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

  • Corporate Bond98.6%
  • Cash0.2%
  • Treasury0.2%
  • Derivative-0.0%

Sectors

No classified stock holdings.

Countries

  • United States85.8%
  • United Kingdom3.3%
  • Canada2.9%
  • Japan2.1%
  • Ireland0.8%
  • Netherlands0.8%
  • Spain0.6%
  • Australia0.6%
  • Singapore0.4%
  • Luxembourg0.3%
  • Cayman Islands0.2%

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

#HoldingTypeWeightValueShares / parCountry
1Amazon.com Inc2036-03Corporate Bond0.30%$207M210,087,000US
2Boeing Co/The2034-05Corporate Bond0.28%$192M175,730,000US
3Meta Platforms Inc2035-11Corporate Bond0.27%$188M192,578,000US
4Bank of America Corp2033-07Corporate Bond0.27%$186M184,654,000US
5Pfizer Investment Enterprises Pte Ltd2033-05Corporate Bond0.27%$184M185,584,000SG
6Oracle Corp2036-02Corporate Bond0.27%$184M187,572,000US
7Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc2036-02Corporate Bond0.27%$183M187,527,000US
8JPMorgan Chase & Co2033-07Corporate Bond0.25%$169M169,016,000US
9Vanguard Cmt Funds-Vanguard Market Liquidity FundCash0.25%$169M1,685,493US
10JPMorgan Chase & Co2034-06Corporate Bond0.24%$168M164,782,000US
11Alphabet Inc2036-02Corporate Bond0.24%$162M163,838,000US
12JPMorgan Chase & Co2036-07Corporate Bond0.23%$161M158,521,000US
13Amgen Inc2033-03Corporate Bond0.23%$160M156,332,000US
14Goldman Sachs Group Inc/The2037-01Corporate Bond0.23%$155M158,209,000US
15Bank of America Corp2033-04Corporate Bond0.22%$153M155,329,000US
16Morgan Stanley2037-04Corporate Bond0.21%$145M145,816,000US
17Salesforce Inc2036-03Corporate Bond0.21%$144M143,203,000US
18Bank of America Corp2037-02Corporate Bond0.21%$141M142,986,000US
19Wells Fargo & Co2033-03Corporate Bond0.20%$139M151,229,000US
20Bank of America Corp2035-10Corporate Bond0.20%$139M138,135,000US
21Oracle Corp2035-09Corporate Bond0.20%$138M144,834,000US
22Bank of America Corp2035-01Corporate Bond0.20%$137M134,516,000US
23Citigroup Inc2034-05Corporate Bond0.20%$135M129,251,000US
24Wells Fargo & Co2034-10Corporate Bond0.20%$134M123,728,000US
25JPMorgan Chase & Co2037-04Corporate Bond0.19%$133M133,712,000US
26Amazon.com Inc2033-03Corporate Bond0.19%$131M132,101,000US
27Morgan Stanley2034-04Corporate Bond0.19%$129M127,961,000US
28Goldman Sachs Group Inc/The2032-07Corporate Bond0.19%$127M144,019,000US
29JPMorgan Chase & Co2036-04Corporate Bond0.19%$127M123,663,000US
30JPMorgan Chase & Co2033-01Corporate Bond0.18%$127M139,751,000US
31United States Treasury Note/Bond2031-04Treasury0.18%$126M126,982,000US
32Goldman Sachs Group Inc/The2033-02Corporate Bond0.18%$125M138,100,000US
33Verizon Communications Inc2032-03Corporate Bond0.18%$124M141,790,000US
34Goldman Sachs Group Inc/The2034-04Corporate Bond0.18%$123M123,048,000US
35Citigroup Inc2036-01Corporate Bond0.18%$122M118,822,000US
36Wells Fargo & Co2036-04Corporate Bond0.18%$122M118,515,000US
37Abbott Laboratories2036-03Corporate Bond0.18%$121M124,886,000US
38JPMorgan Chase & Co2035-07Corporate Bond0.18%$121M119,888,000US
39Wells Fargo & Co2034-07Corporate Bond0.18%$121M117,397,000US
40HSBC Holdings PLC2037-03Corporate Bond0.17%$120M121,630,000GB
41JPMorgan Chase & Co2037-01Corporate Bond0.17%$120M123,084,000US
42Morgan Stanley2036-09Corporate Bond0.17%$120M137,826,000US
43Goldman Sachs Group Inc/The2036-10Corporate Bond0.17%$120M123,419,000US
44Wells Fargo & Co2035-01Corporate Bond0.17%$119M116,892,000US
45Alphabet Inc2035-11Corporate Bond0.17%$119M120,876,000US
46Honeywell Aerospace Inc2036-03Corporate Bond0.17%$117M118,292,000US
47Morgan Stanley2032-07Corporate Bond0.17%$116M132,374,000US
48Citigroup Inc2033-03Corporate Bond0.17%$116M123,325,000US
49Morgan Stanley2033-10Corporate Bond0.17%$116M108,071,000US
50Wells Fargo & Co2037-01Corporate Bond0.17%$114M117,168,000US
51Citigroup Inc2033-01Corporate Bond0.17%$114M125,737,000US
52Morgan Stanley2035-04Corporate Bond0.17%$113M108,837,000US
53AT&T Inc2034-02Corporate Bond0.16%$113M110,425,000US
54JPMorgan Chase & Co2034-10Corporate Bond0.16%$113M105,059,000US
55Bank of America Corp2036-02Corporate Bond0.16%$112M110,009,000US
56JPMorgan Chase & Co2036-10Corporate Bond0.16%$112M115,098,000US
57Morgan Stanley2037-01Corporate Bond0.16%$111M113,326,000US
58AbbVie Inc2034-03Corporate Bond0.16%$111M109,118,000US
59Bank of America Corp2032-10Corporate Bond0.16%$110M123,490,000US
60Citigroup Inc2033-11Corporate Bond0.16%$110M102,897,000US
61AerCap Ireland Capital DAC / AerCap Global Aviation Trust2032-01Corporate Bond0.16%$110M119,873,000IE
62Morgan Stanley2035-07Corporate Bond0.16%$109M108,459,000US
63Goldman Sachs Group Inc/The2035-04Corporate Bond0.16%$109M105,060,000US
64Oracle Corp2032-09Corporate Bond0.16%$108M112,216,000US
65Wells Fargo & Co2034-04Corporate Bond0.16%$108M105,898,000US
66Morgan Stanley2036-04Corporate Bond0.16%$107M103,820,000US
67Goldman Sachs Group Inc/The2036-01Corporate Bond0.16%$107M104,753,000US
68Meta Platforms Inc2032-08Corporate Bond0.15%$106M112,210,000US
69Oracle Corp2033-05Corporate Bond0.15%$106M108,074,000US
70Salesforce Inc2031-09Corporate Bond0.15%$106M106,106,000US
71JPMorgan Chase & Co2033-09Corporate Bond0.15%$106M102,563,000US
72Broadcom Inc2035-07Corporate Bond0.15%$106M105,370,000US
73Meta Platforms Inc2032-11Corporate Bond0.15%$105M106,535,000US
74PNC Financial Services Group Inc/The2034-10Corporate Bond0.15%$104M94,430,000US
75Meta Platforms Inc2036-05Corporate Bond0.15%$104M104,231,000US
76Broadcom Inc2034-04Corporate Bond0.15%$104M115,026,000US
77Enbridge Inc2033-03Corporate Bond0.15%$102M98,059,000CA
78Goldman Sachs Group Inc/The2035-07Corporate Bond0.15%$101M100,880,000US
79Bank of America Corp2033-02Corporate Bond0.15%$100M110,291,000US
80Philip Morris International Inc2033-02Corporate Bond0.14%$97M94,671,000US
81Ally Financial Inc2031-11Corporate Bond0.14%$97M87,256,000US
82Ford Motor Co2032-02Corporate Bond0.14%$97M108,966,000US
83Bank of America Corp2034-04Corporate Bond0.14%$96M95,027,000US
84Bristol-Myers Squibb Co2034-02Corporate Bond0.14%$96M94,045,000US
85Broadcom Inc2035-11Corporate Bond0.14%$96M112,881,000US
86Bank of America Corp2034-09Corporate Bond0.14%$95M90,347,000US
87JPMorgan Chase & Co2035-01Corporate Bond0.14%$94M93,032,000US
88Verizon Communications Inc2033-08Corporate Bond0.14%$94M96,184,000US
89Citigroup Inc2035-02Corporate Bond0.14%$93M91,294,000US
90Goldman Sachs Group Inc/The2032-10Corporate Bond0.13%$92M103,451,000US
91Barclays PLC2036-02Corporate Bond0.13%$91M89,081,000GB
92Wells Fargo & Co2035-12Corporate Bond0.13%$91M90,680,000US
93HSBC Holdings PLC2034-06Corporate Bond0.13%$90M84,923,000GB
94HSBC Holdings PLC2033-11Corporate Bond0.13%$90M78,240,000GB
95AT&T Inc2033-12Corporate Bond0.13%$90M105,851,000US
96Verizon Communications Inc2036-01Corporate Bond0.13%$89M91,129,000US
97Bank of America Corp2035-08Corporate Bond0.13%$89M88,531,000US
98Bank of America Corp2032-07Corporate Bond0.13%$89M100,561,000US
99American Express Co2036-10Corporate Bond0.13%$88M91,433,000US
100US Bancorp2035-01Corporate Bond0.13%$88M85,454,000US
101Amazon.com Inc2032-04Corporate Bond0.13%$87M91,423,000US
102Broadcom Inc2032-11Corporate Bond0.13%$86M88,438,000US
103BP Capital Markets America Inc2034-11Corporate Bond0.13%$86M84,353,000US
104Novartis Capital Corp2036-03Corporate Bond0.12%$85M85,631,000US
105HSBC Holdings PLC2034-03Corporate Bond0.12%$85M79,942,000GB
106Capital One Financial Corp2034-06Corporate Bond0.12%$85M80,146,000US
107AT&T Inc2032-02Corporate Bond0.12%$85M97,096,000US
108Verizon Communications Inc2035-02Corporate Bond0.12%$85M87,026,000US
109Intel Corp2033-02Corporate Bond0.12%$85M83,467,000US
110Citigroup Inc2036-03Corporate Bond0.12%$84M83,850,000US
111Morgan Stanley2032-10Corporate Bond0.12%$84M94,611,000US
112Wells Fargo & Co2033-07Corporate Bond0.12%$84M83,884,000US
113Citibank NA2034-04Corporate Bond0.12%$84M80,241,000US
114Barclays PLC2033-11Corporate Bond0.12%$83M74,446,000GB
115Synopsys Inc2035-04Corporate Bond0.12%$83M83,289,000US
116Morgan Stanley2033-07Corporate Bond0.12%$83M83,052,000US
117US Bancorp2034-06Corporate Bond0.12%$83M79,224,000US
118Morgan Stanley2035-01Corporate Bond0.12%$82M80,916,000US
119BP Capital Markets America Inc2033-02Corporate Bond0.12%$82M82,009,000US
120Bank of America Corp2036-05Corporate Bond0.12%$82M79,991,000US
121HSBC Holdings PLC2033-08Corporate Bond0.12%$82M80,468,000GB
122Philip Morris International Inc2034-02Corporate Bond0.12%$82M80,091,000US
