BLV

Vanguard Long-Term Bond Fund BLV

69.91 $ -0.03 %

Market capitalization

$ 8.623 B

Ratio P/E

0.00

Volume

583.365 K

Beta

2.08

EPS

0.00

Dividend

$ 3.24271

Price History

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Inside Vanguard Long-Term Bond Fund

Symbol Name Share number Weight Value
United States Treasury Note/Bond 136745000 1.625 % 138.572 M $
United States Treasury Note/Bond 104656300 1.243 % 106.022 M $
United States Treasury Note/Bond 104347000 1.238 % 105.562 M $
United States Treasury Note/Bond 108503000 1.237 % 105.519 M $
United States Treasury Note/Bond 104977000 1.221 % 104.120 M $
United States Treasury Note/Bond 110447000 1.207 % 102.936 M $
United States Treasury Note/Bond 106133300 1.16 % 98.965 M $
United States Treasury Note/Bond 99390000 1.042 % 88.830 M $
United States Treasury Note/Bond 93926300 1.005 % 85.711 M $
United States Treasury Note/Bond 85490200 0.995 % 84.859 M $
United States Treasury Note/Bond 88425000 0.966 % 82.384 M $
United States Treasury Note/Bond 115711600 0.929 % 79.226 M $
United States Treasury Note/Bond 116837700 0.891 % 76.013 M $
United States Treasury Note/Bond 76960000 0.878 % 74.859 M $
United States Treasury Note/Bond 81106000 0.87 % 74.215 M $
United States Treasury Note/Bond 87716000 0.858 % 73.164 M $
United States Treasury Note/Bond 93396000 0.81 % 69.044 M $
United States Treasury Note/Bond 97121000 0.807 % 68.800 M $
United States Treasury Note/Bond 115804400 0.805 % 68.655 M $
United States Treasury Note/Bond 67005000 0.8 % 68.259 M $
United States Treasury Note/Bond 67532000 0.792 % 67.572 M $
United States Treasury Note/Bond 64781000 0.782 % 66.724 M $
United States Treasury Note/Bond 70889000 0.778 % 66.350 M $
United States Treasury Note/Bond 79269000 0.776 % 66.174 M $
United States Treasury Note/Bond 114455100 0.776 % 66.151 M $
United States Treasury Note/Bond 92470800 0.768 % 65.521 M $
United States Treasury Note/Bond 76395700 0.727 % 61.967 M $
United States Treasury Note/Bond 96323500 0.708 % 60.417 M $
United States Treasury Note/Bond 79611000 0.706 % 60.221 M $
United States Treasury Note/Bond 78950000 0.691 % 58.926 M $
United States Treasury Note/Bond 78180700 0.685 % 58.425 M $
United States Treasury Note/Bond 101935000 0.684 % 58.338 M $
United States Treasury Note/Bond 106027000 0.676 % 57.652 M $
United States Treasury Note/Bond 86575000 0.668 % 57.008 M $
United States Treasury Note/Bond 66246000 0.658 % 56.136 M $
United States Treasury Note/Bond 70897600 0.631 % 53.860 M $
United States Treasury Note/Bond 72715000 0.628 % 53.579 M $
United States Treasury Note/Bond 52999000 0.613 % 52.247 M $
United States Treasury Note/Bond 68300000 0.611 % 52.124 M $
United States Treasury Note/Bond 70974000 0.6 % 51.190 M $
United States Treasury Note/Bond 83870400 0.595 % 50.719 M $
United States Treasury Note/Bond 50825000 0.595 % 50.759 M $
United States Treasury Note/Bond 97485100 0.583 % 49.691 M $
United States Treasury Note/Bond 48700000 0.579 % 49.387 M $
United States Treasury Note/Bond 63341200 0.579 % 49.344 M $
United States Treasury Note/Bond 55439000 0.569 % 48.526 M $
United States Treasury Note/Bond 74745500 0.564 % 48.074 M $
United States Treasury Note/Bond 74010600 0.552 % 47.086 M $
United States Treasury Note/Bond 69535700 0.526 % 44.897 M $
United States Treasury Note/Bond 51708000 0.521 % 44.420 M $
United States Treasury Note/Bond 65111300 0.505 % 43.075 M $
United States Treasury Note/Bond 83085000 0.484 % 41.286 M $
United States Treasury Note/Bond 48434000 0.459 % 39.173 M $
United States Treasury Note/Bond 43374000 0.447 % 38.134 M $
United States Treasury Note/Bond 48699000 0.441 % 37.591 M $
United States Treasury Note/Bond 49890800 0.429 % 36.559 M $
United States Treasury Note/Bond 50246500 0.427 % 36.380 M $
United States Treasury Note/Bond 32892000 0.404 % 34.424 M $
United States Treasury Note/Bond 49656500 0.393 % 33.505 M $
MKTLIQ 333953.966 0.392 % 33.395 M $
United States Treasury Note/Bond 36560000 0.383 % 32.663 M $
United States Treasury Note/Bond 44555600 0.382 % 32.562 M $
United States Treasury Note/Bond 40233000 0.373 % 31.795 M $
United States Treasury Note/Bond 37805000 0.373 % 31.852 M $
United States Treasury Note/Bond 34133300 0.366 % 31.177 M $
United States Treasury Note/Bond 41626000 0.347 % 29.582 M $
United States Treasury Note/Bond 35597000 0.321 % 27.400 M $
United States Treasury Note/Bond 36900000 0.309 % 26.316 M $
United States Treasury Note/Bond 24015000 0.28 % 23.879 M $
United States Treasury Note/Bond 23105000 0.277 % 23.626 M $
United States Treasury Note/Bond 22741000 0.266 % 22.677 M $
United States Treasury Note/Bond 21548000 0.256 % 21.821 M $
United States Treasury Note/Bond 20967000 0.254 % 21.622 M $
United States Treasury Note/Bond 27896700 0.251 % 21.415 M $
United States Treasury Note/Bond 20840000 0.241 % 20.576 M $
United States Treasury Note/Bond 20940000 0.24 % 20.455 M $
United States Treasury Note/Bond 20036500 0.233 % 19.831 M $
United States Treasury Note/Bond 22557000 0.222 % 18.927 M $
United States Treasury Note/Bond 20050000 0.22 % 18.798 M $
United States Treasury Note/Bond 23058000 0.213 % 18.126 M $
United States Treasury Note/Bond 23839250 0.212 % 18.048 M $
United States Treasury Note/Bond 17804000 0.211 % 18.024 M $
United States Treasury Note/Bond 22735000 0.208 % 17.777 M $
Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc 17404000 0.192 % 16.365 M $
United States Treasury Note/Bond 18925000 0.185 % 15.802 M $
United States Treasury Note/Bond 19295000 0.185 % 15.768 M $
United States Treasury Note/Bond 18043000 0.165 % 14.080 M $
United States Treasury Note/Bond 17175000 0.159 % 13.563 M $
United States Treasury Note/Bond 13780000 0.148 % 12.590 M $
CVS CVS Health Corp 12580000 0.132 % 11.262 M $
GS Goldman Sachs Group Inc/The 9512000 0.125 % 10.658 M $
United States Treasury Note/Bond 9951000 0.121 % 10.313 M $
United States Treasury Note/Bond 9964000 0.12 % 10.226 M $
T AT&T Inc 14578000 0.117 % 9.957 M $
United States Treasury Note/Bond 10426600 0.112 % 9.593 M $
T AT&T Inc 13590000 0.109 % 9.322 M $
Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc 9317000 0.108 % 9.224 M $
BAC Bank of America Corp 11302000 0.108 % 9.232 M $
AMGN Amgen Inc 8891000 0.104 % 8.872 M $
ABBV AbbVie Inc 10348000 0.102 % 8.709 M $
BA Boeing Co/The 8712000 0.102 % 8.667 M $
United States Treasury Note/Bond 10012000 0.097 % 8.234 M $
United States Treasury Note/Bond 10468000 0.096 % 8.208 M $
Pfizer Investment Enterprises Pte Ltd 8454000 0.096 % 8.150 M $
CMCSA Comcast Corp 13338000 0.095 % 8.065 M $
WFC Wells Fargo & Co 8567000 0.094 % 7.986 M $
BAC Bank of America Corp 10736000 0.093 % 7.964 M $
GS Goldman Sachs Group Inc/The 7800000 0.093 % 7.902 M $
T AT&T Inc 11773000 0.093 % 7.964 M $
US Dollar 7550221.48 0.089 % 7.550 M $
Pfizer Investment Enterprises Pte Ltd 7874000 0.088 % 7.465 M $
AVGO Broadcom Inc 7541000 0.088 % 7.477 M $
T AT&T Inc 10543000 0.087 % 7.435 M $
ABBV AbbVie Inc 7972000 0.084 % 7.133 M $
MSFT Microsoft Corp 10611000 0.084 % 7.139 M $
Charter Communications Operating LLC / Charter Communications Operating Capital 7241000 0.082 % 6.994 M $
Anheuser-Busch InBev Worldwide Inc 6899000 0.082 % 6.990 M $
CMCSA Comcast Corp 11999000 0.082 % 6.969 M $
Mexico Government International Bond 6125000 0.078 % 6.637 M $
ABBV AbbVie Inc 6430000 0.075 % 6.383 M $
CVS CVS Health Corp 6911000 0.074 % 6.271 M $
Mexico Government International Bond 6183000 0.074 % 6.352 M $
AVGO Broadcom Inc 6240000 0.072 % 6.163 M $
Uruguay Government International Bond 6387000 0.072 % 6.161 M $
RTX RTX Corp 6694000 0.071 % 6.082 M $
AZN.L AstraZeneca PLC 5241000 0.07 % 5.993 M $
United States Treasury Note/Bond 5911000 0.07 % 5.996 M $
State of California 4795000 0.069 % 5.860 M $
CVS CVS Health Corp 6249000 0.069 % 5.866 M $
ORCL Oracle Corp 6100000 0.068 % 5.782 M $
BMY Bristol-Myers Squibb Co 6936000 0.068 % 5.784 M $
GS Goldman Sachs Group Inc/The 6300000 0.066 % 5.658 M $
BHP Billiton Finance USA Ltd 5732000 0.065 % 5.521 M $
Republic of Poland Government International Bond 5652000 0.065 % 5.556 M $
MS Morgan Stanley 5407000 0.065 % 5.504 M $
Charter Communications Operating LLC / Charter Communications Operating Capital 5885000 0.064 % 5.447 M $
Anheuser-Busch InBev Worldwide Inc 5285000 0.064 % 5.484 M $
AMGN Amgen Inc 6165000 0.063 % 5.382 M $
MS Morgan Stanley 4805000 0.063 % 5.410 M $
PFE Pfizer Inc 4479000 0.063 % 5.387 M $
BA Boeing Co/The 5235000 0.063 % 5.339 M $
MS Morgan Stanley 5250000 0.062 % 5.308 M $
T AT&T Inc 6704000 0.062 % 5.300 M $
BMY Bristol-Myers Squibb Co 5316000 0.062 % 5.282 M $
ABBV AbbVie Inc 5766000 0.062 % 5.295 M $
AAPL Apple Inc 6288000 0.061 % 5.166 M $
MSFT Microsoft Corp 8722000 0.061 % 5.177 M $
Pacific Gas and Electric Co 6037000 0.061 % 5.187 M $
MSFT Microsoft Corp 5616000 0.06 % 5.130 M $
ORCL Oracle Corp 5304000 0.059 % 5.058 M $
MSFT Microsoft Corp 8069000 0.059 % 5.067 M $
BAC Bank of America Corp 4686000 0.059 % 5.054 M $
ORCL Oracle Corp 7416000 0.059 % 5.025 M $
MS Morgan Stanley 5380000 0.059 % 5.060 M $
Energy Transfer LP 5066000 0.059 % 5.055 M $
ABBV AbbVie Inc 5538000 0.059 % 5.000 M $
V Visa Inc 5561000 0.058 % 4.920 M $
Pfizer Investment Enterprises Pte Ltd 5092000 0.058 % 4.943 M $
United States Treasury Note/Bond 4570000 0.058 % 4.921 M $
AMZN Amazon.com Inc 5365000 0.058 % 4.931 M $
META Meta Platforms Inc 5105000 0.058 % 4.909 M $
ORCL Oracle Corp 5140000 0.058 % 4.946 M $
VZ Verizon Communications Inc 6176000 0.057 % 4.850 M $
ORCL Oracle Corp 6530000 0.057 % 4.891 M $
AMGN Amgen Inc 4822000 0.057 % 4.887 M $
Anheuser-Busch InBev Worldwide Inc 3697000 0.056 % 4.780 M $
Mexico Government International Bond 5653808 0.056 % 4.780 M $
VZ Verizon Communications Inc 6571000 0.056 % 4.734 M $
META Meta Platforms Inc 4777000 0.056 % 4.737 M $
Mexico Government International Bond 4406000 0.055 % 4.655 M $
Charter Communications Operating LLC / Charter Communications Operating Capital 6006000 0.055 % 4.671 M $
BAC Bank of America Corp 5535000 0.055 % 4.724 M $
BAC Bank of America Corp 5879000 0.055 % 4.683 M $
BA Boeing Co/The 4713000 0.055 % 4.681 M $
FISV Fiserv Inc 5885000 0.055 % 4.722 M $
META Meta Platforms Inc 4722000 0.055 % 4.678 M $
UNH UnitedHealth Group Inc 4596000 0.054 % 4.577 M $
AMXB America Movil SAB de CV 4317000 0.054 % 4.644 M $
IBM International Business Machines Corp 5583000 0.054 % 4.606 M $
T AT&T Inc 4867000 0.054 % 4.647 M $
WFC Wells Fargo & Co 5297000 0.054 % 4.644 M $
AMZN Amazon.com Inc 5419000 0.053 % 4.551 M $
Israel Government International Bond 4580000 0.053 % 4.481 M $
JPM JPMorgan Chase & Co 5024000 0.053 % 4.523 M $
IBM International Business Machines Corp 4993000 0.053 % 4.489 M $
Mexico Government International Bond 4578000 0.053 % 4.547 M $
HD Home Depot Inc/The 4131000 0.053 % 4.486 M $
MO Altria Group Inc 4292000 0.052 % 4.416 M $
CI Cigna Group/The 4920000 0.052 % 4.409 M $
VZ Verizon Communications Inc 7343000 0.052 % 4.461 M $
0005.HK HSBC Holdings PLC 4030000 0.052 % 4.445 M $
AVGO Broadcom Inc 5165000 0.052 % 4.408 M $
AAPL Apple Inc 5053000 0.051 % 4.309 M $
AVGO Broadcom Inc 5021000 0.051 % 4.350 M $
Mexico Government International Bond 4274000 0.051 % 4.336 M $
ORCL Oracle Corp 6091000 0.051 % 4.335 M $
NTR Nutrien Ltd 4191000 0.05 % 4.274 M $
Mexico Government International Bond 3834000 0.05 % 4.303 M $
AAPL Apple Inc 4557000 0.05 % 4.246 M $
JPM JPMorgan Chase & Co 4835000 0.049 % 4.169 M $
CMCSA Comcast Corp 5033000 0.049 % 4.187 M $
GILD Gilead Sciences Inc 4583000 0.049 % 4.221 M $
ORCL Oracle Corp 6305000 0.049 % 4.167 M $
JPM JPMorgan Chase & Co 4046000 0.049 % 4.143 M $
T AT&T Inc 5696000 0.048 % 4.087 M $
XOM Exxon Mobil Corp 4750000 0.048 % 4.080 M $
Shell Finance US Inc 4625000 0.048 % 4.055 M $
ORCL Oracle Corp 4828000 0.048 % 4.091 M $
WFC Wells Fargo & Co 3946000 0.047 % 3.967 M $
Peruvian Government International Bond 3986000 0.047 % 3.968 M $
Tennessee Valley Authority 3795000 0.047 % 4.016 M $
Uruguay Government International Bond 4306909 0.047 % 4.009 M $
LLY Eli Lilly & Co 4220000 0.047 % 3.996 M $
META Meta Platforms Inc 4173000 0.047 % 4.039 M $
Berkshire Hathaway Finance Corp 5070000 0.047 % 3.984 M $
GlaxoSmithKline Capital Inc 3546000 0.047 % 3.996 M $
UNH UnitedHealth Group Inc 3975000 0.047 % 3.969 M $
Berkshire Hathaway Finance Corp 4739000 0.047 % 4.043 M $
Charter Communications Operating LLC / Charter Communications Operating Capital 4494000 0.047 % 3.968 M $
AVGO Broadcom Inc 4880000 0.047 % 4.026 M $
GS Goldman Sachs Group Inc/The 5015000 0.046 % 3.889 M $
DIS Walt Disney Co/The 4649000 0.046 % 3.898 M $
Mexico Government International Bond 4163000 0.046 % 3.934 M $
BAC Bank of America Corp 4396000 0.046 % 3.942 M $
PSX Phillips 66 3870000 0.046 % 3.941 M $
JPM JPMorgan Chase & Co 3769000 0.046 % 3.949 M $
OXY Occidental Petroleum Corp 3650000 0.045 % 3.874 M $
JPM JPMorgan Chase & Co 5504000 0.045 % 3.838 M $
GM General Motors Co 3890000 0.045 % 3.834 M $
BAT Capital Corp 4594000 0.045 % 3.840 M $
BAT Capital Corp 4215000 0.045 % 3.859 M $
XOM Exxon Mobil Corp 4152000 0.045 % 3.822 M $
COP ConocoPhillips 3417000 0.045 % 3.851 M $
GILD Gilead Sciences Inc 4233000 0.045 % 3.800 M $
CSCO Cisco Systems Inc 3528000 0.045 % 3.825 M $
Smurfit Kappa Treasury ULC 3795000 0.045 % 3.860 M $
Republic of Poland Government International Bond 3821000 0.044 % 3.755 M $
Republic of Italy Government International Bond 5125000 0.044 % 3.770 M $
VZ Verizon Communications Inc 4148000 0.044 % 3.736 M $
Federal National Mortgage Association 3391000 0.044 % 3.766 M $
GM General Motors Co 3691000 0.044 % 3.780 M $
INTC Intel Corp 5610000 0.044 % 3.716 M $
AAPL Apple Inc 6250000 0.043 % 3.635 M $
BA Boeing Co/The 3255000 0.043 % 3.709 M $
C Citigroup Inc 4110000 0.043 % 3.667 M $
AMZN Amazon.com Inc 4409000 0.043 % 3.655 M $
EQNR.OL Equinor ASA 4327000 0.043 % 3.678 M $
HCA Inc 4440000 0.043 % 3.685 M $
T AT&T Inc 4350500 0.043 % 3.667 M $
CI Cigna Group/The 3725000 0.042 % 3.546 M $
Mexico Government International Bond 4426000 0.042 % 3.608 M $
BMY Bristol-Myers Squibb Co 4103000 0.042 % 3.594 M $
JPM JPMorgan Chase & Co 4331000 0.042 % 3.596 M $
WFC Wells Fargo & Co 4079000 0.042 % 3.624 M $
MRK Merck & Co Inc 4444000 0.042 % 3.578 M $
T-Mobile USA Inc 4248000 0.042 % 3.557 M $
TransCanada PipeLines Ltd 3405000 0.042 % 3.604 M $
F-PD Ford Motor Co 4498000 0.042 % 3.624 M $
Kraft Heinz Foods Co 4281000 0.042 % 3.571 M $
Energy Transfer LP 3710000 0.042 % 3.579 M $
BAC Bank of America Corp 3671000 0.042 % 3.597 M $
Mexico Government International Bond 3585000 0.042 % 3.586 M $
New Jersey Turnpike Authority 3060000 0.042 % 3.579 M $
Reynolds American Inc 3562000 0.041 % 3.516 M $
AMGN Amgen Inc 3995000 0.041 % 3.464 M $
ORCL Oracle Corp 3275000 0.041 % 3.493 M $
Chicago Transit Authority Sales & Transfer Tax Receipts Revenue 3115983.8458 0.041 % 3.524 M $
State of California 3005000 0.041 % 3.529 M $
Aon North America Inc 3445000 0.041 % 3.477 M $
VZ Verizon Communications Inc 3446000 0.041 % 3.489 M $
VOD.L Vodafone Group PLC 3547000 0.041 % 3.474 M $
Panama Government International Bond 3232000 0.041 % 3.474 M $
Telefonica Emisiones SA 3883000 0.041 % 3.477 M $
T-Mobile USA Inc 4966000 0.04 % 3.385 M $
Charter Communications Operating LLC / Charter Communications Operating Capital 5544000 0.04 % 3.390 M $
CMCSA Comcast Corp 6090000 0.04 % 3.392 M $
Mexico Government International Bond 3922000 0.04 % 3.442 M $
AAPL Apple Inc 5371000 0.04 % 3.408 M $
0005.HK HSBC Holdings PLC 3139000 0.04 % 3.390 M $
SNPS Synopsys Inc 3413000 0.04 % 3.434 M $
META Meta Platforms Inc 3450000 0.04 % 3.414 M $
VOD.L Vodafone Group PLC 3870000 0.04 % 3.420 M $
WFC Wells Fargo & Co 4305000 0.039 % 3.356 M $
Charter Communications Operating LLC / Charter Communications Operating Capital 5039000 0.039 % 3.308 M $
State of California 2660000 0.039 % 3.290 M $
TransCanada PipeLines Ltd 2889000 0.039 % 3.343 M $
T-Mobile USA Inc 3755000 0.039 % 3.366 M $
AMZN Amazon.com Inc 4795000 0.039 % 3.289 M $
ORCL Oracle Corp 4330000 0.039 % 3.346 M $
GOOG Alphabet Inc 5910000 0.039 % 3.328 M $
BA Boeing Co/The 2925000 0.039 % 3.342 M $
META Meta Platforms Inc 3972000 0.039 % 3.326 M $
XOM Exxon Mobil Corp 4409000 0.038 % 3.243 M $
GS Goldman Sachs Group Inc/The 2968000 0.038 % 3.270 M $
Mexico Government International Bond 3844000 0.038 % 3.218 M $
T-Mobile USA Inc 4366000 0.038 % 3.265 M $
ORCL Oracle Corp 4133000 0.038 % 3.240 M $
Mexico Government International Bond 4954000 0.038 % 3.207 M $
ABT Abbott Laboratories 3247000 0.038 % 3.278 M $
C Citigroup Inc 3677000 0.038 % 3.248 M $
WFC Wells Fargo & Co 3512000 0.038 % 3.220 M $
Anheuser-Busch InBev Worldwide Inc 3125000 0.038 % 3.264 M $
AAPL Apple Inc 4123000 0.038 % 3.260 M $
QCOM QUALCOMM Inc 3006000 0.038 % 3.221 M $
Hungary Government International Bond 2650000 0.037 % 3.186 M $
BMY Bristol-Myers Squibb Co 3165000 0.037 % 3.140 M $
ORCL Oracle Corp 4080000 0.037 % 3.173 M $
Panama Government International Bond 4700000 0.037 % 3.189 M $
ABBV AbbVie Inc 3344000 0.037 % 3.147 M $
JPM JPMorgan Chase & Co 4372000 0.037 % 3.145 M $
Mexico Government International Bond 3802000 0.037 % 3.128 M $
AAPL Apple Inc 3533000 0.037 % 3.184 M $
United States Treasury Note/Bond 2980000 0.037 % 3.143 M $
MSFT Microsoft Corp 3826000 0.037 % 3.138 M $
T-Mobile USA Inc 4615000 0.037 % 3.117 M $
INTC Intel Corp 3269000 0.037 % 3.142 M $
GS Goldman Sachs Group Inc/The 3024000 0.037 % 3.130 M $
WMT Walmart Inc 3754000 0.037 % 3.172 M $
UNH UnitedHealth Group Inc 3500000 0.036 % 3.040 M $
Public Service Co of Colorado 2931000 0.036 % 3.036 M $
BlackRock Funding Inc 3164000 0.036 % 3.104 M $
UNH UnitedHealth Group Inc 4434000 0.036 % 3.035 M $
META Meta Platforms Inc 3072000 0.036 % 3.063 M $
UNH UnitedHealth Group Inc 3195000 0.036 % 3.070 M $
Anheuser-Busch InBev Finance Inc 3299000 0.036 % 3.092 M $
JBS USA Holding Lux Sarl/ JBS USA Food Co/ JBS Lux Co Sarl 2997000 0.036 % 3.111 M $
NextEra Energy Capital Holdings Inc 2960000 0.036 % 3.058 M $
Burlington Northern Santa Fe LLC 4835000 0.036 % 3.106 M $
ORCL Oracle Corp 3540000 0.036 % 3.102 M $
TSN Tyson Foods Inc 3340000 0.036 % 3.081 M $
Federal Home Loan Banks 2805000 0.036 % 3.087 M $
APH Amphenol Corp 3150000 0.036 % 3.096 M $
HAL Halliburton Co 3379000 0.036 % 3.080 M $
KMI Kinder Morgan Inc 3164000 0.036 % 3.077 M $
UNH UnitedHealth Group Inc 3373000 0.036 % 3.097 M $
T-Mobile USA Inc 3058000 0.036 % 3.041 M $
AAPL Apple Inc 3826000 0.036 % 3.098 M $
Chile Government International Bond 4002000 0.036 % 3.101 M $
Shell Finance US Inc 3733000 0.036 % 3.083 M $
Philippine Government International Bond 3384000 0.036 % 3.039 M $
CSCO Cisco Systems Inc 3180000 0.036 % 3.109 M $
Berkshire Hathaway Energy Co 2795000 0.036 % 3.036 M $
BMY Bristol-Myers Squibb Co 3406000 0.036 % 3.096 M $
JPM JPMorgan Chase & Co 2860000 0.035 % 2.945 M $
Chile Government International Bond 3362000 0.035 % 3.020 M $
UPS United Parcel Service Inc 2830000 0.035 % 2.967 M $
MPC Marathon Petroleum Corp 2815000 0.035 % 3.022 M $
MS Morgan Stanley 3354000 0.035 % 2.945 M $
Charter Communications Operating LLC / Charter Communications Operating Capital 4546000 0.035 % 2.956 M $
