SUSC

iShares ESG USD Corporate Bond ETF SUSC

23.78 $ 0.04 %

Market capitalization

$ 1.267 B

Ratio P/E

0.00

Volume

143.704 K

Beta

1.16

EPS

0.00

Dividend

$ 1.01673

Price History

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Inside iShares ESG USD Corporate Bond ETF

Symbol Name Share number Weight Value
BLK CSH FND TREASURY SL AGENCY 0 0.521 % 6.740 M $
SALESFORCE INC 0 0.375 % 4.847 M $
AVANGRID INC 0 0.373 % 4.817 M $
ECOLAB INC 0 0.364 % 4.709 M $
AUTOMATIC DATA PROCESSING INC 0 0.336 % 4.350 M $
NATIONAL BANK OF CANADA MTN 0 0.292 % 3.780 M $
AUTOMATIC DATA PROCESSING INC 0 0.267 % 3.449 M $
USD CASH 0 0.265 % -3.431 M $
NEXTERA ENERGY CAPITAL HOLDINGS IN 0 0.263 % 3.406 M $
CHENIERE ENERGY INC 0 0.249 % 3.215 M $
DIGITAL REALTY TRUST LP 0 0.23 % 2.974 M $
CRH SMW FINANCE DAC 0 0.229 % 2.955 M $
EDWARDS LIFESCIENCES CORP 0 0.227 % 2.936 M $
DIGITAL REALTY TRUST LP 0 0.222 % 2.874 M $
ADOBE INC 0 0.221 % 2.862 M $
CH ROBINSON WORLDWIDE INC 0 0.214 % 2.772 M $
3M CO 0 0.212 % 2.745 M $
NEXTERA ENERGY CAPITAL HOLDINGS IN 0 0.209 % 2.708 M $
TRANE TECHNOLOGIES HOLDCO INC 0 0.208 % 2.691 M $
BANK OF NOVA SCOTIA 0 0.205 % 2.646 M $
CRH AMERICA FINANCE INC 0 0.198 % 2.566 M $
NATIONAL BANK OF CANADA MTN 0 0.194 % 2.505 M $
AXA SA 0 0.194 % 2.506 M $
DIAGEO CAPITAL PLC 0 0.192 % 2.485 M $
BPCE SA MTN 0 0.192 % 2.479 M $
IBERDROLA INTERNATIONAL BV 0 0.191 % 2.476 M $
NEXTERA ENERGY CAPITAL HOLDINGS IN 0 0.19 % 2.455 M $
BUNGE FINANCE LTD CORP 0 0.185 % 2.392 M $
EVERSOURCE ENERGY 0 0.178 % 2.302 M $
CNH INDUSTRIAL NV MTN 0 0.175 % 2.259 M $
BEST BUY CO INC 0 0.175 % 2.262 M $
JACOBS ENGINEERING GROUP INC. 0 0.174 % 2.245 M $
BEST BUY CO INC 0 0.173 % 2.243 M $
DIGITAL REALTY TRUST LP 0 0.172 % 2.226 M $
RELX CAPITAL INC 0 0.171 % 2.206 M $
ECOLAB INC 0 0.17 % 2.194 M $
JOHNSON CONTROLS INTERNATIONAL PLC 0 0.17 % 2.200 M $
KONINKLIJKE KPN NV 0 0.164 % 2.123 M $
XYLEM INC/NY 0 0.162 % 2.090 M $
NSTAR ELECTRIC CO 0 0.156 % 2.022 M $
NXP BV 0 0.153 % 1.981 M $
HASBRO INC 0 0.152 % 1.963 M $
NVIDIA CORPORATION 0 0.152 % 1.967 M $
NATIONAL GRID PLC 0 0.149 % 1.932 M $
DIAGEO INVESTMENT CORPORATION 0 0.148 % 1.911 M $
ASSURANT INC 0 0.146 % 1.887 M $
LKQ CORP 0 0.146 % 1.894 M $
MICROSOFT CORPORATION 0 0.145 % 1.869 M $
DIAGEO CAPITAL PLC 0 0.145 % 1.873 M $
ANHEUSER-BUSCH COMPANIES LLC 0 0.144 % 1.866 M $
NOKIA OYJ 0 0.144 % 1.862 M $
CUMMINS INC 0 0.144 % 1.863 M $
BRITISH TELECOMMUNICATIONS PLC 0 0.144 % 1.863 M $
PUBLIC SERVICE ENTERPRISE GROUP IN 0 0.143 % 1.854 M $
RELX CAPITAL INC 0 0.143 % 1.848 M $
DIGITAL REALTY TRUST LP 0 0.142 % 1.841 M $
HONEYWELL INTERNATIONAL INC 0 0.142 % 1.840 M $
XYLEM INC 0 0.14 % 1.815 M $
BANK OF AMERICA CORP MTN 0 0.139 % 1.798 M $
TELEDYNE TECHNOLOGIES INCORPORATED 0 0.137 % 1.777 M $
BANK OF NOVA SCOTIA MTN 0 0.134 % 1.735 M $
LKQ CORP 0 0.132 % 1.707 M $
TRACTOR SUPPLY COMPANY 0 0.132 % 1.704 M $
SERVICENOW INC 0 0.131 % 1.691 M $
DIAGEO CAPITAL PLC 0 0.131 % 1.699 M $
ONE GAS INC 0 0.13 % 1.682 M $
BAKER HUGHES HOLDINGS LLC 0 0.13 % 1.675 M $
CHENIERE CORPUS CHRISTI HOLDINGS L 0 0.126 % 1.635 M $
ABB FINANCE USA INC 0 0.125 % 1.618 M $
PEPSICO INC 0 0.125 % 1.623 M $
COCA-COLA CO 0 0.124 % 1.603 M $
XYLEM INC 0 0.124 % 1.608 M $
WOODSIDE FINANCE LTD 0 0.124 % 1.600 M $
TRACTOR SUPPLY COMPANY 0 0.122 % 1.583 M $
NETAPP INC 0 0.122 % 1.581 M $
CLOROX COMPANY 0 0.119 % 1.541 M $
NVIDIA CORPORATION 0 0.119 % 1.537 M $
CVS HEALTH CORP 0 0.118 % 1.531 M $
HESS CORP 0 0.117 % 1.508 M $
MANULIFE FINANCIAL CORP 0 0.116 % 1.502 M $
NOVARTIS CAPITAL CORP 0 0.114 % 1.470 M $
CUMMINS INC 0 0.112 % 1.452 M $
PUBLIC SERVICE ENTERPRISE GROUP IN 0 0.111 % 1.431 M $
MICROSOFT CORPORATION 0 0.111 % 1.436 M $
CHENIERE ENERGY INC 0 0.11 % 1.420 M $
KIMBERLY-CLARK CORPORATION 0 0.109 % 1.409 M $
BANK OF NOVA SCOTIA MTN 0 0.109 % 1.414 M $
ZOETIS INC 0 0.108 % 1.396 M $
CRH SMW FINANCE DAC 0 0.108 % 1.401 M $
CNH INDUSTRIAL CAPITAL LLC 0 0.107 % 1.379 M $
FORTUNE BRANDS INNOVATIONS INC 0 0.105 % 1.358 M $
ZOETIS INC 0 0.105 % 1.356 M $
NATIONAL GRID USA 0 0.104 % 1.351 M $
SYNCHRONY BANK 0 0.104 % 1.347 M $
KELLANOVA 0 0.103 % 1.336 M $
ANHEUSER-BUSCH COMPANIES LLC 0 0.102 % 1.318 M $
CARDINAL HEALTH INC 0 0.102 % 1.314 M $
FIRSTENERGY TRANSMISSION LLC 0 0.102 % 1.318 M $
CROWN CASTLE INC 0 0.101 % 1.302 M $
OSHKOSH CORP 0 0.101 % 1.306 M $
JPMORGAN CHASE & CO 0 0.101 % 1.308 M $
EQUINIX INC 0 0.1 % 1.297 M $
PROCTER & GAMBLE CO 0 0.099 % 1.281 M $
NORTHERN TRUST CORPORATION 0 0.099 % 1.274 M $
WESTPAC BANKING CORP 0 0.099 % 1.276 M $
GOLDMAN SACHS GROUP INC/THE 0 0.098 % 1.261 M $
PFIZER INVESTMENT ENTERPRISES PTE 0 0.098 % 1.270 M $
HOME DEPOT INC 0 0.098 % 1.270 M $
WELLS FARGO & COMPANY MTN 0 0.097 % 1.256 M $
ASSURANT INC 0 0.097 % 1.258 M $
BANK OF NOVA SCOTIA MTN 0 0.097 % 1.256 M $
WW GRAINGER INC 0 0.097 % 1.259 M $
SYNOPSYS INC 0 0.097 % 1.255 M $
GENERAL MILLS INC 0 0.096 % 1.238 M $
OSHKOSH CORP 0 0.096 % 1.236 M $
INTUIT INC 0 0.095 % 1.234 M $
AUTODESK INC 0 0.095 % 1.228 M $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.094 % 1.220 M $
KELLANOVA 0 0.094 % 1.218 M $
TRANE TECHNOLOGIES FINANCING LTD 0 0.094 % 1.215 M $
BANK OF AMERICA CORP MTN 0 0.094 % 1.211 M $
INTERNATIONAL BUSINESS MACHINES CO 0 0.094 % 1.212 M $
3M CO MTN 0 0.094 % 1.221 M $
TRANE TECHNOLOGIES FINANCING LTD 0 0.094 % 1.221 M $
GENERAL MILLS INC 0 0.093 % 1.198 M $
BANK OF AMERICA CORP MTN 0 0.093 % 1.199 M $
PEPSICO INC 0 0.092 % 1.188 M $
GILEAD SCIENCES INC 0 0.092 % 1.190 M $
KELLANOVA 0 0.091 % 1.176 M $
NEXTERA ENERGY CAPITAL HOLDINGS IN 0 0.091 % 1.174 M $
ZOETIS INC 0 0.091 % 1.176 M $
EQUINIX EUROPE 2 FINANCING CORPORA 0 0.091 % 1.183 M $
CLOROX COMPANY 0 0.091 % 1.176 M $
CIGNA GROUP 0 0.09 % 1.167 M $
NSTAR ELECTRIC CO 0 0.09 % 1.161 M $
GOLDMAN SACHS GROUP INC/THE 0 0.089 % 1.157 M $
MORGAN STANLEY MTN 0 0.089 % 1.149 M $
ORANGE SA 0 0.089 % 1.147 M $
ANALOG DEVICES INC 0 0.089 % 1.149 M $
SANTANDER HOLDINGS USA INC 0 0.089 % 1.148 M $
JPMORGAN CHASE & CO 0 0.088 % 1.135 M $
WESTERN DIGITAL CORPORATION 0 0.088 % 1.141 M $
RYDER SYSTEM INC MTN 0 0.088 % 1.137 M $
ECOLAB INC 0 0.088 % 1.139 M $
LENNOX INTERNATIONAL INC 0 0.087 % 1.122 M $
VERALTO CORP 0 0.087 % 1.123 M $
AUTODESK INC 0 0.086 % 1.109 M $
ACUITY BRANDS LIGHTING INC 0 0.086 % 1.112 M $
HSBC HOLDINGS PLC 0 0.086 % 1.112 M $
CENTENE CORPORATION 0 0.086 % 1.113 M $
ABBVIE INC 0 0.086 % 1.118 M $
INTEL CORPORATION 0 0.085 % 1.094 M $
ENEL AMERICAS SA 0 0.085 % 1.094 M $
NATIONAL GRID PLC 0 0.085 % 1.105 M $
CONNECTICUT LIGHT AND POWER COMPAN 0 0.085 % 1.102 M $
NISOURCE INC 0 0.085 % 1.100 M $
WELLS FARGO & COMPANY FX-FRN MTN 0 0.084 % 1.091 M $
HSBC HOLDINGS PLC 0 0.084 % 1.082 M $
CLOROX COMPANY 0 0.084 % 1.091 M $
JPMORGAN CHASE & CO 0 0.083 % 1.072 M $
3M CO 0 0.082 % 1.062 M $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.082 % 1.054 M $
OVINTIV INC 0 0.082 % 1.055 M $
UBS AG (LONDON BRANCH) 0 0.082 % 1.065 M $
GILEAD SCIENCES INC 0 0.081 % 1.052 M $
CUMMINS INC 0 0.081 % 1.042 M $
HSBC HOLDINGS PLC 0 0.081 % 1.052 M $
AMGEN INC 0 0.081 % 1.053 M $
COCA-COLA CO 0 0.081 % 1.049 M $
HASBRO INC 0 0.081 % 1.053 M $
COMMONWEALTH EDISON COMPANY 0 0.081 % 1.041 M $
FERGUSON ENTERPRISES INC 0 0.08 % 1.041 M $
NATIONAL GRID PLC 0 0.08 % 1.038 M $
FORTUNE BRANDS INNOVATIONS INC 0 0.079 % 1.017 M $
CADENCE DESIGN SYSTEMS INC 0 0.079 % 1.026 M $
GILEAD SCIENCES INC 0 0.079 % 1.021 M $
BANK OF AMERICA CORP MTN 0 0.079 % 1.024 M $
APPLE INC 0 0.078 % 1.011 M $
INGREDION INC 0 0.078 % 1.005 M $
NATWEST GROUP PLC 0 0.078 % 1.007 M $
UBS AG (STAMFORD BRANCH) MTN 0 0.078 % 1.013 M $
TELUS CORP 0 0.077 % 999.884 K $
BANK OF MONTREAL 0 0.077 % 997.121 K $
CADENCE DESIGN SYSTEMS INC 0 0.077 % 1.000 M $
APPLIED MATERIALS INC 0 0.077 % 996.090 K $
ELEVANCE HEALTH INC 0 0.077 % 991.444 K $
CVS HEALTH CORP 0 0.077 % 997.278 K $
BANK OF NEW YORK MELLON CORP/THE MTN 0 0.076 % 986.913 K $
JOHNSON CONTROLS INTERNATIONAL PLC 0 0.076 % 976.514 K $
MORGAN STANLEY 0 0.076 % 982.977 K $
ORACLE CORPORATION 0 0.076 % 989.175 K $
CHENIERE CORPUS CHRISTI HOLDINGS L 0 0.076 % 981.771 K $
DIAGEO CAPITAL PLC 0 0.076 % 981.782 K $
AMGEN INC 0 0.075 % 964.891 K $
PROGRESSIVE CORPORATION (THE) 0 0.075 % 975.688 K $
WELLS FARGO & COMPANY 0 0.075 % 967.520 K $
BARCLAYS PLC 0 0.075 % 963.380 K $
INTEL CORPORATION 0 0.075 % 966.547 K $
ONE GAS INC 0 0.075 % 965.995 K $
MORGAN STANLEY 0 0.075 % 963.390 K $
MORGAN STANLEY 0 0.074 % 951.563 K $
NORTH HAVEN PRIVATE INCOME FUND LL 0 0.074 % 956.634 K $
GOLDMAN SACHS GROUP INC/THE 0 0.074 % 952.934 K $
TEXAS INSTRUMENTS INC 0 0.074 % 957.924 K $
BECTON DICKINSON AND COMPANY 0 0.074 % 955.638 K $
CROWN CASTLE INC 0 0.074 % 956.344 K $
CNH INDUSTRIAL CAPITAL LLC 0 0.074 % 960.564 K $
PEPSICO INC 0 0.074 % 962.874 K $
ING GROEP NV 0 0.074 % 957.846 K $
JANUS HENDERSON US (HOLDINGS) INC 0 0.073 % 938.637 K $
PUBLIC SERVICE ENTERPRISE GROUP IN 0 0.073 % 938.805 K $
AERCAP IRELAND CAPITAL DAC 0 0.073 % 945.244 K $
LAM RESEARCH CORPORATION 0 0.073 % 948.330 K $
AT&T INC 0 0.073 % 944.890 K $
NISOURCE INC 0 0.073 % 943.437 K $
LAM RESEARCH CORPORATION 0 0.073 % 939.512 K $
BANK OF NEW YORK MELLON CORP/THE MTN 0 0.073 % 944.941 K $
GOLDMAN SACHS GROUP INC/THE 0 0.073 % 950.192 K $
CNH INDUSTRIAL CAPITAL LLC 0 0.072 % 936.912 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC 0 0.071 % 913.120 K $
SYNCHRONY FINANCIAL 0 0.071 % 912.973 K $
JPMORGAN CHASE & CO 0 0.071 % 920.355 K $
NXP BV 0 0.071 % 918.637 K $
MORGAN STANLEY 0 0.071 % 923.271 K $
MORGAN STANLEY 0 0.071 % 922.526 K $
CITIGROUP INC 0 0.071 % 912.685 K $
CVS HEALTH CORP 0 0.07 % 911.446 K $
GENERAL MILLS INC 0 0.07 % 903.151 K $
ENABLE MIDSTREAM PARTNERS LP 0 0.069 % 897.098 K $
BANK OF NEW YORK MELLON CORP/THE MTN 0 0.069 % 886.162 K $
HOME DEPOT INC 0 0.069 % 897.718 K $
WELLS FARGO & COMPANY MTN 0 0.069 % 893.270 K $
BANK OF AMERICA CORP MTN 0 0.069 % 892.082 K $
BANK OF AMERICA CORP 0 0.069 % 894.149 K $
ONEOK INC 0 0.069 % 886.831 K $
ASTRAZENECA PLC 0 0.069 % 892.624 K $
BANK OF NOVA SCOTIA 0 0.069 % 886.086 K $
MORGAN STANLEY 0 0.068 % 876.154 K $
GILEAD SCIENCES INC 0 0.068 % 878.724 K $
PFIZER INVESTMENT ENTERPRISES PTE 0 0.068 % 878.670 K $
GOLDMAN SACHS GROUP INC/THE 0 0.068 % 876.604 K $
MORGAN STANLEY 0 0.068 % 879.749 K $
AT&T INC 0 0.068 % 883.711 K $
JPMORGAN CHASE & CO 0 0.068 % 881.246 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.067 % 862.945 K $
WEYERHAEUSER COMPANY 0 0.067 % 870.375 K $
AT&T INC 0 0.067 % 863.782 K $
BANK OF AMERICA CORP 0 0.067 % 869.035 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.067 % 869.425 K $
HEWLETT PACKARD ENTERPRISE CO 0 0.067 % 869.621 K $
JPMORGAN CHASE & CO 0 0.066 % 850.810 K $
BUNGE FINANCE LTD CORP 0 0.066 % 856.327 K $
HOME DEPOT INC 0 0.066 % 848.405 K $
PENTAIR FINANCE SA 0 0.066 % 856.291 K $
UNITEDHEALTH GROUP INC 0 0.066 % 850.682 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.066 % 849.718 K $
ALLEGION PLC 0 0.065 % 844.347 K $
AT&T INC 0 0.065 % 837.584 K $
SANTANDER HOLDINGS USA INC 0 0.065 % 846.242 K $
ENBRIDGE INC 0 0.065 % 838.586 K $
BARCLAYS PLC 0 0.065 % 834.828 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC 0 0.064 % 831.312 K $
VERIZON COMMUNICATIONS INC 0 0.064 % 827.353 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.064 % 826.247 K $
QUEST DIAGNOSTICS INCORPORATED 0 0.064 % 825.904 K $
CVS HEALTH CORP 0 0.064 % 827.207 K $
UNITED PARCEL SERVICE INC 0 0.064 % 832.178 K $
WOODSIDE FINANCE LTD 0 0.064 % 822.074 K $
ASTRAZENECA PLC 0 0.064 % 826.705 K $
PFIZER INVESTMENT ENTERPRISES PTE 0 0.063 % 819.233 K $
STERIS IRISH FINCO UNLIMITED CO 0 0.063 % 816.526 K $
KEYSIGHT TECHNOLOGIES INC 0 0.063 % 814.709 K $
TELUS CORP 0 0.063 % 818.764 K $
ADOBE INC 0 0.063 % 815.362 K $
HSBC HOLDINGS PLC 0 0.063 % 816.954 K $
INTEL CORPORATION 0 0.063 % 816.202 K $
BANK OF NOVA SCOTIA (FXD-FRN) MTN 0 0.063 % 820.329 K $
TEXAS INSTRUMENTS INC 0 0.063 % 810.810 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.063 % 813.434 K $
SYNOPSYS INC 0 0.063 % 815.332 K $
HOME DEPOT INC 0 0.063 % 813.938 K $
EXELON CORPORATION 0 0.063 % 815.833 K $
APPLE INC 0 0.063 % 814.407 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.062 % 806.275 K $
CISCO SYSTEMS INC 0 0.062 % 808.197 K $
CARDINAL HEALTH INC 0 0.062 % 798.643 K $
BAKER HUGHES HOLDINGS LLC 0 0.062 % 796.150 K $
AMGEN INC 0 0.062 % 807.705 K $
BANK OF AMERICA CORP 0 0.062 % 797.568 K $
VMWARE LLC 0 0.062 % 800.297 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.062 % 796.708 K $
ELK MERGER SUB II LLC 0 0.062 % 801.314 K $
HUNTINGTON BANCSHARES INC 0 0.061 % 790.031 K $
BROADRIDGE FINANCIAL SOLUTIONS INC 0 0.061 % 792.673 K $
CAMPBELLS CO 0 0.061 % 794.442 K $
CITIGROUP INC (FX-FRN) 0 0.061 % 790.519 K $
GOLDMAN SACHS GROUP INC/THE 0 0.061 % 783.081 K $
ABBVIE INC 0 0.061 % 792.020 K $
ZOETIS INC 0 0.061 % 791.386 K $
AMERICAN EXPRESS CREDIT CORPORATIO MTN 0 0.061 % 791.694 K $
NORTHROP GRUMMAN CORP 0 0.061 % 783.282 K $
WELLS FARGO & COMPANY MTN 0 0.061 % 789.192 K $
CITIGROUP INC 0 0.06 % 777.563 K $
AMGEN INC 0 0.06 % 778.083 K $
VERALTO CORP 0 0.06 % 774.860 K $
GOLDMAN SACHS GROUP INC (FXD-FRN) 0 0.06 % 775.884 K $
GOLDMAN SACHS GROUP INC (FXD-FRN) 0 0.06 % 776.576 K $
VERIZON COMMUNICATIONS INC 0 0.06 % 774.725 K $
DEUTSCHE BANK AG (NEW YORK BRANCH) 0 0.06 % 774.869 K $
HEXCEL CORPORATION 0 0.06 % 772.067 K $
DEUTSCHE BANK AG (NEW YORK BRANCH) 0 0.06 % 782.260 K $
GOLDMAN SACHS GROUP INC/THE 0 0.06 % 779.349 K $
TEXAS INSTRUMENTS INC 0 0.059 % 759.381 K $
GENERAL MILLS INC 0 0.059 % 769.339 K $
BRISTOL-MYERS SQUIBB CO 0 0.059 % 769.310 K $
UNILEVER CAPITAL CORP 0 0.059 % 763.990 K $
INTUIT INC 0 0.059 % 768.315 K $
HCA INC 0 0.059 % 763.656 K $
MORGAN STANLEY 0 0.059 % 760.672 K $
MERCEDES-BENZ FINANCE NORTH AMERIC 0 0.059 % 759.677 K $
CITIGROUP INC 0 0.058 % 754.431 K $
EQUINIX INC 0 0.058 % 747.130 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.058 % 751.657 K $
QUEST DIAGNOSTICS INCORPORATED 0 0.058 % 750.259 K $
ANHEUSER-BUSCH INBEV FINANCE INC 0 0.058 % 751.812 K $
TEXAS INSTRUMENTS INC 0 0.058 % 747.266 K $
AMGEN INC 0 0.058 % 749.383 K $
FLEX LTD 0 0.058 % 756.011 K $
ABBVIE INC 0 0.058 % 747.220 K $
BUNGE FINANCE LTD CORP 0 0.058 % 743.854 K $
GOLDMAN SACHS GROUP INC/THE 0 0.058 % 744.759 K $
CREDIT SUISSE (USA) LLC 0 0.058 % 756.470 K $
GENERAL ELECTRIC CO MTN 0 0.057 % 736.542 K $
AEP TEXAS INC 0 0.057 % 739.454 K $
MCKESSON CORP 0 0.057 % 738.332 K $
HCA INC 0 0.057 % 738.029 K $
JPMORGAN CHASE & CO 0 0.057 % 738.746 K $
BARCLAYS PLC 0 0.057 % 735.887 K $
DEUTSCHE BANK AG (NY BRANCH) FXD-F 0 0.057 % 732.583 K $
PENTAIR FINANCE SA 0 0.057 % 742.398 K $
BANK OF AMERICA CORP FXD-FRN MTN 0 0.057 % 740.363 K $
BANK OF NOVA SCOTIA MTN 0 0.057 % 737.210 K $
BROADCOM INC 144A 0 0.057 % 734.275 K $
HESS CORP 0 0.057 % 741.167 K $
BANK OF AMERICA CORP MTN 0 0.056 % 724.352 K $
AGILENT TECHNOLOGIES INC 0 0.056 % 718.346 K $
TELEFONICA EMISIONES SAU 0 0.056 % 719.774 K $
GOLDMAN SACHS CAPITAL I 0 0.056 % 721.390 K $
CITIGROUP INC 0 0.056 % 725.055 K $
NASDAQ INC 0 0.056 % 718.680 K $
UNITEDHEALTH GROUP INC 0 0.056 % 720.486 K $
BANCO SANTANDER SA 0 0.055 % 714.076 K $
CISCO SYSTEMS INC 0 0.055 % 712.072 K $
GLAXOSMITHKLINE CAPITAL INC 0 0.055 % 710.027 K $
NORTHROP GRUMMAN CORP 0 0.055 % 715.299 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.055 % 707.244 K $
NOMURA HOLDINGS INC 0 0.055 % 709.119 K $
JPMORGAN CHASE & CO 0 0.055 % 708.606 K $
MORGAN STANLEY MTN 0 0.055 % 716.133 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.055 % 705.710 K $
WORKDAY INC 0 0.054 % 694.389 K $
AUTODESK INC 0 0.054 % 700.578 K $
VMWARE LLC 0 0.054 % 692.110 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.054 % 699.640 K $
T-MOBILE USA INC 0 0.054 % 702.018 K $
BROADCOM INC 144A 0 0.054 % 701.072 K $
ITC HOLDINGS CORP 0 0.054 % 699.047 K $
WORKDAY INC 0 0.054 % 692.545 K $
BANK OF AMERICA CORP MTN 0 0.054 % 697.549 K $
NOMURA HOLDINGS INC 0 0.054 % 701.742 K $
UNITEDHEALTH GROUP INC 0 0.054 % 691.849 K $
VERIZON COMMUNICATIONS INC 0 0.053 % 691.625 K $
FEDERAL REALTY OP LP 0 0.053 % 689.938 K $
VODAFONE GROUP PLC 0 0.053 % 680.612 K $
WELLS FARGO & COMPANY MTN 0 0.053 % 689.490 K $
MORGAN STANLEY MTN 0 0.053 % 686.366 K $
CIGNA GROUP 0 0.053 % 688.518 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.053 % 687.922 K $
KIMBERLY-CLARK CORPORATION 0 0.053 % 679.657 K $
KINDER MORGAN INC MTN 0 0.053 % 681.362 K $
SHELL INTERNATIONAL FINANCE BV 0 0.053 % 685.568 K $
AT&T INC 0 0.053 % 689.397 K $
RYDER SYSTEM INC MTN 0 0.053 % 688.653 K $
BANK OF AMERICA CORP MTN 0 0.053 % 691.294 K $
DUPONT DE NEMOURS INC 144A 0 0.053 % 680.818 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.053 % 679.003 K $
BRISTOL-MYERS SQUIBB CO 0 0.053 % 689.822 K $
UNILEVER CAPITAL CORP 0 0.053 % 685.058 K $
ING GROEP NV 0 0.053 % 690.205 K $
LEIDOS INC 0 0.052 % 669.704 K $
AERCAP IRELAND CAPITAL DAC 0 0.052 % 671.766 K $
VERIZON COMMUNICATIONS INC 0 0.052 % 675.331 K $
TRUIST FINANCIAL CORP MTN 0 0.052 % 668.528 K $
BOSTON PROPERTIES LP 0 0.052 % 678.844 K $
ALLEGION US HOLDING CO INC 0 0.052 % 674.537 K $
HONEYWELL INTERNATIONAL INC 0 0.052 % 671.535 K $
HCA INC 0 0.052 % 673.768 K $
MARSH & MCLENNAN COMPANIES INC 0 0.052 % 674.885 K $
AVISTA CORPORATION 0 0.052 % 668.176 K $
TSMC ARIZONA CORP 0 0.052 % 668.856 K $
JOHN DEERE CAPITAL CORP MTN 0 0.052 % 671.355 K $
COMCAST CORPORATION 0 0.051 % 663.025 K $
BANK OF AMERICA CORP MTN 0 0.051 % 664.707 K $
PNC FINANCIAL SERVICES GROUP INC ( 0 0.051 % 664.215 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.051 % 658.919 K $
FEDERAL REALTY OP LP 0 0.051 % 654.534 K $
VERIZON COMMUNICATIONS INC 0 0.051 % 658.656 K $
CARRIER GLOBAL CORP 0 0.051 % 661.850 K $
HESS CORPORATION 0 0.051 % 654.051 K $
CAPITAL ONE NA 0 0.051 % 662.470 K $
UBS AG (STAMFORD BRANCH) MTN 0 0.051 % 655.884 K $
TEXAS INSTRUMENTS INC 0 0.051 % 662.667 K $
PNC BANK NA 0 0.051 % 661.600 K $
JPMORGAN CHASE & CO 0 0.05 % 651.961 K $
ABBVIE INC 0 0.05 % 643.793 K $
GOLDMAN SACHS GROUP INC/THE 0 0.05 % 649.032 K $
CANADIAN IMPERIAL BANK OF COMMERCE 0 0.05 % 648.364 K $
CONNECTICUT LIGHT AND POWER COMPAN 0 0.05 % 649.719 K $
CBRE SERVICES INC 0 0.05 % 643.414 K $
JACOBS ENGINEERING GROUP INC. 0 0.05 % 642.057 K $
ONE GAS INC 0 0.05 % 652.403 K $
PECO ENERGY CO 0 0.05 % 647.068 K $
HEWLETT PACKARD ENTERPRISE CO 0 0.05 % 648.493 K $
ONEOK INC 0 0.05 % 651.388 K $
APPLIED MATERIALS INC 0 0.05 % 652.829 K $
NATWEST GROUP PLC 0 0.05 % 643.266 K $
TRANE TECHNOLOGIES FINANCING LTD 0 0.05 % 643.982 K $
HSBC HOLDINGS PLC 0 0.05 % 643.843 K $
TRITON CONTAINER INTERNATIONAL LTD 0 0.05 % 646.676 K $
NATWEST GROUP PLC 0 0.05 % 643.138 K $
MORGAN STANLEY MTN 0 0.05 % 646.331 K $
NOVARTIS CAPITAL CORP 0 0.049 % 637.353 K $
ALLY FINANCIAL INC 0 0.049 % 628.751 K $
AMGEN INC 0 0.049 % 628.161 K $
JPMORGAN CHASE & CO 0 0.049 % 637.613 K $
ELEVANCE HEALTH INC 0 0.049 % 631.150 K $
SABINE PASS LIQUEFACTION LLC 0 0.049 % 636.789 K $
GOLDMAN SACHS GROUP INC/THE MTN 0 0.049 % 633.896 K $
WELLS FARGO & COMPANY(FX-FRN) MTN 0 0.049 % 627.415 K $
TEXAS INSTRUMENTS INC 0 0.049 % 638.527 K $
BIOGEN INC 0 0.049 % 628.642 K $
PACIFIC GAS AND ELECTRIC COMPANY 0 0.049 % 637.955 K $
AMAZON.COM INC 0 0.049 % 630.148 K $
OVINTIV INC 0 0.049 % 632.424 K $
SYNCHRONY FINANCIAL 0 0.049 % 629.996 K $
OHIO POWER CO 0 0.049 % 630.480 K $
PUBLIC SERVICE COMPANY OF NEW HAMP 0 0.049 % 635.725 K $
CIGNA GROUP 0 0.049 % 629.205 K $
CRH AMERICA FINANCE INC 0 0.049 % 630.514 K $
AMAZON.COM INC 0 0.049 % 635.732 K $
JPMORGAN CHASE & CO 0 0.049 % 634.438 K $
CBRE SERVICES INC 0 0.049 % 638.926 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.049 % 633.164 K $
BANK OF AMERICA CORP MTN 0 0.049 % 638.658 K $
ALLEGION US HOLDING CO INC 0 0.049 % 629.137 K $
JOHNSON CONTROLS INTERNATIONAL PLC 0 0.048 % 620.181 K $
BARCLAYS PLC 0 0.048 % 625.987 K $
WESTERN MIDSTREAM OPERATING LP 0 0.048 % 614.426 K $
CITIGROUP INC 0 0.048 % 622.573 K $
FORD MOTOR CREDIT COMPANY LLC 0 0.048 % 617.465 K $
KINDER MORGAN INC 0 0.048 % 615.453 K $
PPL ELECTRIC UTILITIES CORPORATION 0 0.048 % 621.894 K $
BUNGE FINANCE LTD CORP 0 0.048 % 614.738 K $
IQVIA INC 0 0.048 % 621.668 K $
ICON INVESTMENTS SIX DAC 0 0.048 % 623.718 K $
HASBRO INC 0 0.048 % 623.271 K $
GOLDMAN SACHS GROUP INC/THE 0 0.048 % 627.123 K $
HSBC HOLDINGS PLC 0 0.048 % 618.161 K $
INTEL CORPORATION 0 0.048 % 619.511 K $
BANK OF AMERICA CORP 0 0.048 % 617.128 K $
AERCAP IRELAND CAPITAL DAC 0 0.048 % 617.579 K $
JPMORGAN CHASE & CO 0 0.048 % 621.529 K $
CROWN CASTLE INC 0 0.048 % 620.899 K $
CENCORA INC 0 0.048 % 616.772 K $
PACIFIC GAS AND ELECTRIC COMPANY 0 0.047 % 606.452 K $
US BANCORP MTN 0 0.047 % 603.574 K $
GE CAPITAL INTERNATIONAL FUNDING C 0 0.047 % 604.922 K $
GENERAL MILLS INC 0 0.047 % 609.128 K $
INTUIT INC 0 0.047 % 608.431 K $
BUNGE FINANCE LTD CORP 0 0.047 % 611.197 K $
MORGAN STANLEY MTN 0 0.047 % 613.434 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC 0 0.047 % 607.708 K $
JPMORGAN CHASE & CO 0 0.047 % 606.317 K $
CONSTELLATION ENERGY GENERATION LL 0 0.047 % 607.815 K $
GILEAD SCIENCES INC 0 0.047 % 605.782 K $
BROOKFIELD CAPITAL FINANCE LLC 0 0.047 % 608.604 K $
HEWLETT PACKARD ENTERPRISE CO 0 0.047 % 604.933 K $
AMERICAN EXPRESS COMPANY 0 0.047 % 610.739 K $
BARCLAYS PLC 0 0.047 % 604.112 K $
BARCLAYS PLC 0 0.047 % 606.652 K $
CARDINAL HEALTH INC 0 0.047 % 603.808 K $
GOLDMAN SACHS GROUP INC/THE 0 0.046 % 599.994 K $
GILEAD SCIENCES INC 0 0.046 % 594.592 K $
PACIFIC GAS AND ELECTRIC COMPANY 0 0.046 % 596.851 K $
CITIGROUP INC 0 0.046 % 591.922 K $
SHELL FINANCE US INC 0 0.046 % 601.226 K $
BROADCOM INC 144A 0 0.046 % 589.432 K $
DENTSPLY SIRONA INC 0 0.046 % 595.962 K $
JPMORGAN CHASE & CO 0 0.046 % 599.352 K $
T-MOBILE USA INC 0 0.046 % 594.868 K $
AGCO CORPORATION 0 0.046 % 590.877 K $
MORGAN STANLEY MTN 0 0.046 % 588.684 K $
BANK OF NOVA SCOTIA (FXD-FRN) MTN 0 0.046 % 596.380 K $
GOLDMAN SACHS GROUP INC/THE 0 0.046 % 588.686 K $
MORGAN STANLEY MTN 0 0.046 % 596.711 K $
AT&T INC 0 0.046 % 599.759 K $
JPMORGAN CHASE & CO 0 0.046 % 600.491 K $
QUEST DIAGNOSTICS INCORPORATED 0 0.046 % 591.107 K $
KINDER MORGAN INC 0 0.046 % 594.884 K $
JPMORGAN CHASE & CO 0 0.046 % 592.418 K $
HA SUSTAINABLE INFRASTRUCTURE CAPI 0 0.046 % 590.112 K $
LENNOX INTERNATIONAL INC 0 0.046 % 594.259 K $
JPMORGAN CHASE & CO 0 0.045 % 578.005 K $
TEXAS EASTERN TRANSMISSION LP 0 0.045 % 578.225 K $
DEUTSCHE BANK AG (NEW YORK BRANCH) 0 0.045 % 588.052 K $
EXELON CORPORATION 0 0.045 % 575.482 K $
RYDER SYSTEM INC MTN 0 0.045 % 577.828 K $
GOLDMAN SACHS GROUP INC/THE 0 0.045 % 575.973 K $
CMS ENERGY CORPORATION 0 0.045 % 577.930 K $
WESTPAC BANKING CORP 0 0.045 % 585.453 K $
HA SUSTAINABLE INFRASTRUCTURE CAPI 0 0.045 % 577.771 K $
RYDER SYSTEM INC MTN 0 0.045 % 587.458 K $
NEXTERA ENERGY CAPITAL HOLDINGS IN 0 0.045 % 576.158 K $
PNC FINANCIAL SERVICES GROUP INC ( 0 0.045 % 578.232 K $
CLEVELAND ELECTRIC ILLUMINATING CO 0 0.045 % 582.634 K $
KEYCORP MTN 0 0.045 % 582.868 K $
REVVITY INC 0 0.045 % 579.563 K $
PACIFIC GAS AND ELECTRIC COMPANY 0 0.045 % 586.606 K $
BARCLAYS PLC 0 0.044 % 566.296 K $
QUANTA SERVICES INC. 0 0.044 % 569.005 K $
ONEOK INC 0 0.044 % 569.636 K $
CONOCOPHILLIPS 0 0.044 % 573.164 K $
CENTENE CORPORATION 0 0.044 % 573.264 K $
EXELON CORPORATION 0 0.044 % 566.734 K $
BANK OF AMERICA CORP MTN 0 0.044 % 567.188 K $
