0001752724-23-147703.txt : 20230628
0001752724-23-147703.hdr.sgml : 20230628
20230628112128
ACCESSION NUMBER: 0001752724-23-147703
CONFORMED SUBMISSION TYPE: NPORT-P
PUBLIC DOCUMENT COUNT: 2
CONFORMED PERIOD OF REPORT: 20230430
FILED AS OF DATE: 20230628
DATE AS OF CHANGE: 20230628
PERIOD START: 20230731
FILER:
COMPANY DATA:
COMPANY CONFORMED NAME: Nushares ETF Trust
CENTRAL INDEX KEY: 0001635073
IRS NUMBER: 000000000
FILING VALUES:
FORM TYPE: NPORT-P
SEC ACT: 1940 Act
SEC FILE NUMBER: 811-23161
FILM NUMBER: 231050276
BUSINESS ADDRESS:
STREET 1: 333 W. WACKER DR.
CITY: CHICAGO
STATE: IL
ZIP: 60606
BUSINESS PHONE: 312-917-8146
MAIL ADDRESS:
STREET 1: 333 W. WACKER DR.
CITY: CHICAGO
STATE: IL
ZIP: 60606
FORMER COMPANY:
FORMER CONFORMED NAME: NuShares ETF Trust
DATE OF NAME CHANGE: 20160614
FORMER COMPANY:
FORMER CONFORMED NAME: Nuveen ETF Trust
DATE OF NAME CHANGE: 20150226
0001635073
S000059077
Nuveen ESG U.S. Aggregate Bond ETF
C000193700
Nuveen ESG U.S. Aggregate Bond ETF
NUBD
NPORT-P
1
primary_doc.xml
NPORT-P
false
0001635073
XXXXXXXX
S000059077
C000193700
NuShares ETF Trust
811-23161
0001635073
549300UWO63YZ5POLH71
333 W. Wacker Dr
Chicago
60606
312-917-7700
Nuveen ESG U.S. Aggregate Bond ETF
S000059077
549300JPDKPHQSPVGM75
2023-07-31
2023-04-30
N
284582698.00
7000639.00
277582059.00
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
0.00000000
4263370.00000000
0.00000000
0.00000000
0.00000000
USD
N
AMERICAN TOWER CORP
5493006ORUSIL88JOE18
American Tower Corp
03027XBA7
70000.00000000
PA
USD
61732.31000000
0.022239301135
Long
DBT
CORP
US
N
2
2030-01-15
Fixed
2.90000000
N
N
N
N
N
LLOYDS BANKING GROUP PLC
549300PPXHEU2JF0AM85
Lloyds Banking Group PLC
53944YAA1
40000.00000000
PA
USD
39079.57000000
0.014078564782
Long
DBT
CORP
GB
N
2
2024-11-04
Fixed
4.50000000
N
N
N
N
N
N
VOYA FINANCIAL INC
549300T065Z4KJ686G75
Voya Financial Inc
929089AF7
40000.00000000
PA
USD
33703.06000000
0.012141656460
Long
DBT
CORP
US
N
2
2048-01-23
Fixed
4.70000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DZV7
1831902.08000000
PA
USD
1527960.16000000
0.550453500310
Long
ABS-MBS
USGSE
US
N
2
2051-06-01
Fixed
2.00000000
N
N
N
N
N
N
Exeter Automobile Receivables
N/A
Exeter Automobile Receivables Trust 2022-1
30167JAD6
100000.00000000
PA
USD
98259.51000000
0.035398364848
Long
ABS-O
CORP
US
N
2
2026-06-15
Fixed
2.18000000
N
N
N
N
N
N
QUANTA SERVICES INC
SHVRXXEACT60MMH07S24
Quanta Services Inc
74762EAH5
100000.00000000
PA
USD
80548.42000000
0.029017876836
Long
DBT
CORP
US
N
2
2032-01-15
Fixed
2.35000000
N
N
N
N
N
N
SABINE PASS LIQUEFACTION
549300KJYBG7C6WJYZ11
Sabine Pass Liquefaction LLC
785592AV8
20000.00000000
PA
USD
20416.58000000
0.007355151148
Long
DBT
CORP
US
N
2
2026-06-30
Fixed
5.87500000
N
N
N
N
N
N
PROVINCE OF QUEBEC
549300WN65YFEQH74Y36
Province of Quebec Canada
748149AN1
70000.00000000
PA
USD
67172.69000000
0.024199218869
Long
DBT
NUSS
CA
N
2
2027-04-12
Fixed
2.75000000
N
N
N
N
N
N
REPUBLIC OF PERU
254900STKLK2DBJJZ530
Peruvian Government International Bond
715638DU3
65000.00000000
PA
USD
54336.68000000
0.019574997100
Long
DBT
NUSS
PE
N
2
2034-01-15
Fixed
3.00000000
N
N
N
N
N
N
AMGEN INC
62QBXGPJ34PQ72Z12S66
Amgen Inc
031162BZ2
200000.00000000
PA
USD
176491.50000000
0.063581738904
Long
DBT
CORP
US
N
2
2045-05-01
Fixed
4.40000000
N
N
N
N
N
N
EQUINOR ASA
OW6OFBNCKXC4US5C7523
Equinor ASA
29446MAB8
10000.00000000
PA
USD
9805.04000000
0.003532303217
Long
DBT
CORP
NO
N
2
2028-09-10
Fixed
3.62500000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EHJ2
387103.73000000
PA
USD
370091.02000000
0.133326707544
Long
ABS-MBS
USGSE
US
N
2
2052-09-01
Fixed
4.00000000
N
N
N
N
N
N
ELI LILLY & CO
FRDRIPF3EKNDJ2CQJL29
Eli Lilly & Co
532457CF3
100000.00000000
PA
USD
103816.30000000
0.037400219731
Long
DBT
CORP
US
N
2
2033-02-27
Fixed
4.70000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CEP2
3050000.00000000
PA
USD
2919183.61000000
1.051647077090
Long
DBT
UST
US
N
2
2032-05-15
Fixed
2.87500000
N
N
N
N
N
N
TELEFONICA EUROPE BV
7245007FZS0M65WUGP67
Telefonica Europe BV
879385AD4
60000.00000000
PA
USD
70648.91000000
0.025451540439
Long
DBT
CORP
NL
N
2
2030-09-15
Fixed
8.25000000
N
N
N
N
N
N
CHURCH & DWIGHT CO INC
POOXSI30AWAQGYJZC921
Church & Dwight Co Inc
17136MAB8
100000.00000000
PA
USD
100267.16000000
0.036121628451
Long
DBT
CORP
US
N
2
2052-06-15
Fixed
5.00000000
N
N
N
N
N
N
BRITISH COLUMBIA PROV OF
54930058TO7MEKUHWL16
Province of British Columbia Canada
110709AD4
140000.00000000
PA
USD
134734.96000000
0.048538785426
Long
DBT
NUSS
CA
N
2
2024-09-27
Fixed
1.75000000
N
N
N
N
N
N
NOMURA HOLDINGS INC
549300B3CEAHYG7K8164
Nomura Holdings Inc
65535HAP4
30000.00000000
PA
USD
28458.58000000
0.010252312452
Long
DBT
CORP
JP
N
2
2025-01-16
Fixed
2.64800000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EBE9
1200214.58000000
PA
USD
1082974.24000000
0.390145618164
Long
ABS-MBS
USGSE
US
N
2
2037-02-01
Fixed
2.00000000
N
N
N
N
N
N
SHERWIN-WILLIAMS CO
Z15BMIOX8DDH0X2OBP21
Sherwin-Williams Co/The
824348AX4
42000.00000000
PA
USD
37191.41000000
0.013398347909
Long
DBT
CORP
US
N
2
2047-06-01
Fixed
4.50000000
N
N
N
N
N
N
ORACLE CORP
1Z4GXXU7ZHVWFCD8TV52
Oracle Corp
68389XCP8
100000.00000000
PA
USD
98521.76000000
0.035492841415
Long
DBT
CORP
US
N
2
2033-02-06
Fixed
4.90000000
N
N
N
N
N
N
WARNERMEDIA HOLDINGS INC
549300DXR29GD4N0A520
Warnermedia Holdings Inc
55903VAS2
250000.00000000
PA
USD
200729.38000000
0.072313528015
Long
DBT
CORP
US
Y
2
2062-03-15
Fixed
5.39100000
N
N
N
N
N
N
HORMEL FOODS CORP
MSD54751OJP1FS2ND863
Hormel Foods Corp
440452AH3
100000.00000000
PA
USD
89129.25000000
0.032109153711
Long
DBT
CORP
US
N
2
2028-06-03
Fixed
1.70000000
N
N
N
N
N
N
DUKE ENERGY FLORIDA LLC
7MOHLM3DKE63RX2ZCN83
Duke Energy Florida LLC
26444HAN1
100000.00000000
PA
USD
113848.58000000
0.041014387028
Long
DBT
CORP
US
N
2
2052-11-15
Fixed
5.95000000
N
N
N
N
N
N
CARRIER GLOBAL CORP
549300JE3W6CWY2NAN77
Carrier Global Corp
14448CAR5
172000.00000000
PA
USD
133924.71000000
0.048246889760
Long
DBT
CORP
US
N
2
2040-04-05
Fixed
3.37700000
N
N
N
N
N
N
LABORATORY CORP OF AMER
OZ7UA8IXAIFILY2VZH07
Laboratory Corp of America Holdings
50540RAY8
100000.00000000
PA
USD
86310.94000000
0.031093846738
Long
DBT
CORP
US
N
2
2031-06-01
Fixed
2.70000000
N
N
N
N
N
N
FEDERAL HOME LOAN BANK
2549001DPIFGXC1TOL40
Federal Home Loan Banks
3130ATT31
100000.00000000
PA
USD
100000.73000000
0.036025646023
Long
DBT
USGSE
US
N
2
2024-10-03
Fixed
4.50000000
N
N
N
N
N
N
INTER-AMERICAN DEVEL BK
VKU1UKDS9E7LYLMACP54
Inter-American Development Bank
4581X0EE4
100000.00000000
PA
USD
98509.88000000
0.035488561600
Long
DBT
NUSS
N/A
N
2
2024-07-01
Fixed
3.25000000
N
N
N
N
N
N
BOSTON PROPERTIES LP
BVHHEFJI6SHNOKQT2572
Boston Properties LP
10112RBC7
152000.00000000
PA
USD
123532.61000000
0.044503095929
Long
DBT
CORP
US
N
2
2030-03-15
Fixed
2.90000000
N
N
N
N
N
N
LOWE'S COS INC
WAFCR4OKGSC504WU3E95
Lowe's Cos Inc
548661EG8
70000.00000000
PA
USD
67473.30000000
0.024307514773
Long
DBT
CORP
US
N
2
2027-04-01
Fixed
3.35000000
N
N
N
N
N
N
MORGAN STANLEY
IGJSJL3JD5P30I6NJZ34
Morgan Stanley
61747YEA9
20000.00000000
PA
USD
18934.07000000
0.006821071242
Long
DBT
CORP
US
N
2
2025-05-30
Fixed
0.79000000
N
N
N
N
N
N
AUTOMATIC DATA PROCESSNG
HGBOLILQXWER4SAL2I23
Automatic Data Processing Inc
053015AG8
100000.00000000
PA
USD
89482.58000000
0.032236442197
Long
DBT
CORP
US
N
2
2028-05-15
Fixed
1.70000000
N
N
N
N
N
N
MORGAN STANLEY
IGJSJL3JD5P30I6NJZ34
Morgan Stanley
6174468G7
291000.00000000
PA
USD
281153.15000000
0.101286499211
Long
DBT
CORP
US
N
2
2030-01-23
Fixed
4.43100000
N
N
N
N
N
N
AFRICAN DEVELOPMENT BANK
549300LNCLMO3ITVCU07
African Development Bank
00828EEN5
100000.00000000
PA
USD
98653.59000000
0.035540333678
Long
DBT
NUSS
N/A
N
2
2025-07-07
Fixed
3.37500000
N
N
N
N
N
N
BROADRIDGE FINANCIAL SOL
549300KZDJZQ2YIHRC28
Broadridge Financial Solutions Inc
11133TAE3
100000.00000000
PA
USD
83899.70000000
0.030225188292
Long
DBT
CORP
US
N
2
2031-05-01
Fixed
2.60000000
N
N
N
N
N
N
MITSUBISHI UFJ FIN GRP
353800V2V8PUY9TK3E06
Mitsubishi UFJ Financial Group Inc
606822AV6
64000.00000000
PA
USD
61628.85000000
0.022202029274
Long
DBT
CORP
JP
N
2
2028-03-02
Fixed
3.96100000
N
N
N
N
N
N
ZOETIS INC
549300HD9Q1LOC9KLJ48
Zoetis Inc
98978VAK9
10000.00000000
PA
USD
9948.92000000
0.003584136538
Long
DBT
CORP
US
N
2
2025-11-13
Fixed
4.50000000
N
N
N
N
N
N
ABB FINANCE USA INC
5493002Y01YAFV45F528
ABB Finance USA Inc
00037BAF9
20000.00000000
PA
USD
19847.91000000
0.007150285602
Long
DBT
CORP
US
N
2
2028-04-03
Fixed
3.80000000
N
N
N
N
N
N
GENUINE PARTS CO
549300D46DQVEU651W04
Genuine Parts Co
372460AC9
40000.00000000
PA
USD
33758.21000000
0.012161524459
Long
DBT
CORP
US
N
2
2032-02-01
Fixed
2.75000000
N
N
N
N
N
N
LANDWIRTSCH. RENTENBANK
529900Z3J0N6S0F7CT25
Landwirtschaftliche Rentenbank
515110CC6
100000.00000000
PA
USD
100769.02000000
0.036302425438
Long
DBT
CORP
DE
N
2
2027-09-28
Fixed
3.87500000
N
N
N
N
N
N
INTL FLAVOR & FRAGRANCES
BZLRL03D3GPGMOGFO832
International Flavors & Fragrances Inc
459506AL5
10000.00000000
PA
USD
8661.23000000
0.003120241283
Long
DBT
CORP
US
N
2
2048-09-26
Fixed
5.00000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CGC9
3798000.00000000
PA
USD
3852744.60000000
1.387965999632
Long
DBT
UST
US
N
2
2027-12-31
Fixed
3.87500000
N
N
N
N
N
N
APTIV PLC / APTIV CORP
N/A
Aptiv PLC / Aptiv Corp
00217GAC7
52000.00000000
PA
USD
40255.74000000
0.014502284529
Long
DBT
CORP
JE
N
2
2052-05-01
Fixed
4.15000000
N
N
N
N
N
N
INTEL CORP
KNX4USFCNGPY45LOCE31
Intel Corp
458140BG4
60000.00000000
PA
USD
47374.63000000
0.017066891920
Long
DBT
CORP
US
N
2
2047-12-08
Fixed
3.73400000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DXG2
523247.40000000
PA
USD
460347.44000000
0.165841928566
Long
ABS-MBS
USGSE
US
N
2
2036-03-01
Fixed
1.50000000
N
N
N
N
N
N
Citigroup Commercial Mortgage
N/A
Citigroup Commercial Mortgage Trust 2016-C1
17290YAR9
180000.00000000
PA
USD
169513.42000000
0.061067858856
Long
ABS-MBS
CORP
US
N
2
2049-05-10
Fixed
3.20900000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DX49
624843.33000000
PA
USD
583632.50000000
0.210255843660
Long
ABS-MBS
USGSE
US
N
2
2036-03-01
Fixed
2.50000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179VTV2
762227.58000000
PA
USD
657468.70000000
0.236855617531
Long
ABS-MBS
USGSE
US
N
2
2050-09-20
Fixed
2.00000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912828XT2
4672000.00000000
PA
USD
4536767.51000000
1.634387873028
Long
DBT
UST
US
N
2
2024-05-31
Fixed
2.00000000
N
N
N
N
N
N
HCA INC
L3CJ6J7LJ2DX62FTXD46
HCA Inc
404119CB3
100000.00000000
PA
USD
69800.19000000
0.025145785808
Long
DBT
CORP
US
N
2
2051-07-15
Fixed
3.50000000
N
N
N
N
N
N
CARLISLE COS INC
XR64VGX1ZPX6G7ZN7Z11
Carlisle Cos Inc
142339AL4
20000.00000000
PA
USD
15835.49000000
0.005704795928
Long
DBT
CORP
US
N
2
2032-03-01
Fixed
2.20000000
N
N
N
N
N
N
CORNING INC
549300X2937PB0CJ7I56
Corning Inc
219350BK0
50000.00000000
PA
USD
49685.32000000
0.017899326843
Long
DBT
CORP
US
N
2
2048-11-15
Fixed
5.35000000
N
N
N
N
N
N
ANALOG DEVICES INC
GYVOE5EZ4GDAVTU4CQ61
Analog Devices Inc
032654AU9
100000.00000000
PA
USD
88094.93000000
0.031736535969
Long
DBT
CORP
US
N
2
2028-10-01
Fixed
1.70000000
N
N
N
N
N
N
PROLOGIS LP
GL16H1DHB0QSHP25F723
Prologis LP
74340XCF6
100000.00000000
PA
USD
100073.95000000
0.036052023808
Long
DBT
CORP
US
N
2
2053-06-15
Fixed
5.25000000
N
N
N
N
N
N
NATIONAL AUSTRALIA BK/NY
549300E2IPL06NDXMZ63
National Australia Bank Ltd/New York
63253QAA2
250000.00000000
PA
USD
253053.96000000
0.091163658383
Long
DBT
CORP
AU
N
2
2026-01-12
Fixed
4.96600000
N
N
N
N
N
TARGET CORP
8WDDFXB5T1Z6J0XC1L66
Target Corp
87612EBG0
9000.00000000
PA
USD
7767.71000000
0.002798347280
Long
DBT
CORP
US
N
2
2047-11-15
Fixed
3.90000000
N
N
N
N
N
N
STATE STR NAVIGATOR SECS L TR
N/A
State Street Navigator Securities Lending Government Money Market Portfolio
857509301
2600202.82000000
NS
USD
2600202.82000000
0.936733025674
Long
STIV
RF
US
N
1
N
N
BRITISH COLUMBIA PROV OF
54930058TO7MEKUHWL16
Province of British Columbia Canada
11070TAK4
50000.00000000
PA
USD
47580.18000000
0.017140942095
Long
DBT
NUSS
CA
N
2
2026-06-02
Fixed
2.25000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418D2K7
180558.34000000
PA
USD
142428.53000000
0.051310423488
Long
ABS-MBS
USGSE
US
N
2
2051-07-01
Fixed
1.50000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EAM2
1489806.47000000
PA
USD
1240064.71000000
0.446738061698
Long
ABS-MBS
USGSE
US
N
2
2051-12-01
Fixed
2.00000000
N
N
N
N
N
N
TRAVELERS COS INC
549300Y650407RU8B149
Travelers Cos Inc/The
89417EAL3
10000.00000000
PA
USD
8165.95000000
0.002941814766
Long
DBT
CORP
US
N
2
2046-05-15
Fixed
3.75000000
N
N
N
N
N
N
REPUBLIC SERVICES INC
NKNQHM6BLECKVOQP7O46
Republic Services Inc
760759AV2
18000.00000000
PA
USD
15719.64000000
0.005663060522
Long
DBT
CORP
US
N
2
2030-03-01
Fixed
2.30000000
N
N
N
N
N
N
World Omni Auto Receivables Tr
N/A
World Omni Auto Receivables Trust 2021-B
98163LAC4
82814.64000000
PA
USD
79569.84000000
0.028665339642
Long
ABS-O
CORP
US
N
2
2026-06-15
Fixed
0.42000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EAP5
486269.06000000
PA
USD
437805.06000000
0.157720949825
Long
ABS-MBS
USGSE
US
N
2
2052-01-01
Fixed
3.00000000
N
N
N
N
N
N
FOMENTO ECONOMICO MEX
549300A8MDWDJNMLV153
Fomento Economico Mexicano SAB de CV
344419AB2
10000.00000000
PA
USD
8981.20000000
0.003235511701
Long
DBT
CORP
MX
N
2
2043-05-10
Fixed
4.37500000
N
N
N
N
N
N
PUB SVC NEW HAMP
549300SHPFALUPKK2351
Public Service Co of New Hampshire
744538AE9
50000.00000000
PA
USD
42399.04000000
0.015274416564
Long
DBT
CORP
US
N
2
2031-06-15
Fixed
2.20000000
N
N
N
N
N
N
AT&T INC
549300Z40J86GGSTL398
AT&T Inc
00206RMP4
100000.00000000
PA
USD
100119.03000000
0.036068264051
Long
DBT
CORP
US
N
2
2026-02-20
Fixed
5.53900000
N
N
N
N
N
N
MERCK & CO INC
4YV9Y5M8S0BRK1RP0397
Merck & Co Inc
58933YAZ8
200000.00000000
PA
USD
166449.98000000
0.059964242861
Long
DBT
CORP
US
N
2
2030-06-24
Fixed
1.45000000
N
N
N
N
N
N
BELL CANADA
549300JYAVAQRV5MNZ86
Bell Telephone Co of Canada or Bell Canada/The
0778FPAG4
12000.00000000
PA
USD
9917.48000000
0.003572810157
Long
DBT
CORP
CA
N
2
2032-02-15
Fixed
2.15000000
N
N
N
N
N
N
GILEAD SCIENCES INC
549300WTZWR07K8MNV44
Gilead Sciences Inc
375558BG7
160000.00000000
PA
USD
159137.69000000
0.057329962380
Long
DBT
CORP
US
N
2
2035-09-01
Fixed
4.60000000
N
N
N
N
N
N
WEYERHAEUSER CO
08IRJODWFYBI7QWRGS31
Weyerhaeuser Co
962166CA0
100000.00000000
PA
USD
88669.41000000
0.031943494590
Long
DBT
CORP
US
N
2
2033-03-09
Fixed
3.37500000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EGT1
373535.24000000
PA
USD
371528.80000000
0.133844673297
Long
ABS-MBS
USGSE
US
N
2
2052-07-01
Fixed
5.00000000
N
N
N
N
N
N
KILROY REALTY LP
5493008CT3N3JR7P1552
Kilroy Realty LP
49427RAN2
40000.00000000
PA
USD
35418.05000000
0.012759488177
Long
DBT
CORP
US
N
2
2028-12-15
Fixed
4.75000000
N
N
N
N
N
N
JPMORGAN CHASE & CO
8I5DZWZKVSZI1NUHU748
JPMorgan Chase & Co
46647PCV6
100000.00000000
PA
USD
95205.33000000
0.034298084805
Long
DBT
CORP
US
N
2
2026-02-24
Fixed
2.59500000
N
N
N
N
N
N
INTER-AMERICAN DEVEL BK
VKU1UKDS9E7LYLMACP54
Inter-American Development Bank
4581X0DX3
100000.00000000
PA
USD
88077.49000000
0.031730253142
Long
DBT
NUSS
N/A
N
2
2028-07-20
Fixed
1.12500000
N
N
N
N
N
N
CANADIAN IMPERIAL BANK
2IGI19DL77OX0HC3ZE78
Canadian Imperial Bank of Commerce
13607HYF3
130000.00000000
PA
USD
122650.18000000
0.044185197142
Long
DBT
CORP
CA
N
2
2024-10-18
Fixed
1.00000000
N
N
N
N
N
N
JOHN DEERE CAPITAL CORP
E0KSF7PFQ210NWI8Z391
John Deere Capital Corp
24422EVU0
100000.00000000
PA
USD
94751.91000000
0.034134738513
Long
DBT
CORP
US
N
2
2024-09-10
Fixed
0.62500000
N
N
N
N
N
N
PEPSICO INC
FJSUNZKFNQ5YPJ5OT455
PepsiCo Inc
713448EZ7
100000.00000000
PA
USD
85083.44000000
0.030651635162
Long
DBT
CORP
US
N
2
2030-05-01
Fixed
1.62500000
N
N
N
N
N
N
SALESFORCE INC
RCGZFPDMRW58VJ54VR07
Salesforce Inc
79466LAL8
112000.00000000
PA
USD
79519.64000000
0.028647254900
Long
DBT
CORP
US
N
2
2051-07-15
Fixed
2.90000000
N
N
N
N
N
N
FANNIE MAE
B1V7KEBTPIMZEU4LTD58
Federal National Mortgage Association
3135G0X24
70000.00000000
PA
USD
66910.67000000
0.024104825160
Long
DBT
USGSE
US
N
2
2025-01-07
Fixed
1.62500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CGH8
1500000.00000000
PA
USD
1498300.79000000
0.539768598661
Long
DBT
UST
US
N
2
2028-01-31
Fixed
3.50000000
N
N
N
N
N
N
WASTE MANAGEMENT INC
549300YX8JIID70NFS41
Waste Management Inc
94106LBS7
100000.00000000
PA
USD
98164.47000000
0.035364126324
Long
DBT
CORP
US
N
2
2032-04-15
Fixed
4.15000000
N
N
N
N
N
N
BUNGE LTD FINANCE CORP
549300QHC068L40NNM71
Bunge Ltd Finance Corp
120568AZ3
10000.00000000
PA
USD
9640.31000000
0.003472958603
Long
DBT
CORP
US
N
2
2027-09-25
Fixed
3.75000000
N
N
N
N
N
N
FEDEX CORP
549300E707U7WNPZN687
FedEx Corp
31428XBA3
220000.00000000
PA
USD
198280.72000000
0.071431388870
Long
DBT
CORP
US
N
2
2035-02-01
Fixed
3.90000000
N
N
N
N
N
N
AGILENT TECHNOLOGIES INC
QUIX8Y7A2WP0XRMW7G29
Agilent Technologies Inc
00846UAM3
60000.00000000
PA
USD
50404.12000000
0.018158277297
Long
DBT
CORP
US
N
2
2030-06-04
Fixed
2.10000000
N
N
N
N
N
N
MORGAN STANLEY
IGJSJL3JD5P30I6NJZ34
Morgan Stanley
61744YAP3
727000.00000000
PA
USD
688956.64000000
0.248199268526
Long
DBT
CORP
US
N
2
2029-01-24
Fixed
3.77200000
N
N
N
N
N
N
SOUTHWESTERN PUBLIC SERV
OL6FE7QD5EQ3DOYEO258
Southwestern Public Service Co
845743BS1
23000.00000000
PA
USD
20387.00000000
0.007344494839
Long
DBT
CORP
US
N
2
2048-11-15
Fixed
4.40000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CDF5
650000.00000000
PA
USD
580455.08000000
0.209111165934
Long
DBT
UST
US
N
2
2028-10-31
Fixed
1.37500000
N
N
N
N
N
N
FEDERAL REALTY INVS TRST
549300FHEI1SLVZ0RB48
Federal Realty Investment Trust
313747BA4
50000.00000000
PA
USD
44490.90000000
0.016028017142
Long
DBT
CORP
US
N
2
2030-06-01
Fixed
3.50000000
N
N
N
N
N
N
ADOBE INC
FU4LY2G4933NH2E1CP29
Adobe Inc
00724PAB5
44000.00000000
PA
USD
42190.98000000
0.015199462152
Long
DBT
CORP
US
N
2
2025-02-01
Fixed
1.90000000
N
N
N
N
N
N
REPUBLIC SERVICES INC
NKNQHM6BLECKVOQP7O46
Republic Services Inc
760759AT7
70000.00000000
PA
USD
68620.67000000
0.024720859210
Long
DBT
CORP
US
N
2
2028-05-15
Fixed
3.95000000
N
N
N
N
N
N
NOV INC
549300EHF3IW1AR6U008
NOV Inc
637071AK7
50000.00000000
PA
USD
37241.17000000
0.013416274140
Long
DBT
CORP
US
N
2
2042-12-01
Fixed
3.95000000
N
N
N
N
N
N
AMGEN INC
62QBXGPJ34PQ72Z12S66
Amgen Inc
031162CW8
138000.00000000
PA
USD
116917.96000000
0.042120142930
Long
DBT
CORP
US
N
2
2031-02-25
Fixed
2.30000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CBT7
1900000.00000000
PA
USD
1746367.18000000
0.629135465847
Long
DBT
UST
US
N
2
2026-03-31
Fixed
0.75000000
N
N
N
N
N
N
GATX CORP
549300IHYHCQP2PIR591
GATX Corp
361448BJ1
100000.00000000
PA
USD
88721.72000000
0.031962339468
Long
DBT
CORP
US
N
2
2032-06-01
Fixed
3.50000000
N
N
N
N
N
N
AMERICAN EXPRESS CO
R4PP93JZOLY261QX3811
American Express Co
025816CM9
200000.00000000
PA
USD
181352.57000000
0.065332957992
Long
DBT
CORP
US
N
2
2026-11-04
Fixed
1.65000000
N
N
N
N
N
N
CENTERPOINT ENERGY INC
21TPXMRRHFKOBHDC8J74
CenterPoint Energy Inc
15189TBA4
100000.00000000
PA
USD
90792.77000000
0.032708443163
Long
DBT
CORP
US
N
2
2026-06-01
Fixed
1.45000000
N
N
N
N
N
N
RYDER SYSTEM INC
ZXJ6Y2OSPZXIVGRILD15
Ryder System Inc
78355HKN8
114000.00000000
PA
USD
110022.44000000
0.039636005437
Long
DBT
CORP
US
N
2
2024-09-01
Fixed
2.50000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810TG3
1350000.00000000
PA
USD
1155199.21000000
0.416164940256
Long
DBT
UST
US
N
2
2052-05-15
Fixed
2.87500000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EHP8
1040810.44000000
PA
USD
1035249.05000000
0.372952435661
Long
ABS-MBS
USGSE
US
N
2
2052-08-01
Fixed
5.00000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DVA7
1355974.79000000
PA
USD
1131921.79000000
0.407779160540
Long
ABS-MBS
USGSE
US
N
2
2050-12-01
Fixed
2.00000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CEC1
1750000.00000000
PA
USD
1641445.31000000
0.591336960289
Long
DBT
UST
US
N
2
2027-02-28
Fixed
1.87500000
N
N
N
N
N
N
UNILEVER CAPITAL CORP
MYF1DAS6G5WY7PRWCU78
Unilever Capital Corp
904764AX5
10000.00000000
PA
USD
9768.68000000
0.003519204387
Long
DBT
CORP
US
N
2
2024-05-05
Fixed
2.60000000
N
N
N
N
N
N
MARVELL TECHNOLOGY INC
N/A
Marvell Technology Inc
573874AF1
100000.00000000
PA
USD
87927.94000000
0.031676377182
Long
DBT
CORP
US
N
2
2028-04-15
Fixed
2.45000000
N
N
N
N
N
N
ESSENTIAL UTILITIES INC
549300ILTEOF3E3QY357
Essential Utilities Inc
29670GAF9
100000.00000000
PA
USD
83694.58000000
0.030151293027
Long
DBT
CORP
US
N
2
2031-05-01
Fixed
2.40000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EGJ3
385481.43000000
PA
USD
368580.12000000
0.132782400032
Long
ABS-MBS
USGSE
US
N
2
2052-07-01
Fixed
4.00000000
N
N
N
N
N
N
KLA CORP
549300H0BF5JCG96TJ81
KLA Corp
482480AL4
100000.00000000
PA
USD
101549.01000000
0.036583419823
Long
DBT
CORP
US
N
2
2032-07-15
Fixed
4.65000000
N
N
N
N
N
N
INTL BK RECON & DEVELOP
ZTMSNXROF84AHWJNKQ93
International Bank for Reconstruction & Development
459058KA0
100000.00000000
PA
USD
85663.46000000
0.030860589588
Long
DBT
NUSS
N/A
N
2
2031-11-03
Fixed
1.62500000
N
N
N
N
N
N
KIMBERLY-CLARK CORP
MP3J6QPYPGN75NVW2S34
Kimberly-Clark Corp
494368CD3
100000.00000000
PA
USD
84806.34000000
0.030551808825
Long
DBT
CORP
US
N
2
2031-11-02
Fixed
2.00000000
N
N
N
N
N
N
JPMORGAN CHASE & CO
8I5DZWZKVSZI1NUHU748
JPMorgan Chase & Co
46647PBD7
190000.00000000
PA
USD
177225.77000000
0.063846262484
Long
DBT
CORP
US
N
2
2030-05-06
Fixed
3.70200000
N
N
N
N
N
N
PROVINCE OF ALBERTA
LQPXMHHNJKIPJYE53543
Province of Alberta Canada
013051EM5
40000.00000000
PA
USD
33435.81000000
0.012045378624
Long
DBT
NUSS
CA
N
2
2030-07-22
Fixed
1.30000000
N
N
N
N
N
N
AID-ISRAEL
213800T8ZHTFZIBYPE21
Israel Government AID Bond
46513EFG2
10000.00000000
PA
USD
11305.15000000
0.004072723590
Long
DBT
NUSS
IL
N
2
2033-09-18
Fixed
5.50000000
N
N
N
N
N
N
PECO ENERGY CO
YH65D4JBECK76IFEJ279
PECO Energy Co
693304BD8
170000.00000000
PA
USD
162203.85000000
0.058434558265
Long
DBT
CORP
US
N
2
2052-05-15
Fixed
4.60000000
N
N
N
N
N
N
INTL FINANCE CORP
QKL54NQY28TCDAI75F60
International Finance Corp
45950KCT5
80000.00000000
PA
USD
73477.03000000
0.026470381502
Long
DBT
NUSS
N/A
N
2
2025-07-16
Fixed
0.37500000
N
N
N
N
N
N
AMAZON.COM INC
ZXTILKJKG63JELOEG630
Amazon.com Inc
023135CR5
100000.00000000
PA
USD
102842.62000000
0.037049447781
Long
DBT
CORP
US
N
2
2032-12-01
Fixed
4.70000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810SS8
200000.00000000
PA
USD
128539.06000000
0.046306688718
Long
DBT
UST
US
N
2
2050-11-15
Fixed
1.62500000
N
N
N
N
N
N
BENCHMARK Mortgage Trust
N/A
Benchmark 2021-B27 Mortgage Trust
08163HAK4
100000.00000000
PA
USD
68511.79000000
0.024681634773
Long
ABS-MBS
CORP
US
N
2
2054-07-15
Fixed
2.70300000
N
N
N
N
N
N
GOLDMAN SACHS GROUP INC
784F5XWPLTWKTBV3E584
Goldman Sachs Group Inc/The
38141GYN8
200000.00000000
PA
USD
166427.19000000
0.059956032677
Long
DBT
CORP
US
N
2
2032-10-21
Fixed
2.65000000
N
N
N
N
N
N
HUMANA INC
529900YLDW34GJAO4J06
Humana Inc
444859BT8
100000.00000000
PA
USD
94652.92000000
0.034099076986
Long
DBT
CORP
US
N
2
2029-03-23
Fixed
3.70000000
N
N
N
N
N
N
MICROSOFT CORP
INR2EJN1ERAN0W5ZP974
Microsoft Corp
594918CE2
576000.00000000
PA
USD
441399.63000000
0.159015907436
Long
DBT
CORP
US
N
2
2052-03-17
Fixed
2.92100000
N
N
N
N
N
N
BLACKROCK INC
549300LRIF3NWCU26A80
BlackRock Inc
09247XAP6
40000.00000000
PA
USD
38327.32000000
0.013807563838
Long
DBT
CORP
US
N
2
2029-04-30
Fixed
3.25000000
N
N
N
N
N
N
HP ENTERPRISE CO
549300BX44RGX6ANDV88
Hewlett Packard Enterprise Co
42824CAX7
50000.00000000
PA
USD
54050.24000000
0.019471805993
Long
DBT
CORP
US
N
2
2035-10-15
Fixed
6.20000000
N
N
N
N
N
N
AMGEN INC
62QBXGPJ34PQ72Z12S66
Amgen Inc
031162CZ1
100000.00000000
PA
USD
81039.10000000
0.029194646185
Long
DBT
CORP
US
N
2
2032-01-15
Fixed
2.00000000
N
N
N
N
N
N
LYB INT FINANCE III
N/A
LYB International Finance III LLC
50249AAH6
190000.00000000
PA
USD
140502.99000000
0.050616740327
Long
DBT
CORP
US
N
2
2040-10-01
Fixed
3.37500000
N
N
N
N
N
N
OEKB OEST. KONTROLLBANK
5299000OVRLMF858L016
Oesterreichische Kontrollbank AG
676167CE7
100000.00000000
PA
USD
97216.47000000
0.035022605693
Long
DBT
CORP
AT
N
2
2025-05-23
Fixed
2.87500000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DUE0
529736.79000000
PA
USD
493467.80000000
0.177773665120
Long
ABS-MBS
USGSE
US
N
2
2035-11-01
Fixed
2.50000000
N
N
N
N
N
N
INTL BK RECON & DEVELOP
ZTMSNXROF84AHWJNKQ93
International Bank for Reconstruction & Development
459056HV2
535000.00000000
PA
USD
514855.11000000
0.185478525469
Long
DBT
NUSS
N/A
N
2
2024-08-28
Fixed
1.50000000
N
N
N
N
N
N
JPN BANK FOR INT'L COOP
549300TJ3QFYVCTSCJ29
Japan Bank for International Cooperation
471048CV8
200000.00000000
PA
USD
200397.07000000
0.072193812064
Long
DBT
NUSS
JP
N
2
2026-01-26
Fixed
4.25000000
N
N
N
N
N
N
LLOYDS BANKING GROUP PLC
549300PPXHEU2JF0AM85
Lloyds Banking Group PLC
539439AV1
210000.00000000
PA
USD
198554.99000000
0.071530195688
Long
DBT
CORP
GB
N
2
2026-02-05
Fixed
2.43800000
N
N
N
N
N
N
MOSAIC CO
2YD5STGSJNMUB7H76907
Mosaic Co/The
61945CAB9
50000.00000000
PA
USD
44640.86000000
0.016082040806
Long
DBT
CORP
US
N
2
2041-11-15
Fixed
4.87500000
N
N
N
N
N
N
ELEVANCE HEALTH INC
8MYN82XMYQH89CTMTH67
Elevance Health Inc
036752AN3
100000.00000000
PA
USD
85981.79000000
0.030975269190
Long
DBT
CORP
US
N
2
2030-05-15
Fixed
2.25000000
N
N
N
N
N
N
SUMITOMO MITSUI FINL GRP
35380028MYWPB6AUO129
Sumitomo Mitsui Financial Group Inc
86562MCE8
10000.00000000
PA
USD
7888.72000000
0.002841941596
Long
DBT
CORP
JP
N
2
2031-01-12
Fixed
1.71000000
N
N
N
N
N
N
TORONTO-DOMINION BANK
PT3QB789TSUIDF371261
Toronto-Dominion Bank/The
89114TZD7
212000.00000000
PA
USD
189179.93000000
0.068152794413
Long
DBT
CORP
CA
N
2
2026-06-03
Fixed
1.20000000
N
N
N
N
N
N
BENCHMARK Mortgage Trust
N/A
Benchmark 2021-B28 Mortgage Trust
08163GAS9
100000.00000000
PA
USD
85958.25000000
0.030966788815
Long
ABS-MBS
CORP
US
N
2
2054-08-15
Fixed
2.07310000
N
N
N
N
N
N
VENTAS REALTY LP
32SXKSJ72K64GM3HOU64
Ventas Realty LP
92277GAU1
10000.00000000
PA
USD
8676.24000000
0.003125648693
Long
DBT
CORP
US
N
2
2030-01-15
Fixed
3.00000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179X2H8
200000.00000000
PA
USD
192183.42000000
0.069234813190
Long
ABS-MBS
USGSE
US
N
2
2053-05-20
Fixed
4.00000000
N
N
N
N
N
N
CVS HEALTH CORP
549300EJG376EN5NQE29
CVS Health Corp
126650DL1
100000.00000000
PA
USD
83418.59000000
0.030051866572
Long
DBT
CORP
US
N
2
2050-04-01
Fixed
4.25000000
N
N
N
N
N
N
COMMONWEALTH EDISON CO
D8YOXB8L2ZDC8P7Q0771
Commonwealth Edison Co
202795HT0
121000.00000000
PA
USD
140358.04000000
0.050564521534
Long
DBT
CORP
US
N
2
2038-01-15
Fixed
6.45000000
N
N
N
N
N
N
PNC FINANCIAL SERVICES
CFGNEKW0P8842LEUIA51
PNC Financial Services Group Inc/The
693475AP0
124000.00000000
PA
USD
121712.85000000
0.043847520419
Long
DBT
CORP
US
N
2
2024-04-29
Fixed
3.90000000
N
N
N
N
N
N
INTERPUBLIC GROUP COS
5493008IUOJ5VWTRC333
Interpublic Group of Cos Inc/The
460690BT6
60000.00000000
PA
USD
50139.35000000
0.018062892890
Long
DBT
CORP
US
N
2
2031-03-01
Fixed
2.40000000
N
N
N
N
N
N
FHLMC Multifamily Structured P
S6XOOCT0IEG5ABCC6L87
Freddie Mac Multifamily Structured Pass Through Certificates
3137FYZK5
62000.00000000
PA
USD
55717.76000000
0.020072536460
Long
ABS-MBS
USGSE
US
N
2
2028-03-25
Fixed
1.76000000
N
N
N
N
N
N
CITIGROUP INC
6SHGI4ZSSLCXXQSBB395
Citigroup Inc
172967NE7
100000.00000000
PA
USD
81856.86000000
0.029489247358
Long
DBT
CORP
US
N
2
2032-11-03
Fixed
2.52000000
N
N
N
N
N
N
TOYOTA MOTOR CREDIT CORP
Z2VZBHUMB7PWWJ63I008
Toyota Motor Credit Corp
89236TJN6
100000.00000000
PA
USD
94700.45000000
0.034116199851
Long
DBT
CORP
US
N
2
2024-09-13
Fixed
0.62500000
N
N
N
N
N
N
GOLDMAN SACHS GROUP INC
784F5XWPLTWKTBV3E584
Goldman Sachs Group Inc/The
38141GXH2
300000.00000000
PA
USD
281730.08000000
0.101494340453
Long
DBT
CORP
US
N
2
2030-03-15
Fixed
3.80000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
9128282Y5
3090000.00000000
PA
USD
2993920.31000000
1.078571259535
Long
DBT
UST
US
N
2
2024-09-30
Fixed
2.12500000
N
N
N
N
N
N
LAM RESEARCH CORP
549300I4GMO6D34U1T02
Lam Research Corp
512807AV0
10000.00000000
PA
USD
8475.73000000
0.003053414197
Long
DBT
CORP
US
N
2
2030-06-15
Fixed
1.90000000
N
N
N
N
N
N
CHENIERE CORP CHRISTI HD
549300I7CIEWU1BBLQ53
Cheniere Corpus Christi Holdings LLC
16412XAC9
50000.00000000
PA
USD
50394.39000000
0.018154772027
Long
DBT
CORP
US
N
2
2025-03-31
Fixed
5.87500000
N
N
N
N
N
N
REPUBLIC OF KOREA
549300O0QCVSQGPGDT58
Korea International Bond
50064FAU8
70000.00000000
PA
USD
59675.70000000
0.021498399505
Long
DBT
NUSS
KR
N
2
2031-10-15
Fixed
1.75000000
N
N
N
N
N
COUNCIL OF EUROPE
549300UYNXMI821WYG82
Council Of Europe Development Bank
222213AU4
32000.00000000
PA
USD
30392.32000000
0.010948949694
Long
DBT
NUSS
N/A
N
2
2025-02-27
Fixed
1.37500000
N
N
N
N
N
N
INVESCO FINANCE PLC
549300OYQ3LAJYXXO449
Invesco Finance PLC
46132FAD2
20000.00000000
PA
USD
19439.07000000
0.007002999426
Long
DBT
CORP
GB
N
2
2026-01-15
Fixed
3.75000000
N
N
N
N
N
N
GOLDMAN SACHS GROUP INC
784F5XWPLTWKTBV3E584
Goldman Sachs Group Inc/The
38141GYJ7
582000.00000000
PA
USD
475440.12000000
0.171279124347
Long
DBT
CORP
US
N
2
2032-07-21
Fixed
2.38300000
N
N
N
N
N
N
ROYAL BANK OF CANADA
ES7IP3U3RHIGC71XBU11
Royal Bank of Canada
78016EZT7
100000.00000000
PA
USD
90029.18000000
0.032433356941
Long
DBT
CORP
CA
N
2
2026-07-14
Fixed
1.15000000
N
N
N
N
N
N
NISOURCE INC
549300D8GOWWH0SJB189
NiSource Inc
65473PAJ4
151000.00000000
PA
USD
140323.72000000
0.050552157623
Long
DBT
CORP
US
N
2
2030-05-01
Fixed
3.60000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418ECB4
907113.45000000
PA
USD
842985.74000000
0.303688841792
Long
ABS-MBS
USGSE
US
N
2
2052-03-01
Fixed
3.50000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CAM3
3900000.00000000
PA
USD
3580687.50000000
1.289956387275
Long
DBT
UST
US
N
2
2025-09-30
Fixed
0.25000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EE55
335174.07000000
PA
USD
320513.13000000
0.115466082770
Long
ABS-MBS
USGSE
US
N
2
2052-07-01
Fixed
4.00000000
N
N
N
N
N
N
MORGAN STANLEY
IGJSJL3JD5P30I6NJZ34
Morgan Stanley
61747YED3
170000.00000000
PA
USD
137223.10000000
0.049435147391
Long
DBT
CORP
US
N
2
2032-07-21
Fixed
2.23900000
N
N
N
N
N
N
MERCK & CO INC
4YV9Y5M8S0BRK1RP0397
Merck & Co Inc
58933YBF1
100000.00000000
PA
USD
70862.82000000
0.025528602336
Long
DBT
CORP
US
N
2
2051-12-10
Fixed
2.75000000
N
N
N
N
N
N
CME GROUP INC
LCZ7XYGSLJUHFXXNXD88
CME Group Inc
12572QAK1
100000.00000000
PA
USD
87689.15000000
0.031590352170
Long
DBT
CORP
US
N
2
2032-03-15
Fixed
2.65000000
N
N
N
N
N
N
MORGAN STANLEY
IGJSJL3JD5P30I6NJZ34
Morgan Stanley
61747YFA8
100000.00000000
PA
USD
100489.75000000
0.036201817351
Long
DBT
CORP
US
N
2
2029-02-01
Fixed
5.12300000
N
N
N
N
N
N
IBM CORP
VGRQXHF3J8VDLUA7XE92
International Business Machines Corp
459200KN0
100000.00000000
PA
USD
86729.29000000
0.031244558928
Long
DBT
CORP
US
N
2
2032-02-09
Fixed
2.72000000
N
N
N
N
N
N
NORTHERN TRUST CORP
549300GLF98S992BC502
Northern Trust Corp
665859AP9
42000.00000000
PA
USD
40951.65000000
0.014752988772
Long
DBT
CORP
US
N
2
2025-10-30
Fixed
3.95000000
N
N
N
N
N
N
MARTIN MARIETTA MATERIAL
5299005MZ4WZECVATV08
Martin Marietta Materials Inc
573284AX4
112000.00000000
PA
USD
79614.96000000
0.028681594295
Long
DBT
CORP
US
N
2
2051-07-15
Fixed
3.20000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CBC4
1300000.00000000
PA
USD
1189652.35000000
0.428576815910
Long
DBT
UST
US
N
2
2025-12-31
Fixed
0.37500000
N
N
N
N
N
N
FOX CORP
549300DDU6FDRBIELS05
Fox Corp
35137LAH8
110000.00000000
PA
USD
108050.25000000
0.038925516436
Long
DBT
CORP
US
N
2
2029-01-25
Fixed
4.70900000
N
N
N
N
N
N
BARCLAYS PLC
213800LBQA1Y9L22JB70
Barclays PLC
06738ECD5
200000.00000000
PA
USD
212975.19000000
0.076725127973
Long
DBT
CORP
GB
N
2
2028-11-02
Fixed
7.38500000
N
N
N
N
N
N
TEXAS INSTRUMENTS INC
WDJNR2L6D8RWOEB8T652
Texas Instruments Inc
882508BL7
100000.00000000
PA
USD
84185.02000000
0.030327975915
Long
DBT
CORP
US
N
2
2031-09-15
Fixed
1.90000000
N
N
N
N
N
N
SWEDISH EXPORT CREDIT
1FOLRR5RWTWWI397R131
Svensk Exportkredit AB
87031CAH6
200000.00000000
PA
USD
202293.22000000
0.072876907365
Long
DBT
CORP
SE
N
2
2025-11-28
Fixed
4.62500000
N
N
N
N
N
N
JPN BANK FOR INT'L COOP
549300TJ3QFYVCTSCJ29
Japan Bank for International Cooperation
471048AP3
99000.00000000
PA
USD
95180.39000000
0.034289100074
Long
DBT
NUSS
JP
N
2
2025-05-28
Fixed
2.50000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810TJ7
550000.00000000
PA
USD
483140.63000000
0.174053262570
Long
DBT
UST
US
N
2
2052-08-15
Fixed
3.00000000
N
N
N
N
N
N
MORGAN STANLEY
IGJSJL3JD5P30I6NJZ34
Morgan Stanley
61747YER2
170000.00000000
PA
USD
164810.35000000
0.059373559874
Long
DBT
CORP
US
N
2
2028-04-20
Fixed
4.21000000
N
N
N
N
N
N
BPCE SA
9695005MSX1OYEMGDF46
BPCE SA
05578DAG7
30000.00000000
PA
USD
29528.49000000
0.010637751627
Long
DBT
CORP
FR
N
2
2024-04-15
Fixed
4.00000000
N
N
N
N
N
N
TELUS CORP
L2TEUTQ8OSHMJWVLCE40
TELUS Corp
87971MBF9
50000.00000000
PA
USD
48651.03000000
0.017526719909
Long
DBT
CORP
CA
N
2
2027-09-15
Fixed
3.70000000
N
N
N
N
N
N
DXC TECHNOLOGY CO
549300DOVZ3EDJB7O259
DXC Technology Co
23355LAL0
30000.00000000
PA
USD
26360.04000000
0.009496305379
Long
DBT
CORP
US
N
2
2026-09-15
Fixed
1.80000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418CWU4
180518.40000000
PA
USD
178173.07000000
0.064187530938
Long
ABS-MBS
USGSE
US
N
2
2048-05-01
Fixed
4.50000000
N
N
N
N
N
N
ALIBABA GROUP HOLDING
5493001NTNQJDH60PM02
Alibaba Group Holding Ltd
01609WAR3
150000.00000000
PA
USD
141995.14000000
0.051154293080
Long
DBT
CORP
KY
N
2
2034-11-28
Fixed
4.50000000
N
N
N
N
N
N
Santander Drive Auto Receivabl
N/A
Santander Drive Auto Receivables Trust 2021-2
80286XAE4
79085.90000000
PA
USD
77684.32000000
0.027986073840
Long
ABS-O
CORP
US
N
2
2026-06-15
Fixed
0.90000000
N
N
N
N
N
N
CSX CORP
549300JVQR4N1MMP3Q88
CSX Corp
126408HG1
52000.00000000
PA
USD
43383.99000000
0.015629248574
Long
DBT
CORP
US
N
2
2066-11-01
Fixed
4.25000000
N
N
N
N
N
N
DTE ENERGY CO
549300IX8SD6XXD71I78
DTE Energy Co
233331BF3
126000.00000000
PA
USD
111387.01000000
0.040127597007
Long
DBT
CORP
US
N
2
2030-03-01
Fixed
2.95000000
N
N
N
N
N
N
KROGER CO
6CPEOKI6OYJ13Q6O7870
Kroger Co/The
501044CN9
9000.00000000
PA
USD
8795.49000000
0.003168608962
Long
DBT
CORP
US
N
2
2040-07-15
Fixed
5.40000000
N
N
N
N
N
N
PROCTER & GAMBLE CO/THE
2572IBTT8CCZW6AU4141
Procter & Gamble Co/The
742718FP9
100000.00000000
PA
USD
91846.90000000
0.033088197533
Long
DBT
CORP
US
N
2
2026-04-23
Fixed
1.00000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EAN0
873687.39000000
PA
USD
756716.90000000
0.272610161739
Long
ABS-MBS
USGSE
US
N
2
2052-01-01
Fixed
2.50000000
N
N
N
N
N
N
CATERPILLAR INC
WRJR7GS4GTRECRRTVX92
Caterpillar Inc
149123CB5
100000.00000000
PA
USD
89714.47000000
0.032319981458
Long
DBT
CORP
US
N
2
2042-08-15
Fixed
3.80300000
N
N
N
N
N
N
WRKCO INC
549300JEB576INN13W07
WRKCo Inc
96145DAH8
120000.00000000
PA
USD
114849.92000000
0.041375123599
Long
DBT
CORP
US
N
2
2028-03-15
Fixed
4.00000000
N
N
N
N
N
N
TARGET CORP
8WDDFXB5T1Z6J0XC1L66
Target Corp
87612EAR7
52000.00000000
PA
USD
61236.91000000
0.022060831388
Long
DBT
CORP
US
N
2
2037-10-15
Fixed
6.50000000
N
N
N
N
N
N
EXELON CORP
3SOUA6IRML7435B56G12
Exelon Corp
30161NAQ4
10000.00000000
PA
USD
9999.77000000
0.003602455445
Long
DBT
CORP
US
N
2
2035-06-15
Fixed
4.95000000
N
N
N
N
N
N
WILLIAMS COMPANIES INC
D71FAKCBLFS2O0RBPG08
Williams Cos Inc/The
969457BY5
190000.00000000
PA
USD
161417.98000000
0.058151445587
Long
DBT
CORP
US
N
2
2031-03-15
Fixed
2.60000000
N
N
N
N
N
N
VOYA FINANCIAL INC
549300T065Z4KJ686G75
Voya Financial Inc
929089AC4
9000.00000000
PA
USD
7626.67000000
0.002747537080
Long
DBT
CORP
US
N
2
2046-06-15
Fixed
4.80000000
N
N
N
N
N
N
QUALCOMM INC
H1J8DDZKZP6H7RWC0H53
QUALCOMM Inc
747525BQ5
100000.00000000
PA
USD
99948.29000000
0.036006754312
Long
DBT
CORP
US
N
2
2032-05-20
Fixed
4.25000000
N
N
N
N
N
NATIONAL FUEL GAS CO
8JB38FFW1Y3C1HM8E841
National Fuel Gas Co
636180BQ3
30000.00000000
PA
USD
30154.76000000
0.010863367794
Long
DBT
CORP
US
N
2
2026-01-15
Fixed
5.50000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CAT8
800000.00000000
PA
USD
731812.50000000
0.263638256246
Long
DBT
UST
US
N
2
2025-10-31
Fixed
0.25000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
3140X9JK2
2453728.26000000
PA
USD
2313267.46000000
0.833363463162
Long
ABS-MBS
USGSE
US
N
2
2048-08-01
Fixed
3.50000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179WRZ3
824479.51000000
PA
USD
706670.42000000
0.254580725622
Long
ABS-MBS
USGSE
US
N
2
2051-11-20
Fixed
2.00000000
N
N
N
N
N
N
UNITEDHEALTH GROUP INC
549300GHBMY8T5GXDE41
UnitedHealth Group Inc
91324PEK4
311000.00000000
PA
USD
302295.52000000
0.108903118987
Long
DBT
CORP
US
N
2
2052-05-15
Fixed
4.75000000
N
N
N
N
N
N
CROWN CASTLE INC
54930012H97VSM0I2R19
Crown Castle Inc
22822VAY7
100000.00000000
PA
USD
83907.93000000
0.030228153181
Long
DBT
CORP
US
N
2
2031-07-15
Fixed
2.50000000
N
N
N
N
N
N
BANK OF MONTREAL
NQQ6HPCNCCU6TUTQYE16
Bank of Montreal
06368FAJ8
100000.00000000
PA
USD
92853.39000000
0.033450789411
Long
DBT
CORP
CA
N
2
2027-03-08
Fixed
2.65000000
N
N
N
N
N
N
STANLEY BLACK & DECKER I
549300DJ09SMTO561131
Stanley Black & Decker Inc
854502AH4
100000.00000000
PA
USD
97188.50000000
0.035012529394
Long
DBT
CORP
US
N
2
2028-11-15
Fixed
4.25000000
N
N
N
N
N
N
ORACLE CORP
1Z4GXXU7ZHVWFCD8TV52
Oracle Corp
68389XAV7
600000.00000000
PA
USD
553253.00000000
0.199311512420
Long
DBT
CORP
US
N
2
2034-07-08
Fixed
4.30000000
N
N
N
N
N
N
VERIZON COMMUNICATIONS
2S72QS2UO2OESLG6Y829
Verizon Communications Inc
92343VFL3
100000.00000000
PA
USD
80905.17000000
0.029146397390
Long
DBT
CORP
US
N
2
2030-09-18
Fixed
1.50000000
N
N
N
N
N
N
LINCOLN NATIONAL CORP
EFQMQROEDSNBRIP7LE47
Lincoln National Corp
534187BL2
20000.00000000
PA
USD
14206.77000000
0.005118043309
Long
DBT
CORP
US
N
2
2050-06-15
Fixed
4.37500000
N
N
N
N
N
KINDER MORGAN INC
549300WR7IX8XE0TBO16
Kinder Morgan Inc
49456BAG6
312000.00000000
PA
USD
306621.88000000
0.110461706748
Long
DBT
CORP
US
N
2
2034-12-01
Fixed
5.30000000
N
N
N
N
N
N
MPLX LP
5493000CZJ19CK4P3G36
MPLX LP
55336VBQ2
120000.00000000
PA
USD
102529.58000000
0.036936673922
Long
DBT
CORP
US
N
2
2030-08-15
Fixed
2.65000000
N
N
N
N
N
N
NOVARTIS CAPITAL CORP
5493002KF87V5RSRQS84
Novartis Capital Corp
66989HAH1
100000.00000000
PA
USD
98232.69000000
0.035388702841
Long
DBT
CORP
US
N
2
2044-05-06
Fixed
4.40000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179W7M4
820639.94000000
PA
USD
789411.91000000
0.284388664326
Long
ABS-MBS
USGSE
US
N
2
2052-06-20
Fixed
4.00000000
N
N
N
N
N
N
HONDA MOTOR CO LTD
549300P7ZYCQJ36CCS16
Honda Motor Co Ltd
438127AB8
100000.00000000
PA
USD
93935.33000000
0.033840562440
Long
DBT
CORP
JP
N
2
2027-03-10
Fixed
2.53400000
N
N
N
N
N
N
INTER-AMERICAN DEVEL BK
VKU1UKDS9E7LYLMACP54
Inter-American Development Bank
4581X0DJ4
130000.00000000
PA
USD
122824.33000000
0.044247935346
Long
DBT
NUSS
N/A
N
2
2026-07-23
Fixed
2.00000000
N
N
N
N
N
N
WESTERN UNION CO/THE
28ID94QU1140NC23S047
Western Union Co/The
959802AH2
10000.00000000
PA
USD
10384.46000000
0.003741041491
Long
DBT
CORP
US
N
2
2036-11-17
Fixed
6.20000000
N
N
N
N
N
ECOLAB INC
82DYEISM090VG8LTLS26
Ecolab Inc
278865BN9
100000.00000000
PA
USD
67192.75000000
0.024206445561
Long
DBT
CORP
US
N
2
2051-12-15
Fixed
2.70000000
N
N
N
N
N
N
REPUBLIC OF PERU
254900STKLK2DBJJZ530
Peruvian Government International Bond
715638DF6
70000.00000000
PA
USD
60625.48000000
0.021840561388
Long
DBT
NUSS
PE
N
2
2031-01-23
Fixed
2.78300000
N
N
N
N
N
N
INTL BK RECON & DEVELOP
ZTMSNXROF84AHWJNKQ93
International Bank for Reconstruction & Development
459058GE7
20000.00000000
PA
USD
19022.67000000
0.006852989731
Long
DBT
NUSS
N/A
N
2
2027-11-22
Fixed
2.50000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179WVT2
276608.98000000
PA
USD
236816.13000000
0.085313917928
Long
ABS-MBS
USGSE
US
N
2
2052-01-20
Fixed
2.00000000
N
N
N
N
N
N
AMGEN INC
62QBXGPJ34PQ72Z12S66
Amgen Inc
031162DD9
100000.00000000
PA
USD
92829.15000000
0.033442056858
Long
DBT
CORP
US
N
2
2029-02-22
Fixed
3.00000000
N
N
N
N
N
BAXTER INTERNATIONAL INC
J5OIVXX3P24RJRW5CK77
Baxter International Inc
071813CS6
100000.00000000
PA
USD
82353.94000000
0.029668322332
Long
DBT
CORP
US
N
2
2032-02-01
Fixed
2.53900000
N
N
N
N
N
N
ONE GAS INC
549300HXDWI0LATTX840
ONE Gas Inc
68235PAM0
100000.00000000
PA
USD
98157.08000000
0.035361464049
Long
DBT
CORP
US
N
2
2032-09-01
Fixed
4.25000000
N
N
N
N
N
N
KEURIG DR PEPPER INC
DYTQ8KRTKO7Y2BVU5K74
Keurig Dr Pepper Inc
49271VAR1
110000.00000000
PA
USD
98228.68000000
0.035387258223
Long
DBT
CORP
US
N
2
2052-04-15
Fixed
4.50000000
N
N
N
N
N
N
INTER-AMERICAN DEVEL BK
VKU1UKDS9E7LYLMACP54
Inter-American Development Bank
4581X0EH7
100000.00000000
PA
USD
101542.59000000
0.036581106994
Long
DBT
NUSS
N/A
N
2
2028-01-12
Fixed
4.00000000
N
N
N
N
N
N
ONCOR ELECTRIC DELIVERY
549300SP2X2BS1KERD24
Oncor Electric Delivery Co LLC
68233JBU7
100000.00000000
PA
USD
89977.05000000
0.032414576908
Long
DBT
CORP
US
N
2
2030-05-15
Fixed
2.75000000
N
N
N
N
N
N
PUBLIC SERVICE OKLAHOMA
F3TJNSIZRGXRH8GEIK79
Public Service Co of Oklahoma
744533BM1
20000.00000000
PA
USD
16550.42000000
0.005962352199
Long
DBT
CORP
US
N
2
2031-08-15
Fixed
2.20000000
N
N
N
N
N
N
ZIONS BANCORP NA
8WH0EE09O9V05QJZ3V89
Zions Bancorp NA
98971DAB6
20000.00000000
PA
USD
14764.97000000
0.005319136997
Long
DBT
CORP
US
N
2
2029-10-29
Fixed
3.25000000
N
N
N
N
N
N
MPLX LP
5493000CZJ19CK4P3G36
MPLX LP
55336VBT6
100000.00000000
PA
USD
86564.28000000
0.031185113444
Long
DBT
CORP
US
N
2
2052-03-14
Fixed
4.95000000
N
N
N
N
N
N
CANADIAN NATL RAILWAY
3SU7BEP7TH9YEQOZCS77
Canadian National Railway Co
136375CP5
30000.00000000
PA
USD
25067.53000000
0.009030673700
Long
DBT
CORP
CA
N
2
2048-02-03
Fixed
3.65000000
N
N
N
N
N
N
CarMax Auto Owner Trust
N/A
CarMax Auto Owner Trust
14317CAD4
100000.00000000
PA
USD
93191.08000000
0.033572443527
Long
ABS-O
CORP
US
N
2
2027-08-16
Fixed
1.70000000
N
N
N
N
N
N
AVNET INC
XJI53DCPL7QABOWK4Z75
Avnet Inc
053807AS2
20000.00000000
PA
USD
19692.54000000
0.007094312964
Long
DBT
CORP
US
N
2
2026-04-15
Fixed
4.62500000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179SB89
481573.28000000
PA
USD
458923.06000000
0.165328790215
Long
ABS-MBS
USGSE
US
N
2
2046-05-20
Fixed
3.50000000
N
N
N
N
N
N
LANDWIRTSCH. RENTENBANK
529900Z3J0N6S0F7CT25
Landwirtschaftliche Rentenbank
515110BV5
10000.00000000
PA
USD
9902.00000000
0.003567233428
Long
DBT
CORP
DE
N
2
2023-11-14
Fixed
3.12500000
N
N
N
N
N
N
NORFOLK SOUTHERN CORP
54930036C8MWP850MI84
Norfolk Southern Corp
655844BH0
32000.00000000
PA
USD
30295.62000000
0.010914113148
Long
DBT
CORP
US
N
2
2041-10-01
Fixed
4.83700000
N
N
N
N
N
N
REPUBLIC OF POLAND
259400R9L8QEP0TPXS31
Republic of Poland Government International Bond
857524AC6
70000.00000000
PA
USD
69460.16000000
0.025023288698
Long
DBT
NUSS
PL
N
2
2024-01-22
Fixed
4.00000000
N
N
N
N
N
N
PROVINCE OF ALBERTA
LQPXMHHNJKIPJYE53543
Province of Alberta Canada
013051EA1
160000.00000000
PA
USD
155951.97000000
0.056182294548
Long
DBT
NUSS
CA
N
2
2028-03-15
Fixed
3.30000000
N
N
N
N
N
N
FLEX LTD
549300EAQH74YHD07T53
Flex Ltd
33938XAA3
50000.00000000
PA
USD
48501.25000000
0.017472761090
Long
DBT
CORP
SG
N
2
2029-06-15
Fixed
4.87500000
N
N
N
N
N
N
Wells Fargo Commercial Mortgag
N/A
Wells Fargo Commercial Mortgage Trust 2019-C49
95001WBA5
300000.00000000
PA
USD
281456.55000000
0.101395800223
Long
ABS-MBS
CORP
US
N
2
2052-03-15
Fixed
3.76000000
N
N
N
N
N
N
BRUNSWICK CORP
YM4O38W15AX4YLLQKU27
Brunswick Corp/DE
117043AU3
100000.00000000
PA
USD
88445.08000000
0.031862678848
Long
DBT
CORP
US
N
2
2032-09-15
Fixed
4.40000000
N
N
N
N
N
MORGAN STANLEY
IGJSJL3JD5P30I6NJZ34
Morgan Stanley
6174468P7
110000.00000000
PA
USD
100613.29000000
0.036246323109
Long
DBT
CORP
US
N
2
2031-04-01
Fixed
3.62200000
N
N
N
N
N
N
PARKER-HANNIFIN CORP
5493002CONDB4N2HKI23
Parker-Hannifin Corp
70109HAM7
104000.00000000
PA
USD
98189.55000000
0.035373161490
Long
DBT
CORP
US
N
2
2034-11-21
Fixed
4.20000000
N
N
N
N
N
N
MOTOROLA SOLUTIONS INC
6S552MUG6KGJVEBSEC55
Motorola Solutions Inc
620076BU2
100000.00000000
PA
USD
83232.73000000
0.029984909795
Long
DBT
CORP
US
N
2
2031-05-24
Fixed
2.75000000
N
N
N
N
N
N
PRUDENTIAL FINANCIAL INC
5PRBRS5FEH7NREC8OR45
Prudential Financial Inc
744320AY8
113000.00000000
PA
USD
91640.46000000
0.033013826732
Long
DBT
CORP
US
N
2
2047-12-07
Fixed
3.90500000
N
N
N
N
N
N
SHERWIN-WILLIAMS CO
Z15BMIOX8DDH0X2OBP21
Sherwin-Williams Co/The
824348BJ4
131000.00000000
PA
USD
118486.82000000
0.042685330754
Long
DBT
CORP
US
N
2
2029-08-15
Fixed
2.95000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418ENL0
1059877.14000000
PA
USD
1079705.84000000
0.388968164545
Long
ABS-MBS
USGSE
US
N
2
2053-01-01
Fixed
6.00000000
N
N
N
N
N
N
NVIDIA CORP
549300S4KLFTLO7GSQ80
NVIDIA Corp
67066GAG9
62000.00000000
PA
USD
53391.76000000
0.019234586050
Long
DBT
CORP
US
N
2
2040-04-01
Fixed
3.50000000
N
N
N
N
N
N
EUROPEAN INVESTMENT BANK
5493006YXS1U5GIHE750
European Investment Bank
298785JP2
100000.00000000
PA
USD
90277.06000000
0.032522656660
Long
DBT
NUSS
N/A
N
2
2026-10-26
Fixed
0.75000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DWR9
932593.14000000
PA
USD
778301.16000000
0.280385974080
Long
ABS-MBS
USGSE
US
N
2
2051-02-01
Fixed
2.00000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179WVU9
183025.18000000
PA
USD
161725.94000000
0.058262389357
Long
ABS-MBS
USGSE
US
N
2
2052-01-20
Fixed
2.50000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810SP4
700000.00000000
PA
USD
421121.09000000
0.151710485727
Long
DBT
UST
US
N
2
2050-08-15
Fixed
1.37500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810SQ2
200000.00000000
PA
USD
132921.88000000
0.047885616411
Long
DBT
UST
US
N
2
2040-08-15
Fixed
1.12500000
N
N
N
N
N
N
EUROPEAN INVESTMENT BANK
5493006YXS1U5GIHE750
European Investment Bank
298785HX7
100000.00000000
PA
USD
97425.91000000
0.035098057255
Long
DBT
NUSS
N/A
N
2
2024-06-24
Fixed
2.25000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DZZ8
321651.68000000
PA
USD
282937.19000000
0.101929206454
Long
ABS-MBS
USGSE
US
N
2
2036-06-01
Fixed
1.50000000
N
N
N
N
N
N
WISCONSIN ELECTRIC POWER
AENKIFMULUAWOUU8Q584
Wisconsin Electric Power Co
976656CM8
20000.00000000
PA
USD
17611.97000000
0.006344779653
Long
DBT
CORP
US
N
2
2028-06-15
Fixed
1.70000000
N
N
N
N
N
N
PUBLIC SERVICE COLORADO
5BANEF6PGSEK0SNMQF44
Public Service Co of Colorado
744448CA7
18000.00000000
PA
USD
20845.72000000
0.007509750477
Long
DBT
CORP
US
N
2
2038-08-01
Fixed
6.50000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DZX3
645080.13000000
PA
USD
581263.75000000
0.209402492399
Long
ABS-MBS
USGSE
US
N
2
2051-06-01
Fixed
3.00000000
N
N
N
N
N
N
FANNIE MAE
B1V7KEBTPIMZEU4LTD58
Federal National Mortgage Association
3135G04Z3
200000.00000000
PA
USD
185505.63000000
0.066829113764
Long
DBT
USGSE
US
N
2
2025-06-17
Fixed
0.50000000
N
N
N
N
N
N
COCA-COLA CO/THE
UWJKFUJFZ02DKWI3RY53
Coca-Cola Co/The
191216CV0
160000.00000000
PA
USD
135825.40000000
0.048931620613
Long
DBT
CORP
US
N
2
2030-06-01
Fixed
1.65000000
N
N
N
N
N
N
AIR LEASE CORP
5493004NW4M4P8TMMK63
Air Lease Corp
00914AAJ1
190000.00000000
PA
USD
177516.42000000
0.063950970260
Long
DBT
CORP
US
N
2
2026-01-15
Fixed
2.87500000
N
N
N
N
N
N
INTL BK RECON & DEVELOP
ZTMSNXROF84AHWJNKQ93
International Bank for Reconstruction & Development
45906M3D1
112000.00000000
PA
USD
102588.25000000
0.036957810014
Long
DBT
NUSS
N/A
N
2
2032-03-29
Fixed
2.50000000
N
N
N
N
N
GLAXOSMITHKLINE CAPITAL
549300U0LV41VX7LEP38
GlaxoSmithKline Capital PLC
377373AH8
230000.00000000
PA
USD
219667.06000000
0.079135899773
Long
DBT
CORP
GB
N
2
2029-06-01
Fixed
3.37500000
N
N
N
N
N
N
TELEFONICA EMISIONES SAU
549300Y5MFC4SW5Z3K71
Telefonica Emisiones SA
87938WAV5
10000.00000000
PA
USD
8716.46000000
0.003140138102
Long
DBT
CORP
ES
N
2
2038-03-06
Fixed
4.66500000
N
N
N
N
N
N
TRUIST FINANCIAL CORP
549300DRQQI75D2JP341
Truist Financial Corp
05531FBE2
200000.00000000
PA
USD
192657.87000000
0.069405735620
Long
DBT
CORP
US
N
2
2025-06-05
Fixed
3.70000000
N
N
N
N
N
N
EUROPEAN BK RECON & DEV
549300HTGDOVDU6OGK19
European Bank for Reconstruction & Development
29874QEX8
100000.00000000
PA
USD
103258.39000000
0.037199230516
Long
DBT
NUSS
N/A
N
2
2028-03-09
Fixed
4.37500000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EF21
938564.08000000
PA
USD
917630.56000000
0.330579924115
Long
ABS-MBS
USGSE
US
N
2
2052-06-01
Fixed
4.50000000
N
N
N
N
N
N
DUKE ENERGY FLORIDA LLC
7MOHLM3DKE63RX2ZCN83
Duke Energy Florida LLC
341099CH0
47000.00000000
PA
USD
52933.88000000
0.019069633026
Long
DBT
CORP
US
N
2
2037-09-15
Fixed
6.35000000
N
N
N
N
N
N
SOUTHWEST GAS CORP
OQQR1IQTGBKH0UR88X59
Southwest Gas Corp
845011AA3
10000.00000000
PA
USD
9497.32000000
0.003421445908
Long
DBT
CORP
US
N
2
2028-04-01
Fixed
3.70000000
N
N
N
N
N
N
CANADIAN NATL RAILWAY
3SU7BEP7TH9YEQOZCS77
Canadian National Railway Co
136375CV2
10000.00000000
PA
USD
9458.93000000
0.003407615763
Long
DBT
CORP
CA
N
2
2049-01-20
Fixed
4.45000000
N
N
N
N
N
N
REPUBLIC OF PANAMA
549300SHS4T08CL0LP14
Panama Government International Bond
698299BE3
20000.00000000
PA
USD
19559.59000000
0.007046417218
Long
DBT
NUSS
PA
N
2
2025-03-16
Fixed
3.75000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EB90
3148783.00000000
PA
USD
2727552.63000000
0.982611282525
Long
ABS-MBS
USGSE
US
N
2
2052-03-01
Fixed
2.50000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CFZ9
1600000.00000000
PA
USD
1623124.99000000
0.584736994835
Long
DBT
UST
US
N
2
2027-11-30
Fixed
3.87500000
N
N
N
N
N
N
SIMON PROPERTY GROUP LP
MR92GTD0MJTTTTQDVG45
Simon Property Group LP
828807DU8
200000.00000000
PA
USD
203575.53000000
0.073338864454
Long
DBT
CORP
US
N
2
2033-03-08
Fixed
5.50000000
N
N
N
N
N
N
BROOKFIELD FIN I UK PLC
213800JCKNPJE9FDCJ76
Brookfield Finance I UK Plc / Brookfield Finance Inc
11272BAA1
110000.00000000
PA
USD
89665.47000000
0.032302329020
Long
DBT
CORP
GB
N
2
2032-01-30
Fixed
2.34000000
N
N
N
N
N
N
United States Treasury Note/Bond - When Issued
254900HROIFWPRGM1V77
United States Treasury Note/Bond - When Issued
912810TL2
949000.00000000
PA
USD
1007571.09000000
0.362981344554
Long
DBT
UST
US
N
2
2052-11-15
Fixed
4.00000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DZ62
87009.12000000
PA
USD
74169.50000000
0.026719846472
Long
ABS-MBS
USGSE
US
N
2
2041-06-01
Fixed
2.00000000
N
N
N
N
N
N
Bank
N/A
Bank 2019-BNK19
06540WBC6
200000.00000000
PA
USD
176273.78000000
0.063503304440
Long
ABS-MBS
CORP
US
N
2
2061-08-15
Fixed
2.92600000
N
N
N
N
N
N
FEDERAL HOME LOAN BANK
2549001DPIFGXC1TOL40
Federal Home Loan Banks
3130AFFX0
150000.00000000
PA
USD
147576.30000000
0.053164927348
Long
DBT
USGSE
US
N
2
2028-11-16
Fixed
3.25000000
N
N
N
N
N
N
CITIGROUP INC
6SHGI4ZSSLCXXQSBB395
Citigroup Inc
172967MY4
100000.00000000
PA
USD
83015.81000000
0.029906763534
Long
DBT
CORP
US
N
2
2032-05-01
Fixed
2.56100000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CGM7
2100000.00000000
PA
USD
2112468.75000000
0.761024958749
Long
DBT
UST
US
N
2
2033-02-15
Fixed
3.50000000
N
N
N
N
N
N
CSX CORP
549300JVQR4N1MMP3Q88
CSX Corp
126408GY3
100000.00000000
PA
USD
88114.71000000
0.031743661790
Long
DBT
CORP
US
N
2
2044-03-15
Fixed
4.10000000
N
N
N
N
N
N
COCA-COLA CO/THE
UWJKFUJFZ02DKWI3RY53
Coca-Cola Co/The
191216DD9
50000.00000000
PA
USD
43671.12000000
0.015732688257
Long
DBT
CORP
US
N
2
2028-03-15
Fixed
1.00000000
N
N
N
N
N
N
TARGET CORP
8WDDFXB5T1Z6J0XC1L66
Target Corp
87612EBJ4
150000.00000000
PA
USD
133194.05000000
0.047983666696
Long
DBT
CORP
US
N
2
2030-02-15
Fixed
2.35000000
N
N
N
N
N
N
KOREA DEVELOPMENT BANK
549300ML2LNRZUCS7149
Korea Development Bank/The
500630DN5
40000.00000000
PA
USD
35759.60000000
0.012882532872
Long
DBT
NUSS
KR
N
2
2027-04-25
Fixed
1.37500000
N
N
N
N
N
N
PROVINCE OF QUEBEC
549300WN65YFEQH74Y36
Province of Quebec Canada
748149AJ0
295000.00000000
PA
USD
282874.74000000
0.101906708603
Long
DBT
NUSS
CA
N
2
2026-04-20
Fixed
2.50000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418C6L3
174148.92000000
PA
USD
163738.73000000
0.058987504664
Long
ABS-MBS
USGSE
US
N
2
2049-01-01
Fixed
3.50000000
N
N
N
N
N
N
BELL CANADA
549300JYAVAQRV5MNZ86
Bell Telephone Co of Canada or Bell Canada/The
0778FPAF6
80000.00000000
PA
USD
62830.53000000
0.022634939097
Long
DBT
CORP
CA
N
2
2051-03-17
Fixed
3.65000000
N
N
N
N
N
N
INTEL CORP
KNX4USFCNGPY45LOCE31
Intel Corp
458140BL3
110000.00000000
PA
USD
103473.26000000
0.037276638257
Long
DBT
CORP
US
N
2
2040-03-25
Fixed
4.60000000
N
N
N
N
N
N
TAKEDA PHARMACEUTICAL
549300ZLMVP4X0OGR454
Takeda Pharmaceutical Co Ltd
874060BD7
50000.00000000
PA
USD
35284.58000000
0.012711405098
Long
DBT
CORP
JP
N
2
2060-07-09
Fixed
3.37500000
N
N
N
N
N
N
VF CORP
CWAJJ9DJ5Z7P057HV541
VF Corp
918204BB3
40000.00000000
PA
USD
37084.69000000
0.013359901621
Long
DBT
CORP
US
N
2
2027-04-23
Fixed
2.80000000
N
N
N
N
N
N
PPL ELECTRIC UTILITIES
549300GCZLSGYEYPIR35
PPL Electric Utilities Corp
69351UAT0
60000.00000000
PA
USD
52804.51000000
0.019023026988
Long
DBT
CORP
US
N
2
2045-10-01
Fixed
4.15000000
N
N
N
N
N
N
AMERICAN TOWER CORP
5493006ORUSIL88JOE18
American Tower Corp
03027XAG5
10000.00000000
PA
USD
9821.38000000
0.003538189764
Long
DBT
CORP
US
N
2
2025-06-01
Fixed
4.00000000
N
N
N
N
N
N
VERIZON COMMUNICATIONS
2S72QS2UO2OESLG6Y829
Verizon Communications Inc
92343VDV3
10000.00000000
PA
USD
10197.60000000
0.003673724460
Long
DBT
