| Emittent | Gattung | Typ | CUSIP/ISIN | Richtung | Bewertungsbasis | Handel | Bestand ($) | % NAV | Stück / Nennwert |
|---|---|---|---|---|---|---|---|---|---|
| 37.741.640.287 $ | 97,67 | 38.106.969.533 | |||||||
| JPMorgan Chase & Co | JPMORGAN CHASE | DBT | 46647PFK7 | Long | Modellwert (Stufe 2) | 1.267.742.039 $ | 3,28 | 1.268.998.000 | |
| Mexico Government International Bond | UNITED MEXICAN | DBT | 91087BBE9 | Long | Modellwert (Stufe 2) | 619.907.881 $ | 1,60 | 640.604.000 | |
| United States Treasury Note/Bond | US TREASURY N/B | DBT | 91282CQC8 | Long | Modellwert (Stufe 2) | 2.324.290.596 $ | 6,01 | 2.351.230.100 | |
| Province of British Columbia Canada | BRIT COLUMBIA | DBT | 110709AP7 | Long | Modellwert (Stufe 2) | 166.149.253 $ | 0,43 | 225.000.000 | |
| Vanguard Intermediate-Term Corporate Bond ETF | VANGUARD INT TER | EC | 92206C870 | Long | Börsenkurs (Stufe 1) | 165.700.000 $ | 0,43 | 2.000.000 | |
| AT&T Inc | AT&T INC | DBT | 00206RMY5 | Long | Modellwert (Stufe 2) | 483.661.277 $ | 1,25 | 506.428.000 | |
| Amazon.com Inc | AMAZON.COM INC | DBT | 023135DF0 | Long | Modellwert (Stufe 2) | 242.850.509 $ | 0,63 | 246.340.000 | |
| Lowe's Cos Inc | LOWE'S COS INC | DBT | 548661EW3 | Long | Modellwert (Stufe 2) | 244.392.811 $ | 0,63 | 249.497.000 | |
| Boeing Co/The | BOEING CO/THE | DBT | 097023DS1 | Long | Modellwert (Stufe 2) | 305.533.333 $ | 0,79 | 291.972.000 | |
| Sprint Capital Corp | SPRINT CAP CORP | DBT | 852060AT9 | Long | Modellwert (Stufe 2) | 134.361.095 $ | 0,35 | 112.962.000 | |
| Amphenol Corp | AMPHENOL CORP | DBT | 032095BA8 | Long | Modellwert (Stufe 2) | 225.287.745 $ | 0,58 | 231.993.000 | |
| Oracle Corp | ORACLE CORP | DBT | 68389XDY8 | Long | Modellwert (Stufe 2) | 543.757.897 $ | 1,41 | 569.927.000 | |
| Verizon Communications Inc | VERIZON COMM INC | DBT | 92343VGZ1 | Long | Modellwert (Stufe 2) | 435.643.380 $ | 1,13 | 454.698.000 | |
| Salesforce Inc | SALESFORCE INC | DBT | 79466LAT1 | Long | Modellwert (Stufe 2) | 199.578.476 $ | 0,52 | 200.000.000 | |
| Abbott Laboratories | ABBOTT LABS | DBT | 002824BT6 | Long | Modellwert (Stufe 2) | 178.439.192 $ | 0,46 | 183.064.000 | |
| Charter Communications Operating LLC / Charter Communications Operating Capital | CHARTER COMM OPT | DBT | 161175CR3 | Long | Modellwert (Stufe 2) | 260.724.052 $ | 0,67 | 262.891.000 | |
| PNC Financial Services Group Inc/The | PNC FINANCIAL | DBT | 693475BU8 | Long | Modellwert (Stufe 2) | 458.913.448 $ | 1,19 | 440.675.000 | |
| JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings | JBS/FOODS/FOOD | DBT | 46590XAP1 | Long | Modellwert (Stufe 2) | 240.214.253 $ | 0,62 | 253.025.000 | |
| Meta Platforms Inc | META PLATFORMS | DBT | 30303MAD4 | Long | Modellwert (Stufe 2) | 210.596.806 $ | 0,54 | 214.703.000 | |
| Philip Morris International Inc | PHILIP MORRIS IN | DBT | 718172DZ9 | Long | Modellwert (Stufe 2) | 528.299.367 $ | 1,37 | 526.547.000 | |
| Israel Government International Bond | STATE OF ISRAEL | DBT | 46515CJY1 | Long | Modellwert (Stufe 2) | 206.415.011 $ | 0,53 | 206.511.000 | |
| HCA Inc | HCA INC | DBT | 404119CK3 | Long | Modellwert (Stufe 2) | 491.963.170 $ | 1,27 | 503.500.000 | |
| Broadcom Inc | BROADCOM INC | DBT | 11135FCY5 | Long | Modellwert (Stufe 2) | 544.559.949 $ | 1,41 | 565.767.000 | |
| Honeywell Aerospace Inc | HONEYWELL AEROSP | DBT | 43849RAG0 | Long | Modellwert (Stufe 2) | beschränkt | 179.465.347 $ | 0,46 | 181.590.000 |
| US Bancorp | US BANCORP | DBT | 91159HJJ0 | Long | Modellwert (Stufe 2) | 305.074.662 $ | 0,79 | 302.125.000 | |
| Wells Fargo & Co | WELLS FARGO CO | DBT | 95000U3H4 | Long | Modellwert (Stufe 2) | 632.355.693 $ | 1,64 | 630.162.000 | |
| Cheniere Energy Partners LP | CHENIERE ENERGYP | DBT | 16411QAN1 | Long | Modellwert (Stufe 2) | 159.207.599 $ | 0,41 | 168.970.000 | |
| Foundry JV Holdco LLC | FOUNDRY JV HOLDC | DBT | 350930AG8 | Long | Modellwert (Stufe 2) | beschränkt | 196.058.844 $ | 0,51 | 187.290.000 |
| Morgan Stanley | MORGAN STANLEY | DBT | 61747YFR1 | Long | Modellwert (Stufe 2) | 991.226.632 $ | 2,57 | 1.005.836.000 | |
| Bank of America Corp | BANK OF AMER CRP | DBT | 06051GKQ1 | Long | Modellwert (Stufe 2) | 994.463.913 $ | 2,57 | 1.022.261.000 | |
| BAT Capital Corp | BAT CAPITAL CORP | DBT | 05526DBS3 | Long | Modellwert (Stufe 2) | 345.873.515 $ | 0,90 | 346.004.000 | |
| Mars Inc | MARS INC | DBT | 571676AZ8 | Long | Modellwert (Stufe 2) | beschränkt | 173.711.684 $ | 0,45 | 171.775.000 |
| Alphabet Inc | ALPHABET INC | DBT | 02079KBL0 | Long | Modellwert (Stufe 2) | 158.021.872 $ | 0,41 | 160.794.000 | |
| BP Capital Markets America Inc | BP CAP MKTS AMER | DBT | 10373QBU3 | Long | Modellwert (Stufe 2) | 226.736.869 $ | 0,59 | 231.634.000 | |
| Citigroup Inc | CITIGROUP INC | DBT | 17327CAR4 | Long | Modellwert (Stufe 2) | 485.045.844 $ | 1,26 | 488.352.000 | |
| Panama Government International Bond | PANAMA | DBT | 698299BN3 | Long | Modellwert (Stufe 2) | 180.997.698 $ | 0,47 | 194.799.000 | |
| American Airlines 2026-1 Class A Pass Through Trust | AM AIRAN 26-1A | DBT | 02379VAA8 | Long | Modellwert (Stufe 2) | 79.641.889 $ | 0,21 | 79.783.000 | |
| Hungary Government International Bond | HUNGARY | DBT | XS3269554690 | Long | Modellwert (Stufe 2) | 171.229.539 $ | 0,44 | 143.234.000 | |
| Kroger Co/The | KROGER CO | DBT | 501044DV0 | Long | Modellwert (Stufe 2) | 77.519.305 $ | 0,20 | 78.519.000 | |
| Mitsubishi UFJ Financial Group Inc | MITSUB UFJ FIN | DBT | 606822DT8 | Long | Modellwert (Stufe 2) | 318.734.726 $ | 0,82 | 326.687.000 | |
| Capital One Financial Corp | CAPITAL ONE FINL | DBT | 14040HDA0 | Long | Modellwert (Stufe 2) | 347.566.105 $ | 0,90 | 345.701.000 | |
| Charles Schwab Corp/The | CHARLES SCHWAB | DBT | 808513CH6 | Long | Modellwert (Stufe 2) | 154.850.907 $ | 0,40 | 148.058.000 | |
| Baker Hughes Holdings LLC / Baker Hughes Co-Obligor Inc | BAKER HUGHES | DBT | 05724BAP4 | Long | Modellwert (Stufe 2) | 157.264.013 $ | 0,41 | 159.657.000 | |
| Novartis Capital Corp | NOVARTIS CAPITAL | DBT | 66989HBH0 | Long | Modellwert (Stufe 2) | 135.086.243 $ | 0,35 | 136.005.000 | |
| Eaton Corp | EATON CORP | DBT | 278058DZ2 | Long | Modellwert (Stufe 2) | 114.931.427 $ | 0,30 | 116.681.000 | |
| Province of Quebec Canada | QUEBEC PROVINCE | DBT | 74814ZFV0 | Long | Modellwert (Stufe 2) | 73.773.247 $ | 0,19 | 100.000.000 | |
| T-Mobile USA Inc | T-MOBILE USA INC | DBT | 87264ADW2 | Long | Modellwert (Stufe 2) | 168.402.973 $ | 0,44 | 172.060.000 | |
| Province of Ontario Canada | ONTARIO PROVINCE | DBT | 68333ZBP1 | Long | Modellwert (Stufe 2) | 73.502.728 $ | 0,19 | 100.000.000 | |
| Intel Corp | INTEL CORP | DBT | 458140CS7 | Long | Modellwert (Stufe 2) | 212.243.151 $ | 0,55 | 216.569.000 | |
| Diamondback Energy Inc | DIAMONDBACK ENER | DBT | 25278XAV1 | Long | Modellwert (Stufe 2) | 108.770.097 $ | 0,28 | 103.195.000 | |
| Elevance Health Inc | ELEVANCE HEALTH | DBT | 036752AZ6 | Long | Modellwert (Stufe 2) | 212.122.879 $ | 0,55 | 211.000.000 | |
| Bank of New York Mellon Corp/The | BANK OF NY MELLO | DBT | 06406RBU0 | Long | Modellwert (Stufe 2) | 411.808.762 $ | 1,07 | 402.528.000 | |
| General Motors Financial Co Inc | GEN MOTORS FIN | DBT | 37045XDS2 | Long | Modellwert (Stufe 2) | 325.716.625 $ | 0,84 | 327.461.000 | |
| ERAC USA Finance LLC | ERAC USA FINANCE | DBT | 26884TBB7 | Long | Modellwert (Stufe 2) | beschränkt | 69.876.346 $ | 0,18 | 70.000.000 |
| Global Atlantic Fin Co | GLOBAL ATLANTI | DBT | 37959GAD9 | Long | Modellwert (Stufe 2) | beschränkt | 69.230.276 $ | 0,18 | 63.174.000 |
| Corebridge Financial Inc | COREBRIDGE FIN | DBT | 21871XAH2 | Long | Modellwert (Stufe 2) | 159.003.304 $ | 0,41 | 160.698.000 | |
| Highwoods Realty LP | HIGHWOODS REALTY | DBT | 431282AU6 | Long | Modellwert (Stufe 2) | 104.069.895 $ | 0,27 | 99.830.000 | |
| Barclays PLC | BARCLAYS PLC | DBT | 06738ECE3 | Long | Modellwert (Stufe 2) | 245.544.465 $ | 0,64 | 236.275.000 | |
| Smurfit Kappa Treasury ULC | SMURFIT KAPPA | DBT | 83272GAE1 | Long | Modellwert (Stufe 2) | 65.068.170 $ | 0,17 | 64.092.000 | |
| Goldman Sachs Group Inc/The | GOLDMAN SACHS GP | DBT | 38141GB78 | Long | Modellwert (Stufe 2) | 560.956.686 $ | 1,45 | 578.313.000 | |
| Hewlett Packard Enterprise Co | HP ENTERPRISE | DBT | 42824CBV0 | Long | Modellwert (Stufe 2) | 82.853.000 $ | 0,21 | 84.368.000 | |
| Global Payments Inc | GLOBAL PAY INC | DBT | 37940XAH5 | Long | Modellwert (Stufe 2) | 62.381.702 $ | 0,16 | 70.915.000 | |
| Enbridge Inc | ENBRIDGE INC | DBT | 29250NCR4 | Long | Modellwert (Stufe 2) | 136.123.498 $ | 0,35 | 133.080.000 | |
| Pacific Gas and Electric Co | PACIFIC GAS&ELEC | DBT | 694308JG3 | Long | Modellwert (Stufe 2) | 168.400.282 $ | 0,44 | 178.958.000 | |
| Georgia Power Co | GEORGIA POWER | DBT | 373334KT7 | Long | Modellwert (Stufe 2) | 94.031.894 $ | 0,24 | 93.489.000 | |
| McKesson Corp | MCKESSON CORP | DBT | 581557BX2 | Long | Modellwert (Stufe 2) | 104.483.360 $ | 0,27 | 102.799.000 | |
| Northrop Grumman Corp | NORTHROP GRUMMAN | DBT | 666807CL4 | Long | Modellwert (Stufe 2) | 93.319.397 $ | 0,24 | 93.162.000 | |
| Marriott International Inc/MD | MARRIOTT INTL | DBT | 571903BX0 | Long | Modellwert (Stufe 2) | 115.862.892 $ | 0,30 | 117.071.000 | |
| AerCap Ireland Capital DAC / AerCap Global Aviation Trust | AERCAP IRELAND | DBT | 00774MBU8 | Long | Modellwert (Stufe 2) | 133.198.793 $ | 0,34 | 140.278.000 | |
| Energy Transfer LP | ENERGY TRANS | DBT | 29273VAU4 | Long | Modellwert (Stufe 2) | 193.192.672 $ | 0,50 | 185.370.000 | |
| L3Harris Technologies Inc | L3HARRIS TECH IN | DBT | 502431AQ2 | Long | Modellwert (Stufe 2) | 93.604.011 $ | 0,24 | 91.275.000 | |
| AbbVie Inc | ABBVIE INC | DBT | 00287YEF2 | Long | Modellwert (Stufe 2) | 132.993.226 $ | 0,34 | 135.049.000 | |
| Nutrien Ltd | NUTRIEN LTD | DBT | 67077MBD9 | Long | Modellwert (Stufe 2) | 77.546.097 $ | 0,20 | 76.073.000 | |
| Huntington Bancshares Inc/OH | HUNTINGTON BANCS | DBT | 446150BD5 | Long | Modellwert (Stufe 2) | 132.376.257 $ | 0,34 | 132.395.000 | |
| Altria Group Inc | ALTRIA GROUP INC | DBT | 02209SBL6 | Long | Modellwert (Stufe 2) | 92.915.153 $ | 0,24 | 100.185.000 | |
| Province of Alberta Canada | ALBERTA PROVINCE | DBT | 013051EW3 | Long | Modellwert (Stufe 2) | 55.313.354 $ | 0,14 | 75.000.000 | |
| Ford Motor Co | FORD MOTOR CO | DBT | 345370DA5 | Long | Modellwert (Stufe 2) | 78.487.438 $ | 0,20 | 85.757.000 | |
| GlaxoSmithKline Capital Inc | GLAXOSMITHKLINE | DBT | 377372AQ0 | Long | Modellwert (Stufe 2) | 59.937.054 $ | 0,16 | 60.000.000 | |
| Huntington Ingalls Industries Inc | HUNT INGALLS IND | DBT | 446413BB1 | Long | Modellwert (Stufe 2) | 54.723.134 $ | 0,14 | 52.889.000 | |
| Citibank NA | CITIBANK NA | DBT | 17325FBG2 | Long | Modellwert (Stufe 2) | 54.372.514 $ | 0,14 | 52.338.000 | |
| Vistra Operations Co LLC | VISTRA OPERATION | DBT | 92840VBB7 | Long | Modellwert (Stufe 2) | beschränkt | 116.076.804 $ | 0,30 | 117.209.000 |
| Motorola Solutions Inc | MOTOROLA SOLUTIO | DBT | 620076CC1 | Long | Modellwert (Stufe 2) | 97.446.868 $ | 0,25 | 98.092.000 | |
| Athene Holding Ltd | ATHENE HOLDING | DBT | 04686JAJ0 | Long | Modellwert (Stufe 2) | 81.910.751 $ | 0,21 | 89.045.000 | |
| Occidental Petroleum Corp | OCCIDENTAL PETE | DBT | 674599EL5 | Long | Modellwert (Stufe 2) | 78.153.395 $ | 0,20 | 74.695.000 | |
| RTX Corp | RTX CORP | DBT | 75513ECR0 | Long | Modellwert (Stufe 2) | 138.028.363 $ | 0,36 | 141.478.000 | |
| Marathon Petroleum Corp | MARATHON PETRO | DBT | 56585ABL5 | Long | Modellwert (Stufe 2) | 51.337.225 $ | 0,13 | 50.000.000 | |
| HSBC Holdings PLC | HSBC HOLDINGS | DBT | 404280EC9 | Long | Modellwert (Stufe 2) | 426.858.208 $ | 1,10 | 423.066.500 | |
| Targa Resources Partners LP / Targa Resources Partners Finance Corp | TARGA RES PRTNRS | DBT | 87612BBU5 | Long | Modellwert (Stufe 2) | 92.019.928 $ | 0,24 | 94.711.000 | |
| Argentine Republic Government International Bond | ARGENTINA | DBT | 040114HS2 | Long | Modellwert (Stufe 2) | 62.528.931 $ | 0,16 | 74.329.422 | |