BANK OF AMERICA CORP MTN 0 0.044 % 574.152 K $
UNITEDHEALTH GROUP INC 0 0.044 % 567.219 K $
JPMORGAN CHASE & CO 0 0.044 % 567.233 K $
HEWLETT PACKARD ENTERPRISE CO 0 0.044 % 563.959 K $
MERCK & CO INC 0 0.044 % 568.647 K $
MORGAN STANLEY 0 0.044 % 575.172 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.044 % 567.550 K $
JPMORGAN CHASE & CO 0 0.044 % 562.901 K $
METLIFE INC 0 0.044 % 566.393 K $
CENTENE CORPORATION 0 0.044 % 566.713 K $
BP CAPITAL MARKETS AMERICA INC 0 0.044 % 571.531 K $
MORGAN STANLEY MTN 0 0.044 % 567.537 K $
3M CO 0 0.044 % 568.433 K $
ORACLE CORPORATION 0 0.044 % 568.498 K $
ECOLAB INC 0 0.044 % 572.775 K $
WALT DISNEY CO 0 0.044 % 571.340 K $
ELEVANCE HEALTH INC 0 0.044 % 564.067 K $
MORGAN STANLEY MTN 0 0.044 % 565.841 K $
VALERO ENERGY CORPORATION 0 0.044 % 563.546 K $
FIDELITY NATIONAL INFORMATION SERV 0 0.044 % 574.567 K $
HSBC HOLDINGS PLC 0 0.044 % 574.937 K $
ZIMMER BIOMET HOLDINGS INC 0 0.044 % 564.577 K $
ABBVIE INC 0 0.043 % 553.240 K $
AMGEN INC 0 0.043 % 556.969 K $
ABBVIE INC 0 0.043 % 553.981 K $
KINDER MORGAN INC 0 0.043 % 552.812 K $
VERIZON COMMUNICATIONS INC 0 0.043 % 560.954 K $
COMCAST CORPORATION 0 0.043 % 550.407 K $
ONEOK INC 0 0.043 % 550.578 K $
ROYAL BANK OF CANADA MTN 0 0.043 % 550.997 K $
HEALTHPEAK OP LLC 0 0.043 % 553.965 K $
MORGAN STANLEY MTN 0 0.043 % 559.278 K $
HEWLETT PACKARD ENTERPRISE CO 0 0.043 % 556.607 K $
NOVARTIS CAPITAL CORP 0 0.043 % 559.441 K $
JPMORGAN CHASE & CO 0 0.043 % 559.662 K $
GOLDMAN SACHS GROUP INC/THE 0 0.043 % 553.415 K $
GOLDMAN SACHS GROUP INC/THE 0 0.043 % 555.650 K $
ASTRAZENECA PLC 0 0.043 % 553.572 K $
JPMORGAN CHASE & CO 0 0.043 % 549.836 K $
JPMORGAN CHASE & CO 0 0.043 % 551.966 K $
CROWN CASTLE INC 0 0.042 % 546.098 K $
HUNTINGTON NATIONAL BANK (THE) 0 0.042 % 544.196 K $
CATERPILLAR INC 0 0.042 % 547.663 K $
HSBC HOLDINGS PLC 0 0.042 % 549.446 K $
VODAFONE GROUP PLC 0 0.042 % 546.938 K $
GXO LOGISTICS INC 0 0.042 % 541.689 K $
JPMORGAN CHASE & CO 0 0.042 % 539.704 K $
EXXON MOBIL CORP 0 0.042 % 543.782 K $
LEAR CORPORATION 0 0.042 % 538.977 K $
VISA INC 0 0.042 % 544.732 K $
PIEDMONT NATURAL GAS COMPANY INC 0 0.042 % 538.256 K $
MORGAN STANLEY 0 0.042 % 539.188 K $
CITIGROUP INC 0 0.042 % 540.206 K $
ROYAL BANK OF CANADA MTN 0 0.041 % 530.256 K $
LLOYDS BANKING GROUP PLC 0 0.041 % 524.745 K $
CENTENE CORPORATION 0 0.041 % 530.142 K $
VISA INC 0 0.041 % 533.605 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.041 % 531.282 K $
OHIO POWER CO 0 0.041 % 533.183 K $
MPLX LP 0 0.041 % 534.213 K $
UNITEDHEALTH GROUP INC 0 0.041 % 532.732 K $
ONEOK INC 0 0.041 % 525.951 K $
TOTALENERGIES CAPITAL SA 0 0.041 % 526.835 K $
BROADCOM INC 144A 0 0.041 % 527.643 K $
COCA-COLA CO 0 0.041 % 535.235 K $
MOLSON COORS BREWING CO 0 0.041 % 526.449 K $
MARSH & MCLENNAN COMPANIES INC 0 0.041 % 525.738 K $
HARTFORD INSURANCE GROUP INC 0 0.041 % 530.191 K $
T-MOBILE USA INC 0 0.041 % 530.297 K $
AMGEN INC 0 0.041 % 534.870 K $
HONEYWELL INTERNATIONAL INC 0 0.041 % 531.205 K $
NORTHERN TRUST CORPORATION 0 0.041 % 531.897 K $
PPL ELECTRIC UTILITIES CORPORATION 0 0.041 % 530.483 K $
POTOMAC ELECTRIC POWER COMPANY 0 0.041 % 530.366 K $
BANK OF AMERICA CORP MTN 0 0.041 % 531.449 K $
HARTFORD INSURANCE GROUP INC 0 0.04 % 513.202 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.04 % 520.845 K $
BUNGE FINANCE LTD CORP 0 0.04 % 518.890 K $
FORD MOTOR COMPANY 0 0.04 % 521.132 K $
AMAZON.COM INC 0 0.04 % 516.116 K $
APPLIED MATERIALS INC 0 0.04 % 515.832 K $
HP INC 0 0.04 % 519.140 K $
UNITEDHEALTH GROUP INC 0 0.04 % 523.041 K $
ORACLE CORPORATION 0 0.04 % 516.414 K $
BROADRIDGE FINANCIAL SOLUTIONS INC 0 0.04 % 519.495 K $
DEUTSCHE BANK AG (NEW YORK BRANCH) 0 0.04 % 513.689 K $
HOME DEPOT INC 0 0.04 % 520.222 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.04 % 522.321 K $
ZOETIS INC 0 0.04 % 521.323 K $
MARSH & MCLENNAN COMPANIES INC 0 0.04 % 512.208 K $
VERIZON COMMUNICATIONS INC 0 0.04 % 522.799 K $
CBOE GLOBAL MARKETS INC 0 0.04 % 514.858 K $
FEDERAL REALTY OP LP 0 0.04 % 516.404 K $
COLGATE-PALMOLIVE CO MTN 0 0.04 % 518.435 K $
NEVADA POWER COMPANY 0 0.04 % 523.636 K $
TEXAS INSTRUMENTS INC 0 0.04 % 518.434 K $
CNO FINANCIAL GROUP INC 0 0.04 % 523.435 K $
NATWEST GROUP PLC 0 0.04 % 512.536 K $
UNITEDHEALTH GROUP INC 0 0.04 % 522.765 K $
BRITISH TELECOMMUNICATIONS PLC 0 0.039 % 504.357 K $
HSBC HOLDINGS PLC 0 0.039 % 509.180 K $
HESS CORPORATION 0 0.039 % 510.782 K $
STATE STREET CORP 0 0.039 % 508.474 K $
MORGAN STANLEY MTN 0 0.039 % 501.522 K $
JPMORGAN CHASE & CO 0 0.039 % 502.845 K $
TORONTO-DOMINION BANK/THE MTN 0 0.039 % 503.231 K $
DIAMONDBACK ENERGY INC 0 0.039 % 500.795 K $
PROCTER & GAMBLE CO 0 0.039 % 503.939 K $
BANK OF AMERICA CORP MTN 0 0.039 % 500.102 K $
MARTIN MARIETTA MATERIALS INC 0 0.039 % 501.687 K $
RYDER SYSTEM INC MTN 0 0.039 % 507.744 K $
BANK OF AMERICA CORP 0 0.039 % 510.558 K $
SANDS CHINA LTD 0 0.039 % 505.113 K $
GOLDMAN SACHS GROUP INC/THE FRN 0 0.039 % 499.099 K $
APPLIED MATERIALS INC 0 0.039 % 503.841 K $
GOLDMAN SACHS GROUP INC/THE 0 0.039 % 504.488 K $
STEWART INFORMATION SERVICES CORPO 0 0.039 % 501.807 K $
BOSTON PROPERTIES LP 0 0.039 % 505.560 K $
AERCAP IRELAND CAPITAL DAC / AERCA 0 0.039 % 504.281 K $
ROYAL BANK OF CANADA MTN 0 0.039 % 503.465 K $
VERIZON COMMUNICATIONS INC 0 0.039 % 498.075 K $
UNITEDHEALTH GROUP INC 0 0.039 % 499.878 K $
HEWLETT PACKARD ENTERPRISE CO 0 0.039 % 501.977 K $
STATE STREET CORP 0 0.039 % 498.196 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.039 % 508.987 K $
MICROSOFT CORPORATION 0 0.039 % 499.287 K $
ORACLE CORPORATION 0 0.039 % 505.053 K $
APPLE INC 0 0.039 % 498.802 K $
KIMBERLY-CLARK CORPORATION 0 0.039 % 500.139 K $
BANK OF AMERICA CORP MTN 0 0.039 % 503.686 K $
GATX CORPORATION 0 0.039 % 501.796 K $
AMERICAN EXPRESS COMPANY 0 0.039 % 502.990 K $
WELLS FARGO & COMPANY MTN 0 0.039 % 503.258 K $
BANCO SANTANDER SA 0 0.039 % 506.674 K $
SABINE PASS LIQUEFACTION LLC 0 0.039 % 507.160 K $
ZOETIS INC 0 0.039 % 503.672 K $
NATWEST GROUP PLC 0 0.038 % 490.075 K $
JPMORGAN CHASE & CO 0 0.038 % 485.069 K $
EXXON MOBIL CORP 0 0.038 % 490.593 K $
AUTONATION INC 0 0.038 % 490.418 K $
HCA INC 0 0.038 % 493.181 K $
NSTAR ELECTRIC CO 0 0.038 % 493.331 K $
AVNET INC 0 0.038 % 497.600 K $
FORD MOTOR CREDIT COMPANY LLC 0 0.038 % 485.467 K $
NXP BV 0 0.038 % 487.681 K $
ORACLE CORPORATION 0 0.038 % 487.195 K $
AEGON LTD 0 0.038 % 493.600 K $
ADOBE INC 0 0.038 % 496.592 K $
BARCLAYS PLC 0 0.038 % 485.423 K $
COMCAST CORPORATION 0 0.038 % 485.859 K $
LLOYDS BANKING GROUP PLC 0 0.038 % 497.206 K $
MERCK & CO INC 0 0.038 % 497.011 K $
NUTRIEN LTD 0 0.038 % 488.180 K $
AMAZON.COM INC 0 0.038 % 494.443 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.038 % 494.481 K $
ORACLE CORPORATION 0 0.038 % 485.152 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.038 % 486.891 K $
BANCO SANTANDER SA 0 0.038 % 485.536 K $
UNILEVER CAPITAL CORP 0 0.038 % 491.206 K $
AVISTA CORPORATION 0 0.038 % 488.010 K $
TELEFONICA EUROPE BV 0 0.038 % 492.169 K $
PUBLIC SERVICE COMPANY OF NEW HAMP 0 0.038 % 488.090 K $
AEP TEXAS INC 0 0.038 % 486.749 K $
TARGA RESOURCES CORP 0 0.038 % 493.351 K $
WELLS FARGO & CO 0 0.038 % 495.900 K $
HSBC HOLDINGS PLC FXD-FLT 0 0.038 % 486.630 K $
COMCAST CORPORATION 0 0.038 % 490.432 K $
T-MOBILE USA INC 0 0.038 % 495.916 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.038 % 495.440 K $
ORACLE CORPORATION 0 0.038 % 493.190 K $
KINDER MORGAN INC 0 0.038 % 494.883 K $
LLOYDS BANKING GROUP PLC 0 0.038 % 493.426 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC 0 0.037 % 480.102 K $
WESTPAC BANKING CORP 0 0.037 % 483.369 K $
ABBVIE INC 0 0.037 % 479.830 K $
CITIGROUP INC 0 0.037 % 478.008 K $
BROOKFIELD FINANCE I UK PLC 0 0.037 % 475.585 K $
ORACLE CORPORATION 0 0.037 % 483.645 K $
LABORATORY CORPORATION OF AMERICA 0 0.037 % 483.154 K $
PACIFIC GAS AND ELECTRIC COMPANY 0 0.037 % 476.095 K $
NETAPP INC 0 0.037 % 482.401 K $
PACIFIC GAS AND ELECTRIC COMPANY 0 0.037 % 481.500 K $
PRUDENTIAL FINANCIAL INC 0 0.037 % 484.473 K $
COMCAST CORPORATION 0 0.037 % 482.672 K $
OHIO POWER CO 0 0.037 % 482.751 K $
ORACLE CORPORATION 0 0.037 % 484.402 K $
BANCO SANTANDER SA 0 0.037 % 483.635 K $
METLIFE INC 0 0.037 % 475.091 K $
T-MOBILE USA INC 0 0.037 % 484.079 K $
BANK OF AMERICA CORP 0 0.037 % 473.877 K $
GILEAD SCIENCES INC 0 0.037 % 481.474 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC 0 0.037 % 480.192 K $
PNC FINANCIAL SERVICES GROUP INC ( 0 0.037 % 473.030 K $
ONEOK INC 0 0.037 % 483.734 K $
DIAGEO CAPITAL PLC 0 0.037 % 479.028 K $
MIZUHO FINANCIAL GROUP INC 0 0.037 % 477.106 K $
INTUIT INC 0 0.037 % 481.975 K $
PRUDENTIAL FUNDING ASIA PLC 0 0.037 % 480.506 K $
BANK OF AMERICA CORP MTN 0 0.037 % 472.566 K $
APTIV SWISS HOLDINGS LTD 0 0.037 % 472.131 K $
HASBRO INC 0 0.037 % 480.578 K $
SUZANO AUSTRIA GMBH 0 0.037 % 475.683 K $
MIZUHO FINANCIAL GROUP INC 0 0.036 % 470.757 K $
AEP TEXAS INC 0 0.036 % 462.875 K $
SCHLUMBERGER INVESTMENT SA 0 0.036 % 467.857 K $
JPMORGAN CHASE & CO 0 0.036 % 461.711 K $
DUPONT DE NEMOURS INC 0 0.036 % 460.273 K $
CITIGROUP INC 0 0.036 % 469.008 K $
GILEAD SCIENCES INC 0 0.036 % 459.495 K $
BANCO SANTANDER SA 0 0.036 % 466.443 K $
CITIGROUP INC 0 0.036 % 471.786 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.036 % 465.871 K $
META PLATFORMS INC 0 0.036 % 462.333 K $
MICROSOFT CORPORATION 0 0.036 % 460.102 K $
TOTALENERGIES CAPITAL INTERNATIONA 0 0.036 % 468.552 K $
HONEYWELL INTERNATIONAL INC 0 0.036 % 470.384 K $
RYDER SYSTEM INC MTN 0 0.036 % 465.728 K $
AMERICAN EXPRESS COMPANY (FXD-FRN) 0 0.036 % 464.054 K $
CMS ENERGY CORPORATION 0 0.036 % 466.925 K $
PNC FINANCIAL SERVICES GROUP INC ( 0 0.036 % 466.798 K $
CITIGROUP INC 0 0.036 % 462.162 K $
BANK OF NOVA SCOTIA (FXD) 0 0.036 % 471.037 K $
NORTHROP GRUMMAN CORP 0 0.036 % 463.048 K $
RYDER SYSTEM INC MTN 0 0.036 % 469.711 K $
WELLS FARGO & COMPANY MTN 0 0.036 % 466.370 K $
CONNECTICUT LIGHT AND POWER COMPAN 0 0.036 % 465.025 K $
SMITH & NEPHEW PLC 0 0.036 % 471.342 K $
ELEVANCE HEALTH INC 0 0.036 % 459.746 K $
COCA-COLA CO 0 0.036 % 467.735 K $
SUZANO AUSTRIA GMBH 0 0.036 % 462.234 K $
JPMORGAN CHASE & CO 0 0.036 % 464.236 K $
TAPESTRY INC 0 0.036 % 465.089 K $
DEUTSCHE TELEKOM INTERNATIONAL FIN 0 0.035 % 452.184 K $
BAKER HUGHES HOLDINGS LLC 0 0.035 % 453.023 K $
WESTPAC BANKING CORP 0 0.035 % 452.290 K $
ORACLE CORPORATION 0 0.035 % 450.407 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.035 % 451.397 K $
MORGAN STANLEY MTN 0 0.035 % 451.800 K $
SYNCHRONY FINANCIAL 0 0.035 % 447.852 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC 0 0.035 % 451.018 K $
JPMORGAN CHASE & CO 0 0.035 % 451.641 K $
ENTERGY LOUISIANA LLC 0 0.035 % 451.756 K $
CITIGROUP INC 0 0.035 % 454.718 K $
AMERICAN EXPRESS COMPANY FXD-FRN 0 0.035 % 449.629 K $
NXP BV 0 0.035 % 459.049 K $
MORGAN STANLEY MTN 0 0.035 % 457.907 K $
ALLEGION US HOLDING CO INC 0 0.035 % 453.598 K $
LYB INTERNATIONAL FINANCE III LLC 0 0.035 % 449.356 K $
EVERSOURCE ENERGY 0 0.035 % 454.410 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC 0 0.035 % 448.867 K $
INTERCONTINENTAL EXCHANGE INC 0 0.035 % 449.357 K $
GATX CORPORATION 0 0.035 % 447.000 K $
BROOKFIELD FINANCE INC 0 0.035 % 452.862 K $
MIZUHO FINANCIAL GROUP INC 0 0.035 % 448.606 K $
DEUTSCHE BANK AG (NEW YORK BRANCH) 0 0.035 % 458.540 K $
AMERICAN TOWER CORPORATION 0 0.035 % 457.977 K $
OWENS CORNING 0 0.035 % 454.824 K $
MCDONALDS CORPORATION MTN 0 0.035 % 447.528 K $
WEBSTER FINANCIAL CORPORATION 0 0.035 % 456.252 K $
CLOROX COMPANY 0 0.035 % 447.732 K $
FORTUNE BRANDS INNOVATIONS INC 0 0.035 % 451.176 K $
SANTANDER UK GROUP HOLDINGS PLC 0 0.035 % 457.572 K $
HUMANA INC 0 0.035 % 452.752 K $
FLEX LTD 0 0.035 % 453.398 K $
BRISTOL-MYERS SQUIBB CO 0 0.034 % 442.676 K $
INTEL CORPORATION 0 0.034 % 445.889 K $
BANCO SANTANDER SA 0 0.034 % 441.066 K $
KEYSIGHT TECHNOLOGIES INC 0 0.034 % 437.562 K $
PNC FINANCIAL SERVICES GROUP INC ( 0 0.034 % 435.356 K $
HUNTINGTON BANCSHARES INC 0 0.034 % 439.581 K $
ORACLE CORPORATION 0 0.034 % 437.982 K $
ELI LILLY AND COMPANY 0 0.034 % 438.885 K $
AERCAP IRELAND CAPITAL DAC 0 0.034 % 435.688 K $
TELEFONICA EMISIONES SAU 0 0.034 % 445.331 K $
ORACLE CORPORATION 0 0.034 % 434.011 K $
RYDER SYSTEM INC 0 0.034 % 440.615 K $
BECTON DICKINSON AND COMPANY 0 0.034 % 440.672 K $
US BANCORP 0 0.034 % 440.523 K $
COPT DEFENSE PROPERTIES LP 0 0.034 % 445.646 K $
COMERICA INCORPORATED 0 0.034 % 437.519 K $
ING GROEP NV 0 0.034 % 436.930 K $
BANK OF AMERICA CORP MTN 0 0.034 % 438.442 K $
EVERSOURCE ENERGY 0 0.034 % 444.706 K $
T-MOBILE USA INC 0 0.034 % 443.225 K $
KEURIG DR PEPPER INC 0 0.034 % 436.616 K $
JOHN DEERE CAPITAL CORP MTN 0 0.034 % 440.207 K $
QUANTA SERVICES INC. 0 0.034 % 433.346 K $
NETAPP INC 0 0.034 % 437.480 K $
TARGET CORPORATION 0 0.034 % 436.499 K $
WALT DISNEY CO 0 0.034 % 437.106 K $
REVVITY INC 0 0.034 % 444.297 K $
LOWES COMPANIES INC 0 0.034 % 443.785 K $
GILEAD SCIENCES INC 0 0.034 % 440.551 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.034 % 434.952 K $
LLOYDS BANKING GROUP PLC 0 0.034 % 442.494 K $
GOLDMAN SACHS GROUP INC/THE 0 0.034 % 438.844 K $
ENBRIDGE INC 0 0.034 % 442.756 K $
CITIGROUP INC 0 0.034 % 441.210 K $
NASDAQ INC 0 0.034 % 434.484 K $
APPLE INC 0 0.034 % 445.553 K $
CARRIER GLOBAL CORP 0 0.033 % 427.905 K $
CITIGROUP INC 0 0.033 % 421.672 K $
UNITEDHEALTH GROUP INC 0 0.033 % 430.041 K $
HARLEY-DAVIDSON INC 0 0.033 % 426.814 K $
BALTIMORE GAS AND ELECTRIC CO 0 0.033 % 433.177 K $
GOLDMAN SACHS GROUP INC/THE 0 0.033 % 432.687 K $
AEP TEXAS INC 0 0.033 % 427.771 K $
BANK OF AMERICA CORP MTN 0 0.033 % 431.665 K $
ABBVIE INC 0 0.033 % 423.238 K $
KRAFT HEINZ FOODS CO 0 0.033 % 422.794 K $
BANK OF AMERICA CORP MTN 0 0.033 % 431.428 K $
INTEL CORPORATION 0 0.033 % 425.612 K $
OCCIDENTAL PETROLEUM CORPORATION 0 0.033 % 428.582 K $
NATIONAL FUEL GAS COMPANY 0 0.033 % 424.576 K $
HP INC 0 0.033 % 421.094 K $
BARCLAYS PLC 0 0.033 % 420.780 K $
US BANCORP MTN 0 0.033 % 426.129 K $
AMERICAN EXPRESS COMPANY 0 0.033 % 432.274 K $
MIZUHO FINANCIAL GROUP INC 0 0.033 % 420.611 K $
VODAFONE GROUP PLC 0 0.033 % 421.335 K $
PFIZER INC 0 0.033 % 426.803 K $
CITIGROUP INC 0 0.033 % 432.198 K $
BROADCOM INC 144A 0 0.033 % 425.923 K $
AMAZON.COM INC 0 0.033 % 425.931 K $
AMAZON.COM INC 0 0.033 % 423.826 K $
T-MOBILE USA INC 0 0.033 % 433.105 K $
BARCLAYS PLC 0 0.033 % 432.777 K $
WELLS FARGO & COMPANY 0 0.033 % 426.528 K $
PNC FINANCIAL SERVICES GROUP INC ( 0 0.033 % 426.149 K $
ORACLE CORPORATION 0 0.033 % 430.573 K $
AMERICAN TOWER CORPORATION 0 0.033 % 427.488 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC 0 0.033 % 420.435 K $
SHERWIN-WILLIAMS COMPANY (THE) 0 0.033 % 425.008 K $
PHILLIPS 66 0 0.033 % 426.401 K $
CBRE SERVICES INC 0 0.032 % 419.441 K $
HOME DEPOT INC 0 0.032 % 415.976 K $
J M SMUCKER CO 0 0.032 % 414.833 K $
ABBOTT LABORATORIES 0 0.032 % 415.255 K $
ONEOK INC 0 0.032 % 411.642 K $
TOTALENERGIES CAPITAL INTERNATIONA 0 0.032 % 417.517 K $
CITIGROUP INC 0 0.032 % 417.594 K $
PNC FINANCIAL SERVICES GROUP INC ( 0 0.032 % 416.791 K $
ASTRAZENECA FINANCE LLC 0 0.032 % 416.379 K $
AT&T INC 0 0.032 % 420.182 K $
CENTENE CORPORATION 0 0.032 % 413.856 K $
DIAMONDBACK ENERGY INC 0 0.032 % 416.471 K $
NOMURA HOLDINGS INC 0 0.032 % 412.207 K $
FLORIDA POWER AND LIGHT CO 0 0.032 % 412.563 K $
AUTODESK INC 0 0.032 % 418.518 K $
JOHNSON & JOHNSON 0 0.032 % 414.001 K $
MORGAN STANLEY (FXD-FRN) MTN 0 0.032 % 420.219 K $
COMMONWEALTH EDISON COMPANY 0 0.032 % 410.159 K $
WALT DISNEY CO 0 0.032 % 407.643 K $
LOWES COMPANIES INC 0 0.032 % 407.552 K $
NATWEST GROUP PLC 0 0.032 % 417.133 K $
BOSTON PROPERTIES LP 0 0.032 % 417.082 K $
KIMBERLY-CLARK CORPORATION 0 0.032 % 410.897 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.032 % 415.991 K $
AMAZON.COM INC 0 0.032 % 417.139 K $
WILLIAMS COMPANIES INC 0 0.032 % 417.690 K $
ROYAL BANK OF CANADA MTN 0 0.032 % 411.463 K $
VICI PROPERTIES LP 0 0.032 % 409.768 K $
HP INC 0 0.032 % 412.298 K $
INTUIT INC 0 0.031 % 398.332 K $
MORGAN STANLEY MTN 0 0.031 % 396.273 K $
BP CAPITAL MARKETS AMERICA INC 0 0.031 % 395.725 K $
VERIZON COMMUNICATIONS INC 0 0.031 % 394.517 K $
SANTANDER HOLDINGS USA INC 0 0.031 % 398.294 K $
TRIMBLE INC 0 0.031 % 405.415 K $
SANDS CHINA LTD 0 0.031 % 402.515 K $
MICROSOFT CORPORATION 0 0.031 % 397.114 K $
MICROSOFT CORPORATION 0 0.031 % 403.194 K $
ARCHER DANIELS MIDLAND CO 0 0.031 % 402.411 K $
PECO ENERGY CO 0 0.031 % 403.076 K $
BANK OF AMERICA CORP 0 0.031 % 405.366 K $
BANCO SANTANDER SA (FX-FX) 0 0.031 % 396.427 K $
CARRIER GLOBAL CORP 0 0.031 % 396.594 K $
TRANSCANADA PIPELINES LTD 0 0.031 % 401.380 K $
MIZUHO FINANCIAL GROUP INC 0 0.031 % 406.679 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.031 % 401.983 K $
ROYAL BANK OF CANADA MTN 0 0.031 % 397.310 K $
CONOCOPHILLIPS 0 0.031 % 401.571 K $
HCA INC 0 0.031 % 405.275 K $
MOSAIC CO/THE 0 0.031 % 395.102 K $
NSTAR ELECTRIC CO 0 0.031 % 405.182 K $
EVERSOURCE ENERGY 0 0.031 % 402.464 K $
MORGAN STANLEY (FXD-FRN) MTN 0 0.031 % 395.769 K $
AMERICAN TOWER CORPORATION 0 0.031 % 405.051 K $
TRANSCANADA PIPELINES LTD 0 0.031 % 396.464 K $
AEP TEXAS INC 0 0.031 % 400.666 K $
CITIGROUP INC 0 0.031 % 403.630 K $
XL GROUP PLC 0 0.031 % 400.973 K $
REALTY INCOME CORPORATION 0 0.031 % 406.455 K $
KRAFT HEINZ FOODS CO 0 0.031 % 404.230 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.031 % 398.313 K $
MIZUHO FINANCIAL GROUP INC 0 0.031 % 401.869 K $
CANADIAN PACIFIC RAILWAY COMPANY 0 0.031 % 395.331 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.031 % 399.071 K $
SANTANDER UK GROUP HOLDINGS PLC 0 0.031 % 400.998 K $
ELI LILLY AND COMPANY 0 0.031 % 398.560 K $
SYSCO CORPORATION 0 0.031 % 402.303 K $
TSMC ARIZONA CORP 0 0.031 % 399.846 K $
ONEOK INC 0 0.031 % 405.107 K $
MANULIFE FINANCIAL CORP 0 0.031 % 396.159 K $
JPMORGAN CHASE & CO 0 0.031 % 403.875 K $
BARCLAYS PLC (FXD TO FLOAT) 0 0.031 % 401.149 K $
EL PASO CORPORATION MTN 0 0.031 % 400.265 K $
JPMORGAN CHASE & CO 0 0.031 % 406.098 K $
GATX CORPORATION 0 0.031 % 405.430 K $
TOYOTA MOTOR CREDIT CORP MTN 0 0.031 % 403.708 K $
BANCO BILBAO VIZCAYA ARGENTARIA SA 0 0.031 % 403.684 K $
ORACLE CORPORATION 0 0.031 % 396.268 K $
LABORATORY CORPORATION OF AMERICA 0 0.031 % 402.881 K $
BARCLAYS PLC (FXD TO FLOAT) 0 0.031 % 405.567 K $
LOWES COMPANIES INC 0 0.03 % 386.141 K $
CIGNA GROUP 0 0.03 % 387.854 K $
BANK OF AMERICA CORP MTN 0 0.03 % 386.774 K $
TEXAS INSTRUMENTS INC 0 0.03 % 382.878 K $
AMERICAN EXPRESS COMPANY (FX-FRN) 0 0.03 % 391.680 K $
ABBVIE INC 0 0.03 % 390.128 K $
MOLSON COORS BREWING CO 0 0.03 % 389.533 K $
AMERICAN TOWER CORPORATION 0 0.03 % 385.508 K $
MIZUHO FINANCIAL GROUP INC 0 0.03 % 390.909 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.03 % 382.211 K $
AMERICA MOVIL SAB DE CV 0 0.03 % 393.340 K $
FORD MOTOR CREDIT COMPANY LLC 0 0.03 % 386.826 K $
GENERAL MOTORS FINANCIAL COMPANY I 0 0.03 % 387.470 K $
ENTERGY LOUISIANA LLC 0 0.03 % 394.208 K $
COMCAST CORPORATION 0 0.03 % 386.162 K $
WELLTOWER OP LLC 0 0.03 % 386.854 K $
MERCK & CO INC 0 0.03 % 385.260 K $
BANK OF AMERICA CORP MTN 0 0.03 % 388.199 K $
OWENS CORNING 0 0.03 % 387.664 K $
GOLDMAN SACHS GROUP INC/THE 0 0.03 % 393.735 K $
ELI LILLY AND COMPANY 0 0.03 % 392.884 K $
HONEYWELL INTERNATIONAL INC 0 0.03 % 389.967 K $
ONEOK INC 0 0.03 % 384.556 K $
WILLIAMS COMPANIES INC 0 0.03 % 394.364 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.03 % 386.149 K $
WALT DISNEY CO 0 0.03 % 391.652 K $
BROOKFIELD FINANCE INC 0 0.03 % 392.763 K $
KIMBERLY-CLARK CORPORATION 0 0.03 % 381.902 K $
SHELL INTERNATIONAL FINANCE BV 0 0.03 % 384.069 K $
BROADCOM INC 144A 0 0.03 % 382.383 K $
CHARLES SCHWAB CORPORATION (THE) 0 0.03 % 393.245 K $
DIAGEO INVESTMENT CORPORATION 0 0.03 % 391.085 K $
WESTPAC BANKING CORP 0 0.03 % 391.191 K $
AMERICAN TOWER CORPORATION 0 0.03 % 390.718 K $
ELEVANCE HEALTH INC 0 0.03 % 384.422 K $
VICI PROPERTIES LP 0 0.03 % 382.941 K $
FOX CORP 0 0.03 % 394.068 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.03 % 383.516 K $
TARGA RESOURCES PARTNERS LP 0 0.03 % 384.907 K $
TEXAS INSTRUMENTS INC 0 0.03 % 385.968 K $
MCCORMICK & COMPANY INCORPORATED 0 0.03 % 383.568 K $
BANCO BILBAO VIZCAYA ARGENTARIA SA 0 0.03 % 384.560 K $
EDISON INTERNATIONAL 0 0.03 % 393.446 K $
CROWN CASTLE INC 0 0.03 % 388.633 K $
HUMANA INC 0 0.03 % 394.173 K $
VODAFONE GROUP PLC 0 0.03 % 382.317 K $
T-MOBILE USA INC 0 0.03 % 390.889 K $
BERRY GLOBAL INC 0 0.03 % 388.426 K $
CVS HEALTH CORP 0 0.03 % 389.714 K $
TOTALENERGIES CAPITAL SA 0 0.03 % 387.356 K $
UNITED PARCEL SERVICE INC 0 0.03 % 384.286 K $
CONNECTICUT LIGHT AND POWER COMPAN 0 0.03 % 381.642 K $
EQT CORP 0 0.03 % 382.643 K $
AMERICAN TOWER CORPORATION 0 0.03 % 392.624 K $
CITIGROUP INC 0 0.03 % 388.281 K $
FIRST AMERICAN FINANCIAL CORP 0 0.03 % 385.857 K $
BALTIMORE GAS AND ELECTRIC CO 0 0.03 % 393.087 K $
INTEL CORPORATION 0 0.029 % 381.197 K $
COMCAST CORPORATION 0 0.029 % 378.384 K $
GILEAD SCIENCES INC 0 0.029 % 369.972 K $
LOWES COMPANIES INC 0 0.029 % 378.766 K $
MARATHON PETROLEUM CORP 0 0.029 % 372.298 K $
ITC HOLDINGS CORP 0 0.029 % 369.353 K $
CDW LLC 0 0.029 % 370.004 K $
WELLS FARGO & CO 0 0.029 % 368.940 K $
DOW CHEMICAL CO 0 0.029 % 374.596 K $
S&P GLOBAL INC 0 0.029 % 378.525 K $
CITIGROUP INC 0 0.029 % 370.197 K $
KRAFT HEINZ FOODS CO 0 0.029 % 370.458 K $
CLOROX COMPANY 0 0.029 % 374.441 K $
HALLIBURTON COMPANY 0 0.029 % 376.480 K $
DEUTSCHE BANK AG (NEW YORK BRANCH) 0 0.029 % 376.549 K $
BORGWARNER INC 0 0.029 % 372.288 K $
ORACLE CORPORATION 0 0.029 % 373.401 K $
BARCLAYS PLC 0 0.029 % 377.578 K $
HOST HOTELS & RESORTS LP 0 0.029 % 370.951 K $
VERIZON COMMUNICATIONS INC 0 0.029 % 377.642 K $
NXP BV 0 0.029 % 369.590 K $
TAKEDA PHARMACEUTICAL CO LTD 0 0.029 % 374.050 K $
NOMURA HOLDINGS INC 0 0.029 % 379.536 K $
BROOKFIELD FINANCE INC 0 0.029 % 378.449 K $
BANK OF NOVA SCOTIA (FXD-FRN) MTN 0 0.029 % 380.181 K $
CENTERPOINT ENERGY HOUSTON ELECTRI 0 0.029 % 370.892 K $
KILROY REALTY LP 0 0.029 % 378.155 K $
AMERICAN ASSETS TRUST LP 0 0.029 % 372.980 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.029 % 377.836 K $
SANDS CHINA LTD 0 0.029 % 374.346 K $
HUNTINGTON INGALLS INDUSTRIES INC 0 0.029 % 372.792 K $
GOLDMAN SACHS GROUP INC/THE 0 0.029 % 375.048 K $
SIMON PROPERTY GROUP LP 0 0.029 % 377.081 K $
BROADCOM INC 0 0.029 % 379.325 K $
ING GROEP NV 0 0.029 % 378.225 K $
TRANSCANADA PIPELINES LTD 0 0.029 % 379.512 K $
ENERGY TRANSFER OPERATING LP 0 0.029 % 381.194 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.029 % 380.673 K $
JPMORGAN CHASE & CO 0 0.029 % 379.560 K $
PRUDENTIAL FINANCIAL INC MTN 0 0.029 % 378.779 K $
ELECTRONIC ARTS INC 0 0.029 % 374.599 K $
AMERICAN TOWER CORPORATION 0 0.028 % 364.910 K $
ELI LILLY AND COMPANY 0 0.028 % 361.158 K $
META PLATFORMS INC 0 0.028 % 366.262 K $
SEMPRA 0 0.028 % 362.168 K $
COCA-COLA CO 0 0.028 % 362.432 K $
CVS HEALTH CORP 0 0.028 % 361.246 K $
MORGAN STANLEY 0 0.028 % 363.804 K $
KELLANOVA 0 0.028 % 357.287 K $
AMERICAN EXPRESS COMPANY 0 0.028 % 366.747 K $
TIME WARNER CABLE LLC 0 0.028 % 357.265 K $
ORACLE CORPORATION 0 0.028 % 356.738 K $
MORGAN STANLEY 0 0.028 % 361.239 K $
DANAHER CORPORATION 0 0.028 % 362.868 K $
HALLIBURTON COMPANY 0 0.028 % 366.366 K $
FEDERAL REALTY OP LP 0 0.028 % 358.385 K $
TARGET CORPORATION 0 0.028 % 366.144 K $
HEWLETT PACKARD ENTERPRISE CO 0 0.028 % 366.347 K $
SEMPRA 0 0.028 % 364.667 K $
