VTC

Vanguard Total Corporate Bond ETF VTC

79.02 $ 0.02 %

Market capitalization

$ 1.315 B

Ratio P/E

0.00

Volume

170.067 K

Beta

1.19

EPS

0.00

Dividend

$ 3.6613

Price History

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Inside Vanguard Total Corporate Bond ETF

Symbol Name Share number Weight Value
JPM JPMorgan Chase & Co 31482000 2.324 % 30.553 M $
BAC Bank of America Corp 30014000 2.136 % 28.093 M $
MS Morgan Stanley 23982000 1.831 % 24.081 M $
GS Goldman Sachs Group Inc/The 20136000 1.494 % 19.642 M $
WFC Wells Fargo & Co 18909000 1.399 % 18.397 M $
C Citigroup Inc 18470000 1.38 % 18.152 M $
ORCL Oracle Corp 15754000 1.12 % 14.728 M $
T AT&T Inc 15872000 1.08 % 14.201 M $
HSBC HSBC Holdings PLC 13118000 1.031 % 13.562 M $
CMCSA Comcast Corp 14661000 0.979 % 12.870 M $
UNH UnitedHealth Group Inc 13260000 0.96 % 12.620 M $
AVGO Broadcom Inc 12746000 0.942 % 12.383 M $
USD US Dollar -11957235.87 0.909 % -11.957 M $
VZ Verizon Communications Inc 13701000 0.907 % 11.927 M $
AAPL Apple Inc 12138000 0.804 % 10.566 M $
ABBV AbbVie Inc 10760000 0.784 % 10.309 M $
TMUS T-Mobile USA Inc 10018000 0.724 % 9.525 M $
CVS CVS Health Corp 9874000 0.717 % 9.423 M $
BACR Barclays PLC 9412000 0.712 % 9.360 M $
AMGN Amgen Inc 9794000 0.707 % 9.303 M $
BA Boeing Co/The 8748000 0.643 % 8.456 M $
ET Energy Transfer LP 8191000 0.632 % 8.317 M $
AMZN Amazon.com Inc 9139000 0.61 % 8.015 M $
CHTR Charter Communications Operating LLC / Charter Communications Operating Capital 8899000 0.592 % 7.786 M $
HCA HCA Inc 7989000 0.59 % 7.754 M $
PM Philip Morris International Inc 7659000 0.574 % 7.552 M $
SUMIBK Sumitomo Mitsui Financial Group Inc 7325000 0.555 % 7.300 M $
MKTLIQ 72223.393 0.549 % 7.222 M $
HD Home Depot Inc/The 7438000 0.526 % 6.917 M $
INTC Intel Corp 7609000 0.523 % 6.874 M $
ELV Elevance Health Inc 7082000 0.519 % 6.828 M $
MUFG Mitsubishi UFJ Financial Group Inc 6747000 0.507 % 6.672 M $
PCG Pacific Gas and Electric Co 7127000 0.505 % 6.643 M $
BMY Bristol-Myers Squibb Co 7163000 0.499 % 6.566 M $
AXP American Express Co 6080000 0.471 % 6.199 M $
PNC PNC Financial Services Group Inc/The 5927000 0.463 % 6.086 M $
TOYOTA Toyota Motor Credit Corp 6000000 0.458 % 6.025 M $
LLY Eli Lilly & Co 6137000 0.455 % 5.986 M $
RTX RTX Corp 6059000 0.448 % 5.896 M $
USB US Bancorp 6011000 0.443 % 5.825 M $
BPLN BP Capital Markets America Inc 6371000 0.432 % 5.676 M $
GM General Motors Financial Co Inc 5535000 0.428 % 5.633 M $
PEP PepsiCo Inc 5700000 0.423 % 5.562 M $
BK Bank of New York Mellon Corp/The 5469000 0.417 % 5.488 M $
LOW Lowe's Cos Inc 5807000 0.417 % 5.481 M $
EPD Enterprise Products Operating LLC 5820000 0.413 % 5.433 M $
OKE ONEOK Inc 5341000 0.4 % 5.258 M $
AER AerCap Ireland Capital DAC / AerCap Global Aviation Trust 5418000 0.399 % 5.243 M $
DE John Deere Capital Corp 5220000 0.395 % 5.192 M $
F Ford Motor Credit Co LLC 5230000 0.394 % 5.175 M $
SANTAN Banco Santander SA 5185000 0.392 % 5.157 M $
RY Royal Bank of Canada 4888000 0.379 % 4.986 M $
COF Capital One Financial Corp 4735000 0.378 % 4.975 M $
MSFT Microsoft Corp 6700000 0.375 % 4.934 M $
BATSLN BAT Capital Corp 4944000 0.374 % 4.921 M $
CSCO Cisco Systems Inc 4725000 0.372 % 4.889 M $
META Meta Platforms Inc 4825000 0.363 % 4.768 M $
MRK Merck & Co Inc 5438000 0.361 % 4.746 M $
DELL Dell International LLC / EMC Corp 4551000 0.355 % 4.663 M $
D Virginia Electric and Power Co 4893000 0.353 % 4.641 M $
UNP Union Pacific Corp 5429000 0.344 % 4.520 M $
ABIBB Anheuser-Busch InBev Worldwide Inc 4395000 0.342 % 4.499 M $
T United States Treasury Note/Bond 4476000 0.341 % 4.477 M $
CI Cigna Group/The 4601000 0.336 % 4.413 M $
NEE Florida Power & Light Co 4430000 0.335 % 4.410 M $
WMT Walmart Inc 4434000 0.324 % 4.266 M $
LLOYDS Lloyds Banking Group PLC 4287000 0.322 % 4.238 M $
ENBCN Enbridge Inc 4416000 0.322 % 4.240 M $
TD Toronto-Dominion Bank/The 4162000 0.318 % 4.175 M $
DB Deutsche Bank AG/New York NY 4167000 0.316 % 4.161 M $
AMT American Tower Corp 4471000 0.314 % 4.131 M $
IBM International Business Machines Corp 4408000 0.311 % 4.089 M $
NEE NextEra Energy Capital Holdings Inc 4003000 0.305 % 4.005 M $
PFE Pfizer Inc 4720000 0.304 % 3.995 M $
KO Coca-Cola Co/The 4065000 0.301 % 3.955 M $
EIX Southern California Edison Co 4210000 0.291 % 3.821 M $
ED Consolidated Edison Co of New York Inc 4089000 0.287 % 3.769 M $
DUK Duke Energy Corp 3907000 0.284 % 3.731 M $
MPLX MPLX LP 3955000 0.283 % 3.715 M $
MCD McDonald's Corp 3696000 0.278 % 3.659 M $
GILD Gilead Sciences Inc 3965000 0.277 % 3.638 M $
BNSF Burlington Northern Santa Fe LLC 4280000 0.276 % 3.634 M $
STT State Street Corp 3650000 0.275 % 3.617 M $
JNJ Johnson & Johnson 4036000 0.272 % 3.582 M $
ICE Intercontinental Exchange Inc 3804000 0.27 % 3.554 M $
D Dominion Energy Inc 3537000 0.268 % 3.530 M $
WMB Williams Cos Inc/The 3607000 0.266 % 3.499 M $
HNDA American Honda Finance Corp 3430000 0.264 % 3.475 M $
DUK Duke Energy Carolinas LLC 3626000 0.264 % 3.475 M $
LMT Lockheed Martin Corp 3574000 0.262 % 3.445 M $
FI Fiserv Inc 3418000 0.262 % 3.446 M $
DIS Walt Disney Co/The 3635000 0.261 % 3.428 M $
SPG Simon Property Group LP 3406000 0.251 % 3.294 M $
NSC Norfolk Southern Corp 3450000 0.249 % 3.272 M $
KMI Kinder Morgan Inc 3404000 0.248 % 3.257 M $
MIZUHO Mizuho Financial Group Inc 3130000 0.24 % 3.152 M $
MO Altria Group Inc 3206000 0.23 % 3.029 M $
WM Waste Management Inc 3006000 0.227 % 2.981 M $
TGT Target Corp 3442000 0.224 % 2.951 M $
WSTP Westpac Banking Corp 3025000 0.223 % 2.927 M $
MA Mastercard Inc 3050000 0.219 % 2.885 M $
HON Honeywell International Inc 3145000 0.219 % 2.876 M $
PFE Pfizer Investment Enterprises Pte Ltd 2907000 0.217 % 2.848 M $
OXY Occidental Petroleum Corp 2800000 0.217 % 2.852 M $
GM General Motors Co 2767000 0.214 % 2.816 M $
MMC Marsh & McLennan Cos Inc 2793000 0.213 % 2.798 M $
