T |
United States Treasury Note/Bond |
5496490650 |
51.823 % |
4.374 B $ |
ORCL |
Oracle Corp |
84785000 |
0.86 % |
72.595 M $ |
T |
AT&T Inc |
92079500 |
0.845 % |
71.321 M $ |
MEX |
Mexico Government International Bond |
75183808 |
0.804 % |
67.861 M $ |
UNH |
UnitedHealth Group Inc |
68471000 |
0.738 % |
62.268 M $ |
CMCSA |
Comcast Corp |
73433000 |
0.622 % |
52.518 M $ |
VZ |
Verizon Communications Inc |
65578000 |
0.609 % |
51.440 M $ |
CHTR |
Charter Communications Operating LLC / Charter Communications Operating Capital |
60647000 |
0.589 % |
49.685 M $ |
BAC |
Bank of America Corp |
58433000 |
0.58 % |
48.935 M $ |
JPM |
JPMorgan Chase & Co |
55097000 |
0.572 % |
48.272 M $ |
AAPL |
Apple Inc |
61783000 |
0.549 % |
46.307 M $ |
ABBV |
AbbVie Inc |
49235000 |
0.534 % |
45.084 M $ |
GS |
Goldman Sachs Group Inc/The |
44956000 |
0.519 % |
43.766 M $ |
AMGN |
Amgen Inc |
42256000 |
0.463 % |
39.108 M $ |
WFC |
Wells Fargo & Co |
40992000 |
0.437 % |
36.902 M $ |
CVS |
CVS Health Corp |
38687000 |
0.427 % |
36.057 M $ |
BA |
Boeing Co/The |
36373000 |
0.419 % |
35.364 M $ |
MSFT |
Microsoft Corp |
48693000 |
0.413 % |
34.882 M $ |
|
MKTLIQ |
336184.749 |
0.398 % |
33.618 M $ |
BMY |
Bristol-Myers Squibb Co |
35273000 |
0.373 % |
31.468 M $ |
BNSF |
Burlington Northern Santa Fe LLC |
36384000 |
0.372 % |
31.411 M $ |
INTC |
Intel Corp |
38690000 |
0.36 % |
30.419 M $ |
AVGO |
Broadcom Inc |
32727000 |
0.357 % |
30.124 M $ |
HD |
Home Depot Inc/The |
33432000 |
0.345 % |
29.131 M $ |
AMZN |
Amazon.com Inc |
37418000 |
0.341 % |
28.753 M $ |
ET |
Energy Transfer LP |
29291000 |
0.34 % |
28.700 M $ |
TMUS |
T-Mobile USA Inc |
34287000 |
0.333 % |
28.138 M $ |
MS |
Morgan Stanley |
28642000 |
0.326 % |
27.545 M $ |
C |
Citigroup Inc |
27198000 |
0.31 % |
26.208 M $ |
EPD |
Enterprise Products Operating LLC |
29319000 |
0.305 % |
25.737 M $ |
PHILIP |
Philippine Government International Bond |
29779000 |
0.305 % |
25.703 M $ |
ABIBB |
Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc |
26771000 |
0.303 % |
25.541 M $ |
ABIBB |
Anheuser-Busch InBev Worldwide Inc |
24234000 |
0.302 % |
25.466 M $ |
RTX |
RTX Corp |
28413000 |
0.302 % |
25.494 M $ |
LLY |
Eli Lilly & Co |
26490000 |
0.281 % |
23.731 M $ |
PANAMA |
Panama Government International Bond |
28594000 |
0.28 % |
23.609 M $ |
ELV |
Elevance Health Inc |
26066000 |
0.279 % |
23.583 M $ |
PCG |
Pacific Gas and Electric Co |
26172569 |
0.273 % |
23.058 M $ |
HCA |
HCA Inc |
24539000 |
0.268 % |
22.596 M $ |
ED |
Consolidated Edison Co of New York Inc |
24128000 |
0.261 % |
22.001 M $ |
LOW |
Lowe's Cos Inc |
26698000 |
0.261 % |
22.041 M $ |
DIS |
Walt Disney Co/The |
25630000 |
0.26 % |
21.959 M $ |
CHILE |
Chile Government International Bond |
26628000 |
0.259 % |
21.877 M $ |
META |
Meta Platforms Inc |
22497000 |
0.257 % |
21.724 M $ |
MRK |
Merck & Co Inc |
27665000 |
0.255 % |
21.537 M $ |
OKE |
ONEOK Inc |
22216000 |
0.246 % |
20.800 M $ |
PERU |
Peruvian Government International Bond |
24450000 |
0.243 % |
20.506 M $ |
CI |
Cigna Group/The |
23060000 |
0.241 % |
20.337 M $ |
PFE |
Pfizer Investment Enterprises Pte Ltd |
21002000 |
0.239 % |
20.181 M $ |
EIX |
Southern California Edison Co |
23642000 |
0.235 % |
19.835 M $ |
GILD |
Gilead Sciences Inc |
22923000 |
0.235 % |
19.871 M $ |
UNP |
Union Pacific Corp |
25507000 |
0.234 % |
19.735 M $ |
MCD |
McDonald's Corp |
21270000 |
0.234 % |
19.781 M $ |
CAS |
State of California |
16350000 |
0.23 % |
19.388 M $ |
JNJ |
Johnson & Johnson |
22826000 |
0.223 % |
18.831 M $ |
WMT |
Walmart Inc |
21296000 |
0.221 % |
18.661 M $ |
PFE |
Pfizer Inc |
20294000 |
0.219 % |
18.472 M $ |
HSBC |
HSBC Holdings PLC |
16861000 |
0.213 % |
18.020 M $ |
INDON |
Indonesia Government International Bond |
21733000 |
0.212 % |
17.899 M $ |
IBM |
International Business Machines Corp |
21048000 |
0.21 % |
17.765 M $ |
TVA |
Tennessee Valley Authority |
17720000 |
0.209 % |
17.674 M $ |
MO |
Altria Group Inc |
20385000 |
0.208 % |
17.538 M $ |
D |
Virginia Electric and Power Co |
19145000 |
0.202 % |
17.080 M $ |
NSC |
Norfolk Southern Corp |
20248000 |
0.2 % |
16.921 M $ |
NEE |
Florida Power & Light Co |
18868000 |
0.199 % |
16.788 M $ |
XOM |
Exxon Mobil Corp |
20430000 |
0.198 % |
16.693 M $ |
BATSLN |
BAT Capital Corp |
17513000 |
0.197 % |
16.591 M $ |
LMT |
Lockheed Martin Corp |
18546000 |
0.196 % |
16.580 M $ |
CSX |
CSX Corp |
19090000 |
0.194 % |
16.386 M $ |
UPS |
United Parcel Service Inc |
16740000 |
0.185 % |
15.597 M $ |
KO |
Coca-Cola Co/The |
19949000 |
0.184 % |
15.553 M $ |
BPLN |
BP Capital Markets America Inc |
22204000 |
0.175 % |
14.804 M $ |
URUGUA |
Uruguay Government International Bond |
15014909 |
0.172 % |
14.507 M $ |
VOD |
Vodafone Group PLC |
15030000 |
0.168 % |
14.175 M $ |
GM |
General Motors Co |
14453000 |
0.168 % |
14.149 M $ |
DUK |
Duke Energy Carolinas LLC |
15351000 |
0.166 % |
14.026 M $ |
COP |
ConocoPhillips Co |
15822000 |
0.163 % |
13.791 M $ |
KHC |
Kraft Heinz Foods Co |
14858000 |
0.16 % |
13.502 M $ |
WMB |
Williams Cos Inc/The |
14269000 |
0.159 % |
13.431 M $ |
EXC |
Commonwealth Edison Co |
15419000 |
0.158 % |
13.361 M $ |
BRK |
Berkshire Hathaway Finance Corp |
15794000 |
0.156 % |
13.154 M $ |
MPLX |
MPLX LP |
14162000 |
0.153 % |
12.900 M $ |
MET |
MetLife Inc |
12996000 |
0.151 % |
12.753 M $ |
V |
Visa Inc |
15786000 |
0.149 % |
12.564 M $ |
MMC |
Marsh & McLennan Cos Inc |
13375000 |
0.146 % |
12.308 M $ |
BRKHEC |
PacifiCorp |
13494000 |
0.144 % |
12.190 M $ |
KR |
Kroger Co/The |
13188000 |
0.142 % |
12.016 M $ |
ISRAEL |
Israel Government International Bond |
14116000 |
0.141 % |
11.887 M $ |
HAL |
Halliburton Co |
12141000 |
0.139 % |
11.723 M $ |
BRKHEC |
Berkshire Hathaway Energy Co |
13236000 |
0.137 % |
11.531 M $ |
PORTRN |
Port Authority of New York & New Jersey |
13015000 |
0.136 % |
11.517 M $ |
CSCO |
Cisco Systems Inc |
11069000 |
0.135 % |
11.430 M $ |
RDSALN |
Shell Finance US Inc |
13822000 |
0.135 % |
11.376 M $ |
FDX |
FedEx Corp |
13412000 |
0.135 % |
11.431 M $ |
PEP |
PepsiCo Inc |
14422000 |
0.133 % |
11.236 M $ |
ABT |
Abbott Laboratories |
10892000 |
0.132 % |
11.156 M $ |
PRU |
Prudential Financial Inc |
12678000 |
0.129 % |
10.929 M $ |
AZN |
AstraZeneca PLC |
11499000 |
0.129 % |
10.904 M $ |
TELEFO |
Telefonica Emisiones SA |
11493000 |
0.129 % |
10.853 M $ |
PEG |
Public Service Electric and Gas Co |
12757000 |
0.127 % |
10.679 M $ |
BACR |
Barclays PLC |