CITIGROUP INC 0 0.028 % 364.984 K $
NOV INC 0 0.028 % 367.004 K $
MEDTRONIC INC 0 0.028 % 362.515 K $
NOVARTIS CAPITAL CORP 0 0.028 % 366.503 K $
AMERICAN TOWER CORPORATION 0 0.028 % 358.539 K $
TARGA RESOURCES CORP 0 0.028 % 359.073 K $
VIATRIS INC 0 0.028 % 355.867 K $
CHENIERE CORPUS CHRISTI HOLDINGS L 0 0.028 % 357.625 K $
PROLOGIS LP 0 0.028 % 361.325 K $
AERCAP IRELAND CAPITAL DAC 0 0.028 % 365.383 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.028 % 367.488 K $
TIME WARNER CABLE LLC 0 0.028 % 360.963 K $
TARGET CORPORATION 0 0.028 % 366.114 K $
BARCLAYS PLC 0 0.028 % 359.998 K $
PACIFIC GAS & ELECTRIC UTILITIES 0 0.028 % 362.119 K $
CANADIAN NATIONAL RAILWAY COMPANY 0 0.028 % 366.139 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.028 % 360.910 K $
MORGAN STANLEY MTN 0 0.028 % 356.841 K $
AT&T INC 0 0.028 % 363.241 K $
BARCLAYS PLC 0 0.028 % 365.112 K $
DOW CHEMICAL CO 0 0.028 % 362.602 K $
TOLL BROTHERS FINANCE CORP. 0 0.028 % 361.881 K $
COMCAST CORPORATION 0 0.027 % 347.290 K $
BANK OF AMERICA CORP MTN 0 0.027 % 345.376 K $
ONEOK PARTNERS LP 0 0.027 % 344.452 K $
GILEAD SCIENCES INC 0 0.027 % 349.182 K $
AMERICAN TOWER CORPORATION 0 0.027 % 352.104 K $
ONEOK INC 0 0.027 % 350.502 K $
NISOURCE INC 0 0.027 % 346.230 K $
APPLE INC 0 0.027 % 354.167 K $
BROADCOM INC 0 0.027 % 354.537 K $
CITIGROUP INC 0 0.027 % 355.005 K $
FISERV INC 0 0.027 % 352.366 K $
PIEDMONT OPERATING PARTNERSHIP LP 0 0.027 % 351.997 K $
NATIONAL RURAL UTILITIES COOPERATI 0 0.027 % 343.203 K $
AMGEN INC 0 0.027 % 348.986 K $
CONOCOPHILLIPS CO 0 0.027 % 346.536 K $
JOHN DEERE CAPITAL CORP MTN 0 0.027 % 344.466 K $
VALERO ENERGY CORPORATION 0 0.027 % 342.710 K $
FIFTH THIRD BANCORP 0 0.027 % 354.890 K $
TORONTO-DOMINION BANK/THE MTN 0 0.027 % 344.305 K $
BANK OF AMERICA CORP MTN 0 0.027 % 343.546 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.027 % 348.714 K $
CONAGRA BRANDS INC 0 0.027 % 346.086 K $
EXELON CORPORATION 0 0.027 % 351.663 K $
CONOCOPHILLIPS CO 0 0.027 % 351.832 K $
CHOICE HOTELS INTERNATIONAL INC 0 0.027 % 343.047 K $
NISOURCE INC 0 0.027 % 346.399 K $
MERCK & CO INC 0 0.027 % 354.055 K $
BANK OF AMERICA CORP 0 0.027 % 352.458 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.027 % 352.534 K $
JPMORGAN CHASE & CO 0 0.027 % 343.039 K $
MPLX LP 0 0.027 % 348.380 K $
UNILEVER CAPITAL CORP 0 0.027 % 351.890 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.027 % 349.447 K $
PROCTER & GAMBLE CO 0 0.027 % 355.572 K $
COMCAST CORPORATION 0 0.027 % 349.397 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.027 % 346.922 K $
MCCORMICK & COMPANY INCORPORATED 0 0.027 % 350.763 K $
ELEVANCE HEALTH INC 0 0.027 % 349.917 K $
KROGER CO 0 0.027 % 342.848 K $
MICROSOFT CORPORATION 0 0.027 % 348.340 K $
EQUINIX INC 0 0.027 % 349.426 K $
LOWES COMPANIES INC 0 0.027 % 352.207 K $
VERIZON COMMUNICATIONS INC 0 0.027 % 350.423 K $
VERIZON COMMUNICATIONS INC 0 0.027 % 345.725 K $
ASSURANT INC 0 0.027 % 353.416 K $
CVS HEALTH CORP 0 0.027 % 348.502 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.027 % 342.816 K $
ORACLE CORPORATION 0 0.027 % 352.345 K $
PRUDENTIAL FINANCIAL INC 0 0.026 % 330.174 K $
MPLX LP 0 0.026 % 331.953 K $
HOME DEPOT INC 0 0.026 % 330.918 K $
KENVUE INC 0 0.026 % 335.848 K $
WESTERN DIGITAL CORPORATION 0 0.026 % 337.739 K $
OVINTIV INC 0 0.026 % 334.734 K $
SANTANDER HOLDINGS USA INC 0 0.026 % 337.998 K $
BARCLAYS PLC 0 0.026 % 336.929 K $
LLOYDS BANKING GROUP PLC 0 0.026 % 332.075 K $
SPRINT CAPITAL CORPORATION 0 0.026 % 333.690 K $
KINDER MORGAN INC 0 0.026 % 341.313 K $
EXXON MOBIL CORP 0 0.026 % 337.805 K $
KIMBERLY-CLARK CORPORATION 0 0.026 % 335.105 K $
COCA-COLA CO 0 0.026 % 338.388 K $
JOHN DEERE CAPITAL CORP MTN 0 0.026 % 339.993 K $
AMAZON.COM INC 0 0.026 % 334.491 K $
GENERAL MOTORS CO 0 0.026 % 332.646 K $
EDISON INTERNATIONAL 0 0.026 % 340.429 K $
APTIV SWISS HOLDINGS LTD 0 0.026 % 334.387 K $
GOLDMAN SACHS GROUP INC/THE 0 0.026 % 330.611 K $
BROADCOM INC 144A 0 0.026 % 342.331 K $
PHILLIPS 66 CO 0 0.026 % 342.051 K $
JPMORGAN CHASE & CO 0 0.026 % 338.951 K $
ENTERGY LOUISIANA LLC 0 0.026 % 330.723 K $
PUBLIC SERVICE COMPANY OF NEW HAMP 0 0.026 % 338.933 K $
TRUIST FINANCIAL CORP MTN 0 0.026 % 337.077 K $
TELEFONICA EMISIONES SAU 0 0.026 % 333.506 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.026 % 331.385 K $
APTIV SWISS HOLDINGS LTD 0 0.026 % 333.637 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.026 % 330.917 K $
UNION PACIFIC CORPORATION 0 0.026 % 340.179 K $
PNC FINANCIAL SERVICES GROUP INC ( 0 0.026 % 334.572 K $
ENTERGY TEXAS INC 0 0.026 % 338.412 K $
WILLIAMS COMPANIES INC 0 0.026 % 330.857 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.026 % 336.792 K $
ORACLE CORPORATION 0 0.026 % 332.394 K $
COCA-COLA CO 0 0.026 % 339.255 K $
HSBC HOLDINGS PLC 0 0.026 % 331.283 K $
EVERSOURCE ENERGY 0 0.026 % 333.541 K $
JPMORGAN CHASE & CO 0 0.026 % 330.560 K $
MORGAN STANLEY MTN 0 0.026 % 336.276 K $
WEYERHAEUSER COMPANY 0 0.026 % 332.957 K $
HCA INC 0 0.026 % 331.027 K $
HONDA MOTOR CO LTD 0 0.026 % 331.990 K $
NORFOLK SOUTHERN CORPORATION 0 0.026 % 337.531 K $
OWENS CORNING 0 0.026 % 335.436 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.026 % 332.653 K $
VERIZON COMMUNICATIONS INC 0 0.026 % 336.861 K $
UNITED PARCEL SERVICE INC 0 0.026 % 340.575 K $
CITIGROUP INC 0 0.026 % 331.103 K $
TORONTO-DOMINION BANK/THE MTN 0 0.026 % 337.291 K $
INTEL CORPORATION 0 0.026 % 337.647 K $
JPMORGAN CHASE & CO 0 0.026 % 334.037 K $
ENBRIDGE INC 0 0.026 % 340.842 K $
CIGNA GROUP 0 0.026 % 336.643 K $
VERIZON COMMUNICATIONS INC 0 0.026 % 338.352 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.025 % 321.961 K $
AMAZON.COM INC 0 0.025 % 329.251 K $
HSBC BANK USA NA MTN 0 0.025 % 320.802 K $
WELLTOWER OP LLC 0 0.025 % 325.291 K $
CONOCOPHILLIPS CO 0 0.025 % 325.774 K $
APPLE INC 0 0.025 % 326.658 K $
UNITEDHEALTH GROUP INC 0 0.025 % 318.005 K $
AERCAP IRELAND CAPITAL DAC / AERCA 0 0.025 % 329.209 K $
3M CO 0 0.025 % 329.423 K $
WW GRAINGER INC 0 0.025 % 328.335 K $
NXP BV 0 0.025 % 318.739 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.025 % 319.386 K $
AMGEN INC 0 0.025 % 316.897 K $
BANK OF AMERICA CORP 0 0.025 % 327.572 K $
ING GROEP NV 0 0.025 % 321.020 K $
BAXTER INTERNATIONAL INC 0 0.025 % 324.515 K $
HSBC HOLDINGS PLC 0 0.025 % 328.689 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.025 % 317.642 K $
MORGAN STANLEY MTN 0 0.025 % 323.051 K $
WESTERN UNION CO/THE 0 0.025 % 322.714 K $
MARATHON PETROLEUM CORP 0 0.025 % 322.833 K $
CONOCOPHILLIPS CO 0 0.025 % 322.486 K $
RYDER SYSTEM INC MTN 0 0.025 % 317.410 K $
TIME WARNER CABLE LLC 0 0.025 % 324.146 K $
WELLS FARGO & COMPANY 0 0.025 % 321.668 K $
BANCO SANTANDER SA 0 0.025 % 318.500 K $
HONEYWELL INTERNATIONAL INC 0 0.025 % 316.833 K $
HALLIBURTON COMPANY 0 0.025 % 324.078 K $
HOME DEPOT INC 0 0.025 % 327.157 K $
DELL INTERNATIONAL LLC 0 0.025 % 326.593 K $
UNILEVER CAPITAL CORP 0 0.025 % 329.137 K $
ABBVIE INC 0 0.025 % 323.755 K $
MERCK & CO INC 0 0.025 % 329.601 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.025 % 323.531 K $
CITIGROUP INC 0 0.025 % 319.654 K $
DEUTSCHE BANK AG (NEW YORK BRANCH) 0 0.025 % 319.601 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.025 % 327.168 K $
AMRIZE FINANCE US LLC 144A 0 0.025 % 328.677 K $
UNITEDHEALTH GROUP INC 0 0.025 % 316.836 K $
BANK OF AMERICA CORP MTN 0 0.025 % 323.215 K $
ELECTRONIC ARTS INC 0 0.025 % 326.342 K $
HSBC HOLDINGS PLC 0 0.025 % 317.532 K $
EXXON MOBIL CORP 0 0.025 % 323.933 K $
DUPONT DE NEMOURS INC 0 0.025 % 328.615 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC MTN 0 0.025 % 323.620 K $
ANGLOGOLD ASHANTI HOLDINGS PLC 0 0.025 % 323.763 K $
SUZANO AUSTRIA GMBH 0 0.025 % 327.751 K $
TARGET CORPORATION 0 0.025 % 323.343 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.025 % 324.657 K $
UNITEDHEALTH GROUP INC 0 0.025 % 325.430 K $
CANADIAN NATIONAL RAILWAY COMPANY 0 0.025 % 327.064 K $
PUBLIC SERVICE ENTERPRISE GROUP IN 0 0.025 % 326.751 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC 0 0.025 % 320.150 K $
BERKSHIRE HATHAWAY FINANCE CORP 0 0.025 % 318.853 K $
CDW LLC 0 0.025 % 326.595 K $
SYNOPSYS INC 0 0.025 % 329.454 K $
VERIZON COMMUNICATIONS INC 0 0.025 % 329.358 K $
UNILEVER CAPITAL CORP 0 0.024 % 309.264 K $
MORGAN STANLEY MTN 0 0.024 % 306.206 K $
PECO ENERGY CO 0 0.024 % 303.900 K $
KRAFT HEINZ FOODS CO 0 0.024 % 304.390 K $
SANTANDER UK GROUP HOLDINGS PLC 0 0.024 % 313.050 K $
ROGERS COMMUNICATIONS INC 0 0.024 % 309.086 K $
BANK OF AMERICA CORP MTN 0 0.024 % 313.789 K $
COMCAST CORPORATION 0 0.024 % 310.901 K $
MORGAN STANLEY MTN 0 0.024 % 307.523 K $
TIME WARNER CABLE ENTERPRISES LLC 0 0.024 % 306.742 K $
UNITEDHEALTH GROUP INC 0 0.024 % 308.510 K $
FLORIDA POWER & LIGHT CO 0 0.024 % 314.141 K $
VODAFONE GROUP PLC 0 0.024 % 313.349 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.024 % 312.000 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.024 % 305.835 K $
VERIZON COMMUNICATIONS INC 0 0.024 % 308.286 K $
PPL ELECTRIC UTILITIES CORPORATION 0 0.024 % 314.751 K $
STERIS IRISH FINCO UNLIMITED CO 0 0.024 % 303.990 K $
ALLY FINANCIAL INC 0 0.024 % 308.814 K $
INTERPUBLIC GROUP OF COMPANIES INC 0 0.024 % 309.967 K $
HONEYWELL INTERNATIONAL INC 0 0.024 % 310.320 K $
ASTRAZENECA PLC 0 0.024 % 312.260 K $
TAKEDA PHARMACEUTICAL CO LTD 0 0.024 % 308.447 K $
CROWN CASTLE INC 0 0.024 % 309.819 K $
AT&T INC 0 0.024 % 304.460 K $
BANK OF NEW YORK MELLON CORP/THE MTN 0 0.024 % 304.385 K $
TARGA RESOURCES PARTNERS LP 0 0.024 % 305.378 K $
TRUIST FINANCIAL CORP MTN 0 0.024 % 313.118 K $
KELLANOVA 0 0.024 % 307.585 K $
CANADIAN NATIONAL RAILWAY COMPANY 0 0.024 % 316.605 K $
HCA INC 0 0.024 % 314.386 K $
BANK OF NOVA SCOTIA MTN 0 0.024 % 306.963 K $
CITIGROUP INC 0 0.024 % 313.288 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.024 % 306.870 K $
AUTONATION INC 0 0.024 % 307.462 K $
JPMORGAN CHASE & CO 0 0.024 % 316.194 K $
PHILLIPS 66 0 0.024 % 314.281 K $
HEWLETT PACKARD ENTERPRISE CO 0 0.024 % 314.441 K $
GILEAD SCIENCES INC 0 0.024 % 312.799 K $
NORFOLK SOUTHERN CORPORATION 0 0.024 % 312.540 K $
NUCOR CORPORATION 0 0.024 % 311.403 K $
HOME DEPOT INC 0 0.024 % 308.225 K $
AON NORTH AMERICA INC 0 0.024 % 309.813 K $
TRAVELERS COMPANIES INC MTN 0 0.024 % 305.291 K $
BRISTOL-MYERS SQUIBB CO 0 0.024 % 314.638 K $
LLOYDS BANKING GROUP PLC 0 0.024 % 314.608 K $
PECO ENERGY CO 0 0.024 % 310.504 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.024 % 305.978 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.024 % 309.668 K $
BALTIMORE GAS AND ELECTRIC CO 0 0.024 % 314.042 K $
UNITEDHEALTH GROUP INC 0 0.024 % 304.998 K $
US BANCORP MTN 0 0.024 % 306.178 K $
PROLOGIS LP 0 0.024 % 305.178 K $
AMERICAN TOWER CORPORATION 0 0.024 % 305.699 K $
BANK OF AMERICA CORP 0 0.024 % 315.116 K $
DEUTSCHE BANK AG (NEW YORK BRANCH) 0 0.024 % 308.580 K $
IQVIA INC 0 0.024 % 316.027 K $
SEMPRA 0 0.024 % 315.148 K $
TSMC ARIZONA CORP 0 0.024 % 304.196 K $
HUMANA INC 0 0.024 % 313.588 K $
SAN DIEGO GAS & ELECTRIC CO 0 0.024 % 306.063 K $
GILEAD SCIENCES INC 0 0.024 % 315.573 K $
MARSH & MCLENNAN COMPANIES INC 0 0.024 % 308.408 K $
LYONDELLBASELL INDUSTRIES NV 0 0.024 % 311.618 K $
HOST HOTELS & RESORTS LP 0 0.024 % 316.105 K $
HSBC HOLDINGS PLC 0 0.024 % 306.615 K $
WESTPAC BANKING CORP 0 0.024 % 306.183 K $
GOLDMAN SACHS GROUP INC (FXD-FRN) 0 0.024 % 309.079 K $
CONAGRA BRANDS INC 0 0.024 % 308.569 K $
TRAVELERS COMPANIES INC 0 0.024 % 304.887 K $
CAMPBELLS CO 0 0.024 % 304.457 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.024 % 311.757 K $
PRUDENTIAL FINANCIAL INC MTN 0 0.024 % 304.138 K $
AMERICAN HONDA FINANCE CORPORATION MTN 0 0.024 % 315.891 K $
ALEXANDRIA REAL ESTATE EQUITIES IN 0 0.023 % 298.444 K $
MERCK & CO INC 0 0.023 % 294.064 K $
AMERICAN WATER CAPITAL CORP 0 0.023 % 292.808 K $
CARRIER GLOBAL CORP 0 0.023 % 303.350 K $
INTERCONTINENTAL EXCHANGE INC 0 0.023 % 293.750 K $
PFIZER INC 0 0.023 % 296.177 K $
CHENIERE ENERGY PARTNERS LP 0 0.023 % 293.191 K $
KINDER MORGAN INC 0 0.023 % 302.893 K $
HOME DEPOT INC 0 0.023 % 296.140 K $
LOWES COMPANIES INC 0 0.023 % 300.567 K $
AVALONBAY COMMUNITIES INC 0 0.023 % 301.724 K $
CUMMINS INC 0 0.023 % 295.284 K $
EBAY INC 0 0.023 % 296.591 K $
NOMURA HOLDINGS INC 0 0.023 % 294.208 K $
TORONTO-DOMINION BANK/THE MTN 0 0.023 % 300.402 K $
EXXON MOBIL CORP 0 0.023 % 294.951 K $
AERCAP IRELAND CAPITAL DAC 0 0.023 % 294.567 K $
HSBC BANK USA NA MTN 0 0.023 % 298.255 K $
WALT DISNEY CO 0 0.023 % 303.307 K $
ROYAL BANK OF CANADA MTN 0 0.023 % 291.662 K $
VODAFONE GROUP PLC 0 0.023 % 302.494 K $
JPMORGAN CHASE & CO 0 0.023 % 302.531 K $
GOLDMAN SACHS GROUP INC/THE 0 0.023 % 298.270 K $
PRUDENTIAL FINANCIAL INC 0 0.023 % 298.002 K $
PHILLIPS 66 0 0.023 % 299.559 K $
COMMONWEALTH EDISON COMPANY 0 0.023 % 293.622 K $
LEGG MASON INC 0 0.023 % 291.100 K $
OCCIDENTAL PETROLEUM CORPORATION 0 0.023 % 296.146 K $
AVERY DENNISON CORPORATION 0 0.023 % 297.092 K $
BARCLAYS PLC 0 0.023 % 298.815 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.023 % 302.459 K $
SALESFORCE INC 0 0.023 % 292.878 K $
OHIO POWER CO 0 0.023 % 291.639 K $
LOWES COMPANIES INC 0 0.023 % 301.068 K $
BOSTON SCIENTIFIC CORPORATION 0 0.023 % 292.740 K $
FLOWSERVE CORPORATION 0 0.023 % 296.627 K $
BP CAPITAL MARKETS AMERICA INC 0 0.023 % 299.272 K $
AMAZON.COM INC 0 0.023 % 296.147 K $
PROLOGIS LP 0 0.023 % 297.110 K $
MPLX LP 0 0.023 % 292.001 K $
KROGER CO 0 0.023 % 303.709 K $
CANADIAN IMPERIAL BANK OF COMMERCE 0 0.023 % 298.940 K $
GATX CORPORATION 0 0.023 % 299.445 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.023 % 301.877 K $
WELLS FARGO & COMPANY MTN 0 0.023 % 294.472 K $
HCA INC 0 0.023 % 292.416 K $
LLOYDS BANKING GROUP PLC 0 0.023 % 294.664 K $
DEERE & CO 0 0.023 % 298.919 K $
AON CORP 0 0.023 % 301.873 K $
LOWES COMPANIES INC 0 0.023 % 302.851 K $
BRISTOL-MYERS SQUIBB CO 0 0.023 % 291.244 K $
TRAVELERS PROPERTY CASUALTY CORP 0 0.023 % 298.483 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.023 % 296.489 K $
LOWES COMPANIES INC 0 0.023 % 301.275 K $
CHURCH & DWIGHT CO INC 0 0.023 % 301.518 K $
WELLS FARGO & COMPANY MTN 0 0.023 % 298.690 K $
PRUDENTIAL FINANCIAL INC MTN 0 0.023 % 297.609 K $
CAPITAL ONE NA 0 0.023 % 292.498 K $
CIGNA GROUP 0 0.023 % 294.253 K $
COMCAST CORPORATION 0 0.023 % 301.047 K $
BANK OF AMERICA CORP MTN 0 0.023 % 294.224 K $
US BANCORP MTN 0 0.023 % 296.006 K $
OMEGA HEALTHCARE INVESTORS INC 0 0.023 % 297.159 K $
HCA INC 0 0.023 % 302.870 K $
ONEOK PARTNERS LP 0 0.023 % 299.513 K $
DH EUROPE FINANCE II SARL 0 0.023 % 300.767 K $
BURLINGTON RESOURCES LLC 0 0.023 % 301.217 K $
OVINTIV INC 0 0.023 % 299.815 K $
BROADCOM INC 0 0.023 % 303.680 K $
LOWES COMPANIES INC 0 0.023 % 300.942 K $
CROWN CASTLE INC 0 0.023 % 295.811 K $
FREEPORT-MCMORAN INC 0 0.023 % 301.807 K $
PECO ENERGY CO 0 0.023 % 291.656 K $
WESTERN MIDSTREAM OPERATING LP 0 0.023 % 301.380 K $
BECTON DICKINSON AND COMPANY 0 0.023 % 293.411 K $
MORGAN STANLEY MTN 0 0.023 % 291.869 K $
HSBC BANK USA NA 0 0.023 % 296.511 K $
INTERCONTINENTAL EXCHANGE INC 0 0.023 % 294.955 K $
LOWES COMPANIES INC 0 0.023 % 300.394 K $
BROADCOM INC 0 0.023 % 293.516 K $
GOLDMAN SACHS GROUP INC/THE FX-FRN 0 0.023 % 300.429 K $
TC PIPELINES LP 0 0.022 % 289.321 K $
RIO TINTO FINANCE (USA) PLC 0 0.022 % 279.164 K $
NISOURCE INC 0 0.022 % 286.560 K $
NSTAR ELECTRIC CO 0 0.022 % 290.182 K $
ALLSTATE CORPORATION (THE) 0 0.022 % 285.322 K $
JOHNSON & JOHNSON 0 0.022 % 288.166 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.022 % 290.154 K $
AMERICAN TOWER CORPORATION 0 0.022 % 289.580 K $
ENEL CHILE SA 0 0.022 % 289.420 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.022 % 278.260 K $
MIZUHO FINANCIAL GROUP INC 0 0.022 % 284.217 K $
INTEL CORPORATION 0 0.022 % 284.598 K $
SANTANDER HOLDINGS USA INC 0 0.022 % 289.961 K $
APPLE INC 0 0.022 % 289.292 K $
AMERICAN TOWER CORPORATION 0 0.022 % 278.419 K $
TORONTO-DOMINION BANK/THE MTN 0 0.022 % 281.978 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.022 % 284.386 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.022 % 280.516 K $
HONEYWELL INTERNATIONAL INC 0 0.022 % 284.745 K $
FLORIDA POWER & LIGHT CO 0 0.022 % 281.073 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.022 % 287.473 K $
CSX CORP 0 0.022 % 285.664 K $
INTERCONTINENTAL EXCHANGE INC 0 0.022 % 281.583 K $
CNO FINANCIAL GROUP INC 0 0.022 % 282.824 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.022 % 285.801 K $
HSBC HOLDINGS PLC 0 0.022 % 282.682 K $
MIZUHO FINANCIAL GROUP INC 0 0.022 % 281.425 K $
EXELON CORPORATION 0 0.022 % 283.463 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.022 % 285.440 K $
KROGER CO 0 0.022 % 280.853 K $
HUNTINGTON INGALLS INDUSTRIES INC 0 0.022 % 279.659 K $
KINDER MORGAN INC 0 0.022 % 279.864 K $
REALTY INCOME CORPORATION 0 0.022 % 282.688 K $
TARGA RESOURCES CORP 0 0.022 % 285.610 K $
MCDONALDS CORPORATION MTN 0 0.022 % 279.124 K $
AT&T INC 0 0.022 % 283.547 K $
APPLIED MATERIALS INC 0 0.022 % 283.672 K $
AT&T INC 0 0.022 % 289.414 K $
BANK OF AMERICA CORP MTN 0 0.022 % 285.879 K $
GE HEALTHCARE TECHNOLOGIES INC 0 0.022 % 284.696 K $
PNC FINANCIAL SERVICES GROUP INC ( 0 0.022 % 283.661 K $
COLGATE-PALMOLIVE CO MTN 0 0.022 % 280.048 K $
ENERGY TRANSFER LP 0 0.022 % 289.893 K $
MICROSOFT CORPORATION 0 0.022 % 287.598 K $
CIGNA GROUP 0 0.022 % 280.456 K $
BRISTOL-MYERS SQUIBB CO 0 0.022 % 280.983 K $
UNITEDHEALTH GROUP INC 0 0.022 % 284.573 K $
TOTALENERGIES CAPITAL SA 0 0.022 % 288.076 K $
CSX CORP 0 0.022 % 281.308 K $
AMERICAN TOWER CORPORATION 0 0.022 % 281.624 K $
SHELL FINANCE US INC 0 0.022 % 281.515 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.022 % 289.278 K $
LLOYDS BANKING GROUP PLC 0 0.022 % 286.160 K $
TRANE TECHNOLOGIES HOLDCO INC 0 0.022 % 278.823 K $
PNC FINANCIAL SERVICES GROUP INC ( 0 0.022 % 281.760 K $
NSTAR ELECTRIC CO 0 0.022 % 287.055 K $
WALT DISNEY CO 0 0.022 % 290.864 K $
TSMC ARIZONA CORP 0 0.022 % 288.028 K $
BRISTOL-MYERS SQUIBB CO 0 0.022 % 282.720 K $
HUMANA INC 0 0.022 % 287.513 K $
EQUITABLE HOLDINGS INC 0 0.022 % 289.834 K $
INTEL CORPORATION 0 0.022 % 283.114 K $
CROWN CASTLE INC 0 0.022 % 284.856 K $
COMCAST CORPORATION 0 0.022 % 283.825 K $
BANK OF AMERICA NA 0 0.022 % 283.914 K $
GENERAL MOTORS CO 0 0.022 % 290.430 K $
MERCK & CO INC 0 0.022 % 284.567 K $
APPLIED MATERIALS INC 0 0.022 % 290.390 K $
KROGER CO 0 0.022 % 279.656 K $
BANK OF AMERICA CORP MTN 0 0.022 % 280.609 K $
TARGA RESOURCES PARTNERS LP 0 0.022 % 284.755 K $
BROADCOM INC 0 0.022 % 288.461 K $
PFIZER INC 0 0.022 % 283.931 K $
AVERY DENNISON CORPORATION 0 0.022 % 290.599 K $
NATIONAL BANK OF CANADA MTN 0 0.022 % 281.220 K $
HOME DEPOT INC 0 0.022 % 284.540 K $
BANK OF AMERICA CORP MTN 0 0.022 % 290.628 K $
AERCAP IRELAND CAPITAL LTD / AERCA 0 0.022 % 290.437 K $
BANK OF AMERICA CORP 0 0.022 % 280.657 K $
NATWEST GROUP PLC 0 0.022 % 283.903 K $
REGIONS BANK MTN 0 0.022 % 283.895 K $
HSBC HOLDINGS PLC 0 0.022 % 282.625 K $
AVNET INC 0 0.022 % 281.520 K $
UNION PACIFIC CORPORATION 0 0.022 % 287.573 K $
KINROSS GOLD CORP 0 0.022 % 283.037 K $
KILROY REALTY LP 0 0.022 % 281.620 K $
BANCO SANTANDER SA 0 0.022 % 285.633 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.022 % 287.839 K $
HONEYWELL INTERNATIONAL INC 0 0.022 % 286.123 K $
CONNECTICUT LIGHT AND POWER COMPAN 0 0.022 % 289.127 K $
AMERICAN TOWER CORPORATION 0 0.022 % 286.828 K $
APPLE INC 0 0.021 % 269.340 K $
ING GROEP NV 0 0.021 % 275.448 K $
JPMORGAN CHASE & CO 0 0.021 % 271.767 K $
ALIBABA GROUP HOLDING LTD 0 0.021 % 266.206 K $
PARAMOUNT GLOBAL 0 0.021 % 273.607 K $
FIRST HORIZON BANK (MEMPHIS) 0 0.021 % 266.824 K $
AT&T INC 0 0.021 % 266.335 K $
TOLEDO EDISON CO (THE) 0 0.021 % 277.430 K $
CENCORA INC 0 0.021 % 273.404 K $
SPIRE MISSOURI INC 0 0.021 % 278.016 K $
BANK OF NEW YORK MELLON CORP/THE MTN 0 0.021 % 271.171 K $
INTEL CORPORATION 0 0.021 % 273.056 K $
FEDEX CORP 0 0.021 % 269.501 K $
TORONTO-DOMINION BANK/THE MTN 0 0.021 % 265.209 K $
WELLTOWER OP LLC 0 0.021 % 267.882 K $
CITIGROUP INC 0 0.021 % 274.083 K $
AMGEN INC 0 0.021 % 271.673 K $
ELEVANCE HEALTH INC 0 0.021 % 269.649 K $
BANK OF AMERICA CORP 0 0.021 % 265.262 K $
BLOCK FINANCIAL LLC 0 0.021 % 267.804 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.021 % 271.321 K $
AT&T INC 0 0.021 % 269.620 K $
GENERAL MILLS INC 0 0.021 % 265.612 K $
TYSON FOODS INC 0 0.021 % 265.771 K $
WASHINGTON GAS LIGHT COMPANY 0 0.021 % 267.642 K $
NUCOR CORP 0 0.021 % 275.437 K $
MEAD JOHNSON NUTRITION CO 0 0.021 % 271.746 K $
BARCLAYS PLC 0 0.021 % 276.888 K $
BANK OF AMERICA CORP MTN 0 0.021 % 269.159 K $
LOWES COMPANIES INC 0 0.021 % 267.516 K $
CITIGROUP INC 0 0.021 % 271.416 K $
HONEYWELL INTERNATIONAL INC 0 0.021 % 274.555 K $
CIGNA GROUP 0 0.021 % 276.873 K $
COMCAST CORPORATION 0 0.021 % 273.448 K $
DEVON ENERGY CORP 0 0.021 % 272.025 K $
BHP BILLITON FINANCE (USA) LTD 0 0.021 % 269.183 K $
CENTENE CORPORATION 0 0.021 % 274.558 K $
UNITED PARCEL SERVICE INC 0 0.021 % 269.841 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.021 % 270.717 K $
CBRE SERVICES INC 0 0.021 % 267.369 K $
TARGET CORPORATION 0 0.021 % 265.573 K $
MARRIOTT INTERNATIONAL INC 0 0.021 % 270.401 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.021 % 269.293 K $
AMGEN INC 0 0.021 % 269.709 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.021 % 273.835 K $
BALTIMORE GAS AND ELECTRIC CO 0 0.021 % 274.083 K $
CANADIAN NATIONAL RAILWAY COMPANY 0 0.021 % 274.699 K $
MICROSOFT CORPORATION 0 0.021 % 274.959 K $
PRUDENTIAL FINANCIAL INC 0 0.021 % 277.708 K $
HSBC HOLDINGS PLC 0 0.021 % 272.198 K $
LEAR CORPORATION 0 0.021 % 267.900 K $
HOME DEPOT INC 0 0.021 % 265.207 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC 0 0.021 % 271.900 K $
SOUTHERN COPPER CORP 0 0.021 % 272.671 K $
COCA-COLA CO 0 0.021 % 277.561 K $
SHELL FINANCE US INC 0 0.021 % 275.324 K $
HSBC HOLDINGS PLC 0 0.021 % 277.638 K $
COCA-COLA CO 0 0.021 % 268.766 K $
VICI PROPERTIES LP 0 0.021 % 265.443 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.021 % 270.262 K $
WILLIS NORTH AMERICA INC 0 0.021 % 269.565 K $
ELEVANCE HEALTH INC 0 0.021 % 267.639 K $
UNITEDHEALTH GROUP INC 0 0.021 % 265.166 K $
ELEVANCE HEALTH INC 0 0.021 % 265.728 K $
STARBUCKS CORPORATION 0 0.021 % 268.189 K $
ELEVANCE HEALTH INC 0 0.021 % 265.749 K $
CENTERPOINT ENERGY HOUSTON ELECTRI 0 0.021 % 276.016 K $
FAIRFAX FINANCIAL HOLDINGS LTD 144A 0 0.021 % 274.449 K $
DELL INTERNATIONAL LLC 0 0.021 % 277.840 K $
TAMPA ELECTRIC COMPANY 0 0.021 % 268.707 K $
PNC FINANCIAL SERVICES GROUP INC ( 0 0.021 % 266.681 K $
EQT CORP 0 0.021 % 269.200 K $
CORNING INC 0 0.021 % 273.208 K $
WASTE MANAGEMENT INC 0 0.021 % 266.397 K $
PEPSICO INC 0 0.021 % 276.589 K $
UNITEDHEALTH GROUP INC 0 0.021 % 270.141 K $
CONOCOPHILLIPS 0 0.021 % 276.282 K $
SMURFIT KAPPA TREASURY UNLIMITED C 0 0.021 % 275.881 K $
AHOLD FINANCE USA LLC 0 0.021 % 267.767 K $
METLIFE INC 0 0.02 % 262.425 K $
CARDINAL HEALTH INC 0 0.02 % 262.578 K $
MCCORMICK & COMPANY INCORPORATED 0 0.02 % 261.992 K $
UBS AG (STAMFORD BRANCH) 0 0.02 % 255.805 K $
ELEVANCE HEALTH INC 0 0.02 % 254.831 K $
ESSENTIAL UTILITIES INC 0 0.02 % 261.881 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.02 % 255.401 K $
MANULIFE FINANCIAL CORP 0 0.02 % 258.318 K $
CHARLES SCHWAB CORPORATION (THE) 0 0.02 % 254.315 K $
TORONTO-DOMINION BANK/THE MTN 0 0.02 % 260.749 K $