CORP
US
N
2
2047-03-16
Fixed
5.50000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179T7K5
70207.81000000
PA
USD
68320.83000000
0.024612840702
Long
ABS-MBS
USGSE
US
N
2
2048-08-20
Fixed
4.00000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EHQ6
1032915.20000000
PA
USD
1041682.94000000
0.375270269178
Long
ABS-MBS
USGSE
US
N
2
2052-08-01
Fixed
5.50000000
N
N
N
N
N
N
FORTIVE CORPORATION
549300MU9YQJYHDQEF63
Fortive Corp
34959JAG3
30000.00000000
PA
USD
28685.48000000
0.010334054046
Long
DBT
CORP
US
N
2
2026-06-15
Fixed
3.15000000
N
N
N
N
N
N
BERKSHIRE HATHAWAY ENERG
549300JD0S5IZJE9LY15
Berkshire Hathaway Energy Co
084659BF7
100000.00000000
PA
USD
93172.71000000
0.033565825664
Long
DBT
CORP
US
N
2
2053-05-01
Fixed
4.60000000
N
N
N
N
N
N
TRAVELERS COS INC
549300Y650407RU8B149
Travelers Cos Inc/The
89417EAJ8
92000.00000000
PA
USD
86413.79000000
0.031130898845
Long
DBT
CORP
US
N
2
2043-08-01
Fixed
4.60000000
N
N
N
N
N
N
PROV OF NEW BRUNSWICK
549300POZA55ZTGSOU44
Province of New Brunswick Canada
642869AM3
70000.00000000
PA
USD
69102.24000000
0.024894346647
Long
DBT
NUSS
CA
N
2
2028-02-24
Fixed
3.62500000
N
N
N
N
N
N
BENCHMARK Mortgage Trust
N/A
Benchmark 2021-B24 Mortgage Trust
08163CBB4
200000.00000000
PA
USD
166321.88000000
0.059918094346
Long
ABS-MBS
CORP
US
N
2
2054-03-15
Fixed
2.26380000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EGK0
571496.43000000
PA
USD
558720.03000000
0.201281030918
Long
ABS-MBS
USGSE
US
N
2
2052-07-01
Fixed
4.50000000
N
N
N
N
N
N
Fanniemae-Aces
B1V7KEBTPIMZEU4LTD58
Fannie Mae-Aces
3136B1K86
183804.74000000
PA
USD
174348.32000000
0.062809650100
Long
ABS-MBS
USGSE
US
N
2
2028-03-25
Variable
3.12993600
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418D3L4
163941.85000000
PA
USD
144209.55000000
0.051952042765
Long
ABS-MBS
USGSE
US
N
2
2036-08-01
Fixed
1.50000000
N
N
N
N
N
N
HOME DEPOT INC
QEKMOTMBBKA8I816DO57
Home Depot Inc/The
437076AU6
299000.00000000
PA
USD
315872.95000000
0.113794440151
Long
DBT
CORP
US
N
2
2040-09-15
Fixed
5.40000000
N
N
N
N
N
N
DEERE & COMPANY
PWFTNG3EI0Y73OXWDH08
Deere & Co
244199BF1
100000.00000000
PA
USD
92308.15000000
0.033254364612
Long
DBT
CORP
US
N
2
2042-06-09
Fixed
3.90000000
N
N
N
N
N
N
DUPONT DE NEMOURS INC
5493004JF0SDFLM8GD76
DuPont de Nemours Inc
26078JAE0
120000.00000000
PA
USD
121315.05000000
0.043704211445
Long
DBT
CORP
US
N
2
2038-11-15
Fixed
5.31900000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EL57
662389.54000000
PA
USD
675423.70000000
0.243323975055
Long
ABS-MBS
USGSE
US
N
2
2052-11-01
Fixed
6.00000000
N
N
N
N
N
N
BANK OF NOVA SCOTIA
L3I9ZG2KFGXZ61BMYR72
Bank of Nova Scotia/The
0641594A1
100000.00000000
PA
USD
89911.72000000
0.032391041526
Long
DBT
CORP
CA
N
2
2026-06-24
Fixed
1.35000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CCW9
1450000.00000000
PA
USD
1317744.14000000
0.474722373898
Long
DBT
UST
US
N
2
2026-08-31
Fixed
0.75000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DW65
758324.20000000
PA
USD
646376.06000000
0.232859451482
Long
ABS-MBS
USGSE
US
N
2
2041-02-01
Fixed
2.00000000
N
N
N
N
N
N
Discover Card Execution Note T
549300CKCX1QE4RUW216
Discover Card Execution Note Trust
254683CP8
100000.00000000
PA
USD
94110.83000000
0.033903786987
Long
ABS-O
CORP
US
N
2
2026-09-15
Fixed
0.58000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179UV74
433114.74000000
PA
USD
398959.09000000
0.143726540338
Long
ABS-MBS
USGSE
US
N
2
2049-07-20
Fixed
3.00000000
N
N
N
N
N
N
MOODY'S CORPORATION
549300GCEDD8YCF5WU84
Moody's Corp
615369AW5
20000.00000000
PA
USD
16392.77000000
0.005905558183
Long
DBT
CORP
US
N
2
2031-08-19
Fixed
2.00000000
N
N
N
N
N
TELEFONICA EMISIONES SAU
549300Y5MFC4SW5Z3K71
Telefonica Emisiones SA
87938WAT0
20000.00000000
PA
USD
19370.13000000
0.006978163527
Long
DBT
CORP
ES
N
2
2027-03-08
Fixed
4.10300000
N
N
N
N
N
N
HALLIBURTON CO
ENYF8GB5SMQZ25S06U51
Halliburton Co
406216BJ9
162000.00000000
PA
USD
158281.78000000
0.057021617524
Long
DBT
CORP
US
N
2
2035-11-15
Fixed
4.85000000
N
N
N
N
N
N
PROVINCE OF QUEBEC
549300WN65YFEQH74Y36
Province of Quebec Canada
748149AH4
89000.00000000
PA
USD
86929.16000000
0.031316562861
Long
DBT
NUSS
CA
N
2
2024-10-16
Fixed
2.87500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CCZ2
2600000.00000000
PA
USD
2369757.81000000
0.853714328129
Long
DBT
UST
US
N
2
2026-09-30
Fixed
0.87500000
N
N
N
N
N
N
BANK OF MONTREAL
NQQ6HPCNCCU6TUTQYE16
Bank of Montreal
06368BGS1
38000.00000000
PA
USD
34373.28000000
0.012383105782
Long
DBT
CORP
CA
N
2
2032-12-15
Fixed
3.80300000
N
N
N
N
N
N
REPUBLIC OF POLAND
259400R9L8QEP0TPXS31
Republic of Poland Government International Bond
731011AV4
110000.00000000
PA
USD
111638.12000000
0.040218060346
Long
DBT
NUSS
PL
N
2
2033-10-04
Fixed
4.87500000
N
N
N
N
N
N
REPUBLIC OF KOREA
549300O0QCVSQGPGDT58
Korea International Bond
50064FAM6
80000.00000000
PA
USD
76416.80000000
0.027529444905
Long
DBT
NUSS
KR
N
2
2027-01-19
Fixed
2.75000000
N
N
N
N
N
N
NOVARTIS CAPITAL CORP
5493002KF87V5RSRQS84
Novartis Capital Corp
66989HAR9
150000.00000000
PA
USD
132639.64000000
0.047783938370
Long
DBT
CORP
US
N
2
2030-08-14
Fixed
2.20000000
N
N
N
N
N
N
HP ENTERPRISE CO
549300BX44RGX6ANDV88
Hewlett Packard Enterprise Co
42824CBM0
100000.00000000
PA
USD
100868.20000000
0.036338155413
Long
DBT
CORP
US
N
2
2026-04-01
Fixed
6.10200000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810SW9
1300000.00000000
PA
USD
976574.22000000
0.351814603407
Long
DBT
UST
US
N
2
2041-02-15
Fixed
1.87500000
N
N
N
N
N
N
CIGNA GROUP/THE
549300VIWYMSIGT1U456
Cigna Group/The
125523AZ3
300000.00000000
PA
USD
282567.32000000
0.101795959370
Long
DBT
CORP
US
N
2
2027-10-15
Fixed
3.05000000
N
N
N
N
N
N
REPUBLIC OF PANAMA
549300SHS4T08CL0LP14
Panama Government International Bond
698299BH6
80000.00000000
PA
USD
62399.67000000
0.022479720132
Long
DBT
NUSS
PA
N
2
2050-04-16
Fixed
4.50000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418ESA9
300000.00000000
PA
USD
309611.87000000
0.111538862099
Long
ABS-MBS
USGSE
US
N
2
2053-05-01
Fixed
6.50000000
N
N
N
N
N
N
BORGWARNER INC
549300DSFX2IE88NSX47
BorgWarner Inc
099724AL0
62000.00000000
PA
USD
57493.49000000
0.020712249994
Long
DBT
CORP
US
N
2
2027-07-01
Fixed
2.65000000
N
N
N
N
N
BLACKROCK INC
549300LRIF3NWCU26A80
BlackRock Inc
09247XAQ4
10000.00000000
PA
USD
8865.32000000
0.003193765487
Long
DBT
CORP
US
N
2
2030-04-30
Fixed
2.40000000
N
N
N
N
N
N
FIFTH THIRD BANCORP
THRNG6BD57P9QWTQLG42
Fifth Third Bancorp
316773DD9
132000.00000000
PA
USD
114514.15000000
0.041254161170
Long
DBT
CORP
US
N
2
2027-11-01
Fixed
1.70700000
N
N
N
N
N
N
ENTERPRISE PRODUCTS OPER
5493004LGN656HWLDA30
Enterprise Products Operating LLC
29379VAM5
40000.00000000
PA
USD
46919.31000000
0.016902861146
Long
DBT
CORP
US
N
2
2038-04-15
Fixed
7.55000000
N
N
N
N
N
N
JOHNSON CONTROLS/TYCO FI
N/A
Johnson Controls International plc / Tyco Fire & Security Finance SCA
47837RAA8
10000.00000000
PA
USD
8297.10000000
0.002989062056
Long
DBT
CORP
IE
N
2
2030-09-15
Fixed
1.75000000
N
N
N
N
N
N
BANK OF AMERICA CORP
9DJT3UXIJIZJI4WXO774
Bank of America Corp
06051GJZ3
250000.00000000
PA
USD
216038.31000000
0.077828628686
Long
DBT
CORP
US
N
2
2029-06-14
Fixed
2.08700000
N
N
N
N
N
N
AUTONATION INC
N/A
AutoNation Inc
05329WAR3
70000.00000000
PA
USD
58264.16000000
0.020989886813
Long
DBT
CORP
US
N
2
2028-08-01
Fixed
1.95000000
N
N
N
N
N
N
VERIZON COMMUNICATIONS
2S72QS2UO2OESLG6Y829
Verizon Communications Inc
92343VGP3
200000.00000000
PA
USD
160491.18000000
0.057817562337
Long
DBT
CORP
US
N
2
2052-03-01
Fixed
3.87500000
N
N
N
N
N
N
WELLTOWER OP LLC
T6IZ0MBEG5ACZDTR7D06
Welltower OP LLC
95040QAH7
108000.00000000
PA
USD
101202.27000000
0.036458505410
Long
DBT
CORP
US
N
2
2029-03-15
Fixed
4.12500000
N
N
N
N
N
N
CarMax Auto Owner Trust
N/A
Carmax Auto Owner Trust 2020-1
14315XAC2
16913.97000000
PA
USD
16785.61000000
0.006047080297
Long
ABS-O
CORP
US
N
2
2024-12-16
Fixed
1.89000000
N
N
N
N
N
N
HSBC HOLDINGS PLC
MLU0ZO3ML4LN2LL2TL39
HSBC Holdings PLC
404280CL1
200000.00000000
PA
USD
174070.82000000
0.062709679662
Long
DBT
CORP
GB
N
2
2028-09-22
Fixed
2.01300000
N
N
N
N
N
N
S&P GLOBAL INC
Y6X4K52KMJMZE7I7MY94
S&P Global Inc
78409VBK9
100000.00000000
PA
USD
88800.23000000
0.031990622996
Long
DBT
CORP
US
N
2
2032-03-01
Fixed
2.90000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179W5F1
481047.95000000
PA
USD
472205.15000000
0.170113714013
Long
ABS-MBS
USGSE
US
N
2
2052-05-20
Fixed
4.50000000
N
N
N
N
N
N
PROGRESSIVE CORP
529900TACNVLY9DCR586
Progressive Corp/The
743315AW3
34000.00000000
PA
USD
31362.04000000
0.011298295038
Long
DBT
CORP
US
N
2
2030-03-26
Fixed
3.20000000
N
N
N
N
N
N
HCA INC
L3CJ6J7LJ2DX62FTXD46
HCA Inc
404119CD9
210000.00000000
PA
USD
197190.10000000
0.071038488838
Long
DBT
CORP
US
Y
2
2027-03-15
Fixed
3.12500000
N
N
N
N
N
N
APPLIED MATERIALS INC
41BNNE1AFPNAZELZ6K07
Applied Materials Inc
038222AJ4
10000.00000000
PA
USD
9894.98000000
0.003564704446
Long
DBT
CORP
US
N
2
2025-10-01
Fixed
3.90000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179WZB7
850853.80000000
PA
USD
798543.10000000
0.287678210499
Long
ABS-MBS
USGSE
US
N
2
2052-03-20
Fixed
3.50000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DX80
154906.11000000
PA
USD
136283.33000000
0.049096591649
Long
ABS-MBS
USGSE
US
N
2
2036-04-01
Fixed
1.50000000
N
N
N
N
N
N
KONINKLIJKE KPN NV
549300YO0JZHAL7FVP81
Koninklijke KPN NV
780641AH9
10000.00000000
PA
USD
11878.96000000
0.004279440840
Long
DBT
CORP
NL
N
2
2030-10-01
Fixed
8.37500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CEF4
500000.00000000
PA
USD
479804.69000000
0.172851477407
Long
DBT
UST
US
N
2
2027-03-31
Fixed
2.50000000
N
N
N
N
N
N
WARNERMEDIA HOLDINGS INC
549300DXR29GD4N0A520
Warnermedia Holdings Inc
55903VAU7
150000.00000000
PA
USD
145337.15000000
0.052358264984
Long
DBT
CORP
US
Y
2
2025-03-15
Fixed
3.78800000
N
N
N
N
N
N
BANK OF AMERICA CORP
9DJT3UXIJIZJI4WXO774
Bank of America Corp
06051GJS9
200000.00000000
PA
USD
179179.85000000
0.064550227289
Long
DBT
CORP
US
N
2
2027-07-22
Fixed
1.73400000
N
N
N
N
N
N
WASTE MANAGEMENT INC
549300YX8JIID70NFS41
Waste Management Inc
94106LBP3
10000.00000000
PA
USD
8110.55000000
0.002921856704
Long
DBT
CORP
US
N
2
2031-03-15
Fixed
1.50000000
N
N
N
N
N
N
VERIZON COMMUNICATIONS
2S72QS2UO2OESLG6Y829
Verizon Communications Inc
92343VEU4
39000.00000000
PA
USD
37449.67000000
0.013491387064
Long
DBT
CORP
US
N
2
2029-12-03
Fixed
4.01600000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810TQ1
1550000.00000000
PA
USD
1566468.75000000
0.564326367360
Long
DBT
UST
US
N
2
2043-02-15
Fixed
3.87500000
N
N
N
N
N
N
SOUTHERN CALIF GAS CO
XY0N0J73VHV5F4CUJV89
Southern California Gas Co
842434CW0
100000.00000000
PA
USD
94619.03000000
0.034086867984
Long
DBT
CORP
US
N
2
2027-04-15
Fixed
2.95000000
N
N
N
N
N
N
ELECTRONIC ARTS INC
549300O7A67PUEYKDL45
Electronic Arts Inc
285512AE9
52000.00000000
PA
USD
43064.36000000
0.015514100642
Long
DBT
CORP
US
N
2
2031-02-15
Fixed
1.85000000
N
N
N
N
N
N
REPUBLIC OF PANAMA
549300SHS4T08CL0LP14
Panama Government International Bond
698299BK9
30000.00000000
PA
USD
26479.36000000
0.009539290866
Long
DBT
NUSS
PA
N
2
2030-01-23
Fixed
3.16000000
N
N
N
N
N
N
TORONTO-DOMINION BANK
PT3QB789TSUIDF371261
Toronto-Dominion Bank/The
891160MJ9
30000.00000000
PA
USD
28352.43000000
0.010214071508
Long
DBT
CORP
CA
N
2
2031-09-15
Fixed
3.62500000
N
N
N
N
N
N
GM Financial Securitized Term
N/A
GM Financial Consumer Automobile Receivables Trust 2022-1
380146AC4
50000.00000000
PA
USD
47670.26000000
0.017173393760
Long
ABS-O
CORP
US
N
2
2026-11-16
Fixed
1.26000000
N
N
N
N
N
N
BRITISH TELECOMMUNICATIO
549300OWFMSO9NYV4H90
British Telecommunications PLC
111021AE1
70000.00000000
PA
USD
88118.68000000
0.031745091998
Long
DBT
CORP
GB
N
2
2030-12-15
Fixed
9.62500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CFV8
1650000.00000000
PA
USD
1741523.44000000
0.627390489959
Long
DBT
UST
US
N
2
2032-11-15
Fixed
4.12500000
N
N
N
N
N
N
REPUBLIC OF PERU
254900STKLK2DBJJZ530
Peruvian Government International Bond
715638BU5
10000.00000000
PA
USD
9819.82000000
0.003537627768
Long
DBT
NUSS
PE
N
2
2027-08-25
Fixed
4.12500000
N
N
N
N
N
N
NATIONAL RURAL UTIL COOP
4NYF266XZC35SCTGX023
National Rural Utilities Cooperative Finance Corp
637432NY7
100000.00000000
PA
USD
85870.58000000
0.030935205362
Long
DBT
CORP
US
N
2
2032-04-15
Fixed
2.75000000
N
N
N
N
N
N
COSTCO WHOLESALE CORP
29DX7H14B9S6O3FD6V18
Costco Wholesale Corp
22160KAN5
100000.00000000
PA
USD
90288.35000000
0.032526723926
Long
DBT
CORP
US
N
2
2027-06-20
Fixed
1.37500000
N
N
N
N
N
N
THOMSON REUTERS CORP
549300561UZND4C7B569
Thomson Reuters Corp
884903BV6
40000.00000000
PA
USD
38686.75000000
0.013937049872
Long
DBT
CORP
CA
N
2
2026-05-15
Fixed
3.35000000
N
N
N
N
N
N
JPMORGAN CHASE & CO
8I5DZWZKVSZI1NUHU748
JPMorgan Chase & Co
46647PCZ7
100000.00000000
PA
USD
98266.28000000
0.035400803767
Long
DBT
CORP
US
N
2
2026-04-26
Fixed
4.08000000
N
N
N
N
N
N
CUMMINS INC
ZUNI8PYC725B6H8JU438
Cummins Inc
231021AT3
9000.00000000
PA
USD
7450.94000000
0.002684229674
Long
DBT
CORP
US
N
2
2030-09-01
Fixed
1.50000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DWQ1
856463.41000000
PA
USD
675604.40000000
0.243389072922
Long
ABS-MBS
USGSE
US
N
2
2051-02-01
Fixed
1.50000000
N
N
N
N
N
N
CORPORATE OFFICE PROP LP
H0TWO5VRNEP6CQAWPX27
Corporate Office Properties LP
22003BAN6
100000.00000000
PA
USD
77261.48000000
0.027833744110
Long
DBT
CORP
US
N
2
2029-01-15
Fixed
2.00000000
N
N
N
N
N
N
HOME DEPOT INC
QEKMOTMBBKA8I816DO57
Home Depot Inc/The
437076BF8
22000.00000000
PA
USD
20457.48000000
0.007369885529
Long
DBT
CORP
US
N
2
2045-03-15
Fixed
4.40000000
N
N
N
N
N
N
VENTAS REALTY LP
32SXKSJ72K64GM3HOU64
Ventas Realty LP
92277GAV9
54000.00000000
PA
USD
52036.47000000
0.018746337637
Long
DBT
CORP
US
N
2
2030-11-15
Fixed
4.75000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418D4Z2
344460.52000000
PA
USD
310054.42000000
0.111698292431
Long
ABS-MBS
USGSE
US
N
2
2051-10-01
Fixed
3.00000000
N
N
N
N
N
N
AMERICAN TOWER CORP
5493006ORUSIL88JOE18
American Tower Corp
03027XBJ8
100000.00000000
PA
USD
86027.57000000
0.030991761610
Long
DBT
CORP
US
N
2
2028-01-31
Fixed
1.50000000
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DHE5
57158.50000000
PA
USD
54526.71000000
0.019643456135
Long
ABS-MBS
USGSE
US
N
2
2034-11-01
Fixed
3.00000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912828YE4
262000.00000000
PA
USD
250987.81000000
0.090419319931
Long
DBT
UST
US
N
2
2024-08-31
Fixed
1.25000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
9128283W8
2344000.00000000
PA
USD
2263791.25000000
0.815539468997
Long
DBT
UST
US
N
2
2028-02-15
Fixed
2.75000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
9128282R0
2186000.00000000
PA
USD
2072601.25000000
0.746662539166
Long
DBT
UST
US
N
2
2027-08-15
Fixed
2.25000000
N
N
N
N
N
N
HP INC
WHKXQACZ14C5XRO8LW03
HP Inc
40434LAL9
100000.00000000
PA
USD
89609.04000000
0.032281999896
Long
DBT
CORP
US
N
2
2032-04-15
Fixed
4.20000000
N
N
N
N
N
N
ASTRAZENECA PLC
PY6ZZQWO2IZFZC3IOL08
AstraZeneca PLC
046353AW8
49000.00000000
PA
USD
40271.53000000
0.014507972937
Long
DBT
CORP
GB
N
2
2030-08-06
Fixed
1.37500000
N
N
N
N
N
N
TUCSON ELECTRIC POWER CO
YLF139GXSRKPBBTNZL03
Tucson Electric Power Co
898813AU4
100000.00000000
PA
USD
88967.12000000
0.032050745758
Long
DBT
CORP
US
N
2
2032-05-15
Fixed
3.25000000
N
N
N
N
N
N
TRANE TECHNOLOGIES LUX
549300GHBOWCVY92IS29
Trane Technologies Luxembourg Finance SA
456873AD0
10000.00000000
PA
USD
9573.64000000
0.003448940480
Long
DBT
CORP
LU
N
2
2029-03-21
Fixed
3.80000000
N
N
N
N
N
N
CAMPBELL SOUP CO
5493007JDSMX8Z5Z1902
Campbell Soup Co
134429BA6
10000.00000000
PA
USD
9721.06000000
0.003502049100
Long
DBT
CORP
US
N
2
2025-03-19
Fixed
3.30000000
N
N
N
N
N
N
ENTERPRISE PRODUCTS OPER
5493004LGN656HWLDA30
Enterprise Products Operating LLC
29379VAG8
200000.00000000
PA
USD
217287.50000000
0.078278654169
Long
DBT
CORP
US
N
2
2039-10-15
Fixed
6.12500000
N
N
N
N
N
N
WALT DISNEY COMPANY/THE
549300GZKULIZ0WOW665
Walt Disney Co/The
254687FN1
100000.00000000
PA
USD
98329.51000000
0.035423582617
Long
DBT
CORP
US
N
2
2025-03-24
Fixed
3.35000000
N
N
N
N
N
N
Morgan Stanley Capital I Trust
N/A
Morgan Stanley Capital I Trust 2021-L5
61691YAB7
100000.00000000
PA
USD
88150.10000000
0.031756411173
Long
ABS-MBS
CORP
US
N
2
2054-05-15
Fixed
1.51800000
N
N
N
N
N
N
EQUITABLE HOLDINGS INC
549300FIBAKMNHPZ4009
Equitable Holdings Inc
054561AM7
42000.00000000
PA
USD
36350.89000000
0.013095547360
Long
DBT
CORP
US
N
2
2048-04-20
Fixed
5.00000000
N
N
N
N
N
N
MORGAN STANLEY
IGJSJL3JD5P30I6NJZ34
Morgan Stanley
6174467Y9
40000.00000000
PA
USD
39124.31000000
0.014094682538
Long
DBT
CORP
US
N
2
2026-09-08
Fixed
4.35000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DQ47
604751.44000000
PA
USD
547218.39000000
0.197137521052
Long
ABS-MBS
USGSE
US
N
2
2035-07-01
Fixed
2.00000000
N
N
N
N
N
N
SUMITOMO MITSUI FINL GRP
35380028MYWPB6AUO129
Sumitomo Mitsui Financial Group Inc
86562MAR1
330000.00000000
PA
USD
313881.68000000
0.113077077506
Long
DBT
CORP
JP
N
2
2027-07-12
Fixed
3.36400000
N
N
N
N
N
N
REPUBLIC OF PERU
254900STKLK2DBJJZ530
Peruvian Government International Bond
715638DA7
180000.00000000
PA
USD
159584.33000000
0.057490866151
Long
DBT
NUSS
PE
N
2
2030-06-20
Fixed
2.84400000
N
N
N
N
N
N
PARAMOUNT GLOBAL
5KYC8KF17ROCY24M3H09
Paramount Global
92556HAD9
300000.00000000
PA
USD
258171.31000000
0.093007203322
Long
DBT
CORP
US
N
2
2032-05-19
Fixed
4.20000000
N
N
N
N
N
REPUBLIC OF KOREA
549300O0QCVSQGPGDT58
Korea International Bond
50064FAS3
20000.00000000
PA
USD
16413.20000000
0.005912918168
Long
DBT
NUSS
KR
N
2
2030-09-16
Fixed
1.00000000
N
N
N
N
N
N
AMERICAN EXPRESS CO
R4PP93JZOLY261QX3811
American Express Co
025816DE6
100000.00000000
PA
USD
99962.99000000
0.036012050043
Long
DBT
CORP
US
N
2
2026-05-01
Fixed
4.99000000
N
N
N
N
N
N
ORANGE SA
969500MCOONR8990S771
Orange SA
35177PAX5
120000.00000000
PA
USD
123889.33000000
0.044631605675
Long
DBT
CORP
FR
N
2
2042-01-13
Fixed
5.37500000
N
N
N
N
N
WALT DISNEY COMPANY/THE
549300GZKULIZ0WOW665
Walt Disney Co/The
254687EV4
12000.00000000
PA
USD
11775.31000000
0.004242100531
Long
DBT
CORP
US
N
2
2044-09-15
Fixed
4.75000000
N
N
N
N
N
N
PROGRESSIVE CORP
529900TACNVLY9DCR586
Progressive Corp/The
743315AT0
30000.00000000
PA
USD
26377.77000000
0.009502692679
Long
DBT
CORP
US
N
2
2048-03-15
Fixed
4.20000000
N
N
N
N
N
N
KRAFT HEINZ FOODS CO
5493003STKEZ2S0RNU91
Kraft Heinz Foods Co
50077LBC9
100000.00000000
PA
USD
97629.34000000
0.035171343692
Long
DBT
CORP
US
N
2
2027-05-15
Fixed
3.87500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CAZ4
1820000.00000000
PA
USD
1666721.88000000
0.600442941451
Long
DBT
UST
US
N
2
2025-11-30
Fixed
0.37500000
N
N
N
N
N
N
CSX CORP
549300JVQR4N1MMP3Q88
CSX Corp
126408HM8
155000.00000000
PA
USD
153735.78000000
0.055383903611
Long
DBT
CORP
US
N
2
2029-03-15
Fixed
4.25000000
N
N
N
N
N
N
KFW
549300GDPG70E3MBBU98
Kreditanstalt fuer Wiederaufbau
500769GK4
774000.00000000
PA
USD
752141.82000000
0.270961971645
Long
DBT
CORP
DE
N
2
2024-11-20
Fixed
2.50000000
N
N
N
N
N
N
WEC ENERGY GROUP INC
549300IGLYTZUK3PVP70
WEC Energy Group Inc
92939UAJ5
100000.00000000
PA
USD
102172.26000000
0.036807948023
Long
DBT
CORP
US
N
2
2027-10-01
Fixed
5.15000000
N
N
N
N
N
N
PFIZER INC
765LHXWGK1KXCLTFYQ30
Pfizer Inc
717081EK5
350000.00000000
PA
USD
328403.16000000
0.118308496299
Long
DBT
CORP
US
N
2
2048-09-15
Fixed
4.20000000
N
N
N
N
N
N
REINSURANCE GRP OF AMER
LORM1GNEU1DKEW527V90
Reinsurance Group of America Inc
759351AN9
19000.00000000
PA
USD
17868.77000000
0.006437292836
Long
DBT
CORP
US
N
2
2029-05-15
Fixed
3.90000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179WXK9
1539066.61000000
PA
USD
1404178.73000000
0.505860766023
Long
ABS-MBS
USGSE
US
N
2
2052-02-20
Fixed
3.00000000
N
N
N
N
N
N
PFIZER INC
765LHXWGK1KXCLTFYQ30
Pfizer Inc
717081EP4
100000.00000000
PA
USD
98303.96000000
0.035414378131
Long
DBT
CORP
US
N
2
2028-09-15
Fixed
3.60000000
N
N
N
N
N
N
JPMORGAN CHASE & CO
8I5DZWZKVSZI1NUHU748
JPMorgan Chase & Co
46647PBJ4
648000.00000000
PA
USD
631317.13000000
0.227434414268
Long
DBT
CORP
US
N
2
2031-03-24
Fixed
4.49300000
N
N
N
N
N
N
SANTANDER HOLDINGS USA
549300SMVCQN2P0O6I58
Santander Holdings USA Inc
80282KBC9
100000.00000000
PA
USD
87697.77000000
0.031593457558
Long
DBT
CORP
US
N
2
2028-01-06
Fixed
2.49000000
N
N
N
N
N
N
ITALY GOV'T INT BOND
815600DE60799F5A9309
Republic of Italy Government International Bond
465410CD8
10000.00000000
PA
USD
9527.40000000
0.003432282343
Long
DBT
NUSS
IT
N
2
2024-05-06
Fixed
0.87500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CDW8
300000.00000000
PA
USD
272402.34000000
0.098133986389
Long
DBT
UST
US
N
2
2029-01-31
Fixed
1.75000000
N
N
N
N
N
N
SOUTHWESTERN PUBLIC SERV
OL6FE7QD5EQ3DOYEO258
Southwestern Public Service Co
845743BN2
86000.00000000
PA
USD
78075.51000000
0.028127001536
Long
DBT
CORP
US
N
2
2041-08-15
Fixed
4.50000000
N
N
N
N
N
N
DELL INT LLC / EMC CORP
N/A
Dell International LLC / EMC Corp
24703TAC0
140000.00000000
PA
USD
142978.92000000
0.051508703593
Long
DBT
CORP
US
N
2
2025-07-15
Fixed
5.85000000
N
N
N
N
N
N
PUBLIC SERVICE ELECTRIC
549300RUHPVD434XUK18
Public Service Electric and Gas Co
74456QAR7
100000.00000000
PA
USD
108821.01000000
0.039203185678
Long
DBT
CORP
US
N
2
2037-05-01
Fixed
5.80000000
N
N
N
N
N
N
MANITOBA (PROVINCE OF)
5493003QILFOB3JRKE30
Province of Manitoba Canada
563469UY9
100000.00000000
PA
USD
88756.49000000
0.031974865493
Long
DBT
NUSS
CA
N
2
2028-10-25
Fixed
1.50000000
N
N
N
N
N
N
JOHNSON CONTROLS INTL PL
549300XQ6S1GYKGBL205
Johnson Controls International plc
478375AS7
50000.00000000
PA
USD
48634.45000000
0.017520746901
Long
DBT
CORP
IE
N
2
2045-09-14
Fixed
5.12500000
N
N
N
N
N
N
AT&T INC
549300Z40J86GGSTL398
AT&T Inc
00206RHK1
600000.00000000
PA
USD
563022.24000000
0.202830918550
Long
DBT
CORP
US
N
2
2039-03-01
Fixed
4.85000000
N
N
N
N
N
N
VERIZON COMMUNICATIONS
2S72QS2UO2OESLG6Y829
Verizon Communications Inc
92343VGN8
605000.00000000
PA
USD
496667.89000000
0.178926509800
Long
DBT
CORP
US
N
2
2032-03-15
Fixed
2.35500000
N
N
N
N
N
N
QUEST DIAGNOSTICS INC
8MCWUBXQ0WE04KMXBX50
Quest Diagnostics Inc
74834LAV2
28000.00000000
PA
USD
27717.57000000
0.009985360761
Long
DBT
CORP
US
N
2
2024-04-01
Fixed
4.25000000
N
N
N
N
N
N
ROCKWELL AUTOMATION
VH3R4HHBHH12O0EXZJ88
Rockwell Automation Inc
773903AJ8
40000.00000000
PA
USD
36149.46000000
0.013022981431
Long
DBT
CORP
US
N
2
2049-03-01
Fixed
4.20000000
N
N
N
N
N
N
UNITEDHEALTH GROUP INC
549300GHBMY8T5GXDE41
UnitedHealth Group Inc
91324PEH1
100000.00000000
PA
USD
98357.64000000
0.035433716557
Long
DBT
CORP
US
N
2
2029-05-15
Fixed
4.00000000
N
N
N
N
N
N
ENTERGY ARKANSAS LLC
549300A0I5ONUIFMLP35
Entergy Arkansas LLC
29366MAD0
100000.00000000
PA
USD
103576.47000000
0.037313820054
Long
DBT
CORP
US
N
2
2033-01-15
Fixed
5.15000000
N
N
N
N
N
N
LOWE'S COS INC
WAFCR4OKGSC504WU3E95
Lowe's Cos Inc
548661DU8
61000.00000000
PA
USD
60374.74000000
0.021750231343
Long
DBT
CORP
US
N
2
2030-04-15
Fixed
4.50000000
N
N
N
N
N
N
TUCSON ELECTRIC POWER CO
YLF139GXSRKPBBTNZL03
Tucson Electric Power Co
898813AP5
12000.00000000
PA
USD
11595.95000000
0.004177485404
Long
DBT
CORP
US
N
2
2025-03-15
Fixed
3.05000000
N
N
N
N
N
N
TWDC ENTERPRISES 18 CORP
7260JQNI6SCF9FIV2392
TWDC Enterprises 18 Corp
25468PDF0
39000.00000000
PA
USD
37888.64000000
0.013649527687
Long
DBT
CORP
US
N
2
2025-09-17
Fixed
3.15000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DKC5
120843.97000000
PA
USD
112479.62000000
0.040521213944
Long
ABS-MBS
USGSE
US
N
2
2040-01-01
Fixed
3.00000000
N
N
N
N
N
N
WILLIS NORTH AMERICA INC
5493004KVU1HWZCP0C66
Willis North America Inc
970648AF8
10000.00000000
PA
USD
9802.48000000
0.003531380967
Long
DBT
CORP
US
N
2
2024-05-15
Fixed
3.60000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179VVY3
83095.19000000
PA
USD
73755.29000000
0.026570625733
Long
ABS-MBS
USGSE
US
N
2
2050-10-20
Fixed
2.50000000
N
N
N
N
N
N
ONEOK INC
2T3D6M0JSY48PSZI1Q41
ONEOK Inc
682680BF9
10000.00000000
PA
USD
10903.09000000
0.003927879935
Long
DBT
CORP
US
N
2
2051-01-15
Fixed
7.15000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179WJR0
833825.85000000
PA
USD
736790.27000000
0.265431516955
Long
ABS-MBS
USGSE
US
N
2
2051-07-20
Fixed
2.50000000
N
N
N
N
N
N
CONAGRA BRANDS INC
54930035UDEIH090K650
Conagra Brands Inc
205887CB6
10000.00000000
PA
USD
9933.44000000
0.003578559808
Long
DBT
CORP
US
N
2
2025-11-01
Fixed
4.60000000
N
N
N
N
N
N
MICROSOFT CORP
INR2EJN1ERAN0W5ZP974
Microsoft Corp
594918BS2
211000.00000000
PA
USD
196002.80000000
0.070610759465
Long
DBT
CORP
US
N
2
2036-08-08
Fixed
3.45000000
N
N
N
N
N
N
AMPHENOL CORP
549300D3L3G0R4U4VT04
Amphenol Corp
032095AH4
50000.00000000
PA
USD
49777.93000000
0.017932689950
Long
DBT
CORP
US
N
2
2029-06-01
Fixed
4.35000000
N
N
N
N
N
N
UNITED PARCEL SERVICE
D01LMJZU09ULLNCY6Z23
United Parcel Service Inc
911312BV7
150000.00000000
PA
USD
156591.09000000
0.056412539976
Long
DBT
CORP
US
N
2
2040-04-01
Fixed
5.20000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418ER69
300000.00000000
PA
USD
293272.39000000
0.105652501842
Long
ABS-MBS
USGSE
US
N
2
2053-05-01
Fixed
4.50000000
N
N
N
N
N
N
EUROPEAN INVESTMENT BANK
5493006YXS1U5GIHE750
European Investment Bank
298785JW7
100000.00000000
PA
USD
100331.96000000
0.036144972899
Long
DBT
NUSS
N/A
N
2
2030-07-15
Fixed
3.62500000
N
N
N
N
N
N
UNITEDHEALTH GROUP INC
549300GHBMY8T5GXDE41
UnitedHealth Group Inc
91324PER9
100000.00000000
PA
USD
106644.11000000
0.038418949115
Long
DBT
CORP
US
N
2
2033-02-15
Fixed
5.35000000
N
N
N
N
N
N
KRAFT HEINZ FOODS CO
5493003STKEZ2S0RNU91
Kraft Heinz Foods Co
50077LBJ4
100000.00000000
PA
USD
100979.45000000
0.036378233652
Long
DBT
CORP
US
N
2
2050-06-01
Fixed
5.50000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179WY85
470574.30000000
PA
USD
402876.53000000
0.145137813103
Long
ABS-MBS
USGSE
US
N
2
2052-03-20
Fixed
2.00000000
N
N
N
N
N
N
AMERICAN HONDA FINANCE
B6Q2VFHD1797Q7NZ3E43
American Honda Finance Corp
02665WDD0
50000.00000000
PA
USD
48308.86000000
0.017403451856
Long
DBT
CORP
US
N
2
2024-09-10
Fixed
2.15000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EF47
418044.64000000
PA
USD
415848.55000000
0.149811032996
Long
ABS-MBS
USGSE
US
N
2
2052-06-01
Fixed
5.00000000
N
N
N
N
N
N
RYDER SYSTEM INC
ZXJ6Y2OSPZXIVGRILD15
Ryder System Inc
78355HKT5
100000.00000000
PA
USD
92574.84000000
0.033350440706
Long
DBT
CORP
US
N
2
2027-03-01
Fixed
2.85000000
N
N
N
N
N
N
APPLIED MATERIALS INC
41BNNE1AFPNAZELZ6K07
Applied Materials Inc
038222AM7
50000.00000000
PA
USD
47310.03000000
0.017043619522
Long
DBT
CORP
US
N
2
2047-04-01
Fixed
4.35000000
N
N
N
N
N
N
TELEDYNE TECHNOLOGIES IN
549300VSMO9KYQWDND94
Teledyne Technologies Inc
879360AD7
60000.00000000
PA
USD
53496.93000000
0.019272473946
Long
DBT
CORP
US
N
2
2028-04-01
Fixed
2.25000000
N
N
N
N
N
N
ONTARIO (PROVINCE OF)
C7PVKCRGLG18EBQGZV36
Province of Ontario Canada
68323ADP6
200000.00000000
PA
USD
191497.50000000
0.068987707883
Long
DBT
NUSS
CA
N
2
2026-04-27
Fixed
2.50000000
N
N
N
N
N
N
SUMITOMO MITSUI FINL GRP
35380028MYWPB6AUO129
Sumitomo Mitsui Financial Group Inc
86562MAF7
50000.00000000
PA
USD
46722.15000000
0.016831833501
Long
DBT
CORP
JP
N
2
2026-07-14
Fixed
2.63200000
N
N
N
N
N
N
CHENIERE CORP CHRISTI HD
549300I7CIEWU1BBLQ53
Cheniere Corpus Christi Holdings LLC
16412XAG0
62000.00000000
PA
USD
62276.00000000
0.022435167540
Long
DBT
CORP
US
N
2
2027-06-30
Fixed
5.12500000
N
N
N
N
N
N
CENTERPOINT ENER HOUSTON
549300S8SEQBOJLKHW63
CenterPoint Energy Houston Electric LLC
15189XAX6
100000.00000000
PA
USD
89301.50000000
0.032171207433
Long
DBT
CORP
US
N
2
2032-03-01
Fixed
3.00000000
N
N
N
N
N
N
ORACLE CORP
1Z4GXXU7ZHVWFCD8TV52
Oracle Corp
68389XBU8
150000.00000000
PA
USD
139756.89000000
0.050347954944
Long
DBT
CORP
US
N
2
2027-04-01
Fixed
2.80000000
N
N
N
N
N
N
IDEX CORP
549300U5Y5EL6PHYLF13
IDEX Corp
45167RAH7
20000.00000000
PA
USD
17096.63000000
0.006159126444
Long
DBT
CORP
US
N
2
2031-06-15
Fixed
2.62500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810TC2
198000.00000000
PA
USD
150023.67000000
0.054046601765
Long
DBT
UST
US
N
2
2041-11-15
Fixed
2.00000000
N
N
N
N
N
N
GLAXOSMITHKLINE CAPITAL
549300U0LV41VX7LEP38
GlaxoSmithKline Capital PLC
377373AG0
30000.00000000
PA
USD
29473.64000000
0.010617991705
Long
DBT
CORP
GB
N
2
2024-06-01
Fixed
3.00000000
N
N
N
N
N
N
PROLOGIS LP
GL16H1DHB0QSHP25F723
Prologis LP
74340XBY6
50000.00000000
PA
USD
44989.75000000
0.016207729765
Long
DBT
CORP
US
N
2
2029-11-15
Fixed
2.87500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912828Z52
2824000.00000000
PA
USD
2691073.44000000
0.969469514598
Long
DBT
UST
US
N
2
2025-01-31
Fixed
1.37500000
N
N
N
N
N
N
INTUIT INC
VI90HBPH7XSFMB9E4M29
Intuit Inc
46124HAC0
48000.00000000
PA
USD
42837.76000000
0.015432467124
Long
DBT
CORP
US
N
2
2027-07-15
Fixed
1.35000000
N
N
N
N
N
N
MIZUHO FINANCIAL GROUP
353800CI5L6DDAN5XZ33
Mizuho Financial Group Inc
60687YAK5
10000.00000000
PA
USD
9568.67000000
0.003447150019
Long
DBT
CORP
JP
N
2
2027-02-28
Fixed
3.66300000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EAS9
303959.88000000
PA
USD
274269.67000000
0.098806699175
Long
ABS-MBS
USGSE
US
N
2
2037-01-01
Fixed
2.00000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CBQ3
500000.00000000
PA
USD
456445.31000000
0.164436171287
Long
DBT
UST
US
N
2
2026-02-28
Fixed
0.50000000
N
N
N
N
N
N
ROGERS COMMUNICATIONS IN
54930030NVF3Y2OL0A78
Rogers Communications Inc
775109CB5
100000.00000000
PA
USD
93773.70000000
0.033782334614
Long
DBT
CORP
CA
Y
2
2027-03-15
Fixed
3.20000000
N
N
N
N
N
N
STATE OF ISRAEL
213800T8ZHTFZIBYPE21
Israel Government International Bond
46513JB34
240000.00000000
PA
USD
216363.84000000
0.077945902116
Long
DBT
NUSS
IL
N
2
2030-07-03
Fixed
2.75000000
N
N
N
N
N
N
UNITEDHEALTH GROUP INC
549300GHBMY8T5GXDE41
UnitedHealth Group Inc
91324PEJ7
100000.00000000
PA
USD
98051.82000000
0.035323543730
Long
DBT
CORP
US
N
2
2032-05-15
Fixed
4.20000000
N
N
N
N
N
N
ESTEE LAUDER CO INC
549300VFZ8XJ9NUPU221
Estee Lauder Cos Inc/The
29736RAQ3
110000.00000000
PA
USD
98862.78000000
0.035615695177
Long
DBT
CORP
US
N
2
2030-04-15
Fixed
2.60000000
N
N
N
N
N
N
NETAPP INC
QTX3D84DZDD5JYOCYH15
NetApp Inc
64110DAJ3
50000.00000000
PA
USD
46267.21000000
0.016667939623
Long
DBT
CORP
US
N
2
2027-06-22
Fixed
2.37500000
N
N
N
N
N
N
STARBUCKS CORP
OQSJ1DU9TAOC51A47K68
Starbucks Corp
855244BF5
100000.00000000
PA
USD
101371.91000000
0.036519618870
Long
DBT
CORP
US
N
2
2033-02-15
Fixed
4.80000000
N
N
N
N
N
N
DUKE ENERGY FLORIDA LLC
7MOHLM3DKE63RX2ZCN83
Duke Energy Florida LLC
26444HAK7
112000.00000000
PA
USD
94775.27000000
0.034143154042
Long
DBT
CORP
US
N
2
2031-12-15
Fixed
2.40000000
N
N
N
N
N
N
EQUINOR ASA
OW6OFBNCKXC4US5C7523
Equinor ASA
29446MAH5
20000.00000000
PA
USD
16867.98000000
0.006076754405
Long
DBT
CORP
NO
N
2
2050-04-06
Fixed
3.70000000
N
N
N
N
N
N
GENERAL MOTORS FINL CO
5493008B6JBRUJ90QL97
General Motors Financial Co Inc
37045XDV5
210000.00000000
PA
USD
195714.00000000
0.070506718159
Long
DBT
CORP
US
N
2
2029-04-06
Fixed
4.30000000
N
N
N
N
N
N
3M COMPANY
LUZQVYP4VS22CLWDAR65
3M Co
88579YBG5
20000.00000000
PA
USD
19156.84000000
0.006901324988
Long
DBT
CORP
US
N
2
2029-03-01
Fixed
3.37500000
N
N
N
N
N
CSX CORP
549300JVQR4N1MMP3Q88
CSX Corp
126408HN6
10000.00000000
PA
USD
9455.08000000
0.003406228786
Long
DBT
CORP
US
N
2
2048-11-15
Fixed
4.75000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EE63
759333.15000000
PA
USD
742377.23000000
0.267444240695
Long
ABS-MBS
USGSE
US
N
2
2052-07-01
Fixed
4.50000000
N
N
N
N
N
N
GLAXOSMITHKLINE CAP INC
5493007Q8VD7Q3ZYZS59
GlaxoSmithKline Capital Inc
377372AM9
50000.00000000
PA
USD
49408.37000000
0.017799554545
Long
DBT
CORP
US
N
2
2025-05-15
Fixed
3.62500000
N
N
N
N
N
N
PRUDENTIAL FUNDING ASIA
2549005TNASWKLR0XC37
Prudential Funding Asia PLC
744330AB7
100000.00000000
PA
USD
91250.50000000
0.032873342149
Long
DBT
CORP
GB
N
2
2032-03-24
Fixed
3.62500000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179TZ57
61342.47000000
PA
USD
59498.13000000
0.021434429233
Long
ABS-MBS
USGSE
US
N
2
2048-06-20
Fixed
4.00000000
N
N
N
N
N
N
CREDIT SUISSE NEW YORK
549300D0YARF5HYP1809
Credit Suisse AG/New York NY
22550L2C4
270000.00000000
PA
USD
251371.43000000
0.090557520506
Long
DBT
CORP
CH
N
2
2025-04-09
Fixed
2.95000000
N
N
N
N
N
N
TELEFONICA EMISIONES SAU
549300Y5MFC4SW5Z3K71
Telefonica Emisiones SA
87938WAX1
90000.00000000
PA
USD
81167.07000000
0.029240747868
Long
DBT
CORP
ES
N
2
2049-03-01
Fixed
5.52000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912828ZT0
1500000.00000000
PA
USD
1387910.16000000
0.499999951365
Long
DBT
UST
US
N
2
2025-05-31
Fixed
0.25000000
N
N
N
N
N
N
FHLMC Multifamily Structured P
S6XOOCT0IEG5ABCC6L87
Freddie Mac Multifamily Structured Pass Through Certificates
3137FYZG4
99660.83000000
PA
USD
91062.95000000
0.032805776543
Long
ABS-MBS
USGSE
US
N
2
2027-06-25
Fixed
0.86100000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179VZT0
243434.99000000
PA
USD
230484.12000000
0.083032787072
Long
ABS-MBS
USGSE
US
N
2
2050-12-20
Fixed
3.50000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EBT6
1484867.62000000
PA
USD
1334655.32000000
0.480814691269
Long
ABS-MBS
USGSE
US
N
2
2052-02-01
Fixed
3.00000000
N
N
N
N
N
N
APTIV PLC
N/A
Aptiv PLC
03835VAG1
50000.00000000
PA
USD
48537.47000000
0.017485809484
Long
DBT
CORP
JE
N
2
2029-03-15
Fixed
4.35000000
N
N
N
N
N
N
JPMORGAN CHASE & CO
8I5DZWZKVSZI1NUHU748
JPMorgan Chase & Co
46647PCE4
250000.00000000
PA
USD
186660.55000000
0.067245178118
Long
DBT
CORP
US
N
2
2052-04-22
Fixed
3.32800000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CGU9
1000000.00000000
PA
USD
995937.50000000
0.358790299195
Long
DBT
UST
US
N
2
2025-03-31
Fixed
3.87500000
N
N
N
N
N
N
INTL FLAVOR & FRAGRANCES
BZLRL03D3GPGMOGFO832
International Flavors & Fragrances Inc
459506AE1
30000.00000000
PA
USD
23758.78000000
0.008559191500
Long
DBT
CORP
US
N
2
2047-06-01
Fixed
4.37500000
N
N
N
N
N
N
TOYOTA MOTOR CREDIT CORP
Z2VZBHUMB7PWWJ63I008
Toyota Motor Credit Corp
89236TJK2
100000.00000000
PA
USD
90713.57000000
0.032679911060
Long
DBT
CORP
US
N
2
2026-06-18
Fixed
1.12500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CGD7
300000.00000000
PA
USD
299859.38000000
0.108025490220
Long
DBT
UST
US
N
2
2024-12-31
Fixed
4.25000000
N
N
N
N
N
N
KFW
549300GDPG70E3MBBU98
Kreditanstalt fuer Wiederaufbau
500769JR6
100000.00000000
PA
USD
94902.20000000
0.034188881061
Long
DBT
CORP
DE
N
2
2025-01-31
Fixed
1.25000000
N
N
N
N
N
N
BAXALTA INC
5493000JW8DCO3T45R55
Baxalta Inc
07177MAB9
180000.00000000
PA
USD
176790.40000000
0.063689418774
Long
DBT
CORP
US
N
2
2025-06-23
Fixed
4.00000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CDG3
900000.00000000
PA
USD
825468.75000000
0.297378279047
Long
DBT
UST
US
N
2
2026-10-31
Fixed
1.12500000
N
N
N
N
N
N
ONTARIO (PROVINCE OF)
C7PVKCRGLG18EBQGZV36
Province of Ontario Canada
683234DB1
100000.00000000
PA
USD
97123.79000000
0.034989217368
Long
DBT
NUSS
CA
N
2
2027-05-19
Fixed
3.10000000
N
N
N
N
N
N
CHURCH & DWIGHT CO INC
POOXSI30AWAQGYJZC921
Church & Dwight Co Inc
171340AN2
40000.00000000
PA
USD
38512.24000000
0.013874181976
Long
DBT
CORP
US
N
2
2027-08-01
Fixed
3.15000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CBH3
3500000.00000000
PA
USD
3190332.04000000
1.149329337599
Long
DBT
UST
US
N
2
2026-01-31
Fixed
0.37500000
N
N
N
N
N
N
PRUDENTIAL FINANCIAL INC
5PRBRS5FEH7NREC8OR45
Prudential Financial Inc
74432QCJ2
60000.00000000
PA
USD
45751.14000000
0.016482023429
Long
DBT
CORP
US
N
2
2040-03-10
Fixed
3.00000000
N
N
N
N
N
N
INTERCONTINENTALEXCHANGE
5493000F4ZO33MV32P92
Intercontinental Exchange Inc
45866FAJ3
54000.00000000
PA
USD
52196.94000000
0.018804147569
Long
DBT
CORP
US
N
2
2028-09-21
Fixed
3.75000000
N
N
N
N
N
N
ENBRIDGE INC
98TPTUM4IVMFCZBCUR27
Enbridge Inc
29250NBL8
10000.00000000
PA
USD
9569.00000000
0.003447268902
Long
DBT
CORP
CA
N
2
2025-02-14
Fixed
2.50000000
N
N
N
N
N
N
WESTPAC BANKING CORP
EN5TNI6CI43VEPAMHL14
Westpac Banking Corp
961214ET6
100000.00000000
PA
USD
85325.30000000
0.030738766153
Long
DBT
CORP
AU
N
2
2031-06-03
Fixed
2.15000000
N
N
N
N
N
N
TIMKEN CO
B0I35MLPFXZSE70ASS73
Timken Co/The
887389AL8
30000.00000000
PA
USD
27735.72000000
0.009991899368
Long
DBT
CORP
US
N
2
2032-04-01
Fixed
4.12500000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179XAB2
478044.95000000
PA
USD
476309.19000000
0.171592210143
Long
ABS-MBS
USGSE
US
N
2
2052-06-20
Fixed
5.00000000
N
N
N
N
N
N
CVS HEALTH CORP
549300EJG376EN5NQE29
CVS Health Corp
126650DR8
300000.00000000
PA
USD
246121.51000000
0.088666216716
Long
DBT
CORP
US
N
2
2031-09-15
Fixed
2.12500000
N
N
N
N
N
COMCAST CORP
51M0QTTNCGUN7KFCFZ59
Comcast Corp
20030NDG3
200000.00000000
PA
USD
187495.29000000
0.067545896401
Long
DBT
CORP
US
N
2
2030-04-01
Fixed
3.40000000
N
N
N
N
N
N
ONTARIO (PROVINCE OF)
C7PVKCRGLG18EBQGZV36
Province of Ontario Canada
68323AFJ8
100000.00000000
PA
USD
85122.06000000
0.030665548164
Long
DBT
NUSS
CA
N
2
2031-10-14
Fixed
1.80000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179WDR6
522064.27000000
PA
USD
462697.92000000
0.166688697989
Long
ABS-MBS
USGSE
US
N
2
2051-04-20
Fixed
2.50000000
N
N
N
N
N
N
REPUBLIC OF PERU
254900STKLK2DBJJZ530
Peruvian Government International Bond
715638BM3
96000.00000000
PA
USD
99155.47000000
0.035721137870
Long
DBT
NUSS
PE
N
2
2050-11-18
Fixed
5.62500000
N
N
N
N
N
N
AERCAP IRELAND CAP/GLOBA
N/A
AerCap Ireland Capital DAC / AerCap Global Aviation Trust
00774MAV7
180000.00000000
PA
USD
161395.95000000
0.058143509195
Long
DBT
CORP
IE
N
2
2026-10-29
Fixed
2.45000000
N
N
N
N
N
N
Verizon Master Trust
5493007MUBNP1GFMEB89
Verizon Master Trust
92348KAA1
90000.00000000
PA
USD
85597.34000000
0.030836769605
Long
ABS-O
CORP
US
N
2
2027-05-20
Fixed
0.50000000
N
N
N
N
N
N
EXELON CORP
3SOUA6IRML7435B56G12
Exelon Corp
30161NBB6
100000.00000000
PA
USD
93807.25000000
0.033794421130
Long
DBT
CORP
US
N
2
2027-03-15
Fixed
2.75000000
N
N
N
N
N
N
CORNING INC
549300X2937PB0CJ7I56
Corning Inc
219350BF1
10000.00000000
PA
USD
8467.38000000
0.003050406078
Long
DBT
CORP
US
N
2
2057-11-15
Fixed
4.37500000
N
N
N
N
N
N
SOUTHERN CAL EDISON
9R1Z5I36FERIBVKW4P77
Southern California Edison Co
842400HQ9
220000.00000000
PA
USD
221459.48000000
0.079781625944
Long
DBT
CORP
US
N
2
2027-06-01
Fixed
4.70000000
N
N
N
N
N
N
GS Mortgage Securities Trust
N/A
GS Mortgage Securities Trust 2019-GC38
36252SAV9
200000.00000000
PA
USD
189699.74000000
0.068340057957
Long
ABS-MBS
CORP
US
N
2
2052-02-10
Fixed
3.96800000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CFB2
1000000.00000000
PA
USD
967460.94000000
0.348531509379
Long
DBT
UST
US
N
2
2027-07-31
Fixed
2.75000000
N
N
N
N
N
N
VALMONT INDUSTRIES INC
5493009ZGZJJ8F77JN08
Valmont Industries Inc
920253AE1
70000.00000000
PA
USD
63033.62000000
0.022708103047
Long
DBT
CORP
US
N
2
2054-10-01
Fixed
5.25000000
N
N
N
N
N
N
MOODY'S CORPORATION
549300GCEDD8YCF5WU84
Moody's Corp
615369AE5
10000.00000000
PA
USD
9861.41000000
0.003552610725
Long
DBT
CORP
US
N
2
2044-07-15
Fixed
5.25000000
N
N
N
N
N
N
TUCSON ELECTRIC POWER CO
YLF139GXSRKPBBTNZL03
Tucson Electric Power Co
898813AT7
30000.00000000
PA
USD
21039.52000000
0.007579567669
Long
DBT
CORP
US
N
2
2051-05-01
Fixed
3.25000000
N
N
N
N
N
N
SYNCHRONY FINANCIAL
549300RS7EWPM9MA6C78
Synchrony Financial
87165BAS2
112000.00000000
PA
USD
105829.64000000
0.038125533177
Long
DBT
CORP
US
N
2
2025-06-13
Fixed
4.87500000
N
N
N
N
N
N
ALEXANDRIA REAL ESTATE E
MGCJBT4MKTQBVLNUIS88
Alexandria Real Estate Equities Inc
015271AY5
100000.00000000
PA
USD
80919.31000000
0.029151491379
Long
DBT
CORP
US
N
2
2034-03-15
Fixed
2.95000000
N
N
N
N
N
N
DANAHER CORP
S4BKK9OTCEWQ3YHPFM11
Danaher Corp
235851AW2
100000.00000000
PA
USD
69744.56000000
0.025125744888
Long
DBT
CORP
US
N
2
2051-12-10
Fixed
2.80000000
N
N
N
N
N
N
PEPSICO INC
FJSUNZKFNQ5YPJ5OT455
PepsiCo Inc
713448DN5
20000.00000000
PA
USD
18957.90000000
0.006829656090
Long
DBT
CORP
US
N
2
2026-10-06
Fixed
2.37500000
N
N
N
N
N
N
UNILEVER CAPITAL CORP
MYF1DAS6G5WY7PRWCU78
Unilever Capital Corp
904764AS6
18000.00000000
PA
USD
17455.29000000
0.006288335082
Long
DBT
CORP
US
N
2
2025-07-30
Fixed
3.10000000
N
N
N
N
N
N
INTL BK RECON & DEVELOP
ZTMSNXROF84AHWJNKQ93
International Bank for Reconstruction & Development
45905U6L3
60000.00000000
PA
USD
58840.80000000
0.021197623582
Long
DBT
NUSS
N/A
N
2
2025-11-20
Fixed
3.12500000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179XDD5
195540.93000000
PA
USD
187979.73000000
0.067720417766
Long
ABS-MBS
USGSE
US
N
2
2052-08-20
Fixed
4.00000000
N
N
N
N
N
N
DISCOVERY COMMUNICATIONS
L2Z2MO2EQURH3BREWI15
Discovery Communications LLC
25470DAD1
51000.00000000
PA
USD
49714.22000000
0.017909738179
Long
DBT
CORP
US
N
2
2040-06-01
Fixed
6.35000000
N
N
N
N
N
N
INTER-AMERICAN DEVEL BK
VKU1UKDS9E7LYLMACP54
Inter-American Development Bank
4581X0BT4
200000.00000000
PA
USD
192970.68000000
0.069518426621
Long
DBT
NUSS
N/A
N
2
2041-10-28
Fixed
3.87500000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EKV1
382978.16000000
PA
USD
386154.51000000
0.139113641346
Long
ABS-MBS
USGSE
US
N
2
2052-11-01
Fixed
5.50000000
N
N
N
N
N
N
BRITISH COLUMBIA PROV OF
54930058TO7MEKUHWL16
Province of British Columbia Canada
110709AH5
110000.00000000
PA
USD
100131.71000000
0.036072832070
Long
DBT
NUSS
CA
N
2
2026-07-20
Fixed
0.90000000
N
N
N
N
N
N
GILEAD SCIENCES INC
549300WTZWR07K8MNV44
Gilead Sciences Inc
375558AS2
30000.00000000
PA
USD
32175.33000000
0.011591285876
Long
DBT
CORP
US
N
2
2041-12-01
Fixed
5.65000000
N
N
N
N
N
N
REPUBLIC OF PANAMA
549300SHS4T08CL0LP14
Panama Government International Bond
698299BG8
250000.00000000
PA
USD
200179.87000000
0.072115564932
Long
DBT
NUSS
PA
N
2
2047-05-15
Fixed
4.50000000
N
N
N
N
N
N
ALLSTATE CORP
OBT0W1ED8G0NWVOLOJ77
Allstate Corp/The
020002BA8
81000.00000000
PA
USD
73041.39000000
0.026313440523
Long
DBT
CORP
US
N
2
2043-06-15
Fixed
4.50000000
N
N
N
N
N
N
REALTY INCOME CORP
549300CUWDAUZSH43859
Realty Income Corp
756109BJ2
130000.00000000
PA
USD
116481.05000000
0.041962744429
Long
DBT
CORP
US
N
2
2028-06-15
Fixed
2.20000000
N
N
N
N
N
N
CARDINAL HEALTH INC
CCU46N3GJMF4OK4N7U60
Cardinal Health Inc
14149YBB3
120000.00000000
PA
USD
103162.93000000
0.037164840685
Long
DBT
CORP
US
N
2
2044-11-15
Fixed
4.50000000
N
N
N
N
N
N
CON EDISON CO OF NY INC
VZFZPMWDHTQCFKYOBP05
Consolidated Edison Co of New York Inc
209111GA5
40000.00000000
PA
USD
34237.97000000
0.012334359836
Long
DBT
CORP
US
N
2
2031-06-15
Fixed
2.40000000
N
N
N
N
N
MITSUBISHI UFJ FIN GRP
353800V2V8PUY9TK3E06
Mitsubishi UFJ Financial Group Inc
606822CX0
200000.00000000
PA
USD
203101.05000000
0.073167931217
Long
DBT
CORP
JP
N
2
2034-02-22
Fixed
5.44100000
N
N
N
N
N
N
VODAFONE GROUP PLC
213800TB53ELEUKM7Q61
Vodafone Group PLC
92857WBJ8
10000.00000000
PA
USD
9878.17000000
0.003558648579
Long
DBT
CORP
GB
N
2
2025-05-30
Fixed
4.12500000
N
N
N
N
N
N
MICROSOFT CORP
INR2EJN1ERAN0W5ZP974
Microsoft Corp
594918BY9
50000.00000000
PA
USD
49119.71000000
0.017695563674
Long
DBT
CORP
US
N
2
2027-02-06
Fixed
3.30000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418D2L5
264649.96000000
PA
USD
220613.85000000
0.079476984497
Long
ABS-MBS
USGSE
US
N
2
2051-07-01
Fixed
2.00000000
N
N
N
N
N
N
WHIRLPOOL CORP
WHENKOULSSK7WUM60H03
Whirlpool Corp
963320AZ9
100000.00000000
PA
USD
96850.44000000
0.034890741984
Long
DBT
CORP
US
N
2
2032-05-14
Fixed
4.70000000
N
N
N
N
N
VENTAS REALTY LP
32SXKSJ72K64GM3HOU64
Ventas Realty LP
92277GAN7
10000.00000000
PA
USD
9541.51000000
0.003437365525
Long
DBT
CORP
US
N
2
2029-01-15
Fixed
4.40000000
N
N
N
N
N
N
CBOE GLOBAL MARKETS INC
529900RLNSGA90UPEH54
Cboe Global Markets Inc
12503MAD0
30000.00000000
PA
USD
26330.82000000
0.009485778762
Long
DBT
CORP
US
N
2
2032-03-16
Fixed
3.00000000
N
N
N
N
N
N
PNC BANK NA
AD6GFRVSDT01YPT1CS68
PNC Bank NA
69353RFG8
10000.00000000
PA
USD
9372.03000000
0.003376309705
Long
DBT
CORP
US
N
2
2027-10-25
Fixed
3.10000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EJ43
489586.63000000
PA
USD
454974.18000000
0.163906191069
Long
ABS-MBS
USGSE
US
N
2
2052-10-01
Fixed
3.50000000
N
N
N
N
N
N
BANK OF NY MELLON CORP
WFLLPEPC7FZXENRZV188
Bank of New York Mellon Corp/The
06406FAC7
100000.00000000
PA
USD
95489.92000000
0.034400609442
Long
DBT
CORP
US
N
2
2026-05-04
Fixed
2.80000000
N
N
N
N
N
N
VISA INC
549300JZ4OKEHW3DPJ59
Visa Inc
92826CAM4
100000.00000000
PA
USD
87492.08000000
0.031519356948
Long
DBT
CORP
US
N
2
2030-04-15
Fixed
2.05000000
N
N
N
N
N
N
JPMORGAN CHASE & CO
8I5DZWZKVSZI1NUHU748
JPMorgan Chase & Co
46647PCD6
140000.00000000
PA
USD
106839.15000000
0.038489213022
Long
DBT
CORP
US
N
2
2042-04-22
Fixed
3.15700000
N
N
N
N
N
N
REPUBLIC SERVICES INC
NKNQHM6BLECKVOQP7O46
Republic Services Inc
760759AX8
40000.00000000
PA
USD
32084.92000000
0.011558715327
Long
DBT
CORP
US
N
2
2031-02-15
Fixed
1.45000000
N
N
N
N
N
N
STARBUCKS CORP
OQSJ1DU9TAOC51A47K68
Starbucks Corp
855244BC2
100000.00000000
PA
USD
89252.11000000
0.032153414497
Long
DBT
CORP
US
N
2
2032-02-14
Fixed
3.00000000
N
N
N
N
N
N
CVS HEALTH CORP
549300EJG376EN5NQE29
CVS Health Corp
126650DH0
200000.00000000
PA
USD
193589.02000000
0.069741185974
Long
DBT
CORP
US
N
2
2027-04-01
Fixed
3.62500000
N
N
N
N
N
N
ZOETIS INC
549300HD9Q1LOC9KLJ48
Zoetis Inc
98978VAN3
126000.00000000
PA
USD
123434.45000000
0.044467733413
Long
DBT
CORP
US
N
2
2028-08-20
Fixed
3.90000000
N
N
N
N
N
N
John Deere Owner Trust
N/A
John Deere Owner Trust
47789QAD2
50000.00000000
PA
USD
46423.86000000
0.016724373386
Long
ABS-O
CORP
US
N
2
2028-05-15
Fixed
0.74000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418ED72
286573.38000000
PA
USD
266314.32000000
0.095940753865
Long
ABS-MBS
USGSE
US
N
2
2052-06-01
Fixed
3.50000000
N
N
N
N
N
N
VERIZON COMMUNICATIONS
2S72QS2UO2OESLG6Y829
Verizon Communications Inc
92343VGL2
112000.00000000
PA
USD
81159.85000000
0.029238146835
Long
DBT
CORP
US
N
2
2041-09-03
Fixed
2.85000000
N
N
N
N
N
N
CON EDISON CO OF NY INC
VZFZPMWDHTQCFKYOBP05
Consolidated Edison Co of New York Inc
209111FQ1
10000.00000000
PA
USD
8742.37000000
0.003149472279
Long
DBT
CORP
US
N
2
2058-05-15
Fixed
4.50000000
N
N
N
N
N
N
TC PIPELINES LP
6HL0C5LCIE4TN8UZHL06
TC PipeLines LP
87233QAC2
20000.00000000
PA
USD
19473.11000000
0.007015262466
Long
DBT
CORP
US
N
2
2027-05-25
Fixed
3.90000000
N
N
N
N
N
N
WEC ENERGY GROUP INC
549300IGLYTZUK3PVP70
WEC Energy Group Inc
92939UAG1
100000.00000000
PA
USD
88422.79000000
0.031854648790
Long
DBT
CORP
US
N
2
2028-12-15
Fixed
2.20000000
N
N
N
N
N
N
KRAFT HEINZ FOODS CO
5493003STKEZ2S0RNU91
Kraft Heinz Foods Co
50077LBF2
100000.00000000
PA
USD
97320.07000000
0.035059927990
Long
DBT
CORP
US
N
2
2031-03-01
Fixed
4.25000000
N
N
N
N
N
N
PHILLIPS 66 CO
RVJMT2IZVVSKIRJJBH76
Phillips 66 Co
718547AE2
90000.00000000
PA
USD
86144.29000000
0.031033810438
Long
DBT
CORP
US
Y
2
2026-10-01
Fixed
3.55000000
N
N
N
N
N
N
GILEAD SCIENCES INC
549300WTZWR07K8MNV44
Gilead Sciences Inc
375558BJ1
146000.00000000
PA
USD
135866.48000000
0.048946419840
Long
DBT
CORP
US
N
2
2036-09-01
Fixed
4.00000000
N
N
N
N
N
N
ALLY FINANCIAL INC
549300JBN1OSM8YNAI90
Ally Financial Inc
370425RZ5
10000.00000000
PA
USD
10579.95000000
0.003811467512
Long
DBT
CORP
US
N
2
2031-11-01
Fixed
8.00000000
N
N
N
N
N
ASIAN DEVELOPMENT BANK
549300X0MVH42CY8Q105
Asian Development Bank
045167FN8
100000.00000000
PA
USD
95852.55000000
0.034531248289
Long
DBT
NUSS
N/A
N
2
2032-04-27
Fixed
3.12500000
N
N
N
N
N
N
LANDWIRTSCH. RENTENBANK
529900Z3J0N6S0F7CT25
Landwirtschaftliche Rentenbank
515110BX1
150000.00000000
PA
USD
138988.23000000
0.050071042235
Long
DBT
CORP
DE
N
2
2025-05-27
Fixed
0.50000000
N
N
N
N
N
N
BANK OF AMERICA CORP
9DJT3UXIJIZJI4WXO774
Bank of America Corp
06051GJW0
122000.00000000
PA
USD
93936.74000000
0.033841070398
Long
DBT
CORP
US
N
2
2042-04-22
Fixed
3.31100000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179XQZ2
297496.33000000
PA
USD
304757.46000000
0.109790042302
Long
ABS-MBS
USGSE
US
N
2
2053-01-20
Fixed
6.50000000
N
N
N
N
N
N
PRUDENTIAL FINANCIAL INC
5PRBRS5FEH7NREC8OR45
Prudential Financial Inc
744320AW2
10000.00000000
PA
USD
9236.00000000
0.003327304377
Long
DBT
CORP
US
N
2
2047-09-15
Fixed
4.50000000
N
N
N
N
N
UNITED PARCEL SERVICE
D01LMJZU09ULLNCY6Z23
United Parcel Service Inc
911312BY1
100000.00000000
PA
USD
101324.35000000
0.036502485198
Long
DBT
CORP
US
N
2
2030-04-01
Fixed
4.45000000
N
N
N
N
N
N
INTEL CORP
KNX4USFCNGPY45LOCE31
Intel Corp
458140BH2
292000.00000000
PA
USD
257503.84000000
0.092766744698
Long
DBT
CORP
US
N
2
2029-11-15
Fixed
2.45000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810SX7
1100000.00000000
PA
USD
845839.84000000
0.304717042249
Long
DBT
UST
US
N
2
2051-05-15
Fixed
2.37500000
N
N
N
N
N
N
PNC BANK NA
AD6GFRVSDT01YPT1CS68
PNC Bank NA
69349LAS7
20000.00000000
PA
USD
17308.45000000
0.006235435410
Long
DBT
CORP
US
N
2
2029-10-22
Fixed
2.70000000
N
N
N
N
N
BRIXMOR OPERATING PART
549300CJHBL7JBUA6503
Brixmor Operating Partnership LP
11120VAC7
50000.00000000
PA
USD
47462.04000000
0.017098381707
Long
DBT
CORP
US
N
2
2026-06-15
Fixed
4.12500000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DYN6
69997.73000000
PA
USD
65332.13000000
0.023536150079
Long
ABS-MBS
USGSE
US
N
2
2036-04-01
Fixed
2.50000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418CRC0
53692.84000000
PA
USD
50661.43000000
0.018250974210
Long
ABS-MBS
USGSE
US
N
2
2047-11-01
Fixed
3.50000000
N
N
N
N
N
N
HASBRO INC
549300NUB6D2R1ITYR45
Hasbro Inc
418056AZ0
100000.00000000
PA
USD
91863.44000000
0.033094156132
Long
DBT
CORP
US
N
2
2029-11-19
Fixed
3.90000000
N
N
N
N
N
N
TEXAS INSTRUMENTS INC
WDJNR2L6D8RWOEB8T652
Texas Instruments Inc
882508BJ2
60000.00000000
PA
USD
50988.59000000
0.018368834853
Long
DBT
CORP
US
N
2
2030-05-04
Fixed
1.75000000
N
N
N
N
N
N
MICRON TECHNOLOGY INC
B3DXGBC8GAIYWI2Z0172
Micron Technology Inc
595112BM4
20000.00000000
PA
USD
19901.79000000
0.007169696078
Long
DBT
CORP
US
N
2
2026-02-06
Fixed
4.97500000
N
N
N
N
N
N
ADVANCE AUTO PARTS
529900UCNQ5H9FSL0Y70
Advance Auto Parts Inc
00751YAG1
40000.00000000
PA
USD
34496.57000000
0.012427521477
Long
DBT
CORP
US
N
2
2032-03-15
Fixed
3.50000000
N
N
N
N
N
N
EMERSON ELECTRIC CO
FGLT0EWZSUIRRITFOA30
Emerson Electric Co
291011BN3
62000.00000000
PA
USD
52287.95000000
0.018836934270
Long
DBT
CORP
US
N
2
2030-10-15
Fixed
1.95000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DZB1
88286.33000000
PA
USD
84925.01000000
0.030594560147
Long
ABS-MBS
USGSE
US
N
2
2051-04-01
Fixed
4.00000000
N
N
N
N
N
N
FRANKLIN RESOURCES INC
RIFQSET379FOGTEFKS80
Franklin Resources Inc
354613AL5
30000.00000000
PA
USD
23908.24000000
0.008613035037
Long
DBT
CORP
US
N
2
2030-10-30
Fixed
1.60000000
N
N
N
N
N
N
BANK OF AMERICA CORP
9DJT3UXIJIZJI4WXO774
Bank of America Corp
06051GKA6
100000.00000000
PA
USD
80674.13000000
0.029063164345
Long
DBT
CORP
US
N
2
2032-07-21
Fixed
2.29900000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179XFF8
196047.85000000
PA
USD
183994.02000000
0.066284550472
Long
ABS-MBS
USGSE
US
N
2
2052-09-20
Fixed
3.50000000
N
N
N
N
N
N
COUNCIL OF EUROPE
549300UYNXMI821WYG82
Council Of Europe Development Bank
222213AY6
50000.00000000
PA
USD
45316.23000000
0.016325345435
Long
DBT
NUSS
N/A
N
2
2026-09-22
Fixed
0.87500000
N
N
N
N
N
RELX CAPITAL INC
2R15C3RTKJN1RCBOV146
RELX Capital Inc
74949LAE2
40000.00000000
PA
USD
40131.15000000
0.014457400505
Long
DBT
CORP
US
N
2
2032-05-20
Fixed
4.75000000
N
N
N
N
N
N
Citibank Credit Card Issuance
R8AG6FXVDQAMDKCSJJ64
Citibank Credit Card Issuance Trust
17305EGM1
100000.00000000
PA
USD
99911.11000000
0.035993360075
Long
ABS-O
CORP
US
N
2
2025-05-23
Fixed
3.29000000
N
N
N
N
N
N
HARTFORD FINL SVCS GRP
IU7C3FTM7Y3BQM112U94
Hartford Financial Services Group Inc/The
416518AD0
100000.00000000
PA
USD
66115.09000000
0.023818214418
Long
DBT
CORP
US
N
2
2051-09-15
Fixed
2.90000000
N
N
N
N
N
N
ASIAN DEVELOPMENT BANK
549300X0MVH42CY8Q105
Asian Development Bank
045167FH1
110000.00000000
PA
USD
101583.19000000
0.036595733299
Long
DBT
NUSS
N/A
N
2
2027-01-20
Fixed
1.50000000
N
N
N
N
N
N
MANITOBA (PROVINCE OF)
5493003QILFOB3JRKE30
Province of Manitoba Canada
563469UU7
100000.00000000
PA
USD
97867.49000000
0.035257138142
Long
DBT
NUSS
CA
N
2
2024-04-16
Fixed
2.60000000
N
N
N
N
N
N
INTERCONTINENTALEXCHANGE
5493000F4ZO33MV32P92
Intercontinental Exchange Inc
45866FAH7
50000.00000000
PA
USD
44067.05000000
0.015875323556
Long
DBT
CORP
US
N
2
2048-09-21
Fixed
4.25000000
N
N
N
N
N
N
ASIAN DEVELOPMENT BANK
549300X0MVH42CY8Q105
Asian Development Bank
045167EQ2
400000.00000000
PA
USD
383660.33000000
0.138215103448
Long
DBT
NUSS
N/A
N
2
2024-10-18
Fixed
1.50000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DKT8
682288.80000000
PA
USD
617874.35000000
0.222591601282
Long
ABS-MBS
USGSE
US
N
2
2050-01-01
Fixed
3.00000000
N
N
N
N
N
N
INTEL CORP
KNX4USFCNGPY45LOCE31
Intel Corp
458140AN0
10000.00000000
PA
USD
9522.27000000
0.003430434241
Long
DBT
CORP
US
N
2
2032-12-15
Fixed
4.00000000
N
N
N
N
N
N
SABINE PASS LIQUEFACTION
549300KJYBG7C6WJYZ11
Sabine Pass Liquefaction LLC
785592AX4
150000.00000000
PA
USD
145246.04000000
0.052325442257
Long
DBT
CORP
US
N
2
2030-05-15
Fixed
4.50000000
N
N
N
N
N
N
REPUBLIC SERVICES INC
NKNQHM6BLECKVOQP7O46
Republic Services Inc
760759AS9
10000.00000000
PA
USD
9636.51000000
0.003471589639
Long
DBT
CORP
US
N
2
2027-11-15
Fixed
3.37500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
9128285P1
1346000.00000000
PA
USD
1330804.93000000
0.479427573523
Long
DBT
UST
US
N
2
2023-11-30
Fixed
2.87500000
N
N
N
N
N
N
WISCONSIN POWER & LIGHT
JWBYHVQVMY66CVCOSO49
