09% | $60M | 58,786,000 | US |
| 225 | Cheniere Energy Partners LP2034-08 | Corporate Bond | 0.09% | $60M | 57,943,000 | US |
| 226 | Aon North America Inc2034-03 | Corporate Bond | 0.09% | $60M | 58,778,000 | US |
| 227 | Intercontinental Exchange Inc2032-09 | Corporate Bond | 0.09% | $60M | 70,872,000 | US |
| 228 | Southern Co/The2055-03 | Corporate Bond | 0.09% | $60M | 58,011,000 | US |
| 229 | Bank of New York Mellon Corp/The2035-03 | Corporate Bond | 0.09% | $60M | 58,725,000 | US |
| 230 | Alphabet Inc2032-11 | Corporate Bond | 0.09% | $60M | 60,329,000 | US |
| 231 | Cigna Group/The2036-01 | Corporate Bond | 0.09% | $59M | 59,220,000 | US |
| 232 | Citizens Financial Group Inc2032-07 | Corporate Bond | 0.09% | $59M | 57,832,000 | US |
| 233 | RTX Corp2033-02 | Corporate Bond | 0.09% | $59M | 57,996,000 | US |
| 234 | Medtronic Inc2035-03 | Corporate Bond | 0.09% | $59M | 61,283,000 | US |
| 235 | Lowe's Cos Inc2035-10 | Corporate Bond | 0.09% | $59M | 60,530,000 | US |
| 236 | UnitedHealth Group Inc2032-05 | Corporate Bond | 0.09% | $59M | 60,566,000 | US |
| 237 | AT&T Inc2035-05 | Corporate Bond | 0.09% | $59M | 61,975,000 | US |
| 238 | Cisco Systems Inc2032-02 | Corporate Bond | 0.09% | $59M | 57,818,000 | US |
| 239 | Mitsubishi UFJ Financial Group Inc2037-01 | Corporate Bond | 0.09% | $59M | 59,565,000 | JP |
| 240 | Newmont Corp / Newcrest Finance Pty Ltd2034-03 | Corporate Bond | 0.09% | $59M | 56,897,000 | US |
| 241 | Marsh & McLennan Cos Inc2031-11 | Corporate Bond | 0.09% | $59M | 58,092,000 | US |
| 242 | Amphenol Corp2036-02 | Corporate Bond | 0.09% | $58M | 60,568,000 | US |
| 243 | Merck & Co Inc2031-12 | Corporate Bond | 0.09% | $58M | 66,161,000 | US |
| 244 | Northrop Grumman Corp2033-03 | Corporate Bond | 0.09% | $58M | 58,795,000 | US |
| 245 | Plains All American Pipeline LP2035-06 | Corporate Bond | 0.09% | $58M | 56,464,000 | US |
| 246 | General Motors Financial Co Inc2035-01 | Corporate Bond | 0.08% | $58M | 56,468,000 | US |
| 247 | Altria Group Inc2032-02 | Corporate Bond | 0.08% | $58M | 66,003,000 | US |
| 248 | Home Depot Inc/The2032-04 | Corporate Bond | 0.08% | $58M | 62,354,000 | US |
| 249 | Enterprise Products Operating LLC2035-02 | Corporate Bond | 0.08% | $58M | 58,203,000 | US |
| 250 | Cisco Systems Inc2035-02 | Corporate Bond | 0.08% | $58M | 57,241,000 | US |
| 251 | Cheniere Energy Inc2034-04 | Corporate Bond | 0.08% | $58M | 56,321,000 | US |
| 252 | Mizuho Financial Group Inc2036-07 | Corporate Bond | 0.08% | $58M | 57,685,000 | JP |
| 253 | Arthur J Gallagher & Co2035-02 | Corporate Bond | 0.08% | $58M | 58,343,000 | US |
| 254 | AT&T Inc2033-04 | Corporate Bond | 0.08% | $58M | 58,491,000 | US |
| 255 | Unilever Capital Corp2032-11 | Corporate Bond | 0.08% | $58M | 53,672,000 | US |
| 256 | Deutsche Bank AG/New York NY2034-02 | Corporate Bond | 0.08% | $58M | 53,665,000 | DE |
| 257 | Energy Transfer LP2034-09 | Corporate Bond | 0.08% | $58M | 56,314,000 | US |
| 258 | Cisco Systems Inc2034-02 | Corporate Bond | 0.08% | $57M | 56,738,000 | US |
| 259 | Rogers Communications Inc2032-03 | Corporate Bond | 0.08% | $57M | 61,631,000 | CA |
| 260 | Jefferies Financial Group Inc2036-02 | Corporate Bond | 0.08% | $57M | 59,000,000 | US |
| 261 | UnitedHealth Group Inc2035-06 | Corporate Bond | 0.08% | $57M | 56,355,000 | US |
| 262 | Mitsubishi UFJ Financial Group Inc2033-07 | Corporate Bond | 0.08% | $57M | 56,786,000 | JP |
| 263 | HCA Inc2034-09 | Corporate Bond | 0.08% | $57M | 56,495,000 | US |
| 264 | AerCap Ireland Capital DAC / AerCap Global Aviation Trust2033-10 | Corporate Bond | 0.08% | $57M | 64,034,000 | IE |
| 265 | L3Harris Technologies Inc2033-07 | Corporate Bond | 0.08% | $57M | 55,514,000 | US |
| 266 | CRH America Finance Inc2035-01 | Corporate Bond | 0.08% | $57M | 55,740,000 | US |
| 267 | Smurfit Kappa Treasury ULC2034-04 | Corporate Bond | 0.08% | $57M | 55,921,000 | IE |
| 268 | T-Mobile USA Inc2033-01 | Corporate Bond | 0.08% | $57M | 55,744,000 | US |
| 269 | Fox Corp2033-10 | Corporate Bond | 0.08% | $57M | 52,649,000 | US |
| 270 | Eli Lilly & Co2032-10 | Corporate Bond | 0.08% | $57M | 56,864,000 | US |
| 271 | BAT Capital Corp2032-08 | Corporate Bond | 0.08% | $57M | 55,168,000 | US |
| 272 | Dell International LLC / EMC Corp2034-04 | Corporate Bond | 0.08% | $56M | 55,059,000 | US |
| 273 | UnitedHealth Group Inc2034-04 | Corporate Bond | 0.08% | $56M | 56,123,000 | US |
| 274 | Banco Santander SA2033-11 | Corporate Bond | 0.08% | $56M | 50,097,000 | ES |
| 275 | T-Mobile USA Inc2034-04 | Corporate Bond | 0.08% | $56M | 55,709,000 | US |
| 276 | Duke Energy Corp2032-08 | Corporate Bond | 0.08% | $56M | 57,019,000 | US |
| 277 | Global Payments Inc2035-11 | Corporate Bond | 0.08% | $56M | 57,519,000 | US |
| 278 | NatWest Group PLC2035-03 | Corporate Bond | 0.08% | $56M | 54,127,000 | GB |
| 279 | Broadcom Inc2032-04 | Corporate Bond | 0.08% | $56M | 54,823,000 | US |
| 280 | Morgan Stanley2032-04 | Corporate Bond | 0.08% | $56M | 49,509,000 | US |
| 281 | Prudential Financial Inc2052-03 | Corporate Bond | 0.08% | $56M | 57,061,000 | US |
| 282 | JPMorgan Chase & Co2032-11 | Corporate Bond | 0.08% | $56M | 62,499,000 | US |
| 283 | Marathon Petroleum Corp2035-03 | Corporate Bond | 0.08% | $56M | 54,075,000 | US |
| 284 | Apple Inc2032-05 | Corporate Bond | 0.08% | $56M | 54,896,000 | US |
| 285 | Apple Inc2035-05 | Corporate Bond | 0.08% | $56M | 54,972,000 | US |
| 286 | Micron Technology Inc2032-04 | Corporate Bond | 0.08% | $56M | 61,863,000 | US |
| 287 | Williams Cos Inc/The2032-08 | Corporate Bond | 0.08% | $56M | 56,148,000 | US |
| 288 | Gilead Sciences Inc2035-06 | Corporate Bond | 0.08% | $55M | 54,970,000 | US |
| 289 | Pacific Gas and Electric Co2035-03 | Corporate Bond | 0.08% | $55M | 54,517,000 | US |
| 290 | Dominion Energy Inc2032-11 | Corporate Bond | 0.08% | $55M | 53,786,000 | US |
| 291 | McDonald's Corp2035-03 | Corporate Bond | 0.08% | $55M | 55,170,000 | US |
| 292 | HSBC Holdings PLC2034-05 | Corporate Bond | 0.08% | $55M | 55,100,000 | GB |
| 293 | Capital One Financial Corp2034-02 | Corporate Bond | 0.08% | $55M | 53,357,000 | US |
| 294 | CDW LLC / CDW Finance Corp2031-12 | Corporate Bond | 0.08% | $55M | 59,868,000 | US |
| 295 | BP Capital Markets America Inc2034-04 | Corporate Bond | 0.08% | $55M | 54,452,000 | US |
| 296 | HSBC Holdings PLC2036-05 | Corporate Bond | 0.08% | $55M | 52,955,000 | GB |
| 297 | Chevron USA Inc2032-10 | Corporate Bond | 0.08% | $55M | 54,659,000 | US |
| 298 | Charles Schwab Corp/The2032-03 | Corporate Bond | 0.08% | $55M | 60,136,000 | US |
| 299 | Florida Power & Light Co2034-06 | Corporate Bond | 0.08% | $55M | 53,230,000 | US |
| 300 | Westpac Banking Corp2035-11 | Corporate Bond | 0.08% | $55M | 53,926,000 | AU |
| 301 | Oracle Corp2034-09 | Corporate Bond | 0.08% | $54M | 58,425,000 | US |
| 302 | Amrize Finance US LLC2035-04 | Corporate Bond | 0.08% | $54M | 53,318,000 | US |
| 303 | Amphenol Corp2033-02 | Corporate Bond | 0.08% | $54M | 55,425,000 | US |
| 304 | HSBC Holdings PLC2036-09 | Corporate Bond | 0.08% | $54M | 53,512,000 | GB |
| 305 | Lockheed Martin Corp2033-01 | Corporate Bond | 0.08% | $54M | 51,954,000 | US |
| 306 | AT&T Inc2032-11 | Corporate Bond | 0.08% | $54M | 54,810,000 | US |
| 307 | Intel Corp2031-08 | Corporate Bond | 0.08% | $54M | 61,637,000 | US |
| 308 | Toronto-Dominion Bank/The2035-10 | Corporate Bond | 0.08% | $54M | 54,729,000 | CA |
| 309 | American Electric Power Co Inc2033-03 | Corporate Bond | 0.08% | $54M | 51,784,000 | US |
| 310 | American Express Co2036-01 | Corporate Bond | 0.08% | $54M | 52,595,000 | US |
| 311 | PepsiCo Inc2032-07 | Corporate Bond | 0.08% | $54M | 53,306,000 | US |
| 312 | Targa Resources Corp2035-02 | Corporate Bond | 0.08% | $53M | 52,399,000 | US |
| 313 | Southern California Edison Co2035-03 | Corporate Bond | 0.08% | $53M | 53,305,000 | US |
| 314 | Philip Morris International Inc2032-10 | Corporate Bond | 0.08% | $53M | 54,805,000 | US |
| 315 | General Motors Co2032-10 | Corporate Bond | 0.08% | $53M | 51,605,000 | US |
| 316 | Synopsys Inc2032-04 | Corporate Bond | 0.08% | $53M | 52,793,000 | US |
| 317 | JPMorgan Chase & Co2035-10 | Corporate Bond | 0.08% | $53M | 53,653,000 | US |
| 318 | Union Pacific Corp2035-02 | Corporate Bond | 0.08% | $53M | 52,002,000 | US |
| 319 | RTX Corp2032-03 | Corporate Bond | 0.08% | $53M | 59,721,000 | US |
| 320 | Tyson Foods Inc2034-03 | Corporate Bond | 0.08% | $53M | 50,842,000 | US |
| 321 | HSBC Holdings PLC2032-11 | Corporate Bond | 0.08% | $53M | 58,536,000 | GB |
| 322 | Walmart Inc2031-09 | Corporate Bond | 0.08% | $53M | 59,400,000 | US |