11739000 |
0.127 % |
10.686 M $ |
XEL |
Northern States Power Co/MN |
11164000 |
0.125 % |
10.586 M $ |
KMI |
Kinder Morgan Inc |
11657000 |
0.125 % |
10.586 M $ |
NOC |
Northrop Grumman Corp |
11690000 |
0.125 % |
10.579 M $ |
PARA |
Paramount Global |
12053000 |
0.121 % |
10.234 M $ |
DUK |
Duke Energy Corp |
11645000 |
0.121 % |
10.203 M $ |
PM |
Philip Morris International Inc |
11087000 |
0.121 % |
10.172 M $ |
DOW |
Dow Chemical Co/The |
11695000 |
0.12 % |
10.134 M $ |
TRPCN |
TransCanada PipeLines Ltd |
9302000 |
0.12 % |
10.138 M $ |
ONCRTX |
Oncor Electric Delivery Co LLC |
11580000 |
0.119 % |
10.044 M $ |
DUK |
Duke Energy Progress LLC |
11997000 |
0.119 % |
10.016 M $ |
XEL |
Public Service Co of Colorado |
10803000 |
0.118 % |
9.936 M $ |
BABA |
Alibaba Group Holding Ltd |
12291000 |
0.118 % |
9.939 M $ |
ICE |
Intercontinental Exchange Inc |
12591000 |
0.117 % |
9.913 M $ |
NTRCN |
Nutrien Ltd |
9661000 |
0.113 % |
9.556 M $ |
CP |
Canadian Pacific Railway Co |
11527000 |
0.111 % |
9.350 M $ |
NI |
NiSource Inc |
9856000 |
0.111 % |
9.382 M $ |
TRV |
Travelers Cos Inc/The |
10526000 |
0.108 % |
9.117 M $ |
POLAND |
Republic of Poland Government International Bond |
9473000 |
0.108 % |
9.138 M $ |
AEE |
Union Electric Co |
11053000 |
0.107 % |
9.065 M $ |
TGT |
Target Corp |
10418000 |
0.107 % |
8.993 M $ |
BRKHEC |
MidAmerican Energy Co |
10119000 |
0.106 % |
8.928 M $ |
SPG |
Simon Property Group LP |
9209000 |
0.104 % |
8.777 M $ |
RDSALN |
Shell International Finance BV |
10428000 |
0.103 % |
8.719 M $ |
OXY |
Occidental Petroleum Corp |
8571000 |
0.103 % |
8.687 M $ |
EQNR |
Equinor ASA |
10155000 |
0.102 % |
8.568 M $ |
KMI |
Kinder Morgan Energy Partners LP |
8428000 |
0.1 % |
8.424 M $ |
QCOM |
QUALCOMM Inc |
8706000 |
0.099 % |
8.360 M $ |
SO |
Alabama Power Co |
10317000 |
0.099 % |
8.320 M $ |
ENBCN |
Enbridge Inc |
9587000 |
0.099 % |
8.321 M $ |
BHP |
BHP Billiton Finance USA Ltd |
8442000 |
0.098 % |
8.297 M $ |
AMXLMM |
America Movil SAB de CV |
8297000 |
0.096 % |
8.100 M $ |
TACHEM |
Takeda Pharmaceutical Co Ltd |
10840000 |
0.095 % |
7.990 M $ |
ETR |
Entergy Louisiana LLC |
8972000 |
0.094 % |
7.963 M $ |
NOVNVX |
Novartis Capital Corp |
9261000 |
0.093 % |
7.839 M $ |
CAT |
Caterpillar Inc |
8747000 |
0.09 % |
7.576 M $ |
DELL |
Dell International LLC / EMC Corp |
8085000 |
0.09 % |
7.583 M $ |
DTE |
DTE Electric Co |
9295000 |
0.09 % |
7.560 M $ |
SCCO |
Southern Copper Corp |
7253000 |
0.089 % |
7.542 M $ |
ATO |
Atmos Energy Corp |
8490000 |
0.089 % |
7.518 M $ |
EXC |
PECO Energy Co |
8980000 |
0.089 % |
7.501 M $ |
TXN |
Texas Instruments Inc |
8552000 |
0.088 % |
7.459 M $ |
CMS |
Consumers Energy Co |
9744000 |
0.087 % |
7.347 M $ |
DUK |
Duke Energy Florida LLC |
7738000 |
0.087 % |
7.319 M $ |
AWK |
American Water Capital Corp |
8447000 |
0.086 % |
7.254 M $ |
TTEFP |
TotalEnergies Capital SA |
7397000 |
0.086 % |
7.249 M $ |
GOOGL |
Alphabet Inc |
10366000 |
0.083 % |
6.975 M $ |
HON |
Honeywell International Inc |
7130000 |
0.081 % |
6.816 M $ |
ARE |
Alexandria Real Estate Equities Inc |
8650000 |
0.081 % |
6.849 M $ |
JBSSBZ |
JBS USA Holding Lux Sarl/ JBS USA Food Co/ JBS Lux Co Sarl |
6572000 |
0.08 % |
6.724 M $ |
FANG |
Diamondback Energy Inc |
7403000 |
0.08 % |
6.770 M $ |
CEG |
Constellation Energy Generation LLC |
6311000 |
0.079 % |
6.665 M $ |
AJG |
Arthur J Gallagher & Co |
7532000 |
0.079 % |
6.648 M $ |
CHTR |
Time Warner Cable LLC |
7051000 |
0.079 % |
6.667 M $ |
KPERM |
Kaiser Foundation Hospitals |
8618000 |
0.077 % |
6.528 M $ |
PSX |
Phillips 66 |
7063000 |
0.076 % |
6.400 M $ |
D |
Dominion Energy Inc |
7424000 |
0.076 % |
6.374 M $ |
PSD |
Puget Sound Energy Inc |
7050000 |
0.076 % |
6.438 M $ |
MA |
Mastercard Inc |
8358000 |
0.075 % |
6.302 M $ |
COP |
ConocoPhillips |
5879000 |
0.075 % |
6.313 M $ |
CB |
Chubb INA Holdings LLC |
8241000 |
0.075 % |
6.311 M $ |
ITALY |
Republic of Italy Government International Bond |
8603000 |
0.074 % |
6.282 M $ |
SRE |
San Diego Gas & Electric Co |
6930000 |
0.072 % |
6.095 M $ |
HPE |
Hewlett Packard Enterprise Co |
6013000 |
0.071 % |
5.952 M $ |
TTEFP |
TotalEnergies Capital International SA |
8705000 |
0.071 % |
6.030 M $ |
MMM |
3M Co |
7563000 |
0.071 % |
5.996 M $ |
CCI |
Crown Castle Inc |
7591000 |
0.07 % |
5.876 M $ |
NJSTRN |
New Jersey Turnpike Authority |
4924000 |
0.069 % |
5.796 M $ |
NYC |
City of New York NY |
5800000 |
0.069 % |
5.865 M $ |
IP |
International Paper Co |
6527000 |
0.068 % |
5.754 M $ |
GLW |
Corning Inc |
6142000 |
0.068 % |
5.698 M $ |
OGLETH |
Oglethorpe Power Corp |
5984000 |
0.068 % |
5.736 M $ |
PPL |
PPL Electric Utilities Corp |
6382000 |
0.068 % |
5.748 M $ |
NEE |
NextEra Energy Capital Holdings Inc |
5720000 |
0.067 % |
5.697 M $ |
CARR |
Carrier Global Corp |
6951000 |
0.067 % |
5.695 M $ |
MPC |
Marathon Petroleum Corp |
5783000 |
0.066 % |
5.586 M $ |
HUM |
Humana Inc |
6110000 |
0.066 % |
5.530 M $ |
EXC |
Baltimore Gas and Electric Co |
6086000 |
0.065 % |
5.454 M $ |
SYY |
Sysco Corp |
5786000 |
0.065 % |
5.449 M $ |
SUMIBK |
Sumitomo Mitsui Financial Group Inc |
5627000 |
0.065 % |
5.459 M $ |
DUK |
Duke Energy Indiana LLC |
6145000 |
0.065 % |
5.445 M $ |
DE |
Deere & Co |
6334000 |
0.064 % |
5.372 M $ |
CATMED |
CommonSpirit Health |
6616000 |
0.064 % |
5.393 M $ |
VALEBZ |
Vale Overseas Ltd |
5003000 |
0.064 % |
5.387 M $ |
CNP |
CenterPoint Energy Houston Electric LLC |
6535000 |
0.063 % |
5.318 M $ |
RCICN |
Rogers Communications Inc |
6105000 |
0.063 % |
5.281 M $ |
DVN |
Devon Energy Corp |
5697000 |
0.062 % |
5.214 M $ |
JBSSBZ |
JBS USA Holding Lux Sarl / JBS USA Foods Group Holdings Inc / JBS USA Food Co |
5085000 |
0.062 % |
5.205 M $ |
BNCN |
Brookfield Finance Inc |
5855000 |
0.061 % |
5.125 M $ |
CNRCN |
Canadian National Railway Co |
5023000 |
0.061 % |
5.180 M $ |
NVDA |
NVIDIA Corp |
6423000 |
0.061 % |
5.129 M $ |
PNW |
Arizona Public Service Co |
6152000 |
0.061 % |
5.140 M $ |
AEP |
AEP Transmission Co LLC |
6422000 |
0.061 % |
5.180 M $ |
TRGP |
Targa Resources Corp |
5066000 |
0.06 % |
5.062 M $ |
EXC |
Exelon Corp |
5487000 |
0.059 % |
4.983 M $ |
PAA |
Plains All American Pipeline LP / PAA Finance Corp |
5420000 |
0.059 % |
4.969 M $ |
EOG |
EOG Resources Inc |
4963000 |
0.059 % |
4.974 M $ |
SO |
Georgia Power Co |
5878000 |
0.059 % |
5.021 M $ |
NDAQ |
Nasdaq Inc |
5770000 |
0.059 % |
5.009 M $ |
GSK |
GlaxoSmithKline Capital Inc |
4563000 |