Philippine Government International Bond 3505000 0.035 % 2.990 M $
Tennessee Valley Authority 2627000 0.035 % 2.943 M $
FANG Diamondback Energy Inc 3085000 0.035 % 2.968 M $
ANTM Elevance Health Inc 3027000 0.035 % 2.989 M $
T AT&T Inc 3407000 0.035 % 3.016 M $
ORCL Oracle Corp 4295000 0.035 % 2.969 M $
KR Kroger Co/The 3045000 0.035 % 2.961 M $
BAC Bank of America Corp 4542000 0.035 % 3.027 M $
MSFT Microsoft Corp 4762000 0.035 % 2.970 M $
0005.HK HSBC Holdings PLC 3040000 0.035 % 2.979 M $
HD Home Depot Inc/The 3472000 0.035 % 2.986 M $
KO Coca-Cola Co/The 4675000 0.035 % 2.961 M $
Panama Government International Bond 3795000 0.034 % 2.899 M $
Port Authority of New York & New Jersey 3320000 0.034 % 2.874 M $
BARC.L Barclays PLC 3138000 0.034 % 2.900 M $
BP Capital Markets America Inc 4329000 0.034 % 2.881 M $
BMY Bristol-Myers Squibb Co 3812000 0.034 % 2.858 M $
DIS Walt Disney Co/The 4454000 0.034 % 2.876 M $
VLO Valero Energy Corp 2605000 0.034 % 2.885 M $
Novartis Capital Corp 3153000 0.034 % 2.865 M $
AMZN Amazon.com Inc 4375000 0.034 % 2.901 M $
JPM JPMorgan Chase & Co 3579000 0.034 % 2.935 M $
HCA Inc 2885000 0.034 % 2.892 M $
VZ Verizon Communications Inc 3211000 0.034 % 2.937 M $
WMB Williams Cos Inc/The 3130000 0.034 % 2.900 M $
PM Philip Morris International Inc 3381000 0.034 % 2.882 M $
Republic of Italy Government International Bond 3743000 0.033 % 2.838 M $
CMCSA Comcast Corp 3065000 0.033 % 2.824 M $
NSC Norfolk Southern Corp 3126000 0.033 % 2.823 M $
Telefonica Emisiones SA 2502000 0.033 % 2.817 M $
C Citigroup Inc 2738000 0.033 % 2.780 M $
UNH UnitedHealth Group Inc 2769000 0.033 % 2.777 M $
AMZN Amazon.com Inc 4617000 0.033 % 2.834 M $
Rio Tinto Finance USA Ltd 2834000 0.033 % 2.847 M $
HCA Inc 2940000 0.033 % 2.822 M $
V Visa Inc 2860000 0.033 % 2.773 M $
Burlington Northern Santa Fe LLC 2797000 0.033 % 2.801 M $
LLY Eli Lilly & Co 2965000 0.033 % 2.807 M $
AMGN Amgen Inc 2791000 0.033 % 2.789 M $
AVGO Broadcom Inc 2845000 0.033 % 2.839 M $
Chile Government International Bond 3790000 0.033 % 2.825 M $
Enterprise Products Operating LLC 2865000 0.033 % 2.839 M $
INTC Intel Corp 3265000 0.033 % 2.798 M $
ENB Enbridge Inc 4080000 0.033 % 2.814 M $
Pacific Gas and Electric Co 3205569 0.033 % 2.788 M $
HON Honeywell International Inc 2975000 0.033 % 2.845 M $
Kraft Heinz Foods Co 3125000 0.032 % 2.737 M $
JBS USA Holding Lux Sarl/ JBS USA Food Co/ JBS Lux Co Sarl 2401000 0.032 % 2.714 M $
MMC Marsh & McLennan Cos Inc 2768000 0.032 % 2.724 M $
DD DuPont de Nemours Inc 2628000 0.032 % 2.701 M $
QCOM QUALCOMM Inc 2889000 0.032 % 2.696 M $
Panama Government International Bond 3492000 0.032 % 2.734 M $
GE Capital International Funding Co Unlimited Co 2755000 0.032 % 2.703 M $
UNH UnitedHealth Group Inc 3025000 0.032 % 2.770 M $
PacifiCorp 2838000 0.032 % 2.764 M $
UNH UnitedHealth Group Inc 3016000 0.032 % 2.750 M $
BMY Bristol-Myers Squibb Co 2435000 0.032 % 2.696 M $
ICE Intercontinental Exchange Inc 2967000 0.032 % 2.766 M $
GS Goldman Sachs Group Inc/The 3422000 0.032 % 2.703 M $
MO Altria Group Inc 3752000 0.032 % 2.693 M $
Chile Government International Bond 2793000 0.032 % 2.763 M $
Rogers Communications Inc 3300000 0.032 % 2.707 M $
Peruvian Government International Bond 2711000 0.032 % 2.748 M $
BAM.TO Brookfield Asset Management Ltd 2675000 0.032 % 2.758 M $
CMCSA Comcast Corp 2944000 0.032 % 2.710 M $
BP Capital Markets America Inc 4205000 0.032 % 2.737 M $
AAPL Apple Inc 4519000 0.032 % 2.741 M $
Texas Natural Gas Securitization Finance Corp 2650000 0.032 % 2.722 M $
4502.T Takeda Pharmaceutical Co Ltd 3831000 0.031 % 2.601 M $
BP Capital Markets America Inc 4095000 0.031 % 2.682 M $
BARC.L Barclays PLC 2691000 0.031 % 2.606 M $
MO Altria Group Inc 3523000 0.031 % 2.681 M $
LMT Lockheed Martin Corp 2587000 0.031 % 2.675 M $
Novartis Capital Corp 3113000 0.031 % 2.641 M $
Consumers Energy Co 3601000 0.031 % 2.679 M $
Medtronic Inc 2891000 0.031 % 2.658 M $
LMT Lockheed Martin Corp 3293000 0.031 % 2.676 M $
Kraft Heinz Foods Co 2826000 0.031 % 2.619 M $
CNI Canadian National Railway Co 2359000 0.031 % 2.648 M $
KMI Kinder Morgan Inc 2655000 0.031 % 2.684 M $
MPLX LP 2856000 0.031 % 2.648 M $
Enterprise Products Operating LLC 2750000 0.031 % 2.615 M $
Panama Government International Bond 3413000 0.031 % 2.611 M $
UNH UnitedHealth Group Inc 2484000 0.031 % 2.655 M $
Israel Government International Bond 2963000 0.031 % 2.655 M $
FCX Freeport-McMoRan Inc 2703000 0.031 % 2.623 M $
MRK Merck & Co Inc 3054000 0.031 % 2.660 M $
9988.HK Alibaba Group Holding Ltd 2801000 0.031 % 2.610 M $
AZN.L AstraZeneca PLC 3036000 0.031 % 2.653 M $
LMT Lockheed Martin Corp 3212000 0.031 % 2.627 M $
TotalEnergies Capital SA 2627000 0.031 % 2.610 M $
C Citigroup Inc 2989000 0.031 % 2.662 M $
8306.T Mitsubishi UFJ Financial Group Inc 2974000 0.031 % 2.618 M $
KLAC KLA Corp 2812000 0.031 % 2.624 M $
CMCSA Comcast Corp 3792000 0.031 % 2.606 M $
SCCO Southern Copper Corp 2658000 0.03 % 2.578 M $
RTX RTX Corp 2289000 0.03 % 2.572 M $
VZ Verizon Communications Inc 2970000 0.03 % 2.533 M $
WMB Williams Cos Inc/The 2335000 0.03 % 2.519 M $
Philippine Government International Bond 3028000 0.03 % 2.542 M $
RTX RTX Corp 2610000 0.03 % 2.559 M $
Chile Government International Bond 2440000 0.03 % 2.588 M $
Indonesia Government International Bond 2930000 0.03 % 2.577 M $
AMZN Amazon.com Inc 3183000 0.03 % 2.529 M $
CAT Caterpillar Inc 2974000 0.03 % 2.530 M $
UBSG.SW UBS Group AG 2723000 0.03 % 2.563 M $
HAL Halliburton Co 2306000 0.03 % 2.589 M $
Mexico Government International Bond 3378000 0.03 % 2.562 M $
JBS USA Holding Lux Sarl / JBS USA Foods Group Holdings Inc / JBS USA Food Co 2585000 0.03 % 2.601 M $
CAG Conagra Brands Inc 2639000 0.03 % 2.530 M $
Peruvian Government International Bond 2442000 0.03 % 2.576 M $
EOG EOG Resources Inc 2450000 0.03 % 2.519 M $
Northern States Power Co/MN 2495000 0.03 % 2.579 M $
MRK Merck & Co Inc 4280000 0.03 % 2.561 M $
Burlington Northern Santa Fe LLC 3045000 0.03 % 2.593 M $
Indonesia Government International Bond 3778000 0.03 % 2.591 M $
Peruvian Government International Bond 2461000 0.03 % 2.529 M $
Wells Fargo Bank NA 2396000 0.03 % 2.538 M $
Charter Communications Operating LLC / Charter Communications Operating Capital 3034000 0.03 % 2.573 M $
FOX Fox Corp 2517000 0.03 % 2.531 M $
Vale Overseas Ltd 2368000 0.029 % 2.468 M $
GILD Gilead Sciences Inc 3296000 0.029 % 2.431 M $
NOC Northrop Grumman Corp 3072000 0.029 % 2.513 M $
HCA Inc 2711000 0.029 % 2.483 M $
Barrick North America Finance LLC 2376000 0.029 % 2.457 M $
Tennessee Valley Authority 2990000 0.029 % 2.503 M $
BAT Capital Corp 2196000 0.029 % 2.513 M $
ZTS Zoetis Inc 2696000 0.029 % 2.496 M $
TotalEnergies Capital International SA 3615000 0.029 % 2.477 M $
SCCO Southern Copper Corp 2400000 0.029 % 2.504 M $
SCCO Southern Copper Corp 2195000 0.029 % 2.504 M $
OKE ONEOK Inc 2330000 0.029 % 2.453 M $
Philippine Government International Bond 3340000 0.029 % 2.456 M $
KMI Kinder Morgan Inc 2676000 0.029 % 2.465 M $
Virginia Electric and Power Co 2206000 0.029 % 2.445 M $
WFC Wells Fargo & Co 2561000 0.029 % 2.500 M $
WFC Wells Fargo & Co 3002000 0.029 % 2.462 M $
NBCUniversal Media LLC 2840000 0.029 % 2.432 M $
ABT Abbott Laboratories 2543000 0.029 % 2.438 M $
APH Amphenol Corp 2550000 0.029 % 2.481 M $
BP Capital Markets America Inc 3217000 0.029 % 2.464 M $
T-Mobile USA Inc 3539000 0.028 % 2.393 M $
LLY Eli Lilly & Co 2520000 0.028 % 2.348 M $
Hess Corp 2287000 0.028 % 2.389 M $
ENB Enbridge Inc 2346000 0.028 % 2.413 M $
MA Mastercard Inc 2980000 0.028 % 2.382 M $
VZ Verizon Communications Inc 3275000 0.028 % 2.346 M $
Canadian Pacific Railway Co 3467000 0.028 % 2.348 M $
BP Capital Markets America Inc 3766000 0.028 % 2.387 M $
NI NiSource Inc 2400000 0.028 % 2.402 M $
LOW Lowe's Cos Inc 3712000 0.028 % 2.407 M $
CSCO Cisco Systems Inc 2323000 0.028 % 2.416 M $
State of California 1990000 0.028 % 2.423 M $
JNJ Johnson & Johnson 2877000 0.028 % 2.369 M $
TotalEnergies Capital SA 2525000 0.028 % 2.422 M $
VZ Verizon Communications Inc 2837000 0.028 % 2.415 M $
WMT Walmart Inc 2309000 0.028 % 2.349 M $
State of Israel 3431000 0.028 % 2.351 M $
CMCSA Comcast Corp 3137000 0.028 % 2.374 M $
Panama Government International Bond 2265000 0.028 % 2.402 M $
9988.HK Alibaba Group Holding Ltd 2730000 0.028 % 2.377 M $
ConocoPhillips Co 3193000 0.028 % 2.380 M $
AAPL Apple Inc 3997000 0.028 % 2.413 M $
INTC Intel Corp 2348000 0.027 % 2.280 M $
ABBV AbbVie Inc 2483000 0.027 % 2.305 M $
CMCSA Comcast Corp 2460000 0.027 % 2.291 M $
Pacific Gas and Electric Co 2170000 0.027 % 2.342 M $
CI Cigna Group/The 3240000 0.027 % 2.263 M $
PFE Pfizer Inc 2771000 0.027 % 2.327 M $
WMT Walmart Inc 2504000 0.027 % 2.341 M $
Charter Communications Operating LLC / Charter Communications Operating Capital 3304000 0.027 % 2.341 M $
LLY Eli Lilly & Co 2259000 0.027 % 2.301 M $
Paramount Global 2196000 0.027 % 2.307 M $
CI Cigna Group/The 2300000 0.027 % 2.335 M $
ORCL Oracle Corp 2400000 0.027 % 2.281 M $
Suzano Netherlands BV 2333000 0.027 % 2.323 M $
CRBG Corebridge Financial Inc 2773000 0.027 % 2.295 M $
TAP Molson Coors Beverage Co 2851000 0.027 % 2.331 M $
JPM JPMorgan Chase & Co 2196000 0.027 % 2.273 M $
0005.HK HSBC Holdings PLC 2125000 0.027 % 2.289 M $
CVS CVS Health Corp 2425000 0.027 % 2.296 M $
Peruvian Government International Bond 4077000 0.027 % 2.309 M $
OXY Occidental Petroleum Corp 2238500 0.027 % 2.331 M $
SYY Sysco Corp 2107000 0.027 % 2.335 M $
Bell Telephone Co of Canada or Bell Canada 2340000 0.027 % 2.278 M $
CMCSA Comcast Corp 3862000 0.027 % 2.311 M $
Mexico Government International Bond 2972000 0.027 % 2.338 M $
SHW Sherwin-Williams Co/The 2603000 0.027 % 2.262 M $
Wachovia Corp 2223000 0.027 % 2.289 M $
Energy Transfer LP 2273000 0.026 % 2.210 M $
Constellation Energy Generation LLC 1980000 0.026 % 2.190 M $
PacifiCorp 2867000 0.026 % 2.239 M $
LOW Lowe's Cos Inc 2780000 0.026 % 2.220 M $
CNOOC Petroleum North America ULC 1849000 0.026 % 2.197 M $
T AT&T Inc 2300000 0.026 % 2.255 M $
0005.HK HSBC Holdings PLC 2030000 0.026 % 2.216 M $
Bell Telephone Co of Canada or Bell Canada 2626000 0.026 % 2.193 M $
FANG Diamondback Energy Inc 2321000 0.026 % 2.225 M $
New Jersey Turnpike Authority 1864000 0.026 % 2.254 M $
OKE ONEOK Inc 2250000 0.026 % 2.257 M $
XOM Exxon Mobil Corp 2632000 0.026 % 2.244 M $
KR Kroger Co/The 2564000 0.026 % 2.196 M $
8316.T Sumitomo Mitsui Financial Group Inc 1980000 0.026 % 2.178 M $
BDX Becton Dickinson & Co 2516000 0.026 % 2.225 M $
Philippine Government International Bond 2143000 0.026 % 2.199 M $
State of Texas 2165000 0.026 % 2.255 M $
AMGN Amgen Inc 2567000 0.026 % 2.221 M $
AAPL Apple Inc 2729000 0.026 % 2.194 M $
LOW Lowe's Cos Inc 2770000 0.026 % 2.224 M $
Bay Area Toll Authority 2035000 0.026 % 2.184 M $
KVUE Kenvue Inc 2390000 0.026 % 2.182 M $
MRK Merck & Co Inc 2697000 0.026 % 2.195 M $
CMCSA Comcast Corp 2585000 0.026 % 2.180 M $
WFC Wells Fargo & Co 2473000 0.026 % 2.190 M $
INTC Intel Corp 2640000 0.026 % 2.231 M $
HPE Hewlett Packard Enterprise Co 2327000 0.026 % 2.195 M $
LLY Eli Lilly & Co 2400000 0.026 % 2.214 M $
MRK Merck & Co Inc 2140000 0.026 % 2.207 M $
Charter Communications Operating LLC / Charter Communications Operating Capital 3538000 0.026 % 2.189 M $
Cooperatieve Rabobank UA 2194000 0.026 % 2.215 M $
FDX FedEx Corp 2430000 0.026 % 2.230 M $
UNP Union Pacific Corp 3028000 0.026 % 2.239 M $
MCD McDonald's Corp 2006000 0.026 % 2.224 M $
TransCanada PipeLines Ltd 2083000 0.026 % 2.236 M $
GD General Dynamics Corp 2393000 0.026 % 2.202 M $
RPRX Royalty Pharma PLC 3119000 0.026 % 2.198 M $
Oriental Republic of Uruguay 2220000 0.025 % 2.126 M $
RTX RTX Corp 2451000 0.025 % 2.108 M $
MCD McDonald's Corp 2356000 0.025 % 2.175 M $
TRGP Targa Resources Corp 2141000 0.025 % 2.150 M $
HPE Hewlett Packard Enterprise Co 2086000 0.025 % 2.171 M $
Dell International LLC / EMC Corp 2150000 0.025 % 2.127 M $
DIS Walt Disney Co/The 2307000 0.025 % 2.144 M $
LMT Lockheed Martin Corp 2494000 0.025 % 2.166 M $
Commonwealth Edison Co 2710000 0.025 % 2.120 M $
AMGN Amgen Inc 2648000 0.025 % 2.133 M $
MET MetLife Inc 2180000 0.025 % 2.111 M $
NSC Norfolk Southern Corp 2909000 0.025 % 2.169 M $
Indonesia Government International Bond 2220000 0.025 % 2.157 M $
NVDA NVIDIA Corp 2465000 0.025 % 2.114 M $
Cheniere Corpus Christi Holdings LLC 2579000 0.025 % 2.154 M $
United Airlines 2023-1 Class A Pass Through Trust 2066530.7739 0.025 % 2.157 M $
PGR Progressive Corp/The 2568000 0.025 % 2.169 M $
NI NiSource Inc 2088000 0.025 % 2.130 M $
SO Southern Co/The 2310000 0.025 % 2.163 M $
MMC Marsh & McLennan Cos Inc 2484000 0.025 % 2.136 M $
Anheuser-Busch InBev Worldwide Inc 2441000 0.025 % 2.138 M $
HPQ HP Inc 2099000 0.025 % 2.150 M $
DVN Devon Energy Corp 2445000 0.025 % 2.113 M $
DE Deere & Co 2494000 0.025 % 2.169 M $
HCA Inc 2095000 0.025 % 2.174 M $
GM General Motors Co 2230000 0.025 % 2.156 M $
WMB Williams Cos Inc/The 2442000 0.025 % 2.166 M $
Paramount Global 2755000 0.025 % 2.104 M $
WFC Wells Fargo & Co 2494000 0.025 % 2.114 M $
CCI Crown Castle Inc 2902000 0.025 % 2.127 M $
GE General Electric Co 1825000 0.025 % 2.164 M $
Chile Government International Bond 2122000 0.025 % 2.148 M $
PFE Pfizer Inc 2381000 0.025 % 2.174 M $
HCA Inc 2154000 0.025 % 2.141 M $
JPM JPMorgan Chase & Co 1890000 0.025 % 2.151 M $
VZ Verizon Communications Inc 3598000 0.025 % 2.144 M $
ORCL Oracle Corp 1943000 0.024 % 2.081 M $
C Citigroup Inc 2096000 0.024 % 2.042 M $
INTC Intel Corp 3485000 0.024 % 2.038 M $
DUK Duke Energy Corp 1995000 0.024 % 2.019 M $
AerCap Ireland Capital DAC / AerCap Global Aviation Trust 2516000 0.024 % 2.078 M $
MS Morgan Stanley 2654000 0.024 % 2.080 M $
C Citigroup Inc 1774000 0.024 % 2.006 M $
Mead Johnson Nutrition Co 2314000 0.024 % 2.087 M $
ADI Analog Devices Inc 3062000 0.024 % 2.023 M $
0005.HK HSBC Holdings PLC 1897000 0.024 % 2.074 M $
PEP PepsiCo Inc 2304000 0.024 % 2.074 M $
CI Cigna Group/The 2265000 0.024 % 2.026 M $
Shell International Finance BV 1935000 0.024 % 2.008 M $
Charter Communications Operating LLC / Charter Communications Operating Capital 2038000 0.024 % 2.011 M $
T-Mobile USA Inc 2016000 0.024 % 2.048 M $
NOC Northrop Grumman Corp 2182000 0.024 % 2.007 M $
KO Coca-Cola Co/The 2020000 0.024 % 2.005 M $
CVS CVS Health Corp 2124000 0.024 % 2.085 M $
UNH UnitedHealth Group Inc 2030000 0.024 % 2.084 M $
Tennessee Valley Authority 2000000 0.024 % 2.019 M $
GILD Gilead Sciences Inc 3148000 0.024 % 2.040 M $
V Visa Inc 3736000 0.024 % 2.077 M $
AMGN Amgen Inc 1895000 0.024 % 2.082 M $
Telefonica Emisiones SA 2351000 0.024 % 2.014 M $
Indonesia Government International Bond 2000000 0.024 % 2.005 M $
4502.T Takeda Pharmaceutical Co Ltd 2708000 0.024 % 2.076 M $
JNJ Johnson & Johnson 2511000 0.024 % 2.059 M $
FDX FedEx Corp 2454000 0.024 % 2.013 M $
IBM International Business Machines Corp 2380000 0.024 % 2.018 M $
MSFT Microsoft Corp 2110000 0.024 % 2.060 M $
AAPL Apple Inc 3161000 0.024 % 2.012 M $
PM Philip Morris International Inc 1856000 0.024 % 2.074 M $
Indonesia Government International Bond 2425000 0.024 % 2.053 M $
MO Altria Group Inc 2520000 0.024 % 2.038 M $
JPM JPMorgan Chase & Co 1924000 0.024 % 2.021 M $
MCD McDonald's Corp 2006000 0.024 % 2.020 M $
JNJ Johnson & Johnson 2238000 0.024 % 2.037 M $
Northern States Power Co/MN 1934000 0.023 % 1.993 M $
HD Home Depot Inc/The 2676000 0.023 % 1.928 M $
DUK Duke Energy Corp 2000000 0.023 % 1.995 M $
JPM JPMorgan Chase & Co 2045000 0.023 % 1.959 M $
VOD.L Vodafone Group PLC 2130000 0.023 % 2.003 M $
BIIB Biogen Inc 2901000 0.023 % 1.926 M $
CVS CVS Health Corp 1890000 0.023 % 1.941 M $
ABT Abbott Laboratories 1720000 0.023 % 1.937 M $
UNH UnitedHealth Group Inc 2565000 0.023 % 1.980 M $
GM General Motors Co 2119000 0.023 % 1.923 M $
UPS United Parcel Service Inc 1905000 0.023 % 2.004 M $
WMT Walmart Inc 3105000 0.023 % 1.988 M $
PRU Prudential Financial Inc 2468000 0.023 % 1.954 M $
DIS Walt Disney Co/The 2603000 0.023 % 1.982 M $
MCO Moody's Corp 2005000 0.023 % 1.955 M $
Burlington Northern Santa Fe LLC 2150000 0.023 % 1.936 M $
C Citigroup Inc 1974000 0.023 % 1.970 M $
JNJ Johnson & Johnson 2775000 0.023 % 1.964 M $
PRU Prudential Financial Inc 1848000 0.023 % 1.962 M $
LYB International Finance BV 2152000 0.023 % 1.922 M $
Shell Finance US Inc 2737000 0.023 % 1.942 M $
Constellation Energy Generation LLC 1970000 0.023 % 1.997 M $
INTC Intel Corp 3094000 0.023 % 1.958 M $
MidAmerican Energy Co 2050000 0.023 % 1.995 M $
EXC Exelon Corp 2297000 0.023 % 1.996 M $
HAL Halliburton Co 2241000 0.023 % 2.002 M $
Philippine Government International Bond 1825000 0.023 % 1.952 M $
VZ Verizon Communications Inc 2040000 0.023 % 1.934 M $
DIS Walt Disney Co/The 2635000 0.023 % 1.981 M $
INTC Intel Corp 2235000 0.023 % 1.984 M $
Anheuser-Busch InBev Worldwide Inc 2043000 0.023 % 1.972 M $
QCOM QUALCOMM Inc 2246000 0.023 % 1.926 M $
TGT Target Corp 2950000 0.023 % 1.935 M $
CARR Carrier Global Corp 2510000 0.022 % 1.894 M $
EMR Emerson Electric Co 2919000 0.022 % 1.901 M $
EQH Equitable Holdings Inc 2049000 0.022 % 1.882 M $
LLOY.L Lloyds Banking Group PLC 2568000 0.022 % 1.916 M $
CARR Carrier Global Corp 2310000 0.022 % 1.879 M $
BP Capital Markets America Inc 2747000 0.022 % 1.834 M $
Dow Chemical Co/The 2308000 0.022 % 1.870 M $
LMT Lockheed Martin Corp 2083000 0.022 % 1.916 M $
UPS United Parcel Service Inc 1681000 0.022 % 1.859 M $
V Visa Inc 2395000 0.022 % 1.896 M $
GATX GATX Corp 1796000 0.022 % 1.849 M $
OKE ONEOK Inc 2038000 0.022 % 1.911 M $
JNJ Johnson & Johnson 2155000 0.022 % 1.902 M $
MA Mastercard Inc 2865000 0.022 % 1.913 M $
GILD Gilead Sciences Inc 2026000 0.022 % 1.890 M $
Shell International Finance BV 2549000 0.022 % 1.894 M $
DIS Walt Disney Co/The 1728000 0.022 % 1.914 M $
FDX FedEx Corp 2253000 0.022 % 1.896 M $
4502.T Takeda Pharmaceutical Co Ltd 2851000 0.022 % 1.868 M $
Texas Health Resources 2250000 0.022 % 1.919 M $
ABBV AbbVie Inc 1880000 0.022 % 1.878 M $
DIS Walt Disney Co/The 1879000 0.022 % 1.905 M $
HD Home Depot Inc/The 2275000 0.022 % 1.867 M $
Mexico Government International Bond 2327000 0.022 % 1.866 M $
HCA Inc 1849000 0.022 % 1.864 M $
Cooperatieve Rabobank UA 1946000 0.022 % 1.868 M $
ConocoPhillips Co 1937000 0.022 % 1.840 M $
Municipal Electric Authority of Georgia 1679000 0.022 % 1.848 M $
NUE Nucor Corp 1650000 0.022 % 1.852 M $
SYK Stryker Corp 2100000 0.022 % 1.908 M $
Municipal Electric Authority of Georgia 1731000 0.022 % 1.902 M $
T AT&T Inc 1900000 0.022 % 1.859 M $
JPM JPMorgan Chase & Co 2548000 0.022 % 1.852 M $
DVN Devon Energy Corp 1987000 0.022 % 1.914 M $
IBM International Business Machines Corp 2105000 0.022 % 1.906 M $
Dow Chemical Co/The 2777000 0.022 % 1.876 M $
Baker Hughes Holdings LLC 1902000 0.022 % 1.864 M $
C Citigroup Inc 1484000 0.022 % 1.901 M $
RTX RTX Corp 2027000 0.022 % 1.916 M $
Panama Government International Bond 1726000 0.022 % 1.873 M $
MSI Motorola Solutions Inc 1852000 0.022 % 1.837 M $
Time Warner Cable LLC 1801000 0.022 % 1.846 M $
MMC Marsh & McLennan Cos Inc 1945000 0.022 % 1.890 M $
Burlington Northern Santa Fe LLC 1867000 0.021 % 1.773 M $
MRK Merck & Co Inc 1905000 0.021 % 1.811 M $
AMXB America Movil SAB de CV 1999000 0.021 % 1.768 M $
