|
CASH |
|
CASH |
|
2565801.56 |
2565801.56 |
EUR |
0.06741043088287459 |
|
EUR UNI BIL 0% 03/07/2026 |
EU000A4EDCQ2 |
Supranational Bonds |
99.89 |
2193749.80 |
2191308.43 |
EUR |
0.05757150025807552 |
|
TRE CER 0% 09/07/2026 |
BE0312814867 |
Government Bonds |
99.85 |
1126789.67 |
1125091.57 |
EUR |
0.02955914774185033 |
|
COCA-COLA 0% CP 06/26 |
XS3395861878 |
Swap |
99.96 |
997159.00 |
996717.16 |
EUR |
0.02618641059017149 |
|
ENBRIDGE 0% CP 06/26 |
CA292976TS69 |
Swap |
99.89 |
1495738.50 |
1494111.85 |
CAD |
0.02431298816203617 |
|
ICF 3MO EUR EUR Mar27 |
GB00JBVLWR12 |
Interest Rate Futures |
97.21 |
2.99 |
727003.70 |
EUR |
0.01910032065335645 |
|
ARC SA 4.875% 26/09/2026 |
XS2537060746 |
Corporate Bonds (Inds) |
103.88 |
598295.40 |
621502.42 |
EUR |
0.01632852152228005 |
|
SEL FIN 3.75% 10/08/2027 |
XS2511906310 |
Corporate Bonds(Fin) |
103.57 |
598295.40 |
619671.26 |
EUR |
0.0162804120054378 |
|
INTESA SANPA 3.928% 09/26 |
XS1109765005 |
Corporate Bonds(Fin) |
103.17 |
598295.40 |
617245.54 |
EUR |
0.01621668191859128 |
|
VOL BAN G 2.5% 31/07/2026 |
XS1944390597 |
Corporate Bonds (Inds) |
102.13 |
598295.40 |
611041.84 |
EUR |
0.01605369434921862 |
|
GEN MOT F 0.6% 20/05/2027 |
XS2307768734 |
Corporate Bonds (Inds) |
97.89 |
598295.40 |
585661.27 |
EUR |
0.01538687905349459 |
|
ATL WAR 6.05% 15/01/2028 |
US049463AD44 |
Corporate Bonds(Fin) |
103.84 |
608266.99 |
631645.12 |
USD |
0.01440788083261452 |
|
REN INI 3.875% 27/06/2027 |
XS2494945939 |
Corporate Bonds (Inds) |
104.32 |
498579.50 |
520126.56 |
EUR |
0.01366510804919438 |
|
PER 6.625% VRN 25/04/2028 |
XS2611221032 |
Corporate Bonds(Fin) |
103.79 |
498579.50 |
517469.19 |
EUR |
0.01359529190076092 |
|
TRA FIN 3.375% 14/01/2028 |
DE000A3L69X8 |
Corporate Bonds (Inds) |
101.47 |
498579.50 |
505932.03 |
EUR |
0.01329218003430758 |
|
SMITHS GROUP PLC 2% 02/27 |
XS1570260460 |
Corporate Bonds (Inds) |
99.92 |
498579.50 |
498187.05 |
EUR |
0.01308869871163706 |
|
INT HOT 2.125% 15/05/2027 |
XS1908370171 |
Corporate Bonds (Inds) |
99.35 |
498579.50 |
495327.11 |
EUR |
0.01301356043699321 |
|
ICF 3MO EUR EUR Dec26 |
GB00J8WDXS35 |
Interest Rate Futures |
97.27 |
1.99 |
484943.35 |
EUR |
0.01274075155853906 |
|
COO 1.875% VRN 12/07/2028 |
XS2429208999 |
Corporate Bonds(Fin) |
98.66 |
398863.60 |
393537.59 |
GBP |
0.01196270157134902 |
|
MERCEDES-B 4.125 % Mar-28 |
US58769JBJ51 |
Corporate Bonds (Inds) |
100.42 |
498579.50 |
500656.00 |
USD |
0.01142000751218721 |
|
GOL 4.656% VRN 03/06/2029 |
US38151LAJ98 |
Corporate Bonds(Fin) |
100.19 |
498579.50 |
499545.99 |
USD |
0.01139468817447078 |
|
SYD 5.125% VRN 06/09/2028 |
XS2675722750 |
Corporate Bonds(Fin) |
106.11 |
398863.60 |
423219.79 |
EUR |
0.01111910938002835 |
|
BAN 5.125% VRN 10/11/2028 |