0.058 % |
4.895 M $ |
BAYTRN |
Bay Area Toll Authority |
4750000 |
0.058 % |
4.908 M $ |
RABOBK |
Cooperatieve Rabobank UA |
4959000 |
0.058 % |
4.908 M $ |
MKL |
Markel Group Inc |
5602000 |
0.057 % |
4.777 M $ |
ALL |
Allstate Corp/The |
5242000 |
0.057 % |
4.814 M $ |
GE |
General Electric Co |
4401000 |
0.057 % |
4.829 M $ |
FNMA |
Federal National Mortgage Association |
4321000 |
0.057 % |
4.827 M $ |
LLOYDS |
Lloyds Banking Group PLC |
5884000 |
0.057 % |
4.779 M $ |
PPL |
Kentucky Utilities Co |
5428000 |
0.056 % |
4.721 M $ |
MASSIN |
Massachusetts Institute of Technology |
5759000 |
0.056 % |
4.767 M $ |
DIS |
TWDC Enterprises 18 Corp |
5732000 |
0.055 % |
4.603 M $ |
BCECN |
Bell Telephone Co of Canada or Bell Canada |
5116000 |
0.055 % |
4.605 M $ |
SRE |
Southern California Gas Co |
4787000 |
0.055 % |
4.652 M $ |
BLK |
BlackRock Funding Inc |
4778000 |
0.055 % |
4.683 M $ |
F |
Ford Motor Co |
5624000 |
0.054 % |
4.559 M $ |
HIG |
Hartford Insurance Group Inc/The |
5353000 |
0.054 % |
4.586 M $ |
MUFG |
Mitsubishi UFJ Financial Group Inc |
5046000 |
0.054 % |
4.567 M $ |
VLO |
Valero Energy Corp |
4926000 |
0.054 % |
4.541 M $ |
SBUX |
Starbucks Corp |
5627000 |
0.053 % |
4.461 M $ |
MELPWR |
Municipal Electric Authority of Georgia |
4117000 |
0.053 % |
4.511 M $ |
KLAC |
KLA Corp |
4916000 |
0.052 % |
4.409 M $ |
KVUE |
Kenvue Inc |
4687000 |
0.052 % |
4.398 M $ |
LYB |
LYB International Finance III LLC |
6030000 |
0.052 % |
4.350 M $ |
KDP |
Keurig Dr Pepper Inc |
5452000 |
0.051 % |
4.290 M $ |
ABIBB |
Anheuser-Busch InBev Finance Inc |
4427000 |
0.05 % |
4.213 M $ |
RIOLN |
Rio Tinto Finance USA PLC |
4447000 |
0.05 % |
4.225 M $ |
HES |
Hess Corp |
3988000 |
0.05 % |
4.198 M $ |
ATH |
Athene Holding Ltd |
5039000 |
0.05 % |
4.242 M $ |
KMB |
Kimberly-Clark Corp |
4618000 |
0.049 % |
4.117 M $ |
BATSLN |
Reynolds American Inc |
4034000 |
0.049 % |
4.094 M $ |
SHW |
Sherwin-Williams Co/The |
4915000 |
0.049 % |
4.123 M $ |
GLDGEN |
Golden State Tobacco Securitization Corp |
5185000 |
0.049 % |
4.166 M $ |
CNQCN |
Canadian Natural Resources Ltd |
4099000 |
0.049 % |
4.154 M $ |
ZTS |
Zoetis Inc |
4931000 |
0.049 % |
4.149 M $ |
OKE |
ONEOK Partners LP |
3868000 |
0.049 % |
4.108 M $ |
FI |
Fiserv Inc |
4870000 |
0.048 % |
4.019 M $ |
PGR |
Progressive Corp/The |
4792000 |
0.048 % |
4.023 M $ |
FHLB |
Federal Home Loan Banks |
3705000 |
0.048 % |
4.070 M $ |
MCO |
Moody's Corp |
4982000 |
0.048 % |
4.040 M $ |
PLD |
Prologis LP |
4851000 |
0.047 % |
3.965 M $ |
UNVHGR |
Regents of the University of California Medical Center Pooled Revenue |
5300000 |
0.047 % |
3.965 M $ |
BIIB |
Biogen Inc |
5741000 |
0.047 % |
3.993 M $ |
TSN |
Tyson Foods Inc |
4383000 |
0.047 % |
3.985 M $ |
OC |
Owens Corning |
4156000 |
0.047 % |
4.004 M $ |
SW |
Smurfit Kappa Treasury ULC |
3795000 |
0.046 % |
3.882 M $ |
HARVRD |
President and Fellows of Harvard College |
5218000 |
0.046 % |
3.880 M $ |
AIG |
American International Group Inc |
4398000 |
0.046 % |
3.852 M $ |
AET |
Aetna Inc |
3940000 |
0.046 % |
3.869 M $ |
NYCUTL |
New York City Municipal Water Finance Authority |
3655000 |
0.045 % |
3.767 M $ |
AEE |
Ameren Illinois Co |
4525000 |
0.045 % |
3.820 M $ |
CRM |
Salesforce Inc |
5627000 |
0.045 % |
3.760 M $ |
SO |
Southern Co Gas Capital Corp |
4337000 |
0.045 % |
3.799 M $ |
TAP |
Molson Coors Beverage Co |
4458000 |
0.045 % |
3.819 M $ |
SPGI |
S&P Global Inc |
5195000 |
0.044 % |
3.751 M $ |
TMO |
Thermo Fisher Scientific Inc |
4181000 |
0.044 % |
3.691 M $ |
ASCHEA |
Ascension Health |
4325000 |
0.043 % |
3.636 M $ |
AMAT |
Applied Materials Inc |
3711000 |
0.043 % |
3.631 M $ |
NUE |
Nucor Corp |
3975000 |
0.043 % |
3.596 M $ |
RPRX |
Royalty Pharma PLC |
5014000 |
0.043 % |
3.647 M $ |
DALAPT |
Dallas Fort Worth International Airport |
4580000 |
0.043 % |
3.651 M $ |
WFC |
Wells Fargo Bank NA |
3390000 |
0.043 % |
3.660 M $ |
AEP |
Appalachian Power Co |
3957000 |
0.043 % |
3.638 M $ |
WMB |
Transcontinental Gas Pipe Line Co LLC |
4065000 |
0.043 % |
3.615 M $ |
AMT |
American Tower Corp |
5157000 |
0.042 % |
3.522 M $ |
CVECN |
Cenovus Energy Inc |
3787000 |
0.042 % |
3.512 M $ |
PYPL |
PayPal Holdings Inc |
3884000 |
0.042 % |
3.525 M $ |
ABXCN |
Barrick North America Finance LLC |
3469000 |
0.042 % |
3.582 M $ |
AON |
Aon North America Inc |
3445000 |
0.041 % |
3.471 M $ |
BRKHEC |
Nevada Power Co |
3572000 |
0.041 % |
3.445 M $ |
UNVHGR |
University of Michigan |
4580000 |
0.041 % |
3.502 M $ |
WSTP |
Westpac Banking Corp |
4262000 |
0.041 % |
3.485 M $ |
DD |
DuPont de Nemours Inc |
3500000 |
0.041 % |
3.497 M $ |
FOXA |
Fox Corp |
3438000 |
0.041 % |
3.424 M $ |
SNPS |
Synopsys Inc |
3413000 |
0.041 % |
3.444 M $ |
CHITRN |
Chicago Transit Authority Sales & Transfer Tax Receipts Revenue |
3115983.8458 |
0.041 % |
3.481 M $ |
WM |
Waste Management Inc |
4102000 |
0.04 % |
3.373 M $ |
DHR |
Danaher Corp |
4977000 |
0.04 % |
3.345 M $ |
TELVIS |
Grupo Televisa SAB |
4343000 |
0.04 % |
3.341 M $ |
RIOLN |
Rio Tinto Finance USA Ltd |
3809000 |
0.04 % |
3.349 M $ |
SUCN |
Suncor Energy Inc |
3621000 |
0.039 % |
3.279 M $ |
NYUHOS |
NYU Langone Hospitals |
3744000 |
0.039 % |
3.293 M $ |
AEP |
AEP Texas Inc |
4038000 |
0.039 % |
3.267 M $ |
STZ |
Constellation Brands Inc |
4022000 |
0.039 % |
3.271 M $ |
ADI |
Analog Devices Inc |
4662000 |
0.038 % |
3.212 M $ |
WES |
Western Midstream Operating LP |
3662000 |
0.038 % |
3.209 M $ |
SRE |
Sempra |
3692000 |
0.038 % |
3.238 M $ |
LASGOV |
Louisiana Local Government Environmental Facilities & Community Development Auth |
3150000 |
0.038 % |
3.166 M $ |
SO |
Southern Co/The |
3554000 |
0.038 % |
3.208 M $ |
KFW |
Kreditanstalt fuer Wiederaufbau |
5195000 |
0.038 % |
3.217 M $ |
XEL |
Southwestern Public Service Co |
3747000 |
0.037 % |
3.140 M $ |
WLK |
Westlake Corp |
4409000 |
0.037 % |
3.147 M $ |
PH |
Parker-Hannifin Corp |
3597000 |
0.037 % |
3.090 M $ |
PSX |
Phillips 66 Co |
3440000 |
0.037 % |
3.125 M $ |
CRBG |
Corebridge Financial Inc |
3770000 |
0.037 % |
3.161 M $ |
SYK |
Stryker Corp |
3697000 |
0.037 % |
3.101 M $ |
REPHUN |
Hungary Government International Bond |
2650000 |
0.037 % |
3.135 M $ |
USCTRJ |
University of Southern California |
4068000 |
0.036 % |
3.049 M $ |
VMC |
Vulcan Materials Co |
3270000 |
0.036 % |
3.035 M $ |
APTV |
Aptiv Swiss Holdings Ltd |
4057000 |
0.036 % |
3.031 M $ |
MTNA |
ArcelorMittal SA |
2741000 |
0.035 % |
2.980 M $ |
VTRS |