| NiSource Inc | NISOURCE INC | DBT | 65473PAX3 | Long | Modellwert (Stufe 2) | 90.831.298 $ | 0,24 | 89.501.000 | |
| CVS Health Corp | CVS HEALTH CORP | DBT | 126650DU1 | Long | Modellwert (Stufe 2) | 148.859.179 $ | 0,39 | 147.285.000 | |
| Saudi Arabian Oil Co | SAUDI ARAB OIL | DBT | 80415RAA9 | Long | Modellwert (Stufe 2) | beschränkt | 50.242.036 $ | 0,13 | 51.200.000 |
| American Honda Finance Corp | AMERICAN HONDA F | DBT | 02665WGF2 | Long | Modellwert (Stufe 2) | 125.098.689 $ | 0,32 | 125.840.000 | |
| Prologis LP | PROLOGIS LP | DBT | 74340XCJ8 | Long | Modellwert (Stufe 2) | 96.204.957 $ | 0,25 | 96.550.000 | |
| Orange SA | ORANGE | DBT | 685218AE9 | Long | Modellwert (Stufe 2) | beschränkt | 49.478.558 $ | 0,13 | 50.110.000 |
| Marsh & McLennan Cos Inc | MARSH & MCLENNAN | DBT | 571748CC4 | Long | Modellwert (Stufe 2) | 79.356.398 $ | 0,21 | 79.410.000 | |
| Merck & Co Inc | MERCK & CO INC | DBT | 58933YBZ7 | Long | Modellwert (Stufe 2) | 66.035.362 $ | 0,17 | 67.223.000 | |
| Ameren Corp | AMEREN CORP | DBT | 023608AR3 | Long | Modellwert (Stufe 2) | 72.512.654 $ | 0,19 | 72.408.000 | |
| GE Vernova Inc | GE VERNOVA INC | DBT | 36828AAB7 | Long | Modellwert (Stufe 2) | 47.811.713 $ | 0,12 | 48.365.000 | |
| Southwestern Electric Power Co | SOUTHWESTN EL PR | DBT | 845437BU5 | Long | Modellwert (Stufe 2) | 56.885.177 $ | 0,15 | 56.370.000 | |
| GE HealthCare Technologies Inc | GE HEALTHCARE | DBT | 36266GAC1 | Long | Modellwert (Stufe 2) | 114.748.049 $ | 0,30 | 113.459.000 | |
| Dell International LLC / EMC Corp | DELL INT / EMC | DBT | 24703TAN6 | Long | Modellwert (Stufe 2) | 182.512.539 $ | 0,47 | 182.073.000 | |
| Amgen Inc | AMGEN INC | DBT | 031162DR8 | Long | Modellwert (Stufe 2) | 107.571.522 $ | 0,28 | 108.738.000 | |
| Uber Technologies Inc | UBER TECHNOLOGIE | DBT | 90353TAP5 | Long | Modellwert (Stufe 2) | 69.989.669 $ | 0,18 | 71.600.000 | |
| Owens Corning | OWENS CORNING | DBT | 690742AP6 | Long | Modellwert (Stufe 2) | 47.042.481 $ | 0,12 | 45.352.000 | |
| American Express Co | AMERICAN EXPRESS | DBT | 025816DW6 | Long | Modellwert (Stufe 2) | 159.261.918 $ | 0,41 | 159.259.000 | |
| Apollo Global Management Inc | APOLLO GLOBAL | DBT | 03769MAE6 | Long | Modellwert (Stufe 2) | 73.402.603 $ | 0,19 | 75.317.000 | |
| NextEra Energy Capital Holdings Inc | NEXTERA ENERGY | DBT | 65339KDK3 | Long | Modellwert (Stufe 2) | 119.458.637 $ | 0,31 | 118.456.000 | |
| Southern Co/The | SOUTHERN CO | DBT | 842587DR5 | Long | Modellwert (Stufe 2) | 89.292.614 $ | 0,23 | 87.265.000 | |
| UBS Group AG | UBS GROUP | DBT | 902613BQ0 | Long | Modellwert (Stufe 2) | beschränkt | 137.986.271 $ | 0,36 | 141.536.000 |
| PPL Capital Funding Inc | PPL CAPITAL FDG | DBT | 69352PAT0 | Long | Modellwert (Stufe 2) | 44.670.480 $ | 0,12 | 44.253.000 | |
| Pfizer Inc | PFIZER INC | DBT | 717081FF5 | Long | Modellwert (Stufe 2) | 77.148.063 $ | 0,20 | 77.955.000 | |
| Dominion Energy Inc | DOMINION ENERGY | DBT | 25746UDX4 | Long | Modellwert (Stufe 2) | 133.839.117 $ | 0,35 | 133.641.000 | |
| Coterra Energy Inc | COTERRA ENERGY | DBT | 127097AL7 | Long | Modellwert (Stufe 2) | 76.601.938 $ | 0,20 | 75.252.000 | |
| AutoZone Inc | AUTOZONE INC | DBT | 053332BK7 | Long | Modellwert (Stufe 2) | 94.014.002 $ | 0,24 | 95.737.000 | |
| Philippine Government International Bond | PHILIPPINES(REP) | DBT | XS2985434948 | Long | Modellwert (Stufe 2) | 43.220.132 $ | 0,11 | 37.290.000 | |
| UnitedHealth Group Inc | UNITEDHEALTH GRP | DBT | 91324PEV0 | Long | Modellwert (Stufe 2) | 153.781.810 $ | 0,40 | 153.205.000 | |
| Amcor Flexibles North America Inc | AMCOR FLEXIBLES | DBT | 02344AAH1 | Long | Modellwert (Stufe 2) | 61.029.449 $ | 0,16 | 62.310.000 | |
| Stellantis Finance US Inc | STELLANTIS FIN | DBT | 85855CAL4 | Long | Modellwert (Stufe 2) | beschränkt | 42.895.651 $ | 0,11 | 42.960.000 |
| Fiserv Inc | FISERV INC | DBT | 337738BN7 | Long | Modellwert (Stufe 2) | 76.902.572 $ | 0,20 | 77.630.000 | |
| State Street Corp | STATE STREET CRP | DBT | 857477CG6 | Long | Modellwert (Stufe 2) | 130.822.927 $ | 0,34 | 129.521.000 | |
| Banco Santander SA | BANCO SANTANDER | DBT | 05964HAV7 | Long | Modellwert (Stufe 2) | 125.918.228 $ | 0,33 | 120.690.000 | |
| DTE Energy Co | DTE ENERGY CO | DBT | 233331BL0 | Long | Modellwert (Stufe 2) | 41.908.686 $ | 0,11 | 40.000.000 | |
| TotalEnergies Capital USA LLC | TOTALENERGI CAP | DBT | 89158TAC3 | Long | Modellwert (Stufe 2) | 77.459.149 $ | 0,20 | 78.454.000 | |
| Cigna Group/The | CIGNA GROUP/THE | DBT | 125523CZ1 | Long | Modellwert (Stufe 2) | 108.562.604 $ | 0,28 | 108.104.000 | |
| Eagle Funding Luxco Sarl | EAGLE LUXCO | DBT | USL2660VAA37 | Long | Modellwert (Stufe 2) | 41.527.448 $ | 0,11 | 41.210.000 | |
| Republic of Poland Government International Bond | REP OF POLAND | DBT | 857524AK8 | Long | Modellwert (Stufe 2) | 74.091.706 $ | 0,19 | 73.258.000 | |
| Cardinal Health Inc | CARDINAL HEALTH | DBT | 14149YBS6 | Long | Modellwert (Stufe 2) | 43.532.347 $ | 0,11 | 43.000.000 | |
| Progressive Corp/The | PROGRESSIVE CORP | DBT | 743315BD4 | Long | Modellwert (Stufe 2) | 40.236.439 $ | 0,10 | 40.225.000 | |
| BHP Billiton Finance USA Ltd | BHP FINANCE USA | DBT | 055451BA5 | Long | Modellwert (Stufe 2) | 103.686.805 $ | 0,27 | 102.656.000 | |
| Ares Capital Corp | ARES CAPITAL COR | DBT | 04010LBH5 | Long | Modellwert (Stufe 2) | 39.713.864 $ | 0,10 | 40.000.000 | |
| Transcontinental Gas Pipe Line Co LLC | TRANSCONT GAS PL | DBT | 893574AU7 | Long | Modellwert (Stufe 2) | 39.642.314 $ | 0,10 | 40.000.000 | |
| Laboratory Corp of America Holdings | LABORATORY CORP | DBT | 50540RBA9 | Long | Modellwert (Stufe 2) | 59.926.850 $ | 0,16 | 60.852.000 | |
| Allstate Corp/The | ALLSTATE CORP | DBT | 020002BK6 | Long | Modellwert (Stufe 2) | 55.638.750 $ | 0,14 | 54.516.000 | |
| Synopsys Inc | SYNOPSYS INC | DBT | 871607AD9 | Long | Modellwert (Stufe 2) | 78.071.456 $ | 0,20 | 77.673.000 | |
| Ford Motor Credit Co LLC | FORD MOTOR CRED | DBT | 345397G98 | Long | Modellwert (Stufe 2) | 160.666.905 $ | 0,42 | 160.020.000 | |
| Leidos Inc | LEIDOS INC | DBT | 52532XAN5 | Long | Modellwert (Stufe 2) | 79.315.260 $ | 0,21 | 79.506.000 | |
| Ameriprise Financial Inc | AMERIPRISE FINL | DBT | 03076CAP1 | Long | Modellwert (Stufe 2) | 38.720.164 $ | 0,10 | 38.581.000 | |
| Truist Financial Corp | TRUIST FINANCIAL | DBT | 89788MAV4 | Long | Modellwert (Stufe 2) | 38.631.316 $ | 0,10 | 40.000.000 | |
| Zoetis Inc | ZOETIS INC | DBT | 98978VAX1 | Long | Modellwert (Stufe 2) | 62.979.151 $ | 0,16 | 62.110.000 | |
| PSEG Power LLC | PSEG POWER LLC | DBT | 69362BBE1 | Long | Modellwert (Stufe 2) | beschränkt | 37.952.897 $ | 0,10 | 37.275.000 |
| Sabra Health Care LP | SABRA HEALTH CAR | DBT | 78574MAA1 | Long | Modellwert (Stufe 2) | 37.635.224 $ | 0,10 | 41.626.000 | |
| Walmart Inc | WALMART INC | DBT | 931142FU2 | Long | Modellwert (Stufe 2) | 69.729.924 $ | 0,18 | 70.115.000 | |
| Expand Energy Corp | EXPAND ENRGY | DBT | 845467AT6 | Long | Modellwert (Stufe 2) | 37.082.365 $ | 0,10 | 37.825.000 | |
| Ameren Illinois Co | AMEREN ILLINOIS | DBT | 02361DBA7 | Long | Modellwert (Stufe 2) | 64.271.374 $ | 0,17 | 65.435.000 | |
| MetLife Inc | METLIFE INC | DBT | 59156RCQ9 | Long | Modellwert (Stufe 2) | 72.047.465 $ | 0,19 | 70.559.000 | |
| Aon North America Inc | AON NORTH AMER | DBT | 03740MAD2 | Long | Modellwert (Stufe 2) | 36.792.563 $ | 0,10 | 36.000.000 | |
| Turkiye Government International Bond | TURKIYE REP OF | DBT | 900123DL1 | Long | Modellwert (Stufe 2) | 51.272.424 $ | 0,13 | 51.155.000 | |
| Bank Gospodarstwa Krajowego | BANK GOSPODARSTW | DBT | XS2625207571 | Long | Modellwert (Stufe 2) | 42.359.644 $ | 0,11 | 40.668.000 | |
| Regions Financial Corp | REGIONS FINL | DBT | 7591EPAV2 | Long | Modellwert (Stufe 2) | 36.672.577 $ | 0,09 | 36.518.000 | |
| Ascension Health | ASCENSION HEALTH | DBT | 04351LAE0 | Long | Modellwert (Stufe 2) | 36.509.925 $ | 0,09 | 36.925.000 | |
| CenterPoint Energy Houston Electric LLC | CENTERPOINT HOUS | DBT | 15189XAZ1 | Long | Modellwert (Stufe 2) | 69.671.645 $ | 0,18 | 71.506.000 | |
| Smurfit Westrock Financing DAC | SMURFIT WESTROCK | DBT | 83272YAC6 | Long | Modellwert (Stufe 2) | 69.898.890 $ | 0,18 | 70.196.000 | |
| Williams Cos Inc/The | WILLIAMS COS INC | DBT | 969457CV0 | Long | Modellwert (Stufe 2) | 84.076.457 $ | 0,22 | 84.149.000 | |
| Northern Trust Corp | NORTHERN TRST CO | DBT | 665859AZ7 | Long | Modellwert (Stufe 2) | 35.901.711 $ | 0,09 | 36.719.000 | |
| Caterpillar Inc | CATERPILLAR INC | DBT | 149123CL3 | Long | Modellwert (Stufe 2) | 35.739.249 $ | 0,09 | 34.842.000 | |
| NetApp Inc | NETAPP INC | DBT | 64110DAM6 | Long | Modellwert (Stufe 2) | 35.737.465 $ | 0,09 | 34.940.000 | |
| Targa Resources Corp | TARGA RESOURCES | DBT | 87612GAF8 | Long | Modellwert (Stufe 2) | 86.594.578 $ | 0,22 | 83.290.000 | |
| Toronto-Dominion Bank/The | TORONTO DOM BANK | DBT | 89115KAR1 | Long | Modellwert (Stufe 2) | 102.966.051 $ | 0,27 | 103.684.000 | |
| Westpac Banking Corp | WESTPAC BANKING | DBT | 961214FW8 | Long | Modellwert (Stufe 2) | 83.615.832 $ | 0,22 | 82.028.000 | |
| Sumitomo Mitsui Financial Group Inc | SUMITOMO MITSU | DBT | 86562MEF3 | Long | Modellwert (Stufe 2) | 193.803.054 $ | 0,50 | 190.910.000 | |
| Ryder System Inc | RYDER SYSTEM INC | DBT | 78355HKY4 | Long | Modellwert (Stufe 2) | 34.987.101 $ | 0,09 | 31.914.000 | |
| Ares Strategic Income Fund | ARES STRATEGIC I | DBT | 04020EAJ6 | Long | Modellwert (Stufe 2) | 34.717.532 $ | 0,09 | 35.000.000 | |
| MPLX LP | MPLX LP | DBT | 55336VCE8 | Long | Modellwert (Stufe 2) | 84.232.751 $ | 0,22 | 85.000.000 | |
| Enterprise Products Operating LLC | ENTERPRISE PRODU | DBT | 29379VCL5 | Long | Modellwert (Stufe 2) | 61.590.148 $ | 0,16 | 59.705.000 | |
| Peruvian Government International Bond | REPUBLIC OF PERU | DBT | 715638DF6 | Long | Modellwert (Stufe 2) | 54.553.388 $ | 0,14 | 57.669.000 | |
| Cenovus Energy Inc | CENOVUS ENERGY | DBT | 15135UAW9 | Long | Modellwert (Stufe 2) | 34.192.760 $ | 0,09 | 38.257.000 | |
| Extra Space Storage LP | EXTRA SPACE STOR | DBT | 30225VAG2 | Long | Modellwert (Stufe 2) | 129.564.433 $ | 0,34 | 138.610.000 | |
| 200 Park Funding Trust | 200 PARK FUND TR | DBT | 901928AA9 | Long | Modellwert (Stufe 2) | beschränkt | 33.906.034 $ | 0,09 | 35.236.000 |
| Equinix Europe 2 Financing Corp LLC | EQUINIX EU 2 FIN | DBT | 29390XAH7 | Long | Modellwert (Stufe 2) | 42.732.971 $ | 0,11 | 43.307.000 | |
| Agilent Technologies Inc | AGILENT TECH INC | DBT | 00846UAR2 | Long | Modellwert (Stufe 2) | 53.157.208 $ | 0,14 | 55.945.000 | |
| Romanian Government International Bond | ROMANIA | DBT | 775921AA7 | Long | Modellwert (Stufe 2) | beschränkt | 91.795.646 $ | 0,24 | 88.491.000 |
| Entergy Corp | ENTERGY CORP | DBT | 29364GAP8 | Long | Modellwert (Stufe 2) | 32.581.307 $ | 0,08 | 36.492.000 | |
| Cisco Systems Inc | CISCO SYSTEMS | DBT | 17275RBY7 | Long | Modellwert (Stufe 2) | 57.888.742 $ | 0,15 | 56.935.000 | |
| Humana Inc | HUMANA INC | DBT | 444859CA8 | Long | Modellwert (Stufe 2) | 42.791.721 $ | 0,11 | 44.000.000 | |
| Duke Energy Carolinas LLC | DUKE ENERGY CAR | DBT | 26442CBJ2 | Long | Modellwert (Stufe 2) | 45.445.946 $ | 0,12 | 45.660.000 | |
| American Water Capital Corp | AMERICAN WATER | DBT | 03040WBH7 | Long | Modellwert (Stufe 2) | 32.032.337 $ | 0,08 | 31.990.000 | |
| Toyota Motor Credit Corp | TOYOTA MTR CRED | DBT | 89236TPJ8 | Long | Modellwert (Stufe 2) | 63.373.684 $ | 0,16 | 64.399.000 | |
| Duke Energy Corp | DUKE ENERGY COR | DBT | 26441CBL8 | Long | Modellwert (Stufe 2) | 103.922.093 $ | 0,27 | 107.867.000 | |
| Fedex Freight Holding Co Inc | FEDEX FREIGHT HO | DBT | 314352AE5 | Long | Modellwert (Stufe 2) | beschränkt | 43.798.063 $ | 0,11 | 44.717.000 |
| Oncor Electric Delivery Co LLC | ONCOR ELECTRIC D | DBT | 68233JCS1 | Long | Modellwert (Stufe 2) | 42.711.433 $ | 0,11 | 41.110.000 | |
