|
TREASURY CERTI 0 % Sep-26 |
BE0312816888 |
Government Bonds |
99.85 |
1790260.70 |
1787598.16 |
EUR |
0.04907 |
|
ENBRIDGE 0% CP 08/26 |
CA292976VU87 |
Swap |
99.90 |
1491883.92 |
1490392.03 |
CAD |
0.040912 |
|
EUR UNI BIL 0% 04/09/2026 |
EU000A4EF4A1 |
Supranational Bonds |
99.89 |
1491883.92 |
1490228.76 |
EUR |
0.040907 |
|
ICF 3MO EUR EUR Dec27 |
GB00JPF3HL01 |
Interest Rate Futures |
97.14 |
5.97 |
1449290.63 |
EUR |
0.039784 |
|
COCA-COLA 0% CP 08/26 |
XS3449982217 |
Swap |
99.95 |
994589.28 |
994123.41 |
EUR |
0.027289 |
|
3MO EURO EURIBOR Jun27 |
GB00JH6LTC25 |
Interest Rate Futures |
97.12 |
3.98 |
965945.11 |
EUR |
0.026516 |
|
ARC SA 4.875% 26/09/2026 |
XS2537060746 |
Corporate Bonds (Inds) |
104.37 |
596753.57 |
622817.49 |
EUR |
0.017097 |
|
INTESA SANPA 3.928% 09/26 |
XS1109765005 |
Corporate Bonds(Fin) |
103.69 |
596753.57 |
618797.91 |
EUR |
0.016986 |
|
ATL WAR 6.05% 15/01/2028 |
US049463AD44 |
Corporate Bonds(Fin) |
101.75 |
606699.46 |
617336.39 |
USD |
0.016946 |
|
VOL INT 4.25% 15/02/2028 |
XS2554488978 |
Corporate Bonds (Inds) |
103.37 |
596753.57 |
616858.45 |
EUR |
0.016933 |
|
HYU CAP 3.196% 16/02/2027 |
CA44932WAB69 |
Corporate Bonds(Fin) |
101.69 |
596753.57 |
606857.26 |
CAD |
0.016658 |
|
COM BAN AU FRN 14/04/2032 |
AU3FN0067989 |
Corporate Bonds(Fin) |
101.28 |
596753.57 |
604362.96 |
AUD |
0.01659 |
|
BEN AND AD FRN 14/10/2031 |
AU3FN0063467 |
Corporate Bonds(Fin) |
100.58 |
596753.57 |
600205.95 |
AUD |
0.016476 |
|
COM BAN AU FRN 20/08/2031 |
AU3FN0062600 |
Corporate Bonds(Fin) |
99.90 |
596753.57 |
596130.47 |
AUD |
0.016364 |
|
GEN MOT F 0.6% 20/05/2027 |
XS2307768734 |
Corporate Bonds (Inds) |
98.39 |
596753.57 |
587126.27 |
EUR |
0.016117 |
|
PER 6.625% VRN 25/04/2028 |
XS2611221032 |
Corporate Bonds(Fin) |
104.26 |
497294.64 |
518488.80 |
EUR |
0.014233 |
|
TRA FIN 3.375% 14/01/2028 |
DE000A3L69X8 |
Corporate Bonds (Inds) |
101.92 |
497294.64 |
506822.33 |
EUR |
0.013912 |
|
MERCEDES-B 4.125 % Mar-28 |
US58769JBJ51 |
Corporate Bonds (Inds) |
101.04 |
497294.64 |
502453.11 |
USD |
0.013793 |
|
REN INI 3.875% 27/06/2027 |
XS2494945939 |
Corporate Bonds (Inds) |
101.03 |
497294.64 |
502416.94 |
EUR |
0.013792 |
|
GOL 4.656% VRN 03/06/2029 |
US38151LAJ98 |
Corporate Bonds(Fin) |
100.90 |
497294.64 |
501791.38 |
USD |
0.013774 |
|
SMITHS GROUP PLC 2% 02/27 |
XS1570260460 |
Corporate Bonds (Inds) |
100.43 |
497294.64 |
499415.32 |
EUR |
0.013709 |
|
INT HOT 2.125% 15/05/2027 |
XS1908370171 |
Corporate Bonds (Inds) |
99.87 |
497294.64 |
496645.26 |
EUR |
0.013633 |
|
PANORAMA FRN 15/03/2034 |
AU3FN0107520 |
Mortgage Bonds |