Wisconsin Power and Light Co
976826BR7
100000.00000000
PA
USD
102280.09000000
0.036846794194
Long
DBT
CORP
US
N
2
2033-04-01
Fixed
4.95000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810SU3
3800000.00000000
PA
USD
2600476.57000000
0.936831645160
Long
DBT
UST
US
N
2
2051-02-15
Fixed
1.87500000
N
N
N
N
N
N
BRISTOL-MYERS SQUIBB CO
HLYYNH7UQUORYSJQCN42
Bristol-Myers Squibb Co
110122DQ8
90000.00000000
PA
USD
73828.35000000
0.026596945878
Long
DBT
CORP
US
N
2
2030-11-13
Fixed
1.45000000
N
N
N
N
N
N
AUST & NZ BANKING GRP NY
JHE42UYNWWTJB8YTTU19
Australia & New Zealand Banking Group Ltd/New York NY
05253JAL5
10000.00000000
PA
USD
9748.78000000
0.003512035336
Long
DBT
CORP
AU
N
2
2025-11-16
Fixed
3.70000000
N
N
N
N
N
N
REPUBLIC OF PANAMA
549300SHS4T08CL0LP14
Panama Government International Bond
698299BD5
120000.00000000
PA
USD
118161.44000000
0.042568111363
Long
DBT
NUSS
PA
N
2
2024-09-22
Fixed
4.00000000
N
N
N
N
N
N
AERCAP IRELAND CAP/GLOBA
N/A
AerCap Ireland Capital DAC / AerCap Global Aviation Trust
00774MAX3
150000.00000000
PA
USD
122860.92000000
0.044261117034
Long
DBT
CORP
IE
N
2
2032-01-30
Fixed
3.30000000
N
N
N
N
N
N
ORIX CORP
35380016EMHNBOVYE123
ORIX Corp
686330AJ0
30000.00000000
PA
USD
28698.21000000
0.010338640077
Long
DBT
CORP
JP
N
2
2027-07-18
Fixed
3.70000000
N
N
N
N
N
N
CITIGROUP INC
6SHGI4ZSSLCXXQSBB395
Citigroup Inc
172967MX6
40000.00000000
PA
USD
38090.00000000
0.013722068399
Long
DBT
CORP
US
N
2
2025-05-01
Fixed
0.98100000
N
N
N
N
N
N
BERRY GLOBAL INC
549300AP2Q7ERHX6RI89
Berry Global Inc
08576PAK7
100000.00000000
PA
USD
100058.26000000
0.036046371426
Long
DBT
CORP
US
Y
2
2028-04-15
Fixed
5.50000000
N
N
N
N
N
N
FANNIE MAE
B1V7KEBTPIMZEU4LTD58
Federal National Mortgage Association
3135G03U5
200000.00000000
PA
USD
186590.55000000
0.067219960350
Long
DBT
USGSE
US
N
2
2025-04-22
Fixed
0.62500000
N
N
N
N
N
N
DOLLAR GENERAL CORP
OPX52SQVOZI8IVSWYU66
Dollar General Corp
256677AG0
100000.00000000
PA
USD
92503.97000000
0.033324909518
Long
DBT
CORP
US
N
2
2030-04-03
Fixed
3.50000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CAY7
320000.00000000
PA
USD
280750.00000000
0.101141262879
Long
DBT
UST
US
N
2
2027-11-30
Fixed
0.62500000
N
N
N
N
N
N
INTL BK RECON & DEVELOP
ZTMSNXROF84AHWJNKQ93
International Bank for Reconstruction & Development
459058GQ0
60000.00000000
PA
USD
58796.01000000
0.021181487813
Long
DBT
NUSS
N/A
N
2
2024-03-19
Fixed
2.50000000
N
N
N
N
N
N
CANADIAN PACIFIC RAILWAY
54930036474DURYNB481
Canadian Pacific Railway Co
13648TAD9
70000.00000000
PA
USD
62636.26000000
0.022564952585
Long
DBT
CORP
CA
N
2
2043-05-15
Fixed
4.30000000
N
N
N
N
N
N
CDW LLC/CDW FINANCE
N/A
CDW LLC / CDW Finance Corp
12513GBG3
112000.00000000
PA
USD
101729.02000000
0.036648269115
Long
DBT
CORP
US
N
2
2026-12-01
Fixed
2.67000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179V4V9
457564.24000000
PA
USD
406030.14000000
0.146273913185
Long
ABS-MBS
USGSE
US
N
2
2051-01-20
Fixed
2.50000000
N
N
N
N
N
N
BERKSHIRE HATHAWAY ENERG
549300JD0S5IZJE9LY15
Berkshire Hathaway Energy Co
59562VBD8
210000.00000000
PA
USD
210731.14000000
0.075916700365
Long
DBT
CORP
US
N
2
2043-11-15
Fixed
5.15000000
N
N
N
N
N
N
BAKER HUGHES LLC/CO-OBL
N/A
Baker Hughes Holdings LLC / Baker Hughes Co-Obligor Inc
05723KAG5
105000.00000000
PA
USD
95378.27000000
0.034360387102
Long
DBT
CORP
US
N
2
2029-11-07
Fixed
3.13800000
N
N
N
N
N
N
TAMPA ELECTRIC CO
WS423EPRKJIIJUITXD73
Tampa Electric Co
875127BL5
100000.00000000
PA
USD
96782.55000000
0.034866284351
Long
DBT
CORP
US
N
2
2052-07-15
Fixed
5.00000000
N
N
N
N
N
N
GENERAL MOTORS FINL CO
5493008B6JBRUJ90QL97
General Motors Financial Co Inc
37045XCS3
274000.00000000
PA
USD
274581.06000000
0.098918878615
Long
DBT
CORP
US
N
2
2029-01-17
Fixed
5.65000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418CPE8
311929.85000000
PA
USD
294150.48000000
0.105968837128
Long
ABS-MBS
USGSE
US
N
2
2047-09-01
Fixed
3.50000000
N
N
N
N
N
N
POTOMAC ELECTRIC POWER
549300BXF2DWUNN57U06
Potomac Electric Power Co
737679DB3
36000.00000000
PA
USD
41259.93000000
0.014864047823
Long
DBT
CORP
US
N
2
2037-11-15
Fixed
6.50000000
N
N
N
N
N
N
NORDIC INVESTMENT BANK
213800HYL1S7VAXG6Z48
Nordic Investment Bank
65562QBL8
70000.00000000
PA
USD
68166.00000000
0.024557062601
Long
DBT
NUSS
N/A
N
2
2024-05-21
Fixed
2.25000000
N
N
N
N
N
N
CVS HEALTH CORP
549300EJG376EN5NQE29
CVS Health Corp
126650DP2
110000.00000000
PA
USD
78791.15000000
0.028384813587
Long
DBT
CORP
US
N
2
2040-08-21
Fixed
2.70000000
N
N
N
N
N
N
REGENERON PHARMACEUTICAL
549300RCBFWIRX3HYQ56
Regeneron Pharmaceuticals Inc
75886FAE7
40000.00000000
PA
USD
32676.49000000
0.011771830685
Long
DBT
CORP
US
N
2
2030-09-15
Fixed
1.75000000
N
N
N
N
N
N
REPUBLIC OF PERU
254900STKLK2DBJJZ530
Peruvian Government International Bond
715638DT6
20000.00000000
PA
USD
15076.24000000
0.005431273207
Long
DBT
NUSS
PE
N
2
2051-03-10
Fixed
3.55000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CDR9
100000.00000000
PA
USD
97269.53000000
0.035041720761
Long
DBT
UST
US
N
2
2023-12-31
Fixed
0.75000000
N
N
N
N
N
N
EQUITABLE HOLDINGS INC
549300FIBAKMNHPZ4009
Equitable Holdings Inc
29444GAJ6
10000.00000000
PA
USD
10858.88000000
0.003911953113
Long
DBT
CORP
US
N
2
2028-04-01
Fixed
7.00000000
N
N
N
N
N
N
HUNGARY
5299003F3UFKGCCMAP43
Hungary Government International Bond
445545AF3
34000.00000000
PA
USD
38625.70000000
0.013915056376
Long
DBT
NUSS
HU
N
2
2041-03-29
Fixed
7.62500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CGB1
1000000.00000000
PA
USD
1022421.88000000
0.368331398536
Long
DBT
UST
US
N
2
2029-12-31
Fixed
3.87500000
N
N
N
N
N
N
REPUBLICA ORIENT URUGUAY
549300RDR012H2V82H43
Uruguay Government International Bond
760942AY8
200000.00000000
PA
USD
186549.31000000
0.067205103482
Long
DBT
NUSS
UY
N
2
2045-11-20
Fixed
4.12500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CDM0
900000.00000000
PA
USD
877218.75000000
0.316021414770
Long
DBT
UST
US
N
2
2023-11-30
Fixed
0.50000000
N
N
N
N
N
N
EUROPEAN INVESTMENT BANK
5493006YXS1U5GIHE750
European Investment Bank
298785JQ0
112000.00000000
PA
USD
102834.58000000
0.037046551340
Long
DBT
NUSS
N/A
N
2
2027-03-15
Fixed
1.37500000
N
N
N
N
N
N
ATMOS ENERGY CORP
QVLWEGTD2S8GJMO8D383
Atmos Energy Corp
049560AW5
100000.00000000
PA
USD
68534.27000000
0.024689733279
Long
DBT
CORP
US
N
2
2052-02-15
Fixed
2.85000000
N
N
N
N
N
N
KOREA DEVELOPMENT BANK
549300ML2LNRZUCS7149
Korea Development Bank/The
500630CY2
100000.00000000
PA
USD
96618.17000000
0.034807065826
Long
DBT
NUSS
KR
N
2
2024-10-01
Fixed
2.12500000
N
N
N
N
N
N
TRUIST FINANCIAL CORP
549300DRQQI75D2JP341
Truist Financial Corp
89788MAE2
50000.00000000
PA
USD
42326.95000000
0.015248445865
Long
DBT
CORP
US
N
2
2029-06-07
Fixed
1.88700000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912828ZV5
900000.00000000
PA
USD
793652.35000000
0.285916299078
Long
DBT
UST
US
N
2
2027-06-30
Fixed
0.50000000
N
N
N
N
N
N
WALT DISNEY COMPANY/THE
549300GZKULIZ0WOW665
Walt Disney Co/The
254687FM3
270000.00000000
PA
USD
187434.03000000
0.067523827251
Long
DBT
CORP
US
N
2
2049-09-01
Fixed
2.75000000
N
N
N
N
N
N
D.R. HORTON INC
529900ZIUEYVSB8QDD25
DR Horton Inc
23331ABQ1
50000.00000000
PA
USD
44775.10000000
0.016130401280
Long
DBT
CORP
US
N
2
2026-10-15
Fixed
1.30000000
N
N
N
N
N
N
MAGNA INTERNATIONAL INC
95RWVLFZX6VGDZNNTN43
Magna International Inc
559222AV6
60000.00000000
PA
USD
51743.43000000
0.018640768854
Long
DBT
CORP
CA
N
2
2030-06-15
Fixed
2.45000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418C4W1
102737.61000000
PA
USD
99736.93000000
0.035930611063
Long
ABS-MBS
USGSE
US
N
2
2048-12-01
Fixed
4.00000000
N
N
N
N
N
N
ONCOR ELECTRIC DELIVERY
549300SP2X2BS1KERD24
Oncor Electric Delivery Co LLC
68233JAF1
67000.00000000
PA
USD
83462.31000000
0.030067616870
Long
DBT
CORP
US
N
2
2038-09-01
Fixed
7.50000000
N
N
N
N
N
N
EMERSON ELECTRIC CO
FGLT0EWZSUIRRITFOA30
Emerson Electric Co
291011BQ6
50000.00000000
PA
USD
44351.10000000
0.015977653656
Long
DBT
CORP
US
N
2
2028-12-21
Fixed
2.00000000
N
N
N
N
N
N
CATERPILLAR FINL SERVICE
EDBQKYOPJUCJKLOJDE72
Caterpillar Financial Services Corp
14913R2V8
112000.00000000
PA
USD
109820.89000000
0.039563396278
Long
DBT
CORP
US
N
2
2025-05-13
Fixed
3.40000000
N
N
N
N
N
N
ALEXANDRIA REAL ESTATE E
MGCJBT4MKTQBVLNUIS88
Alexandria Real Estate Equities Inc
015271AR0
100000.00000000
PA
USD
87703.45000000
0.031595503800
Long
DBT
CORP
US
N
2
2031-08-15
Fixed
3.37500000
N
N
N
N
N
N
DISCOVER FINANCIAL SVS
Z1YLO2USPORE63VVUL20
Discover Financial Services
254709AS7
100000.00000000
PA
USD
105808.40000000
0.038117881386
Long
DBT
CORP
US
N
2
2032-11-29
Fixed
6.70000000
N
N
N
N
N
N
GM Financial Automobile Leasin
N/A
GM Financial Automobile Leasing Trust 2021-2
380144AE5
100000.00000000
PA
USD
97038.90000000
0.034958635421
Long
ABS-O
CORP
US
N
2
2025-05-20
Fixed
0.69000000
N
N
N
N
N
N
KIMBERLY-CLARK CORP
MP3J6QPYPGN75NVW2S34
Kimberly-Clark Corp
494368BY8
10000.00000000
PA
USD
9983.38000000
0.003596550885
Long
DBT
CORP
US
N
2
2028-11-01
Fixed
3.95000000
N
N
N
N
N
N
INTL BK RECON & DEVELOP
ZTMSNXROF84AHWJNKQ93
International Bank for Reconstruction & Development
45905URL0
151000.00000000
PA
USD
145446.05000000
0.052397496626
Long
DBT
NUSS
N/A
N
2
2025-03-03
Fixed
2.12500000
N
N
N
N
N
LOWE'S COS INC
WAFCR4OKGSC504WU3E95
Lowe's Cos Inc
548661DV6
300000.00000000
PA
USD
289617.16000000
0.104335691234
Long
DBT
CORP
US
N
2
2040-04-15
Fixed
5.00000000
N
N
N
N
N
N
KIMBERLY-CLARK CORP
MP3J6QPYPGN75NVW2S34
Kimberly-Clark Corp
494368BC6
48000.00000000
PA
USD
59031.34000000
0.021266266347
Long
DBT
CORP
US
N
2
2037-08-01
Fixed
6.62500000
N
N
N
N
N
N
LAM RESEARCH CORP
549300I4GMO6D34U1T02
Lam Research Corp
512807AX6
90000.00000000
PA
USD
62370.54000000
0.022469225937
Long
DBT
CORP
US
N
2
2060-06-15
Fixed
3.12500000
N
N
N
N
N
N
DUPONT DE NEMOURS INC
5493004JF0SDFLM8GD76
DuPont de Nemours Inc
26078JAD2
126000.00000000
PA
USD
127329.51000000
0.045870943698
Long
DBT
CORP
US
N
2
2028-11-15
Fixed
4.72500000
N
N
N
N
N
CINTAS CORPORATION NO. 2
549300QVUQTTKMTE0G41
Cintas Corp No 2
17252MAP5
100000.00000000
PA
USD
97651.12000000
0.035179190021
Long
DBT
CORP
US
N
2
2025-05-01
Fixed
3.45000000
N
N
N
N
N
N
EUROPEAN INVESTMENT BANK
5493006YXS1U5GIHE750
European Investment Bank
298785HT6
311000.00000000
PA
USD
307420.21000000
0.110749308189
Long
DBT
NUSS
N/A
N
2
2023-12-14
Fixed
3.12500000
N
N
N
N
N
N
NXP BV/NXP FDG/NXP USA
N/A
NXP BV / NXP Funding LLC / NXP USA Inc
62954HBA5
112000.00000000
PA
USD
92543.37000000
0.033339103518
Long
DBT
CORP
N/A
N
2
2031-05-11
Fixed
2.50000000
N
N
N
N
N
N
TWDC ENTERPRISES 18 CORP
7260JQNI6SCF9FIV2392
TWDC Enterprises 18 Corp
25468PCR5
10000.00000000
PA
USD
9008.99000000
0.003245523155
Long
DBT
CORP
US
N
2
2041-12-01
Fixed
4.12500000
N
N
N
N
N
N
PRUDENTIAL FINANCIAL INC
5PRBRS5FEH7NREC8OR45
Prudential Financial Inc
74432QCH6
31000.00000000
PA
USD
28527.59000000
0.010277173569
Long
DBT
CORP
US
N
2
2026-03-10
Fixed
1.50000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EJ50
292303.88000000
PA
USD
279427.50000000
0.100664827188
Long
ABS-MBS
USGSE
US
N
2
2052-10-01
Fixed
4.00000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418D4H2
341140.24000000
PA
USD
304613.07000000
0.109738025251
Long
ABS-MBS
USGSE
US
N
2
2041-09-01
Fixed
2.50000000
N
N
N
N
N
N
ADOBE INC
FU4LY2G4933NH2E1CP29
Adobe Inc
00724PAC3
18000.00000000
PA
USD
16758.29000000
0.006037238163
Long
DBT
CORP
US
N
2
2027-02-01
Fixed
2.15000000
N
N
N
N
N
N
LEGGETT & PLATT INC
DKOVQUCDW4ZLYCUD4T55
Leggett & Platt Inc
524660AZ0
30000.00000000
PA
USD
29212.73000000
0.010523997878
Long
DBT
CORP
US
N
2
2029-03-15
Fixed
4.40000000
N
N
N
N
N
N
BANK OF AMERICA CORP
9DJT3UXIJIZJI4WXO774
Bank of America Corp
06051GLE7
100000.00000000
PA
USD
99809.26000000
0.035956668222
Long
DBT
CORP
US
N
2
2027-01-20
Fixed
5.08000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179VSH4
80129.34000000
PA
USD
73663.12000000
0.026537421137
Long
ABS-MBS
USGSE
US
N
2
2050-08-20
Fixed
3.00000000
N
N
N
N
N
N
DEUTSCHE BANK NY
7LTWFZYICNSX8D621K86
Deutsche Bank AG/New York NY
251526CG2
240000.00000000
PA
USD
226242.25000000
0.081504637156
Long
DBT
CORP
DE
N
2
2025-04-01
Fixed
1.44700000
N
N
N
N
N
N
HOME DEPOT INC
QEKMOTMBBKA8I816DO57
Home Depot Inc/The
437076AV4
100000.00000000
PA
USD
112187.11000000
0.040415836096
Long
DBT
CORP
US
N
2
2041-04-01
Fixed
5.95000000
N
N
N
N
N
N
PEPSICO INC
FJSUNZKFNQ5YPJ5OT455
PepsiCo Inc
713448EP9
364000.00000000
PA
USD
278930.45000000
0.100485763022
Long
DBT
CORP
US
N
2
2049-10-15
Fixed
2.87500000
N
N
N
N
N
N
FANNIE MAE
B1V7KEBTPIMZEU4LTD58
Federal National Mortgage Association
3135G0ZR7
81000.00000000
PA
USD
79030.90000000
0.028471184443
Long
DBT
USGSE
US
N
2
2024-09-06
Fixed
2.62500000
N
N
N
N
N
WESTPAC BANKING CORP
EN5TNI6CI43VEPAMHL14
Westpac Banking Corp
961214DF7
166000.00000000
PA
USD
157190.20000000
0.056628371648
Long
DBT
CORP
AU
N
2
2031-11-23
Fixed
4.32200000
N
N
N
N
N
N
PROCTER & GAMBLE CO/THE
2572IBTT8CCZW6AU4141
Procter & Gamble Co/The
742718FH7
200000.00000000
PA
USD
188171.40000000
0.067789467618
Long
DBT
CORP
US
N
2
2030-03-25
Fixed
3.00000000
N
N
N
N
N
N
INTERSTATE POWER & LIGHT
EF9UQIIO4KY2BWOK3P26
Interstate Power and Light Co
461070AQ7
48000.00000000
PA
USD
45208.26000000
0.016286448829
Long
DBT
CORP
US
N
2
2029-04-01
Fixed
3.60000000
N
N
N
N
N
N
LEGGETT & PLATT INC
DKOVQUCDW4ZLYCUD4T55
Leggett & Platt Inc
524660BA4
30000.00000000
PA
USD
22307.43000000
0.008036337103
Long
DBT
CORP
US
N
2
2051-11-15
Fixed
3.50000000
N
N
N
N
N
N
EQUINIX INC
549300EVUN2BTLJ3GT74
Equinix Inc
29444UBU9
100000.00000000
PA
USD
91117.33000000
0.032825367146
Long
DBT
CORP
US
N
2
2032-04-15
Fixed
3.90000000
N
N
N
N
N
N
ROGERS COMMUNICATIONS IN
54930030NVF3Y2OL0A78
Rogers Communications Inc
775109CC3
10000.00000000
PA
USD
9004.37000000
0.003243858782
Long
DBT
CORP
CA
Y
2
2032-03-15
Fixed
3.80000000
N
N
N
N
N
N
HOME DEPOT INC
QEKMOTMBBKA8I816DO57
Home Depot Inc/The
437076BY7
10000.00000000
PA
USD
9344.21000000
0.003366287444
Long
DBT
CORP
US
N
2
2029-06-15
Fixed
2.95000000
N
N
N
N
N
N
XYLEM INC
549300DF5MV96DRYLQ48
Xylem Inc/NY
98419MAL4
31000.00000000
PA
USD
26293.07000000
0.009472179179
Long
DBT
CORP
US
N
2
2031-01-30
Fixed
2.25000000
N
N
N
N
N
N
AFRICAN DEVELOPMENT BANK
549300LNCLMO3ITVCU07
African Development Bank
00828EDC0
10000.00000000
PA
USD
9919.14000000
0.003573408179
Long
DBT
NUSS
N/A
N
2
2023-09-20
Fixed
3.00000000
N
N
N
N
N
N
MARSH & MCLENNAN COS INC
549300XMP3KDCKJXIU47
Marsh & McLennan Cos Inc
571748BC5
10000.00000000
PA
USD
8763.40000000
0.003157048417
Long
DBT
CORP
US
N
2
2047-01-30
Fixed
4.35000000
N
N
N
N
N
N
DOLLAR TREE INC
549300PMSTQITB1WHR43
Dollar Tree Inc
256746AG3
12000.00000000
PA
USD
11811.22000000
0.004255037246
Long
DBT
CORP
US
N
2
2025-05-15
Fixed
4.00000000
N
N
N
N
N
N
INTERNATIONAL PAPER CO
824LMFJDH41EY779Q875
International Paper Co
460146CK7
45000.00000000
PA
USD
41305.91000000
0.014880612294
Long
DBT
CORP
US
N
2
2044-06-15
Fixed
4.80000000
N
N
N
N
N
N
ROGERS COMMUNICATIONS IN
54930030NVF3Y2OL0A78
Rogers Communications Inc
775109BE0
10000.00000000
PA
USD
9623.09000000
0.003466755032
Long
DBT
CORP
CA
N
2
2025-12-15
Fixed
3.62500000
N
N
N
N
N
N
SALESFORCE INC
RCGZFPDMRW58VJ54VR07
Salesforce Inc
79466LAK0
100000.00000000
PA
USD
74790.83000000
0.026943682984
Long
DBT
CORP
US
N
2
2041-07-15
Fixed
2.70000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DY89
578331.83000000
PA
USD
516419.34000000
0.186042045318
Long
ABS-MBS
USGSE
US
N
2
2041-05-01
Fixed
2.50000000
N
N
N
N
N
N
AVISTA CORP
Q0IK63NITJD6RJ47SW96
Avista Corp
05379BAR8
100000.00000000
PA
USD
83641.65000000
0.030132224791
Long
DBT
CORP
US
N
2
2052-04-01
Fixed
4.00000000
N
N
N
N
N
N
AID-ISRAEL
213800T8ZHTFZIBYPE21
Israel Government AID Bond
46513EGV8
50000.00000000
PA
USD
50170.83000000
0.018074233680
Long
DBT
NUSS
IL
N
2
2023-12-04
Fixed
5.50000000
N
N
N
N
N
N
COMCAST CORP
51M0QTTNCGUN7KFCFZ59
Comcast Corp
20030NDH1
300000.00000000
PA
USD
258917.56000000
0.093276042743
Long
DBT
CORP
US
N
2
2040-04-01
Fixed
3.75000000
N
N
N
N
N
N
PULTEGROUP INC
N/A
PulteGroup Inc
745867AX9
25000.00000000
PA
USD
25023.86000000
0.009014941415
Long
DBT
CORP
US
N
2
2027-01-15
Fixed
5.00000000
N
N
N
N
N
N
BERKSHIRE HATHAWAY ENERG
549300JD0S5IZJE9LY15
Berkshire Hathaway Energy Co
084659AV3
120000.00000000
PA
USD
115035.52000000
0.041441986709
Long
DBT
CORP
US
N
2
2030-07-15
Fixed
3.70000000
N
N
N
N
N
N
NORFOLK SOUTHERN CORP
54930036C8MWP850MI84
Norfolk Southern Corp
655844CK2
100000.00000000
PA
USD
84723.74000000
0.030522051859
Long
DBT
CORP
US
N
2
2031-05-15
Fixed
2.30000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418ECR9
471585.76000000
PA
USD
424044.87000000
0.152763788671
Long
ABS-MBS
USGSE
US
N
2
2052-04-01
Fixed
3.00000000
N
N
N
N
N
N
PEPSICO INC
FJSUNZKFNQ5YPJ5OT455
PepsiCo Inc
713448CY2
60000.00000000
PA
USD
59057.67000000
0.021275751830
Long
DBT
CORP
US
N
2
2025-07-17
Fixed
3.50000000
N
N
N
N
N
N
MEDTRONIC GLOBAL HLDINGS
549300JXMTTP8GKYIX14
Medtronic Global Holdings SCA
58507LBC2
100000.00000000
PA
USD
100931.70000000
0.036361031531
Long
DBT
CORP
LU
N
2
2033-03-30
Fixed
4.50000000
N
N
N
N
N
N
FHLMC Multifamily Structured P
S6XOOCT0IEG5ABCC6L87
Freddie Mac Multifamily Structured Pass Through Certificates
3137H14B9
100000.00000000
PA
USD
89486.90000000
0.032237998493
Long
ABS-MBS
USGSE
US
N
2
2028-05-25
Fixed
1.77000000
N
N
N
N
N
N
AMAZON.COM INC
ZXTILKJKG63JELOEG630
Amazon.com Inc
023135CJ3
100000.00000000
PA
USD
88049.60000000
0.031720205663
Long
DBT
CORP
US
N
2
2052-04-13
Fixed
3.95000000
N
N
N
N
N
N
ARCHER-DANIELS-MIDLAND C
549300LO13MQ9HYSTR83
Archer-Daniels-Midland Co
039482AC8
120000.00000000
PA
USD
83817.44000000
0.030195553812
Long
DBT
CORP
US
N
2
2051-09-15
Fixed
2.70000000
N
N
N
N
N
N
FHLMC Multifamily Structured P
S6XOOCT0IEG5ABCC6L87
Freddie Mac Multifamily Structured Pass Through Certificates
3137FXZ27
98004.92000000
PA
USD
87003.71000000
0.031343419784
Long
ABS-MBS
USGSE
US
N
2
2030-11-25
Fixed
1.35300000
N
N
N
N
N
N
CUMMINS INC
ZUNI8PYC725B6H8JU438
Cummins Inc
231021AS5
82000.00000000
PA
USD
54278.90000000
0.019554181633
Long
DBT
CORP
US
N
2
2050-09-01
Fixed
2.60000000
N
N
N
N
N
N
IBM CORP
VGRQXHF3J8VDLUA7XE92
International Business Machines Corp
459200JZ5
170000.00000000
PA
USD
164819.58000000
0.059376885016
Long
DBT
CORP
US
N
2
2026-05-15
Fixed
3.30000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179U6U1
200408.79000000
PA
USD
184596.34000000
0.066501538559
Long
ABS-MBS
USGSE
US
N
2
2049-11-20
Fixed
3.00000000
N
N
N
N
N
N
AUTODESK INC
FRKKVKAIQEF3FCSTPG55
Autodesk Inc
052769AH9
100000.00000000
PA
USD
83869.71000000
0.030214384280
Long
DBT
CORP
US
N
2
2031-12-15
Fixed
2.40000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DMF6
137237.17000000
PA
USD
132929.43000000
0.047888336327
Long
ABS-MBS
USGSE
US
N
2
2035-03-01
Fixed
3.50000000
N
N
N
N
N
N
PACCAR FINANCIAL CORP
PH3S12DWZBHHQKVYZ297
PACCAR Financial Corp
69371RR81
100000.00000000
PA
USD
98277.94000000
0.035405004327
Long
DBT
CORP
US
N
2
2024-06-13
Fixed
3.15000000
N
N
N
N
N
N
JOHNSON CONTROLS/TYCO FI
N/A
Johnson Controls International plc / Tyco Fire & Security Finance SCA
47837RAD2
30000.00000000
PA
USD
24669.33000000
0.008887220625
Long
DBT
CORP
IE
N
2
2031-09-16
Fixed
2.00000000
N
N
N
N
N
N
TELEFONICA EMISIONES SAU
549300Y5MFC4SW5Z3K71
Telefonica Emisiones SA
87938WAC7
21000.00000000
PA
USD
23332.86000000
0.008405752188
Long
DBT
CORP
ES
N
2
2036-06-20
Fixed
7.04500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810TD0
1300000.00000000
PA
USD
970074.22000000
0.349472953509
Long
DBT
UST
US
N
2
2052-02-15
Fixed
2.25000000
N
N
N
N
N
N
BANK OF AMERICA CORP
9DJT3UXIJIZJI4WXO774
Bank of America Corp
06051GKS7
100000.00000000
PA
USD
98203.77000000
0.035378284300
Long
DBT
CORP
US
N
2
2025-04-25
Fixed
3.84100000
N
N
N
N
N
N
HARLEY-DAVIDSON INC
ZDNAWZWXIKMWI51R2A08
Harley-Davidson Inc
412822AE8
40000.00000000
PA
USD
31104.26000000
0.011205428806
Long
DBT
CORP
US
N
2
2045-07-28
Fixed
4.62500000
N
N
N
N
N
PERKINELMER INC
549300IKL1SDPFI7N655
PerkinElmer Inc
714046AN9
100000.00000000
PA
USD
81257.00000000
0.029273145495
Long
DBT
CORP
US
N
2
2031-09-15
Fixed
2.25000000
N
N
N
N
N
N
EBAY INC
OML71K8X303XQONU6T67
eBay Inc
278642AW3
134000.00000000
PA
USD
117581.51000000
0.042359189359
Long
DBT
CORP
US
N
2
2030-03-11
Fixed
2.70000000
N
N
N
N
N
N
COMM Mortgage Trust
N/A
COMM 2015-LC19 Mortgage Trust
200474BC7
500000.00000000
PA
USD
479152.40000000
0.172616487436
Long
ABS-MBS
CORP
US
N
2
2048-02-10
Fixed
3.18300000
N
N
N
N
N
N
REGIONS FINANCIAL CORP
CW05CS5KW59QTC0DG824
Regions Financial Corp
7591EPAE0
20000.00000000
PA
USD
21480.27000000
0.007738349545
Long
DBT
CORP
US
N
2
2037-12-10
Fixed
7.37500000
N
N
N
N
N
N
PIEDMONT NATURAL GAS CO
VXB4M3BDPKF3I2AZ3G89
Piedmont Natural Gas Co Inc
720186AN5
100000.00000000
PA
USD
84162.60000000
0.030319899024
Long
DBT
CORP
US
N
2
2031-03-15
Fixed
2.50000000
N
N
N
N
N
N
MITSUBISHI UFJ FIN GRP
353800V2V8PUY9TK3E06
Mitsubishi UFJ Financial Group Inc
606822AJ3
200000.00000000
PA
USD
185663.71000000
0.066886062690
Long
DBT
CORP
JP
N
2
2026-09-13
Fixed
2.75700000
N
N
N
N
N
N
AIR LEASE CORP
5493004NW4M4P8TMMK63
Air Lease Corp
00914AAK8
10000.00000000
PA
USD
8519.41000000
0.003069150085
Long
DBT
CORP
US
N
2
2030-12-01
Fixed
3.12500000
N
N
N
N
N
N
LEAR CORP
549300UPNBTXA1SYTQ33
Lear Corp
521865BC8
60000.00000000
PA
USD
47598.32000000
0.017147477099
Long
DBT
CORP
US
N
2
2032-01-15
Fixed
2.60000000
N
N
N
N
N
N
AMAZON.COM INC
ZXTILKJKG63JELOEG630
Amazon.com Inc
023135CP9
100000.00000000
PA
USD
101820.13000000
0.036681091842
Long
DBT
CORP
US
N
2
2027-12-01
Fixed
4.55000000
N
N
N
N
N
N
BANK OF AMERICA CORP
9DJT3UXIJIZJI4WXO774
Bank of America Corp
06051GJP5
250000.00000000
PA
USD
208352.56000000
0.075059807809
Long
DBT
CORP
US
N
2
2032-03-11
Fixed
2.65100000
N
N
N
N
N
N
BANCO BILBAO VIZCAYA ARG
K8MS7FD7N5Z2WQ51AZ71
Banco Bilbao Vizcaya Argentaria SA
05946KAH4
40000.00000000
PA
USD
39236.35000000
0.014135045377
Long
DBT
CORP
ES
N
2
2023-09-18
Fixed
0.87500000
N
N
N
N
N
N
CME GROUP INC
LCZ7XYGSLJUHFXXNXD88
CME Group Inc
12572QAF2
60000.00000000
PA
USD
63495.74000000
0.022874583547
Long
DBT
CORP
US
N
2
2043-09-15
Fixed
5.30000000
N
N
N
N
N
N
LLOYDS BANKING GROUP PLC
549300PPXHEU2JF0AM85
Lloyds Banking Group PLC
539439AT6
20000.00000000
PA
USD
19286.58000000
0.006948064319
Long
DBT
CORP
GB
N
2
2028-08-16
Fixed
4.55000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CCP4
1100000.00000000
PA
USD
997648.43000000
0.359406668281
Long
DBT
UST
US
N
2
2026-07-31
Fixed
0.62500000
N
N
N
N
N
N
WILLIS NORTH AMERICA INC
5493004KVU1HWZCP0C66
Willis North America Inc
970648AJ0
50000.00000000
PA
USD
44264.11000000
0.015946315175
Long
DBT
CORP
US
N
2
2029-09-15
Fixed
2.95000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810TM0
998000.00000000
PA
USD
1027940.00000000
0.370319322402
Long
DBT
UST
US
N
2
2042-11-15
Fixed
4.00000000
N
N
N
N
N
N
FHLMC Multifamily Structured P
S6XOOCT0IEG5ABCC6L87
Freddie Mac Multifamily Structured Pass Through Certificates
3137FMTX0
323374.58000000
PA
USD
310057.14000000
0.111699272322
Long
ABS-MBS
USGSE
US
N
2
2029-04-25
Fixed
2.70100000
N
N
N
N
N
N
WESTERN UNION CO/THE
28ID94QU1140NC23S047
Western Union Co/The
959802AY5
40000.00000000
PA
USD
38303.99000000
0.013799159116
Long
DBT
CORP
US
N
2
2025-01-10
Fixed
2.85000000
N
N
N
N
N
N
HOST HOTELS & RESORTS LP
FXB7X4WXVA8QPMNOGS12
Host Hotels & Resorts LP
44107TAW6
50000.00000000
PA
USD
48835.54000000
0.017593190343
Long
DBT
CORP
US
N
2
2026-02-01
Fixed
4.50000000
N
N
N
N
N
N
TRANSCONT GAS PIPE LINE
N/A
Transcontinental Gas Pipe Line Co LLC
893574AH6
50000.00000000
PA
USD
53616.89000000
0.019315689995
Long
DBT
CORP
US
N
2
2026-02-01
Fixed
7.85000000
N
N
N
N
N
N
TSMC ARIZONA CORP
2549005GOBWLCSY63Q97
TSMC Arizona Corp
872898AH4
200000.00000000
PA
USD
198344.97000000
0.071454535179
Long
DBT
CORP
US
N
2
2032-04-22
Fixed
4.25000000
N
N
N
N
N
N
ZOETIS INC
549300HD9Q1LOC9KLJ48
Zoetis Inc
98978VAS2
9000.00000000
PA
USD
7639.21000000
0.002752054663
Long
DBT
CORP
US
N
2
2030-05-15
Fixed
2.00000000
N
N
N
N
N
N
AVERY DENNISON CORP
549300PW7VPFCYKLIV37
Avery Dennison Corp
053611AM1
50000.00000000
PA
USD
40233.35000000
0.014494218446
Long
DBT
CORP
US
N
2
2032-02-15
Fixed
2.25000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179XNG7
495324.65000000
PA
USD
498775.18000000
0.179685669094
Long
ABS-MBS
USGSE
US
N
2
2052-12-20
Fixed
5.50000000
N
N
N
N
N
N
TRUIST BANK
JJKC32MCHWDI71265Z06
Truist Bank
07330MAB3
51000.00000000
PA
USD
48250.08000000
0.017382276136
Long
DBT
CORP
US
N
2
2025-09-16
Fixed
3.62500000
N
N
N
N
N
N
CATERPILLAR FINL SERVICE
EDBQKYOPJUCJKLOJDE72
Caterpillar Financial Services Corp
14912L6G1
50000.00000000
PA
USD
48916.39000000
0.017622316865
Long
DBT
CORP
US
N
2
2024-12-01
Fixed
3.25000000
N
N
N
N
N
N
SOUTHWEST GAS CORP
OQQR1IQTGBKH0UR88X59
Southwest Gas Corp
844895AX0
20000.00000000
PA
USD
15184.92000000
0.005470425594
Long
DBT
CORP
US
N
2
2046-09-29
Fixed
3.80000000
N
N
N
N
N
N
TAPESTRY INC
549300LJNVY5SW3VTN33
Tapestry Inc
876030AA5
100000.00000000
PA
USD
82812.67000000
0.029833581571
Long
DBT
CORP
US
N
2
2032-03-15
Fixed
3.05000000
N
N
N
N
N
N
United States Treasury Note/Bond - When Issued
254900HROIFWPRGM1V77
United States Treasury Note/Bond - When Issued
91282CEN7
1250000.00000000
PA
USD
1210253.90000000
0.435998603209
Long
DBT
UST
US
N
2
2027-04-30
Fixed
2.75000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179VXY1
276518.05000000
PA
USD
245406.53000000
0.088408642433
Long
ABS-MBS
USGSE
US
N
2
2050-11-20
Fixed
2.50000000
N
N
N
N
N
N
FMC CORP
CKDHZ2X64EEBQCSP7013
FMC Corp
302491AU9
40000.00000000
PA
USD
36664.42000000
0.013208497743
Long
DBT
CORP
US
N
2
2029-10-01
Fixed
3.45000000
N
N
N
N
N
N
AIR PRODUCTS & CHEMICALS
7QEON6Y1RL5XR3R1W237
Air Products and Chemicals Inc
009158AY2
99000.00000000
PA
USD
90935.88000000
0.032759999089
Long
DBT
CORP
US
N
2
2027-05-15
Fixed
1.85000000
N
N
N
N
N
N
CONSUMERS ENERGY CO
7NKTFWJ1G6MELP9TU740
Consumers Energy Co
210518DH6
90000.00000000
PA
USD
70438.41000000
0.025375707008
Long
DBT
CORP
US
N
2
2051-08-01
Fixed
3.50000000
N
N
N
N
N
N
COOPERATIEVE RABOBANK UA
DG3RU1DBUFHT4ZF9WN62
Cooperatieve Rabobank UA
21684AAF3
200000.00000000
PA
USD
188243.47000000
0.067815431111
Long
DBT
CORP
NL
N
2
2026-07-21
Fixed
3.75000000
N
N
N
N
N
N
PHILLIPS 66
RVJMT2IZVVSKIRJJBH76
Phillips 66 Co
718547AL6
112000.00000000
PA
USD
99409.19000000
0.035812541472
Long
DBT
CORP
US
Y
2
2045-02-15
Fixed
4.68000000
N
N
N
N
N
N
MORGAN STANLEY
IGJSJL3JD5P30I6NJZ34
Morgan Stanley
61747YEF8
100000.00000000
PA
USD
76861.10000000
0.027689505682
Long
DBT
CORP
US
N
2
2036-09-16
Fixed
2.48400000
N
N
N
N
N
N
CANADA GOVERNMENT
4BFD7AQU0A75QLAHK410
Canada Government International Bond
135087N75
100000.00000000
PA
USD
97586.14000000
0.035155780727
Long
DBT
NUSS
CA
N
2
2025-04-28
Fixed
2.87500000
N
N
N
N
N
N
REINSURANCE GRP OF AMER
LORM1GNEU1DKEW527V90
Reinsurance Group of America Inc
759351AM1
20000.00000000
PA
USD
19375.06000000
0.006979939578
Long
DBT
CORP
US
N
2
2026-09-15
Fixed
3.95000000
N
N
N
N
N
N
CANADIAN NATL RAILWAY
3SU7BEP7TH9YEQOZCS77
Canadian National Railway Co
136375BQ4
50000.00000000
PA
USD
57986.92000000
0.020890010042
Long
DBT
CORP
CA
N
2
2037-11-15
Fixed
6.37500000
N
N
N
N
N
N
TRANSCONT GAS PIPE LINE
N/A
Transcontinental Gas Pipe Line Co LLC
893574AP8
150000.00000000
PA
USD
136816.83000000
0.049288787068
Long
DBT
CORP
US
N
2
2030-05-15
Fixed
3.25000000
N
N
N
N
N
N
KINDER MORGAN INC
549300WR7IX8XE0TBO16
Kinder Morgan Inc
49456BAU5
90000.00000000
PA
USD
81327.91000000
0.029298691094
Long
DBT
CORP
US
N
2
2026-11-15
Fixed
1.75000000
N
N
N
N
N
N
TOYOTA MOTOR CREDIT CORP
Z2VZBHUMB7PWWJ63I008
Toyota Motor Credit Corp
89236TKG9
100000.00000000
PA
USD
99714.31000000
0.035922462121
Long
DBT
CORP
US
N
2
2024-09-20
Fixed
4.40000000
N
N
N
N
N
N
CIGNA GROUP/THE
549300VIWYMSIGT1U456
Cigna Group/The
125523AJ9
50000.00000000
PA
USD
48514.52000000
0.017477541659
Long
DBT
CORP
US
N
2
2038-08-15
Fixed
4.80000000
N
N
N
N
N
N
SUMITOMO MITSUI FINL GRP
35380028MYWPB6AUO129
Sumitomo Mitsui Financial Group Inc
86562MBW9
110000.00000000
PA
USD
95929.57000000
0.034558995039
Long
DBT
CORP
JP
N
2
2030-01-15
Fixed
2.75000000
N
N
N
N
N
N
ILLINOIS TOOL WORKS INC
76NA4I14SZCFAYMNSV04
Illinois Tool Works Inc
452308AQ2
60000.00000000
PA
USD
60815.41000000
0.021908984398
Long
DBT
CORP
US
N
2
2041-09-15
Fixed
4.87500000
N
N
N
N
N
N
MASTERCARD INC
AR5L2ODV9HN37376R084
Mastercard Inc
57636QAU8
100000.00000000
PA
USD
84932.65000000
0.030597312486
Long
DBT
CORP
US
N
2
2031-11-18
Fixed
2.00000000
N
N
N
N
N
N
REPUBLIC OF KOREA
549300O0QCVSQGPGDT58
Korea International Bond
50064FAQ7
10000.00000000
PA
USD
9241.50000000
0.003329285773
Long
DBT
NUSS
KR
N
2
2029-06-19
Fixed
2.50000000
N
N
N
N
N
N
NORTHERN TRUST CORP
549300GLF98S992BC502
Northern Trust Corp
665859AU8
20000.00000000
PA
USD
18684.20000000
0.006731054617
Long
DBT
CORP
US
N
2
2029-05-03
Fixed
3.15000000
N
N
N
N
N
N
UNILEVER CAPITAL CORP
MYF1DAS6G5WY7PRWCU78
Unilever Capital Corp
904764BQ9
100000.00000000
PA
USD
82550.55000000
0.029739151837
Long
DBT
CORP
US
N
2
2031-08-12
Fixed
1.75000000
N
N
N
N
N
N
HASBRO INC
549300NUB6D2R1ITYR45
Hasbro Inc
418056AV9
10000.00000000
PA
USD
9496.25000000
0.003421060436
Long
DBT
CORP
US
N
2
2027-09-15
Fixed
3.50000000
N
N
N
N
N
N
JPMORGAN CHASE & CO
8I5DZWZKVSZI1NUHU748
JPMorgan Chase & Co
46647PBE5
210000.00000000
PA
USD
184213.31000000
0.066363550534
Long
DBT
CORP
US
N
2
2030-10-15
Fixed
2.73900000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418D4X7
999708.17000000
PA
USD
833172.02000000
0.300153411571
Long
ABS-MBS
USGSE
US
N
2
2051-10-01
Fixed
2.00000000
N
N
N
N
N
N
Bank
N/A
BANK 2021-BNK34
06541JAB7
100000.00000000
PA
USD
90482.60000000
0.032596703232
Long
ABS-MBS
CORP
US
N
2
2063-06-15
Fixed
1.93500000
N
N
N
N
N
N
IBM CORP
VGRQXHF3J8VDLUA7XE92
International Business Machines Corp
459200AM3
20000.00000000
PA
USD
21184.05000000
0.007631635155
Long
DBT
CORP
US
N
2
2025-10-30
Fixed
7.00000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
3140X9C29
1640177.66000000
PA
USD
1592683.56000000
0.573770353076
Long
ABS-MBS
USGSE
US
N
2
2049-05-01
Fixed
4.00000000
N
N
N
N
N
N
INTERNATIONAL PAPER CO
824LMFJDH41EY779Q875
International Paper Co
460146CS0
42000.00000000
PA
USD
36313.31000000
0.013082009021
Long
DBT
CORP
US
N
2
2048-08-15
Fixed
4.35000000
N
N
N
N
N
N
MARSH & MCLENNAN COS INC
549300XMP3KDCKJXIU47
Marsh & McLennan Cos Inc
571748BN1
150000.00000000
PA
USD
128068.97000000
0.046137336995
Long
DBT
CORP
US
N
2
2030-11-15
Fixed
2.25000000
N
N
N
N
N
N
WISCONSIN PUBLIC SERVICE
549300BJRHJVYNUMQZ30
Wisconsin Public Service Corp
976843BH4
48000.00000000
PA
USD
39202.20000000
0.014122742709
Long
DBT
CORP
US
N
2
2042-12-01
Fixed
3.67100000
N
N
N
N
N
N
WALT DISNEY COMPANY/THE
549300GZKULIZ0WOW665
Walt Disney Co/The
254687FX9
40000.00000000
PA
USD
35456.42000000
0.012773311116
Long
DBT
CORP
US
N
2
2031-01-13
Fixed
2.65000000
N
N
N
N
N
N
ERP OPERATING LP
DX5HQV5MLU50FEWZ5072
ERP Operating LP
26884ABM4
86000.00000000
PA
USD
74645.94000000
0.026891485807
Long
DBT
CORP
US
N
2
2030-02-15
Fixed
2.50000000
N
N
N
N
N
N
IBM CORP
VGRQXHF3J8VDLUA7XE92
International Business Machines Corp
459200GS4
72000.00000000
PA
USD
74828.86000000
0.026957383438
Long
DBT
CORP
US
N
2
2039-11-30
Fixed
5.60000000
N
N
N
N
N
N
BROADCOM INC
549300WV6GIDOZJTV909
Broadcom Inc
11135FBT7
212000.00000000
PA
USD
193649.64000000
0.069763024562
Long
DBT
CORP
US
Y
2
2032-04-15
Fixed
4.15000000
N
N
N
N
N
N
VODAFONE GROUP PLC
213800TB53ELEUKM7Q61
Vodafone Group PLC
92857WAQ3
183000.00000000
PA
USD
197144.56000000
0.071022082878
Long
DBT
CORP
GB
N
2
2037-02-27
Fixed
6.15000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CCF6
700000.00000000
PA
USD
639816.41000000
0.230496312443
Long
DBT
UST
US
N
2
2026-05-31
Fixed
0.75000000
N
N
N
N
N
N
BLOCK FINANCIAL LLC
N/A
Block Financial LLC
093662AJ3
40000.00000000
PA
USD
34566.15000000
0.012452587939
Long
DBT
CORP
US
N
2
2028-07-15
Fixed
2.50000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810TH1
3900000.00000000
PA
USD
3611308.58000000
1.300987748635
Long
DBT
UST
US
N
2
2042-05-15
Fixed
3.25000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179XLK0
197603.20000000
PA
USD
200643.90000000
0.072282733517
Long
ABS-MBS
USGSE
US
N
2
2052-11-20
Fixed
6.00000000
N
N
N
N
N
N
REGIONS FINANCIAL CORP
CW05CS5KW59QTC0DG824
Regions Financial Corp
7591EPAT7
10000.00000000
PA
USD
8316.32000000
0.002995986134
Long
DBT
CORP
US
N
2
2028-08-12
Fixed
1.80000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810TA6
1050000.00000000
PA
USD
763751.95000000
0.275144565449
Long
DBT
UST
US
N
2
2041-08-15
Fixed
1.75000000
N
N
N
N
N
N
WALT DISNEY COMPANY/THE
549300GZKULIZ0WOW665
Walt Disney Co/The
254687EB8
130000.00000000
PA
USD
150213.79000000
0.054115093223
Long
DBT
CORP
US
N
2
2035-12-15
Fixed
6.40000000
N
N
N
N
N
N
JPMORGAN CHASE & CO
8I5DZWZKVSZI1NUHU748
JPMorgan Chase & Co
46647PCH7
110000.00000000
PA
USD
104509.69000000
0.037650016134
Long
DBT
CORP
US
N
2
2025-06-01
Fixed
0.82400000
N
N
N
N
N
N
HUNTINGTON BANCSHARES
549300XTVCVV9I7B5T19
Huntington Bancshares Inc/OH
446150AQ7
100000.00000000
PA
USD
95044.05000000
0.034239983067
Long
DBT
CORP
US
N
2
2024-08-06
Fixed
2.62500000
N
N
N
N
N
N
BUNGE LTD FINANCE CORP
549300QHC068L40NNM71
Bunge Ltd Finance Corp
120568AX8
30000.00000000
PA
USD
28626.09000000
0.010312658571
Long
DBT
CORP
US
N
2
2026-08-15
Fixed
3.25000000
N
N
N
N
N
N
CITIGROUP INC
6SHGI4ZSSLCXXQSBB395
Citigroup Inc
172967ME8
948000.00000000
PA
USD
889397.15000000
0.320408730018
Long
DBT
CORP
US
N
2
2030-03-20
Fixed
3.98000000
N
N
N
N
N
N
JM SMUCKER CO
5493000WDH6A0LHDJD55
J M Smucker Co/The
832696AV0
100000.00000000
PA
USD
72328.14000000
0.026056489479
Long
DBT
CORP
US
N
2
2041-09-15
Fixed
2.75000000
N
N
N
N
N
N
FANNIE MAE
B1V7KEBTPIMZEU4LTD58
Federal National Mortgage Association
3135G0Q22
200000.00000000
PA
USD
188158.25000000
0.067784730280
Long
DBT
USGSE
US
N
2
2026-09-24
Fixed
1.87500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810TB4
160000.00000000
PA
USD
109012.50000000
0.039272170684
Long
DBT
UST
US
N
2
2051-11-15
Fixed
1.87500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CGN5
600000.00000000
PA
USD
604968.75000000
0.217942309448
Long
DBT
UST
US
N
2
2025-02-28
Fixed
4.62500000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179VTW0
689169.39000000
PA
USD
612046.96000000
0.220492261713
Long
ABS-MBS
USGSE
US
N
2
2050-09-20
Fixed
2.50000000
N
N
N
N
N
N
HUMANA INC
529900YLDW34GJAO4J06
Humana Inc
444859BR2
100000.00000000
PA
USD
81083.89000000
0.029210781954
Long
DBT
CORP
US
N
2
2032-02-03
Fixed
2.15000000
N
N
N
N
N
N
ELEVANCE HEALTH INC
8MYN82XMYQH89CTMTH67
Elevance Health Inc
036752AU7
100000.00000000
PA
USD
90737.76000000
0.032688625600
Long
DBT
CORP
US
N
2
2052-05-15
Fixed
4.55000000
N
N
N
N
N
N
NXP BV/NXP FDG/NXP USA
N/A
NXP BV / NXP Funding LLC / NXP USA Inc
62954HAJ7
100000.00000000
PA
USD
82213.65000000
0.029617782322
Long
DBT
CORP
N/A
N
2
2032-02-15
Fixed
2.65000000
N
N
N
N
N
N
TEXAS INSTRUMENTS INC
WDJNR2L6D8RWOEB8T652
Texas Instruments Inc
882508BF0
10000.00000000
PA
USD
9179.33000000
0.003306888792
Long
DBT
CORP
US
N
2
2039-03-15
Fixed
3.87500000
N
N
N
N
N
N
SAN DIEGO G & E
KNIRVXKVNJJ4P8OTMS63
San Diego Gas & Electric Co
797440BW3
43000.00000000
PA
USD
37445.47000000
0.013489873997
Long
DBT
CORP
US
N
2
2048-05-15
Fixed
4.15000000
N
N
N
N
N
N
PACCAR FINANCIAL CORP
PH3S12DWZBHHQKVYZ297
PACCAR Financial Corp
69371RR99
100000.00000000
PA
USD
97928.99000000
0.035279293752
Long
DBT
CORP
US
N
2
2025-08-11
Fixed
3.55000000
N
N
N
N
N
N
ONTARIO (PROVINCE OF)
C7PVKCRGLG18EBQGZV36
Province of Ontario Canada
68323ACT9
110000.00000000
PA
USD
108130.17000000
0.038954307922
Long
DBT
NUSS
CA
N
2
2024-05-16
Fixed
3.20000000
N
N
N
N
N
N
COMCAST CORP
51M0QTTNCGUN7KFCFZ59
Comcast Corp
20030NEB3
100000.00000000
PA
USD
107173.42000000
0.038609635070
Long
DBT
CORP
US
N
2
2032-11-15
Fixed
5.50000000
N
N
N
N
N
N
CELULOSA ARAUCO CONSTITU
549300QEKV8G0AMNQD28
Celulosa Arauco y Constitucion SA
151191BB8
50000.00000000
PA
USD
46701.88000000
0.016824531156
Long
DBT
CORP
CL
N
2
2027-11-02
Fixed
3.87500000
N
N
N
N
N
N
CROWN CASTLE INC
54930012H97VSM0I2R19
Crown Castle Inc
22822VAR2
214000.00000000
PA
USD
193160.40000000
0.069586773978
Long
DBT
CORP
US
N
2
2030-07-01
Fixed
3.30000000
N
N
N
N
N
N
OEKB OEST. KONTROLLBANK
5299000OVRLMF858L016
Oesterreichische Kontrollbank AG
676167BX6
109000.00000000
PA
USD
107896.27000000
0.038870044551
Long
DBT
CORP
AT
N
2
2023-11-07
Fixed
3.12500000
N
N
N
N
N
N
EVERGY METRO
1128SIJQ26096WL7IO82
Evergy Metro Inc
30037DAB1
100000.00000000
PA
USD
100504.11000000
0.036206990596
Long
DBT
CORP
US
N
2
2033-04-15
Fixed
4.95000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DZ88
81379.66000000
PA
USD
72037.07000000
0.025951630396
Long
ABS-MBS
USGSE
US
N
2
2041-06-01
Fixed
2.50000000
N
N
N
N
N
N
AMGEN INC
62QBXGPJ34PQ72Z12S66
Amgen Inc
031162DS6
100000.00000000
PA
USD
102900.29000000
0.037070223619
Long
DBT
CORP
US
N
2
2043-03-02
Fixed
5.60000000
N
N
N
N
N
N
FEDERAL HOME LOAN BANK
2549001DPIFGXC1TOL40
Federal Home Loan Banks
3130A3DL5
390000.00000000
PA
USD
386107.66000000
0.139096763454
Long
DBT
USGSE
US
N
2
2023-09-08
Fixed
2.37500000
N
N
N
N
N
N
Honda Auto Receivables Owner T
N/A
Honda Auto Receivables 2021-2 Owner Trust
43811JAC1
72660.60000000
PA
USD
70379.11000000
0.025354343956
Long
ABS-O
CORP
US
N
2
2025-08-15
Fixed
0.33000000
N
N
N
N
N
N
CANADIAN PACIFIC RAILWAY
54930036474DURYNB481
Canadian Pacific Railway Co
13645RBF0
100000.00000000
PA
USD
89219.67000000
0.032141727862
Long
DBT
CORP
CA
N
2
2031-12-02
Fixed
2.45000000
N
N
N
N
N
N
AMERICAN WATER CAPITAL C
5IDHQUFVC8Q2KIBBFF06
American Water Capital Corp
03040WAY1
110000.00000000
PA
USD
93794.52000000
0.033789835098
Long
DBT
CORP
US
N
2
2031-06-01
Fixed
2.30000000
N
N
N
N
N
N
NORFOLK SOUTHERN CORP
54930036C8MWP850MI84
Norfolk Southern Corp
655844CL0
110000.00000000
PA
USD
73551.79000000
0.026497314078
Long
DBT
CORP
US
N
2
2051-08-25
Fixed
2.90000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CGT2
2000000.00000000
PA
USD
2010781.24000000
0.724391643769
Long
DBT
UST
US
N
2
2028-03-31
Fixed
3.62500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CBW0
3200000.00000000
PA
USD
2931500.00000000
1.056084103764
Long
DBT
UST
US
N
2
2026-04-30
Fixed
0.75000000
N
N
N
N
N
N
ASTRAZENECA PLC
PY6ZZQWO2IZFZC3IOL08
AstraZeneca PLC
046353AM0
10000.00000000
PA
USD
9591.97000000
0.003455543933
Long
DBT
CORP
GB
N
2
2045-11-16
Fixed
4.37500000
N
N
N
N
N
N
DELL INT LLC / EMC CORP
N/A
Dell International LLC / EMC Corp
24703TAJ5
122000.00000000
PA
USD
143209.40000000
0.051591734896
Long
DBT
CORP
US
N
2
2036-07-15
Fixed
8.10000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810TK4
500000.00000000
PA
USD
470859.38000000
0.169628895216
Long
DBT
UST
US
N
2
2042-08-15
Fixed
3.37500000
N
N
N
N
N
N
EQUINOR ASA
OW6OFBNCKXC4US5C7523
Equinor ASA
85771PAL6
22000.00000000
PA
USD
19715.44000000
0.007102562777
Long
DBT
CORP
NO
N
2
2043-05-15
Fixed
3.95000000
N
N
N
N
N
N
VISA INC
549300JZ4OKEHW3DPJ59
Visa Inc
92826CAE2
201000.00000000
PA
USD
197860.84000000
0.071280125492
Long
DBT
CORP
US
N
2
2035-12-14
Fixed
4.15000000
N
N
N
N
N
N
ROGERS COMMUNICATIONS IN
54930030NVF3Y2OL0A78
Rogers Communications Inc
775109AZ4
140000.00000000
PA
USD
132195.29000000
0.047623859580
Long
DBT
CORP
CA
N
2
2043-10-01
Fixed
5.45000000
N
N
N
N
N
N
APPALACHIAN POWER CO
3SCHO1ABYYIG382BEI70
Appalachian Power Co
037735CT2
260000.00000000
PA
USD
225589.41000000
0.081269449046
Long
DBT
CORP
US
N
2
2044-05-15
Fixed
4.40000000
N
N
N
N
N
N
GLOBAL PAYMENTS INC
549300NOMHGVQBX6S778
Global Payments Inc
37940XAB8
150000.00000000
PA
USD
132666.73000000
0.047793697646
Long
DBT
CORP
US
N
2
2029-08-15
Fixed
3.20000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418D3G5
1381066.95000000
PA
USD
1151594.68000000
0.414866394517
Long
ABS-MBS
USGSE
US
N
2
2051-08-01
Fixed
2.00000000
N
N
N
N
N
N
PNC BANK NA
AD6GFRVSDT01YPT1CS68
PNC Bank NA
69353REF1
10000.00000000
PA
USD
9636.71000000
0.003471661689
Long
DBT
CORP
US
N
2
2024-10-30
Fixed
3.30000000
N
N
N
N
N
N
QORVO INC
254900YAUJV2EUEVBR11
Qorvo Inc
74739DAA2
30000.00000000
PA
USD
28092.90000000
0.010120574831
Long
DBT
CORP
US
Y
2
2024-12-15
Fixed
1.75000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179XH25
197110.93000000
PA
USD
198545.16000000
0.071526654393
Long
ABS-MBS
USGSE
US
N
2
2052-10-20
Fixed
5.50000000
N
N
N
N
N
N
KEYSIGHT TECHNOLOGIES
549300GLKVIO8YRCYN02
Keysight Technologies Inc
49338LAF0
50000.00000000
PA
USD
44671.49000000
0.016093075381
Long
DBT
CORP
US
N
2
2029-10-30
Fixed
3.00000000
N
N
N
N
N
N
SCHLUMBERGER FIN CA
549300P4EXZFF0LRNF59
Schlumberger Finance Canada Ltd
80685XAC5
10000.00000000
PA
USD
9277.44000000
0.003342233296
Long
DBT
CORP
CA
N
2
2025-09-17
Fixed
1.40000000
N
N
N
N
N
N
NATIONAL AUSTRALIA BK/NY
549300E2IPL06NDXMZ63
National Australia Bank Ltd/New York
63254AAP3
50000.00000000
PA
USD
48624.19000000
0.017517050696
Long
DBT
CORP
AU
N
2
2026-01-14
Fixed
3.37500000
N
N
N
N
N
N
SEMPRA ENERGY
PBBKGKLRK5S5C0Y4T545
Sempra Energy
816851AP4
94000.00000000
PA
USD
99241.79000000
0.035752234981
Long
DBT
CORP
US
N
2
2039-10-15
Fixed
6.00000000
N
N
N
N
N
N
JPMORGAN CHASE & CO
8I5DZWZKVSZI1NUHU748
JPMorgan Chase & Co
46647PCP9
100000.00000000
PA
USD
89045.42000000
0.032078953632
Long
DBT
CORP
US
N
2
2027-09-22
Fixed
1.47000000
N
N
N
N
N
N
NSTAR ELECTRIC CO
54930080R72Y2Z31UR68
NSTAR Electric Co
67021CAP2
110000.00000000
PA
USD
106884.56000000
0.038505572148
Long
DBT
CORP
US
N
2
2030-04-01
Fixed
3.95000000
N
N
N
N
N
N
PPG INDUSTRIES INC
549300BKPEP01R3V6C59
PPG Industries Inc
693506BP1
50000.00000000
PA
USD
48365.30000000
0.017423784582
Long
DBT
CORP
US
N
2
2028-03-15
Fixed
3.75000000
N
N
N
N
N
N
KEYCORP
RKPI3RZGV1V1FJTH5T61
KeyCorp
49326EEK5
90000.00000000
PA
USD
78479.18000000
0.028272425200
Long
DBT
CORP
US
N
2
2027-04-06
Fixed
2.25000000
N
N
N
N
N
N
NUTRIEN LTD
5493002QQ7GD21OWF963
Nutrien Ltd
67077MAT5
100000.00000000
PA
USD
97266.70000000
0.035040701243
Long
DBT
CORP
CA
N
2
2029-04-01
Fixed
4.20000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DZ39
73515.18000000
PA
USD
68432.73000000
0.024653153105
Long
ABS-MBS
USGSE
US
N
2
2036-06-01
Fixed
2.50000000
N
N
N
N
N
N
REPUBLIC OF CHILE
549300FLZTJM5YJF8D34
Chile Government International Bond
168863CA4
30000.00000000
PA
USD
29093.18000000
0.010480929532
Long
DBT
NUSS
CL
N
2
2026-01-21
Fixed
3.12500000
N
N
N
N
N
N
BIOGEN INC
W8J5WZB5IY3K0NDQT671
Biogen Inc
09062XAH6
20000.00000000
PA
USD
17018.77000000
0.006131077080
Long
DBT
CORP
US
N
2
2030-05-01
Fixed
2.25000000
N
N
N
N
N
N
EQUINOR ASA
OW6OFBNCKXC4US5C7523
Equinor ASA
29446MAE2
10000.00000000
PA
USD
9539.36000000
0.003436590979
Long
DBT
CORP
NO
N
2
2027-04-06
Fixed
3.00000000
N
N
N
N
N
N
UNILEVER CAPITAL CORP
MYF1DAS6G5WY7PRWCU78
Unilever Capital Corp
904764AU1
21000.00000000
PA
USD
19735.79000000
0.007109893943
Long
DBT
CORP
US
N
2
2026-07-28
Fixed
2.00000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810SN9
1850000.00000000
PA
USD
1078419.93000000
0.388504910542
Long
DBT
UST
US
N
2
2050-05-15
Fixed
1.25000000
N
N
N
N
N
N
PROVINCE OF QUEBEC
549300WN65YFEQH74Y36
Province of Quebec Canada
748148RZ8
180000.00000000
PA
USD
171282.73000000
0.061705259560
Long
DBT
NUSS
CA
N
2
2025-02-11
Fixed
1.50000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418C2Y9
155341.67000000
PA
USD
153489.01000000
0.055295003774
Long
ABS-MBS
USGSE
US
N
2
2033-10-01
Fixed
4.00000000
N
N
N
N
N
N
AMERICAN HONDA FINANCE
B6Q2VFHD1797Q7NZ3E43
American Honda Finance Corp
02665WEA5
100000.00000000
PA
USD
94967.22000000
0.034212304765
Long
DBT
CORP
US
N
2
2025-01-13
Fixed
1.50000000
N
N
N
N
N
N
ENTERPRISE PRODUCTS OPER
5493004LGN656HWLDA30
Enterprise Products Operating LLC
29379VBA0
100000.00000000
PA
USD
93297.20000000
0.033610673663
Long
DBT
CORP
US
N
2
2044-03-15
Fixed
4.85000000
N
N
N
N
N
N
MASTERCARD INC
AR5L2ODV9HN37376R084
Mastercard Inc
57636QAP9
44000.00000000
PA
USD
41888.23000000
0.015090395305
Long
DBT
CORP
US
N
2
2030-03-26
Fixed
3.35000000
N
N
N
N
N
N
BANK OF AMERICA CORP
9DJT3UXIJIZJI4WXO774
Bank of America Corp
06051GKB4
200000.00000000
PA
USD
136471.15000000
0.049164254524
Long
DBT
CORP
US
N
2
2052-07-21
Fixed
2.97200000
N
N
N
N
N
N
WISCONSIN POWER & LIGHT
JWBYHVQVMY66CVCOSO49
Wisconsin Power and Light Co
976826BP1
10000.00000000
PA
USD
8122.84000000
0.002926284223
Long
DBT
CORP
US
N
2
2031-09-16
Fixed
1.95000000
N
N
N
N
N
N
CAPITAL ONE FINANCIAL CO
ZUE8T73ROZOF6FLBAR73
Capital One Financial Corp
14040HCX1
200000.00000000
PA
USD
196768.88000000
0.070886742719
Long
DBT
CORP
US
N
2
2029-02-01
Fixed
5.46800000
N
N
N
N
N
N
LINCOLN NATIONAL CORP
EFQMQROEDSNBRIP7LE47
Lincoln National Corp
534187BQ1
10000.00000000
PA
USD
7877.61000000
0.002837939176
Long
DBT
CORP
US
N
2
2032-03-01
Fixed
3.40000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CFF3
1150000.00000000
PA
USD
1088367.19000000
0.392088449059
Long
DBT
UST
US
N
2
2032-08-15
Fixed
2.75000000
N
N
N
N
N
N
ENBRIDGE INC
98TPTUM4IVMFCZBCUR27
Enbridge Inc
29250NAZ8
160000.00000000
PA
USD
145405.29000000
0.052382812680
Long
DBT
CORP
CA
N
2
2029-11-15
Fixed
3.12500000
N
N
N
N
N
N
CELANESE US HOLDINGS LLC
CD30XVRLT4QO00B1C706
Celanese US Holdings LLC
15089QAK0
100000.00000000
PA
USD
87677.44000000
0.031586133598
Long
DBT
CORP
US
N
2
2026-08-05
Fixed
1.40000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EMA5
284110.64000000
PA
USD
293790.35000000
0.105839098916
Long
ABS-MBS
USGSE
US
N
2
2052-11-01
Fixed
6.50000000
N
N
N
N
N
N
CORNING INC
549300X2937PB0CJ7I56
Corning Inc
219350BP9
10000.00000000
PA
USD
7770.34000000
0.002799294748
Long
DBT
CORP
US
N
2
2049-11-15
Fixed
3.90000000
N
N
N
N
N
N
EMERA US FINANCE LP
N/A
Emera US Finance LP
29103DAM8
52000.00000000
PA
USD
43211.02000000
0.015566935469
Long
DBT
CORP
US
N
2
2046-06-15
Fixed
4.75000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EB82
1014691.81000000
PA
USD
844654.96000000
0.304290184690
Long
ABS-MBS
USGSE
US
N
2
2052-03-01
Fixed
2.00000000
N
N
N
N
N
N
HUMANA INC
529900YLDW34GJAO4J06
Humana Inc
444859BN1
50000.00000000
PA
USD
50149.55000000
0.018066567479
Long
DBT
CORP
US
N
2
2030-04-01
Fixed
4.87500000
N
N
N
N
N
N
TOYOTA MOTOR CREDIT CORP
Z2VZBHUMB7PWWJ63I008
Toyota Motor Credit Corp
89236TJT3
100000.00000000
PA
USD
94914.16000000
0.034193189697
Long
DBT
CORP
US
N
2
2025-01-13
Fixed
1.45000000
N
N
N
N
N
N
PARAMOUNT GLOBAL
5KYC8KF17ROCY24M3H09
Paramount Global
124857AZ6
20000.00000000
PA
USD
18546.62000000
0.006681490895
Long
DBT
CORP
US
N
2
2029-06-01
Fixed
4.20000000
N
N
N
N
N
N
COMCAST CORP
51M0QTTNCGUN7KFCFZ59
Comcast Corp
20030NDW8
300000.00000000
PA
USD
194248.74000000
0.069978852631
Long
DBT
CORP
US
N
2
2063-11-01
Fixed
2.98700000
N
N
N
N
N
N
KIMBERLY-CLARK CORP
MP3J6QPYPGN75NVW2S34
Kimberly-Clark Corp
494368BG7
69000.00000000
PA
USD
73006.63000000
0.026300918100
Long
DBT
CORP
US
N
2
2041-03-01
Fixed
5.30000000
N
N
N
N
N
N
BANK OF AMERICA CORP
9DJT3UXIJIZJI4WXO774
Bank of America Corp
06051GJB6
200000.00000000
PA
USD
169419.65000000
0.061034077854
Long
DBT
CORP
US
N
2
2031-04-29
Fixed
2.59200000
N
N
N
N
N
N
COCA-COLA CO/THE
UWJKFUJFZ02DKWI3RY53
Coca-Cola Co/The
191216CU2
85000.00000000
PA
USD
77300.47000000
0.027847790407
Long
DBT
CORP
US
N
2
2027-06-01
Fixed
1.45000000
N
N
N
N
N
Bank of America Credit Card Tr
5493006DQ60M1CRKHH19
BA Credit Card Trust
05522RDD7
20000.00000000
PA
USD
19117.12000000
0.006887015705
Long
ABS-O
CORP
US
N
2
2026-09-15
Fixed
0.44000000
N
N
N
N
N
N
HSBC HOLDINGS PLC
MLU0ZO3ML4LN2LL2TL39
HSBC Holdings PLC
404280CS6
175000.00000000
PA
USD
165553.79000000
0.059641386981
Long
DBT
CORP
GB
N
2
2025-05-24
Fixed
0.97600000
N
N
N
N
N
N
CBRE SERVICES INC
549300CTE3HOMEUMM603
CBRE Services Inc
12505BAD2
20000.00000000
PA
USD
20014.70000000
0.007210372338
Long
DBT
CORP
US
N
2
2026-03-01
Fixed
4.87500000
N
N
N
N
N
N
COMMONWEALTH EDISON CO
D8YOXB8L2ZDC8P7Q0771
Commonwealth Edison Co
202795JU5
100000.00000000
PA
USD
67453.27000000
0.024300298889
Long
DBT
CORP
US
N
2
2051-09-01
Fixed
2.75000000
N
N
N
N
N
N
EXPORT DEVELOPMNT CANADA
Z6MHCSLXHKYG4B6PHW02
Export Development Canada
30216BJU7
100000.00000000
PA
USD
98670.75000000
0.035546515634
Long
DBT
NUSS
CA
N
2
2025-08-26
Fixed
3.37500000
N
N
N
N
N
N
KFW
549300GDPG70E3MBBU98
Kreditanstalt fuer Wiederaufbau
500769JT2
432000.00000000
PA
USD
420956.93000000
0.151651346458
Long
DBT
CORP
DE
N
2
2027-05-20
Fixed
3.00000000
N
N
N
N
N
N
ALLY FINANCIAL INC
549300JBN1OSM8YNAI90
Ally Financial Inc
02005NBJ8
10000.00000000
PA
USD
9913.30000000
0.003571304296
Long
DBT
CORP
US
N
2
2025-05-01
Fixed
5.80000000
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912828YB0
514000.00000000
PA
USD
461033.90000000
0.166089228410
Long
DBT
UST
US
N
2
2029-08-15
Fixed
1.62500000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418CHT4
244003.67000000
PA
USD
238029.43000000
0.085751013901
Long
ABS-MBS
USGSE
US
N
2
2032-03-01
Fixed
3.50000000
N
N
N
N
N
N
INTEL CORP
KNX4USFCNGPY45LOCE31
Intel Corp
458140AY6
60000.00000000
PA
USD
50505.73000000
0.018194882688
Long
DBT
CORP
US
N
2
2047-05-11
Fixed
4.10000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DYA4
350394.84000000
PA
USD
276402.02000000
0.099574886430
Long
ABS-MBS
USGSE
US
N
2
2051-04-01
Fixed
1.50000000
N
N
N
N
N
N
TWDC ENTERPRISES 18 CORP
7260JQNI6SCF9FIV2392
TWDC Enterprises 18 Corp
25468PCP9
20000.00000000
PA
USD
18560.38000000
0.006686447988
Long
DBT
CORP
US
N
2
2041-08-16
Fixed
4.37500000
N
N
N
N
N
N
ARCHER-DANIELS-MIDLAND C
549300LO13MQ9HYSTR83
Archer-Daniels-Midland Co
039482AB0
10000.00000000
PA
USD
9395.91000000
0.003384912567
Long
DBT
CORP
US
N
2
2030-03-27
Fixed
3.25000000
N
N
N
N
N
N
STANLEY BLACK & DECKER I
549300DJ09SMTO561131
Stanley Black & Decker Inc
854502AQ4
100000.00000000
PA
USD
84885.89000000
0.030580467017
Long
DBT
CORP
US
N
2
2032-05-15
Fixed
3.00000000
N
N
N
N
N
WASTE CONNECTIONS INC
549300HDLRTPBQU69P29
Waste Connections Inc
94106BAC5
100000.00000000
PA
USD
82435.46000000
0.029697690224
Long
DBT
CORP
CA
N
2
2032-01-15
Fixed
2.20000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418ELY4
483683.90000000
PA
USD
487695.48000000
0.175694164729
Long
ABS-MBS
USGSE
US
N
2
2052-12-01
Fixed
5.50000000
N
N
N
N
N
N
LINCOLN NATIONAL CORP
EFQMQROEDSNBRIP7LE47
Lincoln National Corp
534187BJ7
60000.00000000
PA
USD
48998.15000000
0.017651771219
Long
DBT
CORP
US
N
2
2030-01-15
Fixed
3.05000000
N
N
N
N
N
N
GENERAL MOTORS FINL CO
5493008B6JBRUJ90QL97
General Motors Financial Co Inc
37045XDW3
200000.00000000
PA
USD
197810.31000000
0.071261921866
Long
DBT
CORP
US
N
2
2027-04-09
Fixed
5.00000000
N
N
N
N
N
N
BANK 2021-BN35
N/A
BANK 2021-BNK35
06540CAY3
100000.00000000
PA
USD
86388.55000000
0.031121806038
Long
ABS-MBS
CORP
US
N
2
2064-06-15
Fixed
2.06700000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810RY6
4221000.00000000
PA
USD
3514312.24000000
1.266044445617
Long
DBT
UST
US
N
2
2047-08-15
Fixed
2.75000000
N
N
N
N
N
N
TRANSCONT GAS PIPE LINE
N/A
Transcontinental Gas Pipe Line Co LLC
893574AR4
50000.00000000
PA
USD
40067.19000000
0.014434358670
Long
DBT
CORP
US
N
2
2050-05-15
Fixed
3.95000000
N
N
N
N
N
N
CENTERPOINT ENERGY RES
2JADVB0458J06WCD4N56
CenterPoint Energy Resources Corp
15189WAJ9
90000.00000000
PA
USD
76841.45000000
0.027682426694
Long
DBT
CORP
US
N
2
2047-09-01
Fixed
4.10000000
N
N
N
N
N
N
BROADCOM INC
549300WV6GIDOZJTV909
Broadcom Inc
11135FAS0
385000.00000000
PA
USD
353007.14000000
0.127172174337
Long
DBT
CORP
US
N
2
2032-11-15
Fixed
4.30000000
N
N
N
N
N
N
CNH INDUSTRIAL NV
549300WGC2HZ5J67V817
CNH Industrial NV
12594KAB8
50000.00000000
PA
USD
48040.41000000
0.017306741715
Long
DBT
CORP
NL
N
2
2027-11-15
Fixed
3.85000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CAJ0
950000.00000000
PA
USD
872998.04000000
0.314500887825
Long
DBT
UST
US
N
2
2025-08-31
Fixed
0.25000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DYB2
2376768.64000000
PA
USD
1982805.00000000
0.714313096150
Long
ABS-MBS
USGSE
US
N
2
2051-04-01
Fixed
2.00000000
N
N
N
N
N
N
Fanniemae-Aces
B1V7KEBTPIMZEU4LTD58
Fannie Mae-Aces
3136B2HA3
250000.00000000
PA
USD
241849.00000000
0.087127028623
Long
ABS-MBS
USGSE
US
N
2
2028-07-25
Variable
3.46937300
N
N
N
N
N
N
CON EDISON CO OF NY INC
VZFZPMWDHTQCFKYOBP05
Consolidated Edison Co of New York Inc
209111FZ1
21000.00000000
PA
USD
13916.00000000
0.005013292303
Long
DBT
CORP
US
N
2
2060-12-01
Fixed
3.00000000
N
N
N
N
N
N
BANK OF AMERICA CORP
9DJT3UXIJIZJI4WXO774
Bank of America Corp
06051GHM4
150000.00000000
PA
USD
143764.64000000
0.051791762233
Long
DBT
CORP
US
N
2
2029-07-23
Fixed
4.27100000
N
N
N
N
N
N
ING GROEP NV
549300NYKK9MWM7GGW15
ING Groep NV
456837AH6
100000.00000000
PA
USD
96040.95000000
0.034599120111
Long
DBT
CORP
NL
N
2
2027-03-29
Fixed
3.95000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179XQY5
496453.80000000
PA
USD
504093.19000000
0.181601502566
Long
ABS-MBS
USGSE
US
N
2
2053-01-20
Fixed
6.00000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418CP57
831765.02000000
PA
USD
759699.95000000
0.273684816928
Long
ABS-MBS
USGSE
US
N
2
2047-09-01
Fixed
3.00000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CFU0
1600000.00000000
PA
USD
1637124.99000000
0.589780548461
Long
DBT
UST
US
N
2
2027-10-31
Fixed
4.12500000
N
N
N
N
N
N
AMAZON.COM INC
ZXTILKJKG63JELOEG630
Amazon.com Inc
023135AP1
300000.00000000
PA
USD
311446.96000000
0.112199960300
Long
DBT
CORP
US
N
2
2034-12-05
Fixed
4.80000000
N
N
N
N
N
N
BARCLAYS PLC