| Jersey Central Power & Light Co | JERSEY CENT P&L | DBT | 476556DH5 | Long | Modellwert (Stufe 2) | beschränkt | 31.388.028 $ | 0,08 | 31.570.000 |
| Nasdaq Inc | NASDAQ INC | DBT | 63111XAJ0 | Long | Modellwert (Stufe 2) | 31.272.606 $ | 0,08 | 30.288.000 | |
| Public Service Co of Oklahoma | PUB SVC OKLAHOMA | DBT | 744533BQ2 | Long | Modellwert (Stufe 2) | 59.774.341 $ | 0,15 | 59.152.000 | |
| Constellation Brands Inc | CONSTELLATION BR | DBT | 21036PBT4 | Long | Modellwert (Stufe 2) | 30.791.965 $ | 0,08 | 31.720.000 | |
| Glencore Funding LLC | GLENCORE FDG LLC | DBT | 378272CA4 | Long | Modellwert (Stufe 2) | beschränkt | 69.737.598 $ | 0,18 | 68.730.000 |
| Verisk Analytics Inc | VERISK ANALYTICS | DBT | 92345YAL0 | Long | Modellwert (Stufe 2) | 42.555.627 $ | 0,11 | 42.481.000 | |
| Walt Disney Co/The | WALT DISNEY CO | DBT | 254687GE0 | Long | Modellwert (Stufe 2) | 30.304.948 $ | 0,08 | 31.171.000 | |
| ONEOK Inc | ONEOK INC | DBT | 682680BG7 | Long | Modellwert (Stufe 2) | 75.309.756 $ | 0,19 | 72.066.000 | |
| Latvia Government International Bond | REP OF LATVIA | DBT | XS2829701718 | Long | Modellwert (Stufe 2) | 30.149.949 $ | 0,08 | 30.000.000 | |
| Ohio Power Co | OHIO POWER CO | DBT | 677415CW9 | Long | Modellwert (Stufe 2) | 30.134.124 $ | 0,08 | 29.307.000 | |
| UBS Americas Inc | UBS AMERICAS INC | DBT | 22541LAE3 | Long | Modellwert (Stufe 2) | 30.123.571 $ | 0,08 | 27.000.000 | |
| Suncor Energy Inc | SUNCOR ENERGY | DBT | 867229AC0 | Long | Modellwert (Stufe 2) | 30.091.031 $ | 0,08 | 27.141.000 | |
| PayPal Holdings Inc | PAYPAL HOLDING | DBT | 70450YAP8 | Long | Modellwert (Stufe 2) | 29.783.454 $ | 0,08 | 30.000.000 | |
| Public Service Enterprise Group Inc | PUBLIC SERVICE | DBT | 744573BB1 | Long | Modellwert (Stufe 2) | 79.966.888 $ | 0,21 | 81.369.000 | |
| Credit Agricole SA | CRED AGRICOLE SA | DBT | 22535WAU1 | Long | Modellwert (Stufe 2) | beschränkt | 29.407.091 $ | 0,08 | 30.000.000 |
| FedEx Corp | FEDEX CORP | DBT | 31428XDH6 | Long | Modellwert (Stufe 2) | 29.377.986 $ | 0,08 | 32.544.000 | |
| Cencora Inc | CENCORA INC | DBT | 03073EBE4 | Long | Modellwert (Stufe 2) | 44.445.701 $ | 0,12 | 45.285.000 | |
| Aon Corp / Aon Global Holdings PLC | AON CORP/AON GLO | DBT | 03740LAG7 | Long | Modellwert (Stufe 2) | 41.097.909 $ | 0,11 | 42.023.000 | |
| Quest Diagnostics Inc | QUEST DIAGNOSTIC | DBT | 74834LBH2 | Long | Modellwert (Stufe 2) | 34.201.747 $ | 0,09 | 34.764.000 | |
| O'Reilly Automotive Inc | O'REILLY AUTOMOT | DBT | 67103HAP2 | Long | Modellwert (Stufe 2) | 50.090.903 $ | 0,13 | 51.763.000 | |
| Rogers Communications Inc | ROGERS COMMUNIC | DBT | 775109CH2 | Long | Modellwert (Stufe 2) | 48.975.417 $ | 0,13 | 51.068.000 | |
| Martin Marietta Materials Inc | MARTIN MAR MTLS | DBT | 573284BA3 | Long | Modellwert (Stufe 2) | 50.841.672 $ | 0,13 | 53.410.000 | |
| Cadence Design Systems Inc | CADENCE DESIGN | DBT | 127387AP3 | Long | Modellwert (Stufe 2) | 28.401.223 $ | 0,07 | 28.830.000 | |
| Goodman US Finance Seven LLC | GOODMAN US SEVEN | DBT | 38239BAA6 | Long | Modellwert (Stufe 2) | beschränkt | 28.378.937 $ | 0,07 | 28.800.000 |
| Entergy Arkansas LLC | ENTERGY ARKANSAS | DBT | 29366MAF5 | Long | Modellwert (Stufe 2) | 47.888.390 $ | 0,12 | 46.627.000 | |
| Evergy Kansas Central Inc | EVERGY KANSAS | DBT | 30036FAD3 | Long | Modellwert (Stufe 2) | 28.023.286 $ | 0,07 | 27.830.000 | |
| Southern California Edison Co | SOUTHERN CAL ED | DBT | 842400JL8 | Long | Modellwert (Stufe 2) | 73.448.921 $ | 0,19 | 75.720.000 | |
| Duke Energy Florida LLC | DUKE ENERGY FLA | DBT | 26444HAQ4 | Long | Modellwert (Stufe 2) | 27.781.624 $ | 0,07 | 26.217.000 | |
| Petronas Capital Ltd | PETRONAS CAP LTD | DBT | USY68856BE59 | Long | Modellwert (Stufe 2) | 49.888.798 $ | 0,13 | 49.824.000 | |
| RD Michigan Property Owner I LLC | RD MI PROP OWN I | DBT | 74941YAA0 | Long | Modellwert (Stufe 2) | beschränkt | 27.180.410 $ | 0,07 | 27.146.000 |
| Augusta SpinCo Corp | AUGUSTA SPINCO C | DBT | 051473AF3 | Long | Modellwert (Stufe 2) | 48.970.371 $ | 0,13 | 49.195.000 | |
| Airbnb Inc | AIRBNB INC | DBT | 009066AE1 | Long | Modellwert (Stufe 2) | 27.147.874 $ | 0,07 | 27.230.000 | |
| DCP Midstream Operating LP | DCP MIDSTREAM OP | DBT | 23311VAK3 | Long | Modellwert (Stufe 2) | 27.118.325 $ | 0,07 | 29.665.000 | |
| Becton Dickinson & Co | BECTON DICKINSON | DBT | 075887CP2 | Long | Modellwert (Stufe 2) | 50.464.847 $ | 0,13 | 51.211.000 | |
| RenaissanceRe Holdings Ltd | RENAISSANCERE | DBT | 75968NAE1 | Long | Modellwert (Stufe 2) | 46.852.248 $ | 0,12 | 45.594.000 | |
| Arizona Public Service Co | ARIZONA PUB SERV | DBT | 040555DH4 | Long | Modellwert (Stufe 2) | 51.331.109 $ | 0,13 | 49.771.000 | |
| Thermo Fisher Scientific Inc | THERMO FISHER | DBT | 883556DH2 | Long | Modellwert (Stufe 2) | 89.288.907 $ | 0,23 | 90.313.000 | |
| Deutsche Bank AG/New York NY | DEUTSCHE BANK NY | DBT | 251526CT4 | Long | Modellwert (Stufe 2) | 68.761.991 $ | 0,18 | 70.200.000 | |
| Commonwealth Edison Co | COMMONWEALTH EDI | DBT | 202795JZ4 | Long | Modellwert (Stufe 2) | 51.568.460 $ | 0,13 | 51.655.000 | |
| Healthpeak OP LLC | HEALTHPEAK OP | DBT | 42250PAE3 | Long | Modellwert (Stufe 2) | 25.588.074 $ | 0,07 | 25.355.000 | |
| NSTAR Electric Co | NSTAR ELECTRIC | DBT | 67021CAV9 | Long | Modellwert (Stufe 2) | 25.577.620 $ | 0,07 | 25.000.000 | |
| Virginia Electric and Power Co | VIRGINIA EL&PWR | DBT | 927804GM0 | Long | Modellwert (Stufe 2) | 67.991.565 $ | 0,18 | 68.963.000 | |
| Xcel Energy Inc | XCEL ENERGY INC | DBT | 98389BBE9 | Long | Modellwert (Stufe 2) | 74.977.586 $ | 0,19 | 77.077.000 | |
| Apollo Debt Solutions BDC | APOLLO DEBT SOLU | DBT | 03770DAD5 | Long | Modellwert (Stufe 2) | 50.838.414 $ | 0,13 | 50.000.000 | |
| Eastman Chemical Co | EASTMAN CHEMICAL | DBT | 277432AY6 | Long | Modellwert (Stufe 2) | 41.082.866 $ | 0,11 | 40.000.000 | |
| EOG Resources Inc | EOG RESOURCES IN | DBT | 26875PAZ4 | Long | Modellwert (Stufe 2) | 38.072.719 $ | 0,10 | 38.110.000 | |
| Plains All American Pipeline LP / PAA Finance Corp | PLAINS ALL AMER | DBT | 72650RBS0 | Long | Modellwert (Stufe 2) | 36.497.754 $ | 0,09 | 36.191.000 | |
| Alabama Power Co | ALABAMA POWER CO | DBT | 010392GC6 | Long | Modellwert (Stufe 2) | 38.825.627 $ | 0,10 | 38.300.000 | |
| Empresa Nacional del Petroleo | EMPRESA NACIONAL | DBT | USP37110AN62 | Long | Modellwert (Stufe 2) | 25.215.913 $ | 0,07 | 24.953.000 | |
| Zimmer Biomet Holdings Inc | ZIMMER BIOMET | DBT | 98956PAZ5 | Long | Modellwert (Stufe 2) | 72.492.687 $ | 0,19 | 74.663.000 | |
| National Grid PLC | NATL GRID PLC | DBT | 636274AE2 | Long | Modellwert (Stufe 2) | 49.906.061 $ | 0,13 | 48.370.000 | |
| Westlake Corp | WESTLAKE CORP | DBT | 960413BB7 | Long | Modellwert (Stufe 2) | 24.990.834 $ | 0,06 | 25.000.000 | |
| San Diego Gas & Electric Co | SAN DIEGO G & E | DBT | 797440CH5 | Long | Modellwert (Stufe 2) | 24.926.806 $ | 0,06 | 25.000.000 | |
| Southern Co Gas Capital Corp | SOUTHERN GAS | DBT | 8426EPAG3 | Long | Modellwert (Stufe 2) | 48.263.285 $ | 0,12 | 47.555.000 | |
| Lloyds Banking Group PLC | LLOYDS BK GR PLC | DBT | 539439BE8 | Long | Modellwert (Stufe 2) | 44.832.762 $ | 0,12 | 43.038.000 | |
| Bank of Nova Scotia/The | BANK NOVA SCOTIA | DBT | 06418GAZ0 | Long | Modellwert (Stufe 2) | 40.992.409 $ | 0,11 | 42.000.000 | |
| Sempra | SEMPRA | DBT | 816851BX6 | Long | Modellwert (Stufe 2) | 49.878.480 $ | 0,13 | 49.890.000 | |
| PPG Industries Inc | PPG INDUSTRIES | DBT | 693506BY2 | Long | Modellwert (Stufe 2) | 24.672.409 $ | 0,06 | 25.000.000 | |
| CRH America Finance Inc | CRH AMERICA FIN | DBT | 12636YAJ1 | Long | Modellwert (Stufe 2) | 24.577.283 $ | 0,06 | 24.988.000 | |
| Liberty Mutual Group Inc | LIBERTY MUTUAL | DBT | 53079EBR4 | Long | Modellwert (Stufe 2) | beschränkt | 24.576.994 $ | 0,06 | 25.000.000 |
| Antero Resources Corp | ANTERO RESOURCES | DBT | 03674XAU0 | Long | Modellwert (Stufe 2) | 24.567.485 $ | 0,06 | 25.000.000 | |
| Shell Finance US Inc | SHELL FINANCE US | DBT | 822905AQ8 | Long | Modellwert (Stufe 2) | 24.547.113 $ | 0,06 | 25.000.000 | |
| Triton Container International Ltd / TAL International Container Corp | TRITON CONTAINER | DBT | 89681LAC6 | Long | Modellwert (Stufe 2) | 28.039.656 $ | 0,07 | 28.930.000 | |
| Equitable Holdings Inc | EQUITABLE HLDGS | DBT | 29452EAC5 | Long | Modellwert (Stufe 2) | 24.516.589 $ | 0,06 | 23.981.000 | |
| M&T Bank Corp | M&T BANK CORP | DBT | 55261FAR5 | Long | Modellwert (Stufe 2) | 34.448.259 $ | 0,09 | 34.703.000 | |
| Serbia International Bond | SERBIA REPUBLIC | DBT | 817477AK8 | Long | Modellwert (Stufe 2) | beschränkt | 24.360.371 $ | 0,06 | 25.000.000 |
| International Business Machines Corp | IBM CORP | DBT | 459200LT6 | Long | Modellwert (Stufe 2) | 24.325.693 $ | 0,06 | 25.000.000 | |
| Santander UK Group Holdings PLC | SANTANDER UK GRP | DBT | 80281LAY1 | Long | Modellwert (Stufe 2) | 24.186.359 $ | 0,06 | 25.000.000 | |
| NNN REIT Inc | NNN REIT | DBT | 637417AS5 | Long | Modellwert (Stufe 2) | 34.308.259 $ | 0,09 | 33.503.000 | |
| Rio Tinto Finance USA PLC | RIO TINTO FIN PL | DBT | 76720AAU0 | Long | Modellwert (Stufe 2) | 23.803.523 $ | 0,06 | 23.370.000 | |
| Galaxy Pipeline Assets Bidco Ltd | GALAXY PIPELINE | DBT | XS2249741245 | Long | Modellwert (Stufe 2) | 26.457.875 $ | 0,07 | 30.419.415 | |
| Public Property Invest AS | PUBLIC PROPERTY | DBT | XS2957471373 | Long | Modellwert (Stufe 2) | 24.892.132 $ | 0,06 | 20.876.000 | |
| Public Service Co of Colorado | PUBLIC SERV COLO | DBT | 744448DE8 | Long | Modellwert (Stufe 2) | 45.690.918 $ | 0,12 | 45.930.000 | |
| Arthur J Gallagher & Co | ARTHUR J GALLAGH | DBT | 04316JAM1 | Long | Modellwert (Stufe 2) | 45.416.017 $ | 0,12 | 44.207.000 | |
| Daimler Truck Finance North America LLC | DAIMLER TRUCK | DBT | 233853BE9 | Long | Modellwert (Stufe 2) | beschränkt | 23.403.858 $ | 0,06 | 23.000.000 |
| Indonesia Government International Bond | INDONESIA (REP) | DBT | XS3307444482 | Long | Modellwert (Stufe 2) | 72.569.631 $ | 0,19 | 67.687.000 | |
| Berry Global Inc | BERRY GLOBAL INC | DBT | 08576PAQ4 | Long | Modellwert (Stufe 2) | 23.134.567 $ | 0,06 | 22.569.000 | |
| Eversource Energy | EVERSOURCE ENERG | DBT | 30040WAP3 | Long | Modellwert (Stufe 2) | 27.026.538 $ | 0,07 | 29.000.000 | |
| Ingersoll Rand Inc | INGERSOLL RAND | DBT | 45687VAF3 | Long | Modellwert (Stufe 2) | 54.160.661 $ | 0,14 | 52.630.000 | |
| Southern Power Co | SOUTHERN POWER | DBT | 843646AY6 | Long | Modellwert (Stufe 2) | 22.582.570 $ | 0,06 | 23.310.000 | |
| Marvell Technology Inc | MARVELL TECH INC | DBT | 573874AQ7 | Long | Modellwert (Stufe 2) | 36.642.513 $ | 0,09 | 35.457.000 | |
| Atlas Warehouse Lending Co LP | ATLAS WARE LEND | DBT | 049463AH5 | Long | Modellwert (Stufe 2) | beschränkt | 22.506.881 $ | 0,06 | 23.000.000 |
| Sumisho Air Lease Corp | SUMISHO AIR LEAS | DBT | 873923AG1 | Long | Modellwert (Stufe 2) | beschränkt | 24.077.601 $ | 0,06 | 24.493.000 |
| Agree LP | AGREE LP | DBT | 008513AE3 | Long | Modellwert (Stufe 2) | 52.025.235 $ | 0,13 | 51.242.000 | |
| Phillips Edison Grocery Center Operating Partnership I LP | PHILLIPS EDIS | DBT | 71845JAE8 | Long | Modellwert (Stufe 2) | 26.952.478 $ | 0,07 | 27.966.000 | |
| DTE Electric Co | DTE ELECTRIC CO | DBT | 23338VAY2 | Long | Modellwert (Stufe 2) | 68.750.250 $ | 0,18 | 68.555.000 | |
| Ohio Edison Co | OHIO EDISON CO | DBT | 677347CH7 | Long | Modellwert (Stufe 2) | beschränkt | 22.181.661 $ | 0,06 | 21.638.000 |
| KeyCorp | KEYCORP | DBT | 49326EEP4 | Long | Modellwert (Stufe 2) | 49.542.648 $ | 0,13 | 48.752.000 | |
| Exelon Corp | EXELON CO | DBT | 30161NBN0 | Long | Modellwert (Stufe 2) | 69.381.107 $ | 0,18 | 69.212.000 | |
| Helmerich & Payne Inc | HELMERICH & PAYN | DBT | 423452AG6 | Long | Modellwert (Stufe 2) | 21.915.267 $ | 0,06 | 24.395.000 | |
| Host Hotels & Resorts LP | HOST HOTELS | DBT | 44107TBB1 | Long | Modellwert (Stufe 2) | 37.766.257 $ | 0,10 | 39.300.000 | |