Viatris Inc |
4159000 |
0.035 % |
2.957 M $ |
CNOOC |
CNOOC Finance 2013 Ltd |
3450000 |
0.035 % |
2.918 M $ |
MAR |
Marriott International Inc/MD |
2890000 |
0.035 % |
2.947 M $ |
PFG |
Principal Financial Group Inc |
3179000 |
0.035 % |
2.919 M $ |
SJM |
J M Smucker Co/The |
2695000 |
0.035 % |
2.960 M $ |
LHX |
L3Harris Technologies Inc |
3015000 |
0.035 % |
2.993 M $ |
AEP |
Southwestern Electric Power Co |
3558000 |
0.035 % |
2.955 M $ |
LYB |
LYB International Finance BV |
3233000 |
0.034 % |
2.832 M $ |
NKE |
NIKE Inc |
3534000 |
0.034 % |
2.830 M $ |
D |
Dominion Energy South Carolina Inc |
2943000 |
0.034 % |
2.901 M $ |
MU |
Micron Technology Inc |
3299000 |
0.033 % |
2.788 M $ |
RKTLN |
Mead Johnson Nutrition Co |
2979000 |
0.033 % |
2.791 M $ |
AMEPWR |
American Municipal Power Inc |
2270000 |
0.033 % |
2.752 M $ |
TAISEM |
TSMC Arizona Corp |
3331000 |
0.033 % |
2.759 M $ |
ORAFP |
Orange SA |
2756000 |
0.033 % |
2.751 M $ |
EVRG |
Evergy Metro Inc |
3252000 |
0.033 % |
2.826 M $ |
TXS |
State of Texas |
2615000 |
0.032 % |
2.682 M $ |
TE |
Tampa Electric Co |
3399000 |
0.032 % |
2.702 M $ |
TNGUTL |
Texas Natural Gas Securitization Finance Corp |
2650000 |
0.032 % |
2.700 M $ |
LRCX |
Lam Research Corp |
4139000 |
0.032 % |
2.710 M $ |
MLM |
Martin Marietta Materials Inc |
3435000 |
0.032 % |
2.727 M $ |
GD |
General Dynamics Corp |
3104000 |
0.032 % |
2.733 M $ |
FTSCN |
Tucson Electric Power Co |
2764000 |
0.032 % |
2.663 M $ |
GE |
GE Capital International Funding Co Unlimited Co |
2755000 |
0.032 % |
2.698 M $ |
EXC |
Potomac Electric Power Co |
2685000 |
0.031 % |
2.658 M $ |
GPN |
Global Payments Inc |
3012000 |
0.031 % |
2.614 M $ |
TRIHEA |
Trinity Health Corp |
3470000 |
0.031 % |
2.637 M $ |
BAMCN |
Brookfield Asset Management Ltd |
2500000 |
0.031 % |
2.594 M $ |
FCX |
Freeport-McMoRan Inc |
2703000 |
0.031 % |
2.599 M $ |
WTRG |
Essential Utilities Inc |
3278000 |
0.031 % |
2.593 M $ |
MDT |
Medtronic Inc |
2891000 |
0.031 % |
2.656 M $ |
NXPI |
NXP BV / NXP Funding LLC / NXP USA Inc |
3589000 |
0.031 % |
2.637 M $ |
ITW |
Illinois Tool Works Inc |
2901000 |
0.031 % |
2.620 M $ |
IDA |
Idaho Power Co |
2706000 |
0.031 % |
2.623 M $ |
OKSDEV |
Oklahoma Development Finance Authority |
2740000 |
0.031 % |
2.639 M $ |
CAG |
Conagra Brands Inc |
2639000 |
0.03 % |
2.534 M $ |
FFHCN |
Fairfax Financial Holdings Ltd |
2410000 |
0.03 % |
2.556 M $ |
BRO |
Brown & Brown Inc |
2585000 |
0.03 % |
2.553 M $ |
UNVHGR |
University of California |
3240000 |
0.03 % |
2.556 M $ |
UBS |
UBS Group AG |
2723000 |
0.03 % |
2.554 M $ |
CASHGR |
California State University |
3485000 |
0.029 % |
2.484 M $ |
GWW |
WW Grainger Inc |
2835000 |
0.029 % |
2.421 M $ |
TXHLTH |
Texas Health Resources |
3195000 |
0.029 % |
2.435 M $ |
GRWASH |
George Washington University/The |
2841000 |
0.029 % |
2.468 M $ |
CMCSA |
NBCUniversal Media LLC |
2780000 |
0.029 % |
2.430 M $ |
HMHLTH |
Hackensack Meridian Health Inc |
3207000 |
0.029 % |
2.443 M $ |
OVV |
Ovintiv Inc |
2328000 |
0.029 % |
2.457 M $ |
ETR |
Entergy Mississippi LLC |
2575000 |
0.029 % |
2.426 M $ |
CF |
CF Industries Inc |
2463000 |
0.028 % |
2.329 M $ |
LNT |
Interstate Power and Light Co |
2861000 |
0.028 % |
2.396 M $ |
IADB |
Inter-American Development Bank |
2648000 |
0.028 % |
2.364 M $ |
BRKHEC |
Eastern Energy Gas Holdings LLC |
2325000 |
0.028 % |
2.331 M $ |
CVX |
Chevron USA Inc |
2325000 |
0.028 % |
2.352 M $ |
WRB |
W R Berkley Corp |
2895000 |
0.027 % |
2.273 M $ |
ETR |
Entergy Texas Inc |
2616000 |
0.027 % |
2.309 M $ |
NWUNI |
Northwestern University |
2580000 |
0.027 % |
2.285 M $ |
KIM |
Kimco Realty OP LLC |
2856000 |
0.027 % |
2.291 M $ |
USD |
US Dollar |
2318317.82 |
0.027 % |
2.318 M $ |
WFC |
Wachovia Corp |
2223000 |
0.027 % |
2.289 M $ |
CAH |
Cardinal Health Inc |
2620000 |
0.027 % |
2.308 M $ |
BDX |
Becton Dickinson & Co |
2601000 |
0.027 % |
2.300 M $ |
AER |
AerCap Ireland Capital DAC / AerCap Global Aviation Trust |
2721000 |
0.027 % |
2.281 M $ |
GMT |
GATX Corp |
2785000 |
0.027 % |
2.242 M $ |
EVRG |
Evergy Kansas Central Inc |
2730000 |
0.027 % |
2.237 M $ |
NOVANT |
Novant Health Inc |
2954000 |
0.026 % |
2.176 M $ |
PSJHOG |
Providence St Joseph Health Obligated Group |
3125000 |
0.026 % |
2.214 M $ |
JCI |
Johnson Controls International plc |
2525000 |
0.026 % |
2.218 M $ |
NYSHGR |
New York State Dormitory Authority |
2150000 |
0.026 % |
2.226 M $ |
EL |
Estee Lauder Cos Inc/The |
2543000 |
0.026 % |
2.161 M $ |
CHCOCH |
Cheniere Corpus Christi Holdings LLC |
2579000 |
0.026 % |
2.168 M $ |
DGELN |
Diageo Capital PLC |
2270000 |
0.026 % |
2.210 M $ |
CNOOC |
CNOOC Petroleum North America ULC |
1849000 |
0.026 % |
2.185 M $ |
SANUTL |
City of San Antonio TX Electric & Gas Systems Revenue |
2050000 |
0.025 % |
2.074 M $ |
RSG |
Republic Services Inc |
2472000 |
0.025 % |
2.115 M $ |
AON |
Aon Corp / Aon Global Holdings PLC |
3014000 |
0.025 % |
2.095 M $ |
NSHRLI |
Northwell Healthcare Inc |
2654000 |
0.025 % |
2.085 M $ |
CMNGEN |
Commonwealth Financing Authority |
2420000 |
0.025 % |
2.084 M $ |
UNM |
Unum Group |
2315000 |
0.025 % |
2.108 M $ |
NNN |
NNN REIT Inc |
3088000 |
0.025 % |
2.097 M $ |
OTIS |
Otis Worldwide Corp |
2780000 |
0.025 % |
2.119 M $ |
STSGEN |
Sales Tax Securitization Corp |
2390000 |
0.025 % |
2.079 M $ |
UAL |
United Airlines 2023-1 Class A Pass Through Trust |
2066530.7739 |
0.025 % |
2.137 M $ |
WTW |
Willis North America Inc |
2401000 |
0.025 % |
2.144 M $ |
ETN |
Eaton Corp |
2490000 |
0.025 % |
2.129 M $ |
ES |
Connecticut Light and Power Co/The |
2268000 |
0.025 % |
2.101 M $ |
GPTTRN |
Grand Parkway Transportation Corp |
2725000 |
0.025 % |
2.139 M $ |
WEC |
Wisconsin Public Service Corp |
2646000 |
0.025 % |
2.072 M $ |
URUGUA |
Oriental Republic of Uruguay |
2220000 |
0.025 % |
2.084 M $ |
CMI |
Cummins Inc |
2460000 |
0.025 % |
2.071 M $ |
CME |
CME Group Inc |
2253000 |
0.025 % |
2.119 M $ |
BSWHLD |
Baylor Scott & White Holdings |
2728000 |
0.024 % |
1.995 M $ |
OHSHGR |
Ohio State University/The |
2122000 |
0.024 % |
1.988 M $ |
PHIANA |
Koninklijke Philips NV |
1960000 |
0.024 % |
2.026 M $ |
EBAY |
eBay Inc |
2516000 |
0.024 % |
1.990 M $ |
KOREA |
Korea International Bond |
2287000 |
0.024 % |
2.026 M $ |
SWK |
Stanley Black & Decker Inc |
2398000 |
0.024 % |
2.043 M $ |
EMN |
Eastman Chemical Co |
2373000 |
0.024 % |
2.054 M $ |
AON |
Aon Global Ltd |
2304000 |
0.024 % |
2.059 M $ |
ADVHEA |