| 323 | NXP BV / NXP Funding LLC / NXP USA Inc2032-02 | Corporate Bond | 0.08% | $52M | 59,001,000 | |
| 324 | Targa Resources Corp2034-03 | Corporate Bond | 0.08% | $52M | 48,319,000 | US |
| 325 | Capital One Financial Corp2034-11 | Corporate Bond | 0.08% | $52M | 45,291,000 | US |
| 326 | Comcast Corp2033-01 | Corporate Bond | 0.08% | $52M | 54,087,000 | US |
| 327 | J M Smucker Co/The2033-11 | Corporate Bond | 0.08% | $52M | 48,659,000 | US |
| 328 | Woodside Finance Ltd2035-05 | Corporate Bond | 0.08% | $52M | 49,630,000 | AU |
| 329 | PNC Financial Services Group Inc/The2032-10 | Corporate Bond | 0.08% | $52M | 52,000,000 | US |
| 330 | NiSource Inc2035-07 | Corporate Bond | 0.08% | $52M | 51,275,000 | US |
| 331 | General Motors Financial Co Inc2032-04 | Corporate Bond | 0.08% | $52M | 50,433,000 | US |
| 332 | General Motors Financial Co Inc2034-04 | Corporate Bond | 0.08% | $52M | 49,880,000 | US |
| 333 | Automatic Data Processing Inc2032-05 | Corporate Bond | 0.08% | $52M | 51,517,000 | US |
| 334 | Phillips 66 Co2033-06 | Corporate Bond | 0.08% | $52M | 50,799,000 | US |
| 335 | Oracle Corp2032-11 | Corporate Bond | 0.08% | $52M | 49,857,000 | US |
| 336 | Merck & Co Inc2032-12 | Corporate Bond | 0.08% | $52M | 52,304,000 | US |
| 337 | ING Groep NV2037-03 | Corporate Bond | 0.08% | $52M | 51,434,000 | NL |
| 338 | Ameriprise Financial Inc2035-04 | Corporate Bond | 0.07% | $51M | 51,151,000 | US |
| 339 | HSBC Holdings PLC2036-11 | Corporate Bond | 0.07% | $51M | 52,119,000 | GB |
| 340 | HCA Inc2034-04 | Corporate Bond | 0.07% | $51M | 50,073,000 | US |
| 341 | Capital One Financial Corp2035-07 | Corporate Bond | 0.07% | $51M | 49,843,000 | US |
| 342 | Diamondback Energy Inc2035-04 | Corporate Bond | 0.07% | $51M | 49,565,000 | US |
| 343 | Williams Cos Inc/The2034-03 | Corporate Bond | 0.07% | $51M | 50,896,000 | US |
| 344 | Elevance Health Inc2035-02 | Corporate Bond | 0.07% | $51M | 50,845,000 | US |
| 345 | PNC Financial Services Group Inc/The2033-06 | Corporate Bond | 0.07% | $51M | 52,451,000 | US |
| 346 | BlackRock Funding Inc/DE2033-05 | Corporate Bond | 0.07% | $51M | 50,388,000 | US |
| 347 | AbbVie Inc2036-03 | Corporate Bond | 0.07% | $51M | 51,768,000 | US |
| 348 | State Street Corp2032-10 | Corporate Bond | 0.07% | $51M | 50,890,000 | US |
| 349 | Morgan Stanley2037-04 | Corporate Bond | 0.07% | $51M | 50,673,000 | US |
| 350 | Procter & Gamble Co/The2032-11 | Corporate Bond | 0.07% | $51M | 51,499,000 | US |
| 351 | MetLife Inc2034-12 | Corporate Bond | 0.07% | $51M | 49,348,000 | US |
| 352 | M&T Bank Corp2034-01 | Corporate Bond | 0.07% | $50M | 50,861,000 | US |
| 353 | Paychex Inc2032-04 | Corporate Bond | 0.07% | $50M | 49,756,000 | US |
| 354 | Pfizer Inc2031-08 | Corporate Bond | 0.07% | $50M | 57,381,000 | US |
| 355 | Mastercard Inc2032-01 | Corporate Bond | 0.07% | $50M | 50,636,000 | US |
| 356 | CVS Health Corp2031-02 | Corporate Bond | 0.07% | $50M | 56,954,025 | US |
| 357 | UnitedHealth Group Inc2033-02 | Corporate Bond | 0.07% | $50M | 48,552,000 | US |
| 358 | Ford Motor Credit Co LLC2032-03 | Corporate Bond | 0.07% | $50M | 48,047,000 | US |
| 359 | Capital One Financial Corp2032-11 | Corporate Bond | 0.07% | $50M | 45,813,000 | US |
| 360 | Eli Lilly & Co2035-02 | Corporate Bond | 0.07% | $50M | 48,827,000 | US |
| 361 | ConocoPhillips Co2035-01 | Corporate Bond | 0.07% | $50M | 49,713,000 | US |
| 362 | Lowe's Cos Inc2032-04 | Corporate Bond | 0.07% | $50M | 52,522,000 | US |
| 363 | Bell Telephone Co of Canada or Bell Canada2033-05 | Corporate Bond | 0.07% | $50M | 49,475,000 | CA |
| 364 | Owens Corning2034-06 | Corporate Bond | 0.07% | $50M | 47,991,000 | US |
| 365 | PNC Financial Services Group Inc/The2033-10 | Corporate Bond | 0.07% | $50M | 47,105,000 | US |
| 366 | Diamondback Energy Inc2034-04 | Corporate Bond | 0.07% | $50M | 48,522,000 | US |
| 367 | Broadcom Inc2033-01 | Corporate Bond | 0.07% | $50M | 50,337,000 | US |
| 368 | Waste Management Inc2032-04 | Corporate Bond | 0.07% | $50M | 50,699,000 | US |
| 369 | Enbridge Inc2034-04 | Corporate Bond | 0.07% | $50M | 47,850,000 | CA |
| 370 | Oracle Corp2033-02 | Corporate Bond | 0.07% | $49M | 51,461,000 | US |
| 371 | Capital One Financial Corp2036-09 | Corporate Bond | 0.07% | $49M | 50,713,000 | US |
| 372 | Solventum Corp2034-03 | Corporate Bond | 0.07% | $49M | 48,096,000 | US |
| 373 | Campbell's Company/The2034-03 | Corporate Bond | 0.07% | $49M | 50,732,000 | US |
| 374 | Ford Motor Credit Co LLC2034-03 | Corporate Bond | 0.07% | $49M | 48,547,000 | US |
| 375 | Toronto-Dominion Bank/The2032-03 | Corporate Bond | 0.07% | $49M | 53,416,000 | CA |
| 376 | Accenture Capital Inc2034-10 | Corporate Bond | 0.07% | $49M | 50,825,000 | US |
| 377 | BHP Billiton Finance USA Ltd2032-02 | Corporate Bond | 0.07% | $49M | 48,138,000 | AU |
| 378 | NextEra Energy Capital Holdings Inc2033-02 | Corporate Bond | 0.07% | $49M | 48,730,000 | US |
| 379 | Halliburton Co2035-11 | Corporate Bond | 0.07% | $49M | 50,353,000 | US |
| 380 | UnitedHealth Group Inc2034-07 | Corporate Bond | 0.07% | $49M | 48,444,000 | US |
| 381 | PepsiCo Inc2035-02 | Corporate Bond | 0.07% | $49M | 48,556,000 | US |
| 382 | Mitsubishi UFJ Financial Group Inc2037-04 | Corporate Bond | 0.07% | $49M | 48,693,000 | JP |
| 383 | Morgan Stanley2034-07 | Corporate Bond | 0.07% | $49M | 47,875,000 | US |
| 384 | Kenvue Inc2032-05 | Corporate Bond | 0.07% | $49M | 48,308,000 | US |
| 385 | Archer-Daniels-Midland Co2032-03 | Corporate Bond | 0.07% | $49M | 53,319,000 | US |
| 386 | US Bancorp2037-01 | Corporate Bond | 0.07% | $49M | 49,350,000 | US |
| 387 | Pacific Gas and Electric Co2034-03 | Corporate Bond | 0.07% | $48M | 44,285,000 | US |
| 388 | Southern Copper Corp2035-07 | Corporate Bond | 0.07% | $48M | 41,725,000 | US |
| 389 | Royal Bank of Canada2034-02 | Corporate Bond | 0.07% | $48M | 47,284,000 | CA |
| 390 | Williams Cos Inc/The2036-03 | Corporate Bond | 0.07% | $48M | 48,890,000 | US |
| 391 | National Rural Utilities Cooperative Finance Corp2033-01 | Corporate Bond | 0.07% | $48M | 45,752,000 | US |
| 392 | Mondelez International Inc2032-03 | Corporate Bond | 0.07% | $48M | 53,134,000 | US |
| 393 | Targa Resources Partners LP / Targa Resources Partners Finance Corp2032-01 | Corporate Bond | 0.07% | $48M | 50,478,000 | US |
| 394 | Eaton Corp2033-03 | Corporate Bond | 0.07% | $48M | 48,821,000 | US |
| 395 | Banco Santander SA2031-07 | Corporate Bond | 0.07% | $48M | 46,582,000 | ES |
| 396 | UnitedHealth Group Inc2033-04 | Corporate Bond | 0.07% | $48M | 48,898,000 | US |
| 397 | General Motors Financial Co Inc2035-07 | Corporate Bond | 0.07% | $48M | 45,606,000 | US |
| 398 | KLA Corp2032-07 | Corporate Bond | 0.07% | $48M | 47,538,000 | US |
| 399 | Huntington Bancshares Inc/OH2035-02 | Corporate Bond | 0.07% | $48M | 46,479,000 | US |
| 400 | Deere & Co2035-01 | Corporate Bond | 0.07% | $48M | 45,787,000 | US |
| 401 | Verizon Communications Inc2034-11 | Corporate Bond | 0.07% | $47M | 49,816,500 | US |
| 402 | Smurfit Westrock Financing DAC2036-01 | Corporate Bond | 0.07% | $47M | 47,878,000 | IE |
| 403 | Charter Communications Operating LLC / Charter Communications Operating Capital2034-02 | Corporate Bond | 0.07% | $47M | 45,827,000 | US |
| 404 | Bank of Nova Scotia/The2034-02 | Corporate Bond | 0.07% | $47M | 45,298,000 | CA |
| 405 | Bank of New York Mellon Corp/The2036-06 | Corporate Bond | 0.07% | $47M | 46,584,000 | US |
| 406 | Baltimore Gas and Electric Co2035-06 | Corporate Bond | 0.07% | $47M | 46,307,000 | US |
| 407 | BP Capital Markets America Inc2032-01 | Corporate Bond | 0.07% | $47M | 52,247,000 | US |
| 408 | State Street Corp2037-04 | Corporate Bond | 0.07% | $47M | 47,481,000 | US |
| 409 | Eastern Energy Gas Holdings LLC2035-01 | Corporate Bond | 0.07% | $47M | 45,331,000 | US |
| 410 | PNC Financial Services Group Inc/The2041-01 | Corporate Bond | 0.07% | $47M | 48,009,000 | US |
| 411 | ConocoPhillips Co2032-01 | Corporate Bond | 0.07% | $47M | 46,596,000 | US |
| 412 | Caterpillar Inc2035-05 | Corporate Bond | 0.07% | $47M | 46,002,000 | US |
| 413 | Chubb INA Holdings LLC2034-03 | Corporate Bond | 0.07% | $47M | 46,776,000 | US |
| 414 | General Motors Financial Co Inc2034-09 | Corporate Bond | 0.07% | $47M | 46,614,000 | US |
| 415 | Blackstone Private Credit Fund2032-01 | Corporate Bond | 0.07% | $47M | 47,542,000 | US |
| 416 | Energy Transfer LP2034-05 | Corporate Bond | 0.07% | $47M | 45,820,000 | US |
| 417 | Crown Castle Inc2034-03 | Corporate Bond | 0.07% | $47M | 45,334,000 | US |
| 418 | Ford Motor Co2031-07 | Corporate Bond | 0.07% | $47M | 42,825,500 | US |