| Entergy Mississippi LLC | ENTERGY MISSISSI | DBT | 29366WAH9 | Long | Modellwert (Stufe 2) | 21.634.370 $ | 0,06 | 22.000.000 | |
| Appalachian Power Co | APPALACHIAN PWR | DBT | 037735DA2 | Long | Modellwert (Stufe 2) | 40.766.763 $ | 0,11 | 40.636.000 | |
| Northern States Power Co/MN | NORTHERN ST PR-M | DBT | 665772CZ0 | Long | Modellwert (Stufe 2) | 21.553.887 $ | 0,06 | 21.430.000 | |
| Comcast Corp | COMCAST CORP | DBT | 20030NBH3 | Long | Modellwert (Stufe 2) | 70.986.645 $ | 0,18 | 81.621.000 | |
| Brown & Brown Inc | BROWN & BROWN | DBT | 115236AG6 | Long | Modellwert (Stufe 2) | 37.634.496 $ | 0,10 | 38.165.000 | |
| Ventas Realty LP | VENTAS REALTY LP | DBT | 92277GAX5 | Long | Modellwert (Stufe 2) | 38.943.527 $ | 0,10 | 38.872.000 | |
| Chubb INA Holdings LLC | CHUBB INA HLDGS | DBT | 171239AM8 | Long | Modellwert (Stufe 2) | 21.139.577 $ | 0,05 | 21.445.000 | |
| Canadian Natural Resources Ltd | CAN NATURAL RES | DBT | 136385AE1 | Long | Modellwert (Stufe 2) | 39.098.222 $ | 0,10 | 35.664.000 | |
| NatWest Group PLC | NATWEST GROUP | DBT | 639057AN8 | Long | Modellwert (Stufe 2) | 36.623.466 $ | 0,09 | 35.080.000 | |
| AEP Texas Inc | AEP TEXAS | DBT | 00108WAR1 | Long | Modellwert (Stufe 2) | 59.020.263 $ | 0,15 | 58.372.000 | |
| Canadian National Railway Co | CANADIAN NATL RR | DBT | 136375DC3 | Long | Modellwert (Stufe 2) | 20.641.390 $ | 0,05 | 21.585.000 | |
| Cox Communications Inc | COX COMMUN INC | DBT | 224044CF2 | Long | Modellwert (Stufe 2) | beschränkt | 20.613.613 $ | 0,05 | 22.625.000 |
| HUT 8 DC LLC | HUT 8 DC LLC | DBT | 44813DAA4 | Long | Modellwert (Stufe 2) | beschränkt | 20.526.792 $ | 0,05 | 20.324.000 |
| Interstate Power and Light Co | INTERSTATE P&L | DBT | 461070AX2 | Long | Modellwert (Stufe 2) | 20.518.877 $ | 0,05 | 20.000.000 | |
| Prudential Financial Inc | PRUDENTIAL FIN | DBT | 744320BL5 | Long | Modellwert (Stufe 2) | 58.135.883 $ | 0,15 | 56.987.000 | |
| Sutter Health | SUTTER HEALTH | DBT | 86944BAP8 | Long | Modellwert (Stufe 2) | 30.779.610 $ | 0,08 | 30.000.000 | |
| Baltimore Gas and Electric Co | BALTIMORE GAS | DBT | 059165ET3 | Long | Modellwert (Stufe 2) | 20.460.188 $ | 0,05 | 20.000.000 | |
| Duke Energy Ohio Inc | DUKE ENERGY OHIO | DBT | 26442EAJ9 | Long | Modellwert (Stufe 2) | 35.634.537 $ | 0,09 | 34.999.000 | |
| American International Group Inc | AMERICAN INTERNA | DBT | 026874DX2 | Long | Modellwert (Stufe 2) | 35.547.841 $ | 0,09 | 35.000.000 | |
| Ally Financial Inc | ALLY FINANCIAL | DBT | 02005NBV1 | Long | Modellwert (Stufe 2) | 46.694.447 $ | 0,12 | 45.332.000 | |
| ERP Operating LP | ERP OPERATING LP | DBT | 26884ABQ5 | Long | Modellwert (Stufe 2) | 20.954.436 $ | 0,05 | 20.793.000 | |
| Kyndryl Holdings Inc | KYNDRYL HOLDINGS | DBT | 50155QAL4 | Long | Modellwert (Stufe 2) | 30.468.764 $ | 0,08 | 34.380.000 | |
| American Homes 4 Rent LP | AMERICAN HOMES 4 | DBT | 02666TAH0 | Long | Modellwert (Stufe 2) | 53.020.490 $ | 0,14 | 55.000.000 | |
| Newmont Corp / Newcrest Finance Pty Ltd | NEWMNT / NEWCRST | DBT | 65163LAR0 | Long | Modellwert (Stufe 2) | 20.059.498 $ | 0,05 | 19.440.000 | |
| STERIS Irish FinCo UnLtd Co | STERIS PLC | DBT | 85917PAA5 | Long | Modellwert (Stufe 2) | 20.030.894 $ | 0,05 | 22.000.000 | |
| Ferguson Enterprises Inc | FERGUSON ENTERPR | DBT | 31488VAB3 | Long | Modellwert (Stufe 2) | 26.730.054 $ | 0,07 | 27.075.000 | |
| eBay Inc | EBAY INC | DBT | 278642BE2 | Long | Modellwert (Stufe 2) | 26.005.011 $ | 0,07 | 25.790.000 | |
| Realty Income Corp | REALTY INCOME | DBT | 756109DB7 | Long | Modellwert (Stufe 2) | 68.461.363 $ | 0,18 | 69.593.000 | |
| Paraguay Government International Bond | PARAGUAY | DBT | USP75744AJ47 | Long | Modellwert (Stufe 2) | 19.683.202 $ | 0,05 | 19.600.000 | |
| Invitation Homes Operating Partnership LP | INVITATION HOMES | DBT | 46188BAH5 | Long | Modellwert (Stufe 2) | 23.111.216 $ | 0,06 | 24.000.000 | |
| Idaho Power Co | IDAHO POWER CO | DBT | 45138LBM4 | Long | Modellwert (Stufe 2) | 27.359.008 $ | 0,07 | 27.670.000 | |
| FirstEnergy Transmission LLC | FIRSTENERGY TRAN | DBT | 33767BAH2 | Long | Modellwert (Stufe 2) | 28.507.187 $ | 0,07 | 28.893.000 | |
| Blue Owl Finance LLC | BLUE OWL FIN LLC | DBT | 09581JAT3 | Long | Modellwert (Stufe 2) | 19.499.312 $ | 0,05 | 19.900.000 | |
| Entergy Louisiana LLC | ENTERGY LA LLC | DBT | 29364WBR8 | Long | Modellwert (Stufe 2) | 29.529.747 $ | 0,08 | 30.708.000 | |
| Regency Centers LP | REGENCY CENTERS | DBT | 75884RBF9 | Long | Modellwert (Stufe 2) | 48.385.075 $ | 0,13 | 48.600.000 | |
| American Airlines 2026-1 Class B Pass Through Trust | AM AIRAN 25-1B | DBT | 02380KAA9 | Long | Modellwert (Stufe 2) | 19.429.336 $ | 0,05 | 19.428.000 | |
| Kraft Heinz Foods Co | KRAFT HEINZ FOOD | DBT | 42307TAG3 | Long | Modellwert (Stufe 2) | 59.445.596 $ | 0,15 | 60.948.000 | |
| Brixmor Operating Partnership LP | BRIXMOR OPERATIN | DBT | 11120VAM5 | Long | Modellwert (Stufe 2) | 56.719.103 $ | 0,15 | 57.592.000 | |
| Vulcan Materials Co | VULCAN MATERIALS | DBT | 929160BC2 | Long | Modellwert (Stufe 2) | 19.204.232 $ | 0,05 | 18.855.000 | |
| Texas Instruments Inc | TEXAS INSTRUMENT | DBT | 882508CM4 | Long | Modellwert (Stufe 2) | 19.141.532 $ | 0,05 | 18.876.000 | |
| Bermuda Government International Bond | BERMUDA-GOVT OF | DBT | USG10367AF01 | Long | Modellwert (Stufe 2) | 36.226.072 $ | 0,09 | 36.040.000 | |
| WestConnex Finance Co Pty Ltd | WESTCONNEX FINAN | DBT | AU3CB0279057 | Long | Modellwert (Stufe 2) | 18.904.444 $ | 0,05 | 30.000.000 | |
| Jefferies Financial Group Inc | JEFFERIES GROUP | DBT | 47233JDX3 | Long | Modellwert (Stufe 2) | 37.311.551 $ | 0,10 | 40.253.000 | |
| Otis Worldwide Corp | OTIS WORLDWIDE | DBT | 68902VAR8 | Long | Modellwert (Stufe 2) | 30.069.096 $ | 0,08 | 29.636.000 | |
| NSW Electricity Networks Finance Pty Ltd | NSW ELECTRICITY | DBT | AU3CB0274645 | Long | Modellwert (Stufe 2) | 25.380.083 $ | 0,07 | 40.000.000 | |
| Boston Properties LP | BOSTON PROP LP | DBT | 10112RBF0 | Long | Modellwert (Stufe 2) | 31.838.188 $ | 0,08 | 35.399.000 | |
| Takeda Pharmaceutical Co Ltd | TAKEDA PHARM | DBT | 874060BK1 | Long | Modellwert (Stufe 2) | 18.760.692 $ | 0,05 | 18.505.000 | |
| Westinghouse Air Brake Technologies Corp | WESTINGHOUSE AIR | DBT | 960386AT7 | Long | Modellwert (Stufe 2) | 30.752.975 $ | 0,08 | 30.000.000 | |
| Eastern Energy Gas Holdings LLC | EASTERN ENERGY | DBT | 27636AAB8 | Long | Modellwert (Stufe 2) | 27.210.235 $ | 0,07 | 26.380.000 | |
| Kinder Morgan Inc | KINDER MORGAN | DBT | 49456BBC4 | Long | Modellwert (Stufe 2) | 24.833.695 $ | 0,06 | 26.330.000 | |
| Potomac Electric Power Co | POTOMAC ELECTRIC | DBT | 737679DH0 | Long | Modellwert (Stufe 2) | 18.114.951 $ | 0,05 | 17.805.000 | |
| Gilead Sciences Inc | GILEAD SCIENCES | DBT | 375558CC5 | Long | Modellwert (Stufe 2) | 17.895.762 $ | 0,05 | 17.759.000 | |
| Cousins Properties LP | COUSINS LP | DBT | 222793AD3 | Long | Modellwert (Stufe 2) | 33.042.646 $ | 0,09 | 33.485.000 | |
| Tyson Foods Inc | TYSON FOODS INC | DBT | 902494BN2 | Long | Modellwert (Stufe 2) | 29.430.432 $ | 0,08 | 29.505.000 | |
| Carlyle Group Inc/The | CARLYLE GRP INC | DBT | 14316JAA6 | Long | Modellwert (Stufe 2) | 17.833.284 $ | 0,05 | 18.416.000 | |
| DOC DR LLC | PHYSICIANS REALT | DBT | 71951QAC6 | Long | Modellwert (Stufe 2) | 17.789.615 $ | 0,05 | 20.000.000 | |
| Kimco Realty OP LLC | KIMCO REALTY | DBT | 49446RBA6 | Long | Modellwert (Stufe 2) | 19.220.647 $ | 0,05 | 19.596.000 | |
| Jacobs Solutions Inc | JACOBS SOLUTIONS | DBT | 46982LAB4 | Long | Modellwert (Stufe 2) | 17.614.612 $ | 0,05 | 18.160.000 | |
| ITC Holdings Corp | ITC HOLDINGS COR | DBT | 465685AS4 | Long | Modellwert (Stufe 2) | beschränkt | 17.605.439 $ | 0,05 | 17.360.000 |
| State Board of Administration Finance Corp | FLORIDA ST BRD OF ADM | DBT | 341271AF1 | Long | Modellwert (Stufe 2) | 17.445.804 $ | 0,05 | 19.000.000 | |
| Willis North America Inc | WILLIS NORTH AME | DBT | 970648AM3 | Long | Modellwert (Stufe 2) | 17.210.526 $ | 0,04 | 17.000.000 | |
| Stryker Corp | STRYKER CORP | DBT | 863667BF7 | Long | Modellwert (Stufe 2) | 27.019.110 $ | 0,07 | 27.310.000 | |
| EQT Corp | EQT CORP | DBT | 26884LAN9 | Long | Modellwert (Stufe 2) | beschränkt | 18.083.348 $ | 0,05 | 19.058.000 |
| Ovintiv Inc | OVINTIV INC | DBT | 012873AK1 | Long | Modellwert (Stufe 2) | 24.276.986 $ | 0,06 | 21.982.000 | |
| Aviation Capital Group LLC | AVIATION CAPITAL | DBT | 05369AAU5 | Long | Modellwert (Stufe 2) | beschränkt | 16.837.644 $ | 0,04 | 17.390.000 |
| Omega Healthcare Investors Inc | OMEGA HEALTHCARE | DBT | 681936BN9 | Long | Modellwert (Stufe 2) | 16.721.002 $ | 0,04 | 18.900.000 | |
| Energuate Trust 2 0 | ENERGUATE TR 2 0 | DBT | USG3040LAB83 | Long | Modellwert (Stufe 2) | 16.698.133 $ | 0,04 | 16.670.000 | |
| Entegris Inc | ENTEGRIS ESCROW | DBT | 29365BAA1 | Long | Modellwert (Stufe 2) | beschränkt | 17.441.058 $ | 0,05 | 17.542.000 |
| Cheniere Energy Inc | CHENIERE ENERGY | DBT | 16411RAP4 | Long | Modellwert (Stufe 2) | beschränkt | 26.796.594 $ | 0,07 | 26.680.000 |
| Pacific National Finance Pty Ltd | PACIFIC NTNL FIN | DBT | AU3CB0244325 | Long | Modellwert (Stufe 2) | 28.746.510 $ | 0,07 | 41.800.000 | |
| CommonSpirit Health | COMMONSPIRIT | DBT | 20268JBD4 | Long | Modellwert (Stufe 2) | 16.298.700 $ | 0,04 | 16.750.000 | |
| Duke Energy Progress LLC | DUKE ENERGY PROG | DBT | 26442UAQ7 | Long | Modellwert (Stufe 2) | 16.203.106 $ | 0,04 | 15.792.000 | |
| AGI Finance Pty Ltd | AGI FINANCE | DBT | AU3CB0300531 | Long | Modellwert (Stufe 2) | 18.382.837 $ | 0,05 | 25.570.000 | |
| Equinor ASA | EQUINOR ASA | DBT | 29446MAP7 | Long | Modellwert (Stufe 2) | 16.041.910 $ | 0,04 | 16.300.000 | |
| Canadian Imperial Bank of Commerce | CAN IMPERIAL BK | DBT | 13607LWW9 | Long | Modellwert (Stufe 2) | 16.018.830 $ | 0,04 | 15.000.000 | |
| Region Retail Trust | REGION RETAIL TR | DBT | AU3CB0307304 | Long | Modellwert (Stufe 2) | 15.932.529 $ | 0,04 | 22.500.000 | |
| Alexandria Real Estate Equities Inc | ALEXANDRIA REAL | DBT | 015271AW9 | Long | Modellwert (Stufe 2) | 30.169.582 $ | 0,08 | 34.770.000 | |
| Costa Rica Government International Bond | COSTA RICA GOVT | DBT | USP3699PGM34 | Long | Modellwert (Stufe 2) | 15.726.602 $ | 0,04 | 14.667.000 | |
| Haleon US Capital LLC | GSK CONSUMER | DBT | 36264FAM3 | Long | Modellwert (Stufe 2) | 15.658.932 $ | 0,04 | 16.635.000 | |
| National Fuel Gas Co | NATIONAL FUEL GA | DBT | 636180BU4 | Long | Modellwert (Stufe 2) | 15.569.644 $ | 0,04 | 15.000.000 | |
| Keybank National Association | KEYBANK NAT ASSN | DBT | 49327M3H5 | Long | Modellwert (Stufe 2) | 25.248.275 $ | 0,07 | 25.600.000 | |
| Adventist Health System/West | ADVENT HEALTH SY | DBT | 007944AK7 | Long | Modellwert (Stufe 2) | 15.408.472 $ | 0,04 | 15.000.000 | |
| Vale Canada Ltd | INCO LTD | DBT | 453258AP0 | Long | Modellwert (Stufe 2) | 15.165.139 $ | 0,04 | 13.771.000 | |
| Kite Realty Group LP | KITE REALTY GRP | DBT | 49803XAG8 | Long | Modellwert (Stufe 2) | 15.084.994 $ | 0,04 | 15.000.000 | |
| PeaceHealth Obligated Group | PEACEHEALTH OBLI | DBT | 70462GAF5 | Long | Modellwert (Stufe 2) | 14.955.999 $ | 0,04 | 15.000.000 | |
| Nippon Life Insurance Co | NIPPON LIFE INS | DBT | 654579AP6 | Long | Modellwert (Stufe 2) | beschränkt | 34.329.748 $ | 0,09 | 32.899.000 |
| WEC Energy Group Inc | WEC ENERGY GROUP | DBT | 92939UAU0 | Long | Modellwert (Stufe 2) | 14.876.903 $ | 0,04 | 15.000.000 | |
| American Airlines 2025-1 Class B Pass Through Trust | AM AIRAN 25-1B | DBT | 02377PAA3 | Long | Modellwert (Stufe 2) | 14.857.668 $ | 0,04 | 15.000.000 | |
| GATX Corp | GATX CORP | DBT | 361448BJ1 | Long | Modellwert (Stufe 2) | 14.773.116 $ | 0,04 | 15.985.000 | |
| Manulife Financial Corp | MANULIFE FIN COR | DBT | 56501RAX4 | Long | Modellwert (Stufe 2) | 14.767.287 $ | 0,04 | 15.000.000 | |
| Mid-America Apartments LP | MID-AMER APT LP | DBT | 59523UAY3 | Long | Modellwert (Stufe 2) | 21.217.943 $ | 0,05 | 21.500.000 | |