123Charter Communications Operating LLC / Charter Communications Operating Capital2035-10Corporate Bond0.12%$81M80,553,000US
124Meta Platforms Inc2034-08Corporate Bond0.12%$80M81,728,000US
125Broadcom Inc2032-07Corporate Bond0.12%$80M79,805,000US
126Barclays PLC2034-05Corporate Bond0.12%$80M75,556,000GB
127Sprint Capital Corp2032-03Corporate Bond0.12%$79M66,905,000US
128Royal Bank of Canada2033-02Corporate Bond0.12%$79M78,518,000CA
129Verizon Communications Inc2035-04Corporate Bond0.11%$79M78,220,000US
130AbbVie Inc2035-03Corporate Bond0.11%$79M80,736,000US
131Marsh & McLennan Cos Inc2035-03Corporate Bond0.11%$78M78,934,000US
132HSBC Holdings PLC2034-11Corporate Bond0.11%$78M70,304,000GB
133Novartis Capital Corp2033-03Corporate Bond0.11%$78M78,595,000US
134PNC Financial Services Group Inc/The2036-01Corporate Bond0.11%$78M76,171,000US
135Truist Financial Corp2034-06Corporate Bond0.11%$78M74,844,000US
136Merck & Co Inc2035-09Corporate Bond0.11%$78M77,642,000US
137Broadcom Inc2033-04Corporate Bond0.11%$77M84,552,000US
138Abbott Laboratories2033-03Corporate Bond0.11%$77M79,185,000US
139Morgan Stanley2034-11Corporate Bond0.11%$77M70,421,000US
140Salesforce Inc2033-03Corporate Bond0.11%$77M76,328,000US
141PNC Financial Services Group Inc/The2035-01Corporate Bond0.11%$76M74,040,000US
142American Express Co2036-04Corporate Bond0.11%$76M73,494,000US
143Goldman Sachs Group Inc/The2035-10Corporate Bond0.11%$76M76,624,000US
144Eaton Corp2036-03Corporate Bond0.11%$75M76,630,000US
145AbbVie Inc2035-05Corporate Bond0.11%$75M77,952,000US
146Bank of America Corp2037-04Corporate Bond0.11%$75M75,617,000US
147American Express Co2033-07Corporate Bond0.11%$75M74,589,000US
148HCA Inc2035-03Corporate Bond0.11%$75M72,399,000US
149JPMorgan Chase & Co2037-02Corporate Bond0.11%$74M75,575,000US
150HSBC Holdings PLC2033-03Corporate Bond0.11%$74M76,074,000GB
151Mitsubishi UFJ Financial Group Inc2036-04Corporate Bond0.11%$74M71,658,000JP
152General Electric Co2032-03Corporate Bond0.11%$74M66,700,000US
153Uber Technologies Inc2034-09Corporate Bond0.11%$73M75,072,000US
154Kinder Morgan Inc2033-06Corporate Bond0.11%$73M72,170,000US
155Sumitomo Mitsui Financial Group Inc2033-01Corporate Bond0.11%$73M70,216,000JP
156Intercontinental Exchange Inc2033-03Corporate Bond0.11%$73M74,091,000US
157Amazon.com Inc2033-03Corporate Bond0.11%$73M74,795,000US
158Bank of America Corp2036-01Corporate Bond0.11%$73M71,400,000US
159ING Groep NV2035-03Corporate Bond0.11%$72M71,053,000NL
160Lloyds Banking Group PLC2035-01Corporate Bond0.11%$72M70,439,000GB
161Bank of America Corp2036-09Corporate Bond0.11%$72M83,055,000US
162Merck & Co Inc2035-12Corporate Bond0.11%$72M73,772,000US
163Haleon US Capital LLC2032-03Corporate Bond0.10%$72M76,501,000US
164Alphabet Inc2033-02Corporate Bond0.10%$72M72,713,000US
165Amazon.com Inc2031-05Corporate Bond0.10%$71M79,719,000US
166T-Mobile USA Inc2033-07Corporate Bond0.10%$71M70,463,000US
167Sumitomo Mitsui Financial Group Inc2034-07Corporate Bond0.10%$71M68,745,000JP
168JPMorgan Chase & Co2035-04Corporate Bond0.10%$70M67,536,000US
169Intel Corp2036-05Corporate Bond0.10%$70M70,218,000US
170HSBC Holdings PLC2036-03Corporate Bond0.10%$70M69,379,000GB
171CVS Health Corp2035-09Corporate Bond0.10%$70M68,805,000US
172Florida Power & Light Co2032-02Corporate Bond0.10%$70M77,872,000US
173Kroger Co/The2034-09Corporate Bond0.10%$69M70,033,000US
174UnitedHealth Group Inc2032-01Corporate Bond0.10%$69M68,560,000US
175Charles Schwab Corp/The2034-05Corporate Bond0.10%$69M66,082,000US
176RTX Corp2034-03Corporate Bond0.10%$69M64,388,000US
177Rio Tinto Finance USA PLC2035-03Corporate Bond0.10%$69M67,642,000GB
178Morgan Stanley2033-01Corporate Bond0.10%$69M76,376,000US
179Meta Platforms Inc2033-05Corporate Bond0.10%$68M68,099,000US
180Bank of New York Mellon Corp/The2033-10Corporate Bond0.10%$67M64,001,000US
181Goldman Sachs Group Inc/The2041-02Corporate Bond0.10%$67M69,051,000US
182Amazon.com Inc2032-12Corporate Bond0.10%$67M66,469,000US
183Canadian Pacific Railway Co2031-12Corporate Bond0.10%$67M75,201,000CA
184Duke Energy Carolinas LLC2033-01Corporate Bond0.10%$67M66,001,000US
185HCA Inc2032-03Corporate Bond0.10%$67M71,839,000US
186Baxter International Inc2032-02Corporate Bond0.10%$67M78,168,000US
187Truist Financial Corp2035-01Corporate Bond0.10%$67M64,825,000US
188EOG Resources Inc2032-07Corporate Bond0.10%$66M65,630,000US
189Comcast Corp2034-06Corporate Bond0.10%$66M65,337,000US
190Mitsubishi UFJ Financial Group Inc2032-07Corporate Bond0.10%$66M74,929,000JP
191BHP Billiton Finance USA Ltd2035-02Corporate Bond0.10%$66M64,659,000AU
192PepsiCo Inc2035-07Corporate Bond0.10%$66M65,472,000US
193Hewlett Packard Enterprise Co2031-10Corporate Bond0.10%$66M65,813,000US
194Cigna Group/The2032-09Corporate Bond0.10%$65M65,350,000US
195Chubb INA Holdings LLC2035-08Corporate Bond0.10%$65M66,269,000US
196Johnson & Johnson2032-03Corporate Bond0.10%$65M63,696,000US
197TransCanada PipeLines Ltd2034-03Corporate Bond0.09%$65M67,031,000CA
198Barclays PLC2034-06Corporate Bond0.09%$64M58,847,000GB
199Lowe's Cos Inc2032-10Corporate Bond0.09%$64M65,505,000US
200Bristol-Myers Squibb Co2032-03Corporate Bond0.09%$64M70,113,000US
201Citigroup Inc2036-09Corporate Bond0.09%$64M64,429,000US
202Cheniere Energy Partners LP2033-06Corporate Bond0.09%$64M61,175,000US
203ONEOK Inc2033-09Corporate Bond0.09%$64M60,818,000US
204JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings2033-04Corporate Bond0.09%$64M62,029,000NL
205BP Capital Markets America Inc2033-09Corporate Bond0.09%$64M63,717,000US
206Banco Santander SA2033-08Corporate Bond0.09%$64M58,488,000ES
207Mitsubishi UFJ Financial Group Inc2035-04Corporate Bond0.09%$63M62,080,000JP
208Pfizer Inc2035-11Corporate Bond0.09%$63M63,792,000US
209Regal Rexnord Corp2033-04Corporate Bond0.09%$63M59,461,300US
210CVS Health Corp2034-06Corporate Bond0.09%$63M60,848,000US
211ONEOK Inc2034-11Corporate Bond0.09%$63M63,825,000US
212HSBC Holdings PLC2035-11Corporate Bond0.09%$63M61,273,000GB
213Barclays PLC2034-09Corporate Bond0.09%$62M57,792,000GB
214S&P Global Inc2032-03Corporate Bond0.09%$62M67,678,000US
215AT&T Inc2031-06Corporate Bond0.09%$62M67,661,000US
216Walmart Inc2035-04Corporate Bond0.09%$62M60,886,000US
217PacifiCorp2034-02Corporate Bond0.09%$61M60,458,000US
218Morgan Stanley2038-01Corporate Bond0.09%$61M58,897,000US
219Takeda US Financing Inc2035-07Corporate Bond0.09%$61M60,669,000US
220MPLX LP2035-09Corporate Bond0.09%$60M60,437,000US
221Capital One Financial Corp2036-01Corporate Bond0.09%$60M59,104,000US
222Energy Transfer LP2033-12Corporate Bond0.09%$60M55,338,000US
223Virginia Electric and Power Co2036-03Corporate Bond0.09%$60M61,146,000US
224United Parcel Service Inc2035-05Corporate Bond0.09%$60M58,786,000US
225Cheniere Energy Partners LP2034-08Corporate Bond0.09%$60M57,943,000US
226Aon North America Inc2034-03Corporate Bond0.09%$60M58,778,000US
227Intercontinental Exchange Inc2032-09Corporate Bond0.09%$60M70,872,000US
228Southern Co/The2055-03Corporate Bond0.09%$60M58,011,000US
229Bank of New York Mellon Corp/The2035-03Corporate Bond0.09%$60M58,725,000US
230Alphabet Inc2032-11Corporate Bond0.09%$60M60,329,000US
231Cigna Group/The2036-01Corporate Bond0.09%$59M59,220,000US
232Citizens Financial Group Inc2032-07Corporate Bond0.09%$59M57,832,000US
233RTX Corp2033-02Corporate Bond0.09%$59M57,996,000US
234Medtronic Inc2035-03Corporate Bond0.09%$59M61,283,000US
235Lowe's Cos Inc2035-10Corporate Bond0.09%$59M60,530,000US
236UnitedHealth Group Inc2032-05Corporate Bond0.09%$59M60,566,000US
237AT&T Inc2035-05Corporate Bond0.09%$59M61,975,000US
238Cisco Systems Inc2032-02Corporate Bond0.09%$59M57,818,000US
239Mitsubishi UFJ Financial Group Inc2037-01Corporate Bond0.09%$59M59,565,000JP
240Newmont Corp / Newcrest Finance Pty Ltd2034-03Corporate Bond0.09%$59M56,897,000US
241Marsh & McLennan Cos Inc2031-11Corporate Bond0.09%$59M58,092,000US
242Amphenol Corp2036-02Corporate Bond0.09%$58M60,568,000US
243Merck & Co Inc2031-12Corporate Bond0.09%$58M66,161,000US
244Northrop Grumman Corp2033-03Corporate Bond0.09%$58M58,795,000US
245Plains All American Pipeline LP2035-06Corporate Bond0.09%$58M56,464,000US
246General Motors Financial Co Inc2035-01Corporate Bond0.08%$58M56,468,000US
247Altria Group Inc2032-02Corporate Bond0.08%$58M66,003,000US
248Home Depot Inc/The2032-04Corporate Bond0.08%$58M62,354,000US