VERIZON COMMUNICATIONS INC 0 0.02 % 258.654 K $
RAYMOND JAMES FINANCIAL INC. 0 0.02 % 252.717 K $
NORFOLK SOUTHERN CORPORATION 0 0.02 % 255.997 K $
RELX CAPITAL INC 0 0.02 % 261.686 K $
KRAFT HEINZ FOODS CO 0 0.02 % 252.258 K $
INTEL CORPORATION 0 0.02 % 253.346 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.02 % 253.082 K $
CENTENE CORPORATION 0 0.02 % 257.382 K $
COMMONWEALTH EDISON COMPANY 0 0.02 % 255.978 K $
LASMO USA INC 0 0.02 % 256.850 K $
EXELON CORPORATION 0 0.02 % 258.461 K $
BP CAPITAL MARKETS AMERICA INC 0 0.02 % 259.200 K $
SIMON PROPERTY GROUP LP 0 0.02 % 257.797 K $
REPUBLIC SERVICES INC 0 0.02 % 252.299 K $
WEYERHAEUSER COMPANY 0 0.02 % 259.660 K $
GOLDMAN SACHS GROUP INC/THE 0 0.02 % 253.192 K $
METLIFE INC 0 0.02 % 257.911 K $
CIGNA GROUP 0 0.02 % 260.143 K $
LOWES COMPANIES INC 0 0.02 % 252.906 K $
EVERSOURCE ENERGY 0 0.02 % 260.905 K $
GENERAL MOTORS FINANCIAL COMPANY I 0 0.02 % 258.167 K $
GOLDMAN SACHS GROUP INC/THE 0 0.02 % 256.068 K $
JPMORGAN CHASE & CO 0 0.02 % 259.484 K $
ROGERS COMMUNICATIONS INC 0 0.02 % 254.513 K $
DH EUROPE FINANCE II SARL 0 0.02 % 260.360 K $
PNC BANK NA (FXD) MTN 0 0.02 % 254.363 K $
MICROSOFT CORPORATION 0 0.02 % 260.226 K $
WASTE CONNECTIONS INC 0 0.02 % 262.172 K $
KEURIG DR PEPPER INC 0 0.02 % 259.256 K $
TSMC ARIZONA CORP 0 0.02 % 253.534 K $
GOLDMAN SACHS GROUP INC/THE 0 0.02 % 253.618 K $
INTEL CORPORATION 0 0.02 % 258.306 K $
GENERAL MOTORS FINANCIAL COMPANY I 0 0.02 % 259.670 K $
PARAMOUNT GLOBAL 0 0.02 % 263.744 K $
PPL ELECTRIC UTILITIES CORPORATION 0 0.02 % 258.078 K $
TIME WARNER CABLE LLC 0 0.02 % 260.015 K $
ONEOK INC 0 0.02 % 264.827 K $
COOPERATIEVE RABOBANK UA 0 0.02 % 255.146 K $
UNITEDHEALTH GROUP INC 0 0.02 % 260.792 K $
PARAMOUNT GLOBAL 0 0.02 % 262.487 K $
AT&T INC 0 0.02 % 259.014 K $
AMERICA MOVIL SAB DE CV 0 0.02 % 253.448 K $
NXP BV 0 0.02 % 260.471 K $
THERMO FISHER SCIENTIFIC INC 0 0.02 % 262.792 K $
BRISTOL-MYERS SQUIBB CO 0 0.02 % 256.105 K $
SPECTRA ENERGY PARTNERS LP 0 0.02 % 262.728 K $
FREEPORT-MCMORAN INC 0 0.02 % 254.830 K $
S&P GLOBAL INC 0 0.02 % 264.416 K $
WW GRAINGER INC 0 0.02 % 261.316 K $
EXELON CORPORATION 0 0.02 % 263.067 K $
OVINTIV INC 0 0.02 % 259.182 K $
NEXTERA ENERGY CAPITAL HOLDINGS IN 0 0.02 % 264.987 K $
VENTAS REALTY LP 0 0.02 % 264.991 K $
ELEVANCE HEALTH INC 0 0.02 % 254.966 K $
CRH AMERICA FINANCE INC 0 0.02 % 254.543 K $
NATIONAL RURAL UTILITIES COOPERATI MTN 0 0.02 % 256.539 K $
HALLIBURTON COMPANY 0 0.02 % 259.322 K $
BANK OF AMERICA CORP MTN 0 0.02 % 255.955 K $
ADOBE INC 0 0.02 % 264.484 K $
BALTIMORE GAS AND ELECTRIC CO 0 0.02 % 258.897 K $
DELL INC 0 0.02 % 257.816 K $
AETNA INC 0 0.02 % 255.896 K $
T-MOBILE USA INC 0 0.02 % 256.353 K $
NXP BV 0 0.02 % 261.429 K $
BANK OF AMERICA CORP 0 0.02 % 253.414 K $
ONEOK PARTNERS LP 0 0.02 % 252.170 K $
AMERICAN EXPRESS COMPANY 0 0.02 % 259.338 K $
BANCO BILBAO VIZCAYA ARGENTARIA SA 0 0.02 % 259.029 K $
EQUINIX INC 0 0.02 % 256.559 K $
WEYERHAEUSER COMPANY 0 0.02 % 253.272 K $
COMMONWEALTH EDISON COMPANY 0 0.02 % 261.047 K $
KRAFT HEINZ FOODS CO 0 0.02 % 257.438 K $
EDISON INTERNATIONAL 0 0.02 % 257.001 K $
CANADIAN NATIONAL RAILWAY COMPANY 0 0.02 % 252.935 K $
CITIGROUP INC 0 0.02 % 252.869 K $
RIO TINTO ALCAN INC 0 0.02 % 256.523 K $
GOLDMAN SACHS GROUP INC/THE 0 0.02 % 264.557 K $
WELLTOWER OP LLC 0 0.02 % 264.376 K $
ELEVANCE HEALTH INC 0 0.02 % 254.767 K $
LOWES COMPANIES INC 0 0.02 % 261.606 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.02 % 257.060 K $
BERKSHIRE HATHAWAY FINANCE CORP 0 0.02 % 254.569 K $
TAPESTRY INC 0 0.02 % 253.541 K $
ROYAL BANK OF CANADA MTN 0 0.02 % 259.289 K $
BOSTON PROPERTIES LP 0 0.02 % 258.199 K $
AMERICA MOVIL SAB DE CV 0 0.02 % 260.084 K $
HSBC HOLDINGS PLC 0 0.02 % 253.246 K $
AIR LEASE CORPORATION 0 0.02 % 253.117 K $
BROADCOM INC 0 0.019 % 250.747 K $
CSX CORP 0 0.019 % 242.858 K $
JOHNSON & JOHNSON 0 0.019 % 245.028 K $
SPECTRA ENERGY PARTNERS LP 0 0.019 % 247.090 K $
LYB INTERNATIONAL FINANCE III LLC 0 0.019 % 248.908 K $
PRUDENTIAL FINANCIAL INC MTN 0 0.019 % 251.494 K $
CROWN CASTLE INC 0 0.019 % 240.980 K $
ONEOK INC 0 0.019 % 251.038 K $
HSBC HOLDINGS PLC 0 0.019 % 251.698 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.019 % 249.551 K $
METLIFE INC 0 0.019 % 243.736 K $
TOTALENERGIES CAPITAL INTERNATIONA 0 0.019 % 250.938 K $
US BANCORP MTN 0 0.019 % 240.526 K $
HSBC HOLDINGS PLC 0 0.019 % 247.840 K $
HOME DEPOT INC 0 0.019 % 246.400 K $
HOME DEPOT INC 0 0.019 % 249.756 K $
INTEL CORPORATION 0 0.019 % 240.397 K $
CVS HEALTH CORP 0 0.019 % 245.008 K $
CITIGROUP INC 0 0.019 % 247.591 K $
UNION PACIFIC CORPORATION 0 0.019 % 251.711 K $
FLORIDA POWER & LIGHT CO 0 0.019 % 247.173 K $
ENBRIDGE ENERGY PARTNERS LP 0 0.019 % 243.992 K $
PROLOGIS LP 0 0.019 % 241.305 K $
LLOYDS BANKING GROUP PLC 0 0.019 % 240.956 K $
INTEL CORPORATION 0 0.019 % 242.361 K $
BANK OF AMERICA CORP MTN 0 0.019 % 246.609 K $
MERCK & CO INC 0 0.019 % 249.309 K $
MORGAN STANLEY MTN 0 0.019 % 245.999 K $
MASTERCARD INC 0 0.019 % 245.098 K $
BANCO SANTANDER SA 0 0.019 % 251.319 K $
SEMPRA 0 0.019 % 241.512 K $
WELLS FARGO & COMPANY MTN 0 0.019 % 246.328 K $
OMEGA HEALTHCARE INVESTORS INC 0 0.019 % 242.001 K $
HSBC HOLDINGS PLC 0 0.019 % 242.399 K $
AMGEN INC 0 0.019 % 240.484 K $
PPL ELECTRIC UTILITIES CORPORATION 0 0.019 % 245.355 K $
WALT DISNEY CO 0 0.019 % 252.101 K $
CATERPILLAR INC 0 0.019 % 251.290 K $
BALTIMORE GAS AND ELECTRIC CO 0 0.019 % 242.999 K $
ESSEX PORTFOLIO LP 0 0.019 % 243.361 K $
CROWN CASTLE INC 0 0.019 % 246.598 K $
POTOMAC ELECTRIC POWER COMPANY 0 0.019 % 243.570 K $
RIO TINTO FINANCE (USA) LTD 0 0.019 % 240.834 K $
HOME DEPOT INC 0 0.019 % 248.628 K $
MEAD JOHNSON NUTRITION CO 0 0.019 % 242.895 K $
NISOURCE INC 0 0.019 % 250.809 K $
INTEL CORPORATION 0 0.019 % 239.358 K $
ESSENTIAL UTILITIES INC 0 0.019 % 240.288 K $
IDEX CORPORATION 0 0.019 % 240.327 K $
BRISTOL-MYERS SQUIBB CO 0 0.019 % 248.663 K $
CISCO SYSTEMS INC 0 0.019 % 246.991 K $
ENTERGY LOUISIANA LLC 0 0.019 % 251.834 K $
NSTAR ELECTRIC CO 0 0.019 % 242.420 K $
JOHNSON & JOHNSON 0 0.019 % 248.955 K $
HSBC HOLDINGS PLC FXD-FLT 0 0.019 % 248.297 K $
HONEYWELL INTERNATIONAL INC 0 0.019 % 250.189 K $
AIR LEASE CORPORATION 0 0.019 % 249.302 K $
PUBLIC STORAGE OPERATING CO 0 0.019 % 239.792 K $
MORGAN STANLEY MTN 0 0.019 % 241.550 K $
FOX CORP 0 0.019 % 240.450 K $
BURLINGTON NORTHERN SANTA FE LLC 0 0.019 % 240.831 K $
HCA INC 0 0.019 % 248.618 K $
CSX CORP 0 0.019 % 246.452 K $
BRISTOL-MYERS SQUIBB CO 0 0.019 % 249.705 K $
ONEOK INC 0 0.019 % 241.109 K $
AT&T INC 0 0.019 % 239.541 K $
CRH AMERICA FINANCE INC 0 0.019 % 251.824 K $
EBAY INC 0 0.019 % 244.453 K $
ING GROEP NV 0 0.019 % 239.553 K $
PLAINS ALL AMERICAN PIPELINE LP 0 0.019 % 251.419 K $
LOWES COMPANIES INC 0 0.019 % 239.792 K $
CIGNA GROUP 0 0.019 % 239.476 K $
MPLX LP 0 0.019 % 240.983 K $
EQT CORP 0 0.019 % 247.163 K $
L3HARRIS TECHNOLOGIES INC 0 0.019 % 250.257 K $
INTERNATIONAL PAPER CO 0 0.019 % 249.754 K $
MCDONALDS CORPORATION MTN 0 0.019 % 248.693 K $
UNITEDHEALTH GROUP INC 0 0.019 % 250.265 K $
BERKSHIRE HATHAWAY FINANCE CORP 0 0.019 % 250.230 K $
INTERCONTINENTAL EXCHANGE INC 0 0.019 % 249.917 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC 0 0.019 % 246.682 K $
COCA-COLA CO 0 0.019 % 248.733 K $
BANCO SANTANDER SA 0 0.019 % 249.784 K $
VERIZON COMMUNICATIONS INC 0 0.019 % 243.290 K $
ALEXANDRIA REAL ESTATE EQUITIES IN 0 0.019 % 247.567 K $
JOHN DEERE CAPITAL CORP MTN 0 0.019 % 241.986 K $
JPMORGAN CHASE & CO 0 0.019 % 245.216 K $
ARCHER DANIELS MIDLAND CO 0 0.019 % 239.960 K $
UNITEDHEALTH GROUP INC 0 0.019 % 242.523 K $
TOTALENERGIES CAPITAL SA 0 0.019 % 248.783 K $
PECO ENERGY CO 0 0.019 % 245.022 K $
BAXTER INTERNATIONAL INC 0 0.019 % 249.403 K $
GLP CAPITAL LP 0 0.019 % 244.817 K $
QUALCOMM INCORPORATED 0 0.019 % 244.004 K $
AMERICAN EXPRESS COMPANY (FXD-FRN) 0 0.019 % 243.130 K $
SANTANDER UK GROUP HOLDINGS PLC 0 0.019 % 241.800 K $
KONINKLIJKE AHOLD DELHAIZE NV 0 0.018 % 236.462 K $
TARGA RESOURCES CORP 0 0.018 % 234.911 K $
AMERICAN EXPRESS COMPANY 0 0.018 % 238.974 K $
ALIBABA GROUP HOLDING LTD 0 0.018 % 229.826 K $
HCA INC 0 0.018 % 237.229 K $
MASTERCARD INC 0 0.018 % 234.116 K $
KINDER MORGAN INC 0 0.018 % 234.560 K $
ALLSTATE CORPORATION (THE) 0 0.018 % 226.653 K $
OCCIDENTAL PETROLEUM CORPORATION 0 0.018 % 230.617 K $
ANGLOGOLD ASHANTI HOLDINGS PLC 0 0.018 % 239.100 K $
CROWN CASTLE INC 0 0.018 % 229.001 K $
BANK OF MONTREAL MTN 0 0.018 % 235.775 K $
GOLDMAN SACHS GROUP INC/THE 0 0.018 % 233.339 K $
FORD MOTOR CREDIT COMPANY LLC 0 0.018 % 237.587 K $
CONOCOPHILLIPS CO 0 0.018 % 229.605 K $
ORACLE CORPORATION 0 0.018 % 236.930 K $
APPLE INC 0 0.018 % 228.848 K $
CROWN CASTLE INC 0 0.018 % 237.438 K $
UNITEDHEALTH GROUP INC 0 0.018 % 237.638 K $
BIOGEN INC 0 0.018 % 239.044 K $
UNITEDHEALTH GROUP INC 0 0.018 % 239.162 K $
MORGAN STANLEY MTN 0 0.018 % 238.403 K $
EDISON INTERNATIONAL 0 0.018 % 226.412 K $
T-MOBILE USA INC 0 0.018 % 227.753 K $
SOUTHERN CALIFORNIA GAS COMPANY 0 0.018 % 237.053 K $
NUCOR CORP 0 0.018 % 226.695 K $
AMERICAN TOWER CORPORATION 0 0.018 % 231.898 K $
METLIFE INC 0 0.018 % 238.265 K $
APPLE INC 0 0.018 % 226.816 K $
STRYKER CORPORATION 0 0.018 % 227.886 K $
OCCIDENTAL PETROLEUM CORPORATION 0 0.018 % 232.344 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.018 % 229.019 K $
VALERO ENERGY PARTNERS LP 0 0.018 % 228.878 K $
T-MOBILE USA INC 0 0.018 % 229.371 K $
HOME DEPOT INC 0 0.018 % 235.911 K $
LOWES COMPANIES INC 0 0.018 % 234.521 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.018 % 238.902 K $
LOWES COMPANIES INC 0 0.018 % 237.943 K $
CARLISLE COMPANIES INCORPORATED 0 0.018 % 228.839 K $
RAYMOND JAMES FINANCIAL INC. 0 0.018 % 237.028 K $
SYNCHRONY FINANCIAL 0 0.018 % 231.131 K $
COCA-COLA CO 0 0.018 % 236.566 K $
EXELON CORPORATION 0 0.018 % 238.141 K $
INTERNATIONAL PAPER CO 0 0.018 % 230.903 K $
GENERAL MOTORS CO 0 0.018 % 234.075 K $
INTERNATIONAL FLAVORS & FRAGRANCES 0 0.018 % 228.137 K $
PRUDENTIAL FINANCIAL INC MTN 0 0.018 % 234.735 K $
MIZUHO FINANCIAL GROUP INC 0 0.018 % 235.169 K $
ENTERGY LOUISIANA LLC 0 0.018 % 228.005 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.018 % 238.959 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.018 % 227.066 K $
COCA-COLA CO 0 0.018 % 238.817 K $
NEWMONT CORPORATION 0 0.018 % 235.122 K $
CONOCOPHILLIPS CO 0 0.018 % 238.553 K $
AMGEN INC 0 0.018 % 231.250 K $
COMMONWEALTH EDISON COMPANY 0 0.018 % 228.594 K $
CVS HEALTH CORP 0 0.018 % 229.536 K $
CANADIAN PACIFIC RAILWAY COMPANY 0 0.018 % 234.090 K $
TRANSCANADA PIPELINES LTD 0 0.018 % 228.321 K $
BANK OF AMERICA CORP MTN 0 0.018 % 233.159 K $
JOHNSON & JOHNSON 0 0.018 % 232.140 K $
SANTANDER HOLDINGS USA INC 0 0.018 % 229.389 K $
HUMANA INC 0 0.018 % 234.989 K $
PROCTER & GAMBLE CO 0 0.018 % 235.893 K $
CANADIAN NATIONAL RAILWAY COMPANY 0 0.018 % 234.280 K $
ALIBABA GROUP HOLDING LTD 0 0.018 % 237.371 K $
STARBUCKS CORPORATION 0 0.018 % 229.611 K $
IBM INTERNATIONAL CAPITAL PTE LTD 0 0.018 % 236.481 K $
LEGGETT & PLATT INC 0 0.018 % 232.590 K $
TWDC ENTERPRISES 18 CORP MTN 0 0.018 % 230.291 K $
MARRIOTT INTERNATIONAL INC 0 0.018 % 226.430 K $
MOTOROLA SOLUTIONS INC 0 0.018 % 229.606 K $
HOST HOTELS & RESORTS LP 0 0.018 % 234.080 K $
NOVARTIS CAPITAL CORP 0 0.018 % 231.949 K $
HEWLETT PACKARD ENTERPRISE CO 0 0.018 % 226.497 K $
MIZUHO FINANCIAL GROUP INC 0 0.018 % 228.763 K $
KEURIG DR PEPPER INC 0 0.018 % 239.120 K $
SIMON PROPERTY GROUP LP 0 0.018 % 231.861 K $
ABBVIE INC 0 0.018 % 231.028 K $
MERCK & CO INC 0 0.018 % 229.107 K $
HORMEL FOODS CORPORATION 0 0.018 % 229.354 K $
HSBC HOLDINGS PLC 0 0.018 % 229.851 K $
AMERICAN INTERNATIONAL GROUP INC 0 0.018 % 231.458 K $
PIEDMONT NATURAL GAS COMPANY INC 0 0.018 % 230.963 K $
ORANGE SA 0 0.018 % 227.958 K $
NEVADA POWER COMPANY 0 0.018 % 227.582 K $
COMCAST CORPORATION 0 0.018 % 227.213 K $
COMCAST CORPORATION 0 0.018 % 231.843 K $
MCCORMICK & COMPANY INCORPORATED 0 0.018 % 237.008 K $
LLOYDS BANKING GROUP PLC 0 0.018 % 231.913 K $
COMCAST CORPORATION 0 0.018 % 228.331 K $
SOUTHERN PERU COPPER 0 0.018 % 233.664 K $
AIR LEASE CORPORATION 0 0.018 % 230.198 K $
INTEL CORPORATION 0 0.018 % 227.311 K $
PNC FINANCIAL SERVICES GROUP INC ( 0 0.018 % 228.941 K $
UNITEDHEALTH GROUP INC 0 0.018 % 234.532 K $
FLORIDA POWER AND LIGHT CO 0 0.018 % 236.687 K $
CENTERPOINT ENERGY HOUSTON ELECTRI 0 0.018 % 238.874 K $
APPLE INC 0 0.018 % 236.607 K $
LAM RESEARCH CORPORATION 0 0.018 % 232.591 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.018 % 231.503 K $
ASTRAZENECA PLC 0 0.018 % 234.953 K $
DOW CHEMICAL CO 0 0.018 % 228.833 K $
MCDONALDS CORPORATION MTN 0 0.018 % 228.696 K $
JPMORGAN CHASE & CO 0 0.018 % 229.951 K $
GENERAL MOTORS FINANCIAL COMPANY I 0 0.018 % 228.815 K $
MARSH & MCLENNAN COMPANIES INC 0 0.018 % 234.601 K $
ENBRIDGE INC 0 0.018 % 228.019 K $
META PLATFORMS INC 0 0.018 % 231.972 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.018 % 232.569 K $
MOTOROLA SOLUTIONS INC 0 0.018 % 238.674 K $
NORFOLK SOUTHERN CORPORATION 0 0.017 % 225.843 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.017 % 222.533 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.017 % 213.872 K $
EOG RESOURCES INC 0 0.017 % 224.462 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.017 % 223.513 K $
QUALCOMM INCORPORATED 0 0.017 % 213.738 K $
AMERICAN WATER CAPITAL CORP 0 0.017 % 214.998 K $
TRAVELERS COMPANIES INC 0 0.017 % 215.832 K $
ATMOS ENERGY CORPORATION 0 0.017 % 216.073 K $
COMMONWEALTH EDISON COMPANY 0 0.017 % 214.712 K $
ORANGE SA 0 0.017 % 216.414 K $
NOMURA HOLDINGS INC 0 0.017 % 225.927 K $
PFIZER INC 0 0.017 % 217.291 K $
BANK OF AMERICA CORP MTN 0 0.017 % 220.574 K $
INTEL CORPORATION 0 0.017 % 220.382 K $
NATWEST GROUP PLC 0 0.017 % 224.702 K $
HCA INC 0 0.017 % 220.381 K $
UDR INC MTN 0 0.017 % 216.326 K $
TARGA RESOURCES CORP 0 0.017 % 215.431 K $
JOHNSON & JOHNSON 0 0.017 % 214.393 K $
MORGAN STANLEY (FXD-FRN) MTN 0 0.017 % 219.179 K $
TARGET CORPORATION 0 0.017 % 223.183 K $
WILLIS NORTH AMERICA INC 0 0.017 % 216.321 K $
KROGER CO 0 0.017 % 215.076 K $
SIMON PROPERTY GROUP LP 0 0.017 % 213.782 K $
ORACLE CORPORATION 0 0.017 % 224.789 K $
ONEOK INC 0 0.017 % 215.870 K $
UNION PACIFIC CORPORATION 0 0.017 % 213.971 K $
NOMURA HOLDINGS INC 0 0.017 % 221.119 K $
AMERICAN WATER CAPITAL CORP 0 0.017 % 213.645 K $
MASTERCARD INC 0 0.017 % 221.363 K $
HEWLETT PACKARD ENTERPRISE CO 0 0.017 % 225.923 K $
MIZUHO FINANCIAL GROUP INC 0 0.017 % 214.315 K $
GENERAL MOTORS FINANCIAL COMPANY I 0 0.017 % 220.689 K $
MICROSOFT CORPORATION 0 0.017 % 217.279 K $
COOPERATIEVE RABOBANK UA MTN 0 0.017 % 219.232 K $
WILLIAMS COMPANIES INC 0 0.017 % 221.185 K $
NOVARTIS CAPITAL CORP 0 0.017 % 224.254 K $
CIGNA GROUP 0 0.017 % 214.594 K $
ELEVANCE HEALTH INC 0 0.017 % 220.939 K $
UNION PACIFIC CORPORATION 0 0.017 % 216.416 K $
MORGAN STANLEY MTN 0 0.017 % 214.535 K $
DIAGEO CAPITAL PLC 0 0.017 % 223.633 K $
ZOETIS INC 0 0.017 % 213.414 K $
AT&T INC 0 0.017 % 214.409 K $
SUZANO AUSTRIA GMBH 0 0.017 % 218.704 K $
ELEVANCE HEALTH INC 0 0.017 % 221.826 K $
TOYOTA MOTOR CREDIT CORP 0 0.017 % 223.584 K $
DIAMONDBACK ENERGY INC 0 0.017 % 219.820 K $
GOLDMAN SACHS GROUP INC/THE 0 0.017 % 225.642 K $
OHIO POWER CO 0 0.017 % 215.446 K $
GATX CORPORATION 0 0.017 % 214.419 K $
ROYALTY PHARMA PLC 0 0.017 % 219.214 K $
WILLIAMS COMPANIES INC 0 0.017 % 217.912 K $
ORACLE CORPORATION 0 0.017 % 225.977 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.017 % 218.116 K $
GENERAL MOTORS CO 0 0.017 % 221.562 K $
ELEVANCE HEALTH INC 0 0.017 % 216.732 K $
MICROSOFT CORPORATION 0 0.017 % 222.748 K $
SIMON PROPERTY GROUP LP 0 0.017 % 216.447 K $
GENERAL MOTORS FINANCIAL COMPANY I 0 0.017 % 215.720 K $
AMERICA MOVIL SAB DE CV 0 0.017 % 219.569 K $
HSBC HOLDINGS PLC 0 0.017 % 220.509 K $
ENERGY TRANSFER LP 0 0.017 % 218.365 K $
SHELL INTERNATIONAL FINANCE BV 0 0.017 % 223.055 K $
AMAZON.COM INC 0 0.017 % 221.500 K $
CANADIAN NATIONAL RAILWAY COMPANY 0 0.017 % 223.720 K $
MICRON TECHNOLOGY INC 0 0.017 % 218.217 K $
CITIGROUP INC 0 0.017 % 221.152 K $
MIZUHO FINANCIAL GROUP INC 0 0.017 % 215.470 K $
ROGERS COMMUNICATIONS INC 0 0.017 % 223.292 K $
SOUTHERN CALIFORNIA GAS COMPANY 0 0.017 % 223.971 K $
HUMANA INC 0 0.017 % 217.063 K $
SEMPRA 0 0.017 % 223.231 K $
MARSH & MCLENNAN COMPANIES INC 0 0.017 % 217.230 K $
JOHNSON & JOHNSON 0 0.017 % 216.552 K $
HONEYWELL INTERNATIONAL INC 0 0.017 % 223.310 K $
BOSTON PROPERTIES LP 0 0.017 % 219.749 K $
INGREDION INC 0 0.017 % 220.698 K $
PRUDENTIAL FINANCIAL INC 0 0.017 % 225.601 K $
PRUDENTIAL FINANCIAL INC MTN 0 0.017 % 214.287 K $
ENBRIDGE INC 0 0.017 % 220.212 K $
AMERICAN TOWER CORPORATION 0 0.017 % 224.440 K $
NOMURA HOLDINGS INC 0 0.017 % 221.033 K $
AMERICAN WATER CAPITAL CORP 0 0.017 % 220.647 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.017 % 224.683 K $
DEUTSCHE BANK AG (FXD-FRN) 0 0.017 % 215.249 K $
NOMURA HOLDINGS INC 0 0.017 % 223.764 K $
PRUDENTIAL FINANCIAL INC MTN 0 0.017 % 218.646 K $
AMERICAN EXPRESS COMPANY 0 0.017 % 225.000 K $
AIR LEASE CORPORATION MTN 0 0.017 % 223.241 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.017 % 213.605 K $
MARSH & MCLENNAN COMPANIES INC 0 0.017 % 216.234 K $
BANK OF NEW YORK MELLON CORP/THE MTN 0 0.017 % 219.499 K $
AMGEN INC 0 0.017 % 223.098 K $
DOW CHEMICAL CO 0 0.017 % 224.729 K $
CITIGROUP INC 0 0.017 % 221.163 K $
NATWEST GROUP PLC 0 0.017 % 214.476 K $
ANALOG DEVICES INC 0 0.017 % 215.287 K $
BARCLAYS PLC 0 0.017 % 221.928 K $
WILLIAMS COMPANIES INC 0 0.017 % 221.548 K $
BRISTOL-MYERS SQUIBB CO 0 0.017 % 225.838 K $
NOMURA HOLDINGS INC 0 0.017 % 216.573 K $
ONEOK INC 0 0.017 % 222.287 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.017 % 223.860 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.017 % 225.087 K $
MARSH & MCLENNAN COMPANIES INC 0 0.017 % 225.765 K $
CONAGRA BRANDS INC 0 0.017 % 214.803 K $
COMCAST CORPORATION 0 0.017 % 219.824 K $
SAN DIEGO GAS & ELECTRIC CO 0 0.017 % 214.585 K $
TRUIST FINANCIAL CORP MTN 0 0.017 % 218.440 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC MTN 0 0.017 % 222.302 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.017 % 220.789 K $
CHENIERE ENERGY PARTNERS LP 0 0.017 % 220.584 K $
PRUDENTIAL FINANCIAL INC MTN 0 0.017 % 216.791 K $
ALIBABA GROUP HOLDING LTD 0 0.017 % 215.075 K $
ORIX CORPORATION 0 0.017 % 219.611 K $
PAYPAL HOLDINGS INC 0 0.016 % 200.558 K $
EXELON CORPORATION 0 0.016 % 209.956 K $
GOLDMAN SACHS GROUP INC/THE 0 0.016 % 203.723 K $
JPMORGAN CHASE & CO 0 0.016 % 201.214 K $
TELEDYNE TECHNOLOGIES INCORPORATED 0 0.016 % 213.260 K $
DIAGEO CAPITAL PLC 0 0.016 % 202.955 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.016 % 203.832 K $
HSBC HOLDINGS PLC FXD-TO-FLT MTN 0 0.016 % 207.051 K $
ONEOK INC 0 0.016 % 213.010 K $
BROOKFIELD FINANCE INC 0 0.016 % 208.558 K $
LOWES COMPANIES INC 0 0.016 % 200.484 K $
TRANSCANADA PIPELINES LTD 0 0.016 % 201.904 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.016 % 212.395 K $
PFIZER INC 0 0.016 % 207.922 K $
BANCO SANTANDER SA 0 0.016 % 207.166 K $
OWENS CORNING 0 0.016 % 206.776 K $
TRANSCANADA PIPELINES LTD 0 0.016 % 201.940 K $
AMERICAN EXPRESS COMPANY 0 0.016 % 203.675 K $
CONOCOPHILLIPS CO 0 0.016 % 204.109 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.016 % 204.132 K $
KIMCO REALTY OP LLC 0 0.016 % 212.892 K $
LLOYDS BANKING GROUP PLC 0 0.016 % 201.612 K $
MICRON TECHNOLOGY INC 0 0.016 % 203.580 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC 0 0.016 % 202.611 K $
COCA COLA FEMSA SAB DE CV 0 0.016 % 207.894 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.016 % 210.392 K $
HSBC HOLDINGS PLC 0 0.016 % 206.690 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.016 % 204.523 K $
NOMURA HOLDINGS INC 0 0.016 % 206.866 K $
CHEVRON CORP 0 0.016 % 211.279 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.016 % 208.795 K $
QUALCOMM INCORPORATED 0 0.016 % 210.814 K $
FLORIDA POWER & LIGHT CO 0 0.016 % 206.360 K $
ALIBABA GROUP HOLDING LTD 0 0.016 % 210.171 K $
MARSH & MCLENNAN COMPANIES INC 0 0.016 % 209.746 K $
HSBC HOLDINGS PLC FXD-TO-FLT MTN 0 0.016 % 204.607 K $
AMAZON.COM INC 0 0.016 % 201.535 K $
CSX CORP 0 0.016 % 208.287 K $
AMERICAN TOWER CORPORATION 0 0.016 % 202.899 K $
BOSTON PROPERTIES LP 0 0.016 % 212.359 K $
ING GROEP NV 0 0.016 % 206.709 K $
SANTANDER UK GROUP HOLD (FXD-FRN) 0 0.016 % 200.742 K $
ELI LILLY AND COMPANY 0 0.016 % 204.313 K $
ARCHER DANIELS MIDLAND CO 0 0.016 % 202.221 K $
NUTRIEN LTD 0 0.016 % 201.005 K $
NASDAQ INC 0 0.016 % 212.876 K $
HUMANA INC 0 0.016 % 201.573 K $
HOME DEPOT INC 0 0.016 % 201.345 K $
UNITEDHEALTH GROUP INC 0 0.016 % 210.711 K $
ANALOG DEVICES INC 0 0.016 % 201.734 K $
LYB INTERNATIONAL FINANCE III LLC 0 0.016 % 202.683 K $
NATWEST GROUP PLC 0 0.016 % 210.281 K $
NOMURA HOLDINGS INC 0 0.016 % 207.191 K $
BRISTOL-MYERS SQUIBB CO 0 0.016 % 200.760 K $
MIZUHO FINANCIAL GROUP INC 0 0.016 % 212.005 K $
GENERAL MOTORS CO 0 0.016 % 207.320 K $
EPR PROPERTIES 0 0.016 % 212.102 K $
BOSTON PROPERTIES LP 0 0.016 % 212.818 K $
HEALTHPEAK OP LLC 0 0.016 % 205.791 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.016 % 205.151 K $
TAKEDA PHARMACEUTICAL CO LTD 0 0.016 % 210.473 K $
UNITEDHEALTH GROUP INC 0 0.016 % 210.689 K $
UNION PACIFIC CORPORATION 0 0.016 % 209.326 K $
HOME DEPOT INC 0 0.016 % 200.743 K $
PEPSICO INC 0 0.016 % 202.534 K $
APPLE INC 0 0.016 % 204.091 K $
EVERSOURCE ENERGY 0 0.016 % 207.669 K $
JPMORGAN CHASE & CO 0 0.016 % 213.108 K $
APPLE INC 0 0.016 % 203.886 K $
LAM RESEARCH CORPORATION 0 0.016 % 203.500 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.016 % 204.812 K $
CATERPILLAR INC 0 0.016 % 200.700 K $
QUALCOMM INCORPORATED 0 0.016 % 206.120 K $
NOMURA HOLDINGS INC 0 0.016 % 211.401 K $
TAKEDA PHARMACEUTICAL CO LTD 0 0.016 % 213.005 K $
CITIGROUP INC 0 0.016 % 208.130 K $
TRAVELERS COMPANIES INC 0 0.016 % 206.305 K $
PEPSICO INC 0 0.016 % 209.067 K $
NATWEST GROUP PLC 0 0.016 % 206.495 K $
EXELON GENERATION CO LLC 0 0.016 % 209.643 K $
LLOYDS BANKING GROUP PLC (FXD-FXD) 0 0.016 % 206.927 K $
INTERNATIONAL FLAVORS & FRAGRANCES 0 0.016 % 213.203 K $
UNITEDHEALTH GROUP INC 0 0.016 % 211.621 K $
BARCLAYS PLC 0 0.016 % 208.828 K $
CHUBB INA HOLDINGS LLC 0 0.016 % 201.790 K $
HSBC HOLDINGS PLC 0 0.016 % 212.619 K $
UNION PACIFIC CORPORATION 0 0.016 % 209.920 K $
ALIBABA GROUP HOLDING LTD 0 0.016 % 209.745 K $
ABB FINANCE USA INC 0 0.016 % 201.124 K $
ANHEUSER-BUSCH INBEV FINANCE INC 0 0.016 % 212.357 K $
QUEST DIAGNOSTICS INCORPORATED 0 0.016 % 201.130 K $
US BANCORP MTN 0 0.016 % 210.501 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.016 % 208.358 K $
AMERICAN EXPRESS COMPANY 0 0.016 % 210.641 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.016 % 212.584 K $
APPLE INC 0 0.016 % 210.944 K $
UNITED PARCEL SERVICE INC 0 0.016 % 211.174 K $
TARGA RESOURCES CORP 0 0.016 % 213.251 K $
PARAMOUNT GLOBAL 0 0.016 % 200.862 K $
FLORIDA POWER AND LIGHT CO 0 0.016 % 201.923 K $
SPECTRA ENERGY PARTNERS LP 0 0.016 % 209.662 K $
TORONTO-DOMINION BANK/THE MTN 0 0.016 % 206.659 K $
DIAGEO INVESTMENT CORPORATION 0 0.016 % 208.678 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.016 % 205.199 K $
ELEVANCE HEALTH INC 0 0.016 % 209.540 K $
APPLE INC 0 0.016 % 204.067 K $
ELEVANCE HEALTH INC 0 0.016 % 201.539 K $
PEPSICO INC 0 0.016 % 200.487 K $
MIZUHO FINANCIAL GROUP INC 0 0.016 % 210.909 K $
NXP BV 0 0.016 % 211.116 K $