XS2553801502 |
Corporate Bonds(Fin) |
105.57 |
398863.60 |
421090.10 |
EUR |
0.01106315696199075 |
|
SCH AG 4.5% 14/08/2026 |
DE000A3823R3 |
Corporate Bonds (Inds) |
103.82 |
398863.60 |
414083.90 |
EUR |
0.0108790852260135 |
|
RCI BAN S 3.5% 17/01/2028 |
FR001400WK95 |
Corporate Bonds (Inds) |
101.62 |
398863.60 |
405313.23 |
EUR |
0.0106486566223132 |
|
LSE NET 2.75% 20/09/2027 |
XS2904651093 |
Corporate Bonds(Fin) |
101.60 |
398863.60 |
405228.24 |
EUR |
0.0106464235040505 |
|
DEU 2.625% VRN 13/08/2028 |
DE000A4DFSK4 |
Corporate Bonds(Fin) |
101.46 |
398863.60 |
404697.06 |
EUR |
0.01063246807944552 |
|
LAND SECURITI 2.375% 3/29 |
XS1801843092 |
Corporate Bonds(Fin) |
98.54 |
349005.65 |
343917.94 |
GBP |
0.0104543700184994 |
|
HAM IRE 1.75% 03/06/2027 |
XS2344772426 |
Corporate Bonds(Fin) |
98.75 |
398863.60 |
393863.29 |
EUR |
0.01034783603653629 |
|
REALTY INCOM 1.125% 7/27 |
XS2364124409 |
Corporate Bonds(Fin) |
97.13 |
349005.65 |
338973.78 |
GBP |
0.01030407827047814 |
|
SOC 0.875% VRN 22/09/2028 |
FR0013536661 |
Corporate Bonds(Fin) |
97.90 |
398863.60 |
390496.84 |
EUR |
0.01025939047591698 |
|
COO RAB 4.345% 09/06/2028 |
US21688ABW18 |
Corporate Bonds(Fin) |
100.10 |
448721.55 |
449158.28 |
USD |
0.01024533995479346 |
|
KON AHO DL FRN 12/03/2028 |
XS3308585242 |
Corporate Bonds (Inds) |
100.64 |
373934.62 |
376337.57 |
EUR |
0.009887388824497191 |
|
HYU CAP 3.196% 16/02/2027 |
CA44932WAB69 |
Corporate Bonds(Fin) |
101.21 |
598295.40 |
605546.86 |
CAD |
0.009853782790447402 |
|
COM BAN AU FRN 14/04/2032 |
AU3FN0067989 |
Corporate Bonds(Fin) |
101.88 |
598295.40 |
609543.72 |
AUD |
0.00971248561090781 |
|
CONNECTI FRN 25/03/2042 |
US20753YCK64 |
Mortgage Bonds |
101.73 |
415815.30 |
423013.40 |
USD |
0.009648972967100869 |
|
BEN AND AD FRN 14/10/2031 |
AU3FN0063467 |
Corporate Bonds(Fin) |
101.10 |
598295.40 |
604845.34 |
AUD |
0.009637621365357694 |
|
UNITED UTS WTR 5.625% 12/ |
XS0159728236 |
Corporate Bonds (Inds) |
103.58 |
299147.70 |
309863.63 |
GBP |
0.009419191976576915 |
|
MOTABILITY OP 4.375% 0227 |
XS0742069726 |
Corporate Bonds (Inds) |
101.12 |
299147.70 |
302505.48 |
GBP |
0.009195519841799333 |
|
SSE PLC 1.375% 04/09/2027 |
XS1875284702 |
Corporate Bonds (Inds) |
99.01 |
349005.65 |
345555.98 |
EUR |
0.00907867457922089 |
|
CAI S 3.5% VRN 06/04/2028 |
XS2465774128 |
Corporate Bonds(Fin) |
99.65 |
299147.70 |
298105.19 |
GBP |
0.00906176061406831 |
|
NATIONWIDE 3.25% 20/01/28 |
XS1347435577 |
Corporate Bonds(Fin) |
98.82 |
299147.70 |
295632.24 |
GBP |
0.008986588019449276 |
|
ARV SER LEA 4% 22/09/2026 |
FR001400CSG4 |
Corporate Bonds (Inds) |
102.92 |
299147.70 |
307893.74 |
EUR |
0.008089187456155998 |
|
HAM COM 4.875% 30/03/2027 |
DE000HCB0BZ1 |
Corporate Bonds(Fin) |