| Patrick Terminals Finance Pty Ltd | PATRICK TERMINAL | DBT | AU3CB0327328 | Long | Modellwert (Stufe 2) | 14.701.859 $ | 0,04 | 21.500.000 | |
| Fifth Third Bancorp | FIFTH THIRD BANC | DBT | 316773DP2 | Long | Modellwert (Stufe 2) | 19.471.977 $ | 0,05 | 20.000.000 | |
| Hubbell Inc | HUBBELL INC | DBT | 443510AL6 | Long | Modellwert (Stufe 2) | 14.618.245 $ | 0,04 | 15.000.000 | |
| SW Finance I PLC | SW (FINANCE)I/SW | DBT | XS2930713735 | Long | Modellwert (Stufe 2) | 14.536.405 $ | 0,04 | 10.251.000 | |
| BorgWarner Inc | BORGWARNER INC | DBT | 099724AQ9 | Long | Modellwert (Stufe 2) | 14.399.336 $ | 0,04 | 14.190.000 | |
| Vale Overseas Ltd | VALE OVERSEAS | DBT | USG9317UAD75 | Long | Modellwert (Stufe 2) | 14.379.528 $ | 0,04 | 14.295.000 | |
| LYB International Finance III LLC | LYB INT FIN III | DBT | 50249AAL7 | Long | Modellwert (Stufe 2) | 24.241.887 $ | 0,06 | 24.000.000 | |
| Brisbane Airport Corp Pty Ltd | BRISBANE AIRPORT | DBT | AU3CB0307544 | Long | Modellwert (Stufe 2) | 14.160.128 $ | 0,04 | 20.000.000 | |
| American Electric Power Co Inc | AMER ELEC PWR | DBT | 025537AX9 | Long | Modellwert (Stufe 2) | 32.967.118 $ | 0,09 | 32.557.000 | |
| Western Midstream Operating LP | WESTERN MIDSTRM | DBT | 958667AJ6 | Long | Modellwert (Stufe 2) | 25.483.218 $ | 0,07 | 25.720.000 | |
| Autodesk Inc | AUTODESK INC | DBT | 052769AJ5 | Long | Modellwert (Stufe 2) | 14.033.397 $ | 0,04 | 14.005.000 | |
| Dow Chemical Co/The | DOW CHEMICAL CO | DBT | 260543DC4 | Long | Modellwert (Stufe 2) | 22.350.628 $ | 0,06 | 23.733.000 | |
| Evergy Missouri West Inc | EVERGY MISSOURI | DBT | 30037EAC7 | Long | Modellwert (Stufe 2) | beschränkt | 13.752.538 $ | 0,04 | 13.950.000 |
| Hyatt Hotels Corp | HYATT HOTELS | DBT | 448579AS1 | Long | Modellwert (Stufe 2) | 19.182.892 $ | 0,05 | 18.802.000 | |
| Nova Securitisation Sarl | NOVA SECURITISAT | DBT | 66984FAB3 | Long | Modellwert (Stufe 2) | beschränkt | 13.580.414 $ | 0,04 | 14.028.000 |
| Corp Nacional del Cobre de Chile | CODELCO INC | DBT | USP3143NBV57 | Long | Modellwert (Stufe 2) | 21.420.756 $ | 0,06 | 20.403.000 | |
| Ausgrid Finance Pty Ltd | AUSGRID FINANCE | DBT | AU3CB0308146 | Long | Modellwert (Stufe 2) | 13.392.450 $ | 0,03 | 19.000.000 | |
| TransCanada PipeLines Ltd | TRANSCANADA PL | DBT | 89352HBL2 | Long | Modellwert (Stufe 2) | 22.934.032 $ | 0,06 | 23.160.000 | |
| Columbia Pipelines Holding Co LLC | COLUMBIA PIPE HC | DBT | 19828AAC1 | Long | Modellwert (Stufe 2) | beschränkt | 13.163.956 $ | 0,03 | 12.890.000 |
| Gildan Activewear Inc | GILDAN ACTIVEWEA | DBT | 375916AG8 | Long | Modellwert (Stufe 2) | beschränkt | 13.127.361 $ | 0,03 | 13.420.000 |
| HPS Corporate Lending Fund | HPS CORPORATE LE | DBT | 40440VAK1 | Long | Modellwert (Stufe 2) | 13.103.416 $ | 0,03 | 13.313.000 | |
| Bank of Montreal | BANK OF MONTREAL | DBT | 06368L3L8 | Long | Modellwert (Stufe 2) | 23.708.577 $ | 0,06 | 24.500.000 | |
| Time Warner Cable LLC | TIME WARNER CABL | DBT | 88732JAZ1 | Long | Modellwert (Stufe 2) | 12.948.299 $ | 0,03 | 9.700.000 | |
| Evergy Metro Inc | EVERGY METRO | DBT | 30037DAD7 | Long | Modellwert (Stufe 2) | 12.925.696 $ | 0,03 | 12.599.000 | |
| JAB Holdings BV | JAB HOLDINGS | DBT | DE000A3LXSR7 | Long | Modellwert (Stufe 2) | 12.869.222 $ | 0,03 | 10.800.000 | |
| Reynolds American Inc | REYNOLDS AMERICA | DBT | 761713BA3 | Long | Modellwert (Stufe 2) | 12.858.699 $ | 0,03 | 12.500.000 | |
| Howmet Aerospace Inc | HOWMET AEROSPACE | DBT | 443201AH1 | Long | Modellwert (Stufe 2) | 12.823.725 $ | 0,03 | 13.219.000 | |
| Simon Property Group LP | SIMON PROP GP LP | DBT | 828807DT1 | Long | Modellwert (Stufe 2) | 37.966.411 $ | 0,10 | 39.298.000 | |
| Waste Connections Inc | WASTE CONNECT | DBT | 94106BAJ0 | Long | Modellwert (Stufe 2) | 12.703.366 $ | 0,03 | 12.490.000 | |
| Omnicom Group Inc | OMNICOM GROUP | DBT | 681919BD7 | Long | Modellwert (Stufe 2) | 14.554.253 $ | 0,04 | 16.000.000 | |
| Rexford Industrial Realty LP | REXFORD INDUS RE | DBT | 76169XAB0 | Long | Modellwert (Stufe 2) | 17.355.271 $ | 0,04 | 19.918.000 | |
| Aurizon Network Pty Ltd | AURIZON NETWORK | DBT | AU3CB0274173 | Long | Modellwert (Stufe 2) | 22.810.932 $ | 0,06 | 34.100.000 | |
| Providence St Joseph Health Obligated Group | ST JOSEPH HLTH | DBT | 743820AC6 | Long | Modellwert (Stufe 2) | 12.273.217 $ | 0,03 | 12.000.000 | |
| CenterPoint Energy Resources Corp | CENTERPOINT ENER | DBT | 15189WAS9 | Long | Modellwert (Stufe 2) | 12.262.368 $ | 0,03 | 12.000.000 | |
| GE Capital Funding LLC | GE CAP FUNDING | DBT | 36166NAK9 | Long | Modellwert (Stufe 2) | 12.073.407 $ | 0,03 | 12.131.000 | |
| DVI Deutsche Vermoegens- & Immobilienverwaltungs GmbH | DVI DT VERMOEGEN | DBT | XS3074385009 | Long | Modellwert (Stufe 2) | 11.995.521 $ | 0,03 | 10.100.000 | |
| Jacobs Engineering Group Inc | JACOBS ENGIN GRP | DBT | 469814AA5 | Long | Modellwert (Stufe 2) | 11.945.573 $ | 0,03 | 11.580.000 | |
| Perth Airport Pty Ltd | PERTH AIRPORT | DBT | AU3CB0307015 | Long | Modellwert (Stufe 2) | 11.926.943 $ | 0,03 | 16.820.000 | |
| WP Carey Inc | WP CAREY INC | DBT | XS3297733704 | Long | Modellwert (Stufe 2) | 20.631.942 $ | 0,05 | 20.600.000 | |
| Baxter International Inc | BAXTER INTL | DBT | 071813CS6 | Long | Modellwert (Stufe 2) | 11.708.716 $ | 0,03 | 13.780.000 | |
| Oklahoma Gas and Electric Co | OKLAHOMA GAS & E | DBT | 678858BX8 | Long | Modellwert (Stufe 2) | 11.628.742 $ | 0,03 | 11.275.000 | |
| Equifax Inc | EQUIFAX INC | DBT | 294429AS4 | Long | Modellwert (Stufe 2) | 20.034.241 $ | 0,05 | 22.000.000 | |
| Fox Corp | FOX CORP | DBT | 35137LAN5 | Long | Modellwert (Stufe 2) | 11.156.359 $ | 0,03 | 10.391.000 | |
| Crown Castle Inc | CROWN CASTLE INC | DBT | 22822VBE0 | Long | Modellwert (Stufe 2) | 17.298.670 $ | 0,04 | 17.780.000 | |
| AusNet Services Holdings Pty Ltd | AUSNET SERVICES | DBT | AU3CB0299816 | Long | Modellwert (Stufe 2) | 17.915.490 $ | 0,05 | 25.060.000 | |
| Consumers Energy Co | CONSUMERS ENERGY | DBT | 210518DZ6 | Long | Modellwert (Stufe 2) | 10.624.809 $ | 0,03 | 10.591.000 | |
| AvalonBay Communities Inc | AVALONBAY COMMUN | DBT | 053484AE1 | Long | Modellwert (Stufe 2) | 17.043.491 $ | 0,04 | 16.700.000 | |
| TotalEnergies Capital SA | TOTALENERGIES | DBT | 89157XAD3 | Long | Modellwert (Stufe 2) | 10.254.206 $ | 0,03 | 10.316.000 | |
| Toll Brothers Finance Corp | TOLL BR FIN CORP | DBT | 88947EAX8 | Long | Modellwert (Stufe 2) | 10.250.879 $ | 0,03 | 10.000.000 | |
| EIDP Inc | EIDP | DBT | 263534CS6 | Long | Modellwert (Stufe 2) | 10.169.425 $ | 0,03 | 10.000.000 | |
| Helvetia Europe SA | HELVETIA EUROPE | DBT | XS2197076651 | Long | Modellwert (Stufe 2) | 10.119.877 $ | 0,03 | 9.200.000 | |
| Public Service Electric and Gas Co | PUBLIC SERVICE | DBT | 74456QCK0 | Long | Modellwert (Stufe 2) | 15.199.314 $ | 0,04 | 15.000.000 | |
| Scentre Group Trust 1 | SCENTRE GRP TRST | DBT | AU3CB0326064 | Long | Modellwert (Stufe 2) | 10.072.279 $ | 0,03 | 15.000.000 | |
| Phillips 66 Co | PHILLIPS 66 CO | DBT | 718547BA9 | Long | Modellwert (Stufe 2) | 19.987.082 $ | 0,05 | 20.000.000 | |
| Lonsdale Finance Pty Ltd | LONSDALE FINANCE | DBT | AU3CB0326650 | Long | Modellwert (Stufe 2) | 15.564.949 $ | 0,04 | 22.500.000 | |
| Essential Properties LP | ESSENTIAL PROPER | DBT | 29670VAB5 | Long | Modellwert (Stufe 2) | 9.888.748 $ | 0,03 | 10.000.000 | |
| Public Storage Operating Co | PUBLIC STORAGE | DBT | 74464AAF8 | Long | Modellwert (Stufe 2) | 9.883.725 $ | 0,03 | 10.000.000 | |
| Wynnton Funding Trust II | WYNNTON FD T II | DBT | 983197AA2 | Long | Modellwert (Stufe 2) | beschränkt | 9.851.102 $ | 0,03 | 10.000.000 |
| Uzbekneftegaz JSC | UZBEKNEFTEGAZ | DBT | XS2010026727 | Long | Modellwert (Stufe 2) | 15.702.672 $ | 0,04 | 15.566.000 | |
| Avolon Holdings Funding Ltd | AVOLON HDGS | DBT | 05401ABF7 | Long | Modellwert (Stufe 2) | beschränkt | 9.647.500 $ | 0,02 | 10.000.000 |
| Royalty Pharma PLC | ROYALTY PHARM | DBT | 78081BAN3 | Long | Modellwert (Stufe 2) | 9.647.126 $ | 0,02 | 11.000.000 | |
| Revvity Inc | REVVITY INC | DBT | 714046AN9 | Long | Modellwert (Stufe 2) | 9.634.400 $ | 0,02 | 11.000.000 | |
| British American Tobacco PLC | BRIT AMER TOBACC | DBT | XS2391790610 | Long | Modellwert (Stufe 2) | 12.410.050 $ | 0,03 | 10.800.000 | |
| Dominican Republic International Bond | DOMINICAN REPUBL | DBT | USP3579ECF27 | Long | Modellwert (Stufe 2) | 16.039.678 $ | 0,04 | 16.076.000 | |
| Suzano Netherlands BV | SUZANO NETHERLAN | DBT | 86960YAA0 | Long | Modellwert (Stufe 2) | 9.298.971 $ | 0,02 | 9.497.000 | |
| Stellantis NV | STELLANTIS NV | DBT | XS3090092233 | Long | Modellwert (Stufe 2) | 9.213.499 $ | 0,02 | 8.100.000 | |
| Jabil Inc | JABIL INC | DBT | 46656PAD6 | Long | Modellwert (Stufe 2) | 9.193.614 $ | 0,02 | 9.441.000 | |
| Dominion Energy South Carolina Inc | DOMINION ENERGY | DBT | 25731VAA2 | Long | Modellwert (Stufe 2) | 9.130.808 $ | 0,02 | 10.291.000 | |
| Mondelez International Inc | MONDELEZ INT INC | DBT | 609207BB0 | Long | Modellwert (Stufe 2) | 9.071.034 $ | 0,02 | 10.000.000 | |
| Equinix Inc | EQUINIX INC | DBT | 29444UBS4 | Long | Modellwert (Stufe 2) | 17.251.456 $ | 0,04 | 18.740.000 | |
| Edison International | EDISON INTL | DBT | 281020BB2 | Long | Modellwert (Stufe 2) | 8.740.656 $ | 0,02 | 8.860.000 | |
| Yorkshire Water Finance PLC | YORKSHIRE WATER | DBT | XS2333224314 | Long | Modellwert (Stufe 2) | 13.977.462 $ | 0,04 | 12.400.000 | |
| BAE Systems PLC | BAE SYSTEMS PLC | DBT | 05523RAK3 | Long | Modellwert (Stufe 2) | beschränkt | 8.599.065 $ | 0,02 | 8.390.000 |
| Close Brothers Finance PLC | CLOSE BROTHERS | DBT | XS2266989149 | Long | Modellwert (Stufe 2) | 8.528.906 $ | 0,02 | 7.514.000 | |
| Duke Energy Indiana LLC | DUKE ENERGY IND | DBT | 26443TAG1 | Long | Modellwert (Stufe 2) | 13.294.812 $ | 0,03 | 13.330.000 | |
| LPL Holdings Inc | LPL HOLDINGS INC | DBT | 50212YAK0 | Long | Modellwert (Stufe 2) | 8.068.851 $ | 0,02 | 7.873.000 | |
| Nomura Holdings Inc | NOMURA HOLDINGS | DBT | 65535HAX7 | Long | Modellwert (Stufe 2) | 16.480.990 $ | 0,04 | 18.000.000 | |
| Regents of the University of California Medical Center Pooled Revenue | UNIV OF CA REGENTS-Q | DBT | 913366KV1 | Long | Modellwert (Stufe 2) | 7.856.104 $ | 0,02 | 8.000.000 | |
| Kentucky Utilities Co | KENTUCKY UTIL | DBT | 491674BN6 | Long | Modellwert (Stufe 2) | 7.590.622 $ | 0,02 | 7.370.000 | |
| IWG US Finance LLC | IWG US FINANCE | DBT | XS3047978518 | Long | Modellwert (Stufe 2) | 9.030.632 $ | 0,02 | 7.522.000 | |
| Amcor UK Finance PLC | AMCOR UK FINANCE | DBT | 0234EVAD3 | Long | Modellwert (Stufe 2) | 7.341.196 $ | 0,02 | 6.400.000 | |
| Constellation Energy Generation LLC | CONSTL ENRGY GEN | DBT | 210385AR1 | Long | Modellwert (Stufe 2) | 7.284.114 $ | 0,02 | 7.570.000 | |
| S&P Global Inc | S&P GLOBAL INC | DBT | 78409VBR4 | Long | Modellwert (Stufe 2) | beschränkt | 7.272.068 $ | 0,02 | 7.428.000 |
| Coles Group Treasury Pty Ltd | COLES GRP TREASU | DBT | AU3CB0304756 | Long | Modellwert (Stufe 2) | 7.212.435 $ | 0,02 | 10.000.000 | |
| CCO Holdings LLC / CCO Holdings Capital Corp | CCO HOLDINGS LLC | DBT | 1248EPCD3 | Long | Modellwert (Stufe 2) | beschränkt | 13.039.121 $ | 0,03 | 13.856.000 |
| Regal Rexnord Corp | REGAL REXNORD | DBT | 758750AP8 | Long | Modellwert (Stufe 2) | 7.173.897 $ | 0,02 | 6.750.000 | |
| Suzano Austria GmbH | SUZANO AUSTRIA | DBT | 86964WAH5 | Long | Modellwert (Stufe 2) | 7.158.473 $ | 0,02 | 7.200.000 | |
| Qantas Airways Ltd | QANTAS AIRWAYS | DBT | AU3CB0283182 | Long | Modellwert (Stufe 2) | 13.392.527 $ | 0,03 | 19.770.000 | |
| Deutsche Bank AG | DEUTSCHE BANK AG | DBT | DE000A46Z858 | Long | Modellwert (Stufe 2) | 6.873.913 $ | 0,02 | 6.000.000 | |
| Waste Management Inc | WASTE MANAGEMENT | DBT | 94106LCE7 | Long | Modellwert (Stufe 2) | 6.667.308 $ | 0,02 | 6.665.000 | |
| Clean Harbors Inc | CLEAN HARBORS IN | DBT | 184496AP2 | Long | Modellwert (Stufe 2) | beschränkt | 6.663.531 $ | 0,02 | 6.705.000 |
| Flutter Treasury DAC | FLUTTER TREASURY | DBT | 344045AB5 | Long | Modellwert (Stufe 2) | beschränkt | 6.628.167 $ | 0,02 | 6.675.000 |