213800LBQA1Y9L22JB70
Barclays PLC
06738EAW5
300000.00000000
PA
USD
284628.16000000
0.102538384874
Long
DBT
CORP
GB
N
2
2028-05-09
Fixed
4.83600000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179VKM1
80083.68000000
PA
USD
75851.38000000
0.027325750184
Long
ABS-MBS
USGSE
US
N
2
2050-04-20
Fixed
3.50000000
N
N
N
N
N
N
MITSUBISHI UFJ FIN GRP
353800V2V8PUY9TK3E06
Mitsubishi UFJ Financial Group Inc
606822BY9
250000.00000000
PA
USD
222427.38000000
0.080130315626
Long
DBT
CORP
JP
N
2
2027-07-20
Fixed
1.53800000
N
N
N
N
N
N
HEALTHPEAK OP LLC
PZ9HF5U52KPF0MH0QN75
Healthpeak OP LLC
40414LAR0
50000.00000000
PA
USD
46332.99000000
0.016691637120
Long
DBT
CORP
US
N
2
2029-07-15
Fixed
3.50000000
N
N
N
N
N
N
EATON CORP
0NZWDMRCE180888QQE14
Eaton Corp
278062AD6
42000.00000000
PA
USD
40356.15000000
0.014538457616
Long
DBT
CORP
US
N
2
2032-11-02
Fixed
4.00000000
N
N
N
N
N
N
REPUBLICA ORIENT URUGUAY
549300RDR012H2V82H43
Uruguay Government International Bond
760942BE1
63493.00000000
PA
USD
70489.71000000
0.025394188029
Long
DBT
NUSS
UY
N
2
2034-10-28
Fixed
5.75000000
N
N
N
N
N
N
ONTARIO (PROVINCE OF)
C7PVKCRGLG18EBQGZV36
Province of Ontario Canada
683234AU2
100000.00000000
PA
USD
87094.04000000
0.031375961513
Long
DBT
NUSS
CA
N
2
2032-01-21
Fixed
2.12500000
N
N
N
N
N
SAN DIEGO G & E
KNIRVXKVNJJ4P8OTMS63
San Diego Gas & Electric Co
797440CB8
100000.00000000
PA
USD
88345.36000000
0.031826754336
Long
DBT
CORP
US
N
2
2032-03-15
Fixed
3.00000000
N
N
N
N
N
N
HP INC
WHKXQACZ14C5XRO8LW03
HP Inc
40434LAC9
92000.00000000
PA
USD
81533.28000000
0.029372676423
Long
DBT
CORP
US
N
2
2030-06-17
Fixed
3.40000000
N
N
N
N
N
N
IBM CORP
VGRQXHF3J8VDLUA7XE92
International Business Machines Corp
459200JH5
90000.00000000
PA
USD
82430.41000000
0.029695870942
Long
DBT
CORP
US
N
2
2046-02-19
Fixed
4.70000000
N
N
N
N
N
N
AMERICAN TOWER CORP
5493006ORUSIL88JOE18
American Tower Corp
03027XBW9
100000.00000000
PA
USD
92729.62000000
0.033406200794
Long
DBT
CORP
US
N
2
2032-03-15
Fixed
4.05000000
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179XLH7
197484.78000000
PA
USD
196617.08000000
0.070832056188
Long
ABS-MBS
USGSE
US
N
2
2052-11-20
Fixed
5.00000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418D6B3
367302.26000000
PA
USD
305503.39000000
0.110058766442
Long
ABS-MBS
USGSE
US
N
2
2051-11-01
Fixed
2.00000000
N
N
N
N
N
N
FOMENTO ECONOMICO MEX
549300A8MDWDJNMLV153
Fomento Economico Mexicano SAB de CV
344419AC0
79000.00000000
PA
USD
60928.75000000
0.021949815567
Long
DBT
CORP
MX
N
2
2050-01-16
Fixed
3.50000000
N
N
N
N
N
N
CINTAS CORPORATION NO. 2
549300QVUQTTKMTE0G41
Cintas Corp No 2
17252MAN0
100000.00000000
PA
USD
97899.28000000
0.035268590611
Long
DBT
CORP
US
N
2
2027-04-01
Fixed
3.70000000
N
N
N
N
N
N
EQUINOR ASA
OW6OFBNCKXC4US5C7523
Equinor ASA
85771PAX0
10000.00000000
PA
USD
9831.75000000
0.003541925596
Long
DBT
CORP
NO
N
2
2024-11-10
Fixed
3.25000000
N
N
N
N
N
N
KEY BANK NA
HUX2X73FUCYHUVH1BK78
KeyBank NA/Cleveland OH
49306CAB7
20000.00000000
PA
USD
20356.44000000
0.007333485482
Long
DBT
CORP
US
N
2
2028-02-01
Fixed
6.95000000
N
N
N
N
N
N
ING GROEP NV
549300NYKK9MWM7GGW15
ING Groep NV
456837AQ6
50000.00000000
PA
USD
47789.50000000
0.017216350427
Long
DBT
CORP
NL
N
2
2029-04-09
Fixed
4.05000000
N
N
N
N
N
N
MERCK & CO INC
4YV9Y5M8S0BRK1RP0397
Merck & Co Inc
58933YBD6
100000.00000000
PA
USD
89208.85000000
0.032137829916
Long
DBT
CORP
US
N
2
2028-12-10
Fixed
1.90000000
N
N
N
N
N
N
PVH CORP
123WALMHY1GZXG2YDL90
PVH Corp
693656AC4
21000.00000000
PA
USD
20723.12000000
0.007465583357
Long
DBT
CORP
US
N
2
2025-07-10
Fixed
4.62500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CDK4
1600000.00000000
PA
USD
1472124.99000000
0.530338666448
Long
DBT
UST
US
N
2
2026-11-30
Fixed
1.25000000
N
N
N
N
N
N
CATERPILLAR FINL SERVICE
EDBQKYOPJUCJKLOJDE72
Caterpillar Financial Services Corp
14913R2H9
10000.00000000
PA
USD
9143.40000000
0.003293944872
Long
DBT
CORP
US
N
2
2025-11-13
Fixed
0.80000000
N
N
N
N
N
N
CANADA GOVERNMENT
4BFD7AQU0A75QLAHK410
Canada Government International Bond
135087K78
80000.00000000
PA
USD
76536.23000000
0.027572470020
Long
DBT
NUSS
CA
N
2
2025-01-22
Fixed
1.62500000
N
N
N
N
N
N
EUROPEAN INVESTMENT BANK
5493006YXS1U5GIHE750
European Investment Bank
298785JS6
100000.00000000
PA
USD
97446.29000000
0.035105399228
Long
DBT
NUSS
N/A
N
2
2025-08-15
Fixed
2.75000000
N
N
N
N
N
N
DISCOVERY COMMUNICATIONS
L2Z2MO2EQURH3BREWI15
Discovery Communications LLC
25470DBJ7
182000.00000000
PA
USD
162021.41000000
0.058368833556
Long
DBT
CORP
US
N
2
2030-05-15
Fixed
3.62500000
N
N
N
N
N
ORACLE CORP
1Z4GXXU7ZHVWFCD8TV52
Oracle Corp
68389XCN3
100000.00000000
PA
USD
98031.22000000
0.035316122501
Long
DBT
CORP
US
N
2
2030-05-06
Fixed
4.65000000
N
N
N
N
N
N
REPUBLIC OF CHILE
549300FLZTJM5YJF8D34
Chile Government International Bond
168863CF3
30000.00000000
PA
USD
28718.18000000
0.010345834346
Long
DBT
NUSS
CL
N
2
2028-02-06
Fixed
3.24000000
N
N
N
N
N
N
COMCAST CORP
51M0QTTNCGUN7KFCFZ59
Comcast Corp
20030NDK4
200000.00000000
PA
USD
192770.88000000
0.069446447906
Long
DBT
CORP
US
N
2
2027-04-01
Fixed
3.30000000
N
N
N
N
N
N
UNION PACIFIC CORP
549300LMMRSZZCZ8CL11
Union Pacific Corp
907818FD5
468000.00000000
PA
USD
402714.29000000
0.145079365521
Long
DBT
CORP
US
N
2
2039-08-15
Fixed
3.55000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DYG1
125590.79000000
PA
USD
103461.93000000
0.037272556581
Long
ABS-MBS
USGSE
US
N
2
2041-04-01
Fixed
1.50000000
N
N
N
N
N
N
DIGITAL REALTY TRUST LP
CD4SPTZ3YBTHY0C1AH38
Digital Realty Trust LP
25389JAV8
100000.00000000
PA
USD
100351.19000000
0.036151900580
Long
DBT
CORP
US
N
2
2028-01-15
Fixed
5.55000000
N
N
N
N
N
N
CATERPILLAR FINL SERVICE
EDBQKYOPJUCJKLOJDE72
Caterpillar Financial Services Corp
14913R2P1
100000.00000000
PA
USD
94857.87000000
0.034172911009
Long
DBT
CORP
US
N
2
2024-09-13
Fixed
0.60000000
N
N
N
N
N
N
NATIONAL RURAL UTIL COOP
4NYF266XZC35SCTGX023
National Rural Utilities Cooperative Finance Corp
63743HFE7
100000.00000000
PA
USD
97545.37000000
0.035141093178
Long
DBT
CORP
US
N
2
2025-06-15
Fixed
3.45000000
N
N
N
N
N
N
SONOCO PRODUCTS CO
GKOMIK4RDJGHEF0VNP11
Sonoco Products Co
835495AP7
60000.00000000
PA
USD
50935.78000000
0.018349809848
Long
DBT
CORP
US
N
2
2032-02-01
Fixed
2.85000000
N
N
N
N
N
N
SANTANDER HOLDINGS USA
549300SMVCQN2P0O6I58
Santander Holdings USA Inc
80282KBD7
100000.00000000
PA
USD
96726.00000000
0.034845911997
Long
DBT
CORP
US
N
2
2025-06-09
Fixed
4.26000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179VZQ6
486461.12000000
PA
USD
419059.95000000
0.150967952147
Long
ABS-MBS
USGSE
US
N
2
2050-12-20
Fixed
2.00000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179WZA9
464355.33000000
PA
USD
423864.58000000
0.152698838508
Long
ABS-MBS
USGSE
US
N
2
2052-03-20
Fixed
3.00000000
N
N
N
N
N
N
INTERCONTINENTALEXCHANGE
5493000F4ZO33MV32P92
Intercontinental Exchange Inc
45866FAW4
100000.00000000
PA
USD
99865.30000000
0.035976856847
Long
DBT
CORP
US
N
2
2033-03-15
Fixed
4.60000000
N
N
N
N
N
N
AMERICAN INTL GROUP
ODVCVCQG2BP6VHV36M30
American International Group Inc
026874DR5
120000.00000000
PA
USD
108486.15000000
0.039082551080
Long
DBT
CORP
US
N
2
2030-06-30
Fixed
3.40000000
N
N
N
N
N
N
CARLISLE COS INC
XR64VGX1ZPX6G7ZN7Z11
Carlisle Cos Inc
142339AG5
40000.00000000
PA
USD
38948.45000000
0.014031328299
Long
DBT
CORP
US
N
2
2024-12-01
Fixed
3.50000000
N
N
N
N
N
N
VODAFONE GROUP PLC
213800TB53ELEUKM7Q61
Vodafone Group PLC
92857WAB6
20000.00000000
PA
USD
21929.39000000
0.007900146745
Long
DBT
CORP
GB
N
2
2032-11-30
Fixed
6.25000000
N
N
N
N
N
N
CIGNA GROUP/THE
549300VIWYMSIGT1U456
Cigna Group/The
125523BZ2
70000.00000000
PA
USD
69826.95000000
0.025155426201
Long
DBT
CORP
US
N
2
2026-02-25
Fixed
4.50000000
N
N
N
N
N
N
PARKER-HANNIFIN CORP
5493002CONDB4N2HKI23
Parker-Hannifin Corp
701094AJ3
10000.00000000
PA
USD
9569.95000000
0.003447611144
Long
DBT
CORP
US
N
2
2027-03-01
Fixed
3.25000000
N
N
N
N
N
N
PAYPAL HOLDINGS INC
5493005X2GO78EFZ3E94
PayPal Holdings Inc
70450YAK9
10000.00000000
PA
USD
9878.12000000
0.003558630566
Long
DBT
CORP
US
N
2
2027-06-01
Fixed
3.90000000
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DFQ0
1012339.54000000
PA
USD
918333.19000000
0.330833049264
Long
ABS-MBS
USGSE
US
N
2
2049-09-01
Fixed
3.00000000
N
N
N
N
N
N
AUTOZONE INC
GA3JGKJ41LJKXDN23E90
AutoZone Inc
053332BC5
100000.00000000
PA
USD
99784.41000000
0.035947715914
Long
DBT
CORP
US
N
2
2028-02-01
Fixed
4.50000000
N
N
N
N
N
N
AMERICAN EXPRESS CO
R4PP93JZOLY261QX3811
American Express Co
025816CQ0
40000.00000000
PA
USD
38088.42000000
0.013721499198
Long
DBT
CORP
US
N
2
2025-03-04
Fixed
2.25000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179VBF6
783884.88000000
PA
USD
722021.71000000
0.260111086646
Long
ABS-MBS
USGSE
US
N
2
2049-12-20
Fixed
3.00000000
N
N
N
N
N
N
MICRON TECHNOLOGY INC
B3DXGBC8GAIYWI2Z0172
Micron Technology Inc
595112BP7
80000.00000000
PA
USD
77142.25000000
0.027790791046
Long
DBT
CORP
US
N
2
2027-02-15
Fixed
4.18500000
N
N
N
N
N
N
AT&T INC
549300Z40J86GGSTL398
AT&T Inc
00206RDG4
200000.00000000
PA
USD
216669.43000000
0.078055992084
Long
DBT
CORP
US
N
2
2041-03-01
Fixed
6.37500000
N
N
N
N
N
N
AFRICAN DEVELOPMENT BANK
549300LNCLMO3ITVCU07
African Development Bank
00828EEF2
100000.00000000
PA
USD
90911.20000000
0.032751108024
Long
DBT
NUSS
N/A
N
2
2026-07-22
Fixed
0.87500000
N
N
N
N
N
N
CLOROX COMPANY
54930044KVSC06Z79I06
Clorox Co/The
189054AY5
100000.00000000
PA
USD
99395.21000000
0.035807505124
Long
DBT
CORP
US
N
2
2029-05-01
Fixed
4.40000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418ER77
200000.00000000
PA
USD
198871.65000000
0.071644273666
Long
ABS-MBS
USGSE
US
N
2
2053-05-01
Fixed
5.00000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810TN8
1400000.00000000
PA
USD
1388187.50000000
0.500099864163
Long
DBT
UST
US
N
2
2053-02-15
Fixed
3.62500000
N
N
N
N
N
N
JOHN DEERE CAPITAL CORP
E0KSF7PFQ210NWI8Z391
John Deere Capital Corp
24422EVQ9
112000.00000000
PA
USD
107012.00000000
0.038551482896
Long
DBT
CORP
US
N
2
2024-06-07
Fixed
0.45000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CFA4
800000.00000000
PA
USD
784718.75000000
0.282697935459
Long
DBT
UST
US
N
2
2024-07-31
Fixed
3.00000000
N
N
N
N
N
N
CISCO SYSTEMS INC
549300LKFJ962MZ46593
Cisco Systems Inc
17275RBL5
188000.00000000
PA
USD
178955.90000000
0.064469548444
Long
DBT
CORP
US
N
2
2026-09-20
Fixed
2.50000000
N
N
N
N
N
N
HSBC HOLDINGS PLC
MLU0ZO3ML4LN2LL2TL39
HSBC Holdings PLC
404280DQ9
200000.00000000
PA
USD
209719.59000000
0.075552285603
Long
DBT
CORP
GB
N
2
2026-11-03
Fixed
7.33600000
N
N
N
N
N
N
HEALTHPEAK OP LLC
PZ9HF5U52KPF0MH0QN75
Healthpeak OP LLC
42250PAD5
100000.00000000
PA
USD
86699.73000000
0.031233909825
Long
DBT
CORP
US
N
2
2028-12-01
Fixed
2.12500000
N
N
N
N
N
N
BANK OF NOVA SCOTIA
L3I9ZG2KFGXZ61BMYR72
Bank of Nova Scotia/The
06417XAH4
100000.00000000
PA
USD
97024.37000000
0.034953400932
Long
DBT
CORP
CA
N
2
2025-04-11
Fixed
3.45000000
N
N
N
N
N
N
WALGREENS BOOTS ALLIANCE
549300RPTUOIXG4LIH86
Walgreens Boots Alliance Inc
931427AS7
200000.00000000
PA
USD
176635.62000000
0.063633658686
Long
DBT
CORP
US
N
2
2030-04-15
Fixed
3.20000000
N
N
N
N
N
CITIZENS FINANCIAL GROUP
2138004JDDA4ZQUPFW65
Citizens Financial Group Inc
174610AW5
100000.00000000
PA
USD
74455.17000000
0.026822760184
Long
DBT
CORP
US
N
2
2032-09-30
Fixed
2.63800000
N
N
N
N
N
N
TOYOTA MOTOR CORP
5493006W3QUS5LMH6R84
Toyota Motor Corp
892331AG4
132000.00000000
PA
USD
121244.85000000
0.043678921626
Long
DBT
CORP
JP
N
2
2029-07-02
Fixed
2.76000000
N
N
N
N
N
N
CONNECTICUT LIGHT & PWR
549300O45IUXEDS1VZ32
Connecticut Light and Power Co/The
207597EN1
100000.00000000
PA
USD
84137.57000000
0.030310881871
Long
DBT
CORP
US
N
2
2031-07-01
Fixed
2.05000000
N
N
N
N
N
N
KROGER CO
6CPEOKI6OYJ13Q6O7870
Kroger Co/The
501044CK5
160000.00000000
PA
USD
183135.92000000
0.065975416660
Long
DBT
CORP
US
N
2
2038-04-15
Fixed
6.90000000
N
N
N
N
N
N
GOLDMAN SACHS GROUP INC
784F5XWPLTWKTBV3E584
Goldman Sachs Group Inc/The
38141EC23
100000.00000000
PA
USD
98347.63000000
0.035430110416
Long
DBT
CORP
US
N
2
2024-07-08
Fixed
3.85000000
N
N
N
N
N
N
FEDERAL HOME LOAN BANK
2549001DPIFGXC1TOL40
Federal Home Loan Banks
3130A1XJ2
240000.00000000
PA
USD
235286.11000000
0.084762722363
Long
DBT
USGSE
US
N
2
2024-06-14
Fixed
2.87500000
N
N
N
N
N
N
LINDE INC/CT
ZU69GUVJQGZ6Z1UOOO79
Linde Inc/CT
74005PBT0
10000.00000000
PA
USD
8039.65000000
0.002896314707
Long
DBT
CORP
US
N
2
2030-08-10
Fixed
1.10000000
N
N
N
N
N
N
ONEOK INC
2T3D6M0JSY48PSZI1Q41
ONEOK Inc
682680AU7
183000.00000000
PA
USD
179664.66000000
0.064724881949
Long
DBT
CORP
US
N
2
2028-07-15
Fixed
4.55000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418D3F7
457032.72000000
PA
USD
360731.06000000
0.129954746102
Long
ABS-MBS
USGSE
US
N
2
2051-08-01
Fixed
1.50000000
N
N
N
N
N
N
QUALCOMM INC
H1J8DDZKZP6H7RWC0H53
QUALCOMM Inc
747525BP7
200000.00000000
PA
USD
161299.92000000
0.058108914020
Long
DBT
CORP
US
N
2
2032-05-20
Fixed
1.65000000
N
N
N
N
N
N
Capital One Multi-Asset Execut
R42WS16M9R97TJJKGU15
Capital One Multi-Asset Execution Trust
14041NGA3
100000.00000000
PA
USD
97987.40000000
0.035300336179
Long
ABS-O
CORP
US
N
2
2027-05-15
Fixed
3.49000000
N
N
N
N
N
N
VENTAS REALTY LP
32SXKSJ72K64GM3HOU64
Ventas Realty LP
92277GAL1
21000.00000000
PA
USD
19979.42000000
0.007197662583
Long
DBT
CORP
US
N
2
2027-04-01
Fixed
3.85000000
N
N
N
N
N
N
KROGER CO
6CPEOKI6OYJ13Q6O7870
Kroger Co/The
501044DP3
10000.00000000
PA
USD
8435.39000000
0.003038881558
Long
DBT
CORP
US
N
2
2030-05-01
Fixed
2.20000000
N
N
N
N
N
N
AMERICAN WATER CAPITAL C
5IDHQUFVC8Q2KIBBFF06
American Water Capital Corp
03040WAW5
110000.00000000
PA
USD
98570.32000000
0.035510335341
Long
DBT
CORP
US
N
2
2030-05-01
Fixed
2.80000000
N
N
N
N
N
N
ROYAL BANK OF CANADA
ES7IP3U3RHIGC71XBU11
Royal Bank of Canada
78016EZQ3
100000.00000000
PA
USD
91021.69000000
0.032790912470
Long
DBT
CORP
CA
N
2
2026-04-27
Fixed
1.20000000
N
N
N
N
N
N
FIDELITY NATL INFO SERV
6WQI0GK1PRFVBA061U48
Fidelity National Information Services Inc
31620MBS4
162000.00000000
PA
USD
140051.56000000
0.050454110940
Long
DBT
CORP
US
N
2
2028-03-01
Fixed
1.65000000
N
N
N
N
N
N
COLGATE-PALMOLIVE CO
YMEGZFW4SBUSS5BQXF88
Colgate-Palmolive Co
194162AP8
100000.00000000
PA
USD
93824.86000000
0.033800765200
Long
DBT
CORP
US
N
2
2032-08-15
Fixed
3.25000000
N
N
N
N
N
N
TARGET CORP
8WDDFXB5T1Z6J0XC1L66
Target Corp
87612EBH8
21000.00000000
PA
USD
20260.77000000
0.007299019998
Long
DBT
CORP
US
N
2
2029-04-15
Fixed
3.37500000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418CXW9
72219.40000000
PA
USD
70444.69000000
0.025377969402
Long
ABS-MBS
USGSE
US
N
2
2033-06-01
Fixed
3.50000000
N
N
N
N
N
N
JPN BANK FOR INT'L COOP
549300TJ3QFYVCTSCJ29
Japan Bank for International Cooperation
471048CJ5
200000.00000000
PA
USD
184578.16000000
0.066494989144
Long
DBT
NUSS
JP
N
2
2025-07-15
Fixed
0.62500000
N
N
N
N
N
N
APPLIED MATERIALS INC
41BNNE1AFPNAZELZ6K07
Applied Materials Inc
038222AK1
52000.00000000
PA
USD
54656.48000000
0.019690206275
Long
DBT
CORP
US
N
2
2035-10-01
Fixed
5.10000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179WFG8
577012.50000000
PA
USD
511230.29000000
0.184172670179
Long
ABS-MBS
USGSE
US
N
2
2051-05-20
Fixed
2.50000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179XBU9
485180.96000000
PA
USD
476493.89000000
0.171658749025
Long
ABS-MBS
USGSE
US
N
2
2052-07-20
Fixed
4.50000000
N
N
N
N
N
N
HCA INC
L3CJ6J7LJ2DX62FTXD46
HCA Inc
404119BX6
106000.00000000
PA
USD
100498.07000000
0.036204814663
Long
DBT
CORP
US
N
2
2029-06-15
Fixed
4.12500000
N
N
N
N
N
N
Barclays Commercial Mortgage S
N/A
BBCMS Mortgage Trust 2020-C6
05492TAB6
500000.00000000
PA
USD
464768.40000000
0.167434596340
Long
ABS-MBS
CORP
US
N
2
2053-02-15
Fixed
2.69000000
N
N
N
N
N
N
ENEL GENERACION CHILE SA
549300PVHXUFEIE6LY50
Enel Generacion Chile SA
29246RAA1
10000.00000000
PA
USD
9860.80000000
0.003552390970
Long
DBT
CORP
CL
N
2
2024-04-15
Fixed
4.25000000
N
N
N
N
N
N
QUEST DIAGNOSTICS INC
8MCWUBXQ0WE04KMXBX50
Quest Diagnostics Inc
74834LAZ3
50000.00000000
PA
USD
48347.57000000
0.017417397282
Long
DBT
CORP
US
N
2
2026-06-01
Fixed
3.45000000
N
N
N
N
N
N
VERIZON COMMUNICATIONS
2S72QS2UO2OESLG6Y829
Verizon Communications Inc
92343VGJ7
300000.00000000
PA
USD
255416.87000000
0.092014905761
Long
DBT
CORP
US
N
2
2031-03-21
Fixed
2.55000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
9128283J7
1454000.00000000
PA
USD
1405893.04000000
0.506478352767
Long
DBT
UST
US
N
2
2024-11-30
Fixed
2.12500000
N
N
N
N
N
N
MASCO CORP
5GCSNMQXHEYA1JO8QN11
Masco Corp
574599BQ8
50000.00000000
PA
USD
40235.41000000
0.014494960569
Long
DBT
CORP
US
N
2
2031-02-15
Fixed
2.00000000
N
N
N
N
N
N
HSBC HOLDINGS PLC
MLU0ZO3ML4LN2LL2TL39
HSBC Holdings PLC
404280CT4
450000.00000000
PA
USD
368457.53000000
0.132738236515
Long
DBT
CORP
GB
N
2
2032-05-24
Fixed
2.80400000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CGP0
1200000.00000000
PA
USD
1226437.50000000
0.441828807098
Long
DBT
UST
US
N
2
2028-02-29
Fixed
4.00000000
N
N
N
N
N
N
ASIAN DEVELOPMENT BANK
549300X0MVH42CY8Q105
Asian Development Bank
045167FL2
100000.00000000
PA
USD
90748.95000000
0.032692656840
Long
DBT
NUSS
N/A
N
2
2029-03-15
Fixed
1.87500000
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912828ZQ6
100000.00000000
PA
USD
82488.28000000
0.029716718831
Long
DBT
UST
US
N
2
2030-05-15
Fixed
0.62500000
N
N
N
N
N
N
PROLOGIS LP
GL16H1DHB0QSHP25F723
Prologis LP
74340XBJ9
10000.00000000
PA
USD
8890.48000000
0.003202829473
Long
DBT
CORP
US
N
2
2048-09-15
Fixed
4.37500000
N
N
N
N
N
N
MANULIFE FINANCIAL CORP
5493007GBX87QOZACS27
Manulife Financial Corp
56501RAD8
30000.00000000
PA
USD
30219.82000000
0.010886805908
Long
DBT
CORP
CA
N
2
2046-03-04
Fixed
5.37500000
N
N
N
N
N
N
AEP TEXAS INC
5493001L78U618KXNZ75
AEP Texas Inc
00108WAJ9
52000.00000000
PA
USD
43551.87000000
0.015689727987
Long
DBT
CORP
US
N
2
2049-05-01
Fixed
4.15000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179XDF0
195309.98000000
PA
USD
194451.83000000
0.070052016582
Long
ABS-MBS
USGSE
US
N
2
2052-08-20
Fixed
5.00000000
N
N
N
N
N
N
TELEFONICA EMISIONES SAU
549300Y5MFC4SW5Z3K71
Telefonica Emisiones SA
87938WAW3
10000.00000000
PA
USD
8301.66000000
0.002990704813
Long
DBT
CORP
ES
N
2
2048-03-06
Fixed
4.89500000
N
N
N
N
N
N
WASHINGTON GAS LIGHT CO
DL22T1SB4DUBS063O841
Washington Gas Light Co
93884PDW7
20000.00000000
PA
USD
16010.24000000
0.005767750285
Long
DBT
CORP
US
N
2
2046-09-15
Fixed
3.79600000
N
N
N
N
N
N
MIZUHO FINANCIAL GROUP
353800CI5L6DDAN5XZ33
Mizuho Financial Group Inc
60687YBA6
100000.00000000
PA
USD
86804.51000000
0.031271657221
Long
DBT
CORP
JP
N
2
2030-09-13
Fixed
2.86900000
N
N
N
N
N
N
TYCO ELECTRONICS GROUP S
C33G1C5SYE2YM95EE712
Tyco Electronics Group SA
902133AY3
100000.00000000
PA
USD
86373.81000000
0.031116495897
Long
DBT
CORP
LU
N
2
2032-02-04
Fixed
2.50000000
N
N
N
N
N
N
CITIGROUP INC
6SHGI4ZSSLCXXQSBB395
Citigroup Inc
172967NL1
100000.00000000
PA
USD
96485.61000000
0.034759310579
Long
DBT
CORP
US
N
2
2026-03-17
Fixed
3.29000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179XX68
200000.00000000
PA
USD
201395.61000000
0.072553539924
Long
ABS-MBS
USGSE
US
N
2
2053-04-20
Fixed
5.50000000
N
N
N
N
N
N
OEKB OEST. KONTROLLBANK
5299000OVRLMF858L016
Oesterreichische Kontrollbank AG
676167CD9
100000.00000000
PA
USD
94707.87000000
0.034118872934
Long
DBT
CORP
AT
N
2
2024-09-16
Fixed
0.50000000
N
N
N
N
N
N
INTEL CORP
KNX4USFCNGPY45LOCE31
Intel Corp
458140AP5
40000.00000000
PA
USD
35170.91000000
0.012670455045
Long
DBT
CORP
US
N
2
2042-12-15
Fixed
4.25000000
N
N
N
N
N
N
EASTERN GAS TRAN
H2VQBNB3NSKRM5QWBI71
Eastern Gas Transmission & Storage Inc
276480AF7
171000.00000000
PA
USD
153663.01000000
0.055357687940
Long
DBT
CORP
US
N
2
2043-11-01
Fixed
4.80000000
N
N
N
N
N
N
INTER-AMERICAN DEVEL BK
VKU1UKDS9E7LYLMACP54
Inter-American Development Bank
4581X0EB0
100000.00000000
PA
USD
92183.99000000
0.033209635497
Long
DBT
NUSS
N/A
N
2
2027-01-13
Fixed
1.50000000
N
N
N
N
N
N
AFLAC INC
549300N0B7DOGLXWPP39
Aflac Inc
001055BJ0
100000.00000000
PA
USD
94273.60000000
0.033962425503
Long
DBT
CORP
US
N
2
2030-04-01
Fixed
3.60000000
N
N
N
N
N
N
THERMO FISHER SCIENTIFIC
HCHV7422L5HDJZCRFL38
Thermo Fisher Scientific Inc
883556CM2
100000.00000000
PA
USD
76671.75000000
0.027621291619
Long
DBT
CORP
US
N
2
2041-10-15
Fixed
2.80000000
N
N
N
N
N
N
FEDERAL HOME LOAN BANK
2549001DPIFGXC1TOL40
Federal Home Loan Banks
3130AFW94
440000.00000000
PA
USD
431938.13000000
0.155607365820
Long
DBT
USGSE
US
N
2
2024-02-13
Fixed
2.50000000
N
N
N
N
N
N
HOME DEPOT INC
QEKMOTMBBKA8I816DO57
Home Depot Inc/The
437076CM2
100000.00000000
PA
USD
97256.14000000
0.035036896963
Long
DBT
CORP
US
N
2
2025-04-15
Fixed
2.70000000
N
N
N
N
N
N
UNITEDHEALTH GROUP INC
549300GHBMY8T5GXDE41
UnitedHealth Group Inc
91324PEQ1
100000.00000000
PA
USD
105557.60000000
0.038027529725
Long
DBT
CORP
US
N
2
2030-02-15
Fixed
5.30000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DY48
179474.29000000
PA
USD
167066.75000000
0.060186436616
Long
ABS-MBS
USGSE
US
N
2
2036-05-01
Fixed
2.50000000
N
N
N
N
N
N
FANNIE MAE
B1V7KEBTPIMZEU4LTD58
Federal National Mortgage Association
31398AFD9
329000.00000000
PA
USD
388203.93000000
0.139851952751
Long
DBT
USGSE
US
N
2
2037-07-15
Fixed
5.62500000
N
N
N
N
N
N
REPUBLIC OF CHILE
549300FLZTJM5YJF8D34
Chile Government International Bond
168863DU9
200000.00000000
PA
USD
133035.38000000
0.047926505221
Long
DBT
NUSS
CL
N
2
2071-09-21
Fixed
3.25000000
N
N
N
N
N
N
JOHN DEERE CAPITAL CORP
E0KSF7PFQ210NWI8Z391
John Deere Capital Corp
24422EVW6
100000.00000000
PA
USD
90634.83000000
0.032651544673
Long
DBT
CORP
US
N
2
2026-10-13
Fixed
1.30000000
N
N
N
N
N
N
Wells Fargo Commercial Mortgag
549300VOKB4Z9J8DIM89
Wells Fargo Commercial Mortgage Trust 2016-C32
94989YBA0
160068.72000000
PA
USD
155854.40000000
0.056147144581
Long
ABS-MBS
CORP
US
N
2
2059-01-15
Fixed
3.32400000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DUG5
2105488.58000000
PA
USD
1757723.43000000
0.633226598409
Long
ABS-MBS
USGSE
US
N
2
2050-11-01
Fixed
2.00000000
N
N
N
N
N
N
PROVINCE OF QUEBEC
549300WN65YFEQH74Y36
Province of Quebec Canada
748148SC8
50000.00000000
PA
USD
46304.35000000
0.016681319450
Long
DBT
NUSS
CA
N
2
2025-07-23
Fixed
0.60000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DYZ9
325996.48000000
PA
USD
293747.05000000
0.105823499925
Long
ABS-MBS
USGSE
US
N
2
2051-05-01
Fixed
3.00000000
N
N
N
N
N
N
FEDERAL HOME LOAN BANK
2549001DPIFGXC1TOL40
Federal Home Loan Banks
3130ARHG9
100000.00000000
PA
USD
97728.87000000
0.035207199756
Long
DBT
USGSE
US
N
2
2024-02-28
Fixed
2.12500000
N
N
N
N
N
N
CHUBB CORP
N/A
Chubb Corp/The
171232AQ4
109000.00000000
PA
USD
121427.80000000
0.043744830064
Long
DBT
CORP
US
N
2
2037-05-11
Fixed
6.00000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
9128283F5
888000.00000000
PA
USD
839819.06000000
0.302548033192
Long
DBT
UST
US
N
2
2027-11-15
Fixed
2.25000000
N
N
N
N
N
N
PUGET SOUND ENERGY INC
8MNFJR7KOMBQ7X62LK44
Puget Sound Energy Inc
745332CD6
30000.00000000
PA
USD
31103.42000000
0.011205126192
Long
DBT
CORP
US
N
2
2041-04-15
Fixed
5.63800000
N
N
N
N
N
N
ITALY GOV'T INT BOND
815600DE60799F5A9309
Republic of Italy Government International Bond
465410CA4
100000.00000000
PA
USD
89811.00000000
0.032354756760
Long
DBT
NUSS
IT
N
2
2026-02-17
Fixed
1.25000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418D2V3
253053.90000000
PA
USD
218202.45000000
0.078608268411
Long
ABS-MBS
USGSE
US
N
2
2041-07-01
Fixed
2.00000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810QX9
1964000.00000000
PA
USD
1679757.04000000
0.605138907770
Long
DBT
UST
US
N
2
2042-08-15
Fixed
2.75000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CDS7
600000.00000000
PA
USD
569460.94000000
0.205150484887
Long
DBT
UST
US
N
2
2025-01-15
Fixed
1.12500000
N
N
N
N
N
N
ELEVANCE HEALTH INC
8MYN82XMYQH89CTMTH67
Elevance Health Inc
036752AB9
70000.00000000
PA
USD
67954.60000000
0.024480904942
Long
DBT
CORP
US
N
2
2027-12-01
Fixed
3.65000000
N
N
N
N
N
N
ONTARIO (PROVINCE OF)
C7PVKCRGLG18EBQGZV36
Province of Ontario Canada
68323AFB5
10000.00000000
PA
USD
9921.22000000
0.003574157507
Long
DBT
NUSS
CA
N
2
2023-10-17
Fixed
3.40000000
N
N
N
N
N
N
STATE STREET CORP
549300ZFEEJ2IP5VME73
State Street Corp
857477BR3
100000.00000000
PA
USD
94147.84000000
0.033917119982
Long
DBT
CORP
US
N
2
2026-02-06
Fixed
1.74600000
N
N
N
N
N
N
CAMPBELL SOUP CO
5493007JDSMX8Z5Z1902
Campbell Soup Co
134429BJ7
110000.00000000
PA
USD
94699.47000000
0.034115846802
Long
DBT
CORP
US
N
2
2030-04-24
Fixed
2.37500000
N
N
N
N
N
CVS HEALTH CORP
549300EJG376EN5NQE29
CVS Health Corp
126650DQ0
170000.00000000
PA
USD
138458.64000000
0.049880255409
Long
DBT
CORP
US
N
2
2031-02-28
Fixed
1.87500000
N
N
N
N
N
N
WW GRAINGER INC
549300TWZSP6O1IH2V34
WW Grainger Inc
384802AE4
50000.00000000
PA
USD
47703.18000000
0.017185253316
Long
DBT
CORP
US
N
2
2025-02-15
Fixed
1.85000000
N
N
N
N
N
N
BANK OF AMERICA CORP
9DJT3UXIJIZJI4WXO774
Bank of America Corp
06051GHQ5
600000.00000000
PA
USD
561380.15000000
0.202239349337
Long
DBT
CORP
US
N
2
2030-02-07
Fixed
3.97400000
N
N
N
N
N
N
CROWN CASTLE INC
54930012H97VSM0I2R19
Crown Castle Inc
22822VAL5
40000.00000000
PA
USD
38935.87000000
0.014026796306
Long
DBT
CORP
US
N
2
2029-02-15
Fixed
4.30000000
N
N
N
N
N
N
ENBRIDGE INC
98TPTUM4IVMFCZBCUR27
Enbridge Inc
29250NAJ4
90000.00000000
PA
USD
76990.39000000
0.027736082900
Long
DBT
CORP
CA
N
2
2044-06-10
Fixed
4.50000000
N
N
N
N
N
N
PUGET ENERGY INC
SYBSJ96YIDMIUY7WDR33
Puget Energy Inc
745310AN2
100000.00000000
PA
USD
93057.07000000
0.033524165911
Long
DBT
CORP
US
N
2
2032-03-15
Fixed
4.22400000
N
N
N
N
N
N
MASTERCARD INC
AR5L2ODV9HN37376R084
Mastercard Inc
57636QAM6
32000.00000000
PA
USD
30104.54000000
0.010845275846
Long
DBT
CORP
US
N
2
2029-06-01
Fixed
2.95000000
N
N
N
N
N
N
CON EDISON CO OF NY INC
VZFZPMWDHTQCFKYOBP05
Consolidated Edison Co of New York Inc
209111EY5
124000.00000000
PA
USD
125813.62000000
0.045324838519
Long
DBT
CORP
US
N
2
2039-12-01
Fixed
5.50000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179XNH5
198128.88000000
PA
USD
201177.67000000
0.072475026204
Long
ABS-MBS
USGSE
US
N
2
2052-12-20
Fixed
6.00000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CCJ8
1700000.00000000
PA
USD
1558687.50000000
0.561523142243
Long
DBT
UST
US
N
2
2026-06-30
Fixed
0.87500000
N
N
N
N
N
N
DOVER CORP
549300FMC2ALGA7N9E80
Dover Corp
260003AF5
30000.00000000
PA
USD
31523.33000000
0.011356400378
Long
DBT
CORP
US
N
2
2035-10-15
Fixed
5.37500000
N
N
N
N
N
N
SOUTHWESTERN ELEC POWER
R64UBJHEC74EB3HGQ410
Southwestern Electric Power Co
845437BT8
140000.00000000
PA
USD
97363.00000000
0.035075393687
Long
DBT
CORP
US
N
2
2051-11-01
Fixed
3.25000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810TF5
1400000.00000000
PA
USD
1129898.43000000
0.407050237349
Long
DBT
UST
US
N
2
2042-02-15
Fixed
2.37500000
N
N
N
N
N
N
AMCOR FLEXIBLES NORTH AM
PTVU09TE3QPJPL7K4E13
Amcor Flexibles North America Inc
081437AT2
50000.00000000
PA
USD
42232.22000000
0.015214319020
Long
DBT
CORP
US
N
2
2030-06-19
Fixed
2.63000000
N
N
N
N
N
N
ITALY GOV'T INT BOND
815600DE60799F5A9309
Republic of Italy Government International Bond
465410BY3
270000.00000000
PA
USD
237119.40000000
0.085423172107
Long
DBT
NUSS
IT
N
2
2029-10-17
Fixed
2.87500000
N
N
N
N
N
N
CONAGRA BRANDS INC
54930035UDEIH090K650
Conagra Brands Inc
205887AX0
130000.00000000
PA
USD
152032.32000000
0.054770225621
Long
DBT
CORP
US
N
2
2030-09-15
Fixed
8.25000000
N
N
N
N
N
N
REPUBLIC OF CHILE
549300FLZTJM5YJF8D34
Chile Government International Bond
168863DP0
210000.00000000
PA
USD
184347.13000000
0.066411759702
Long
DBT
NUSS
CL
N
2
2031-01-31
Fixed
2.45000000
N
N
N
N
N
OWENS CORNING
JO5M6676RDJIZ2U8X907
Owens Corning
690742AF8
22000.00000000
PA
USD
21097.97000000
0.007600624505
Long
DBT
CORP
US
N
2
2026-08-15
Fixed
3.40000000
N
N
N
N
N
N
ELEVANCE HEALTH INC
8MYN82XMYQH89CTMTH67
Elevance Health Inc
94973VBB2
100000.00000000
PA
USD
94042.32000000
0.033879105997
Long
DBT
CORP
US
N
2
2043-01-15
Fixed
4.65000000
N
N
N
N
N
N
ASTRAZENECA PLC
PY6ZZQWO2IZFZC3IOL08
AstraZeneca PLC
046353AD0
175000.00000000
PA
USD
207282.87000000
0.074674447890
Long
DBT
CORP
GB
N
2
2037-09-15
Fixed
6.45000000
N
N
N
N
N
N
VERISK ANALYTICS INC
549300I1YSWNIRKBWP67
Verisk Analytics Inc
92345YAF3
100000.00000000
PA
USD
96710.32000000
0.034840263217
Long
DBT
CORP
US
N
2
2029-03-15
Fixed
4.12500000
N
N
N
N
N
N
FHLMC Multifamily Structured P
S6XOOCT0IEG5ABCC6L87
Freddie Mac Multifamily Structured Pass Through Certificates
3137FYTW6
99037.07000000
PA
USD
83232.27000000
0.029984744078
Long
ABS-MBS
USGSE
US
N
2
2035-07-25
Fixed
2.00700000
N
N
N
N
N
N
SWEDISH EXPORT CREDIT
1FOLRR5RWTWWI397R131
Svensk Exportkredit AB
00254EMZ2
30000.00000000
PA
USD
27830.83000000
0.010026163110
Long
DBT
CORP
SE
N
2
2025-05-14
Fixed
0.62500000
N
N
N
N
N
N
UNION ELECTRIC CO
QMPJLLDULY5C1M8PNY21
Union Electric Co
906548CW0
25000.00000000
PA
USD
26312.11000000
0.009479038412
Long
DBT
CORP
US
N
2
2053-03-15
Fixed
5.45000000
N
N
N
N
N
N
DOLLAR TREE INC
549300PMSTQITB1WHR43
Dollar Tree Inc
256746AK4
82000.00000000
PA
USD
58407.51000000
0.021041529200
Long
DBT
CORP
US
N
2
2051-12-01
Fixed
3.37500000
N
N
N
N
N
N
ARTHUR J GALLAGHER & CO
54930049QLLMPART6V29
Arthur J Gallagher & Co
04316JAB5
100000.00000000
PA
USD
65537.65000000
0.023610189446
Long
DBT
CORP
US
N
2
2052-03-09
Fixed
3.05000000
N
N
N
N
N
N
ALLY FINANCIAL INC
549300JBN1OSM8YNAI90
Ally Financial Inc
36186CBY8
82000.00000000
PA
USD
86494.96000000
0.031160140648
Long
DBT
CORP
US
N
2
2031-11-01
Fixed
8.00000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
9128286T2
1470000.00000000
PA
USD
1379158.59000000
0.496847164751
Long
DBT
UST
US
N
2
2029-05-15
Fixed
2.37500000
N
N
N
N
N
N
ALBEMARLE CORP
HDBLS2Q6GV1LSKQPBS54
Albemarle Corp
012653AD3
100000.00000000
PA
USD
98817.68000000
0.035599447729
Long
DBT
CORP
US
N
2
2027-06-01
Fixed
4.65000000
N
N
N
N
N
NSTAR ELECTRIC CO
54930080R72Y2Z31UR68
NSTAR Electric Co
67021CAF4
12000.00000000
PA
USD
12469.72000000
0.004492264393
Long
DBT
CORP
US
N
2
2040-03-15
Fixed
5.50000000
N
N
N
N
N
N
SCHLUMBERGER INVESTMENT
529900EZ29I5KXPV2J32
Schlumberger Investment SA
806854AJ4
72000.00000000
PA
USD
64648.75000000
0.023289959816
Long
DBT
CORP
LU
N
2
2030-06-26
Fixed
2.65000000
N
N
N
N
N
N
STATE OF ISRAEL
213800T8ZHTFZIBYPE21
Israel Government International Bond
46513JB42
70000.00000000
PA
USD
58450.00000000
0.021056836385
Long
DBT
NUSS
IL
N
2
2050-07-03
Fixed
3.87500000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810SY5
500000.00000000
PA
USD
398691.41000000
0.143630107592
Long
DBT
UST
US
N
2
2041-05-15
Fixed
2.25000000
N
N
N
N
N
N
VICI PROPERTIES LP
254900X4QE7SGKQLLN38
VICI Properties LP
925650AC7
100000.00000000
PA
USD
95589.00000000
0.034436303392
Long
DBT
CORP
US
N
2
2030-02-15
Fixed
4.95000000
N
N
N
N
N
NVIDIA CORP
549300S4KLFTLO7GSQ80
NVIDIA Corp
67066GAN4
100000.00000000
PA
USD
84728.67000000
0.030523827910
Long
DBT
CORP
US
N
2
2031-06-15
Fixed
2.00000000
N
N
N
N
N
N
ELI LILLY & CO
FRDRIPF3EKNDJ2CQJL29
Eli Lilly & Co
532457BV9
25000.00000000
PA
USD
24020.64000000
0.008653527568
Long
DBT
CORP
US
N
2
2029-03-15
Fixed
3.37500000
N
N
N
N
N
N
GOLDMAN SACHS GROUP INC
784F5XWPLTWKTBV3E584
Goldman Sachs Group Inc/The
38141GYM0
200000.00000000
PA
USD
179098.14000000
0.064520790949
Long
DBT
CORP
US
N
2
2027-10-21
Fixed
1.94800000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CET4
2000000.00000000
PA
USD
1926562.50000000
0.694051520094
Long
DBT
UST
US
N
2
2027-05-31
Fixed
2.62500000
N
N
N
N
N
N
JOHNSON & JOHNSON
549300G0CFPGEF6X2043
Johnson & Johnson
478160BU7
360000.00000000
PA
USD
336513.11000000
0.121230136851
Long
DBT
CORP
US
N
2
2036-03-01
Fixed
3.55000000
N
N
N
N
N
N
EQUINIX INC
549300EVUN2BTLJ3GT74
Equinix Inc
29444UBC9
40000.00000000
PA
USD
38461.54000000
0.013855917107
Long
DBT
CORP
US
N
2
2024-11-18
Fixed
2.62500000
N
N
N
N
N
N
EATON CORP
0NZWDMRCE180888QQE14
Eaton Corp
278062AG9
48000.00000000
PA
USD
45871.80000000
0.016525491656
Long
DBT
CORP
US
N
2
2027-09-15
Fixed
3.10300000
N
N
N
N
N
N
ECOLAB INC
82DYEISM090VG8LTLS26
Ecolab Inc
278865BD1
86000.00000000
PA
USD
83056.39000000
0.029921382635
Long
DBT
CORP
US
N
2
2027-12-01
Fixed
3.25000000
N
N
N
N
N
N
ARROW ELECTRONICS INC
549300YNNLBXT8N8R512
Arrow Electronics Inc
04273WAD3
100000.00000000
PA
USD
100072.87000000
0.036051634734
Long
DBT
CORP
US
N
2
2026-03-01
Fixed
6.12500000
N
N
N
N
N
N
SOUTHERN CAL EDISON
9R1Z5I36FERIBVKW4P77
Southern California Edison Co
842400HR7
150000.00000000
PA
USD
151759.55000000
0.054671959184
Long
DBT
CORP
US
N
2
2052-06-01
Fixed
5.45000000
N
N
N
N
N
N
ORACLE CORP
1Z4GXXU7ZHVWFCD8TV52
Oracle Corp
68389XCK9
150000.00000000
PA
USD
168049.16000000
0.060540353582
Long
DBT
CORP
US
N
2
2052-11-09
Fixed
6.90000000
N
N
N
N
N
N
WESTERN MIDSTREAM OPERAT
L6D8A6MLSY454J2JXJ60
Western Midstream Operating LP
958667AE7
110000.00000000
PA
USD
111849.09000000
0.040294063097
Long
DBT
CORP
US
N
2
2033-04-01
Fixed
6.15000000
N
N
N
N
N
N
VALERO ENERGY CORP
549300XTO5VR8SKV1V74
Valero Energy Corp
91913YBC3
100000.00000000
PA
USD
84471.93000000
0.030431336342
Long
DBT
CORP
US
N
2
2031-12-01
Fixed
2.80000000
N
N
N
N
N
N
BLACK HILLS CORP
3MGELCRSTNSAMJ962671
Black Hills Corp
092113AV1
100000.00000000
PA
USD
103638.24000000
0.037336072934
Long
DBT
CORP
US
N
2
2028-03-15
Fixed
5.95000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CEW7
2500000.00000000
PA
USD
2467089.85000000
0.888778568358
Long
DBT
UST
US
N
2
2027-06-30
Fixed
3.25000000
N
N
N
N
N
N
BECTON DICKINSON & CO
ICE2EP6D98PQUILVRZ91
Becton Dickinson & Co
075887CQ0
100000.00000000
PA
USD
101159.10000000
0.036442953252
Long
DBT
CORP
US
N
2
2028-02-13
Fixed
4.69300000
N
N
N
N
N
N
JPN BANK FOR INT'L COOP
549300TJ3QFYVCTSCJ29
Japan Bank for International Cooperation
471048BE7
320000.00000000
PA
USD
305615.31000000
0.110099086050
Long
DBT
NUSS
JP
N
2
2027-06-01
Fixed
2.87500000
N
N
N
N
N
N
OTIS WORLDWIDE CORP
549300ZLBKR8VSU25153
Otis Worldwide Corp
68902VAL1
60000.00000000
PA
USD
47087.79000000
0.016963556711
Long
DBT
CORP
US
N
2
2040-02-15
Fixed
3.11200000
N
N
N
N
N
N
JPMORGAN CHASE & CO
8I5DZWZKVSZI1NUHU748
JPMorgan Chase & Co
46647PDE3
100000.00000000
PA
USD
98176.71000000
0.035368535831
Long
DBT
CORP
US
N
2
2025-06-14
Fixed
3.84500000
N
N
N
N
N
N
COCA-COLA CO/THE
UWJKFUJFZ02DKWI3RY53
Coca-Cola Co/The
191216CY4
40000.00000000
PA
USD
29042.82000000
0.010462787150
Long
DBT
CORP
US
N
2
2060-06-01
Fixed
2.75000000
N
N
N
N
N
COCA-COLA FEMSA SAB CV
5493008KEVFYPMGTXO33
Coca-Cola Femsa SAB de CV
191241AJ7
90000.00000000
PA
USD
71963.10000000
0.025924982421
Long
DBT
CORP
MX
N
2
2032-09-01
Fixed
1.85000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CDY4
1000000.00000000
PA
USD
883789.06000000
0.318388394114
Long
DBT
UST
US
N
2
2032-02-15
Fixed
1.87500000
N
N
N
N
N
N
BROOKFIELD FINANCE INC
549300XH8D8K6OYWGD17
Brookfield Finance Inc
11271LAC6
20000.00000000
PA
USD
18851.39000000
0.006791285455
Long
DBT
CORP
CA
N
2
2028-01-25
Fixed
3.90000000
N
N
N
N
N
N
MDC HOLDINGS INC
5299005FV4VNV75R8R35
MDC Holdings Inc
552676AV0
70000.00000000
PA
USD
42520.87000000
0.015318306288
Long
DBT
CORP
US
N
2
2061-08-06
Fixed
3.96600000
N
N
N
N
N
N
MASTERCARD INC
AR5L2ODV9HN37376R084
Mastercard Inc
57636QAH7
40000.00000000
PA
USD
35065.18000000
0.012632365408
Long
DBT
CORP
US
N
2
2046-11-21
Fixed
3.80000000
N
N
N
N
N
DOW CHEMICAL CO/THE
ZQUIP1CSZO8LXRBSOU78
Dow Chemical Co/The
260543CK7
141000.00000000
PA
USD
132228.99000000
0.047636000135
Long
DBT
CORP
US
N
2
2034-10-01
Fixed
4.25000000
N
N
N
N
N
N
CELULOSA ARAUCO CONSTITU
549300QEKV8G0AMNQD28
Celulosa Arauco y Constitucion SA
151191BD4
10000.00000000
PA
USD
8927.77000000
0.003216263339
Long
DBT
CORP
CL
N
2
2047-11-02
Fixed
5.50000000
N
N
N
N
N
N
KFW
549300GDPG70E3MBBU98
Kreditanstalt fuer Wiederaufbau
500769JF2
79000.00000000
PA
USD
73006.63000000
0.026300918100
Long
DBT
CORP
DE
N
2
2025-07-18
Fixed
0.37500000
N
N
N
N
N
N
CHARLES SCHWAB CORP
549300VSGCJ7E698NM85
Charles Schwab Corp/The
808513AQ8
100000.00000000
PA
USD
92925.19000000
0.033476655636
Long
DBT
CORP
US
N
2
2027-03-02
Fixed
3.20000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179XAA4
241099.89000000
PA
USD
236616.13000000
0.085241867162
Long
ABS-MBS
USGSE
US
N
2
2052-06-20
Fixed
4.50000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DJK9
113337.28000000
PA
USD
108121.35000000
0.038951130483
Long
ABS-MBS
USGSE
US
N
2
2034-12-01
Fixed
3.00000000
N
N
N
N
N
N
FLOWSERVE CORPORATION
6Y0GK87T6V7NJKZJVM41
Flowserve Corp
34355JAB4
30000.00000000
PA
USD
24260.04000000
0.008739772335
Long
DBT
CORP
US
N
2
2032-01-15
Fixed
2.80000000
N
N
N
N
N
N
WESTPAC BANKING CORP
EN5TNI6CI43VEPAMHL14
Westpac Banking Corp
961214EW9
50000.00000000
PA
USD
43902.57000000
0.015816069006
Long
DBT
CORP
AU
N
2
2028-11-20
Fixed
1.95300000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
9128286R6
1814000.00000000
PA
USD
1768012.27000000
0.636933192429
Long
DBT
UST
US
N
2
2024-04-30
Fixed
2.25000000
N
N
N
N
N
N
NATWEST GROUP PLC
2138005O9XJIJN4JPN90
NatWest Group PLC
78009PEH0
100000.00000000
PA
USD
98554.53000000
0.035504646933
Long
DBT
CORP
GB
N
2
2030-01-27
Fixed
5.07600000
N
N
N
N
N
N
BANK OF MONTREAL
NQQ6HPCNCCU6TUTQYE16
Bank of Montreal
06368FAE9
100000.00000000
PA
USD
94186.66000000
0.033931105035
Long
DBT
CORP
CA
N
2
2025-01-10
Fixed
1.50000000
N
N
N
N
N
N
VMWARE INC
549300BUDHS3LRWBE814
VMware Inc
928563AJ4
130000.00000000
PA
USD
116082.95000000
0.041819327379
Long
DBT
CORP
US
N
2
2026-08-15
Fixed
1.40000000
N
N
N
N
N
N
3M COMPANY
LUZQVYP4VS22CLWDAR65
3M Co
88579YBN0
70000.00000000
PA
USD
64630.15000000
0.023283259095
Long
DBT
CORP
US
N
2
2030-04-15
Fixed
3.05000000
N
N
N
N
N
US BANK NA CINCINNATI
6BYL5QZYBDK8S7L73M02
US Bank NA/Cincinnati OH
90331HMS9
250000.00000000
PA
USD
239827.04000000
0.086398609789
Long
DBT
CORP
US
N
2
2025-01-27
Fixed
2.80000000
N
N
N
N
N
N
PAYPAL HOLDINGS INC
5493005X2GO78EFZ3E94
PayPal Holdings Inc
70450YAE3
150000.00000000
PA
USD
136212.30000000
0.049071002820
Long
DBT
CORP
US
N
2
2029-10-01
Fixed
2.85000000
N
N
N
N
N
N
GATX CORP
549300IHYHCQP2PIR591
GATX Corp
361448BE2
50000.00000000
PA
USD
49155.17000000
0.017708338275
Long
DBT
CORP
US
N
2
2029-04-01
Fixed
4.70000000
N
N
N
N
N
N
EQUINOR ASA
OW6OFBNCKXC4US5C7523
Equinor ASA
29446MAF9
214000.00000000
PA
USD
200907.14000000
0.072377566736
Long
DBT
CORP
NO
N
2
2030-04-06
Fixed
3.12500000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DSM5
540805.56000000
PA
USD
489351.39000000
0.176290712650
Long
ABS-MBS
USGSE
US
N
2
2035-09-01
Fixed
2.00000000
N
N
N
N
N
N
CHARLES SCHWAB CORP
549300VSGCJ7E698NM85
Charles Schwab Corp/The
808513BP9
100000.00000000
PA
USD
87286.84000000
0.031445418451
Long
DBT
CORP
US
N
2
2028-03-20
Fixed
2.00000000
N
N
N
N
N
N
DISCOVERY COMMUNICATIONS
L2Z2MO2EQURH3BREWI15
Discovery Communications LLC
25470DBL2
46000.00000000
PA
USD
30232.38000000
0.010891330696
Long
DBT
CORP
US
N
2
2055-09-15
Fixed
4.00000000
N
N
N
N
N
N
FHLMC Multifamily Structured P
S6XOOCT0IEG5ABCC6L87
Freddie Mac Multifamily Structured Pass Through Certificates
3137H13Q7
100000.00000000
PA
USD
82632.67000000
0.029768735882
Long
ABS-MBS
USGSE
US
N
2
2031-05-25
Fixed
1.64700000
N
N
N
N
N
N
NVR INC
529900RWXR4JI3JYTV70
NVR Inc
62944TAF2
30000.00000000
PA
USD
26936.02000000
0.009703804380
Long
DBT
CORP
US
N
2
2030-05-15
Fixed
3.00000000
N
N
N
N
N
N
NXP BV/NXP FDG/NXP USA
N/A
NXP BV / NXP Funding LLC / NXP USA Inc
62954HAX6
10000.00000000
PA
USD
9370.12000000
0.003375621621
Long
DBT
CORP
N/A
N
2
2027-05-01
Fixed
3.15000000
N
N
N
N
N
N
PROGRESSIVE CORP
529900TACNVLY9DCR586
Progressive Corp/The
743315AZ6
20000.00000000
PA
USD
17994.85000000
0.006482713639
Long
DBT
CORP
US
N
2
2032-03-15
Fixed
3.00000000
N
N
N
N
N
BANCO SANTANDER SA
5493006QMFDDMYWIAM13
Banco Santander SA
05964HAQ8
260000.00000000
PA
USD
247193.27000000
0.089052322362
Long
DBT
CORP
ES
N
2
2028-03-24
Fixed
4.17500000
N
N
N
N
N
N
INTUIT INC
VI90HBPH7XSFMB9E4M29
Intuit Inc
46124HAD8
10000.00000000
PA
USD
8333.88000000
0.003002312191
Long
DBT
CORP
US
N
2
2030-07-15
Fixed
1.65000000
N
N
N
N
N
N
EXELON CORP
3SOUA6IRML7435B56G12
Exelon Corp
30161NAV3
10000.00000000
PA
USD
8718.48000000
0.003140865815
Long
DBT
CORP
US
N
2
2046-04-15
Fixed
4.45000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418DYX4
859397.64000000
PA
USD
716879.95000000
0.258258747911
Long
ABS-MBS
USGSE
US
N
2
2051-05-01
Fixed
2.00000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418D7F3
7398542.78000000
PA
USD
6411856.10000000
2.309895719881
Long
ABS-MBS
USGSE
US
N
2
2051-12-01
Fixed
2.50000000
N
N
N
N
N
N
ASIAN DEVELOPMENT BANK
549300X0MVH42CY8Q105
Asian Development Bank
045167FS7
100000.00000000
PA
USD
99470.63000000
0.035834675467
Long
DBT
NUSS
N/A
N
2
2024-09-27
Fixed
4.12500000
N
N
N
N
N
N
WALT DISNEY COMPANY/THE
549300GZKULIZ0WOW665
Walt Disney Co/The
254687EX0
60000.00000000
PA
USD
59218.46000000
0.021333677044
Long
DBT
CORP
US
N
2
2045-10-15
Fixed
4.95000000
N
N
N
N
N
N
PROVINCE OF ALBERTA
LQPXMHHNJKIPJYE53543
Province of Alberta Canada
013051EK9
250000.00000000
PA
USD
233952.72000000
0.084282363508
Long
DBT
NUSS
CA
N
2
2025-05-20
Fixed
1.00000000
N
N
N
N
N
N
Toyota Auto Receivables Owner
N/A
Toyota Auto Receivables 2021-B Owner Trust
89190GAD9
100000.00000000
PA
USD
92350.15000000
0.033269495273
Long
ABS-O
CORP
US
N
2
2026-10-15
Fixed
0.53000000
N
N
N
N
N
N
FIRST AMERICAN FINANCIAL
549300B6VEZK3N0A1P55
First American Financial Corp
31847RAH5
30000.00000000
PA
USD
23315.98000000
0.008399671104
Long
DBT
CORP
US
N
2
2031-08-15
Fixed
2.40000000
N
N
N
N
N
N
PROLOGIS LP
GL16H1DHB0QSHP25F723
Prologis LP
74340XBH3
91000.00000000
PA
USD
88438.57000000
0.031860333595
Long
DBT
CORP
US
N
2
2028-09-15
Fixed
3.87500000
N
N
N
N
N
N
STATE STREET CORP
549300ZFEEJ2IP5VME73
State Street Corp
857477BG7
100000.00000000
PA
USD
87039.44000000
0.031356291654
Long
DBT
CORP
US
N
2
2030-01-24
Fixed
2.40000000
N
N
N
N
N
PRINCIPAL FINANCIAL GRP
CUMYEZJOAF02RYZ1JJ85
Principal Financial Group Inc
74251VAR3
54000.00000000
PA
USD
51253.46000000
0.018464255285
Long
DBT
CORP
US
N
2
2029-05-15
Fixed
3.70000000
N
N
N
N
N
N
FHLMC Multifamily Structured P
S6XOOCT0IEG5ABCC6L87
Freddie Mac Multifamily Structured Pass Through Certificates
3137FMU67
791628.65000000
PA
USD
760481.86000000
0.273966503000
Long
ABS-MBS
USGSE
US
N
2
2026-05-25
Fixed
2.86200000
N
N
N
N
N
N
BOOKING HOLDINGS INC
FXM8FAOHMYDIPD38UZ17
Booking Holdings Inc
741503AZ9
50000.00000000
PA
USD
48881.45000000
0.017609729597
Long
DBT
CORP
US
N
2
2026-06-01
Fixed
3.60000000
N
N
N
N
N
N
MIZUHO FINANCIAL GROUP
353800CI5L6DDAN5XZ33
Mizuho Financial Group Inc
60687YCA5
150000.00000000
PA
USD
141536.33000000
0.050989005020
Long
DBT
CORP
JP
N
2
2026-05-22
Fixed
2.65100000
N
N
N
N
N
N
LABORATORY CORP OF AMER
OZ7UA8IXAIFILY2VZH07
Laboratory Corp of America Holdings
50540RAX0
100000.00000000
PA
USD
90413.12000000
0.032571672796
Long
DBT
CORP
US
N
2
2026-06-01
Fixed
1.55000000
N
N
N
N
N
N
BAXTER INTERNATIONAL INC
J5OIVXX3P24RJRW5CK77
Baxter International Inc
071813CB3
60000.00000000
PA
USD
47234.23000000
0.017016312282
Long
DBT
CORP
US
N
2
2031-04-01
Fixed
1.73000000
N
N
N
N
N
N
PNC BANK NA
AD6GFRVSDT01YPT1CS68
PNC Bank NA
69349LAR9
90000.00000000
PA
USD
85594.79000000
0.030835850958
Long
DBT
CORP
US
N
2
2028-07-26
Fixed
4.05000000
N
N
N
N
N
N
CON EDISON CO OF NY INC
VZFZPMWDHTQCFKYOBP05
Consolidated Edison Co of New York Inc
209111FT5
122000.00000000
PA
USD
111749.47000000
0.040258174610
Long
DBT
CORP
US
N
2
2048-12-01
Fixed
4.65000000
N
N
N
N
N
N
CSX CORP
549300JVQR4N1MMP3Q88
CSX Corp
126408GH0
10000.00000000
PA
USD
10954.31000000
0.003946332136
Long
DBT
CORP
US
N
2
2036-10-01
Fixed
6.00000000
N
N
N
N
N
N
ATMOS ENERGY CORP
QVLWEGTD2S8GJMO8D383
Atmos Energy Corp
049560AR6
100000.00000000
PA
USD
90766.31000000
0.032698910847
Long
DBT
CORP
US
N
2
2029-09-15
Fixed
2.62500000
N
N
N
N
N
N
MOODY'S CORPORATION
549300GCEDD8YCF5WU84
Moody's Corp
615369AY1
100000.00000000
PA
USD
80031.85000000
0.028831780515
Long
DBT
CORP
US
N
2
2052-02-25
Fixed
3.75000000
N
N
N
N
N
N
Ford Credit Auto Owner Trust
N/A
Ford Credit Auto Owner Trust 2022-A
345286AC2
100000.00000000
PA
USD
95889.47000000
0.034544548860
Long
ABS-O
CORP
US
N
2
2026-06-15
Fixed
1.29000000
N
N
N
N
N
N
INTL FINANCE CORP
QKL54NQY28TCDAI75F60
International Finance Corp
45950VHX7
50000.00000000
PA
USD
47599.85000000
0.017148028288
Long
DBT
NUSS
N/A
N
2
2026-04-07
Fixed
2.12600000
N
N
N
N
N
N
FISERV INC
GI7UBEJLXYLGR2C7GV83
Fiserv Inc
337738AU2
254000.00000000
PA
USD
236583.68000000
0.085230176925
Long
DBT
CORP
US
N
2
2029-07-01
Fixed
3.50000000
N
N
N
N
N
N
CON EDISON CO OF NY INC
VZFZPMWDHTQCFKYOBP05
Consolidated Edison Co of New York Inc
209111FK4
10000.00000000
PA
USD
8439.78000000
0.003040463072
Long
DBT
CORP
US
N
2
2056-12-01
Fixed
4.30000000
N
N
N
N
N
N
BRANDYWINE OPER PARTNERS
IXBXSCONLDQ1ZI73YU71
Brandywine Operating Partnership LP
105340AQ6
20000.00000000
PA
USD
15274.20000000
0.005502589056
Long
DBT
CORP
US
N
2
2027-11-15
Fixed
3.95000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179XDE3
195608.05000000
PA
USD
191968.64000000
0.069157437873
Long
ABS-MBS
USGSE
US
N
2
2052-08-20
Fixed
4.50000000
N
N
N
N
N
N
AMGEN INC
62QBXGPJ34PQ72Z12S66
Amgen Inc
031162DP2
100000.00000000
PA
USD
102351.24000000
0.036872426254
Long
DBT
CORP
US
N
2
2028-03-02
Fixed
5.15000000
N
N
N
N
N
N
AMCOR FINANCE USA INC
549300ZMT7FVT8R77U18
Amcor Finance USA Inc
02343UAH8
10000.00000000
PA
USD
9882.24000000
0.003560114812
Long
DBT
CORP
US
N
2
2028-05-15
Fixed
4.50000000
N
N
N
N
N
N
ONEOK INC
2T3D6M0JSY48PSZI1Q41
ONEOK Inc
682680AW3
19000.00000000
PA
USD
18173.80000000
0.006547181062
Long
DBT
CORP
US
N
2
2029-03-15
Fixed
4.35000000
N
N
N
N
N
N
LEGG MASON INC
OWUNCC6U1ZJXMZKFBJ36
Legg Mason Inc
524901AV7
20000.00000000
PA
USD
19816.80000000
0.007139078105
Long
DBT
CORP
US
N
2
2026-03-15
Fixed
4.75000000
N
N
N
N
N
N
ROPER TECHNOLOGIES INC
54930003T4SXCIWVXY35
Roper Technologies Inc
776743AD8
100000.00000000
PA
USD
97327.82000000
0.035062719957
Long
DBT
CORP
US
N
2
2026-12-15
Fixed
3.80000000
N
N
N
N
N
N
AMGEN INC
62QBXGPJ34PQ72Z12S66
Amgen Inc
031162BC3
20000.00000000
PA
USD
20599.87000000
0.007421182072
Long
DBT
CORP
US
N
2
2040-03-15
Fixed
5.75000000
N
N
N
N
N
N
ASTRAZENECA FINANCE LLC
549300C3HATU4Q460S18
Astrazeneca Finance LLC
04636NAA1
100000.00000000
PA
USD
91519.42000000
0.032970221609
Long
DBT
CORP
US
N
2
2026-05-28
Fixed
1.20000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
912810QY7
135000.00000000
PA
USD
115103.32000000
0.041466411919
Long
DBT
UST
US
N
2
2042-11-15
Fixed
2.75000000
N
N
N
N
N
N
BUNGE LTD FINANCE CORP
549300QHC068L40NNM71
Bunge Ltd Finance Corp
120568BC3
50000.00000000
PA
USD
42912.41000000
0.015459360073
Long
DBT
CORP
US
N
2
2031-05-14
Fixed
2.75000000
N
N
N
N
N
N
ASSURANT INC
H3F39CAXWQRVWURFXL38
Assurant Inc
04621XAN8
42000.00000000
PA
USD
32038.48000000
0.011541985139
Long
DBT
CORP
US
N
2
2032-01-15
Fixed
2.65000000
N
N
N
N
N
N
ROYAL BANK OF CANADA
ES7IP3U3RHIGC71XBU11
Royal Bank of Canada
78016EZ59
100000.00000000
PA
USD
97221.83000000
0.035024536654
Long
DBT
CORP
CA
N
2
2025-04-14
Fixed
3.37500000
N
N
N
N
N
N
BANK OF AMERICA CORP
9DJT3UXIJIZJI4WXO774
Bank of America Corp
06051GKM0
100000.00000000
PA
USD
96429.40000000
0.034739060711
Long
DBT
CORP
US
N
2
2026-04-02
Fixed
3.38400000
N
N
N
N
N
N
COCA-COLA CO/THE
UWJKFUJFZ02DKWI3RY53
Coca-Cola Co/The
191216DL1
100000.00000000
PA
USD
78475.22000000
0.028270998595
Long
DBT
CORP
US
N
2
2051-03-05
Fixed
3.00000000
N
N
N
N
N
N
COMCAST CORP
51M0QTTNCGUN7KFCFZ59
Comcast Corp
20030NDN8
200000.00000000
PA
USD
161707.61000000
0.058255785904
Long
DBT
CORP
US
N
2
2031-02-15
Fixed
1.50000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CDQ1
1100000.00000000
PA
USD
1010539.07000000
0.364050570717
Long
DBT
UST
US
N
2
2026-12-31
Fixed
1.25000000
N
N
N
N
N
N
PARKER-HANNIFIN CORP
5493002CONDB4N2HKI23
Parker-Hannifin Corp
70109HAN5
10000.00000000
PA
USD
9179.82000000
0.003307065317
Long
DBT
CORP
US
N
2
2044-11-21
Fixed
4.45000000
N
N
N
N
N
N
3M COMPANY
LUZQVYP4VS22CLWDAR65
3M Co
88579YBJ9
118000.00000000
PA
USD
105617.79000000
0.038049213403
Long
DBT
CORP
US
N
2
2029-08-26
Fixed
2.37500000
N
N
N
N
N
N
MARATHON PETROLEUM CORP
3BNYRYQHD39K4LCKQF12
Marathon Petroleum Corp
56585AAH5
132000.00000000
PA
USD
114463.48000000
0.041235907108
Long
DBT
CORP
US
N
2
2044-09-15
Fixed
4.75000000
N
N
N
N
N
N
BANK OF NY MELLON CORP
WFLLPEPC7FZXENRZV188
Bank of New York Mellon Corp/The
06406RBA4
100000.00000000
PA
USD
91002.09000000
0.032783851495
Long
DBT
CORP
US
N
2
2027-01-26
Fixed
2.05000000
N
N
N
N
N
N
KIMCO REALTY OP LLC
549300EA7I6T15IBYS12
Kimco Realty OP LLC
49446RAY5
100000.00000000
PA
USD
78640.80000000
0.028330649424
Long
DBT
CORP
US
N
2
2031-12-01
Fixed
2.25000000
N
N
N
N
N
N
OWENS CORNING
JO5M6676RDJIZ2U8X907
Owens Corning
690742AK7
50000.00000000
PA
USD
46953.21000000
0.016915073751
Long
DBT
CORP
US
N
2
2030-06-01
Fixed
3.87500000
N
N
N
N
N
N
TRANSCANADA PIPELINES
5BV01I6231JPDAPMGH09
TransCanada PipeLines Ltd
89352HBC2
260000.00000000
PA
USD
215140.38000000
0.077505145964
Long
DBT
CORP
CA
N
2
2031-10-12
Fixed
2.50000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418EES5
657070.31000000
PA
USD
628398.55000000
0.226382984643
Long
ABS-MBS
USGSE
US
N
2
2052-05-01
Fixed
4.00000000
N
N
N
N
N
N
Carvana Auto Receivables Trust
N/A
Carvana Auto Receivables Trust 2022-N1
14686GAE6
75000.00000000
PA
USD
70894.90000000
0.025540159279
Long
ABS-O
CORP
US
Y
2
2028-12-11
Fixed
4.13000000
N
N
N
N
N
N
BRISTOL-MYERS SQUIBB CO
HLYYNH7UQUORYSJQCN42
Bristol-Myers Squibb Co
110122CQ9
260000.00000000
PA
USD
243634.49000000
0.087770258235
Long
DBT
CORP
US
N
2
2039-06-15
Fixed
4.12500000
N
N
N
N
N
N
CAMDEN PROPERTY TRUST
5493002MYX22OHYJBD89
Camden Property Trust
133131AZ5
40000.00000000
PA
USD
34841.48000000
0.012551776626
Long
DBT
CORP
US
N
2
2030-05-15
Fixed
2.80000000
N
N
N
N
N
N
AMAZON.COM INC
ZXTILKJKG63JELOEG630
Amazon.com Inc
023135CQ7
100000.00000000
PA
USD
102372.49000000
0.036880081648
Long
DBT
CORP
US
N
2
2029-12-01
Fixed
4.65000000
N
N
N
N
N
N
AmeriCredit Automobile Receiva
N/A
AmeriCredit Automobile Receivables Trust 2021-2
03066RAE5
50000.00000000
PA
USD
45872.74000000
0.016525830295
Long
ABS-O
CORP
US
N
2
2027-01-19
Fixed
1.01000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
91282CFM8
100000.00000000
PA
USD
102261.72000000
0.036840176331
Long
DBT
UST
US
N
2
2027-09-30
Fixed
4.12500000
N
N
N
N
N
N
JPMORGAN CHASE & CO
8I5DZWZKVSZI1NUHU748
JPMorgan Chase & Co
46647PCR5
110000.00000000
PA
USD
91557.36000000
0.032983889639
Long
DBT
CORP
US
N
2
2032-11-08
Fixed
2.54500000
N
N
N
N
N
N
EQUITABLE HOLDINGS INC
549300FIBAKMNHPZ4009
Equitable Holdings Inc
054561AJ4
50000.00000000
PA
USD
48176.62000000
0.017355811889
Long
DBT
CORP
US
N
2
2028-04-20
Fixed
4.35000000
N
N
N
N
N
N
PUBLIC SERVICE ELECTRIC
549300RUHPVD434XUK18
Public Service Electric and Gas Co
74456QCH7
70000.00000000
PA
USD
57960.68000000
0.020880556981
Long
DBT
CORP
US
N
2
2031-08-15
Fixed
1.90000000
N
N
N
N
N
N
VULCAN MATERIALS CO
549300Q8LSNHAVWBNI21
Vulcan Materials Co
929160BA6
100000.00000000
PA
USD
100526.25000000
0.036214966616
Long
DBT
CORP
US
N
2
2026-03-01
Fixed
5.80000000
N
N
N
N
N
N
Fannie Mae
B1V7KEBTPIMZEU4LTD58
Fannie Mae Pool
31418ENM8
762599.97000000
PA
USD
787033.35000000
0.283531778975
Long
ABS-MBS
USGSE
US
N
2
2053-01-01
Fixed
6.50000000
N
N
N
N
N
N
Government National Mortgage A
549300M8ZYFG0OCMTT87
Ginnie Mae II Pool
36179VHT0
154271.02000000
PA
USD
146834.47000000
0.052897680249
Long
ABS-MBS
USGSE
US
N
2
2050-03-20
Fixed
3.50000000
N
N
N
N
N
N
BANK OF NY MELLON CORP
WFLLPEPC7FZXENRZV188
Bank of New York Mellon Corp/The
06406RAX5
100000.00000000
PA
USD
93949.92000000
0.033845818544
Long
DBT
CORP
US
N
2
2024-10-25
Fixed
0.85000000
N
N
N
N
N
N
HCA INC
L3CJ6J7LJ2DX62FTXD46
HCA Inc
404119BY4
110000.00000000
PA
USD
103431.41000000
0.037261561634
Long
DBT
CORP
US
N
2
2039-06-15
Fixed
5.12500000
N
N
N
N
N
N
LANDWIRTSCH. RENTENBANK
529900Z3J0N6S0F7CT25
Landwirtschaftliche Rentenbank
515110BN3
30000.00000000
PA
USD
28872.28000000
0.010401349461
Long
DBT
CORP
DE
N
2
2025-01-13
Fixed
2.00000000
N
N
N
N
N
N
GENERAL MILLS INC
2TGYMUGI08PO8X8L6150
General Mills Inc
370334CL6
174000.00000000
PA
USD
158214.63000000
0.056997426479
Long
DBT
CORP
US
N
2
2030-04-15
Fixed
2.87500000
N
N
N
N
N
N
PPL CAPITAL FUNDING INC
549300MROK5WY0D2NU17
PPL Capital Funding Inc
69352PAL7
50000.00000000
PA
USD
47840.56000000
0.017234744987
Long
DBT
CORP
US
N
2
2026-05-15
Fixed
3.10000000
N
N
N
N
N
N
US TREASURY N/B
254900HROIFWPRGM1V77
United States Treasury Note/Bond
9128285Z9
1211000.00000000
PA
USD
1189523.67000000
0.428530458447
Long
DBT
UST
US
N
2
2024-01-31
Fixed
2.50000000
N
N
N
N
N
N
NOMURA HOLDINGS INC
549300B3CEAHYG7K8164
Nomura Holdings Inc
65535HAY5
120000.00000000
PA
USD
101067.79000000
0.036410058475
Long
DBT
CORP
JP
N
2
2028-07-14
Fixed
2.17200000
N
N
N
N
N
N
FHLMC Multifamily Structured P
S6XOOCT0IEG5ABCC6L87
Freddie Mac Multifamily Structured Pass Through Certificates
3137F9Z61
96088.54000000
PA
USD
84693.25000000
0.030511067719
Long
ABS-MBS
USGSE
US
N
2
2030-08-25
Fixed
1.10100000
N
N
N
N
N
N
JABIL INC
5493000CGCQY2OQU7669
Jabil Inc
466313AM5
40000.00000000
PA
USD
39003.65000000
0.014051214311
Long
DBT
CORP
US
N
2
2027-05-15
Fixed
4.25000000
N
N
N
N
N
2023-04-30
Nushares ETF Trust
E. Scott Wickerham
E. Scott Wickerham
Vice President and Funds Controller
XXXX
NPORT-EX
2
tiaa_NUBD.htm
Nuveen
Enhanced
Yield
U.S.