CRM Salesforce Inc 2715000 0.021 % 1.771 M $
Philippine Government International Bond 1765000 0.021 % 1.794 M $
BRO Brown & Brown Inc 1710000 0.021 % 1.798 M $
Israel Government International Bond 2450000 0.021 % 1.820 M $
AXP American Express Co 2028000 0.021 % 1.759 M $
Louisiana Local Government Environmental Facilities & Community Development Auth 1750000 0.021 % 1.817 M $
GS Goldman Sachs Group Inc/The 1870000 0.021 % 1.770 M $
Consolidated Edison Co of New York Inc 1681000 0.021 % 1.812 M $
Philippine Government International Bond 2460000 0.021 % 1.760 M $
Commonwealth Edison Co 1692000 0.021 % 1.831 M $
HD Home Depot Inc/The 2641000 0.021 % 1.831 M $
Berkshire Hathaway Finance Corp 2075000 0.021 % 1.783 M $
PEP PepsiCo Inc 2286000 0.021 % 1.762 M $
HCA Inc 1770000 0.021 % 1.788 M $
Southern California Edison Co 2855000 0.021 % 1.762 M $
Time Warner Cable LLC 1903000 0.021 % 1.768 M $
NSC Norfolk Southern Corp 1893000 0.021 % 1.801 M $
MET MetLife Inc 1693000 0.021 % 1.793 M $
CMCSA Comcast Corp 2486000 0.021 % 1.775 M $
HD Home Depot Inc/The 1723000 0.021 % 1.782 M $
UNH UnitedHealth Group Inc 1861000 0.021 % 1.790 M $
Panama Government International Bond 2301000 0.021 % 1.749 M $
FAXXF Fairfax Financial Holdings Ltd 1660000 0.021 % 1.757 M $
T-Mobile USA Inc 1810000 0.021 % 1.812 M $
Dow Chemical Co/The 1908000 0.021 % 1.753 M $
Kreditanstalt fuer Wiederaufbau 2934000 0.021 % 1.791 M $
MET MetLife Inc 1905000 0.021 % 1.779 M $
GE General Electric Co 1666000 0.021 % 1.820 M $
Chile Government International Bond 2764000 0.021 % 1.762 M $
Enterprise Products Operating LLC 2115000 0.021 % 1.766 M $
Energy Transfer LP 2104000 0.021 % 1.787 M $
BARC.L Barclays PLC 1655000 0.021 % 1.758 M $
Energy Transfer LP 1789000 0.021 % 1.808 M $
VTRS Viatris Inc 2656000 0.021 % 1.792 M $
Entergy Louisiana LLC 1700000 0.021 % 1.749 M $
Peruvian Government International Bond 2510000 0.021 % 1.813 M $
JPM JPMorgan Chase & Co 2181000 0.021 % 1.765 M $
NOC Northrop Grumman Corp 1865000 0.021 % 1.801 M $
TotalEnergies Capital International SA 2648000 0.021 % 1.770 M $
CMCSA Comcast Corp 2033000 0.021 % 1.774 M $
Canadian Pacific Railway Co 2381000 0.021 % 1.792 M $
Virginia Electric and Power Co 1809000 0.021 % 1.819 M $
BF-B Brown-Forman Corp 2055000 0.021 % 1.814 M $
NVDA NVIDIA Corp 2377000 0.021 % 1.813 M $
AMGN Amgen Inc 2289000 0.021 % 1.806 M $
ALL Allstate Corp/The 1630000 0.021 % 1.750 M $
Southern California Edison Co 2391000 0.021 % 1.822 M $
LOW Lowe's Cos Inc 2066000 0.021 % 1.758 M $
HD Home Depot Inc/The 1906000 0.021 % 1.803 M $
MRK Merck & Co Inc 1987000 0.021 % 1.779 M $
MCD McDonald's Corp 2235000 0.021 % 1.832 M $
LLOY.L Lloyds Banking Group PLC 2217000 0.021 % 1.821 M $
Dell International LLC / EMC Corp 2317000 0.021 % 1.782 M $
WMT Walmart Inc 1962000 0.021 % 1.761 M $
KDP Keurig Dr Pepper Inc 2166000 0.021 % 1.764 M $
UNH UnitedHealth Group Inc 2004000 0.02 % 1.672 M $
CVS CVS Health Corp 1665000 0.02 % 1.739 M $
ConocoPhillips Co 2297000 0.02 % 1.731 M $
HD Home Depot Inc/The 1897000 0.02 % 1.674 M $
Duke Energy Progress LLC 2034000 0.02 % 1.733 M $
NSC Norfolk Southern Corp 2365000 0.02 % 1.701 M $
Florida Power & Light Co 2644000 0.02 % 1.727 M $
Enterprise Products Operating LLC 2514000 0.02 % 1.707 M $
SJM J M Smucker Co/The 1570000 0.02 % 1.741 M $
Paramount Global 2224000 0.02 % 1.683 M $
Ascension Health 2058000 0.02 % 1.694 M $
Duke Energy Carolinas LLC 1555000 0.02 % 1.690 M $
GEHC GE HealthCare Technologies Inc 1567000 0.02 % 1.722 M $
AIG American International Group Inc 2000000 0.02 % 1.691 M $
MCD McDonald's Corp 2018000 0.02 % 1.744 M $
Berkshire Hathaway Energy Co 2650000 0.02 % 1.694 M $
VZ Verizon Communications Inc 1863000 0.02 % 1.740 M $
Shell International Finance BV 2555000 0.02 % 1.706 M $
CommonSpirit Health 1927000 0.02 % 1.683 M $
MET MetLife Inc 2023000 0.02 % 1.695 M $
Philippine Government International Bond 2497000 0.02 % 1.684 M $
UNP Union Pacific Corp 2456000 0.02 % 1.729 M $
MPLX LP 2007000 0.02 % 1.713 M $
HUM Humana Inc 1780000 0.02 % 1.705 M $
MMC Marsh & McLennan Cos Inc 2001000 0.02 % 1.678 M $
Energy Transfer LP 1918000 0.02 % 1.734 M $
CSX CSX Corp 2012000 0.02 % 1.739 M $
Dow Chemical Co/The 1595000 0.02 % 1.691 M $
State of California 1450000 0.02 % 1.710 M $
BA Boeing Co/The 2316000 0.02 % 1.703 M $
IFF International Flavors & Fragrances Inc 1943000 0.02 % 1.729 M $
Western Midstream Operating LP 1965000 0.02 % 1.696 M $
Burlington Northern Santa Fe LLC 2060000 0.02 % 1.694 M $
Brookfield Finance Inc 1913000 0.02 % 1.671 M $
DIS Walt Disney Co/The 1867000 0.02 % 1.721 M $
LOW Lowe's Cos Inc 2188000 0.02 % 1.748 M $
ANTM Elevance Health Inc 2028000 0.02 % 1.737 M $
Progress Energy Inc 1625000 0.02 % 1.731 M $
PM Philip Morris International Inc 1971000 0.02 % 1.687 M $
CMCSA Comcast Corp 1790000 0.02 % 1.714 M $
Chubb INA Holdings LLC 2642000 0.02 % 1.732 M $
UNP Union Pacific Corp 2105000 0.02 % 1.712 M $
Sekisui House US Inc 1853000 0.02 % 1.745 M $
LRCX Lam Research Corp 2544000 0.02 % 1.693 M $
TRV Travelers Cos Inc/The 2079000 0.02 % 1.724 M $
BAT Capital Corp 1535000 0.02 % 1.729 M $
ARE Alexandria Real Estate Equities Inc 2450000 0.02 % 1.680 M $
CCI Crown Castle Inc 1825000 0.02 % 1.682 M $
ORCL Oracle Corp 2235000 0.02 % 1.673 M $
ICE Intercontinental Exchange Inc 1760000 0.02 % 1.667 M $
University of Michigan 2075000 0.02 % 1.694 M $
MRK Merck & Co Inc 2761000 0.02 % 1.664 M $
TGT Target Corp 1625000 0.02 % 1.671 M $
TMO Thermo Fisher Scientific Inc 2002000 0.02 % 1.690 M $
ANTM Elevance Health Inc 1598000 0.019 % 1.591 M $
Korea International Bond 1798000 0.019 % 1.636 M $
LLY Eli Lilly & Co 2010000 0.019 % 1.627 M $
Port Authority of New York & New Jersey 1720000 0.019 % 1.648 M $
UPS United Parcel Service Inc 1780000 0.019 % 1.661 M $
MidAmerican Energy Co 2065000 0.019 % 1.579 M $
UNH UnitedHealth Group Inc 2127000 0.019 % 1.600 M $
CMCSA Comcast Corp 1878000 0.019 % 1.602 M $
UNH UnitedHealth Group Inc 1985000 0.019 % 1.646 M $
HD Home Depot Inc/The 2021000 0.019 % 1.632 M $
Uruguay Government International Bond 1329000 0.019 % 1.624 M $
UBER Uber Technologies Inc 1635000 0.019 % 1.580 M $
Eastern Energy Gas Holdings LLC 1665000 0.019 % 1.638 M $
0005.HK HSBC Holdings PLC 1661000 0.019 % 1.660 M $
Philippine Government International Bond 1900000 0.019 % 1.628 M $
UNH UnitedHealth Group Inc 1921000 0.019 % 1.610 M $
BAT Capital Corp 1735000 0.019 % 1.657 M $
LMT Lockheed Martin Corp 1715000 0.019 % 1.631 M $
KR Kroger Co/The 1665000 0.019 % 1.624 M $
Burlington Northern Santa Fe LLC 1652000 0.019 % 1.625 M $
AMZN Amazon.com Inc 2712000 0.019 % 1.585 M $
UNH UnitedHealth Group Inc 2253000 0.019 % 1.657 M $
Enterprise Products Operating LLC 2200000 0.019 % 1.648 M $
Florida Power & Light Co 1612000 0.019 % 1.584 M $
INTU Intuit Inc 1645000 0.019 % 1.647 M $
9988.HK Alibaba Group Holding Ltd 2266000 0.019 % 1.610 M $
Connecticut Light and Power Co/The 1713000 0.019 % 1.659 M $
American Municipal Power Inc 1270000 0.019 % 1.634 M $
OTIS Otis Worldwide Corp 2026000 0.019 % 1.584 M $
Shell International Finance BV 1461000 0.019 % 1.651 M $
Pacific Gas and Electric Co 1640000 0.019 % 1.596 M $
Burlington Northern Santa Fe LLC 1542000 0.019 % 1.602 M $
CPB Campbell's Company/The 1862000 0.019 % 1.653 M $
Providence St Joseph Health Obligated Group 2095000 0.019 % 1.608 M $
UNH UnitedHealth Group Inc 1425000 0.019 % 1.652 M $
BAT Capital Corp 1769000 0.019 % 1.615 M $
Consolidated Edison Co of New York Inc 1620000 0.019 % 1.617 M $
AMT American Tower Corp 2478000 0.019 % 1.601 M $
ICE Intercontinental Exchange Inc 2630000 0.019 % 1.626 M $
Israel Government International Bond 2035000 0.019 % 1.620 M $
Public Service Electric and Gas Co 1661000 0.019 % 1.629 M $
Burlington Northern Santa Fe LLC 2322000 0.019 % 1.639 M $
PRU Prudential Financial Inc 1947000 0.019 % 1.652 M $
Union Electric Co 2351000 0.019 % 1.641 M $
ORCL Oracle Corp 1825000 0.019 % 1.591 M $
EQNR.OL Equinor ASA 2088000 0.019 % 1.623 M $
OXY Occidental Petroleum Corp 1596000 0.019 % 1.632 M $
Kaiser Foundation Hospitals 2142000 0.019 % 1.601 M $
GPN Global Payments Inc 1646000 0.019 % 1.596 M $
ANTM Elevance Health Inc 1588000 0.019 % 1.581 M $
Enterprise Products Operating LLC 1995000 0.019 % 1.634 M $
INTC Intel Corp 2325000 0.019 % 1.636 M $
Oncor Electric Delivery Co LLC 1760000 0.019 % 1.611 M $
Southern California Edison Co 1539000 0.019 % 1.585 M $
Alabama Power Co 2068000 0.019 % 1.654 M $
Phillips 66 Co 1856000 0.019 % 1.638 M $
TRGP Targa Resources Corp 1505000 0.019 % 1.582 M $
NTR Nutrien Ltd 1751000 0.019 % 1.609 M $
RTX RTX Corp 2035000 0.019 % 1.607 M $
CVS CVS Health Corp 1605000 0.019 % 1.581 M $
IP International Paper Co 1945000 0.019 % 1.601 M $
D Dominion Energy Inc 1791000 0.019 % 1.589 M $
KO Coca-Cola Co/The 1855000 0.019 % 1.586 M $
MPC Marathon Petroleum Corp 1912000 0.019 % 1.660 M $
ConocoPhillips Co 1670000 0.019 % 1.629 M $
HCA Inc 2367000 0.019 % 1.637 M $
NextEra Energy Capital Holdings Inc 1665000 0.019 % 1.580 M $
MMM 3M Co 1546000 0.019 % 1.646 M $
LLY Eli Lilly & Co 2560000 0.018 % 1.496 M $
BA Boeing Co/The 1471000 0.018 % 1.524 M $
North Texas Tollway Authority 1360000 0.018 % 1.535 M $
ORCL Oracle Corp 1748000 0.018 % 1.523 M $
TXN Texas Instruments Inc 1678000 0.018 % 1.541 M $
Enterprise Products Operating LLC 2236000 0.018 % 1.530 M $
LLY Eli Lilly & Co 1450000 0.018 % 1.493 M $
Kentucky Utilities Co 1812000 0.018 % 1.564 M $
ARE Alexandria Real Estate Equities Inc 1785000 0.018 % 1.536 M $
MSFT Microsoft Corp 2423000 0.018 % 1.559 M $
HON Honeywell International Inc 1440000 0.018 % 1.537 M $
JPM JPMorgan Chase & Co 1994000 0.018 % 1.573 M $
TWDC Enterprises 18 Corp 1758000 0.018 % 1.498 M $
Energy Transfer LP 1460000 0.018 % 1.535 M $
JPM JPMorgan Chase & Co 1639000 0.018 % 1.560 M $
Kaiser Foundation Hospitals 2327000 0.018 % 1.560 M $
MPLX LP 1550000 0.018 % 1.563 M $
VZ Verizon Communications Inc 1567000 0.018 % 1.576 M $
MET MetLife Inc 1445000 0.018 % 1.524 M $
KMB Kimberly-Clark Corp 1312000 0.018 % 1.529 M $
PFE Pfizer Inc 1827000 0.018 % 1.526 M $
Entergy Louisiana LLC 1535000 0.018 % 1.553 M $
Bay Area Toll Authority 1330000 0.018 % 1.553 M $
Southern California Edison Co 1515000 0.018 % 1.554 M $
Kaiser Foundation Hospitals 1783000 0.018 % 1.509 M $
PRU Prudential Financial Inc 1991000 0.018 % 1.507 M $
Duke Energy Florida LLC 1385000 0.018 % 1.520 M $
Duke Energy Progress LLC 1525000 0.018 % 1.543 M $
PFG Principal Financial Group Inc 1662000 0.018 % 1.525 M $
Kraft Heinz Foods Co 1690000 0.018 % 1.559 M $
Commonwealth of Massachusetts 1485000 0.018 % 1.535 M $
MAR Marriott International Inc/MD 1471000 0.018 % 1.509 M $
CommonSpirit Health 2067000 0.018 % 1.576 M $
Ameren Illinois Co 1462000 0.018 % 1.494 M $
NSC Norfolk Southern Corp 1568000 0.018 % 1.535 M $
JBS USA Holding Lux Sarl / JBS USA Foods Group Holdings Inc / JBS USA Food Co 1550000 0.018 % 1.571 M $
Johnsonville Aeroderivative Combustion Turbine Generation LLC 1578219.6359 0.018 % 1.537 M $
Pacific Gas and Electric Co 1785000 0.018 % 1.523 M $
CSX CSX Corp 1730000 0.018 % 1.565 M $
WMT Walmart Inc 1680000 0.018 % 1.505 M $
T AT&T Inc 1530000 0.018 % 1.572 M $
EQNR.OL Equinor ASA 1550000 0.018 % 1.555 M $
NOC Northrop Grumman Corp 1687000 0.018 % 1.567 M $
Presbyterian Healthcare Services 1705000 0.018 % 1.549 M $
T-Mobile USA Inc 1455000 0.018 % 1.498 M $
CNOOC Finance 2013 Ltd 1600000 0.018 % 1.495 M $
Southern California Edison Co 2160000 0.018 % 1.524 M $
BARC.L Barclays PLC 1925000 0.018 % 1.552 M $
Mexico Government International Bond 1919000 0.018 % 1.507 M $
PPL Electric Utilities Corp 1795000 0.018 % 1.533 M $
8411.T Mizuho Financial Group Inc 1500000 0.018 % 1.544 M $
ICE Intercontinental Exchange Inc 2348000 0.018 % 1.576 M $
Anheuser-Busch InBev Finance Inc 1543000 0.018 % 1.529 M $
MPLX LP 1835000 0.018 % 1.532 M $
PacifiCorp 1430000 0.018 % 1.539 M $
Chubb INA Holdings LLC 1787000 0.018 % 1.565 M $
LOW Lowe's Cos Inc 2206000 0.018 % 1.566 M $
UNH UnitedHealth Group Inc 2019000 0.018 % 1.538 M $
ANTM Elevance Health Inc 1684000 0.018 % 1.539 M $
Dell International LLC / EMC Corp 1176000 0.018 % 1.522 M $
MLM Martin Marietta Materials Inc 2240000 0.018 % 1.541 M $
Burlington Northern Santa Fe LLC 1881000 0.018 % 1.526 M $
RPRX Royalty Pharma PLC 1895000 0.017 % 1.465 M $
Union Electric Co 2372000 0.017 % 1.464 M $
WBC.AX Westpac Banking Corp 1524000 0.017 % 1.416 M $
HUM Humana Inc 1606000 0.017 % 1.431 M $
CMCSA Comcast Corp 1930000 0.017 % 1.483 M $
CNOOC Finance 2013 Ltd 1850000 0.017 % 1.455 M $
XOM Exxon Mobil Corp 2095000 0.017 % 1.463 M $
Rogers Communications Inc 1650000 0.017 % 1.432 M $
FDX FedEx Corp 1656000 0.017 % 1.459 M $
Interstate Power and Light Co 1525000 0.017 % 1.479 M $
T AT&T Inc 1708000 0.017 % 1.461 M $
Berkshire Hathaway Energy Co 1738000 0.017 % 1.426 M $
UNH UnitedHealth Group Inc 1605000 0.017 % 1.414 M $
KO Coca-Cola Co/The 1516000 0.017 % 1.489 M $
Enterprise Products Operating LLC 1450000 0.017 % 1.477 M $
BIIB Biogen Inc 2245000 0.017 % 1.473 M $
ONEOK Partners LP 1315000 0.017 % 1.430 M $
DE Deere & Co 1776000 0.017 % 1.414 M $
Consolidated Edison Co of New York Inc 1370000 0.017 % 1.421 M $
LMT Lockheed Martin Corp 1470000 0.017 % 1.444 M $
MMC Marsh & McLennan Cos Inc 1574000 0.017 % 1.449 M $
NDAQ Nasdaq Inc 1400000 0.017 % 1.470 M $
ConocoPhillips Co 1656000 0.017 % 1.431 M $
WBC.AX Westpac Banking Corp 1858000 0.017 % 1.412 M $
Reynolds American Inc 1425000 0.017 % 1.462 M $
Puget Sound Energy Inc 1750000 0.017 % 1.447 M $
ITW Illinois Tool Works Inc 1653000 0.017 % 1.414 M $
Vale Overseas Ltd 1295000 0.017 % 1.470 M $
AMGN Amgen Inc 1635000 0.017 % 1.465 M $
XOM Exxon Mobil Corp 1808000 0.017 % 1.453 M $
HSY Hershey Co/The 2033000 0.017 % 1.415 M $
Southern California Edison Co 1597000 0.017 % 1.409 M $
ONEOK Partners LP 1305000 0.017 % 1.438 M $
BAC Bank of America Corp 1356000 0.017 % 1.455 M $
City of New York NY 1400000 0.017 % 1.489 M $
Energy Transfer LP 1590000 0.017 % 1.428 M $
Paramount Global 1818000 0.017 % 1.463 M $
Public Service Electric and Gas Co 1762000 0.017 % 1.418 M $
County of Miami-Dade FL Aviation Revenue 1605000 0.017 % 1.487 M $
TAP Molson Coors Beverage Co 1557000 0.017 % 1.447 M $
NEM Newmont Corp 1450000 0.017 % 1.465 M $
GOOG Alphabet Inc 2130000 0.017 % 1.457 M $
Telefonica Emisiones SA 1584000 0.017 % 1.473 M $
SPGI S&P Global Inc 2031000 0.017 % 1.465 M $
New York State Dormitory Authority 1380000 0.017 % 1.421 M $
Pacific Gas and Electric Co 1675000 0.017 % 1.489 M $
Trinity Health Corp 1950000 0.017 % 1.430 M $
Uruguay Government International Bond 1345000 0.017 % 1.411 M $
HD Home Depot Inc/The 1933000 0.017 % 1.444 M $
Grand Parkway Transportation Corp 2000000 0.017 % 1.431 M $
ICE Intercontinental Exchange Inc 1924000 0.017 % 1.430 M $
MET MetLife Inc 1560000 0.017 % 1.468 M $
APO Apollo Global Management Inc 1450000 0.017 % 1.454 M $
Chile Government International Bond 1734000 0.017 % 1.409 M $
Charter Communications Operating LLC / Charter Communications Operating Capital 1794000 0.017 % 1.461 M $
Kraft Heinz Foods Co 1270000 0.017 % 1.413 M $
9988.HK Alibaba Group Holding Ltd 1634000 0.017 % 1.424 M $
META Meta Platforms Inc 1795000 0.017 % 1.491 M $
TXN Texas Instruments Inc 1713000 0.017 % 1.428 M $
C Citigroup Inc 1682000 0.017 % 1.428 M $
MCD McDonald's Corp 1497000 0.017 % 1.418 M $
PacifiCorp 1320000 0.017 % 1.420 M $
TRV Travelers Cos Inc/The 1400000 0.017 % 1.427 M $
Commonwealth Edison Co 1250000 0.016 % 1.332 M $
V Visa Inc 1809000 0.016 % 1.393 M $
Constellation Energy Generation LLC 1356000 0.016 % 1.372 M $
DTE Electric Co 1754000 0.016 % 1.396 M $
OVV Ovintiv Inc 1268000 0.016 % 1.338 M $
GILD Gilead Sciences Inc 1382000 0.016 % 1.397 M $
CSX CSX Corp 1687000 0.016 % 1.349 M $
WMB Williams Cos Inc/The 1430000 0.016 % 1.386 M $
Panama Government International Bond 1705000 0.016 % 1.364 M $
MCD McDonald's Corp 1259000 0.016 % 1.397 M $
WLK Westlake Corp 1690000 0.016 % 1.344 M $
BA Boeing Co/The 1684000 0.016 % 1.376 M $
Kraft Heinz Foods Co 1401000 0.016 % 1.328 M $
WFC Wells Fargo & Co 1281000 0.016 % 1.339 M $
MMM 3M Co 1908000 0.016 % 1.340 M $
KO Coca-Cola Co/The 1755000 0.016 % 1.353 M $
IP International Paper Co 1640000 0.016 % 1.370 M $
Entergy Louisiana LLC 1491000 0.016 % 1.386 M $
HD Home Depot Inc/The 1387000 0.016 % 1.365 M $
OC Owens Corning 1205000 0.016 % 1.383 M $
SBUX Starbucks Corp 1595000 0.016 % 1.357 M $
ConocoPhillips Co 1635000 0.016 % 1.350 M $
Time Warner Cable LLC 1730000 0.016 % 1.368 M $
Duke Energy Carolinas LLC 1423000 0.016 % 1.400 M $
Louisiana Local Government Environmental Facilities & Community Development Auth 1400000 0.016 % 1.364 M $
NSC Norfolk Southern Corp 1716000 0.016 % 1.371 M $
Kinder Morgan Energy Partners LP 1221000 0.016 % 1.377 M $
Diageo Capital PLC 1290000 0.016 % 1.400 M $
Baltimore Gas and Electric Co 1769000 0.016 % 1.389 M $
Southern California Edison Co 1594000 0.016 % 1.367 M $
NUE Nucor Corp 1730000 0.016 % 1.339 M $
WM Waste Management Inc 1585000 0.016 % 1.328 M $
EQNR.OL Equinor ASA 1873000 0.016 % 1.342 M $
Baltimore Gas and Electric Co 1355000 0.016 % 1.388 M $
ORA.PA Orange SA 1356000 0.016 % 1.355 M $
NDAQ Nasdaq Inc 1277000 0.016 % 1.354 M $
AJG Arthur J Gallagher & Co 1365000 0.016 % 1.329 M $
WM Waste Management Inc 1365000 0.016 % 1.346 M $
PH Parker-Hannifin Corp 1684000 0.016 % 1.379 M $
Brookfield Finance Inc 1312000 0.016 % 1.349 M $
Tennessee Valley Authority 1240000 0.016 % 1.349 M $
TotalEnergies Capital International SA 1850000 0.016 % 1.359 M $
PRU Prudential Financial Inc 1726000 0.016 % 1.379 M $
AMAT Applied Materials Inc 1345000 0.016 % 1.394 M $
PM Philip Morris International Inc 1472000 0.016 % 1.370 M $
NNN NNN REIT Inc 1897000 0.016 % 1.342 M $
LHX L3Harris Technologies Inc 1335000 0.016 % 1.350 M $
RTX RTX Corp 1511000 0.016 % 1.339 M $
UNH UnitedHealth Group Inc 1335000 0.016 % 1.395 M $
HD Home Depot Inc/The 1421000 0.016 % 1.383 M $
JNJ Johnson & Johnson 1408000 0.016 % 1.364 M $
UNP Union Pacific Corp 1835000 0.016 % 1.361 M $
CI Cigna Group/The 1390000 0.016 % 1.367 M $
CMCSA Comcast Corp 1809000 0.016 % 1.396 M $
T-Mobile USA Inc 1467000 0.016 % 1.359 M $
Philippine Government International Bond 1235000 0.016 % 1.329 M $
ABT Abbott Laboratories 1216000 0.016 % 1.354 M $
Simon Property Group LP 1187000 0.016 % 1.367 M $
PFE Pfizer Inc 1810000 0.016 % 1.338 M $
PM Philip Morris International Inc 1500000 0.016 % 1.335 M $
UNP Union Pacific Corp 1473000 0.016 % 1.387 M $
COP ConocoPhillips 1302000 0.016 % 1.406 M $
ORA.PA Orange SA 1400000 0.016 % 1.390 M $
LYB International Finance BV 1606000 0.016 % 1.368 M $
Vale Overseas Ltd 1230000 0.016 % 1.395 M $
UBS AG/London 1485000 0.016 % 1.329 M $
Burlington Northern Santa Fe LLC 1297000 0.016 % 1.374 M $
BRK-A Berkshire Hathaway Inc 1473000 0.016 % 1.399 M $
Hess Corp 1221000 0.016 % 1.330 M $
INTC Intel Corp 1426000 0.016 % 1.365 M $
Duke Energy Carolinas LLC 1257000 0.016 % 1.367 M $
Duke Energy Carolinas LLC 1613000 0.016 % 1.375 M $
Transcontinental Gas Pipe Line Co LLC 1360000 0.016 % 1.345 M $
AMXB America Movil SAB de CV 1556000 0.016 % 1.335 M $
DHR Danaher Corp 2135000 0.016 % 1.377 M $