| OCP SA | OCP SA | DBT | XS3040572979 | Long | Modellwert (Stufe 2) | 6.575.257 $ | 0,02 | 6.435.000 | |
| GA Global Funding Trust | GA GLOBAL FNDING | DBT | XS3175974289 | Long | Modellwert (Stufe 2) | 6.470.784 $ | 0,02 | 5.700.000 | |
| Boardwalk Pipelines LP | BOARDWALK PIPELI | DBT | 096630AH1 | Long | Modellwert (Stufe 2) | 11.009.693 $ | 0,03 | 11.837.000 | |
| Columbia Pipelines Operating Co LLC | COLUMBIA PIPE OC | DBT | 19828TAB2 | Long | Modellwert (Stufe 2) | beschränkt | 6.334.284 $ | 0,02 | 6.000.000 |
| Gothaer Allgemeine Versicherung AG | GOTHAER ALLG VER | DBT | XS3092574055 | Long | Modellwert (Stufe 2) | 6.321.461 $ | 0,02 | 5.300.000 | |
| Essex Portfolio LP | ESSEX PORTFOLIO | DBT | 29717PAV9 | Long | Modellwert (Stufe 2) | 20.266.368 $ | 0,05 | 21.542.000 | |
| Deutsche Telekom International Finance BV | DEUTSCHE TEL FIN | DBT | 25156PAD5 | Long | Modellwert (Stufe 2) | 6.123.897 $ | 0,02 | 5.000.000 | |
| Louisville Gas and Electric Co | LOUISVILLE G & E | DBT | 546676AZ0 | Long | Modellwert (Stufe 2) | 6.092.870 $ | 0,02 | 5.900.000 | |
| Commonwealth Bank of Australia | COM BK AUSTRALIA | DBT | AU3FN0082251 | Long | Modellwert (Stufe 2) | 6.043.682 $ | 0,02 | 8.200.000 | |
| UKG Inc | UKG INC | DBT | 90279XAA0 | Long | Modellwert (Stufe 2) | beschränkt | 5.870.996 $ | 0,02 | 6.035.000 |
| Graphic Packaging International LLC | GRAPHIC PACKAGIN | DBT | 38869AAD9 | Long | Modellwert (Stufe 2) | beschränkt | 9.751.621 $ | 0,03 | 10.193.000 |
| National Rural Utilities Cooperative Finance Corp | NATL RURAL UTIL | DBT | 637432PA7 | Long | Modellwert (Stufe 2) | 5.766.475 $ | 0,01 | 5.465.000 | |
| APA Corp | APA CORP | DBT | 03743QAR9 | Long | Modellwert (Stufe 2) | 5.694.732 $ | 0,01 | 5.500.000 | |
| Time Warner Cable Enterprises LLC | TIME WARNER ENT | DBT | 88731EAJ9 | Long | Modellwert (Stufe 2) | 5.662.758 $ | 0,01 | 5.000.000 | |
| Kinder Morgan Energy Partners LP | KINDER MORGAN EN | DBT | 494550AJ5 | Long | Modellwert (Stufe 2) | 5.507.968 $ | 0,01 | 4.931.000 | |
| Honda Motor Co Ltd | HONDA MOTOR CO | DBT | 438127AF9 | Long | Modellwert (Stufe 2) | 5.461.579 $ | 0,01 | 5.466.000 | |
| Northwestern Mutual Life Insurance Co/The | NORTHWESTERN MUT | DBT | 668138AF7 | Long | Modellwert (Stufe 2) | beschränkt | 5.417.919 $ | 0,01 | 5.258.000 |
| NRG Energy Inc | NRG ENERGY INC | DBT | 629377CX8 | Long | Modellwert (Stufe 2) | beschränkt | 8.442.838 $ | 0,02 | 8.395.000 |
| American Airlines Inc/AAdvantage Loyalty IP Ltd | AMERICAN AIRLINE | DBT | 00253XAB7 | Long | Modellwert (Stufe 2) | beschränkt | 5.313.069 $ | 0,01 | 5.311.000 |
| Nucor Corp | NUCOR CORP | DBT | 670346AV7 | Long | Modellwert (Stufe 2) | 5.299.056 $ | 0,01 | 5.728.000 | |
| Kommunalkredit Austria AG | KOMMUNALKREDIT | DBT | AT0000A3KDQ3 | Long | Modellwert (Stufe 2) | 5.158.404 $ | 0,01 | 4.400.000 | |
| Athora Holding Ltd | ATHORA HOLDING L | DBT | XS2831758474 | Long | Modellwert (Stufe 2) | 5.150.337 $ | 0,01 | 4.280.000 | |
| Nuveen LLC | NUVEEN LLC | DBT | 67080LAD7 | Long | Modellwert (Stufe 2) | beschränkt | 5.146.645 $ | 0,01 | 5.000.000 |
| DISH Network Corp | DISH NETWORK | DBT | 25470MAG4 | Long | Modellwert (Stufe 2) | beschränkt | 5.129.780 $ | 0,01 | 4.973.000 |
| KKR & Co Inc | KKR & CO INC | DBT | 48251WAB0 | Long | Modellwert (Stufe 2) | 5.087.989 $ | 0,01 | 5.230.000 | |
| Southwest Airlines Co | SOUTHWEST AIR | DBT | 844741AN8 | Long | Modellwert (Stufe 2) | 5.022.195 $ | 0,01 | 4.930.000 | |
| Electricite de France SA | ELEC DE FRANCE | DBT | 268317AU8 | Long | Modellwert (Stufe 2) | beschränkt | 9.477.788 $ | 0,02 | 9.385.000 |
| National Health Investors Inc | NATIONAL HEALTH | DBT | 63633DAG9 | Long | Modellwert (Stufe 2) | 4.969.515 $ | 0,01 | 5.000.000 | |
| Expedia Group Inc | EXPEDIA GRP INC | DBT | 30212PBL8 | Long | Modellwert (Stufe 2) | 4.959.840 $ | 0,01 | 5.000.000 | |
| Home Depot Inc/The | HOME DEPOT INC | DBT | 437076DK5 | Long | Modellwert (Stufe 2) | 4.867.865 $ | 0,01 | 5.000.000 | |
| Nissan Motor Acceptance Co LLC | NISSAN MOTOR ACC | DBT | 65480CAL9 | Long | Modellwert (Stufe 2) | beschränkt | 5.507.451 $ | 0,01 | 5.585.000 |
| ZF North America Capital Inc | ZF NA CAPITAL | DBT | 98877DAH8 | Long | Modellwert (Stufe 2) | beschränkt | 5.477.490 $ | 0,01 | 5.475.000 |
| WRKCo Inc | WRKCO INC | DBT | 92940PAF1 | Long | Modellwert (Stufe 2) | 4.794.481 $ | 0,01 | 4.999.000 | |
| Ecuador Government International Bond | ECUA 0 7/31/2030 | DBT | XS2214239506 | Long | Modellwert (Stufe 2) | 4.672.419 $ | 0,01 | 5.434.105 | |
| JT International Financial Services BV | JT INTL FIN SERV | DBT | XS3150869819 | Long | Modellwert (Stufe 2) | 4.664.389 $ | 0,01 | 4.100.000 | |
| AEP Transmission Co LLC | AEP TRANSMISSION | DBT | 00115AAS8 | Long | Modellwert (Stufe 2) | 4.622.648 $ | 0,01 | 4.550.000 | |
| University of California | UNIV OF CALIFORNIA-BG | DBT | 91412HGG2 | Long | Modellwert (Stufe 2) | 4.557.588 $ | 0,01 | 5.025.000 | |
| Kemper Corp | KEMPER | DBT | 488401AD2 | Long | Modellwert (Stufe 2) | 4.554.617 $ | 0,01 | 5.000.000 | |
| Heathrow Funding Ltd | HEATHROW FNDG | DBT | XS1960589155 | Long | Modellwert (Stufe 2) | 4.501.342 $ | 0,01 | 4.500.000 | |
| Univision Communications Inc | UNIVISION COMM | DBT | 914906AZ5 | Long | Modellwert (Stufe 2) | beschränkt | 7.243.930 $ | 0,02 | 7.110.000 |
| VENTURE GLOBAL PLAQUE | VENTURE GLOBAL | DBT | 922966AF3 | Long | Modellwert (Stufe 2) | beschränkt | 5.727.162 $ | 0,01 | 5.495.000 |
| LXP Industrial Trust | LEXINGTON REALTY | DBT | 529537AA0 | Long | Modellwert (Stufe 2) | 4.349.869 $ | 0,01 | 5.000.000 | |
| Volkswagen International Finance NV | VOLKSWAGEN INTFN | DBT | XS2342732646 | Long | Modellwert (Stufe 2) | 4.349.202 $ | 0,01 | 3.900.000 | |
| Volksbank Wien AG | VOLKSBANK WIEN A | DBT | AT000B122296 | Long | Modellwert (Stufe 2) | 4.338.756 $ | 0,01 | 3.600.000 | |
| Comision Federal de Electricidad | COMISION FEDERAL | DBT | QZ7462430 | Long | Modellwert (Stufe 2) | 4.328.370 $ | 0,01 | 4.665.000 | |
| Opal Bidco SAS | OPAL BIDCO | DBT | 68348BAA1 | Long | Modellwert (Stufe 2) | beschränkt | 4.325.220 $ | 0,01 | 4.245.000 |
| Pilgrim's Pride Corp | PILGRIM'S PRIDE | DBT | 72147KAH1 | Long | Modellwert (Stufe 2) | 4.277.010 $ | 0,01 | 4.682.000 | |
| Macquarie Bank Ltd | MACQUARIE BK LTD | DBT | AU3CB0312395 | Long | Modellwert (Stufe 2) | 6.440.978 $ | 0,02 | 9.000.000 | |
| Energizer Holdings Inc | ENERGIZER HLDGS | DBT | 29272WAD1 | Long | Modellwert (Stufe 2) | beschränkt | 5.202.730 $ | 0,01 | 5.415.000 |
| ARC Falcon I Inc / Arclin USA LLC / New Arclin US Holding Corp | ARC FALC I/ARC/H | DBT | 03881HAA8 | Long | Modellwert (Stufe 2) | beschränkt | 4.078.577 $ | 0,01 | 4.160.000 |
| Texas Natural Gas Securitization Finance Corp | TX NATURAL GAS SECZ | DBT | 88258MAA3 | Long | Modellwert (Stufe 2) | 4.059.705 $ | 0,01 | 3.953.934 | |
| UDR Inc | UDR INC | DBT | 90265EAU4 | Long | Modellwert (Stufe 2) | 4.019.749 $ | 0,01 | 4.900.000 | |
| Rocket Cos Inc | ROCKET COS INC | DBT | 77311WAA9 | Long | Modellwert (Stufe 2) | beschränkt | 3.998.392 $ | 0,01 | 3.938.000 |
| Phoenix Aviation Capital Ltd | PHOENIX AVIATION | DBT | 71910DAA9 | Long | Modellwert (Stufe 2) | beschränkt | 3.985.501 $ | 0,01 | 3.885.000 |
| Deutsche EuroShop AG | DEUTSCHE EUROSHP | DBT | XS3090109813 | Long | Modellwert (Stufe 2) | 3.984.900 $ | 0,01 | 3.400.000 | |
| SM Energy Co | SM ENERGY CO | DBT | 17888HAD5 | Long | Modellwert (Stufe 2) | beschränkt | 11.999.207 $ | 0,03 | 11.331.000 |
| TotalEnergies SE | TOTALENERGIES SE | DBT | XS2290960876 | Long | Modellwert (Stufe 2) | 3.869.652 $ | 0,01 | 3.800.000 | |
| Ingram Micro Inc | INGRAM MICRO INC | DBT | 45258LAA5 | Long | Modellwert (Stufe 2) | beschränkt | 3.855.564 $ | 0,01 | 3.925.000 |
| Standard Building Solutions Inc | STANDARD BUILDIN | DBT | 853191AC8 | Long | Modellwert (Stufe 2) | beschränkt | 3.809.759 $ | 0,01 | 3.810.000 |
| Wuestenrot & Wuerttembergische AG | WUESTENROT&WUERT | DBT | XS3201877886 | Long | Modellwert (Stufe 2) | 6.415.506 $ | 0,02 | 5.800.000 | |
| NOVA Chemicals Corp | NOVA CHEMICALS | DBT | 66977WAS8 | Long | Modellwert (Stufe 2) | beschränkt | 3.757.258 $ | 0,01 | 3.840.000 |
| ASR Nederland NV | ASR NEDERLAND NV | DBT | XS2554581830 | Long | Modellwert (Stufe 2) | 3.745.548 $ | 0,01 | 2.756.000 | |
| Venture Global Calcasieu Pass LLC | VENTURE GLOBAL C | DBT | 92328MAA1 | Long | Modellwert (Stufe 2) | beschränkt | 3.720.780 $ | 0,01 | 3.885.000 |
| FirstEnergy Corp | FIRSTENERGY CORP | DBT | 337932AP2 | Long | Modellwert (Stufe 2) | 3.694.216 $ | 0,01 | 4.097.000 | |
| Australia & New Zealand Banking Group Ltd | AUST & NZ BANK | DBT | AU3FN0084026 | Long | Modellwert (Stufe 2) | 7.329.816 $ | 0,02 | 10.000.000 | |
| Midcontinent Communications | MIDCONTINENT COM | DBT | 59565XAD2 | Long | Modellwert (Stufe 2) | beschränkt | 3.665.311 $ | 0,01 | 3.885.000 |
| Clearway Energy Operating LLC | CLEARWAY ENERGY | DBT | 18539UAD7 | Long | Modellwert (Stufe 2) | beschränkt | 3.652.035 $ | 0,01 | 3.904.000 |
| Cloud Software Group Inc | CLD SFTWR GRP IN | DBT | 88632QAE3 | Long | Modellwert (Stufe 2) | beschränkt | 6.279.289 $ | 0,02 | 6.425.000 |
| Newell Brands Inc | NEWELL RUBBERMAI | DBT | 651229AY2 | Long | Modellwert (Stufe 2) | 7.219.767 $ | 0,02 | 7.718.000 | |
| Advance Auto Parts Inc | ADVANCE AUTO PAR | DBT | 00751YAL0 | Long | Modellwert (Stufe 2) | beschränkt | 4.144.665 $ | 0,01 | 4.025.000 |
| Amrize Finance US LLC | AMRIZE FINANCE | DBT | 43475RAT3 | Long | Modellwert (Stufe 2) | 3.361.206 $ | 0,01 | 3.300.000 | |
| Endo Finance Holdings LP | ENDO FINANCE | DBT | 29281RAA7 | Long | Modellwert (Stufe 2) | beschränkt | 3.350.420 $ | 0,01 | 3.160.000 |
| Brandywine Operating Partnership LP | BRANDYWINE OPER | DBT | 105340AS2 | Long | Modellwert (Stufe 2) | 3.573.377 $ | 0,01 | 3.450.000 | |
| Hawaiian Electric Co Inc | HAWAIIAN ELEC CO | DBT | 419866AV0 | Long | Modellwert (Stufe 2) | beschränkt | 3.247.997 $ | 0,01 | 3.235.000 |
| TransDigm Inc | TRANSDIGM INC | DBT | 893647BW6 | Long | Modellwert (Stufe 2) | beschränkt | 7.522.050 $ | 0,02 | 7.439.000 |
| Pattern Energy Operations LP / Pattern Energy Operations Inc | PATTERN ENERGY | DBT | 70339PAA7 | Long | Modellwert (Stufe 2) | beschränkt | 3.163.274 $ | 0,01 | 3.215.000 |
| RPM International Inc | RPM INTL INC | DBT | 749685AY9 | Long | Modellwert (Stufe 2) | 3.077.903 $ | 0,01 | 3.415.000 | |
| Organon & Co / Organon Foreign Debt Co-Issuer BV | ORGANON & CO/ORG | DBT | 68622TAC5 | Long | Modellwert (Stufe 2) | beschränkt | 4.901.188 $ | 0,01 | 4.391.000 |
| Olympus Water US Holding Corp | OLYMPUS WTR HLDG | DBT | 681639AD2 | Long | Modellwert (Stufe 2) | beschränkt | 5.812.462 $ | 0,02 | 5.860.000 |
| Cleveland-Cliffs Inc | CLEVELAND-CLIFFS | DBT | 185899AK7 | Long | Modellwert (Stufe 2) | beschränkt | 3.012.846 $ | 0,01 | 3.125.000 |
| Intercontinental Exchange Inc | INTERCONTINENT | DBT | 45866FAN4 | Long | Modellwert (Stufe 2) | 2.913.575 $ | 0,01 | 3.447.000 | |
| CSC Holdings LLC | CSC HOLDINGS LLC | DBT | 126307BF3 | Long | Modellwert (Stufe 2) | beschränkt | 3.674.370 $ | 0,01 | 5.905.000 |
| NextEra Energy Operating Partners LP | XPLR INFRAST OP | DBT | 65342QAB8 | Long | Modellwert (Stufe 2) | beschränkt | 5.707.339 $ | 0,01 | 5.585.000 |
| Owens-Brockway Glass Container Inc | OWENS-BROCKWAY | DBT | 69073TAU7 | Long | Modellwert (Stufe 2) | beschränkt | 2.831.556 $ | 0,01 | 2.960.000 |
| Whirlpool Corp | WHIRLPOOL CORP | DBT | 963320BE5 | Long | Modellwert (Stufe 2) | 3.087.100 $ | 0,01 | 3.216.000 | |
| Quikrete Holdings Inc | QUIKRETE HOLDING | DBT | 74843PAB6 | Long | Modellwert (Stufe 2) | beschränkt | 5.219.593 $ | 0,01 | 5.145.000 |
| BWX Technologies Inc | BWX TECHNOLOGIES | DBT | 05605HAB6 | Long | Modellwert (Stufe 2) | beschränkt | 2.755.648 $ | 0,01 | 2.800.000 |
| SNF Group SACA | SNF GROUP SACA | DBT | 7846ELAE7 | Long | Modellwert (Stufe 2) | beschränkt | 5.028.973 $ | 0,01 | 5.195.000 |