100.51 |
497294.64 |
463078.88 |
AUD |
0.012712 |
|
RESIMAC FRN 11/02/2058 |
AU3FN0111159 |
Mortgage Bonds |
100.04 |
497294.64 |
450820.40 |
AUD |
0.012375 |
|
COO RAB 4.345% 09/06/2028 |
US21688ABW18 |
Corporate Bonds(Fin) |
100.70 |
447565.18 |
450711.67 |
USD |
0.012372 |
|
FIR 5.097% VRN 13/07/2029 |
US337967AA13 |
Corporate Bonds(Fin) |
100.48 |
447565.18 |
449692.07 |
USD |
0.012344 |
|
SYD 5.125% VRN 06/09/2028 |
XS2675722750 |
Corporate Bonds(Fin) |
106.71 |
397835.71 |
424543.96 |
EUR |
0.011654 |
|
BAN 5.125% VRN 10/11/2028 |
XS2553801502 |
Corporate Bonds(Fin) |
106.12 |
397835.71 |
422175.09 |
EUR |
0.011589 |
|
CONNECTI FRN 25/03/2042 |
US20753YCK64 |
Mortgage Bonds |
101.49 |
414743.73 |
420920.14 |
USD |
0.011554 |
|
RCI BAN S 3.5% 17/01/2028 |
FR001400WK95 |
Corporate Bonds (Inds) |
102.17 |
397835.71 |
406476.32 |
EUR |
0.011158 |
|
LSE NET 2.75% 20/09/2027 |
XS2904651093 |
Corporate Bonds(Fin) |
102.12 |
397835.71 |
406265.78 |
EUR |
0.011152 |
|
DEU 2.625% VRN 13/08/2028 |
DE000A4DFSK4 |
Corporate Bonds(Fin) |
99.42 |
397835.71 |
395543.23 |
EUR |
0.010858 |
|
HAM IRE 1.75% 03/06/2027 |
XS2344772426 |
Corporate Bonds(Fin) |
99.22 |
397835.71 |
394748.18 |
EUR |
0.010836 |
|
SOC 0.875% VRN 22/09/2028 |
FR0013536661 |
Corporate Bonds(Fin) |
98.37 |
397835.71 |
391354.89 |
EUR |
0.010743 |
|
NRG ENE 2.45% 02/12/2027 |
US629377CP59 |
Corporate Bonds (Inds) |
97.76 |
397835.71 |
388934.68 |
USD |
0.010676 |
|
COO 1.875% VRN 12/07/2028 |
XS2429208999 |
Corporate Bonds(Fin) |
97.68 |
397835.71 |
388605.29 |
GBP |
0.010667 |
|
KON AHO DL FRN 12/03/2028 |
XS3308585242 |
Corporate Bonds (Inds) |
100.60 |
372970.98 |
375219.81 |
EUR |
0.0103 |
|
BK OF AMER 4.25% 22/10/26 |
US06051GFL86 |
Corporate Bonds(Fin) |
101.29 |
348106.25 |
352612.03 |
USD |
0.009679 |
|
SSE PLC 1.375% 04/09/2027 |
XS1875284702 |
Corporate Bonds (Inds) |
99.58 |
348106.25 |
346627.07 |
EUR |
0.009515 |
|
LAND SECURITI 2.375% 3/29 |
XS1801843092 |
Corporate Bonds(Fin) |
99.43 |
348106.25 |
346123.27 |
GBP |
0.009501 |
|
REALTY INCOM 1.125% 7/27 |
XS2364124409 |
Corporate Bonds(Fin) |
96.84 |
348106.25 |
337112.56 |
GBP |
0.009254 |
|
RAF ABS FRN 09/12/2031 |
AU3FN0100707 |
Mortgage Bonds |
100.09 |
497294.64 |
332500.65 |
AUD |
0.009127 |
|
CONNECTI FRN 25/03/2042 |
US20753XAB01 |
Mortgage Bonds |
101.76 |
323241.52 |
328937.06 |
USD |
0.009029 |
|
ORA COR 2.8% 01/04/2027 |
US68389XBU81 |
Corporate Bonds (Inds) |
99.89 |
318268.57 |
317908.50 |
USD |
0.008727 |
|
UNITED UTS WTR 5.625% 12/ |
XS0159728236 |
Corporate Bonds (Inds) |
104.43 |
298376.78 |
311598.34 |
GBP |
0.008553 |