Aggregate
Bond
ETF
(NUAG)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
LONG-TERM
INVESTMENTS
-
98.5%
X
13,377,392
CORPORATE
DEBT
-
42.3%
X
13,377,392
Financials
-
16.4%
$
10
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
(3)
2.875%
8/14/24
BBB
$
9,604
2
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
1.650%
10/29/24
BBB
1,870
8
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
1.750%
10/29/24
BBB
7,497
18
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
1.750%
1/30/26
BBB
16,149
18
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
2.450%
10/29/26
BBB
16,140
5
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
4.625%
10/15/27
BBB
4,822
1
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
3.000%
10/29/28
BBB
871
8
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
3.300%
1/30/32
BBB
6,553
4
Aetna
Inc
4.500%
5/15/42
BBB
3,579
10
Aetna
Inc
4.750%
3/15/44
BBB
9,099
12
Affiliated
Managers
Group
Inc
3.500%
8/01/25
BBB+
11,530
10
Affiliated
Managers
Group
Inc
3.300%
6/15/30
BBB+
8,674
2
Air
Lease
Corp
3.875%
7/03/23
BBB
1,994
7
Air
Lease
Corp
0.800%
8/18/24
BBB
6,573
10
Air
Lease
Corp
3.250%
3/01/25
BBB
9,586
1
Air
Lease
Corp
1.875%
8/15/26
BBB
889
7
Air
Lease
Corp
2.200%
1/15/27
BBB
6,275
8
Air
Lease
Corp
3.625%
4/01/27
BBB
7,516
2
Air
Lease
Corp
3.250%
10/01/29
BBB
1,773
10
Air
Lease
Corp
3.000%
2/01/30
BBB
8,573
13
Aircastle
Ltd
4.125%
5/01/24
BBB-
12,726
5
Alexandria
Real
Estate
Equities
Inc
1.875%
2/01/33
BBB+
3,780
23
Alexandria
Real
Estate
Equities
Inc
3.550%
3/15/52
BBB+
16,237
5
Ally
Financial
Inc
1.450%
10/02/23
BBB-
4,888
20
Ally
Financial
Inc
(3)
7.100%
11/15/27
BBB-
20,655
18
Ally
Financial
Inc
2.200%
11/02/28
BBB-
14,660
1
Ally
Financial
Inc
8.000%
11/01/31
BBB-
1,055
100
American
Express
Co
4.990%
5/01/26
A-
99,963
13
American
Homes
4
Rent
LP
3.625%
4/15/32
BBB-
11,366
20
American
International
Group
Inc
2.500%
6/30/25
BBB+
18,993
9
Aon
Corp
2.800%
5/15/30
BBB+
7,922
1
Aon
Corp
/
Aon
Global
Holdings
PLC
2.600%
12/02/31
BBB+
845
5
Ares
Capital
Corp
3.875%
1/15/26
BBB-
4,660
7
Assurant
Inc
3.700%
2/22/30
BBB
6,170
10
Assurant
Inc
2.650%
1/15/32
BBB
7,628
1
Athene
Holding
Ltd
6.150%
4/03/30
BBB+
1,002
17
AXIS
Specialty
Finance
PLC
4.000%
12/06/27
BBB+
16,459
44
Banco
Santander
SA
2.749%
12/03/30
BBB
34,889
100
Bank
of
America
Corp
5.080%
1/20/27
A
99,809
34
Bank
of
America
Corp
4.948%
7/22/28
A
33,883
100
Bank
of
America
Corp
4.571%
4/27/33
A
95,381
100
Bank
of
America
Corp
(3)
5.015%
7/22/33
A
98,598
100
Bank
of
Montreal
5.200%
12/12/24
A
99,990
100
Bank
of
New
York
Mellon
Corp/The
4.947%
4/26/27
A+
100,722
6
Bank
of
Nova
Scotia/The
3.450%
4/11/25
A
5,821
57
Bank
of
Nova
Scotia/The
3.625%
10/27/81
BBB-
40,809
11
BankUnited
Inc
5.125%
6/11/30
BBB-
9,374
1
Barclays
PLC
1.007%
12/10/24
BBB+
965
13
Barclays
PLC
2.852%
5/07/26
BBB+
12,250
13
Barclays
PLC
5.200%
5/12/26
BBB
12,690
200
Barclays
PLC
5.501%
8/09/28
BBB+
199,439
3
Barclays
PLC
5.088%
6/20/30
BBB
2,813
4
Barclays
PLC
2.667%
3/10/32
BBB+
3,185
Nuveen
Enhanced
Yield
U.S.
Aggregate
Bond
ETF
(NUAG)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Financials
(continued)
$
4
Barclays
PLC
2.894%
11/24/32
BBB+
$
3,204
4
Barclays
PLC
3.811%
3/10/42
BBB
2,903
10
BGC
Partners
Inc
5.375%
7/24/23
BBB-
9,966
12
BGC
Partners
Inc
3.750%
10/01/24
BBB-
11,576
6
Blackstone
Private
Credit
Fund
4.700%
3/24/25
BBB-
5,788
24
Blackstone
Private
Credit
Fund
2.625%
12/15/26
BBB-
20,437
16
Blackstone
Secured
Lending
Fund
2.125%
2/15/27
BBB-
13,541
15
Boston
Properties
LP
3.400%
6/21/29
BBB+
12,729
14
Brighthouse
Financial
Inc
(3)
5.625%
5/15/30
BBB
13,674
11
Brixmor
Operating
Partnership
LP
4.125%
5/15/29
BBB-
10,075
24
Brown
&
Brown
Inc
2.375%
3/15/31
BBB-
19,657
100
Canadian
Imperial
Bank
of
Commerce
5.001%
4/28/28
A
100,444
4
Capital
One
Financial
Corp
3.900%
1/29/24
BBB+
3,950
4
Capital
One
Financial
Corp
1.343%
12/06/24
BBB+
3,871
4
Capital
One
Financial
Corp
4.250%
4/30/25
BBB+
3,877
7
Capital
One
Financial
Corp
4.166%
5/09/25
BBB+
6,816
6
Capital
One
Financial
Corp
1.878%
11/02/27
BBB+
5,230
4
Capital
One
Financial
Corp
3.800%
1/31/28
BBB+
3,736
61
Capital
One
Financial
Corp
4.927%
5/10/28
BBB+
59,201
7
Capital
One
Financial
Corp
3.273%
3/01/30
BBB+
6,070
6
Capital
One
Financial
Corp
2.359%
7/29/32
BBB
4,331
1
Capital
One
Financial
Corp
5.268%
5/10/33
BBB+
954
36
CI
Financial
Corp
3.200%
12/17/30
BBB-
26,722
9
Citigroup
Inc
4.140%
5/24/25
A-
8,890
2
Citigroup
Inc
3.290%
3/17/26
A-
1,930
20
Citigroup
Inc
4.450%
9/29/27
BBB
19,543
1
Citigroup
Inc
3.070%
2/24/28
A-
935
100
Citigroup
Inc
4.658%
5/24/28
A-
99,107
150
Citigroup
Inc
4.910%
5/24/33
A-
146,539
72
Citizens
Financial
Group
Inc
2.500%
2/06/30
BBB+
57,761
8
CNA
Financial
Corp
3.900%
5/01/29
BBB+
7,601
8
CNO
Financial
Group
Inc
5.250%
5/30/29
BBB-
7,614
20
Cooperatieve
Rabobank
UA
3.750%
7/21/26
BBB+
18,824
46
Corebridge
Financial
Inc,
144A
3.850%
4/05/29
BBB+
41,941
3
Corporate
Office
Properties
LP
2.900%
12/01/33
BBB-
2,094
15
Credit
Suisse
AG/New
York
NY
3.700%
2/21/25
A-
14,208
5
CubeSmart
LP
2.250%
12/15/28
BBB
4,332
4
Deutsche
Bank
AG/New
York
NY
1.447%
4/01/25
BBB
3,771
18
Deutsche
Bank
AG/New
York
NY
6.119%
7/14/26
BBB
17,774
4
Deutsche
Bank
AG/New
York
NY
2.129%
11/24/26
BBB
3,559
4
Deutsche
Bank
AG/New
York
NY
2.311%
11/16/27
BBB
3,462
1
Deutsche
Bank
AG/New
York
NY
3.547%
9/18/31
BBB
841
8
Digital
Realty
Trust
LP
4.450%
7/15/28
BBB
7,619
7
Discover
Financial
Services
4.500%
1/30/26
BBB
6,773
18
Discover
Financial
Services
4.100%
2/09/27
BBB
17,136
1
Elevance
Health
Inc
2.875%
9/15/29
BBB+
913
1
Elevance
Health
Inc
4.100%
5/15/32
BBB+
960
8
Elevance
Health
Inc
3.125%
5/15/50
BBB+
5,782
23
Enstar
Group
Ltd
3.100%
9/01/31
BBB-
18,141
10
EPR
Properties
3.750%
8/15/29
BBB-
7,975
3
Equitable
Holdings
Inc
4.350%
4/20/28
BBB+
2,891
13
Essex
Portfolio
LP
2.550%
6/15/31
BBB+
10,761
12
Extra
Space
Storage
LP
2.350%
3/15/32
BBB
9,546
24
Fairfax
Financial
Holdings
Ltd
4.625%
4/29/30
BBB-
22,942
11
Federal
Realty
Investment
Trust
3.500%
6/01/30
BBB+
9,788
21
Fidelity
National
Financial
Inc
3.400%
6/15/30
BBB
18,583
9
Fifth
Third
Bancorp
2.375%
1/28/25
BBB+
8,469
2
Fifth
Third
Bancorp
1.707%
11/01/27
BBB+
1,735
3
Fifth
Third
Bancorp
3.950%
3/14/28
BBB+
2,800
100
Fifth
Third
Bancorp
6.361%
10/27/28
BBB+
103,203
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Financials
(continued)
$
21
First
American
Financial
Corp
2.400%
8/15/31
BBB
$
16,321
26
FS
KKR
Capital
Corp
1.650%
10/12/24
BBB-
24,071
1
FS
KKR
Capital
Corp
3.250%
7/15/27
BBB-
863
16
GATX
Corp
4.550%
11/07/28
BBB
15,649
10
Goldman
Sachs
BDC
Inc
(3)
2.875%
1/15/26
BBB-
9,150
6
Goldman
Sachs
Group
Inc/The
3.000%
3/15/24
A-
5,873
100
Goldman
Sachs
Group
Inc/The
5.700%
11/01/24
A-
100,889
6
Goldman
Sachs
Group
Inc/The
1.948%
10/21/27
A-
5,373
100
Goldman
Sachs
Group
Inc/The
4.482%
8/23/28
A-
98,114
4
Goldman
Sachs
Group
Inc/The
2.615%
4/22/32
A-
3,338
6
Goldman
Sachs
Group
Inc/The
2.383%
7/21/32
A-
4,901
1
Goldman
Sachs
Group
Inc/The
6.450%
5/01/36
BBB
1,077
13
Golub
Capital
BDC
Inc
2.050%
2/15/27
BBB-
10,788
12
Hartford
Financial
Services
Group
Inc/The
2.800%
8/19/29
BBB+
10,571
5
Healthcare
Realty
Holdings
LP
3.100%
2/15/30
BBB
4,348
11
Healthpeak
OP
LLC
2.875%
1/15/31
BBB+
9,528
10
Hercules
Capital
Inc
3.375%
1/20/27
BBB-
8,633
10
Highwoods
Realty
LP
4.200%
4/15/29
BBB
8,517
5
Highwoods
Realty
LP
3.050%
2/15/30
BBB
3,897
11
Host
Hotels
&
Resorts
LP
3.500%
9/15/30
BBB-
9,366
200
HSBC
Holdings
PLC
6.161%
3/09/29
A
205,690
96
HSBC
Holdings
PLC
6.800%
6/01/38
BBB+
100,793
10
Hudson
Pacific
Properties
LP
(3)
4.650%
4/01/29
BBB-
6,934
28
Humana
Inc
2.150%
2/03/32
BBB
22,703
15
Huntington
Bancshares
Inc/OH
4.000%
5/15/25
BBB+
14,315
12
Huntington
Bancshares
Inc/OH
2.550%
2/04/30
BBB+
9,792
11
Invitation
Homes
Operating
Partnership
LP
2.300%
11/15/28
BBB
9,355
18
Jackson
Financial
Inc
(3)
5.170%
6/08/27
BBB
17,698
12
Janus
Henderson
US
Holdings
Inc
4.875%
8/01/25
BBB+
11,800
12
Jefferies
Financial
Group
Inc
5.500%
10/18/23
BBB
11,965
9
Jefferies
Financial
Group
Inc
4.150%
1/23/30
BBB
8,348
100
JPMorgan
Chase
&
Co
2.595%
2/24/26
A+
95,205
6
JPMorgan
Chase
&
Co
1.470%
9/22/27
A+
5,343
10
JPMorgan
Chase
&
Co
2.069%
6/01/29
A+
8,708
4
JPMorgan
Chase
&
Co
3.702%
5/06/30
A+
3,731
6
JPMorgan
Chase
&
Co
2.545%
11/08/32
A+
4,994
12
JPMorgan
Chase
&
Co
4.912%
7/25/33
A+
11,934
150
JPMorgan
Chase
&
Co
5.717%
9/14/33
A-
154,852
22
Kemper
Corp
3.800%
2/23/32
BBB-
19,019
67
KeyCorp
2.550%
10/01/29
BBB+
54,565
5
Kilroy
Realty
LP
2.650%
11/15/33
BBB
3,313
2
Kimco
Realty
OP
LLC
2.250%
12/01/31
BBB+
1,573
12
Kimco
Realty
OP
LLC
4.250%
4/01/45
BBB+
9,433
31
Lazard
Group
LLC
4.500%
9/19/28
BBB
29,851
11
Life
Storage
LP
2.400%
10/15/31
BBB
8,920
16
Lincoln
National
Corp
3.625%
12/12/26
BBB+
14,796
13
Lloyds
Banking
Group
PLC
4.716%
8/11/26
A-
12,825
13
LXP
Industrial
Trust
2.375%
10/01/31
BBB
10,053
11
Main
Street
Capital
Corp
3.000%
7/14/26
BBB-
9,678
9
Manulife
Financial
Corp
4.061%
2/24/32
BBB+
8,505
12
Markel
Corp
3.350%
9/17/29
BBB
11,019
20
Mitsubishi
UFJ
Financial
Group
Inc
5.017%
7/20/28
A
19,931
3
Morgan
Stanley
4.350%
9/08/26
BBB+
2,934
2
Morgan
Stanley
3.950%
4/23/27
BBB+
1,922
100
Morgan
Stanley
6.296%
10/18/28
A
105,045
150
Morgan
Stanley
3.622%
4/01/31
A
137,200
1
Morgan
Stanley
4.889%
7/20/33
A
986
1
Morgan
Stanley
2.484%
9/16/36
BBB+
769
10
Nasdaq
Inc
3.850%
6/30/26
BBB+
9,811
3
National
Retail
Properties
Inc
2.500%
4/15/30
BBB+
2,524
Nuveen
Enhanced
Yield
U.S.
Aggregate
Bond
ETF
(NUAG)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Financials
(continued)
$
1
National
Retail
Properties
Inc
3.000%
4/15/52
BBB+
$
622
6
NatWest
Group
PLC
4.269%
3/22/25
A-
5,910
13
NatWest
Group
PLC
3.754%
11/01/29
BBB
12,286
17
NatWest
Group
PLC
5.076%
1/27/30
A-
16,754
4
Nomura
Holdings
Inc
1.851%
7/16/25
BBB+
3,674
3
Nomura
Holdings
Inc
5.386%
7/06/27
BBB+
2,976
4
Nomura
Holdings
Inc
2.710%
1/22/29
BBB+
3,431
2
Nomura
Holdings
Inc
3.103%
1/16/30
BBB+
1,713
1
Nomura
Holdings
Inc
2.679%
7/16/30
BBB+
822
10
Oaktree
Specialty
Lending
Corp
2.700%
1/15/27
BBB-
8,649
7
Old
Republic
International
Corp
3.875%
8/26/26
BBB+
6,746
13
Omega
Healthcare
Investors
Inc
3.625%
10/01/29
BBB-
10,917
10
ORIX
Corp
4.000%
4/13/32
A-
9,297
10
Owl
Rock
Capital
Corp
3.750%
7/22/25
BBB-
9,236
18
Owl
Rock
Capital
Corp
4.250%
1/15/26
BBB-
16,775
1
Owl
Rock
Capital
Corp
2.625%
1/15/27
BBB-
852
14
OWL
Rock
Core
Income
Corp
4.700%
2/08/27
Baa3
12,792
13
Piedmont
Operating
Partnership
LP
2.750%
4/01/32
BBB
9,112
100
PNC
Financial
Services
Group
Inc/The
5.354%
12/02/28
A-
100,650
23
Prospect
Capital
Corp
3.437%
10/15/28
BBB-
17,796
8
Prudential
Financial
Inc
5.375%
5/15/45
BBB+
7,598
7
Prudential
Financial
Inc
5.700%
9/15/48
BBB+
6,799
1
Prudential
Financial
Inc
3.700%
10/01/50
BBB+
857
8
Radian
Group
Inc
6.625%
3/15/25
Baa3
7,963
2
Regency
Centers
LP
2.950%
9/15/29
BBB+
1,760
7
Regency
Centers
LP
4.400%
2/01/47
BBB+
5,798
34
Regions
Financial
Corp
1.800%
8/12/28
BBB+
28,275
8
Reinsurance
Group
of
America
Inc
4.700%
9/15/23
BBB+
7,977
10
Reinsurance
Group
of
America
Inc
3.150%
6/15/30
BBB+
8,787
13
Rexford
Industrial
Realty
LP
2.150%
9/01/31
BBB+
10,370
100
Royal
Bank
of
Canada
4.875%
1/12/26
A+
100,541
10
Sabra
Health
Care
LP
3.200%
12/01/31
BBB-
7,505
6
Santander
Holdings
USA
Inc
4.260%
6/09/25
BBB
5,804
7
Santander
Holdings
USA
Inc
3.244%
10/05/26
BBB
6,450
1
Santander
Holdings
USA
Inc
2.490%
1/06/28
BBB
877
2
Santander
UK
Group
Holdings
PLC
1.532%
8/21/26
BBB+
1,797
10
Sixth
Street
Specialty
Lending
Inc
3.875%
11/01/24
BBB-
9,597
13
Spirit
Realty
LP
2.100%
3/15/28
BBB
10,979
10
Stifel
Financial
Corp
4.250%
7/18/24
BBB
9,837
12
Stifel
Financial
Corp
4.000%
5/15/30
BBB
10,621
12
STORE
Capital
Corp
2.700%
12/01/31
BBB-
8,635
200
Sumitomo
Mitsui
Financial
Group
Inc
5.520%
1/13/28
A
204,581
2
Sun
Communities
Operating
LP
2.300%
11/01/28
BBB-
1,712
6
Sun
Communities
Operating
LP
4.200%
4/15/32
BBB-
5,396
6
Synchrony
Financial
4.875%
6/13/25
BBB-
5,669
56
Synchrony
Financial
3.700%
8/04/26
BBB-
49,929
39
Synchrony
Financial
3.950%
12/01/27
BBB-
34,532
100
Toronto-Dominion
Bank/The
5.156%
1/10/28
A
101,146
15
UDR
Inc
3.000%
8/15/31
BBB+
12,964
7
Unum
Group
3.875%
11/05/25
BBB-
6,777
22
Ventas
Realty
LP
2.500%
9/01/31
BBB+
17,798
9
Wells
Fargo
&
Co
3.908%
4/25/26
A
8,776
1
Wells
Fargo
&
Co
3.526%
3/24/28
A
945
150
Wells
Fargo
&
Co
4.808%
7/25/28
A
148,656
100
Wells
Fargo
&
Co
5.389%
4/24/34
A
101,727
16
Welltower
OP
LLC
2.800%
6/01/31
BBB+
13,430
6
Welltower
OP
LLC
3.850%
6/15/32
BBB+
5,393
117
Westpac
Banking
Corp
2.668%
11/15/35
BBB+
91,805
14
Willis
North
America
Inc
4.500%
9/15/28
BBB
13,634
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Financials
(continued)
$
11
WP
Carey
Inc
2.450%
2/01/32
BBB+
$
8,839
Total
Financials
5,178,334
Industrial
-
11.2%
9
AbbVie
Inc
3.200%
11/21/29
BBB+
8,317
15
AbbVie
Inc
4.050%
11/21/39
BBB+
13,269
16
AbbVie
Inc
4.625%
10/01/42
BBB+
14,528
12
Advance
Auto
Parts
Inc
3.500%
3/15/32
BBB-
10,349
9
Agilent
Technologies
Inc
2.750%
9/15/29
BBB+
8,084
10
Allegion
plc
3.500%
10/01/29
BBB
9,145
3
Altria
Group
Inc
5.800%
2/14/39
BBB+
2,962
1
Altria
Group
Inc
3.875%
9/16/46
BBB+
717
10
Amcor
Flexibles
North
America
Inc
2.690%
5/25/31
BBB
8,342
2
American
Airlines
2016-2
Class
AA
Pass
Through
Trust2020
A
3.200%
6/15/28
BBB+
1,971
29
American
Tower
Corp
2.100%
6/15/30
BBB
23,873
1
American
Tower
Corp
4.050%
3/15/32
BBB
927
19
AmerisourceBergen
Corp
2.700%
3/15/31
BBB+
16,402
1
Amgen
Inc
2.300%
2/25/31
BBB+
847
8
Amgen
Inc
3.150%
2/21/40
BBB+
6,226
6
Amgen
Inc
5.150%
11/15/41
BBB+
5,842
1
Amgen
Inc
3.000%
1/15/52
BBB+
684
1
Amgen
Inc
4.200%
2/22/52
BBB+
846
11
Amphenol
Corp
2.200%
9/15/31
BBB+
9,198
70
Anheuser-Busch
Cos
LLC
/
Anheuser-Busch
InBev
Worldwide
Inc
4.900%
2/01/46
A-
69,367
13
Anheuser-Busch
InBev
Worldwide
Inc
4.000%
4/13/28
A-
12,881
3
Anheuser-Busch
InBev
Worldwide
Inc
4.350%
6/01/40
A-
2,850
3
Aptiv
PLC
3.100%
12/01/51
BBB
1,904
3
Aptiv
PLC
/
Aptiv
Corp
3.250%
3/01/32
BBB
2,621
10
ArcelorMittal
SA
(3)
4.250%
7/16/29
BBB-
9,539
29
AT&T
Inc
2.750%
6/01/31
BBB
25,008
67
AT&T
Inc
4.850%
3/01/39
BBB
62,871
30
AT&T
Inc
3.500%
6/01/41
BBB
23,637
14
Autodesk
Inc
2.400%
12/15/31
BBB+
11,742
11
AutoNation
Inc
3.850%
3/01/32
BBB-
9,300
13
AutoZone
Inc
4.000%
4/15/30
BBB
12,380
11
Avery
Dennison
Corp
2.250%
2/15/32
BBB
8,851
11
Barrick
North
America
Finance
LLC
5.700%
5/30/41
BBB+
11,572
1
BAT
Capital
Corp
4.742%
3/16/32
BBB+
934
8
BAT
Capital
Corp
4.390%
8/15/37
BBB+
6,527
12
Becton
Dickinson
&
Co
1.957%
2/11/31
BBB
9,924
3
Becton
Dickinson
&
Co
4.685%
12/15/44
BBB
2,806
12
Bell
Telephone
Co
of
Canada
or
Bell
Canada/The
3.650%
8/15/52
BBB+
9,380
10
Best
Buy
Co
Inc
1.950%
10/01/30
BBB+
8,203
14
Biogen
Inc
5.200%
9/15/45
BBB+
14,025
10
Block
Financial
LLC
2.500%
7/15/28
BBB-
8,642
14
Boardwalk
Pipelines
LP
3.600%
9/01/32
BBB
12,221
45
Boeing
Co/The
5.705%
5/01/40
BBB-
45,165
8
BorgWarner
Inc
4.375%
3/15/45
BBB+
6,488
17
Boston
Scientific
Corp
4.550%
3/01/39
BBB+
16,011
12
BP
Capital
Markets
PLC
4.875%
N/A
(4)
BBB+
11,025
1
Broadcom
Inc,
144A
4.000%
4/15/29
BBB-
942
84
Broadcom
Inc,
144A
3.187%
11/15/36
BBB-
63,924
17
Broadridge
Financial
Solutions
Inc
2.600%
5/01/31
BBB+
14,263
6
Brunswick
Corp/DE
4.400%
9/15/32
BBB
5,307
10
Bunge
Ltd
Finance
Corp
3.750%
9/25/27
BBB
9,640
11
Campbell
Soup
Co
(3)
2.375%
4/24/30
BBB
9,470
1
Canadian
Natural
Resources
Ltd
2.950%
7/15/30
BBB
879
5
Canadian
Natural
Resources
Ltd
5.850%
2/01/35
BBB
5,040
Nuveen
Enhanced
Yield
U.S.
Aggregate
Bond
ETF
(NUAG)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
2
Canadian
Natural
Resources
Ltd
6.750%
2/01/39
BBB
$
2,146
8
Canadian
Pacific
Railway
Co
2.450%
12/02/31
BBB+
7,138
3
Canadian
Pacific
Railway
Co
4.800%
8/01/45
BBB+
2,927
14
Canadian
Pacific
Railway
Co
4.700%
5/01/48
BBB+
13,031
10
Cardinal
Health
Inc
4.500%
11/15/44
BBB
8,597
14
Carlisle
Cos
Inc
2.200%
3/01/32
BBB
11,085
5
Carrier
Global
Corp
2.722%
2/15/30
BBB-
4,378
6
Carrier
Global
Corp
3.577%
4/05/50
BBB-
4,482
10
CDW
LLC
/
CDW
Finance
Corp
3.276%
12/01/28
BBB-
8,670
10
Celanese
US
Holdings
LLC
(3)
6.379%
7/15/32
BBB-
10,141
11
Cenovus
Energy
Inc
5.250%
6/15/37
BBB-
10,573
10
CF
Industries
Inc
5.375%
3/15/44
BBB
9,198
8
Charter
Communications
Operating
LLC
/
Charter
Communications
Operating
Capital
5.375%
4/01/38
BBB-
6,934
1
Charter
Communications
Operating
LLC
/
Charter
Communications
Operating
Capital
3.500%
3/01/42
BBB-
675
14
Charter
Communications
Operating
LLC
/
Charter
Communications
Operating
Capital
5.375%
5/01/47
BBB-
11,458
1
Charter
Communications
Operating
LLC
/
Charter
Communications
Operating
Capital
5.250%
4/01/53
BBB-
800
2
Choice
Hotels
International
Inc
3.700%
1/15/31
BBB-
1,772
10
Church
&
Dwight
Co
Inc
2.300%
12/15/31
BBB+
8,452
33
Cigna
Group/The
4.900%
12/15/48
BBB+
31,039
5
Clorox
Co/The
4.400%
5/01/29
BBB+
4,970
10
CNH
Industrial
NV
3.850%
11/15/27
BBB
9,608
3
Conagra
Brands
Inc
4.850%
11/01/28
BBB-
2,998
11
Conagra
Brands
Inc
5.300%
11/01/38
BBB-
10,865
6
Constellation
Brands
Inc
(3)
4.750%
5/09/32
BBB-
5,980
10
Constellation
Brands
Inc
5.250%
11/15/48
BBB-
9,716
20
Corning
Inc
3.900%
11/15/49
BBB+
15,541
26
Crown
Castle
Inc
2.500%
7/15/31
BBB
21,816
4
CSX
Corp
(3)
2.400%
2/15/30
BBB+
3,517
1
CSX
Corp
4.100%
11/15/32
BBB+
969
1
CSX
Corp
3.800%
4/15/50
BBB+
812
9
CVS
Health
Corp
4.875%
7/20/35
BBB
8,821
18
CVS
Health
Corp
4.780%
3/25/38
BBB
17,188
9
Dell
International
LLC
/
EMC
Corp
6.200%
7/15/30
BBB
9,509
7
Dell
International
LLC
/
EMC
Corp
8.350%
7/15/46
BBB
8,623
2
Dell
International
LLC
/
EMC
Corp,
144A
3.450%
12/15/51
BBB
1,315
6
Deutsche
Telekom
International
Finance
BV
8.750%
6/15/30
BBB+
7,327
19
Devon
Energy
Corp
5.600%
7/15/41
BBB
18,520
5
Diamondback
Energy
Inc
3.125%
3/24/31
BBB
4,373
6
Diamondback
Energy
Inc
4.250%
3/15/52
BBB
4,736
10
Dick's
Sporting
Goods
Inc
3.150%
1/15/32
BBB-
8,291
31
Discovery
Communications
LLC
4.000%
9/15/55
BBB-
20,374
5
Dollar
General
Corp
3.875%
4/15/27
BBB
4,878
7
Dollar
General
Corp
4.125%
4/03/50
BBB
5,742
21
Dollar
Tree
Inc
3.375%
12/01/51
BBB
14,958
10
Dover
Corp
2.950%
11/04/29
BBB+
9,034
2
Dow
Chemical
Co/The
4.250%
10/01/34
BBB+
1,876
8
Dow
Chemical
Co/The
5.250%
11/15/41
BBB+
7,814
5
DuPont
de
Nemours
Inc
5.319%
11/15/38
BBB+
5,055
6
Eastman
Chemical
Co
4.800%
9/01/42
BBB
5,310
8
Eaton
Corp
4.150%
11/02/42
BBB+
7,117
14
eBay
Inc
2.600%
5/10/31
BBB+
11,929
22
Energy
Transfer
LP
5.800%
6/15/38
BBB-
21,781
22
Energy
Transfer
LP
5.000%
5/15/44
BBB-
19,024
3
Enterprise
Products
Operating
LLC
5.750%
3/01/35
BBB+
3,073
2
Enterprise
Products
Operating
LLC
4.250%
2/15/48
BBB+
1,703
1
Enterprise
Products
Operating
LLC
3.300%
2/15/53
BBB+
720
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
10
Enterprise
Products
Operating
LLC
3.950%
1/31/60
BBB+
$
7,795
10
EQT
Corp
5.700%
4/01/28
BBB-
10,044
7
Equifax
Inc
2.600%
12/15/25
BBB
6,591
10
Equifax
Inc
5.100%
12/15/27
BBB
10,129
12
Equifax
Inc
2.350%
9/15/31
BBB
9,697
3
Equinix
Inc
2.500%
5/15/31
BBB
2,478
17
Equinix
Inc
3.900%
4/15/32
BBB
15,490
14
Expedia
Group
Inc
3.250%
2/15/30
BBB-
12,304
3
Expedia
Group
Inc
2.950%
3/15/31
BBB-
2,539
10
FactSet
Research
Systems
Inc
3.450%
3/01/32
BBB-
8,802
7
FedEx
Corp
3.100%
8/05/29
BBB
6,457
6
FedEx
Corp
3.900%
2/01/35
BBB
5,408
4
FedEx
Corp
4.050%
2/15/48
BBB
3,259
1
Fidelity
National
Information
Services
Inc
1.650%
3/01/28
BBB
865
50
Fidelity
National
Information
Services
Inc
2.250%
3/01/31
BBB
40,439
54
Fiserv
Inc
2.750%
7/01/24
BBB
52,474
7
Fiserv
Inc
2.250%
6/01/27
BBB
6,372
13
Flowserve
Corp
2.800%
1/15/32
BBB-
10,513
11
Fortune
Brands
Innovations
Inc
3.250%
9/15/29
BBB
9,859
19
Fox
Corp
3.500%
4/08/30
BBB
17,251
21
Freeport-McMoRan
Inc
4.250%
3/01/30
BBB-
19,529
7
GE
Capital
Funding
LLC
4.550%
5/15/32
BBB+
6,920
1
General
Electric
Co
4.350%
5/01/50
BBB+
876
12
General
Mills
Inc
4.550%
4/17/38
BBB
11,338
2
General
Motors
Co
6.600%
4/01/36
BBB
2,056
8
General
Motors
Financial
Co
Inc
4.300%
4/06/29
BBB
7,456
10
General
Motors
Financial
Co
Inc
3.100%
1/12/32
BBB
8,168
12
Genuine
Parts
Co
2.750%
2/01/32
BBB+
10,127
17
Gilead
Sciences
Inc
4.000%
9/01/36
BBB+
15,820
9
Gilead
Sciences
Inc
4.750%
3/01/46
BBB+
8,596
1
Global
Payments
Inc
1.500%
11/15/24
BBB-
944
6
Global
Payments
Inc
4.950%
8/15/27
BBB-
5,960
6
Global
Payments
Inc
4.450%
6/01/28
BBB-
5,763
5
Global
Payments
Inc
2.900%
5/15/30
BBB-
4,285
1
Global
Payments
Inc
2.900%
11/15/31
BBB-
829
17
GLP
Capital
LP
/
GLP
Financing
II
Inc
5.300%
1/15/29
BBB-
16,396
9
Halliburton
Co
4.500%
11/15/41
BBB+
7,790
8
Halliburton
Co
4.750%
8/01/43
BBB+
7,134
10
Hasbro
Inc
3.900%
11/19/29
BBB
9,186
18
HCA
Inc
4.125%
6/15/29
BBB-
17,066
20
HCA
Inc,
144A
4.375%
3/15/42
BBB-
16,782
10
HCA
Inc
3.500%
7/15/51
BBB-
6,980
4
Hewlett
Packard
Enterprise
Co
6.200%
10/15/35
BBB
4,324
6
HP
Inc
4.750%
1/15/28
BBB
5,961
6
HP
Inc
3.400%
6/17/30
BBB
5,317
6
HP
Inc
4.200%
4/15/32
BBB
5,377
6
HP
Inc
(3)
6.000%
9/15/41
BBB
6,085
10
Huntington
Ingalls
Industries
Inc
2.043%
8/16/28
BBB-
8,544
10
Huntsman
International
LLC
2.950%
6/15/31
BBB-
8,262
10
IDEX
Corp
2.625%
6/15/31
BBB
8,548
12
Ingredion
Inc
2.900%
6/01/30
BBB
10,572
8
International
Paper
Co
4.800%
6/15/44
BBB
7,343
7
International
Paper
Co
4.400%
8/15/47
BBB
6,069
6
J
M
Smucker
Co/The
2.125%
3/15/32
BBB
4,918
6
J
M
Smucker
Co/The
4.250%
3/15/35
BBB
5,661
6
Jabil
Inc
3.600%
1/15/30
BBB-
5,520
12
Johnson
Controls
International
plc
4.950%
7/02/64
BBB+
10,828
14
Kellogg
Co
2.100%
6/01/30
BBB
11,778
15
Keurig
Dr
Pepper
Inc
3.200%
5/01/30
BBB+
13,707
3
Keurig
Dr
Pepper
Inc
4.500%
4/15/52
BBB+
2,679
Nuveen
Enhanced
Yield
U.S.
Aggregate
Bond
ETF
(NUAG)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
1
Kinder
Morgan
Energy
Partners
LP
6.375%
3/01/41
BBB
$
1,033
10
Kinder
Morgan
Inc
2.000%
2/15/31
BBB
8,133
1
Kinder
Morgan
Inc
3.600%
2/15/51
BBB
703
6
Kraft
Heinz
Foods
Co
4.250%
3/01/31
BBB
5,839
14
Kraft
Heinz
Foods
Co
5.500%
6/01/50
BBB
14,137
3
Kroger
Co/The
2.200%
5/01/30
BBB+
2,531
1
Kroger
Co/The
1.700%
1/15/31
BBB+
803
4
Kroger
Co/The
5.400%
1/15/49
BBB+
3,959
5
L3Harris
Technologies
Inc
2.900%
12/15/29
BBB
4,459
8
L3Harris
Technologies
Inc
1.800%
1/15/31
BBB
6,500
10
Laboratory
Corp
of
America
Holdings
2.700%
6/01/31
BBB
8,631
2
Lear
Corp
3.500%
5/30/30
BBB
1,781
10
Lear
Corp
2.600%
1/15/32
BBB
7,933
2
Leggett
&
Platt
Inc
3.500%
11/15/51
BBB
1,487
15
Leidos
Inc
2.300%
2/15/31
BBB-
12,172
10
Lennar
Corp
4.750%
11/29/27
BBB
9,906
10
Lowe's
Cos
Inc
4.500%
4/15/30
BBB+
9,897
9
Lowe's
Cos
Inc
4.050%
5/03/47
BBB+
7,340
1
Lowe's
Cos
Inc
4.250%
4/01/52
BBB+
825
19
LYB
International
Finance
BV
5.250%
7/15/43
BBB
17,405
13
Magellan
Midstream
Partners
LP
5.150%
10/15/43
BBB+
11,762
11
Marathon
Petroleum
Corp
6.500%
3/01/41
BBB
11,620
3
Marriott
International
Inc/MD
4.650%
12/01/28
BBB
2,970
5
Marriott
International
Inc/MD
4.500%
10/01/34
BBB
4,469
6
Martin
Marietta
Materials
Inc
2.500%
3/15/30
BBB
5,144
3
Martin
Marietta
Materials
Inc
2.400%
7/15/31
BBB
2,497
1
Martin
Marietta
Materials
Inc
3.200%
7/15/51
BBB
711
7
Marvell
Technology
Inc
4.875%
6/22/28
BBB-
6,881
14
Masco
Corp
2.000%
2/15/31
BBB
11,266
100
Mastercard
Inc
4.875%
3/09/28
AA-
103,733
13
McCormick
&
Co
Inc/MD
1.850%
2/15/31
BBB
10,590
25
McDonald's
Corp
4.700%
12/09/35
BBB+
24,987
23
MDC
Holdings
Inc
3.966%
8/06/61
BBB-
13,971
12
Micron
Technology
Inc
5.327%
2/06/29
BBB-
11,949
8
Molson
Coors
Beverage
Co
4.200%
7/15/46
BBB-
6,737
6
Mondelez
International
Inc
3.000%
3/17/32
BBB+
5,302
15
Mondelez
International
Inc
(3)
1.875%
10/15/32
BBB+
12,024
7
Moody's
Corp
3.250%
1/15/28
BBB+
6,651
25
Moody's
Corp
(3)
2.000%
8/19/31
BBB+
20,491
1
Mosaic
Co/The
5.450%
11/15/33
BBB
1,008
4
Motorola
Solutions
Inc
2.300%
11/15/30
BBB-
3,279
11
Motorola
Solutions
Inc
2.750%
5/24/31
BBB-
9,156
32
MPLX
LP
4.500%
4/15/38
BBB
28,728
5
Mylan
Inc
(3)
4.550%
4/15/28
BBB-
4,790
41
National
Fuel
Gas
Co
5.500%
1/15/26
BBB-
41,211
7
National
Fuel
Gas
Co
2.950%
3/01/31
BBB-
5,670
13
NetApp
Inc
2.700%
6/22/30
BBB+
11,231
6
Netflix
Inc
5.875%
11/15/28
BBB-
6,304
10
Newmont
Corp
5.875%
4/01/35
BBB+
10,545
6
Norfolk
Southern
Corp
3.000%
3/15/32
BBB+
5,306
1
Norfolk
Southern
Corp
4.800%
8/15/43
BBB+
897
8
Norfolk
Southern
Corp
3.700%
3/15/53
BBB+
6,241
9
Northrop
Grumman
Corp
4.400%
5/01/30
BBB+
8,987
12
Nutrien
Ltd
5.625%
12/01/40
BBB
12,045
3
NXP
BV
/
NXP
Funding
LLC
5.550%
12/01/28
BBB
3,057
6
NXP
BV
/
NXP
Funding
LLC
/
NXP
USA
Inc
2.500%
5/11/31
BBB
4,958
8
NXP
BV
/
NXP
Funding
LLC
/
NXP
USA
Inc
2.650%
2/15/32
BBB
6,577
6
NXP
BV
/
NXP
Funding
LLC
/
NXP
USA
Inc
3.250%
11/30/51
BBB
4,001
7
Omnicom
Group
Inc
4.200%
6/01/30
BBB+
6,759
19
ONEOK
Partners
LP
6.125%
2/01/41
BBB
18,939
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
20
Oracle
Corp
2.875%
3/25/31
BBB
$
17,236
7
Oracle
Corp
3.800%
11/15/37
BBB
5,856
76
Oracle
Corp
3.650%
3/25/41
BBB
58,940
14
Orange
SA
(3)
5.375%
1/13/42
BBB+
14,454
12
O'Reilly
Automotive
Inc
4.350%
6/01/28
BBB+
11,936
4
Owens
Corning
4.300%
7/15/47
BBB
3,293
3
Packaging
Corp
of
America
3.050%
10/01/51
BBB
2,026
8
Paramount
Global
4.950%
1/15/31
BBB
7,432
24
Paramount
Global
4.900%
8/15/44
BBB
18,250
14
Parker-Hannifin
Corp
4.450%
11/21/44
BBB+
12,852
13
PerkinElmer
Inc
2.550%
3/15/31
BBB
10,823
6
Phillips
66
4.650%
11/15/34
BBB+
5,808
5
Phillips
66
5.875%
5/01/42
BBB+
5,302
6
Phillips
66
3.300%
3/15/52
BBB+
4,225
5
Phillips
66
Co
3.150%
12/15/29
N/R
4,511
100
Pioneer
Natural
Resources
Co
5.100%
3/29/26
BBB+
100,993
13
Plains
All
American
Pipeline
LP
/
PAA
Finance
Corp
3.800%
9/15/30
BBB-
11,763
3
PulteGroup
Inc
5.000%
1/15/27
BBB
3,003
30
Quanta
Services
Inc
2.350%
1/15/32
BBB-
24,165
11
Quest
Diagnostics
Inc
2.800%
6/30/31
BBB
9,635
3
Raytheon
Technologies
Corp
1.900%
9/01/31
BBB+
2,457
20
Raytheon
Technologies
Corp
4.625%
11/16/48
BBB+
19,016
1
Raytheon
Technologies
Corp
3.030%
3/15/52
BBB+
717
14
Regeneron
Pharmaceuticals
Inc
1.750%
9/15/30
BBB+
11,437
9
RELX
Capital
Inc
3.000%
5/22/30
BBB+
8,092
9
Republic
Services
Inc
3.950%
5/15/28
BBB+
8,823
5
Republic
Services
Inc
1.750%
2/15/32
BBB+
4,056
23
Rogers
Communications
Inc
5.000%
3/15/44
BBB-
20,874
1
Rogers
Communications
Inc,
144A
4.550%
3/15/52
BBB-
820
1
Roper
Technologies
Inc
2.950%
9/15/29
BBB+
903
10
Roper
Technologies
Inc
2.000%
6/30/30
BBB+
8,285
18
Royalty
Pharma
PLC
(3)
2.150%
9/02/31
BBB-
14,362
14
RPM
International
Inc
4.250%
1/15/48
BBB-
10,860
10
Sabine
Pass
Liquefaction
LLC
4.200%
3/15/28
BBB
9,686
23
Sands
China
Ltd
5.900%
8/08/28
BBB-
22,362
6
Sherwin-Williams
Co/The
2.200%
3/15/32
BBB
4,918
10
Sherwin-Williams
Co/The
4.000%
12/15/42
BBB
8,247
11
Sonoco
Products
Co
2.850%
2/01/32
BBB
9,338
17
Southern
Copper
Corp
5.250%
11/08/42
BBB+
16,601
8
Southwest
Airlines
Co
3.450%
11/16/27
BBB+
7,507
30
Spectra
Energy
Partners
LP
4.500%
3/15/45
BBB+
25,534
9
Starbucks
Corp
3.550%
8/15/29
BBB+
8,629
2
Starbucks
Corp
3.000%
2/14/32
BBB+
1,785
10
Starbucks
Corp
4.450%
8/15/49
BBB+
9,042
11
Starbucks
Corp
3.350%
3/12/50
BBB+
8,218
6
Steel
Dynamics
Inc
3.450%
4/15/30
BBB-
5,465
16
Stryker
Corp
4.100%
4/01/43
BBB+
14,016
14
Suncor
Energy
Inc
4.000%
11/15/47
BBB+
11,257
20
Suzano
Austria
GmbH
3.125%
1/15/32
BBB-
15,901
3
Sysco
Corp
5.950%
4/01/30
BBB
3,209
15
Sysco
Corp
3.150%
12/14/51
BBB
10,478
12
Tapestry
Inc
3.050%
3/15/32
BBB-
9,938
10
Teck
Resources
Ltd
6.000%
8/15/40
BBB-
10,179
5
Teledyne
FLIR
LLC
2.500%
8/01/30
BBB
4,211
9
TELUS
Corp
4.300%
6/15/49
BBB
7,531
5
Textron
Inc
3.000%
6/01/30
BBB
4,472
18
Time
Warner
Cable
LLC
5.500%
9/01/41
BBB-
15,371
11
T-Mobile
USA
Inc
2.250%
11/15/31
BBB
9,010
100
T-Mobile
USA
Inc
3.400%
10/15/52
BBB
72,354
4
Trane
Technologies
Global
Holding
Co
Ltd
5.750%
6/15/43
BBB+
4,178
Nuveen
Enhanced
Yield
U.S.
Aggregate
Bond
ETF
(NUAG)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
6
TransCanada
PipeLines
Ltd
4.100%
4/15/30
BBB+
$
5,722
9
TransCanada
PipeLines
Ltd
5.100%
3/15/49
BBB+
8,471
5
Transcontinental
Gas
Pipe
Line
Co
LLC
3.250%
5/15/30
BBB+
4,561
6
Transcontinental
Gas
Pipe
Line
Co
LLC
3.950%
5/15/50
BBB+
4,808
4
Triton
Container
International
Ltd
/
TAL
International
Container
Corp
3.250%
3/15/32
BBB-
3,150
11
Tyson
Foods
Inc
5.100%
9/28/48
BBB
10,427
17
United
Airlines
2014-1
Class
A
Pass
Through
Trust2020
A
4.000%
4/11/26
BBB+
16,000
14
Vale
Overseas
Ltd
3.750%
7/08/30
BBB-
12,488
23
Valero
Energy
Corp
3.650%
12/01/51
BBB
16,393
6
Verizon
Communications
Inc
2.550%
3/21/31
BBB+
5,108
106
Verizon
Communications
Inc
2.355%
3/15/32
BBB+
87,019
2
Verizon
Communications
Inc
3.400%
3/22/41
BBB+
1,574
7
Verizon
Communications
Inc
2.850%
9/03/41
BBB+
5,072
6
Verizon
Communications
Inc
4.000%
3/22/50
BBB+
4,950
6
Verizon
Communications
Inc
3.875%
3/01/52
BBB+
4,815
12
VF
Corp
(3)
2.950%
4/23/30
BBB+
10,170
16
Viatris
Inc
3.850%
6/22/40
BBB-
11,049
12
VICI
Properties
LP
5.125%
5/15/32
BBB-
11,452
8
VMware
Inc
4.700%
5/15/30
BBB-
7,709
16
Vodafone
Group
PLC
4.375%
2/19/43
BBB
13,545
17
Vodafone
Group
PLC
4.875%
6/19/49
BBB
15,253
12
Vontier
Corp
2.950%
4/01/31
BBB-
9,451
13
Vulcan
Materials
Co
3.500%
6/01/30
BBB
11,931
14
Walgreens
Boots
Alliance
Inc
4.650%
6/01/46
BBB-
11,710
10
Warnermedia
Holdings
Inc,
144A
4.279%
3/15/32
BBB-
8,882
12
Warnermedia
Holdings
Inc,
144A
5.050%
3/15/42
BBB-
9,925
22
Waste
Connections
Inc
2.200%
1/15/32
BBB+
18,136
6
Waste
Management
Inc
4.150%
4/15/32
BBB+
5,890
11
Waste
Management
Inc
3.900%
3/01/35
BBB+
10,033
11
Western
Union
Co/The
1.350%
3/15/26
BBB
9,906
4
Westinghouse
Air
Brake
Technologies
Corp
4.950%
9/15/28
BBB-
3,971
13
Westlake
Corp
3.125%
8/15/51
BBB
8,319
6
Weyerhaeuser
Co
4.000%
4/15/30
BBB
5,671
13
Weyerhaeuser
Co
3.375%
3/09/33
BBB
11,527
3
Whirlpool
Corp
(3)
4.700%
5/14/32
BBB
2,905
10
Whirlpool
Corp
5.150%
3/01/43
BBB
8,988
23
Williams
Cos
Inc/The
2.600%
3/15/31
BBB
19,540
8
Workday
Inc
3.700%
4/01/29
BBB
7,541
11
WRKCo
Inc
4.900%
3/15/29
BBB
10,885
13
Xylem
Inc/NY
2.250%
1/30/31
BBB
11,026
6
Yamana
Gold
Inc
2.630%
8/15/31
BBB-
4,834
2
Zimmer
Biomet
Holdings
Inc
4.250%
8/15/35
BBB
1,756
6
Zimmer
Biomet
Holdings
Inc
5.750%
11/30/39
BBB
6,129
11
Zoetis
Inc
4.700%
2/01/43
BBB+
10,333
Total
Industrial
3,538,092
Utility
-
14.7%
5
AEP
Texas
Inc
3.800%
10/01/47
BBB+
3,848
7
Ameren
Corp
2.500%
9/15/24
BBB+
6,737
9
Ameren
Corp
1.950%
3/15/27
BBB+
8,137
8
Ameren
Corp
1.750%
3/15/28
BBB+
6,988
4
Ameren
Corp
3.500%
1/15/31
BBB+
3,644
100
American
Electric
Power
Co
Inc
5.750%
11/01/27
BBB
104,245
4
American
Electric
Power
Co
Inc
4.300%
12/01/28
BBB
3,938
99
American
Electric
Power
Co
Inc
2.300%
3/01/30
BBB
84,038
4
American
Electric
Power
Co
Inc
3.875%
2/15/62
BBB-
3,201
30
Avangrid
Inc
3.200%
4/15/25
BBB
28,802
46
Avangrid
Inc
3.800%
6/01/29
BBB
43,357
10
Black
Hills
Corp
1.037%
8/23/24
BBB+
9,437
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Utility
(continued)
$
4
Black
Hills
Corp
3.150%
1/15/27
BBB+
$
3,770
1
Black
Hills
Corp
3.050%
10/15/29
BBB+
885
7
Black
Hills
Corp
2.500%
6/15/30
BBB+
5,893
10
Black
Hills
Corp
4.200%
9/15/46
BBB+
8,014
11
Black
Hills
Corp
3.875%
10/15/49
BBB+
8,389
6
Cleco
Corporate
Holdings
LLC
3.375%
9/15/29
BBB-
5,265
18
Cleco
Corporate
Holdings
LLC
4.973%
5/01/46
BBB-
15,830
1
CMS
Energy
Corp
4.875%
3/01/44
BBB
929
11
CMS
Energy
Corp
3.750%
12/01/50
BBB-
8,275
111
Constellation
Energy
Generation
LLC
5.600%
6/15/42
BBB
109,752
20
Dayton
Power
&
Light
Co/The
3.950%
6/15/49
BBB+
15,624
13
Delmarva
Power
&
Light
Co
4.000%
6/01/42
A
10,739
7
Dominion
Energy
Inc
3.071%
8/15/24
BBB
6,806
6
Dominion
Energy
Inc
3.600%
3/15/27
BBB
5,767
102
Dominion
Energy
Inc
4.250%
6/01/28
BBB
99,791
1
Dominion
Energy
Inc
2.250%
8/15/31
BBB
831
1
Dominion
Energy
Inc
4.350%
8/15/32
BBB
963
100
Dominion
Energy
Inc
5.375%
11/15/32
BBB
102,612
8
Dominion
Energy
Inc
5.250%
8/01/33
BBB
8,095
7
Dominion
Energy
Inc
4.900%
8/01/41
BBB
6,434
13
Dominion
Energy
Inc
4.850%
8/15/52
BBB
11,858
100
DTE
Electric
Co
5.200%
4/01/33
A+
104,405
3
DTE
Energy
Co
2.529%
10/01/24
BBB
2,888
1
Duke
Energy
Corp
3.150%
8/15/27
BBB
946
1
Duke
Energy
Corp
4.300%
3/15/28
BBB
986
447
Duke
Energy
Corp
3.950%
8/15/47
BBB
355,639
1
Duke
Energy
Corp
5.000%
8/15/52
BBB
938
100
Duke
Energy
Progress
LLC
5.250%
3/15/33
A+
104,670
4
Edison
International
4.950%
4/15/25
BBB
3,988
127
El
Paso
Electric
Co
5.000%
12/01/44
BBB+
115,490
8
Emera
US
Finance
LP
3.550%
6/15/26
BBB-
7,657
1
Emera
US
Finance
LP
2.639%
6/15/31
BBB-
813
12
Emera
US
Finance
LP
4.750%
6/15/46
BBB-
9,972
80
Enel
Americas
SA
4.000%
10/25/26
BBB
78,038
43
Enel
Chile
SA
4.875%
6/12/28
BBB
42,317
50
Enel
Generacion
Chile
SA
4.250%
4/15/24
BBB+
49,304
1
Entergy
Corp
0.900%
9/15/25
BBB
911
1
Entergy
Corp
1.900%
6/15/28
BBB
877
15
Entergy
Corp
2.800%
6/15/30
BBB
13,184
10
Entergy
Corp
2.400%
6/15/31
BBB
8,369
1
Entergy
Corp
3.750%
6/15/50
BBB
766
6
Essential
Utilities
Inc
2.704%
4/15/30
BBB+
5,220
19
Essential
Utilities
Inc
2.400%
5/01/31
BBB+
15,902
21
Essential
Utilities
Inc
3.351%
4/15/50
BBB+
15,043
70
Evergy
Inc
2.900%
9/15/29
BBB+
62,994
4
Eversource
Energy
0.800%
8/15/25
BBB+
3,651
1
Eversource
Energy
3.300%
1/15/28
BBB+
946
1
Eversource
Energy
4.250%
4/01/29
BBB+
984
1
Eversource
Energy
1.650%
8/15/30
BBB+
814
1
Eversource
Energy
3.375%
3/01/32
BBB+
900
6
Eversource
Energy
3.450%
1/15/50
BBB+
4,572
6
Exelon
Corp
2.750%
3/15/27
BBB
5,628
4
Exelon
Corp
4.050%
4/15/30
BBB
3,840
2
Exelon
Corp
(3)
3.350%
3/15/32
BBB
1,798
3
Exelon
Corp
4.950%
6/15/35
BBB
3,000
21
Exelon
Corp
5.100%
6/15/45
BBB
19,879
7
Exelon
Corp
4.450%
4/15/46
BBB
6,103
1
Exelon
Corp
4.700%
4/15/50
BBB
911
130
Fortis
Inc/Canada
3.055%
10/04/26
BBB
122,712
5
Georgia
Power
Co
2.650%
9/15/29
BBB+
4,435
Nuveen
Enhanced
Yield
U.S.