PROCTER & GAMBLE CO 0 0.016 % 205.709 K $
TEXAS INSTRUMENTS INC 0 0.016 % 203.323 K $
CVS HEALTH CORP 0 0.016 % 210.654 K $
KILROY REALTY LP 0 0.016 % 210.286 K $
AT&T INC 0 0.016 % 205.044 K $
INTERNATIONAL PAPER CO 0 0.016 % 205.985 K $
ING GROEP NV FXD-FRN 0 0.016 % 204.004 K $
ABBVIE INC 0 0.015 % 194.803 K $
INTERNATIONAL PAPER CO 0 0.015 % 192.929 K $
BANK OF NEW YORK MELLON CORP/THE MTN 0 0.015 % 191.461 K $
VERIZON COMMUNICATIONS INC 0 0.015 % 191.523 K $
MIZUHO FINANCIAL GROUP INC 0 0.015 % 190.505 K $
TEXAS INSTRUMENTS INC 0 0.015 % 198.585 K $
BANK OF MONTREAL 0 0.015 % 195.724 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.015 % 188.746 K $
SYNCHRONY FINANCIAL 0 0.015 % 197.874 K $
AMERICAN HONDA FINANCE CORPORATION MTN 0 0.015 % 198.101 K $
CROWN CASTLE INC 0 0.015 % 190.802 K $
FLORIDA POWER AND LIGHT CO 0 0.015 % 190.823 K $
HUMANA INC 0 0.015 % 198.909 K $
REGIONS FINANCIAL CORP 0 0.015 % 197.952 K $
FLORIDA POWER & LIGHT CO 0 0.015 % 194.511 K $
VOYA FINANCIAL INC 0 0.015 % 188.231 K $
JOHNSON & JOHNSON 0 0.015 % 188.276 K $
COMMONWEALTH EDISON COMPANY 0 0.015 % 193.260 K $
CARDINAL HEALTH INC 0 0.015 % 189.561 K $
CAMPBELLS CO 0 0.015 % 188.717 K $
EQUINIX INC 0 0.015 % 197.638 K $
ATMOS ENERGY CORPORATION 0 0.015 % 192.304 K $
UNITEDHEALTH GROUP INC 0 0.015 % 199.888 K $
CHEVRON USA INC 0 0.015 % 194.220 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.015 % 190.501 K $
VISA INC 0 0.015 % 196.142 K $
CSX CORP 0 0.015 % 192.077 K $
COMMONWEALTH EDISON COMPANY 0 0.015 % 193.984 K $
MASCO CORP 0 0.015 % 193.772 K $
INTEL CORPORATION 0 0.015 % 199.509 K $
OVINTIV INC 0 0.015 % 192.185 K $
AT&T INC 0 0.015 % 190.837 K $
WELLS FARGO & COMPANY 0 0.015 % 197.036 K $
COMCAST CORPORATION 0 0.015 % 198.462 K $
CSX CORP 0 0.015 % 195.556 K $
NEWMONT CORPORATION 0 0.015 % 193.084 K $
AUTOMATIC DATA PROCESSING INC 0 0.015 % 195.279 K $
PNC FINANCIAL SERVICES GROUP INC ( 0 0.015 % 188.707 K $
DOW CHEMICAL CO 0 0.015 % 188.402 K $
TRAVELERS COMPANIES INC 0 0.015 % 187.974 K $
CITIZENS FINANCIAL GROUP INC 0 0.015 % 195.328 K $
CITIGROUP INC 0 0.015 % 191.154 K $
VICI PROPERTIES LP 0 0.015 % 187.880 K $
TOTALENERGIES CAPITAL SA 0 0.015 % 196.392 K $
WESTERN MIDSTREAM OPERATING LP 0 0.015 % 193.667 K $
TJX COMPANIES INC 0 0.015 % 197.739 K $
J M SMUCKER CO 0 0.015 % 193.780 K $
VONTIER CORP 0 0.015 % 199.172 K $
CMS ENERGY CORPORATION 0 0.015 % 191.257 K $
NORFOLK SOUTHERN CORPORATION 0 0.015 % 198.297 K $
WRKCO INC 0 0.015 % 191.250 K $
LYB INTERNATIONAL FINANCE BV 0 0.015 % 196.065 K $
COCA-COLA CO 0 0.015 % 195.673 K $
CANADIAN IMPERIAL BANK OF COMMERCE 0 0.015 % 197.575 K $
LLOYDS BANKING GROUP PLC 0 0.015 % 194.978 K $
ABBOTT LABORATORIES 0 0.015 % 197.641 K $
TIME WARNER CABLE LLC 0 0.015 % 188.996 K $
CIGNA GROUP 0 0.015 % 189.320 K $
HONEYWELL INTERNATIONAL INC 0 0.015 % 195.466 K $
KEYSIGHT TECHNOLOGIES INC 0 0.015 % 189.330 K $
BARCLAYS PLC 0 0.015 % 189.641 K $
BROWN & BROWN INC 0 0.015 % 195.384 K $
CENTERPOINT ENERGY HOUSTON ELECTRI 0 0.015 % 189.695 K $
ONE GAS INC 0 0.015 % 192.476 K $
OVINTIV INC 0 0.015 % 191.766 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.015 % 200.322 K $
COCA-COLA CO 0 0.015 % 195.738 K $
BROADCOM INC 0 0.015 % 191.547 K $
TARGET CORPORATION 0 0.015 % 189.143 K $
LLOYDS BANKING GROUP PLC 0 0.015 % 196.875 K $
BURLINGTON NORTHERN SANTA FE LLC 0 0.015 % 194.138 K $
WILLIAMS COMPANIES INC 0 0.015 % 190.658 K $
MICROSOFT CORPORATION 0 0.015 % 197.260 K $
BROOKFIELD FINANCE LLC 0 0.015 % 199.402 K $
ELEVANCE HEALTH INC 0 0.015 % 189.285 K $
ENBRIDGE INC NC5.5 0 0.015 % 188.556 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.015 % 191.907 K $
PROLOGIS LP 0 0.015 % 196.691 K $
FORTUNE BRANDS INNOVATIONS INC 0 0.015 % 192.208 K $
PAYPAL HOLDINGS INC 0 0.015 % 196.221 K $
ELEVANCE HEALTH INC 0 0.015 % 198.751 K $
CUMMINS INC 0 0.015 % 192.267 K $
WW GRAINGER INC 0 0.015 % 189.749 K $
APTIV SWISS HOLDINGS LTD 0 0.015 % 200.146 K $
PNC BANK NA 0 0.015 % 190.910 K $
APTIV SWISS HOLDINGS LTD 0 0.015 % 194.532 K $
BURLINGTON NORTHERN SANTA FE LLC 0 0.015 % 191.561 K $
MPLX LP 0 0.015 % 189.748 K $
ORACLE CORPORATION 0 0.015 % 199.518 K $
UNION PACIFIC CORPORATION 0 0.015 % 199.262 K $
INTERCONTINENTAL EXCHANGE INC 0 0.015 % 188.514 K $
PRUDENTIAL FINANCIAL INC MTN 0 0.015 % 196.011 K $
PEPSICO INC 0 0.015 % 195.242 K $
INVESCO FINANCE PLC 0 0.015 % 189.502 K $
CHARLES SCHWAB CORPORATION (THE) 0 0.015 % 190.166 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.015 % 192.568 K $
STARBUCKS CORPORATION 0 0.015 % 188.248 K $
UNILEVER CAPITAL CORP 0 0.015 % 190.767 K $
AMGEN INC 0 0.015 % 189.657 K $
BAXTER INTERNATIONAL INC 0 0.015 % 189.378 K $
VENTAS REALTY LP 0 0.015 % 199.342 K $
WESTERN MIDSTREAM OPERATING LP 0 0.015 % 199.025 K $
UNITEDHEALTH GROUP INC 0 0.015 % 188.506 K $
SYSCO CORPORATION 0 0.015 % 189.100 K $
AMERICAN EXPRESS COMPANY (FX-FRN) 0 0.015 % 193.458 K $
NXP BV / NXP FUNDING LLC / NXP USA 0 0.015 % 188.773 K $
GENERAL MOTORS FINANCIAL COMPANY I 0 0.015 % 192.685 K $
MARSH & MCLENNAN COMPANIES INC 0 0.015 % 194.325 K $
CSX CORP 0 0.015 % 196.220 K $
AT&T INC 0 0.015 % 188.881 K $
AT&T INC 0 0.015 % 190.140 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.015 % 197.456 K $
LEIDOS INC 0 0.015 % 194.202 K $
NUTRIEN LTD 0 0.015 % 197.092 K $
HCA INC 0 0.015 % 194.492 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC MTN 0 0.014 % 180.596 K $
ROYAL BANK OF CANADA (FX-FRN) MTN 0 0.014 % 184.378 K $
EXELON CORPORATION 0 0.014 % 178.879 K $
WILLIAMS COMPANIES INC 0 0.014 % 180.016 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.014 % 177.520 K $
OCCIDENTAL PETROLEUM CORPORATION 0 0.014 % 175.393 K $
METLIFE INC 0 0.014 % 179.330 K $
VALERO ENERGY CORPORATION 0 0.014 % 183.995 K $
UNITEDHEALTH GROUP INC 0 0.014 % 182.808 K $
VERIZON COMMUNICATIONS INC 0 0.014 % 186.857 K $
BROOKFIELD FINANCE INC 0 0.014 % 175.963 K $
DOW CHEMICAL CO 0 0.014 % 181.620 K $
ENBRIDGE INC 0 0.014 % 179.172 K $
ELEVANCE HEALTH INC 0 0.014 % 174.976 K $
WALT DISNEY CO 0 0.014 % 186.639 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.014 % 182.351 K $
GRUPO TELEVISA SAB 0 0.014 % 178.971 K $
CHUBB INA HOLDINGS LLC 0 0.014 % 183.499 K $
UNION PACIFIC CORPORATION 0 0.014 % 180.786 K $
AETNA INC 0 0.014 % 184.832 K $
ELEVANCE HEALTH INC 0 0.014 % 176.910 K $
CROWN CASTLE INC 0 0.014 % 179.853 K $
BURLINGTON RESOURCES LLC 0 0.014 % 185.641 K $
PRUDENTIAL FINANCIAL INC 0 0.014 % 178.034 K $
SOUTHERN CALIFORNIA GAS COMPANY 0 0.014 % 180.539 K $
ENBRIDGE INC NC9.75 0 0.014 % 174.798 K $
DEVON ENERGY CORP 0 0.014 % 179.478 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.014 % 180.315 K $
MERCK & CO INC 0 0.014 % 178.543 K $
NUTRIEN LTD 0 0.014 % 181.760 K $
BAIDU INC 0 0.014 % 183.263 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.014 % 177.591 K $
BALTIMORE GAS AND ELECTRIC CO 0 0.014 % 181.312 K $
HCA INC 0 0.014 % 182.958 K $
FLORIDA POWER AND LIGHT CO 0 0.014 % 180.143 K $
INTEL CORPORATION 0 0.014 % 186.507 K $
KIMBERLY-CLARK CORPORATION 0 0.014 % 179.879 K $
VONTIER CORP 0 0.014 % 178.313 K $
JBS USA LUX SA 0 0.014 % 184.686 K $
LYB INTERNATIONAL FINANCE BV 0 0.014 % 177.310 K $
PROCTER & GAMBLE CO 0 0.014 % 177.653 K $
BARCLAYS PLC 0 0.014 % 175.912 K $
CSX CORP 0 0.014 % 175.110 K $
WELLTOWER OP LLC 0 0.014 % 176.493 K $
ENERGY TRANSFER PARTNERS LP 0 0.014 % 178.603 K $
TARGA RESOURCES CORP 0 0.014 % 178.190 K $
BOSTON PROPERTIES LP 0 0.014 % 184.698 K $
ELEVANCE HEALTH INC 0 0.014 % 176.504 K $
TENNESSEE GAS PIPELINE COMPANY LLC 0 0.014 % 185.424 K $
ENBRIDGE INC 0 0.014 % 181.503 K $
DANAHER CORPORATION 0 0.014 % 181.988 K $
TELEFONICA EMISIONES SAU 0 0.014 % 178.454 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.014 % 177.998 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.014 % 178.356 K $
MCDONALDS CORPORATION MTN 0 0.014 % 179.482 K $
WELLS FARGO & COMPANY MTN 0 0.014 % 176.404 K $
TOTALENERGIES CAPITAL INTERNATIONA 0 0.014 % 182.681 K $
PECO ENERGY CO 0 0.014 % 178.765 K $
CANADIAN PACIFIC RAILWAY COMPANY 0 0.014 % 184.486 K $
NOMURA HOLDINGS INC 0 0.014 % 183.598 K $
CRH AMERICA FINANCE INC 0 0.014 % 174.668 K $
GENERAL MILLS INC 0 0.014 % 184.547 K $
BANK OF AMERICA CORP MTN 0 0.014 % 181.387 K $
HOME DEPOT INC 0 0.014 % 185.097 K $
APPLIED MATERIALS INC 0 0.014 % 175.689 K $
PROGRESSIVE CORPORATION (THE) 0 0.014 % 185.755 K $
FEDERAL REALTY OP LP 0 0.014 % 185.500 K $
ELEVANCE HEALTH INC 0 0.014 % 175.657 K $
INTERPUBLIC GROUP OF COMPANIES INC 0 0.014 % 179.819 K $
AMGEN INC 0 0.014 % 184.822 K $
LYB INTERNATIONAL FINANCE III LLC 0 0.014 % 185.296 K $
UNITED PARCEL SERVICE INC 0 0.014 % 178.660 K $
MPLX LP 0 0.014 % 175.613 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.014 % 184.405 K $
HONEYWELL INTERNATIONAL INC 0 0.014 % 179.361 K $
BANK OF NOVA SCOTIA 0 0.014 % 182.430 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.014 % 177.599 K $
BRIXMOR OPERATING PARTNERSHIP LP 0 0.014 % 175.340 K $
BANK OF NOVA SCOTIA MTN 0 0.014 % 184.662 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.014 % 184.589 K $
MERCK & CO INC 0 0.014 % 184.998 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.014 % 185.549 K $
INTEL CORPORATION 0 0.014 % 176.830 K $
EQUITABLE HOLDINGS INC 0 0.014 % 182.384 K $
TWDC ENTERPRISES 18 CORP MTN 0 0.014 % 184.141 K $
ARTHUR J GALLAGHER & CO 0 0.014 % 180.794 K $
NATIONAL RURAL UTILITIES COOPERATI 0 0.014 % 175.634 K $
PARKER HANNIFIN CORPORATION 0 0.014 % 178.779 K $
MID-AMERICA APARTMENTS LP 0 0.014 % 184.543 K $
CANADIAN IMPERIAL BANK OF COMMERCE 0 0.014 % 186.626 K $
CVS HEALTH CORP 0 0.014 % 179.324 K $
COMCAST CORPORATION 0 0.014 % 176.883 K $
JPMORGAN CHASE & CO 0 0.014 % 175.940 K $
SAN DIEGO GAS & ELECTRIC CO 0 0.014 % 176.224 K $
ALIBABA GROUP HOLDING LTD 0 0.014 % 179.670 K $
APPLE INC 0 0.014 % 181.725 K $
ANHEUSER-BUSCH INBEV FINANCE INC 0 0.014 % 180.701 K $
BERKSHIRE HATHAWAY FINANCE CORP 0 0.014 % 186.661 K $
CROWN CASTLE INC 0 0.014 % 174.642 K $
SANDS CHINA LTD 0 0.014 % 180.730 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.014 % 180.338 K $
TRANSCANADA PIPELINES LTD 0 0.014 % 186.377 K $
MARTIN MARIETTA MATERIALS INC 0 0.014 % 179.804 K $
WOODSIDE FINANCE LTD 0 0.014 % 184.614 K $
MOODYS CORPORATION 0 0.014 % 184.377 K $
CARRIER GLOBAL CORP 0 0.014 % 181.918 K $
HSBC HOLDINGS PLC 0 0.014 % 178.979 K $
TRAVELERS COMPANIES INC 0 0.014 % 183.180 K $
MIZUHO FINANCIAL GROUP INC 0 0.014 % 183.182 K $
EVERSOURCE ENERGY 0 0.014 % 186.675 K $
COMMONWEALTH EDISON COMPANY 0 0.014 % 181.224 K $
RIO TINTO FINANCE (USA) PLC 0 0.014 % 178.995 K $
CSX CORP 0 0.014 % 178.016 K $
MCDONALDS CORPORATION MTN 0 0.014 % 175.689 K $
GENERAL MOTORS FINANCIAL COMPANY I 0 0.013 % 162.007 K $
ORACLE CORPORATION 0 0.013 % 173.197 K $
PRINCIPAL FINANCIAL GROUP INC 0 0.013 % 162.634 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.013 % 167.764 K $
ALEXANDRIA REAL ESTATE EQUITIES IN 0 0.013 % 173.357 K $
CSX CORP 0 0.013 % 163.395 K $
CANADIAN IMPERIAL BANK OF COMMERCE 0 0.013 % 174.438 K $
KEURIG DR PEPPER INC 0 0.013 % 166.284 K $
ELI LILLY AND COMPANY 0 0.013 % 171.374 K $
PHILLIPS 66 0 0.013 % 166.258 K $
ELI LILLY AND COMPANY 0 0.013 % 171.255 K $
FEDEX CORP 0 0.013 % 171.813 K $
EXELON CORPORATION 0 0.013 % 163.350 K $
GENERAL MILLS INC 0 0.013 % 166.705 K $
GILEAD SCIENCES INC 0 0.013 % 163.096 K $
TRANSCONTINENTAL GAS PIPE LINE COM 0 0.013 % 166.244 K $
MICROSOFT CORPORATION 0 0.013 % 170.988 K $
INTEL CORPORATION 0 0.013 % 166.808 K $
KINDER MORGAN INC 0 0.013 % 162.831 K $
MORGAN STANLEY 0 0.013 % 174.215 K $
SHERWIN-WILLIAMS COMPANY (THE) 0 0.013 % 168.095 K $
TARGA RESOURCES PARTNERS LP 0 0.013 % 165.666 K $
BURLINGTON NORTHERN SANTA FE LLC 0 0.013 % 166.884 K $
WASTE MANAGEMENT INC 0 0.013 % 173.607 K $
CENTERPOINT ENERGY HOUSTON ELECTRI 0 0.013 % 173.300 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.013 % 164.516 K $
FORD MOTOR CREDIT COMPANY LLC 0 0.013 % 162.438 K $
INTERNATIONAL PAPER CO 0 0.013 % 163.825 K $
WILLIAMS COMPANIES INC 0 0.013 % 164.941 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.013 % 170.384 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.013 % 164.000 K $
ELEVANCE HEALTH INC 0 0.013 % 165.899 K $
UNION PACIFIC CORPORATION 0 0.013 % 174.524 K $
VISA INC 0 0.013 % 166.851 K $
CATERPILLAR INC 0 0.013 % 164.787 K $
INTEL CORPORATION 0 0.013 % 169.134 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.013 % 167.301 K $
AT&T INC 0 0.013 % 161.746 K $
AMCOR FINANCE (USA) INC 0 0.013 % 166.853 K $
KROGER CO 0 0.013 % 164.004 K $
JPMORGAN CHASE & CO 0 0.013 % 163.593 K $
VENTAS REALTY LP 0 0.013 % 166.354 K $
PROLOGIS LP 0 0.013 % 169.806 K $
BANCO SANTANDER SA 0 0.013 % 166.810 K $
ROGERS COMMUNICATIONS INC 0 0.013 % 171.322 K $
ENBRIDGE ENERGY PARTNERS LP 0 0.013 % 169.924 K $
CENCORA INC 0 0.013 % 171.598 K $
TARGA RESOURCES CORP 0 0.013 % 173.816 K $
MOODYS CORPORATION 0 0.013 % 165.423 K $
ELEVANCE HEALTH INC 0 0.013 % 170.240 K $
AMERICAN WATER CAPITAL CORP 0 0.013 % 171.632 K $
UNITEDHEALTH GROUP INC 0 0.013 % 161.983 K $
US BANCORP MTN 0 0.013 % 172.599 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.013 % 166.441 K $
PARAMOUNT GLOBAL 0 0.013 % 166.330 K $
POTOMAC ELECTRIC POWER COMPANY 0 0.013 % 163.293 K $
AMERICAN EXPRESS COMPANY 0 0.013 % 164.131 K $
COMCAST CORPORATION 0 0.013 % 166.441 K $
ABBOTT LABORATORIES 0 0.013 % 161.649 K $
VODAFONE GROUP PLC 0 0.013 % 172.819 K $
KROGER CO 0 0.013 % 164.889 K $
ONEOK INC 0 0.013 % 162.665 K $
SANTANDER HOLDINGS USA INC 0 0.013 % 165.185 K $
VISA INC 0 0.013 % 165.767 K $
HOWMET AEROSPACE INC 0 0.013 % 166.205 K $
BAXALTA INC 0 0.013 % 169.636 K $
CSX CORP 0 0.013 % 167.227 K $
ABBVIE INC 0 0.013 % 171.745 K $
AMERICAN HOMES 4 RENT LP 0 0.013 % 170.126 K $
ORACLE CORPORATION 0 0.013 % 167.385 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.013 % 166.888 K $
AMERICAN TOWER CORPORATION 0 0.013 % 171.509 K $
SABINE PASS LIQUEFACTION LLC 0 0.013 % 165.584 K $
GRUPO TELEVISA SAB 0 0.013 % 172.081 K $
SAN DIEGO GAS & ELECTRIC CO 0 0.013 % 163.777 K $
CDW LLC 0 0.013 % 169.623 K $
EQUITABLE HOLDINGS INC 0 0.013 % 173.172 K $
TENNESSEE GAS PIPELINE COMPANY LLC 0 0.013 % 173.815 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.013 % 162.218 K $
GOLDMAN SACHS GROUP INC/THE 0 0.013 % 168.396 K $
CUMMINS INC 0 0.013 % 172.222 K $
AMERICAN HONDA FINANCE CORPORATION MTN 0 0.013 % 163.614 K $
AERCAP IRELAND CAPITAL DAC 0 0.013 % 161.810 K $
ABBVIE INC 0 0.013 % 168.280 K $
WALT DISNEY CO 0 0.013 % 170.120 K $
CSX CORP 0 0.013 % 166.824 K $
BERKSHIRE HATHAWAY FINANCE CORP 0 0.013 % 164.393 K $
CHENIERE ENERGY PARTNERS LP 0 0.013 % 165.665 K $
CSX CORP 0 0.013 % 164.265 K $
CITIGROUP INC 0 0.013 % 173.790 K $
CARDINAL HEALTH INC 0 0.013 % 161.917 K $
AON CORP 0 0.013 % 174.255 K $
PNC FINANCIAL SERVICES GROUP INC ( 0 0.013 % 171.463 K $
MPLX LP 0 0.013 % 171.551 K $
GLAXOSMITHKLINE CAPITAL INC 0 0.013 % 168.105 K $
ROGERS COMMUNICATIONS INC 0 0.013 % 171.304 K $
ROGERS COMMUNICATIONS INC 0 0.013 % 165.596 K $
TWDC ENTERPRISES 18 CORP 0 0.013 % 171.329 K $
OHIO POWER CO 0 0.013 % 162.086 K $
NUTRIEN LTD 0 0.013 % 167.465 K $
COMCAST CORPORATION 0 0.013 % 163.611 K $
ESSENTIAL UTILITIES INC 0 0.013 % 168.353 K $
EATON CORPORATION 0 0.013 % 170.345 K $
PEPSICO INC 0 0.013 % 165.210 K $
ROGERS COMMUNICATIONS INC 0 0.013 % 172.290 K $
AMERICAN INTERNATIONAL GROUP INC 0 0.013 % 170.988 K $
ATMOS ENERGY CORPORATION 0 0.013 % 163.347 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.013 % 162.001 K $
PRUDENTIAL FINANCIAL INC MTN 0 0.013 % 166.445 K $
HOME DEPOT INC 0 0.013 % 164.381 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.013 % 173.183 K $
CARDINAL HEALTH INC 0 0.013 % 172.668 K $
NIKE INC 0 0.013 % 173.901 K $
AMERICAN INTERNATIONAL GROUP INC 0 0.013 % 169.216 K $
ARTHUR J GALLAGHER & CO 0 0.013 % 170.070 K $
UNITEDHEALTH GROUP INC 0 0.013 % 162.019 K $
HARTFORD INSURANCE GROUP INC 0 0.013 % 170.162 K $
CATERPILLAR INC 0 0.013 % 170.756 K $
METLIFE INC 0 0.013 % 168.217 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.013 % 165.175 K $
PARAMOUNT GLOBAL 0 0.013 % 166.462 K $
HARTFORD INSURANCE GROUP INC 0 0.013 % 166.176 K $
PRUDENTIAL FUNDING ASIA PLC 0 0.013 % 173.136 K $
BURLINGTON NORTHERN SANTA FE LLC 0 0.013 % 169.167 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.013 % 162.914 K $
FEDEX CORP 0 0.013 % 166.036 K $
ELEVANCE HEALTH INC 0 0.013 % 174.519 K $
HEALTHPEAK OP LLC 0 0.013 % 172.030 K $
WELLTOWER OP LLC 0 0.013 % 164.693 K $
DEUTSCHE BANK (NY BRNCH)(FXD-FLT) 0 0.012 % 157.859 K $
UNITEDHEALTH GROUP INC 0 0.012 % 157.449 K $
LOWES COMPANIES INC 0 0.012 % 154.763 K $
CONAGRA BRANDS INC 0 0.012 % 149.336 K $
SOUTHERN CALIFORNIA EDISON CO 0 0.012 % 158.202 K $
MPLX LP 0 0.012 % 159.123 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.012 % 155.829 K $
OMEGA HEALTHCARE INVESTORS INC 0 0.012 % 157.181 K $
SANTANDER HOLDINGS USA (FXD-FRN) 0 0.012 % 158.956 K $
PULTE GROUP INC 0 0.012 % 148.931 K $
DEUTSCHE BANK AG (NEW YORK BRANCH) 0 0.012 % 156.196 K $
WELLS FARGO & COMPANY MTN 0 0.012 % 150.479 K $
OHIO EDISON COMPANY 0 0.012 % 158.750 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.012 % 150.796 K $
ATMOS ENERGY CORPORATION 0 0.012 % 160.461 K $
UNION PACIFIC CORPORATION 0 0.012 % 156.309 K $
AERCAP IRELAND CAPITAL DAC 0 0.012 % 159.015 K $
JPMORGAN CHASE & CO 0 0.012 % 159.890 K $
MCDONALDS CORPORATION MTN 0 0.012 % 156.831 K $
BANK OF NOVA SCOTIA (FXD-FRN) MTN 0 0.012 % 150.429 K $
DEUTSCHE BANK AG (NEW YORK BRANCH) 0 0.012 % 155.667 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.012 % 159.374 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.012 % 157.694 K $
ENERGY TRANSFER PARTNERS LP 0 0.012 % 155.328 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.012 % 149.857 K $
REGENERON PHARMACEUTICALS INC. 0 0.012 % 153.591 K $
CF INDUSTRIES INC 0 0.012 % 153.288 K $
TELEFONICA EMISIONES SAU 0 0.012 % 157.761 K $
ORIX CORPORATION 0 0.012 % 151.589 K $
AUTONATION INC 0 0.012 % 157.590 K $
ALEXANDRIA REAL ESTATE EQUITIES IN 0 0.012 % 157.718 K $
FACTSET RESEARCH SYSTEMS INC 0 0.012 % 154.316 K $
ALEXANDRIA REAL ESTATE EQUITIES IN 0 0.012 % 149.020 K $
WILLIAMS COMPANIES INC 0 0.012 % 153.816 K $
UNION PACIFIC CORPORATION 0 0.012 % 160.708 K $
KINDER MORGAN INC 0 0.012 % 152.248 K $
FEDEX CORP 0 0.012 % 154.116 K $
ELEVANCE HEALTH INC 0 0.012 % 153.220 K $
COMMONWEALTH EDISON COMPANY 0 0.012 % 161.420 K $
TYCO ELECTRONICS GROUP SA 0 0.012 % 154.789 K $
AERCAP IRELAND CAPITAL DAC 0 0.012 % 149.129 K $
GOLDMAN SACHS GROUP INC/THE 0 0.012 % 159.557 K $
DIAMONDBACK ENERGY INC 0 0.012 % 155.648 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.012 % 157.627 K $
LOWES COMPANIES INC 0 0.012 % 161.103 K $
EASTMAN CHEMICAL CO 0 0.012 % 160.323 K $
BROOKFIELD FINANCE INC 0 0.012 % 160.377 K $
ERP OPERATING LP 0 0.012 % 149.047 K $
LYB INTERNATIONAL FINANCE III LLC 0 0.012 % 152.032 K $
ZOETIS INC 0 0.012 % 152.253 K $
COMMONWEALTH EDISON COMPANY 0 0.012 % 159.022 K $
AT&T INC 0 0.012 % 150.727 K $
ILLUMINA INC 0 0.012 % 158.340 K $
ORACLE CORPORATION 0 0.012 % 157.042 K $
QUALCOMM INCORPORATED 0 0.012 % 155.142 K $
GENERAL MOTORS CO 0 0.012 % 154.710 K $
HUMANA INC 0 0.012 % 149.147 K $
FLORIDA POWER & LIGHT CO 0 0.012 % 153.569 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.012 % 157.099 K $
VERIZON COMMUNICATIONS INC 0 0.012 % 151.230 K $
ELEVANCE HEALTH INC 0 0.012 % 160.834 K $
BAKER HUGHES HOLDINGS LLC 0 0.012 % 149.402 K $
STATE STREET CORP 0 0.012 % 153.113 K $
TYSON FOODS INC 0 0.012 % 158.116 K $
CROWN CASTLE INC 0 0.012 % 149.650 K $
SYSCO CORPORATION 0 0.012 % 151.133 K $
T-MOBILE USA INC 0 0.012 % 161.355 K $
OCCIDENTAL PETROLEUM CORPORATION 0 0.012 % 154.868 K $
NOMURA HOLDINGS INC 0 0.012 % 158.318 K $
ALEXANDRIA REAL ESTATE EQUITIES IN 0 0.012 % 156.776 K $
AT&T INC 0 0.012 % 154.461 K $
AERCAP IRELAND CAPITAL DAC 0 0.012 % 156.019 K $
TRAVELERS COMPANIES INC 0 0.012 % 154.389 K $
WELLTOWER OP LLC 0 0.012 % 160.106 K $
ECOLAB INC 0 0.012 % 160.893 K $
SELECTIVE INSURANCE GROUP INC. 0 0.012 % 151.990 K $
WELLS FARGO & COMPANY MTN 0 0.012 % 155.566 K $
METLIFE INC 0 0.012 % 154.036 K $
WILLIAMS COMPANIES INC 0 0.012 % 160.234 K $
NSTAR ELECTRIC CO 0 0.012 % 155.686 K $
VERIZON COMMUNICATIONS INC 0 0.012 % 154.450 K $
BP CAPITAL MARKETS AMERICA INC 0 0.012 % 156.952 K $
ZIMMER BIOMET HOLDINGS INC 0 0.012 % 156.439 K $
TORONTO-DOMINION BANK/THE MTN 0 0.012 % 156.468 K $
ELI LILLY AND COMPANY 0 0.012 % 158.823 K $
US BANCORP MTN 0 0.012 % 149.092 K $
CITIGROUP INC 0 0.012 % 153.919 K $
WELLS FARGO & COMPANY 0 0.012 % 159.290 K $
ENBRIDGE INC 0 0.012 % 153.536 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.012 % 150.999 K $
DEERE & CO 0 0.012 % 161.512 K $
AMGEN INC 0 0.012 % 161.538 K $
INTEL CORPORATION 0 0.012 % 156.238 K $
ARCH CAPITAL FINANCE LLC 0 0.012 % 155.598 K $
ROYAL BANK OF CANADA MTN 0 0.012 % 154.198 K $
ROYAL BANK OF CANADA (FXD-FRN) MTN 0 0.012 % 154.151 K $
NATIONAL RURAL UTILITIES COOPERATI 0 0.012 % 155.667 K $
PRUDENTIAL FINANCIAL INC 0 0.012 % 153.684 K $
CANADIAN NATIONAL RAILWAY COMPANY 0 0.012 % 148.973 K $
REALTY INCOME CORPORATION 0 0.012 % 155.068 K $
TEXAS INSTRUMENTS INC 0 0.012 % 150.808 K $
UNION PACIFIC CORPORATION 0 0.012 % 152.291 K $
COMMONWEALTH EDISON COMPANY 0 0.012 % 161.624 K $
ATMOS ENERGY CORPORATION 0 0.012 % 157.162 K $
EATON CORPORATION 0 0.012 % 150.315 K $
UNITEDHEALTH GROUP INC 0 0.012 % 151.987 K $
PACIFIC GAS & ELECTRIC CO 0 0.012 % 149.513 K $
COMCAST CORPORATION 0 0.012 % 157.393 K $
HALLIBURTON COMPANY 0 0.012 % 157.293 K $
FLORIDA POWER AND LIGHT CO 0 0.012 % 151.349 K $
NORFOLK SOUTHERN CORPORATION 0 0.012 % 157.541 K $
NORFOLK SOUTHERN CORPORATION 0 0.012 % 156.515 K $
KRAFT HEINZ FOODS CO 0 0.012 % 155.753 K $
TSMC ARIZONA CORP 0 0.012 % 157.893 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.012 % 160.052 K $
DEUTSCHE BANK AG (NEW YORK BRANCH) 0 0.012 % 153.468 K $
ROYAL BANK OF CANADA (FX-FRN) MTN 0 0.012 % 152.142 K $
ORACLE CORPORATION 0 0.012 % 161.204 K $
NASDAQ INC 0 0.012 % 150.970 K $
LEAR CORPORATION 0 0.012 % 159.929 K $
MASTERCARD INC 0 0.012 % 157.717 K $
AIR LEASE CORPORATION 0 0.012 % 159.666 K $
BANK OF NOVA SCOTIA (FXD-FRN) MTN 0 0.012 % 150.681 K $
PEPSICO INC 0 0.012 % 154.195 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.011 % 135.958 K $
INTEL CORPORATION 0 0.011 % 143.212 K $
GRUPO TELEVISA SAB 0 0.011 % 140.717 K $
SHERWIN-WILLIAMS COMPANY (THE) 0 0.011 % 141.201 K $
APPLE INC 0 0.011 % 140.249 K $
RIO TINTO FINANCE (USA) LTD 0 0.011 % 144.869 K $
KIMBERLY-CLARK CORPORATION 0 0.011 % 138.769 K $
VENTAS REALTY LP 0 0.011 % 145.939 K $
UNITEDHEALTH GROUP INC 0 0.011 % 136.682 K $
NXP BV 0 0.011 % 139.461 K $
NOVARTIS CAPITAL CORP 0 0.011 % 140.530 K $
PPL ELECTRIC UTILITIES CORPORATION 0 0.011 % 146.844 K $
KEURIG DR PEPPER INC 0 0.011 % 144.187 K $
REGIONS FINANCIAL CORP 0 0.011 % 144.875 K $
UNITEDHEALTH GROUP INC 0 0.011 % 141.673 K $
CONAGRA BRANDS INC 0 0.011 % 135.852 K $
SIMON PROPERTY GROUP LP 0 0.011 % 137.517 K $
SOUTHERN CALIFORNIA EDISON CO 0 0.011 % 135.811 K $
PNC FINANCIAL SERVICES GROUP INC ( 0 0.011 % 140.823 K $
CHARTER COMMUNICATIONS OPERATING L 0 0.011 % 145.985 K $
COMMONWEALTH EDISON COMPANY 0 0.011 % 142.703 K $
AVERY DENNISON CORPORATION 0 0.011 % 143.101 K $