XOM Exxon Mobil Corp 3321000 0.212 % 2.788 M $
KDP Keurig Dr Pepper Inc 3048000 0.212 % 2.787 M $
PLD Prologis LP 3004000 0.212 % 2.792 M $
UPS United Parcel Service Inc 2865000 0.212 % 2.787 M $
CSX CSX Corp 3011000 0.21 % 2.767 M $
RDSALN Shell International Finance BV 2916000 0.209 % 2.745 M $
COP ConocoPhillips Co 2865000 0.204 % 2.677 M $
HUM Humana Inc 2725000 0.202 % 2.662 M $
STZ Constellation Brands Inc 2779000 0.201 % 2.641 M $
BHP BHP Billiton Finance USA Ltd 2613000 0.201 % 2.637 M $
NI NiSource Inc 2769000 0.2 % 2.624 M $
NOC Northrop Grumman Corp 2702000 0.198 % 2.605 M $
TMO Thermo Fisher Scientific Inc 2650000 0.197 % 2.597 M $
NWG NatWest Group PLC 2530000 0.197 % 2.589 M $
BNS Bank of Nova Scotia/The 2590000 0.195 % 2.568 M $
MET MetLife Inc 2503000 0.194 % 2.555 M $
V Visa Inc 3051000 0.192 % 2.521 M $
PG Procter & Gamble Co/The 2620000 0.192 % 2.524 M $
SCHW Charles Schwab Corp/The 2654000 0.192 % 2.523 M $
SBUX Starbucks Corp 2638000 0.188 % 2.477 M $
ABIBB Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc 2555000 0.188 % 2.472 M $
WPC WP Carey Inc 2525000 0.182 % 2.387 M $
O Realty Income Corp 2451000 0.182 % 2.395 M $
TFC Truist Financial Corp 2268000 0.182 % 2.396 M $
DTE DTE Electric Co 2670000 0.181 % 2.374 M $
AZN AstraZeneca PLC 2615000 0.179 % 2.359 M $
TXN Texas Instruments Inc 2515000 0.179 % 2.360 M $
QCOM QUALCOMM Inc 2500000 0.178 % 2.339 M $
EXC Commonwealth Edison Co 2738000 0.177 % 2.328 M $
C Citibank NA 2245000 0.176 % 2.311 M $
PRU Prudential Financial Inc 2520000 0.176 % 2.310 M $
NOMURA Nomura Holdings Inc 2210000 0.172 % 2.257 M $
NTRCN Nutrien Ltd 2241000 0.171 % 2.253 M $
KHC Kraft Heinz Foods Co 2501000 0.171 % 2.253 M $
SO Southern Co/The 2203000 0.169 % 2.228 M $
FANG Diamondback Energy Inc 2254000 0.169 % 2.228 M $
CCI Crown Castle Inc 2405000 0.165 % 2.172 M $
KR Kroger Co/The 2350000 0.165 % 2.168 M $
MU Micron Technology Inc 2035000 0.163 % 2.148 M $
NOVNVX Novartis Capital Corp 2287000 0.163 % 2.149 M $
INTNED ING Groep NV 2095000 0.162 % 2.133 M $
VOD Vodafone Group PLC 2145000 0.159 % 2.086 M $
RCICN Rogers Communications Inc 2283000 0.157 % 2.071 M $
F Ford Motor Co 2143000 0.156 % 2.048 M $
GOOGL Alphabet Inc 2535000 0.155 % 2.034 M $
BRK Berkshire Hathaway Finance Corp 2465000 0.154 % 2.025 M $
ES Eversource Energy 2028000 0.154 % 2.030 M $
AJG Arthur J Gallagher & Co 2065000 0.153 % 2.017 M $
SPGI S&P Global Inc 2345000 0.153 % 2.015 M $
TRPCN TransCanada PipeLines Ltd 1865000 0.153 % 2.017 M $
SO Georgia Power Co 2142000 0.152 % 2.001 M $
BRKHEC MidAmerican Energy Co 1990000 0.152 % 1.998 M $
CNC Centene Corp 2139000 0.15 % 1.970 M $
JEF Jefferies Financial Group Inc 1935000 0.149 % 1.961 M $
TRGP Targa Resources Corp 1910000 0.149 % 1.965 M $
SO Alabama Power Co 2198000 0.148 % 1.944 M $
SRE Sempra 2048000 0.148 % 1.940 M $
NRUC National Rural Utilities Cooperative Finance Corp 2020000 0.148 % 1.944 M $
PCAR PACCAR Financial Corp 1890000 0.146 % 1.914 M $
PARA Paramount Global 2128000 0.146 % 1.918 M $
NAB National Australia Bank Ltd/New York 1870000 0.145 % 1.905 M $
HBAN Huntington Bancshares Inc/OH 1945000 0.144 % 1.893 M $
ARE Alexandria Real Estate Equities Inc 2053000 0.143 % 1.884 M $
CP Canadian Pacific Railway Co 2289000 0.143 % 1.875 M $
TTEFP TotalEnergies Capital SA 1880000 0.143 % 1.875 M $
ETR Entergy Louisiana LLC 1908000 0.143 % 1.885 M $
SRE Southern California Gas Co 1945000 0.14 % 1.835 M $
DOW Dow Chemical Co/The 2020000 0.14 % 1.843 M $
WELL Welltower OP LLC 1915000 0.139 % 1.829 M $
MMM 3M Co 1981000 0.139 % 1.832 M $
KMI Kinder Morgan Energy Partners LP 1810000 0.139 % 1.830 M $
BABA Alibaba Group Holding Ltd 1985000 0.137 % 1.795 M $
HPQ HP Inc 1903000 0.137 % 1.804 M $
XEL Northern States Power Co/MN 1957000 0.137 % 1.804 M $
EXC Exelon Corp 1835000 0.136 % 1.794 M $
AWK American Water Capital Corp 1878000 0.135 % 1.772 M $
BRO Brown & Brown Inc 1750000 0.134 % 1.764 M $
MTB M&T Bank Corp 1723000 0.133 % 1.750 M $
CMS Consumers Energy Co 1930000 0.133 % 1.744 M $
IBM IBM International Capital Pte Ltd 1745000 0.131 % 1.727 M $
LHX L3Harris Technologies Inc 1675000 0.131 % 1.727 M $
FFHCN Fairfax Financial Holdings Ltd 1810000 0.131 % 1.729 M $
HLNLN Haleon US Capital LLC 1770000 0.131 % 1.725 M $
UNANA Unilever Capital Corp 1745000 0.131 % 1.727 M $
SHW Sherwin-Williams Co/The 1835000 0.131 % 1.725 M $
PAA Plains All American Pipeline LP / PAA Finance Corp 1795000 0.13 % 1.715 M $
CMI Cummins Inc 1684000 0.13 % 1.704 M $
MAR Marriott International Inc/MD 1744000 0.129 % 1.697 M $
PEG Public Service Electric and Gas Co 1748000 0.129 % 1.701 M $
JBSSBZ JBS USA Holding Lux Sarl/ JBS USA Food Co/ JBS Lux Co Sarl 1515000 0.128 % 1.687 M $
FITB Fifth Third Bancorp 1625000 0.128 % 1.682 M $
BDX Becton Dickinson & Co 1710000 0.127 % 1.665 M $
VLO Valero Energy Corp 1665000 0.127 % 1.673 M $
ATO Atmos Energy Corp 1650000 0.126 % 1.651 M $
RIOLN Rio Tinto Finance USA PLC 1603000 0.124 % 1.627 M $
HPE Hewlett Packard Enterprise Co 1601000 0.124 % 1.625 M $
ANGINC American National Group Inc 1600000 0.123 % 1.615 M $
APH Amphenol Corp 1685000 0.123 % 1.617 M $
R Ryder System Inc 1540000 0.122 % 1.605 M $
BRKHEC PacifiCorp 1680000 0.122 % 1.603 M $
GSK GlaxoSmithKline Capital Inc 1468000 0.121 % 1.589 M $
KIM Kimco Realty OP LLC 1715000 0.121 % 1.594 M $
ORLY O'Reilly Automotive Inc 1566000 0.121 % 1.591 M $
MS Morgan Stanley Bank NA 1565000 0.121 % 1.587 M $
EXR Extra Space Storage LP 1622000 0.121 % 1.591 M $
WDSAU Woodside Finance Ltd 1555000 0.121 % 1.588 M $
FDX FedEx Corp 1825000 0.12 % 1.576 M $
PFE Wyeth LLC 1434000 0.12 % 1.582 M $
DUK Duke Energy Progress LLC 1715000 0.119 % 1.560 M $
DGELN Diageo Capital PLC 1560000 0.118 % 1.557 M $
ONCRTX Oncor Electric Delivery Co LLC 1849000 0.117 % 1.538 M $
AMXLMM America Movil SAB de CV 1567000 0.116 % 1.528 M $
SANUK Santander UK Group Holdings PLC 1523000 0.116 % 1.524 M $