249Enterprise Products Operating LLC2035-02Corporate Bond0.08%$58M58,203,000US
250Cisco Systems Inc2035-02Corporate Bond0.08%$58M57,241,000US
251Cheniere Energy Inc2034-04Corporate Bond0.08%$58M56,321,000US
252Mizuho Financial Group Inc2036-07Corporate Bond0.08%$58M57,685,000JP
253Arthur J Gallagher & Co2035-02Corporate Bond0.08%$58M58,343,000US
254AT&T Inc2033-04Corporate Bond0.08%$58M58,491,000US
255Unilever Capital Corp2032-11Corporate Bond0.08%$58M53,672,000US
256Deutsche Bank AG/New York NY2034-02Corporate Bond0.08%$58M53,665,000DE
257Energy Transfer LP2034-09Corporate Bond0.08%$58M56,314,000US
258Cisco Systems Inc2034-02Corporate Bond0.08%$57M56,738,000US
259Rogers Communications Inc2032-03Corporate Bond0.08%$57M61,631,000CA
260Jefferies Financial Group Inc2036-02Corporate Bond0.08%$57M59,000,000US
261UnitedHealth Group Inc2035-06Corporate Bond0.08%$57M56,355,000US
262Mitsubishi UFJ Financial Group Inc2033-07Corporate Bond0.08%$57M56,786,000JP
263HCA Inc2034-09Corporate Bond0.08%$57M56,495,000US
264AerCap Ireland Capital DAC / AerCap Global Aviation Trust2033-10Corporate Bond0.08%$57M64,034,000IE
265L3Harris Technologies Inc2033-07Corporate Bond0.08%$57M55,514,000US
266CRH America Finance Inc2035-01Corporate Bond0.08%$57M55,740,000US
267Smurfit Kappa Treasury ULC2034-04Corporate Bond0.08%$57M55,921,000IE
268T-Mobile USA Inc2033-01Corporate Bond0.08%$57M55,744,000US
269Fox Corp2033-10Corporate Bond0.08%$57M52,649,000US
270Eli Lilly & Co2032-10Corporate Bond0.08%$57M56,864,000US
271BAT Capital Corp2032-08Corporate Bond0.08%$57M55,168,000US
272Dell International LLC / EMC Corp2034-04Corporate Bond0.08%$56M55,059,000US
273UnitedHealth Group Inc2034-04Corporate Bond0.08%$56M56,123,000US
274Banco Santander SA2033-11Corporate Bond0.08%$56M50,097,000ES
275T-Mobile USA Inc2034-04Corporate Bond0.08%$56M55,709,000US
276Duke Energy Corp2032-08Corporate Bond0.08%$56M57,019,000US
277Global Payments Inc2035-11Corporate Bond0.08%$56M57,519,000US
278NatWest Group PLC2035-03Corporate Bond0.08%$56M54,127,000GB
279Broadcom Inc2032-04Corporate Bond0.08%$56M54,823,000US
280Morgan Stanley2032-04Corporate Bond0.08%$56M49,509,000US
281Prudential Financial Inc2052-03Corporate Bond0.08%$56M57,061,000US
282JPMorgan Chase & Co2032-11Corporate Bond0.08%$56M62,499,000US
283Marathon Petroleum Corp2035-03Corporate Bond0.08%$56M54,075,000US
284Apple Inc2032-05Corporate Bond0.08%$56M54,896,000US
285Apple Inc2035-05Corporate Bond0.08%$56M54,972,000US
286Micron Technology Inc2032-04Corporate Bond0.08%$56M61,863,000US
287Williams Cos Inc/The2032-08Corporate Bond0.08%$56M56,148,000US
288Gilead Sciences Inc2035-06Corporate Bond0.08%$55M54,970,000US
289Pacific Gas and Electric Co2035-03Corporate Bond0.08%$55M54,517,000US
290Dominion Energy Inc2032-11Corporate Bond0.08%$55M53,786,000US
291McDonald's Corp2035-03Corporate Bond0.08%$55M55,170,000US
292HSBC Holdings PLC2034-05Corporate Bond0.08%$55M55,100,000GB
293Capital One Financial Corp2034-02Corporate Bond0.08%$55M53,357,000US
294CDW LLC / CDW Finance Corp2031-12Corporate Bond0.08%$55M59,868,000US
295BP Capital Markets America Inc2034-04Corporate Bond0.08%$55M54,452,000US
296HSBC Holdings PLC2036-05Corporate Bond0.08%$55M52,955,000GB
297Chevron USA Inc2032-10Corporate Bond0.08%$55M54,659,000US
298Charles Schwab Corp/The2032-03Corporate Bond0.08%$55M60,136,000US
299Florida Power & Light Co2034-06Corporate Bond0.08%$55M53,230,000US
300Westpac Banking Corp2035-11Corporate Bond0.08%$55M53,926,000AU
301Oracle Corp2034-09Corporate Bond0.08%$54M58,425,000US
302Amrize Finance US LLC2035-04Corporate Bond0.08%$54M53,318,000US
303Amphenol Corp2033-02Corporate Bond0.08%$54M55,425,000US
304HSBC Holdings PLC2036-09Corporate Bond0.08%$54M53,512,000GB
305Lockheed Martin Corp2033-01Corporate Bond0.08%$54M51,954,000US
306AT&T Inc2032-11Corporate Bond0.08%$54M54,810,000US
307Intel Corp2031-08Corporate Bond0.08%$54M61,637,000US
308Toronto-Dominion Bank/The2035-10Corporate Bond0.08%$54M54,729,000CA
309American Electric Power Co Inc2033-03Corporate Bond0.08%$54M51,784,000US
310American Express Co2036-01Corporate Bond0.08%$54M52,595,000US
311PepsiCo Inc2032-07Corporate Bond0.08%$54M53,306,000US
312Targa Resources Corp2035-02Corporate Bond0.08%$53M52,399,000US
313Southern California Edison Co2035-03Corporate Bond0.08%$53M53,305,000US
314Philip Morris International Inc2032-10Corporate Bond0.08%$53M54,805,000US
315General Motors Co2032-10Corporate Bond0.08%$53M51,605,000US
316Synopsys Inc2032-04Corporate Bond0.08%$53M52,793,000US
317JPMorgan Chase & Co2035-10Corporate Bond0.08%$53M53,653,000US
318Union Pacific Corp2035-02Corporate Bond0.08%$53M52,002,000US
319RTX Corp2032-03Corporate Bond0.08%$53M59,721,000US
320Tyson Foods Inc2034-03Corporate Bond0.08%$53M50,842,000US
321HSBC Holdings PLC2032-11Corporate Bond0.08%$53M58,536,000GB
322Walmart Inc2031-09Corporate Bond0.08%$53M59,400,000US
323NXP BV / NXP Funding LLC / NXP USA Inc2032-02Corporate Bond0.08%$52M59,001,000
324Targa Resources Corp2034-03Corporate Bond0.08%$52M48,319,000US
325Capital One Financial Corp2034-11Corporate Bond0.08%$52M45,291,000US
326Comcast Corp2033-01Corporate Bond0.08%$52M54,087,000US
327J M Smucker Co/The2033-11Corporate Bond0.08%$52M48,659,000US
328Woodside Finance Ltd2035-05Corporate Bond0.08%$52M49,630,000AU
329PNC Financial Services Group Inc/The2032-10Corporate Bond0.08%$52M52,000,000US
330NiSource Inc2035-07Corporate Bond0.08%$52M51,275,000US
331General Motors Financial Co Inc2032-04Corporate Bond0.08%$52M50,433,000US
332General Motors Financial Co Inc2034-04Corporate Bond0.08%$52M49,880,000US
333Automatic Data Processing Inc2032-05Corporate Bond0.08%$52M51,517,000US
334Phillips 66 Co2033-06Corporate Bond0.08%$52M50,799,000US
335Oracle Corp2032-11Corporate Bond0.08%$52M49,857,000US
336Merck & Co Inc2032-12Corporate Bond0.08%$52M52,304,000US
337ING Groep NV2037-03Corporate Bond0.08%$52M51,434,000NL
338Ameriprise Financial Inc2035-04Corporate Bond0.07%$51M51,151,000US
339HSBC Holdings PLC2036-11Corporate Bond0.07%$51M52,119,000GB
340HCA Inc2034-04Corporate Bond0.07%$51M50,073,000US
341Capital One Financial Corp2035-07Corporate Bond0.07%$51M49,843,000US
342Diamondback Energy Inc2035-04Corporate Bond0.07%$51M49,565,000US
343Williams Cos Inc/The2034-03Corporate Bond0.07%$51M50,896,000US
344Elevance Health Inc2035-02Corporate Bond0.07%$51M50,845,000US
345PNC Financial Services Group Inc/The2033-06Corporate Bond0.07%$51M52,451,000US
346BlackRock Funding Inc/DE2033-05Corporate Bond0.07%$51M50,388,000US
347AbbVie Inc2036-03Corporate Bond0.07%$51M51,768,000US
348State Street Corp2032-10Corporate Bond0.07%$51M50,890,000US
349Morgan Stanley2037-04Corporate Bond0.07%$51M50,673,000US
350Procter & Gamble Co/The2032-11Corporate Bond0.07%$51M51,499,000US
351MetLife Inc2034-12Corporate Bond0.07%$51M49,348,000US
352M&T Bank Corp2034-01Corporate Bond0.07%$50M50,861,000US
353Paychex Inc2032-04Corporate Bond0.07%$50M49,756,000US
354Pfizer Inc2031-08Corporate Bond0.07%$50M57,381,000US
355Mastercard Inc2032-01Corporate Bond0.07%$50M50,636,000US
356CVS Health Corp2031-02Corporate Bond0.07%$50M56,954,025US
357UnitedHealth Group Inc2033-02Corporate Bond0.07%$50M48,552,000US
358Ford Motor Credit Co LLC2032-03Corporate Bond0.07%$50M48,047,000US
359Capital One Financial Corp2032-11Corporate Bond0.07%$50M45,813,000US
360Eli Lilly & Co2035-02Corporate Bond0.07%$50M48,827,000US
361ConocoPhillips Co2035-01Corporate Bond0.07%$50M49,713,000US
362Lowe's Cos Inc2032-04Corporate Bond0.07%$50M52,522,000US
363Bell Telephone Co of Canada or Bell Canada2033-05Corporate Bond0.07%$50M49,475,000CA
364Owens Corning2034-06Corporate Bond0.07%$50M47,991,000US
365PNC Financial Services Group Inc/The2033-10Corporate Bond0.07%$50M47,105,000US
366Diamondback Energy Inc2034-04Corporate Bond0.07%$50M48,522,000US
367Broadcom Inc2033-01Corporate Bond0.07%$50M50,337,000US
368Waste Management Inc2032-04Corporate Bond0.07%$50M50,699,000US
369Enbridge Inc2034-04Corporate Bond0.07%$50M47,850,000CA
370Oracle Corp2033-02Corporate Bond0.07%$49M51,461,000US
371Capital One Financial Corp2036-09Corporate Bond0.07%$49M50,713,000US
372Solventum Corp2034-03Corporate Bond0.07%$49M48,096,000US
373Campbell's Company/The2034-03Corporate Bond0.07%$49M50,732,000US
374Ford Motor Credit Co LLC2034-03Corporate Bond0.07%$49M48,547,000US
375Toronto-Dominion Bank/The2032-03Corporate Bond0.07%$49M53,416,000CA
376Accenture Capital Inc2034-10Corporate Bond0.07%$49M50,825,000US