Aggregate
Bond
ETF
(NUAG)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Utility
(continued)
$
200
Georgia
Power
Co
4.700%
5/15/32
BBB+
$
199,524
1
Georgia
Power
Co
3.700%
1/30/50
BBB+
783
68
Iberdrola
International
BV
6.750%
7/15/36
BBB+
78,833
10
Interstate
Power
and
Light
Co
4.100%
9/26/28
BBB+
9,827
100
Interstate
Power
and
Light
Co
3.600%
4/01/29
BBB+
94,184
1
Interstate
Power
and
Light
Co
2.300%
6/01/30
BBB+
845
5
IPALCO
Enterprises
Inc
3.700%
9/01/24
BBB-
4,861
7
IPALCO
Enterprises
Inc
4.250%
5/01/30
BBB-
6,477
1
ITC
Holdings
Corp
5.300%
7/01/43
BBB+
964
12
National
Grid
USA
5.803%
4/01/35
BBB
12,449
100
National
Rural
Utilities
Cooperative
Finance
Corp
4.800%
3/15/28
A
101,247
10
NextEra
Energy
Capital
Holdings
Inc
4.200%
6/20/24
BBB+
9,916
18
NextEra
Energy
Capital
Holdings
Inc
4.450%
6/20/25
BBB+
17,905
8
NextEra
Energy
Capital
Holdings
Inc
1.875%
1/15/27
BBB+
7,266
108
NextEra
Energy
Capital
Holdings
Inc
4.625%
7/15/27
BBB+
108,097
307
NextEra
Energy
Capital
Holdings
Inc
1.900%
6/15/28
BBB+
270,628
4
NextEra
Energy
Capital
Holdings
Inc
3.500%
4/01/29
BBB+
3,757
8
NextEra
Energy
Capital
Holdings
Inc
2.750%
11/01/29
BBB+
7,149
5
NextEra
Energy
Capital
Holdings
Inc
2.250%
6/01/30
BBB+
4,244
4
NextEra
Energy
Capital
Holdings
Inc
2.440%
1/15/32
BBB+
3,321
19
NextEra
Energy
Capital
Holdings
Inc
5.000%
7/15/32
BBB+
19,175
4
NextEra
Energy
Capital
Holdings
Inc
5.650%
5/01/79
BBB
3,612
3
NextEra
Energy
Capital
Holdings
Inc
3.800%
3/15/82
BBB
2,489
9
NiSource
Inc
3.490%
5/15/27
BBB
8,619
15
NiSource
Inc
3.600%
5/01/30
BBB
13,939
18
NiSource
Inc
(3)
1.700%
2/15/31
BBB
14,466
8
NiSource
Inc
5.950%
6/15/41
BBB
8,406
6
NiSource
Inc
5.650%
2/01/45
BBB
6,248
7
NiSource
Inc
3.950%
3/30/48
BBB
5,756
19
NiSource
Inc
5.000%
6/15/52
BBB
18,013
100
NSTAR
Electric
Co
4.950%
9/15/52
A+
99,548
4
Oglethorpe
Power
Corp
5.950%
11/01/39
BBB+
4,053
9
Oglethorpe
Power
Corp
4.200%
12/01/42
BBB+
7,044
14
Oglethorpe
Power
Corp
4.250%
4/01/46
BBB+
10,707
3
Oglethorpe
Power
Corp
5.050%
10/01/48
BBB+
2,752
7
Oglethorpe
Power
Corp
5.250%
9/01/50
BBB+
6,730
8
Pacific
Gas
and
Electric
Co
3.300%
12/01/27
BBB-
7,271
9
Pacific
Gas
and
Electric
Co
3.000%
6/15/28
BBB-
8,003
109
Pacific
Gas
and
Electric
Co
3.750%
7/01/28
BBB-
100,718
9
Pacific
Gas
and
Electric
Co
4.200%
3/01/29
BBB-
8,334
109
Pacific
Gas
and
Electric
Co
4.550%
7/01/30
BBB-
101,296
17
Pacific
Gas
and
Electric
Co
3.250%
6/01/31
BBB-
14,379
100
Pacific
Gas
and
Electric
Co
5.900%
6/15/32
BBB-
100,444
109
Pacific
Gas
and
Electric
Co
4.200%
6/01/41
BBB-
83,995
6
Pacific
Gas
and
Electric
Co
(3)
4.450%
4/15/42
BBB-
4,697
8
Pacific
Gas
and
Electric
Co
(3)
3.750%
8/15/42
BBB-
5,688
7
Pacific
Gas
and
Electric
Co
4.300%
3/15/45
BBB-
5,236
7
Pacific
Gas
and
Electric
Co
4.000%
12/01/46
BBB-
4,968
7
Pacific
Gas
and
Electric
Co
3.950%
12/01/47
BBB-
4,954
106
Pacific
Gas
and
Electric
Co
4.950%
7/01/50
BBB-
86,247
104
Pacific
Gas
and
Electric
Co
5.250%
3/01/52
BBB-
87,356
48
Pennsylvania
Electric
Co
6.150%
10/01/38
BBB+
49,557
31
Piedmont
Natural
Gas
Co
Inc
3.500%
6/01/29
BBB+
28,990
35
Piedmont
Natural
Gas
Co
Inc
3.640%
11/01/46
BBB+
26,045
1
Piedmont
Natural
Gas
Co
Inc
3.350%
6/01/50
BBB+
712
60
Pinnacle
West
Capital
Corp
1.300%
6/15/25
BBB+
55,552
10
PPL
Capital
Funding
Inc
3.100%
5/15/26
BBB+
9,568
1
PPL
Capital
Funding
Inc
4.125%
4/15/30
BBB+
943
100
PPL
Electric
Utilities
Corp
5.000%
5/15/33
A+
103,056
2
Public
Service
Enterprise
Group
Inc
2.875%
6/15/24
BBB
1,947
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Utility
(continued)
$
16
Public
Service
Enterprise
Group
Inc
1.600%
8/15/30
BBB
$
12,980
66
Puget
Energy
Inc
2.379%
6/15/28
BBB-
58,698
26
Puget
Energy
Inc
4.100%
6/15/30
BBB-
24,363
1
Sempra
Energy
3.300%
4/01/25
BBB
971
4
Sempra
Energy
3.250%
6/15/27
BBB
3,770
2
Sempra
Energy
3.400%
2/01/28
BBB
1,886
4
Sempra
Energy
3.700%
4/01/29
BBB
3,774
18
Sempra
Energy
3.800%
2/01/38
BBB
15,803
19
Sempra
Energy
4.000%
2/01/48
BBB
15,476
4
Sempra
Energy
4.125%
4/01/52
BBB-
3,239
100
Southern
California
Edison
Co
5.700%
3/01/53
A-
104,675
1
Southern
Co
Gas
Capital
Corp
4.400%
5/30/47
BBB+
851
1
Southern
Co/The
5.113%
8/01/27
BBB-
1,008
110
Southern
Co/The
4.000%
1/15/51
BBB-
103,356
1
Southern
Power
Co
4.950%
12/15/46
BBB+
899
9
Southwest
Gas
Corp
2.200%
6/15/30
BBB+
7,455
90
Southwest
Gas
Corp
4.050%
3/15/32
BBB+
83,366
35
Southwest
Gas
Corp
4.150%
6/01/49
BBB+
28,182
8
Southwestern
Electric
Power
Co
1.650%
3/15/26
BBB+
7,330
4
Southwestern
Electric
Power
Co
4.100%
9/15/28
BBB+
3,894
1
Southwestern
Electric
Power
Co
3.900%
4/01/45
BBB+
797
109
Southwestern
Electric
Power
Co
3.250%
11/01/51
BBB+
75,804
21
Southwestern
Public
Service
Co
6.000%
10/01/36
BBB+
22,227
28
Spire
Inc
4.700%
8/15/44
BBB+
23,462
25
Union
Electric
Co
5.450%
3/15/53
A
26,312
11
Xcel
Energy
Inc
1.750%
3/15/27
BBB+
9,912
1
Xcel
Energy
Inc
4.000%
6/15/28
BBB+
976
18
Xcel
Energy
Inc
2.350%
11/15/31
BBB+
14,849
7
Xcel
Energy
Inc
4.800%
9/15/41
BBB+
6,477
Total
Utility
4,660,966
Total
Corporate
Debt
(cost
$15,150,552)
13,377,392
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
X
8,056,324
U.S.
TREASURY
-
25.5%
X
8,056,324
$
4
United
States
Treasury
Note/Bond
0.125%
8/31/23
AA+
$
3,542
100
United
States
Treasury
Note/Bond
0.250%
9/30/23
AAA
98,117
1
United
States
Treasury
Note/Bond
0.875%
1/31/24
AAA
776
800
United
States
Treasury
Note/Bond
4.250%
12/31/24
AAA
799,625
350
United
States
Treasury
Note/Bond
4.125%
1/31/25
AAA
349,453
183
United
States
Treasury
Note/Bond
1.125%
2/28/25
AAA
173,335
600
United
States
Treasury
Note/Bond
3.875%
3/31/25
AAA
597,562
808
United
States
Treasury
Note/Bond
0.250%
9/30/25
AAA
741,845
425
United
States
Treasury
Note/Bond
0.375%
1/31/26
AAA
387,397
425
United
States
Treasury
Note/Bond
0.750%
3/31/26
AAA
390,635
704
United
States
Treasury
Note/Bond
0.750%
4/30/26
AAA
644,564
3
United
States
Treasury
Note/Bond
0.875%
6/30/26
AAA
2,567
3
United
States
Treasury
Note/Bond
1.250%
12/31/26
AAA
3,307
1
United
States
Treasury
Note/Bond
2.500%
3/31/27
AAA
960
3
United
States
Treasury
Note/Bond
3.250%
6/30/27
AAA
2,763
0
(5)
United
States
Treasury
Note/Bond
2.750%
7/31/27
AAA
387
450
United
States
Treasury
Note/Bond
3.125%
11/15/28
AAA
440,754
483
United
States
Treasury
Note/Bond
2.375%
5/15/29
AAA
453,152
257
United
States
Treasury
Note/Bond
1.625%
8/15/29
AAA
230,517
35
United
States
Treasury
Note/Bond
0.625%
5/15/30
AAA
28,871
20
United
States
Treasury
Note/Bond
0.875%
11/15/30
AAA
16,694
103
United
States
Treasury
Note/Bond
1.625%
5/15/31
AAA
90,637
4
United
States
Treasury
Note/Bond
1.875%
2/15/32
AAA
3,535
2
United
States
Treasury
Note/Bond
2.875%
5/15/32
AAA
1,914
150
United
States
Treasury
Note/Bond
2.750%
8/15/32
AAA
141,961
Nuveen
Enhanced
Yield
U.S.
Aggregate
Bond
ETF
(NUAG)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
$
100
United
States
Treasury
Note/Bond
3.500%
2/15/33
AAA
$
100,594
1,100
United
States
Treasury
Note/Bond
3.375%
8/15/42
AAA
1,035,892
500
United
States
Treasury
Note/Bond
3.875%
2/15/43
AAA
505,312
550
United
States
Treasury
Note/Bond
3.000%
8/15/52
AAA
483,141
300
United
States
Treasury
Note/Bond
3.625%
2/15/53
AAA
297,469
30
United
States
Treasury
Note/Bond
-
When
Issued
2.750%
4/30/27
AAA
29,046
Total
U.S.
Treasury
(cost
$8,472,326)
8,056,324
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
X
5,914,555
SECURITIZED
-
18.7%
X
5,914,555
$
250
American
Express
Credit
Account
Master
Trust
2022
2
3.390%
5/17/27
AAA
$
244,530
100
Avis
Budget
Rental
Car
Funding
AESOP
LLC
2020
1A,
144A
2.330%
8/20/26
AAA
93,933
100
BBCMS
Mortgage
Trust
2022-C17
2022
C17
4.174%
9/15/55
AAA
95,056
150
Benchmark
2021-B27
Mortgage
Trust
2021
B27
2.703%
7/15/54
A-
102,768
150
Capital
One
Multi-Asset
Execution
Trust
2022
A2
3.490%
5/15/27
AAA
146,981
150
Carmax
Auto
Owner
Trust
2022-3
2022
3
3.810%
9/15/25
AAA
148,958
250
COMM
2015-LC19
Mortgage
Trust
2015
LC19
3.527%
2/10/48
AA+
237,768
200
COMM
2018-COR3
Mortgage
Trust
2018
COR3
4.228%
5/10/51
AAA
192,160
100
Discover
Card
Execution
Note
Trust
2022
A3
3.560%
7/15/27
AAA
97,990
26
Fannie
Mae
Pool
FN
MA1489
3.000%
7/01/43
N/R
24,395
179
Fannie
Mae
Pool
FN
AS6302
3.500%
12/01/45
N/R
169,094
66
Fannie
Mae
Pool
FN
MA3211
4.000%
12/01/47
N/R
64,054
118
Fannie
Mae
Pool
FN
MA3239
4.000%
1/01/48
N/R
115,118
172
Fannie
Mae
Pool
FN
MA3276
3.500%
2/01/48
N/R
162,310
40
Fannie
Mae
Pool
FN
MA3277
4.000%
2/01/48
N/R
38,923
89
Fannie
Mae
Pool
FN
MA3305
3.500%
3/01/48
N/R
83,445
27
Fannie
Mae
Pool
FN
MA3306
4.000%
3/01/48
N/R
26,238
54
Fannie
Mae
Pool
FN
MA3383
3.500%
6/01/48
N/R
50,462
359
Fannie
Mae
Pool
FN
MA3416
4.500%
7/01/48
N/R
356,712
48
Fannie
Mae
Pool
FN
MA3467
4.000%
9/01/48
N/R
46,689
52
Fannie
Mae
Pool
FN
MA3663
3.500%
5/01/49
N/R
48,635
78
Fannie
Mae
Pool
FN
MA3744
3.000%
8/01/49
N/R
70,686
90
Fannie
Mae
Pool
FN
MA3774
3.000%
9/01/49
N/R
81,268
253
Fannie
Mae
Pool
FN
MA4305
2.000%
4/01/51
N/R
210,841
95
Fannie
Mae
Pool
FN
MA4737
5.000%
8/01/52
N/R
94,114
469
Fannie
Mae
Pool
FN
MA4738
5.500%
8/01/52
N/R
473,492
190
Fannie
Mae
Pool
FN
MA4761
5.000%
9/01/52
N/R
189,246
73
Freddie
Mac
Gold
Pool
FG
G08800
3.500%
2/01/48
N/R
68,457
196
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2021
K127
1.353%
11/25/30
AAA
174,007
75
GM
Financial
Automobile
Leasing
Trust
2022-3
2022
3
4.010%
10/21/24
AAA
74,413
100
GM
Financial
Consumer
Automobile
Receivables
Trust
2022-2
2022
2
3.100%
2/16/27
AAA
97,219
230
GS
Mortgage
Securities
Trust
2013-GC16
2013
GC16
5.161%
11/10/46
Aa1
225,919
221
GS
Mortgage
Securities
Trust
2016-GS4
2016
GS4
3.178%
11/10/49
AAA
207,534
100
Hertz
Vehicle
Financing
III
LLC
2022
1A,
144A
1.990%
6/25/26
AAA
93,702
143
Honda
Auto
Receivables
2022-2
Owner
Trust
2022
2
3.810%
3/18/25
AAA
141,755
135
Hyundai
Auto
Receivables
Trust
2022-B
2022
B
3.720%
11/16/26
AAA
132,666
100
John
Deere
Owner
Trust
2022
2022
A
2.490%
1/16/29
AAA
95,436
20
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2015-
C20
2015
C20
3.249%
2/15/48
Aaa
19,218
250
Morgan
Stanley
Capital
I
Trust
2021-L5
2021
L5
1.518%
5/15/54
AAA
220,375
49
Santander
Drive
Auto
Receivables
Trust
2022-5
2022
5
3.980%
1/15/25
AAA
49,129
30
Santander
Drive
Auto
Receivables
Trust
2022-5
2022
5
4.110%
8/17/26
AAA
29,647
182
Toyota
Auto
Receivables
2022-C
Owner
Trust
2022
C
3.830%
8/15/25
AAA
180,743
100
Verizon
Master
Trust
2022
7
5.230%
11/22/27
AAA
100,304
250
Wells
Fargo
Commercial
Mortgage
Trust
2014-LC16
2014
LC16
4.020%
8/15/50
Aa2
241,109
100
Westlake
Automobile
Receivables
Trust
2022-1
2022
1A,
144A
2.750%
3/15/27
AA
97,056
Total
Securitized
(cost
$6,308,922)
5,914,555
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
X
3,772,246
GOVERNMENT
RELATED
-
12.0%
X
3,772,246
Government
Agency
-
1.2%
$
30
Export-Import
Bank
of
Korea
(3)
2.500%
6/29/41
AA
$
22,524
100
Federal
Home
Loan
Banks
5.000%
2/28/25
AA+
101,281
18
Federal
Home
Loan
Mortgage
Corp
(3)
6.250%
7/15/32
AAA
21,431
4
Federal
Home
Loan
Mortgage
Corp
1.310%
8/17/33
AAA
3,014
1
Federal
National
Mortgage
Association
1.875%
9/24/26
AAA
941
6
Federal
National
Mortgage
Association
6.625%
11/15/30
AAA
7,165
6
Federal
National
Mortgage
Association
5.625%
7/15/37
AAA
7,080
62
Kreditanstalt
fuer
Wiederaufbau
1.000%
10/01/26
AAA
56,589
9
Tennessee
Valley
Authority
5.250%
9/15/39
AAA
9,699
169
Tennessee
Valley
Authority
3.500%
12/15/42
AAA
144,334
5
Tennessee
Valley
Authority
4.250%
9/15/52
AAA
4,703
Total
Government
Agency
378,761
Municipal
Bonds
-
4.7%
(6)
18
Bay
Area
Toll
Authority,
California,
Revenue
Bonds,
San
Francisco
Bay
Area
Toll
Bridge,
Series
2021
(Optional
Call:
4/31
at
100.00)
3.126%
4/01/55
AA
13,337
26
Bay
Area
Toll
Authority,
California,
Revenue
Bonds,
San
Francisco
Bay
Area
Toll
Bridge,
Subordinate
Lien,
Build
America
Federally
Taxable
Bond
Series
2010S-1
(No
Opt.
Call)
6.918%
4/01/40
AA-
31,487
60
Board
of
Regents
of
the
University
of
Texas
System,
Revenue
Financing
System
Bonds,
Green
Series
2016B
(No
Opt.
Call)
3.852%
8/15/46
AAA
53,674
42
California
State
University
(No
Opt.
Call)
2.719%
11/01/52
AA-
29,425
10
California
State
University,
Systemwide
Revenue
Bonds,
Taxable
Series
2021B
(Optional
Call:
11/31
at
100.00)
2.939%
11/01/52
AA-
7,321
70
California
State,
General
Obligation
Bonds,
Taxable
Various
Purpose
Series
2018
(Optional
Call:
4/28
at
100.00)
4.600%
4/01/38
AA
69,694
50
California
State,
General
Obligation
Bonds,
Various
Purpose
Build
America
Taxable
Bond
Series
2010
(No
Opt.
Call)
7.625%
3/01/40
AA
65,315
10
Chicago
Greater
Metropolitan
Water
Reclamation
District,
Illinois,
General
Obligation
Bonds,
Build
America
Taxable
Bonds,
Series
2009
(No
Opt.
Call)
5.720%
12/01/38
AA+
11,051
30
Chicago
Transit
Authority,
Illinois,
Sales
and
Transfer
Tax
Receipts
Revenue
Bonds,
Pension
Funding
Taxable
Series
2008B
(No
Opt.
Call)
6.899%
12/01/40
AA-
34,584
47
Chicago,
Illinois,
O'Hare
International
Airport
Revenue
Bond,
Series
2018
(No
Opt.
Call)
4.572%
1/01/54
A+
43,848
40
Commonwealth
Financing
Authority,
Pennsylvania,
Revenue
Bonds,
Taxable
Series
2021A
(No
Opt.
Call)
2.991%
6/01/42
A+
30,923
6
Commonwealth
Financing
Authority,
Pennsylvania,
State
Appropriation
Lease
Bonds,
Plancon
Program,
Taxable
Series
2018A
(No
Opt.
Call)
3.864%
6/01/38
A+
5,478
10
Cook
County,
Illinois,
General
Obligation
Bonds,
Build
America
Taxable
Bonds,
Series
2010D
(No
Opt.
Call)
6.229%
11/15/34
A+
11,169
40
Dallas
Area
Rapid
Transit,
Texas,
Sales
Tax
Revenue
Bonds,
Taxable
Refunding
Senior
Lien
Series
2021A
(Optional
Call:
12/31
at
100.00)
2.613%
12/01/48
AA+
28,158
20
Dallas
Fort
Worth
International
Airport,
Texas,
Joint
Revenue
Bonds,
Taxable
Improvement
Series
2022A
(No
Opt.
Call)
4.087%
11/01/51
A+
18,333
20
Dallas
Fort
Worth
International
Airport,
Texas,
Joint
Revenue
Bonds,
Taxable
Improvement
Series
2022A
(Optional
Call:
11/32
at
100.00)
4.507%
11/01/51
A+
19,303
40
Dallas-Fort
Worth
International
Airport,
Texas,
Joint
Revenue
Bonds,
Taxable
Refunding
Series
2021C
(Optional
Call:
11/31
at
100.00)
2.843%
11/01/46
A+
30,203
Nuveen
Enhanced
Yield
U.S.
Aggregate
Bond
ETF
(NUAG)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Municipal
Bonds
(continued)
$
1
Dormitory
Authority
of
the
State
of
New
York,
State
Personal
Income
Tax
Revenue
Bonds,
General
Purpose,
Series
2021C
(No
Opt.
Call)
2.202%
3/15/34
AA+
$
805
40
Grand
Parkway
Transportation
Corporation,
Texas,
System
Toll
Revenue
Bonds,
Taxable
Refunding
Subordinate
Lien
Series
2020B.
Tela
Supported
(Optional
Call:
4/30
at
100.00)
3.236%
10/01/52
AA+
30,300
126
Illinois
State,
General
Obligation
Bonds,
Pension
Funding
Series
2003
(No
Opt.
Call)
5.100%
6/01/33
A-
126,658
40
Kansas
Development
Finance
Authority,
Kansas,
Revenue
Bonds,
State
of
Kansas
KPERS
Projects,
Taxable
Series
2021K
(No
Opt.
Call)
2.774%
5/01/51
AA-
28,583
30
Los
Angeles
Community
College
District,
California,
General
Obligation
Bonds,
Build
America
Taxable
Bonds,
Series
2010
(No
Opt.
Call)
6.750%
8/01/49
AA+
37,857
55
Los
Angeles
Department
of
Water
and
Power,
California,
Waterworks
Revenue
Bonds,
Taxable
Build
America
Bond
Series
2009C
(No
Opt.
Call)
6.008%
7/01/39
AA
61,058
36
Los
Angeles
Unified
School
District,
Los
Angeles
County,
California,
General
Obligation
Bonds,
Build
America
Taxable
Bonds,
Series
2009KRY
(No
Opt.
Call)
5.750%
7/01/34
AA-
39,355
49
Massachusetts
State,
General
Obligation
Bonds,
Taxable
Refunding
Series
2019D2021
2021
(No
Opt.
Call)
2.663%
9/01/39
AA+
40,650
11
Michigan
Finance
Authority,
Hospital
Revenue
Bonds,
Trinity
Health
Credit
Group,
Taxable
Refunding
Series
2019-
T
(No
Opt.
Call)
3.384%
12/01/40
AA-
9,218
21
Missouri
Health
and
Educational
Facilities
Authority,
Revenue
Bonds,
Washington
University,
Series
2016B
(No
Opt.
Call)
3.086%
9/15/51
AA+
15,220
36
Municipal
Electric
Authority
of
Georgia,
Plant
Vogtle
Units
3
&
4
Project
J
Bonds,
Taxable
Build
America
Bonds
Series
2010A
(No
Opt.
Call)
6.637%
4/01/57
A-
40,045
45
New
Jersey
Turnpike
Authority,
Revenue
Bonds,
Build
America
Taxable
Bonds,
Series
2010A
(No
Opt.
Call)
7.102%
1/01/41
A+
56,375
1
New
York
City
Municipal
Water
Finance
Authority,
New
York,
Water
and
Sewer
System
Revenue
Bonds,
Second
Generation
Resolution,
Build
America
Taxable
Bonds,
Fiscal
2011
Series
AA
(No
Opt.
Call)
5.440%
6/15/43
AA+
1,095
15
New
York
City
Transitional
Finance
Authority,
New
York,
Future
Tax
Secured
Bonds,
Build
America
Taxable
Bonds,
Series
2010B-1
(No
Opt.
Call)
5.572%
11/01/38
AAA
16,117
32
New
York
State
Thruway
Authority,
General
Revenue
Bonds,
Taxable
Series
2019M
(No
Opt.
Call)
2.900%
1/01/35
A
27,232
50
North
Texas
Tollway
Authority,
System
Revenue
Bonds,
Refunding
First
Tier
Taxable
Series
2021A
(Optional
Call:
1/31
at
100.00)
3.011%
1/01/43
AA-
39,131
10
Ohio
State
University,
General
Receipts
Bonds,
Build
America
Taxable
Bond
Series
2010C
(No
Opt.
Call)
4.910%
6/01/40
AA+
10,230
8
Ohio
State
University,
General
Receipts
Bonds,
Multiyear
Debt
Issuance
Program,
Taxable
Series
2016B
(No
Opt.
Call)
3.798%
12/01/46
AA+
6,859
100
Port
Authority
of
New
York
and
New
Jersey,
Consolidated
Revenue
Bonds,
Two
Hundred
Twenty-Fifth
Series
2021
(Optional
Call:
7/31
at
100.00)
3.175%
7/15/60
AA-
73,010
39
Province
of
British
Columbia
Canada
(No
Opt.
Call)
1.300%
1/29/31
AA+
32,633
75
Sales
Tax
Securitization
Corporation,
Illinois,
Series
2021
(No
Opt.
Call)
3.238%
1/01/42
AA-
59,375
50
State
of
California
(Optional
Call:
4/28
at
100.00)
4.500%
4/01/33
AA
50,249
7
Texas
State,
General
Obligation
Bonds,
Transportation
Commission,
Build
America
Taxable
Bonds,
Series
2010A
(No
Opt.
Call)
4.631%
4/01/33
AAA
7,136
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Municipal
Bonds
(continued)
$
90
Texas
Transportation
Commission,
General
Obligation
Bonds,
Mobility
Fund,
Refunding
Series
2020
(Optional
Call:
10/30
at
100.00)
2.472%
10/01/44
AAA
$
64,003
93
The
Rector
and
Visitors
of
the
University
of
Virginia,
General
Revenue
Bonds,
Taxable
Pledge
and
Refunding
Series
2020
(Optional
Call:
3/50
at
100.00)
2.256%
9/01/50
AAA
61,226
32
Tucson,
Arizona,
Certificates
of
Participation,
Taxable
Series
2021A
(No
Opt.
Call)
2.856%
7/01/47
AA-
23,555
Total
Municipal
Bonds
1,461,278
Sovereign
Debt
-
6.1%
8
Chile
Government
International
Bond
(3)
2.550%
7/27/33
A
6,695
5
Chile
Government
International
Bond
3.500%
1/31/34
A
4,519
1
Chile
Government
International
Bond
3.625%
10/30/42
A
816
102
Chile
Government
International
Bond
3.500%
1/25/50
A
78,512
13
Chile
Government
International
Bond
(3)
4.000%
1/31/52
A
10,776
13
Chile
Government
International
Bond
3.250%
9/21/71
A
8,647
200
Colombia
Government
International
Bond
8.000%
4/20/33
BBB-
199,460
9
Colombia
Government
International
Bond
4.125%
2/22/42
BBB-
5,579
13
Colombia
Government
International
Bond
5.000%
6/15/45
BBB-
8,721
19
Colombia
Government
International
Bond
5.200%
5/15/49
BBB-
12,779
13
Colombia
Government
International
Bond
4.125%
5/15/51
BBB-
7,682
13
Colombia
Government
International
Bond
3.875%
2/15/61
BBB-
7,134
31
European
Investment
Bank
0.750%
10/26/26
AAA
27,986
1
Hungary
Government
International
Bond
7.625%
3/29/41
BBB
1,136
1
Indonesia
Government
International
Bond
4.350%
1/11/48
BBB
897
1
Indonesia
Government
International
Bond
5.350%
2/11/49
BBB
1,024
13
Indonesia
Government
International
Bond
4.300%
3/31/52
BBB
11,422
15
Indonesia
Government
International
Bond
3.350%
3/12/71
BBB
10,354
30
Inter-American
Development
Bank
4.375%
1/24/44
AAA
30,895
44
International
Bank
for
Reconstruction
&
Development
1.625%
11/03/31
AAA
37,692
28
Israel
Government
International
Bond
4.500%
1/30/43
A+
26,233
11
Korea
International
Bond
3.875%
9/20/48
AA
10,062
213
Mexico
Government
International
Bond
4.875%
5/19/33
BBB
206,398
10
Mexico
Government
International
Bond
4.280%
8/14/41
BBB
8,350
107
Mexico
Government
International
Bond
5.550%
1/21/45
BBB
103,010
100
Mexico
Government
International
Bond
(3)
4.400%
2/12/52
BBB
79,770
200
Mexico
Government
International
Bond
6.338%
5/04/53
BBB
206,211
19
Mexico
Government
International
Bond
3.771%
5/24/61
BBB
13,084
178
Panama
Government
International
Bond
4.500%
5/15/47
BBB
142,528
130
Panama
Government
International
Bond
3.870%
7/23/60
BBB
86,788
1
Peruvian
Government
International
Bond
1.862%
12/01/32
BBB
773
13
Peruvian
Government
International
Bond
3.000%
1/15/34
BBB
10,867
13
Peruvian
Government
International
Bond
3.300%
3/11/41
BBB
9,995
17
Peruvian
Government
International
Bond
3.550%
3/10/51
BBB
12,815
5
Peruvian
Government
International
Bond
2.780%
12/01/60
BBB
3,056
1
Peruvian
Government
International
Bond
3.600%
1/15/72
BBB
686
16
Peruvian
Government
International
Bond
3.230%
7/28/21
BBB
9,734
10
Philippine
Government
International
Bond
5.000%
1/13/37
BBB
10,195
59
Philippine
Government
International
Bond
3.700%
3/01/41
BBB
49,977
200
Philippine
Government
International
Bond
3.200%
7/06/46
BBB
150,661
36
Republic
of
Italy
Government
International
Bond
5.375%
6/15/33
BBB-
36,243
150
Republic
of
Italy
Government
International
Bond
4.000%
10/17/49
N/R
114,143
17
Uruguay
Government
International
Bond
5.100%
6/18/50
BBB
17,388
150
Uruguay
Government
International
Bond
4.975%
4/20/55
BBB
150,514
Total
Sovereign
Debt
1,932,207
Total
Government
Related
(cost
$4,681,618)
3,772,246
Total
Long-Term
Investments
(cost
$34,613,418)
31,120,517
Nuveen
Enhanced
Yield
U.S.
Aggregate
Bond
ETF
(NUAG)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Part
F
of
Form
N-PORT
was
prepared
in
accordance
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission
(“SEC”)
related
to
interim
filings.
Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report
pursuant
to
the
rules
of
the
SEC.
For
a
full
set
of
the
Fund’s
notes
to
financial
statements,
please
refer
to
the
Fund’s
most
recently
filed
annual
or
semi-annual
report.
Fair
Value
Measurements
The
Fund’s
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Directors/
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels.
Level
1
–
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
–
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
–
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
The
following
table
summarizes
the
market
value
of
the
Fund's
investments
as
of
the
end
of
the
reporting
period,
based
on
the
inputs
used
to
value
them:
Shares
Description
(1)
Coupon
Value
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
-
1.3%
X
414,846
MONEY
MARKET
FUNDS
-
1.3%
X
414,846
414,846
State
Street
Navigator
Securities
Lending
Government
Money
Market
Portfolio
(7)
4.840%(8)
$
414,846
Total
Money
Market
Funds
(cost
$414,846)
$
414,846
Total
Investments
Purchased
with
Collateral
from
Securities
Lending
(cost
$414,846)
414,846
Total
Investments
(cost
$
35,028,264
)
-
99
.8
%
31,535,363
Other
Assets
&
Liabilities,
Net
-
0.2%
65,323
Net
Assets
-
100%
$
31,600,686
Level
1
Level
2
Level
3
Total
Long-Term
Investments:
Corporate
Debt
$
–
$
13,377,392
$
–
$
13,377,392
U.S.
Treasury
–
8,056,324
–
8,056,324
Securitized
–
5,914,555
–
5,914,555
Government
Related
–
3,772,246
–
3,772,246
Investments
Purchased
with
Collateral
from
Securities
Lending
414,846
–
–
414,846
Total
$
414,846
$
31,120,517
$
–
$
31,535,363
For
Fund
portfolio
compliance
purposes,
the
Fund’s
industry
classifications
refer
to
any
one
or
more
of
the
industry
sub-classifications
used
by
one
or
more
widely
recognized
market
indexes
or
ratings
group
indexes,
and/or
as
defined
by
Fund
management.
This
definition
may
not
apply
for
purposes
of
this
report,
which
may
combine
industry
sub-classifications
into
sectors
for
reporting
ease.
(1)
All
percentages
shown
in
the
Portfolio
of
Investments
are
based
on
net
assets.
(2)
The
Fund
uses
credit
quality
ratings
for
its
portfolio
securities
provided
by
Moody’s,
S&P
and
Fitch.
If
all
three
of
Moody’s,
S&P,
and
Fitch
provide
a
rating
for
a
security,
an
average
of
the
ratings
is
used;
if
two
of
the
three
agencies
rate
a
security,
an
average
of
the
two
is
used;
and
if
only
one
rating
agency
rates
a
security,
that
rating
is
used.
AAA,
AA,
A,
and
BBB
are
investment
grade
ratings;
BB,
B,
CCC/CC/C
and
D
are
below-investment
grade
ratings.
Credit
ratings
are
subject
to
change.
Holdings
designated
N/R
are
not
rated
by
Moody’s,
S&P
or
Fitch.
(3)
Investment,
or
a
portion
of
investment,
is
out
on
loan
for
securities
lending.
The
total
value
of
the
securities
out
on
loan
as
of
the
end
of
the
reporting
period
was
$404,108.
(4)
Perpetual
security.
Maturity
date
is
not
applicable.
(5)
Principal
Amount
(000)
rounds
to
less
than
$1,000.
(6)
Optional
Call
Provisions:
Dates
(month
and
year)
and
prices
of
the
earliest
optional
call
or
redemption.
There
may
be
other
call
provisions
at
varying
prices
at
later
dates.
Certain
mortgage-backed
securities
may
be
subject
to
periodic
principal
paydowns.
(7)
The
Fund
may
loan
securities
representing
up
to
one
third
of
the
market
value
of
its
total
assets
(which
includes
collateral
for
securities
on
loan)
to
broker
dealers,
banks,
and
other
institutions.
The
collateral
maintained
by
the
Fund
shall
have
a
market
value,
at
the
inception
of
each
loan,
equal
to
not
less
than
100%
of
the
market
value
of
the
loaned
securities.
The
cash
collateral
received
by
the
Fund
is
invested
in
this
money
market
fund.
(8)
The
rate
shown
is
the
one-day
yield
as
of
the
end
of
the
reporting
period.
144A
Investment
is
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933,
as
amended.
These
investments
may
only
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
Nuveen
Enhanced
Yield
1-5
Year
U.S.
Aggregate
Bond
ETF
(NUSA)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
LONG-TERM
INVESTMENTS
-
98.9%
X
13,859,563
CORPORATE
DEBT
-
50.0%
X
13,859,563
Financials
-
27.6%
$
150
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
1.650%
10/29/24
BBB
$
140,257
20
Aflac
Inc
1.125%
3/15/26
A-
18,288
80
Air
Lease
Corp
0.800%
8/18/24
BBB
75,119
100
Air
Lease
Corp
1.875%
8/15/26
BBB
88,864
45
Ally
Financial
Inc
3.875%
5/21/24
BBB-
43,812
40
Ally
Financial
Inc
(3)
5.125%
9/30/24
BBB-
39,225
100
Ally
Financial
Inc
(3)
7.100%
11/15/27
BBB-
103,275
30
American
Express
Co
3.375%
5/03/24
A-
29,441
30
American
Express
Co
2.550%
3/04/27
A-
27,785
100
American
Express
Co
5.850%
11/05/27
A-
104,658
100
Aon
Corp
/
Aon
Global
Holdings
PLC
2.850%
5/28/27
BBB+
93,051
74
Ares
Capital
Corp
3.250%
7/15/25
BBB-
68,570
7
Assured
Guaranty
US
Holdings
Inc
(3)
5.000%
7/01/24
A-
6,979
100
Banco
Santander
SA
1.849%
3/25/26
A-
90,545
60
Bank
of
America
Corp
0.976%
4/22/25
A
57,138
80
Bank
of
America
Corp
3.366%
1/23/26
A
77,072
200
Bank
of
America
Corp
4.827%
7/22/26
A
198,076
210
Bank
of
America
Corp
1.734%
7/22/27
A
188,139
100
Bank
of
America
Corp
4.376%
4/27/28
A
97,075
20
Bank
of
Montreal
0.625%
7/09/24
A
18,958
100
Bank
of
Montreal
5.200%
12/12/24
A
99,990
30
Bank
of
Montreal
1.250%
9/15/26
A
26,726
100
Bank
of
New
York
Mellon
Corp/The
3.350%
4/25/25
A+
96,972
60
Bank
of
New
York
Mellon
Corp/The
0.750%
1/28/26
A+
54,155
20
Bank
of
Nova
Scotia/The
0.700%
4/15/24
A
19,084
100
Bank
of
Nova
Scotia/The
5.250%
12/06/24
A
100,090
20
Bank
of
Nova
Scotia/The
3.450%
4/11/25
A
19,405
100
Bank
of
Nova
Scotia/The
1.350%
6/24/26
A
89,912
80
Barclays
PLC
3.932%
5/07/25
BBB+
78,217
200
Barclays
PLC
2.279%
11/24/27
BBB+
178,739
50
BGC
Partners
Inc
3.750%
10/01/24
BBB-
48,234
70
Blackstone
Private
Credit
Fund
4.700%
3/24/25
BBB-
67,521
40
Blackstone
Secured
Lending
Fund
2.750%
9/16/26
BBB-
35,001
20
Canadian
Imperial
Bank
of
Commerce
3.300%
4/07/25
A
19,325
20
Canadian
Imperial
Bank
of
Commerce
3.945%
8/04/25
A
19,549
78
Capital
One
Financial
Corp
3.300%
10/30/24
BBB+
75,828
100
Capital
One
Financial
Corp
2.636%
3/03/26
BBB+
93,652
100
Capital
One
Financial
Corp
4.927%
5/10/28
BBB+
97,050
50
Charles
Schwab
Corp/The
1.150%
5/13/26
A
44,267
40
Chubb
INA
Holdings
Inc
3.150%
3/15/25
A
38,951
60
Citigroup
Inc
3.875%
3/26/25
BBB
58,383
10
Citigroup
Inc
0.981%
5/01/25
A-
9,522
20
Citigroup
Inc
1.281%
11/03/25
A-
18,774
100
Citigroup
Inc
2.014%
1/25/26
A-
94,379
100
Citigroup
Inc
3.290%
3/17/26
A-
96,486
100
Citigroup
Inc
3.070%
2/24/28
A-
93,486
100
Citigroup
Inc
4.658%
5/24/28
A-
99,107
50
Citizens
Financial
Group
Inc
2.850%
7/27/26
BBB+
44,074
60
CNA
Financial
Corp
3.950%
5/15/24
BBB+
59,068
60
Cooperatieve
Rabobank
UA
4.375%
8/04/25
BBB+
57,974
140
Credit
Suisse
Group
AG
3.750%
3/26/25
BBB
130,535
10
Deutsche
Bank
AG/London
3.700%
5/30/24
BBB
9,695
190
Deutsche
Bank
AG/New
York
NY
3.700%
5/30/24
BBB
184,267
110
Discover
Bank
2.450%
9/12/24
BBB+
104,563
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Financials
(continued)
$
100
Fifth
Third
Bancorp
1.707%
11/01/27
BBB+
$
86,753
60
FS
KKR
Capital
Corp
3.400%
1/15/26
BBB-
54,717
100
Goldman
Sachs
Group
Inc/The
5.700%
11/01/24
A-
100,889
70
Goldman
Sachs
Group
Inc/The
3.750%
5/22/25
A-
68,163
100
Goldman
Sachs
Group
Inc/The
1.948%
10/21/27
A-
89,549
100
Goldman
Sachs
Group
Inc/The
3.615%
3/15/28
A-
95,211
100
Goldman
Sachs
Group
Inc/The
4.482%
8/23/28
A-
98,114
90
HSBC
Holdings
PLC
0.976%
5/24/25
A
85,142
160
HSBC
Holdings
PLC
4.300%
3/08/26
A
157,093
100
JPMorgan
Chase
&
Co
3.845%
6/14/25
A+
98,177
10
JPMorgan
Chase
&
Co
0.768%
8/09/25
A+
9,402
134
JPMorgan
Chase
&
Co
2.005%
3/13/26
A+
126,366
100
JPMorgan
Chase
&
Co
1.578%
4/22/27
A+
90,605
100
JPMorgan
Chase
&
Co
2.947%
2/24/28
A+
93,036
100
JPMorgan
Chase
&
Co
4.851%
7/25/28
A+
100,272
100
KeyCorp
3.878%
5/23/25
BBB+
96,630
140
Lloyds
Banking
Group
PLC
1.627%
5/11/27
A-
125,039
30
Main
Street
Capital
Corp
3.000%
7/14/26
BBB-
26,394
16
Marsh
&
McLennan
Cos
Inc
3.875%
3/15/24
A-
15,797
15
MetLife
Inc
3.600%
4/10/24
A-
14,759
110
Mitsubishi
UFJ
Financial
Group
Inc
0.953%
7/19/25
A
103,875
60
Mizuho
Financial
Group
Inc
2.651%
5/22/26
A
56,615
27
Morgan
Stanley
3.700%
10/23/24
A
26,476
50
Morgan
Stanley
0.790%
5/30/25
A
47,335
100
Morgan
Stanley
1.164%
10/21/25
A
93,612
100
Morgan
Stanley
2.630%
2/18/26
A
95,180
100
Morgan
Stanley
4.679%
7/17/26
A
99,175
110
Morgan
Stanley
1.593%
5/04/27
A
98,934
100
Nomura
Holdings
Inc
1.653%
7/14/26
BBB+
88,617
10
Oaktree
Specialty
Lending
Corp
2.700%
1/15/27
BBB-
8,649
60
Old
Republic
International
Corp
3.875%
8/26/26
BBB+
57,820
50
Owl
Rock
Capital
Corp
3.750%
7/22/25
BBB-
46,180
40
OWL
Rock
Core
Income
Corp
4.700%
2/08/27
Baa3
36,547
50
PNC
Financial
Services
Group
Inc/The
1.150%
8/13/26
A-
44,337
100
PNC
Financial
Services
Group
Inc/The
4.758%
1/26/27
A-
98,858
100
Progressive
Corp/The
2.500%
3/15/27
A
93,319
51
Prudential
Financial
Inc
5.200%
3/15/44
BBB+
48,694
10
Royal
Bank
of
Canada
0.750%
10/07/24
A+
9,399
50
Royal
Bank
of
Canada
1.200%
4/27/26
A+
45,511
30
Royal
Bank
of
Canada
2.050%
1/21/27
A+
27,430
81
Santander
Holdings
USA
Inc
3.500%
6/07/24
BBB
78,860
10
Santander
Holdings
USA
Inc
2.490%
1/06/28
BBB
8,770
100
State
Street
Corp
5.820%
11/04/28
A+
104,479
10
Symetra
Financial
Corp
4.250%
7/15/24
BBB+
9,937
60
Synchrony
Financial
4.375%
3/19/24
BBB-
58,734
10
Synchrony
Financial
4.875%
6/13/25
BBB-
9,449
20
Toronto-Dominion
Bank/The
2.350%
3/08/24
A
19,478
100
Toronto-Dominion
Bank/The
4.285%
9/13/24
A
98,874
50
Toronto-Dominion
Bank/The
1.200%
6/03/26
A
44,618
30
Toronto-Dominion
Bank/The
1.250%
9/10/26
A+
26,726
10
Truist
Financial
Corp
4.260%
7/28/26
A-
9,682
100
US
Bancorp
3.100%
4/27/26
A
93,765
10
Vornado
Realty
LP
2.150%
6/01/26
BBB-
8,296
110
Wells
Fargo
&
Co
3.550%
9/29/25
A
106,970
100
Wells
Fargo
&
Co
3.908%
4/25/26
A
97,512
100
Wells
Fargo
&
Co
4.540%
8/15/26
A
98,504
Total
Financials
7,662,633
Nuveen
Enhanced
Yield
1-5
Year
U.S.
Aggregate
Bond
ETF
(NUSA)
(contin-
ued)
Portfolio
of
Investments
April
30,
2023
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
-
7.0%
$
50
AbbVie
Inc
2.950%
11/21/26
BBB+
$
47,463
10
Amcor
Finance
USA
Inc
3.625%
4/28/26
BBB
9,625
50
American
Tower
Corp
3.650%
3/15/27
BBB
47,841
100
AT&T
Inc
1.700%
3/25/26
BBB
92,334
30
BAT
International
Finance
PLC
1.668%
3/25/26
BBB
27,315
20
Canadian
Pacific
Railway
Co
1.750%
12/02/26
BBB+
18,262
50
Cigna
Group/The
1.250%
3/15/26
BBB+
45,619
30
CNH
Industrial
Capital
LLC
1.450%
7/15/26
BBB
26,906
20
Constellation
Brands
Inc
4.350%
5/09/27
BBB-
19,838
40
Crown
Castle
Inc
2.900%
3/15/27
BBB
37,313
30
CVS
Health
Corp
2.875%
6/01/26
BBB
28,621
100
Dell
International
LLC
/
EMC
Corp
5.250%
2/01/28
BBB
101,236
10
DXC
Technology
Co
1.800%
9/15/26
BBB
8,787
100
Eastern
Energy
Gas
Holdings
LLC
2.500%
11/15/24
A-
96,222
100
eBay
Inc
1.400%
5/10/26
BBB+
91,107
100
Enbridge
Inc
7.375%
1/15/83
N/R
99,000
25
Equifax
Inc
2.600%
12/15/25
BBB
23,538
20
Equinix
Inc
1.450%
5/15/26
BBB
18,068
50
Fidelity
National
Information
Services
Inc
0.600%
3/01/24
BBB
47,941
70
Fiserv
Inc
2.750%
7/01/24
BBB
68,021
10
Fortive
Corp
3.150%
6/15/26
BBB+
9,562
100
General
Motors
Financial
Co
Inc
5.400%
4/06/26
BBB
100,053
80
Global
Payments
Inc
1.500%
11/15/24
BBB-
75,516
20
HCA
Inc,
144A
3.125%
3/15/27
BBB-
18,780
20
HP
Inc
1.450%
6/17/26
BBB
18,078
20
Kinder
Morgan
Inc
1.750%
11/15/26
BBB
18,073
30
Kraft
Heinz
Foods
Co
3.000%
6/01/26
BBB
28,726
10
Laboratory
Corp
of
America
Holdings
1.550%
6/01/26
BBB
9,041
50
Lowe's
Cos
Inc
4.800%
4/01/26
BBB+
50,359
100
Mastercard
Inc
4.875%
3/09/28
AA-
103,733
20
McKesson
Corp
1.300%
8/15/26
BBB+
17,959
10
Mondelez
International
Inc
2.625%
3/17/27
BBB+
9,367
25
Moody's
Corp
3.750%
3/24/25
BBB+
24,440
100
National
Fuel
Gas
Co
5.200%
7/15/25
BBB-
99,515
10
Northrop
Grumman
Corp
3.200%
2/01/27
BBB+
9,617
30
PayPal
Holdings
Inc
2.400%
10/01/24
A-
29,035
40
Raytheon
Technologies
Corp
2.650%
11/01/26
BBB+
37,753
10
Republic
Services
Inc
2.900%
7/01/26
BBB+
9,551
30
Rogers
Communications
Inc,
144A
3.200%
3/15/27
BBB-
28,132
20
Ryder
System
Inc
2.850%
3/01/27
BBB+
18,515
20
S&P
Global
Inc
2.450%
3/01/27
A-
18,764
30
Shire
Acquisitions
Investments
Ireland
DAC
3.200%
9/23/26
BBB+
28,594
100
T-Mobile
USA
Inc
3.750%
4/15/27
BBB
96,303
30
Utah
Acquisition
Sub
Inc
3.950%
6/15/26
BBB-
28,704
40
VMware
Inc
1.400%
8/15/26
BBB-
35,718
50
Warnemedia
Holdings
Inc
3.755%
3/15/27
N/R
47,120
Total
Industrial
1,926,065
Utility
-
15.4%
50
AES
Corp/The
1.375%
1/15/26
BBB-
45,322
50
Ameren
Corp
2.500%
9/15/24
BBB+
48,118
20
Ameren
Corp
1.950%
3/15/27
BBB+
18,082
100
American
Electric
Power
Co
Inc
1.000%
11/01/25
BBB
91,129
48
American
Water
Capital
Corp
3.850%
3/01/24
A-
47,566
10
American
Water
Capital
Corp
3.000%
12/01/26
A-
9,404
100
American
Water
Capital
Corp
2.950%
9/01/27
A-
94,617
60
Atmos
Energy
Corp
3.000%
6/15/27
A
56,849
45
Avangrid
Inc
3.150%
12/01/24
BBB
43,497
40
Berkshire
Hathaway
Energy
Co
4.050%
4/15/25
A-
39,564
70
Black
Hills
Corp
1.037%
8/23/24
BBB+
66,059
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Utility
(continued)
$
10
CenterPoint
Energy
Inc
2.500%
9/01/24
BBB
$
9,631
100
CenterPoint
Energy
Inc
1.450%
6/01/26
BBB
90,793
50
Consolidated
Edison
Co
of
New
York
Inc
2.900%
12/01/26
A-
46,952
61
Dominion
Energy
Inc
3.071%
8/15/24
BBB
59,313
40
Dominion
Energy
Inc
3.300%
3/15/25
BBB
38,641
100
Dominion
Energy
Inc
1.450%
4/15/26
BBB
90,928
80
DTE
Energy
Co
1.050%
6/01/25
BBB
73,920
100
Duke
Energy
Corp
0.900%
9/15/25
BBB
91,804
20
Duke
Energy
Corp
3.250%
1/15/82
BBB-
15,100
100
Duke
Energy
Florida
LLC
3.200%
1/15/27
A
96,076
65
Edison
International
4.950%
4/15/25
BBB
64,803
50
Emera
US
Finance
LP
0.833%
6/15/24
BBB-
47,369
70
Entergy
Louisiana
LLC
5.590%
10/01/24
A
70,620
9
Entergy
Louisiana
LLC
5.400%
11/01/24
A
9,074
150
Entergy
Louisiana
LLC
2.400%
10/01/26
A
139,959
19
Evergy
Inc
2.450%
9/15/24
BBB+
18,283
100
Evergy
Kansas
Central
Inc
2.550%
7/01/26
A
94,446
90
Eversource
Energy
0.800%
8/15/25
BBB+
82,148
100
Eversource
Energy
1.400%
8/15/26
BBB+
90,008
100
Eversource
Energy
2.900%
3/01/27
BBB+
94,164
50
Exelon
Corp
3.950%
6/15/25
BBB
49,034
60
Exelon
Corp
3.400%
4/15/26
BBB
57,946
100
Exelon
Corp
2.750%
3/15/27
BBB
93,807
10
Fortis
Inc/Canada
3.055%
10/04/26
BBB
9,439
166
Georgia
Power
Co
2.200%
9/15/24
BBB+
159,774
30
Interstate
Power
and
Light
Co
3.250%
12/01/24
BBB+
29,169
10
National
Rural
Utilities
Cooperative
Finance
Corp
3.450%
6/15/25
A
9,755
100
NextEra
Energy
Capital
Holdings
Inc
4.255%
9/01/24
BBB+
99,043
100
NextEra
Energy
Capital
Holdings
Inc
6.051%
3/01/25
BBB+
101,663
100
NextEra
Energy
Capital
Holdings
Inc
4.625%
7/15/27
BBB+
100,090
90
NiSource
Inc
0.950%
8/15/25
BBB
82,642
100
Pacific
Gas
and
Electric
Co
3.400%
8/15/24
BBB-
97,194
140
Pacific
Gas
and
Electric
Co
3.450%
7/01/25
BBB-
133,674
70
Pinnacle
West
Capital
Corp
1.300%
6/15/25
BBB+
64,811
40
PPL
Capital
Funding
Inc
3.100%
5/15/26
BBB+
38,272
70
Public
Service
Co
of
Colorado
2.900%
5/15/25
A+
67,551
200
Public
Service
Electric
and
Gas
Co
0.950%
3/15/26
A
181,945
100
San
Diego
Gas
&
Electric
Co
2.500%
5/15/26
A
94,788
40
Sempra
Energy
3.300%
4/01/25
BBB
38,837
100
Southern
California
Edison
Co
4.200%
6/01/25
A-
98,775
100
Southern
California
Edison
Co
5.300%
3/01/28
A-
102,699
250
Southern
California
Gas
Co
2.950%
4/15/27
A
236,548
180
Southern
Co/The
3.750%
9/15/51
BBB-
153,176
100
Southwestern
Electric
Power
Co
1.650%
3/15/26
BBB+
91,625
40
Tucson
Electric
Power
Co
3.050%
3/15/25
A-
38,653
100
Virginia
Electric
and
Power
Co
3.750%
5/15/27
A-
97,898
60
Wisconsin
Electric
Power
Co
3.100%
6/01/25
A
57,818
Total
Utility
4,270,865
Total
Corporate
Debt
(cost
$14,715,030)
13,859,563
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
X
7,774,332
U.S.
TREASURY
-
28.0%
X
7,774,332
$
82
United
States
Treasury
Note/Bond
1.750%
6/30/24
AAA
$
79,329
150
United
States
Treasury
Note/Bond
3.000%
7/31/24
AAA
147,135
70
United
States
Treasury
Note/Bond
1.250%
8/31/24
AAA
67,058
881
United
States
Treasury
Note/Bond
1.375%
1/31/25
AAA
839,531
100
United
States
Treasury
Note/Bond
0.250%
5/31/25
AAA
92,527
650
United
States
Treasury
Note/Bond
0.250%
7/31/25
AAA
598,787
200
United
States
Treasury
Note/Bond
0.375%
12/31/25
AAA
183,023
Nuveen
Enhanced
Yield
1-5
Year
U.S.
Aggregate
Bond
ETF
(NUSA)
(contin-
ued)
Portfolio
of
Investments
April
30,
2023
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
$
700
United
States
Treasury
Note/Bond
0.750%
4/30/26
AAA
$
641,266
850
United
States
Treasury
Note/Bond
0.750%
5/31/26
AAA
776,920
50
United
States
Treasury
Note/Bond
0.875%
6/30/26
AAA
45,844
100
United
States
Treasury
Note/Bond
1.125%
10/31/26
AA+
91,719
100
United
States
Treasury
Note/Bond
1.250%
12/31/26
AAA
91,867
900
United
States
Treasury
Note/Bond
1.875%
2/28/27
AAA
844,172
300
United
States
Treasury
Note/Bond
2.500%
3/31/27
AAA
287,883
850
United
States
Treasury
Note/Bond
2.625%
5/31/27
AAA
818,789
300
United
States
Treasury
Note/Bond
3.250%
6/30/27
AAA
296,051
250
United
States
Treasury
Note/Bond
2.750%
7/31/27
AAA
241,865
150
United
States
Treasury
Note/Bond
3.125%
8/31/27
AAA
147,363
100
United
States
Treasury
Note/Bond
3.875%
12/31/27
AAA
101,441
350
United
States
Treasury
Note/Bond
4.000%
2/29/28
AAA
357,711
200
United
States
Treasury
Note/Bond
3.625%
3/31/28
AAA
201,078
850
United
States
Treasury
Note/Bond
-
When
Issued
2.750%
4/30/27
AAA
822,973
Total
U.S.
Treasury
(cost
$8,181,701)
7,774,332
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
X
5,032,178
SECURITIZED
-
18.2%
X
5,032,178
$
50
AmeriCredit
Automobile
Receivables
Trust
2021-2
2021
2
1.010%
1/19/27
AA+
$
45,873
20
BA
Credit
Card
Trust
2021
A1
0.440%
9/15/26
AAA
19,117
50
BANK
2021-BNK34
2021
BN34
1.935%
6/15/63
AAA
45,241
100
Barclays
Dryrock
Issuance
Trust
2021
1
0.630%
7/15/27
AAA
94,118
100
Benchmark
2021-B29
Mortgage
Trust
2021
B29
2.024%
9/15/54
AAA
89,357
100
Capital
One
Multi-Asset
Execution
Trust
2021
A3
1.040%
11/15/26
AAA
94,401
100
CarMax
Auto
Owner
Trust
2022
1
1.470%
12/15/26
AAA
95,748
17
Carmax
Auto
Owner
Trust
2020-1
2020
1
1.890%
12/16/24
AAA
16,786
41
Carvana
Auto
Receivables
Trust
2022-N1
2022
N1,
144A
2.950%
12/11/28
AA
39,839
100
CNH
Equipment
Trust
2019-C
2019
C
2.350%
4/15/27
AAA
98,252
528
COMM
2014-CCRE16
Mortgage
Trust
2014
CR16
3.775%
4/10/47
AAA
517,995
121
COMM
2014-LC17
Mortgage
Trust
2014
LC17
3.648%
10/10/47
AAA
117,212
47
Dell
Equipment
Finance
Trust
2022
1,
144A
2.110%
8/23/27
AAA
46,186
100
Discover
Card
Execution
Note
Trust
2021
A1
0.580%
9/15/26
AAA
94,111
38
Exeter
Automobile
Receivables
Trust
2022-1
2022
1A
1.540%
7/15/25
AAA
37,722
48
Fannie
Mae
Pool
FN
MA3392
3.500%
6/01/33
N/R
47,205
83
Fannie
Mae
Pool
FN
MA3798
3.000%
10/01/34
N/R
79,427
23
Fannie
Mae
Pool
FN
MA3828
3.000%
11/01/34
N/R
21,811
24
Fannie
Mae
Pool
FN
MA3897
3.000%
1/01/35
N/R
23,419
279
Fannie
Mae
Pool
FN
MA3985
3.000%
4/01/35
N/R
265,568
310
Fannie
Mae
Pool
FN
MA4206
2.000%
12/01/35
N/R
280,185
52
Ford
Credit
Auto
Lease
Trust
2022-A
2022
A
2.780%
10/15/24
AAA
51,545
100
Ford
Credit
Auto
Owner
Trust
2020-B
2020
B
1.190%
1/15/26
AAA
96,354
89
Freddie
Mac
Gold
Pool
FG
G18642
3.500%
4/01/32
N/R
86,553
700
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2015
K046
3.205%
3/25/25
AAA
682,638
100
GM
Financial
Automobile
Leasing
Trust
2021-2
2021
2
0.690%
5/20/25
AA+
97,039
300
GS
Mortgage
Securities
Trust
2019-GC38
2019
GC38
3.872%
2/10/52
AAA
295,071
31
Honda
Auto
Receivables
2020-3
Owner
Trust
2020
3
0.370%
10/18/24
AAA
30,608
41
HPEFS
Equipment
Trust
2022
1A,
144A
1.020%
5/21/29
AAA
41,053
99
Jimmy
Johns
Funding
LLC
2022
1A,
144A
4.077%
4/30/52
BBB
90,878
50
John
Deere
Owner
Trust
2021
B
0.740%
5/15/28
AAA
46,424
200
JP
Morgan
Chase
Commercial
Mortgage
Securities
Trust
2013-C16
2013
C16
4.166%
12/15/46
AAA
198,270
84
Mercedes-Benz
Auto
Lease
Trust
2021-B
2021
B
0.400%
11/15/24
AAA
82,067
24
MMAF
Equipment
Finance
LLC
2019-A
2019
A,
144A
2.930%
3/10/26
AAA
23,863
300
Morgan
Stanley
Bank
of
America
Merrill
Lynch
Trust
2015-
C26
2015
C26
3.531%
10/15/48
AAA
287,319
100
Morgan
Stanley
Capital
I
Trust
2021-L5
2021
L5
1.518%
5/15/54
AAA
88,150
100
OneMain
Financial
Issuance
Trust
2022-S1
2022
S1,
144A
4.130%
5/14/35
AAA
97,218
79
Santander
Drive
Auto
Receivables
Trust
2021-2
2021
2
0.900%
6/15/26
AA+
77,684
50
Santander
Retail
Auto
Lease
Trust
2021-B
2021
B,
144A
0.540%
6/20/25
AAA
48,058
50
Santander
Retail
Auto
Lease
Trust
2021-B
2021
B,
144A
1.410%
11/20/25
BBB
47,461
Part
F
of
Form
N-PORT
was
prepared
in
accordance
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission
(“SEC”)
related
to
interim
filings.
Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report
pursuant
to
the
rules
of
the
SEC.
For
a
full
set
of
the
Fund’s
notes
to
financial
statements,
please
refer
to
the
Fund’s
most
recently
filed
annual
or
semi-annual
report.
Fair
Value
Measurements
The
Fund’s
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Directors/
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels.
Level
1
–
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
–
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
–
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
$
65
SoFi
Professional
Loan
Program
2020-C
Trust
2020
C,
144A
1.950%
2/15/46
AAA
$
58,908
100
Toyota
Auto
Receivables
2021-B
Owner
Trust
2021
B
0.530%
10/15/26
AAA
92,350
90
Verizon
Master
Trust
2021
1
0.500%
5/20/27
AAA
85,597
80
Wells
Fargo
Commercial
Mortgage
Trust
2016-C32
2016
C32
3.324%
1/15/59
Aaa
77,927
83
World
Omni
Auto
Receivables
Trust
2021-B
2021
B
0.420%
6/15/26
AAA
79,570
Total
Securitized
(cost
$5,474,432)
5,032,178
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
X
747,438
GOVERNMENT
RELATED
-
2.7%
X
747,438
Government
Agency
-
1.4%
$
100
Federal
Farm
Credit
Banks
Funding
Corp
4.500%
1/10/25
AAA
$
100,090
100
Federal
Home
Loan
Banks
5.000%
2/28/25
AA+
101,281
100
Federal
Home
Loan
Mortgage
Corp
5.150%
2/14/25
AAA
99,606
95
Kreditanstalt
fuer
Wiederaufbau
3.625%
4/01/26
AAA
94,443
Total
Government
Agency
395,420
Sovereign
Debt
-
1.3%
90
Asian
Development
Bank
4.250%
1/09/26
AAA
90,814
70
Canada
Government
International
Bond
3.750%
4/26/28
AAA
70,428
100
European
Investment
Bank
2.750%
8/15/25
AAA
97,446
100
International
Bank
for
Reconstruction
&
Development
0.625%
4/22/25
AAA
93,330
Total
Sovereign
Debt
352,018
Total
Government
Related
(cost
$744,457)
747,438
Total
Long-Term
Investments
(cost
$29,115,620)
27,413,511
Shares
Description
(1)
Coupon
Value
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
-
0.4%
X
116,628
MONEY
MARKET
FUNDS
-
0.4%
X
116,628
116,628
State
Street
Navigator
Securities
Lending
Government
Money
Market
Portfolio
(4)
4.840%(5)
$
116,628
Total
Money
Market
Funds
(cost
$116,628)
$
116,628
Total
Investments
Purchased
with
Collateral
from
Securities
Lending
(cost
$116,628)
116,628
Total
Investments
(cost
$
29,232,248
)
-
99
.3
%
27,530,139
Other
Assets
&
Liabilities,
Net
-
0.7%
187,893
Net
Assets
-
100%
$
27,718,032
Nuveen
Enhanced
Yield
1-5
Year
U.S.
Aggregate
Bond
ETF
(NUSA)
(contin-
ued)
Portfolio
of
Investments
April
30,
2023
investments).
The
following
table
summarizes
the
market
value
of
the
Fund's
investments
as
of
the
end
of
the
reporting
period,
based
on
the
inputs
used
to
value
them:
Level
1
Level
2
Level
3
Total
Long-Term
Investments:
Corporate
Debt
$
–
$
13,859,563
$
–
$
13,859,563
U.S.
Treasury
–
7,774,332
–
7,774,332
Securitized
–
5,032,178
–
5,032,178
Government
Related
–
747,438
–
747,438
Investments
Purchased
with
Collateral
from
Securities
Lending
116,628
–
–
116,628
Total
$
116,628
$
27,413,511
$
–
$
27,530,139
For
Fund
portfolio
compliance
purposes,
the
Fund’s
industry
classifications
refer
to
any
one
or
more
of
the
industry
sub-classifications
used
by
one
or
more
widely
recognized
market
indexes
or
ratings
group
indexes,
and/or
as
defined
by
Fund
management.
This
definition
may
not
apply
for
purposes
of
this
report,
which
may
combine
industry
sub-classifications
into
sectors
for
reporting
ease.
(1)
All
percentages
shown
in
the
Portfolio
of
Investments
are
based
on
net
assets.
(2)
The
Fund
uses
credit
quality
ratings
for
its
portfolio
securities
provided
by
Moody’s,
S&P
and
Fitch.
If
all
three
of
Moody’s,
S&P,
and
Fitch
provide
a
rating
for
a
security,
an
average
of
the
ratings
is
used;
if
two
of
the
three
agencies
rate
a
security,
an
average
of
the
two
is
used;
and
if
only
one
rating
agency
rates
a
security,
that
rating
is
used.
AAA,
AA,
A,
and
BBB
are
investment
grade
ratings;
BB,
B,
CCC/CC/C
and
D
are
below-investment
grade
ratings.
Credit
ratings
are
subject
to
change.
Holdings
designated
N/R
are
not
rated
by
Moody’s,
S&P
or
Fitch.
(3)
Investment,
or
a
portion
of
investment,
is
out
on
loan
for
securities
lending.
The
total
value
of
the
securities
out
on
loan
as
of
the
end
of
the
reporting
period
was
$111,860.
(4)
The
Fund
may
loan
securities
representing
up
to
one
third
of
the
market
value
of
its
total
assets
(which
includes
collateral
for
securities
on
loan)
to
broker
dealers,
banks,
and
other
institutions.
The
collateral
maintained
by
the
Fund
shall
have
a
market
value,
at
the
inception
of
each
loan,
equal
to
not
less
than
100%
of
the
market
value
of
the
loaned
securities.
The
cash
collateral
received
by
the
Fund
is
invested
in
this
money
market
fund.
(5)
The
rate
shown
is
the
one-day
yield
as
of
the
end
of
the
reporting
period.
144A
Investment
is
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933,
as
amended.