TSMC ARIZONA CORP 0 0.011 % 136.432 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.011 % 140.593 K $
CROWN CASTLE INC 0 0.011 % 138.463 K $
SOLVENTUM CORP 0 0.011 % 145.738 K $
CONOCOPHILLIPS CO 0 0.011 % 136.831 K $
GILEAD SCIENCES INC 0 0.011 % 141.850 K $
QUANTA SERVICES INC. 0 0.011 % 137.632 K $
PULTE GROUP INC 0 0.011 % 145.092 K $
MCKESSON CORP 0 0.011 % 146.004 K $
BP CAPITAL MARKETS AMERICA INC 0 0.011 % 143.854 K $
DOW CHEMICAL CO 0 0.011 % 144.650 K $
KIMBERLY-CLARK CORPORATION 0 0.011 % 139.006 K $
CROWN CASTLE INC 0 0.011 % 137.930 K $
AMGEN INC 0 0.011 % 141.869 K $
DOVER CORP 0 0.011 % 147.632 K $
ALEXANDRIA REAL ESTATE EQUITIES IN 0 0.011 % 135.852 K $
PNC FINANCIAL SERVICES GROUP INC ( MTN 0 0.011 % 146.925 K $
ENERGY TRANSFER LP 0 0.011 % 139.862 K $
KROGER CO 0 0.011 % 147.041 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.011 % 147.452 K $
PROCTER & GAMBLE CO 0 0.011 % 138.005 K $
WILLIAMS COMPANIES INC 0 0.011 % 146.295 K $
FLORIDA POWER AND LIGHT CO 0 0.011 % 137.447 K $
PHILLIPS 66 CO 0 0.011 % 143.376 K $
PHILLIPS 66 CO 0 0.011 % 143.092 K $
GILEAD SCIENCES INC 0 0.011 % 137.694 K $
RYDER SYSTEM INC MTN 0 0.011 % 141.053 K $
LYB INTERNATIONAL FINANCE III LLC 0 0.011 % 138.260 K $
PECO ENERGY CO 0 0.011 % 138.944 K $
EVERSOURCE ENERGY 0 0.011 % 139.931 K $
MICRON TECHNOLOGY INC 0 0.011 % 146.082 K $
BANK OF AMERICA CORP MTN 0 0.011 % 145.059 K $
CAMPBELLS CO 0 0.011 % 141.139 K $
TRAVELERS COMPANIES INC 0 0.011 % 139.799 K $
HCA INC 0 0.011 % 141.748 K $
AEP TEXAS INC 0 0.011 % 141.945 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.011 % 146.840 K $
CVS HEALTH CORP 0 0.011 % 147.754 K $
NORFOLK SOUTHERN CORPORATION 0 0.011 % 146.673 K $
THERMO FISHER SCIENTIFIC INC 0 0.011 % 137.627 K $
REVVITY INC 0 0.011 % 146.490 K $
TEXAS INSTRUMENTS INC 0 0.011 % 143.692 K $
CONSTELLATION BRANDS INC 0 0.011 % 145.769 K $
HCA INC 0 0.011 % 137.846 K $
NOKIA OYJ 0 0.011 % 141.265 K $
SIMON PROPERTY GROUP LP 0 0.011 % 141.183 K $
SOUTHWEST GAS CORP 0 0.011 % 136.158 K $
DOW CHEMICAL CO 0 0.011 % 137.557 K $
RIO TINTO ALCAN INC 0 0.011 % 141.842 K $
MICROSOFT CORPORATION 0 0.011 % 140.449 K $
PEPSICO INC 0 0.011 % 139.911 K $
ZIMMER BIOMET HOLDINGS INC 0 0.011 % 145.212 K $
ARTHUR J GALLAGHER & CO 0 0.011 % 146.648 K $
ENBRIDGE INC 0 0.011 % 146.133 K $
SOUTHERN PERU COPPER CORP 0 0.011 % 143.640 K $
AT&T INC 0 0.011 % 142.914 K $
KIMCO REALTY OP LLC 0 0.011 % 145.072 K $
INTEL CORPORATION 0 0.011 % 139.114 K $
RIO TINTO FINANCE (USA) PLC 0 0.011 % 139.688 K $
MASTERCARD INC 0 0.011 % 146.068 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.011 % 136.231 K $
DANAHER CORPORATION 0 0.011 % 145.743 K $
TRANSCONTINENTAL GAS PIPE LINE COM 0 0.011 % 140.468 K $
UNION PACIFIC CORPORATION 0 0.011 % 145.872 K $
BIOGEN INC 0 0.011 % 139.437 K $
ESTEE LAUDER COMPANIES INC. (THE) 0 0.011 % 140.491 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.011 % 136.935 K $
ENABLE MIDSTREAM PARTNERS LP 0 0.011 % 145.112 K $
AMERICA MOVIL SAB DE CV 0 0.011 % 142.860 K $
SHELL INTERNATIONAL FINANCE BV 0 0.011 % 142.859 K $
MORGAN STANLEY 0 0.011 % 136.920 K $
PLAINS ALL AMERICAN PIPELINE LP 0 0.011 % 136.742 K $
VERIZON COMMUNICATIONS INC 0 0.011 % 137.631 K $
ENBRIDGE INC 0 0.011 % 146.086 K $
SOUTHERN CALIFORNIA EDISON CO 0 0.011 % 144.436 K $
KINDER MORGAN INC 0 0.011 % 146.192 K $
REGENCY CENTERS LP 0 0.011 % 139.873 K $
APPLE INC 0 0.011 % 145.303 K $
UNITEDHEALTH GROUP INC 0 0.011 % 138.082 K $
NASDAQ INC 0 0.011 % 144.771 K $
SAN DIEGO GAS & ELECTRIC CO 0 0.011 % 137.809 K $
KINDER MORGAN INC 0 0.011 % 141.462 K $
SAN DIEGO GAS & ELECTRIC CO 0 0.011 % 142.407 K $
PROLOGIS LP 0 0.011 % 140.574 K $
VERIZON COMMUNICATIONS INC 0 0.011 % 145.753 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.011 % 136.098 K $
EQUINIX INC 0 0.011 % 136.217 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.011 % 144.606 K $
BANK OF NOVA SCOTIA 0 0.011 % 140.965 K $
KINDER MORGAN INC 0 0.011 % 145.268 K $
SANTANDER UK GROUP HOLDINGS PLC 0 0.011 % 138.583 K $
PACIFIC GAS AND ELECTRIC CO 0 0.011 % 147.943 K $
ASTRAZENECA PLC 0 0.011 % 136.199 K $
ATHENE HOLDING LTD 0 0.011 % 146.495 K $
BANK OF AMERICA CORP MTN 0 0.011 % 144.163 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.011 % 138.505 K $
UNITEDHEALTH GROUP INC 0 0.011 % 145.792 K $
VENTAS REALTY LP 0 0.011 % 139.695 K $
TORONTO-DOMINION BANK/THE 0 0.011 % 147.436 K $
NASDAQ INC 0 0.011 % 137.595 K $
HOME DEPOT INC 0 0.011 % 145.401 K $
TORONTO-DOMINION BANK/THE MTN 0 0.011 % 143.451 K $
COPT DEFENSE PROPERTIES LP 0 0.011 % 146.981 K $
ORACLE CORPORATION 0 0.011 % 140.299 K $
TAKEDA PHARMACEUTICAL CO LTD 0 0.011 % 135.974 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.01 % 131.496 K $
RIO TINTO ALCAN INC 0 0.01 % 134.996 K $
CNH INDUSTRIAL CAPITAL LLC 0 0.01 % 125.561 K $
ARTHUR J GALLAGHER & CO 0 0.01 % 127.320 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.01 % 124.713 K $
AMERICAN TOWER CORPORATION 0 0.01 % 128.752 K $
LOWES COMPANIES INC 0 0.01 % 127.371 K $
WILLIS NORTH AMERICA INC 0 0.01 % 133.742 K $
BRUNSWICK CORP 0 0.01 % 124.376 K $
BURLINGTON NORTHERN SANTA FE LLC 0 0.01 % 129.246 K $
AMERICAN WATER CAPITAL CORP 0 0.01 % 124.113 K $
CATERPILLAR INC 0 0.01 % 126.116 K $
AVERY DENNISON CORPORATION 0 0.01 % 132.303 K $
ARCHER DANIELS MIDLAND CO 0 0.01 % 131.365 K $
CHARLES SCHWAB CORPORATION (THE) 0 0.01 % 133.073 K $
PACIFIC GAS AND ELECTRIC COMPANY 0 0.01 % 133.070 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.01 % 125.588 K $
DIAMONDBACK ENERGY INC 0 0.01 % 133.443 K $
HUMANA INC 0 0.01 % 131.543 K $
NORFOLK SOUTHERN CORPORATION 0 0.01 % 131.150 K $
GENERAL MOTORS CO 0 0.01 % 128.445 K $
KRAFT HEINZ FOODS CO 0 0.01 % 134.999 K $
CHUBB INA HOLDINGS LLC 0 0.01 % 130.110 K $
CARDINAL HEALTH INC 0 0.01 % 127.135 K $
ONEOK INC 0 0.01 % 124.151 K $
SYSCO CORPORATION 0 0.01 % 123.460 K $
KEYBANK NATIONAL ASSOCIATION 0 0.01 % 124.620 K $
FAIRFAX FINANCIAL HOLDINGS LTD 0 0.01 % 132.722 K $
MOODYS CORPORATION 0 0.01 % 122.989 K $
GATX CORPORATION 0 0.01 % 131.898 K $
FLORIDA POWER & LIGHT CO 0 0.01 % 134.196 K $
HOME DEPOT INC 0 0.01 % 126.418 K $
GLOBAL PAYMENTS INC 0 0.01 % 130.213 K $
GENERAL MOTORS FINANCIAL COMPANY I 0 0.01 % 126.443 K $
ENERGY TRANSFER LP 0 0.01 % 131.041 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.01 % 128.684 K $
HCA INC 0 0.01 % 133.771 K $
BOSTON SCIENTIFIC CORPORATION 0 0.01 % 135.307 K $
WALT DISNEY CO 0 0.01 % 123.098 K $
EVEREST REINSURANCE HOLDINGS INC 0 0.01 % 129.445 K $
KLA CORP 0 0.01 % 124.618 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.01 % 124.730 K $
KEURIG DR PEPPER INC 0 0.01 % 134.602 K $
CSX CORP 0 0.01 % 128.075 K $
JUNIPER NETWORKS INC 0 0.01 % 128.139 K $
PPL ELECTRIC UTILITIES CORPORATION 0 0.01 % 129.489 K $
PRINCIPAL FINANCIAL GROUP INC 0 0.01 % 122.909 K $
CANADIAN PACIFIC RAILWAY COMPANY 0 0.01 % 123.549 K $
OCCIDENTAL PETROLEUM CORPORATION 0 0.01 % 124.789 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.01 % 125.483 K $
VULCAN MATERIALS COMPANY 0 0.01 % 133.381 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.01 % 127.308 K $
HUMANA INC 0 0.01 % 132.080 K $
ALEXANDRIA REAL ESTATE EQUITIES IN 0 0.01 % 126.801 K $
CUBESMART LP 0 0.01 % 125.169 K $
HARTFORD INSURANCE GROUP INC 0 0.01 % 129.932 K $
UNION PACIFIC CORPORATION 0 0.01 % 133.606 K $
GENERAL ELECTRIC CO MTN 0 0.01 % 134.492 K $
VERIZON COMMUNICATIONS INC 0 0.01 % 130.477 K $
COCA-COLA CO 0 0.01 % 128.973 K $
STRYKER CORPORATION 0 0.01 % 134.371 K $
ASSURANT INC 0 0.01 % 134.058 K $
BOSTON SCIENTIFIC CORPORATION 0 0.01 % 133.178 K $
STATE STREET CORP 0 0.01 % 125.128 K $
PRINCIPAL FINANCIAL GROUP INC 0 0.01 % 135.152 K $
BANK OF NEW YORK MELLON CORP/THE MTN 0 0.01 % 131.511 K $
KROGER CO 0 0.01 % 130.175 K $
CBOE GLOBAL MARKETS INC 0 0.01 % 132.905 K $
WELLTOWER OP LLC 0 0.01 % 130.786 K $
WELLTOWER OP LLC 0 0.01 % 131.779 K $
HESS CORP 0 0.01 % 123.929 K $
CITIGROUP INC 0 0.01 % 129.134 K $
KROGER CO 0 0.01 % 128.305 K $
PROGRESSIVE CORPORATION (THE) 0 0.01 % 131.846 K $
MDC HOLDINGS INC 0 0.01 % 133.028 K $
TRUIST FINANCIAL CORP MTN 0 0.01 % 123.275 K $
ALBEMARLE CORP 0 0.01 % 127.223 K $
ONE GAS INC 0 0.01 % 128.002 K $
AIR LEASE CORPORATION MTN 0 0.01 % 131.207 K $
AT&T INC 0 0.01 % 131.350 K $
BOARDWALK PIPELINES LP 0 0.01 % 134.042 K $
SOUTHWEST GAS CORP 0 0.01 % 135.669 K $
DELMARVA POWER & LIGHT COMPANY 0 0.01 % 131.808 K $
FOMENTO ECONOMICO MEXICANO SAB DE 0 0.01 % 124.775 K $
SYSCO CORPORATION 0 0.01 % 132.754 K $
STARBUCKS CORPORATION 0 0.01 % 126.424 K $
CUMMINS INC 0 0.01 % 130.884 K $
BANK OF AMERICA CORP MTN 0 0.01 % 129.401 K $
FLORIDA POWER AND LIGHT CO 0 0.01 % 127.630 K $
DOW CHEMICAL CO 0 0.01 % 126.680 K $
COMMONWEALTH EDISON COMPANY 0 0.01 % 130.255 K $
PRINCIPAL FINANCIAL GROUP INC 0 0.01 % 127.785 K $
UNION PACIFIC CORPORATION 0 0.01 % 131.132 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.01 % 130.983 K $
TRANE TECHNOLOGIES HOLDCO INC 0 0.01 % 123.889 K $
WILLIAMS COMPANIES INC 0 0.01 % 130.127 K $
BANK OF NEW YORK MELLON (FXD-FRN) MTN 0 0.01 % 125.084 K $
LEGGETT & PLATT INC 0 0.01 % 130.720 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.01 % 126.593 K $
PAYPAL HOLDINGS INC 0 0.01 % 123.570 K $
UNITEDHEALTH GROUP INC 0 0.01 % 135.643 K $
BROOKFIELD FINANCE INC 0 0.01 % 131.132 K $
NBCUNIVERSAL MEDIA LLC 0 0.01 % 131.791 K $
BP CAPITAL MARKETS AMERICA INC 0 0.01 % 123.228 K $
WESTERN MIDSTREAM OPERATING LP 0 0.01 % 133.354 K $
CSX CORP 0 0.01 % 135.436 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.01 % 133.366 K $
KINDER MORGAN INC 0 0.01 % 126.207 K $
ARTHUR J GALLAGHER & CO 0 0.01 % 135.414 K $
RAYMOND JAMES FINANCIAL INC. 0 0.01 % 126.648 K $
APPLE INC 0 0.01 % 130.282 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.01 % 134.792 K $
CISCO SYSTEMS INC 0 0.01 % 131.714 K $
EASTMAN CHEMICAL CO 0 0.01 % 134.355 K $
QUEST DIAGNOSTICS INCORPORATED 0 0.01 % 124.672 K $
WELLS FARGO & COMPANY MTN 0 0.01 % 133.446 K $
NORFOLK SOUTHERN CORPORATION 0 0.01 % 125.508 K $
ENBRIDGE INC 0 0.01 % 131.658 K $
AON CORP 0 0.01 % 134.044 K $
CSX CORP 0 0.01 % 131.170 K $
INTERCONTINENTAL EXCHANGE INC 0 0.01 % 124.168 K $
HIGHWOODS REALTY LP 0 0.01 % 128.303 K $
ARCHER DANIELS MIDLAND CO 0 0.01 % 129.734 K $
CONNECTICUT LIGHT AND POWER COMPAN 0 0.01 % 124.639 K $
JOHNSON & JOHNSON 0 0.01 % 129.303 K $
ANALOG DEVICES INC 0 0.01 % 124.903 K $
AMGEN INC 0 0.01 % 131.258 K $
LPL HOLDINGS INC 0 0.01 % 126.249 K $
CHURCH & DWIGHT CO INC 0 0.01 % 125.708 K $
BANK OF MONTREAL MTN 0 0.01 % 125.616 K $
PRINCIPAL FINANCIAL GROUP INC 0 0.01 % 131.226 K $
ONEOK INC 0 0.01 % 128.093 K $
AMERICAN EXPRESS COMPANY 0 0.01 % 123.617 K $
BRIGHTHOUSE FINANCIAL INC 0 0.01 % 130.941 K $
JPMORGAN CHASE & CO 0 0.01 % 129.746 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.01 % 123.498 K $
CISCO SYSTEMS INC 0 0.01 % 126.059 K $
JPMORGAN CHASE & CO 0 0.01 % 132.716 K $
NORFOLK SOUTHERN CORPORATION 0 0.01 % 130.981 K $
PIEDMONT NATURAL GAS COMPANY INC 0 0.01 % 134.519 K $
MOTOROLA SOLUTIONS INC 0 0.01 % 128.636 K $
SOLVENTUM CORP 0 0.01 % 126.696 K $
GLP CAPITAL LP 0 0.01 % 135.605 K $
GENERAL MOTORS CO 0 0.01 % 124.470 K $
ROCKWELL AUTOMATION INC 0 0.01 % 126.331 K $
BROADCOM INC 144A 0 0.01 % 129.069 K $
PAYPAL HOLDINGS INC 0 0.01 % 124.782 K $
AETNA INC 0 0.009 % 111.429 K $
PULTE GROUP INC 0 0.009 % 113.269 K $
PROLOGIS LP 0 0.009 % 113.563 K $
MARKEL GROUP INC 0 0.009 % 118.406 K $
APA CORP (US) 0 0.009 % 117.928 K $
APTIV SWISS HOLDINGS LTD 0 0.009 % 119.745 K $
INTERCONTINENTAL EXCHANGE INC 0 0.009 % 114.929 K $
J M SMUCKER CO 0 0.009 % 117.769 K $
STARBUCKS CORPORATION 0 0.009 % 113.622 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.009 % 114.124 K $
MARATHON PETROLEUM CORP 0 0.009 % 118.225 K $
LOWES COMPANIES INC 0 0.009 % 118.667 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.009 % 116.691 K $
TRANSCANADA PIPELINES LTD 0 0.009 % 114.427 K $
NORFOLK SOUTHERN CORPORATION 0 0.009 % 111.240 K $
DH EUROPE FINANCE II SARL 0 0.009 % 111.308 K $
HUNTINGTON BANCSHARES INC 0 0.009 % 122.829 K $
DIAMONDBACK ENERGY INC 0 0.009 % 111.006 K $
MPLX LP 0 0.009 % 122.651 K $
CROWN CASTLE INC 0 0.009 % 120.706 K $
DEVON ENERGY CORPORATION 0 0.009 % 112.548 K $
HA SUSTAINABLE INFRASTRUCTURE CAPI 0 0.009 % 115.469 K $
WELLTOWER OP LLC 0 0.009 % 110.094 K $
CATERPILLAR INC 0 0.009 % 120.990 K $
WINTRUST FINANCIAL CORPORATION 0 0.009 % 120.204 K $
SOUTHERN CALIFORNIA EDISON CO 0 0.009 % 110.793 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.009 % 120.350 K $
ALPHABET INC 0 0.009 % 115.290 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.009 % 116.096 K $
SONOCO PRODUCTS COMPANY 0 0.009 % 122.619 K $
EMERSON ELECTRIC CO 0 0.009 % 117.265 K $
METLIFE INC 0 0.009 % 118.869 K $
AXIS SPECIALTY FINANCE LLC 0 0.009 % 118.147 K $
BP CAPITAL MARKETS AMERICA INC 0 0.009 % 118.619 K $
PROCTER & GAMBLE CO 0 0.009 % 120.196 K $
NBCUNIVERSAL MEDIA LLC 0 0.009 % 117.645 K $
COMCAST CORPORATION 144A 0 0.009 % 111.537 K $
INTEL CORPORATION 0 0.009 % 116.060 K $
TRUIST FINANCIAL CORP MTN 0 0.009 % 113.687 K $
SPIRE MISSOURI INC 0 0.009 % 118.768 K $
GOLDMAN SACHS GROUP INC/THE 0 0.009 % 120.301 K $
ARCH CAPITAL GROUP LTD 0 0.009 % 111.964 K $
WILLIS NORTH AMERICA INC 0 0.009 % 117.563 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.009 % 117.954 K $
WILLIS NORTH AMERICA INC 0 0.009 % 114.688 K $
ENERGY TRANSFER LP 0 0.009 % 110.486 K $
CHARLES SCHWAB CORPORATION (THE) 0 0.009 % 120.079 K $
KIMCO REALTY OP LLC 0 0.009 % 112.668 K $
GRUPO TELEVISA SAB 0 0.009 % 117.161 K $
INVITATION HOMES OPERATING PARTNER 0 0.009 % 112.421 K $
COMCAST CORPORATION 0 0.009 % 116.330 K $
RYDER SYSTEM INC MTN 0 0.009 % 118.626 K $
NORFOLK SOUTHERN CORPORATION 0 0.009 % 114.445 K $
BANK OF MONTREAL MTN 0 0.009 % 113.382 K $
BURLINGTON NORTHERN SANTA FE LLC 0 0.009 % 110.820 K $
US BANCORP 0 0.009 % 115.333 K $
MCDONALDS CORPORATION 0 0.009 % 121.899 K $
SABRA HEALTH CARE LP 0 0.009 % 111.995 K $
BOSTON PROPERTIES LP 0 0.009 % 113.538 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.009 % 115.182 K $
AMCOR FINANCE (USA) INC 0 0.009 % 110.934 K $
HOME DEPOT INC 0 0.009 % 120.375 K $
EL PASO ELECTRIC CO 0 0.009 % 115.189 K $
ROYALTY PHARMA PLC 0 0.009 % 115.479 K $
CSX CORP 0 0.009 % 117.084 K $
NASDAQ INC 0 0.009 % 112.201 K $
UNITED PARCEL SERVICE INC 0 0.009 % 114.270 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.009 % 114.718 K $
MICROSOFT CORPORATION 0 0.009 % 119.509 K $
AT&T INC 0 0.009 % 121.764 K $
HALLIBURTON COMPANY 0 0.009 % 115.998 K $
LOWES COMPANIES INC 0 0.009 % 121.645 K $
SIMON PROPERTY GROUP LP 0 0.009 % 118.465 K $
STATE STREET CORP 0 0.009 % 114.824 K $
AUTONATION INC 0 0.009 % 110.302 K $
ENTERGY CORPORATION 0 0.009 % 118.028 K $
GATX CORPORATION 0 0.009 % 120.192 K $
WP CAREY INC 0 0.009 % 116.913 K $
CAMPBELLS CO 0 0.009 % 116.468 K $
PUBLIC SERVICE COMPANY OF NEW HAMP 0 0.009 % 117.869 K $
KROGER CO 0 0.009 % 121.676 K $
DEERE & CO 0 0.009 % 116.520 K $
TRANSCANADA PIPELINES LTD 0 0.009 % 122.101 K $
GENERAL MILLS INC 0 0.009 % 118.831 K $
OVINTIV INC 0 0.009 % 113.012 K $
LINCOLN NATIONAL CORPORATION 0 0.009 % 115.964 K $
BRIXMOR OPERATING PARTNERSHIP LP 0 0.009 % 111.838 K $
CENCORA INC 0 0.009 % 120.895 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.009 % 116.489 K $
MARSH & MCLENNAN COMPANIES (FXD) 0 0.009 % 118.814 K $
MARSH & MCLENNAN COMPANIES INC 0 0.009 % 113.056 K $
NOV INC 0 0.009 % 114.482 K $
ORACLE CORPORATION 0 0.009 % 110.781 K $
EXTRA SPACE STORAGE LP 0 0.009 % 114.172 K $
TEXAS INSTRUMENTS INC 0 0.009 % 120.924 K $
JACKSON FINANCIAL INC 0 0.009 % 121.142 K $
ONEOK INC 0 0.009 % 117.118 K $
CVS HEALTH CORP 0 0.009 % 121.178 K $
PUBLIC SERVICE ENTERPRISE GROUP IN 0 0.009 % 114.973 K $
WESTROCK MWV LLC 0 0.009 % 114.979 K $
INGERSOLL RAND INC 0 0.009 % 110.868 K $
NSTAR ELECTRIC CO 0 0.009 % 115.309 K $
UNITED PARCEL SERVICE INC 0 0.009 % 114.823 K $
REALTY INCOME CORPORATION 0 0.009 % 110.588 K $
BARCLAYS PLC 0 0.009 % 111.033 K $
MOTOROLA SOLUTIONS INC 0 0.009 % 113.709 K $
NUCOR CORPORATION 0 0.009 % 112.258 K $
LAZARD GROUP LLC 0 0.009 % 118.941 K $
INTERNATIONAL PAPER CO 0 0.009 % 120.589 K $
AEP TEXAS INC 0 0.009 % 117.756 K $
ELI LILLY AND COMPANY 0 0.009 % 121.043 K $
TWDC ENTERPRISES 18 CORP 0 0.009 % 111.066 K $
MASTERCARD INC 0 0.009 % 115.197 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.009 % 117.550 K $
NISOURCE INC 0 0.009 % 117.517 K $
UNION PACIFIC CORPORATION 0 0.009 % 119.800 K $
PROGRESSIVE CORPORATION (THE) 0 0.009 % 116.547 K $
NATIONAL FUEL GAS COMPANY 0 0.009 % 119.054 K $
CITIZENS FINANCIAL GROUP INC 0 0.009 % 118.006 K $
LAM RESEARCH CORPORATION 0 0.009 % 115.279 K $
UNITEDHEALTH GROUP INC 0 0.009 % 115.453 K $
ALEXANDRIA REAL ESTATE EQUITIES IN 0 0.009 % 115.244 K $
PACIFIC GAS AND ELECTRIC CO 0 0.009 % 114.825 K $
COMCAST CORPORATION 0 0.008 % 103.594 K $
US BANCORP MTN 0 0.008 % 98.427 K $
DEERE & CO 0 0.008 % 107.860 K $
RELX CAPITAL INC 0 0.008 % 97.746 K $
GENERAL ELECTRIC CO MTN 0 0.008 % 100.119 K $
NUTRIEN LTD 0 0.008 % 98.469 K $
ESSENTIAL UTILITIES INC 0 0.008 % 106.910 K $
WELLS FARGO & COMPANY MTN 0 0.008 % 107.744 K $
DOC DR LLC 0 0.008 % 99.686 K $
ILLINOIS TOOL WORKS INC 0 0.008 % 99.389 K $
FLORIDA POWER & LIGHT CO 0 0.008 % 104.822 K $
ROYALTY PHARMA PLC 0 0.008 % 107.819 K $
AMERICAN WATER CAPITAL CORP 0 0.008 % 102.012 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.008 % 108.654 K $
STEEL DYNAMICS INC 0 0.008 % 99.624 K $
TORONTO-DOMINION BANK/THE MTN 0 0.008 % 103.366 K $
DOW CHEMICAL CO 0 0.008 % 105.156 K $
UNITED PARCEL SERVICE INC 0 0.008 % 109.671 K $
GATX CORPORATION 0 0.008 % 102.951 K $
PACIFIC GAS AND ELECTRIC CO 0 0.008 % 100.875 K $
COMCAST CORPORATION 0 0.008 % 99.505 K $
COMCAST CORPORATION 0 0.008 % 109.652 K $
STEEL DYNAMICS INC 0 0.008 % 101.336 K $
ROGERS COMMUNICATIONS INC 0 0.008 % 109.099 K $
APPLIED MATERIALS INC 0 0.008 % 100.156 K $
PROGRESSIVE CORPORATION (THE) 0 0.008 % 97.211 K $
MCCORMICK & COMPANY INCORPORATED 0 0.008 % 99.435 K $
REGENCY CENTERS LP 0 0.008 % 109.895 K $
T-MOBILE USA INC 0 0.008 % 109.622 K $
BRIXMOR OPERATING PARTNERSHIP LP 0 0.008 % 108.134 K $
AON CORP 0 0.008 % 105.243 K $
COUSINS PROPERTIES LP 0 0.008 % 105.687 K $
UNITEDHEALTH GROUP INC 0 0.008 % 98.391 K $
MCKESSON CORP 0 0.008 % 100.770 K $
TORONTO-DOMINION BANK/THE MTN 0 0.008 % 101.370 K $
WILLIAMS COMPANIES INC 0 0.008 % 98.419 K $
TRANSCANADA PIPELINES LTD 0 0.008 % 104.985 K $
PACIFIC GAS AND ELECTRIC CO 0 0.008 % 101.406 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.008 % 97.624 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.008 % 102.503 K $
SMITH & NEPHEW PLC 0 0.008 % 105.794 K $
RIO TINTO FINANCE (USA) PLC 0 0.008 % 107.177 K $
CARDINAL HEALTH INC 0 0.008 % 100.022 K $
ENBRIDGE INC 0 0.008 % 104.471 K $
KRAFT HEINZ FOODS CO 0 0.008 % 106.941 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.008 % 98.275 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.008 % 97.860 K $
ALPHABET INC 0 0.008 % 101.125 K $
CHOICE HOTELS INTERNATIONAL INC 0 0.008 % 97.219 K $
PROGRESSIVE CORPORATION (THE) 0 0.008 % 107.680 K $
EQUINIX INC 0 0.008 % 108.304 K $
WALT DISNEY CO 0 0.008 % 108.774 K $
HUNTINGTON INGALLS INDUSTRIES INC 0 0.008 % 99.139 K $
CHARLES SCHWAB CORPORATION (THE) 0 0.008 % 108.040 K $
ONEOK INC 0 0.008 % 105.304 K $
BIOGEN INC 0 0.008 % 105.752 K $
KEURIG DR PEPPER INC 0 0.008 % 104.246 K $
CF INDUSTRIES INC 0 0.008 % 104.832 K $
TENNESSEE GAS PIPELINE COMPANY LLC 0 0.008 % 107.979 K $
STATE STREET CORP 0 0.008 % 103.195 K $
WASTE MANAGEMENT INC 0 0.008 % 100.073 K $
REALTY INCOME CORPORATION 0 0.008 % 98.249 K $
PEPSICO INC 0 0.008 % 104.253 K $
CME GROUP INC 0 0.008 % 100.374 K $
TARGET CORPORATION 0 0.008 % 105.019 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.008 % 106.149 K $
TRUIST FINANCIAL CORP MTN 0 0.008 % 109.553 K $
TJX COMPANIES INC 0 0.008 % 102.099 K $
SANTANDER UK GROUP HOLDINGS PLC 0 0.008 % 104.656 K $
CONAGRA BRANDS INC 0 0.008 % 103.729 K $
CINTAS CORPORATION NO 2 0 0.008 % 99.017 K $
3M CO 0 0.008 % 98.087 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.008 % 106.167 K $
CISCO SYSTEMS INC 0 0.008 % 103.922 K $
NORFOLK SOUTHERN CORPORATION 0 0.008 % 109.277 K $
ALLY FINANCIAL INC 0 0.008 % 97.127 K $
ESTEE LAUDER COMPANIES INC. (THE) 0 0.008 % 100.306 K $
VULCAN MATERIALS COMPANY 0 0.008 % 101.720 K $
COMMONWEALTH EDISON COMPANY 0 0.008 % 106.749 K $
MASTERCARD INC 0 0.008 % 97.834 K $
WELLTOWER OP LLC 0 0.008 % 103.015 K $
DOW CHEMICAL CO 0 0.008 % 108.307 K $
EQUINIX INC 0 0.008 % 97.717 K $
AGREE LP 0 0.008 % 101.130 K $
GLP CAPITAL LP 0 0.008 % 108.953 K $
OWENS CORNING 0 0.008 % 107.968 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.008 % 105.746 K $
WP CAREY INC 0 0.008 % 97.443 K $
OWENS CORNING 0 0.008 % 106.515 K $
REGENCY CENTERS LP 0 0.008 % 105.107 K $
UNION PACIFIC CORPORATION 0 0.008 % 109.653 K $
EVERSOURCE ENERGY 0 0.008 % 100.224 K $
MCKESSON CORP 0 0.008 % 105.270 K $
METLIFE INC 0 0.008 % 104.533 K $
LOWES COMPANIES INC 0 0.008 % 108.249 K $
LOWES COMPANIES INC 0 0.008 % 98.087 K $
MARTIN MARIETTA MATERIALS INC 0 0.008 % 100.172 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.008 % 104.335 K $
CONSTELLATION BRANDS INC 0 0.008 % 109.404 K $
BUNGE FINANCE LTD CORP 0 0.008 % 102.444 K $
CATERPILLAR INC 0 0.008 % 101.756 K $
VODAFONE GROUP PLC 0 0.008 % 101.678 K $
INTEL CORPORATION 0 0.008 % 103.246 K $
OCCIDENTAL PETROLEUM CORPORATION 0 0.008 % 99.300 K $
GENERAL MOTORS FINANCIAL COMPANY I 0 0.008 % 97.484 K $
VENTAS REALTY LP 0 0.008 % 107.995 K $
ABBOTT LABORATORIES 0 0.008 % 100.587 K $
NUTRIEN LTD 0 0.008 % 101.054 K $
KROGER CO 0 0.008 % 105.289 K $
SIMON PROPERTY GROUP LP 0 0.008 % 108.686 K $
ELEVANCE HEALTH INC 0 0.008 % 100.233 K $
NUTRIEN LTD 0 0.008 % 101.200 K $
MARKEL GROUP INC 0 0.008 % 100.355 K $
BANK OF AMERICA CORP MTN 0 0.008 % 109.622 K $
BRISTOL-MYERS SQUIBB CO 0 0.008 % 105.983 K $
AMERICA MOVIL SAB DE CV 0 0.008 % 103.470 K $
MORGAN STANLEY MTN 0 0.008 % 103.269 K $
US BANCORP 0 0.008 % 101.838 K $
HOME DEPOT INC 0 0.008 % 109.792 K $
PEPSICO INC 0 0.008 % 102.364 K $
NEXTERA ENERGY CAPITAL HOLDINGS IN 0 0.008 % 104.088 K $
BANCO SANTANDER SA 0 0.008 % 101.457 K $
INTERNATIONAL FLAVORS & FRAGRANCES 0 0.008 % 106.914 K $
BRIXMOR OPERATING PARTNERSHIP LP 0 0.008 % 106.796 K $
ERP OPERATING LP 0 0.008 % 105.359 K $
KINDER MORGAN INC 0 0.008 % 103.125 K $
SAN DIEGO GAS & ELECTRIC CO 0 0.008 % 108.793 K $
NXP BV 0 0.008 % 97.140 K $
CUMMINS INC 0 0.008 % 105.025 K $
UNION PACIFIC CORPORATION 0 0.008 % 106.674 K $
JEFFERIES GROUP INC 0 0.008 % 99.535 K $
UNILEVER CAPITAL CORP 0 0.008 % 102.371 K $
AT&T INC 0 0.008 % 97.751 K $
GLOBAL PAYMENTS INC 0 0.008 % 108.898 K $
WESTPAC BANKING CORP 0 0.008 % 106.731 K $
MDC HOLDINGS INC 0 0.008 % 99.525 K $
MCKESSON CORP 0 0.008 % 98.936 K $
PROGRESSIVE CORPORATION (THE) 0 0.008 % 102.678 K $
ABBOTT LABORATORIES 0 0.008 % 99.871 K $
DIAGEO INVESTMENT CORPORATION 0 0.008 % 108.719 K $
CENTERPOINT ENERGY HOUSTON ELECTRI 0 0.008 % 107.465 K $
PROLOGIS LP 0 0.008 % 100.407 K $
CBRE SERVICES INC 0 0.008 % 99.087 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.008 % 97.405 K $
EXTRA SPACE STORAGE LP 0 0.008 % 97.684 K $
MCDONALDS CORPORATION MTN 0 0.008 % 103.337 K $
STORE CAPITAL LLC 0 0.008 % 102.838 K $
GENERAL MILLS INC 0 0.008 % 103.702 K $
LABORATORY CORPORATION OF AMERICA 0 0.008 % 105.603 K $