377BHP Billiton Finance USA Ltd2032-02Corporate Bond0.07%$49M48,138,000AU
378NextEra Energy Capital Holdings Inc2033-02Corporate Bond0.07%$49M48,730,000US
379Halliburton Co2035-11Corporate Bond0.07%$49M50,353,000US
380UnitedHealth Group Inc2034-07Corporate Bond0.07%$49M48,444,000US
381PepsiCo Inc2035-02Corporate Bond0.07%$49M48,556,000US
382Mitsubishi UFJ Financial Group Inc2037-04Corporate Bond0.07%$49M48,693,000JP
383Morgan Stanley2034-07Corporate Bond0.07%$49M47,875,000US
384Kenvue Inc2032-05Corporate Bond0.07%$49M48,308,000US
385Archer-Daniels-Midland Co2032-03Corporate Bond0.07%$49M53,319,000US
386US Bancorp2037-01Corporate Bond0.07%$49M49,350,000US
387Pacific Gas and Electric Co2034-03Corporate Bond0.07%$48M44,285,000US
388Southern Copper Corp2035-07Corporate Bond0.07%$48M41,725,000US
389Royal Bank of Canada2034-02Corporate Bond0.07%$48M47,284,000CA
390Williams Cos Inc/The2036-03Corporate Bond0.07%$48M48,890,000US
391National Rural Utilities Cooperative Finance Corp2033-01Corporate Bond0.07%$48M45,752,000US
392Mondelez International Inc2032-03Corporate Bond0.07%$48M53,134,000US
393Targa Resources Partners LP / Targa Resources Partners Finance Corp2032-01Corporate Bond0.07%$48M50,478,000US
394Eaton Corp2033-03Corporate Bond0.07%$48M48,821,000US
395Banco Santander SA2031-07Corporate Bond0.07%$48M46,582,000ES
396UnitedHealth Group Inc2033-04Corporate Bond0.07%$48M48,898,000US
397General Motors Financial Co Inc2035-07Corporate Bond0.07%$48M45,606,000US
398KLA Corp2032-07Corporate Bond0.07%$48M47,538,000US
399Huntington Bancshares Inc/OH2035-02Corporate Bond0.07%$48M46,479,000US
400Deere & Co2035-01Corporate Bond0.07%$48M45,787,000US
401Verizon Communications Inc2034-11Corporate Bond0.07%$47M49,816,500US
402Smurfit Westrock Financing DAC2036-01Corporate Bond0.07%$47M47,878,000IE
403Charter Communications Operating LLC / Charter Communications Operating Capital2034-02Corporate Bond0.07%$47M45,827,000US
404Bank of Nova Scotia/The2034-02Corporate Bond0.07%$47M45,298,000CA
405Bank of New York Mellon Corp/The2036-06Corporate Bond0.07%$47M46,584,000US
406Baltimore Gas and Electric Co2035-06Corporate Bond0.07%$47M46,307,000US
407BP Capital Markets America Inc2032-01Corporate Bond0.07%$47M52,247,000US
408State Street Corp2037-04Corporate Bond0.07%$47M47,481,000US
409Eastern Energy Gas Holdings LLC2035-01Corporate Bond0.07%$47M45,331,000US
410PNC Financial Services Group Inc/The2041-01Corporate Bond0.07%$47M48,009,000US
411ConocoPhillips Co2032-01Corporate Bond0.07%$47M46,596,000US
412Caterpillar Inc2035-05Corporate Bond0.07%$47M46,002,000US
413Chubb INA Holdings LLC2034-03Corporate Bond0.07%$47M46,776,000US
414General Motors Financial Co Inc2034-09Corporate Bond0.07%$47M46,614,000US
415Blackstone Private Credit Fund2032-01Corporate Bond0.07%$47M47,542,000US
416Energy Transfer LP2034-05Corporate Bond0.07%$47M45,820,000US
417Crown Castle Inc2034-03Corporate Bond0.07%$47M45,334,000US
418Ford Motor Co2031-07Corporate Bond0.07%$47M42,825,500US
419VICI Properties LP2032-05Corporate Bond0.07%$47M47,052,000US
420Morgan Stanley2039-02Corporate Bond0.07%$47M45,185,000US
421Eli Lilly & Co2035-10Corporate Bond0.07%$47M46,648,000US
422Dollar Tree Inc2031-12Corporate Bond0.07%$47M52,216,000US
423Citigroup Inc2032-06Corporate Bond0.07%$47M42,902,000US
424John Deere Capital Corp2034-06Corporate Bond0.07%$47M46,061,000US
425Zoetis Inc2035-08Corporate Bond0.07%$47M47,088,000US
426Williams Cos Inc/The2035-03Corporate Bond0.07%$47M45,459,000US
427JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings2036-01Corporate Bond0.07%$47M46,612,000NL
428Toyota Motor Credit Corp2032-09Corporate Bond0.07%$46M46,734,000US
429Toyota Motor Credit Corp2031-10Corporate Bond0.07%$46M46,485,000US
430Toronto-Dominion Bank/The2032-01Corporate Bond0.07%$46M45,346,000CA
431Lloyds Banking Group PLC2033-08Corporate Bond0.07%$46M46,537,000GB
432Virginia Electric and Power Co2035-03Corporate Bond0.07%$46M46,019,000US
433Kinder Morgan Inc2035-06Corporate Bond0.07%$46M44,032,000US
434Dell International LLC / EMC Corp2032-10Corporate Bond0.07%$46M46,481,000US
435Amgen Inc2032-01Corporate Bond0.07%$46M53,285,000US
436American International Group Inc2033-03Corporate Bond0.07%$46M45,553,000US
437Starbucks Corp2032-02Corporate Bond0.07%$46M50,255,000US
438Georgia Power Co2032-05Corporate Bond0.07%$46M45,761,000US
439Sempra2054-10Corporate Bond0.07%$46M45,436,000US
440Enterprise Products Operating LLC2034-01Corporate Bond0.07%$46M45,880,000US
441JPMorgan Chase & Co2036-01Corporate Bond0.07%$46M44,638,000US
442Lockheed Martin Corp2031-12Corporate Bond0.07%$46M45,203,000US
443Berkshire Hathaway Energy Co2036-04Corporate Bond0.07%$46M42,634,000US
444US Bancorp2033-07Corporate Bond0.07%$46M46,061,000US
445Philip Morris International Inc2033-09Corporate Bond0.07%$46M43,670,000US
446Oracle Corp2035-05Corporate Bond0.07%$46M52,945,000US
447NextEra Energy Capital Holdings Inc2054-06Corporate Bond0.07%$45M43,552,000US
448American Honda Finance Corp2031-07Corporate Bond0.07%$45M45,173,000US
449NextEra Energy Capital Holdings Inc2032-07Corporate Bond0.07%$45M44,947,000US
450MetLife Inc2033-07Corporate Bond0.07%$45M43,801,000US
451Hewlett Packard Enterprise Co2034-10Corporate Bond0.07%$45M46,241,000US
452Deutsche Telekom International Finance BV2032-06Corporate Bond0.07%$45M37,009,000NL
453Banco Santander SA2034-03Corporate Bond0.07%$45M42,616,000ES
454Diageo Investment Corp2035-04Corporate Bond0.07%$45M43,408,000US
455Global Payments Inc2032-11Corporate Bond0.07%$45M45,834,000US
456Lockheed Martin Corp2032-06Corporate Bond0.07%$45M46,397,000US
457Lloyds Banking Group PLC2036-06Corporate Bond0.07%$45M43,589,000GB
458Citigroup Inc2032-05Corporate Bond0.07%$45M49,846,000US
459Banco Santander SA2035-01Corporate Bond0.07%$45M42,738,000ES
460Equinix Inc2032-04Corporate Bond0.07%$45M47,189,000US
461Apollo Global Management Inc2035-08Corporate Bond0.07%$45M45,643,000US
462GE HealthCare Technologies Inc2032-11Corporate Bond0.07%$45M42,413,000US
463Pacific Gas and Electric Co2033-06Corporate Bond0.07%$45M42,073,000US
464TotalEnergies Capital USA LLC2033-01Corporate Bond0.07%$45M45,248,000US
465Jefferies Financial Group Inc2031-10Corporate Bond0.06%$45M51,078,000US
466Rio Tinto Finance USA PLC2032-03Corporate Bond0.06%$45M43,998,000GB
467Rogers Communications Inc2034-02Corporate Bond0.06%$45M44,796,000CA
468Banco Bilbao Vizcaya Argentaria SA2035-03Corporate Bond0.06%$44M42,682,000ES
469Wells Fargo & Co2036-09Corporate Bond0.06%$44M45,552,000US
470Public Service Co of Colorado2035-09Corporate Bond0.06%$44M44,502,000US
471Exelon Corp2033-03Corporate Bond0.06%$44M43,404,000US
472Kinder Morgan Inc2034-02Corporate Bond0.06%$44M43,311,000US
473KeyCorp2035-03Corporate Bond0.06%$44M41,659,000US
474Mastercard Inc2035-01Corporate Bond0.06%$44M45,248,000US
475NextEra Energy Capital Holdings Inc2032-03Corporate Bond0.06%$44M43,292,000US
476Berry Global Inc2034-01Corporate Bond0.06%$44M43,315,000US
477Cummins Inc2035-05Corporate Bond0.06%$44M43,253,000US
478T-Mobile USA Inc2032-05Corporate Bond0.06%$44M43,586,000US
479Energy Transfer LP2036-01Corporate Bond0.06%$44M44,236,000US
480Bank of New York Mellon Corp/The2033-06Corporate Bond0.06%$44M45,385,000US
481John Deere Capital Corp2032-09Corporate Bond0.06%$44M44,677,000US
482Thermo Fisher Scientific Inc2035-10Corporate Bond0.06%$44M44,792,000US
483Barclays PLC2033-08Corporate Bond0.06%$44M42,778,000GB
484American Honda Finance Corp2032-07Corporate Bond0.06%$44M43,740,000US
485Morgan Stanley2036-01Corporate Bond0.06%$44M42,931,000US
486General Motors Co2035-04Corporate Bond0.06%$44M41,835,000US
487Texas Instruments Inc2034-02Corporate Bond0.06%$44M43,457,000US
488Citigroup Inc2033-05Corporate Bond0.06%$44M44,030,750US
489Comcast Corp2033-05Corporate Bond0.06%$44M44,102,000US
490Constellation Brands Inc2031-08Corporate Bond0.06%$44M49,639,000US
491QUALCOMM Inc2035-05Corporate Bond0.06%$44M43,646,000US
492John Deere Capital Corp2034-04Corporate Bond0.06%$44M43,040,000US
493Southern Co/The2033-06Corporate Bond0.06%$44M43,193,000US
494MPLX LP2032-09Corporate Bond0.06%$44M43,738,000US
495HCA Inc2032-11Corporate Bond0.06%$44M44,659,000US
496Occidental Petroleum Corp2031-09Corporate Bond0.06%$44M38,279,000US
497Amgen Inc2032-02Corporate Bond0.06%$44M46,787,000US
498Oracle Corp2032-02Corporate Bond0.06%$43M43,832,000US