WTW Willis North America Inc 1515000 0.116 % 1.519 M $
EQIX Equinix Inc 1705000 0.115 % 1.517 M $
ADI Analog Devices Inc 1740000 0.114 % 1.505 M $
VICI VICI Properties LP 1482000 0.114 % 1.504 M $
RDSALN Shell Finance US Inc 1690000 0.113 % 1.492 M $
TELEFO Telefonica Europe BV 1285000 0.113 % 1.486 M $
PYPL PayPal Holdings Inc 1650000 0.112 % 1.472 M $
BLK BlackRock Funding Inc 1475000 0.112 % 1.472 M $
TRV Travelers Cos Inc/The 1593000 0.111 % 1.460 M $
CARR Carrier Global Corp 1620000 0.111 % 1.456 M $
NUE Nucor Corp 1461000 0.111 % 1.458 M $
SYK Stryker Corp 1537000 0.111 % 1.462 M $
CNP CenterPoint Energy Houston Electric LLC 1725000 0.11 % 1.444 M $
MCO Moody's Corp 1685000 0.11 % 1.444 M $
SNPS Synopsys Inc 1400000 0.108 % 1.424 M $
CPB Campbell's Company/The 1455000 0.108 % 1.426 M $
GIS General Mills Inc 1475000 0.108 % 1.416 M $
XEL Public Service Co of Colorado 1597000 0.107 % 1.403 M $
CB Chubb INA Holdings LLC 1621000 0.106 % 1.395 M $
CAH Cardinal Health Inc 1444000 0.106 % 1.393 M $
BNCN Brookfield Finance Inc 1470000 0.106 % 1.388 M $
AXASA AXA SA 1175000 0.106 % 1.398 M $
TTEFP TotalEnergies Capital International SA 1710000 0.106 % 1.397 M $
ALLY Ally Financial Inc 1309000 0.106 % 1.399 M $
ACN Accenture Capital Inc 1390000 0.106 % 1.389 M $
RABOBK Cooperatieve Rabobank UA/NY 1360000 0.105 % 1.381 M $
BLK Blackrock Inc 1393000 0.105 % 1.375 M $
PSA Public Storage Operating Co 1385000 0.104 % 1.371 M $
PSX Phillips 66 Co 1358000 0.104 % 1.364 M $
CATMED CommonSpirit Health 1575000 0.103 % 1.353 M $
PSX Phillips 66 1345000 0.103 % 1.349 M $
SUZANO Suzano Austria GmbH 1375000 0.102 % 1.345 M $
MDLZ Mondelez International Inc 1420000 0.101 % 1.335 M $
AMAT Applied Materials Inc 1377000 0.101 % 1.333 M $
DUK Duke Energy Florida LLC 1520000 0.101 % 1.323 M $
TACHEM Takeda Pharmaceutical Co Ltd 1425000 0.1 % 1.309 M $
BRKHEC Berkshire Hathaway Energy Co 1436000 0.1 % 1.320 M $
DOC Healthpeak OP LLC 1385000 0.1 % 1.311 M $
PWR Quanta Services Inc 1370000 0.098 % 1.291 M $
RSG Republic Services Inc 1400000 0.097 % 1.276 M $
NVDA NVIDIA Corp 1470000 0.096 % 1.261 M $
XEL Xcel Energy Inc 1453000 0.096 % 1.264 M $
AEE Union Electric Co 1335000 0.096 % 1.268 M $
PGR Progressive Corp/The 1393000 0.096 % 1.263 M $
ALL Allstate Corp/The 1188000 0.095 % 1.248 M $
CVX Chevron USA Inc 1365000 0.095 % 1.247 M $
UBS UBS AG/Stamford CT 1195000 0.095 % 1.254 M $
CFG Citizens Financial Group Inc 1210000 0.095 % 1.243 M $
EQR ERP Operating LP 1267000 0.094 % 1.238 M $
APP AppLovin Corp 1205000 0.094 % 1.239 M $
HES Hess Corp 1200000 0.094 % 1.242 M $
LYB LYB International Finance III LLC 1600000 0.094 % 1.239 M $
EQT EQT Corp 1196000 0.093 % 1.229 M $
VRSK Verisk Analytics Inc 1194000 0.093 % 1.217 M $
TCN TELUS Corp 1315000 0.092 % 1.208 M $
PH Parker-Hannifin Corp 1292000 0.091 % 1.196 M $
SW WRKCo Inc 1245000 0.091 % 1.191 M $
HAL Halliburton Co 1298000 0.091 % 1.198 M $
AEP American Electric Power Co Inc 1209000 0.089 % 1.169 M $
ARESSI Ares Strategic Income Fund 1140000 0.088 % 1.154 M $
BMO Bank of Montreal 1175000 0.088 % 1.158 M $
TAISEM TSMC Arizona Corp 1285000 0.087 % 1.142 M $
DUK Duke Energy Indiana LLC 1232000 0.087 % 1.149 M $
MSI Motorola Solutions Inc 1125000 0.087 % 1.141 M $
OCINCC Blue Owl Credit Income Corp 1095000 0.087 % 1.146 M $
KEY KeyBank NA/Cleveland OH 1130000 0.087 % 1.142 M $
LH Laboratory Corp of America Holdings 1180000 0.086 % 1.134 M $
DG Dollar General Corp 1280000 0.086 % 1.129 M $
AZO AutoZone Inc 1085000 0.086 % 1.128 M $
AEP AEP Texas Inc 1220000 0.086 % 1.127 M $
KPERM Kaiser Foundation Hospitals 1500000 0.086 % 1.126 M $
DTE DTE Energy Co 1096000 0.085 % 1.112 M $
CQP Cheniere Energy Partners LP 1119000 0.085 % 1.120 M $
ADBE Adobe Inc 1095000 0.085 % 1.123 M $
SCCO Southern Copper Corp 1061000 0.085 % 1.114 M $
CHTR Time Warner Cable LLC 1121000 0.084 % 1.111 M $
BIIB Biogen Inc 1255000 0.084 % 1.110 M $
CTRA Coterra Energy Inc 1115000 0.084 % 1.107 M $
EMN Eastman Chemical Co 1080000 0.084 % 1.106 M $
CRM Salesforce Inc 1350000 0.084 % 1.107 M $
ADP Automatic Data Processing Inc 1146000 0.083 % 1.095 M $
WCNCN Waste Connections Inc 1225000 0.083 % 1.095 M $
BBVASM Banco Bilbao Vizcaya Argentaria SA 1020000 0.083 % 1.090 M $
DGX Quest Diagnostics Inc 1040000 0.082 % 1.073 M $
CNQCN Canadian Natural Resources Ltd 1000000 0.082 % 1.084 M $
HLEND HPS Corporate Lending Fund 1053000 0.082 % 1.078 M $
DIS TWDC Enterprises 18 Corp 1546000 0.082 % 1.085 M $
GD General Dynamics Corp 1120000 0.082 % 1.082 M $
AON Aon North America Inc 1050000 0.082 % 1.076 M $
GSK GlaxoSmithKline Capital PLC 1078000 0.081 % 1.062 M $
CDNS Cadence Design Systems Inc 1070000 0.081 % 1.072 M $
COR Cencora Inc 1045000 0.081 % 1.061 M $
BAX Baxter International Inc 1252000 0.081 % 1.072 M $
CNHI CNH Industrial Capital LLC 1045000 0.081 % 1.061 M $
CRBG Corebridge Financial Inc 1091000 0.081 % 1.071 M $
EMR Emerson Electric Co 1083000 0.08 % 1.058 M $
TSN Tyson Foods Inc 1070000 0.08 % 1.052 M $
CAG Conagra Brands Inc 1055000 0.079 % 1.038 M $
GLPI GLP Capital LP / GLP Financing II Inc 1065000 0.079 % 1.044 M $
CAT Caterpillar Inc 1105000 0.079 % 1.038 M $
AEP Appalachian Power Co 1130000 0.079 % 1.033 M $
VTR Ventas Realty LP 1045000 0.079 % 1.037 M $
TELEFO Telefonica Emisiones SA 1145000 0.079 % 1.039 M $
SRE San Diego Gas & Electric Co 1168000 0.079 % 1.039 M $
ATH Athene Holding Ltd 1042000 0.078 % 1.022 M $
OTIS Otis Worldwide Corp 1108000 0.078 % 1.026 M $
ZTS Zoetis Inc 1150000 0.078 % 1.023 M $
SPLLLC Sabine Pass Liquefaction LLC 1025000 0.078 % 1.028 M $
EIX Edison International 1000000 0.077 % 1.015 M $
DAL Delta Air Lines Inc / SkyMiles IP Ltd 990000 0.076 % 995.579 K $
DVN Devon Energy Corp 1045000 0.076 % 1.003 M $
VMC Vulcan Materials Co 975000 0.076 % 1.000 M $
EXC Baltimore Gas and Electric Co 1025000 0.076 % 1.005 M $