These
investments
may
only
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
Nuveen
ESG
High
Yield
Corporate
Bond
ETF
(NUHY)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Ya
n
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
LONG-TERM
INVESTMENTS
-
97.8%
X
100,946,040
CORPORATE
DEBT
-
97.8%
X
100,946,040
Financials
-
9.3%
$
110
Brookfield
Property
REIT
Inc
/
BPR
Cumulus
LLC
/
BPR
Nimbus
LLC
/
GGSI
Sellco
LL,
144A
5.750%
5/15/26
B+
$
99,831
250
Coinbase
Global
Inc,
144A
3.375%
10/01/28
BB
151,025
250
Coinbase
Global
Inc,
144A
3.625%
10/01/31
BB
139,705
140
Compass
Group
Diversified
Holdings
LLC,
144A
5.250%
4/15/29
B+
126,014
80
Curo
Group
Holdings
Corp,
144A
7.500%
8/01/28
CCC+
31,506
9
Diversified
Healthcare
Trust
4.375%
3/01/31
CCC-
5,670
1
Global
Aircraft
Leasing
Co
Ltd,
(cash
6.500%,
PIK
7.250%),
144A
6.500%
9/15/24
B
714
200
Global
Atlantic
Fin
Co,
144A
4.700%
10/15/51
BB+
159,822
170
HAT
Holdings
I
LLC
/
HAT
Holdings
II
LLC,
144A
3.375%
6/15/26
BB+
150,893
160
Howard
Hughes
Corp/The,
144A
5.375%
8/01/28
BB-
144,436
140
Howard
Hughes
Corp/The,
144A
4.375%
2/01/31
BB-
113,420
50
Icahn
Enterprises
LP
/
Icahn
Enterprises
Finance
Corp
4.750%
9/15/24
BB-
49,327
150
Kennedy-Wilson
Inc
5.000%
3/01/31
BB
113,710
260
Liberty
Mutual
Group
Inc,
144A
4.125%
12/15/51
BB+
209,625
150
MGIC
Investment
Corp
5.250%
8/15/28
BB+
143,346
200
Molina
Healthcare
Inc,
144A
4.375%
6/15/28
BB-
187,443
350
Molina
Healthcare
Inc,
144A
3.875%
11/15/30
BB-
308,746
70
Molina
Healthcare
Inc,
144A
3.875%
5/15/32
BB-
59,989
540
MPT
Operating
Partnership
LP
/
MPT
Finance
Corp
(3)
4.625%
8/01/29
BB+
408,792
100
Nationstar
Mortgage
Holdings
Inc,
144A
6.000%
1/15/27
B
94,750
100
Nationstar
Mortgage
Holdings
Inc,
144A
5.500%
8/15/28
B
89,250
910
Nationstar
Mortgage
Holdings
Inc,
144A
5.125%
12/15/30
B
745,381
300
Nationstar
Mortgage
Holdings
Inc,
144A
5.750%
11/15/31
B
249,523
300
OneMain
Finance
Corp
6.875%
3/15/25
BB
293,484
300
OneMain
Finance
Corp
7.125%
3/15/26
BB
292,362
467
OneMain
Finance
Corp
6.625%
1/15/28
BB
433,143
200
Park
Intermediate
Holdings
LLC
/
PK
Domestic
Property
LLC
/
PK
Finance
Co-Issuer,
144A
7.500%
6/01/25
B+
201,000
450
Park
Intermediate
Holdings
LLC
/
PK
Domestic
Property
LLC
/
PK
Finance
Co-Issuer,
144A
5.875%
10/01/28
B+
415,125
350
Park
Intermediate
Holdings
LLC
/
PK
Domestic
Property
LLC
/
PK
Finance
Co-Issuer,
144A
4.875%
5/15/29
B+
302,750
200
PennyMac
Financial
Services
Inc,
144A
5.375%
10/15/25
B+
188,796
275
PennyMac
Financial
Services
Inc,
144A
5.750%
9/15/31
B+
229,652
760
PROG
Holdings
Inc,
144A
6.000%
11/15/29
B+
684,000
430
RHP
Hotel
Properties
LP
/
RHP
Finance
Corp
4.750%
10/15/27
B+
404,200
390
RHP
Hotel
Properties
LP
/
RHP
Finance
Corp,
144A
4.500%
2/15/29
B+
351,175
400
Rocket
Mortgage
LLC
/
Quicken
Loans
Co-Issuer
Inc,
144A
2.875%
10/15/26
BB+
356,036
300
Rocket
Mortgage
LLC
/
Quicken
Loans
Co-Issuer
Inc,
144A
3.625%
3/01/29
BB+
253,656
300
Rocket
Mortgage
LLC
/
Quicken
Loans
Co-Issuer
Inc,
144A
3.875%
3/01/31
BB+
242,281
200
Rocket
Mortgage
LLC
/
Quicken
Loans
Co-Issuer
Inc,
144A
4.000%
10/15/33
BB+
156,500
100
SLM
Corp
4.200%
10/29/25
BB+
92,375
1
SLM
Corp
3.125%
11/02/26
BB+
875
110
Starwood
Property
Trust
Inc,
144A
4.375%
1/15/27
BB-
94,845
260
UniCredit
SpA,
144A
5.459%
6/30/35
BB+
221,529
370
XHR
LP,
144A
6.375%
8/15/25
B+
364,844
260
XHR
LP,
144A
4.875%
6/01/29
B+
225,657
Total
Financials
9,587,203
Nuveen
ESG
High
Yield
Corporate
Bond
ETF
(NUHY)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
-
87.3%
$
92
1011778
BC
ULC
/
New
Red
Finance
Inc,
144A
3.875%
1/15/28
BB
$
86,290
200
180
Medical
Inc,
144A
3.875%
10/15/29
BB
178,111
100
ACCO
Brands
Corp,
144A
4.250%
3/15/29
BB-
84,277
260
AdaptHealth
LLC,
144A
4.625%
8/01/29
B
210,703
300
AdaptHealth
LLC,
144A
(3)
5.125%
3/01/30
B
248,250
200
Air
Canada,
144A
3.875%
8/15/26
BB
185,137
250
Albertsons
Cos
Inc
/
Safeway
Inc
/
New
Albertsons
LP
/
Albertsons
LLC,
144A
3.250%
3/15/26
BB-
235,114
500
Albertsons
Cos
Inc
/
Safeway
Inc
/
New
Albertsons
LP
/
Albertsons
LLC,
144A
4.625%
1/15/27
BB-
483,348
250
Albertsons
Cos
Inc
/
Safeway
Inc
/
New
Albertsons
LP
/
Albertsons
LLC,
144A
5.875%
2/15/28
BB-
247,485
200
Albertsons
Cos
Inc
/
Safeway
Inc
/
New
Albertsons
LP
/
Albertsons
LLC,
144A
4.875%
2/15/30
BB-
186,500
150
Allison
Transmission
Inc,
144A
5.875%
6/01/29
BB
147,721
100
Allison
Transmission
Inc,
144A
3.750%
1/30/31
BB
85,359
280
AMC
Entertainment
Holdings
Inc,
(cash
10.000%,
PIK
12.000%),
144A
10.000%
6/15/26
CCC-
189,077
300
AMC
Entertainment
Holdings
Inc,
144A
7.500%
2/15/29
CCC+
217,500
10
AMC
Networks
Inc
4.250%
2/15/29
BB-
6,928
100
American
Airlines
Group
Inc,
144A
3.750%
3/01/25
CCC
94,193
380
American
Axle
&
Manufacturing
Inc
(3)
5.000%
10/01/29
B
315,537
180
Amkor
Technology
Inc,
144A
6.625%
9/15/27
BB
180,179
100
AMN
Healthcare
Inc,
144A
4.625%
10/01/27
BB-
93,238
100
Antero
Midstream
Partners
LP
/
Antero
Midstream
Finance
Corp,
144A
7.875%
5/15/26
BB-
102,677
500
Antero
Midstream
Partners
LP
/
Antero
Midstream
Finance
Corp,
144A
5.750%
1/15/28
BB-
484,320
100
Antero
Midstream
Partners
LP
/
Antero
Midstream
Finance
Corp,
144A
5.375%
6/15/29
BB
93,638
200
APX
Group
Inc,
144A
5.750%
7/15/29
B
178,658
900
Aramark
Services
Inc,
144A
6.375%
5/01/25
B+
900,000
420
Archrock
Partners
LP
/
Archrock
Partners
Finance
Corp,
144A
6.875%
4/01/27
B+
412,676
740
Archrock
Partners
LP
/
Archrock
Partners
Finance
Corp,
144A
6.250%
4/01/28
B+
710,356
80
Ardagh
Metal
Packaging
Finance
USA
LLC
/
Ardagh
Metal
Packaging
Finance
PLC,
144A
4.000%
9/01/29
B
65,165
200
Asbury
Automotive
Group
Inc,
144A
4.625%
11/15/29
BB
178,002
100
Asbury
Automotive
Group
Inc,
144A
5.000%
2/15/32
BB
86,163
120
ASGN
Inc,
144A
4.625%
5/15/28
BB-
110,894
710
Aston
Martin
Capital
Holdings
Ltd,
144A
10.500%
11/30/25
CCC+
697,757
380
Avantor
Funding
Inc,
144A
4.625%
7/15/28
BB-
355,443
100
Avantor
Funding
Inc,
144A
3.875%
11/01/29
BB-
88,086
120
Avient
Corp,
144A
5.750%
5/15/25
BB-
119,913
100
Avis
Budget
Car
Rental
LLC
/
Avis
Budget
Finance
Inc,
144A
(3)
4.750%
4/01/28
B+
89,750
330
Avis
Budget
Car
Rental
LLC
/
Avis
Budget
Finance
Inc,
144A
(3)
5.375%
3/01/29
B+
299,348
160
Axalta
Coating
Systems
LLC,
144A
3.375%
2/15/29
B+
138,360
190
Axalta
Coating
Systems
LLC
/
Axalta
Coating
Systems
Dutch
Holding
B
BV,
144A
(3)
4.750%
6/15/27
B+
183,503
80
Ball
Corp
4.875%
3/15/26
BB+
79,221
220
Ball
Corp
2.875%
8/15/30
BB+
184,311
200
Ball
Corp
3.125%
9/15/31
BB+
166,571
230
Bath
&
Body
Works
Inc,
144A
6.625%
10/01/30
BB
220,792
400
Bausch
Health
Cos
Inc,
144A
6.125%
2/01/27
B
288,226
400
Bausch
Health
Cos
Inc,
144A
5.750%
8/15/27
B
276,492
100
Bausch
Health
Cos
Inc,
144A
4.875%
6/01/28
B-
65,875
720
Bausch
Health
Cos
Inc,
144A
11.000%
9/30/28
CCC+
580,500
140
Bausch
Health
Cos
Inc,
144A
14.000%
10/15/30
CCC
89,600
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
150
Black
Knight
InfoServ
LLC,
144A
3.625%
9/01/28
BB-
$
135,375
200
Block
Inc
2.750%
6/01/26
BB
181,002
150
Block
Inc
3.500%
6/01/31
BB
122,204
60
Bombardier
Inc,
144A
(3)
7.875%
4/15/27
B-
59,824
200
Brookfield
Residential
Properties
Inc
/
Brookfield
Residential
US
LLC,
144A
6.250%
9/15/27
B+
183,250
200
Brookfield
Residential
Properties
Inc
/
Brookfield
Residential
US
LLC,
144A
4.875%
2/15/30
B+
156,000
60
Builders
FirstSource
Inc,
144A
5.000%
3/01/30
BB-
56,019
371
Builders
FirstSource
Inc,
144A
4.250%
2/01/32
BB-
325,063
260
Cable
One
Inc,
144A
4.000%
11/15/30
B
211,432
100
Camelot
Finance
SA,
144A
4.500%
11/01/26
B+
94,708
30
Carnival
Corp,
144A
9.875%
8/01/27
B+
30,757
146
Carvana
Co,
144A
10.250%
5/01/30
C
80,056
500
Catalent
Pharma
Solutions
Inc,
144A
5.000%
7/15/27
B+
480,000
400
Catalent
Pharma
Solutions
Inc,
144A
3.125%
2/15/29
B+
340,411
500
Catalent
Pharma
Solutions
Inc,
144A
(3)
3.500%
4/01/30
B+
423,952
400
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp,
144A
5.375%
6/01/29
BB-
366,847
550
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp,
144A
4.750%
3/01/30
BB-
473,218
610
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp,
144A
4.500%
8/15/30
BB-
512,217
810
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp,
144A
4.250%
2/01/31
BB-
663,399
320
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp,
144A
4.750%
2/01/32
BB-
264,794
600
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp
4.500%
5/01/32
BB-
480,345
200
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp,
144A
4.500%
6/01/33
BB-
159,203
200
CCO
Holdings
LLC
/
CCO
Holdings
Capital
Corp,
144A
4.250%
1/15/34
BB-
152,348
210
CGG
SA,
144A
8.750%
4/01/27
B-
180,651
110
Charles
River
Laboratories
International
Inc,
144A
3.750%
3/15/29
BB
96,518
800
Chart
Industries
Inc,
144A
7.500%
1/01/30
B+
824,000
800
Chart
Industries
Inc,
144A
9.500%
1/01/31
B
847,000
710
Chemours
Co/The,
144A
5.750%
11/15/28
B+
631,035
420
Chemours
Co/The,
144A
4.625%
11/15/29
B+
345,909
300
CHS/Community
Health
Systems
Inc,
144A
8.000%
3/15/26
B-
297,283
800
CHS/Community
Health
Systems
Inc,
144A
5.625%
3/15/27
B
738,217
650
CHS/Community
Health
Systems
Inc,
144A
(3)
8.000%
12/15/27
B-
643,795
100
CHS/Community
Health
Systems
Inc,
144A
6.875%
4/01/28
CCC-
73,823
800
CHS/Community
Health
Systems
Inc,
144A
6.000%
1/15/29
B-
709,000
300
CHS/Community
Health
Systems
Inc,
144A
6.875%
4/15/29
CCC
221,982
300
CHS/Community
Health
Systems
Inc,
144A
6.125%
4/01/30
CCC
213,516
200
CHS/Community
Health
Systems
Inc,
144A
5.250%
5/15/30
B-
166,693
250
CHS/Community
Health
Systems
Inc,
144A
4.750%
2/15/31
B-
201,685
400
Cimpress
PLC
7.000%
6/15/26
CCC+
334,888
350
Cinemark
USA
Inc,
144A
(3)
5.250%
7/15/28
B
312,118
418
Clarivate
Science
Holdings
Corp,
144A
3.875%
7/01/28
B+
376,116
970
Clarivate
Science
Holdings
Corp,
144A
(3)
4.875%
7/01/29
CCC+
873,574
310
Clear
Channel
Outdoor
Holdings
Inc,
144A
5.125%
8/15/27
B
280,011
420
Clear
Channel
Outdoor
Holdings
Inc,
144A
(3)
7.750%
4/15/28
CCC
318,694
410
Clear
Channel
Outdoor
Holdings
Inc,
144A
(3)
7.500%
6/01/29
CCC
303,398
100
Cogent
Communications
Group
Inc,
144A
3.500%
5/01/26
BB-
92,970
262
Commscope
Inc,
144A
6.000%
3/01/26
B
250,232
490
Commscope
Inc,
144A
(3)
8.250%
3/01/27
CCC+
378,827
110
Commscope
Inc,
144A
(3)
7.125%
7/01/28
CCC+
78,925
355
Commscope
Inc,
144A
4.750%
9/01/29
B
286,679
260
Consensus
Cloud
Solutions
Inc,
144A
6.500%
10/15/28
B
227,500
100
Consolidated
Communications
Inc,
144A
6.500%
10/01/28
B-
78,000
190
Cornerstone
Building
Brands
Inc,
144A
6.125%
1/15/29
CCC+
142,975
300
Covanta
Holding
Corp,
144A
4.875%
12/01/29
B
267,000
100
Crestwood
Midstream
Partners
LP
/
Crestwood
Midstream
Finance
Corp,
144A
5.625%
5/01/27
BB
95,963
110
Crestwood
Midstream
Partners
LP
/
Crestwood
Midstream
Finance
Corp,
144A
6.000%
2/01/29
BB-
103,675
Nuveen
ESG
High
Yield
Corporate
Bond
ETF
(NUHY)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
12
Crowdstrike
Holdings
Inc
3.000%
2/15/29
BB-
$
10,438
150
Crown
Americas
LLC
/
Crown
Americas
Capital
Corp
VI
4.750%
2/01/26
BB
147,050
130
Darling
Ingredients
Inc,
144A
5.250%
4/15/27
BB+
127,387
760
DaVita
Inc,
144A
4.625%
6/01/30
B+
662,012
480
DaVita
Inc,
144A
3.750%
2/15/31
B+
386,532
100
Delta
Air
Lines
Inc
2.900%
10/28/24
BB+
96,452
100
Delta
Air
Lines
Inc
7.375%
1/15/26
BB+
105,397
200
Diamond
BC
BV,
144A
4.625%
10/01/29
CCC+
196,511
220
Diamond
Sports
Group
LLC
/
Diamond
Sports
Finance
Co,
144A
(4)
6.625%
8/15/27
N/R
6,600
318
Diebold
Nixdorf
Inc,
144A
(3)
9.375%
7/15/25
CCC
139,799
500
Directv
Financing
LLC
/
Directv
Financing
Co-Obligor
Inc,
144A
5.875%
8/15/27
BB
438,785
100
DT
Midstream
Inc,
144A
4.125%
6/15/29
BB+
88,625
141
DT
Midstream
Inc,
144A
4.375%
6/15/31
BB+
122,602
50
Dycom
Industries
Inc,
144A
4.500%
4/15/29
BB-
45,639
210
Edgewell
Personal
Care
Co,
144A
5.500%
6/01/28
BB-
200,975
50
Edgewell
Personal
Care
Co,
144A
4.125%
4/01/29
BB-
44,292
400
Elanco
Animal
Health
Inc
6.650%
8/28/28
B+
389,452
150
Elastic
NV,
144A
4.125%
7/15/29
B+
129,780
150
Encompass
Health
Corp
4.500%
2/01/28
B+
141,428
400
Encompass
Health
Corp
4.750%
2/01/30
B+
368,871
90
Energizer
Holdings
Inc,
144A
4.750%
6/15/28
B
80,936
150
EnLink
Midstream
LLC,
144A
5.625%
1/15/28
BB+
147,734
450
EQM
Midstream
Partners
LP,
144A
6.500%
7/01/27
BB-
438,754
300
EQM
Midstream
Partners
LP
5.500%
7/15/28
BB-
273,457
12
EQM
Midstream
Partners
LP,
144A
7.500%
6/01/30
BB-
11,648
100
Fair
Isaac
Corp,
144A
4.000%
6/15/28
BB
93,153
215
Gap
Inc/The,
144A
3.625%
10/01/29
B+
152,232
355
Gartner
Inc,
144A
4.500%
7/01/28
BB+
333,620
4
Gartner
Inc,
144A
3.625%
6/15/29
BB+
3,541
440
Gates
Global
LLC
/
Gates
Corp,
144A
6.250%
1/15/26
B-
435,600
150
Gen
Digital
Inc,
144A
6.750%
9/30/27
BB-
151,158
150
Gen
Digital
Inc,
144A
7.125%
9/30/30
BB-
150,676
110
Glatfelter
Corp,
144A
(3)
4.750%
11/15/29
B
78,314
200
Go
Daddy
Operating
Co
LLC
/
GD
Finance
Co
Inc,
144A
5.250%
12/01/27
BB-
192,097
140
Grand
Canyon
University
4.125%
10/01/24
BB+
133,056
350
Gray
Television
Inc,
144A
7.000%
5/15/27
B
283,399
100
Gray
Television
Inc,
144A
4.750%
10/15/30
B
64,598
30
Griffon
Corp
5.750%
3/01/28
B-
27,677
640
GrubHub
Holdings
Inc,
144A
5.500%
7/01/27
B-
467,200
750
Hawaiian
Brand
Intellectual
Property
Ltd
/
HawaiianMiles
Loyalty
Ltd,
144A
5.750%
1/20/26
B+
698,714
100
Herbalife
Nutrition
Ltd
/
HLF
Financing
Inc,
144A
7.875%
9/01/25
B+
95,698
1,010
Herc
Holdings
Inc,
144A
5.500%
7/15/27
B+
964,534
350
Hertz
Corp/The,
144A
4.625%
12/01/26
B+
315,231
90
Hertz
Corp/The,
144A
5.000%
12/01/29
B
73,631
200
Hilton
Domestic
Operating
Co
Inc,
144A
5.750%
5/01/28
BB
199,516
200
Hilton
Domestic
Operating
Co
Inc
3.750%
5/01/29
BB
180,272
60
Hilton
Domestic
Operating
Co
Inc
4.875%
1/15/30
BB
56,965
200
Hilton
Domestic
Operating
Co
Inc,
144A
4.000%
5/01/31
BB
176,895
310
Hilton
Grand
Vacations
Borrower
Escrow
LLC
/
Hilton
Grand
Vacations
Borrower
Esc,
144A
5.000%
6/01/29
B
280,572
208
Hilton
Grand
Vacations
Borrower
Escrow
LLC
/
Hilton
Grand
Vacations
Borrower
Esc,
144A
4.875%
7/01/31
B
181,963
100
HLF
Financing
Sarl
LLC
/
Herbalife
International
Inc,
144A
4.875%
6/01/29
B+
76,552
170
Hologic
Inc,
144A
3.250%
2/15/29
BB
152,800
100
Horizon
Therapeutics
USA
Inc,
144A
5.500%
8/01/27
B+
102,750
7
Howmet
Aerospace
Inc
6.875%
5/01/25
BB+
7,209
150
iHeartCommunications
Inc
6.375%
5/01/26
B+
128,675
300
iHeartCommunications
Inc
(3)
8.375%
5/01/27
B-
197,966
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
154
iHeartCommunications
Inc,
144A
5.250%
8/15/27
BB-
$
121,634
150
iHeartCommunications
Inc,
144A
4.750%
1/15/28
B+
116,754
250
II-VI
Inc,
144A
5.000%
12/15/29
B+
225,033
120
Ingevity
Corp,
144A
3.875%
11/01/28
BB-
105,307
1,550
Intelsat
Jackson
Holdings
SA,
144A
6.500%
3/15/30
B+
1,430,348
200
IQVIA
Inc,
144A
5.000%
5/15/27
BB-
195,136
120
Iron
Mountain
Inc,
144A
5.250%
3/15/28
BB-
115,423
100
Iron
Mountain
Inc,
144A
5.000%
7/15/28
BB-
94,122
390
Iron
Mountain
Inc,
144A
4.875%
9/15/29
BB-
355,707
111
Iron
Mountain
Inc,
144A
5.250%
7/15/30
BB-
102,234
160
Iron
Mountain
Information
Management
Services
Inc,
144A
5.000%
7/15/32
BB-
140,159
320
ITT
Holdings
LLC,
144A
6.500%
8/01/29
B
265,686
10
Lamar
Media
Corp
(3)
4.000%
2/15/30
BB-
8,971
150
Lamb
Weston
Holdings
Inc,
144A
4.875%
5/15/28
BB-
147,145
250
Level
3
Financing
Inc,
144A
4.250%
7/01/28
BB-
145,737
901
Level
3
Financing
Inc,
144A
10.500%
5/15/30
BB
863,009
300
Lions
Gate
Capital
Holdings
LLC,
144A
5.500%
4/15/29
B-
218,547
50
Lithia
Motors
Inc,
144A
3.875%
6/01/29
BB
43,281
100
Lumen
Technologies
Inc,
144A
4.000%
2/15/27
BB-
66,780
33
Macy's
Retail
Holdings
LLC,
144A
(3)
5.875%
4/01/29
BB+
30,229
460
Marriott
Ownership
Resorts
Inc,
144A
4.500%
6/15/29
B+
401,672
150
Masonite
International
Corp,
144A
5.375%
2/01/28
BB
144,375
160
Match
Group
Holdings
II
LLC,
144A
4.625%
6/01/28
BB-
147,600
160
Match
Group
Holdings
II
LLC,
144A
4.125%
8/01/30
BB-
136,757
160
Match
Group
Holdings
II
LLC,
144A
3.625%
10/01/31
BB-
130,704
160
Mattel
Inc,
144A
3.375%
4/01/26
BBB-
151,343
162
Mattel
Inc,
144A
3.750%
4/01/29
BBB-
146,214
120
Maxar
Technologies
Inc,
144A
7.750%
6/15/27
B
127,168
100
McGraw-Hill
Education
Inc,
144A
5.750%
8/01/28
B
88,822
140
McGraw-Hill
Education
Inc,
144A
8.000%
8/01/29
CCC
120,400
120
Mercer
International
Inc
5.125%
2/01/29
B+
100,208
64
Methanex
Corp
5.125%
10/15/27
BB+
61,144
150
Methanex
Corp
5.250%
12/15/29
BB+
140,758
130
Michaels
Cos
Inc/The,
144A
5.250%
5/01/28
B+
107,095
200
ModivCare
Inc,
144A
5.875%
11/15/25
B
191,104
123
MPH
Acquisition
Holdings
LLC,
144A
5.500%
9/01/28
BB-
94,027
50
Murphy
Oil
USA
Inc
4.750%
9/15/29
BB
46,375
100
Murphy
Oil
USA
Inc,
144A
3.750%
2/15/31
BB
85,544
50
NCL
Corp
Ltd,
144A
3.625%
12/15/24
CCC+
46,878
200
NCL
Corp
Ltd,
144A
5.875%
3/15/26
CCC+
172,273
200
NCL
Corp
Ltd,
144A
5.875%
2/15/27
B+
188,655
200
NCL
Corp
Ltd,
144A
8.375%
2/01/28
B+
201,196
310
NCL
Corp
Ltd,
144A
7.750%
2/15/29
CCC+
262,490
303
NCR
Corp,
144A
5.750%
9/01/27
B
297,333
481
NCR
Corp,
144A
5.000%
10/01/28
B
419,515
250
NCR
Corp,
144A
5.125%
4/15/29
B
216,250
3
NCR
Corp,
144A
6.125%
9/01/29
B
2,940
300
New
Fortress
Energy
Inc,
144A
6.750%
9/15/25
BB-
285,701
300
New
Fortress
Energy
Inc,
144A
6.500%
9/30/26
BB-
276,249
100
Newell
Brands
Inc
4.875%
6/01/25
BB+
97,307
250
Nexstar
Media
Inc,
144A
5.625%
7/15/27
B
234,795
688
Nexstar
Media
Inc,
144A
4.750%
11/01/28
B
604,688
100
Nissan
Motor
Acceptance
Co
LLC,
144A
2.000%
3/09/26
BBB-
88,126
100
Nissan
Motor
Acceptance
Co
LLC,
144A
2.750%
3/09/28
BBB-
83,211
200
Nissan
Motor
Co
Ltd,
144A
3.522%
9/17/25
BBB-
187,112
200
Nissan
Motor
Co
Ltd
4.345%
9/17/27
BBB-
183,281
200
Nissan
Motor
Co
Ltd,
144A
4.810%
9/17/30
BBB-
175,912
71
Nordstrom
Inc
4.375%
4/01/30
BB+
55,526
250
NuStar
Logistics
LP
5.750%
10/01/25
BB-
245,183
150
NuStar
Logistics
LP
6.000%
6/01/26
BB-
147,611
Nuveen
ESG
High
Yield
Corporate
Bond
ETF
(NUHY)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
150
NuStar
Logistics
LP
6.375%
10/01/30
BB-
$
144,452
60
ON
Semiconductor
Corp,
144A
3.875%
9/01/28
BB
54,004
200
Open
Text
Corp,
144A
3.875%
2/15/28
BB-
177,222
200
Open
Text
Holdings
Inc,
144A
4.125%
12/01/31
BB-
165,533
310
Option
Care
Health
Inc,
144A
4.375%
10/31/29
B-
278,734
700
ORGANON
&
CO/ORG,
144A
4.125%
4/30/28
BB
644,003
710
ORGANON
&
CO/ORG,
144A
5.125%
4/30/31
BB-
632,641
200
Outfront
Media
Capital
LLC
/
Outfront
Media
Capital
Corp,
144A
5.000%
8/15/27
B+
184,662
500
Outfront
Media
Capital
LLC
/
Outfront
Media
Capital
Corp,
144A
4.250%
1/15/29
B
428,252
100
Outfront
Media
Capital
LLC
/
Outfront
Media
Capital
Corp,
144A
4.625%
3/15/30
B
84,423
280
Owens
&
Minor
Inc,
144A
4.500%
3/31/29
B
224,568
20
Pactiv
Evergreen
Group
Issuer
Inc/Pactiv
Evergreen
Group
Issuer
LLC,
144A
4.375%
9/30/28
B+
17,612
120
Parkland
Corp,
144A
5.875%
7/15/27
BB-
116,852
391
Performance
Food
Group
Inc,
144A
5.500%
10/15/27
B
383,210
185
Performance
Food
Group
Inc,
144A
4.250%
8/01/29
BB-
168,415
100
Post
Holdings
Inc,
144A
5.625%
1/15/28
B
97,710
100
Post
Holdings
Inc,
144A
4.500%
9/15/31
B
87,508
250
PRA
Health
Sciences
Inc,
144A
2.875%
7/15/26
BB+
228,177
120
Prestige
Brands
Inc,
144A
3.750%
4/01/31
B+
101,707
200
Prime
Security
Services
Borrower
LLC
/
Prime
Finance
Inc,
144A
5.750%
4/15/26
BB-
198,493
1,350
Prime
Security
Services
Borrower
LLC
/
Prime
Finance
Inc,
144A
6.250%
1/15/28
B-
1,264,324
100
PTC
Inc,
144A
3.625%
2/15/25
BB-
96,438
100
PTC
Inc,
144A
4.000%
2/15/28
BB-
92,983
760
Rackspace
Technology
Global
Inc,
144A
3.500%
2/15/28
B+
315,400
210
Rackspace
Technology
Global
Inc,
144A
5.375%
12/01/28
CCC-
49,833
501
Rakuten
Group
Inc,
144A
5.125%
N/A
(5)
B
320,974
555
Rakuten
Group
Inc,
144A
6.250%
N/A
(5)
B
317,144
410
Realogy
Group
LLC
/
Realogy
Co-Issuer
Corp,
144A
5.750%
1/15/29
B
304,425
380
Rite
Aid
Corp,
144A
8.000%
11/15/26
CCC-
205,590
300
ROBLOX
Corp,
144A
3.875%
5/01/30
BB
253,260
350
Royal
Caribbean
Cruises
Ltd,
144A
11.500%
6/01/25
BB-
371,438
200
Royal
Caribbean
Cruises
Ltd,
144A
5.500%
8/31/26
B-
183,344
200
Royal
Caribbean
Cruises
Ltd,
144A
5.375%
7/15/27
B-
177,560
50
SABRE
GLBL
INC,
144A
9.250%
4/15/25
B-
46,125
840
SBA
Communications
Corp
3.875%
2/15/27
BB-
783,471
100
Scripps
Escrow
Inc,
144A
5.875%
7/15/27
B
71,713
260
Seagate
HDD
Cayman
4.091%
6/01/29
BB
225,430
8
Seagate
HDD
Cayman,
144A
9.625%
12/01/32
BB
8,553
580
SeaWorld
Parks
&
Entertainment
Inc,
144A
5.250%
8/15/29
B-
522,017
1,140
Select
Medical
Corp,
144A
6.250%
8/15/26
B-
1,116,555
220
Sensata
Technologies
BV,
144A
4.000%
4/15/29
BB-
198,812
100
Sensata
Technologies
Inc,
144A
3.750%
2/15/31
BB-
86,874
183
Service
Corp
International/US
5.125%
6/01/29
BB-
176,138
320
Service
Corp
International/US
4.000%
5/15/31
BB-
282,006
300
Sinclair
Television
Group
Inc,
144A
4.125%
12/01/30
BB-
238,602
235
Sirius
XM
Radio
Inc,
144A
3.125%
9/01/26
BB-
210,320
310
Sirius
XM
Radio
Inc,
144A
5.000%
8/01/27
BB-
285,139
92
Sirius
XM
Radio
Inc,
144A
4.000%
7/15/28
BB-
77,680
360
Sirius
XM
Radio
Inc,
144A
5.500%
7/01/29
BB-
320,663
300
Sirius
XM
Radio
Inc,
144A
4.125%
7/01/30
BB-
240,629
240
Sirius
XM
Radio
Inc,
144A
3.875%
9/01/31
BB-
181,361
380
Sotheby's,
144A
7.375%
10/15/27
B
356,262
100
Spectrum
Brands
Inc,
144A
3.875%
3/15/31
B
82,000
650
Spirit
AeroSystems
Inc,
144A
7.500%
4/15/25
B-
645,773
200
Spirit
Loyalty
Cayman
Ltd
/
Spirit
IP
Cayman
Ltd,
144A
8.000%
9/20/25
BB
201,872
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
150
SPX
FLOW
Inc,
144A
(3)
8.750%
4/01/30
CCC
$
125,639
10
SS&C
Technologies
Inc,
144A
5.500%
9/30/27
B
9,679
200
Stagwell
Global
LLC
5.625%
8/15/29
B
173,880
500
Studio
City
Finance
Ltd,
144A
6.000%
7/15/25
B+
459,765
200
Studio
City
Finance
Ltd,
144A
6.500%
1/15/28
B+
172,463
400
Studio
City
Finance
Ltd,
144A
5.000%
1/15/29
B+
313,040
300
Suburban
Propane
Partners
LP/Suburban
Energy
Finance
Corp,
144A
5.000%
6/01/31
BB-
262,695
100
Summit
Materials
LLC
/
Summit
Materials
Finance
Corp,
144A
5.250%
1/15/29
BB-
95,020
250
Sunoco
LP
/
Sunoco
Finance
Corp
6.000%
4/15/27
BB
248,631
200
Sunoco
LP
/
Sunoco
Finance
Corp
4.500%
5/15/29
BB
180,181
130
Superior
Plus
LP
/
Superior
General
Partner
Inc,
144A
4.500%
3/15/29
BB-
115,140
850
Syneos
Health
Inc,
144A
3.625%
1/15/29
B+
710,345
100
Tallgrass
Energy
Partners
LP
/
Tallgrass
Energy
Finance
Corp,
144A
6.000%
9/01/31
BB-
88,543
211
Taylor
Morrison
Communities
Inc,
144A
5.125%
8/01/30
BB-
197,856
190
TEGNA
Inc
5.000%
9/15/29
BB-
166,360
150
Teleflex
Inc,
144A
4.250%
6/01/28
BB-
140,618
100
Tempur
Sealy
International
Inc,
144A
4.000%
4/15/29
BB+
87,474
800
Tenet
Healthcare
Corp
4.875%
1/01/26
BB-
787,885
300
Tenet
Healthcare
Corp
6.250%
2/01/27
B+
298,511
551
Tenet
Healthcare
Corp
5.125%
11/01/27
BB-
534,622
230
Tenet
Healthcare
Corp
4.625%
6/15/28
BB-
217,956
600
Tenet
Healthcare
Corp
6.125%
10/01/28
B-
582,125
400
Tenet
Healthcare
Corp
4.250%
6/01/29
BB-
366,980
480
Tenet
Healthcare
Corp
4.375%
1/15/30
BB-
441,047
480
Terex
Corp,
144A
5.000%
5/15/29
B+
446,453
650
Thor
Industries
Inc,
144A
4.000%
10/15/29
B+
532,998
40
TopBuild
Corp,
144A
4.125%
2/15/32
BB
34,373
10
TransDigm
Inc
5.500%
11/15/27
B-
9,597
60
TransDigm
Inc
4.875%
5/01/29
B-
54,525
110
Transocean
Inc,
144A
11.500%
1/30/27
CCC+
112,583
100
Travel
+
Leisure
Co,
144A
6.625%
7/31/26
BB-
99,798
100
Travel
+
Leisure
Co,
144A
4.500%
12/01/29
BB-
87,256
290
TreeHouse
Foods
Inc
4.000%
9/01/28
CCC+
256,659
870
Trivium
Packaging
Finance
BV,
144A
5.500%
8/15/26
B
844,642
820
Trivium
Packaging
Finance
BV,
144A
(3)
8.500%
8/15/27
CCC
791,651
810
Tronox
Inc,
144A
4.625%
3/15/29
BB-
672,388
250
TTM
Technologies
Inc,
144A
4.000%
3/01/29
BB-
214,218
130
Twilio
Inc
3.875%
3/15/31
BB-
108,638
900
Uber
Technologies
Inc,
144A
7.500%
5/15/25
B
913,500
110
Uber
Technologies
Inc,
144A
8.000%
11/01/26
B
112,782
760
Uber
Technologies
Inc,
144A
7.500%
9/15/27
B
783,928
650
Uber
Technologies
Inc,
144A
(3)
6.250%
1/15/28
B
655,915
570
Uber
Technologies
Inc,
144A
4.500%
8/15/29
B
524,162
150
United
Natural
Foods
Inc,
144A
(3)
6.750%
10/15/28
B-
142,380
343
United
Rentals
North
America
Inc
5.250%
1/15/30
BB
331,752
99
United
Rentals
North
America
Inc
4.000%
7/15/30
BB
88,603
400
Uniti
Group
LP
/
Uniti
Group
Finance
Inc
/
CSL
Capital
LLC,
144A
10.500%
2/15/28
B
382,759
700
Uniti
Group
LP
/
Uniti
Group
Finance
Inc
/
CSL
Capital
LLC,
144A
4.750%
4/15/28
B
556,627
110
Univision
Communications
Inc,
144A
6.625%
6/01/27
B+
105,915
24
Univision
Communications
Inc,
144A
4.500%
5/01/29
B+
20,685
100
UPC
Holding
BV,
144A
5.500%
1/15/28
B
89,500
260
US
Foods
Inc,
144A
6.250%
4/15/25
B+
261,352
228
US
Foods
Inc,
144A
4.750%
2/15/29
B-
212,082
100
US
Foods
Inc,
144A
(3)
4.625%
6/01/30
B-
91,451
250
Vail
Resorts
Inc,
144A
6.250%
5/15/25
BB-
251,875
210
Valvoline
Inc,
144A
(3)
4.250%
2/15/30
B+
205,779
Nuveen
ESG
High
Yield
Corporate
Bond
ETF
(NUHY)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Part
F
of
Form
N-PORT
was
prepared
in
accordance
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission
(“SEC”)
related
to
interim
filings.
Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report
pursuant
to
the
rules
of
the
SEC.
For
a
full
set
of
the
Fund’s
notes
to
financial
statements,
please
refer
to
the
Fund’s
most
recently
filed
annual
or
semi-annual
report.
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
200
Valvoline
Inc,
144A
3.625%
6/15/31
B+
$
166,071
100
Viasat
Inc,
144A
5.625%
4/15/27
BB
92,750
308
Victoria's
Secret
&
Co,
144A
(3)
4.625%
7/15/29
B+
249,107
100
Videotron
Ltd,
144A
5.125%
4/15/27
BB
96,500
150
Videotron
Ltd,
144A
3.625%
6/15/29
BB
129,705
10
Virgin
Media
Finance
PLC,
144A
5.000%
7/15/30
B
8,427
450
Vodafone
Group
PLC
7.000%
4/04/79
BB+
461,250
145
Vodafone
Group
PLC
4.125%
6/04/81
BB+
117,305
1,300
VZ
Secured
Financing
BV,
144A
5.000%
1/15/32
B+
1,084,874
610
Weatherford
International
Ltd,
144A
6.500%
9/15/28
BB-
610,000
1,000
Weatherford
International
Ltd,
144A
8.625%
4/30/30
B-
1,018,620
521
WESCO
Distribution
Inc,
144A
7.250%
6/15/28
BB
534,790
150
Williams
Scotsman
International
Inc,
144A
6.125%
6/15/25
B
149,256
140
Williams
Scotsman
International
Inc,
144A
4.625%
8/15/28
B
128,549
1,010
Windstream
Escrow
LLC
/
Windstream
Escrow
Finance
Corp,
144A
7.750%
8/15/28
B-
831,865
350
WMG
Acquisition
Corp,
144A
3.875%
7/15/30
BB
308,875
51
WMG
Acquisition
Corp,
144A
(3)
3.000%
2/15/31
BB
41,739
140
Wyndham
Hotels
&
Resorts
Inc,
144A
4.375%
8/15/28
BB-
130,171
310
Xerox
Holdings
Corp,
144A
5.500%
8/15/28
BB
267,214
326
Yum!
Brands
Inc,
144A
4.750%
1/15/30
BB-
315,347
310
Zayo
Group
Holdings
Inc,
144A
(3)
6.125%
3/01/28
CCC
198,174
910
Ziggo
BV,
144A
4.875%
1/15/30
B+
783,447
180
ZipRecruiter
Inc,
144A
5.000%
1/15/30
BB-
157,207
200
ZoomInfo
Technologies
LLC/ZoomInfo
Finance
Corp,
144A
(3)
3.875%
2/01/29
B+
172,446
Total
Industrial
90,164,380
Utility
-
1.2%
10
Calpine
Corp,
144A
5.000%
2/01/31
B+
8,425
200
Clearway
Energy
Operating
LLC,
144A
4.750%
3/15/28
BB
189,535
110
Clearway
Energy
Operating
LLC,
144A
3.750%
2/15/31
BB
94,111
150
Edison
International
8.125%
6/15/53
BB+
154,313
750
Enviva
Partners
LP
/
Enviva
Partners
Finance
Corp,
144A
(3)
6.500%
1/15/26
B+
639,373
100
NextEra
Energy
Operating
Partners
LP,
144A
4.250%
7/15/24
BB+
98,498
11
TerraForm
Power
Operating
LLC,
144A
4.750%
1/15/30
BB-
10,202
Total
Utility
1,194,457
Total
Corporate
Debt
(cost
$110,590,885)
100,946,040
Total
Long-Term
Investments
(cost
$110,590,885)
100,946,040
Shares
Description
(1)
Coupon
Value
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
-
5.7%
X
5,889,078
MONEY
MARKET
FUNDS
-
5.7%
X
5,889,078
5,889,078
State
Street
Navigator
Securities
Lending
Government
Money
Market
Portfolio
(6)
4.840%(7)
$
5,889,078
Total
Money
Market
Funds
(cost
$5,889,078)
$
5,889,078
Total
Investments
Purchased
with
Collateral
from
Securities
Lending
(cost
$5,889,078)
5,889,078
Total
Investments
(cost
$
116,479,963
)
-
103
.5
%
106,835,118
Other
Assets
&
Liabilities,
Net
-
(3.5)%
(
3,575,889
)
Net
Assets
-
100%
$
103,259,229
Fair
Value
Measurements
The
Fund’s
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Directors/
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels.
Level
1
–
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
–
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
–
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
The
following
table
summarizes
the
market
value
of
the
Fund's
investments
as
of
the
end
of
the
reporting
period,
based
on
the
inputs
used
to
value
them:
Level
1
Level
2
Level
3
Total
Long-Term
Investments:
Corporate
Debt
$
–
$
100,946,040
$
–
$
100,946,040
Investments
Purchased
with
Collateral
from
Securities
Lending
5,889,078
–
–
5,889,078
Total
$
5,889,078
$
100,946,040
$
–
$
106,835,118
For
Fund
portfolio
compliance
purposes,
the
Fund’s
industry
classifications
refer
to
any
one
or
more
of
the
industry
sub-classifications
used
by
one
or
more
widely
recognized
market
indexes
or
ratings
group
indexes,
and/or
as
defined
by
Fund
management.
This
definition
may
not
apply
for
purposes
of
this
report,
which
may
combine
industry
sub-classifications
into
sectors
for
reporting
ease.
(1)
All
percentages
shown
in
the
Portfolio
of
Investments
are
based
on
net
assets.
(2)
The
Fund
uses
credit
quality
ratings
for
its
portfolio
securities
provided
by
Moody’s,
S&P
and
Fitch.
If
all
three
of
Moody’s,
S&P,
and
Fitch
provide
a
rating
for
a
security,
the
middle
is
used;
if
two
of
the
three
agencies
rate
a
security,
the
lower
rating
is
used;
and
if
only
one
rating
agency
rates
a
security,
that
rating
is
used.
AAA,
AA,
A,
and
BBB
are
investment
grade
ratings;
BB,
B,
CCC/CC/C
and
D
are
below-investment
grade
ratings.
Credit
ratings
are
subject
to
change.
Holdings
designated
N/R
are
not
rated
by
Moody’s,
S&P
or
Fitch.
(3)
Investment,
or
a
portion
of
investment,
is
out
on
loan
for
securities
lending.
The
total
value
of
the
securities
out
on
loan
as
of
the
end
of
the
reporting
period
was
$5,613,394.
(4)
Defaulted
security.
A
security
whose
issuer
has
failed
to
fully
pay
principal
and/or
interest
when
due,
or
is
under
the
protection
of
bankruptcy.
(5)
Perpetual
security.
Maturity
date
is
not
applicable.
(6)
The
Fund
may
loan
securities
representing
up
to
one
third
of
the
market
value
of
its
total
assets
(which
includes
collateral
for
securities
on
loan)
to
broker
dealers,
banks,
and
other
institutions.
The
collateral
maintained
by
the
Fund
shall
have
a
market
value,
at
the
inception
of
each
loan,
equal
to
not
less
than
100%
of
the
market
value
of
the
loaned
securities.
The
cash
collateral
received
by
the
Fund
is
invested
in
this
money
market
fund.
(7)
The
rate
shown
is
the
one-day
yield
as
of
the
end
of
the
reporting
period.
144A
Investment
is
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933,
as
amended.
These
investments
may
only
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
PIK
Payment-in-kind
(“PIK”)
security. Depending
on
the
terms
of
the
security,
income
may
be
received
in
the
form
of
cash,
securities,
or
a
combination
of
both. The
PIK
rate
shown,
where
applicable,
represents
the
annualized
rate
of
the
last
PIK
payment
made
by
the
issuer
as
of
the
end
of
the
reporting
period.
REIT
Real
Estate
Investment
Trust
Nuveen
ESG
U.S.
Aggregate
Bond
ETF
(NUBD)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
LONG-TERM
INVESTMENTS
-
99.1%
X
114,469,208
U.S.
TREASURY
-
41.3%
X
114,469,208
$
900
United
States
Treasury
Note/Bond
0.500%
11/30/23
AAA
$
877,219
1,346
United
States
Treasury
Note/Bond
2.875%
11/30/23
AAA
1,330,805
100
United
States
Treasury
Note/Bond
0.750%
12/31/23
AAA
97,270
1,211
United
States
Treasury
Note/Bond
2.500%
1/31/24
AAA
1,189,524
1,814
United
States
Treasury
Note/Bond
2.250%
4/30/24
AAA
1,768,012
4,672
United
States
Treasury
Note/Bond
2.000%
5/31/24
AAA
4,536,768
800
United
States
Treasury
Note/Bond
3.000%
7/31/24
AAA
784,719
262
United
States
Treasury
Note/Bond
1.250%
8/31/24
AAA
250,988
3,090
United
States
Treasury
Note/Bond
2.125%
9/30/24
AAA
2,993,920
1,454
United
States
Treasury
Note/Bond
2.125%
11/30/24
AAA
1,405,893
300
United
States
Treasury
Note/Bond
4.250%
12/31/24
AAA
299,859
600
United
States
Treasury
Note/Bond
1.125%
1/15/25
AAA
569,461
2,824
United
States
Treasury
Note/Bond
1.375%
1/31/25
AAA
2,691,073
600
United
States
Treasury
Note/Bond
4.625%
2/28/25
AAA
604,969
1,200
United
States
Treasury
Note/Bond
3.875%
3/31/25
AAA
1,195,125
1,500
United
States
Treasury
Note/Bond
0.250%
5/31/25
AAA
1,387,910
950
United
States
Treasury
Note/Bond
0.250%
8/31/25
AAA
872,998
3,900
United
States
Treasury
Note/Bond
0.250%
9/30/25
AAA
3,580,687
800
United
States
Treasury
Note/Bond
0.250%
10/31/25
AAA
731,813
1,820
United
States
Treasury
Note/Bond
0.375%
11/30/25
AAA
1,666,722
1,300
United
States
Treasury
Note/Bond
0.375%
12/31/25
AAA
1,189,652
3,500
United
States
Treasury
Note/Bond
0.375%
1/31/26
AAA
3,190,332
500
United
States
Treasury
Note/Bond
0.500%
2/28/26
AAA
456,445
1,900
United
States
Treasury
Note/Bond
0.750%
3/31/26
AAA
1,746,367
3,200
United
States
Treasury
Note/Bond
0.750%
4/30/26
AAA
2,931,500
700
United
States
Treasury
Note/Bond
0.750%
5/31/26
AAA
639,816
1,700
United
States
Treasury
Note/Bond
0.875%
6/30/26
AAA
1,558,688
1,100
United
States
Treasury
Note/Bond
0.625%
7/31/26
AAA
997,648
1,450
United
States
Treasury
Note/Bond
0.750%
8/31/26
AAA
1,317,744
2,600
United
States
Treasury
Note/Bond
0.875%
9/30/26
AAA
2,369,758
900
United
States
Treasury
Note/Bond
1.125%
10/31/26
AAA
825,469
1,600
United
States
Treasury
Note/Bond
1.250%
11/30/26
AAA
1,472,125
1,100
United
States
Treasury
Note/Bond
1.250%
12/31/26
AAA
1,010,539
1,750
United
States
Treasury
Note/Bond
1.875%
2/28/27
AAA
1,641,445
500
United
States
Treasury
Note/Bond
2.500%
3/31/27
AAA
479,805
2,000
United
States
Treasury
Note/Bond
2.625%
5/31/27
AAA
1,926,563
900
United
States
Treasury
Note/Bond
0.500%
6/30/27
AAA
793,652
2,500
United
States
Treasury
Note/Bond
3.250%
6/30/27
AAA
2,467,090
1,000
United
States
Treasury
Note/Bond
2.750%
7/31/27
AAA
967,461
2,186
United
States
Treasury
Note/Bond
2.250%
8/15/27
AAA
2,072,601
100
United
States
Treasury
Note/Bond
4.125%
9/30/27
AAA
102,262
1,600
United
States
Treasury
Note/Bond
4.125%
10/31/27
AAA
1,637,125
888
United
States
Treasury
Note/Bond
2.250%
11/15/27
AAA
839,819
320
United
States
Treasury
Note/Bond
0.625%
11/30/27
AAA
280,750
1,600
United
States
Treasury
Note/Bond
3.875%
11/30/27
AAA
1,623,125
3,798
United
States
Treasury
Note/Bond
3.875%
12/31/27
AAA
3,852,745
1,500
United
States
Treasury
Note/Bond
3.500%
1/31/28
AAA
1,498,301
2,344
United
States
Treasury
Note/Bond
2.750%
2/15/28
AAA
2,263,791
1,200
United
States
Treasury
Note/Bond
4.000%
2/29/28
AAA
1,226,438
3,200
United
States
Treasury
Note/Bond
3.625%
3/31/28
AAA
3,217,250
650
United
States
Treasury
Note/Bond
1.375%
10/31/28
AAA
580,455
300
United
States
Treasury
Note/Bond
1.750%
1/31/29
AAA
272,402
1,470
United
States
Treasury
Note/Bond
2.375%
5/15/29
AAA
1,379,159
514
United
States
Treasury
Note/Bond
1.625%
8/15/29
AAA
461,034
1,000
United
States
Treasury
Note/Bond
3.875%
12/31/29
AAA
1,022,422
100
United
States
Treasury
Note/Bond
0.625%
5/15/30
AAA
82,488
1,000
United
States
Treasury
Note/Bond
1.875%
2/15/32
AAA
883,789
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
$
3,050
United
States
Treasury
Note/Bond
2.875%
5/15/32
AAA
$
2,919,184
1,150
United
States
Treasury
Note/Bond
2.750%
8/15/32
AAA
1,088,367
1,650
United
States
Treasury
Note/Bond
4.125%
11/15/32
AAA
1,741,523
2,100
United
States
Treasury
Note/Bond
3.500%
2/15/33
AAA
2,112,469
200
United
States
Treasury
Note/Bond
1.125%
8/15/40
AAA
132,922
1,300
United
States
Treasury
Note/Bond
1.875%
2/15/41
AAA
976,574
500
United
States
Treasury
Note/Bond
2.250%
5/15/41
AAA
398,691
1,050
United
States
Treasury
Note/Bond
1.750%
8/15/41
AAA
763,752
198
United
States
Treasury
Note/Bond
2.000%
11/15/41
AAA
150,024
1,400
United
States
Treasury
Note/Bond
2.375%
2/15/42
AAA
1,129,898
3,900
United
States
Treasury
Note/Bond
3.250%
5/15/42
AAA
3,611,309
1,964
United
States
Treasury
Note/Bond
2.750%
8/15/42
AAA
1,679,757
500
United
States
Treasury
Note/Bond
3.375%
8/15/42
AAA
470,859
135
United
States
Treasury
Note/Bond
2.750%
11/15/42
AAA
115,103
998
United
States
Treasury
Note/Bond
4.000%
11/15/42
AAA
1,027,940
1,200
United
States
Treasury
Note/Bond
3.875%
2/15/43
AAA
1,212,750
4,221
United
States
Treasury
Note/Bond
2.750%
8/15/47
AAA
3,514,312
1,850
United
States
Treasury
Note/Bond
1.250%
5/15/50
AAA
1,078,420
700
United
States
Treasury
Note/Bond
1.375%
8/15/50
AAA
421,121
200
United
States
Treasury
Note/Bond
1.625%
11/15/50
AAA
128,539
3,800
United
States
Treasury
Note/Bond
1.875%
2/15/51
AAA
2,600,477
1,100
United
States
Treasury
Note/Bond
2.375%
5/15/51
AAA
845,840
160
United
States
Treasury
Note/Bond
1.875%
11/15/51
AAA
109,012
1,300
United
States
Treasury
Note/Bond
2.250%
2/15/52
AAA
970,074
1,350
United
States
Treasury
Note/Bond
2.875%
5/15/52
AAA
1,155,199
550
United
States
Treasury
Note/Bond
3.000%
8/15/52
AAA
483,141
1,300
United
States
Treasury
Note/Bond
3.625%
2/15/53
AAA
1,289,031
1,250
United
States
Treasury
Note/Bond
-
When
Issued
2.750%
4/30/27
AAA
1,210,254
949
United
States
Treasury
Note/Bond
-
When
Issued
4.000%
11/15/52
AAA
1,007,571
10
Israel
Government
AID
Bond
5.500%
9/18/33
AAA
11,305
Total
U.S.
Treasury
(cost
$124,362,946)
114,469,208
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
X
77,301,770
SECURITIZED
-
27.9%
X
77,301,770
$
50
AmeriCredit
Automobile
Receivables
Trust
2021-2
2021
2
1.010%
1/19/27
A+
$
45,873
20
BA
Credit
Card
Trust
2021
A1
0.440%
9/15/26
AAA
19,117
200
Bank
2019-BNK19
2019
BN19
2.926%
8/15/61
AAA
176,274
100
BANK
2021-BNK34
2021
BN34
1.935%
6/15/63
AAA
90,483
100
BANK
2021-BNK35
2021
BN35
2.067%
6/15/64
AAA
86,389
500
BBCMS
Mortgage
Trust
2020-C6
2020
C6
2.690%
2/15/53
AAA
464,768
200
Benchmark
2021-B24
Mortgage
Trust
2021
B24
2.264%
3/15/54
AAA
166,322
100
Benchmark
2021-B27
Mortgage
Trust
2021
B27
2.703%
7/15/54
A-
68,512
100
Benchmark
2021-B28
Mortgage
Trust
2021
B28
2.073%
8/15/54
AAA
85,958
100
Capital
One
Multi-Asset
Execution
Trust
2022
A2
3.490%
5/15/27
AAA
97,987
100
CarMax
Auto
Owner
Trust
2022
1
1.700%
8/16/27
AAA
93,191
17
Carmax
Auto
Owner
Trust
2020-1
2020
1
1.890%
12/16/24
AAA
16,786
75
Carvana
Auto
Receivables
Trust
2022-N1
2022
N1,
144A
4.130%
12/11/28
BBB
70,895
100
Citibank
Credit
Card
Issuance
Trust
2018
A3
3.290%
5/23/25
AAA
99,911
180
Citigroup
Commercial
Mortgage
Trust
2016-C1
2016
C1
3.209%
5/10/49
AAA
169,513
500
COMM
2015-LC19
Mortgage
Trust
2015
LC19
3.183%
2/10/48
AAA
479,152
100
Discover
Card
Execution
Note
Trust
2021
A1
0.580%
9/15/26
AAA
94,111
100
Exeter
Automobile
Receivables
Trust
2022-1
2022
1A
2.180%
6/15/26
AAA
98,260
244
Fannie
Mae
Pool
FN
MA2941
3.500%
3/01/32
N/R
238,029
72
Fannie
Mae
Pool
FN
MA3392
3.500%
6/01/33
N/R
70,445
155
Fannie
Mae
Pool
FN
MA3490
4.000%
10/01/33
N/R
153,489
57
Fannie
Mae
Pool
FN
MA3828
3.000%
11/01/34
N/R
54,527
113
Fannie
Mae
Pool
FN
MA3865
3.000%
12/01/34
N/R
108,121
137
Fannie
Mae
Pool
FN
MA3957
3.500%
3/01/35
N/R
132,929
605
Fannie
Mae
Pool
FN
MA4074
2.000%
7/01/35
N/R
547,218
541
Fannie
Mae
Pool
FN
MA4123
2.000%
9/01/35
N/R
489,351
530
Fannie
Mae
Pool
FN
MA4180
2.500%
11/01/35
N/R
493,468
Nuveen
ESG
U.S.
Aggregate
Bond
ETF
(NUBD)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
$
523
Fannie
Mae
Pool
FN
MA4278
1.500%
3/01/36
N/R
$
460,347
625
Fannie
Mae
Pool
FN
MA4298
2.500%
3/01/36
N/R
583,633
155
Fannie
Mae
Pool
FN
MA4302
1.500%
4/01/36
N/R
136,283
70
Fannie
Mae
Pool
FN
MA4316
2021
MTGE
2.500%
4/01/36
N/R
65,332
179
Fannie
Mae
Pool
FN
MA4330
2.500%
5/01/36
N/R
167,067
322
Fannie
Mae
Pool
FN
MA4359
1.500%
6/01/36
N/R
282,937
74
Fannie
Mae
Pool
FN
MA4361
2021
MTGE
2.500%
6/01/36
N/R
68,433
164
Fannie
Mae
Pool
FN
MA4402
1.500%
8/01/36
N/R
144,210
304
Fannie
Mae
Pool
FN
MA4516
2.000%
1/01/37
N/R
274,270
1,200
Fannie
Mae
Pool
FN
MA4536
2.000%
2/01/37
N/R
1,082,974
121
Fannie
Mae
Pool
FN
MA3890
3.000%
1/01/40
N/R
112,480
758
Fannie
Mae
Pool
FN
MA4268
2.000%
2/01/41
N/R
646,376
126
Fannie
Mae
Pool
FN
MA4310
1.500%
4/01/41
N/R
103,462
578
Fannie
Mae
Pool
FN
MA4334
2.500%
5/01/41
N/R
516,419
87
Fannie
Mae
Pool
FN
MA4364
2.000%
6/01/41
N/R
74,170
81
Fannie
Mae
Pool
FN
MA4366
2.500%
6/01/41
N/R
72,037
253
Fannie
Mae
Pool
FN
MA4387
2.000%
7/01/41
N/R
218,202
341
Fannie
Mae
Pool
FN
MA4423
2.500%
9/01/41
N/R
304,613
832
Fannie
Mae
Pool
FN
MA3143
3.000%
9/01/47
N/R
759,700
312
Fannie
Mae
Pool
FN
MA3120
3.500%
9/01/47
N/R
294,151
54
Fannie
Mae
Pool
FN
MA3182
3.500%
11/01/47
N/R
50,661
181
Fannie
Mae
Pool
FN
MA3358
4.500%
5/01/48
N/R
178,173
2,454
Fannie
Mae
Pool
FN
FM5665
3.500%
8/01/48
N/R
2,313,267
103
Fannie
Mae
Pool
FN
MA3536
4.000%
12/01/48
N/R
99,737
174
Fannie
Mae
Pool
FN
MA3574
3.500%
1/01/49
N/R
163,739
1,640
Fannie
Mae
Pool
FN
FM5488
4.000%
5/01/49
N/R
1,592,684
1,012
Fannie
Mae
Pool
FN
MA3774
3.000%
9/01/49
N/R
918,333
682
Fannie
Mae
Pool
FN
MA3905
3.000%
1/01/50
N/R
617,874
2,105
Fannie
Mae
Pool
FN
MA4182
2.000%
11/01/50
N/R
1,757,723
1,356
Fannie
Mae
Pool
FN
MA4208
2.000%
12/01/50
N/R
1,131,922
856
Fannie
Mae
Pool
FN
MA4254
1.500%
2/01/51
N/R
675,604
933
Fannie
Mae
Pool
FN
MA4255
2.000%
2/01/51
N/R
778,301
350
Fannie
Mae
Pool
FN
MA4304
1.500%
4/01/51
N/R
276,402
2,377
Fannie
Mae
Pool
FN
MA4305
2.000%
4/01/51
NR
1,982,805
88
Fannie
Mae
Pool
FN
MA4337
4.000%
4/01/51
N/R
84,925
859
Fannie
Mae
Pool
FN
MA4325
2.000%
5/01/51
N/R
716,880
326
Fannie
Mae
Pool
FN
MA4327
3.000%
5/01/51
N/R
293,747
1,832
Fannie
Mae
Pool
FN
MA4355
2021
MTGE
2.000%
6/01/51
N/R
1,527,960
645
Fannie
Mae
Pool
FN
MA4357
3.000%
6/01/51
N/R
581,264
181
Fannie
Mae
Pool
FN
MA4377
1.500%
7/01/51
N/R
142,429
265
Fannie
Mae
Pool
FN
MA4378
2.000%
7/01/51
N/R
220,614
457
Fannie
Mae
Pool
FN
MA4397
1.500%
8/01/51
N/R
360,731
1,381
Fannie
Mae
Pool
FN
MA4398
2.000%
8/01/51
N/R
1,151,595
1,000
Fannie
Mae
Pool
FN
MA4437
2021
MA4437
2.000%
10/01/51
N/R
833,172
344
Fannie
Mae
Pool
FN
MA4439
3.000%
10/01/51
N/R
310,054
367
Fannie
Mae
Pool
FN
MA4465
2.000%
11/01/51
N/R
305,503
1,490
Fannie
Mae
Pool
FN
MA4511
2021
2021
2.000%
12/01/51
N/R
1,240,065
7,399
Fannie
Mae
Pool
FN
MA4493
2.500%
12/01/51
N/R
6,411,857
874
Fannie
Mae
Pool
FN
MA4512
2.500%
1/01/52
N/R
756,717
486
Fannie
Mae
Pool
FN
MA4513
2021
2021
3.000%
1/01/52
N/R
437,805
1,485
Fannie
Mae
Pool
FN
MA4549
3.000%
2/01/52
N/R
1,334,655
1,015
Fannie
Mae
Pool
FN
MA4562
,
(WI/DD,
Settling
5/11/23)
2.000%
3/01/52
AAA
844,655
3,149
Fannie
Mae
Pool
FN
MA4563
,
(WI/DD,
Settling
5/11/23)
2.500%
3/01/52
N/R
2,727,553
907
Fannie
Mae
Pool
FN
MA4565
3.500%
3/01/52
N/R
842,986
472
Fannie
Mae
Pool
FN
MA4579
3.000%
4/01/52
N/R
424,045
657
Fannie
Mae
Pool
FN
MA4644
2022
1
4.000%
5/01/52
NR
628,399
287
Fannie
Mae
Pool
FN
MA4625
2022
1
3.500%
6/01/52
AAA
266,314
939
Fannie
Mae
Pool
FN
MA4684
4.500%
6/01/52
N/R
917,631
418
Fannie
Mae
Pool
FN
MA4686
5.000%
6/01/52
AAA
415,849
335
Fannie
Mae
Pool
FN
MA4655
4.000%
7/01/52
NR
320,513
385
Fannie
Mae
Pool
FN
MA4700
2022
1
4.000%
7/01/52
AAA
368,580
759
Fannie
Mae
Pool
FN
MA4656
4.500%
7/01/52
AAA
742,377
572
Fannie
Mae
Pool
FN
MA4701
2022
1
4.500%
7/01/52
AAA
558,720
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
$
374
Fannie
Mae
Pool
FN
MA4709
5.000%
7/01/52
AAA
$
371,529
1,041
Fannie
Mae
Pool
FN
MA4737
5.000%
8/01/52
NR
1,035,249
1,033
Fannie
Mae
Pool
FN
MA4738
5.500%
8/01/52
AAA
1,041,683
387
Fannie
Mae
Pool
FN
MA4732
4.000%
9/01/52
NR
370,091
490
Fannie
Mae
Pool
FN
MA4782
,
(WI/DD,
Settling
5/11/23)
3.500%
10/01/52
AAA
454,974
292
Fannie
Mae
Pool
FN
MA4783
,
(WI/DD,
Settling
5/11/23)
4.000%
10/01/52
AAA
279,428
383
Fannie
Mae
Pool
FN
MA4807
5.500%
11/01/52
AAA
386,155
662
Fannie
Mae
Pool
FN
MA4847
6.000%
11/01/52
AAA
675,424
284
Fannie
Mae
Pool
FN
MA4852
6.500%
11/01/52
AAA
293,790
484
Fannie
Mae
Pool
FN
MA4842
2022
1
5.500%
12/01/52
AAA
487,696
1,060
Fannie
Mae
Pool
FN
MA4894
6.000%
1/01/53
AAA
1,079,706
763
Fannie
Mae
Pool
FN
MA4895
6.500%
1/01/53
AAA
787,033
300
Fannie
Mae
Pool
FN
MA5008
,
(WI/DD,
Settling
5/11/23)
4.500%
5/01/53
AAA
293,272
200
Fannie
Mae
Pool
FN
MA5009
,
(WI/DD,
Settling
5/11/23)
5.000%
5/01/53
AAA
198,872
300
Fannie
Mae
Pool
FN
MA5012
,
(WI/DD,
Settling
5/11/23)
6.500%
5/01/53
AAA
309,612
184
Fannie
Mae-Aces
2018
M7
3.130%
3/25/28
N/R
174,348
250
Fannie
Mae-Aces
2018
M10
3.469%
7/25/28
N/R
241,849
100
Ford
Credit
Auto
Owner
Trust
2022-A
2022
A
1.290%
6/15/26
AAA
95,889
792
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2019
K735
2.862%
5/25/26
N/R
760,482
100
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2021
K742
0.861%
6/25/27
AAA
91,063
62
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2021
K742
1.760%
3/25/28
AAA
55,718
100
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2021
K743
1.770%
5/25/28
AAA
89,487
323
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2019
K094
2.701%
4/25/29
N/R
310,057
96
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2021
K125
1.101%
8/25/30
AAA
84,693
98
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2021
K127
1.353%
11/25/30
AAA
87,004
100
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2021
K129
1.647%
5/25/31
N/R
82,633
99
Freddie
Mac
Multifamily
Structured
Pass
Through
Certificates
2021
1520
2.007%
7/25/35
N/R
83,232
482
Ginnie
Mae
II
Pool
G2
MA3663
3.500%
5/20/46
N/R
458,923
61
Ginnie
Mae
II
Pool
G2
MA5264
4.000%
6/20/48
N/R
59,498
70
Ginnie
Mae
II
Pool
G2
MA5398
4.000%
8/20/48
N/R
68,321
433
Ginnie
Mae
II
Pool
G2
MA6038
3.000%
7/20/49
N/R
398,959
200
Ginnie
Mae
II
Pool
G2
MA6283
3.000%
11/20/49
N/R
184,596
784
Ginnie
Mae
II
Pool
G2
MA6338
3.000%
12/20/49
AAA
722,022
154
Ginnie
Mae
II
Pool
G2
MA6542
3.500%
3/20/50
AAA
146,834
80
Ginnie
Mae
II
Pool
G2
MA6600
3.500%
4/20/50
AAA
75,851
80
Ginnie
Mae
II
Pool
G2
MA6820
3.000%
8/20/50
AAA
73,663
762
Ginnie
Mae
II
Pool
G2
MA6864
2.000%
9/20/50
AAA
657,469
689
Ginnie
Mae
II
Pool
G2
MA6865
2.500%
9/20/50
AAA
612,047
83
Ginnie
Mae
II
Pool
G2
MA6931
2.500%
10/20/50
AAA
73,755
277
Ginnie
Mae
II
Pool
G2
MA6995
2.500%
11/20/50
AAA
245,407
486
Ginnie
Mae
II
Pool
G2
MA7051
2020
GNMA
II
2.000%
12/20/50
AAA
419,060
243
Ginnie
Mae
II
Pool
G2
MA7054
3.500%
12/20/50
AAA
230,484
458
Ginnie
Mae
II
Pool
G2
MA7136
2.500%
1/20/51
N/R
406,030
522
Ginnie
Mae
II
Pool
G2
MA7312
2021
MTGE
2.500%
4/20/51
AAA
462,698
577
Ginnie
Mae
II
Pool
G2
MA7367
2.500%
5/20/51
AAA
511,230
834
Ginnie
Mae
II
Pool
G2
MA7472
2.500%
7/20/51
AAA
736,790
824
Ginnie
Mae
II
Pool
G2
MA7704
2.000%
11/20/51
AAA
706,670
277
Ginnie
Mae
II
Pool
G2
MA7826
2.000%
1/20/52
AAA
236,816
183
Ginnie
Mae
II
Pool
G2
MA7827
2.500%
1/20/52
AAA
161,726
1,539
Ginnie
Mae
II
Pool
G2
MA7882
3.000%
2/20/52
AAA
1,404,179
471
Ginnie
Mae
II
Pool
G2
MA7935
,
(WI/DD,
Settling
5/18/23)
2.000%
3/20/52
AAA
402,877
464
Ginnie
Mae
II
Pool
G2
MA7937
3.000%
3/20/52
AAA
423,865
851
Ginnie
Mae
II
Pool
G2
MA7938
3.500%
3/20/52
AAA
798,543
481
Ginnie
Mae
II
Pool
G2
MA8046
4.500%
5/20/52
AAA
472,205
Nuveen
ESG
U.S.
Aggregate
Bond
ETF
(NUBD)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
$
821
Ginnie
Mae
II
Pool
G2
MA8100
4.000%
6/20/52
AAA
$
789,412
241
Ginnie
Mae
II
Pool
G2
MA8101
4.500%
6/20/52
AAA
236,616
478
Ginnie
Mae
II
Pool
G2
MA8102
5.000%
6/20/52
AAA
476,309
485
Ginnie
Mae
II
Pool
G2
MA8151
4.500%
7/20/52
AAA
476,494
196
Ginnie
Mae
II
Pool
G2
MA8200
4.000%
8/20/52
AAA
187,980
196
Ginnie
Mae
II
Pool
G2
MA8201
4.500%
8/20/52
AAA
191,969
195
Ginnie
Mae
II
Pool
G2
MA8202
5.000%
8/20/52
AAA
194,452
196
Ginnie
Mae
II
Pool
G2
MA8266
,
(WI/DD,
Settling
5/18/23)
3.500%
9/20/52
AAA
183,994
197
Ginnie
Mae
II
Pool
G2
MA8349
5.500%
10/20/52
AAA
198,545
197
Ginnie
Mae
II
Pool
G2
MA8428
5.000%
11/20/52
NR
196,617
198
Ginnie
Mae
II
Pool
G2
MA8430
6.000%
11/20/52
AAA
200,644
495
Ginnie
Mae
II
Pool
G2
MA8491
5.500%
12/20/52
AAA
498,775
198
Ginnie
Mae
II
Pool
G2
MA8492
6.000%
12/20/52
AAA
201,178
496
Ginnie
Mae
II
Pool
G2
MA8571
,
(WI/DD,
Settling
5/18/23)
6.000%
1/20/53
AAA
504,093
297
Ginnie
Mae
II
Pool
G2
MA8572
,
(WI/DD,
Settling
5/18/23)
6.500%
1/20/53
AAA
304,757
200
Ginnie
Mae
II
Pool
G2
MA8801
,
(WI/DD,
Settling
5/18/23)
5.500%
4/20/53
AAA
201,396
200
Ginnie
Mae
II
Pool
G2
MA8876
,
(WI/DD,
Settling
5/18/23)
4.000%
5/20/53
AAA
192,183
100
GM
Financial
Automobile
Leasing
Trust
2021-2
2021
2
0.690%
5/20/25
AA+
97,039
50
GM
Financial
Consumer
Automobile
Receivables
Trust
2022-1
2022
1
1.260%
11/16/26
AAA
47,670
200
GS
Mortgage
Securities
Trust
2019-GC38
2019
GC38
3.968%
2/10/52
AAA
189,700
73
Honda
Auto
Receivables
2021-2
Owner
Trust
2021
2
0.330%
8/15/25
AAA
70,379
50
John
Deere
Owner
Trust
2021
B
0.740%
5/15/28
AAA
46,424
100
Morgan
Stanley
Capital
I
Trust
2021-L5
2021
L5
1.518%
5/15/54
AAA
88,150
79
Santander
Drive
Auto
Receivables
Trust
2021-2
2021
2
0.900%
6/15/26
AA
77,684
100
Toyota
Auto
Receivables
2021-B
Owner
Trust
2021
B
0.530%
10/15/26
AAA
92,350
90
Verizon
Master
Trust
2021
1
0.500%
5/20/27
AAA
85,597
160
Wells
Fargo
Commercial
Mortgage
Trust
2016-C32
2016
C32
3.324%
1/15/59
AAA
155,854
300
Wells
Fargo
Commercial
Mortgage
Trust
2019-C49
2019
C49
3.760%
3/15/52
AAA
281,457
83
World
Omni
Auto
Receivables
Trust
2021-B
2021
B
0.420%
6/15/26
AAA
79,570
Total
Securitized
(cost
$86,913,148)
77,301,770
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
X
69,449,265
CORPORATE
DEBT
-
25.0%
X
69,449,265
Financials
-
8.1%
$
180
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
2.450%
10/29/26
BBB
$
161,396
150
AerCap
Ireland
Capital
DAC
/
AerCap
Global
Aviation
Trust
3.300%
1/30/32
BBB
122,861
100
Aflac
Inc
3.600%
4/01/30
A-
94,274
190
Air
Lease
Corp
2.875%
1/15/26
BBB
177,516
10
Air
Lease
Corp
3.125%
12/01/30
BBB
8,519
100
Alexandria
Real
Estate
Equities
Inc
3.375%
8/15/31
BBB+
87,703
100
Alexandria
Real
Estate
Equities
Inc
2.950%
3/15/34
BBB+
80,919
81
Allstate
Corp/The
4.500%
6/15/43
A-
73,041
10
Ally
Financial
Inc
(3)
5.800%
5/01/25
BBB-
9,913
82
Ally
Financial
Inc
8.000%
11/01/31
BBB-
86,495
10
Ally
Financial
Inc
(3)
8.000%
11/01/31
BBB-
10,580
40
American
Express
Co
2.250%
3/04/25
A
38,088
100
American
Express
Co
4.990%
5/01/26
A
99,963
200
American
Express
Co
1.650%
11/04/26
A
181,353
120
American
International
Group
Inc
3.400%
6/30/30
BBB+
108,486
100
Arthur
J
Gallagher
&
Co
3.050%
3/09/52
BBB
65,538
42
Assurant
Inc
2.650%
1/15/32
BBB
32,038
10
Australia
&
New
Zealand
Banking
Group
Ltd/New
York
NY
3.700%
11/16/25
AA-
9,749
40
Banco
Bilbao
Vizcaya
Argentaria
SA
0.875%
9/18/23
A-
39,236
260
Banco
Santander
SA
4.175%
3/24/28
A-
247,193
100
Bank
of
America
Corp
3.841%
4/25/25
A
98,204
100
Bank
of
America
Corp
3.384%
4/02/26
A
96,429
100
Bank
of
America
Corp
5.080%
1/20/27
A
99,809
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Financials
(continued)
$
200
Bank
of
America
Corp
1.734%
7/22/27
A
$
179,180
250
Bank
of
America
Corp
2.087%
6/14/29
A
216,038
150
Bank
of
America
Corp
4.271%
7/23/29
A
143,765
600
Bank
of
America
Corp
3.974%
2/07/30
A
561,380
200
Bank
of
America
Corp
2.592%
4/29/31
A
169,420
250
Bank
of
America
Corp
2.651%
3/11/32
A
208,353
100
Bank
of
America
Corp
2.299%
7/21/32
A
80,674
122
Bank
of
America
Corp
3.311%
4/22/42
A
93,937
200
Bank
of
America
Corp
2.972%
7/21/52
A
136,471
100
Bank
of
Montreal
1.500%
1/10/25
A
94,187
100
Bank
of
Montreal
2.650%
3/08/27
A
92,853
38
Bank
of
Montreal
3.803%
12/15/32
BBB+
34,373
100
Bank
of
New
York
Mellon
Corp/The
0.850%
10/25/24
A+
93,950
100
Bank
of
New
York
Mellon
Corp/The
2.800%
5/04/26
A+
95,490
100
Bank
of
New
York
Mellon
Corp/The
2.050%
1/26/27
A+
91,002
100
Bank
of
Nova
Scotia/The
3.450%
4/11/25
A
97,024
100
Bank
of
Nova
Scotia/The
1.350%
6/24/26
A
89,912
300
Barclays
PLC
4.836%
5/09/28
BBB+
284,628
200
Barclays
PLC
7.385%
11/02/28
BBB+
212,975
40
BlackRock
Inc
3.250%
4/30/29
AA-
38,327
10
BlackRock
Inc
2.400%
4/30/30
AA-
8,865
152
Boston
Properties
LP
2.900%
3/15/30
BBB+
123,533
30
BPCE
SA
4.000%
4/15/24
A+
29,528
20
Brandywine
Operating
Partnership
LP
3.950%
11/15/27
BBB-
15,274
50
Brixmor
Operating
Partnership
LP
4.125%
6/15/26
BBB-
47,462
110
Brookfield
Finance
I
UK
Plc
/
Brookfield
Finance
Inc
2.340%
1/30/32
A-
89,665
20
Brookfield
Finance
Inc
3.900%
1/25/28
A-
18,851
40
Camden
Property
Trust
2.800%
5/15/30
A-
34,841
130
Canadian
Imperial
Bank
of
Commerce
1.000%
10/18/24
A
122,650
200
Capital
One
Financial
Corp
5.468%
2/01/29
BBB+
196,769
30
Cboe
Global
Markets
Inc
3.000%
3/16/32
A-
26,331
100
Charles
Schwab
Corp/The
3.200%
3/02/27
A
92,925
100
Charles
Schwab
Corp/The
2.000%
3/20/28
A
87,287
109
Chubb
Corp/The
6.000%
5/11/37
A
121,428
40
Citigroup
Inc
0.981%
5/01/25
A-
38,090
100
Citigroup
Inc
3.290%
3/17/26
A-
96,486
948
Citigroup
Inc
3.980%
3/20/30
A-
889,397
100
Citigroup
Inc
2.561%
5/01/32
A-
83,016
100
Citigroup
Inc
2.520%
11/03/32
A-
81,857
100
Citizens
Financial
Group
Inc
2.638%
9/30/32
BBB
74,455
100
CME
Group
Inc
2.650%
3/15/32
AA-
87,689
60
CME
Group
Inc
5.300%
9/15/43
AA-
63,496
200
Cooperatieve
Rabobank
UA
3.750%
7/21/26
BBB+
188,243
100
Corporate
Office
Properties
LP
2.000%
1/15/29
BBB-
77,261
270
Credit
Suisse
AG/New
York
NY
2.950%
4/09/25
A
251,371
240
Deutsche
Bank
AG/New
York
NY
1.447%
4/01/25
BBB
226,242
100
Digital
Realty
Trust
LP
5.550%
1/15/28
BBB
100,351
100
Discover
Financial
Services
6.700%
11/29/32
BBB
105,808
70
Elevance
Health
Inc
3.650%
12/01/27
BBB
67,955
100
Elevance
Health
Inc
2.250%
5/15/30
BBB
85,982
100
Elevance
Health
Inc
4.650%
1/15/43
BBB
94,042
100
Elevance
Health
Inc
4.550%
5/15/52
BBB
90,738
10
Equitable
Holdings
Inc
7.000%
4/01/28
BBB+
10,859
50
Equitable
Holdings
Inc
4.350%
4/20/28
BBB+
48,177
42
Equitable
Holdings
Inc
5.000%
4/20/48
BBB+
36,351
86
ERP
Operating
LP
2.500%
2/15/30
A-
74,646
50
Federal
Realty
Investment
Trust
3.500%
6/01/30
BBB+
44,491
132
Fifth
Third
Bancorp
1.707%
11/01/27
BBB+
114,514
30
First
American
Financial
Corp
2.400%
8/15/31
BBB
23,316
30
Franklin
Resources
Inc
1.600%
10/30/30
A
23,908
Nuveen
ESG
U.S.