102.35 |
299147.70 |
306172.19 |
EUR |
0.008043957625100939 |
|
BK OF AMER 4.25% 22/10/26 |
US06051GFL86 |
Corporate Bonds(Fin) |
100.58 |
349005.65 |
351040.54 |
USD |
0.008007265727940803 |
|
ATH GLO 0.366% 10/09/2026 |
XS2384413311 |
Corporate Bonds(Fin) |
99.53 |
299147.70 |
297741.68 |
EUR |
0.0078224656875679 |
|
SIG NV 2.375% 11/05/2027 |
XS2128499105 |
Corporate Bonds (Inds) |
99.35 |
299147.70 |
297205.41 |
EUR |
0.00780837665597999 |
|
TEVA PHARM 1.875% 03/27 |
XS1211044075 |
Corporate Bonds (Inds) |
98.94 |
299147.70 |
295975.25 |
EUR |
0.00777605694447856 |
|
PANORAMA FRN 15/03/2034 |
AU3FN0107520 |
Mortgage Bonds |
100.40 |
498579.50 |
484457.91 |
AUD |
0.007719364956328901 |
|
STA PRO 4.375% 15/01/2027 |
US85571BAY11 |
Corporate Bonds(Fin) |
101.44 |
333051.11 |
337841.00 |
USD |
0.007706182898985233 |
|
ARO SA 0.375% 15/04/2027 |
XS2421195848 |
Corporate Bonds(Fin) |
97.79 |
299147.70 |
292547.78 |
EUR |
0.007686008328636309 |
|
CONNECTI FRN 25/03/2042 |
US20753XAB01 |
Mortgage Bonds |
102.03 |
324076.67 |
330642.97 |
USD |
0.007541995197151166 |
|
ORA COR 2.8% 01/04/2027 |
US68389XBU81 |
Corporate Bonds (Inds) |
99.26 |
319090.88 |
316739.62 |
USD |
0.00722485874857108 |
|
NEWDAY F FRN 15/11/2031 |
XS2715923459 |
Mortgage Bonds |
100.72 |
224360.77 |
225969.99 |
GBP |
0.006869004770269761 |
|
FREDDIE FRN 25/11/2041 |
US35564KMH94 |
Mortgage Bonds |
100.51 |
299147.70 |
300658.80 |
USD |
0.006858053734630561 |
|
EP INFRA 1.698% 07/26 |
XS2034622048 |
Corporate Bonds (Inds) |
101.36 |
249289.75 |
252689.76 |
EUR |
0.00663883211744616 |
|
BAN BPM 0.875% 15/07/2026 |
XS2365097455 |
Corporate Bonds(Fin) |
100.65 |
249289.75 |
250921.38 |
EUR |
0.006592372027070976 |
|
BLA PP EUR 1% 20/10/2026 |
XS2398745922 |
Corporate Bonds(Fin) |
99.98 |
249289.75 |
249229.45 |
EUR |
0.006547920539318958 |
|
DEL BAN I 0.5% 27/10/2026 |
XS2400445289 |
Corporate Bonds (Inds) |
99.58 |
249289.75 |
248230.33 |
EUR |
0.006521670910372921 |
|
NYK REA 0.75% 20/01/2027 |
DK0009526998 |
Corporate Bonds(Fin) |
99.18 |
249289.75 |
247241.46 |
EUR |
0.006495690597205495 |
|
CAP 1.878% VRN 02/11/2027 |
US14040HCH66 |
Corporate Bonds(Fin) |
99.15 |
279204.52 |
276839.24 |
USD |
0.006314727518498024 |
|
PCL FUND FRN 15/06/2030 |
XS3401955078 |
Mortgage Bonds |
100.00 |
199431.80 |
199431.82 |
GBP |
0.006062300961448265 |
|
NAT 1.699% VRN 15/09/2031 |
XS2386287416 |
Corporate Bonds(Fin) |
99.58 |
199431.80 |
198591.07 |
GBP |
0.006036744008544246 |
|
DAN BAN 2.25% 14/01/2028 |
XS2100904361 |
Corporate Bonds(Fin) |
99.55 |
199431.80 |
198531.67 |
GBP |
0.006034938441034154 |
|
PIN FIN 3.625% 15/11/2027 |
XS2411236859 |
Corporate Bonds (Inds) |
97.80 |
199431.80 |
195050.93 |
GBP |
0.00592913145246098 |
|
CAPITA 5.974 % VRN Aug-28 |