| Blue Racer Midstream LLC / Blue Racer Finance Corp | BLUE RACER MID/F | DBT | 095796AJ7 | Long | Modellwert (Stufe 2) | beschränkt | 2.966.940 $ | 0,01 | 2.865.000 |
| County of Sonoma CA | SONOMA PENSION OBLIG | DBT | 835574CB8 | Long | Modellwert (Stufe 2) | 2.690.804 $ | 0,01 | 2.600.000 | |
| Paramount Global | VIACOMCBS INC | DBT | 92556HAD9 | Long | Modellwert (Stufe 2) | 8.797.076 $ | 0,02 | 10.585.000 | |
| Novelis Corp | NOVELIS CORP | DBT | 670001AE6 | Long | Modellwert (Stufe 2) | beschränkt | 2.686.154 $ | 0,01 | 2.803.000 |
| Directv Financing LLC / Directv Financing Co-Obligor Inc | DIRECTV FIN/DTV | DBT | 25461LAD4 | Long | Modellwert (Stufe 2) | beschränkt | 2.668.401 $ | 0,01 | 2.565.000 |
| PR RNO Property Owner 1 LLC | PR RNO PROPERTY | DBT | 69393LAA1 | Long | Modellwert (Stufe 2) | beschränkt | 2.652.585 $ | 0,01 | 2.676.000 |
| Charles River Laboratories International Inc | CHARLES RIVER LA | DBT | 159864AG2 | Long | Modellwert (Stufe 2) | beschränkt | 2.644.480 $ | 0,01 | 2.765.000 |
| Oldenburgische Landesbank AG | OLDENBURG LNDSBK | DBT | DE000A383DA4 | Long | Modellwert (Stufe 2) | 2.574.541 $ | 0,01 | 2.000.000 | |
| Rocket Mortgage LLC / Rocket Mortgage Co-Issuer Inc | QUICKEN LOANS | DBT | 74841CAB7 | Long | Modellwert (Stufe 2) | beschränkt | 2.568.067 $ | 0,01 | 2.765.000 |
| 1011778 BC ULC / New Red Finance Inc | 1011778 BC ULC / | DBT | 68245XAH2 | Long | Modellwert (Stufe 2) | beschränkt | 2.566.964 $ | 0,01 | 2.615.000 |
| Howden UK Refinance PLC / Howden UK Refinance 2 PLC / Howden US Refinance LLC | HOWDEN UK REF | DBT | 44287DAA1 | Long | Modellwert (Stufe 2) | beschränkt | 3.231.847 $ | 0,01 | 3.345.000 |
| Venture Global LNG Inc | VENTURE GLOBAL L | DBT | 92332YAD3 | Long | Modellwert (Stufe 2) | beschränkt | 4.703.334 $ | 0,01 | 4.363.000 |
| New York Transportation Development Corp | NEW YORK TRANSPRTN DE | DBT | 650117AA2 | Long | Modellwert (Stufe 2) | 2.409.577 $ | 0,01 | 2.440.000 | |
| Air Canada | AIR CANADA | DBT | 008911BK4 | Long | Modellwert (Stufe 2) | beschränkt | 2.408.882 $ | 0,01 | 2.415.000 |
| Block Inc | BLOCK INC | DBT | 852234AS2 | Long | Modellwert (Stufe 2) | 4.426.273 $ | 0,01 | 4.380.000 | |
| Element Solutions Inc | ELEMENT SOLN INC | DBT | 28618MAA4 | Long | Modellwert (Stufe 2) | beschränkt | 2.297.924 $ | 0,01 | 2.357.000 |
| Nexstar Media Inc | NEXSTAR MDIA INC | DBT | 65346UAB5 | Long | Modellwert (Stufe 2) | beschränkt | 2.277.732 $ | 0,01 | 2.260.000 |
| Hess Corp | HESS CORP | DBT | 023551AM6 | Long | Modellwert (Stufe 2) | 2.270.697 $ | 0,01 | 2.000.000 | |
| 1261229 BC LTD | 1261229 BC LTD | DBT | 68288AAA5 | Long | Modellwert (Stufe 2) | beschränkt | 2.231.103 $ | 0,01 | 2.160.000 |
| Republic of South Africa Government International Bond | SOUTH AFRICA | DBT | 836205BA1 | Long | Modellwert (Stufe 2) | 2.213.806 $ | 0,01 | 2.230.000 | |
| Big River Steel LLC / BRS Finance Corp | BIG RVR STL/FIN | DBT | 08949LAB6 | Long | Modellwert (Stufe 2) | beschränkt | 2.194.204 $ | 0,01 | 2.190.000 |
| Churchill Downs Inc | CHURCHILL DOWNS | DBT | 171484AE8 | Long | Modellwert (Stufe 2) | beschränkt | 2.746.073 $ | 0,01 | 2.765.000 |
| Tenet Healthcare Corp | TENET HEALTHCARE | DBT | 88033GDW7 | Long | Modellwert (Stufe 2) | beschränkt | 4.450.917 $ | 0,01 | 4.509.000 |
| Bausch + Lomb Corp | BAUSCH + LOMB CO | DBT | 071705AA5 | Long | Modellwert (Stufe 2) | beschränkt | 2.139.315 $ | 0,01 | 2.069.000 |
| Ascent Resources Utica Holdings LLC / ARU Finance Corp | ASCENT RESOUR/AR | DBT | 04364VAU7 | Long | Modellwert (Stufe 2) | beschränkt | 3.911.223 $ | 0,01 | 3.860.000 |
| Fair Isaac Corp | FAIR ISAAC CORP | DBT | 303250AG9 | Long | Modellwert (Stufe 2) | beschränkt | 5.168.584 $ | 0,01 | 5.260.000 |
| Champ Acquisition Corp | CHAMP ACQUISITIO | DBT | 15807XAA8 | Long | Modellwert (Stufe 2) | beschränkt | 2.098.851 $ | 0,01 | 1.985.000 |
| Match Group Holdings II LLC | MATCH GROUP II | DBT | 57665RAN6 | Long | Modellwert (Stufe 2) | beschränkt | 2.073.266 $ | 0,01 | 2.100.000 |
| Vail Resorts Inc | VAIL RESORTS | DBT | 91879QAP4 | Long | Modellwert (Stufe 2) | beschränkt | 3.449.057 $ | 0,01 | 3.410.000 |
| Digital Euro Finco LLC | DIGITAL EURO FIN | DBT | XS3233451718 | Long | Modellwert (Stufe 2) | 2.060.775 $ | 0,01 | 1.800.000 | |
| Crowdstrike Holdings Inc | CROWDSTRIKE HOLD | DBT | 22788CAA3 | Long | Modellwert (Stufe 2) | 1.934.808 $ | 0,01 | 2.030.000 | |
| OneMain Finance Corp | ONEMAIN FINANCE | DBT | 682691AN0 | Long | Modellwert (Stufe 2) | 2.454.579 $ | 0,01 | 2.485.000 | |
| Discovery Global Holdings Inc | DISCOVERY HLDG | DBT | 55903VBW2 | Long | Modellwert (Stufe 2) | 3.828.834 $ | 0,01 | 4.912.000 | |
| Service Properties Trust | SERVICE PROP | DBT | 81761LAF9 | Long | Modellwert (Stufe 2) | beschränkt | 4.170.147 $ | 0,01 | 4.330.000 |
| SS&C Technologies Inc | SS&C TECH INC | DBT | 78466CAC0 | Long | Modellwert (Stufe 2) | beschränkt | 2.563.328 $ | 0,01 | 2.555.000 |
| IQVIA Inc | IQVIA INC | DBT | 46266TAG3 | Long | Modellwert (Stufe 2) | beschränkt | 1.770.189 $ | 0,00 | 1.735.000 |
| Asurion LLC/ Asurion Co-Issuer Inc | ASURION LLC/CO | DBT | 045941AA9 | Long | Modellwert (Stufe 2) | beschränkt | 1.745.535 $ | 0,00 | 1.670.000 |
| Petroleos Mexicanos | PETROLEOS MEXICA | DBT | 71654QDL3 | Long | Modellwert (Stufe 2) | 1.744.920 $ | 0,00 | 1.630.428 | |
| JetBlue Airways Corp / JetBlue Loyalty LP | JETBLUE AIRW/LOY | DBT | 476920AA1 | Long | Modellwert (Stufe 2) | beschränkt | 1.729.862 $ | 0,00 | 1.860.000 |
| DaVita Inc | DAVITA INC | DBT | 23918KAW8 | Long | Modellwert (Stufe 2) | beschränkt | 3.105.710 $ | 0,01 | 3.115.000 |
| Talen Energy Supply LLC | TALEN ENERGY SUP | DBT | 87422VAQ1 | Long | Modellwert (Stufe 2) | beschränkt | 2.350.370 $ | 0,01 | 2.345.000 |
| COPT Defense Properties LP | COPT DEFENSE LP | DBT | 22003BAP1 | Long | Modellwert (Stufe 2) | 1.698.857 $ | 0,00 | 2.000.000 | |
| NCL Corp Ltd | NCL CORP | DBT | 62886HBR1 | Long | Modellwert (Stufe 2) | beschränkt | 3.512.226 $ | 0,01 | 3.495.000 |
| OAK-Eagle Acquireco Inc | OAK-EAGLE ACQUIR | DBT | 67124CAC7 | Long | Modellwert (Stufe 2) | beschränkt | 3.785.307 $ | 0,01 | 3.426.000 |
| Bath & Body Works Inc | L BRANDS INC | DBT | 501797AR5 | Long | Modellwert (Stufe 2) | 2.864.923 $ | 0,01 | 2.855.000 | |
| Magnera Corp | MAGNERA CORP | DBT | 55939AAA5 | Long | Modellwert (Stufe 2) | beschränkt | 1.680.476 $ | 0,00 | 1.795.000 |
| Light & Wonder International Inc | LIGHT & WONDER | DBT | 531968AA3 | Long | Modellwert (Stufe 2) | beschränkt | 2.293.874 $ | 0,01 | 2.230.000 |
| Wyndham Hotels & Resorts Inc | WYNDHAM HOTELS & | DBT | 98311AAB1 | Long | Modellwert (Stufe 2) | beschränkt | 2.306.028 $ | 0,01 | 2.340.000 |
| AmWINS Group Inc | AMWINS GROUP INC | DBT | 031921AB5 | Long | Modellwert (Stufe 2) | beschränkt | 2.521.476 $ | 0,01 | 2.565.000 |
| Medline Borrower LP | MEDLINE BORROWER | DBT | 62482BAB8 | Long | Modellwert (Stufe 2) | beschränkt | 1.591.485 $ | 0,00 | 1.599.000 |
| CHS/Community Health Systems Inc | CHS/COMMUNITY | DBT | 12543DBQ2 | Long | Modellwert (Stufe 2) | beschränkt | 2.653.769 $ | 0,01 | 2.532.000 |
| EXCELERATE ENERGY LP | EXCELERATE ENERG | DBT | 30069UAA6 | Long | Modellwert (Stufe 2) | beschränkt | 1.563.809 $ | 0,00 | 1.475.000 |
| Sunrise FinCo I BV | SUNRISE FINCO | DBT | 90320BAA7 | Long | Modellwert (Stufe 2) | beschränkt | 1.556.413 $ | 0,00 | 1.620.000 |
| Tallgrass Energy Partners LP / Tallgrass Energy Finance Corp | TALLGRASS NRG | DBT | 87470LAJ0 | Long | Modellwert (Stufe 2) | beschränkt | 1.823.350 $ | 0,00 | 1.810.000 |
| Goodyear Tire & Rubber Co/The | GOODYEAR TIRE | DBT | 382550BS9 | Long | Modellwert (Stufe 2) | 2.546.999 $ | 0,01 | 2.608.000 | |
| TopBuild Corp | TOPBUILD CORP | DBT | 89055FAB9 | Long | Modellwert (Stufe 2) | beschränkt | 1.490.423 $ | 0,00 | 1.500.000 |
| Altice France SA | ALTICE FRANCE | DBT | 02090DAD0 | Long | Modellwert (Stufe 2) | beschränkt | 1.485.166 $ | 0,00 | 1.509.348 |
| Dana Inc | DANA INC | DBT | 235825AH9 | Long | Modellwert (Stufe 2) | 1.795.519 $ | 0,00 | 1.880.000 | |
| Garda World Security Corp | GARDA SECURITY | DBT | 36485MAP4 | Long | Modellwert (Stufe 2) | beschränkt | 2.835.048 $ | 0,01 | 2.760.000 |
| MPT Operating Partnership LP / MPT Finance Corp | MPT OP PTNR/FINL | DBT | 55342UAM6 | Long | Modellwert (Stufe 2) | 3.315.900 $ | 0,01 | 3.647.000 | |
| Hudson Pacific Properties LP | HUDSON PACIFIC | DBT | 44409MAD8 | Long | Modellwert (Stufe 2) | 2.205.222 $ | 0,01 | 2.267.000 | |
| Directv Financing LLC | DIRECTV FINANCIN | DBT | 254945AA6 | Long | Modellwert (Stufe 2) | beschränkt | 1.406.439 $ | 0,00 | 1.380.000 |
| WESCO Distribution Inc | WESCO DISTRIBUT | DBT | 95081QAR5 | Long | Modellwert (Stufe 2) | beschränkt | 1.732.471 $ | 0,00 | 1.685.000 |
| Burford Capital Global Finance LLC | BURFORD CAPITAL | DBT | 12116LAE9 | Long | Modellwert (Stufe 2) | beschränkt | 2.662.993 $ | 0,01 | 2.955.000 |
| WULF Compute LLC | WULF COMPUTE LLC | DBT | 982911AA7 | Long | Modellwert (Stufe 2) | beschränkt | 1.371.087 $ | 0,00 | 1.305.000 |
| Carnival Corp | CARNIVAL CORP | DBT | 143658CB6 | Long | Modellwert (Stufe 2) | beschränkt | 2.638.418 $ | 0,01 | 2.625.000 |
| Ellucian Holdings Inc | ELLUCIAN HOLDING | DBT | 289178AA3 | Long | Modellwert (Stufe 2) | beschränkt | 1.358.859 $ | 0,00 | 1.380.000 |
| Post Holdings Inc | POST HOLDINGS IN | DBT | 737446AY0 | Long | Modellwert (Stufe 2) | beschränkt | 2.580.362 $ | 0,01 | 2.585.000 |
| United Airlines Inc | UNITED AIRLINES | DBT | 90932LAH0 | Long | Modellwert (Stufe 2) | beschränkt | 1.343.767 $ | 0,00 | 1.362.000 |
| Nissan Motor Co Ltd | NISSAN MOTOR CO | DBT | 654922AD5 | Long | Modellwert (Stufe 2) | beschränkt | 1.319.002 $ | 0,00 | 1.250.000 |
| Raven Acquisition Holdings LLC | RAVEN ACQUISITIO | DBT | 75420NAA1 | Long | Modellwert (Stufe 2) | beschränkt | 1.287.143 $ | 0,00 | 1.300.000 |
| Diamond Foreign Asset Co / Diamond Finance LLC | DIAMOND FRGN/FIN | DBT | 25260WAD3 | Long | Modellwert (Stufe 2) | beschränkt | 1.269.989 $ | 0,00 | 1.204.000 |
| Canpack SA / Canpack US LLC | CANPACK SA | DBT | 13806CAA0 | Long | Modellwert (Stufe 2) | beschränkt | 1.241.359 $ | 0,00 | 1.313.000 |
| WR Grace Holdings LLC | WR GRACE HOLDING | DBT | 92943GAA9 | Long | Modellwert (Stufe 2) | beschränkt | 1.498.881 $ | 0,00 | 1.553.000 |
| Gates Corp/DE | GATES CORP/DE | DBT | 367398AA2 | Long | Modellwert (Stufe 2) | beschränkt | 1.177.639 $ | 0,00 | 1.145.000 |
| SIX FLAGS/CANADA WON | SIX FLAGS ENTE | DBT | 150190AE6 | Long | Modellwert (Stufe 2) | 1.159.572 $ | 0,00 | 1.205.000 | |
| SBA Communications Corp | SBA COMMUNICATIO | DBT | 78410GAG9 | Long | Modellwert (Stufe 2) | 1.111.893 $ | 0,00 | 1.155.000 | |
| Shift4 Payments LLC / Shift4 Payments Finance Sub Inc | SHIFT4 PAYMENTS | DBT | 82453AAB3 | Long | Modellwert (Stufe 2) | beschränkt | 1.098.179 $ | 0,00 | 1.100.000 |
| Roller Bearing Co of America Inc | ROLLER BEARING | DBT | 775631AD6 | Long | Modellwert (Stufe 2) | beschränkt | 1.084.887 $ | 0,00 | 1.110.000 |
| Union Electric Co | UNION ELECTRIC | DBT | 906548CY6 | Long | Modellwert (Stufe 2) | 1.069.427 $ | 0,00 | 1.053.000 | |
| California Buyer Ltd / Atlantica Sustainable Infrastructure PLC | CA BUYER/ATLANTI | DBT | 13005HAA8 | Long | Modellwert (Stufe 2) | beschränkt | 1.024.765 $ | 0,00 | 1.030.000 |
| Virgin Media O2 Vendor Financing Notes VI DAC | VIRGIN MEDIA VI | DBT | 92769UAA9 | Long | Modellwert (Stufe 2) | beschränkt | 1.019.525 $ | 0,00 | 1.135.000 |
| Teva Pharmaceutical Finance Netherlands IV BV | TEVA PHARMACEUCI | DBT | 881937AA4 | Long | Modellwert (Stufe 2) | 1.019.415 $ | 0,00 | 995.000 | |
| Chemours Co/The | CHEMOURS CO | DBT | 163851AL2 | Long | Modellwert (Stufe 2) | beschränkt | 1.012.559 $ | 0,00 | 990.000 |
| Lithia Motors Inc | LITHIA MOTORS | DBT | 536797AE3 | Long | Modellwert (Stufe 2) | beschränkt | 1.010.917 $ | 0,00 | 1.017.000 |
| Allison Transmission Inc | ALLISON TRANS | DBT | 019736AF4 | Long | Modellwert (Stufe 2) | beschränkt | 1.549.076 $ | 0,00 | 1.535.000 |