Aggregate
Bond
ETF
(NUBD)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Financials
(continued)
$
50
GATX
Corp
4.700%
4/01/29
BBB
$
49,155
100
GATX
Corp
3.500%
6/01/32
BBB
88,722
100
Goldman
Sachs
Group
Inc/The
3.850%
7/08/24
A
98,348
200
Goldman
Sachs
Group
Inc/The
1.948%
10/21/27
A
179,098
300
Goldman
Sachs
Group
Inc/The
3.800%
3/15/30
A
281,730
582
Goldman
Sachs
Group
Inc/The
2.383%
7/21/32
A
475,440
200
Goldman
Sachs
Group
Inc/The
2.650%
10/21/32
A
166,427
100
Hartford
Financial
Services
Group
Inc/The
2.900%
9/15/51
BBB+
66,115
100
Healthpeak
OP
LLC
2.125%
12/01/28
BBB+
86,700
50
Healthpeak
OP
LLC
3.500%
7/15/29
BBB+
46,333
50
Host
Hotels
&
Resorts
LP
4.500%
2/01/26
BBB-
48,836
175
HSBC
Holdings
PLC
0.976%
5/24/25
A-
165,554
200
HSBC
Holdings
PLC
7.336%
11/03/26
A-
209,720
200
HSBC
Holdings
PLC
2.013%
9/22/28
A-
174,071
450
HSBC
Holdings
PLC
2.804%
5/24/32
A-
368,458
100
Humana
Inc
3.700%
3/23/29
BBB
94,653
50
Humana
Inc
4.875%
4/01/30
BBB
50,150
100
Humana
Inc
2.150%
2/03/32
BBB
81,084
100
Huntington
Bancshares
Inc/OH
2.625%
8/06/24
BBB+
95,044
100
ING
Groep
NV
3.950%
3/29/27
A-
96,041
50
ING
Groep
NV
4.050%
4/09/29
A-
47,790
54
Intercontinental
Exchange
Inc
3.750%
9/21/28
A-
52,197
100
Intercontinental
Exchange
Inc
4.600%
3/15/33
A-
99,865
50
Intercontinental
Exchange
Inc
4.250%
9/21/48
A-
44,067
20
Invesco
Finance
PLC
3.750%
1/15/26
A-
19,439
110
JPMorgan
Chase
&
Co
0.824%
6/01/25
A+
104,510
100
JPMorgan
Chase
&
Co
3.845%
6/14/25
A+
98,177
100
JPMorgan
Chase
&
Co
2.595%
2/24/26
A+
95,205
100
JPMorgan
Chase
&
Co
4.080%
4/26/26
A+
98,266
100
JPMorgan
Chase
&
Co
1.470%
9/22/27
A+
89,045
190
JPMorgan
Chase
&
Co
3.702%
5/06/30
A+
177,226
210
JPMorgan
Chase
&
Co
2.739%
10/15/30
A+
184,213
648
JPMorgan
Chase
&
Co
4.493%
3/24/31
A+
631,317
110
JPMorgan
Chase
&
Co
2.545%
11/08/32
A+
91,557
140
JPMorgan
Chase
&
Co
3.157%
4/22/42
A+
106,839
250
JPMorgan
Chase
&
Co
3.328%
4/22/52
A+
186,661
20
KeyBank
NA/Cleveland
OH
6.950%
2/01/28
BBB+
20,356
90
KeyCorp
2.250%
4/06/27
BBB+
78,479
40
Kilroy
Realty
LP
4.750%
12/15/28
BBB
35,418
100
Kimco
Realty
OP
LLC
2.250%
12/01/31
BBB+
78,641
20
Legg
Mason
Inc
4.750%
3/15/26
A
19,817
60
Lincoln
National
Corp
3.050%
1/15/30
BBB+
48,998
10
Lincoln
National
Corp
3.400%
3/01/32
BBB+
7,878
20
Lincoln
National
Corp
(3)
4.375%
6/15/50
BBB+
14,207
40
Lloyds
Banking
Group
PLC
4.500%
11/04/24
BBB+
39,080
210
Lloyds
Banking
Group
PLC
2.438%
2/05/26
A-
198,555
20
Lloyds
Banking
Group
PLC
4.550%
8/16/28
A-
19,287
30
Manulife
Financial
Corp
5.375%
3/04/46
A-
30,220
150
Marsh
&
McLennan
Cos
Inc
2.250%
11/15/30
A-
128,069
10
Marsh
&
McLennan
Cos
Inc
4.350%
1/30/47
A-
8,763
200
Mitsubishi
UFJ
Financial
Group
Inc
2.757%
9/13/26
A-
185,664
250
Mitsubishi
UFJ
Financial
Group
Inc
1.538%
7/20/27
A-
222,427
64
Mitsubishi
UFJ
Financial
Group
Inc
3.961%
3/02/28
A-
61,629
200
Mitsubishi
UFJ
Financial
Group
Inc
5.441%
2/22/34
A-
203,101
150
Mizuho
Financial
Group
Inc
2.651%
5/22/26
A-
141,536
10
Mizuho
Financial
Group
Inc
3.663%
2/28/27
A-
9,569
100
Mizuho
Financial
Group
Inc
2.869%
9/13/30
A-
86,805
20
Morgan
Stanley
0.790%
5/30/25
A
18,934
40
Morgan
Stanley
4.350%
9/08/26
BBB+
39,124
170
Morgan
Stanley
4.210%
4/20/28
A+
164,810
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Financials
(continued)
$
727
Morgan
Stanley
3.772%
1/24/29
A+
$
688,957
100
Morgan
Stanley
5.123%
2/01/29
A+
100,490
291
Morgan
Stanley
4.431%
1/23/30
A+
281,153
110
Morgan
Stanley
3.622%
4/01/31
A
100,613
170
Morgan
Stanley
2.239%
7/21/32
A+
137,223
100
Morgan
Stanley
2.484%
9/16/36
BBB+
76,861
250
National
Australia
Bank
Ltd/New
York
(3)
4.966%
1/12/26
AA-
253,054
50
National
Australia
Bank
Ltd/New
York
3.375%
1/14/26
AA-
48,624
100
NatWest
Group
PLC
5.076%
1/27/30
A-
98,555
30
Nomura
Holdings
Inc
2.648%
1/16/25
BBB+
28,459
120
Nomura
Holdings
Inc
2.172%
7/14/28
BBB+
101,068
42
Northern
Trust
Corp
3.950%
10/30/25
A
40,952
20
Northern
Trust
Corp
3.150%
5/03/29
A+
18,684
30
ORIX
Corp
3.700%
7/18/27
A-
28,698
10
PNC
Bank
NA
3.300%
10/30/24
A
9,637
10
PNC
Bank
NA
3.100%
10/25/27
A
9,372
90
PNC
Bank
NA
4.050%
7/26/28
A-
85,595
20
PNC
Bank
NA
(3)
2.700%
10/22/29
A-
17,308
124
PNC
Financial
Services
Group
Inc/The
3.900%
4/29/24
A-
121,713
54
Principal
Financial
Group
Inc
3.700%
5/15/29
A-
51,253
34
Progressive
Corp/The
3.200%
3/26/30
A
31,362
20
Progressive
Corp/The
(3)
3.000%
3/15/32
A
17,995
30
Progressive
Corp/The
4.200%
3/15/48
A
26,378
91
Prologis
LP
3.875%
9/15/28
A-
88,439
50
Prologis
LP
2.875%
11/15/29
A-
44,990
10
Prologis
LP
4.375%
9/15/48
A-
8,890
100
Prologis
LP
5.250%
6/15/53
A-
100,074
31
Prudential
Financial
Inc
1.500%
3/10/26
A-
28,528
60
Prudential
Financial
Inc
3.000%
3/10/40
A-
45,751
10
Prudential
Financial
Inc
(3)
4.500%
9/15/47
BBB+
9,236
113
Prudential
Financial
Inc
3.905%
12/07/47
A-
91,640
100
Prudential
Funding
Asia
PLC
3.625%
3/24/32
A
91,251
130
Realty
Income
Corp
2.200%
6/15/28
A-
116,481
10
Regions
Financial
Corp
1.800%
8/12/28
BBB+
8,316
20
Regions
Financial
Corp
7.375%
12/10/37
BBB+
21,480
20
Reinsurance
Group
of
America
Inc
3.950%
9/15/26
BBB+
19,375
19
Reinsurance
Group
of
America
Inc
3.900%
5/15/29
BBB+
17,869
100
Royal
Bank
of
Canada
3.375%
4/14/25
A+
97,222
100
Royal
Bank
of
Canada
1.200%
4/27/26
A+
91,022
100
Royal
Bank
of
Canada
1.150%
7/14/26
A+
90,029
100
Santander
Holdings
USA
Inc
4.260%
6/09/25
BBB+
96,726
100
Santander
Holdings
USA
Inc
2.490%
1/06/28
BBB+
87,698
200
Simon
Property
Group
LP
5.500%
3/08/33
A-
203,576
100
State
Street
Corp
1.746%
2/06/26
A+
94,148
100
State
Street
Corp
(3)
2.400%
1/24/30
A+
87,039
50
Sumitomo
Mitsui
Financial
Group
Inc
2.632%
7/14/26
A-
46,722
330
Sumitomo
Mitsui
Financial
Group
Inc
3.364%
7/12/27
A-
313,882
110
Sumitomo
Mitsui
Financial
Group
Inc
2.750%
1/15/30
A-
95,930
10
Sumitomo
Mitsui
Financial
Group
Inc
1.710%
1/12/31
A-
7,889
112
Synchrony
Financial
4.875%
6/13/25
BBB-
105,830
212
Toronto-Dominion
Bank/The
1.200%
6/03/26
A+
189,180
30
Toronto-Dominion
Bank/The
3.625%
9/15/31
A-
28,352
92
Travelers
Cos
Inc/The
4.600%
8/01/43
A
86,414
10
Travelers
Cos
Inc/The
3.750%
5/15/46
A
8,166
51
Truist
Bank
3.625%
9/16/25
A
48,250
200
Truist
Financial
Corp
3.700%
6/05/25
A-
192,658
50
Truist
Financial
Corp
1.887%
6/07/29
A-
42,327
100
UnitedHealth
Group
Inc
4.000%
5/15/29
A
98,358
100
UnitedHealth
Group
Inc
5.300%
2/15/30
A
105,558
100
UnitedHealth
Group
Inc
4.200%
5/15/32
A
98,052
Nuveen
ESG
U.S.
Aggregate
Bond
ETF
(NUBD)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Financials
(continued)
$
100
UnitedHealth
Group
Inc
5.350%
2/15/33
A
$
106,644
311
UnitedHealth
Group
Inc
4.750%
5/15/52
A
302,296
250
US
Bank
NA/Cincinnati
OH
2.800%
1/27/25
AA-
239,827
21
Ventas
Realty
LP
3.850%
4/01/27
BBB+
19,979
10
Ventas
Realty
LP
4.400%
1/15/29
BBB+
9,542
10
Ventas
Realty
LP
3.000%
1/15/30
BBB+
8,676
54
Ventas
Realty
LP
4.750%
11/15/30
BBB+
52,036
9
Voya
Financial
Inc
4.800%
6/15/46
BBB
7,627
40
Voya
Financial
Inc
4.700%
1/23/48
BBB-
33,703
108
Welltower
OP
LLC
4.125%
3/15/29
BBB+
101,202
50
Westpac
Banking
Corp
1.953%
11/20/28
AA-
43,903
100
Westpac
Banking
Corp
2.150%
6/03/31
AA-
85,325
166
Westpac
Banking
Corp
4.322%
11/23/31
BBB+
157,190
10
Willis
North
America
Inc
3.600%
5/15/24
BBB
9,802
50
Willis
North
America
Inc
2.950%
9/15/29
BBB
44,264
20
Zions
Bancorp
NA
3.250%
10/29/29
BBB
14,765
Total
Financials
22,664,945
Industrial
-
14.7%
20
3M
Co
(3)
3.375%
3/01/29
A
19,157
118
3M
Co
2.375%
8/26/29
A
105,618
70
3M
Co
(3)
3.050%
4/15/30
A
64,630
20
ABB
Finance
USA
Inc
3.800%
4/03/28
A-
19,848
44
Adobe
Inc
1.900%
2/01/25
A
42,191
18
Adobe
Inc
2.150%
2/01/27
A
16,758
40
Advance
Auto
Parts
Inc
3.500%
3/15/32
BBB-
34,497
60
Agilent
Technologies
Inc
2.100%
6/04/30
BBB+
50,404
99
Air
Products
and
Chemicals
Inc
1.850%
5/15/27
A
90,936
100
Albemarle
Corp
(3)
4.650%
6/01/27
BBB
98,818
150
Alibaba
Group
Holding
Ltd
4.500%
11/28/34
A+
141,995
100
Amazon.com
Inc
4.550%
12/01/27
AA-
101,820
100
Amazon.com
Inc
4.650%
12/01/29
AA-
102,373
100
Amazon.com
Inc
4.700%
12/01/32
AA-
102,843
300
Amazon.com
Inc
4.800%
12/05/34
AA-
311,447
100
Amazon.com
Inc
3.950%
4/13/52
AA-
88,050
10
Amcor
Finance
USA
Inc
4.500%
5/15/28
BBB
9,882
50
Amcor
Flexibles
North
America
Inc
2.630%
6/19/30
BBB
42,232
50
American
Honda
Finance
Corp
2.150%
9/10/24
A-
48,309
100
American
Honda
Finance
Corp
1.500%
1/13/25
A-
94,967
10
American
Tower
Corp
4.000%
6/01/25
BBB-
9,821
100
American
Tower
Corp
(3)
1.500%
1/31/28
BBB-
86,028
70
American
Tower
Corp
(3)
2.900%
1/15/30
BBB-
61,732
100
American
Tower
Corp
(3)
4.050%
3/15/32
BBB-
92,730
100
Amgen
Inc
5.150%
3/02/28
BBB+
102,351
100
Amgen
Inc
(3)
3.000%
2/22/29
BBB+
92,829
138
Amgen
Inc
2.300%
2/25/31
BBB+
116,918
100
Amgen
Inc
2.000%
1/15/32
BBB+
81,039
20
Amgen
Inc
5.750%
3/15/40
BBB+
20,600
100
Amgen
Inc
5.600%
3/02/43
BBB+
102,900
200
Amgen
Inc
4.400%
5/01/45
BBB+
176,492
50
Amphenol
Corp
4.350%
6/01/29
BBB+
49,778
100
Analog
Devices
Inc
1.700%
10/01/28
A
88,095
10
Applied
Materials
Inc
3.900%
10/01/25
A
9,895
52
Applied
Materials
Inc
5.100%
10/01/35
A
54,657
50
Applied
Materials
Inc
4.350%
4/01/47
A
47,310
50
Aptiv
PLC
4.350%
3/15/29
BBB
48,537
52
Aptiv
PLC
/
Aptiv
Corp
4.150%
5/01/52
BBB
40,256
10
Archer-Daniels-Midland
Co
3.250%
3/27/30
A
9,396
120
Archer-Daniels-Midland
Co
2.700%
9/15/51
A
83,817
100
Arrow
Electronics
Inc
6.125%
3/01/26
BBB-
100,073
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
100
Astrazeneca
Finance
LLC
1.200%
5/28/26
A-
$
91,519
49
AstraZeneca
PLC
1.375%
8/06/30
A-
40,272
175
AstraZeneca
PLC
6.450%
9/15/37
A-
207,283
10
AstraZeneca
PLC
4.375%
11/16/45
A-
9,592
100
AT&T
Inc
5.539%
2/20/26
BBB
100,119
600
AT&T
Inc
4.850%
3/01/39
BBB
563,022
200
AT&T
Inc
6.375%
3/01/41
BBB
216,669
100
Autodesk
Inc
2.400%
12/15/31
BBB
83,870
100
Automatic
Data
Processing
Inc
1.700%
5/15/28
AA-
89,483
70
AutoNation
Inc
1.950%
8/01/28
BBB-
58,264
100
AutoZone
Inc
4.500%
2/01/28
BBB
99,784
50
Avery
Dennison
Corp
2.250%
2/15/32
BBB
40,233
20
Avnet
Inc
4.625%
4/15/26
BBB-
19,693
105
Baker
Hughes
Holdings
LLC
/
Baker
Hughes
Co-Obligor
Inc
3.138%
11/07/29
A-
95,378
180
Baxalta
Inc
4.000%
6/23/25
BBB
176,790
60
Baxter
International
Inc
1.730%
4/01/31
BBB
47,234
100
Baxter
International
Inc
2.539%
2/01/32
BBB
82,354
100
Becton
Dickinson
&
Co
4.693%
2/13/28
BBB
101,159
12
Bell
Telephone
Co
of
Canada
or
Bell
Canada/The
2.150%
2/15/32
BBB+
9,918
80
Bell
Telephone
Co
of
Canada
or
Bell
Canada/The
3.650%
3/17/51
BBB+
62,831
100
Berry
Global
Inc,
144A
5.500%
4/15/28
BBB-
100,058
20
Biogen
Inc
2.250%
5/01/30
BBB
17,019
40
Block
Financial
LLC
2.500%
7/15/28
BBB-
34,566
50
Booking
Holdings
Inc
3.600%
6/01/26
A-
48,881
62
BorgWarner
Inc
(3)
2.650%
7/01/27
BBB+
57,494
90
Bristol-Myers
Squibb
Co
1.450%
11/13/30
A
73,828
260
Bristol-Myers
Squibb
Co
4.125%
6/15/39
A
243,635
70
British
Telecommunications
PLC
9.625%
12/15/30
BBB
88,119
212
Broadcom
Inc,
144A
4.150%
4/15/32
BBB-
193,650
385
Broadcom
Inc
4.300%
11/15/32
BBB-
353,007
100
Broadridge
Financial
Solutions
Inc
2.600%
5/01/31
BBB+
83,900
100
Brunswick
Corp/DE
(3)
4.400%
9/15/32
BBB
88,445
30
Bunge
Ltd
Finance
Corp
3.250%
8/15/26
BBB
28,626
10
Bunge
Ltd
Finance
Corp
3.750%
9/25/27
BBB
9,640
50
Bunge
Ltd
Finance
Corp
2.750%
5/14/31
BBB
42,912
10
Campbell
Soup
Co
3.300%
3/19/25
BBB
9,721
110
Campbell
Soup
Co
(3)
2.375%
4/24/30
BBB
94,699
50
Canadian
National
Railway
Co
6.375%
11/15/37
A
57,987
30
Canadian
National
Railway
Co
3.650%
2/03/48
A
25,068
10
Canadian
National
Railway
Co
4.450%
1/20/49
A
9,459
100
Canadian
Pacific
Railway
Co
2.450%
12/02/31
BBB
89,220
70
Canadian
Pacific
Railway
Co
4.300%
5/15/43
BBB
62,636
120
Cardinal
Health
Inc
4.500%
11/15/44
BBB
103,163
40
Carlisle
Cos
Inc
3.500%
12/01/24
BBB
38,948
20
Carlisle
Cos
Inc
2.200%
3/01/32
BBB
15,836
172
Carrier
Global
Corp
3.377%
4/05/40
BBB-
133,925
100
Caterpillar
Financial
Services
Corp
0.600%
9/13/24
A
94,858
50
Caterpillar
Financial
Services
Corp
3.250%
12/01/24
A
48,916
112
Caterpillar
Financial
Services
Corp
3.400%
5/13/25
A
109,821
10
Caterpillar
Financial
Services
Corp
0.800%
11/13/25
A
9,143
100
Caterpillar
Inc
3.803%
8/15/42
A
89,714
20
CBRE
Services
Inc
4.875%
3/01/26
BBB+
20,015
112
CDW
LLC
/
CDW
Finance
Corp
2.670%
12/01/26
BBB-
101,729
100
Celanese
US
Holdings
LLC
1.400%
8/05/26
BBB-
87,677
50
Celulosa
Arauco
y
Constitucion
SA
3.875%
11/02/27
BBB-
46,702
10
Celulosa
Arauco
y
Constitucion
SA
5.500%
11/02/47
BBB-
8,928
50
Cheniere
Corpus
Christi
Holdings
LLC
5.875%
3/31/25
BBB-
50,394
62
Cheniere
Corpus
Christi
Holdings
LLC
5.125%
6/30/27
BBB-
62,276
40
Church
&
Dwight
Co
Inc
3.150%
8/01/27
BBB+
38,512
100
Church
&
Dwight
Co
Inc
5.000%
6/15/52
BBB+
100,267
Nuveen
ESG
U.S.
Aggregate
Bond
ETF
(NUBD)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
70
Cigna
Group/The
4.500%
2/25/26
BBB+
$
69,827
300
Cigna
Group/The
3.050%
10/15/27
BBB+
282,567
50
Cigna
Group/The
4.800%
8/15/38
BBB+
48,515
100
Cintas
Corp
No
2
3.450%
5/01/25
A-
97,651
100
Cintas
Corp
No
2
3.700%
4/01/27
A-
97,899
188
Cisco
Systems
Inc
2.500%
9/20/26
A+
178,956
100
Clorox
Co/The
4.400%
5/01/29
BBB+
99,395
50
CNH
Industrial
NV
3.850%
11/15/27
BBB
48,040
85
Coca-Cola
Co/The
(3)
1.450%
6/01/27
A+
77,300
50
Coca-Cola
Co/The
1.000%
3/15/28
A+
43,671
160
Coca-Cola
Co/The
1.650%
6/01/30
A+
135,825
100
Coca-Cola
Co/The
3.000%
3/05/51
A+
78,475
40
Coca-Cola
Co/The
(3)
2.750%
6/01/60
A+
29,043
90
Coca-Cola
Femsa
SAB
de
CV
1.850%
9/01/32
A-
71,963
100
Colgate-Palmolive
Co
3.250%
8/15/32
AA-
93,825
200
Comcast
Corp
3.300%
4/01/27
A-
192,771
200
Comcast
Corp
3.400%
4/01/30
A-
187,495
200
Comcast
Corp
1.500%
2/15/31
A-
161,708
100
Comcast
Corp
5.500%
11/15/32
A-
107,173
300
Comcast
Corp
3.750%
4/01/40
A-
258,918
300
Comcast
Corp
2.987%
11/01/63
A-
194,249
10
Conagra
Brands
Inc
4.600%
11/01/25
BBB-
9,933
130
Conagra
Brands
Inc
8.250%
9/15/30
BBB-
152,032
50
Corning
Inc
5.350%
11/15/48
BBB+
49,685
10
Corning
Inc
3.900%
11/15/49
BBB+
7,770
10
Corning
Inc
4.375%
11/15/57
BBB+
8,467
100
Costco
Wholesale
Corp
1.375%
6/20/27
A+
90,288
40
Crown
Castle
Inc
4.300%
2/15/29
BBB
38,936
214
Crown
Castle
Inc
3.300%
7/01/30
BBB
193,160
100
Crown
Castle
Inc
2.500%
7/15/31
BBB-
83,908
155
CSX
Corp
4.250%
3/15/29
BBB+
153,736
10
CSX
Corp
6.000%
10/01/36
BBB+
10,954
100
CSX
Corp
4.100%
3/15/44
BBB+
88,115
10
CSX
Corp
4.750%
11/15/48
BBB+
9,455
52
CSX
Corp
4.250%
11/01/66
BBB+
43,384
9
Cummins
Inc
1.500%
9/01/30
A
7,451
82
Cummins
Inc
2.600%
9/01/50
A
54,279
200
CVS
Health
Corp
3.625%
4/01/27
BBB
193,589
170
CVS
Health
Corp
1.875%
2/28/31
BBB
138,459
300
CVS
Health
Corp
(3)
2.125%
9/15/31
BBB
246,122
110
CVS
Health
Corp
2.700%
8/21/40
BBB
78,791
100
CVS
Health
Corp
4.250%
4/01/50
BBB
83,419
100
Danaher
Corp
2.800%
12/10/51
A-
69,745
100
Deere
&
Co
3.900%
6/09/42
A
92,308
140
Dell
International
LLC
/
EMC
Corp
5.850%
7/15/25
BBB
142,979
122
Dell
International
LLC
/
EMC
Corp
8.100%
7/15/36
BBB
143,209
182
Discovery
Communications
LLC
(3)
3.625%
5/15/30
BBB-
162,021
51
Discovery
Communications
LLC
6.350%
6/01/40
BBB-
49,714
46
Discovery
Communications
LLC
4.000%
9/15/55
BBB-
30,232
100
Dollar
General
Corp
3.500%
4/03/30
BBB
92,504
12
Dollar
Tree
Inc
4.000%
5/15/25
BBB
11,811
82
Dollar
Tree
Inc
3.375%
12/01/51
BBB
58,408
30
Dover
Corp
5.375%
10/15/35
BBB+
31,523
141
Dow
Chemical
Co/The
4.250%
10/01/34
BBB+
132,229
50
DR
Horton
Inc
1.300%
10/15/26
BBB+
44,775
126
DuPont
de
Nemours
Inc
(3)
4.725%
11/15/28
BBB+
127,330
120
DuPont
de
Nemours
Inc
5.319%
11/15/38
BBB+
121,315
30
DXC
Technology
Co
1.800%
9/15/26
BBB
26,360
171
Eastern
Gas
Transmission
&
Storage
Inc
4.800%
11/01/43
A-
153,663
48
Eaton
Corp
3.103%
9/15/27
BBB+
45,872
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
42
Eaton
Corp
4.000%
11/02/32
BBB+
$
40,356
134
eBay
Inc
2.700%
3/11/30
BBB+
117,582
86
Ecolab
Inc
3.250%
12/01/27
A-
83,056
100
Ecolab
Inc
2.700%
12/15/51
A-
67,193
52
Electronic
Arts
Inc
1.850%
2/15/31
BBB+
43,064
25
Eli
Lilly
&
Co
3.375%
3/15/29
A
24,021
100
Eli
Lilly
&
Co
4.700%
2/27/33
A
103,816
50
Emerson
Electric
Co
2.000%
12/21/28
A
44,351
62
Emerson
Electric
Co
1.950%
10/15/30
A
52,288
10
Enbridge
Inc
2.500%
2/14/25
BBB+
9,569
160
Enbridge
Inc
3.125%
11/15/29
BBB+
145,405
90
Enbridge
Inc
4.500%
6/10/44
BBB+
76,990
40
Enterprise
Products
Operating
LLC
7.550%
4/15/38
BBB+
46,919
200
Enterprise
Products
Operating
LLC
6.125%
10/15/39
BBB+
217,288
100
Enterprise
Products
Operating
LLC
4.850%
3/15/44
BBB+
93,297
40
Equinix
Inc
2.625%
11/18/24
BBB
38,462
100
Equinix
Inc
3.900%
4/15/32
BBB
91,117
110
Estee
Lauder
Cos
Inc/The
2.600%
4/15/30
A+
98,863
220
FedEx
Corp
3.900%
2/01/35
BBB
198,281
162
Fidelity
National
Information
Services
Inc
1.650%
3/01/28
BBB
140,052
254
Fiserv
Inc
3.500%
7/01/29
BBB
236,584
50
Flex
Ltd
4.875%
6/15/29
BBB-
48,501
30
Flowserve
Corp
2.800%
1/15/32
BBB-
24,260
40
FMC
Corp
3.450%
10/01/29
BBB-
36,664
10
Fomento
Economico
Mexicano
SAB
de
CV
4.375%
5/10/43
BBB+
8,981
79
Fomento
Economico
Mexicano
SAB
de
CV
3.500%
1/16/50
BBB+
60,929
30
Fortive
Corp
3.150%
6/15/26
BBB
28,686
110
Fox
Corp
4.709%
1/25/29
BBB
108,050
174
General
Mills
Inc
2.875%
4/15/30
BBB
158,215
200
General
Motors
Financial
Co
Inc
5.000%
4/09/27
BBB
197,810
274
General
Motors
Financial
Co
Inc
5.650%
1/17/29
BBB
274,581
210
General
Motors
Financial
Co
Inc
4.300%
4/06/29
BBB
195,714
40
Genuine
Parts
Co
2.750%
2/01/32
BBB
33,758
160
Gilead
Sciences
Inc
4.600%
9/01/35
BBB+
159,138
146
Gilead
Sciences
Inc
4.000%
9/01/36
BBB+
135,867
30
Gilead
Sciences
Inc
5.650%
12/01/41
BBB+
32,175
50
GlaxoSmithKline
Capital
Inc
3.625%
5/15/25
A
49,408
30
GlaxoSmithKline
Capital
PLC
3.000%
6/01/24
A
29,474
230
GlaxoSmithKline
Capital
PLC
3.375%
6/01/29
A
219,667
150
Global
Payments
Inc
3.200%
8/15/29
BBB-
132,667
162
Halliburton
Co
4.850%
11/15/35
BBB+
158,282
40
Harley-Davidson
Inc
(3)
4.625%
7/28/45
BBB-
31,104
10
Hasbro
Inc
3.500%
9/15/27
BBB
9,496
100
Hasbro
Inc
3.900%
11/19/29
BBB
91,863
210
HCA
Inc,
144A
3.125%
3/15/27
BBB-
197,190
106
HCA
Inc
4.125%
6/15/29
BBB-
100,498
110
HCA
Inc
5.125%
6/15/39
BBB-
103,431
100
HCA
Inc
3.500%
7/15/51
BBB-
69,800
100
Hewlett
Packard
Enterprise
Co
6.102%
4/01/26
BBB
100,868
50
Hewlett
Packard
Enterprise
Co
6.200%
10/15/35
BBB
54,050
100
Home
Depot
Inc/The
2.700%
4/15/25
A
97,256
10
Home
Depot
Inc/The
2.950%
6/15/29
A
9,344
299
Home
Depot
Inc/The
5.400%
9/15/40
A
315,873
100
Home
Depot
Inc/The
5.950%
4/01/41
A
112,187
22
Home
Depot
Inc/The
4.400%
3/15/45
A
20,458
100
Honda
Motor
Co
Ltd
2.534%
3/10/27
A-
93,935
100
Hormel
Foods
Corp
1.700%
6/03/28
A-
89,129
92
HP
Inc
3.400%
6/17/30
BBB
81,533
100
HP
Inc
4.200%
4/15/32
BBB
89,609
20
IDEX
Corp
2.625%
6/15/31
BBB
17,097
Nuveen
ESG
U.S.
Aggregate
Bond
ETF
(NUBD)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
60
Illinois
Tool
Works
Inc
4.875%
9/15/41
A+
$
60,815
292
Intel
Corp
2.450%
11/15/29
A
257,504
10
Intel
Corp
4.000%
12/15/32
A
9,522
110
Intel
Corp
4.600%
3/25/40
A
103,473
40
Intel
Corp
4.250%
12/15/42
A
35,171
60
Intel
Corp
4.100%
5/11/47
A
50,506
60
Intel
Corp
3.734%
12/08/47
A
47,375
20
International
Business
Machines
Corp
7.000%
10/30/25
A-
21,184
170
International
Business
Machines
Corp
3.300%
5/15/26
A-
164,820
100
International
Business
Machines
Corp
2.720%
2/09/32
A-
86,729
72
International
Business
Machines
Corp
5.600%
11/30/39
A-
74,829
90
International
Business
Machines
Corp
4.700%
2/19/46
A-
82,430
30
International
Flavors
&
Fragrances
Inc
4.375%
6/01/47
BBB-
23,759
10
International
Flavors
&
Fragrances
Inc
5.000%
9/26/48
BBB-
8,661
45
International
Paper
Co
4.800%
6/15/44
BBB
41,306
42
International
Paper
Co
4.350%
8/15/48
BBB
36,313
60
Interpublic
Group
of
Cos
Inc/The
2.400%
3/01/31
BBB
50,139
48
Intuit
Inc
1.350%
7/15/27
A-
42,838
10
Intuit
Inc
1.650%
7/15/30
A-
8,334
100
J
M
Smucker
Co/The
2.750%
9/15/41
BBB
72,328
40
Jabil
Inc
(3)
4.250%
5/15/27
BBB-
39,004
112
John
Deere
Capital
Corp
0.450%
6/07/24
A
107,012
100
John
Deere
Capital
Corp
0.625%
9/10/24
A
94,752
100
John
Deere
Capital
Corp
1.300%
10/13/26
A
90,635
360
Johnson
&
Johnson
3.550%
3/01/36
AAA
336,513
50
Johnson
Controls
International
plc
5.125%
9/14/45
BBB
48,634
10
Johnson
Controls
International
plc
/
Tyco
Fire
&
Security
Finance
SCA
1.750%
9/15/30
BBB
8,297
30
Johnson
Controls
International
plc
/
Tyco
Fire
&
Security
Finance
SCA
2.000%
9/16/31
BBB
24,669
110
Keurig
Dr
Pepper
Inc
4.500%
4/15/52
BBB
98,229
50
Keysight
Technologies
Inc
3.000%
10/30/29
BBB
44,672
10
Kimberly-Clark
Corp
3.950%
11/01/28
A
9,983
100
Kimberly-Clark
Corp
2.000%
11/02/31
A
84,806
48
Kimberly-Clark
Corp
6.625%
8/01/37
A
59,031
69
Kimberly-Clark
Corp
5.300%
3/01/41
A
73,007
90
Kinder
Morgan
Inc
1.750%
11/15/26
BBB
81,328
312
Kinder
Morgan
Inc
5.300%
12/01/34
BBB
306,622
100
KLA
Corp
4.650%
7/15/32
A-
101,549
10
Koninklijke
KPN
NV
8.375%
10/01/30
BBB
11,879
100
Kraft
Heinz
Foods
Co
3.875%
5/15/27
BBB
97,629
100
Kraft
Heinz
Foods
Co
4.250%
3/01/31
BBB
97,320
100
Kraft
Heinz
Foods
Co
5.500%
6/01/50
BBB
100,979
10
Kroger
Co/The
2.200%
5/01/30
BBB
8,435
160
Kroger
Co/The
6.900%
4/15/38
BBB
183,136
9
Kroger
Co/The
5.400%
7/15/40
BBB
8,796
100
Laboratory
Corp
of
America
Holdings
1.550%
6/01/26
BBB
90,413
100
Laboratory
Corp
of
America
Holdings
2.700%
6/01/31
BBB
86,311
10
Lam
Research
Corp
1.900%
6/15/30
A-
8,476
90
Lam
Research
Corp
3.125%
6/15/60
A-
62,371
60
Lear
Corp
2.600%
1/15/32
BBB
47,598
30
Leggett
&
Platt
Inc
4.400%
3/15/29
BBB
29,213
30
Leggett
&
Platt
Inc
3.500%
11/15/51
BBB
22,307
10
Linde
Inc/CT
1.100%
8/10/30
A
8,040
70
Lowe's
Cos
Inc
3.350%
4/01/27
BBB+
67,473
61
Lowe's
Cos
Inc
4.500%
4/15/30
BBB+
60,375
300
Lowe's
Cos
Inc
5.000%
4/15/40
BBB+
289,617
190
LYB
International
Finance
III
LLC
3.375%
10/01/40
BBB
140,503
60
Magna
International
Inc
2.450%
6/15/30
A-
51,743
132
Marathon
Petroleum
Corp
4.750%
9/15/44
BBB
114,464
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
112
Martin
Marietta
Materials
Inc
3.200%
7/15/51
BBB
$
79,615
100
Marvell
Technology
Inc
2.450%
4/15/28
BBB-
87,928
50
Masco
Corp
2.000%
2/15/31
BBB
40,235
32
Mastercard
Inc
2.950%
6/01/29
A+
30,105
44
Mastercard
Inc
3.350%
3/26/30
A+
41,888
100
Mastercard
Inc
2.000%
11/18/31
A+
84,933
40
Mastercard
Inc
(3)
3.800%
11/21/46
A+
35,065
70
MDC
Holdings
Inc
3.966%
8/06/61
BBB-
42,521
100
Medtronic
Global
Holdings
SCA
4.500%
3/30/33
A-
100,932
100
Merck
&
Co
Inc
1.900%
12/10/28
A+
89,209
200
Merck
&
Co
Inc
1.450%
6/24/30
A+
166,450
100
Merck
&
Co
Inc
2.750%
12/10/51
A+
70,863
20
Micron
Technology
Inc
4.975%
2/06/26
BBB-
19,902
80
Micron
Technology
Inc
4.185%
2/15/27
BBB-
77,142
50
Microsoft
Corp
3.300%
2/06/27
AAA
49,120
211
Microsoft
Corp
3.450%
8/08/36
AAA
196,003
576
Microsoft
Corp
2.921%
3/17/52
AAA
441,400
20
Moody's
Corp
(3)
2.000%
8/19/31
BBB+
16,393
10
Moody's
Corp
5.250%
7/15/44
BBB+
9,861
100
Moody's
Corp
3.750%
2/25/52
BBB+
80,032
50
Mosaic
Co/The
4.875%
11/15/41
BBB
44,641
100
Motorola
Solutions
Inc
2.750%
5/24/31
BBB-
83,233
120
MPLX
LP
2.650%
8/15/30
BBB
102,530
100
MPLX
LP
4.950%
3/14/52
BBB
86,564
30
National
Fuel
Gas
Co
5.500%
1/15/26
BBB-
30,155
50
NetApp
Inc
2.375%
6/22/27
BBB
46,267
100
Norfolk
Southern
Corp
2.300%
5/15/31
BBB+
84,724
32
Norfolk
Southern
Corp
4.837%
10/01/41
BBB+
30,296
110
Norfolk
Southern
Corp
2.900%
8/25/51
BBB+
73,552
50
NOV
Inc
3.950%
12/01/42
BBB
37,241
150
Novartis
Capital
Corp
2.200%
8/14/30
AA-
132,640
100
Novartis
Capital
Corp
4.400%
5/06/44
AA-
98,233
100
Nutrien
Ltd
4.200%
4/01/29
BBB
97,267
100
NVIDIA
Corp
2.000%
6/15/31
A
84,729
62
NVIDIA
Corp
3.500%
4/01/40
A
53,392
30
NVR
Inc
3.000%
5/15/30
BBB+
26,936
10
NXP
BV
/
NXP
Funding
LLC
/
NXP
USA
Inc
3.150%
5/01/27
BBB
9,370
112
NXP
BV
/
NXP
Funding
LLC
/
NXP
USA
Inc
2.500%
5/11/31
BBB
92,543
100
NXP
BV
/
NXP
Funding
LLC
/
NXP
USA
Inc
2.650%
2/15/32
BBB
82,214
183
ONEOK
Inc
4.550%
7/15/28
BBB
179,665
19
ONEOK
Inc
4.350%
3/15/29
BBB
18,174
10
ONEOK
Inc
7.150%
1/15/51
BBB
10,903
150
Oracle
Corp
2.800%
4/01/27
BBB
139,757
100
Oracle
Corp
4.650%
5/06/30
BBB
98,031
100
Oracle
Corp
4.900%
2/06/33
BBB
98,522
600
Oracle
Corp
4.300%
7/08/34
BBB
553,253
150
Oracle
Corp
6.900%
11/09/52
BBB
168,049
120
Orange
SA
(3)
5.375%
1/13/42
BBB+
123,889
60
Otis
Worldwide
Corp
3.112%
2/15/40
BBB
47,088
22
Owens
Corning
3.400%
8/15/26
BBB
21,098
50
Owens
Corning
3.875%
6/01/30
BBB
46,953
100
PACCAR
Financial
Corp
3.150%
6/13/24
A+
98,278
100
PACCAR
Financial
Corp
3.550%
8/11/25
A+
97,929
20
Paramount
Global
4.200%
6/01/29
BBB
18,547
300
Paramount
Global
(3)
4.200%
5/19/32
BBB
258,171
10
Parker-Hannifin
Corp
3.250%
3/01/27
BBB+
9,570
104
Parker-Hannifin
Corp
4.200%
11/21/34
BBB+
98,190
10
Parker-Hannifin
Corp
4.450%
11/21/44
BBB+
9,180
10
PayPal
Holdings
Inc
(3)
3.900%
6/01/27
A-
9,878
150
PayPal
Holdings
Inc
2.850%
10/01/29
A-
136,212
Nuveen
ESG
U.S.
Aggregate
Bond
ETF
(NUBD)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
60
PepsiCo
Inc
3.500%
7/17/25
A+
$
59,058
20
PepsiCo
Inc
2.375%
10/06/26
A+
18,958
100
PepsiCo
Inc
1.625%
5/01/30
A+
85,083
364
PepsiCo
Inc
2.875%
10/15/49
A+
278,930
100
PerkinElmer
Inc
2.250%
9/15/31
BBB
81,257
100
Pfizer
Inc
3.600%
9/15/28
A+
98,304
350
Pfizer
Inc
4.200%
9/15/48
A+
328,403
90
Phillips
66
Co
3.550%
10/01/26
N/R
86,144
112
Phillips
66
Co,
144A
4.680%
2/15/45
BBB+
99,409
50
PPG
Industries
Inc
3.750%
3/15/28
BBB+
48,365
100
Procter
&
Gamble
Co/The
1.000%
4/23/26
AA-
91,847
200
Procter
&
Gamble
Co/The
3.000%
3/25/30
AA-
188,171
25
PulteGroup
Inc
5.000%
1/15/27
BBB
25,024
21
PVH
Corp
4.625%
7/10/25
BBB-
20,723
30
Qorvo
Inc,
144A
1.750%
12/15/24
BBB-
28,093
200
QUALCOMM
Inc
1.650%
5/20/32
A
161,300
100
QUALCOMM
Inc
(3)
4.250%
5/20/32
A
99,948
100
Quanta
Services
Inc
2.350%
1/15/32
BBB-
80,548
28
Quest
Diagnostics
Inc
4.250%
4/01/24
BBB
27,718
50
Quest
Diagnostics
Inc
3.450%
6/01/26
BBB
48,348
40
Regeneron
Pharmaceuticals
Inc
1.750%
9/15/30
BBB
32,677
40
RELX
Capital
Inc
4.750%
5/20/32
BBB+
40,131
10
Republic
Services
Inc
3.375%
11/15/27
BBB+
9,637
70
Republic
Services
Inc
3.950%
5/15/28
BBB+
68,621
18
Republic
Services
Inc
2.300%
3/01/30
BBB+
15,720
40
Republic
Services
Inc
1.450%
2/15/31
BBB+
32,085
40
Rockwell
Automation
Inc
4.200%
3/01/49
A
36,149
10
Rogers
Communications
Inc
3.625%
12/15/25
BBB-
9,623
100
Rogers
Communications
Inc,
144A
3.200%
3/15/27
BBB-
93,774
10
Rogers
Communications
Inc,
144A
3.800%
3/15/32
BBB-
9,004
140
Rogers
Communications
Inc
5.450%
10/01/43
BBB-
132,195
100
Roper
Technologies
Inc
3.800%
12/15/26
BBB
97,328
114
Ryder
System
Inc
2.500%
9/01/24
BBB+
110,022
100
Ryder
System
Inc
2.850%
3/01/27
BBB+
92,575
100
S&P
Global
Inc
2.900%
3/01/32
A-
88,800
20
Sabine
Pass
Liquefaction
LLC
5.875%
6/30/26
BBB
20,417
150
Sabine
Pass
Liquefaction
LLC
4.500%
5/15/30
BBB
145,246
100
Salesforce
Inc
2.700%
7/15/41
A
74,791
112
Salesforce
Inc
2.900%
7/15/51
A
79,520
10
Schlumberger
Finance
Canada
Ltd
1.400%
9/17/25
A
9,277
72
Schlumberger
Investment
SA
2.650%
6/26/30
A
64,649
131
Sherwin-Williams
Co/The
2.950%
8/15/29
BBB
118,487
42
Sherwin-Williams
Co/The
4.500%
6/01/47
BBB
37,191
60
Sonoco
Products
Co
2.850%
2/01/32
BBB
50,936
100
Stanley
Black
&
Decker
Inc
4.250%
11/15/28
BBB+
97,189
100
Stanley
Black
&
Decker
Inc
(3)
3.000%
5/15/32
BBB+
84,886
100
Starbucks
Corp
3.000%
2/14/32
BBB+
89,252
100
Starbucks
Corp
4.800%
2/15/33
BBB+
101,372
50
Takeda
Pharmaceutical
Co
Ltd
3.375%
7/09/60
BBB
35,285
100
Tapestry
Inc
3.050%
3/15/32
BBB-
82,813
21
Target
Corp
3.375%
4/15/29
A
20,261
150
Target
Corp
2.350%
2/15/30
A
133,194
52
Target
Corp
6.500%
10/15/37
A
61,237
9
Target
Corp
3.900%
11/15/47
A
7,768
20
TC
PipeLines
LP
3.900%
5/25/27
BBB+
19,473
60
Teledyne
Technologies
Inc
2.250%
4/01/28
BBB
53,497
20
Telefonica
Emisiones
SA
4.103%
3/08/27
BBB-
19,370
21
Telefonica
Emisiones
SA
7.045%
6/20/36
BBB-
23,333
10
Telefonica
Emisiones
SA
4.665%
3/06/38
BBB-
8,716
10
Telefonica
Emisiones
SA
4.895%
3/06/48
BBB-
8,302
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
90
Telefonica
Emisiones
SA
5.520%
3/01/49
BBB-
$
81,167
60
Telefonica
Europe
BV
8.250%
9/15/30
BBB-
70,649
50
TELUS
Corp
3.700%
9/15/27
BBB
48,651
60
Texas
Instruments
Inc
1.750%
5/04/30
A+
50,989
100
Texas
Instruments
Inc
1.900%
9/15/31
A+
84,185
10
Texas
Instruments
Inc
3.875%
3/15/39
A+
9,179
100
Thermo
Fisher
Scientific
Inc
2.800%
10/15/41
A-
76,672
40
Thomson
Reuters
Corp
3.350%
5/15/26
BBB
38,687
30
Timken
Co/The
4.125%
4/01/32
BBB-
27,736
132
Toyota
Motor
Corp
2.760%
7/02/29
A+
121,245
100
Toyota
Motor
Credit
Corp
0.625%
9/13/24
A+
94,700
100
Toyota
Motor
Credit
Corp
4.400%
9/20/24
A+
99,714
100
Toyota
Motor
Credit
Corp
1.450%
1/13/25
A+
94,914
100
Toyota
Motor
Credit
Corp
1.125%
6/18/26
A+
90,714
10
Trane
Technologies
Luxembourg
Finance
SA
3.800%
3/21/29
BBB
9,574
260
TransCanada
PipeLines
Ltd
2.500%
10/12/31
BBB+
215,140
50
Transcontinental
Gas
Pipe
Line
Co
LLC
7.850%
2/01/26
BBB+
53,617
150
Transcontinental
Gas
Pipe
Line
Co
LLC
3.250%
5/15/30
BBB+
136,817
50
Transcontinental
Gas
Pipe
Line
Co
LLC
3.950%
5/15/50
BBB+
40,067
200
TSMC
Arizona
Corp
4.250%
4/22/32
AA-
198,345
39
TWDC
Enterprises
18
Corp
3.150%
9/17/25
A-
37,889
20
TWDC
Enterprises
18
Corp
4.375%
8/16/41
A-
18,560
10
TWDC
Enterprises
18
Corp
4.125%
12/01/41
A-
9,009
100
Tyco
Electronics
Group
SA
2.500%
2/04/32
A-
86,374
10
Unilever
Capital
Corp
2.600%
5/05/24
A+
9,769
18
Unilever
Capital
Corp
3.100%
7/30/25
A+
17,455
21
Unilever
Capital
Corp
2.000%
7/28/26
A+
19,736
100
Unilever
Capital
Corp
1.750%
8/12/31
A+
82,551
468
Union
Pacific
Corp
3.550%
8/15/39
A-
402,714
100
United
Parcel
Service
Inc
4.450%
4/01/30
A
101,324
150
United
Parcel
Service
Inc
5.200%
4/01/40
A
156,591
100
Valero
Energy
Corp
2.800%
12/01/31
BBB
84,472
70
Valmont
Industries
Inc
5.250%
10/01/54
BBB-
63,034
100
Verisk
Analytics
Inc
4.125%
3/15/29
BBB
96,710
39
Verizon
Communications
Inc
4.016%
12/03/29
BBB+
37,450
100
Verizon
Communications
Inc
1.500%
9/18/30
BBB+
80,905
300
Verizon
Communications
Inc
2.550%
3/21/31
BBB+
255,417
605
Verizon
Communications
Inc
2.355%
3/15/32
BBB+
496,668
112
Verizon
Communications
Inc
2.850%
9/03/41
BBB+
81,160
10
Verizon
Communications
Inc
5.500%
3/16/47
BBB+
10,198
200
Verizon
Communications
Inc
3.875%
3/01/52
BBB+
160,491
40
VF
Corp
2.800%
4/23/27
BBB
37,085
100
VICI
Properties
LP
(3)
4.950%
2/15/30
BBB-
95,589
100
Visa
Inc
2.050%
4/15/30
AA-
87,492
201
Visa
Inc
4.150%
12/14/35
AA-
197,861
130
VMware
Inc
1.400%
8/15/26
BBB-
116,083
10
Vodafone
Group
PLC
4.125%
5/30/25
BBB
9,878
20
Vodafone
Group
PLC
6.250%
11/30/32
BBB
21,929
183
Vodafone
Group
PLC
6.150%
2/27/37
BBB
197,145
100
Vulcan
Materials
Co
5.800%
3/01/26
BBB
100,526
200
Walgreens
Boots
Alliance
Inc
(3)
3.200%
4/15/30
BBB-
176,636
100
Walt
Disney
Co/The
3.350%
3/24/25
A-
98,330
40
Walt
Disney
Co/The
2.650%
1/13/31
A-
35,456
130
Walt
Disney
Co/The
6.400%
12/15/35
A-
150,214
12
Walt
Disney
Co/The
4.750%
9/15/44
A-
11,775
60
Walt
Disney
Co/The
4.950%
10/15/45
A-
59,218
270
Walt
Disney
Co/The
2.750%
9/01/49
A-
187,434
150
Warnermedia
Holdings
Inc,
144A
3.788%
3/15/25
BBB-
145,337
250
Warnermedia
Holdings
Inc,
144A
5.391%
3/15/62
BBB-
200,729
100
Waste
Connections
Inc
2.200%
1/15/32
BBB+
82,435
Nuveen
ESG
U.S.
Aggregate
Bond
ETF
(NUBD)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Industrial
(continued)
$
10
Waste
Management
Inc
1.500%
3/15/31
BBB+
$
8,111
100
Waste
Management
Inc
4.150%
4/15/32
BBB+
98,164
110
Western
Midstream
Operating
LP
6.150%
4/01/33
BBB-
111,849
40
Western
Union
Co/The
2.850%
1/10/25
BBB
38,304
10
Western
Union
Co/The
(3)
6.200%
11/17/36
BBB
10,384
100
Weyerhaeuser
Co
3.375%
3/09/33
BBB
88,669
100
Whirlpool
Corp
(3)
4.700%
5/14/32
BBB
96,850
190
Williams
Cos
Inc/The
2.600%
3/15/31
BBB
161,418
120
WRKCo
Inc
4.000%
3/15/28
BBB
114,850
50
WW
Grainger
Inc
1.850%
2/15/25
A
47,703
31
Xylem
Inc/NY
2.250%
1/30/31
BBB
26,293
10
Zoetis
Inc
4.500%
11/13/25
BBB
9,949
126
Zoetis
Inc
3.900%
8/20/28
BBB
123,434
9
Zoetis
Inc
2.000%
5/15/30
BBB
7,639
Total
Industrial
40,757,949
Utility
-
2.2%
52
AEP
Texas
Inc
4.150%
5/01/49
BBB+
43,552
110
American
Water
Capital
Corp
2.800%
5/01/30
BBB+
98,570
110
American
Water
Capital
Corp
2.300%
6/01/31
BBB+
93,795
260
Appalachian
Power
Co
4.400%
5/15/44
A-
225,589
100
Atmos
Energy
Corp
2.625%
9/15/29
A-
90,766
100
Atmos
Energy
Corp
2.850%
2/15/52
A-
68,534
100
Avista
Corp
4.000%
4/01/52
A-
83,642
120
Berkshire
Hathaway
Energy
Co
3.700%
7/15/30
A-
115,036
210
Berkshire
Hathaway
Energy
Co
5.150%
11/15/43
A-
210,731
100
Berkshire
Hathaway
Energy
Co
4.600%
5/01/53
A-
93,173
100
Black
Hills
Corp
5.950%
3/15/28
BBB+
103,638
100
CenterPoint
Energy
Houston
Electric
LLC
3.000%
3/01/32
A
89,301
100
CenterPoint
Energy
Inc
1.450%
6/01/26
BBB
90,793
90
CenterPoint
Energy
Resources
Corp
4.100%
9/01/47
A-
76,841
121
Commonwealth
Edison
Co
6.450%
1/15/38
A
140,358
100
Commonwealth
Edison
Co
2.750%
9/01/51
A
67,453
100
Connecticut
Light
and
Power
Co/The
2.050%
7/01/31
A+
84,138
40
Consolidated
Edison
Co
of
New
York
Inc
(3)
2.400%
6/15/31
A-
34,238
124
Consolidated
Edison
Co
of
New
York
Inc
5.500%
12/01/39
A-
125,814
122
Consolidated
Edison
Co
of
New
York
Inc
4.650%
12/01/48
A-
111,749
10
Consolidated
Edison
Co
of
New
York
Inc
4.300%
12/01/56
A-
8,440
10
Consolidated
Edison
Co
of
New
York
Inc
4.500%
5/15/58
A-
8,742
21
Consolidated
Edison
Co
of
New
York
Inc
3.000%
12/01/60
A-
13,916
90
Consumers
Energy
Co
3.500%
8/01/51
A+
70,438
126
DTE
Energy
Co
2.950%
3/01/30
BBB
111,387
112
Duke
Energy
Florida
LLC
2.400%
12/15/31
A
94,775
47
Duke
Energy
Florida
LLC
6.350%
9/15/37
A
52,934
100
Duke
Energy
Florida
LLC
5.950%
11/15/52
A
113,849
52
Emera
US
Finance
LP
4.750%
6/15/46
BBB-
43,211
10
Enel
Generacion
Chile
SA
4.250%
4/15/24
BBB
9,861
100
Entergy
Arkansas
LLC
5.150%
1/15/33
A
103,576
100
Essential
Utilities
Inc
2.400%
5/01/31
BBB
83,695
100
Evergy
Metro
Inc
4.950%
4/15/33
A
100,504
100
Exelon
Corp
2.750%
3/15/27
BBB
93,807
10
Exelon
Corp
4.950%
6/15/35
BBB
10,000
10
Exelon
Corp
4.450%
4/15/46
BBB
8,718
48
Interstate
Power
and
Light
Co
3.600%
4/01/29
BBB+
45,208
100
National
Rural
Utilities
Cooperative
Finance
Corp
3.450%
6/15/25
A
97,545
100
National
Rural
Utilities
Cooperative
Finance
Corp
2.750%
4/15/32
A+
85,871
151
NiSource
Inc
3.600%
5/01/30
BBB
140,324
110
NSTAR
Electric
Co
3.950%
4/01/30
A+
106,885
12
NSTAR
Electric
Co
5.500%
3/15/40
A+
12,470
100
Oncor
Electric
Delivery
Co
LLC
2.750%
5/15/30
A
89,977
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Utility
(continued)
$
67
Oncor
Electric
Delivery
Co
LLC
7.500%
9/01/38
A
$
83,462
100
ONE
Gas
Inc
4.250%
9/01/32
A-
98,157
170
PECO
Energy
Co
4.600%
5/15/52
A+
162,204
100
Piedmont
Natural
Gas
Co
Inc
2.500%
3/15/31
BBB+
84,163
36
Potomac
Electric
Power
Co
6.500%
11/15/37
A
41,260
50
PPL
Capital
Funding
Inc
3.100%
5/15/26
BBB+
47,841
60
PPL
Electric
Utilities
Corp
4.150%
10/01/45
A+
52,805
18
Public
Service
Co
of
Colorado
6.500%
8/01/38
A+
20,846
50
Public
Service
Co
of
New
Hampshire
2.200%
6/15/31
A+
42,399
20
Public
Service
Co
of
Oklahoma
2.200%
8/15/31
A-
16,550
70
Public
Service
Electric
and
Gas
Co
1.900%
8/15/31
A
57,961
100
Public
Service
Electric
and
Gas
Co
5.800%
5/01/37
A
108,821
100
Puget
Energy
Inc
4.224%
3/15/32
BBB-
93,057
30
Puget
Sound
Energy
Inc
5.638%
4/15/41
A
31,103
100
San
Diego
Gas
&
Electric
Co
3.000%
3/15/32
A
88,345
43
San
Diego
Gas
&
Electric
Co
4.150%
5/15/48
A
37,445
94
Sempra
Energy
6.000%
10/15/39
BBB
99,242
220
Southern
California
Edison
Co
4.700%
6/01/27
A-
221,459
150
Southern
California
Edison
Co
5.450%
6/01/52
A-
151,760
100
Southern
California
Gas
Co
2.950%
4/15/27
A
94,619
10
Southwest
Gas
Corp
3.700%
4/01/28
BBB+
9,497
20
Southwest
Gas
Corp
3.800%
9/29/46
BBB+
15,185
140
Southwestern
Electric
Power
Co
3.250%
11/01/51
BBB+
97,363
86
Southwestern
Public
Service
Co
4.500%
8/15/41
A-
78,076
23
Southwestern
Public
Service
Co
4.400%
11/15/48
A-
20,387
100
Tampa
Electric
Co
5.000%
7/15/52
A-
96,783
12
Tucson
Electric
Power
Co
3.050%
3/15/25
A-
11,596
100
Tucson
Electric
Power
Co
3.250%
5/15/32
A-
88,967
30
Tucson
Electric
Power
Co
3.250%
5/01/51
A-
21,040
25
Union
Electric
Co
5.450%
3/15/53
A
26,312
20
Washington
Gas
Light
Co
3.796%
9/15/46
A-
16,010
100
WEC
Energy
Group
Inc
5.150%
10/01/27
BBB+
102,172
100
WEC
Energy
Group
Inc
2.200%
12/15/28
BBB+
88,423
20
Wisconsin
Electric
Power
Co
1.700%
6/15/28
A
17,612
10
Wisconsin
Power
and
Light
Co
1.950%
9/16/31
A-
8,123
100
Wisconsin
Power
and
Light
Co
4.950%
4/01/33
A-
102,280
48
Wisconsin
Public
Service
Corp
3.671%
12/01/42
A
39,202
Total
Utility
6,026,371
Total
Corporate
Debt
(cost
$79,124,362)
69,449,265
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
X
13,623,790
GOVERNMENT
RELATED
-
4.9%
X
13,623,790
Government
Agency
-
1.6%
$
10
Equinor
ASA
3.250%
11/10/24
AA-
$
9,832
10
Equinor
ASA
3.000%
4/06/27
AA-
9,539
10
Equinor
ASA
3.625%
9/10/28
AA-
9,805
214
Equinor
ASA
3.125%
4/06/30
AA-
200,907
22
Equinor
ASA
3.950%
5/15/43
AA-
19,715
20
Equinor
ASA
3.700%
4/06/50
AA-
16,868
100
Export
Development
Canada
3.375%
8/26/25
AAA
98,671
81
Federal
National
Mortgage
Association
(3)
2.625%
9/06/24
N/R
79,031
70
Federal
National
Mortgage
Association
1.625%
1/07/25
N/R
66,911
200
Federal
National
Mortgage
Association
0.625%
4/22/25
N/R
186,591
200
Federal
National
Mortgage
Association
0.500%
6/17/25
N/R
185,506
200
Federal
National
Mortgage
Association
1.875%
9/24/26
N/R
188,158
329
Federal
National
Mortgage
Association
5.625%
7/15/37
N/R
388,204
50
Israel
Government
AID
Bond
5.500%
12/04/23
AAA
50,171
99
Japan
Bank
for
International
Cooperation
2.500%
5/28/25
A+
95,180
Nuveen
ESG
U.S.
Aggregate
Bond
ETF
(NUBD)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Government
Agency
(continued)
$
200
Japan
Bank
for
International
Cooperation
0.625%
7/15/25
A+
$
184,578
200
Japan
Bank
for
International
Cooperation
4.250%
1/26/26
A+
200,397
320
Japan
Bank
for
International
Cooperation
2.875%
6/01/27
A+
305,615
100
Korea
Development
Bank/The
2.125%
10/01/24
AA
96,618
40
Korea
Development
Bank/The
1.375%
4/25/27
AA
35,760
774
Kreditanstalt
fuer
Wiederaufbau
2.500%
11/20/24
AAA
752,142
100
Kreditanstalt
fuer
Wiederaufbau
1.250%
1/31/25
AAA
94,902
79
Kreditanstalt
fuer
Wiederaufbau
0.375%
7/18/25
AAA
73,007
432
Kreditanstalt
fuer
Wiederaufbau
3.000%
5/20/27
AAA
420,957
10
Landwirtschaftliche
Rentenbank
3.125%
11/14/23
AAA
9,902
30
Landwirtschaftliche
Rentenbank
2.000%
1/13/25
AAA
28,872
150
Landwirtschaftliche
Rentenbank
0.500%
5/27/25
AAA
138,988
100
Landwirtschaftliche
Rentenbank
3.875%
9/28/27
AAA
100,769
109
Oesterreichische
Kontrollbank
AG
3.125%
11/07/23
AA+
107,896
100
Oesterreichische
Kontrollbank
AG
0.500%
9/16/24
AA+
94,708
100
Oesterreichische
Kontrollbank
AG
2.875%
5/23/25
AA+
97,217
30
Svensk
Exportkredit
AB
0.625%
5/14/25
AA+
27,831
200
Svensk
Exportkredit
AB
4.625%
11/28/25
AA+
202,293
Total
Government
Agency
4,577,541
Municipal
Bonds
-
0.8%
(4)
250
Province
of
Alberta
Canada
(No
Opt.
Call)
1.000%
5/20/25
AA-
233,953
160
Province
of
Alberta
Canada
(No
Opt.
Call)
3.300%
3/15/28
AA-
155,952
40
Province
of
Alberta
Canada
(No
Opt.
Call)
1.300%
7/22/30
AA-
33,436
140
Province
of
British
Columbia
Canada
(No
Opt.
Call)
1.750%
9/27/24
AA
134,735
50
Province
of
British
Columbia
Canada
(No
Opt.
Call)
2.250%
6/02/26
AA+
47,580
110
Province
of
British
Columbia
Canada
(No
Opt.
Call)
0.900%
7/20/26
AA+
100,132
100
Province
of
Manitoba
Canada
(No
Opt.
Call)
2.600%
4/16/24
A+
97,867
100
Province
of
Manitoba
Canada
(No
Opt.
Call)
1.500%
10/25/28
A+
88,756
70
Province
of
New
Brunswick
Canada
(No
Opt.
Call)
3.625%
2/24/28
A+
69,102
10
Province
of
Ontario
Canada
(No
Opt.
Call)
3.400%
10/17/23
AA-
9,921
110
Province
of
Ontario
Canada
(No
Opt.
Call)
3.200%
5/16/24
AA-
108,130
200
Province
of
Ontario
Canada
(No
Opt.
Call)
2.500%
4/27/26
AA-
191,498
100
Province
of
Ontario
Canada
(No
Opt.
Call)
3.100%
5/19/27
AA-
97,124
100
Province
of
Ontario
Canada
(No
Opt.
Call)
1.800%
10/14/31
AA-
85,122
100
Province
of
Ontario
Canada
(No
Opt.
Call)
(3)
2.125%
1/21/32
AA-
87,094
89
Province
of
Quebec
Canada
(No
Opt.
Call)
2.875%
10/16/24
AA-
86,929
180
Province
of
Quebec
Canada
(No
Opt.
Call)
1.500%
2/11/25
AA-
171,283
50
Province
of
Quebec
Canada
(No
Opt.
Call)
0.600%
7/23/25
AA-
46,304
295
Province
of
Quebec
Canada
(No
Opt.
Call)
2.500%
4/20/26
AA-
282,875
70
Province
of
Quebec
Canada
(No
Opt.
Call)
2.750%
4/12/27
AA-
67,173
Total
Municipal
Bonds
2,194,966
Sovereign
Debt
-
2.5%
10
African
Development
Bank
3.000%
9/20/23
AAA
9,919
100
African
Development
Bank
3.375%
7/07/25
AAA
98,654
100
African
Development
Bank
0.875%
7/22/26
AAA
90,911
100
Asian
Development
Bank
4.125%
9/27/24
AAA
99,471
400
Asian
Development
Bank
1.500%
10/18/24
AAA
383,660
110
Asian
Development
Bank
1.500%
1/20/27
AAA
101,583
100
Asian
Development
Bank
(3)
1.875%
3/15/29
AAA
90,749
100
Asian
Development
Bank
3.125%
4/27/32
AAA
95,853
80
Canada
Government
International
Bond
1.625%
1/22/25
AAA
76,536
100
Canada
Government
International
Bond
2.875%
4/28/25
AAA
97,586
30
Chile
Government
International
Bond
3.125%
1/21/26
A
29,093
30
Chile
Government
International
Bond
3.240%
2/06/28
A
28,718
210
Chile
Government
International
Bond
(3)
2.450%
1/31/31
A
184,347
200
Chile
Government
International
Bond
3.250%
9/21/71
A
133,035
32
Council
Of
Europe
Development
Bank
1.375%
2/27/25
AAA
30,392
50
Council
Of
Europe
Development
Bank
(3)
0.875%
9/22/26
AAA
45,316
Principal
Amount
(000)
Description
(1)
Coupon
Maturity
Ratings
(2)
Value
Sovereign
Debt
(continued)
$
100
European
Bank
for
Reconstruction
&
Development
4.375%
3/09/28
AAA
$
103,258
311
European
Investment
Bank
3.125%
12/14/23
AAA
307,420
100
European
Investment
Bank
2.250%
6/24/24
AAA
97,426
100
European
Investment
Bank
2.750%
8/15/25
AAA
97,446
100
European
Investment
Bank
0.750%
10/26/26
AAA
90,277
112
European
Investment
Bank
1.375%
3/15/27
AAA
102,835
100
European
Investment
Bank
3.625%
7/15/30
AAA
100,332
34
Hungary
Government
International
Bond
7.625%
3/29/41
BBB
38,626
200
Indonesia
Government
International
Bond
4.550%
1/11/28
BBB
200,327
200
Indonesia
Government
International
Bond
5.650%
1/11/53
BBB
210,413
100
Inter-American
Development
Bank
3.250%
7/01/24
AAA
98,510
130
Inter-American
Development
Bank
2.000%
7/23/26
AAA
122,824
100
Inter-American
Development
Bank
1.500%
1/13/27
AAA
92,184
100
Inter-American
Development
Bank
4.000%
1/12/28
AAA
101,543
100
Inter-American
Development
Bank
1.125%
7/20/28
AAA
88,078
200
Inter-American
Development
Bank
3.875%
10/28/41
AAA
192,971
60
International
Bank
for
Reconstruction
&
Development
2.500%
3/19/24
AAA
58,796
535
International
Bank
for
Reconstruction
&
Development
1.500%
8/28/24
AAA
514,855
151
International
Bank
for
Reconstruction
&
Development
(3)
2.125%
3/03/25
AAA
145,446
60
International
Bank
for
Reconstruction
&
Development
3.125%
11/20/25
AAA
58,841
20
International
Bank
for
Reconstruction
&
Development
2.500%
11/22/27
AAA
19,023
100
International
Bank
for
Reconstruction
&
Development
1.625%
11/03/31
AAA
85,663
112
International
Bank
for
Reconstruction
&
Development
(3)
2.500%
3/29/32
AAA
102,588
80
International
Finance
Corp
0.375%
7/16/25
AAA
73,477
50
International
Finance
Corp
2.126%
4/07/26
AAA
47,600
240
Israel
Government
International
Bond
2.750%
7/03/30
A+
216,364
70
Israel
Government
International
Bond
3.875%
7/03/50
A+
58,450
80
Korea
International
Bond
2.750%
1/19/27
AA
76,417
10
Korea
International
Bond
2.500%
6/19/29
AA-
9,242
20
Korea
International
Bond
1.000%
9/16/30
AA
16,413
70
Korea
International
Bond
(3)
1.750%
10/15/31
AA
59,676
70
Nordic
Investment
Bank
2.250%
5/21/24
AAA
68,166
120
Panama
Government
International
Bond
4.000%
9/22/24
BBB
118,161
20
Panama
Government
International
Bond
3.750%
3/16/25
BBB
19,560
30
Panama
Government
International
Bond
3.160%
1/23/30
BBB
26,479
250
Panama
Government
International
Bond
4.500%
5/15/47
BBB
200,180
80
Panama
Government
International
Bond
4.500%
4/16/50
BBB
62,400
10
Peruvian
Government
International
Bond
4.125%
8/25/27
BBB
9,820
180
Peruvian
Government
International
Bond
2.844%
6/20/30
BBB
159,584
70
Peruvian
Government
International
Bond
2.783%
1/23/31
BBB
60,626
65
Peruvian
Government
International
Bond
3.000%
1/15/34
BBB
54,337
96
Peruvian
Government
International
Bond
5.625%
11/18/50
BBB
99,156
20
Peruvian
Government
International
Bond
3.550%
3/10/51
BBB
15,076
10
Republic
of
Italy
Government
International
Bond
0.875%
5/06/24
BBB
9,527
100
Republic
of
Italy
Government
International
Bond
1.250%
2/17/26
BBB
89,811
270
Republic
of
Italy
Government
International
Bond
2.875%
10/17/29
BBB
237,119
70
Republic
of
Poland
Government
International
Bond
4.000%
1/22/24
A-
69,460
110
Republic
of
Poland
Government
International
Bond
4.875%
10/04/33
A-
111,638
64
Uruguay
Government
International
Bond
5.750%
10/28/34
BBB
70,490
200
Uruguay
Government
International
Bond
4.125%
11/20/45
BBB
186,549
Total
Sovereign
Debt
6,851,283
Total
Government
Related
(cost
$14,991,526)
13,623,790
Total
Long-Term
Investments
(cost
$305,391,982)
274,844,033
Nuveen
ESG
U.S.
Aggregate
Bond
ETF
(NUBD)
(continued)
Portfolio
of
Investments
April
30,
2023
(Unaudited)
Part
F
of
Form
N-PORT
was
prepared
in
accordance
with
U.S.
generally
accepted
accounting
principles
(“U.S.
GAAP”)
and
in
conformity
with
the
applicable
rules
and
regulations
of
the
U.S.
Securities
and
Exchange
Commission
(“SEC”)
related
to
interim
filings.
Part
F
of
Form
N-PORT
does
not
include
all
information
and
footnotes
required
by
U.S.
GAAP
for
complete
financial
statements.
Certain
footnote
disclosures
normally
included
in
financial
statements
prepared
in
accordance
with
U.S.
GAAP
have
been
condensed
or
omitted
from
this
report
pursuant
to
the
rules
of
the
SEC.
For
a
full
set
of
the
Fund’s
notes
to
financial
statements,
please
refer
to
the
Fund’s
most
recently
filed
annual
or
semi-annual
report.
Fair
Value
Measurements
The
Fund’s
investments
in
securities
are
recorded
at
their
estimated
fair
value
utilizing
valuation
methods
approved
by
the
Board
of
Directors/
Trustees.
Fair
value
is
defined
as
the
price
that
would
be
received
upon
selling
an
investment
or
transferring
a
liability
in
an
orderly
transaction
to
an
independent
buyer
in
the
principal
or
most
advantageous
market
for
the
investment.
U.S.
GAAP
establishes
the
three-tier
hierarchy
which
is
used
to
maximize
the
use
of
observable
market
data
and
minimize
the
use
of
unobservable
inputs
and
to
establish
classification
of
fair
value
measurements
for
disclosure
purposes.
Observable
inputs
reflect
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Observable
inputs
are
based
on
market
data
obtained
from
sources
independent
of
the
reporting
entity.
Unobservable
inputs
reflect
management’s
assumptions
about
the
assumptions
market
participants
would
use
in
pricing
the
asset
or
liability.
Unobservable
inputs
are
based
on
the
best
information
available
in
the
circumstances.
The
following
is
a
summary
of
the
three-tiered
hierarchy
of
valuation
input
levels.
Level
1
–
Inputs
are
unadjusted
and
prices
are
determined
using
quoted
prices
in
active
markets
for
identical
securities.
Level
2
–
Prices
are
determined
using
other
significant
observable
inputs
(including
quoted
prices
for
similar
securities,
interest
rates,
credit
spreads,
etc.).
Level
3
–
Prices
are
determined
using
significant
unobservable
inputs
(including
management’s
assumptions
in
determining
the
fair
value
of
investments).
The
following
table
summarizes
the
market
value
of
the
Fund's
investments
as
of
the
end
of
the
reporting
period,
based
on
the
inputs
used
to
value
them:
Shares
Description
(1)
Coupon
Value
INVESTMENTS
PURCHASED
WITH
COLLATERAL
FROM
SECURITIES
LENDING
-
0.9%
X
2,600,203
MONEY
MARKET
FUNDS
-
0.9%
X
2,600,203
2,600,203
State
Street
Navigator
Securities
Lending
Government
Money
Market
Portfolio
(5)
4.840%(6)
$
2,600,203
Total
Money
Market
Funds
(cost
$2,600,203)
$
2,600,203
Total
Investments
Purchased
with
Collateral
from
Securities
Lending
(cost
$2,600,203)
2,600,203
Total
Investments
(cost
$
307,992,185
)
-
100
.0
%
277,444,236
Other
Assets
&
Liabilities,
Net
-
0.0%
136,251
Net
Assets
-
100%
$
277,580,487
Level
1
Level
2
Level
3
Total
Long-Term
Investments:
U.S.
Treasury
$
–
$
114,469,208
$
–
$
114,469,208
Securitized
–
77,301,770
–
77,301,770
Corporate
Debt
–
69,449,265
–
69,449,265
Government
Related
–
13,623,790
–
13,623,790
Investments
Purchased
with
Collateral
from
Securities
Lending
2,600,203
–
–
2,600,203
Total
$
2,600,203
$
274,844,033
$
–
$
277,444,236
For
Fund
portfolio
compliance
purposes,
the
Fund’s
industry
classifications
refer
to
any
one
or
more
of
the
industry
sub-classifications
used
by
one
or
more
widely
recognized
market
indexes
or
ratings
group
indexes,
and/or
as
defined
by
Fund
management.
This
definition
may
not
apply
for
purposes
of
this
report,
which
may
combine
industry
sub-classifications
into
sectors
for
reporting
ease.
(1)
All
percentages
shown
in
the
Portfolio
of
Investments
are
based
on
net
assets.
(2)
The
Fund
uses
credit
quality
ratings
for
its
portfolio
securities
provided
by
Moody’s,
S&P
and
Fitch.
If
all
three
of
Moody’s,
S&P,
and
Fitch
provide
a
rating
for
a
security,
the
middle
is
used;
if
two
of
the
three
agencies
rate
a
security,
the
lower
rating
is
used;
and
if
only
one
rating
agency
rates
a
security,
that
rating
is
used.
AAA,
AA,
A,
and
BBB
are
investment
grade
ratings;
BB,
B,
CCC/CC/C
and
D
are
below-investment
grade
ratings.
Credit
ratings
are
subject
to
change.
Holdings
designated
N/R
are
not
rated
by
Moody’s,
S&P
or
Fitch.
(3)
Investment,
or
a
portion
of
investment,
is
out
on
loan
for
securities
lending.
The
total
value
of
the
securities
out
on
loan
as
of
the
end
of
the
reporting
period
was
$2,533,392.
(4)
Optional
Call
Provisions:
Dates
(month
and
year)
and
prices
of
the
earliest
optional
call
or
redemption.
There
may
be
other
call
provisions
at
varying
prices
at
later
dates.
Certain
mortgage-backed
securities
may
be
subject
to
periodic
principal
paydowns.
(5)
The
Fund
may
loan
securities
representing
up
to
one
third
of
the
market
value
of
its
total
assets
(which
includes
collateral
for
securities
on
loan)
to
broker
dealers,
banks,
and
other
institutions.
The
collateral
maintained
by
the
Fund
shall
have
a
market
value,
at
the
inception
of
each
loan,
equal
to
not
less
than
100%
of
the
market
value
of
the
loaned
securities.
The
cash
collateral
received
by
the
Fund
is
invested
in
this
money
market
fund.
(6)
The
rate
shown
is
the
one-day
yield
as
of
the
end
of
the
reporting
period.
144A
Investment
is
exempt
from
registration
under
Rule
144A
of
the
Securities
Act
of
1933,
as
amended.
These
investments
may
only
be
resold
in
transactions
exempt
from
registration,
which
are
normally
those
transactions
with
qualified
institutional
buyers.
WI/DD
Purchased
on
a
when-issued
or
delayed
delivery
basis.