US25466AAN19 |
Corporate Bonds(Fin) |
103.97 |
249289.75 |
259177.97 |
USD |
0.005911872461606736 |
|
BRO BRO 4.6% 23/12/2026 |
US115236AH45 |
Corporate Bonds(Fin) |
102.20 |
249289.75 |
254782.94 |
USD |
0.005811621286668942 |
|
RAF ABS FRN 09/12/2031 |
AU3FN0100707 |
Mortgage Bonds |
100.06 |
498579.50 |
363767.99 |
AUD |
0.005796288636113518 |
|
MOR 4.466% VRN 06/07/2028 |
US61776NVE02 |
Corporate Bonds(Fin) |
101.91 |
249289.75 |
254039.42 |
USD |
0.00579466147572543 |
|
UBS AG STA FRN 16/03/2029 |
US90261AAF93 |
Corporate Bonds(Fin) |
101.45 |
249289.75 |
252910.02 |
USD |
0.005768899916603293 |
|
MER CO IN FRN 15/09/2027 |
US58933YBU82 |
Corporate Bonds (Inds) |
101.12 |
249289.75 |
252081.12 |
USD |
0.005749992544933835 |
|
SANOFI SA FRN 03/11/2027 |
US801060AF19 |
Corporate Bonds (Inds) |
100.68 |
249289.75 |
250986.76 |
USD |
0.005725030024088677 |
|
EMD FIN 4.125% 15/08/2028 |
US26867LAN01 |
Corporate Bonds (Inds) |
100.49 |
249289.75 |
250516.26 |
USD |
0.005714298005221361 |
|
UBS AG STA FRN 17/05/2027 |
US90261AAE29 |
Corporate Bonds(Fin) |
100.30 |
249289.75 |
250046.94 |
USD |
0.005703592708276084 |
|
ATL WAR 4.625% 15/11/2028 |
US049463AF91 |
Corporate Bonds(Fin) |
99.07 |
249289.75 |
246982.77 |
USD |
0.005633698750734078 |
|
IHO VER 6.75% 15/11/2029 |
XS2905386962 |
Corporate Bonds (Inds) |
104.91 |
199431.80 |
209226.15 |
EUR |
0.005496927541238655 |
|
NAT GRI 4.151% 12/09/2027 |
XS2680745119 |
Corporate Bonds (Inds) |
104.35 |
199431.80 |
208114.83 |
EUR |
0.005467730109380988 |
|
LSE NET 4.125% 29/09/2026 |
XS2679903950 |
Corporate Bonds(Fin) |
103.18 |
199431.80 |
205772.43 |
EUR |
0.005406189128837875 |
|
BOO ALL 3.875% 01/09/2028 |
US09951LAA17 |
Corporate Bonds (Inds) |
98.83 |
237323.84 |
234546.18 |
USD |
0.005350019005034108 |
|
BNP 2.75% VRN 25/07/2028 |
FR001400AKP6 |
Corporate Bonds(Fin) |
102.08 |
199431.80 |
203574.22 |
EUR |
0.005348436121959174 |
|
FID NAT IN FRN 10/03/2028 |
XS3309699893 |
Corporate Bonds(Fin) |
100.15 |
199431.80 |
199735.42 |
EUR |
0.005247580560251812 |
|
NTT FIN CO FRN 04/03/2028 |
XS3296803557 |
Corporate Bonds (Inds) |
99.92 |
199431.80 |
199270.36 |
EUR |
0.005235362328560411 |
|
WER SA 0.5% 28/10/2026 |
XS2392462730 |
Corporate Bonds (Inds) |
99.46 |
199431.80 |
198355.68 |
EUR |
0.005211331147223976 |
|
ROC C0I 2.875% 15/10/2026 |
US77313LAA17 |
Corporate Bonds(Fin) |
100.32 |
224360.77 |
225075.69 |
USD |
0.005133996428322905 |
|
SPR FIN 6.625% 15/01/2028 |
US85172FAQ28 |
Corporate Bonds(Fin) |
104.18 |
214389.18 |
223357.26 |
USD |
0.005094798689557515 |
|
PLENTI A FRN 12/08/2033 |
AU3FN0093977 |
Mortgage Bonds |
100.67 |
598295.40 |
314514.35 |
AUD |
0.005011479820715938 |
|
KB HOM 6.875% 15/06/2027 |
US48666KAX72 |
Corporate Bonds (Inds) |