| 419 | VICI Properties LP2032-05 | Corporate Bond | 0.07% | $47M | 47,052,000 | US |
| 420 | Morgan Stanley2039-02 | Corporate Bond | 0.07% | $47M | 45,185,000 | US |
| 421 | Eli Lilly & Co2035-10 | Corporate Bond | 0.07% | $47M | 46,648,000 | US |
| 422 | Dollar Tree Inc2031-12 | Corporate Bond | 0.07% | $47M | 52,216,000 | US |
| 423 | Citigroup Inc2032-06 | Corporate Bond | 0.07% | $47M | 42,902,000 | US |
| 424 | John Deere Capital Corp2034-06 | Corporate Bond | 0.07% | $47M | 46,061,000 | US |
| 425 | Zoetis Inc2035-08 | Corporate Bond | 0.07% | $47M | 47,088,000 | US |
| 426 | Williams Cos Inc/The2035-03 | Corporate Bond | 0.07% | $47M | 45,459,000 | US |
| 427 | JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings2036-01 | Corporate Bond | 0.07% | $47M | 46,612,000 | NL |
| 428 | Toyota Motor Credit Corp2032-09 | Corporate Bond | 0.07% | $46M | 46,734,000 | US |
| 429 | Toyota Motor Credit Corp2031-10 | Corporate Bond | 0.07% | $46M | 46,485,000 | US |
| 430 | Toronto-Dominion Bank/The2032-01 | Corporate Bond | 0.07% | $46M | 45,346,000 | CA |
| 431 | Lloyds Banking Group PLC2033-08 | Corporate Bond | 0.07% | $46M | 46,537,000 | GB |
| 432 | Virginia Electric and Power Co2035-03 | Corporate Bond | 0.07% | $46M | 46,019,000 | US |
| 433 | Kinder Morgan Inc2035-06 | Corporate Bond | 0.07% | $46M | 44,032,000 | US |
| 434 | Dell International LLC / EMC Corp2032-10 | Corporate Bond | 0.07% | $46M | 46,481,000 | US |
| 435 | Amgen Inc2032-01 | Corporate Bond | 0.07% | $46M | 53,285,000 | US |
| 436 | American International Group Inc2033-03 | Corporate Bond | 0.07% | $46M | 45,553,000 | US |
| 437 | Starbucks Corp2032-02 | Corporate Bond | 0.07% | $46M | 50,255,000 | US |
| 438 | Georgia Power Co2032-05 | Corporate Bond | 0.07% | $46M | 45,761,000 | US |
| 439 | Sempra2054-10 | Corporate Bond | 0.07% | $46M | 45,436,000 | US |
| 440 | Enterprise Products Operating LLC2034-01 | Corporate Bond | 0.07% | $46M | 45,880,000 | US |
| 441 | JPMorgan Chase & Co2036-01 | Corporate Bond | 0.07% | $46M | 44,638,000 | US |
| 442 | Lockheed Martin Corp2031-12 | Corporate Bond | 0.07% | $46M | 45,203,000 | US |
| 443 | Berkshire Hathaway Energy Co2036-04 | Corporate Bond | 0.07% | $46M | 42,634,000 | US |
| 444 | US Bancorp2033-07 | Corporate Bond | 0.07% | $46M | 46,061,000 | US |
| 445 | Philip Morris International Inc2033-09 | Corporate Bond | 0.07% | $46M | 43,670,000 | US |
| 446 | Oracle Corp2035-05 | Corporate Bond | 0.07% | $46M | 52,945,000 | US |
| 447 | NextEra Energy Capital Holdings Inc2054-06 | Corporate Bond | 0.07% | $45M | 43,552,000 | US |
| 448 | American Honda Finance Corp2031-07 | Corporate Bond | 0.07% | $45M | 45,173,000 | US |
| 449 | NextEra Energy Capital Holdings Inc2032-07 | Corporate Bond | 0.07% | $45M | 44,947,000 | US |
| 450 | MetLife Inc2033-07 | Corporate Bond | 0.07% | $45M | 43,801,000 | US |
| 451 | Hewlett Packard Enterprise Co2034-10 | Corporate Bond | 0.07% | $45M | 46,241,000 | US |
| 452 | Deutsche Telekom International Finance BV2032-06 | Corporate Bond | 0.07% | $45M | 37,009,000 | NL |
| 453 | Banco Santander SA2034-03 | Corporate Bond | 0.07% | $45M | 42,616,000 | ES |
| 454 | Diageo Investment Corp2035-04 | Corporate Bond | 0.07% | $45M | 43,408,000 | US |
| 455 | Global Payments Inc2032-11 | Corporate Bond | 0.07% | $45M | 45,834,000 | US |
| 456 | Lockheed Martin Corp2032-06 | Corporate Bond | 0.07% | $45M | 46,397,000 | US |
| 457 | Lloyds Banking Group PLC2036-06 | Corporate Bond | 0.07% | $45M | 43,589,000 | GB |
| 458 | Citigroup Inc2032-05 | Corporate Bond | 0.07% | $45M | 49,846,000 | US |
| 459 | Banco Santander SA2035-01 | Corporate Bond | 0.07% | $45M | 42,738,000 | ES |
| 460 | Equinix Inc2032-04 | Corporate Bond | 0.07% | $45M | 47,189,000 | US |
| 461 | Apollo Global Management Inc2035-08 | Corporate Bond | 0.07% | $45M | 45,643,000 | US |
| 462 | GE HealthCare Technologies Inc2032-11 | Corporate Bond | 0.07% | $45M | 42,413,000 | US |
| 463 | Pacific Gas and Electric Co2033-06 | Corporate Bond | 0.07% | $45M | 42,073,000 | US |
| 464 | TotalEnergies Capital USA LLC2033-01 | Corporate Bond | 0.07% | $45M | 45,248,000 | US |
| 465 | Jefferies Financial Group Inc2031-10 | Corporate Bond | 0.06% | $45M | 51,078,000 | US |
| 466 | Rio Tinto Finance USA PLC2032-03 | Corporate Bond | 0.06% | $45M | 43,998,000 | GB |
| 467 | Rogers Communications Inc2034-02 | Corporate Bond | 0.06% | $45M | 44,796,000 | CA |
| 468 | Banco Bilbao Vizcaya Argentaria SA2035-03 | Corporate Bond | 0.06% | $44M | 42,682,000 | ES |
| 469 | Wells Fargo & Co2036-09 | Corporate Bond | 0.06% | $44M | 45,552,000 | US |
| 470 | Public Service Co of Colorado2035-09 | Corporate Bond | 0.06% | $44M | 44,502,000 | US |
| 471 | Exelon Corp2033-03 | Corporate Bond | 0.06% | $44M | 43,404,000 | US |
| 472 | Kinder Morgan Inc2034-02 | Corporate Bond | 0.06% | $44M | 43,311,000 | US |
| 473 | KeyCorp2035-03 | Corporate Bond | 0.06% | $44M | 41,659,000 | US |
| 474 | Mastercard Inc2035-01 | Corporate Bond | 0.06% | $44M | 45,248,000 | US |
| 475 | NextEra Energy Capital Holdings Inc2032-03 | Corporate Bond | 0.06% | $44M | 43,292,000 | US |
| 476 | Berry Global Inc2034-01 | Corporate Bond | 0.06% | $44M | 43,315,000 | US |
| 477 | Cummins Inc2035-05 | Corporate Bond | 0.06% | $44M | 43,253,000 | US |
| 478 | T-Mobile USA Inc2032-05 | Corporate Bond | 0.06% | $44M | 43,586,000 | US |
| 479 | Energy Transfer LP2036-01 | Corporate Bond | 0.06% | $44M | 44,236,000 | US |
| 480 | Bank of New York Mellon Corp/The2033-06 | Corporate Bond | 0.06% | $44M | 45,385,000 | US |
| 481 | John Deere Capital Corp2032-09 | Corporate Bond | 0.06% | $44M | 44,677,000 | US |
| 482 | Thermo Fisher Scientific Inc2035-10 | Corporate Bond | 0.06% | $44M | 44,792,000 | US |
| 483 | Barclays PLC2033-08 | Corporate Bond | 0.06% | $44M | 42,778,000 | GB |
| 484 | American Honda Finance Corp2032-07 | Corporate Bond | 0.06% | $44M | 43,740,000 | US |
| 485 | Morgan Stanley2036-01 | Corporate Bond | 0.06% | $44M | 42,931,000 | US |
| 486 | General Motors Co2035-04 | Corporate Bond | 0.06% | $44M | 41,835,000 | US |
| 487 | Texas Instruments Inc2034-02 | Corporate Bond | 0.06% | $44M | 43,457,000 | US |
| 488 | Citigroup Inc2033-05 | Corporate Bond | 0.06% | $44M | 44,030,750 | US |
| 489 | Comcast Corp2033-05 | Corporate Bond | 0.06% | $44M | 44,102,000 | US |
| 490 | Constellation Brands Inc2031-08 | Corporate Bond | 0.06% | $44M | 49,639,000 | US |
| 491 | QUALCOMM Inc2035-05 | Corporate Bond | 0.06% | $44M | 43,646,000 | US |
| 492 | John Deere Capital Corp2034-04 | Corporate Bond | 0.06% | $44M | 43,040,000 | US |
| 493 | Southern Co/The2033-06 | Corporate Bond | 0.06% | $44M | 43,193,000 | US |
| 494 | MPLX LP2032-09 | Corporate Bond | 0.06% | $44M | 43,738,000 | US |
| 495 | HCA Inc2032-11 | Corporate Bond | 0.06% | $44M | 44,659,000 | US |
| 496 | Occidental Petroleum Corp2031-09 | Corporate Bond | 0.06% | $44M | 38,279,000 | US |
| 497 | Amgen Inc2032-02 | Corporate Bond | 0.06% | $44M | 46,787,000 | US |
| 498 | Oracle Corp2032-02 | Corporate Bond | 0.06% | $43M | 43,832,000 | US |
| 499 | Target Corp2034-09 | Corporate Bond | 0.06% | $43M | 44,619,000 | US |
| 500 | Elevance Health Inc2033-02 | Corporate Bond | 0.06% | $43M | 43,945,000 | US |
| 501 | Royal Bank of Canada2031-11 | Corporate Bond | 0.06% | $43M | 48,515,000 | CA |
| 502 | Sanofi SA2032-11 | Corporate Bond | 0.06% | $43M | 44,215,000 | FR |
| 503 | Dell International LLC / EMC Corp2036-02 | Corporate Bond | 0.06% | $43M | 43,570,000 | US |
| 504 | Toyota Motor Credit Corp2035-01 | Corporate Bond | 0.06% | $43M | 42,090,000 | US |
| 505 | Georgia Power Co2033-05 | Corporate Bond | 0.06% | $43M | 42,828,000 | US |
| 506 | Sumitomo Mitsui Financial Group Inc2037-01 | Corporate Bond | 0.06% | $43M | 43,680,000 | JP |
| 507 | International Business Machines Corp2032-11 | Corporate Bond | 0.06% | $43M | 40,622,000 | US |
| 508 | Thermo Fisher Scientific Inc2032-10 | Corporate Bond | 0.06% | $43M | 43,728,000 | US |
| 509 | CSX Corp2035-06 | Corporate Bond | 0.06% | $43M | 42,872,000 | US |
| 510 | BAT Capital Corp2032-03 | Corporate Bond | 0.06% | $43M | 43,111,000 | US |
| 511 | T-Mobile USA Inc2035-01 | Corporate Bond | 0.06% | $43M | 44,291,000 | US |
| 512 | Targa Resources Corp2035-08 | Corporate Bond | 0.06% | $43M | 42,209,000 | US |
| 513 | MPLX LP2035-04 | Corporate Bond | 0.06% | $43M | 42,595,000 | US |
| 514 | Ralph Lauren Corp2032-06 | Corporate Bond | 0.06% | $43M | 42,179,000 | US |
| 515 | PepsiCo Inc2031-10 | Corporate Bond | 0.06% | $43M | 48,437,000 | US |
| 516 | EQT Corp2034-02 | Corporate Bond | 0.06% | $43M | 41,286,000 | US |