Advocate Health & Hospitals Corp |
2728000 |
0.024 % |
2.050 M $ |
UNIHGR |
Board of Regents of the University of Texas System |
2475000 |
0.024 % |
2.010 M $ |
SO |
Southern Power Co |
2082000 |
0.024 % |
1.999 M $ |
CPB |
Campbell's Company/The |
2525000 |
0.024 % |
2.026 M $ |
MAYOCL |
Mayo Clinic |
2665000 |
0.024 % |
2.005 M $ |
RE |
Everest Reinsurance Holdings Inc |
2725000 |
0.024 % |
2.021 M $ |
MAS |
Commonwealth of Massachusetts |
2065000 |
0.023 % |
1.922 M $ |
ETR |
Entergy Arkansas LLC |
2864000 |
0.023 % |
1.976 M $ |
NYPRES |
New York and Presbyterian Hospital/The |
2758000 |
0.023 % |
1.982 M $ |
HPQ |
HP Inc |
1839000 |
0.023 % |
1.900 M $ |
ISRAEL |
State of Israel |
2872000 |
0.023 % |
1.907 M $ |
ENBCN |
Enbridge Energy Partners LP |
1795000 |
0.023 % |
1.966 M $ |
AEP |
Indiana Michigan Power Co |
2563000 |
0.023 % |
1.973 M $ |
DG |
Dollar General Corp |
2397000 |
0.023 % |
1.960 M $ |
OGE |
Oklahoma Gas and Electric Co |
2141000 |
0.023 % |
1.921 M $ |
WELL |
Welltower OP LLC |
1950000 |
0.023 % |
1.962 M $ |
SUTHEA |
Sutter Health |
2550000 |
0.023 % |
1.975 M $ |
AXP |
American Express Co |
2113000 |
0.022 % |
1.832 M $ |
Y |
Alleghany Corp |
2275000 |
0.022 % |
1.854 M $ |
EMR |
Emerson Electric Co |
2919000 |
0.022 % |
1.874 M $ |
BOSCHI |
Children's Hospital Corp/The |
2539000 |
0.022 % |
1.880 M $ |
IFF |
International Flavors & Fragrances Inc |
2093000 |
0.022 % |
1.841 M $ |
WCNCN |
Waste Connections Inc |
2821000 |
0.022 % |
1.869 M $ |
MDC |
MDC Holdings Inc |
1853000 |
0.021 % |
1.761 M $ |
PARHC |
Mass General Brigham Inc |
2512000 |
0.021 % |
1.804 M $ |
AEP |
Ohio Power Co |
2399000 |
0.021 % |
1.775 M $ |
CQP |
Cheniere Energy Partners LP |
1725000 |
0.021 % |
1.765 M $ |
MSKCC |
Memorial Sloan-Kettering Cancer Center |
2230000 |
0.021 % |
1.802 M $ |
IPG |
Interpublic Group of Cos Inc/The |
2058000 |
0.021 % |
1.754 M $ |
MSI |
Motorola Solutions Inc |
1750000 |
0.021 % |
1.746 M $ |
BFB |
Brown-Forman Corp |
2055000 |
0.021 % |
1.814 M $ |
LOSUTL |
Los Angeles Department of Water & Power |
1650000 |
0.021 % |
1.757 M $ |
GEHC |
GE HealthCare Technologies Inc |
1567000 |
0.02 % |
1.728 M $ |
GLPI |
GLP Capital LP / GLP Financing II Inc |
1690000 |
0.02 % |
1.689 M $ |
JEF |
Jefferies Financial Group Inc |
1556000 |
0.02 % |
1.662 M $ |
ORHLTH |
Orlando Health Obligated Group |
2035000 |
0.02 % |
1.684 M $ |
UNIHGR |
University of Virginia |
2550000 |
0.02 % |
1.655 M $ |
DOV |
Dover Corp |
1665000 |
0.02 % |
1.698 M $ |
DUK |
Progress Energy Inc |
1595000 |
0.02 % |
1.691 M $ |
INTU |
Intuit Inc |
1645000 |
0.02 % |
1.656 M $ |
BSX |
Boston Scientific Corp |
1845000 |
0.02 % |
1.721 M $ |
DUK |
Piedmont Natural Gas Co Inc |
2038000 |
0.02 % |
1.719 M $ |
ENBCN |
Spectra Energy Partners LP |
1705000 |
0.019 % |
1.592 M $ |
DALTRN |
Dallas Area Rapid Transit |
1585000 |
0.019 % |
1.587 M $ |
JACTGL |
Johnsonville Aeroderivative Combustion Turbine Generation LLC |
1697442.5829 |
0.019 % |
1.634 M $ |
O |
Realty Income Corp |
1750000 |
0.019 % |
1.608 M $ |
CHITRN |
Chicago O'Hare International Airport |
1640000 |
0.019 % |
1.597 M $ |
INUHLT |
Indiana University Health Inc Obligated Group |
2190000 |
0.019 % |
1.599 M $ |
GTOWNU |
Georgetown University/The |
2030000 |
0.019 % |
1.601 M $ |
ALB |
Albemarle Corp |
1750000 |
0.019 % |
1.562 M $ |
K |
Kellanova |
1754000 |
0.019 % |
1.619 M $ |
ADM |
Archer-Daniels-Midland Co |
2187000 |
0.019 % |
1.596 M $ |
MIZUHO |
Mizuho Financial Group Inc |
1500000 |
0.018 % |
1.540 M $ |
UBER |
Uber Technologies Inc |
1600000 |
0.018 % |
1.551 M $ |
NRTTRN |
North Texas Tollway Authority |
1360000 |
0.018 % |
1.515 M $ |
NRUC |
National Rural Utilities Cooperative Finance Corp |
1748000 |
0.018 % |
1.494 M $ |
PREHCS |
Presbyterian Healthcare Services |
1705000 |
0.018 % |
1.537 M $ |
LIN |
Linde Inc/CT |
2055000 |
0.018 % |
1.479 M $ |
DUKUNI |
Duke University |
2251000 |
0.018 % |
1.515 M $ |
WEC |
Wisconsin Electric Power Co |
1602000 |
0.018 % |
1.523 M $ |
AEP |
American Electric Power Co Inc |
1870000 |
0.018 % |
1.501 M $ |
ECL |
Ecolab Inc |
2514000 |
0.018 % |
1.514 M $ |
HAS |
Hasbro Inc |
1461000 |
0.017 % |
1.398 M $ |
OGS |
ONE Gas Inc |
1673000 |
0.017 % |
1.473 M $ |
BRK |
Berkshire Hathaway Inc |
1473000 |
0.017 % |
1.398 M $ |
EQIX |
Equinix Inc |
2121000 |
0.017 % |
1.432 M $ |
PRNCTN |
Trustees of Princeton University/The |
2024000 |
0.017 % |
1.467 M $ |
CB |
Chubb Corp/The |
1313000 |
0.017 % |
1.463 M $ |
MOS |
Mosaic Co/The |
1550000 |
0.017 % |
1.472 M $ |
NEM |
Newmont Corp |
1450000 |
0.017 % |
1.458 M $ |
HSY |
Hershey Co/The |
2033000 |
0.017 % |
1.399 M $ |
PCP |
Precision Castparts Corp |
1663000 |
0.017 % |
1.428 M $ |
AVA |
Avista Corp |
1751000 |
0.017 % |
1.414 M $ |
VICI |
VICI Properties LP |
1515000 |
0.017 % |
1.473 M $ |
APO |
Apollo Global Management Inc |
1425000 |
0.017 % |
1.443 M $ |
SWX |
Southwest Gas Corp |
1795000 |
0.017 % |
1.395 M $ |
MIATRN |
County of Miami-Dade FL Aviation Revenue |
1605000 |
0.017 % |
1.474 M $ |
LEA |
Lear Corp |
1697000 |
0.016 % |
1.314 M $ |
MTATRN |
Metropolitan Transportation Authority Dedicated Tax Fund |
1160000 |
0.016 % |
1.386 M $ |
FIS |
Fidelity National Information Services Inc |
1686000 |
0.016 % |
1.340 M $ |
UBS |
UBS AG/London |
1485000 |
0.016 % |
1.317 M $ |
UPENN |
Trustees of the University of Pennsylvania/The |
1947000 |
0.016 % |
1.317 M $ |
CL |
Colgate-Palmolive Co |
1595000 |
0.016 % |
1.312 M $ |
ROK |
Rockwell Automation Inc |
1864000 |
0.016 % |
1.328 M $ |
DHR |
DH Europe Finance II Sarl |
1720000 |
0.016 % |
1.337 M $ |
RUTHGR |
Rutgers The State University of New Jersey |
1515000 |
0.016 % |
1.326 M $ |
TXSTRN |
Texas Private Activity Bond Surface Transportation Corp |
1525000 |
0.015 % |
1.224 M $ |
ES |
NSTAR Electric Co |
1328000 |
0.015 % |
1.270 M $ |
SNA |
Snap-on Inc |
1734000 |
0.015 % |
1.308 M $ |
COR |
Cencora Inc |
1545000 |
0.015 % |
1.291 M $ |
BHF |
Brighthouse Financial Inc |
1573000 |
0.015 % |
1.251 M $ |
CALTEC |
California Institute of Technology |
1645000 |
0.015 % |
1.308 M $ |
AHSCRP |
AHS Hospital Corp |
1655000 |
0.015 % |
1.285 M $ |
UAL |
United Airlines 2024-1 Class AA Pass Through Trust |
1206901.83 |
0.015 % |
1.241 M $ |
RJF |
Raymond James Financial Inc |
1717000 |
0.015 % |
1.292 M $ |
HOPECA |
City of Hope |
1320000 |
0.014 % |
1.193 M $ |
APA |
Apache Corp |
1334000 |
0.014 % |
1.194 M $ |
TRICN |
TR Finance LLC |
1140000 |