BKH Black Hills Corp 1013000 0.076 % 1.003 M $
SJM J M Smucker Co/The 1000000 0.076 % 1.003 M $
EOG EOG Resources Inc 1020000 0.076 % 997.553 K $
TTWO Take-Two Interactive Software Inc 985000 0.075 % 985.900 K $
ECL Ecolab Inc 1088000 0.075 % 979.836 K $
MPC Marathon Petroleum Corp 1075000 0.075 % 986.669 K $
SYY Sysco Corp 908000 0.074 % 978.104 K $
ORAFP Orange SA 805000 0.074 % 977.897 K $
CVX Chevron Corp 1000000 0.074 % 972.111 K $
ETR Entergy Arkansas LLC 1115000 0.073 % 956.489 K $
ORIX ORIX Corp 941000 0.073 % 954.410 K $
WFC Wells Fargo Bank NA 915000 0.073 % 961.360 K $
MAA Mid-America Apartments LP 960000 0.073 % 964.494 K $
VALEBZ Vale Overseas Ltd 946000 0.072 % 947.480 K $
EXC PECO Energy Co 1175000 0.072 % 941.193 K $
WTRG Essential Utilities Inc 1010000 0.072 % 943.608 K $
BG Bunge Ltd Finance Corp 970000 0.071 % 930.938 K $
NEM Newmont Corp / Newcrest Finance Pty Ltd 900000 0.071 % 938.903 K $
WMB Transcontinental Gas Pipe Line Co LLC 920000 0.07 % 917.202 K $
SANUSA Santander Holdings USA Inc 880000 0.07 % 922.633 K $
SO Southern Co Gas Capital Corp 936000 0.07 % 918.715 K $
COST Costco Wholesale Corp 960000 0.07 % 920.516 K $
PNC PNC Bank NA 939000 0.07 % 918.626 K $
CM Canadian Imperial Bank of Commerce 880000 0.07 % 920.957 K $
BHI Baker Hughes Holdings LLC / Baker Hughes Co-Obligor Inc 990000 0.069 % 906.964 K $
FCX Freeport-McMoRan Inc 930000 0.069 % 907.291 K $
HII Huntington Ingalls Industries Inc 870000 0.069 % 903.604 K $
APD Air Products and Chemicals Inc 1010000 0.069 % 905.819 K $
REG Regency Centers LP 945000 0.069 % 905.787 K $
ROP Roper Technologies Inc 975000 0.068 % 888.496 K $
GMT GATX Corp 880000 0.068 % 899.865 K $
EFX Equifax Inc 890000 0.067 % 879.657 K $
GPN Global Payments Inc 885000 0.067 % 882.173 K $
AEE Ameren Illinois Co 861000 0.066 % 868.210 K $
PSD Puget Sound Energy Inc 954000 0.066 % 872.196 K $
EXPE Expedia Group Inc 900000 0.066 % 871.049 K $
CNP CenterPoint Energy Inc 842000 0.066 % 869.276 K $
RRX Regal Rexnord Corp 820000 0.066 % 870.240 K $
DUK Piedmont Natural Gas Co Inc 970000 0.066 % 870.103 K $
KEY KeyCorp 879000 0.066 % 863.607 K $
HIW Highwoods Realty LP 910000 0.066 % 861.343 K $
PPL PPL Electric Utilities Corp 902000 0.065 % 848.713 K $
PEG Public Service Enterprise Group Inc 826000 0.065 % 854.250 K $
NFLX Netflix Inc 825000 0.065 % 850.607 K $
HP Helmerich & Payne Inc 900000 0.065 % 857.088 K $
SYF Synchrony Financial 877000 0.065 % 859.361 K $
CNXC Concentrix Corp 821000 0.065 % 857.677 K $
NDAQ Nasdaq Inc 1000000 0.064 % 842.614 K $
AVB AvalonBay Communities Inc 900000 0.064 % 843.377 K $
CNRCN Canadian National Railway Co 1110000 0.064 % 846.679 K $
HNDA Honda Motor Co Ltd 820000 0.063 % 828.131 K $
IR Ingersoll Rand Inc 810000 0.063 % 834.963 K $
BCRED Blackstone Private Credit Fund 805000 0.063 % 826.160 K $
S Sprint Capital Corp 671000 0.062 % 817.004 K $
TOYOTA Toyota Motor Corp 805000 0.062 % 813.425 K $
BRKHEC Nevada Power Co 720000 0.062 % 814.422 K $
GE General Electric Co 820000 0.062 % 814.529 K $
VTRS Viatris Inc 1036000 0.062 % 821.673 K $
BC Brunswick Corp/DE 821000 0.061 % 801.049 K $
KVUE Kenvue Inc 845000 0.061 % 801.186 K $
HSY Hershey Co/The 810000 0.061 % 801.331 K $
LVS Las Vegas Sands Corp 810000 0.061 % 808.375 K $
AON Aon Global Ltd 915000 0.061 % 808.349 K $
RABOBK Cooperatieve Rabobank UA 845000 0.061 % 808.298 K $
BRITEL British Telecommunications PLC 640000 0.06 % 787.932 K $
FBINUS Fortune Brands Innovations Inc 765000 0.06 % 789.448 K $
RPRX Royalty Pharma PLC 920000 0.06 % 784.442 K $
ETN Eaton Corp 800000 0.06 % 786.484 K $
AMH American Homes 4 Rent LP 775000 0.06 % 794.980 K $
IP International Paper Co 900000 0.06 % 794.700 K $
BIDU Baidu Inc 800000 0.06 % 784.864 K $
WES Western Midstream Operating LP 840000 0.059 % 779.117 K $
SUCN Suncor Energy Inc 716000 0.059 % 778.147 K $
FOXA Fox Corp 780000 0.059 % 777.025 K $
MCHP Microchip Technology Inc 765000 0.059 % 778.625 K $
PNW Arizona Public Service Co 997000 0.058 % 763.361 K $
MRVL Marvell Technology Inc 805000 0.058 % 757.673 K $
NKE NIKE Inc 940000 0.058 % 764.951 K $
INTU Intuit Inc 795000 0.058 % 757.592 K $
MAS Masco Corp 830000 0.058 % 766.078 K $
SUTHEA Sutter Health 885000 0.057 % 745.294 K $
AON Aon Corp / Aon Global Holdings PLC 778000 0.056 % 735.009 K $
LUV Southwest Airlines Co 725000 0.056 % 733.952 K $
DLTR Dollar Tree Inc 832000 0.056 % 740.435 K $
LEA Lear Corp 760000 0.056 % 729.886 K $
BATSLN Reynolds American Inc 700000 0.056 % 732.584 K $
SIXSLP Sixth Street Lending Partners 720000 0.056 % 740.180 K $
FTSCN Tucson Electric Power Co 880000 0.055 % 719.715 K $
HAS Hasbro Inc 740000 0.055 % 726.667 K $
AEP Southwestern Electric Power Co 760000 0.055 % 718.580 K $
UBER Uber Technologies Inc 735000 0.055 % 729.235 K $
CEG Constellation Energy Generation LLC 675000 0.055 % 726.864 K $
NNN NNN REIT Inc 919000 0.054 % 716.425 K $
CHH Choice Hotels International Inc 755000 0.054 % 706.991 K $
EQH Equitable Holdings Inc 729000 0.054 % 716.246 K $
GEHC GE HealthCare Technologies Inc 675000 0.054 % 708.847 K $
DHI DR Horton Inc 713000 0.054 % 709.521 K $
OC Owens Corning 675000 0.054 % 703.797 K $
KOF Coca-Cola Femsa SAB de CV 825000 0.054 % 716.373 K $
DD DuPont de Nemours Inc 712000 0.054 % 707.615 K $
GSBD Goldman Sachs BDC Inc 696000 0.054 % 706.626 K $
BWP Boardwalk Pipelines LP 720000 0.053 % 690.814 K $
CAT Caterpillar Financial Services Corp 700000 0.053 % 703.143 K $
DT Deutsche Telekom International Finance BV 575000 0.052 % 677.805 K $
ABT Abbott Laboratories 628000 0.052 % 686.108 K $
AON Aon Corp 667000 0.052 % 678.844 K $
BXP Boston Properties LP 645000 0.052 % 685.405 K $
NTRS Northern Trust Corp 680000 0.051 % 668.507 K $
OKE ONEOK Partners LP 642000 0.051 % 673.480 K $
FDS FactSet Research Systems Inc 701000 0.051 % 665.084 K $
H Hyatt Hotels Corp 654000 0.051 % 675.120 K $