499Target Corp2034-09Corporate Bond0.06%$43M44,619,000US
500Elevance Health Inc2033-02Corporate Bond0.06%$43M43,945,000US
501Royal Bank of Canada2031-11Corporate Bond0.06%$43M48,515,000CA
502Sanofi SA2032-11Corporate Bond0.06%$43M44,215,000FR
503Dell International LLC / EMC Corp2036-02Corporate Bond0.06%$43M43,570,000US
504Toyota Motor Credit Corp2035-01Corporate Bond0.06%$43M42,090,000US
505Georgia Power Co2033-05Corporate Bond0.06%$43M42,828,000US
506Sumitomo Mitsui Financial Group Inc2037-01Corporate Bond0.06%$43M43,680,000JP
507International Business Machines Corp2032-11Corporate Bond0.06%$43M40,622,000US
508Thermo Fisher Scientific Inc2032-10Corporate Bond0.06%$43M43,728,000US
509CSX Corp2035-06Corporate Bond0.06%$43M42,872,000US
510BAT Capital Corp2032-03Corporate Bond0.06%$43M43,111,000US
511T-Mobile USA Inc2035-01Corporate Bond0.06%$43M44,291,000US
512Targa Resources Corp2035-08Corporate Bond0.06%$43M42,209,000US
513MPLX LP2035-04Corporate Bond0.06%$43M42,595,000US
514Ralph Lauren Corp2032-06Corporate Bond0.06%$43M42,179,000US
515PepsiCo Inc2031-10Corporate Bond0.06%$43M48,437,000US
516EQT Corp2034-02Corporate Bond0.06%$43M41,286,000US
517Marriott International Inc/MD2034-05Corporate Bond0.06%$43M42,062,000US
518Broadcom Inc2036-01Corporate Bond0.06%$43M43,117,000US
519General Motors Financial Co Inc2031-06Corporate Bond0.06%$43M41,273,000US
520Honeywell Aerospace Inc2033-03Corporate Bond0.06%$42M43,100,000US
521Virginia Electric and Power Co2033-04Corporate Bond0.06%$42M41,881,000US
522Entergy Louisiana LLC2034-09Corporate Bond0.06%$42M41,904,000US
523JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings2035-04Corporate Bond0.06%$42M40,880,000NL
524Ventas Realty LP2032-07Corporate Bond0.06%$42M41,811,000US
525Otis Worldwide Corp2031-11Corporate Bond0.06%$42M41,328,000US
526Dominion Energy Inc2056-02Corporate Bond0.06%$42M41,890,000US
527Bank of America Corp2037-03Corporate Bond0.06%$42M45,189,000US
528Intuit Inc2033-09Corporate Bond0.06%$42M41,559,000US
529Vistra Operations Co LLC2036-04Corporate Bond0.06%$42M42,205,000US
530AutoZone Inc2032-08Corporate Bond0.06%$42M42,330,000US
531Fiserv Inc2033-08Corporate Bond0.06%$42M41,352,000US
532MPLX LP2033-03Corporate Bond0.06%$42M42,001,000US
533Welltower OP LLC2035-07Corporate Bond0.06%$42M41,500,000US
534Duke Energy Progress LLC2035-03Corporate Bond0.06%$42M41,621,000US
535Stryker Corp2035-02Corporate Bond0.06%$42M41,091,000US
536Johnson & Johnson2035-03Corporate Bond0.06%$42M40,416,000US
537T-Mobile USA Inc2036-02Corporate Bond0.06%$42M42,133,000US
538Zoetis Inc2032-11Corporate Bond0.06%$41M39,855,000US
539Bank of New York Mellon Corp/The2032-07Corporate Bond0.06%$41M40,820,000US
540Home Depot Inc/The2031-09Corporate Bond0.06%$41M47,113,000US
541ONEOK Inc2031-10Corporate Bond0.06%$41M41,464,000US
542GE HealthCare Technologies Inc2035-06Corporate Bond0.06%$41M40,481,000US
543Dell International LLC / EMC Corp2033-02Corporate Bond0.06%$41M39,356,000US
544Philip Morris International Inc2031-11Corporate Bond0.06%$41M40,774,000US
545Simon Property Group LP2034-09Corporate Bond0.06%$41M41,865,000US
546Broadcom Inc2032-02Corporate Bond0.06%$41M41,349,000US
547International Business Machines Corp2036-02Corporate Bond0.06%$41M41,645,000US
548Northrop Grumman Corp2034-06Corporate Bond0.06%$41M40,940,000US
549Sumitomo Mitsui Financial Group Inc2041-03Corporate Bond0.06%$41M41,759,000JP
550Vale Overseas Ltd2033-06Corporate Bond0.06%$41M38,764,000KY
551HSBC Holdings PLC2035-03Corporate Bond0.06%$41M39,582,000GB
552Westpac Banking Corp2031-06Corporate Bond0.06%$41M45,315,000AU
553Citigroup Inc2035-06Corporate Bond0.06%$41M39,880,000US
554Amcor Flexibles North America Inc2035-03Corporate Bond0.06%$41M39,928,000US
555Elevance Health Inc2036-01Corporate Bond0.06%$41M41,350,000US
556Oncor Electric Delivery Co LLC2033-11Corporate Bond0.06%$41M38,796,000US
557Eli Lilly & Co2036-05Corporate Bond0.06%$41M40,850,000US
558Eli Lilly & Co2032-02Corporate Bond0.06%$41M39,888,000US
559Royal Bank of Canada2032-05Corporate Bond0.06%$41M42,250,000CA
560Dominion Energy Inc2055-05Corporate Bond0.06%$40M39,544,000US
561Bank of Montreal2037-01Corporate Bond0.06%$40M45,186,000CA
562Eli Lilly & Co2034-02Corporate Bond0.06%$40M40,513,000US
563Occidental Petroleum Corp2032-01Corporate Bond0.06%$40M39,236,000US
564Amphenol Corp2035-01Corporate Bond0.06%$40M40,376,000US
565Fiserv Inc2035-08Corporate Bond0.06%$40M41,195,000US
566Hershey Co/The2032-02Corporate Bond0.06%$40M39,470,000US
567Nucor Corp2035-06Corporate Bond0.06%$40M39,747,000US
568Hyatt Hotels Corp2031-12Corporate Bond0.06%$40M39,358,000US
569Devon Energy Corp2031-09Corporate Bond0.06%$40M34,973,000US
570US Bancorp2036-11Corporate Bond0.06%$40M46,089,000US
571Charter Communications Operating LLC / Charter Communications Operating Capital2034-06Corporate Bond0.06%$40M38,990,000US
572State Street Corp2036-10Corporate Bond0.06%$40M41,090,000US
573JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings2032-05Corporate Bond0.06%$40M44,990,000NL
574Toronto-Dominion Bank/The2033-04Corporate Bond0.06%$40M40,240,000CA
575Keurig Dr Pepper Inc2032-04Corporate Bond0.06%$40M41,922,000US
576Ford Motor Credit Co LLC2036-05Corporate Bond0.06%$40M38,875,000US
577Ford Motor Credit Co LLC2031-11Corporate Bond0.06%$40M39,140,000US
578Chevron USA Inc2035-10Corporate Bond0.06%$40M39,829,000US
579Canadian National Railway Co2032-08Corporate Bond0.06%$40M41,707,000CA
580Apollo Debt Solutions BDC2031-07Corporate Bond0.06%$40M38,835,000US
581Amphenol Corp2034-04Corporate Bond0.06%$40M38,958,000US
582Prudential Financial Inc2054-03Corporate Bond0.06%$40M38,491,000US
583QUALCOMM Inc2032-05Corporate Bond0.06%$40M39,374,000US
584Host Hotels & Resorts LP2031-12Corporate Bond0.06%$40M44,308,000US
585Morgan Stanley2036-10Corporate Bond0.06%$40M40,745,000US
586Cardinal Health Inc2034-11Corporate Bond0.06%$40M39,076,000US
587Extra Space Storage LP2034-02Corporate Bond0.06%$40M39,094,000US
588Zimmer Biomet Holdings Inc2031-11Corporate Bond0.06%$40M44,067,000US
589Lowe's Cos Inc2033-07Corporate Bond0.06%$39M39,023,000US
590Fiserv Inc2034-08Corporate Bond0.06%$39M40,531,000US
591Prudential Financial Inc2052-09Corporate Bond0.06%$39M38,556,000US
592Lloyds Banking Group PLC2035-11Corporate Bond0.06%$39M38,500,000GB
593Sumitomo Mitsui Financial Group Inc2035-01Corporate Bond0.06%$39M37,964,000JP
594AerCap Ireland Capital DAC / AerCap Global Aviation Trust2034-09Corporate Bond0.06%$39M40,287,000IE
595Kinder Morgan Inc2034-12Corporate Bond0.06%$39M38,770,000US
596Dollar General Corp2032-11Corporate Bond0.06%$39M39,413,000US
597Home Depot Inc/The2031-06Corporate Bond0.06%$39M38,568,000US
598KKR & Co Inc2035-08Corporate Bond0.06%$39M40,222,000US
599Merck & Co Inc2032-09Corporate Bond0.06%$39M39,251,000US
600Truist Financial Corp2033-07Corporate Bond0.06%$39M39,787,000US
601Ford Motor Credit Co LLC2035-02Corporate Bond0.06%$39M37,710,000US
602Xcel Energy Inc2033-08Corporate Bond0.06%$39M38,062,000US
603Bunge Ltd Finance Corp2034-09Corporate Bond0.06%$39M40,036,000US
604Prologis LP2033-06Corporate Bond0.06%$39M39,052,000US
605Berry Global Inc2031-06Corporate Bond0.06%$39M37,259,000US
606Astrazeneca Finance LLC2034-02Corporate Bond0.06%$39M38,242,000US
607Mitsubishi UFJ Financial Group Inc2036-09Corporate Bond0.06%$39M38,825,000JP
608Alibaba Group Holding Ltd2035-05Corporate Bond0.06%$39M37,322,000KY
609Cencora Inc2036-02Corporate Bond0.06%$39M39,544,000US
610Clorox Co/The2032-05Corporate Bond0.06%$39M39,136,000US
611Helmerich & Payne Inc2031-09Corporate Bond0.06%$38M42,733,000US
612Home Depot Inc/The2034-06Corporate Bond0.06%$38M38,297,000US
613Broadcom Inc2034-10Corporate Bond0.06%$38M39,004,000US
614Hyatt Hotels Corp2032-03Corporate Bond0.06%$38M37,107,000US
615Royal Caribbean Cruises Ltd2033-05Corporate Bond0.06%$38M39,393,000LR
616Royal Caribbean Cruises Ltd2036-01Corporate Bond0.06%$38M38,532,000LR
617Mastercard Inc2034-05Corporate Bond0.06%$38M38,110,000US
618Motorola Solutions Inc2034-04Corporate Bond0.06%$38M37,705,000US
619Southern California Edison Co2031-06Corporate Bond0.06%$38M37,485,000US
620Banco Bilbao Vizcaya Argentaria SA2034-11Corporate Bond0.06%$38M33,620,000ES
621Broadcom Inc2032-04Corporate Bond0.06%$38M39,415,000US
622Morgan Stanley2041-01Corporate Bond0.06%$38M39,001,000US
623MetLife Inc2035-06Corporate Bond0.06%$38M36,363,000US
624Chevron USA Inc2032-04Corporate Bond0.06%$38M37,423,000US