0.014 % |
1.171 M $ |
LOSHGR |
Los Angeles Community College District/CA |
1040000 |
0.014 % |
1.169 M $ |
AEP |
Public Service Co of Oklahoma |
1125000 |
0.014 % |
1.149 M $ |
ABXCN |
Barrick PD Australia Finance Pty Ltd |
1106000 |
0.014 % |
1.174 M $ |
WGL |
Washington Gas Light Co |
1605000 |
0.014 % |
1.209 M $ |
ADNA |
Koninklijke Ahold Delhaize NV |
1120000 |
0.014 % |
1.165 M $ |
FE |
Toledo Edison Co/The |
1067000 |
0.014 % |
1.162 M $ |
EMBRBZ |
Embraer Netherlands Finance BV |
1190000 |
0.014 % |
1.185 M $ |
JBSSBZ |
JBS USA LUX Sarl / JBS USA Food Co / JBS USA Foods Group |
1095000 |
0.014 % |
1.143 M $ |
EMACN |
Emera US Finance LP |
1377000 |
0.014 % |
1.188 M $ |
ES |
Public Service Co of New Hampshire |
1427000 |
0.014 % |
1.202 M $ |
ARES |
Ares Management Corp |
1209000 |
0.014 % |
1.166 M $ |
PG |
Procter & Gamble Co/The |
1371000 |
0.014 % |
1.182 M $ |
KSSDEV |
Kansas Development Finance Authority |
1400000 |
0.014 % |
1.219 M $ |
FE |
FirstEnergy Corp |
1745000 |
0.014 % |
1.216 M $ |
MDSDEV |
Maryland Economic Development Corp |
1211000 |
0.014 % |
1.200 M $ |
PSUHGR |
Pennsylvania State University/The |
1530000 |
0.013 % |
1.103 M $ |
CATMED |
Dignity Health |
1280000 |
0.013 % |
1.137 M $ |
MOSMED |
Health & Educational Facilities Authority of the State of Missouri |
1475000 |
0.013 % |
1.085 M $ |
OHCMED |
OhioHealth Corp |
1480000 |
0.013 % |
1.062 M $ |
AVB |
AvalonBay Communities Inc |
1310000 |
0.013 % |
1.068 M $ |
AFL |
Aflac Inc |
1364000 |
0.013 % |
1.112 M $ |
STNFRD |
Leland Stanford Junior University/The |
1517000 |
0.013 % |
1.103 M $ |
GCHWTR |
Metropolitan Water Reclamation District of Greater Chicago |
1020000 |
0.013 % |
1.068 M $ |
ALLINA |
Allina Health System |
1366000 |
0.013 % |
1.075 M $ |
VALEBZ |
Vale SA |
1070000 |
0.013 % |
1.090 M $ |
STLD |
Steel Dynamics Inc |
1332000 |
0.013 % |
1.115 M $ |
KOF |
Coca-Cola Femsa SAB de CV |
1115000 |
0.013 % |
1.086 M $ |
MDLZ |
Mondelez International Inc |
1784000 |
0.013 % |
1.082 M $ |
HLNLN |
Haleon US Capital LLC |
1396000 |
0.013 % |
1.113 M $ |
ES |
Eversource Energy |
1515000 |
0.013 % |
1.094 M $ |
WU |
Western Union Co/The |
1045000 |
0.013 % |
1.091 M $ |
CTRA |
Coterra Energy Inc |
1120000 |
0.013 % |
1.082 M $ |
DHI |
DR Horton Inc |
1027000 |
0.013 % |
1.064 M $ |
IBM |
IBM International Capital Pte Ltd |
1073000 |
0.012 % |
1.027 M $ |
RCL |
Royal Caribbean Cruises Ltd |
1000000 |
0.012 % |
1.006 M $ |
EA |
Electronic Arts Inc |
1145000 |
0.012 % |
991.190 K $ |
VOYA |
Voya Financial Inc |
1029000 |
0.012 % |
1.037 M $ |
UNIVND |
University of Notre Dame du Lac |
1285000 |
0.012 % |
989.440 K $ |
BAX |
Baxter International Inc |
1430000 |
0.012 % |
1.023 M $ |
PFE |
Wyeth LLC |
954000 |
0.012 % |
1.033 M $ |
PPL |
Louisville Gas and Electric Co |
958000 |
0.012 % |
985.545 K $ |
WAUNIV |
Washington University/The |
1380000 |
0.012 % |
1.042 M $ |
UNANA |
Unilever Capital Corp |
1577000 |
0.012 % |
992.990 K $ |
TCN |
TELUS Corp |
1210000 |
0.012 % |
1.048 M $ |
MNTEFI |
Montefiore Obligated Group |
1364000 |
0.012 % |
1.030 M $ |
INOVHS |
Inova Health System Foundation |
1285000 |
0.012 % |
1.036 M $ |
MISFIN |
Michigan Finance Authority |
1170000 |
0.012 % |
986.909 K $ |
SPLLLC |
Sabine Pass Liquefaction LLC |
957804.15 |
0.012 % |
1.006 M $ |
TT |
Trane Technologies Holdco Inc |
929000 |
0.012 % |
977.581 K $ |
MDSMED |
Maryland Health & Higher Educational Facilities Authority |
1325000 |
0.012 % |
977.951 K $ |
XEL |
Northern States Power Co/WI |
980000 |
0.012 % |
1.009 M $ |
HOU |
City of Houston TX |
1135000 |
0.012 % |
974.266 K $ |
MTATRN |
Metropolitan Transportation Authority |
950000 |
0.012 % |
1.031 M $ |
STNFHC |
Stanford Health Care |
1339000 |
0.012 % |
993.902 K $ |
PSA |
Public Storage Operating Co |
990000 |
0.012 % |
978.508 K $ |
MAS |
Masco Corp |
1329000 |
0.012 % |
1.001 M $ |
MASTRN |
Commonwealth of Massachusetts Transportation Fund Revenue |
865000 |
0.011 % |
906.830 K $ |
CPGX |
Columbia Pipeline Group Inc |
900000 |
0.011 % |
897.270 K $ |
ACGL |
Arch Capital Group US Inc |
951000 |
0.011 % |
907.453 K $ |
NJSTRN |
New Jersey Transportation Trust Fund Authority |
805000 |
0.011 % |
893.430 K $ |
HOG |
Harley-Davidson Inc |
1135000 |
0.011 % |
922.892 K $ |
FOOTRN |
Foothill-Eastern Transportation Corridor Agency |
1165000 |
0.011 % |
936.950 K $ |
SON |
Sonoco Products Co |
870000 |
0.011 % |
889.873 K $ |
EQR |
ERP Operating LP |
1124000 |
0.011 % |
945.229 K $ |
IBESM |
Iberdrola International BV |
821000 |
0.011 % |
931.477 K $ |
IR |
Ingersoll Rand Inc |
890000 |
0.011 % |
905.784 K $ |
SDGWTR |
San Diego County Water Authority |
920000 |
0.011 % |
960.829 K $ |
NEM |
Newmont Corp / Newcrest Finance Pty Ltd |
1135000 |
0.011 % |
952.331 K $ |
GIS |
General Mills Inc |
1369000 |
0.011 % |
893.979 K $ |
DGELN |
Diageo Investment Corp |
1057000 |
0.011 % |
922.830 K $ |
RF |
Regions Bank/Birmingham AL |
815000 |
0.011 % |
893.717 K $ |
MFCCN |
Manulife Financial Corp |
918000 |
0.011 % |
916.919 K $ |
EQH |
Equitable Holdings Inc |
1049000 |
0.011 % |
962.855 K $ |
CLR |
Continental Resources Inc/OK |
1177000 |
0.011 % |
959.531 K $ |
XYL |
Xylem Inc/NY |
1091000 |
0.011 % |
925.702 K $ |
SALPWR |
Salt River Project Agricultural Improvement & Power District |
945000 |
0.011 % |
928.339 K $ |
ACGL |
Arch Capital Group Ltd |
1214000 |
0.011 % |
906.313 K $ |
BAC |
Bank of America NA |
752000 |
0.01 % |
815.746 K $ |
UNICHI |
University of Chicago/The |
1211000 |
0.01 % |
882.826 K $ |
HSBC |
HSBC Bank USA NA/New York NY |
845000 |
0.01 % |
880.946 K $ |
BHI |
Baker Hughes Holdings LLC / Baker Hughes Co-Obligor Inc |
1016000 |
0.01 % |
821.526 K $ |
NYSDEV |
Empire State Development Corp |
820000 |
0.01 % |
847.998 K $ |
DALFAC |
Dallas Convention Center Hotel Development Corp |
715000 |
0.01 % |
806.103 K $ |
ZBH |
Zimmer Biomet Holdings Inc |
915000 |
0.01 % |
802.337 K $ |
AFG |
American Financial Group Inc/OH |
975000 |
0.01 % |
820.268 K $ |
EIB |
European Investment Bank |
763000 |
0.01 % |
805.671 K $ |
VRSK |
Verisk Analytics Inc |
808000 |
0.01 % |
815.583 K $ |
RICEUN |
William Marsh Rice University |
1084000 |
0.01 % |
853.494 K $ |
Y |
Transatlantic Holdings Inc |
688000 |
0.01 % |
867.130 K $ |
SO |
Mississippi Power Co |
980000 |
0.01 % |
853.439 K $ |
UTYPNT |
Iowa Health System |
1125000 |
0.01 % |
847.068 K $ |
MCLARN |
McLaren Health Care Corp |
982000 |
0.01 % |
833.044 K $ |