|
ARV SER LEA 4% 22/09/2026 |
FR001400CSG4 |
Corporate Bonds (Inds) |
103.60 |
298376.78 |
309125.61 |
EUR |
0.008486 |
|
HAM COM 4.875% 30/03/2027 |
DE000HCB0BZ1 |
Corporate Bonds(Fin) |
102.87 |
298376.78 |
306935.11 |
EUR |
0.008425 |
|
CAI S 3.5% VRN 06/04/2028 |
XS2465774128 |
Corporate Bonds(Fin) |
100.53 |
298376.78 |
299961.83 |
GBP |
0.008234 |
|
NAT AUS BA FRN 18/11/2031 |
AU3FN0051587 |
Corporate Bonds(Fin) |
100.24 |
298376.78 |
299100.22 |
AUD |
0.00821 |
|
ATH GLO 0.366% 10/09/2026 |
XS2384413311 |
Corporate Bonds(Fin) |
100.12 |
298376.78 |
298735.46 |
EUR |
0.0082 |
|
SIG NV 2.375% 11/05/2027 |
XS2128499105 |
Corporate Bonds (Inds) |
99.95 |
298376.78 |
298239.23 |
EUR |
0.008187 |
|
NATIONWIDE 3.25% 20/01/28 |
XS1347435577 |
Corporate Bonds(Fin) |
99.85 |
298376.78 |
297937.45 |
GBP |
0.008178 |
|
MOTABILITY OP 4.375% 0227 |
XS0742069726 |
Corporate Bonds (Inds) |
99.83 |
298376.78 |
297864.16 |
GBP |
0.008176 |
|
TEVA PHARM 1.875% 03/27 |
XS1211044075 |
Corporate Bonds (Inds) |
99.80 |
298376.78 |
297777.45 |
EUR |
0.008174 |
|
FREDDIE FRN 25/11/2041 |
US35564KMH94 |
Mortgage Bonds |
100.47 |
298376.78 |
294047.88 |
USD |
0.008072 |
|
METRO FI FRN 17/09/2030 |
AU3FN0090536 |
Mortgage Bonds |
100.75 |
596753.57 |
278689.93 |
AUD |
0.00765 |
|
CAP 1.878% VRN 02/11/2027 |
US14040HCH66 |
Corporate Bonds(Fin) |
99.96 |
278485.00 |
278387.12 |
USD |
0.007642 |
|
PLENTI A FRN 12/08/2033 |
AU3FN0093977 |
Mortgage Bonds |
100.19 |
596753.57 |
275206.61 |
AUD |
0.007555 |
|
NOW TRUS FRN 14/02/2034 |
AU3FN0095915 |
Mortgage Bonds |
100.53 |
497294.64 |
269249.86 |
AUD |
0.007391 |
|
CAPITA 5.974 % VRN Aug-28 |
US25466AAN19 |
Corporate Bonds(Fin) |
101.90 |
248647.32 |
253366.41 |
USD |
0.006955 |
|
EMD FIN 4.125% 15/08/2028 |
US26867LAN01 |
Corporate Bonds (Inds) |
101.13 |
248647.32 |
251467.66 |
USD |
0.006903 |
|
UBS AG STA FRN 17/05/2027 |
US90261AAE29 |
Corporate Bonds(Fin) |
101.03 |
248647.32 |
251196.37 |
USD |
0.006895 |
|
UBS AG STA FRN 16/03/2029 |
US90261AAF93 |
Corporate Bonds(Fin) |
101.03 |
248647.32 |
251197.98 |
USD |
0.006895 |
|
MER CO IN FRN 15/09/2027 |
US58933YBU82 |
Corporate Bonds (Inds) |
100.84 |
248647.32 |
250731.08 |
USD |
0.006883 |
|
BRO BRO 4.6% 23/12/2026 |
US115236AH45 |
Corporate Bonds(Fin) |
100.68 |
248647.32 |
250331.22 |
USD |
0.006872 |
|
ZIO 5.239% VRN 01/10/2029 |
US98971DAF78 |
Corporate Bonds(Fin) |
100.45 |
248647.32 |
249766.04 |
USD |
0.006856 |
|
MOR 4.466% VRN 06/07/2028 |
US61776NVE02 |
Corporate Bonds(Fin) |
100.39 |
248647.32 |
249607.11 |
USD |
0.006852 |
|
SANOFI SA FRN 03/11/2027 |
US801060AF19 |