| 517 | Marriott International Inc/MD2034-05 | Corporate Bond | 0.06% | $43M | 42,062,000 | US |
| 518 | Broadcom Inc2036-01 | Corporate Bond | 0.06% | $43M | 43,117,000 | US |
| 519 | General Motors Financial Co Inc2031-06 | Corporate Bond | 0.06% | $43M | 41,273,000 | US |
| 520 | Honeywell Aerospace Inc2033-03 | Corporate Bond | 0.06% | $42M | 43,100,000 | US |
| 521 | Virginia Electric and Power Co2033-04 | Corporate Bond | 0.06% | $42M | 41,881,000 | US |
| 522 | Entergy Louisiana LLC2034-09 | Corporate Bond | 0.06% | $42M | 41,904,000 | US |
| 523 | JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings2035-04 | Corporate Bond | 0.06% | $42M | 40,880,000 | NL |
| 524 | Ventas Realty LP2032-07 | Corporate Bond | 0.06% | $42M | 41,811,000 | US |
| 525 | Otis Worldwide Corp2031-11 | Corporate Bond | 0.06% | $42M | 41,328,000 | US |
| 526 | Dominion Energy Inc2056-02 | Corporate Bond | 0.06% | $42M | 41,890,000 | US |
| 527 | Bank of America Corp2037-03 | Corporate Bond | 0.06% | $42M | 45,189,000 | US |
| 528 | Intuit Inc2033-09 | Corporate Bond | 0.06% | $42M | 41,559,000 | US |
| 529 | Vistra Operations Co LLC2036-04 | Corporate Bond | 0.06% | $42M | 42,205,000 | US |
| 530 | AutoZone Inc2032-08 | Corporate Bond | 0.06% | $42M | 42,330,000 | US |
| 531 | Fiserv Inc2033-08 | Corporate Bond | 0.06% | $42M | 41,352,000 | US |
| 532 | MPLX LP2033-03 | Corporate Bond | 0.06% | $42M | 42,001,000 | US |
| 533 | Welltower OP LLC2035-07 | Corporate Bond | 0.06% | $42M | 41,500,000 | US |
| 534 | Duke Energy Progress LLC2035-03 | Corporate Bond | 0.06% | $42M | 41,621,000 | US |
| 535 | Stryker Corp2035-02 | Corporate Bond | 0.06% | $42M | 41,091,000 | US |
| 536 | Johnson & Johnson2035-03 | Corporate Bond | 0.06% | $42M | 40,416,000 | US |
| 537 | T-Mobile USA Inc2036-02 | Corporate Bond | 0.06% | $42M | 42,133,000 | US |
| 538 | Zoetis Inc2032-11 | Corporate Bond | 0.06% | $41M | 39,855,000 | US |
| 539 | Bank of New York Mellon Corp/The2032-07 | Corporate Bond | 0.06% | $41M | 40,820,000 | US |
| 540 | Home Depot Inc/The2031-09 | Corporate Bond | 0.06% | $41M | 47,113,000 | US |
| 541 | ONEOK Inc2031-10 | Corporate Bond | 0.06% | $41M | 41,464,000 | US |
| 542 | GE HealthCare Technologies Inc2035-06 | Corporate Bond | 0.06% | $41M | 40,481,000 | US |
| 543 | Dell International LLC / EMC Corp2033-02 | Corporate Bond | 0.06% | $41M | 39,356,000 | US |
| 544 | Philip Morris International Inc2031-11 | Corporate Bond | 0.06% | $41M | 40,774,000 | US |
| 545 | Simon Property Group LP2034-09 | Corporate Bond | 0.06% | $41M | 41,865,000 | US |
| 546 | Broadcom Inc2032-02 | Corporate Bond | 0.06% | $41M | 41,349,000 | US |
| 547 | International Business Machines Corp2036-02 | Corporate Bond | 0.06% | $41M | 41,645,000 | US |
| 548 | Northrop Grumman Corp2034-06 | Corporate Bond | 0.06% | $41M | 40,940,000 | US |
| 549 | Sumitomo Mitsui Financial Group Inc2041-03 | Corporate Bond | 0.06% | $41M | 41,759,000 | JP |
| 550 | Vale Overseas Ltd2033-06 | Corporate Bond | 0.06% | $41M | 38,764,000 | KY |
| 551 | HSBC Holdings PLC2035-03 | Corporate Bond | 0.06% | $41M | 39,582,000 | GB |
| 552 | Westpac Banking Corp2031-06 | Corporate Bond | 0.06% | $41M | 45,315,000 | AU |
| 553 | Citigroup Inc2035-06 | Corporate Bond | 0.06% | $41M | 39,880,000 | US |
| 554 | Amcor Flexibles North America Inc2035-03 | Corporate Bond | 0.06% | $41M | 39,928,000 | US |
| 555 | Elevance Health Inc2036-01 | Corporate Bond | 0.06% | $41M | 41,350,000 | US |
| 556 | Oncor Electric Delivery Co LLC2033-11 | Corporate Bond | 0.06% | $41M | 38,796,000 | US |
| 557 | Eli Lilly & Co2036-05 | Corporate Bond | 0.06% | $41M | 40,850,000 | US |
| 558 | Eli Lilly & Co2032-02 | Corporate Bond | 0.06% | $41M | 39,888,000 | US |
| 559 | Royal Bank of Canada2032-05 | Corporate Bond | 0.06% | $41M | 42,250,000 | CA |
| 560 | Dominion Energy Inc2055-05 | Corporate Bond | 0.06% | $40M | 39,544,000 | US |
| 561 | Bank of Montreal2037-01 | Corporate Bond | 0.06% | $40M | 45,186,000 | CA |
| 562 | Eli Lilly & Co2034-02 | Corporate Bond | 0.06% | $40M | 40,513,000 | US |
| 563 | Occidental Petroleum Corp2032-01 | Corporate Bond | 0.06% | $40M | 39,236,000 | US |
| 564 | Amphenol Corp2035-01 | Corporate Bond | 0.06% | $40M | 40,376,000 | US |
| 565 | Fiserv Inc2035-08 | Corporate Bond | 0.06% | $40M | 41,195,000 | US |
| 566 | Hershey Co/The2032-02 | Corporate Bond | 0.06% | $40M | 39,470,000 | US |
| 567 | Nucor Corp2035-06 | Corporate Bond | 0.06% | $40M | 39,747,000 | US |
| 568 | Hyatt Hotels Corp2031-12 | Corporate Bond | 0.06% | $40M | 39,358,000 | US |
| 569 | Devon Energy Corp2031-09 | Corporate Bond | 0.06% | $40M | 34,973,000 | US |
| 570 | US Bancorp2036-11 | Corporate Bond | 0.06% | $40M | 46,089,000 | US |
| 571 | Charter Communications Operating LLC / Charter Communications Operating Capital2034-06 | Corporate Bond | 0.06% | $40M | 38,990,000 | US |
| 572 | State Street Corp2036-10 | Corporate Bond | 0.06% | $40M | 41,090,000 | US |
| 573 | JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings2032-05 | Corporate Bond | 0.06% | $40M | 44,990,000 | NL |
| 574 | Toronto-Dominion Bank/The2033-04 | Corporate Bond | 0.06% | $40M | 40,240,000 | CA |
| 575 | Keurig Dr Pepper Inc2032-04 | Corporate Bond | 0.06% | $40M | 41,922,000 | US |
| 576 | Ford Motor Credit Co LLC2036-05 | Corporate Bond | 0.06% | $40M | 38,875,000 | US |
| 577 | Ford Motor Credit Co LLC2031-11 | Corporate Bond | 0.06% | $40M | 39,140,000 | US |
| 578 | Chevron USA Inc2035-10 | Corporate Bond | 0.06% | $40M | 39,829,000 | US |
| 579 | Canadian National Railway Co2032-08 | Corporate Bond | 0.06% | $40M | 41,707,000 | CA |
| 580 | Apollo Debt Solutions BDC2031-07 | Corporate Bond | 0.06% | $40M | 38,835,000 | US |
| 581 | Amphenol Corp2034-04 | Corporate Bond | 0.06% | $40M | 38,958,000 | US |
| 582 | Prudential Financial Inc2054-03 | Corporate Bond | 0.06% | $40M | 38,491,000 | US |
| 583 | QUALCOMM Inc2032-05 | Corporate Bond | 0.06% | $40M | 39,374,000 | US |
| 584 | Host Hotels & Resorts LP2031-12 | Corporate Bond | 0.06% | $40M | 44,308,000 | US |
| 585 | Morgan Stanley2036-10 | Corporate Bond | 0.06% | $40M | 40,745,000 | US |
| 586 | Cardinal Health Inc2034-11 | Corporate Bond | 0.06% | $40M | 39,076,000 | US |
| 587 | Extra Space Storage LP2034-02 | Corporate Bond | 0.06% | $40M | 39,094,000 | US |
| 588 | Zimmer Biomet Holdings Inc2031-11 | Corporate Bond | 0.06% | $40M | 44,067,000 | US |
| 589 | Lowe's Cos Inc2033-07 | Corporate Bond | 0.06% | $39M | 39,023,000 | US |
| 590 | Fiserv Inc2034-08 | Corporate Bond | 0.06% | $39M | 40,531,000 | US |
| 591 | Prudential Financial Inc2052-09 | Corporate Bond | 0.06% | $39M | 38,556,000 | US |
| 592 | Lloyds Banking Group PLC2035-11 | Corporate Bond | 0.06% | $39M | 38,500,000 | GB |
| 593 | Sumitomo Mitsui Financial Group Inc2035-01 | Corporate Bond | 0.06% | $39M | 37,964,000 | JP |
| 594 | AerCap Ireland Capital DAC / AerCap Global Aviation Trust2034-09 | Corporate Bond | 0.06% | $39M | 40,287,000 | IE |
| 595 | Kinder Morgan Inc2034-12 | Corporate Bond | 0.06% | $39M | 38,770,000 | US |
| 596 | Dollar General Corp2032-11 | Corporate Bond | 0.06% | $39M | 39,413,000 | US |
| 597 | Home Depot Inc/The2031-06 | Corporate Bond | 0.06% | $39M | 38,568,000 | US |
| 598 | KKR & Co Inc2035-08 | Corporate Bond | 0.06% | $39M | 40,222,000 | US |
| 599 | Merck & Co Inc2032-09 | Corporate Bond | 0.06% | $39M | 39,251,000 | US |
| 600 | Truist Financial Corp2033-07 | Corporate Bond | 0.06% | $39M | 39,787,000 | US |
| 601 | Ford Motor Credit Co LLC2035-02 | Corporate Bond | 0.06% | $39M | 37,710,000 | US |
| 602 | Xcel Energy Inc2033-08 | Corporate Bond | 0.06% | $39M | 38,062,000 | US |
| 603 | Bunge Ltd Finance Corp2034-09 | Corporate Bond | 0.06% | $39M | 40,036,000 | US |
| 604 | Prologis LP2033-06 | Corporate Bond | 0.06% | $39M | 39,052,000 | US |
| 605 | Berry Global Inc2031-06 | Corporate Bond | 0.06% | $39M | 37,259,000 | US |
| 606 | Astrazeneca Finance LLC2034-02 | Corporate Bond | 0.06% | $39M | 38,242,000 | US |
| 607 | Mitsubishi UFJ Financial Group Inc2036-09 | Corporate Bond | 0.06% | $39M | 38,825,000 | JP |
| 608 | Alibaba Group Holding Ltd2035-05 | Corporate Bond | 0.06% | $39M | 37,322,000 | KY |
| 609 | Cencora Inc2036-02 | Corporate Bond | 0.06% | $39M | 39,544,000 | US |
| 610 | Clorox Co/The2032-05 | Corporate Bond | 0.06% | $39M | 39,136,000 | US |
| 611 | Helmerich & Payne Inc2031-09 | Corporate Bond | 0.06% | $38M | 42,733,000 | US |
| 612 | Home Depot Inc/The2034-06 | Corporate Bond | 0.06% | $38M | 38,297,000 | US |
| 613 | Broadcom Inc2034-10 | Corporate Bond | 0.06% | $38M | 39,004,000 | US |