SANLTD Sands China Ltd 650000 0.051 % 664.138 K $
GLW Corning Inc 780000 0.051 % 664.075 K $
OHI Omega Healthcare Investors Inc 685000 0.051 % 670.642 K $
VMW VMware LLC 715000 0.051 % 670.448 K $
OGLETH Oglethorpe Power Corp 620000 0.05 % 652.425 K $
AMP Ameriprise Financial Inc 645000 0.05 % 661.361 K $
OBDC Blue Owl Capital Corp 650000 0.05 % 653.575 K $
MTNA ArcelorMittal SA 610000 0.05 % 661.544 K $
AL Air Lease Corp 665000 0.049 % 646.231 K $
LPLA LPL Holdings Inc 620000 0.049 % 646.898 K $
STLD Steel Dynamics Inc 626000 0.049 % 643.976 K $
CL Colgate-Palmolive Co 715000 0.049 % 649.343 K $
APA APA Corp 690000 0.049 % 639.931 K $
CHD Church & Dwight Co Inc 725000 0.048 % 635.046 K $
COP Burlington Resources LLC 560000 0.048 % 637.318 K $
AEP AEP Transmission Co LLC 735000 0.048 % 630.114 K $
AIG American International Group Inc 695000 0.048 % 630.922 K $
ETR Entergy Texas Inc 705000 0.048 % 626.890 K $
PSJHOG Providence St Joseph Health Obligated Group 690000 0.047 % 613.737 K $
ARCC Ares Capital Corp 618000 0.047 % 613.887 K $
MLM Martin Marietta Materials Inc 763000 0.047 % 618.753 K $
EMORYU Emory University 780000 0.047 % 619.800 K $
RGA Reinsurance Group of America Inc 600000 0.047 % 615.334 K $
AEE Ameren Corp 600000 0.047 % 615.228 K $
UBS UBS AG/London 643000 0.047 % 622.255 K $
DINO HF Sinclair Corp 631000 0.047 % 623.409 K $
WDAY Workday Inc 620000 0.047 % 614.626 K $
EL Estee Lauder Cos Inc/The 610000 0.047 % 618.524 K $
HIG Hartford Insurance Group Inc/The 630000 0.046 % 607.463 K $
PPC Pilgrim's Pride Corp 590000 0.046 % 606.140 K $
EBAY eBay Inc 681000 0.046 % 606.222 K $
EVRG Evergy Metro Inc 615000 0.046 % 610.979 K $
CF CF Industries Inc 600000 0.046 % 598.986 K $
DE Deere & Co 570000 0.046 % 608.730 K $
HST Host Hotels & Resorts LP 625000 0.046 % 608.660 K $
GPC Genuine Parts Co 690000 0.046 % 607.188 K $
PPL Kentucky Utilities Co 593000 0.046 % 599.129 K $
LIN Linde Inc/CT 700000 0.046 % 609.549 K $
ADC Agree LP 620000 0.046 % 604.224 K $
KMB Kimberly-Clark Corp 628000 0.046 % 600.492 K $
WAB Westinghouse Air Brake Technologies Corp 600000 0.046 % 599.718 K $
STE STERIS Irish FinCo UnLtd Co 660000 0.046 % 601.161 K $
ESS Essex Portfolio LP 608000 0.046 % 600.776 K $
NXPI NXP BV / NXP Funding LLC / NXP USA Inc 675000 0.046 % 605.515 K $
SW Smurfit Westrock Financing DAC 590000 0.046 % 608.838 K $
CPT Camden Property Trust 599000 0.045 % 589.853 K $
CNH CNH Industrial NV 595000 0.045 % 592.230 K $
APODS Apollo Debt Solutions BDC 570000 0.045 % 589.901 K $
JCI Johnson Controls International plc 625000 0.045 % 597.972 K $
MDT Medtronic Inc 640000 0.045 % 587.999 K $
JLL Jones Lang LaSalle Inc 555000 0.045 % 595.849 K $
NWUNI Northwestern University 635000 0.045 % 589.270 K $
AMCR Berry Global Inc 580000 0.045 % 597.722 K $
BAC Bank of America NA 547000 0.044 % 575.279 K $
RDN Radian Group Inc 575000 0.044 % 576.826 K $
FE FirstEnergy Transmission LLC 575000 0.044 % 574.105 K $
FRT Federal Realty OP LP 605000 0.044 % 575.681 K $
RE Everest Reinsurance Holdings Inc 640000 0.044 % 581.911 K $
ES NSTAR Electric Co 670000 0.044 % 578.399 K $
CVECN Cenovus Energy Inc 720000 0.043 % 564.512 K $
ITW Illinois Tool Works Inc 600000 0.043 % 565.301 K $
CNP CenterPoint Energy Resources Corp 558000 0.043 % 566.487 K $
KLAC KLA Corp 589000 0.043 % 566.696 K $
HEI HEICO Corp 545000 0.043 % 559.610 K $
SOLV Solventum Corp 535000 0.042 % 555.560 K $
OVV Ovintiv Inc 515000 0.042 % 552.533 K $
MKC McCormick & Co Inc/MD 630000 0.042 % 551.752 K $
AET Aetna Inc 535000 0.042 % 552.473 K $
BSX Boston Scientific Corp 560000 0.041 % 534.616 K $
WFC Wachovia Corp 525000 0.041 % 540.545 K $
PSD Puget Energy Inc 559000 0.041 % 540.546 K $
ETR Entergy Corp 630000 0.041 % 538.759 K $
SWK Stanley Black & Decker Inc 560000 0.041 % 534.993 K $
HSBC HSBC USA Inc 525000 0.041 % 533.423 K $
SR Spire Missouri Inc 535000 0.041 % 543.912 K $
TXT Textron Inc 590000 0.041 % 540.309 K $
FIS Fidelity National Information Services Inc 575000 0.041 % 538.506 K $
PFG Principal Financial Group Inc 534000 0.04 % 525.720 K $
SO Southern Power Co 570000 0.04 % 529.106 K $
GBDC Golub Capital BDC Inc 510000 0.04 % 519.596 K $
MS Morgan Stanley Private Bank NA 525000 0.04 % 530.601 K $
TT Trane Technologies Financing Ltd 575000 0.04 % 527.939 K $
CDP COPT Defense Properties LP 574000 0.04 % 529.912 K $
VTRS Mylan Inc 530000 0.04 % 527.874 K $
PHIANA Koninklijke Philips NV 505000 0.04 % 531.604 K $
SNX TD SYNNEX Corp 500000 0.04 % 530.637 K $
JXN Jackson Financial Inc 570000 0.039 % 515.921 K $
PKG Packaging Corp of America 498000 0.039 % 510.866 K $
ASCHEA Ascension Health 605000 0.039 % 518.860 K $
HMHLTH Hackensack Meridian Health Inc 710000 0.039 % 507.007 K $
MCK McKesson Corp 500000 0.039 % 511.491 K $
EXE Expand Energy Corp 525000 0.039 % 516.108 K $
TOL Toll Brothers Finance Corp 515000 0.039 % 507.908 K $
DUK Progress Energy Inc 460000 0.039 % 511.620 K $
STOR Store Capital LLC 520000 0.039 % 507.713 K $
ABXCN Barrick North America Finance LLC 500000 0.039 % 517.148 K $
ARES Ares Management Corp 490000 0.039 % 515.876 K $
XEL Southwestern Public Service Co 607000 0.039 % 509.337 K $
APO Apollo Global Management Inc 496000 0.038 % 500.197 K $
NSHRLI Northwell Healthcare Inc 635000 0.038 % 496.160 K $
FE FirstEnergy Corp 540000 0.038 % 495.440 K $
VOYA Voya Financial Inc 510000 0.038 % 501.080 K $
ZION Zions Bancorp NA 500000 0.038 % 501.641 K $
OWL Blue Owl Finance LLC 535000 0.038 % 500.987 K $
EXC Potomac Electric Power Co 490000 0.038 % 504.800 K $
IQV IQVIA Inc 480000 0.038 % 505.468 K $
NYUHOS NYU Langone Hospitals 550000 0.037 % 491.638 K $
ROK Rockwell Automation Inc 575000 0.037 % 492.823 K $
NACN National Bank of Canada 485000 0.037 % 489.306 K $
CRSTUS CHRISTUS Health 480000 0.037 % 480.864 K $
AEP Ohio Power Co 530000 0.037 % 482.081 K $