WISGEN |
State of Wisconsin |
875000 |
0.01 % |
826.965 K $ |
TACHEM |
Baxalta Inc |
860000 |
0.01 % |
825.902 K $ |
BHI |
Baker Hughes Holdings LLC |
902000 |
0.01 % |
885.592 K $ |
SOBOCN |
South Bow USA Infrastructure Holdings LLC |
880000 |
0.01 % |
858.490 K $ |
LNC |
Lincoln National Corp |
735000 |
0.01 % |
837.273 K $ |
XL |
XL Group Ltd |
870000 |
0.01 % |
845.609 K $ |
METAPT |
Metropolitan Washington Airports Authority Dulles Toll Road Revenue |
730000 |
0.01 % |
880.270 K $ |
VTR |
Ventas Realty LP |
848000 |
0.01 % |
845.151 K $ |
TJX |
TJX Cos Inc/The |
957000 |
0.01 % |
845.905 K $ |
NOV |
NOV Inc |
963000 |
0.009 % |
752.188 K $ |
ACGL |
Arch Capital Finance LLC |
810000 |
0.009 % |
754.417 K $ |
NACONV |
Nature Conservancy/The |
967000 |
0.009 % |
769.641 K $ |
DUK |
Duke Energy Ohio Inc |
844000 |
0.009 % |
784.263 K $ |
CHD |
Church & Dwight Co Inc |
980000 |
0.009 % |
784.035 K $ |
TAMHGR |
Permanent University Fund - Texas A&M University System |
1000000 |
0.009 % |
736.848 K $ |
BAPHLT |
Baptist Healthcare System Obligated Group |
996000 |
0.009 % |
721.709 K $ |
HARTHC |
Hartford HealthCare Corp |
1085000 |
0.009 % |
792.742 K $ |
RVTY |
Revvity Inc |
1065000 |
0.009 % |
754.801 K $ |
TPG |
TPG Operating Group II LP |
775000 |
0.009 % |
777.142 K $ |
AMD |
Advanced Micro Devices Inc |
915000 |
0.009 % |
786.313 K $ |
MEDHEA |
MedStar Health Inc |
987000 |
0.009 % |
726.449 K $ |
JHUNIV |
Johns Hopkins University |
1043000 |
0.009 % |
720.333 K $ |
ESS |
Essex Portfolio LP |
1085000 |
0.009 % |
786.816 K $ |
EBYWTR |
East Bay Municipal Utility District Water System Revenue |
700000 |
0.009 % |
747.469 K $ |
FRT |
Federal Realty OP LP |
855000 |
0.009 % |
753.782 K $ |
VTRS |
Mylan Inc |
871000 |
0.009 % |
754.817 K $ |
ETR |
Entergy Corp |
1010000 |
0.009 % |
743.010 K $ |
DCP |
DCP Midstream Operating LP |
765000 |
0.009 % |
740.695 K $ |
FBINUS |
Fortune Brands Innovations Inc |
915000 |
0.009 % |
750.492 K $ |
KRC |
Kilroy Realty LP |
700000 |
0.009 % |
724.980 K $ |
FE |
Ohio Edison Co |
655000 |
0.009 % |
749.613 K $ |
STE |
STERIS Irish FinCo UnLtd Co |
980000 |
0.009 % |
720.898 K $ |
DOC |
Healthpeak OP LLC |
650000 |
0.009 % |
721.234 K $ |
MASEDU |
Massachusetts School Building Authority |
730000 |
0.009 % |
764.707 K $ |
JNPR |
Juniper Networks Inc |
780000 |
0.009 % |
784.414 K $ |
CLECLI |
Cleveland Clinic Foundation/The |
875000 |
0.009 % |
756.915 K $ |
HOAMEM |
Hoag Memorial Hospital Presbyterian |
995000 |
0.009 % |
766.790 K $ |
WDSAU |
Woodside Finance Ltd |
775000 |
0.009 % |
739.814 K $ |
LYB |
LyondellBasell Industries NV |
980000 |
0.009 % |
770.158 K $ |
NWE |
NorthWestern Corp |
949000 |
0.009 % |
795.012 K $ |
IVZ |
Invesco Finance PLC |
746000 |
0.009 % |
726.784 K $ |
VTRS |
Utah Acquisition Sub Inc |
905000 |
0.009 % |
752.788 K $ |
DUKHEA |
Duke University Health System Inc |
985000 |
0.009 % |
796.077 K $ |
JSCCGL |
John Sevier Combined Cycle Generation LLC |
738658.0935 |
0.009 % |
719.199 K $ |
OHSTRN |
Ohio Turnpike & Infrastructure Commission |
975000 |
0.009 % |
724.677 K $ |
JHHSYS |
Johns Hopkins Health System Corp/The |
963000 |
0.009 % |
778.360 K $ |
CLAAPT |
County of Clark Department of Aviation |
650000 |
0.009 % |
729.757 K $ |
RPM |
RPM International Inc |
765000 |
0.008 % |
640.178 K $ |
NATMUT |
Nationwide Financial Services Inc |
670000 |
0.008 % |
676.554 K $ |
SCSUTL |
South Carolina Public Service Authority |
600000 |
0.008 % |
644.750 K $ |
CATHLI |
Catholic Health Services of Long Island Obligated Group |
990000 |
0.008 % |
690.284 K $ |
UAL |
United Airlines 2024-1 Class A Pass Through Trust |
651726.92 |
0.008 % |
664.826 K $ |
CNP |
CenterPoint Energy Resources Corp |
617000 |
0.008 % |
636.655 K $ |
L |
Loews Corp |
842000 |
0.008 % |
715.488 K $ |
FTV |
Fortive Corp |
821000 |
0.008 % |
691.327 K $ |
TOLHOS |
Toledo Hospital/The |
700000 |
0.008 % |
706.167 K $ |
HOWUNI |
Howard University |
725000 |
0.008 % |
644.027 K $ |
EXC |
Delmarva Power & Light Co |
843000 |
0.008 % |
713.883 K $ |
BWA |
BorgWarner Inc |
748000 |
0.008 % |
636.942 K $ |
CMS |
CMS Energy Corp |
780000 |
0.008 % |
706.740 K $ |
HRL |
Hormel Foods Corp |
1040000 |
0.008 % |
695.960 K $ |
ABXCN |
Barrick Mining Corp |
576000 |
0.008 % |
642.577 K $ |
MEMHLT |
Memorial Health Services |
900000 |
0.008 % |
647.421 K $ |
BROAPT |
County of Broward FL Airport System Revenue |
745000 |
0.008 % |
638.095 K $ |
TACHEM |
Takeda US Financing Inc |
630000 |
0.008 % |
649.405 K $ |
LH |
Laboratory Corp of America Holdings |
765000 |
0.008 % |
685.755 K $ |
CEPTRN |
Central Puget Sound Regional Transit Authority |
650000 |
0.008 % |
671.213 K $ |
DLTR |
Dollar Tree Inc |
958000 |
0.008 % |
643.571 K $ |
CHIHOS |
Children's Hospital Medical Center/Cincinnati OH |
750000 |
0.008 % |
659.118 K $ |
ORI |
Old Republic International Corp |
955000 |
0.008 % |
691.996 K $ |
FMC |
FMC Corp |
827000 |
0.008 % |
634.491 K $ |
BNCN |
Brookfield Finance LLC / Brookfield Finance Inc |
910000 |
0.008 % |
635.223 K $ |
INSFIN |
Indiana Finance Authority |
900000 |
0.008 % |
660.270 K $ |
BEN |
Franklin Resources Inc |
1110000 |
0.008 % |
707.463 K $ |
BETHIS |
Beth Israel Lahey Health Inc |
970000 |
0.008 % |
634.430 K $ |
JXN |
Jackson Financial Inc |
980000 |
0.008 % |
707.118 K $ |
SFOWTR |
City of San Francisco CA Public Utilities Commission Water Revenue |
515000 |
0.007 % |
580.818 K $ |
EIBKOR |
Export-Import Bank of Korea |
845000 |
0.007 % |
616.482 K $ |
BANNER |
Banner Health |
825000 |
0.007 % |
615.098 K $ |
UNVMIA |
University of Miami |
685000 |
0.007 % |
552.645 K $ |
REG |
Regency Centers LP |
709000 |
0.007 % |
620.167 K $ |
ADVENT |
Adventist Health System/West |
835000 |
0.007 % |
575.425 K $ |
LOUUTL |
Louisville and Jefferson County Metropolitan Sewer District |
545000 |
0.007 % |
574.478 K $ |
CHOPPA |
Children's Hospital of Philadelphia/The |
920000 |
0.007 % |
580.654 K $ |
LEG |
Leggett & Platt Inc |
934000 |
0.007 % |
612.266 K $ |
YAHEAL |
Yale-New Haven Health Services Corp |
950000 |
0.007 % |
563.010 K $ |
COLUNV |
Trustees of Columbia University in the City of New York/The |
625000 |
0.007 % |
612.879 K $ |
SPTHLT |
Corewell Health Obligated Group |
775000 |
0.007 % |
572.957 K $ |
SIGI |
Selective Insurance Group Inc |
605000 |
0.007 % |
557.250 K $ |
NWN |
Northwest Natural Holding Co |
550000 |
0.007 % |
563.944 K $ |
UNIHGR |
University of Nebraska Facilities Corp/The |