SYSCO CORPORATION 0 0.008 % 104.645 K $
CANADIAN IMPERIAL BANK OF COMMERCE 0 0.008 % 102.116 K $
DIAMONDBACK ENERGY INC 0 0.008 % 106.167 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.008 % 100.627 K $
NEXTERA ENERGY CAPITAL HOLDINGS IN 0 0.007 % 96.931 K $
UNION PACIFIC CORPORATION 0 0.007 % 87.460 K $
VENTAS REALTY LP 0 0.007 % 86.681 K $
ENERGY TRANSFER LP 0 0.007 % 95.810 K $
TARGET CORPORATION 0 0.007 % 92.105 K $
HYATT HOTELS CORP 0 0.007 % 87.204 K $
JPMORGAN CHASE & CO 0 0.007 % 88.918 K $
EXELON CORPORATION 0 0.007 % 95.878 K $
ELI LILLY AND COMPANY 0 0.007 % 91.018 K $
UNITEDHEALTH GROUP INC 0 0.007 % 87.634 K $
BANK OF AMERICA CORP MTN 0 0.007 % 88.430 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.007 % 91.611 K $
WILLIAMS COMPANIES INC 0 0.007 % 88.790 K $
AMERICAN HONDA FINANCE CORPORATION MTN 0 0.007 % 92.793 K $
LEAR CORPORATION 0 0.007 % 94.837 K $
CARRIER GLOBAL CORP 0 0.007 % 89.269 K $
BALTIMORE GAS AND ELECTRIC CO 0 0.007 % 89.025 K $
VALERO ENERGY CORPORATION 0 0.007 % 90.583 K $
ENBRIDGE INC 0 0.007 % 88.259 K $
METLIFE INC 0 0.007 % 89.995 K $
PRUDENTIAL FINANCIAL INC 0 0.007 % 94.284 K $
ESSENTIAL UTILITIES INC 0 0.007 % 88.866 K $
SOUTHERN CALIFORNIA GAS COMPANY 0 0.007 % 86.847 K $
EVERSOURCE ENERGY 0 0.007 % 90.439 K $
META PLATFORMS INC 0 0.007 % 86.075 K $
GENERAL MOTORS CO 0 0.007 % 94.312 K $
JOHN DEERE CAPITAL CORP MTN 0 0.007 % 94.547 K $
LABORATORY CORPORATION OF AMERICA 0 0.007 % 96.599 K $
GLAXOSMITHKLINE CAPITAL INC 0 0.007 % 85.311 K $
UNITEDHEALTH GROUP INC 0 0.007 % 91.497 K $
SYSCO CORPORATION 0 0.007 % 90.689 K $
CHUBB INA HOLDINGS LLC 0 0.007 % 93.075 K $
TRAVELERS COMPANIES INC 0 0.007 % 95.817 K $
ROCKWELL AUTOMATION INC 0 0.007 % 92.671 K $
CANADIAN PACIFIC RAILWAY COMPANY 0 0.007 % 93.698 K $
PPL ELECTRIC UTILITIES CORPORATION 0 0.007 % 95.153 K $
METLIFE INC 0 0.007 % 91.273 K $
GATX CORPORATION 0 0.007 % 89.491 K $
HOME DEPOT INC 0 0.007 % 84.071 K $
STEEL DYNAMICS INC 0 0.007 % 86.007 K $
CHARLES SCHWAB CORPORATION (THE) 0 0.007 % 88.376 K $
KRAFT HEINZ FOODS CO 0 0.007 % 96.473 K $
STARBUCKS CORPORATION 0 0.007 % 90.811 K $
ONEOK INC 0 0.007 % 87.019 K $
HOME DEPOT INC 0 0.007 % 95.447 K $
MOSAIC CO/THE 0 0.007 % 91.554 K $
CNH INDUSTRIAL CAPITAL LLC 0 0.007 % 86.605 K $
3M CO MTN 0 0.007 % 91.917 K $
PARAMOUNT GLOBAL 0 0.007 % 95.792 K $
REINSURANCE GROUP OF AMERICA INC 0 0.007 % 91.814 K $
MASCO CORP 0 0.007 % 92.008 K $
RYDER SYSTEM INC MTN 0 0.007 % 88.992 K $
BANK OF NOVA SCOTIA MTN 0 0.007 % 88.288 K $
TRANSCONTINENTAL GAS PIPE LINE COM 0 0.007 % 89.795 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.007 % 93.483 K $
PHILLIPS 66 CO 0 0.007 % 90.309 K $
HARTFORD INSURANCE GROUP INC 0 0.007 % 95.777 K $
KEYBANK NA/CLEVELAND OH MTN 0 0.007 % 96.555 K $
TARGET CORPORATION 0 0.007 % 93.289 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.007 % 88.053 K $
SOUTHERN COPPER CORP 0 0.007 % 91.050 K $
BARCLAYS PLC 0 0.007 % 89.601 K $
GLP CAPITAL LP 0 0.007 % 95.734 K $
BROOKFIELD FINANCE INC 0 0.007 % 92.417 K $
BROOKFIELD FINANCE INC 0 0.007 % 96.262 K $
US BANCORP MTN 0 0.007 % 91.381 K $
INTEL CORPORATION 0 0.007 % 91.228 K $
DEVON FINANCING CO LLC 0 0.007 % 86.550 K $
GOLDMAN SACHS GROUP INC/THE 0 0.007 % 88.284 K $
AMERICAN WATER CAPITAL CORP 0 0.007 % 87.337 K $
MARVELL TECHNOLOGY INC 0 0.007 % 86.849 K $
NSTAR ELECTRIC CO 0 0.007 % 90.798 K $
BRUNSWICK CORP 0 0.007 % 88.572 K $
ALLSTATE CORPORATION (THE) 0 0.007 % 87.717 K $
TRANSCONTINENTAL GAS PIPE LINE COM 0 0.007 % 88.767 K $
UTAH ACQUISITION SUB INC 0 0.007 % 93.758 K $
AMERICAN WATER CAPITAL CORP 0 0.007 % 92.482 K $
PECO ENERGY CO 0 0.007 % 92.319 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.007 % 96.597 K $
JEFFERIES GROUP INC 0 0.007 % 85.501 K $
CONOCOPHILLIPS CO 0 0.007 % 95.381 K $
PARAMOUNT GLOBAL 0 0.007 % 86.859 K $
HCA INC 0 0.007 % 95.862 K $
GENERAL MILLS INC 0 0.007 % 90.845 K $
AGILENT TECHNOLOGIES INC 0 0.007 % 95.130 K $
STRYKER CORPORATION 0 0.007 % 90.736 K $
CANADIAN PACIFIC RAILWAY COMPANY 0 0.007 % 94.032 K $
KEURIG DR PEPPER INC 0 0.007 % 92.058 K $
CARDINAL HEALTH INC 0 0.007 % 93.021 K $
SHERWIN-WILLIAMS COMPANY (THE) 0 0.007 % 85.496 K $
COCA COLA FEMSA SAB DE CV 0 0.007 % 87.019 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.007 % 92.103 K $
CONSTELLATION BRANDS INC 0 0.007 % 89.476 K $
CONCENTRIX CORP 0 0.007 % 89.622 K $
COMCAST CORPORATION 0 0.007 % 94.023 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.007 % 89.822 K $
PROLOGIS LP 0 0.007 % 85.857 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.007 % 90.977 K $
PROCTER & GAMBLE CO 0 0.007 % 89.127 K $
CONSOLIDATED EDISON COMPANY OF NEW 0 0.007 % 95.833 K $
WALT DISNEY CO 0 0.007 % 95.691 K $
HOME DEPOT INC 0 0.007 % 92.842 K $
NUTRIEN LTD 0 0.007 % 89.067 K $
FISERV INC 0 0.007 % 87.585 K $
EL PASO ELECTRIC CO 0 0.007 % 93.661 K $
ECOLAB INC 0 0.007 % 85.984 K $
HOST HOTELS & RESORTS LP 0 0.007 % 94.327 K $
ATHENE HOLDING LTD 0 0.007 % 86.821 K $
DEERE & CO 0 0.007 % 94.500 K $
BRIXMOR OPERATING PARTNERSHIP LP 0 0.007 % 85.711 K $
TARGET CORPORATION 0 0.007 % 95.155 K $
VALMONT INDUSTRIES INC 0 0.007 % 96.331 K $
STRYKER CORPORATION 0 0.007 % 88.870 K $
HONEYWELL INTERNATIONAL INC 0 0.007 % 87.076 K $
WESTPAC BANKING CORP 0 0.007 % 91.921 K $
UNION PACIFIC CORPORATION 0 0.007 % 89.841 K $
CITIGROUP INC 0 0.007 % 88.036 K $
ATHENE HOLDING LTD 0 0.007 % 94.522 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.007 % 86.144 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.007 % 84.629 K $
MORGAN STANLEY MTN 0 0.007 % 86.937 K $
MICROSOFT CORPORATION 0 0.007 % 90.886 K $
MONDELEZ INTERNATIONAL INC 0 0.007 % 89.298 K $
METLIFE INC 0 0.007 % 96.326 K $
NEXTERA ENERGY CAPITAL HOLDINGS IN 0 0.007 % 84.308 K $
ANHEUSER-BUSCH INBEV WORLDWIDE INC 0 0.007 % 84.761 K $
LABORATORY CORPORATION OF AMERICA 0 0.007 % 85.016 K $
GATX CORPORATION 0 0.007 % 85.482 K $
ONEOK INC 0 0.007 % 92.406 K $
BANK OF NEW YORK MELLON CORP/THE MTN 0 0.007 % 94.924 K $
TOTALENERGIES CAPITAL INTERNATIONA 0 0.007 % 85.303 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.007 % 89.068 K $
MCDONALDS CORPORATION MTN 0 0.007 % 88.884 K $
RADIAN GROUP INC 0 0.007 % 85.684 K $
PARKER HANNIFIN CORPORATION 0 0.006 % 72.067 K $
MOODYS CORPORATION 0 0.006 % 81.553 K $
HESS CORP 0 0.006 % 77.916 K $
COMCAST CORPORATION 0 0.006 % 73.531 K $
AVALONBAY COMMUNITIES INC MTN 0 0.006 % 73.034 K $
PEPSICO INC 0 0.006 % 72.100 K $
MARTIN MARIETTA MATERIALS INC 0 0.006 % 75.237 K $
AERCAP IRELAND CAPITAL DAC 0 0.006 % 77.590 K $
KIMCO REALTY OP LLC 0 0.006 % 76.037 K $
CORNING INC 0 0.006 % 78.350 K $
PACIFIC GAS AND ELECTRIC COMPANY 0 0.006 % 76.984 K $
CENTERPOINT ENERGY HOUSTON ELECTRI 0 0.006 % 71.797 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.006 % 81.817 K $
ENTERGY TEXAS INC 0 0.006 % 73.380 K $
BIOGEN INC 0 0.006 % 76.035 K $
WELLTOWER OP LLC 0 0.006 % 76.217 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.006 % 75.005 K $
UNITED PARCEL SERVICE INC 0 0.006 % 82.824 K $
SANTANDER UK GROUP HOLDINGS PLC 0 0.006 % 81.657 K $
NUTRIEN LTD 0 0.006 % 74.185 K $
PPL ELECTRIC UTILITIES CORPORATION 0 0.006 % 78.053 K $
CANADIAN PACIFIC RAILWAY COMPANY 0 0.006 % 80.081 K $
ATMOS ENERGY CORPORATION 0 0.006 % 79.088 K $
PROLOGIS LP 0 0.006 % 81.660 K $
ENBRIDGE INC 0 0.006 % 77.144 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.006 % 80.171 K $
AVALONBAY COMMUNITIES INC MTN 0 0.006 % 74.579 K $
FORTIVE CORP 0 0.006 % 71.468 K $
BROADCOM INC 0 0.006 % 74.436 K $
VALERO ENERGY CORPORATION 0 0.006 % 72.531 K $
PARAMOUNT GLOBAL 0 0.006 % 72.432 K $
MYLAN INC 0 0.006 % 82.424 K $
AGILENT TECHNOLOGIES INC 0 0.006 % 80.883 K $
VULCAN MATERIALS COMPANY 0 0.006 % 75.113 K $
ONEOK INC 0 0.006 % 75.983 K $
BP CAPITAL MARKETS PLC 0 0.006 % 75.694 K $
MARRIOTT INTERNATIONAL INC 0 0.006 % 82.764 K $
ACE CAPITAL TRUST II 0 0.006 % 78.782 K $
GLAXOSMITHKLINE CAPITAL INC 0 0.006 % 80.744 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.006 % 81.355 K $
CHEVRON USA INC 0 0.006 % 78.484 K $
PFIZER INC 0 0.006 % 71.974 K $
PARAMOUNT GLOBAL 0 0.006 % 77.733 K $
UNITED UTILITIES PLC 0 0.006 % 79.238 K $
UNITEDHEALTH GROUP INC 0 0.006 % 72.729 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.006 % 78.929 K $
MIZUHO FINANCIAL GROUP INC 0 0.006 % 79.662 K $
SAN DIEGO GAS & ELECTRIC CO 0 0.006 % 75.910 K $
ALLY FINANCIAL INC 0 0.006 % 75.492 K $
VENTAS REALTY LP 0 0.006 % 76.283 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.006 % 82.150 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.006 % 71.407 K $
DOW CHEMICAL CO 0 0.006 % 77.642 K $
AETNA INC 0 0.006 % 74.764 K $
MARTIN MARIETTA MATERIALS INC 0 0.006 % 81.523 K $
HALLIBURTON COMPANY 0 0.006 % 77.626 K $
WORKDAY INC 0 0.006 % 79.631 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.006 % 80.067 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.006 % 74.213 K $
MOODYS CORPORATION 0 0.006 % 81.320 K $
MARTIN MARIETTA MATERIALS INC 0 0.006 % 73.252 K $
INTERNATIONAL PAPER CO 0 0.006 % 72.898 K $
AMGEN INC 0 0.006 % 79.969 K $
LINCOLN NATIONAL CORPORATION 0 0.006 % 79.532 K $
INVITATION HOMES OPERATING PARTNER 0 0.006 % 78.087 K $
CHUBB INA HOLDINGS LLC 0 0.006 % 78.473 K $
PUBLIC SERVICE COMPANY OF NEW HAMP 0 0.006 % 77.000 K $
SHERWIN-WILLIAMS COMPANY (THE) 0 0.006 % 77.835 K $
STATE STREET CORP 0 0.006 % 77.528 K $
SUNOCO LOGISTICS PARTNERS OPERATIO 0 0.006 % 74.131 K $
QUANTA SERVICES INC. 0 0.006 % 76.659 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.006 % 81.699 K $
VERIZON COMMUNICATIONS INC 144A 0 0.006 % 77.480 K $
BANK OF NEW YORK MELLON CORP/THE MTN 0 0.006 % 79.767 K $
OCCIDENTAL PETROLEUM CORPORATION 0 0.006 % 80.787 K $
ORIX CORPORATION 0 0.006 % 78.692 K $
VALERO ENERGY CORPORATION 0 0.006 % 75.629 K $
DEVON ENERGY CORPORATION 0 0.006 % 71.215 K $
MOODYS CORPORATION 0 0.006 % 74.970 K $
TOTALENERGIES CAPITAL INTERNATIONA 0 0.006 % 75.373 K $
AON CORP 0 0.006 % 80.702 K $
ELEVANCE HEALTH INC 0 0.006 % 79.821 K $
DCP MIDSTREAM OPERATING LP 0 0.006 % 71.478 K $
ERP OPERATING LP 0 0.006 % 72.050 K $
UNION PACIFIC CORPORATION 0 0.006 % 78.334 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.006 % 77.254 K $
TORONTO-DOMINION BANK/THE MTN 0 0.006 % 82.136 K $
DOW CHEMICAL CO 0 0.006 % 75.189 K $
HIGHWOODS REALTY LP 0 0.006 % 81.615 K $
JOHN DEERE CAPITAL CORP MTN 0 0.006 % 76.127 K $
DCP MIDSTREAM OPERATING LP 0 0.006 % 74.192 K $
UNUM GROUP 0 0.006 % 76.712 K $
TARGA RESOURCES CORP 0 0.006 % 82.813 K $
SABRA HEALTH CARE LP 0 0.006 % 71.343 K $
LABORATORY CORPORATION OF AMERICA 0 0.006 % 75.360 K $
SEMPRA 0 0.006 % 74.686 K $
UNUM GROUP 0 0.006 % 80.606 K $
NORTHROP GRUMMAN CORP 0 0.006 % 82.350 K $
NEXTERA ENERGY CAPITAL (FXD) 0 0.006 % 82.484 K $
UNITEDHEALTH GROUP INC 0 0.006 % 75.823 K $
AON CORP 0 0.006 % 76.191 K $
ONEOK PARTNERS LP 0 0.006 % 78.726 K $
AUTOZONE INC 0 0.006 % 73.265 K $
PEPSICO INC 0 0.006 % 77.040 K $
BIOGEN INC 0 0.006 % 78.068 K $
SHERWIN-WILLIAMS COMPANY (THE) 0 0.006 % 76.648 K $
INTERCONTINENTAL EXCHANGE INC 0 0.006 % 80.532 K $
FERGUSON ENTERPRISES INC 0 0.006 % 75.511 K $
HP INC 0 0.006 % 76.990 K $
NXP BV 0 0.006 % 76.368 K $
PEPSICO INC 0 0.006 % 76.005 K $
WESTLAKE CORP 0 0.006 % 83.049 K $
UDR INC MTN 0 0.006 % 74.827 K $
NEXTERA ENERGY CAPITAL HOLDINGS IN 0 0.006 % 73.768 K $
ZOETIS INC 0 0.006 % 81.290 K $
HP INC 0 0.006 % 80.259 K $
PARAMOUNT GLOBAL 0 0.006 % 77.833 K $
DOW CHEMICAL CO 0 0.006 % 75.410 K $
BORGWARNER INC 0 0.006 % 72.161 K $
DOW CHEMICAL CO 0 0.006 % 71.282 K $
WESTERN MIDSTREAM OPERATING LP 0 0.006 % 81.628 K $
ABBVIE INC 0 0.006 % 72.236 K $
KENVUE INC 0 0.006 % 78.019 K $
UNITEDHEALTH GROUP INC 0 0.006 % 73.899 K $
NEXTERA ENERGY CAPITAL HOLDINGS IN 0 0.006 % 83.356 K $
MARATHON PETROLEUM CORP 0 0.006 % 77.244 K $
LINCOLN NATIONAL CORPORATION 0 0.006 % 76.080 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.006 % 71.790 K $
ELEVANCE HEALTH INC 0 0.006 % 75.440 K $
BANK OF NEW YORK MELLON CORP/THE MTN 0 0.006 % 74.767 K $
WESTERN MIDSTREAM OPERATING LP 0 0.006 % 78.134 K $
FORD MOTOR COMPANY 0 0.006 % 79.174 K $
PRUDENTIAL FINANCIAL INC 0 0.006 % 79.482 K $
BP CAPITAL MARKETS PLC 0 0.006 % 77.515 K $
STATE STREET CORP 0 0.006 % 76.667 K $
DOC DR LLC 0 0.006 % 72.862 K $
OCCIDENTAL PETROLEUM CORPORATION 0 0.006 % 81.443 K $
CATERPILLAR INC 0 0.006 % 74.128 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.006 % 76.866 K $
DCP MIDSTREAM OPERATING LP 0 0.006 % 83.884 K $
ELEVANCE HEALTH INC 0 0.006 % 79.632 K $
BANKUNITED INC 0 0.006 % 71.428 K $
PARKER HANNIFIN CORPORATION MTN 0 0.006 % 82.914 K $
ESTEE LAUDER COMPANIES INC. (THE) 0 0.006 % 82.325 K $
QUANTA SERVICES INC. 0 0.006 % 78.608 K $
CATERPILLAR INC 0 0.005 % 64.681 K $
SHERWIN-WILLIAMS COMPANY (THE) 0 0.005 % 59.846 K $
JOHNSON & JOHNSON 0 0.005 % 67.158 K $
VERIZON COMMUNICATIONS INC 0 0.005 % 65.909 K $
KIMCO REALTY OP LLC 0 0.005 % 67.602 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.005 % 65.886 K $
TYSON FOODS INC 0 0.005 % 65.702 K $
IBM INTERNATIONAL CAPITAL PTE LTD 0 0.005 % 63.944 K $
COMCAST CORPORATION 0 0.005 % 62.760 K $
EQUINIX INC 0 0.005 % 66.214 K $
COCA-COLA CO 0 0.005 % 59.734 K $
KIMCO REALTY OP LLC 0 0.005 % 68.686 K $
FMC CORPORATION 0 0.005 % 66.965 K $
BIOGEN INC 0 0.005 % 63.392 K $
ARCHER DANIELS MIDLAND CO 0 0.005 % 67.674 K $
MERCK & CO INC 0 0.005 % 59.342 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.005 % 68.570 K $
PECO ENERGY CO 0 0.005 % 65.072 K $
S&P GLOBAL INC 0 0.005 % 62.009 K $
KINDER MORGAN INC 0 0.005 % 61.624 K $
DEUTSCHE BANK AG (NEW YORK BRANCH) 0 0.005 % 69.869 K $
PROGRESSIVE CORPORATION (THE) 0 0.005 % 61.910 K $
CHOICE HOTELS INTERNATIONAL INC 0 0.005 % 60.612 K $
PROGRESSIVE CORPORATION (THE) 0 0.005 % 63.375 K $
APPLE INC 0 0.005 % 68.630 K $
NUTRIEN LTD 0 0.005 % 70.628 K $
KEYSIGHT TECHNOLOGIES INC 0 0.005 % 58.971 K $
CABOT CORPORATION 0 0.005 % 65.433 K $
RPM INTERNATIONAL INC 0 0.005 % 61.941 K $
HIGHWOODS REALTY LP 0 0.005 % 71.006 K $
WALT DISNEY CO 0 0.005 % 58.722 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.005 % 69.922 K $
AT&T INC 0 0.005 % 70.011 K $
WESTERN MIDSTREAM OPERATING LP 0 0.005 % 68.013 K $
CENTERPOINT ENERGY HOUSTON ELECTRI 0 0.005 % 70.101 K $
RYDER SYSTEM INC 0 0.005 % 64.240 K $
PROLOGIS LP 0 0.005 % 67.714 K $
ATMOS ENERGY CORPORATION 0 0.005 % 63.222 K $
AFLAC INCORPORATED 0 0.005 % 66.173 K $
HOME DEPOT INC 0 0.005 % 65.892 K $
ING GROEP NV 0 0.005 % 64.631 K $
NORFOLK SOUTHERN CORPORATION 0 0.005 % 61.153 K $
PHILLIPS 66 0 0.005 % 70.317 K $
FMC CORPORATION 0 0.005 % 59.572 K $
CINCINNATI FINANCIAL CORPORATION 0 0.005 % 61.340 K $
OTIS WORLDWIDE CORP 0 0.005 % 65.458 K $
SELECTIVE INSURANCE GROUP INC. 0 0.005 % 62.927 K $
PECO ENERGY CO 0 0.005 % 69.246 K $
EBAY INC 0 0.005 % 70.932 K $
REGENCY CENTERS LP 0 0.005 % 63.199 K $
NUTRIEN LTD 0 0.005 % 70.260 K $
ELI LILLY AND COMPANY 0 0.005 % 66.383 K $
MERCK & CO INC 0 0.005 % 68.469 K $
EATON CORPORATION 0 0.005 % 61.076 K $
CVS HEALTH CORP 0 0.005 % 58.268 K $
SYSCO CORPORATION 0 0.005 % 63.571 K $
ESTEE LAUDER COMPANIES INC. (THE) 0 0.005 % 66.613 K $
WASHINGTON GAS LIGHT COMPANY MTN 0 0.005 % 62.980 K $
BANK OF NEW YORK MELLON CORP/THE MTN 0 0.005 % 66.576 K $
EXELON CORPORATION 0 0.005 % 67.966 K $
BURLINGTON NORTHERN SANTA FE LLC 0 0.005 % 61.586 K $
ROCKWELL AUTOMATION INC 0 0.005 % 69.317 K $
MIZUHO FINANCIAL GROUP INC 0 0.005 % 58.272 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.005 % 64.336 K $
COSTCO WHOLESALE CORPORATION 0 0.005 % 66.376 K $
ORIX CORPORATION 0 0.005 % 66.677 K $
COMMONWEALTH EDISON COMPANY 0 0.005 % 64.613 K $
NUTRIEN LTD 0 0.005 % 68.956 K $
LAS VEGAS SANDS CORP 0 0.005 % 69.150 K $
MOSAIC CO/THE 0 0.005 % 60.983 K $
DEUTSCHE BANK AG (NEW YORK BRANCH) 0 0.005 % 62.855 K $
KINDER MORGAN INC 0 0.005 % 69.012 K $
COPT DEFENSE PROPERTIES LP 0 0.005 % 61.694 K $
MCDONALDS CORPORATION MTN 0 0.005 % 63.159 K $
SHERWIN-WILLIAMS COMPANY (THE) 0 0.005 % 63.954 K $
INTERPUBLIC GROUP OF COMPANIES INC 0 0.005 % 59.792 K $
JACKSON FINANCIAL INC 0 0.005 % 59.764 K $
NATIONAL FUEL GAS COMPANY 0 0.005 % 66.166 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.005 % 63.022 K $
PAYPAL HOLDINGS INC 0 0.005 % 59.512 K $
PACIFIC GAS AND ELECTRIC COMPANY 0 0.005 % 66.825 K $
CISCO SYSTEMS INC 0 0.005 % 70.692 K $
TELEDYNE FLIR LLC 0 0.005 % 69.703 K $
PIEDMONT NATURAL GAS COMPANY INC 0 0.005 % 62.378 K $
CNH INDUSTRIAL CAPITAL LLC 0 0.005 % 70.719 K $
ESTEE LAUDER COMPANIES INC. (THE) 0 0.005 % 69.167 K $
AEP TEXAS INC 0 0.005 % 58.668 K $
DOLLAR TREE INC 0 0.005 % 63.704 K $
ATHENE HOLDING LTD 0 0.005 % 63.603 K $
TYSON FOODS INC 0 0.005 % 62.848 K $
CITIZENS FINANCIAL GROUP INC 0 0.005 % 64.412 K $
ENSTAR FINANCE LLC 0 0.005 % 60.223 K $
PARAMOUNT GLOBAL 0 0.005 % 62.161 K $
PPG INDUSTRIES INC 0 0.005 % 69.332 K $
TRUIST FINANCIAL CORP MTN 0 0.005 % 67.194 K $
TARGA RESOURCES CORP 0 0.005 % 69.968 K $
OCCIDENTAL PETROLEUM CORPORATION 0 0.005 % 59.142 K $
WASTE MANAGEMENT INC 0 0.005 % 60.263 K $
ARTHUR J GALLAGHER & CO 0 0.005 % 70.192 K $
HSBC HOLDINGS PLC 0 0.005 % 60.029 K $
DOC DR LLC 0 0.005 % 70.386 K $
EDISON INTERNATIONAL 0 0.005 % 67.100 K $
CSX CORP 0 0.005 % 69.546 K $
WRKCO INC 0 0.005 % 59.832 K $
AMERICAN TOWER CORPORATION 0 0.005 % 59.523 K $
PRUDENTIAL FINANCIAL INC MTN 0 0.005 % 67.383 K $
SIMON PROPERTY GROUP LP 0 0.005 % 63.653 K $
VALERO ENERGY CORPORATION 0 0.005 % 64.798 K $
CANADIAN NATIONAL RAILWAY COMPANY 0 0.005 % 65.835 K $
ELI LILLY AND COMPANY 0 0.005 % 64.529 K $
PARKER HANNIFIN CORPORATION MTN 0 0.005 % 60.821 K $
CENTERPOINT ENERGY HOUSTON ELECTRI 0 0.005 % 63.670 K $
BROWN & BROWN INC 0 0.005 % 59.948 K $
NIKE INC 0 0.005 % 59.273 K $
HUNTINGTON BANCSHARES INC 0 0.005 % 68.118 K $
RTX CORP 0 0.005 % 60.152 K $
SUN COMMUNITIES OPERATING LP 0 0.005 % 63.671 K $
UNITEDHEALTH GROUP INC 0 0.005 % 65.595 K $
NOMURA HOLDINGS INC 0 0.005 % 58.379 K $
KROGER CO 0 0.005 % 62.061 K $
PARKER HANNIFIN CORPORATION MTN 0 0.005 % 70.707 K $
ORIX CORPORATION 0 0.005 % 61.233 K $
HONEYWELL INTERNATIONAL INC 0 0.005 % 68.148 K $
EXELON GENERATION CO LLC 0 0.005 % 66.920 K $
DXC TECHNOLOGY CO 0 0.005 % 61.627 K $
INTERNATIONAL BUSINESS MACHINES CO 0 0.005 % 60.725 K $
TELEFONICA EMISIONES SAU 0 0.005 % 60.603 K $
CSX CORP 0 0.005 % 62.567 K $
ELEVANCE HEALTH INC 0 0.005 % 63.958 K $
MOTOROLA SOLUTIONS INC 0 0.005 % 68.997 K $
AMERICAN FINANCIAL GROUP INC 0 0.005 % 64.816 K $
CVS HEALTH CORP 0 0.005 % 69.441 K $
CAMPBELLS CO 0 0.005 % 69.026 K $
EQUINIX INC 0 0.005 % 62.350 K $
SOUTHWEST GAS CORP 0 0.005 % 63.763 K $
ELEVANCE HEALTH INC 0 0.005 % 70.704 K $
TOYOTA MOTOR CREDIT CORP MTN 0 0.005 % 60.185 K $
HARTFORD INSURANCE GROUP INC 0 0.005 % 58.746 K $
PROGRESSIVE CORPORATION (THE) 0 0.005 % 65.755 K $
AEP TEXAS INC 0 0.005 % 69.229 K $
PROGRESSIVE CORPORATION (THE) 0 0.005 % 63.400 K $
ZIMMER BIOMET HOLDINGS INC 0 0.004 % 51.887 K $
DEERE & CO 0 0.004 % 48.227 K $
MARKEL GROUP INC 0 0.004 % 47.422 K $
MASTERCARD INC 0 0.004 % 54.026 K $
QORVO INC 0 0.004 % 54.340 K $
HERSHEY COMPANY THE 0 0.004 % 45.905 K $
CONNECTICUT LIGHT AND POWER COMPAN 0 0.004 % 52.370 K $
REINSURANCE GROUP OF AMERICA INC 0 0.004 % 53.982 K $
DEERE & CO 0 0.004 % 47.594 K $
ESSENTIAL UTILITIES INC 0 0.004 % 52.337 K $
CHURCH & DWIGHT CO INC 0 0.004 % 54.754 K $
J M SMUCKER CO 0 0.004 % 45.312 K $
PUBLIC SERVICE ENTERPRISE GROUP IN 0 0.004 % 56.698 K $
MARVELL TECHNOLOGY INC 0 0.004 % 51.651 K $
PIEDMONT OPERATING PARTNERSHIP LP 0 0.004 % 52.420 K $
GENERAL MOTORS FINANCIAL COMPANY I 0 0.004 % 53.015 K $
PROCTER & GAMBLE CO 0 0.004 % 53.355 K $
JOHN DEERE CAPITAL CORP MTN 0 0.004 % 52.273 K $
MPLX LP 0 0.004 % 54.625 K $
PEPSICO INC 0 0.004 % 51.225 K $
ATLANTIC CITY ELECTRIC CO 0 0.004 % 50.000 K $
ELI LILLY AND COMPANY 0 0.004 % 52.811 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.004 % 58.047 K $
GLAXOSMITHKLINE CAPITAL INC 0 0.004 % 51.059 K $
NORFOLK SOUTHERN CORPORATION 0 0.004 % 49.974 K $
PROLOGIS LP 0 0.004 % 51.755 K $
COCA-COLA CO 0 0.004 % 46.713 K $
ARCHER DANIELS MIDLAND CO 0 0.004 % 50.050 K $
BROADCOM INC 0 0.004 % 55.358 K $
ATMOS ENERGY CORPORATION 0 0.004 % 58.045 K $
WESTINGHOUSE AIR BRAKE TECHNOLOGIE 0 0.004 % 52.010 K $
PLAINS ALL AMERICAN PIPELINE LP 0 0.004 % 55.370 K $
GENERAL ELECTRIC CO 0 0.004 % 49.976 K $
NEXTERA ENERGY CAPITAL HOLDINGS IN 0 0.004 % 55.425 K $
CHARLES SCHWAB CORPORATION (THE) 0 0.004 % 55.068 K $
TARGA RESOURCES CORP 0 0.004 % 52.483 K $
GLAXOSMITHKLINE CAPITAL INC 0 0.004 % 51.061 K $
AUTOMATIC DATA PROCESSING INC 0 0.004 % 50.530 K $
AT&T INC 0 0.004 % 56.041 K $
ESSEX PORTFOLIO LP 0 0.004 % 55.078 K $
TOYOTA MOTOR CREDIT CORP MTN 0 0.004 % 56.671 K $
BELL TELEPHONE COMPANY OF CANADA O 0 0.004 % 58.062 K $
DOW CHEMICAL CO 0 0.004 % 55.066 K $
NATIONAL FUEL GAS COMPANY 0 0.004 % 45.603 K $
ESSENTIAL UTILITIES INC 0 0.004 % 51.291 K $
CONSTELLATION BRANDS INC 0 0.004 % 53.462 K $
MONDELEZ INTERNATIONAL INC 0 0.004 % 46.020 K $
MARVELL TECHNOLOGY INC 0 0.004 % 55.878 K $
CANADIAN PACIFIC RAILWAY COMPANY 0 0.004 % 56.782 K $
INTEL CORPORATION 0 0.004 % 49.924 K $
AXIS SPECIALTY FINANCE LLC 0 0.004 % 52.029 K $
AMERICAN TOWER CORPORATION 0 0.004 % 56.939 K $
UNITEDHEALTH GROUP INC 0 0.004 % 53.408 K $
CME GROUP INC 0 0.004 % 46.901 K $
FLORIDA POWER & LIGHT CO 0 0.004 % 54.120 K $
ESSENTIAL UTILITIES INC 0 0.004 % 51.068 K $
TRANSCONTINENTAL GAS PIPE LINE COM 0 0.004 % 53.143 K $
KEURIG DR PEPPER INC 0 0.004 % 51.151 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.004 % 51.577 K $
KEURIG DR PEPPER INC 0 0.004 % 51.375 K $
PUBLIC SERVICE ENTERPRISE GROUP IN 0 0.004 % 57.072 K $
T-MOBILE USA INC 0 0.004 % 57.522 K $
PIEDMONT NATURAL GAS COMPANY INC 0 0.004 % 53.379 K $
AIR LEASE CORPORATION 0 0.004 % 51.804 K $
REGENCY CENTERS LP 0 0.004 % 46.656 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.004 % 54.409 K $
ARTHUR J GALLAGHER & CO 0 0.004 % 49.927 K $
EPR PROPERTIES 0 0.004 % 47.406 K $
OREILLY AUTOMOTIVE INC 0 0.004 % 49.069 K $
EOG RESOURCES INC 0 0.004 % 53.460 K $
ALEXANDRIA REAL ESTATE EQUITIES IN 0 0.004 % 55.268 K $
BURLINGTON NORTHERN SANTA FE LLC 0 0.004 % 45.341 K $
BROWN-FORMAN CORPORATION 0 0.004 % 58.143 K $
DOLLAR GENERAL CORP 0 0.004 % 58.091 K $
GATX CORPORATION 0 0.004 % 47.916 K $
CONSTELLATION BRANDS INC 0 0.004 % 53.410 K $
AMGEN INC 0 0.004 % 53.795 K $
ENBRIDGE INC 0 0.004 % 49.239 K $
FIDELITY NATIONAL FINANCIAL INC 0 0.004 % 50.931 K $
COMCAST CORPORATION 0 0.004 % 54.869 K $
MARVELL TECHNOLOGY INC 0 0.004 % 52.906 K $
UNUM GROUP 0 0.004 % 51.672 K $
COMMONWEALTH EDISON COMPANY 0 0.004 % 55.495 K $
CANADIAN IMPERIAL (FX-FRN) 0 0.004 % 51.149 K $
KEURIG DR PEPPER INC 0 0.004 % 51.377 K $
CHENIERE ENERGY PARTNERS LP 144A 0 0.004 % 47.175 K $
NISOURCE INC 0 0.004 % 48.411 K $
EATON CORPORATION 0 0.004 % 55.602 K $
CAMDEN PROPERTY TRUST 0 0.004 % 50.823 K $
EOG RESOURCES INC 0 0.004 % 53.629 K $
AMERICA MOVIL SAB DE CV 0 0.004 % 57.469 K $
CONNECTICUT LIGHT AND POWER COMPAN 0 0.004 % 46.444 K $
CANADIAN IMPERIAL (FX-FRN) 0 0.004 % 52.530 K $
ERP OPERATING LP 0 0.004 % 50.647 K $
NORTHROP GRUMMAN CORP 0 0.004 % 48.279 K $
OTIS WORLDWIDE CORP 0 0.004 % 57.393 K $
ROYAL BANK OF CANADA MTN 0 0.004 % 53.492 K $
JOHN DEERE CAPITAL CORP MTN 0 0.004 % 45.997 K $
CUMMINS INC 0 0.004 % 51.491 K $
JOHN DEERE CAPITAL CORP MTN 0 0.004 % 50.739 K $