Pacific Gas and Electric Co 1290000 0.016 % 1.383 M $
Oglethorpe Power Corp 1342000 0.016 % 1.330 M $
AAPL Apple Inc 2011000 0.016 % 1.377 M $
Metropolitan Transportation Authority Dedicated Tax Fund 1160000 0.016 % 1.380 M $
GS Goldman Sachs Group Inc/The 1439000 0.016 % 1.338 M $
Kreditanstalt fuer Wiederaufbau 2106000 0.016 % 1.361 M $
LOW Lowe's Cos Inc 1617000 0.015 % 1.241 M $
Duke Energy Progress LLC 1524000 0.015 % 1.296 M $
Hackensack Meridian Health Inc 1482000 0.015 % 1.273 M $
Athene Holding Ltd 1254000 0.015 % 1.312 M $
ATO Atmos Energy Corp 1727000 0.015 % 1.256 M $
Energy Transfer LP 1301000 0.015 % 1.269 M $
CenterPoint Energy Houston Electric LLC 1740000 0.015 % 1.246 M $
WLK Westlake Corp 1805000 0.015 % 1.260 M $
Consolidated Edison Co of New York Inc 1255000 0.015 % 1.288 M $
Duke Energy Carolinas LLC 1406000 0.015 % 1.249 M $
PEP PepsiCo Inc 1448000 0.015 % 1.264 M $
OKE ONEOK Inc 1385000 0.015 % 1.306 M $
ConocoPhillips Co 1252000 0.015 % 1.240 M $
JNJ Johnson & Johnson 1391000 0.015 % 1.278 M $
NXP BV / NXP Funding LLC / NXP USA Inc 1663000 0.015 % 1.262 M $
Duke Energy Carolinas LLC 1297000 0.015 % 1.322 M $
Oncor Electric Delivery Co LLC 1435000 0.015 % 1.307 M $
9988.HK Alibaba Group Holding Ltd 1650000 0.015 % 1.250 M $
DHR Danaher Corp 2005000 0.015 % 1.251 M $
ARE Alexandria Real Estate Equities Inc 1365000 0.015 % 1.297 M $
Chubb INA Holdings LLC 2082000 0.015 % 1.311 M $
KR Kroger Co/The 1299000 0.015 % 1.237 M $
LYB International Finance III LLC 1757000 0.015 % 1.294 M $
KO Coca-Cola Co/The 2170000 0.015 % 1.304 M $
OKE ONEOK Inc 1430000 0.015 % 1.311 M $
KR Kroger Co/The 1662000 0.015 % 1.295 M $
Burlington Northern Santa Fe LLC 1296000 0.015 % 1.258 M $
Philippine Government International Bond 1275000 0.015 % 1.314 M $
Telefonica Emisiones SA 1420000 0.015 % 1.297 M $
PEP PepsiCo Inc 1755000 0.015 % 1.282 M $
CNQ Canadian Natural Resources Ltd 1454000 0.015 % 1.293 M $
ANTM Elevance Health Inc 1800000 0.015 % 1.297 M $
EMN Eastman Chemical Co 1512000 0.015 % 1.297 M $
F-PD Ford Motor Co 1521000 0.015 % 1.286 M $
Eaton Corp 1413000 0.015 % 1.250 M $
UNH UnitedHealth Group Inc 1210000 0.015 % 1.260 M $
AIG American International Group Inc 1398000 0.015 % 1.257 M $
OKE ONEOK Inc 1445000 0.015 % 1.290 M $
ANTM Elevance Health Inc 1479000 0.015 % 1.237 M $
UNH UnitedHealth Group Inc 1202000 0.015 % 1.275 M $
Shell International Finance BV 1522000 0.015 % 1.238 M $
University of California 1440000 0.015 % 1.246 M $
Allina Health System 1626000 0.015 % 1.285 M $
Athene Holding Ltd 1925000 0.015 % 1.255 M $
IBM International Business Machines Corp 1965000 0.015 % 1.287 M $
Southwestern Electric Power Co 1170000 0.015 % 1.244 M $
OKE ONEOK Inc 1360000 0.015 % 1.286 M $
MPLX LP 1439000 0.015 % 1.306 M $
Rio Tinto Finance USA PLC 1277000 0.015 % 1.319 M $
Chile Government International Bond 2048000 0.015 % 1.307 M $
PFE Pfizer Inc 1387000 0.015 % 1.296 M $
OKE ONEOK Inc 1154000 0.015 % 1.278 M $
Simon Property Group LP 1150000 0.015 % 1.309 M $
BA Boeing Co/The 1127000 0.015 % 1.283 M $
OKE ONEOK Inc 1764000 0.015 % 1.288 M $
Enterprise Products Operating LLC 1371000 0.015 % 1.280 M $
Berkshire Hathaway Energy Co 1657000 0.015 % 1.284 M $
UPS United Parcel Service Inc 1497000 0.015 % 1.256 M $
SYY Sysco Corp 1455000 0.015 % 1.243 M $
GLW Corning Inc 1339000 0.015 % 1.251 M $
DUK Duke Energy Corp 1687000 0.015 % 1.302 M $
SBUX Starbucks Corp 1500000 0.015 % 1.261 M $
MPLX LP 1450000 0.015 % 1.301 M $
Pacific Gas and Electric Co 1250000 0.015 % 1.257 M $
UNH UnitedHealth Group Inc 1427000 0.015 % 1.274 M $
United Airlines 2024-1 Class AA Pass Through Trust 1206901.83 0.015 % 1.246 M $
Shell Finance US Inc 1624000 0.015 % 1.291 M $
KDP Keurig Dr Pepper Inc 1490000 0.015 % 1.252 M $
MT.AS ArcelorMittal SA 1161000 0.015 % 1.308 M $
8316.T Sumitomo Mitsui Financial Group Inc 1205000 0.015 % 1.267 M $
Massachusetts Institute of Technology 1255000 0.015 % 1.288 M $
TXN Texas Instruments Inc 1375000 0.015 % 1.317 M $
PECO Energy Co 1628000 0.015 % 1.276 M $
BlackRock Funding Inc 1254000 0.015 % 1.248 M $
Aetna Inc 1169000 0.015 % 1.295 M $
Texas Private Activity Bond Surface Transportation Corp 1525000 0.015 % 1.242 M $
GS Goldman Sachs Group Inc/The 1417000 0.015 % 1.321 M $
CNI Canadian National Railway Co 1162000 0.015 % 1.299 M $
NVDA NVIDIA Corp 1706000 0.015 % 1.295 M $
Indonesia Government International Bond 1695000 0.015 % 1.317 M $
VOD.L Vodafone Group PLC 1205000 0.015 % 1.314 M $
CAT Caterpillar Inc 1265000 0.015 % 1.300 M $
TRV Travelers Cos Inc/The 1505000 0.015 % 1.246 M $
CI Cigna Group/The 1593000 0.015 % 1.243 M $
UPS United Parcel Service Inc 1235000 0.014 % 1.218 M $
Arizona Public Service Co 1590000 0.014 % 1.235 M $
Toledo Edison Co/The 1067000 0.014 % 1.166 M $
BMY Bristol-Myers Squibb Co 1092000 0.014 % 1.191 M $
PPL Electric Utilities Corp 1413000 0.014 % 1.155 M $
BMY Bristol-Myers Squibb Co 1361000 0.014 % 1.236 M $
ARES Ares Management Corp 1209000 0.014 % 1.154 M $
VLO Valero Energy Corp 1721000 0.014 % 1.209 M $
NOC Northrop Grumman Corp 1253000 0.014 % 1.196 M $
MidAmerican Energy Co 1318000 0.014 % 1.224 M $
OKE ONEOK Inc 1400000 0.014 % 1.212 M $
South Bow USA Infrastructure Holdings LLC 1200000 0.014 % 1.162 M $
BAC Bank of America Corp 968000 0.014 % 1.185 M $
MLM Martin Marietta Materials Inc 1165000 0.014 % 1.163 M $
PYPL PayPal Holdings Inc 1205000 0.014 % 1.204 M $
Memorial Sloan-Kettering Cancer Center 1388000 0.014 % 1.169 M $
LYB International Finance III LLC 1623000 0.014 % 1.201 M $
NTR Nutrien Ltd 1159000 0.014 % 1.225 M $
PFE Pfizer Inc 1357000 0.014 % 1.192 M $
MidAmerican Energy Co 1095000 0.014 % 1.153 M $
INTC Intel Corp 1439000 0.014 % 1.214 M $
GILD Gilead Sciences Inc 1175000 0.014 % 1.190 M $
KVUE Kenvue Inc 1247000 0.014 % 1.190 M $
Indonesia Government International Bond 1425000 0.014 % 1.198 M $
PECO Energy Co 1175000 0.014 % 1.207 M $
Puget Sound Energy Inc 1110000 0.014 % 1.154 M $
TXN Texas Instruments Inc 1369000 0.014 % 1.221 M $
PFE Pfizer Inc 1830000 0.014 % 1.164 M $
TLEVICPO Grupo Televisa SAB 1490000 0.014 % 1.195 M $
Consolidated Edison Co of New York Inc 1005000 0.014 % 1.155 M $
NI NiSource Inc 1407000 0.014 % 1.190 M $
UNP Union Pacific Corp 1719000 0.014 % 1.214 M $
MRK Merck & Co Inc 1652000 0.014 % 1.196 M $
PSX Phillips 66 1338000 0.014 % 1.192 M $
AAPL Apple Inc 1451000 0.014 % 1.167 M $
KO Coca-Cola Co/The 1605000 0.014 % 1.197 M $
DVN Devon Energy Corp 1265000 0.014 % 1.164 M $
Baylor Scott & White Holdings 1416000 0.014 % 1.168 M $
Canadian Pacific Railway Co 1123000 0.014 % 1.157 M $
Appalachian Power Co 1051000 0.014 % 1.198 M $
JNJ Johnson & Johnson 1975000 0.014 % 1.185 M $
AMGN Amgen Inc 1214000 0.014 % 1.183 M $
TotalEnergies Capital SA 1201000 0.014 % 1.185 M $
Inter-American Development Bank 1277000 0.014 % 1.157 M $
D Dominion Energy Inc 1599000 0.014 % 1.221 M $
LOW Lowe's Cos Inc 1203000 0.014 % 1.199 M $
CSX CSX Corp 1115000 0.014 % 1.214 M $
WRB-PH W R Berkley Corp 1325000 0.014 % 1.231 M $
EXC Exelon Corp 1210000 0.014 % 1.192 M $
SJM J M Smucker Co/The 1075000 0.014 % 1.169 M $
KO Coca-Cola Co/The 1984000 0.014 % 1.221 M $
Burlington Northern Santa Fe LLC 1733000 0.014 % 1.173 M $
NI NiSource Inc 1312000 0.014 % 1.196 M $
SRE Sempra 1509000 0.014 % 1.170 M $
PHIA.AS Koninklijke Philips NV 1087000 0.014 % 1.227 M $
FE FirstEnergy Corp 1745000 0.014 % 1.222 M $
Consolidated Edison Co of New York Inc 1420000 0.014 % 1.193 M $
INTC Intel Corp 1607000 0.014 % 1.181 M $
ABBV AbbVie Inc 1222000 0.014 % 1.173 M $
FDX FedEx Corp 1323000 0.014 % 1.216 M $
PH Parker-Hannifin Corp 1458000 0.014 % 1.227 M $
Ohio State University/The 1250000 0.014 % 1.233 M $
Duke Energy Progress LLC 1232000 0.014 % 1.207 M $
MCD McDonald's Corp 1311000 0.014 % 1.170 M $
Los Angeles Community College District/CA 1040000 0.014 % 1.178 M $
ANTM Elevance Health Inc 1359000 0.014 % 1.225 M $
JBS USA Holding Lux Sarl/ JBS USA Food Co/ JBS Lux Co Sarl 1474000 0.014 % 1.157 M $
NSC Norfolk Southern Corp 1460000 0.014 % 1.191 M $
WCN Waste Connections Inc 1791000 0.014 % 1.178 M $
Enterprise Products Operating LLC 980000 0.014 % 1.186 M $
American Water Capital Corp 1132000 0.014 % 1.152 M $
Aon Corp / Aon Global Holdings PLC 1517000 0.014 % 1.152 M $
AMT American Tower Corp 1569000 0.014 % 1.180 M $
Canadian Pacific Railway Co 1110000 0.014 % 1.194 M $
UNP Union Pacific Corp 1351000 0.014 % 1.153 M $
MO Altria Group Inc 1412000 0.014 % 1.180 M $
LLY Eli Lilly & Co 1171000 0.014 % 1.200 M $
SHW Sherwin-Williams Co/The 1596000 0.014 % 1.223 M $
HCA Inc 1175000 0.014 % 1.158 M $
NYU Langone Hospitals 1390000 0.014 % 1.225 M $
HIG Hartford Insurance Group Inc/The 1392000 0.014 % 1.215 M $
JEF Jefferies Financial Group Inc 1100000 0.014 % 1.157 M $
VOD.L Vodafone Group PLC 1454000 0.014 % 1.162 M $
ADI Analog Devices Inc 1600000 0.014 % 1.184 M $
BHF Brighthouse Financial Inc 1553000 0.014 % 1.216 M $
ANTM Elevance Health Inc 1294000 0.014 % 1.225 M $
Uruguay Government International Bond 1373000 0.014 % 1.227 M $
ORCL Oracle Corp 1300000 0.014 % 1.167 M $
Southern California Gas Co 1191000 0.014 % 1.176 M $
CSX CSX Corp 1454000 0.014 % 1.235 M $
ITW Illinois Tool Works Inc 1248000 0.014 % 1.216 M $
D Dominion Energy Inc 1150000 0.014 % 1.163 M $
Virginia Electric and Power Co 1548000 0.014 % 1.207 M $
Peruvian Government International Bond 1086000 0.014 % 1.215 M $
Rio Tinto Finance USA PLC 1275000 0.014 % 1.200 M $
Burlington Northern Santa Fe LLC 1565000 0.014 % 1.170 M $
CF Industries Inc 1273000 0.014 % 1.224 M $
Embraer Netherlands Finance BV 1190000 0.014 % 1.189 M $
TRV Travelers Cos Inc/The 1156000 0.014 % 1.164 M $
WMB Williams Cos Inc/The 1202000 0.014 % 1.207 M $
Public Service Co of Oklahoma 1125000 0.014 % 1.153 M $
State of California 1200000 0.014 % 1.228 M $
Indonesia Government International Bond 1418000 0.014 % 1.180 M $
PSX Phillips 66 1815000 0.014 % 1.207 M $
AMZN Amazon.com Inc 1201000 0.014 % 1.177 M $
Kinder Morgan Energy Partners LP 1088000 0.014 % 1.186 M $
Ascension Health 1262000 0.014 % 1.163 M $
SRE Sempra 1104000 0.014 % 1.154 M $
PFE Pfizer Inc 1295000 0.014 % 1.161 M $
Enterprise Products Operating LLC 1338000 0.014 % 1.231 M $
META Meta Platforms Inc 1216000 0.014 % 1.207 M $
Israel Government International Bond 1588000 0.014 % 1.191 M $
C Citigroup Inc 1140000 0.014 % 1.208 M $
Iberdrola International BV 1086000 0.014 % 1.235 M $
Healthpeak OP LLC 1080000 0.014 % 1.202 M $
Enbridge Energy Partners LP 990000 0.014 % 1.171 M $
Welltower OP LLC 1220000 0.014 % 1.155 M $
LOW Lowe's Cos Inc 1182000 0.014 % 1.185 M $
CAT Caterpillar Inc 1627000 0.014 % 1.186 M $
Pacific Gas and Electric Co 1590000 0.014 % 1.202 M $
HIG Hartford Insurance Group Inc/The 1567000 0.014 % 1.186 M $
AD.AS Koninklijke Ahold Delhaize NV 1120000 0.014 % 1.167 M $
Union Electric Co 1205000 0.014 % 1.186 M $
RTX RTX Corp 993000 0.013 % 1.094 M $
MidAmerican Energy Co 1321000 0.013 % 1.068 M $
Potomac Electric Power Co 960000 0.013 % 1.084 M $
Duke Energy Indiana LLC 971000 0.013 % 1.077 M $
Alabama Power Co 1027000 0.013 % 1.116 M $
GM General Motors Co 1046000 0.013 % 1.139 M $
D Dominion Energy Inc 1295000 0.013 % 1.100 M $
Southern Co Gas Capital Corp 1037000 0.013 % 1.085 M $
MMM 3M Co 1465000 0.013 % 1.117 M $
Prologis LP 1173000 0.013 % 1.142 M $
Regions Bank/Birmingham AL 1008000 0.013 % 1.100 M $
Barrick North America Finance LLC 1093000 0.013 % 1.124 M $
DTE Electric Co 1534000 0.013 % 1.089 M $
Duke Energy Florida LLC 1090000 0.013 % 1.142 M $
Puget Sound Energy Inc 1120000 0.013 % 1.147 M $
VMC Vulcan Materials Co 1110000 0.013 % 1.135 M $
Northern States Power Co/MN 995000 0.013 % 1.107 M $
Berkshire Hathaway Energy Co 1178000 0.013 % 1.143 M $
Oklahoma Development Finance Authority 1140000 0.013 % 1.071 M $
Dow Chemical Co/The 1255000 0.013 % 1.138 M $
9988.HK Alibaba Group Holding Ltd 1655000 0.013 % 1.135 M $
AEP Transmission Co LLC 1475000 0.013 % 1.141 M $
Appalachian Power Co 1255000 0.013 % 1.068 M $
TRV Travelers Cos Inc/The 1630000 0.013 % 1.102 M $
Children's Hospital Corp/The 1314000 0.013 % 1.113 M $
VALE3 Vale SA 1060000 0.013 % 1.087 M $
CSX CSX Corp 1385000 0.013 % 1.090 M $
ABBV AbbVie Inc 1240000 0.013 % 1.151 M $
Consolidated Edison Co of New York Inc 1276000 0.013 % 1.102 M $
AEP Transmission Co LLC 1280000 0.013 % 1.110 M $
Haleon US Capital LLC 1396000 0.013 % 1.123 M $
Cooperatieve Rabobank UA 1054000 0.013 % 1.081 M $
AJG Arthur J Gallagher & Co 980000 0.013 % 1.104 M $
Southern California Edison Co 1276000 0.013 % 1.090 M $
Wells Fargo Bank NA 994000 0.013 % 1.118 M $
Metropolitan Water Reclamation District of Greater Chicago 1020000 0.013 % 1.073 M $
RTX RTX Corp 1370000 0.013 % 1.125 M $
INTC Intel Corp 1462000 0.013 % 1.146 M $
MU Micron Technology Inc 1000000 0.013 % 1.071 M $
EOG EOG Resources Inc 1075000 0.013 % 1.122 M $
VTRS Viatris Inc 1503000 0.013 % 1.141 M $
ANTM Elevance Health Inc 1140000 0.013 % 1.122 M $
AJG Arthur J Gallagher & Co 1700000 0.013 % 1.101 M $
MET MetLife Inc 825000 0.013 % 1.104 M $
BAX Baxter International Inc 1475000 0.013 % 1.067 M $
MDLZ Mondelez International Inc 1784000 0.013 % 1.083 M $
JNJ Johnson & Johnson 969000 0.013 % 1.071 M $
Federal National Mortgage Association 930000 0.013 % 1.087 M $
Simon Property Group LP 1040000 0.013 % 1.074 M $
Indonesia Government International Bond 1097000 0.013 % 1.114 M $
Indonesia Government International Bond 1080000 0.013 % 1.114 M $
Tampa Electric Co 1301000 0.013 % 1.107 M $
Oncor Electric Delivery Co LLC 1125000 0.013 % 1.130 M $
Indiana University Health Inc Obligated Group 1345000 0.013 % 1.098 M $
Virginia Electric and Power Co 1727000 0.013 % 1.116 M $
Charter Communications Operating LLC / Charter Communications Operating Capital 1362000 0.013 % 1.104 M $
Kentucky Utilities Co 1149000 0.013 % 1.134 M $
OVV Ovintiv Inc 1060000 0.013 % 1.111 M $
Burlington Northern Santa Fe LLC 1030000 0.013 % 1.147 M $
CSCO Cisco Systems Inc 1150000 0.013 % 1.117 M $
C Citigroup Inc 1234000 0.013 % 1.118 M $
WMB Williams Cos Inc/The 1565000 0.013 % 1.111 M $
NextEra Energy Capital Holdings Inc 1095000 0.013 % 1.078 M $
DTE Electric Co 1418000 0.013 % 1.147 M $
LHX L3Harris Technologies Inc 1110000 0.013 % 1.107 M $
IBM International Business Machines Corp 1420000 0.013 % 1.074 M $
ConocoPhillips Co 1112000 0.013 % 1.094 M $
VOD.L Vodafone Group PLC 1105000 0.013 % 1.093 M $
ABT Abbott Laboratories 1051000 0.013 % 1.091 M $
WMT Walmart Inc 1009000 0.013 % 1.145 M $
Nevada Power Co 942000 0.013 % 1.074 M $
Oklahoma Gas and Electric Co 1336000 0.013 % 1.109 M $
DE Deere & Co 1085000 0.013 % 1.141 M $
COP ConocoPhillips 1195000 0.013 % 1.090 M $
Virginia Electric and Power Co 1242000 0.013 % 1.076 M $
Paramount Global 1462000 0.013 % 1.141 M $
IP International Paper Co 1192000 0.013 % 1.068 M $
Tucson Electric Power Co 1049000 0.013 % 1.076 M $
MU Micron Technology Inc 1395000 0.013 % 1.076 M $
Energy Transfer LP 970000 0.013 % 1.124 M $
TGT Target Corp 940000 0.013 % 1.072 M $
AJG Arthur J Gallagher & Co 1120000 0.013 % 1.117 M $
RSG Republic Services Inc 972000 0.013 % 1.075 M $
Virginia Electric and Power Co 993000 0.013 % 1.073 M $
KMI Kinder Morgan Inc 1228000 0.013 % 1.115 M $
OC Owens Corning 1284000 0.013 % 1.067 M $
PECO Energy Co 1055000 0.013 % 1.147 M $
MKL Markel Group Inc 1190000 0.013 % 1.070 M $
RJF Raymond James Financial Inc 1517000 0.013 % 1.142 M $
ES Eversource Energy 1515000 0.013 % 1.099 M $
HIG Hartford Insurance Group Inc/The 1031000 0.013 % 1.116 M $
Berkshire Hathaway Finance Corp 1147000 0.013 % 1.072 M $
GILD Gilead Sciences Inc 1023000 0.013 % 1.069 M $
JBS USA Holding Lux Sarl / JBS USA Foods Group Holdings Inc / JBS USA Food Co 1105000 0.013 % 1.121 M $
SPGI S&P Global Inc 1469000 0.013 % 1.135 M $
AMAT Applied Materials Inc 1295000 0.013 % 1.129 M $
Virginia Electric and Power Co 1132000 0.013 % 1.105 M $
San Diego Gas & Electric Co 1110000 0.013 % 1.103 M $
Arizona Public Service Co 1302000 0.013 % 1.069 M $
AFL Aflac Inc 1364000 0.013 % 1.117 M $
TXN Texas Instruments Inc 1210000 0.013 % 1.132 M $
ConocoPhillips Co 1110000 0.013 % 1.095 M $
Tennessee Valley Authority 1000000 0.013 % 1.129 M $
Kinder Morgan Energy Partners LP 1130000 0.013 % 1.080 M $
Southern California Gas Co 995000 0.013 % 1.093 M $
Idaho Power Co 1140000 0.013 % 1.135 M $
CAT Caterpillar Inc 985000 0.013 % 1.100 M $
Chubb INA Holdings LLC 1285000 0.013 % 1.140 M $
IBM International Business Machines Corp 1097000 0.013 % 1.092 M $
IPG Interpublic Group of Cos Inc/The 1168000 0.013 % 1.093 M $
Golden State Tobacco Securitization Corp 1450000 0.013 % 1.073 M $
SO Southern Co/The 1244000 0.013 % 1.067 M $
Linde Inc/CT 1363000 0.013 % 1.106 M $
American Water Capital Corp 1083000 0.013 % 1.070 M $
T AT&T Inc 1588000 0.013 % 1.120 M $
GPN Global Payments Inc 1493000 0.013 % 1.125 M $
PEP PepsiCo Inc 1510000 0.013 % 1.114 M $
CAH Cardinal Health Inc 1253000 0.013 % 1.139 M $
LYB International Finance III LLC 1509000 0.013 % 1.114 M $
Northern States Power Co/MN 1095000 0.013 % 1.092 M $
O Realty Income Corp 1235000 0.013 % 1.108 M $
CSX CSX Corp 970000 0.013 % 1.071 M $
Philippine Government International Bond 1165000 0.013 % 1.140 M $
NSC Norfolk Southern Corp 1247000 0.013 % 1.079 M $
LLOY.L Lloyds Banking Group PLC 1189000 0.013 % 1.132 M $
Plains All American Pipeline LP / PAA Finance Corp 1338000 0.013 % 1.146 M $
MidAmerican Energy Co 1195000 0.012 % 999.253 K $
Alleghany Corp 1130000 0.012 % 1.058 M $
OC Owens Corning 970000 0.012 % 994.017 K $
GOOG Alphabet Inc 1035000 0.012 % 1.017 M $
LRCX Lam Research Corp 1595000 0.012 % 1.026 M $
VMC Vulcan Materials Co 1165000 0.012 % 1.020 M $
Consolidated Edison Co of New York Inc 969000 0.012 % 1.035 M $
FDX FedEx Corp 1223000 0.012 % 1.060 M $
GLW Corning Inc 953000 0.012 % 995.077 K $
Southern Power Co 1091000 0.012 % 1.051 M $
Indonesia Government International Bond 1415000 0.012 % 1.060 M $
Louisville Gas and Electric Co 958000 0.012 % 988.663 K $
JBS USA LUX Sarl / JBS USA Food Co / JBS USA Foods Group 975000 0.012 % 1.004 M $
DTE Electric Co 980000 0.012 % 1.036 M $
ANTM Elevance Health Inc 1485000 0.012 % 989.435 K $
ABT Abbott Laboratories 1095000 0.012 % 1.050 M $
Oncor Electric Delivery Co LLC 1020000 0.012 % 1.015 M $
Consumers Energy Co 1333000 0.012 % 992.432 K $
GATX GATX Corp 1589000 0.012 % 1.035 M $
RCL Royal Caribbean Cruises Ltd 1000000 0.012 % 1.007 M $
GOOG Alphabet Inc 1060000 0.012 % 1.050 M $
Peruvian Government International Bond 1645000 0.012 % 1.062 M $
K Kellanova 1164000 0.012 % 1.029 M $
NSC Norfolk Southern Corp 1405000 0.012 % 986.712 K $
CTRA Coterra Energy Inc 1040000 0.012 % 999.191 K $
KLAC KLA Corp 1020000 0.012 % 981.756 K $
Dell International LLC / EMC Corp 823000 0.012 % 1.001 M $
ICE Intercontinental Exchange Inc 1212000 0.012 % 1.025 M $
SWK Stanley Black & Decker Inc 1060000 0.012 % 1.028 M $
ANTM Elevance Health Inc 992000 0.012 % 1.052 M $
Panama Government International Bond 870000 0.012 % 1.024 M $
MET MetLife Inc 1105000 0.012 % 1.014 M $
HD Home Depot Inc/The 1205000 0.012 % 1.050 M $
GS Goldman Sachs Group Inc/The 926000 0.012 % 1.017 M $
T AT&T Inc 1075000 0.012 % 1.060 M $
Tennessee Valley Authority 1110000 0.012 % 1.007 M $