104.12 |
209403.39 |
218030.73 |
USD |
0.004973300139626676 |
|
INTEL CORP 3.15% 05/27 |
US458140AX85 |
Corporate Bonds (Inds) |
99.38 |
219374.98 |
218010.28 |
USD |
0.004972833813055827 |
|
NAT AUS BA FRN 18/11/2031 |
AU3FN0051587 |
Corporate Bonds(Fin) |
100.97 |
299147.70 |
302057.21 |
AUD |
0.004812987387096495 |
|
METRO FI FRN 17/09/2030 |
AU3FN0090536 |
Mortgage Bonds |
100.67 |
598295.40 |
301212.11 |
AUD |
0.004799521606047714 |
|
COM BAN AU FRN 20/08/2031 |
AU3FN0062600 |
Corporate Bonds(Fin) |
100.46 |
299147.70 |
300535.26 |
AUD |
0.004788736666162248 |
|
COO 5.579% VRN 19/09/2028 |
XS2884724837 |
Corporate Bonds(Fin) |
102.13 |
149573.85 |
152754.46 |
GBP |
0.004643409181828263 |
|
NTT FIN 4.567% 16/07/2027 |
US62954WAP05 |
Corporate Bonds (Inds) |
101.95 |
199431.80 |
203330.02 |
USD |
0.004637975712086653 |
|
NOW TRUS FRN 14/02/2034 |
AU3FN0095915 |
Mortgage Bonds |
100.46 |
498579.50 |
289496.84 |
AUD |
0.00461285024032511 |
|
EXP BAN KO FRN 22/09/2028 |
US302154EN52 |
Public Authorities |
101.07 |
199431.80 |
201557.88 |
USD |
0.00459755295539672 |
|
FOR MOT 5.125% 05-11-2026 |
US345397F810 |
Corporate Bonds (Inds) |
100.67 |
199431.80 |
200759.62 |
USD |
0.004579344546816713 |
|
SUM MIT TR FRN 11/09/2028 |
US86563VCC19 |
Corporate Bonds(Fin) |
100.33 |
199431.80 |
200089.28 |
USD |
0.00456405407176168 |
|
ATHENE GLO 5.133 % Jun-29 |
US04685A4Y43 |
Corporate Bonds(Fin) |
100.35 |
186468.73 |
187126.16 |
USD |
0.004268364105525106 |
|
HES MID 5.875% 01/03/2028 |
US428102AH01 |
Corporate Bonds (Inds) |
102.66 |
174502.83 |
179153.37 |
USD |
0.004086504270010691 |
|
BLUE OWL TEC 6.5 % Oct-29 |
US095924AD81 |
Corporate Bonds(Fin) |
99.32 |
168519.87 |
167374.97 |
USD |
0.003817837822807401 |
|
HES MID O 5.5% 15/10/2030 |
US428102AF45 |
Corporate Bonds (Inds) |
100.72 |
149573.85 |
150654.00 |
USD |
0.003436431082091264 |
|
FOR CRE 5.581% 22/02/2027 |
CA34527ACW86 |
Corporate Bonds (Inds) |
103.25 |
199431.80 |
205920.04 |
CAD |
0.003350841107348533 |
|
NOW TRUS FRN 14/06/2032 |
AU3FN0087714 |
Mortgage Bonds |
100.80 |
498579.50 |
204061.04 |
AUD |
0.003251513939220177 |
|
VIS OPE 5.05% 30/12/2026 |
US92840VAT98 |
Corporate Bonds (Inds) |
102.50 |
124644.88 |
127759.24 |
USD |
0.002914199510099954 |
|
CAP ONE FINL 3.75% 07/26 |
US14040HBK05 |
Corporate Bonds(Fin) |
101.32 |
124644.88 |
126285.70 |
USD |
0.00288058797718252 |
|
VIC PRO 4.5% 01/09/2026 |
US92564RAH84 |
Corporate Bonds(Fin) |
101.18 |
124644.88 |
126117.55 |
USD |
0.002876752323895539 |
|
FREDDIE FRN 25/10/2041 |
US35564KKY46 |
Mortgage Bonds |
100.38 |
159545.44 |
113994.86 |
USD |
0.002600232758059602 |
|
BLA SEC 2.125% 15/02/2027 |
US09261XAD49 |
Corporate Bonds(Fin) |
98.78 |
109687.49 |
108349.95 |
USD |