| 614 | Hyatt Hotels Corp2032-03 | Corporate Bond | 0.06% | $38M | 37,107,000 | US |
| 615 | Royal Caribbean Cruises Ltd2033-05 | Corporate Bond | 0.06% | $38M | 39,393,000 | LR |
| 616 | Royal Caribbean Cruises Ltd2036-01 | Corporate Bond | 0.06% | $38M | 38,532,000 | LR |
| 617 | Mastercard Inc2034-05 | Corporate Bond | 0.06% | $38M | 38,110,000 | US |
| 618 | Motorola Solutions Inc2034-04 | Corporate Bond | 0.06% | $38M | 37,705,000 | US |
| 619 | Southern California Edison Co2031-06 | Corporate Bond | 0.06% | $38M | 37,485,000 | US |
| 620 | Banco Bilbao Vizcaya Argentaria SA2034-11 | Corporate Bond | 0.06% | $38M | 33,620,000 | ES |
| 621 | Broadcom Inc2032-04 | Corporate Bond | 0.06% | $38M | 39,415,000 | US |
| 622 | Morgan Stanley2041-01 | Corporate Bond | 0.06% | $38M | 39,001,000 | US |
| 623 | MetLife Inc2035-06 | Corporate Bond | 0.06% | $38M | 36,363,000 | US |
| 624 | Chevron USA Inc2032-04 | Corporate Bond | 0.06% | $38M | 37,423,000 | US |
| 625 | Thermo Fisher Scientific Inc2036-02 | Corporate Bond | 0.06% | $38M | 38,296,000 | US |
| 626 | Steel Dynamics Inc2035-05 | Corporate Bond | 0.06% | $38M | 37,634,000 | US |
| 627 | BlackRock Funding Inc/DE2032-02 | Corporate Bond | 0.06% | $38M | 43,046,000 | US |
| 628 | Southern Co/The2035-03 | Corporate Bond | 0.06% | $38M | 38,712,000 | US |
| 629 | Truist Financial Corp2034-01 | Corporate Bond | 0.06% | $38M | 37,795,000 | US |
| 630 | Airbnb Inc2036-03 | Corporate Bond | 0.06% | $38M | 37,753,000 | US |
| 631 | Corebridge Financial Inc2034-01 | Corporate Bond | 0.06% | $38M | 36,709,000 | US |
| 632 | EOG Resources Inc2036-01 | Corporate Bond | 0.05% | $38M | 37,176,000 | US |
| 633 | Prologis LP2035-05 | Corporate Bond | 0.05% | $38M | 37,252,000 | US |
| 634 | Oncor Electric Delivery Co LLC2032-09 | Corporate Bond | 0.05% | $38M | 38,306,000 | US |
| 635 | Public Service Enterprise Group Inc2031-11 | Corporate Bond | 0.05% | $38M | 42,389,000 | US |
| 636 | Westlake Corp2035-11 | Corporate Bond | 0.05% | $38M | 37,789,000 | US |
| 637 | Air Products and Chemicals Inc2034-02 | Corporate Bond | 0.05% | $38M | 37,614,000 | US |
| 638 | CommonSpirit Health2031-12 | Corporate Bond | 0.05% | $38M | 37,107,000 | US |
| 639 | Elevance Health Inc2032-09 | Corporate Bond | 0.05% | $38M | 38,280,000 | US |
| 640 | Medtronic Global Holdings SCA2033-03 | Corporate Bond | 0.05% | $38M | 38,157,000 | LU |
| 641 | National Rural Utilities Cooperative Finance Corp2034-08 | Corporate Bond | 0.05% | $38M | 37,219,000 | US |
| 642 | Ingersoll Rand Inc2033-08 | Corporate Bond | 0.05% | $37M | 36,052,000 | US |
| 643 | HCA Inc2031-04 | Corporate Bond | 0.05% | $37M | 36,597,000 | US |
| 644 | KeyCorp2037-01 | Corporate Bond | 0.05% | $37M | 37,980,000 | US |
| 645 | Paychex Inc2035-04 | Corporate Bond | 0.05% | $37M | 37,063,000 | US |
| 646 | Republic Services Inc2035-03 | Corporate Bond | 0.05% | $37M | 36,735,000 | US |
| 647 | Truist Financial Corp2033-10 | Corporate Bond | 0.05% | $37M | 35,290,000 | US |
| 648 | Workday Inc2032-04 | Corporate Bond | 0.05% | $37M | 39,929,000 | US |
| 649 | MSCI Inc2035-09 | Corporate Bond | 0.05% | $37M | 37,820,000 | US |
| 650 | Motorola Solutions Inc2035-08 | Corporate Bond | 0.05% | $37M | 36,453,000 | US |
| 651 | Public Service Electric and Gas Co2035-03 | Corporate Bond | 0.05% | $37M | 36,968,000 | US |
| 652 | Toronto-Dominion Bank/The2032-06 | Corporate Bond | 0.05% | $37M | 37,776,000 | CA |
| 653 | International Business Machines Corp2032-07 | Corporate Bond | 0.05% | $37M | 37,949,000 | US |
| 654 | Expedia Group Inc2035-02 | Corporate Bond | 0.05% | $37M | 37,327,000 | US |
| 655 | Dell International LLC / EMC Corp2035-02 | Corporate Bond | 0.05% | $37M | 37,764,000 | US |
| 656 | Freeport-McMoRan Inc2034-11 | Corporate Bond | 0.05% | $37M | 36,387,000 | US |
| 657 | Amgen Inc2036-02 | Corporate Bond | 0.05% | $37M | 37,735,000 | US |
| 658 | Rio Tinto Alcan Inc2033-12 | Corporate Bond | 0.05% | $37M | 34,527,000 | CA |
| 659 | AppLovin Corp2031-12 | Corporate Bond | 0.05% | $37M | 36,271,000 | US |
| 660 | AutoZone Inc2033-02 | Corporate Bond | 0.05% | $37M | 37,422,000 | US |
| 661 | Energy Transfer LP2035-04 | Corporate Bond | 0.05% | $37M | 35,836,000 | US |
| 662 | TotalEnergies Capital SA2034-04 | Corporate Bond | 0.05% | $37M | 36,117,000 | FR |
| 663 | Alexandria Real Estate Equities Inc2031-08 | Corporate Bond | 0.05% | $37M | 39,757,000 | US |
| 664 | DTE Electric Co2035-05 | Corporate Bond | 0.05% | $37M | 36,211,000 | US |
| 665 | NatWest Group PLC2034-03 | Corporate Bond | 0.05% | $37M | 34,770,000 | GB |
| 666 | Trimble Inc2033-03 | Corporate Bond | 0.05% | $37M | 34,807,000 | US |
| 667 | Consolidated Edison Co of New York Inc2034-03 | Corporate Bond | 0.05% | $37M | 35,080,000 | US |
| 668 | Huntington Bancshares Inc/OH2041-01 | Corporate Bond | 0.05% | $37M | 37,305,000 | US |
| 669 | PNC Financial Services Group Inc/The2034-08 | Corporate Bond | 0.05% | $36M | 34,706,000 | US |
| 670 | Salesforce Inc2031-07 | Corporate Bond | 0.05% | $36M | 41,740,000 | US |
| 671 | Visa Inc2035-12 | Corporate Bond | 0.05% | $36M | 38,105,000 | US |
| 672 | Nomura Holdings Inc2034-07 | Corporate Bond | 0.05% | $36M | 35,072,000 | JP |
| 673 | Bank of New York Mellon Corp/The2034-10 | Corporate Bond | 0.05% | $36M | 33,207,000 | US |
| 674 | Waste Management Inc2032-03 | Corporate Bond | 0.05% | $36M | 35,995,000 | US |
| 675 | Schlumberger Investment SA2036-05 | Corporate Bond | 0.05% | $36M | 36,275,000 | LU |
| 676 | Elevance Health Inc2034-06 | Corporate Bond | 0.05% | $36M | 35,658,000 | US |
| 677 | South Bow USA Infrastructure Holdings LLC2034-10 | Corporate Bond | 0.05% | $36M | 36,233,000 | US |
| 678 | McKesson Corp2032-05 | Corporate Bond | 0.05% | $36M | 35,758,000 | US |
| 679 | Ares Capital Corp2032-03 | Corporate Bond | 0.05% | $36M | 36,341,000 | US |
| 680 | Progress Energy Inc2031-10 | Corporate Bond | 0.05% | $36M | 32,793,000 | US |
| 681 | Lowe's Cos Inc2033-04 | Corporate Bond | 0.05% | $36M | 35,868,000 | US |
| 682 | Accenture Capital Inc2031-10 | Corporate Bond | 0.05% | $36M | 36,595,000 | US |
| 683 | EIDP Inc2032-05 | Corporate Bond | 0.05% | $36M | 35,572,000 | US |
| 684 | Sumitomo Mitsui Financial Group Inc2031-09 | Corporate Bond | 0.05% | $36M | 41,022,000 | JP |
| 685 | Boston Properties LP2034-01 | Corporate Bond | 0.05% | $36M | 33,944,000 | US |
| 686 | Amazon.com Inc2035-11 | Corporate Bond | 0.05% | $36M | 36,759,000 | US |
| 687 | Extra Space Storage LP2031-10 | Corporate Bond | 0.05% | $36M | 40,812,000 | US |
| 688 | Arizona Public Service Co2033-08 | Corporate Bond | 0.05% | $36M | 34,865,000 | US |
| 689 | Suzano Austria GmbH2032-01 | Corporate Bond | 0.05% | $36M | 40,346,000 | AT |
| 690 | Charles Schwab Corp/The2031-12 | Corporate Bond | 0.05% | $36M | 41,118,000 | US |
| 691 | Nomura Holdings Inc2033-01 | Corporate Bond | 0.05% | $36M | 33,763,000 | JP |
| 692 | American International Group Inc2035-05 | Corporate Bond | 0.05% | $36M | 34,994,000 | US |
| 693 | Verizon Communications Inc2033-01 | Corporate Bond | 0.05% | $36M | 36,122,000 | US |
| 694 | Deutsche Bank AG/New York NY2033-01 | Corporate Bond | 0.05% | $36M | 39,064,000 | DE |
| 695 | Western Midstream Operating LP2034-11 | Corporate Bond | 0.05% | $36M | 35,703,000 | US |
| 696 | Exelon Corp2036-03 | Corporate Bond | 0.05% | $36M | 36,704,000 | US |
| 697 | ERP Operating LP2032-06 | Corporate Bond | 0.05% | $36M | 35,329,000 | US |
| 698 | Duke Energy Corp2033-09 | Corporate Bond | 0.05% | $36M | 34,051,000 | US |
| 699 | Westpac Banking Corp2036-11 | Corporate Bond | 0.05% | $36M | 39,730,000 | AU |
| 700 | JPMorgan Chase & Co2033-04 | Corporate Bond | 0.05% | $36M | 36,051,000 | US |
| 701 | Humana Inc2033-03 | Corporate Bond | 0.05% | $35M | 34,465,000 | US |
| 702 | McDonald's Corp2036-02 | Corporate Bond | 0.05% | $35M | 35,570,000 | US |
| 703 | eBay Inc2031-05 | Corporate Bond | 0.05% | $35M | 39,239,000 | US |
| 704 | Quest Diagnostics Inc2031-06 | Corporate Bond | 0.05% | $35M | 38,604,000 | US |
| 705 | General Motors Financial Co Inc2031-06 | Corporate Bond | 0.05% | $35M | 39,124,000 | US |
| 706 | AerCap Ireland Capital DAC / AerCap Global Aviation Trust2034-01 | Corporate Bond | 0.05% | $35M | 35,176,000 | IE |
| 707 | Xcel Energy Inc2034-03 | Corporate Bond | 0.05% | $35M | 34,506,000 | US |
| 708 | Novartis Capital Corp2032-11 | Corporate Bond | 0.05% | $35M | 35,812,000 | US |
| 709 | UDR Inc2031-08 | Corporate Bond | 0.05% | $35M | 38,147,000 | US |
| 710 | Toyota Motor Credit Corp2031-09 | Corporate Bond | 0.05% | $35M | 40,155,000 | US |
| 711 | TotalEnergies Capital USA LLC2036-01 | Corporate Bond | 0.05% | $35M | 35,482,000 | US |