EA Electronic Arts Inc 1145000 0.012 % 1.047 M $
NTR Nutrien Ltd 980000 0.012 % 994.389 K $
City of Houston TX 1135000 0.012 % 1.005 M $
ABBV AbbVie Inc 968000 0.012 % 991.167 K $
Kentucky Utilities Co 1465000 0.012 % 1.032 M $
Rogers Communications Inc 1100000 0.012 % 1.058 M $
Energy Transfer LP 963000 0.012 % 1.048 M $
PEP PepsiCo Inc 1464000 0.012 % 986.117 K $
Georgia Power Co 1185000 0.012 % 1.050 M $
GE General Electric Co 1000000 0.012 % 1.019 M $
ENB Enbridge Inc 887000 0.012 % 989.306 K $
CCI Crown Castle Inc 1479000 0.012 % 992.647 K $
KR Kroger Co/The 1160000 0.012 % 1.012 M $
Novant Health Inc 1260000 0.012 % 1.013 M $
EQNR.OL Equinor ASA 1095000 0.012 % 992.005 K $
RSG Republic Services Inc 1500000 0.012 % 1.041 M $
Energy Transfer LP 983000 0.012 % 981.018 K $
Constellation Energy Generation LLC 955000 0.012 % 1.044 M $
UPS United Parcel Service Inc 1058000 0.012 % 1.027 M $
Burlington Northern Santa Fe LLC 996000 0.012 % 985.123 K $
Kimco Realty OP LLC 1275000 0.012 % 1.059 M $
Florida Power & Light Co 960000 0.012 % 1.043 M $
ANTM Elevance Health Inc 980000 0.012 % 1.025 M $
Federal Home Loan Banks 900000 0.012 % 993.682 K $
MKL Markel Group Inc 960000 0.012 % 985.842 K $
Southern Co Gas Capital Corp 1295000 0.012 % 1.037 M $
HON Honeywell International Inc 1295000 0.012 % 1.032 M $
Florida Power & Light Co 911000 0.012 % 994.062 K $
Plains All American Pipeline LP / PAA Finance Corp 1090000 0.012 % 993.857 K $
Dell International LLC / EMC Corp 1519000 0.012 % 1.062 M $
WU Western Union Co/The 1010000 0.012 % 1.053 M $
Michigan Finance Authority 1170000 0.012 % 988.670 K $
KOFUBL Coca-Cola Femsa SAB de CV 1065000 0.012 % 1.048 M $
INTC Intel Corp 1315000 0.012 % 1.017 M $
Duke Energy Florida LLC 876000 0.012 % 987.046 K $
Board of Regents of the University of Texas System 1075000 0.012 % 1.042 M $
MA Mastercard Inc 1283000 0.012 % 1.046 M $
Idaho Power Co 985000 0.012 % 1.019 M $
Florida Power & Light Co 990000 0.012 % 997.430 K $
GLW Corning Inc 1015000 0.012 % 996.748 K $
MPLX LP 1134000 0.012 % 1.018 M $
Regents of the University of California Medical Center Pooled Revenue 1560000 0.012 % 1.026 M $
ONEOK Partners LP 1012000 0.012 % 1.038 M $
STZ Constellation Brands Inc 1265000 0.012 % 1.064 M $
MRK Merck & Co Inc 1130000 0.012 % 1.063 M $
Consumers Energy Co 1371000 0.012 % 1.060 M $
Enterprise Products Operating LLC 950000 0.012 % 1.035 M $
Anheuser-Busch InBev Worldwide Inc 768000 0.012 % 985.336 K $
San Diego Gas & Electric Co 975000 0.012 % 1.057 M $
Wyeth LLC 954000 0.012 % 1.033 M $
CSX CSX Corp 1395000 0.012 % 1.002 M $
BHP Billiton Finance USA Ltd 1000000 0.012 % 1.015 M $
Pacific Gas and Electric Co 1520000 0.012 % 1.041 M $
NTR Nutrien Ltd 1105000 0.012 % 1.053 M $
Duke Energy Florida LLC 941000 0.012 % 1.052 M $
New York City Municipal Water Finance Authority 985000 0.012 % 1.029 M $
CVE Cenovus Energy Inc 1006000 0.012 % 981.760 K $
Southwestern Public Service Co 990000 0.012 % 1.032 M $
CNQ Canadian Natural Resources Ltd 925000 0.012 % 1.006 M $
JNJ Johnson & Johnson 1327000 0.012 % 1.041 M $
HD Home Depot Inc/The 980000 0.012 % 1.055 M $
University of Virginia 1675000 0.012 % 1.004 M $
Baltimore Gas and Electric Co 928000 0.012 % 1.039 M $
Aptiv Swiss Holdings Ltd 1567000 0.012 % 1.021 M $
Public Service Co of Colorado 1178000 0.012 % 1.008 M $
8306.T Mitsubishi UFJ Financial Group Inc 1095000 0.012 % 1.031 M $
Burlington Northern Santa Fe LLC 1167000 0.012 % 1.046 M $
CVE Cenovus Energy Inc 895000 0.012 % 988.163 K $
NKE NIKE Inc 1229000 0.012 % 1.005 M $
Florida Power & Light Co 964000 0.012 % 1.019 M $
LLY Eli Lilly & Co 1052000 0.012 % 1.000 M $
HUM Humana Inc 1000000 0.012 % 995.357 K $
Panama Government International Bond 910000 0.012 % 1.062 M $
Southern California Edison Co 1021000 0.012 % 1.035 M $
Duke Energy Carolinas LLC 1246000 0.012 % 1.002 M $
C Citigroup Inc 991000 0.012 % 1.053 M $
Florida Power & Light Co 933000 0.012 % 995.959 K $
LMT Lockheed Martin Corp 1070000 0.012 % 1.034 M $
TWDC Enterprises 18 Corp 1478000 0.012 % 1.040 M $
IP International Paper Co 972000 0.012 % 1.011 M $
Northern States Power Co/WI 980000 0.012 % 1.017 M $
Energy Transfer LP 1004000 0.012 % 1.021 M $
T AT&T Inc 992000 0.012 % 1.005 M $
BA Boeing Co/The 1442000 0.012 % 1.034 M $
CNQ Canadian Natural Resources Ltd 960000 0.012 % 1.021 M $
WMT Walmart Inc 982000 0.012 % 1.060 M $
MT.AS ArcelorMittal SA 990000 0.012 % 1.038 M $
Sales Tax Securitization Corp 1190000 0.012 % 1.022 M $
Inova Health System Foundation 1285000 0.012 % 1.045 M $
Dow Chemical Co/The 1265000 0.012 % 1.034 M $
LOW Lowe's Cos Inc 1075000 0.012 % 1.060 M $
XOM Exxon Mobil Corp 1269000 0.012 % 1.013 M $
Willis North America Inc 977000 0.012 % 988.837 K $
CRM Salesforce Inc 1370000 0.012 % 1.005 M $
Emera US Finance LP 1202000 0.012 % 1.044 M $
Sabine Pass Liquefaction LLC 957804.15 0.012 % 1.004 M $
TSMC Arizona Corp 1301000 0.012 % 1.010 M $
Plains All American Pipeline LP / PAA Finance Corp 1160000 0.012 % 1.019 M $
Energy Transfer LP 1017000 0.012 % 1.011 M $
ONEOK Partners LP 971000 0.012 % 989.625 K $
CME CME Group Inc 963000 0.012 % 987.706 K $
ARE Alexandria Real Estate Equities Inc 1685000 0.012 % 1.037 M $
Kinder Morgan Energy Partners LP 1000000 0.012 % 997.580 K $
Tennessee Valley Authority 970000 0.012 % 996.329 K $
0005.HK HSBC Holdings PLC 920000 0.012 % 1.026 M $
ATO Atmos Energy Corp 1000000 0.012 % 1.035 M $
TGT Target Corp 875000 0.012 % 1.027 M $
NSC Norfolk Southern Corp 985000 0.012 % 1.040 M $
MCD McDonald's Corp 962000 0.012 % 1.022 M $
MSFT Microsoft Corp 1099000 0.012 % 1.062 M $
JNJ Johnson & Johnson 1020000 0.012 % 1.015 M $
ABBV AbbVie Inc 1142000 0.012 % 1.061 M $
UNH UnitedHealth Group Inc 918000 0.012 % 1.031 M $
BA Boeing Co/The 1385000 0.012 % 1.047 M $
Los Angeles Department of Water & Power 975000 0.012 % 1.053 M $
Alabama Power Co 1156000 0.011 % 900.011 K $
KMB Kimberly-Clark Corp 1338000 0.011 % 979.787 K $
WMB Williams Cos Inc/The 920000 0.011 % 926.939 K $
Berkshire Hathaway Finance Corp 1013000 0.011 % 912.082 K $
AAPL Apple Inc 1537000 0.011 % 978.431 K $
DTE Electric Co 1167000 0.011 % 914.146 K $
PacifiCorp 868000 0.011 % 934.794 K $
Diageo Investment Corp 1047000 0.011 % 913.255 K $
Public Service Electric and Gas Co 853000 0.011 % 916.341 K $
Newmont Corp / Newcrest Finance Pty Ltd 1135000 0.011 % 954.495 K $
SBUX Starbucks Corp 1217000 0.011 % 932.900 K $
Regents of the University of California Medical Center Pooled Revenue 1425000 0.011 % 966.529 K $
Commonwealth Edison Co 980000 0.011 % 901.654 K $
Georgia Power Co 1007000 0.011 % 963.736 K $
Novartis Capital Corp 1085000 0.011 % 902.776 K $
Chile Government International Bond 1115000 0.011 % 897.628 K $
LLY Eli Lilly & Co 1735000 0.011 % 976.924 K $
San Diego County Water Authority 920000 0.011 % 964.638 K $
Florida Power & Light Co 935000 0.011 % 960.621 K $
SRE Sempra 1109000 0.011 % 952.985 K $
Simon Property Group LP 1175000 0.011 % 899.320 K $
Arizona Public Service Co 935000 0.011 % 962.727 K $
D Dominion Energy Inc 1150000 0.011 % 952.975 K $
DD DuPont de Nemours Inc 872000 0.011 % 920.840 K $
VZ Verizon Communications Inc 1256000 0.011 % 947.745 K $
CSX CSX Corp 1129000 0.011 % 949.959 K $
OXY Occidental Petroleum Corp 965000 0.011 % 942.042 K $
Prologis LP 975000 0.011 % 946.756 K $
San Diego Gas & Electric Co 1305000 0.011 % 966.122 K $
Duke Energy Indiana LLC 1000000 0.011 % 943.867 K $
Foothill-Eastern Transportation Corridor Agency 1165000 0.011 % 948.276 K $
Entergy Mississippi LLC 928000 0.011 % 954.112 K $
BARC.L Barclays PLC 1183000 0.011 % 921.987 K $
ATO Atmos Energy Corp 1020000 0.011 % 949.008 K $
Entergy Texas Inc 920000 0.011 % 937.661 K $
Energy Transfer LP 995000 0.011 % 979.125 K $
Public Service Co of Colorado 891000 0.011 % 974.112 K $
BSX Boston Scientific Corp 1010000 0.011 % 919.942 K $
AEP Texas Inc 975000 0.011 % 906.987 K $
Northern States Power Co/MN 938000 0.011 % 895.693 K $
CAH Cardinal Health Inc 1122000 0.011 % 969.909 K $
JPM JPMorgan Chase & Co 1195000 0.011 % 935.525 K $
CSCO Cisco Systems Inc 888000 0.011 % 895.627 K $
TGT Target Corp 1172000 0.011 % 904.959 K $
BAC Bank of America Corp 1220000 0.011 % 902.647 K $
EXC Exelon Corp 958000 0.011 % 899.020 K $
DUK Duke Energy Corp 905000 0.011 % 953.762 K $
Puget Sound Energy Inc 1351000 0.011 % 941.462 K $
CARR Carrier Global Corp 831000 0.011 % 915.069 K $
TGT Target Corp 1203000 0.011 % 959.711 K $
Evergy Kansas Central Inc 1068000 0.011 % 915.474 K $
QCOM QUALCOMM Inc 1050000 0.011 % 909.705 K $
Phillips 66 Co 939000 0.011 % 949.782 K $
ENB Enbridge Inc 967000 0.011 % 959.344 K $
PYPL PayPal Holdings Inc 983000 0.011 % 923.948 K $
American Water Capital Corp 1050000 0.011 % 920.472 K $
GLW Corning Inc 985000 0.011 % 919.871 K $
Energy Transfer LP 1031000 0.011 % 918.436 K $
HCA Inc 958000 0.011 % 931.191 K $
Port Authority of New York & New Jersey 1050000 0.011 % 969.561 K $
Barrick PD Australia Finance Pty Ltd 906000 0.011 % 962.945 K $
MCD McDonald's Corp 1005000 0.011 % 971.123 K $
ECL Ecolab Inc 1534000 0.011 % 972.045 K $
TransCanada PipeLines Ltd 925000 0.011 % 971.207 K $
8306.T Mitsubishi UFJ Financial Group Inc 992000 0.011 % 948.184 K $
UPS United Parcel Service Inc 1196000 0.011 % 939.538 K $
Time Warner Cable LLC 937000 0.011 % 959.967 K $
Consolidated Edison Co of New York Inc 836000 0.011 % 919.532 K $
Nevada Power Co 885000 0.011 % 923.037 K $
MCD McDonald's Corp 1094000 0.011 % 941.453 K $
Virginia Electric and Power Co 917000 0.011 % 919.483 K $
NI NiSource Inc 858000 0.011 % 900.356 K $
Georgia Power Co 1210000 0.011 % 927.032 K $
Canadian Pacific Railway Co 1036000 0.011 % 975.859 K $
KVUE Kenvue Inc 1050000 0.011 % 958.116 K $
American Airlines 2025-1 Class A Pass Through Trust 940000 0.011 % 941.755 K $
EOG EOG Resources Inc 998000 0.011 % 909.921 K $
Indonesia Government International Bond 1400000 0.011 % 940.067 K $
Virginia Electric and Power Co 847000 0.011 % 914.412 K $
PHIA.AS Koninklijke Philips NV 970000 0.011 % 915.846 K $
GLP Capital LP / GLP Financing II Inc 976000 0.011 % 967.755 K $
Transcontinental Gas Pipe Line Co LLC 1125000 0.011 % 979.717 K $
Consolidated Edison Co of New York Inc 1015000 0.011 % 896.983 K $
ENB Enbridge Inc 1107000 0.011 % 948.131 K $
MMM 3M Co 1190000 0.011 % 968.431 K $
Evergy Metro Inc 980000 0.011 % 973.413 K $
Entergy Louisiana LLC 1401000 0.011 % 901.627 K $
AJG Arthur J Gallagher & Co 1267000 0.011 % 900.501 K $
Northwestern University 915000 0.011 % 943.627 K $
STZ Constellation Brands Inc 1160000 0.011 % 924.616 K $
Commonwealth Financing Authority 1000000 0.011 % 927.698 K $
ORCL Oracle Corp 1013000 0.011 % 970.071 K $
DUK Duke Energy Corp 1300000 0.011 % 920.679 K $
Southern Power Co 991000 0.011 % 959.649 K $
City of New York NY 850000 0.011 % 925.953 K $
Alabama Power Co 1071000 0.011 % 922.239 K $
Kaiser Foundation Hospitals 1286000 0.011 % 919.385 K $
Southwest Gas Corp 1260000 0.011 % 969.991 K $
Salt River Project Agricultural Improvement & Power District 945000 0.011 % 933.063 K $
American Water Capital Corp 1345000 0.011 % 934.371 K $
Regents of the University of California Medical Center Pooled Revenue 1075000 0.011 % 947.952 K $
DIS Walt Disney Co/The 1007000 0.011 % 969.013 K $
PPL Electric Utilities Corp 935000 0.011 % 914.637 K $
DUK Duke Energy Corp 1207000 0.011 % 947.873 K $
EBAY eBay Inc 1265000 0.011 % 950.085 K $
Kentucky Utilities Co 912000 0.011 % 940.379 K $
Commonwealth Edison Co 820000 0.011 % 922.337 K $
Unilever Capital Corp 1527000 0.011 % 962.991 K $
BHP Billiton Finance USA Ltd 960000 0.011 % 976.216 K $
4502.T Takeda Pharmaceutical Co Ltd 915000 0.011 % 936.614 K $
TSMC Arizona Corp 1190000 0.011 % 978.514 K $
IR Ingersoll Rand Inc 890000 0.011 % 906.208 K $
INTC Intel Corp 1085000 0.011 % 897.276 K $
SU Suncor Energy Inc 877000 0.011 % 976.957 K $
HD Home Depot Inc/The 1004000 0.011 % 933.687 K $
MPC Marathon Petroleum Corp 1056000 0.011 % 897.352 K $
CF Industries Inc 990000 0.011 % 907.154 K $
CSX CSX Corp 829000 0.011 % 915.242 K $
Continental Resources Inc/OK 1177000 0.011 % 950.380 K $
TWDC Enterprises 18 Corp 1122000 0.011 % 919.409 K $
Southwestern Electric Power Co 1398000 0.011 % 940.402 K $
8316.T Sumitomo Mitsui Financial Group Inc 925000 0.011 % 954.117 K $
Union Electric Co 904000 0.011 % 921.168 K $
Dominion Energy South Carolina Inc 905000 0.011 % 920.734 K $
Arch Capital Group US Inc 951000 0.011 % 913.982 K $
Burlington Northern Santa Fe LLC 993000 0.011 % 950.548 K $
Kinder Morgan Energy Partners LP 971000 0.011 % 943.094 K $
CRH America Finance Inc 958000 0.011 % 959.836 K $
HAL Halliburton Co 1080000 0.011 % 951.387 K $
PEP PepsiCo Inc 1113000 0.011 % 927.033 K $
AAPL Apple Inc 974000 0.011 % 941.177 K $
Commonwealth of Massachusetts Transportation Fund Revenue 865000 0.011 % 910.751 K $
HOG Harley-Davidson Inc 1135000 0.011 % 940.398 K $
Charter Communications Operating LLC / Charter Communications Operating Capital 962000 0.011 % 958.039 K $
VOYA Voya Financial Inc 969000 0.011 % 976.693 K $
T AT&T Inc 1045000 0.011 % 973.791 K $
Athene Holding Ltd 955000 0.011 % 950.356 K $
ANTM Elevance Health Inc 1105000 0.011 % 928.314 K $
CME CME Group Inc 1130000 0.011 % 968.578 K $
HCA Inc 1000000 0.011 % 970.332 K $
Oglethorpe Power Corp 900000 0.011 % 909.691 K $
Southern California Edison Co 949000 0.011 % 922.522 K $
ATO Atmos Energy Corp 840000 0.011 % 925.392 K $
GS Goldman Sachs Group Inc/The 1033000 0.011 % 947.499 K $
Public Storage Operating Co 990000 0.011 % 976.207 K $
XYL Xylem Inc/NY 1081000 0.011 % 925.757 K $
New Jersey Transportation Trust Fund Authority 805000 0.011 % 901.789 K $
TWDC Enterprises 18 Corp 1059000 0.011 % 927.280 K $
Oklahoma Development Finance Authority 1000000 0.011 % 950.540 K $
ORCL Oracle Corp 939000 0.011 % 968.568 K $
Virginia Electric and Power Co 1115000 0.011 % 901.784 K $
Duke Energy Carolinas LLC 887000 0.011 % 961.403 K $
MFC Manulife Financial Corp 918000 0.011 % 922.073 K $
Trane Technologies Holdco Inc 929000 0.011 % 975.192 K $
Evergy Kansas Central Inc 1055000 0.011 % 896.333 K $
GILD Gilead Sciences Inc 994000 0.011 % 929.087 K $
WMT Walmart Inc 1086000 0.011 % 957.515 K $
UNH UnitedHealth Group Inc 805000 0.011 % 915.620 K $
FANG Diamondback Energy Inc 1175000 0.011 % 955.084 K $
Plains All American Pipeline LP / PAA Finance Corp 840000 0.011 % 912.245 K $
PPL Electric Utilities Corp 822000 0.011 % 917.914 K $
Florida Power & Light Co 904000 0.011 % 940.729 K $
AJG Arthur J Gallagher & Co 950000 0.011 % 949.840 K $
CRM Salesforce Inc 1557000 0.011 % 972.410 K $
MA Mastercard Inc 1230000 0.011 % 955.306 K $
Consumers Energy Co 1044000 0.011 % 896.291 K $
Appalachian Power Co 1101000 0.011 % 924.710 K $
WTRG Essential Utilities Inc 986000 0.011 % 926.995 K $
RTX RTX Corp 990000 0.011 % 959.656 K $
ZTS Zoetis Inc 1165000 0.011 % 948.820 K $
Simon Property Group LP 1316000 0.011 % 920.990 K $
Kinder Morgan Energy Partners LP 881000 0.011 % 960.006 K $
Aetna Inc 998000 0.01 % 862.351 K $
SU Suncor Energy Inc 754000 0.01 % 832.051 K $
Northern States Power Co/MN 762000 0.01 % 843.386 K $
IBM International Capital Pte Ltd 933000 0.01 % 883.881 K $
Diageo Capital PLC 980000 0.01 % 811.739 K $
Consolidated Edison Co of New York Inc 967000 0.01 % 860.275 K $
RTX RTX Corp 890000 0.01 % 828.526 K $
PPL Electric Utilities Corp 1006000 0.01 % 843.732 K $
MRK Merck & Co Inc 1002000 0.01 % 817.505 K $
NOV NOV Inc 1078000 0.01 % 850.840 K $
TLEVICPO Grupo Televisa SAB 1230000 0.01 % 855.406 K $
Mississippi Power Co 980000 0.01 % 857.050 K $
DUK Duke Energy Corp 955000 0.01 % 863.669 K $
ANTM Elevance Health Inc 956000 0.01 % 866.684 K $
GM General Motors Co 951000 0.01 % 874.423 K $
TMO Thermo Fisher Scientific Inc 878000 0.01 % 875.640 K $
INTC Intel Corp 965000 0.01 % 873.181 K $
LOW Lowe's Cos Inc 1157000 0.01 % 837.381 K $
MS Morgan Stanley 1326000 0.01 % 859.002 K $
Metropolitan Washington Airports Authority Dulles Toll Road Revenue 730000 0.01 % 880.859 K $
DOV Dover Corp 848000 0.01 % 852.444 K $
Tucson Electric Power Co 915000 0.01 % 819.174 K $
NOC Northrop Grumman Corp 852000 0.01 % 850.238 K $
Enterprise Products Operating LLC 974000 0.01 % 874.199 K $
Dallas Fort Worth International Airport 955000 0.01 % 835.789 K $
State of Wisconsin 875000 0.01 % 841.279 K $
UNH UnitedHealth Group Inc 955000 0.01 % 842.519 K $
Pacific Gas and Electric Co 1000000 0.01 % 828.468 K $
Peruvian Government International Bond 1539000 0.01 % 876.490 K $
MPLX LP 865000 0.01 % 813.049 K $
Oncor Electric Delivery Co LLC 1069000 0.01 % 873.834 K $
UNP Union Pacific Corp 1137000 0.01 % 863.520 K $
Entergy Mississippi LLC 800000 0.01 % 822.220 K $
FIS Fidelity National Information Services Inc 1135000 0.01 % 847.076 K $
Empire State Development Corp 820000 0.01 % 850.156 K $
TU TELUS Corp 1010000 0.01 % 877.249 K $
Union Electric Co 671000 0.01 % 873.533 K $
Columbia Pipeline Group Inc 900000 0.01 % 893.881 K $
Southwestern Public Service Co 986000 0.01 % 891.155 K $
Baxalta Inc 860000 0.01 % 830.505 K $
DIS Walt Disney Co/The 786000 0.01 % 891.957 K $
JNJ Johnson & Johnson 1545000 0.01 % 878.625 K $
Aetna Inc 998000 0.01 % 865.391 K $
CRBG Corebridge Financial Inc 990000 0.01 % 856.271 K $
PFG Principal Financial Group Inc 962000 0.01 % 844.133 K $
Southern Co Gas Capital Corp 975000 0.01 % 825.206 K $
VRSK Verisk Analytics Inc 808000 0.01 % 812.463 K $
TRV Travelers Cos Inc/The 898000 0.01 % 824.190 K $
UNM Unum Group 810000 0.01 % 810.548 K $
Aon Global Ltd 909000 0.01 % 821.516 K $
LLY Eli Lilly & Co 1080000 0.01 % 883.371 K $
BAC Bank of America Corp 902000 0.01 % 843.997 K $
Potomac Electric Power Co 970000 0.01 % 835.460 K $
Dallas Area Rapid Transit 795000 0.01 % 835.755 K $
TGT Target Corp 1030000 0.01 % 885.510 K $
Rio Tinto Finance USA PLC 975000 0.01 % 850.288 K $
Berkshire Hathaway Energy Co 981000 0.01 % 867.739 K $
Commonwealth Edison Co 880000 0.01 % 857.524 K $
BAC Bank of America Corp 873000 0.01 % 836.485 K $
ALL Allstate Corp/The 1133000 0.01 % 886.454 K $
Advocate Health & Hospitals Corp 980000 0.01 % 832.833 K $
Virginia Electric and Power Co 820000 0.01 % 831.828 K $
Everest Reinsurance Holdings Inc 1311000 0.01 % 840.921 K $
BAT Capital Corp 980000 0.01 % 833.667 K $
ACGL Arch Capital Group Ltd 1134000 0.01 % 852.135 K $
Duke Energy Progress LLC 1019000 0.01 % 878.964 K $
Brookfield Finance Inc 825000 0.01 % 825.170 K $
GIS General Mills Inc 1354000 0.01 % 890.675 K $
JXN Jackson Financial Inc 1250000 0.01 % 892.949 K $
UPS United Parcel Service Inc 892000 0.01 % 871.860 K $
Berkshire Hathaway Energy Co 821000 0.01 % 885.182 K $
KMI Kinder Morgan Inc 1180000 0.01 % 833.514 K $
AZN.L AstraZeneca PLC 1269000 0.01 % 874.877 K $
MidAmerican Energy Co 970000 0.01 % 833.554 K $
Northwell Healthcare Inc 974000 0.01 % 811.048 K $
UNP Union Pacific Corp 900000 0.01 % 840.113 K $
Spectra Energy Partners LP 973000 0.01 % 842.061 K $
FOX Fox Corp 921000 0.01 % 894.292 K $
Bank of America NA 752000 0.01 % 816.007 K $
LNC Lincoln National Corp 735000 0.01 % 833.306 K $
PacifiCorp 1017000 0.01 % 842.677 K $
T AT&T Inc 1005000 0.01 % 889.797 K $
ALB Albemarle Corp 955000 0.01 % 846.773 K $
EQNR.OL Equinor ASA 936000 0.01 % 890.825 K $
AFG American Financial Group Inc/OH 975000 0.01 % 825.074 K $