| Ball Corp | BALL CORP | DBT | 058498BA3 | Long | Modellwert (Stufe 2) | 1.320.699 $ | 0,00 | 1.350.000 | |
| RAY Financing LLC | RAY FINANCING LL | DBT | XS2854277626 | Long | Modellwert (Stufe 2) | 972.951 $ | 0,00 | 823.000 | |
| Commercial Metals Co | COMMERCIAL METAL | DBT | 201723AQ6 | Long | Modellwert (Stufe 2) | 1.257.981 $ | 0,00 | 1.300.000 | |
| Beach Acquisition Bidco LLC | BEACH ACQUISITIO | DBT | 07337JAC1 | Long | Modellwert (Stufe 2) | beschränkt | 927.206 $ | 0,00 | 843.238 |
| Cable One Inc | CABLE ONE INC | DBT | 12685JAC9 | Long | Modellwert (Stufe 2) | beschränkt | 916.623 $ | 0,00 | 1.310.000 |
| CompoSecure Holdings LLC | COMPOSECURE HOLD | DBT | 20459XAC5 | Long | Modellwert (Stufe 2) | beschränkt | 910.532 $ | 0,00 | 930.000 |
| Froneri Lux FinCo SARL | FRONERI LUX FINC | DBT | XS3123697453 | Long | Modellwert (Stufe 2) | beschränkt | 1.687.145 $ | 0,00 | 1.585.000 |
| CNX Resources Corp | CNX RESOURCES CO | DBT | 12653CAM0 | Long | Modellwert (Stufe 2) | beschränkt | 1.400.062 $ | 0,00 | 1.393.000 |
| Performance Food Group Inc | PERFORMANCE FOOD | DBT | 71376LAH3 | Long | Modellwert (Stufe 2) | beschränkt | 1.404.698 $ | 0,00 | 1.440.000 |
| McAfee Corp | MCAFEE CORP | DBT | 579063AB4 | Long | Modellwert (Stufe 2) | beschränkt | 882.015 $ | 0,00 | 1.089.000 |
| Esab Corp | ESAB CORP | DBT | 29605JAB2 | Long | Modellwert (Stufe 2) | beschränkt | 857.421 $ | 0,00 | 850.000 |
| Chord Energy Corp | CHORD ENERGY | DBT | 674215AQ1 | Long | Modellwert (Stufe 2) | beschränkt | 831.629 $ | 0,00 | 815.000 |
| Teva Pharmaceutical Finance Netherlands III BV | TEVA PHARMACEUCI | DBT | 88167AAE1 | Long | Modellwert (Stufe 2) | 826.786 $ | 0,00 | 833.000 | |
| FMC Corp | FMC CORP | DBT | 302491AU9 | Long | Modellwert (Stufe 2) | 2.124.695 $ | 0,01 | 2.575.000 | |
| Ardagh Metal Packaging Finance USA LLC / Ardagh Metal Packaging Finance PLC | ARDAGH METAL PAC | DBT | XS3239173027 | Long | Modellwert (Stufe 2) | beschränkt | 1.331.482 $ | 0,00 | 1.210.000 |
| Atmos Energy Corp | ATMOS ENERGY COR | DBT | 049560AZ8 | Long | Modellwert (Stufe 2) | 810.369 $ | 0,00 | 760.000 | |
| Transocean International Ltd | TRANSOCEAN LTD | DBT | 893830BX6 | Long | Modellwert (Stufe 2) | beschränkt | 1.714.710 $ | 0,00 | 1.627.600 |
| Freedom Mortgage Holdings LLC | FREE MTGE HOLD | DBT | 35641AAE8 | Long | Modellwert (Stufe 2) | beschränkt | 1.395.467 $ | 0,00 | 1.440.000 |
| Sunoco LP | SUNOCO LP | DBT | 86765KAF6 | Long | Modellwert (Stufe 2) | beschränkt | 1.255.509 $ | 0,00 | 1.255.000 |
| Qnity Electronics Inc | QNITY ELECTRONIC | DBT | 74743LAA8 | Long | Modellwert (Stufe 2) | beschränkt | 778.223 $ | 0,00 | 770.000 |
| Rocket Software Inc | ROCKET SOFTWARE | DBT | 77314EAB4 | Long | Modellwert (Stufe 2) | beschränkt | 774.978 $ | 0,00 | 780.000 |
| Matador Resources Co | MATADOR RESOURC | DBT | 576485AJ5 | Long | Modellwert (Stufe 2) | beschränkt | 767.554 $ | 0,00 | 765.000 |
| SIX FLAGS ENT/SIX FLAG | SIX FLAGS ENT | DBT | 83002YAA7 | Long | Modellwert (Stufe 2) | beschränkt | 763.283 $ | 0,00 | 750.000 |
| Energizer Gamma Acquisition BV | ENERGIZER G | DBT | XS2353416386 | Long | Modellwert (Stufe 2) | 752.523 $ | 0,00 | 672.000 | |
| Meridian Arc Holdco LLC | MERIDIAN ARC HOL | DBT | 58990CAA1 | Long | Modellwert (Stufe 2) | beschränkt | 750.083 $ | 0,00 | 750.000 |
| American Builders & Contractors Supply Co Inc | ABC SUPPLY CO | DBT | 024747AG2 | Long | Modellwert (Stufe 2) | beschränkt | 1.228.198 $ | 0,00 | 1.270.000 |
| GENMAB A/S/GENMAB FINANCE LLC | GENMAB/GENMAB | DBT | 37230JAA0 | Long | Modellwert (Stufe 2) | beschränkt | 738.336 $ | 0,00 | 720.000 |
| Betclic Everest Group SAS | BETCLIC EVEREST | DBT | XS3266494494 | Long | Modellwert (Stufe 2) | beschränkt | 707.961 $ | 0,00 | 605.000 |
| Flash Compute LLC | FLASH COMPUTE | DBT | 33853QAA9 | Long | Modellwert (Stufe 2) | beschränkt | 698.745 $ | 0,00 | 685.000 |
| Virgin Media Finance PLC | VIRGIN MEDIA FIN | DBT | 92769VAJ8 | Long | Modellwert (Stufe 2) | beschränkt | 695.059 $ | 0,00 | 825.000 |
| Antero Midstream Partners LP / Antero Midstream Finance Corp | ANTERO MIDSTREAM | DBT | 03690AAK2 | Long | Modellwert (Stufe 2) | beschränkt | 693.082 $ | 0,00 | 675.000 |
| KeHE Distributors LLC / KeHE Finance Corp / NextWave Distribution Inc | KEHE DIS/FIN/NXT | DBT | 487526AC9 | Long | Modellwert (Stufe 2) | beschränkt | 1.236.795 $ | 0,00 | 1.200.000 |
| United Airlines Holdings Inc | UNITED AIRLINES | DBT | 910047AM1 | Long | Modellwert (Stufe 2) | 1.011.748 $ | 0,00 | 1.025.000 | |
| RHP Hotel Properties LP / RHP Finance Corp | RHP HOTEL PPTY | DBT | 749571AL9 | Long | Modellwert (Stufe 2) | beschränkt | 1.170.845 $ | 0,00 | 1.155.000 |
| Genesis Energy LP / Genesis Energy Finance Corp | GENESIS ENERGY | DBT | 37185LAR3 | Long | Modellwert (Stufe 2) | 1.019.656 $ | 0,00 | 985.000 | |
| Banque Ouest Africaine de Developpement | BOAD | DBT | XS1650033571 | Long | Modellwert (Stufe 2) | 624.172 $ | 0,00 | 626.000 | |
| California Resources Corp | CALIFORNIA RESOU | DBT | 13057QAL1 | Long | Modellwert (Stufe 2) | beschränkt | 621.539 $ | 0,00 | 610.000 |
| JH North America Holdings Inc | JH NORTH AMERICA | DBT | 46593WAB1 | Long | Modellwert (Stufe 2) | beschränkt | 1.096.724 $ | 0,00 | 1.095.000 |
| Clarios Global LP / Clarios US Finance Co | CLARIOS GLOBAL | DBT | XS3091295983 | Long | Modellwert (Stufe 2) | beschränkt | 584.832 $ | 0,00 | 500.000 |
| First Quantum Minerals Ltd | FIRST QUANTUM | DBT | 335934AU9 | Long | Modellwert (Stufe 2) | beschränkt | 578.565 $ | 0,00 | 555.000 |
| Chobani LLC / Chobani Finance Corp Inc | CHOBANI LLC/FIN | DBT | 17027NAD4 | Long | Modellwert (Stufe 2) | beschränkt | 561.345 $ | 0,00 | 550.000 |
| Central Parent LLC / CDK Global II LLC / CDK Financing Co Inc | CNT PAR/CDK GL/F | DBT | 154915AA0 | Long | Schätzwert (Stufe 3) | beschränkt | 551.050 $ | 0,00 | 1.030.000 |
| SV RNO Property Owner 1 LLC | SV RNO PROPERTY | DBT | 78488XAA2 | Long | Modellwert (Stufe 2) | beschränkt | 550.971 $ | 0,00 | 560.000 |
| New York State Dormitory Authority | NY DORM-TXB-H-GEN PUR | DBT | 6499022E2 | Long | Modellwert (Stufe 2) | 540.385 $ | 0,00 | 532.443 | |
| LifePoint Health Inc | LIFEPOINT HEALTH | DBT | 53219LBA6 | Long | Modellwert (Stufe 2) | beschränkt | 517.072 $ | 0,00 | 530.000 |
| Panther Escrow Issuer LLC | PANTHER ESCROW | DBT | 69867RAA5 | Long | Modellwert (Stufe 2) | beschränkt | 507.491 $ | 0,00 | 505.000 |
| Herc Holdings Inc | HERC HOLDINGS | DBT | 42704LAF1 | Long | Modellwert (Stufe 2) | beschränkt | 724.616 $ | 0,00 | 695.000 |
| Canpack Group Inc / CANPACK SA | CANPACK GROUP/SA | DBT | 13804MAA0 | Long | Modellwert (Stufe 2) | beschränkt | 500.054 $ | 0,00 | 500.000 |
| Ontario Gaming GTA LP/OTG Co-Issuer Inc | ONTARIO GAMI/OTG | DBT | 68306MAA7 | Long | Modellwert (Stufe 2) | beschränkt | 488.950 $ | 0,00 | 495.000 |
| Black Pearl Compute LLC | BLACK PEARL COMP | DBT | 09216NAA8 | Long | Modellwert (Stufe 2) | beschränkt | 482.132 $ | 0,00 | 475.000 |
| Wynn Macau Ltd | WYNN MACAU LTD | DBT | 98313RAH9 | Long | Modellwert (Stufe 2) | beschränkt | 779.513 $ | 0,00 | 790.000 |
| Albertsons Cos Inc / Safeway Inc / New Albertsons LP / Albertsons LLC | ALBERTSONS COS | DBT | 01309QAD0 | Long | Modellwert (Stufe 2) | beschränkt | 806.306 $ | 0,00 | 820.000 |
| Six Flags Entertainment Corp/Canada's Wonderland Co/Millennium Operations LLC | SIX FLAGS ENTE | DBT | 83003AAA8 | Long | Modellwert (Stufe 2) | beschränkt | 462.875 $ | 0,00 | 455.000 |
| IHO Verwaltungs GmbH | IHO VERWALTUNGS | DBT | 44963BAJ7 | Long | Modellwert (Stufe 2) | beschränkt | 576.144 $ | 0,00 | 550.000 |
| MIWD Holdco II LLC / MIWD Finance Corp | MIWD HLD/MIWD FI | DBT | 55337PAA0 | Long | Modellwert (Stufe 2) | beschränkt | 456.803 $ | 0,00 | 495.000 |
| Starwood Property Trust Inc | STARWOOD PROP TR | DBT | 85571BBE4 | Long | Modellwert (Stufe 2) | beschränkt | 431.919 $ | 0,00 | 420.000 |
| Hilton Domestic Operating Co Inc | HILTON DOMESTIC | DBT | 432833AT8 | Long | Modellwert (Stufe 2) | beschränkt | 426.830 $ | 0,00 | 430.000 |
| MGM Resorts International | MGM RESORTS | DBT | 552953CJ8 | Long | Modellwert (Stufe 2) | 405.381 $ | 0,00 | 400.000 | |
| XHR LP | XHR LP | DBT | 98372MAC9 | Long | Modellwert (Stufe 2) | beschränkt | 328.818 $ | 0,00 | 335.000 |
| Central Parent Inc / CDK Global Inc | CENTRAL PAR/CDK | DBT | 15477CAA3 | Long | Schätzwert (Stufe 3) | beschränkt | 322.875 $ | 0,00 | 615.000 |
| Honeywell International Inc | HONEYWELL INTL | DBT | 438516CZ7 | Long | Modellwert (Stufe 2) | 315.563 $ | 0,00 | 314.000 | |
| Empire State Development Corp | NY ST URBAN-B-3-UNREF | DBT | 650036JX5 | Long | Modellwert (Stufe 2) | 390.608 $ | 0,00 | 400.000 | |
| Scripps Escrow II Inc | SCRIPPS ESCROW | DBT | 81105DAA3 | Long | Modellwert (Stufe 2) | beschränkt | 307.956 $ | 0,00 | 325.000 |
| Star Parent Inc | STAR PARENT INC | DBT | 855170AA4 | Long | Modellwert (Stufe 2) | beschränkt | 293.212 $ | 0,00 | 280.000 |
| Chart Industries Inc | CHART INDUSTRIES | DBT | 16115QAG5 | Long | Modellwert (Stufe 2) | beschränkt | 290.375 $ | 0,00 | 276.000 |
| Teleflex Inc | TELEFLEX INC | DBT | 879369AF3 | Long | Modellwert (Stufe 2) | 248.836 $ | 0,00 | 250.000 | |
| UWM Holdings LLC | UWM HOLDINGS | DBT | 903522AA8 | Long | Modellwert (Stufe 2) | beschränkt | 235.165 $ | 0,00 | 245.000 |
| Kinetik Holdings LP | KINETIK HOLDINGS | DBT | 49461MAB6 | Long | Modellwert (Stufe 2) | beschränkt | 389.905 $ | 0,00 | 385.000 |
| Level 3 Financing Inc | LEVEL 3 FIN INC | DBT | 527298BQ5 | Long | Modellwert (Stufe 2) | beschränkt | 213.432 $ | 0,00 | 230.000 |
| Ardonagh Finco Ltd | ARDONAGH FINCO | DBT | 039853AA4 | Long | Modellwert (Stufe 2) | beschränkt | 326.400 $ | 0,00 | 305.000 |
| Alcoa Nederland Holding BV | ALCOA NEDERLAND | DBT | 013822AC5 | Long | Modellwert (Stufe 2) | beschränkt | 200.045 $ | 0,00 | 200.000 |
| Alliant Holdings Intermediate LLC / Alliant Holdings Co-Issuer | ALLIANT HOLDINGS | DBT | 01883LAF0 | Long | Modellwert (Stufe 2) | beschränkt | 164.091 $ | 0,00 | 161.000 |
| Men's Wearhouse LLC/The | MEN'S WEARHOUSE | DBT | 587118AF7 | Long | Modellwert (Stufe 2) | beschränkt | 142.731 $ | 0,00 | 135.000 |
| Noble Finance II LLC | NOBLE FIN II LLC | DBT | 65505PAA5 | Long | Modellwert (Stufe 2) | beschränkt | 114.482 $ | 0,00 | 110.000 |
| AMC Global Media Inc | AMC GLOBAL MEDIA | DBT | 00164VAF0 | Long | Modellwert (Stufe 2) | 83.216 $ | 0,00 | 95.000 | |
| Ardonagh Group Finance Ltd | ARDONAGH GROUP | DBT | 039956AA5 | Long | Modellwert (Stufe 2) | beschränkt | 69.772 $ | 0,00 | 70.000 |
| Melco Resorts Finance Ltd | MELCO RESORTS | DBT | 58547DAD1 | Long | Modellwert (Stufe 2) | beschränkt | 63.572 $ | 0,00 | 65.000 |
| Bulgaria Government International Bond | BGARIA-FLIRB-REG | DBT | XS2890436087 | Long | Modellwert (Stufe 2) | 975 $ | 0,00 | 1.000 | |
| Washington Mutual Bank / Debt not acquired by JPMorgan | WASH MUT BANK FA | DBT | 93933WAC0 | Long | Modellwert (Stufe 2) | 1.658 $ | 0,00 | 22.647.000 | |
| 37.741.640.287 $ | 97,67 | 38.106.969.533 |
Keine Anlageberatung, keine individuelle Empfehlung.
Die hier gezeigten Zahlen sind eine aggregierte Auswertung öffentlich zugänglicher
SEC-Meldungen und stellen keine Bewertung oder Empfehlung zu einzelnen Wertpapieren,
Fonds oder Emittenten dar.
Interessenkonflikte: Der Betreiber kann über verlinkte Anbieter (z. B. Broker) Affiliate-Vergütungen erhalten und ggf. eigene Positionen in genannten Werten halten. Methodik: Berechnungsgrundlagen.
Interessenkonflikte: Der Betreiber kann über verlinkte Anbieter (z. B. Broker) Affiliate-Vergütungen erhalten und ggf. eigene Positionen in genannten Werten halten. Methodik: Berechnungsgrundlagen.
Keine Anlageberatung, keine individuelle Empfehlung.
Aggregierte Auswertung öffentlicher SEC-Meldungen, keine Bewertung einzelner
Wertpapiere. Der Betreiber kann über verlinkte Anbieter Affiliate-Vergütungen
erhalten und ggf. eigene Positionen halten.
Rechtliche Hinweise.