Corporate Bonds (Inds) |
100.23 |
248647.32 |
249231.28 |
USD |
0.006841 |
|
UBS AG STA FRN 07/08/2029 |
US90261AAL61 |
Corporate Bonds(Fin) |
100.17 |
248647.32 |
249069.56 |
USD |
0.006837 |
|
ATL WAR 4.625% 15/11/2028 |
US049463AF91 |
Corporate Bonds(Fin) |
100.01 |
248647.32 |
248674.31 |
USD |
0.006826 |
|
DEL BAN I 0.5% 27/10/2026 |
XS2400445289 |
Corporate Bonds (Inds) |
99.98 |
248647.32 |
248609.62 |
EUR |
0.006824 |
|
NYK REA 0.75% 20/01/2027 |
DK0009526998 |
Corporate Bonds(Fin) |
99.50 |
248647.32 |
247408.93 |
EUR |
0.006791 |
|
BOO ALL 3.875% 01/09/2028 |
US09951LAA17 |
Corporate Bonds (Inds) |
99.45 |
236712.25 |
235408.16 |
USD |
0.006462 |
|
NEWDAY F FRN 15/11/2031 |
XS2715923459 |
Mortgage Bonds |
100.60 |
223782.59 |
225133.51 |
GBP |
0.00618 |
|
INTEL CORP 3.15% 05/27 |
US458140AX85 |
Corporate Bonds (Inds) |
99.88 |
218809.64 |
218553.57 |
USD |
0.005999 |
|
SPR FIN 6.625% 15/01/2028 |
US85172FAQ28 |
Corporate Bonds(Fin) |
101.70 |
213836.70 |
217468.34 |
USD |
0.00597 |
|
KB HOM 6.875% 15/06/2027 |
US48666KAX72 |
Corporate Bonds (Inds) |
101.77 |
208863.75 |
212553.49 |
USD |
0.005835 |
|
IHO VER 6.75% 15/11/2029 |
XS2905386962 |
Corporate Bonds (Inds) |
105.93 |
198917.86 |
210709.17 |
EUR |
0.005784 |
|
NAT GRI 4.151% 12/09/2027 |
XS2680745119 |
Corporate Bonds (Inds) |
104.86 |
198917.86 |
208593.06 |
EUR |
0.005726 |
|
BLA PRI 3.25% 15/03/2027 |
US09261HAK32 |
Corporate Bonds(Fin) |
100.26 |
206874.57 |
207410.41 |
USD |
0.005693 |
|
FOR CRE 5.581% 22/02/2027 |
CA34527ACW86 |
Corporate Bonds (Inds) |
103.84 |
198917.86 |
206551.07 |
CAD |
0.00567 |
|
LSE NET 4.125% 29/09/2026 |
XS2679903950 |
Corporate Bonds(Fin) |
103.70 |
198917.86 |
206286.63 |
EUR |
0.005663 |
|
FOR MOT 5.125% 05-11-2026 |
US345397F810 |
Corporate Bonds (Inds) |
101.52 |
198917.86 |
201934.47 |
USD |
0.005543 |
|
SUM MIT TR FRN 11/09/2028 |
US86563VCC19 |
Corporate Bonds(Fin) |
101.09 |
198917.86 |
201079.30 |
USD |
0.00552 |
|
FID NAT IN FRN 10/03/2028 |
XS3309699893 |
Corporate Bonds(Fin) |
100.83 |
198917.86 |
200576.87 |
EUR |
0.005506 |
|
EXP BAN KO FRN 22/09/2028 |
US302154EN52 |
Public Authorities |
100.71 |
198917.86 |
200337.04 |
USD |
0.005499 |
|
NAT 1.699% VRN 15/09/2031 |
XS2386287416 |
Corporate Bonds(Fin) |
100.48 |
198917.86 |
199869.32 |
GBP |
0.005486 |
|
NTT FIN 4.567% 16/07/2027 |
US62954WAP05 |
Corporate Bonds (Inds) |
100.44 |
198917.86 |
199788.56 |
USD |
0.005484 |
|
NTT FIN CO FRN 20/06/2028 |
XS3422220999 |
Corporate Bonds (Inds) |
100.38 |
198917.86 |
199668.02 |
EUR |
0.005481 |
|
NTT FIN CO FRN 04/03/2028 |
XS3296803557 |