775000 |
0.007 % |
562.385 K $ |
KNIGHT |
Willis-Knighton Medical Center |
990000 |
0.007 % |
625.799 K $ |
CAENDW |
California Endowment/The |
930000 |
0.007 % |
548.647 K $ |
MTNITT |
Mount Nittany Medical Center Obligated Group |
780000 |
0.007 % |
592.586 K $ |
XEL |
Xcel Energy Inc |
843000 |
0.007 % |
615.114 K $ |
SDGTRN |
San Diego County Regional Transportation Commission |
590000 |
0.007 % |
603.827 K $ |
PASTRN |
Pennsylvania Turnpike Commission |
595000 |
0.007 % |
592.296 K $ |
FRMHLT |
Franciscan Missionaries of Our Lady Health System Inc |
790000 |
0.007 % |
604.578 K $ |
COTHEA |
Cottage Health Obligated Group |
855000 |
0.007 % |
607.259 K $ |
AES |
Dayton Power & Light Co/The |
813000 |
0.007 % |
615.833 K $ |
JD |
JD.com Inc |
670000 |
0.007 % |
551.797 K $ |
MISHGR |
Michigan State University |
850000 |
0.007 % |
628.342 K $ |
DISUTL |
District of Columbia Water & Sewer Authority |
715000 |
0.007 % |
626.334 K $ |
DARTHH |
Dartmouth-Hitchcock Health |
729000 |
0.007 % |
577.419 K $ |
LOSFAC |
Los Angeles County Public Works Financing Authority |
525000 |
0.007 % |
627.782 K $ |
JOBGEN |
JobsOhio Beverage System |
700000 |
0.007 % |
585.117 K $ |
PIEDGA |
Piedmont Healthcare Inc |
945000 |
0.007 % |
602.896 K $ |
METFAC |
Metropolitan Government of Nashville & Davidson County Convention Center Auth |
575000 |
0.007 % |
619.325 K $ |
INTBAP |
Integris Baptist Medical Center Inc |
755000 |
0.007 % |
548.677 K $ |
RF |
Regions Financial Corp |
475000 |
0.006 % |
548.020 K $ |
ITC |
ITC Holdings Corp |
531000 |
0.006 % |
508.832 K $ |
UNIHGR |
Permanent University Fund - University of Texas System |
690000 |
0.006 % |
532.809 K $ |
REGTRN |
Regional Transportation District Sales Tax Revenue |
460000 |
0.006 % |
470.032 K $ |
FITB |
Fifth Third Bancorp |
378000 |
0.006 % |
467.710 K $ |
REGN |
Regeneron Pharmaceuticals Inc |
847000 |
0.006 % |
527.107 K $ |
UNNDEV |
United Nations Development Corp |
475000 |
0.006 % |
507.429 K $ |
YALUNI |
Yale University |
817000 |
0.006 % |
496.896 K $ |
TJUNIV |
Thomas Jefferson University |
650000 |
0.006 % |
465.583 K $ |
PKG |
Packaging Corp of America |
813000 |
0.006 % |
531.391 K $ |
BRCOL |
Province of British Columbia Canada |
420000 |
0.006 % |
513.283 K $ |
BC |
Brunswick Corp/DE |
586000 |
0.006 % |
470.123 K $ |
CELARA |
Celulosa Arauco y Constitucion SA |
593000 |
0.006 % |
546.031 K $ |
MEHMED |
Methodist Hospital/The |
753000 |
0.006 % |
471.087 K $ |
OWL |
Blue Owl Finance LLC |
700000 |
0.006 % |
512.101 K $ |
MAA |
Mid-America Apartments LP |
765000 |
0.006 % |
492.696 K $ |
DALMED |
Dallas County Hospital District |
525000 |
0.006 % |
529.105 K $ |
NEUNIV |
Northeastern University |
745000 |
0.006 % |
508.788 K $ |
PASDEV |
Pennsylvania Economic Development Financing Authority |
500000 |
0.006 % |
506.990 K $ |
AMH |
American Homes 4 Rent LP |
705000 |
0.006 % |
478.869 K $ |
ALAUTL |
Alameda County Joint Powers Authority |
425000 |
0.006 % |
485.120 K $ |
RIVGEN |
City of Riverside CA |
575000 |
0.006 % |
502.544 K $ |
BRKHEC |
Sierra Pacific Power Co |
525000 |
0.006 % |
534.948 K $ |
MISGEN |
Michigan Strategic Fund |
700000 |
0.006 % |
533.046 K $ |
FNF |
Fidelity National Financial Inc |
725000 |
0.006 % |
465.093 K $ |
LNT |
Wisconsin Power and Light Co |
670000 |
0.006 % |
490.477 K $ |
CPT |
Camden Property Trust |
679000 |
0.006 % |
483.991 K $ |
WY |
Weyerhaeuser Co |
670000 |
0.006 % |
521.545 K $ |
LAATRN |
City of Los Angeles Department of Airports Customer Facility Charge Revenue |
500000 |
0.005 % |
434.409 K $ |
ORSHGR |
Oregon State University |
650000 |
0.005 % |
461.065 K $ |
BROWNU |
Brown University |
631000 |
0.005 % |
425.027 K $ |
BRKHEC |
Eastern Gas Transmission & Storage Inc |
500000 |
0.005 % |
449.545 K $ |
MKC |
McCormick & Co Inc/MD |
531000 |
0.005 % |
433.867 K $ |
AMUNIV |
American University/The |
605000 |
0.005 % |
464.190 K $ |
CNL |
Cleco Corporate Holdings LLC |
513000 |
0.005 % |
449.540 K $ |
TT |
Trane Technologies Financing Ltd |
420000 |
0.005 % |
381.665 K $ |
CHAMED |
Charlotte-Mecklenburg Hospital Authority/The |
650000 |
0.005 % |
452.476 K $ |
EMORYU |
Emory University |
675000 |
0.005 % |
452.338 K $ |
CSL |
Carlisle Cos Inc |
400000 |
0.005 % |
405.106 K $ |
INGR |
Ingredion Inc |
555000 |
0.005 % |
414.109 K $ |
UVPHGR |
University of Pittsburgh-of the Commonwealth System of Higher Education |
675000 |
0.005 % |
439.111 K $ |
ROCKFD |
Rockefeller Foundation/The |
685000 |
0.005 % |
422.124 K $ |
ATLUTL |
City of Atlanta GA Water & Wastewater Revenue |
500000 |
0.005 % |
418.696 K $ |
FE |
Jersey Central Power & Light Co |
450000 |
0.005 % |
455.150 K $ |
TUCCTF |
City of Tucson AZ |
625000 |
0.005 % |
455.046 K $ |
SUZANO |
Suzano Netherlands BV |
333000 |
0.004 % |
333.426 K $ |
EE |
El Paso Electric Co |
410000 |
0.004 % |
361.850 K $ |
EPRT |
Essential Properties LP |
300000 |
0.004 % |
301.027 K $ |
CWRUNI |
Case Western Reserve University |
350000 |
0.004 % |
330.740 K $ |
BAPTST |
Baptist Health South Florida Obligated Group |
550000 |
0.004 % |
326.288 K $ |
WAKEMD |
WakeMed |
538000 |
0.004 % |
369.979 K $ |
RADCHH |
Rady Children's Hospital-San Diego |
559000 |
0.004 % |
378.180 K $ |
SUMMAH |
Summa Health |
415000 |
0.004 % |
335.868 K $ |
VMI |
Valmont Industries Inc |
250000 |
0.003 % |
233.991 K $ |
BOSCOL |
Trustees of Boston College |
420000 |
0.003 % |
295.156 K $ |
IERPWR |
Idaho Energy Resources Authority |
400000 |
0.003 % |
281.314 K $ |
MIHLTH |
MyMichigan Health |
406000 |
0.003 % |
288.387 K $ |
AIZ |
Assurant Inc |
250000 |
0.003 % |
253.220 K $ |
AON |
Aon Corp |
144000 |
0.002 % |
157.559 K $ |
HOSSPE |
NY Society for Relief of Ruptured & Crippled Maintaining Hosp Special Surgery |
290000 |
0.002 % |
178.779 K $ |
ALSTRN |
Alabama Federal Aid Highway Finance Authority |
230000 |
0.002 % |
189.202 K $ |
CHSTEX |
Children's Health System of Texas |
345000 |
0.002 % |
205.962 K $ |
CHHSDC |
Children's Hospital/DC |
270000 |
0.002 % |
175.223 K $ |
DRI |
Darden Restaurants Inc |
175000 |
0.002 % |
145.913 K $ |
FHLMC |
Federal Home Loan Mortgage Corp |
240000 |
0.002 % |
130.157 K $ |
|
Synthetic Cash - ZVGI USD |
206000 |
0.002 % |
206.000 K $ |
PEAHEA |
PeaceHealth Obligated Group |
145000 |
0.001 % |
124.356 K $ |
FRDFND |
Ford Foundation/The |
209000 |
0.001 % |
120.804 K $ |
|
Synthetic Cash - CESR USD |
9000 |
0 % |
9.000 K $ |
|
Synthetic Cash - VGS USD |
-0.46 |
0 % |
-0.460 $ |