0.002471471853891705 |
|
GOL CAP 2.05% 15/02/2027 |
US38173MAC64 |
Corporate Bonds(Fin) |
98.49 |
109687.49 |
108031.12 |
USD |
0.002464199284844608 |
|
CONNECTI FRN 25/03/2044 |
US207941AA35 |
Mortgage Bonds |
100.19 |
493593.71 |
104352.89 |
USD |
0.00238029855541177 |
|
VIC PRO 4.25% 01/12/2026 |
US92564RAA32 |
Corporate Bonds(Fin) |
99.96 |
99715.90 |
99677.27 |
USD |
0.002273647208223878 |
|
AME HON 4.55% 10/04/2028 |
US02665WGV72 |
Corporate Bonds (Inds) |
100.69 |
98718.74 |
99395.66 |
USD |
0.00226722371373389 |
|
CONNECTI FRN 25/10/2041 |
US20754RAB24 |
Mortgage Bonds |
100.29 |
249289.75 |
96631.96 |
USD |
0.002204183420818636 |
|
OWL ROC C 3.4% 15/07/2026 |
US69121KAE47 |
Corporate Bonds(Fin) |
101.22 |
87749.99 |
88819.08 |
USD |
0.002025971136857821 |
|
FREDDIE FRN 25/03/2044 |
US35564NBX03 |
Mortgage Bonds |
100.23 |
423792.58 |
85638.82 |
USD |
0.001953429084395376 |
|
CONNECTI FRN 25/07/2045 |
US20753CAB63 |
Mortgage Bonds |
100.23 |
138469.49 |
80472.31 |
USD |
0.001835580440048435 |
|
FG GLO F 4.65% 08/09/2028 |
US30321L2K71 |
Corporate Bonds(Fin) |
99.93 |
66809.65 |
66764.63 |
USD |
0.001522907083156395 |
|
BLU OWL C 4.7% 08/02/2027 |
US69120VAF85 |
Corporate Bonds(Fin) |
101.06 |
65812.49 |
66506.85 |
USD |
0.001517027198892617 |
|
BLU OWL 3.125% 13/04/2027 |
US69122JAC09 |
Corporate Bonds(Fin) |
98.88 |
66809.65 |
66059.26 |
USD |
0.001506817569824385 |
|
FG GLO FU 4.5% 09/01/2029 |
US30321L2M38 |
Corporate Bonds(Fin) |
100.12 |
65812.49 |
65890.40 |
USD |
0.001502965937505859 |
|
BLA PRI 3.25% 15/03/2027 |
US09261HAK32 |
Corporate Bonds(Fin) |
99.33 |
57835.22 |
57447.28 |
USD |
0.001310377488060807 |
|
BLU OWL 3.125% 23/09/2026 |
US69120VAM37 |
Corporate Bonds(Fin) |
100.02 |
52849.43 |
52859.29 |
USD |
0.001205725048884706 |
|
CONNECTI FRN 25/05/2045 |
US20755TAB70 |
Mortgage Bonds |
100.28 |
89971.66 |
42571.81 |
USD |
9.710667729402182E-4 |
|
MOBILITY GL 5.05 % Jun-29 |
US60744MAA45 |
Corporate Bonds (Inds) |
100.38 |
31909.09 |
32029.26 |
USD |
7.305901800823641E-4 |
|
CONNECTI FRN 25/04/2042 |
US20754DAA54 |
Mortgage Bonds |
100.27 |
1396022.60 |
18166.37 |
USD |
4.143764220514706E-4 |
|
ARE CAP COR 7% 15/01/2027 |
US04010LBE20 |
Corporate Bonds(Fin) |
104.03 |
11965.91 |
12448.43 |
USD |
2.839498470311023E-4 |
|
CONNECTI FRN 25/09/2042 |
US20753DAA63 |
Mortgage Bonds |
101.03 |
39886.36 |
10508.36 |
USD |
2.396966784497693E-4 |
|
FREDDIE FRN 25/01/2034 |
US35564KHE29 |
Mortgage Bonds |
100.50 |
28917.61 |
4657.41 |
USD |
1.062358477042255E-4 |
|
FREDDIE FRN 25/03/2042 |
US35564KTA78 |
Mortgage Bonds |
100.29 |
204417.60 |
4219.62 |
USD |
9.624994872300339E-5 |
|
EUX EUR FUT Sep26 |
DE000F3A9EV9 |
Fixed Interest Futures |
105.68 |
-13.96 |
-1475316.68 |
EUR |
-0.03876049297316297 |