PUBLIC STORAGE OPERATING CO 0 0.004 % 50.530 K $
AMERICAN EXPRESS COMPANY 0 0.004 % 47.038 K $
GOLDMAN SACHS GROUP INC/THE 0 0.004 % 52.993 K $
PARKER HANNIFIN CORPORATION 0 0.004 % 49.788 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.004 % 47.367 K $
ONEOK INC 0 0.004 % 57.890 K $
NSTAR ELECTRIC CO 0 0.004 % 51.827 K $
SHERWIN-WILLIAMS COMPANY (THE) 0 0.004 % 56.090 K $
HUNTINGTON INGALLS INDUSTRIES INC 0 0.004 % 52.548 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.004 % 47.552 K $
ATMOS ENERGY CORPORATION 0 0.004 % 45.826 K $
AMERICAN EXPRESS COMPANY 0 0.004 % 56.288 K $
HOME DEPOT INC 0 0.004 % 47.711 K $
ARCH CAPITAL GROUP LTD 0 0.004 % 53.334 K $
AXIS SPECIALTY FINANCE PLC 0 0.004 % 55.719 K $
MDC HOLDINGS INC 0 0.004 % 50.060 K $
RAYMOND JAMES FINANCIAL INC. 0 0.004 % 50.398 K $
LEGGETT & PLATT INC 0 0.004 % 51.776 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.004 % 51.280 K $
POTOMAC ELECTRIC POWER COMPANY 0 0.004 % 47.025 K $
KILROY REALTY LP 0 0.004 % 45.998 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.004 % 56.837 K $
TARGET CORPORATION 0 0.004 % 56.568 K $
HSBC HOLDINGS PLC 0 0.004 % 56.084 K $
ONEOK INC 0 0.004 % 51.864 K $
AT&T INC 0 0.004 % 46.351 K $
LINCOLN NATIONAL CORPORATION 0 0.004 % 52.745 K $
AT&T INC 0 0.004 % 54.997 K $
TRUIST BANK 0 0.004 % 55.187 K $
MARTIN MARIETTA MATERIALS INC 0 0.004 % 52.611 K $
ASSURED GUARANTY US HOLDINGS INC 0 0.004 % 52.680 K $
BANK OZK 0 0.004 % 51.512 K $
CHENIERE ENERGY PARTNERS LP 0 0.004 % 54.692 K $
BURLINGTON NORTHERN SANTA FE LLC 0 0.004 % 47.525 K $
CITIGROUP INC 0 0.004 % 47.093 K $
CATERPILLAR FINC SERVICES (FXD) MTN 0 0.004 % 51.019 K $
ONEOK INC 0 0.004 % 51.628 K $
NIKE INC 0 0.004 % 56.567 K $
CHUBB INA HOLDINGS LLC 0 0.004 % 52.174 K $
WESTERN MIDSTREAM OPERATING LP 0 0.004 % 55.625 K $
CAMPBELLS CO 0 0.004 % 52.202 K $
VULCAN MATERIALS COMPANY 0 0.004 % 52.498 K $
MDC HOLDINGS INC 0 0.004 % 47.905 K $
PEPSICO INC 0 0.004 % 49.238 K $
NNN REIT INC 0 0.004 % 54.029 K $
EXTRA SPACE STORAGE LP 0 0.004 % 49.450 K $
NVENT FINANCE SARL 0 0.004 % 57.421 K $
MICRON TECHNOLOGY INC 0 0.004 % 53.283 K $
BROWN & BROWN INC 0 0.004 % 45.512 K $
NBCUNIVERSAL MEDIA LLC 0 0.004 % 54.081 K $
REGENCY CENTERS LP 0 0.004 % 55.356 K $
AON CORP 0 0.004 % 50.035 K $
DARDEN RESTAURANTS INC 0 0.004 % 52.112 K $
MIZUHO FINANCIAL GROUP INC 0 0.004 % 48.653 K $
APPLIED MATERIALS INC 0 0.004 % 55.310 K $
WILLIAMS COMPANIES INC 0 0.004 % 48.174 K $
FIFTH THIRD BANCORP 0 0.004 % 46.073 K $
CONSTELLATION BRANDS INC 0 0.004 % 54.824 K $
ALIBABA GROUP HOLDING LTD 0 0.004 % 45.872 K $
ING GROEP NV 0 0.004 % 51.973 K $
PACIFIC GAS & ELECTRIC CO 0 0.004 % 57.790 K $
NUCOR CORPORATION 0 0.004 % 45.917 K $
HUMANA INC 0 0.004 % 49.275 K $
DEERE & CO 0 0.004 % 45.465 K $
KEURIG DR PEPPER INC 0 0.004 % 56.428 K $
KENVUE INC 0 0.004 % 51.691 K $
CONAGRA BRANDS INC 0 0.004 % 48.501 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.004 % 48.312 K $
PPG INDUSTRIES INC 0 0.004 % 50.951 K $
AT&T INC 0 0.004 % 46.517 K $
OWENS CORNING 0 0.004 % 46.882 K $
ZIMMER BIOMET HOLDINGS INC 0 0.004 % 53.138 K $
GATX CORPORATION 0 0.004 % 47.735 K $
NNN REIT INC 0 0.004 % 55.646 K $
CHARLES SCHWAB CORPORATION (THE) 0 0.004 % 50.654 K $
JOHN DEERE CAPITAL CORP MTN 0 0.004 % 58.176 K $
UDR INC MTN 0 0.004 % 55.038 K $
SHELL INTERNATIONAL FINANCE BV 0 0.004 % 46.862 K $
FISERV INC 0 0.004 % 55.997 K $
VULCAN MATERIALS COMPANY 0 0.004 % 53.196 K $
AVALONBAY COMMUNITIES INC MTN 0 0.004 % 56.308 K $
MCDONALDS CORPORATION MTN 0 0.004 % 49.080 K $
HEALTHPEAK OP LLC 0 0.004 % 50.658 K $
ONEOK INC 0 0.003 % 40.021 K $
VERIZON COMMUNICATIONS INC 0 0.003 % 34.457 K $
TWDC ENTERPRISES 18 CORP 0 0.003 % 34.824 K $
SHERWIN-WILLIAMS COMPANY (THE) 0 0.003 % 36.275 K $
MASCO CORP 0 0.003 % 41.034 K $
MARATHON PETROLEUM CORP 0 0.003 % 39.116 K $
HF SINCLAIR CORP 0 0.003 % 41.271 K $
CHUBB INA HOLDINGS LLC 0 0.003 % 40.230 K $
MID-AMERICA APARTMENTS LP 0 0.003 % 33.293 K $
ROYALTY PHARMA PLC 0 0.003 % 36.347 K $
THERMO FISHER SCIENTIFIC INC 0 0.003 % 41.979 K $
DELL INTERNATIONAL LLC 0 0.003 % 36.481 K $
UDR INC 0 0.003 % 39.789 K $
NATIONAL RURAL UTILITIES COOPERATI MTN 0 0.003 % 41.375 K $
NEWMONT CORPORATION 0 0.003 % 44.814 K $
GATX CORPORATION 0 0.003 % 43.556 K $
RAYMOND JAMES FINANCIAL INC. 0 0.003 % 45.210 K $
AMERICAN INTERNATIONAL GROUP INC 0 0.003 % 41.550 K $
BP CAPITAL MARKETS AMERICA INC. 0 0.003 % 34.898 K $
RIO TINTO FINANCE (USA) PLC 0 0.003 % 42.551 K $
ATHENE HOLDING LTD 0 0.003 % 33.191 K $
NATIONAL FUEL GAS COMPANY 0 0.003 % 36.554 K $
PRINCIPAL FINANCIAL GROUP INC 0 0.003 % 36.157 K $
LINCOLN NATIONAL CORPORATION 0 0.003 % 40.940 K $
ORACLE CORPORATION 0 0.003 % 37.767 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.003 % 39.594 K $
SUMITOMO MITSUI FINANCIAL GROUP IN 0 0.003 % 33.606 K $
AVALONBAY COMMUNITIES INC MTN 0 0.003 % 32.790 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.003 % 44.957 K $
ALEXANDRIA REAL ESTATE EQUITIES IN 0 0.003 % 40.344 K $
MONDELEZ INTERNATIONAL INC 0 0.003 % 40.643 K $
AMERICAN HOMES 4 RENT LP 0 0.003 % 43.417 K $
BP CAPITAL MARKETS AMERICA INC 0 0.003 % 39.957 K $
SYSCO CORPORATION 0 0.003 % 41.816 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.003 % 42.115 K $
BELL TELEPHONE COMPANY OF CANADA O 0 0.003 % 44.302 K $
APTIV SWISS HOLDINGS LTD 0 0.003 % 41.967 K $
RALPH LAUREN CORP 0 0.003 % 43.305 K $
BURLINGTON NORTHERN SANTA FE CORPO 0 0.003 % 34.582 K $
NXP BV 0 0.003 % 34.790 K $
SOUTHERN CALIFORNIA GAS COMPANY 0 0.003 % 35.056 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.003 % 36.372 K $
PFIZER INC 0 0.003 % 32.358 K $
ATMOS ENERGY CORPORATION 0 0.003 % 34.475 K $
BRISTOL-MYERS SQUIBB CO 0 0.003 % 37.785 K $
TOTALENERGIES CAPITAL SA 0 0.003 % 39.280 K $
BERKSHIRE HATHAWAY FINANCE CORP 0 0.003 % 40.151 K $
BROOKFIELD FINANCE INC 0 0.003 % 35.836 K $
CBOE GLOBAL MARKETS INC 0 0.003 % 44.520 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.003 % 36.494 K $
SOUTHWEST GAS CORP 0 0.003 % 34.789 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.003 % 36.493 K $
KEYCORP MTN 0 0.003 % 39.018 K $
HUBBELL INCORPORATED 0 0.003 % 41.896 K $
COCA COLA FEMSA SAB DE CV 0 0.003 % 42.912 K $
MARKEL GROUP INC 0 0.003 % 43.772 K $
AMPHENOL CORPORATION 0 0.003 % 39.276 K $
PROLOGIS LP 0 0.003 % 36.501 K $
PACIFIC GAS AND ELECTRIC COMPANY 0 0.003 % 35.380 K $
SNAP-ON INCORPORATED 0 0.003 % 39.818 K $
S&P GLOBAL INC 0 0.003 % 43.419 K $
AMERICAN HONDA FINANCE CORPORATION MTN 0 0.003 % 38.106 K $
LABORATORY CORPORATION OF AMERICA 0 0.003 % 35.321 K $
LOEWS CORPORATION 0 0.003 % 38.579 K $
HONEYWELL INTERNATIONAL INC 0 0.003 % 41.451 K $
ENSTAR GROUP LTD 0 0.003 % 40.638 K $
JOHN DEERE CAPITAL CORP MTN 0 0.003 % 44.651 K $
WILLIAMS COMPANIES INC 0 0.003 % 40.385 K $
RIO TINTO FINANCE (USA) LTD 0 0.003 % 44.151 K $
WASTE CONNECTIONS INC 0 0.003 % 42.948 K $
HCA INC 0 0.003 % 41.761 K $
ONEOK INC 0 0.003 % 35.638 K $
PUBLIC SERVICE ELECTRIC AND GAS CO MTN 0 0.003 % 39.572 K $
BANCO SANTANDER SA 0 0.003 % 41.472 K $
STATE STREET CORP 0 0.003 % 41.271 K $
PARAMOUNT GLOBAL 0 0.003 % 39.608 K $
FORD MOTOR CREDIT COMPANY LLC 0 0.003 % 32.770 K $
KEYBANK NATIONAL ASSOCIATION 0 0.003 % 44.193 K $
SIMON PROPERTY GROUP LP 0 0.003 % 32.429 K $
CIGNA GROUP 0 0.003 % 42.114 K $
REPUBLIC SERVICES INC 0 0.003 % 32.685 K $
LOWES COMPANIES INC 0 0.003 % 33.515 K $
WALT DISNEY CO 0 0.003 % 35.069 K $
DOVER CORP 0 0.003 % 38.839 K $
REALTY INCOME CORPORATION 0 0.003 % 35.136 K $
STEEL DYNAMICS INC 0 0.003 % 44.608 K $
AFLAC INCORPORATED 0 0.003 % 39.020 K $
MERCK & CO INC 0 0.003 % 43.443 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.003 % 35.781 K $
ELI LILLY AND COMPANY 0 0.003 % 42.091 K $
UDR INC MTN 0 0.003 % 36.723 K $
COOPERATIEVE RABOBANK UA 0 0.003 % 44.280 K $
ROGERS COMMUNICATIONS INC 0 0.003 % 42.925 K $
ECOLAB INC 0 0.003 % 43.599 K $
CITIGROUP INC 0 0.003 % 36.389 K $
GXO LOGISTICS INC 0 0.003 % 44.437 K $
FORD MOTOR COMPANY 0 0.003 % 34.487 K $
CONOCOPHILLIPS CO 0 0.003 % 38.406 K $
SANTANDER HOLDINGS USA INC 0 0.003 % 39.671 K $
COMMONWEALTH EDISON COMPANY 0 0.003 % 32.729 K $
JUNIPER NETWORKS INC 0 0.003 % 41.551 K $
HF SINCLAIR CORP 0 0.003 % 42.576 K $
TOTALENERGIES CAPITAL SA 0 0.003 % 40.860 K $
NNN REIT INC 0 0.003 % 32.365 K $
APA CORP (US) 0 0.003 % 39.583 K $
EVEREST REINSURANCE HOLDINGS INC 0 0.003 % 32.527 K $
LINCOLN NATIONAL CORPORATION 0 0.003 % 41.149 K $
FOX CORP 0 0.003 % 42.132 K $
RPM INTERNATIONAL INC 0 0.003 % 41.697 K $
SONOCO PRODUCTS COMPANY 0 0.003 % 37.630 K $
BELL TELEPHONE COMPANY OF CANADA O 0 0.003 % 35.668 K $
PRUDENTIAL FINANCIAL INC MTN 0 0.003 % 43.773 K $
EVERSOURCE ENERGY 0 0.003 % 32.748 K $
CAPITAL ONE FINANCIAL CORPORATION 0 0.003 % 38.892 K $
QUEST DIAGNOSTICS INCORPORATED 0 0.003 % 41.464 K $
MOSAIC CO/THE 0 0.003 % 42.264 K $
MPLX LP 0 0.003 % 41.478 K $
BROOKFIELD FINANCE INC 0 0.003 % 39.186 K $
FISERV INC 0 0.003 % 44.418 K $
VALMONT INDUSTRIES INC 0 0.003 % 38.415 K $
CENCORA INC 0 0.003 % 33.488 K $
HCA INC 0 0.003 % 36.053 K $
CIGNA GROUP 0 0.003 % 42.641 K $
ARCHER DANIELS MIDLAND CO 0 0.003 % 43.707 K $
REPUBLIC SERVICES INC 0 0.003 % 39.698 K $
RETAIL PROPERTIES OF AMERICA INC 0 0.003 % 35.528 K $
ONEOK INC 0 0.003 % 35.443 K $
HUNTINGTON BANCSHARES INC 0 0.003 % 38.284 K $
KINDER MORGAN ENERGY PARTNERS LP 0 0.003 % 35.822 K $
ASTRAZENECA FINANCE LLC 0 0.003 % 36.731 K $
RYDER SYSTEM INC MTN 0 0.003 % 36.693 K $
CATERPILLAR FINANCIAL SERVICES COR MTN 0 0.003 % 42.020 K $
REGENCY CENTERS LP 0 0.003 % 36.896 K $
PROGRESSIVE CORPORATION (THE) 0 0.003 % 43.798 K $
JOHNSON & JOHNSON 0 0.003 % 33.271 K $
TAPESTRY INC 0 0.003 % 41.402 K $
RTX CORP 0 0.003 % 33.343 K $
VULCAN MATERIALS COMPANY 0 0.003 % 35.775 K $
TRAVELERS COMPANIES INC 0 0.003 % 37.797 K $
DOLLAR TREE INC 0 0.003 % 35.580 K $
PARAMOUNT GLOBAL 0 0.003 % 41.992 K $
DOW CHEMICAL CO 0 0.003 % 41.277 K $
INTERCONTINENTAL EXCHANGE INC 0 0.003 % 34.647 K $
MATTEL INC 0 0.003 % 34.111 K $
NISOURCE INC 0 0.003 % 43.284 K $
ERP OPERATING LP 0 0.003 % 32.902 K $
KLA CORP 0 0.003 % 42.535 K $
CONOCOPHILLIPS 0 0.003 % 41.800 K $
BANCO SANTANDER SA 0 0.002 % 29.465 K $
MERCK & CO INC 0 0.002 % 25.831 K $
COLUMBIA PIPELINE GROUP INC 0 0.002 % 31.984 K $
STATE STREET CORP 0 0.002 % 31.948 K $
HOME DEPOT INC 0 0.002 % 20.278 K $
META PLATFORMS INC 0 0.002 % 30.227 K $
CITIZENS FINANCIAL GROUP INC 0 0.002 % 29.503 K $
CORNING INC 0 0.002 % 24.895 K $
TEXTRON INC 0 0.002 % 25.949 K $
BHP BILLITON FINANCE (USA) LTD 0 0.002 % 29.443 K $
BROWN & BROWN INC 0 0.002 % 30.564 K $
AMCOR FLEXIBLES NORTH AMERICA INC 0 0.002 % 20.944 K $
CATERPILLAR FINANCIAL SERVICES COR MTN 0 0.002 % 30.226 K $
MCDONALDS CORPORATION MTN 0 0.002 % 30.572 K $
SIMON PROPERTY GROUP LP 0 0.002 % 28.368 K $
STANLEY BLACK & DECKER INC 0 0.002 % 32.150 K $
JOHN DEERE CAPITAL CORP MTN 0 0.002 % 20.867 K $
KEYCORP MTN 0 0.002 % 25.493 K $
AMERICAN HOMES 4 RENT LP 0 0.002 % 22.063 K $
FORD MOTOR COMPANY 0 0.002 % 24.470 K $
EMERSON ELECTRIC CO 0 0.002 % 21.179 K $
AMERICAN HONDA FINANCE CORPORATION MTN 0 0.002 % 24.694 K $
KLA CORP 0 0.002 % 24.146 K $
CME GROUP INC 0 0.002 % 24.846 K $
WILLIS NORTH AMERICA INC 0 0.002 % 21.276 K $
ATHENE HOLDING LTD 0 0.002 % 23.134 K $
KEURIG DR PEPPER INC 0 0.002 % 25.890 K $
UDR INC MTN 0 0.002 % 29.181 K $
SEMPRA (30NC5) 0 0.002 % 30.532 K $
MICRON TECHNOLOGY INC 0 0.002 % 20.452 K $
METLIFE INC 0 0.002 % 26.589 K $
AMERICAN WATER CAPITAL CORP 0 0.002 % 27.674 K $
HASBRO INC 0 0.002 % 21.349 K $
CAMDEN PROPERTY TRUST 0 0.002 % 31.188 K $
HUNTINGTON INGALLS INDUSTRIES INC 0 0.002 % 32.236 K $
ROYAL BANK OF CANADA MTN 0 0.002 % 20.761 K $
CVS HEALTH CORP 0 0.002 % 24.867 K $
NATIONAL FUEL GAS COMPANY 0 0.002 % 26.398 K $
THERMO FISHER SCIENTIFIC INC 0 0.002 % 31.108 K $
MCDONALDS CORPORATION MTN 0 0.002 % 29.656 K $
AUTOZONE INC 0 0.002 % 28.920 K $
ROYALTY PHARMA PLC 0 0.002 % 20.622 K $
AMERICAN TOWER CORPORATION 0 0.002 % 31.217 K $
ARTHUR J GALLAGHER & CO 0 0.002 % 25.546 K $
EVEREST REINSURANCE HOLDINGS INC 0 0.002 % 28.282 K $
EOG RESOURCES INC 0 0.002 % 21.506 K $
AMERICAN HONDA FINANCE CORPORATION MTN 0 0.002 % 31.304 K $
NEXTERA ENERGY CAPITAL HOLDINGS IN 0 0.002 % 24.875 K $
AVALONBAY COMMUNITIES INC MTN 0 0.002 % 29.766 K $
KYNDRYL HOLDINGS INC 0 0.002 % 22.949 K $
AGREE LP 0 0.002 % 20.377 K $
EVERSOURCE ENERGY 0 0.002 % 20.513 K $
TARGET CORPORATION 0 0.002 % 30.712 K $
NORTHWEST NATURAL HOLDING CO 0 0.002 % 25.886 K $
FORD MOTOR CREDIT COMPANY LLC 0 0.002 % 27.389 K $
CARLISLE COMPANIES INCORPORATED 0 0.002 % 31.300 K $
HUBBELL INCORPORATED 0 0.002 % 27.747 K $
CHURCH & DWIGHT CO INC 0 0.002 % 24.813 K $
FLOWSERVE CORPORATION 0 0.002 % 26.990 K $
ELI LILLY AND COMPANY 0 0.002 % 31.876 K $
HONEYWELL INTERNATIONAL INC 0 0.002 % 31.241 K $
MASTERCARD INC 0 0.002 % 31.695 K $
STARBUCKS CORPORATION 0 0.002 % 24.104 K $
J M SMUCKER CO 0 0.002 % 28.072 K $
PARAMOUNT GLOBAL 0 0.002 % 19.818 K $
MOODYS CORPORATION 0 0.002 % 32.242 K $
INTEL CORPORATION 0 0.002 % 29.612 K $
FORD MOTOR CREDIT COMPANY LLC 0 0.002 % 31.374 K $
ECOLAB INC 0 0.002 % 30.831 K $
FMC CORPORATION 0 0.002 % 27.535 K $
FAIRFAX FINANCIAL HOLDINGS LTD 0 0.002 % 23.878 K $
FIFTH THIRD BANCORP 0 0.002 % 25.002 K $
BOSTON SCIENTIFIC CORPORATION 0 0.002 % 29.272 K $
MERCK & CO INC 0 0.002 % 24.598 K $
GRUPO TELEVISA SAB 0 0.002 % 27.078 K $
MARRIOTT INTERNATIONAL INC 0 0.002 % 20.864 K $
ERP OPERATING LP 0 0.002 % 23.088 K $
SYNOPSYS INC 0 0.002 % 30.825 K $
WASTE MANAGEMENT INC 0 0.002 % 32.109 K $
MIZUHO FINANCIAL GROUP INC 0 0.002 % 29.722 K $
AMERICAN HOMES 4 RENT LP 0 0.002 % 31.943 K $
MCDONALDS CORPORATION MTN 0 0.002 % 20.174 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.002 % 25.405 K $
LAZARD GROUP LLC 0 0.002 % 21.395 K $
ANALOG DEVICES INC 0 0.002 % 30.064 K $
TEXAS INSTRUMENTS INC 0 0.002 % 19.850 K $
MCDONALDS CORPORATION MTN 0 0.002 % 25.027 K $
DIAMONDBACK ENERGY INC 0 0.002 % 25.727 K $
LINCOLN NATIONAL CORPORATION 0 0.002 % 28.857 K $
NNN REIT INC 0 0.002 % 26.398 K $
COMCAST CORPORATION 0 0.002 % 21.686 K $
BURLINGTON NORTHERN SANTA FE CORPO 0 0.002 % 22.836 K $
HUNTINGTON BANCSHARES INC 0 0.002 % 26.459 K $
STEEL DYNAMICS INC 0 0.002 % 31.624 K $
SHELL INTERNATIONAL FINANCE BV 0 0.002 % 28.431 K $
FIDELITY NATIONAL INFORMATION SERV 0 0.002 % 23.416 K $
TOYOTA MOTOR CREDIT CORP MTN 0 0.002 % 26.476 K $
NORTHWEST PIPELINE LLC 0 0.002 % 25.028 K $
MASTERCARD INC 0 0.002 % 19.659 K $
WALT DISNEY CO 0 0.002 % 29.345 K $
TOYOTA MOTOR CORPORATION 0 0.002 % 23.218 K $
ERP OPERATING LP 0 0.002 % 26.655 K $
NNN REIT INC 0 0.002 % 28.107 K $
ADOBE INC 0 0.002 % 25.825 K $
CUBESMART LP 0 0.002 % 30.399 K $
COMMONWEALTH EDISON COMPANY 0 0.002 % 25.784 K $
UNION PACIFIC CORPORATION 0 0.002 % 30.716 K $
BURLINGTON NORTHERN SANTA FE LLC 0 0.002 % 29.069 K $
CENTERPOINT ENERGY HOUSTON ELECTRI 0 0.002 % 25.595 K $
SANTANDER HOLDINGS USA INC 0 0.002 % 30.908 K $
JPMORGAN CHASE & CO 0 0.002 % 31.507 K $
CATERPILLAR FINANCIAL SERVICES COR MTN 0 0.002 % 25.550 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 144A 0 0.002 % 26.377 K $
ELI LILLY AND COMPANY 0 0.002 % 24.641 K $
KELLANOVA 0 0.002 % 21.368 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.002 % 27.577 K $
ARCH CAPITAL GROUP (US) INC 0 0.002 % 31.861 K $
ESSEX PORTFOLIO LP 0 0.002 % 21.983 K $
VERIZON COMMUNICATIONS INC 0 0.002 % 27.153 K $
AMERICAN INTERNATIONAL GROUP INC 0 0.002 % 22.976 K $
KIMCO REALTY OP LLC 0 0.002 % 24.744 K $
KLA CORP 0 0.002 % 24.131 K $
ECOLAB INC 0 0.002 % 26.668 K $
MIZUHO FINANCIAL GROUP INC 0 0.002 % 23.831 K $
AMERICAN HOMES 4 RENT LP 0 0.002 % 28.096 K $
STORE CAPITAL LLC 0 0.002 % 25.224 K $
FISERV INC 0 0.002 % 21.323 K $
WESTLAKE CORP 0 0.002 % 29.921 K $
AT&T INC 0 0.002 % 20.197 K $
ANHEUSER-BUSCH INBEV FINANCE INC 0 0.002 % 26.094 K $
ATMOS ENERGY CORPORATION 0 0.002 % 23.849 K $
JEFFERIES GROUP LLC 0 0.002 % 31.577 K $
FOX CORP 0 0.002 % 27.717 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.002 % 23.539 K $
HEALTHPEAK OP LLC 0 0.002 % 31.323 K $
AMGEN INC 0 0.002 % 31.846 K $
AON GLOBAL LTD 0 0.002 % 20.589 K $
VERIZON COMMUNICATIONS INC 0 0.002 % 31.433 K $
MARKEL GROUP INC 0 0.002 % 26.286 K $
UNUM GROUP 0 0.002 % 25.168 K $
EASTMAN CHEMICAL COMPANY 0 0.002 % 25.597 K $
SOUTHERN CALIFORNIA EDISON COMPANY 0 0.002 % 29.167 K $
BROADCOM INC 144A 0 0.002 % 29.666 K $
SEMPRA 0 0.002 % 19.954 K $
TRUIST FINANCIAL CORP MTN 0 0.002 % 22.240 K $
JOHNSON CONTROLS INTERNATIONAL PLC 0 0.002 % 31.352 K $
PEPSICO INC 0 0.002 % 32.116 K $
MORGAN STANLEY MTN 0 0.002 % 31.005 K $
EXXON MOBIL CORP 0 0.002 % 29.608 K $
CSX CORP 0 0.002 % 23.096 K $
CIGNA GROUP 0 0.002 % 28.093 K $
HERSHEY COMPANY THE 0 0.002 % 27.013 K $
MID-AMERICA APARTMENTS LP 0 0.002 % 20.054 K $
ENERGY TRANSFER LP 0 0.002 % 22.063 K $
VODAFONE GROUP PLC 0 0.002 % 31.009 K $
NORTHROP GRUMMAN CORP 0 0.002 % 32.090 K $
COMCAST CORPORATION 0 0.002 % 25.196 K $
UNITEDHEALTH GROUP INC 0 0.002 % 31.859 K $
REPUBLIC SERVICES INC 0 0.002 % 22.625 K $
GATX CORPORATION 0 0.002 % 25.522 K $
TOYOTA MOTOR CREDIT CORP MTN 0 0.002 % 31.747 K $
FRANKLIN RESOURCES INC 0 0.002 % 22.915 K $
CONSTELLATION BRANDS INC 0 0.002 % 25.924 K $
PROCTER & GAMBLE CO 0 0.002 % 22.139 K $
WESTINGHOUSE AIR BRAKE TECHNOLOGIE 0 0.001 % 10.081 K $
BROWN-FORMAN CORPORATION 0 0.001 % 17.367 K $
PACKAGING CORP OF AMERICA 0 0.001 % 11.582 K $
MCDONALDS CORPORATION MTN 0 0.001 % 14.910 K $
DOVER CORP 0 0.001 % 15.413 K $
MITSUBISHI UFJ FINANCIAL GROUP INC 0 0.001 % 15.057 K $
INTERPUBLIC GROUP OF COMPANIES INC 0 0.001 % 10.102 K $
WOODSIDE FINANCE LTD 0 0.001 % 10.380 K $
WALT DISNEY CO 0 0.001 % 14.986 K $
AON CORP 0 0.001 % 10.682 K $
APTARGROUP INC 0 0.001 % 14.139 K $
COMCAST CORPORATION 0 0.001 % 9.733 K $
NEWMONT CORPORATION 0 0.001 % 13.147 K $
MARSH & MCLENNAN COMPANIES INC 0 0.001 % 10.631 K $
RTX CORP 0 0.001 % 11.473 K $
SHELL INTERNATIONAL FINANCE BV 0 0.001 % 13.747 K $
JOHNSON CONTROLS INTERNATIONAL PLC 0 0.001 % 9.149 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.001 % 14.658 K $
INVITATION HOMES OPERATING PARTNER 0 0.001 % 8.749 K $
HCA INC 0 0.001 % 15.753 K $
TELUS CORP 0 0.001 % 9.030 K $
REVVITY INC 0 0.001 % 14.497 K $
ALEXANDRIA REAL ESTATE EQUITIES IN 0 0.001 % 14.255 K $
BELL TELEPHONE COMPANY OF CANADA O 0 0.001 % 18.622 K $
BARCLAYS PLC 0 0.001 % 16.013 K $
UNITEDHEALTH GROUP INC 0 0.001 % 18.767 K $
STATE STREET CORP 0 0.001 % 9.106 K $
INTEL CORPORATION 0 0.001 % 18.438 K $
OMNICOM GROUP INC 0 0.001 % 15.941 K $
FMC CORPORATION 0 0.001 % 14.870 K $
L3HARRIS TECHNOLOGIES INC 0 0.001 % 15.524 K $
DEUTSCHE TELEKOM INTERNATIONAL FIN 0 0.001 % 12.995 K $
AVALONBAY COMMUNITIES INC MTN 0 0.001 % 13.096 K $
MIZUHO FINANCIAL GROUP INC 0 0.001 % 9.830 K $
CAMDEN PROPERTY TRUST 0 0.001 % 18.194 K $
KEMPER CORP 0 0.001 % 14.038 K $
HEALTHCARE TRUST OF AMERICA HOLDIN 0 0.001 % 8.798 K $
KEURIG DR PEPPER INC 0 0.001 % 9.633 K $
UDR INC MTN 0 0.001 % 12.979 K $
TRANSATLANTIC HOLDINGS INC 0 0.001 % 13.050 K $
WALT DISNEY CO 0 0.001 % 10.029 K $
OVINTIV INC 0 0.001 % 10.999 K $
TAMPA ELECTRIC COMPANY 0 0.001 % 7.351 K $
WASTE CONNECTIONS INC 0 0.001 % 14.257 K $
CHUBB INA HOLDINGS LLC 0 0.001 % 17.652 K $
CSX CORP 0 0.001 % 10.030 K $
AERCAP IRELAND CAPITAL DAC 0 0.001 % 10.470 K $
AETNA INC 0 0.001 % 15.504 K $
TYSON FOODS INC 0 0.001 % 15.204 K $
CME GROUP INC 0 0.001 % 18.386 K $
NATIONAL RURAL UTILITIES COOPERATI 0 0.001 % 9.385 K $
EXTRA SPACE STORAGE LP 0 0.001 % 14.117 K $
GATX CORPORATION 0 0.001 % 13.318 K $
HONEYWELL INTERNATIONAL INC 0 0.001 % 9.214 K $
VERIZON COMMUNICATIONS INC 0 0.001 % 9.917 K $
ORACLE CORPORATION 0 0.001 % 15.077 K $
BRISTOL-MYERS SQUIBB CO 0 0.001 % 9.994 K $
NNN REIT INC 0 0.001 % 7.045 K $
CENCORA INC 0 0.001 % 10.018 K $
HOST HOTELS & RESORTS LP 0 0.001 % 10.525 K $
ERP OPERATING LP 0 0.001 % 16.944 K $
HUNTINGTON NATIONAL BANK (THE) 0 0.001 % 10.672 K $
THERMO FISHER SCIENTIFIC INC 0 0.001 % 10.545 K $
AT&T INC 0 0.001 % 17.100 K $
NNN REIT INC 0 0.001 % 11.179 K $
UNITED PARCEL SERVICE INC 0 0.001 % 11.881 K $
SNAP-ON INCORPORATED 0 0.001 % 12.820 K $
NEXTERA ENERGY CAPITAL HOLDINGS IN 0 0.001 % 10.010 K $
TEXTRON INC 0 0.001 % 9.972 K $
AMCOR FLEXIBLES NORTH AMERICA INC 0 0.001 % 18.510 K $
FOMENTO ECONOMICO MEXICANO SAB DE 0 0.001 % 9.081 K $
HEALTHCARE TRUST OF AMERICA HOLDIN 0 0.001 % 19.090 K $
ZOETIS INC 0 0.001 % 17.504 K $
ENSTAR GROUP LTD 0 0.001 % 17.548 K $
CONSTELLATION BRANDS INC 0 0.001 % 9.558 K $
UNITEDHEALTH GROUP INC 0 0.001 % 11.584 K $
PIEDMONT OPERATING PARTNERSHIP LP 0 0.001 % 14.639 K $
FMC CORPORATION 0 0.001 % 15.415 K $
RPM INTERNATIONAL INC 0 0.001 % 16.422 K $
ATMOS ENERGY CORPORATION 0 0.001 % 14.976 K $
COMMONWEALTH EDISON COMPANY 0 0.001 % 11.852 K $
J M SMUCKER CO 0 0.001 % 18.688 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.001 % 12.688 K $
CONOCOPHILLIPS CO 0 0.001 % 9.872 K $
BURLINGTON NORTHERN SANTA FE LLC 0 0.001 % 9.180 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.001 % 10.165 K $
WALT DISNEY CO 0 0.001 % 11.580 K $
RAYTHEON TECHNOLOGIES CORPORATION 0 0.001 % 15.007 K $
WILLIAMS COMPANIES INC 0 0.001 % 15.989 K $
ALLEGHANY CORPORATION 0 0.001 % 8.617 K $
APA CORP (US) 0 0.001 % 10.327 K $
TSMC ARIZONA CORP 0 0.001 % 16.851 K $
PACIFIC GAS AND ELECTRIC COMPANY 0 0.001 % 9.930 K $
NEXTERA ENERGY CAPITAL HOLDINGS IN 0 0.001 % 10.353 K $
BURLINGTON NORTHERN SANTA FE LLC 0 0.001 % 16.473 K $
BURLINGTON NORTHERN SANTA FE LLC 0 0.001 % 14.814 K $
METLIFE INC 0 0.001 % 16.128 K $
SNAP-ON INCORPORATED 0 0.001 % 10.827 K $
AMCOR FLEXIBLES NORTH AMERICA INC 0 0.001 % 15.944 K $
UNION PACIFIC CORPORATION MTN 0 0.001 % 17.433 K $
NIKE INC 0 0.001 % 14.883 K $
TANGER PROPERTIES LP 0 0.001 % 15.072 K $
UNITED PARCEL SERVICE INC 0 0.001 % 19.044 K $
DOLLAR GENERAL CORP 0 0.001 % 14.531 K $
LEAR CORPORATION 0 0.001 % 9.989 K $
ENTERPRISE PRODUCTS OPERATING LLC 0 0.001 % 16.066 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0.001 % 15.303 K $
EATON CORPORATION 0 0.001 % 9.181 K $
UNION PACIFIC CORPORATION 0 0.001 % 13.547 K $
CAMDEN PROPERTY TRUST 0 0.001 % 14.189 K $
CANADIAN PACIFIC RAILWAY COMPANY 0 0.001 % 10.173 K $
MARSH & MCLENNAN COMPANIES INC 0 0.001 % 10.456 K $
AMGEN INC 0 0.001 % 8.071 K $
AMERICAN INTERNATIONAL GROUP INC 0 0.001 % 9.477 K $
HERSHEY COMPANY THE 0 0.001 % 12.222 K $
COMCAST CORPORATION 0 0 % 4.749 K $
STARBUCKS CORPORATION 0 0 % 4.977 K $
ATHENE HOLDING LTD 0 0 % 5.128 K $
PAYCHEX INC 0 0 % 5.290 K $
ENBRIDGE ENERGY PARTNERS LP 0 0 % 5.079 K $
UNION PACIFIC CORPORATION 0 0 % 5.040 K $
AMERICAN FINANCIAL GROUP INC 0 0 % 5.264 K $
RENAISSANCERE HOLDINGS LTD 0 0 % 5.384 K $
FEDEX CORP 0 0 % 4.449 K $
CHARLES SCHWAB CORPORATION (THE) 0 0 % 4.948 K $
MOHAWK INDUSTRIES INC 0 0 % 4.937 K $
PROLOGIS LP 0 0 % 5.017 K $
ONCOR ELECTRIC DELIVERY COMPANY LL 0 0 % 6.221 K $
COMCAST CORPORATION 0 0 % 4.890 K $
GLAXOSMITHKLINE CAPITAL PLC 0 0 % 4.977 K $
FEDEX CORP 0 0 % 3.845 K $
SOUTHERN CALIFORNIA GAS COMPANY 0 0 % 5.467 K $
REINSURANCE GROUP OF AMERICA INC 0 0 % 5.248 K $
LPL HOLDINGS INC 0 0 % 5.168 K $
CATERPILLAR INC 0 0 % 4.786 K $
WRKCO INC 0 0 % 5.005 K $
WASTE CONNECTIONS INC 0 0 % 5.133 K $
ROPER TECHNOLOGIES INC 0 0 % 5.770 K $
NATIONAL RURAL UTILITIES COOPERATI 0 0 % 4.973 K $
GENERAL MOTORS FINANCIAL COMPANY I 0 0 % 5.263 K $
RTX CORP 0 0 % 5.347 K $
MARRIOTT INTERNATIONAL INC 0 0 % 5.009 K $
STATE STREET CORP 0 0 % 5.596 K $