| 712 | Occidental Petroleum Corp2034-10 | Corporate Bond | 0.05% | $35M | 33,883,630 | US |
| 713 | American Tower Corp2032-03 | Corporate Bond | 0.05% | $35M | 36,350,000 | US |
| 714 | Santander UK Group Holdings PLC2036-09 | Corporate Bond | 0.05% | $35M | 35,980,000 | GB |
| 715 | CMS Energy Corp2055-06 | Corporate Bond | 0.05% | $35M | 33,963,000 | US |
| 716 | US Bancorp2034-02 | Corporate Bond | 0.05% | $35M | 35,329,000 | US |
| 717 | T-Mobile USA Inc2035-11 | Corporate Bond | 0.05% | $35M | 35,458,000 | US |
| 718 | Xcel Energy Inc2032-06 | Corporate Bond | 0.05% | $35M | 35,386,000 | US |
| 719 | L3Harris Technologies Inc2034-06 | Corporate Bond | 0.05% | $35M | 33,978,000 | US |
| 720 | Keybank National Association2033-01 | Corporate Bond | 0.05% | $34M | 34,820,000 | US |
| 721 | PPL Capital Funding Inc2034-09 | Corporate Bond | 0.05% | $34M | 34,297,000 | US |
| 722 | Zimmer Biomet Holdings Inc2034-09 | Corporate Bond | 0.05% | $34M | 34,393,000 | US |
| 723 | Southern Co/The2058-04 | Corporate Bond | 0.05% | $34M | 34,187,000 | US |
| 724 | Virginia Electric and Power Co2034-08 | Corporate Bond | 0.05% | $34M | 34,221,000 | US |
| 725 | Reynolds American Inc2035-08 | Corporate Bond | 0.05% | $34M | 33,243,000 | US |
| 726 | Novartis Capital Corp2035-11 | Corporate Bond | 0.05% | $34M | 34,985,000 | US |
| 727 | Brown & Brown Inc2035-06 | Corporate Bond | 0.05% | $34M | 34,160,000 | US |
| 728 | McKesson Corp2035-05 | Corporate Bond | 0.05% | $34M | 33,567,000 | US |
| 729 | Dominion Energy Inc2031-08 | Corporate Bond | 0.05% | $34M | 38,586,000 | US |
| 730 | General Motors Co2036-04 | Corporate Bond | 0.05% | $34M | 31,765,000 | US |
| 731 | American Tower Corp2033-07 | Corporate Bond | 0.05% | $34M | 33,071,000 | US |
| 732 | Pacific Gas and Electric Co2032-10 | Corporate Bond | 0.05% | $34M | 34,245,000 | US |
| 733 | Comcast Corp2033-02 | Corporate Bond | 0.05% | $34M | 34,440,000 | US |
| 734 | Elevance Health Inc2032-10 | Corporate Bond | 0.05% | $34M | 32,973,000 | US |
| 735 | NextEra Energy Capital Holdings Inc2055-08 | Corporate Bond | 0.05% | $34M | 32,771,000 | US |
| 736 | Uber Technologies Inc2035-09 | Corporate Bond | 0.05% | $34M | 34,807,000 | US |
| 737 | Charter Communications Operating LLC / Charter Communications Operating Capital2032-02 | Corporate Bond | 0.05% | $34M | 39,702,000 | US |
| 738 | Dominion Energy South Carolina Inc2035-01 | Corporate Bond | 0.05% | $34M | 33,152,000 | US |
| 739 | Home Depot Inc/The2032-09 | Corporate Bond | 0.05% | $34M | 33,970,000 | US |
| 740 | Carlyle Group Inc/The2035-09 | Corporate Bond | 0.05% | $34M | 35,062,000 | US |
| 741 | Realty Income Corp2033-04 | Corporate Bond | 0.05% | $34M | 34,247,000 | US |
| 742 | Comcast Corp2032-11 | Corporate Bond | 0.05% | $34M | 32,603,000 | US |
| 743 | American Water Capital Corp2032-06 | Corporate Bond | 0.05% | $34M | 34,388,000 | US |
| 744 | Bunge Ltd Finance Corp2031-05 | Corporate Bond | 0.05% | $34M | 36,916,000 | US |
| 745 | GXO Logistics Inc2034-05 | Corporate Bond | 0.05% | $34M | 32,214,000 | US |
| 746 | Lockheed Martin Corp2034-08 | Corporate Bond | 0.05% | $34M | 33,811,000 | US |
| 747 | Huntington Bancshares Inc/OH2039-11 | Corporate Bond | 0.05% | $34M | 32,925,000 | US |
| 748 | Smurfit Westrock Financing DAC2035-01 | Corporate Bond | 0.05% | $34M | 33,343,000 | IE |
| 749 | Bank of Nova Scotia/The2037-05 | Corporate Bond | 0.05% | $34M | 34,981,000 | CA |
| 750 | Boston Properties LP2035-01 | Corporate Bond | 0.05% | $34M | 33,264,000 | US |
| 751 | Jefferies Financial Group Inc2034-04 | Corporate Bond | 0.05% | $34M | 32,551,000 | US |
| 752 | Huntington Ingalls Industries Inc2035-01 | Corporate Bond | 0.05% | $34M | 32,417,000 | US |
| 753 | Willis North America Inc2033-05 | Corporate Bond | 0.05% | $34M | 33,141,000 | US |
| 754 | Westpac Banking Corp2033-08 | Corporate Bond | 0.05% | $34M | 33,129,000 | AU |
| 755 | Bank of New York Mellon Corp/The2034-02 | Corporate Bond | 0.05% | $34M | 33,894,000 | US |
| 756 | Honeywell International Inc2034-01 | Corporate Bond | 0.05% | $33M | 34,186,000 | US |
| 757 | DTE Energy Co2035-10 | Corporate Bond | 0.05% | $33M | 33,988,000 | US |
| 758 | Charter Communications Operating LLC / Charter Communications Operating Capital2035-12 | Corporate Bond | 0.05% | $33M | 34,342,000 | US |
| 759 | Meta Platforms Inc2033-05 | Corporate Bond | 0.05% | $33M | 33,480,000 | US |
| 760 | Manulife Financial Corp2035-12 | Corporate Bond | 0.05% | $33M | 33,894,000 | CA |
| 761 | Eaton Corp2032-11 | Corporate Bond | 0.05% | $33M | 34,522,000 | US |
| 762 | AppLovin Corp2034-12 | Corporate Bond | 0.05% | $33M | 33,038,000 | US |
| 763 | TSMC Arizona Corp2031-10 | Corporate Bond | 0.05% | $33M | 36,718,000 | US |
| 764 | Laboratory Corp of America Holdings2032-04 | Corporate Bond | 0.05% | $33M | 33,777,000 | US |
| 765 | Lockheed Martin Corp2035-08 | Corporate Bond | 0.05% | $33M | 33,015,000 | US |
| 766 | MetLife Inc2056-03 | Corporate Bond | 0.05% | $33M | 33,505,000 | US |
| 767 | NNN REIT Inc2033-10 | Corporate Bond | 0.05% | $33M | 32,159,000 | US |
| 768 | Republic Services Inc2034-04 | Corporate Bond | 0.05% | $33M | 32,780,000 | US |
| 769 | MetLife Inc2055-03 | Corporate Bond | 0.05% | $33M | 32,183,000 | US |
| 770 | Broadcom Inc2036-02 | Corporate Bond | 0.05% | $33M | 33,907,000 | US |
| 771 | Prologis LP2034-01 | Corporate Bond | 0.05% | $33M | 32,626,000 | US |
| 772 | Eversource Energy2034-01 | Corporate Bond | 0.05% | $33M | 32,334,000 | US |
| 773 | Moody's Corp2032-08 | Corporate Bond | 0.05% | $33M | 33,683,000 | US |
| 774 | Unilever Capital Corp2034-08 | Corporate Bond | 0.05% | $33M | 33,183,000 | US |
| 775 | Honda Motor Co Ltd2035-07 | Corporate Bond | 0.05% | $33M | 32,628,000 | JP |
| 776 | Eversource Energy2033-05 | Corporate Bond | 0.05% | $33M | 32,755,000 | US |
| 777 | Public Service Electric and Gas Co2034-08 | Corporate Bond | 0.05% | $33M | 32,945,000 | US |
| 778 | American Electric Power Co Inc2056-03 | Corporate Bond | 0.05% | $33M | 32,915,000 | US |
| 779 | Progressive Corp/The2032-03 | Corporate Bond | 0.05% | $33M | 35,650,000 | US |
| 780 | PayPal Holdings Inc2032-06 | Corporate Bond | 0.05% | $33M | 33,456,000 | US |
| 781 | RTX Corp2031-09 | Corporate Bond | 0.05% | $33M | 37,345,000 | US |
| 782 | Atmos Energy Corp2033-11 | Corporate Bond | 0.05% | $33M | 30,548,000 | US |
| 783 | Ecolab Inc2036-06 | Corporate Bond | 0.05% | $33M | 31,984,000 | US |
| 784 | Nutrien Ltd2034-06 | Corporate Bond | 0.05% | $32M | 31,884,000 | CA |
| 785 | CBRE Services Inc2034-08 | Corporate Bond | 0.05% | $32M | 31,141,000 | US |
| 786 | Procter & Gamble Co/The2034-08 | Corporate Bond | 0.05% | $32M | 30,198,000 | US |
| 787 | Altria Group Inc2035-08 | Corporate Bond | 0.05% | $32M | 32,402,000 | US |
| 788 | Equifax Inc2031-09 | Corporate Bond | 0.05% | $32M | 36,774,000 | US |
| 789 | Providence St Joseph Health Obligated Group2032-10 | Corporate Bond | 0.05% | $32M | 31,814,000 | US |
| 790 | Boardwalk Pipelines LP2034-08 | Corporate Bond | 0.05% | $32M | 31,552,000 | US |
| 791 | Enterprise Products Operating LLC2036-01 | Corporate Bond | 0.05% | $32M | 32,095,000 | US |
| 792 | NetApp Inc2035-03 | Corporate Bond | 0.05% | $32M | 31,518,000 | US |
| 793 | Waste Connections Inc2035-09 | Corporate Bond | 0.05% | $32M | 31,748,000 | CA |
| 794 | Barclays PLC2035-09 | Corporate Bond | 0.05% | $32M | 32,437,000 | GB |
| 795 | Walmart Inc2032-09 | Corporate Bond | 0.05% | $32M | 32,555,000 | US |
| 796 | Northern Trust Corp2040-11 | Corporate Bond | 0.05% | $32M | 32,764,000 | US |
| 797 | Walt Disney Co/The2035-12 | Corporate Bond | 0.05% | $32M | 28,923,000 | US |
| 798 | Capital One Financial Corp2032-07 | Corporate Bond | 0.05% | $32M | 37,120,000 | US |
| 799 | ING Groep NV2033-03 | Corporate Bond | 0.05% | $32M | 33,018,000 | NL |
| 800 | Sempra2033-08 | Corporate Bond | 0.05% | $32M | 31,035,000 | US |
| 801 | Veralto Corp2033-09 | Corporate Bond | 0.05% | $32M | 31,178,000 | US |
| 802 | Apple Inc2032-08 | Corporate Bond | 0.05% | $32M | 33,552,000 | US |
| 803 | MPLX LP2034-06 | Corporate Bond | 0.05% | $32M | 31,355,000 | US |
| 804 | Anheuser-Busch InBev Worldwide Inc2034-06 | Corporate Bond | 0.05% | $32M | 31,538,000 | US |
| 805 | Ameren Corp2035-03 | Corporate Bond | 0.05% | $32M | 31,447,000 | US |
| 806 | Fifth Third Bancorp2033-04 | Corporate Bond | 0.05% | $32M | 33,020,000 | US |
| 807 | National Grid PLC2033-06 | Corporate Bond | 0.05% | $32M | 30,497,000 | GB |
| 808 | Leidos Inc2033-03 | Corporate Bond | 0.05% | $32M | 30,640,000 | US |