NXP BV / NXP Funding LLC / NXP USA Inc 1150000 0.01 % 854.536 K $
EL Estee Lauder Cos Inc/The 778000 0.01 % 846.743 K $
VZ Verizon Communications Inc 1055000 0.01 % 855.979 K $
PGR Progressive Corp/The 1044000 0.01 % 887.124 K $
Nevada Power Co 845000 0.01 % 868.100 K $
WMT Walmart Inc 765000 0.01 % 817.859 K $
BRO Brown & Brown Inc 985000 0.01 % 869.779 K $
Florida Power & Light Co 1074000 0.01 % 841.876 K $
Eaton Corp 1013000 0.01 % 827.649 K $
Duke Energy Florida LLC 997000 0.01 % 824.945 K $
SHW Sherwin-Williams Co/The 936000 0.01 % 820.665 K $
Public Service Electric and Gas Co 863000 0.01 % 865.308 K $
GWW WW Grainger Inc 890000 0.01 % 813.670 K $
AZN.L AstraZeneca PLC 952000 0.01 % 851.394 K $
TSN Tyson Foods Inc 993000 0.01 % 852.736 K $
LOW Lowe's Cos Inc 855000 0.01 % 829.511 K $
Commonwealth Edison Co 960000 0.01 % 877.230 K $
HSBC Bank USA NA 845000 0.01 % 883.825 K $
ABBV AbbVie Inc 957000 0.01 % 846.583 K $
National Rural Utilities Cooperative Finance Corp 990000 0.01 % 848.664 K $
MMC Marsh & McLennan Cos Inc 873000 0.01 % 866.310 K $
NI NiSource Inc 1071000 0.01 % 854.503 K $
Commonwealth Edison Co 1207000 0.01 % 840.391 K $
NSTAR Electric Co 881000 0.01 % 816.378 K $
CVS CVS Health Corp 984000 0.01 % 841.981 K $
VZ Verizon Communications Inc 1214000 0.01 % 877.121 K $
Oncor Electric Delivery Co LLC 907000 0.01 % 880.713 K $
PM Philip Morris International Inc 927000 0.01 % 833.650 K $
PRU Prudential Financial Inc 1051000 0.01 % 821.816 K $
CMI Cummins Inc 842000 0.01 % 839.390 K $
KO Coca-Cola Co/The 1200000 0.01 % 818.508 K $
American Water Capital Corp 993000 0.01 % 821.816 K $
Consolidated Edison Co of New York Inc 1055000 0.01 % 843.669 K $
SON Sonoco Products Co 870000 0.01 % 887.805 K $
Berkshire Hathaway Energy Co 976000 0.01 % 844.713 K $
Baylor Scott & White Holdings 1352000 0.01 % 882.960 K $
Port Authority of New York & New Jersey 875000 0.01 % 868.087 K $
VMC Vulcan Materials Co 930000 0.01 % 837.903 K $
RTX RTX Corp 982000 0.01 % 833.738 K $
Wisconsin Electric Power Co 835000 0.01 % 894.954 K $
WMT Walmart Inc 1072000 0.01 % 853.852 K $
Entergy Louisiana LLC 985000 0.01 % 877.883 K $
Florida Power & Light Co 970000 0.01 % 850.191 K $
Duke Energy Florida LLC 1117000 0.01 % 832.241 K $
Enterprise Products Operating LLC 865000 0.01 % 892.533 K $
Dominion Energy South Carolina Inc 780000 0.01 % 844.319 K $
MCD McDonald's Corp 1140000 0.01 % 852.518 K $
Ventas Realty LP 848000 0.01 % 849.997 K $
PRU Prudential Financial Inc 758000 0.01 % 864.701 K $
Oklahoma Gas and Electric Co 875000 0.01 % 881.284 K $
GD General Dynamics Corp 1040000 0.01 % 854.552 K $
PacifiCorp 950000 0.01 % 874.054 K $
Southern California Edison Co 876000 0.01 % 881.898 K $
Southern California Gas Co 872000 0.01 % 887.138 K $
AIG American International Group Inc 990000 0.01 % 880.184 K $
TJX TJX Cos Inc/The 957000 0.01 % 848.094 K $
Southern California Edison Co 860000 0.01 % 820.424 K $
Wisconsin Public Service Corp 929000 0.01 % 850.810 K $
KMB Kimberly-Clark Corp 874000 0.01 % 889.468 K $
XL Group Ltd 870000 0.01 % 846.481 K $
San Diego Gas & Electric Co 900000 0.01 % 869.463 K $
Consolidated Edison Co of New York Inc 957000 0.01 % 843.416 K $
Florida Power & Light Co 1013000 0.01 % 825.673 K $
Enterprise Products Operating LLC 998000 0.01 % 887.129 K $
PacifiCorp 1350000 0.01 % 892.561 K $
NI NiSource Inc 880000 0.01 % 856.684 K $
GLP Capital LP / GLP Financing II Inc 890000 0.01 % 885.930 K $
McLaren Health Care Corp 982000 0.01 % 829.253 K $
GlaxoSmithKline Capital Inc 957000 0.01 % 842.704 K $
Burlington Northern Santa Fe LLC 968000 0.01 % 872.516 K $
Duke Energy Progress LLC 1340000 0.01 % 864.958 K $
Rio Tinto Finance USA PLC 936000 0.01 % 890.588 K $
Oncor Electric Delivery Co LLC 1102000 0.01 % 855.811 K $
Chubb Corp/The 771000 0.01 % 841.552 K $
Simon Property Group LP 965000 0.01 % 891.438 K $
CVS CVS Health Corp 940000 0.01 % 888.820 K $
SWK Stanley Black & Decker Inc 963000 0.01 % 842.771 K $
Aetna Inc 775000 0.01 % 848.547 K $
BAC Bank of America Corp 1340000 0.01 % 868.128 K $
WTRG Essential Utilities Inc 1194000 0.01 % 826.192 K $
Golden State Tobacco Securitization Corp 1000000 0.01 % 883.928 K $
AEP Transmission Co LLC 869000 0.01 % 863.086 K $
CenterPoint Energy Houston Electric LLC 1017000 0.01 % 819.968 K $
Transatlantic Holdings Inc 688000 0.01 % 867.545 K $
Kinder Morgan Energy Partners LP 965000 0.01 % 890.065 K $
CSX CSX Corp 1012000 0.01 % 882.241 K $
UNH UnitedHealth Group Inc 993000 0.01 % 834.355 K $
Time Warner Cable LLC 960000 0.01 % 862.840 K $
MRK Merck & Co Inc 1323000 0.01 % 836.827 K $
Aptiv Swiss Holdings Ltd 965000 0.01 % 891.377 K $
FDX FedEx Corp 1088000 0.01 % 874.998 K $
VOD.L Vodafone Group PLC 915000 0.01 % 884.165 K $
Kaiser Foundation Hospitals 930000 0.01 % 895.415 K $
EQNR.OL Equinor ASA 955000 0.01 % 813.296 K $
PacifiCorp 1059000 0.01 % 825.849 K $
CSX CSX Corp 1388000 0.01 % 837.789 K $
SPGI S&P Global Inc 1115000 0.01 % 858.292 K $
Florida Power & Light Co 999000 0.01 % 866.844 K $
National Rural Utilities Cooperative Finance Corp 988000 0.01 % 845.465 K $
Rio Tinto Finance USA Ltd 1290000 0.01 % 812.748 K $
Tampa Electric Co 980000 0.01 % 842.883 K $
Shell Finance US Inc 984000 0.01 % 895.406 K $
UNP Union Pacific Corp 918000 0.01 % 817.551 K $
Tennessee Valley Authority 985000 0.01 % 854.647 K $
Ameren Illinois Co 992000 0.01 % 839.111 K $
Puget Sound Energy Inc 810000 0.01 % 820.480 K $
CVE Cenovus Energy Inc 926000 0.01 % 859.713 K $
PRU Prudential Financial Inc 920000 0.01 % 826.127 K $
CenterPoint Energy Houston Electric LLC 912000 0.01 % 838.562 K $
President and Fellows of Harvard College 1073000 0.01 % 845.533 K $
IBM International Business Machines Corp 1175000 0.01 % 829.938 K $
NKE NIKE Inc 1013000 0.01 % 822.859 K $
T AT&T Inc 983000 0.01 % 881.462 K $
Virginia Electric and Power Co 909000 0.009 % 765.160 K $
Alleghany Corp 1145000 0.009 % 797.198 K $
UPS United Parcel Service Inc 1034000 0.009 % 772.120 K $
Tennessee Valley Authority 811000 0.009 % 788.316 K $
European Investment Bank 763000 0.009 % 808.310 K $
ALL Allstate Corp/The 750000 0.009 % 789.610 K $
TPG Operating Group II LP 775000 0.009 % 774.896 K $
Southwestern Electric Power Co 930000 0.009 % 728.221 K $
Florida Power & Light Co 912000 0.009 % 771.270 K $
CSX CSX Corp 874000 0.009 % 746.172 K $
AMGN Amgen Inc 780000 0.009 % 799.087 K $
UPS United Parcel Service Inc 1111000 0.009 % 804.147 K $
MOS Mosaic Co/The 778000 0.009 % 762.117 K $
ZBH Zimmer Biomet Holdings Inc 915000 0.009 % 804.528 K $
UNP Union Pacific Corp 1075000 0.009 % 766.039 K $
WMB Williams Cos Inc/The 725000 0.009 % 748.294 K $
DG Dollar General Corp 997000 0.009 % 789.294 K $
NorthWestern Corp 949000 0.009 % 794.995 K $
AEP American Electric Power Co Inc 1120000 0.009 % 752.681 K $
Northern States Power Co/MN 919000 0.009 % 764.588 K $
Canadian Pacific Railway Co 990000 0.009 % 728.757 K $
GWW WW Grainger Inc 871000 0.009 % 737.443 K $
AVGO Broadcom Inc 955000 0.009 % 740.161 K $
MSFT Microsoft Corp 860000 0.009 % 774.077 K $
CI Cigna Group/The 736000 0.009 % 761.136 K $
AEP Transmission Co LLC 943000 0.009 % 769.631 K $
Spectra Energy Partners LP 782000 0.009 % 798.748 K $
BMY Bristol-Myers Squibb Co 853000 0.009 % 729.424 K $
BAC Bank of America Corp 987000 0.009 % 800.444 K $
Northern States Power Co/MN 920000 0.009 % 800.665 K $
Prologis LP 853000 0.009 % 730.906 K $
ANTM Elevance Health Inc 888000 0.009 % 790.116 K $
AEP American Electric Power Co Inc 750000 0.009 % 759.974 K $
FANG Diamondback Energy Inc 972000 0.009 % 768.817 K $
Utah Acquisition Sub Inc 905000 0.009 % 750.818 K $
Southern California Edison Co 1090000 0.009 % 733.368 K $
OGS ONE Gas Inc 853000 0.009 % 738.781 K $
Wisconsin Power and Light Co 1070000 0.009 % 792.253 K $
Baker Hughes Holdings LLC / Baker Hughes Co-Obligor Inc 996000 0.009 % 802.723 K $
JCI Johnson Controls International plc 811000 0.009 % 725.995 K $
MedStar Health Inc 987000 0.009 % 730.265 K $
HD Home Depot Inc/The 1322000 0.009 % 773.333 K $
T AT&T Inc 922000 0.009 % 775.087 K $
Duke Energy Carolinas LLC 745000 0.009 % 741.773 K $
BHP Billiton Finance USA Ltd 750000 0.009 % 782.223 K $
AMD Advanced Micro Devices Inc 915000 0.009 % 788.983 K $
Western Midstream Operating LP 880000 0.009 % 774.061 K $
Dallas Area Rapid Transit 790000 0.009 % 748.196 K $
Commonwealth Edison Co 956000 0.009 % 778.251 K $
Indiana Michigan Power Co 890000 0.009 % 776.945 K $
Los Angeles Department of Water & Power 675000 0.009 % 730.561 K $
Massachusetts School Building Authority 730000 0.009 % 770.844 K $
VICI Properties LP 830000 0.009 % 785.237 K $
EMN Eastman Chemical Co 861000 0.009 % 762.683 K $
OKE ONEOK Inc 820000 0.009 % 750.598 K $
Virginia Electric and Power Co 911000 0.009 % 764.214 K $
DCP Midstream Operating LP 765000 0.009 % 742.999 K $
LYB LyondellBasell Industries NV 980000 0.009 % 763.730 K $
Potomac Electric Power Co 755000 0.009 % 753.803 K $
ALL Allstate Corp/The 894000 0.009 % 750.005 K $
Indonesia Government International Bond 782000 0.009 % 767.015 K $
Arizona Public Service Co 875000 0.009 % 774.496 K $
Ohio Turnpike & Infrastructure Commission 975000 0.009 % 734.967 K $
OKE ONEOK Inc 990000 0.009 % 793.244 K $
Southern California Gas Co 740000 0.009 % 777.454 K $
Sutter Health 975000 0.009 % 774.156 K $
NYU Langone Hospitals 761000 0.009 % 790.844 K $
OGS ONE Gas Inc 870000 0.009 % 789.506 K $
PG Procter & Gamble Co/The 856000 0.009 % 744.579 K $
Port Authority of New York & New Jersey 715000 0.009 % 762.965 K $
OKE ONEOK Inc 905000 0.009 % 737.217 K $
BSX Boston Scientific Corp 835000 0.009 % 799.658 K $
Canadian Pacific Railway Co 983000 0.009 % 756.346 K $
Basin Electric Power Cooperative 750000 0.009 % 751.369 K $
Wisconsin Electric Power Co 902000 0.009 % 769.301 K $
AMGN Amgen Inc 1012000 0.009 % 808.078 K $
Ohio Edison Co 655000 0.009 % 753.708 K $
AMZN Amazon.com Inc 999000 0.009 % 804.023 K $
Juniper Networks Inc 780000 0.009 % 786.306 K $
Duke University Health System Inc 985000 0.009 % 803.166 K $
AAPL Apple Inc 945000 0.009 % 760.452 K $
CAT Caterpillar Inc 831000 0.009 % 755.093 K $
MPLX LP 751000 0.009 % 730.894 K $
Evergy Metro Inc 945000 0.009 % 767.189 K $
Port Authority of New York & New Jersey 750000 0.009 % 735.157 K $
MO Altria Group Inc 891000 0.009 % 760.647 K $
New York and Presbyterian Hospital/The 950000 0.009 % 801.437 K $
NKE NIKE Inc 980000 0.009 % 792.381 K $
Southern Co Gas Capital Corp 915000 0.009 % 792.275 K $
TXT Textron Inc 750000 0.009 % 743.383 K $
Kraft Heinz Foods Co 700000 0.009 % 758.845 K $
CNI Canadian National Railway Co 860000 0.009 % 739.195 K $
DUK Duke Energy Corp 940000 0.009 % 755.656 K $
San Diego Gas & Electric Co 965000 0.009 % 787.174 K $
Berkshire Hathaway Finance Corp 1150000 0.009 % 757.087 K $
Permanent University Fund - Texas A&M University System 1000000 0.009 % 751.187 K $
ROK Rockwell Automation Inc 890000 0.009 % 758.103 K $
ALB Albemarle Corp 795000 0.009 % 730.573 K $
Novartis Capital Corp 1165000 0.009 % 765.932 K $
PECO Energy Co 908000 0.009 % 775.508 K $
Invesco Finance PLC 746000 0.009 % 738.171 K $
Public Service Co of Colorado 834000 0.009 % 794.672 K $
BMY Bristol-Myers Squibb Co 1332000 0.009 % 805.263 K $
TSMC Arizona Corp 840000 0.009 % 806.741 K $
Hoag Memorial Hospital Presbyterian 995000 0.009 % 774.516 K $
HUM Humana Inc 890000 0.009 % 762.916 K $
CI Cigna Group/The 995000 0.009 % 772.428 K $
AMT American Tower Corp 1110000 0.009 % 747.206 K $
Mylan Inc 871000 0.009 % 755.107 K $
Mayo Clinic 935000 0.009 % 769.314 K $
East Bay Municipal Utility District Water System Revenue 700000 0.009 % 747.747 K $
Chicago O'Hare International Airport 650000 0.009 % 729.489 K $
Consolidated Edison Co of New York Inc 990000 0.009 % 793.291 K $
HON Honeywell International Inc 780000 0.009 % 756.873 K $
JCI Johnson Controls International plc 850000 0.009 % 745.813 K $
VOD.L Vodafone Group PLC 774000 0.009 % 753.280 K $
EQIX Equinix Inc 1142000 0.009 % 747.711 K $
CSX CSX Corp 974000 0.009 % 758.805 K $
NYU Langone Hospitals 843000 0.009 % 779.113 K $
Welltower OP LLC 720000 0.009 % 806.636 K $
Aon Global Ltd 850000 0.009 % 752.918 K $
EOG EOG Resources Inc 790000 0.009 % 790.332 K $
Georgia Power Co 750000 0.009 % 749.892 K $
NSC Norfolk Southern Corp 968000 0.009 % 782.593 K $
ARE Alexandria Real Estate Equities Inc 970000 0.009 % 731.292 K $
MKL Markel Group Inc 995000 0.009 % 783.634 K $
Alabama Power Co 927000 0.009 % 794.520 K $
Burlington Northern Santa Fe LLC 868000 0.009 % 783.464 K $
Enbridge Energy Partners LP 805000 0.009 % 805.862 K $
MOS Mosaic Co/The 852000 0.009 % 772.360 K $
Paramount Global 850000 0.009 % 762.690 K $
Enterprise Products Operating LLC 873000 0.009 % 809.770 K $
UNP Union Pacific Corp 970000 0.009 % 803.789 K $
Baltimore Gas and Electric Co 785000 0.009 % 774.997 K $
Kimco Realty OP LLC 1015000 0.009 % 765.934 K $
BMY Bristol-Myers Squibb Co 973000 0.009 % 788.443 K $
Trustees of Princeton University/The 1155000 0.009 % 728.700 K $
MO Altria Group Inc 949000 0.009 % 733.023 K $
Arch Capital Finance LLC 810000 0.009 % 763.674 K $
Consumers Energy Co 1135000 0.009 % 784.997 K $
T AT&T Inc 778000 0.009 % 758.394 K $
Consolidated Edison Co of New York Inc 953000 0.009 % 797.484 K $
CHD Church & Dwight Co Inc 980000 0.009 % 789.383 K $
Union Electric Co 790000 0.009 % 748.173 K $
ETR Entergy Corp 1010000 0.009 % 745.173 K $
NNN NNN REIT Inc 1191000 0.009 % 758.129 K $
Johns Hopkins Health System Corp/The 963000 0.009 % 783.146 K $
Northern States Power Co/MN 885000 0.009 % 758.594 K $
Public Service Co of Colorado 775000 0.009 % 792.915 K $
RTX RTX Corp 1156000 0.009 % 792.215 K $
Southern California Edison Co 780000 0.009 % 738.640 K $
LOW Lowe's Cos Inc 800000 0.009 % 804.590 K $
ATO Atmos Energy Corp 927000 0.009 % 792.055 K $
Kinder Morgan Energy Partners LP 842000 0.009 % 778.476 K $
Entergy Arkansas LLC 1215000 0.009 % 741.562 K $
Oglethorpe Power Corp 935000 0.009 % 796.811 K $
UNP Union Pacific Corp 976000 0.009 % 749.177 K $
Bay Area Toll Authority 635000 0.009 % 736.082 K $
Oncor Electric Delivery Co LLC 1204000 0.009 % 742.562 K $
FBHS Fortune Brands Innovations Inc 915000 0.009 % 751.178 K $
CMCSA Comcast Corp 935000 0.009 % 804.402 K $
MMC Marsh & McLennan Cos Inc 730000 0.009 % 803.040 K $
WBC.AX Westpac Banking Corp 1005000 0.009 % 772.458 K $
Grand Parkway Transportation Corp 725000 0.009 % 739.291 K $
SU Suncor Energy Inc 1040000 0.009 % 796.780 K $
Public Service Co of Colorado 792000 0.009 % 803.400 K $
EBAY eBay Inc 958000 0.009 % 798.329 K $
Regents of the University of California Medical Center Pooled Revenue 675000 0.009 % 732.837 K $
PYPL PayPal Holdings Inc 825000 0.009 % 779.632 K $
Duke Energy Progress LLC 1017000 0.009 % 808.588 K $
County of Clark Department of Aviation 650000 0.009 % 733.397 K $
Willis North America Inc 966000 0.009 % 737.074 K $
T AT&T Inc 895000 0.009 % 754.748 K $
Florida Power & Light Co 985000 0.009 % 801.634 K $
City of New York NY 750000 0.009 % 727.015 K $
SYY Sysco Corp 1155000 0.009 % 808.544 K $
FDX FedEx Corp 985000 0.009 % 734.727 K $
JCI Johnson Controls International plc 864000 0.009 % 752.574 K $
Ohio State University/The 872000 0.009 % 753.468 K $
WTRG Essential Utilities Inc 990000 0.009 % 806.522 K $
GILD Gilead Sciences Inc 875000 0.009 % 737.750 K $
Cleveland Clinic Foundation/The 875000 0.009 % 765.662 K $
MMM 3M Co 988000 0.009 % 746.552 K $
CommonSpirit Health 790000 0.009 % 771.491 K $
Baptist Healthcare System Obligated Group 996000 0.009 % 728.479 K $
Woodside Finance Ltd 775000 0.009 % 744.113 K $
ATO Atmos Energy Corp 705000 0.009 % 728.222 K $
Alabama Power Co 1130000 0.009 % 753.091 K $
Public Service Co of Colorado 1000000 0.009 % 779.133 K $
TR Finance LLC 765000 0.009 % 798.951 K $
New York State Dormitory Authority 770000 0.009 % 796.741 K $
California State University 1085000 0.009 % 753.921 K $
Massachusetts Institute of Technology 750000 0.009 % 794.773 K $
GILD Gilead Sciences Inc 775000 0.009 % 780.911 K $
Public Service Electric and Gas Co 875000 0.009 % 743.489 K $
Consolidated Edison Co of New York Inc 990000 0.009 % 806.159 K $
Oncor Electric Delivery Co LLC 934000 0.009 % 734.085 K $
Hartford HealthCare Corp 1085000 0.009 % 790.922 K $
AEP Transmission Co LLC 970000 0.009 % 736.514 K $
HAS Hasbro Inc 817000 0.009 % 727.044 K $
City of San Antonio TX Electric & Gas Systems Revenue 750000 0.009 % 799.310 K $
City of New York NY 775000 0.009 % 800.480 K $
UNP Union Pacific Corp 930000 0.009 % 731.150 K $
Paramount Global 877000 0.009 % 726.538 K $
Dallas Convention Center Hotel Development Corp 715000 0.009 % 808.811 K $
MS Morgan Stanley 867000 0.009 % 781.556 K $
Federal Realty OP LP 855000 0.009 % 753.945 K $
Tucson Electric Power Co 800000 0.009 % 781.959 K $
Kansas Development Finance Authority 800000 0.009 % 804.139 K $
Entergy Louisiana LLC 969000 0.009 % 799.100 K $
Oglethorpe Power Corp 715000 0.008 % 656.979 K $
Commonwealth Edison Co 880000 0.008 % 706.506 K $
STERIS Irish FinCo UnLtd Co 980000 0.008 % 724.805 K $
STZ Constellation Brands Inc 975000 0.008 % 724.000 K $
George Washington University/The 750000 0.008 % 700.615 K $
Laboratory Corp of America Holdings 765000 0.008 % 689.437 K $
Everest Reinsurance Holdings Inc 765000 0.008 % 697.087 K $
Massachusetts Institute of Technology 1036000 0.008 % 719.721 K $
UPS United Parcel Service Inc 831000 0.008 % 674.755 K $
Delmarva Power & Light Co 843000 0.008 % 719.978 K $
RTX RTX Corp 975000 0.008 % 645.140 K $
John Sevier Combined Cycle Generation LLC 738658.0935 0.008 % 721.528 K $
Georgia Power Co 821000 0.008 % 723.887 K $
Public Service Electric and Gas Co 875000 0.008 % 691.801 K $
Ameren Illinois Co 994000 0.008 % 649.871 K $
Advocate Health & Hospitals Corp 920000 0.008 % 675.638 K $
Stanford Health Care 839000 0.008 % 661.783 K $
Washington Gas Light Co 895000 0.008 % 693.038 K $
Nationwide Financial Services Inc 670000 0.008 % 675.720 K $
MKL Markel Group Inc 1025000 0.008 % 708.824 K $
Brookfield Finance Inc 1025000 0.008 % 721.580 K $
Piedmont Natural Gas Co Inc 725000 0.008 % 662.797 K $
ORI Old Republic International Corp 980000 0.008 % 719.934 K $
DHR Danaher Corp 787000 0.008 % 693.246 K $
CMI Cummins Inc 673000 0.008 % 654.025 K $
Precision Castparts Corp 813000 0.008 % 717.032 K $
DE Deere & Co 979000 0.008 % 670.395 K $
CAT Caterpillar Inc 985000 0.008 % 717.901 K $
MCD McDonald's Corp 874000 0.008 % 717.295 K $
PFE Pfizer Inc 875000 0.008 % 710.770 K $
New York City Municipal Water Finance Authority 625000 0.008 % 643.508 K $
Duke Energy Indiana LLC 930000 0.008 % 655.947 K $
AVA Avista Corp 902000 0.008 % 703.479 K $
Rutgers The State University of New Jersey 660000 0.008 % 684.522 K $
MU Micron Technology Inc 954000 0.008 % 680.691 K $
Tampa Electric Co 908000 0.008 % 671.007 K $
Public Service Electric and Gas Co 782000 0.008 % 644.168 K $
WCN Waste Connections Inc 1030000 0.008 % 698.943 K $
San Diego Gas & Electric Co 937000 0.008 % 658.676 K $
KR Kroger Co/The 579000 0.008 % 663.548 K $
CenterPoint Energy Houston Electric LLC 699000 0.008 % 689.622 K $
Metropolitan Transportation Authority 590000 0.008 % 650.436 K $
SNA Snap-on Inc 774000 0.008 % 646.301 K $