Corporate Bonds (Inds) |
100.37 |
198917.86 |
199648.77 |
EUR |
0.00548 |
|
PCL FUND FRN 15/06/2030 |
XS3401955078 |
Mortgage Bonds |
100.32 |
198917.86 |
199562.59 |
GBP |
0.005478 |
|
WER SA 0.5% 28/10/2026 |
XS2392462730 |
Corporate Bonds (Inds) |
99.92 |
198917.86 |
198767.25 |
EUR |
0.005456 |
|
BNP 2.75% VRN 25/07/2028 |
FR001400AKP6 |
Corporate Bonds(Fin) |
99.83 |
198917.86 |
198570.98 |
EUR |
0.005451 |
|
DAN BAN 2.25% 14/01/2028 |
XS2100904361 |
Corporate Bonds(Fin) |
99.23 |
198917.86 |
197390.36 |
GBP |
0.005418 |
|
ATHENE GLO 5.133 % Jun-29 |
US04685A4Y43 |
Corporate Bonds(Fin) |
101.19 |
185988.20 |
188202.14 |
USD |
0.005166 |
|
NOW TRUS FRN 14/06/2032 |
AU3FN0087714 |
Mortgage Bonds |
100.84 |
497294.64 |
187780.20 |
AUD |
0.005155 |
|
HES MID 5.875% 01/03/2028 |
US428102AH01 |
Corporate Bonds (Inds) |
103.58 |
174053.12 |
180291.26 |
USD |
0.004949 |
|
BLU OWL C 4.7% 08/02/2027 |
US69120VAF85 |
Corporate Bonds(Fin) |
99.75 |
155155.93 |
154767.80 |
USD |
0.004248 |
|
COO 5.579% VRN 19/09/2028 |
XS2884724837 |
Corporate Bonds(Fin) |
103.00 |
149188.39 |
153666.70 |
GBP |
0.004218 |
|
HES MID O 5.5% 15/10/2030 |
US428102AF45 |
Corporate Bonds (Inds) |
101.79 |
149188.39 |
151851.82 |
USD |
0.004168 |
|
MORGAN 4.868 % VRN Jul-29 |
US61748UAY82 |
Corporate Bonds(Fin) |
100.63 |
134269.55 |
135110.23 |
USD |
0.003709 |
|
ILLINOIS TO 4.65 % Aug-29 |
US452308BD06 |
Corporate Bonds (Inds) |
100.27 |
131285.79 |
131644.19 |
USD |
0.003614 |
|
VIC PRO 4.5% 01/09/2026 |
US92564RAH84 |
Corporate Bonds(Fin) |
102.03 |
124323.66 |
126841.21 |
USD |
0.003482 |
|
VIS OPE 5.05% 30/12/2026 |
US92840VAT98 |
Corporate Bonds (Inds) |
100.75 |
124323.66 |
125255.18 |
USD |
0.003438 |
|
INT 4.7% 20/08/2029 |
US45865VAD29 |
Corporate Bonds(Fin) |
100.13 |
114377.77 |
114531.14 |
USD |
0.003144 |
|
BLA SEC 2.125% 15/02/2027 |
US09261XAD49 |
Corporate Bonds(Fin) |
99.73 |
109404.82 |
109108.80 |
USD |
0.002995 |
|
GOL CAP 2.05% 15/02/2027 |
US38173MAC64 |
Corporate Bonds(Fin) |
99.44 |
109404.82 |
108792.22 |
USD |
0.002986 |
|
FREDDIE FRN 25/10/2041 |
US35564KKY46 |
Mortgage Bonds |
100.38 |
159134.28 |
106872.22 |
USD |
0.002934 |
|
ATH HOL 6.625% 16/06/2028 |
XS2628821790 |
Corporate Bonds(Fin) |
105.68 |
99458.93 |
105104.45 |
EUR |
0.002885 |
|
FREDDIE FRN 25/03/2044 |
US35564NBX03 |
Mortgage Bonds |
100.30 |
506945.14 |
102513.81 |
USD |
0.002814 |
|
VIC PRO 4.25% 01/12/2026 |
US92564RAA32 |
Corporate Bonds(Fin) |
100.85 |
99458.93 |
100304.32 |
USD |
0.002753 |
|
AME HON 4.55% 10/04/2028 |
US02665WGV72 |
Corporate Bonds (Inds) |
101.49 |
98464.34 |
99935.60 |
USD |
0.002743 |