| 809 | Marvell Technology Inc2036-04 | Corporate Bond | 0.05% | $32M | 31,674,000 | US |
| 810 | Ford Motor Co2032-08 | Corporate Bond | 0.05% | $32M | 30,909,000 | US |
| 811 | Dow Chemical Co/The2033-03 | Corporate Bond | 0.05% | $32M | 30,008,000 | US |
| 812 | PNC Financial Services Group Inc/The2035-07 | Corporate Bond | 0.05% | $32M | 31,218,000 | US |
| 813 | Sabra Health Care LP2031-12 | Corporate Bond | 0.05% | $32M | 34,849,000 | US |
| 814 | Canadian Natural Resources Ltd2032-01 | Corporate Bond | 0.05% | $32M | 28,409,000 | CA |
| 815 | Walt Disney Co/The2036-03 | Corporate Bond | 0.05% | $32M | 32,442,000 | US |
| 816 | RELX Capital Inc2032-05 | Corporate Bond | 0.05% | $32M | 31,578,000 | US |
| 817 | American Tower Corp2033-03 | Corporate Bond | 0.05% | $32M | 30,406,000 | US |
| 818 | American Express Co2033-05 | Corporate Bond | 0.05% | $31M | 31,547,000 | US |
| 819 | Estee Lauder Cos Inc/The2033-05 | Corporate Bond | 0.05% | $31M | 31,890,000 | US |
| 820 | DTE Energy Co2034-06 | Corporate Bond | 0.05% | $31M | 29,922,000 | US |
| 821 | Sysco Corp2036-03 | Corporate Bond | 0.05% | $31M | 32,334,000 | US |
| 822 | McDonald's Corp2032-09 | Corporate Bond | 0.05% | $31M | 31,149,000 | US |
| 823 | Lloyds Banking Group PLC2033-11 | Corporate Bond | 0.05% | $31M | 27,418,000 | GB |
| 824 | Cadence Design Systems Inc2034-09 | Corporate Bond | 0.05% | $31M | 31,628,000 | US |
| 825 | Crown Castle Inc2031-07 | Corporate Bond | 0.05% | $31M | 34,997,000 | US |
| 826 | Shell Finance US Inc2036-01 | Corporate Bond | 0.05% | $31M | 31,660,000 | US |
| 827 | TD SYNNEX Corp2035-10 | Corporate Bond | 0.05% | $31M | 31,410,000 | US |
| 828 | Phillips 66 Co2056-03 | Corporate Bond | 0.05% | $31M | 30,945,000 | US |
| 829 | Pacific Gas and Electric Co2033-01 | Corporate Bond | 0.05% | $31M | 29,656,000 | US |
| 830 | Cheniere Energy Partners LP2032-01 | Corporate Bond | 0.05% | $31M | 33,837,000 | US |
| 831 | Realty Income Corp2032-10 | Corporate Bond | 0.05% | $31M | 29,787,000 | US |
| 832 | Florida Power & Light Co2036-02 | Corporate Bond | 0.05% | $31M | 31,855,000 | US |
| 833 | Intel Corp2034-02 | Corporate Bond | 0.05% | $31M | 30,812,000 | US |
| 834 | Elevance Health Inc2031-11 | Corporate Bond | 0.05% | $31M | 30,772,000 | US |
| 835 | Nomura Holdings Inc2031-07 | Corporate Bond | 0.05% | $31M | 34,520,000 | JP |
| 836 | Quest Diagnostics Inc2034-12 | Corporate Bond | 0.04% | $31M | 31,053,000 | US |
| 837 | Valero Energy Corp2032-04 | Corporate Bond | 0.04% | $31M | 27,154,000 | US |
| 838 | Expand Energy Corp2035-01 | Corporate Bond | 0.04% | $31M | 30,250,000 | US |
| 839 | Waste Connections Inc2033-01 | Corporate Bond | 0.04% | $31M | 32,030,000 | CA |
| 840 | Leidos Inc2036-03 | Corporate Bond | 0.04% | $31M | 31,859,000 | US |
| 841 | HP Inc2032-04 | Corporate Bond | 0.04% | $31M | 32,147,000 | US |
| 842 | Arizona Public Service Co2034-08 | Corporate Bond | 0.04% | $31M | 29,668,000 | US |
| 843 | NiSource Inc2034-04 | Corporate Bond | 0.04% | $31M | 30,077,000 | US |
| 844 | Verisk Analytics Inc2035-03 | Corporate Bond | 0.04% | $31M | 30,900,000 | US |
| 845 | Regions Financial Corp2035-09 | Corporate Bond | 0.04% | $31M | 30,328,000 | US |
| 846 | Oncor Electric Delivery Co LLC2035-04 | Corporate Bond | 0.04% | $31M | 29,904,000 | US |
| 847 | Kinder Morgan Inc2032-01 | Corporate Bond | 0.04% | $31M | 26,678,000 | US |
| 848 | Sutter Health2035-08 | Corporate Bond | 0.04% | $31M | 29,490,000 | US |
| 849 | Florida Power & Light Co2033-05 | Corporate Bond | 0.04% | $30M | 30,414,000 | US |
| 850 | Canadian Imperial Bank of Commerce2033-10 | Corporate Bond | 0.04% | $30M | 28,441,000 | CA |
| 851 | ConocoPhillips2032-10 | Corporate Bond | 0.04% | $30M | 28,371,000 | US |
| 852 | Thermo Fisher Scientific Inc2033-08 | Corporate Bond | 0.04% | $30M | 29,921,000 | US |
| 853 | Dominion Energy Inc2054-06 | Corporate Bond | 0.04% | $30M | 28,503,000 | US |
| 854 | Suzano Netherlands BV2036-01 | Corporate Bond | 0.04% | $30M | 31,132,000 | NL |
| 855 | Essex Portfolio LP2032-03 | Corporate Bond | 0.04% | $30M | 34,207,000 | US |
| 856 | eBay Inc2035-11 | Corporate Bond | 0.04% | $30M | 30,710,000 | US |
| 857 | Consumers Energy Co2035-05 | Corporate Bond | 0.04% | $30M | 30,180,000 | US |
| 858 | T-Mobile USA Inc2032-03 | Corporate Bond | 0.04% | $30M | 33,925,000 | US |
| 859 | 3M Co2035-03 | Corporate Bond | 0.04% | $30M | 29,921,000 | US |
| 860 | HA Sustainable Infrastructure Capital Inc2034-07 | Corporate Bond | 0.04% | $30M | 29,515,000 | US |
| 861 | Sherwin-Williams Co/The2035-08 | Corporate Bond | 0.04% | $30M | 30,162,000 | US |
| 862 | Tampa Electric Co2035-03 | Corporate Bond | 0.04% | $30M | 30,069,000 | US |
| 863 | Keurig Dr Pepper Inc2034-03 | Corporate Bond | 0.04% | $30M | 30,158,000 | US |
| 864 | DTE Electric Co2032-03 | Corporate Bond | 0.04% | $30M | 32,701,000 | US |
| 865 | Westinghouse Air Brake Technologies Corp2035-05 | Corporate Bond | 0.04% | $30M | 29,431,000 | US |
| 866 | Smith & Nephew PLC2034-03 | Corporate Bond | 0.04% | $30M | 29,662,000 | GB |
| 867 | Mid-America Apartments LP2032-02 | Corporate Bond | 0.04% | $30M | 29,213,000 | US |
| 868 | Essex Portfolio LP2034-04 | Corporate Bond | 0.04% | $30M | 29,412,000 | US |
| 869 | Thermo Fisher Scientific Inc2031-10 | Corporate Bond | 0.04% | $30M | 33,997,000 | US |
| 870 | Pacific Gas and Electric Co2031-06 | Corporate Bond | 0.04% | $30M | 32,450,000 | US |
| 871 | Ingersoll Rand Inc2034-06 | Corporate Bond | 0.04% | $30M | 29,377,000 | US |
| 872 | Mizuho Financial Group Inc2034-05 | Corporate Bond | 0.04% | $30M | 28,803,000 | JP |
| 873 | Nomura Holdings Inc2036-06 | Corporate Bond | 0.04% | $30M | 30,555,000 | JP |
| 874 | Duke Energy Carolinas LLC2035-03 | Corporate Bond | 0.04% | $30M | 29,324,000 | US |
| 875 | Southwest Airlines Co2035-11 | Corporate Bond | 0.04% | $30M | 30,776,000 | US |
| 876 | United Airlines 2023-1 Class A Pass Through Trust2036-01 | Corporate Bond | 0.04% | $30M | 28,740,331 | US |
| 877 | Duke Energy Indiana LLC2036-03 | Corporate Bond | 0.04% | $30M | 30,235,000 | US |
| 878 | Brookfield Finance Inc2036-01 | Corporate Bond | 0.04% | $30M | 30,167,000 | CA |
| 879 | Astrazeneca Finance LLC2036-03 | Corporate Bond | 0.04% | $30M | 30,578,000 | US |
| 880 | Fairfax Financial Holdings Ltd2032-08 | Corporate Bond | 0.04% | $30M | 28,915,000 | CA |
| 881 | Cencora Inc2035-02 | Corporate Bond | 0.04% | $30M | 29,681,000 | US |
| 882 | M&T Bank Corp2036-01 | Corporate Bond | 0.04% | $30M | 29,708,000 | US |
| 883 | Mitsubishi UFJ Financial Group Inc2036-01 | Corporate Bond | 0.04% | $30M | 28,892,000 | JP |
| 884 | Appalachian Power Co2032-08 | Corporate Bond | 0.04% | $30M | 30,123,000 | US |
| 885 | Humana Inc2034-03 | Corporate Bond | 0.04% | $30M | 28,619,000 | US |
| 886 | DTE Electric Co2033-04 | Corporate Bond | 0.04% | $30M | 28,829,000 | US |
| 887 | Fifth Third Bancorp2037-01 | Corporate Bond | 0.04% | $30M | 30,134,000 | US |
| 888 | Northern States Power Co/MN2035-05 | Corporate Bond | 0.04% | $29M | 29,381,000 | US |
| 889 | VMware LLC2031-08 | Corporate Bond | 0.04% | $29M | 33,259,000 | US |
| 890 | O'Reilly Automotive Inc2034-08 | Corporate Bond | 0.04% | $29M | 29,677,000 | US |
| 891 | Coterra Energy Inc2035-02 | Corporate Bond | 0.04% | $29M | 29,033,000 | US |
| 892 | Nomura Holdings Inc2035-06 | Corporate Bond | 0.04% | $29M | 28,873,000 | JP |
| 893 | Mizuho Financial Group Inc2035-05 | Corporate Bond | 0.04% | $29M | 28,576,000 | JP |
| 894 | ArcelorMittal SA2036-05 | Corporate Bond | 0.04% | $29M | 29,500,000 | LU |
| 895 | Netflix Inc2034-08 | Corporate Bond | 0.04% | $29M | 29,153,000 | US |
| 896 | Comcast Corp2033-03 | Corporate Bond | 0.04% | $29M | 26,133,000 | US |
| 897 | Synchrony Financial2031-10 | Corporate Bond | 0.04% | $29M | 33,227,000 | US |
| 898 | Adobe Inc2035-01 | Corporate Bond | 0.04% | $29M | 28,720,000 | US |
| 899 | MercadoLibre Inc2033-01 | Corporate Bond | 0.04% | $29M | 29,931,000 | US |
| 900 | Costco Wholesale Corp2032-04 | Corporate Bond | 0.04% | $29M | 33,545,000 | US |
| 901 | Fidelity National Information Services Inc2032-07 | Corporate Bond | 0.04% | $29M | 29,020,000 | US |
| 902 | Agree LP2035-06 | Corporate Bond | 0.04% | $29M | 28,280,000 | US |
| 903 | Viper Energy Partners LLC2035-08 | Corporate Bond | 0.04% | $29M | 28,490,000 | US |
| 904 | Public Service Electric and Gas Co2033-03 | Corporate Bond | 0.04% | $29M | 29,363,000 | US |
| 905 | Duke Energy Corp2054-09 | Corporate Bond | 0.04% | $29M | 27,923,000 | US |
| 906 | Comcast Corp2035-06 | Corporate Bond | 0.04% | $29M | 28,098,000 | US |