American Municipal Power Inc 605000 0.008 % 650.765 K $
SBUX Starbucks Corp 945000 0.008 % 677.430 K $
CCI Crown Castle Inc 903000 0.008 % 694.439 K $
Energy Transfer LP 754000 0.008 % 681.557 K $
Southwestern Public Service Co 961000 0.008 % 645.863 K $
Chubb INA Holdings LLC 590000 0.008 % 676.104 K $
HAS Hasbro Inc 644000 0.008 % 679.035 K $
DIS Walt Disney Co/The 595000 0.008 % 687.863 K $
CVS CVS Health Corp 695000 0.008 % 701.414 K $
Entergy Texas Inc 976000 0.008 % 713.497 K $
Georgetown University/The 823000 0.008 % 699.232 K $
FTV Fortive Corp 821000 0.008 % 690.861 K $
TRGP Targa Resources Corp 765000 0.008 % 654.613 K $
ZTS Zoetis Inc 1020000 0.008 % 689.370 K $
University of Virginia 875000 0.008 % 676.963 K $
UNM Unum Group 910000 0.008 % 696.809 K $
LLY Eli Lilly & Co 710000 0.008 % 681.710 K $
CenterPoint Energy Resources Corp 617000 0.008 % 643.812 K $
Mass General Brigham Inc 931000 0.008 % 657.403 K $
Duke Energy Progress LLC 942000 0.008 % 718.531 K $
University of California 800000 0.008 % 679.060 K $
Consolidated Edison Co of New York Inc 857000 0.008 % 697.510 K $
Massachusetts Institute of Technology 740000 0.008 % 640.865 K $
New York and Presbyterian Hospital/The 980000 0.008 % 692.386 K $
RPM RPM International Inc 765000 0.008 % 639.966 K $
Public Service Electric and Gas Co 702000 0.008 % 673.226 K $
Oglethorpe Power Corp 635000 0.008 % 671.219 K $
Entergy Mississippi LLC 847000 0.008 % 656.961 K $
Indiana University Health Inc Obligated Group 1045000 0.008 % 677.387 K $
Mass General Brigham Inc 821000 0.008 % 645.540 K $
Commonwealth Financing Authority 750000 0.008 % 654.237 K $
Enterprise Products Operating LLC 777000 0.008 % 704.023 K $
Everest Reinsurance Holdings Inc 995000 0.008 % 703.971 K $
CI Cigna Group/The 1000000 0.008 % 700.456 K $
Health & Educational Facilities Authority of the State of Missouri 900000 0.008 % 652.277 K $
KMB Kimberly-Clark Corp 1044000 0.008 % 704.327 K $
WMB Williams Cos Inc/The 740000 0.008 % 694.937 K $
PEP PepsiCo Inc 855000 0.008 % 703.646 K $
Ascension Health 845000 0.008 % 671.908 K $
Duke Energy Carolinas LLC 895000 0.008 % 713.119 K $
City of New York NY 675000 0.008 % 649.176 K $
Takeda US Financing Inc 655000 0.008 % 678.082 K $
Orlando Health Obligated Group 950000 0.008 % 689.065 K $
PECO Energy Co 992000 0.008 % 639.967 K $
Toledo Hospital/The 700000 0.008 % 704.216 K $
DLTR Dollar Tree Inc 958000 0.008 % 654.390 K $
Golden State Tobacco Securitization Corp 800000 0.008 % 673.102 K $
Oglethorpe Power Corp 772000 0.008 % 705.123 K $
BA Boeing Co/The 990000 0.008 % 712.231 K $
DIS Walt Disney Co/The 779000 0.008 % 710.810 K $
President and Fellows of Harvard College 955000 0.008 % 710.816 K $
CommonSpirit Health 887000 0.008 % 715.092 K $
Public Service Co of Colorado 880000 0.008 % 700.551 K $
Entergy Texas Inc 720000 0.008 % 674.455 K $
Public Service Electric and Gas Co 931000 0.008 % 715.721 K $
Union Electric Co 870000 0.008 % 682.961 K $
EQIX Equinix Inc 985000 0.008 % 690.650 K $
CI Cigna Group/The 606000 0.008 % 644.637 K $
CVS CVS Health Corp 675000 0.008 % 686.861 K $
Western Midstream Operating LP 817000 0.008 % 705.689 K $
Northwestern University 709000 0.008 % 679.355 K $
Southern California Edison Co 675000 0.008 % 662.206 K $
Dignity Health 750000 0.008 % 661.096 K $
Eastern Energy Gas Holdings LLC 650000 0.008 % 686.215 K $
Wisconsin Public Service Corp 817000 0.008 % 658.215 K $
Dominion Energy South Carolina Inc 787000 0.008 % 718.376 K $
HIG Hartford Insurance Group Inc/The 613000 0.008 % 658.479 K $
TGT Target Corp 773000 0.008 % 700.538 K $
Chubb Corp/The 600000 0.008 % 680.718 K $
Sutter Health 790000 0.008 % 654.076 K $
Children's Hospital Corp/The 1135000 0.008 % 707.755 K $
Consolidated Edison Co of New York Inc 822000 0.008 % 650.919 K $
Duke Energy Florida LLC 1065000 0.008 % 703.077 K $
Brookfield Finance Inc 995000 0.008 % 711.794 K $
AHS Hospital Corp 735000 0.008 % 705.339 K $
TLEVICPO Grupo Televisa SAB 976000 0.008 % 679.925 K $
South Carolina Public Service Authority 600000 0.008 % 651.783 K $
Inter-American Development Bank 749000 0.008 % 715.345 K $
Southern California Edison Co 650000 0.008 % 663.820 K $
L Loews Corp 842000 0.008 % 724.722 K $
Entergy Louisiana LLC 851000 0.008 % 694.144 K $
Hackensack Meridian Health Inc 925000 0.008 % 671.775 K $
KLAC KLA Corp 999000 0.008 % 713.080 K $
UNP Union Pacific Corp 1002000 0.008 % 694.860 K $
IP International Paper Co 728000 0.008 % 680.204 K $
Memorial Health Services 900000 0.008 % 654.394 K $
University of California 1000000 0.008 % 693.568 K $
TotalEnergies Capital SA 715000 0.008 % 685.901 K $
STLD Steel Dynamics Inc 628000 0.008 % 640.632 K $
UNH UnitedHealth Group Inc 807000 0.008 % 671.001 K $
Apache Corp 753000 0.008 % 649.822 K $
Iowa Health System 925000 0.008 % 701.023 K $
D Dominion Energy Inc 729000 0.008 % 642.023 K $
IPG Interpublic Group of Cos Inc/The 890000 0.008 % 674.015 K $
TLEVICPO Grupo Televisa SAB 757000 0.008 % 694.382 K $
WMT Walmart Inc 940000 0.008 % 655.738 K $
Northwell Healthcare Inc 920000 0.008 % 692.209 K $
Mead Johnson Nutrition Co 665000 0.008 % 709.491 K $
Athene Holding Ltd 905000 0.008 % 650.680 K $
PYPL PayPal Holdings Inc 927000 0.008 % 647.094 K $
Transcontinental Gas Pipe Line Co LLC 900000 0.008 % 704.954 K $
LOW Lowe's Cos Inc 720000 0.008 % 662.954 K $
PGR Progressive Corp/The 895000 0.008 % 722.370 K $
PKI Revvity Inc 1005000 0.008 % 719.988 K $
CenterPoint Energy Houston Electric LLC 865000 0.008 % 647.260 K $
TRGP Targa Resources Corp 700000 0.008 % 717.871 K $
MyMichigan Health 911000 0.008 % 649.609 K $
FIS Fidelity National Information Services Inc 816000 0.008 % 689.166 K $
SU Suncor Energy Inc 950000 0.008 % 685.843 K $
TMO Thermo Fisher Scientific Inc 700000 0.008 % 694.831 K $
RTX RTX Corp 737000 0.008 % 690.119 K $
SNA Snap-on Inc 985000 0.008 % 685.607 K $
Union Electric Co 905000 0.008 % 713.495 K $
CL Colgate-Palmolive Co 885000 0.008 % 710.224 K $
DH Europe Finance II Sarl 882000 0.008 % 724.231 K $
City of San Antonio TX Electric & Gas Systems Revenue 750000 0.008 % 705.164 K $
Mayo Clinic 990000 0.008 % 650.533 K $
Washington University/The 845000 0.008 % 659.408 K $
UNP Union Pacific Corp 1022000 0.008 % 703.254 K $
HD Home Depot Inc/The 928000 0.008 % 662.662 K $
Enterprise Products Operating LLC 900000 0.008 % 674.168 K $
Ohio Power Co 934000 0.008 % 723.534 K $
OC Owens Corning 802000 0.008 % 672.661 K $
Central Puget Sound Regional Transit Authority 650000 0.008 % 674.587 K $
LEA Lear Corp 735000 0.008 % 667.898 K $
CPT Camden Property Trust 909000 0.008 % 652.698 K $
Port Authority of New York & New Jersey 675000 0.008 % 720.282 K $
ABC Cencora Inc 791000 0.008 % 660.744 K $
CommonSpirit Health 945000 0.008 % 720.460 K $
Alabama Power Co 989000 0.008 % 724.804 K $
Indiana Finance Authority 900000 0.008 % 680.271 K $
Duke Energy Indiana LLC 1018000 0.008 % 648.991 K $
LEA Lear Corp 962000 0.008 % 657.465 K $
Simon Property Group LP 801000 0.008 % 685.957 K $
Beth Israel Lahey Health Inc 970000 0.008 % 644.021 K $
LYB International Finance III LLC 1115000 0.008 % 714.446 K $
GWW WW Grainger Inc 874000 0.008 % 701.302 K $
Southern California Gas Co 928000 0.008 % 723.849 K $
CVE Cenovus Energy Inc 960000 0.008 % 682.033 K $
Children's Hospital Medical Center/Cincinnati OH 750000 0.008 % 666.428 K $
HRL Hormel Foods Corp 990000 0.008 % 668.731 K $
Commonwealth Edison Co 909000 0.008 % 710.450 K $
United Airlines 2024-1 Class A Pass Through Trust 651726.92 0.008 % 666.749 K $
Georgia Power Co 930000 0.008 % 653.277 K $
TRV Travelers Cos Inc/The 786000 0.008 % 683.485 K $
Oglethorpe Power Corp 685000 0.008 % 681.932 K $
KDP Keurig Dr Pepper Inc 906000 0.008 % 667.608 K $
Berkshire Hathaway Finance Corp 618000 0.008 % 673.232 K $
TXN Texas Instruments Inc 1132000 0.008 % 707.078 K $
AVA Avista Corp 849000 0.008 % 713.458 K $
UNP Union Pacific Corp 978000 0.008 % 640.051 K $
Catholic Health Services of Long Island Obligated Group 990000 0.008 % 695.311 K $
UNH UnitedHealth Group Inc 963000 0.008 % 719.638 K $
Ohio Power Co 840000 0.008 % 670.691 K $
University of Michigan 905000 0.008 % 696.498 K $
GLW Corning Inc 830000 0.008 % 685.507 K $
Pacific Gas and Electric Co 845000 0.008 % 680.343 K $
ANTM Elevance Health Inc 915000 0.008 % 678.359 K $
MKL Markel Group Inc 710000 0.008 % 645.912 K $
MCD McDonald's Corp 657000 0.008 % 648.066 K $
Precision Castparts Corp 850000 0.008 % 719.017 K $
PECO Energy Co 680000 0.008 % 661.424 K $
HIG Hartford Insurance Group Inc/The 1000000 0.008 % 652.040 K $
MMM 3M Co 1014000 0.008 % 718.840 K $
Pacific Gas and Electric Co 900000 0.008 % 683.422 K $
MT.AS ArcelorMittal SA 615000 0.008 % 672.409 K $
George Washington University/The 750000 0.008 % 652.515 K $
University of Southern California 792000 0.008 % 648.869 K $
Duke Energy Indiana LLC 885000 0.008 % 699.464 K $
Novartis Capital Corp 795000 0.008 % 724.077 K $
WLK Westlake Corp 894000 0.007 % 562.326 K $
Public Service Co of New Hampshire 790000 0.007 % 600.576 K $
Oncor Electric Delivery Co LLC 749000 0.007 % 564.723 K $
Memorial Sloan-Kettering Cancer Center 710000 0.007 % 586.227 K $
Florida Power & Light Co 675000 0.007 % 560.874 K $
Sutter Health 785000 0.007 % 564.293 K $
XEL Xcel Energy Inc 816000 0.007 % 590.625 K $
VZ Verizon Communications Inc 605000 0.007 % 595.433 K $
LEG Leggett & Platt Inc 934000 0.007 % 613.665 K $
PECO Energy Co 778000 0.007 % 627.626 K $
Piedmont Natural Gas Co Inc 799000 0.007 % 604.911 K $
Entergy Arkansas LLC 887000 0.007 % 617.971 K $
DIS Walt Disney Co/The 571000 0.007 % 628.908 K $
AEP Texas Inc 710000 0.007 % 557.790 K $
Golden State Tobacco Securitization Corp 685000 0.007 % 616.672 K $
City of Hope 625000 0.007 % 625.118 K $
Board of Regents of the University of Texas System 800000 0.007 % 618.666 K $
Yale-New Haven Health Services Corp 950000 0.007 % 568.889 K $
Cottage Health Obligated Group 855000 0.007 % 610.930 K $
Aon Corp / Aon Global Holdings PLC 957000 0.007 % 604.084 K $
Children's Hospital of Philadelphia/The 920000 0.007 % 589.104 K $
Michigan State University 850000 0.007 % 637.399 K $
MMC Marsh & McLennan Cos Inc 620000 0.007 % 612.628 K $
Transcontinental Gas Pipe Line Co LLC 700000 0.007 % 612.765 K $
MCO Moody's Corp 960000 0.007 % 610.501 K $
Alabama Power Co 927000 0.007 % 631.627 K $
New York City Municipal Water Finance Authority 600000 0.007 % 631.064 K $
Dallas Fort Worth International Airport 800000 0.007 % 574.154 K $
San Diego County Regional Transportation Commission 590000 0.007 % 606.573 K $
MKL Markel Group Inc 722000 0.007 % 594.908 K $
Louisville and Jefferson County Metropolitan Sewer District 545000 0.007 % 577.739 K $
Trinity Health Corp 770000 0.007 % 592.040 K $
California Institute of Technology 730000 0.007 % 613.120 K $
NDAQ Nasdaq Inc 710000 0.007 % 555.351 K $
Dartmouth-Hitchcock Health 729000 0.007 % 581.508 K $
Leland Stanford Junior University/The 797000 0.007 % 636.953 K $
Adventist Health System/West 835000 0.007 % 581.906 K $
Southern California Edison Co 675000 0.007 % 620.701 K $
Regency Centers LP 709000 0.007 % 626.166 K $
TMO Thermo Fisher Scientific Inc 821000 0.007 % 607.687 K $
CSX CSX Corp 636000 0.007 % 598.166 K $
Aptiv Swiss Holdings Ltd 581000 0.007 % 563.714 K $
PG Procter & Gamble Co/The 753000 0.007 % 588.391 K $
BWA BorgWarner Inc 748000 0.007 % 639.498 K $
WRB-PH W R Berkley Corp 995000 0.007 % 634.576 K $
Montefiore Obligated Group 759000 0.007 % 622.089 K $
Public Service Electric and Gas Co 852000 0.007 % 603.070 K $
DUK Duke Energy Corp 751000 0.007 % 582.608 K $
AHS Hospital Corp 920000 0.007 % 588.218 K $
Nevada Power Co 900000 0.007 % 598.180 K $
University of Nebraska Facilities Corp/The 775000 0.007 % 571.390 K $
BIIB Biogen Inc 595000 0.007 % 634.591 K $
PEP PepsiCo Inc 874000 0.007 % 562.476 K $
CenterPoint Energy Houston Electric LLC 704000 0.007 % 630.121 K $
Piedmont Healthcare Inc 945000 0.007 % 607.378 K $
MAS Masco Corp 749000 0.007 % 637.951 K $
4502.T Takeda Pharmaceutical Co Ltd 560000 0.007 % 563.276 K $
MCD McDonald's Corp 740000 0.007 % 590.096 K $
ROK Rockwell Automation Inc 974000 0.007 % 586.718 K $
AEP Texas Inc 888000 0.007 % 614.447 K $
Mayo Clinic 740000 0.007 % 609.691 K $
Ameren Illinois Co 722000 0.007 % 630.266 K $
WM Waste Management Inc 952000 0.007 % 580.597 K $
Indonesia Government International Bond 605000 0.007 % 609.595 K $
AMAT Applied Materials Inc 540000 0.007 % 576.925 K $
AAPL Apple Inc 864000 0.007 % 620.553 K $
Province of British Columbia Canada 495000 0.007 % 608.654 K $
Duke Energy Carolinas LLC 820000 0.007 % 634.654 K $
Consolidated Edison Co of New York Inc 925000 0.007 % 568.183 K $
City of San Francisco CA Public Utilities Commission Water Revenue 515000 0.007 % 583.752 K $
BA Boeing Co/The 778000 0.007 % 563.717 K $
Duke Energy Carolinas LLC 830000 0.007 % 602.561 K $
Public Service Co of New Hampshire 637000 0.007 % 607.393 K $
CMI Cummins Inc 945000 0.007 % 585.478 K $
KMI Kinder Morgan Inc 949000 0.007 % 631.974 K $
MCO Moody's Corp 765000 0.007 % 585.739 K $
Novant Health Inc 854000 0.007 % 586.263 K $
Southern California Edison Co 805000 0.007 % 623.118 K $
Franciscan Missionaries of Our Lady Health System Inc 790000 0.007 % 613.995 K $
Port Authority of New York & New Jersey 800000 0.007 % 592.933 K $
Entergy Arkansas LLC 762000 0.007 % 625.976 K $
Mount Nittany Medical Center Obligated Group 780000 0.007 % 598.999 K $
SYK Stryker Corp 877000 0.007 % 589.060 K $
University of Miami 685000 0.007 % 562.319 K $
ADM Archer-Daniels-Midland Co 985000 0.007 % 619.680 K $
County of Broward FL Airport System Revenue 745000 0.007 % 633.892 K $
New York City Municipal Water Finance Authority 530000 0.007 % 560.599 K $
Sales Tax Securitization Corp 650000 0.007 % 605.317 K $
AEP Texas Inc 860000 0.007 % 600.089 K $
California Endowment/The 930000 0.007 % 564.337 K $
Evergy Metro Inc 672000 0.007 % 560.386 K $
Northwell Healthcare Inc 790000 0.007 % 627.146 K $
CMCSA Comcast Corp 1220000 0.007 % 626.183 K $
Interstate Power and Light Co 891000 0.007 % 586.208 K $
American Water Capital Corp 645000 0.007 % 562.615 K $
CPB Campbell's Company/The 908000 0.007 % 606.614 K $
Port Authority of New York & New Jersey 675000 0.007 % 570.739 K $
LMT Lockheed Martin Corp 716000 0.007 % 584.982 K $
8316.T Sumitomo Mitsui Financial Group Inc 867000 0.007 % 614.449 K $
GOOG Alphabet Inc 1151000 0.007 % 611.745 K $
Duke Energy Carolinas LLC 715000 0.007 % 578.007 K $
AZN.L AstraZeneca PLC 991000 0.007 % 570.553 K $
AEP Texas Inc 605000 0.007 % 605.322 K $
Dayton Power & Light Co/The 813000 0.007 % 613.631 K $
Peruvian Government International Bond 803000 0.007 % 626.446 K $
Arizona Public Service Co 695000 0.007 % 570.553 K $
UNM Unum Group 595000 0.007 % 599.920 K $
JobsOhio Beverage System 700000 0.007 % 594.194 K $
Willis-Knighton Medical Center 990000 0.007 % 632.820 K $
Maryland Economic Development Corp 575000 0.007 % 586.996 K $
Maryland Economic Development Corp 636000 0.007 % 611.358 K $
Duke University 974000 0.007 % 632.519 K $
Dow Chemical Co/The 660000 0.007 % 625.319 K $
LOW Lowe's Cos Inc 615000 0.007 % 607.570 K $
Chicago O'Hare International Airport 690000 0.007 % 614.232 K $
Baltimore Gas and Electric Co 733000 0.007 % 555.094 K $
Banner Health 825000 0.007 % 616.826 K $
Public Service Electric and Gas Co 1059000 0.007 % 582.845 K $
CL Colgate-Palmolive Co 710000 0.007 % 607.212 K $
UNP Union Pacific Corp 853000 0.007 % 619.702 K $
CNQ Canadian Natural Resources Ltd 560000 0.007 % 616.830 K $
District of Columbia Water & Sewer Authority 715000 0.007 % 635.522 K $
University of Notre Dame du Lac 712000 0.007 % 561.286 K $
LUV Southwest Airlines Co 600000 0.007 % 586.236 K $
Southwestern Public Service Co 810000 0.007 % 584.190 K $
UNP Union Pacific Corp 624000 0.007 % 630.623 K $
GM General Motors Co 556000 0.007 % 599.910 K $
Pennsylvania Turnpike Commission 595000 0.007 % 591.684 K $
Florida Power & Light Co 592000 0.007 % 623.312 K $
ABC Cencora Inc 754000 0.007 % 638.934 K $
ANTM Elevance Health Inc 516000 0.007 % 566.915 K $
Pacific Gas and Electric Co 735000 0.007 % 580.828 K $
FMC FMC Corp 827000 0.007 % 590.429 K $
Integris Baptist Medical Center Inc 755000 0.007 % 557.388 K $
GLW Corning Inc 750000 0.007 % 593.343 K $
Virginia Electric and Power Co 730000 0.007 % 639.232 K $
Indiana Michigan Power Co 869000 0.007 % 593.264 K $
Providence St Joseph Health Obligated Group 955000 0.007 % 577.237 K $
K Kellanova 590000 0.007 % 604.411 K $
Consolidated Edison Co of New York Inc 810000 0.007 % 584.614 K $
Trinity Health Corp 750000 0.007 % 639.537 K $
Trustees of Princeton University/The 740000 0.007 % 637.987 K $
SIGI Selective Insurance Group Inc 605000 0.007 % 562.020 K $
IBM International Business Machines Corp 685000 0.007 % 636.553 K $
Golden State Tobacco Securitization Corp 750000 0.007 % 595.081 K $
Trustees of the University of Pennsylvania/The 1002000 0.007 % 604.194 K $
Wisconsin Public Service Corp 900000 0.007 % 577.185 K $
NDAQ Nasdaq Inc 831000 0.007 % 592.966 K $
OhioHealth Corp 830000 0.007 % 614.452 K $
SYK Stryker Corp 720000 0.007 % 619.235 K $
Indiana Michigan Power Co 804000 0.007 % 617.476 K $
Port Authority of New York & New Jersey 900000 0.007 % 599.122 K $
9618.HK JD.com Inc 670000 0.007 % 564.553 K $
Prologis LP 870000 0.007 % 591.309 K $
Advocate Health & Hospitals Corp 828000 0.007 % 561.122 K $
STZ Constellation Brands Inc 622000 0.007 % 580.675 K $
City of Hope 695000 0.007 % 582.688 K $
NSC Norfolk Southern Corp 843000 0.007 % 556.440 K $
Maryland Health & Higher Educational Facilities Authority 750000 0.007 % 592.717 K $
AMGN Amgen Inc 656000 0.007 % 620.691 K $
Florida Power & Light Co 902000 0.007 % 630.138 K $
Puget Sound Energy Inc 552000 0.007 % 606.412 K $
Aptiv Swiss Holdings Ltd 820000 0.007 % 634.400 K $
Duke Energy Ohio Inc 575000 0.007 % 577.952 K $
Pennsylvania State University/The 750000 0.007 % 588.116 K $
Consolidated Edison Co of New York Inc 685000 0.007 % 596.475 K $
Metropolitan Government of Nashville & Davidson County Convention Center Auth 575000 0.007 % 620.869 K $
UNH UnitedHealth Group Inc 727000 0.007 % 619.372 K $
AAPL Apple Inc 670000 0.007 % 623.463 K $
Los Angeles County Public Works Financing Authority 525000 0.007 % 630.168 K $
BEN Franklin Resources Inc 1000000 0.007 % 639.019 K $
Virginia Electric and Power Co 857000 0.007 % 598.023 K $
AVB AvalonBay Communities Inc 700000 0.007 % 584.270 K $
Corewell Health Obligated Group 775000 0.007 % 574.281 K $
Brookfield Finance LLC / Brookfield Finance Inc 910000 0.007 % 637.500 K $
JNJ Johnson & Johnson 550000 0.007 % 617.110 K $
BARC.L Barclays PLC 552000 0.007 % 571.895 K $
DH Europe Finance II Sarl 838000 0.007 % 618.098 K $
Oklahoma Development Finance Authority 600000 0.007 % 595.619 K $
Export-Import Bank of Korea 845000 0.007 % 624.254 K $
Kinder Morgan Energy Partners LP 660000 0.007 % 586.024 K $
Rio Tinto Finance USA PLC 539000 0.007 % 564.726 K $
EL Estee Lauder Cos Inc/The 885000 0.007 % 590.818 K $
Energy Transfer LP 699000 0.007 % 615.210 K $
PFG Principal Financial Group Inc 555000 0.007 % 559.167 K $
SYY Sysco Corp 550000 0.007 % 614.750 K $
Berkshire Hathaway Energy Co 714000 0.007 % 611.645 K $