625Thermo Fisher Scientific Inc2036-02Corporate Bond0.06%$38M38,296,000US
626Steel Dynamics Inc2035-05Corporate Bond0.06%$38M37,634,000US
627BlackRock Funding Inc/DE2032-02Corporate Bond0.06%$38M43,046,000US
628Southern Co/The2035-03Corporate Bond0.06%$38M38,712,000US
629Truist Financial Corp2034-01Corporate Bond0.06%$38M37,795,000US
630Airbnb Inc2036-03Corporate Bond0.06%$38M37,753,000US
631Corebridge Financial Inc2034-01Corporate Bond0.06%$38M36,709,000US
632EOG Resources Inc2036-01Corporate Bond0.05%$38M37,176,000US
633Prologis LP2035-05Corporate Bond0.05%$38M37,252,000US
634Oncor Electric Delivery Co LLC2032-09Corporate Bond0.05%$38M38,306,000US
635Public Service Enterprise Group Inc2031-11Corporate Bond0.05%$38M42,389,000US
636Westlake Corp2035-11Corporate Bond0.05%$38M37,789,000US
637Air Products and Chemicals Inc2034-02Corporate Bond0.05%$38M37,614,000US
638CommonSpirit Health2031-12Corporate Bond0.05%$38M37,107,000US
639Elevance Health Inc2032-09Corporate Bond0.05%$38M38,280,000US
640Medtronic Global Holdings SCA2033-03Corporate Bond0.05%$38M38,157,000LU
641National Rural Utilities Cooperative Finance Corp2034-08Corporate Bond0.05%$38M37,219,000US
642Ingersoll Rand Inc2033-08Corporate Bond0.05%$37M36,052,000US
643HCA Inc2031-04Corporate Bond0.05%$37M36,597,000US
644KeyCorp2037-01Corporate Bond0.05%$37M37,980,000US
645Paychex Inc2035-04Corporate Bond0.05%$37M37,063,000US
646Republic Services Inc2035-03Corporate Bond0.05%$37M36,735,000US
647Truist Financial Corp2033-10Corporate Bond0.05%$37M35,290,000US
648Workday Inc2032-04Corporate Bond0.05%$37M39,929,000US
649MSCI Inc2035-09Corporate Bond0.05%$37M37,820,000US
650Motorola Solutions Inc2035-08Corporate Bond0.05%$37M36,453,000US
651Public Service Electric and Gas Co2035-03Corporate Bond0.05%$37M36,968,000US
652Toronto-Dominion Bank/The2032-06Corporate Bond0.05%$37M37,776,000CA
653International Business Machines Corp2032-07Corporate Bond0.05%$37M37,949,000US
654Expedia Group Inc2035-02Corporate Bond0.05%$37M37,327,000US
655Dell International LLC / EMC Corp2035-02Corporate Bond0.05%$37M37,764,000US
656Freeport-McMoRan Inc2034-11Corporate Bond0.05%$37M36,387,000US
657Amgen Inc2036-02Corporate Bond0.05%$37M37,735,000US
658Rio Tinto Alcan Inc2033-12Corporate Bond0.05%$37M34,527,000CA
659AppLovin Corp2031-12Corporate Bond0.05%$37M36,271,000US
660AutoZone Inc2033-02Corporate Bond0.05%$37M37,422,000US
661Energy Transfer LP2035-04Corporate Bond0.05%$37M35,836,000US
662TotalEnergies Capital SA2034-04Corporate Bond0.05%$37M36,117,000FR
663Alexandria Real Estate Equities Inc2031-08Corporate Bond0.05%$37M39,757,000US
664DTE Electric Co2035-05Corporate Bond0.05%$37M36,211,000US
665NatWest Group PLC2034-03Corporate Bond0.05%$37M34,770,000GB
666Trimble Inc2033-03Corporate Bond0.05%$37M34,807,000US
667Consolidated Edison Co of New York Inc2034-03Corporate Bond0.05%$37M35,080,000US
668Huntington Bancshares Inc/OH2041-01Corporate Bond0.05%$37M37,305,000US
669PNC Financial Services Group Inc/The2034-08Corporate Bond0.05%$36M34,706,000US
670Salesforce Inc2031-07Corporate Bond0.05%$36M41,740,000US
671Visa Inc2035-12Corporate Bond0.05%$36M38,105,000US
672Nomura Holdings Inc2034-07Corporate Bond0.05%$36M35,072,000JP
673Bank of New York Mellon Corp/The2034-10Corporate Bond0.05%$36M33,207,000US
674Waste Management Inc2032-03Corporate Bond0.05%$36M35,995,000US
675Schlumberger Investment SA2036-05Corporate Bond0.05%$36M36,275,000LU
676Elevance Health Inc2034-06Corporate Bond0.05%$36M35,658,000US
677South Bow USA Infrastructure Holdings LLC2034-10Corporate Bond0.05%$36M36,233,000US
678McKesson Corp2032-05Corporate Bond0.05%$36M35,758,000US
679Ares Capital Corp2032-03Corporate Bond0.05%$36M36,341,000US
680Progress Energy Inc2031-10Corporate Bond0.05%$36M32,793,000US
681Lowe's Cos Inc2033-04Corporate Bond0.05%$36M35,868,000US
682Accenture Capital Inc2031-10Corporate Bond0.05%$36M36,595,000US
683EIDP Inc2032-05Corporate Bond0.05%$36M35,572,000US
684Sumitomo Mitsui Financial Group Inc2031-09Corporate Bond0.05%$36M41,022,000JP
685Boston Properties LP2034-01Corporate Bond0.05%$36M33,944,000US
686Amazon.com Inc2035-11Corporate Bond0.05%$36M36,759,000US
687Extra Space Storage LP2031-10Corporate Bond0.05%$36M40,812,000US
688Arizona Public Service Co2033-08Corporate Bond0.05%$36M34,865,000US
689Suzano Austria GmbH2032-01Corporate Bond0.05%$36M40,346,000AT
690Charles Schwab Corp/The2031-12Corporate Bond0.05%$36M41,118,000US
691Nomura Holdings Inc2033-01Corporate Bond0.05%$36M33,763,000JP
692American International Group Inc2035-05Corporate Bond0.05%$36M34,994,000US
693Verizon Communications Inc2033-01Corporate Bond0.05%$36M36,122,000US
694Deutsche Bank AG/New York NY2033-01Corporate Bond0.05%$36M39,064,000DE
695Western Midstream Operating LP2034-11Corporate Bond0.05%$36M35,703,000US
696Exelon Corp2036-03Corporate Bond0.05%$36M36,704,000US
697ERP Operating LP2032-06Corporate Bond0.05%$36M35,329,000US
698Duke Energy Corp2033-09Corporate Bond0.05%$36M34,051,000US
699Westpac Banking Corp2036-11Corporate Bond0.05%$36M39,730,000AU
700JPMorgan Chase & Co2033-04Corporate Bond0.05%$36M36,051,000US
701Humana Inc2033-03Corporate Bond0.05%$35M34,465,000US
702McDonald's Corp2036-02Corporate Bond0.05%$35M35,570,000US
703eBay Inc2031-05Corporate Bond0.05%$35M39,239,000US
704Quest Diagnostics Inc2031-06Corporate Bond0.05%$35M38,604,000US
705General Motors Financial Co Inc2031-06Corporate Bond0.05%$35M39,124,000US
706AerCap Ireland Capital DAC / AerCap Global Aviation Trust2034-01Corporate Bond0.05%$35M35,176,000IE
707Xcel Energy Inc2034-03Corporate Bond0.05%$35M34,506,000US
708Novartis Capital Corp2032-11Corporate Bond0.05%$35M35,812,000US
709UDR Inc2031-08Corporate Bond0.05%$35M38,147,000US
710Toyota Motor Credit Corp2031-09Corporate Bond0.05%$35M40,155,000US
711TotalEnergies Capital USA LLC2036-01Corporate Bond0.05%$35M35,482,000US
712Occidental Petroleum Corp2034-10Corporate Bond0.05%$35M33,883,630US
713American Tower Corp2032-03Corporate Bond0.05%$35M36,350,000US
714Santander UK Group Holdings PLC2036-09Corporate Bond0.05%$35M35,980,000GB
715CMS Energy Corp2055-06Corporate Bond0.05%$35M33,963,000US
716US Bancorp2034-02Corporate Bond0.05%$35M35,329,000US
717T-Mobile USA Inc2035-11Corporate Bond0.05%$35M35,458,000US
718Xcel Energy Inc2032-06Corporate Bond0.05%$35M35,386,000US
719L3Harris Technologies Inc2034-06Corporate Bond0.05%$35M33,978,000US
720Keybank National Association2033-01Corporate Bond0.05%$34M34,820,000US
721PPL Capital Funding Inc2034-09Corporate Bond0.05%$34M34,297,000US
722Zimmer Biomet Holdings Inc2034-09Corporate Bond0.05%$34M34,393,000US
723Southern Co/The2058-04Corporate Bond0.05%$34M34,187,000US
724Virginia Electric and Power Co2034-08Corporate Bond0.05%$34M34,221,000US
725Reynolds American Inc2035-08Corporate Bond0.05%$34M33,243,000US
726Novartis Capital Corp2035-11Corporate Bond0.05%$34M34,985,000US
727Brown & Brown Inc2035-06Corporate Bond0.05%$34M34,160,000US
728McKesson Corp2035-05Corporate Bond0.05%$34M33,567,000US
729Dominion Energy Inc2031-08Corporate Bond0.05%$34M38,586,000US
730General Motors Co2036-04Corporate Bond0.05%$34M31,765,000US
731American Tower Corp2033-07Corporate Bond0.05%$34M33,071,000US
732Pacific Gas and Electric Co2032-10Corporate Bond0.05%$34M34,245,000US
733Comcast Corp2033-02Corporate Bond0.05%$34M34,440,000US
734Elevance Health Inc2032-10Corporate Bond0.05%$34M32,973,000US
735NextEra Energy Capital Holdings Inc2055-08Corporate Bond0.05%$34M32,771,000US
736Uber Technologies Inc2035-09Corporate Bond0.05%$34M34,807,000US
737Charter Communications Operating LLC / Charter Communications Operating Capital2032-02Corporate Bond0.05%$34M39,702,000US
738Dominion Energy South Carolina Inc2035-01Corporate Bond0.05%$34M33,152,000US
739Home Depot Inc/The2032-09Corporate Bond0.05%$34M33,970,000US
740Carlyle Group Inc/The2035-09Corporate Bond0.05%$34M35,062,000US
741Realty Income Corp2033-04Corporate Bond0.05%$34M34,247,000US
742Comcast Corp2032-11Corporate Bond0.05%$34M32,603,000US
743American Water Capital Corp2032-06Corporate Bond0.05%$34M34,388,000US
744Bunge Ltd Finance Corp2031-05Corporate Bond0.05%$34M36,916,000US
745GXO Logistics Inc2034-05Corporate Bond0.05%$34M32,214,000US
746Lockheed Martin Corp2034-08Corporate Bond0.05%$34M33,811,000US
747Huntington Bancshares Inc/OH2039-11Corporate Bond0.05%$34M32,925,000US
748Smurfit Westrock Financing DAC2035-01Corporate Bond0.05%$34M33,343,000IE