JBSSBZ JBS USA Holding Lux Sarl / JBS USA Foods Group Holdings Inc / JBS USA Food Co 475000 0.037 % 486.185 K $
ALB Albemarle Corp 490000 0.037 % 483.985 K $
WEC Wisconsin Electric Power Co 470000 0.037 % 488.863 K $
NOVANT Novant Health Inc 605000 0.037 % 484.169 K $
PXD Pioneer Natural Resources Co 545000 0.037 % 489.700 K $
LNT Interstate Power and Light Co 485000 0.037 % 486.768 K $
DLR Digital Realty Trust LP 500000 0.037 % 491.226 K $
BRKHEC Eastern Energy Gas Holdings LLC 470000 0.037 % 481.012 K $
MASSIN Massachusetts Institute of Technology 640000 0.036 % 477.480 K $
MFCCN Manulife Financial Corp 475000 0.036 % 471.695 K $
BWA BorgWarner Inc 462000 0.036 % 473.595 K $
WLK Westlake Corp 625000 0.036 % 476.575 K $
AMRZ Amrize Finance US LLC 464000 0.036 % 476.281 K $
APTV Aptiv Swiss Holdings Ltd 745000 0.036 % 472.766 K $
CRHID CRH America Finance Inc 450000 0.036 % 469.502 K $
ANZ Australia & New Zealand Banking Group Ltd/New York NY 450000 0.035 % 457.319 K $
AMCR Amcor Finance USA Inc 450000 0.035 % 459.799 K $
CBAAU Commonwealth Bank of Australia/New York NY 460000 0.035 % 464.209 K $
AHSCRP AHS Hospital Corp 480000 0.035 % 459.884 K $
HASI HA Sustainable Infrastructure Capital Inc 450000 0.035 % 460.216 K $
HOPECA City of Hope 465000 0.035 % 461.080 K $
ADM Archer-Daniels-Midland Co 520000 0.035 % 454.043 K $
HBAN Huntington National Bank/The 450000 0.035 % 454.944 K $
JBSSBZ JBS USA LUX Sarl / JBS USA Food Co / JBS USA Foods Group 425000 0.034 % 446.620 K $
MDT Medtronic Global Holdings SCA 440000 0.034 % 443.257 K $
CDW CDW LLC / CDW Finance Corp 450000 0.034 % 450.350 K $
DHR Danaher Corp 705000 0.034 % 452.954 K $
UAL United Airlines 2018-1 Class AA Pass Through Trust 465176.0826 0.034 % 446.259 K $
FLEX Flex Ltd 437000 0.034 % 441.819 K $
TRMB Trimble Inc 438000 0.034 % 446.025 K $
ANGSJ AngloGold Ashanti Holdings PLC 450000 0.033 % 429.510 K $
TRIHEA Trinity Health Corp 560000 0.033 % 439.501 K $
GIBACN CGI Inc 425000 0.033 % 432.674 K $
HWM Howmet Aerospace Inc 425000 0.033 % 436.104 K $
CHTR Time Warner Cable Enterprises LLC 375000 0.033 % 440.112 K $
AEP Public Service Co of Oklahoma 500000 0.033 % 439.014 K $
RVTY Revvity Inc 500000 0.033 % 434.989 K $
CTVA EIDP Inc 472000 0.033 % 437.330 K $
JD JD.com Inc 450000 0.033 % 435.677 K $
STC Stewart Information Services Corp 465000 0.032 % 416.319 K $
TAP Molson Coors Beverage Co 525000 0.032 % 426.962 K $
BXSL Blackstone Secured Lending Fund 440000 0.032 % 420.905 K $
UBS UBS Group AG 445000 0.032 % 417.437 K $
MKL Markel Group Inc 566000 0.032 % 421.038 K $
NGGLN National Grid PLC 400000 0.032 % 420.092 K $
WAUNIV Washington University/The 575000 0.032 % 421.665 K $
WDC Western Digital Corp 460000 0.032 % 416.158 K $
ABIBB Anheuser-Busch InBev Finance Inc 432000 0.032 % 415.219 K $
MOS Mosaic Co/The 415000 0.031 % 411.989 K $
TELVIS Grupo Televisa SAB 580000 0.031 % 410.132 K $
TE Tampa Electric Co 499000 0.031 % 409.979 K $
AZN Astrazeneca Finance LLC 400000 0.031 % 407.539 K $
BNCN Brookfield Finance LLC / Brookfield Finance Inc 580000 0.031 % 404.867 K $
RL Ralph Lauren Corp 400000 0.031 % 409.778 K $
AEP Indiana Michigan Power Co 455000 0.031 % 411.389 K $
JNPR Juniper Networks Inc 400000 0.03 % 390.597 K $
OGE Oklahoma Gas and Electric Co 404000 0.03 % 399.759 K $
CUZ Cousins Properties LP 375000 0.03 % 393.430 K $
CBG CBRE Services Inc 375000 0.03 % 392.654 K $
LNC Lincoln National Corp 390000 0.03 % 388.976 K $
WY Weyerhaeuser Co 425000 0.03 % 398.975 K $
DOC DOC DR LLC 400000 0.029 % 378.377 K $
OGS ONE Gas Inc 400000 0.029 % 378.755 K $
AN AutoNation Inc 420000 0.029 % 379.298 K $
FERG Ferguson Enterprises Inc 380000 0.029 % 380.365 K $
SOBOCN South Bow USA Infrastructure Holdings LLC 375000 0.029 % 377.032 K $
RF Regions Financial Corp 365000 0.029 % 374.888 K $
LEG Leggett & Platt Inc 390000 0.029 % 384.372 K $
SO Mississippi Power Co 512000 0.029 % 385.549 K $
ZBH Zimmer Biomet Holdings Inc 400000 0.029 % 384.234 K $
EMBRBZ Embraer Netherlands Finance BV 367000 0.029 % 383.718 K $
SNLN Smith & Nephew PLC 425000 0.029 % 380.190 K $
SBRA Sabra Health Care LP 400000 0.028 % 363.434 K $
XYL Xylem Inc/NY 382000 0.028 % 364.383 K $
ES Connecticut Light and Power Co/The 400000 0.028 % 369.474 K $
FNF Fidelity National Financial Inc 420000 0.028 % 372.155 K $
ADNA Ahold Finance USA LLC 340000 0.028 % 370.258 K $
NTAP NetApp Inc 369000 0.028 % 365.450 K $
IEX IDEX Corp 400000 0.028 % 362.161 K $
RPM RPM International Inc 370000 0.028 % 372.645 K $
AVY Avery Dennison Corp 421000 0.028 % 364.365 K $
TACHEM Takeda US Financing Inc 360000 0.028 % 365.845 K $
CALTEC California Institute of Technology 420000 0.028 % 366.216 K $
IPG Interpublic Group of Cos Inc/The 390000 0.028 % 373.689 K $
BSWHLD Baylor Scott & White Holdings 430000 0.027 % 356.855 K $
CRHID CRH SMW Finance DAC 340000 0.027 % 350.016 K $
DUKUNI Duke University 500000 0.027 % 353.961 K $
BRKHEC Sierra Pacific Power Co 355000 0.027 % 360.006 K $
IBESM Iberdrola International BV 312000 0.027 % 353.984 K $
USCTRJ University of Southern California 400000 0.027 % 349.750 K $
MAYOCL Mayo Clinic 440000 0.027 % 353.817 K $
DKS Dick's Sporting Goods Inc 372000 0.026 % 341.037 K $
IDA Idaho Power Co 340000 0.026 % 343.913 K $
RJF Raymond James Financial Inc 364000 0.026 % 336.528 K $
WEC Wisconsin Public Service Corp 545000 0.026 % 345.582 K $
ADNA Koninklijke Ahold Delhaize NV 335000 0.026 % 348.421 K $
BATSLN BAT International Finance PLC 310000 0.025 % 325.571 K $
UNM Unum Group 366000 0.025 % 331.496 K $
CNA CNA Financial Corp 350000 0.025 % 329.124 K $
PARHC Mass General Brigham Inc 475000 0.025 % 326.555 K $
BGC BGC Group Inc 315000 0.025 % 326.677 K $
CLR Continental Resources Inc/OK 350000 0.025 % 330.018 K $
RNR RenaissanceRe Holdings Ltd 310000 0.025 % 325.503 K $
GWW WW Grainger Inc 415000 0.025 % 330.295 K $
VMI Valmont Industries Inc 345000 0.025 % 323.460 K $