RF Regions Financial Corp 475000 0.006 % 548.581 K $
Virginia Electric and Power Co 872000 0.006 % 511.358 K $
OKE ONEOK Inc 627000 0.006 % 492.638 K $
Duke Energy Indiana LLC 500000 0.006 % 489.320 K $
Regional Transportation District Sales Tax Revenue 460000 0.006 % 473.737 K $
KR Kroger Co/The 636000 0.006 % 499.064 K $
University of Southern California 715000 0.006 % 477.809 K $
Nature Conservancy/The 617000 0.006 % 495.256 K $
Aptiv Swiss Holdings Ltd 655000 0.006 % 533.830 K $
New York City Municipal Water Finance Authority 530000 0.006 % 544.720 K $
MSFT Microsoft Corp 505000 0.006 % 505.741 K $
Evergy Metro Inc 655000 0.006 % 546.513 K $
Kimco Realty OP LLC 566000 0.006 % 491.283 K $
Duke Energy Carolinas LLC 770000 0.006 % 538.879 K $
American Water Capital Corp 630000 0.006 % 517.593 K $
George Washington University/The 655000 0.006 % 543.210 K $
Consumers Energy Co 617000 0.006 % 503.805 K $
LHX L3Harris Technologies Inc 560000 0.006 % 538.327 K $
Washington University/The 710000 0.006 % 527.585 K $
University of Chicago/The 695000 0.006 % 551.132 K $
California State University 725000 0.006 % 493.231 K $
DTE Electric Co 540000 0.006 % 537.756 K $
CRH America Finance Inc 500000 0.006 % 499.221 K $
City of San Antonio TX Electric & Gas Systems Revenue 520000 0.006 % 521.885 K $
KDP Keurig Dr Pepper Inc 735000 0.006 % 495.745 K $
NOC Northrop Grumman Corp 647000 0.006 % 527.369 K $
Dallas County Hospital District 525000 0.006 % 531.158 K $
Port Authority of New York & New Jersey 500000 0.006 % 480.155 K $
President and Fellows of Harvard College 508000 0.006 % 506.537 K $
Yale University 797000 0.006 % 489.195 K $
Alameda County Joint Powers Authority 425000 0.006 % 487.736 K $
Pennsylvania State University/The 780000 0.006 % 538.582 K $
SYY Sysco Corp 585000 0.006 % 506.729 K $
Phillips 66 Co 645000 0.006 % 552.164 K $
O Realty Income Corp 515000 0.006 % 505.239 K $
State of California 500000 0.006 % 501.305 K $
8316.T Sumitomo Mitsui Financial Group Inc 650000 0.006 % 483.573 K $
Pennsylvania Economic Development Financing Authority 500000 0.006 % 512.576 K $
BA Boeing Co/The 700000 0.006 % 493.535 K $
KO Coca-Cola Co/The 534000 0.006 % 532.283 K $
RTX RTX Corp 845000 0.006 % 542.142 K $
Thomas Jefferson University 650000 0.006 % 471.498 K $
California State University 725000 0.006 % 502.830 K $
PKG Packaging Corp of America 813000 0.006 % 536.102 K $
BC Brunswick Corp/DE 586000 0.006 % 472.613 K $
ANTM Elevance Health Inc 500000 0.006 % 497.572 K $
LLOY.L Lloyds Banking Group PLC 500000 0.006 % 495.522 K $
NTR Nutrien Ltd 575000 0.006 % 530.695 K $
JEF Jefferies Financial Group Inc 456000 0.006 % 478.068 K $
DTE Electric Co 570000 0.006 % 495.513 K $
City of Riverside CA 575000 0.006 % 507.981 K $
Washington Gas Light Co 710000 0.006 % 522.438 K $
Public Service Co of Colorado 867000 0.006 % 536.543 K $
American Water Capital Corp 744000 0.006 % 540.758 K $
Inter-American Development Bank 650000 0.006 % 537.370 K $
OTIS Otis Worldwide Corp 754000 0.006 % 541.439 K $
Dignity Health 530000 0.006 % 484.605 K $
AVB AvalonBay Communities Inc 610000 0.006 % 494.033 K $
EXC Exelon Corp 462000 0.006 % 472.987 K $
Dallas Fort Worth International Airport 600000 0.006 % 505.808 K $
Methodist Hospital/The 753000 0.006 % 475.741 K $
ERP Operating LP 647000 0.006 % 527.671 K $
T-Mobile USA Inc 477000 0.006 % 471.311 K $
TRV Travelers Cos Inc/The 500000 0.006 % 518.585 K $
NYU Langone Hospitals 750000 0.006 % 528.610 K $
PH Parker-Hannifin Corp 450000 0.006 % 503.832 K $
STZ Constellation Brands Inc 500000 0.006 % 492.491 K $
American Municipal Power Inc 395000 0.006 % 475.705 K $
President and Fellows of Harvard College 750000 0.006 % 530.358 K $
Public Service Electric and Gas Co 510000 0.006 % 510.478 K $
Public Service Electric and Gas Co 680000 0.006 % 553.288 K $
Oncor Electric Delivery Co LLC 500000 0.006 % 516.816 K $
City of New York NY 525000 0.006 % 518.050 K $
Linde Inc/CT 952000 0.006 % 520.204 K $
KR Kroger Co/The 479000 0.006 % 481.163 K $
San Diego Gas & Electric Co 508000 0.006 % 470.027 K $
Permanent University Fund - University of Texas System 690000 0.006 % 533.091 K $
KDP Keurig Dr Pepper Inc 645000 0.006 % 528.546 K $
Union Electric Co 525000 0.006 % 504.641 K $
Northeastern University 745000 0.006 % 516.489 K $
Sierra Pacific Power Co 525000 0.006 % 534.921 K $
Blue Owl Finance LLC 715000 0.006 % 509.206 K $
VICI Properties LP 485000 0.006 % 489.251 K $
PECO Energy Co 815000 0.006 % 552.188 K $
DTE Electric Co 762000 0.006 % 516.514 K $
Hess Corp 465000 0.006 % 486.155 K $
Prologis LP 890000 0.006 % 493.037 K $
Texas Health Resources 945000 0.006 % 549.769 K $
Michigan Strategic Fund 700000 0.006 % 543.312 K $
United Nations Development Corp 475000 0.006 % 509.765 K $
Plains All American Pipeline LP / PAA Finance Corp 507000 0.006 % 512.321 K $
Dallas Fort Worth International Airport 625000 0.006 % 516.396 K $
Leland Stanford Junior University/The 810000 0.006 % 498.921 K $
City of New York NY 525000 0.006 % 515.223 K $
HON Honeywell International Inc 515000 0.006 % 533.574 K $
CNI Canadian National Railway Co 642000 0.006 % 498.278 K $
American Homes 4 Rent LP 705000 0.006 % 481.156 K $
STLD Steel Dynamics Inc 729000 0.006 % 505.376 K $
PECO Energy Co 549000 0.006 % 486.565 K $
ECL Ecolab Inc 980000 0.006 % 550.031 K $
ITC Holdings Corp 531000 0.006 % 513.040 K $
AMAT Applied Materials Inc 531000 0.006 % 525.012 K $
Commonwealth Financing Authority 670000 0.006 % 518.450 K $
Burlington Northern Santa Fe LLC 480000 0.006 % 491.014 K $
Orlando Health Obligated Group 610000 0.006 % 503.509 K $
Georgetown University/The 550000 0.006 % 496.033 K $
MCO Moody's Corp 776000 0.006 % 541.035 K $
Hackensack Meridian Health Inc 800000 0.006 % 521.872 K $
California State University 650000 0.006 % 469.215 K $
Canadian Pacific Railway Co 543000 0.006 % 474.133 K $
Massachusetts Institute of Technology 837000 0.006 % 493.179 K $
ADM Archer-Daniels-Midland Co 697000 0.006 % 544.025 K $
Commonwealth Edison Co 739000 0.006 % 496.109 K $
Idaho Power Co 561000 0.006 % 469.309 K $
Mid-America Apartments LP 765000 0.006 % 493.569 K $
CSX CSX Corp 584000 0.006 % 535.858 K $
Southern California Edison Co 755000 0.006 % 552.194 K $
Northern States Power Co/MN 780000 0.006 % 490.838 K $
DTE Electric Co 645000 0.006 % 546.202 K $
DG Dollar General Corp 500000 0.006 % 481.533 K $
ERP Operating LP 533000 0.006 % 475.508 K $
Dow Chemical Co/The 382000 0.006 % 495.950 K $
WY Weyerhaeuser Co 670000 0.006 % 524.402 K $
Pacific Gas and Electric Co 500000 0.006 % 499.455 K $
Mass General Brigham Inc 790000 0.006 % 533.214 K $
Oregon State University 650000 0.006 % 470.598 K $
Northern States Power Co/MN 660000 0.006 % 508.942 K $
ATO Atmos Energy Corp 589000 0.006 % 500.986 K $
Bay Area Toll Authority 750000 0.006 % 528.301 K $
Georgetown University/The 737000 0.006 % 489.314 K $
PEP PepsiCo Inc 705000 0.006 % 546.362 K $
University of Southern California 566000 0.006 % 473.053 K $
Celulosa Arauco y Constitucion SA 593000 0.006 % 547.066 K $
President and Fellows of Harvard College 797000 0.006 % 497.570 K $
REGN Regeneron Pharmaceuticals Inc 847000 0.006 % 531.776 K $
NXP BV / NXP Funding LLC / NXP USA Inc 766000 0.006 % 513.267 K $
Baltimore Gas and Electric Co 718000 0.006 % 500.372 K $
Public Service Electric and Gas Co 492000 0.006 % 495.978 K $
ATO Atmos Energy Corp 614000 0.006 % 531.732 K $
Piedmont Natural Gas Co Inc 514000 0.005 % 467.518 K $
University of Michigan 600000 0.005 % 456.131 K $
WRB-PH W R Berkley Corp 575000 0.005 % 414.114 K $
PPL Electric Utilities Corp 411000 0.005 % 416.906 K $
OKE ONEOK Inc 508000 0.005 % 448.199 K $
PECO Energy Co 680000 0.005 % 451.906 K $
INTC Intel Corp 700000 0.005 % 416.825 K $
American Water Capital Corp 404000 0.005 % 457.726 K $
TR Finance LLC 400000 0.005 % 404.399 K $
Howard University 475000 0.005 % 423.411 K $
University of Southern California 425000 0.005 % 410.623 K $
Southwest Gas Corp 535000 0.005 % 435.327 K $
Novant Health Inc 605000 0.005 % 399.745 K $
New York and Presbyterian Hospital/The 695000 0.005 % 393.192 K $
Eastern Gas Transmission & Storage Inc 500000 0.005 % 451.696 K $
Dallas Fort Worth International Airport 575000 0.005 % 449.405 K $
Consumers Energy Co 533000 0.005 % 441.616 K $
American Water Capital Corp 581000 0.005 % 455.063 K $
Evergy Kansas Central Inc 557000 0.005 % 402.325 K $
Rockefeller Foundation/The 685000 0.005 % 426.698 K $
NKE NIKE Inc 580000 0.005 % 435.186 K $
SWK Stanley Black & Decker Inc 710000 0.005 % 422.963 K $
Alabama Power Co 520000 0.005 % 434.141 K $
Commonwealth Edison Co 646000 0.005 % 440.634 K $
CCI Crown Castle Inc 520000 0.005 % 412.649 K $
Essex Portfolio LP 486000 0.005 % 422.650 K $
Simon Property Group LP 470000 0.005 % 396.971 K $
MKC McCormick & Co Inc/MD 531000 0.005 % 435.769 K $
Ohio Power Co 655000 0.005 % 410.861 K $
Consolidated Edison Co of New York Inc 580000 0.005 % 444.776 K $
Willis North America Inc 458000 0.005 % 418.103 K $
ATO Atmos Energy Corp 638000 0.005 % 409.598 K $
California Institute of Technology 475000 0.005 % 423.304 K $
William Marsh Rice University 585000 0.005 % 453.244 K $
OXY Occidental Petroleum Corp 525000 0.005 % 395.756 K $
State of Texas 450000 0.005 % 434.221 K $
Duke University 584000 0.005 % 430.774 K $
William Marsh Rice University 499000 0.005 % 403.984 K $
Kansas Development Finance Authority 600000 0.005 % 434.948 K $
Trustees of the University of Pennsylvania/The 505000 0.005 % 432.452 K $
OhioHealth Corp 650000 0.005 % 449.548 K $
FAXXF Fairfax Financial Holdings Ltd 400000 0.005 % 432.585 K $
Commonwealth of Massachusetts 580000 0.005 % 401.907 K $
FITB Fifth Third Bancorp 378000 0.005 % 465.494 K $
Korea International Bond 489000 0.005 % 419.236 K $
Alabama Power Co 472000 0.005 % 402.319 K $
FNF Fidelity National Financial Inc 725000 0.005 % 467.123 K $
Charlotte-Mecklenburg Hospital Authority/The 650000 0.005 % 458.735 K $
Montefiore Obligated Group 605000 0.005 % 422.416 K $
INGR Ingredion Inc 555000 0.005 % 419.647 K $
Connecticut Light and Power Co/The 555000 0.005 % 451.675 K $
University of Notre Dame du Lac 573000 0.005 % 435.441 K $
New York City Municipal Water Finance Authority 385000 0.005 % 383.966 K $
City of Los Angeles Department of Airports Customer Facility Charge Revenue 500000 0.005 % 439.704 K $
Plains All American Pipeline LP / PAA Finance Corp 485000 0.005 % 396.032 K $
Duke University 585000 0.005 % 385.196 K $
Shell International Finance BV 610000 0.005 % 421.774 K $
BMY Bristol-Myers Squibb Co 630000 0.005 % 461.887 K $
Emory University 675000 0.005 % 457.793 K $
Dominion Energy South Carolina Inc 499000 0.005 % 457.049 K $
HD Home Depot Inc/The 510000 0.005 % 447.904 K $
Duke Energy Progress LLC 512000 0.005 % 438.225 K $
ATO Atmos Energy Corp 440000 0.005 % 436.503 K $
Virginia Electric and Power Co 424000 0.005 % 384.692 K $
City of Tucson AZ 625000 0.005 % 461.688 K $
City of Atlanta GA Water & Wastewater Revenue 500000 0.005 % 422.005 K $
Ameren Illinois Co 575000 0.005 % 449.004 K $
Cleco Corporate Holdings LLC 513000 0.005 % 450.656 K $
Appalachian Power Co 530000 0.005 % 451.211 K $
Golden State Tobacco Securitization Corp 500000 0.005 % 429.377 K $
Arizona Public Service Co 665000 0.005 % 468.868 K $
Municipal Electric Authority of Georgia 407000 0.005 % 460.557 K $
University of Southern California 691000 0.005 % 454.633 K $
Dallas Fort Worth International Airport 625000 0.005 % 461.981 K $
Jersey Central Power & Light Co 450000 0.005 % 456.386 K $
ADM Archer-Daniels-Midland Co 505000 0.005 % 442.242 K $
INTC Intel Corp 453000 0.005 % 445.662 K $
Tampa Electric Co 635000 0.005 % 456.431 K $
CSX CSX Corp 540000 0.005 % 431.548 K $
Massachusetts Institute of Technology 570000 0.005 % 396.709 K $
Union Electric Co 510000 0.005 % 410.114 K $
EXC Exelon Corp 575000 0.005 % 451.667 K $
Brown University 631000 0.005 % 428.509 K $
Sales Tax Securitization Corp 550000 0.005 % 447.602 K $
CSL Carlisle Cos Inc 400000 0.005 % 405.768 K $
EL Estee Lauder Cos Inc/The 505000 0.005 % 407.891 K $
American University/The 605000 0.005 % 468.282 K $
MAS Masco Corp 580000 0.005 % 387.186 K $
Health & Educational Facilities Authority of the State of Missouri 575000 0.005 % 432.731 K $
University of Pittsburgh-of the Commonwealth System of Higher Education 675000 0.005 % 439.913 K $
Maryland Health & Higher Educational Facilities Authority 575000 0.005 % 400.143 K $
CenterPoint Energy Houston Electric LLC 518000 0.005 % 417.707 K $
TRV Travelers Cos Inc/The 572000 0.005 % 457.141 K $
City of San Antonio TX Electric & Gas Systems Revenue 350000 0.004 % 364.811 K $
HUM Humana Inc 505000 0.004 % 377.114 K $
Rutgers The State University of New Jersey 455000 0.004 % 314.203 K $
Reynolds American Inc 297000 0.004 % 342.362 K $
Case Western Reserve University 350000 0.004 % 332.529 K $
AMGN Amgen Inc 632000 0.004 % 382.752 K $
Pacific Gas and Electric Co 465000 0.004 % 349.966 K $
MMC Marsh & McLennan Cos Inc 580000 0.004 % 374.050 K $
MCO Moody's Corp 476000 0.004 % 345.146 K $
Port Authority of New York & New Jersey 535000 0.004 % 352.469 K $
Massachusetts Institute of Technology 441000 0.004 % 318.121 K $
Trustees of Boston College 420000 0.004 % 298.887 K $
Rutgers The State University of New Jersey 400000 0.004 % 332.268 K $
NUE Nucor Corp 520000 0.004 % 326.250 K $
Regents of the University of California Medical Center Pooled Revenue 565000 0.004 % 370.084 K $
Interstate Power and Light Co 445000 0.004 % 339.110 K $
LOW Lowe's Cos Inc 448000 0.004 % 368.149 K $
Rady Children's Hospital-San Diego 559000 0.004 % 382.703 K $
University of Michigan 500000 0.004 % 380.109 K $
Consumers Energy Co 555000 0.004 % 354.833 K $
University of Michigan 500000 0.004 % 321.207 K $
Summa Health 415000 0.004 % 338.276 K $
Johns Hopkins University 583000 0.004 % 347.056 K $
Essex Portfolio LP 599000 0.004 % 367.324 K $
Northwestern University 472000 0.004 % 352.231 K $
Dallas Fort Worth International Airport 400000 0.004 % 355.799 K $
NOC Northrop Grumman Corp 367000 0.004 % 362.086 K $
Public Service Electric and Gas Co 596000 0.004 % 378.106 K $
SPGI S&P Global Inc 580000 0.004 % 302.838 K $
HUM Humana Inc 409000 0.004 % 355.372 K $
Baptist Health South Florida Obligated Group 550000 0.004 % 329.515 K $
AEP Transmission Co LLC 495000 0.004 % 314.664 K $
NDAQ Nasdaq Inc 482000 0.004 % 338.851 K $
Puget Sound Energy Inc 357000 0.004 % 356.930 K $
Board of Regents of the University of Texas System 600000 0.004 % 381.793 K $
Essential Properties LP 300000 0.004 % 300.779 K $
Trane Technologies Financing Ltd 420000 0.004 % 382.832 K $
Stanford Health Care 500000 0.004 % 335.520 K $
EL Estee Lauder Cos Inc/The 375000 0.004 % 316.591 K $
VLO Valero Energy Corp 400000 0.004 % 358.753 K $
Public Service Co of Colorado 440000 0.004 % 377.819 K $
Duke Energy Progress LLC 632000 0.004 % 380.825 K $
WakeMed 538000 0.004 % 374.128 K $
Johns Hopkins University 460000 0.004 % 376.479 K $
University of Chicago/The 513000 0.004 % 337.407 K $
VMI Valmont Industries Inc 250000 0.003 % 237.366 K $
CommonSpirit Health 257000 0.003 % 255.612 K $
Commonwealth Edison Co 435000 0.003 % 276.356 K $
PGR Progressive Corp/The 320000 0.003 % 282.788 K $
Chicago O'Hare International Airport 300000 0.003 % 268.231 K $
PeaceHealth Obligated Group 305000 0.003 % 268.459 K $
CAH Cardinal Health Inc 245000 0.003 % 215.789 K $
City of New York NY 264000 0.003 % 265.152 K $
VLO Valero Energy Corp 380000 0.003 % 282.226 K $
Idaho Energy Resources Authority 400000 0.003 % 288.214 K $
University of Southern California 381000 0.003 % 229.070 K $
AEP Transmission Co LLC 390000 0.003 % 269.503 K $
Tennessee Valley Authority 218000 0.003 % 250.696 K $
Trustees of the University of Pennsylvania/The 440000 0.003 % 289.065 K $
AIZ Assurant Inc 250000 0.003 % 252.634 K $
City of New York NY 300000 0.003 % 293.741 K $
Paramount Global 311000 0.003 % 245.877 K $
California Institute of Technology 440000 0.003 % 288.161 K $
AMXB America Movil SAB de CV 275000 0.003 % 297.715 K $
WM Waste Management Inc 325000 0.003 % 247.494 K $
Northwestern University 434000 0.003 % 277.940 K $
Metropolitan Transportation Authority 220000 0.003 % 249.237 K $
California State University 300000 0.003 % 295.453 K $
City of New York NY 280000 0.003 % 280.784 K $
MO Altria Group Inc 230000 0.003 % 234.022 K $
SBUX Starbucks Corp 295000 0.003 % 250.519 K $
AerCap Ireland Capital DAC / AerCap Global Aviation Trust 250000 0.003 % 247.708 K $
City of San Antonio TX Electric & Gas Systems Revenue 265000 0.003 % 265.390 K $
TotalEnergies Capital International SA 340000 0.003 % 257.617 K $
Duke Energy Ohio Inc 269000 0.002 % 209.803 K $
PRU Prudential Financial Inc 114000 0.002 % 130.799 K $
GLW Corning Inc 200000 0.002 % 195.969 K $
Children's Health System of Texas 345000 0.002 % 208.246 K $
New York and Presbyterian Hospital/The 203000 0.002 % 163.860 K $
GE General Electric Co 170000 0.002 % 148.592 K $
University of Southern California 220000 0.002 % 208.583 K $
NY Society for Relief of Ruptured & Crippled Maintaining Hosp Special Surgery 290000 0.002 % 181.093 K $
Children's Hospital/DC 270000 0.002 % 178.311 K $
DRI Darden Restaurants Inc 175000 0.002 % 146.076 K $
Alabama Federal Aid Highway Finance Authority 230000 0.002 % 190.920 K $
Federal Home Loan Mortgage Corp 240000 0.002 % 131.749 K $
Synthetic Cash - ZVGI USD 208000 0.002 % 208.000 K $
CommonSpirit Health 143000 0.002 % 142.062 K $
Aon Corp 194000 0.002 % 212.509 K $
Southern California Gas Co 243000 0.002 % 197.167 K $
OXY Occidental Petroleum Corp 253000 0.002 % 200.881 K $
Memorial Sloan-Kettering Cancer Center 132000 0.001 % 89.717 K $
Metropolitan Transportation Authority 80000 0.001 % 74.865 K $
UNH UnitedHealth Group Inc 49000 0.001 % 50.817 K $
Trustees of Princeton University/The 59000 0.001 % 63.967 K $
PG Procter & Gamble Co/The 112000 0.001 % 121.430 K $
KR Kroger Co/The 134000 0.001 % 127.534 K $
MMM 3M Co 67000 0.001 % 54.912 K $
Ford Foundation/The 209000 0.001 % 122.956 K $
PEP PepsiCo Inc 108000 0.001 % 83.113 K $
BDX Becton Dickinson & Co 85000 0.001 % 76.065 K $
MO Altria Group Inc 3752000 0 % 0.000 $
Synthetic Cash - VGS USD -0.46 0 % -0.460 $
University of Chicago/The 3000 0 % 2.390 K $
Southern California Gas Co 3000 0 % 2.435 K $
Eaton Corp 4000 0 % 3.660 K $
Consolidated Edison Co of New York Inc 0 0 % 0.000 $
Cheniere Energy Partners LP 0 0 % 0.000 $
Consolidated Edison Co of New York Inc 53000 0 % 36.269 K $
SYY Sysco Corp 4000 0 % 2.679 K $
OKE ONEOK Inc 2330000 0 % 0.000 $
ARE Alexandria Real Estate Equities Inc 2450000 0 % 0.000 $
Apache Corp 0 0 % 0.000 $
Kilroy Realty LP 0 0 % 0.000 $
Duke Energy Indiana LLC 0 0 % 0.000 $
MO Altria Group Inc 3752000 0 % 0.000 $
MAR Marriott International Inc/MD 2000 0 % 2.022 K $
B Barrick Mining Corp 0 0 % 0.000 $
Chevron USA Inc 0 0 % 0.000 $
El Paso Electric Co 0 0 % 0.000 $
DOV Dover Corp 848000 0 % 0.000 $
LLY Eli Lilly & Co 2965000 0 % 0.000 $
LMT Lockheed Martin Corp 1000 0 % 811.100 $
NSTAR Electric Co 0 0 % 0.000 $
Southern California Edison Co 4000 0 % 3.224 K $
XEL Xcel Energy Inc 27000 0 % 29.973 K $
Synthetic Cash - CESR USD 9000 0 % 9.000 K $
Simon Property Group LP 0 0 % 0.000 $