| 907 | GE Capital Funding LLC2032-05 | Corporate Bond | 0.04% | $29M | 29,257,000 | US |
| 908 | Mizuho Financial Group Inc2033-09 | Corporate Bond | 0.04% | $29M | 27,993,000 | JP |
| 909 | Puget Energy Inc2035-03 | Corporate Bond | 0.04% | $29M | 28,781,000 | US |
| 910 | Autodesk Inc2031-12 | Corporate Bond | 0.04% | $29M | 32,906,000 | US |
| 911 | Host Hotels & Resorts LP2034-07 | Corporate Bond | 0.04% | $29M | 28,406,000 | US |
| 912 | UnitedHealth Group Inc2036-03 | Corporate Bond | 0.04% | $29M | 27,508,000 | US |
| 913 | American Express Co2035-04 | Corporate Bond | 0.04% | $29M | 27,854,000 | US |
| 914 | Merck & Co Inc2036-05 | Corporate Bond | 0.04% | $29M | 28,559,000 | US |
| 915 | Newmont Corp2032-07 | Corporate Bond | 0.04% | $29M | 32,029,000 | US |
| 916 | Realty Income Corp2035-04 | Corporate Bond | 0.04% | $29M | 28,803,000 | US |
| 917 | IBM International Capital Pte Ltd2034-02 | Corporate Bond | 0.04% | $29M | 29,044,000 | SG |
| 918 | Charter Communications Operating LLC / Charter Communications Operating Capital2033-04 | Corporate Bond | 0.04% | $29M | 31,144,000 | US |
| 919 | AT&T Inc2035-11 | Corporate Bond | 0.04% | $29M | 29,470,000 | US |
| 920 | Transcontinental Gas Pipe Line Co LLC2036-03 | Corporate Bond | 0.04% | $29M | 28,935,000 | US |
| 921 | Banco Santander SA2035-11 | Corporate Bond | 0.04% | $29M | 29,300,000 | ES |
| 922 | Primerica Inc2031-11 | Corporate Bond | 0.04% | $29M | 31,821,000 | US |
| 923 | Roper Technologies Inc2032-02 | Corporate Bond | 0.04% | $29M | 29,062,000 | US |
| 924 | Public Service Co of Oklahoma2035-01 | Corporate Bond | 0.04% | $29M | 28,687,000 | US |
| 925 | Analog Devices Inc2031-10 | Corporate Bond | 0.04% | $29M | 32,344,000 | US |
| 926 | Eversource Energy2032-03 | Corporate Bond | 0.04% | $29M | 31,032,000 | US |
| 927 | Hess Corp2031-08 | Corporate Bond | 0.04% | $29M | 25,407,000 | US |
| 928 | Elevance Health Inc2034-12 | Corporate Bond | 0.04% | $28M | 27,087,000 | US |
| 929 | LYB International Finance III LLC2033-05 | Corporate Bond | 0.04% | $28M | 28,053,000 | US |
| 930 | Nasdaq Inc2034-02 | Corporate Bond | 0.04% | $28M | 27,453,000 | US |
| 931 | FedEx Corp2031-05 | Corporate Bond | 0.04% | $28M | 31,560,000 | US |
| 932 | Duke Energy Corp2034-06 | Corporate Bond | 0.04% | $28M | 27,628,000 | US |
| 933 | Procter & Gamble Co/The2034-01 | Corporate Bond | 0.04% | $28M | 28,268,000 | US |
| 934 | Corebridge Financial Inc2032-04 | Corporate Bond | 0.04% | $28M | 29,981,000 | US |
| 935 | AT&T Inc2035-08 | Corporate Bond | 0.04% | $28M | 27,848,000 | US |
| 936 | HCA Inc2033-06 | Corporate Bond | 0.04% | $28M | 27,605,000 | US |
| 937 | Kimco Realty OP LLC2033-02 | Corporate Bond | 0.04% | $28M | 28,507,000 | US |
| 938 | HP Inc2031-06 | Corporate Bond | 0.04% | $28M | 31,334,000 | US |
| 939 | Automatic Data Processing Inc2036-05 | Corporate Bond | 0.04% | $28M | 28,200,000 | US |
| 940 | Emerson Electric Co2031-12 | Corporate Bond | 0.04% | $28M | 31,640,000 | US |
| 941 | Brookfield Finance Inc2034-01 | Corporate Bond | 0.04% | $28M | 26,352,000 | CA |
| 942 | Norfolk Southern Corp2034-03 | Corporate Bond | 0.04% | $28M | 27,038,000 | US |
| 943 | Sumitomo Mitsui Financial Group Inc2033-07 | Corporate Bond | 0.04% | $28M | 26,839,000 | JP |
| 944 | Sysco Corp2031-12 | Corporate Bond | 0.04% | $28M | 31,535,000 | US |
| 945 | Blue Owl Finance LLC2034-04 | Corporate Bond | 0.04% | $28M | 28,167,000 | US |
| 946 | Sumisho Air Lease Corp2031-07 | Corporate Bond | 0.04% | $28M | 27,760,000 | US |
| 947 | Kemper Corp2032-02 | Corporate Bond | 0.04% | $28M | 30,858,000 | US |
| 948 | Mitsubishi UFJ Financial Group Inc2033-01 | Corporate Bond | 0.04% | $28M | 31,065,000 | JP |
| 949 | HCA Inc2035-11 | Corporate Bond | 0.04% | $28M | 28,716,000 | US |
| 950 | Alexandria Real Estate Equities Inc2034-03 | Corporate Bond | 0.04% | $28M | 32,699,000 | US |
| 951 | Essential Utilities Inc2034-01 | Corporate Bond | 0.04% | $28M | 27,302,000 | US |
| 952 | Ovintiv Inc2034-08 | Corporate Bond | 0.04% | $28M | 25,742,000 | US |
| 953 | Philip Morris International Inc2035-10 | Corporate Bond | 0.04% | $28M | 28,676,000 | US |
| 954 | AT&T Inc2036-04 | Corporate Bond | 0.04% | $28M | 28,065,000 | US |
| 955 | Santander Holdings USA Inc2035-05 | Corporate Bond | 0.04% | $28M | 26,139,000 | US |
| 956 | Cintas Corp No 22032-05 | Corporate Bond | 0.04% | $28M | 28,539,000 | US |
| 957 | Roper Technologies Inc2035-09 | Corporate Bond | 0.04% | $28M | 28,448,000 | US |
| 958 | T-Mobile USA Inc2035-05 | Corporate Bond | 0.04% | $28M | 27,313,000 | US |
| 959 | Visa Inc2036-02 | Corporate Bond | 0.04% | $28M | 27,890,000 | US |
| 960 | ING Groep NV2036-03 | Corporate Bond | 0.04% | $28M | 27,149,000 | NL |
| 961 | Invitation Homes Operating Partnership LP2031-08 | Corporate Bond | 0.04% | $28M | 32,027,000 | US |
| 962 | PayPal Holdings Inc2035-04 | Corporate Bond | 0.04% | $28M | 27,880,000 | US |
| 963 | Ford Motor Credit Co LLC2033-11 | Corporate Bond | 0.04% | $28M | 25,656,000 | US |
| 964 | Lincoln National Corp2035-11 | Corporate Bond | 0.04% | $27M | 28,164,000 | US |
| 965 | Williams Cos Inc/The2033-03 | Corporate Bond | 0.04% | $27M | 26,552,000 | US |
| 966 | CRH America Finance Inc2034-05 | Corporate Bond | 0.04% | $27M | 26,859,000 | US |
| 967 | RenaissanceRe Holdings Ltd2035-04 | Corporate Bond | 0.04% | $27M | 26,671,000 | BM |
| 968 | Fedex Freight Holding Co Inc2036-03 | Corporate Bond | 0.04% | $27M | 28,026,000 | US |
| 969 | Comcast Corp2032-05 | Corporate Bond | 0.04% | $27M | 27,198,000 | US |
| 970 | NiSource Inc2055-03 | Corporate Bond | 0.04% | $27M | 26,752,000 | US |
| 971 | Simon Property Group LP2032-02 | Corporate Bond | 0.04% | $27M | 30,559,000 | US |
| 972 | Roper Technologies Inc2034-10 | Corporate Bond | 0.04% | $27M | 28,247,000 | US |
| 973 | Ares Strategic Income Fund2032-03 | Corporate Bond | 0.04% | $27M | 27,418,000 | US |
| 974 | Visa Inc2033-02 | Corporate Bond | 0.04% | $27M | 27,605,000 | US |
| 975 | Baltimore Gas and Electric Co2034-06 | Corporate Bond | 0.04% | $27M | 26,802,000 | US |
| 976 | Agilent Technologies Inc2034-09 | Corporate Bond | 0.04% | $27M | 27,667,000 | US |
| 977 | AbbVie Inc2035-03 | Corporate Bond | 0.04% | $27M | 26,776,000 | US |
| 978 | American Tower Corp2035-01 | Corporate Bond | 0.04% | $27M | 26,792,000 | US |
| 979 | America Movil SAB de CV2035-03 | Corporate Bond | 0.04% | $27M | 25,122,000 | MX |
| 980 | AT&T Inc2036-10 | Corporate Bond | 0.04% | $27M | 27,451,000 | US |
| 981 | Prologis LP2034-03 | Corporate Bond | 0.04% | $27M | 27,149,000 | US |
| 982 | Southern California Edison Co2032-11 | Corporate Bond | 0.04% | $27M | 26,000,000 | US |
| 983 | Truist Financial Corp2036-10 | Corporate Bond | 0.04% | $27M | 27,895,000 | US |
| 984 | Ecolab Inc2033-06 | Corporate Bond | 0.04% | $27M | 26,644,000 | US |
| 985 | Broadcom Inc2033-02 | Corporate Bond | 0.04% | $27M | 30,986,000 | US |
| 986 | Equitable Holdings Inc2033-01 | Corporate Bond | 0.04% | $27M | 26,442,000 | US |
| 987 | PECO Energy Co2035-09 | Corporate Bond | 0.04% | $27M | 27,188,000 | US |
| 988 | Equinix Europe 2 Financing Corp LLC2033-03 | Corporate Bond | 0.04% | $27M | 27,590,000 | US |
| 989 | International Business Machines Corp2032-02 | Corporate Bond | 0.04% | $27M | 26,683,000 | US |
| 990 | Diageo Capital PLC2033-01 | Corporate Bond | 0.04% | $27M | 26,071,000 | GB |
| 991 | Ventas Realty LP2035-01 | Corporate Bond | 0.04% | $27M | 27,319,000 | US |
| 992 | DR Horton Inc2034-10 | Corporate Bond | 0.04% | $27M | 27,189,000 | US |
| 993 | Tractor Supply Co2033-05 | Corporate Bond | 0.04% | $27M | 26,766,000 | US |
| 994 | First Citizens BancShares Inc/NC2040-03 | Corporate Bond | 0.04% | $27M | 27,306,000 | US |
| 995 | Healthpeak OP LLC2032-12 | Corporate Bond | 0.04% | $27M | 26,590,000 | US |
| 996 | Target Corp2035-04 | Corporate Bond | 0.04% | $27M | 26,678,000 | US |
| 997 | Alexandria Real Estate Equities Inc2032-05 | Corporate Bond | 0.04% | $27M | 31,781,000 | US |
| 998 | Toronto-Dominion Bank/The2031-09 | Corporate Bond | 0.04% | $27M | 30,202,000 | CA |
| 999 | Enbridge Inc2035-11 | Corporate Bond | 0.04% | $27M | 26,729,000 | CA |
| 1000 | Marriott International Inc/MD2032-04 | Corporate Bond | 0.04% | $27M | 26,292,000 | US |
The 1,000 largest of 2,307 positions; the CSV has all of them. Find which other funds hold a stock by opening it and choosing "ETFs holding".
Fund data comes from each fund's SEC filings and issuer disclosures and is shown with the date it is as of. SEC portfolio and flow filings become public about 60 days after the period they cover. Nothing here is investment advice; see Terms.