|
ORA COR 2.3% 25/03/2028 |
US68389XCD57 |
Corporate Bonds (Inds) |
96.70 |
99458.93 |
96175.43 |
USD |
0.00264 |
|
CONNECTI FRN 25/10/2041 |
US20754RAB24 |
Mortgage Bonds |
100.35 |
248647.32 |
84233.26 |
USD |
0.002312 |
|
FREDDIE FRN 25/08/2044 |
US35564NDZ33 |
Mortgage Bonds |
100.23 |
364157.92 |
79488.26 |
USD |
0.002182 |
|
CONNECTI FRN 25/07/2045 |
US20753CAB63 |
Mortgage Bonds |
100.25 |
138112.65 |
70437.03 |
USD |
0.001934 |
|
FG GLO F 4.65% 08/09/2028 |
US30321L2K71 |
Corporate Bonds(Fin) |
101.10 |
66637.48 |
67370.40 |
USD |
0.001849 |
|
BLU OWL 3.125% 13/04/2027 |
US69122JAC09 |
Corporate Bonds(Fin) |
99.62 |
66637.48 |
66381.86 |
USD |
0.001822 |
|
FG GLO FU 4.5% 09/01/2029 |
US30321L2M38 |
Corporate Bonds(Fin) |
99.17 |
65642.89 |
65100.06 |
USD |
0.001787 |
|
CONNECTI FRN 25/03/2044 |
US207941AA35 |
Mortgage Bonds |
100.25 |
492321.69 |
63459.41 |
USD |
0.001742 |
|
FREDDIE FRN 25/09/2045 |
US35564UAR86 |
Mortgage Bonds |
100.19 |
124646.90 |
54251.66 |
USD |
0.001489 |
|
BLU OWL 3.125% 23/09/2026 |
US69120VAM37 |
Corporate Bonds(Fin) |
100.95 |
52713.23 |
53213.71 |
USD |
0.001461 |
|
FREDDIE FRN 25/02/2045 |
US35564NGZ06 |
Mortgage Bonds |
100.20 |
207865.18 |
52419.09 |
USD |
0.001439 |
|
FREDDIE FRN 25/02/2044 |
US35564NAX12 |
Mortgage Bonds |
100.27 |
208186.43 |
36332.96 |
USD |
9.97E-4 |
|
CONNECTI FRN 25/05/2045 |
US20755TAB70 |
Mortgage Bonds |
100.25 |
89739.80 |
35678.21 |
USD |
9.79E-4 |
|
MOBILITY GL 5.05 % Jun-29 |
US60744MAA45 |
Corporate Bonds (Inds) |
100.97 |
31826.86 |
32134.51 |
USD |
8.82E-4 |
|
CONNECTI FRN 25/03/2045 |
US20754VAB36 |
Mortgage Bonds |
100.31 |
84112.42 |
19008.20 |
USD |
5.22E-4 |
|
CONNECTI FRN 25/02/2045 |
US20754TAC62 |
Mortgage Bonds |
100.24 |
93370.05 |
16959.66 |
USD |
4.66E-4 |
|
ARE CAP COR 7% 15/01/2027 |
US04010LBE20 |
Corporate Bonds(Fin) |
101.39 |
11935.07 |
12100.91 |
USD |
3.32E-4 |
|
CONNECTI FRN 25/09/2042 |
US20753DAA63 |
Mortgage Bonds |
101.03 |
39783.57 |
8871.11 |
USD |
2.44E-4 |
|
FREDDIE FRN 25/02/2042 |
US35564KRE19 |
Mortgage Bonds |
100.27 |
179381.14 |
7418.44 |
USD |
2.04E-4 |
|
FREDDIE FRN 25/05/2045 |
US35564NHZ96 |
Mortgage Bonds |
100.23 |
34933.95 |
6293.48 |
USD |
1.73E-4 |
|
FREDDIE FRN 25/01/2034 |
US35564KHE29 |
Mortgage Bonds |
100.49 |
28843.09 |
3608.98 |
USD |
9.9E-5 |
|
###CONNECTI FRN 25/04/20 |
US20754DAA54 |
Mortgage Bonds |
100.00 |
1392424.99 |
0.01 |
USD |
0.0 |
|
EUX EUR FUT Sep26 |
DE000F3A9EV9 |
Fixed Interest Futures |
105.56 |
-13.92 |
-1469913.44 |
EUR |
-0.04035 |
|
US 2YR NOTE (CBT) Sep26 |
|
|
103.11 |
-9.95 |
-2051029.57 |
USD |
-0.056302 |