NOKIA Nokia Oyj 335000 0.025 % 334.115 K $
RIOLN Rio Tinto Alcan Inc 300000 0.025 % 329.423 K $
INVH Invitation Homes Operating Partnership LP 310000 0.025 % 322.425 K $
AVGO Broadcom Corp / Broadcom Cayman Finance Ltd 335000 0.025 % 335.000 K $
CINF Cincinnati Financial Corp 291000 0.024 % 311.444 K $
MSKCC Memorial Sloan-Kettering Cancer Center 320000 0.024 % 309.360 K $
BAMCN Brookfield Asset Management Ltd 300000 0.024 % 313.818 K $
AMCR Amcor Flexibles North America Inc 313000 0.024 % 319.085 K $
KEYS Keysight Technologies Inc 320000 0.024 % 321.818 K $
GXO GXO Logistics Inc 350000 0.024 % 311.961 K $
PNR Pentair Finance Sarl 315000 0.024 % 316.618 K $
GCRED Golub Capital Private Credit Fund 310000 0.024 % 314.181 K $
VNOM Viper Energy Partners LLC 305000 0.023 % 307.765 K $
ESGR Enstar Group Ltd 342000 0.023 % 305.706 K $
FSK FS KKR Capital Corp 325000 0.023 % 301.145 K $
JHUNIV Johns Hopkins University 500000 0.023 % 296.381 K $
SPNT SiriusPoint Ltd 285000 0.023 % 301.337 K $
INTBAP Integris Baptist Medical Center Inc 415000 0.023 % 301.591 K $
FG F&G Annuities & Life Inc 295000 0.023 % 301.047 K $
NHPIFS North Haven Private Income Fund LLC 286000 0.022 % 284.634 K $
PPG PPG Industries Inc 295000 0.022 % 292.708 K $
HSBC HSBC Bank USA NA 250000 0.022 % 294.561 K $
LRCX Lam Research Corp 445000 0.022 % 295.460 K $
UPMCHS UPMC 280000 0.022 % 285.175 K $
ORI Old Republic International Corp 375000 0.022 % 293.970 K $
NWMEDI Northwestern Memorial Healthcare Obligated Group 475000 0.022 % 295.522 K $
INGR Ingredion Inc 390000 0.022 % 290.996 K $
D Dominion Energy South Carolina Inc 310000 0.021 % 282.343 K $
TFC Truist Bank 275000 0.021 % 275.997 K $
TPG TPG Operating Group II LP 270000 0.021 % 276.096 K $
VALEBZ Vale SA 269000 0.021 % 274.035 K $
MARGRO Marex Group PLC 275000 0.021 % 282.459 K $
ACGL Arch Capital Group Ltd 365000 0.021 % 272.491 K $
INUHLT Indiana University Health Inc Obligated Group 345000 0.021 % 279.642 K $
EPRT Essential Properties LP 290000 0.021 % 270.750 K $
FTV Fortive Corp 310000 0.02 % 261.037 K $
COLD Americold Realty Operating Partnership LP 265000 0.02 % 268.441 K $
ENELCH Enel Chile SA 253000 0.02 % 257.093 K $
RF Regions Bank/Birmingham AL 235000 0.02 % 257.698 K $
MCLARN McLaren Health Care Corp 315000 0.02 % 267.219 K $
DCP DCP Midstream Operating LP 275000 0.02 % 266.263 K $
FTSCN Fortis Inc/Canada 260000 0.02 % 257.049 K $
K Kellanova 250000 0.02 % 257.827 K $
AES Dayton Power & Light Co/The 270000 0.02 % 269.407 K $
BK Bank of New York Mellon/The 250000 0.019 % 254.137 K $
PVH PVH Corp 250000 0.019 % 254.850 K $
CTAS Cintas Corp No 2 255000 0.019 % 255.131 K $
JBL Jabil Inc 250000 0.019 % 249.997 K $
COMHOS Community Health Network Inc 380000 0.019 % 246.027 K $
CBAAU Commonwealth Bank of Australia 250000 0.019 % 249.937 K $
DUKHEA Duke University Health System Inc 315000 0.019 % 254.583 K $
CNO CNO Financial Group Inc 242000 0.019 % 246.234 K $
EVRG Evergy Kansas Central Inc 344000 0.019 % 250.543 K $
MTB Manufacturers & Traders Trust Co 250000 0.019 % 253.294 K $
USB US Bank NA/Cincinnati OH 250000 0.019 % 250.833 K $
ETR Entergy Mississippi LLC 293000 0.019 % 250.239 K $
UTYPNT Iowa Health System 325000 0.019 % 244.709 K $
GRWASH George Washington University/The 310000 0.019 % 255.679 K $
ADVENT Adventist Health System/West 250000 0.019 % 250.074 K $
PAYX Paychex Inc 230000 0.018 % 239.124 K $
PRUFIN Prudential Funding Asia PLC 250000 0.018 % 238.602 K $
BRX Brixmor Operating Partnership LP 225000 0.018 % 235.417 K $
GS Goldman Sachs Capital I 225000 0.018 % 240.654 K $
ADSK Autodesk Inc 225000 0.018 % 231.184 K $
UAL United Airlines 2016-1 Class AA Pass Through Trust 248485.3786 0.018 % 240.056 K $
SON Sonoco Products Co 233000 0.018 % 230.534 K $
SSMHLT SSM Health Care Corp 235000 0.018 % 233.878 K $
DUK Duke Energy Ohio Inc 229000 0.018 % 231.919 K $
LNT Wisconsin Power and Light Co 245000 0.018 % 235.174 K $
RYN Rayonier LP 255000 0.017 % 228.916 K $
FE Ohio Edison Co 200000 0.017 % 228.889 K $
TDY Teledyne Technologies Inc 240000 0.017 % 220.227 K $
FE Jersey Central Power & Light Co 226000 0.017 % 226.193 K $
SW Smurfit Kappa Treasury ULC 220000 0.017 % 227.847 K $
DAL Delta Air Lines Inc 224000 0.017 % 227.650 K $
UNIVND University of Notre Dame du Lac 285000 0.017 % 223.041 K $
BRKHEC Eastern Gas Transmission & Storage Inc 248000 0.017 % 222.974 K $
DRI Darden Restaurants Inc 207000 0.017 % 223.765 K $
GTOWNU Georgetown University/The 340000 0.017 % 223.451 K $
DGELN Diageo Investment Corp 200000 0.016 % 212.260 K $
J Jacobs Engineering Group Inc 200000 0.016 % 211.480 K $
AGCO AGCO Corp 200000 0.016 % 207.894 K $
PFE Pharmacia LLC 200000 0.016 % 214.628 K $
AMCR Amcor Group Finance PLC 200000 0.016 % 206.682 K $
ICLR Icon Investments Six DAC 200000 0.016 % 208.753 K $
OAKSCF Oaktree Strategic Credit Fund 200000 0.016 % 204.302 K $
DTRGR Daimler Truck Finance North America LLC 200000 0.016 % 205.698 K $
DOV Dover Corp 200000 0.016 % 209.240 K $
BANNER Banner Health 230000 0.016 % 204.215 K $
PPL PPL Capital Funding Inc 200000 0.016 % 204.543 K $
AES IPALCO Enterprises Inc 200000 0.016 % 204.286 K $
MIHLTH MyMichigan Health 290000 0.016 % 205.991 K $
NATMUT Nationwide Financial Services Inc 209000 0.016 % 211.045 K $
STNFRD Leland Stanford Junior University/The 355000 0.016 % 216.221 K $
ENIIM Eni USA Inc 200000 0.016 % 212.136 K $
LNG Cheniere Energy Inc 200000 0.016 % 206.051 K $
YALUNI Yale University 340000 0.016 % 206.787 K $
AVT Avnet Inc 200000 0.016 % 208.020 K $
TRTN Triton Container International Ltd / TAL International Container Corp 234000 0.016 % 208.993 K $
BPLN BP Capital Markets PLC 200000 0.015 % 197.602 K $
EPR EPR Properties 200000 0.015 % 192.549 K $
AGR Avangrid Inc 200000 0.015 % 196.417 K $
NVT nVent Finance Sarl 200000 0.015 % 200.799 K $
FLO Flowers Foods Inc 200000 0.015 % 198.179 K $