749Bank of Nova Scotia/The2037-05Corporate Bond0.05%$34M34,981,000CA
750Boston Properties LP2035-01Corporate Bond0.05%$34M33,264,000US
751Jefferies Financial Group Inc2034-04Corporate Bond0.05%$34M32,551,000US
752Huntington Ingalls Industries Inc2035-01Corporate Bond0.05%$34M32,417,000US
753Willis North America Inc2033-05Corporate Bond0.05%$34M33,141,000US
754Westpac Banking Corp2033-08Corporate Bond0.05%$34M33,129,000AU
755Bank of New York Mellon Corp/The2034-02Corporate Bond0.05%$34M33,894,000US
756Honeywell International Inc2034-01Corporate Bond0.05%$33M34,186,000US
757DTE Energy Co2035-10Corporate Bond0.05%$33M33,988,000US
758Charter Communications Operating LLC / Charter Communications Operating Capital2035-12Corporate Bond0.05%$33M34,342,000US
759Meta Platforms Inc2033-05Corporate Bond0.05%$33M33,480,000US
760Manulife Financial Corp2035-12Corporate Bond0.05%$33M33,894,000CA
761Eaton Corp2032-11Corporate Bond0.05%$33M34,522,000US
762AppLovin Corp2034-12Corporate Bond0.05%$33M33,038,000US
763TSMC Arizona Corp2031-10Corporate Bond0.05%$33M36,718,000US
764Laboratory Corp of America Holdings2032-04Corporate Bond0.05%$33M33,777,000US
765Lockheed Martin Corp2035-08Corporate Bond0.05%$33M33,015,000US
766MetLife Inc2056-03Corporate Bond0.05%$33M33,505,000US
767NNN REIT Inc2033-10Corporate Bond0.05%$33M32,159,000US
768Republic Services Inc2034-04Corporate Bond0.05%$33M32,780,000US
769MetLife Inc2055-03Corporate Bond0.05%$33M32,183,000US
770Broadcom Inc2036-02Corporate Bond0.05%$33M33,907,000US
771Prologis LP2034-01Corporate Bond0.05%$33M32,626,000US
772Eversource Energy2034-01Corporate Bond0.05%$33M32,334,000US
773Moody's Corp2032-08Corporate Bond0.05%$33M33,683,000US
774Unilever Capital Corp2034-08Corporate Bond0.05%$33M33,183,000US
775Honda Motor Co Ltd2035-07Corporate Bond0.05%$33M32,628,000JP
776Eversource Energy2033-05Corporate Bond0.05%$33M32,755,000US
777Public Service Electric and Gas Co2034-08Corporate Bond0.05%$33M32,945,000US
778American Electric Power Co Inc2056-03Corporate Bond0.05%$33M32,915,000US
779Progressive Corp/The2032-03Corporate Bond0.05%$33M35,650,000US
780PayPal Holdings Inc2032-06Corporate Bond0.05%$33M33,456,000US
781RTX Corp2031-09Corporate Bond0.05%$33M37,345,000US
782Atmos Energy Corp2033-11Corporate Bond0.05%$33M30,548,000US
783Ecolab Inc2036-06Corporate Bond0.05%$33M31,984,000US
784Nutrien Ltd2034-06Corporate Bond0.05%$32M31,884,000CA
785CBRE Services Inc2034-08Corporate Bond0.05%$32M31,141,000US
786Procter & Gamble Co/The2034-08Corporate Bond0.05%$32M30,198,000US
787Altria Group Inc2035-08Corporate Bond0.05%$32M32,402,000US
788Equifax Inc2031-09Corporate Bond0.05%$32M36,774,000US
789Providence St Joseph Health Obligated Group2032-10Corporate Bond0.05%$32M31,814,000US
790Boardwalk Pipelines LP2034-08Corporate Bond0.05%$32M31,552,000US
791Enterprise Products Operating LLC2036-01Corporate Bond0.05%$32M32,095,000US
792NetApp Inc2035-03Corporate Bond0.05%$32M31,518,000US
793Waste Connections Inc2035-09Corporate Bond0.05%$32M31,748,000CA
794Barclays PLC2035-09Corporate Bond0.05%$32M32,437,000GB
795Walmart Inc2032-09Corporate Bond0.05%$32M32,555,000US
796Northern Trust Corp2040-11Corporate Bond0.05%$32M32,764,000US
797Walt Disney Co/The2035-12Corporate Bond0.05%$32M28,923,000US
798Capital One Financial Corp2032-07Corporate Bond0.05%$32M37,120,000US
799ING Groep NV2033-03Corporate Bond0.05%$32M33,018,000NL
800Sempra2033-08Corporate Bond0.05%$32M31,035,000US
801Veralto Corp2033-09Corporate Bond0.05%$32M31,178,000US
802Apple Inc2032-08Corporate Bond0.05%$32M33,552,000US
803MPLX LP2034-06Corporate Bond0.05%$32M31,355,000US
804Anheuser-Busch InBev Worldwide Inc2034-06Corporate Bond0.05%$32M31,538,000US
805Ameren Corp2035-03Corporate Bond0.05%$32M31,447,000US
806Fifth Third Bancorp2033-04Corporate Bond0.05%$32M33,020,000US
807National Grid PLC2033-06Corporate Bond0.05%$32M30,497,000GB
808Leidos Inc2033-03Corporate Bond0.05%$32M30,640,000US
809Marvell Technology Inc2036-04Corporate Bond0.05%$32M31,674,000US
810Ford Motor Co2032-08Corporate Bond0.05%$32M30,909,000US
811Dow Chemical Co/The2033-03Corporate Bond0.05%$32M30,008,000US
812PNC Financial Services Group Inc/The2035-07Corporate Bond0.05%$32M31,218,000US
813Sabra Health Care LP2031-12Corporate Bond0.05%$32M34,849,000US
814Canadian Natural Resources Ltd2032-01Corporate Bond0.05%$32M28,409,000CA
815Walt Disney Co/The2036-03Corporate Bond0.05%$32M32,442,000US
816RELX Capital Inc2032-05Corporate Bond0.05%$32M31,578,000US
817American Tower Corp2033-03Corporate Bond0.05%$32M30,406,000US
818American Express Co2033-05Corporate Bond0.05%$31M31,547,000US
819Estee Lauder Cos Inc/The2033-05Corporate Bond0.05%$31M31,890,000US
820DTE Energy Co2034-06Corporate Bond0.05%$31M29,922,000US
821Sysco Corp2036-03Corporate Bond0.05%$31M32,334,000US
822McDonald's Corp2032-09Corporate Bond0.05%$31M31,149,000US
823Lloyds Banking Group PLC2033-11Corporate Bond0.05%$31M27,418,000GB
824Cadence Design Systems Inc2034-09Corporate Bond0.05%$31M31,628,000US
825Crown Castle Inc2031-07Corporate Bond0.05%$31M34,997,000US
826Shell Finance US Inc2036-01Corporate Bond0.05%$31M31,660,000US
827TD SYNNEX Corp2035-10Corporate Bond0.05%$31M31,410,000US
828Phillips 66 Co2056-03Corporate Bond0.05%$31M30,945,000US
829Pacific Gas and Electric Co2033-01Corporate Bond0.05%$31M29,656,000US
830Cheniere Energy Partners LP2032-01Corporate Bond0.05%$31M33,837,000US
831Realty Income Corp2032-10Corporate Bond0.05%$31M29,787,000US
832Florida Power & Light Co2036-02Corporate Bond0.05%$31M31,855,000US
833Intel Corp2034-02Corporate Bond0.05%$31M30,812,000US
834Elevance Health Inc2031-11Corporate Bond0.05%$31M30,772,000US
835Nomura Holdings Inc2031-07Corporate Bond0.05%$31M34,520,000JP
836Quest Diagnostics Inc2034-12Corporate Bond0.04%$31M31,053,000US
837Valero Energy Corp2032-04Corporate Bond0.04%$31M27,154,000US
838Expand Energy Corp2035-01Corporate Bond0.04%$31M30,250,000US
839Waste Connections Inc2033-01Corporate Bond0.04%$31M32,030,000CA
840Leidos Inc2036-03Corporate Bond0.04%$31M31,859,000US
841HP Inc2032-04Corporate Bond0.04%$31M32,147,000US
842Arizona Public Service Co2034-08Corporate Bond0.04%$31M29,668,000US
843NiSource Inc2034-04Corporate Bond0.04%$31M30,077,000US
844Verisk Analytics Inc2035-03Corporate Bond0.04%$31M30,900,000US
845Regions Financial Corp2035-09Corporate Bond0.04%$31M30,328,000US
846Oncor Electric Delivery Co LLC2035-04Corporate Bond0.04%$31M29,904,000US
847Kinder Morgan Inc2032-01Corporate Bond0.04%$31M26,678,000US
848Sutter Health2035-08Corporate Bond0.04%$31M29,490,000US
849Florida Power & Light Co2033-05Corporate Bond0.04%$30M30,414,000US
850Canadian Imperial Bank of Commerce2033-10Corporate Bond0.04%$30M28,441,000CA
851ConocoPhillips2032-10Corporate Bond0.04%$30M28,371,000US
852Thermo Fisher Scientific Inc2033-08Corporate Bond0.04%$30M29,921,000US
853Dominion Energy Inc2054-06Corporate Bond0.04%$30M28,503,000US
854Suzano Netherlands BV2036-01Corporate Bond0.04%$30M31,132,000NL
855Essex Portfolio LP2032-03Corporate Bond0.04%$30M34,207,000US
856eBay Inc2035-11Corporate Bond0.04%$30M30,710,000US
857Consumers Energy Co2035-05Corporate Bond0.04%$30M30,180,000US
858T-Mobile USA Inc2032-03Corporate Bond0.04%$30M33,925,000US
8593M Co2035-03Corporate Bond0.04%$30M29,921,000US
860HA Sustainable Infrastructure Capital Inc2034-07Corporate Bond0.04%$30M29,515,000US
861Sherwin-Williams Co/The2035-08Corporate Bond0.04%$30M30,162,000US
862Tampa Electric Co2035-03Corporate Bond0.04%$30M30,069,000US
863Keurig Dr Pepper Inc2034-03Corporate Bond0.04%$30M30,158,000US
864DTE Electric Co2032-03Corporate Bond0.04%$30M32,701,000US
865Westinghouse Air Brake Technologies Corp2035-05Corporate Bond0.04%$30M29,431,000US
866Smith & Nephew PLC2034-03Corporate Bond0.04%$30M29,662,000GB
867Mid-America Apartments LP2032-02Corporate Bond0.04%$30M29,213,000US
868Essex Portfolio LP2034-04Corporate Bond0.04%$30M29,412,000US
869Thermo Fisher Scientific Inc2031-10Corporate Bond0.04%$30M33,997,000US
870Pacific Gas and Electric Co2031-06Corporate Bond0.04%$30M32,450,000US
871Ingersoll Rand Inc2034-06Corporate Bond0.04%$30M29,377,000US
872Mizuho Financial Group Inc2034-05Corporate Bond0.04%$30M28,803,000JP
873Nomura Holdings Inc2036-06Corporate Bond0.04%$30M30,555,000JP
874Duke Energy Carolinas LLC2035-03Corporate Bond0.04%$30M29,324,000US
875Southwest Airlines Co2035-11Corporate Bond0.04%$30M30,776,000US
876United Airlines 2023-1 Class A Pass Through Trust2036-01Corporate Bond0.04%$30M28,740,331US
877Duke Energy Indiana LLC2036-03Corporate Bond0.04%$30M30,235,000US
878Brookfield Finance Inc2036-01Corporate Bond0.04%$30M30,167,000CA
879Astrazeneca Finance LLC2036-03Corporate Bond0.04%$30M30,578,000US
880Fairfax Financial Holdings Ltd2032-08Corporate Bond0.04%$30M28,915,000CA
881Cencora Inc2035-02Corporate Bond0.04%$30M29,681,000US
882M&T Bank Corp2036-01Corporate Bond0.04%$30M29,708,000US
883Mitsubishi UFJ Financial Group Inc2036-01Corporate Bond0.04%$30M28,892,000JP
884Appalachian Power Co2032-08Corporate Bond0.04%$30M30,123,000US
885Humana Inc2034-03Corporate Bond0.04%$30M28,619,000US
886DTE Electric Co2033-04Corporate Bond0.04%$30M28,829,000US
887Fifth Third Bancorp2037-01Corporate Bond0.04%$30M30,134,000US
888Northern States Power Co/MN2035-05Corporate Bond0.04%$29M29,381,000US
889VMware LLC2031-08Corporate Bond0.04%$29M33,259,000US
890O'Reilly Automotive Inc2034-08Corporate Bond0.04%$29M29,677,000US
891Coterra Energy Inc2035-02Corporate Bond0.04%$29M29,033,000US
892Nomura Holdings Inc2035-06Corporate Bond0.04%$29M28,873,000JP
893Mizuho Financial Group Inc2035-05Corporate Bond0.04%$29M28,576,000JP
894ArcelorMittal SA2036-05Corporate Bond0.04%$29M29,500,000LU
895Netflix Inc2034-08Corporate Bond0.04%$29M29,153,000US
896Comcast Corp2033-03Corporate Bond0.04%$29M26,133,000US
897Synchrony Financial2031-10Corporate Bond0.04%$29M33,227,000US
898Adobe Inc2035-01Corporate Bond0.04%$29M28,720,000US
899MercadoLibre Inc2033-01Corporate Bond0.04%$29M29,931,000US
900Costco Wholesale Corp2032-04Corporate Bond0.04%$29M33,545,000US
901Fidelity National Information Services Inc2032-07Corporate Bond0.04%$29M29,020,000US
902Agree LP2035-06Corporate Bond0.04%$29M28,280,000US
903Viper Energy Partners LLC2035-08Corporate Bond0.04%$29M28,490,000US
904Public Service Electric and Gas Co2033-03Corporate Bond0.04%$29M29,363,000US
905Duke Energy Corp2054-09Corporate Bond0.04%$29M27,923,000US
906Comcast Corp2035-06Corporate Bond0.04%$29M28,098,000US
907GE Capital Funding LLC2032-05Corporate Bond0.04%$29M29,257,000US
908Mizuho Financial Group Inc2033-09Corporate Bond0.04%$29M27,993,000JP
909Puget Energy Inc2035-03Corporate Bond0.04%$29M28,781,000US
910Autodesk Inc2031-12Corporate Bond0.04%$29M32,906,000US
911Host Hotels & Resorts LP2034-07Corporate Bond0.04%$29M28,406,000US
912UnitedHealth Group Inc2036-03Corporate Bond0.04%$29M27,508,000US
913American Express Co2035-04Corporate Bond0.04%$29M27,854,000US
914Merck & Co Inc2036-05Corporate Bond0.04%$29M28,559,000US
915Newmont Corp2032-07Corporate Bond0.04%$29M32,029,000US
916Realty Income Corp2035-04Corporate Bond0.04%$29M28,803,000US
917IBM International Capital Pte Ltd2034-02Corporate Bond0.04%$29M29,044,000SG
918Charter Communications Operating LLC / Charter Communications Operating Capital2033-04Corporate Bond0.04%$29M31,144,000US
919AT&T Inc2035-11Corporate Bond0.04%$29M29,470,000US
920Transcontinental Gas Pipe Line Co LLC2036-03Corporate Bond0.04%$29M28,935,000US
921Banco Santander SA2035-11Corporate Bond0.04%$29M29,300,000ES
922Primerica Inc2031-11Corporate Bond0.04%$29M31,821,000US
923Roper Technologies Inc2032-02Corporate Bond0.04%$29M29,062,000US
924Public Service Co of Oklahoma2035-01Corporate Bond0.04%$29M28,687,000US
925Analog Devices Inc2031-10Corporate Bond0.04%$29M32,344,000US
926Eversource Energy2032-03Corporate Bond0.04%$29M31,032,000US
927Hess Corp2031-08Corporate Bond0.04%$29M25,407,000US
928Elevance Health Inc2034-12Corporate Bond0.04%$28M27,087,000US
929LYB International Finance III LLC2033-05Corporate Bond0.04%$28M28,053,000US
930Nasdaq Inc2034-02Corporate Bond0.04%$28M27,453,000US
931FedEx Corp2031-05Corporate Bond0.04%$28M31,560,000US
932Duke Energy Corp2034-06Corporate Bond0.04%$28M27,628,000US
933Procter & Gamble Co/The2034-01Corporate Bond0.04%$28M28,268,000US
934Corebridge Financial Inc2032-04Corporate Bond0.04%$28M29,981,000US
935AT&T Inc2035-08Corporate Bond0.04%$28M27,848,000US
936HCA Inc2033-06Corporate Bond0.04%$28M27,605,000US
937Kimco Realty OP LLC2033-02Corporate Bond0.04%$28M28,507,000US
938HP Inc2031-06Corporate Bond0.04%$28M31,334,000US
939Automatic Data Processing Inc2036-05Corporate Bond0.04%$28M28,200,000US
940Emerson Electric Co2031-12Corporate Bond0.04%$28M31,640,000US
941Brookfield Finance Inc2034-01Corporate Bond0.04%$28M26,352,000CA
942Norfolk Southern Corp2034-03Corporate Bond0.04%$28M27,038,000US
943Sumitomo Mitsui Financial Group Inc2033-07Corporate Bond0.04%$28M26,839,000JP
944Sysco Corp2031-12Corporate Bond0.04%$28M31,535,000US
945Blue Owl Finance LLC2034-04Corporate Bond0.04%$28M28,167,000US
946Sumisho Air Lease Corp2031-07Corporate Bond0.04%$28M27,760,000US
947Kemper Corp2032-02Corporate Bond0.04%$28M30,858,000US
948Mitsubishi UFJ Financial Group Inc2033-01Corporate Bond0.04%$28M31,065,000JP
949HCA Inc2035-11Corporate Bond0.04%$28M28,716,000US
950Alexandria Real Estate Equities Inc2034-03Corporate Bond0.04%$28M32,699,000US
951Essential Utilities Inc2034-01Corporate Bond0.04%$28M27,302,000US
952Ovintiv Inc2034-08Corporate Bond0.04%$28M25,742,000US
953Philip Morris International Inc2035-10Corporate Bond0.04%$28M28,676,000US
954AT&T Inc2036-04Corporate Bond0.04%$28M28,065,000US
955Santander Holdings USA Inc2035-05Corporate Bond0.04%$28M26,139,000US
956Cintas Corp No 22032-05Corporate Bond0.04%$28M28,539,000US
957Roper Technologies Inc2035-09Corporate Bond0.04%$28M28,448,000US
958T-Mobile USA Inc2035-05Corporate Bond0.04%$28M27,313,000US
959Visa Inc2036-02Corporate Bond0.04%$28M27,890,000US
960ING Groep NV2036-03Corporate Bond0.04%$28M27,149,000NL
961Invitation Homes Operating Partnership LP2031-08Corporate Bond0.04%$28M32,027,000US
962PayPal Holdings Inc2035-04Corporate Bond0.04%$28M27,880,000US
963Ford Motor Credit Co LLC2033-11Corporate Bond0.04%$28M25,656,000US
964Lincoln National Corp2035-11Corporate Bond0.04%$27M28,164,000US
965Williams Cos Inc/The2033-03Corporate Bond0.04%$27M26,552,000US
966CRH America Finance Inc2034-05Corporate Bond0.04%$27M26,859,000US
967RenaissanceRe Holdings Ltd2035-04Corporate Bond0.04%$27M26,671,000BM
968Fedex Freight Holding Co Inc2036-03Corporate Bond0.04%$27M28,026,000US
969Comcast Corp2032-05Corporate Bond0.04%$27M27,198,000US
970NiSource Inc2055-03Corporate Bond0.04%$27M26,752,000US
971Simon Property Group LP2032-02Corporate Bond0.04%$27M30,559,000US
972Roper Technologies Inc2034-10Corporate Bond0.04%$27M28,247,000US
973Ares Strategic Income Fund2032-03Corporate Bond0.04%$27M27,418,000US
974Visa Inc2033-02Corporate Bond0.04%$27M27,605,000US
975Baltimore Gas and Electric Co2034-06Corporate Bond0.04%$27M26,802,000US
976Agilent Technologies Inc2034-09Corporate Bond0.04%$27M27,667,000US
977AbbVie Inc2035-03Corporate Bond0.04%$27M26,776,000US
978American Tower Corp2035-01Corporate Bond0.04%$27M26,792,000US
979America Movil SAB de CV2035-03Corporate Bond0.04%$27M25,122,000MX
980AT&T Inc2036-10Corporate Bond0.04%$27M27,451,000US
981Prologis LP2034-03Corporate Bond0.04%$27M27,149,000US
982Southern California Edison Co2032-11Corporate Bond0.04%$27M26,000,000US
983Truist Financial Corp2036-10Corporate Bond0.04%$27M27,895,000US
984Ecolab Inc2033-06Corporate Bond0.04%$27M26,644,000US
985Broadcom Inc2033-02Corporate Bond0.04%$27M30,986,000US
986Equitable Holdings Inc2033-01Corporate Bond0.04%$27M26,442,000US
987PECO Energy Co2035-09Corporate Bond0.04%$27M27,188,000US
988Equinix Europe 2 Financing Corp LLC2033-03Corporate Bond0.04%$27M27,590,000US
989International Business Machines Corp2032-02Corporate Bond0.04%$27M26,683,000US
990Diageo Capital PLC2033-01Corporate Bond0.04%$27M26,071,000GB
991Ventas Realty LP2035-01Corporate Bond0.04%$27M27,319,000US
992DR Horton Inc2034-10Corporate Bond0.04%$27M27,189,000US
993Tractor Supply Co2033-05Corporate Bond0.04%$27M26,766,000US
994First Citizens BancShares Inc/NC2040-03Corporate Bond0.04%$27M27,306,000US
995Healthpeak OP LLC2032-12Corporate Bond0.04%$27M26,590,000US
996Target Corp2035-04Corporate Bond0.04%$27M26,678,000US
997Alexandria Real Estate Equities Inc2032-05Corporate Bond0.04%$27M31,781,000US
998Toronto-Dominion Bank/The2031-09Corporate Bond0.04%$27M30,202,000CA
999Enbridge Inc2035-11Corporate Bond0.04%$27M26,729,000CA
1000Marriott International Inc/MD2032-04Corporate Bond0.04%$27M26,292,000US

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.