JPM JPMorgan Chase Bank NA 200000 0.015 % 202.564 K $
CGBD Carlyle Secured Lending Inc 200000 0.015 % 198.818 K $
UAL United Airlines 2023-1 Class A Pass Through Trust 191259.0521 0.015 % 197.795 K $
GL Globe Life Inc 200000 0.015 % 201.061 K $
AXP American Express Credit Corp 200000 0.015 % 197.993 K $
CMA Comerica Bank 200000 0.015 % 199.769 K $
SUI Sun Communities Operating LP 200000 0.015 % 194.050 K $
BCECN Bell Telephone Co of Canada or Bell Canada 200000 0.015 % 195.333 K $
FRBP Franklin BSP Capital Corp 200000 0.015 % 198.012 K $
CMA Comerica Inc 200000 0.015 % 197.466 K $
REXR Rexford Industrial Realty LP 225000 0.015 % 195.783 K $
A Agilent Technologies Inc 200000 0.015 % 199.164 K $
BPCEGP BPCE SA 200000 0.015 % 198.418 K $
CATHLI Catholic Health Services of Long Island Obligated Group 290000 0.015 % 202.204 K $
EMACN Emera US Finance LP 200000 0.014 % 178.498 K $
CME CME Group Inc 180000 0.014 % 184.133 K $
ADVHLT AdventHealth Obligated Group 290000 0.014 % 183.799 K $
OCSL Oaktree Specialty Lending Corp 190000 0.014 % 184.288 K $
BX Blackstone Reg Finance Co LLC 185000 0.014 % 186.584 K $
COF Capital One NA 200000 0.014 % 187.370 K $
EA Electronic Arts Inc 200000 0.014 % 189.774 K $
ABBNVX ABB Finance USA Inc 179000 0.014 % 179.731 K $
SUMMAH Summa Health 230000 0.014 % 186.144 K $
ATR AptarGroup Inc 200000 0.014 % 185.739 K $
KRC Kilroy Realty LP 185000 0.014 % 184.855 K $
CSL Carlisle Cos Inc 189000 0.014 % 182.582 K $
LAZ Lazard Group LLC 175000 0.014 % 180.897 K $
LDOS Leidos Inc 200000 0.014 % 178.406 K $
AAL American Airlines 2016-2 Class AA Pass Through Trust 188170 0.014 % 182.186 K $
LXP LXP Industrial Trust 200000 0.013 % 173.459 K $
LM Legg Mason Inc 175000 0.013 % 175.945 K $
CHOPPA Children's Hospital of Philadelphia/The 280000 0.013 % 176.721 K $
BROWNU Brown University 255000 0.013 % 171.762 K $
BOSCHI Children's Hospital Corp/The 200000 0.013 % 167.854 K $
NWE NorthWestern Corp 200000 0.013 % 167.547 K $
BHF Brighthouse Financial Inc 265000 0.013 % 174.701 K $
VTRS Utah Acquisition Sub Inc 200000 0.013 % 166.362 K $
IFF International Flavors & Fragrances Inc 197000 0.013 % 173.275 K $
ROST Ross Stores Inc 200000 0.013 % 174.409 K $
PRNCTN Trustees of Princeton University/The 270000 0.013 % 171.033 K $
AES AES Corp/The 163000 0.013 % 168.501 K $
SAFE Safehold GL Holdings LLC 200000 0.013 % 177.462 K $
BNL Broadstone Net Lease LLC 200000 0.013 % 175.152 K $
BNCN Brookfield Finance I UK Plc / Brookfield Finance Inc 200000 0.013 % 174.807 K $
MNTEFI Montefiore Obligated Group 210000 0.013 % 171.918 K $
AAL American Airlines 2021-1 Class A Pass Through Trust 184608.6911 0.013 % 167.227 K $
FMC FMC Corp 160000 0.012 % 158.209 K $
HARVRD President and Fellows of Harvard College 225000 0.012 % 157.455 K $
HMN Horace Mann Educators Corp 156000 0.012 % 154.479 K $
UNICHI University of Chicago/The 200000 0.012 % 159.443 K $
LYB LyondellBasell Industries NV 200000 0.012 % 157.175 K $
ROCKFD Rockefeller Foundation/The 250000 0.012 % 154.060 K $
TRGP Targa Resources Partners LP / Targa Resources Partners Finance Corp 157000 0.011 % 149.159 K $
OLHSNL Ochsner LSU Health System of North Louisiana 175000 0.011 % 147.399 K $
AAL American Airlines 2016-3 Class AA Pass Through Trust 149572.7183 0.011 % 143.792 K $
CELARA Celulosa Arauco y Constitucion SA 155000 0.011 % 148.478 K $
LNT Alliant Energy Corp 143000 0.011 % 143.197 K $
MSCI MSCI Inc 125000 0.01 % 126.040 K $
HTGC Hercules Capital Inc 125000 0.01 % 127.535 K $
KKR KKR & Co Inc 125000 0.01 % 125.261 K $
CMS CMS Energy Corp 140000 0.01 % 128.700 K $
IVZ Invesco Finance PLC 140000 0.01 % 136.394 K $
FCNCA First Citizens BancShares Inc/NC 127000 0.01 % 128.735 K $
AFG American Financial Group Inc/OH 129000 0.01 % 126.305 K $
PPL Louisville Gas and Electric Co 122000 0.01 % 125.508 K $
BARPCC Barings Private Credit Corp 125000 0.009 % 124.719 K $
GGBRBZ Gerdau Trade Inc 109000 0.009 % 112.850 K $
LEN Lennar Corp 115000 0.009 % 118.542 K $
NYPRES New York and Presbyterian Hospital/The 165000 0.009 % 116.550 K $
AMG Affiliated Managers Group Inc 100000 0.008 % 102.490 K $
ENELIM Enel Americas SA 100000 0.008 % 99.810 K $
CSWC Capital Southwest Corp 101000 0.008 % 101.238 K $
WVUHOG West Virginia United Health System Obligated Group 170000 0.008 % 108.560 K $
RCL Royal Caribbean Cruises Ltd 100000 0.008 % 100.638 K $
NWN Northwest Natural Holding Co 100000 0.008 % 102.535 K $
MSINTM MSD Investment Corp 100000 0.008 % 101.216 K $
PCP Precision Castparts Corp 100000 0.007 % 87.689 K $
FRDFND Ford Foundation/The 150000 0.007 % 86.702 K $
PNW Pinnacle West Capital Corp 85000 0.007 % 86.809 K $
HRB Block Financial LLC 90000 0.007 % 90.823 K $
RIOLN Rio Tinto Finance USA Ltd 150000 0.007 % 94.085 K $
RELLN RELX Capital Inc 90000 0.007 % 92.337 K $
UDR UDR Inc 77000 0.006 % 76.178 K $
MAIN Main Street Capital Corp 83000 0.006 % 83.343 K $
GSCRED Goldman Sachs Private Credit Corp 75000 0.006 % 76.504 K $
SUZANO Suzano Netherlands BV 67000 0.005 % 67.086 K $
CHCOCH Cheniere Corpus Christi Holdings LLC 70000 0.005 % 68.084 K $
AMD Advanced Micro Devices Inc 60000 0.005 % 60.519 K $
NEM Newmont Corp 55000 0.004 % 49.719 K $
KRG Kite Realty Group LP 50000 0.004 % 50.940 K $
TEL Tyco Electronics Group SA 45000 0.004 % 53.232 K $
LADR Ladder Capital Finance Holdings LLLP / Ladder Capital Finance Corp 50000 0.004 % 50.983 K $
MSDL Morgan Stanley Direct Lending Fund 50000 0.004 % 51.238 K $
BBDC Barings BDC Inc 50000 0.004 % 49.625 K $
MGCN Magna International Inc 50000 0.004 % 52.671 K $
FITB Fifth Third Bank NA 50000 0.004 % 48.770 K $
CB Chubb Corp/The 30000 0.003 % 34.133 K $
CATMED Dignity Health 25000 0.002 % 21.930 K $
AIZ Assurant Inc 25000 0.002 % 25.322 K $
Synthetic Cash - ZVGI USD 31000 0.002 % 31.000 K $
ETR System Energy Resources Inc 25000 0.002 % 25.168 K $
Synthetic Cash - QGS USD 16089.16 0.001 % 16.089 K $