| Emittent | Gattung | Typ | CUSIP/ISIN | Richtung | Bewertungsbasis | Handel | Bestand ($) | % NAV | Stück / Nennwert |
|---|---|---|---|---|---|---|---|---|---|
| 3.537.885.859 $ | 97,57 | 1.269.060.743 | |||||||
| NVIDIA Corp | NVIDIA CORP | EC | 67066G104 | Long | Börsenkurs (Stufe 1) | 203.296.336 $ | 5,61 | 1.165.690 | |
| Alphabet Inc | ALPHABET INC-A | EC | 02079K305 | Long | Börsenkurs (Stufe 1) | 157.784.723 $ | 4,35 | 8.591.931 | |
| Microsoft Corp | MICROSOFT CORP | EC | 594918104 | Long | Börsenkurs (Stufe 1) | 152.655.362 $ | 4,21 | 7.599.710 | |
| Apple Inc | APPLE INC | EC | 037833100 | Long | Börsenkurs (Stufe 1) | 137.792.007 $ | 3,80 | 5.241.147 | |
| Amazon.com Inc | AMAZON.COM INC | EC | 023135106 | Long | Börsenkurs (Stufe 1) | 127.868.534 $ | 3,53 | 17.080.602 | |
| Broadcom Inc | BROADCOM INC | EC | 11135F101 | Long | Börsenkurs (Stufe 1) | 91.404.213 $ | 2,52 | 10.914.354 | |
| Wells Fargo & Co | WELLS FARGO & CO | EC | 949746101 | Long | Börsenkurs (Stufe 1) | 71.210.768 $ | 1,96 | 13.146.884 | |
| Meta Platforms Inc | META PLATFORMS-A | EC | 30303M102 | Long | Börsenkurs (Stufe 1) | 61.561.780 $ | 1,70 | 6.168.780 | |
| Merck & Co Inc | MERCK & CO | EC | 58933Y105 | Long | Börsenkurs (Stufe 1) | 55.163.598 $ | 1,52 | 10.935.756 | |
| Eli Lilly & Co | ELI LILLY & CO | EC | 532457108 | Long | Börsenkurs (Stufe 1) | 43.400.187 $ | 1,20 | 1.980.217 | |
| Mastercard Inc | MASTERCARD INC-A | EC | 57636Q104 | Long | Börsenkurs (Stufe 1) | 40.633.351 $ | 1,12 | 81.322 | |
| BlackRock Funding Inc/DE | BLACKROCK INC | EC | 09290D101 | Long | Börsenkurs (Stufe 1) | 38.820.357 $ | 1,07 | 644.816 | |
| Nasdaq Inc | NASDAQ INC | EC | 631103108 | Long | Börsenkurs (Stufe 1) | 36.997.439 $ | 1,02 | 435.828 | |
| Sempra | SEMPRA | EC | 816851109 | Long | Börsenkurs (Stufe 1) | 39.316.750 $ | 1,08 | 5.051.778 | |
| T-Mobile US Inc | T-MOBILE US INC | EC | 872590104 | Long | Börsenkurs (Stufe 1) | 33.802.648 $ | 0,93 | 160.942 | |
| Simon Property Group Inc | SIMON PROPERTY | EC | 828806109 | Long | Börsenkurs (Stufe 1) | 33.058.152 $ | 0,91 | 177.227 | |
| Targa Resources Corp | TARGA RESOURCES | EC | 87612G101 | Long | Börsenkurs (Stufe 1) | 38.106.022 $ | 1,05 | 5.289.164 | |
| Tesla Inc | TESLA INC | EC | 88160R101 | Long | Börsenkurs (Stufe 1) | 31.760.461 $ | 0,88 | 85.435 | |
| Northrop Grumman Corp | NORTHROP GRUMMAN | EC | 666807102 | Long | Börsenkurs (Stufe 1) | 31.184.305 $ | 0,86 | 574.922 | |
| Home Depot Inc/The | HOME DEPOT INC | EC | 437076102 | Long | Börsenkurs (Stufe 1) | 35.228.764 $ | 0,97 | 7.626.354 | |
| British American Tobacco PLC | BRIT AMER TOBACC | EC | GB0002875804 | Long | Modellwert (Stufe 2) | 28.316.729 $ | 0,78 | 487.725 | |
| Welltower Inc | WELLTOWER INC | EC | 95040Q104 | Long | Börsenkurs (Stufe 1) | 28.068.098 $ | 0,77 | 141.966 | |
| Exxon Mobil Corp | EXXON MOBIL CORP | EC | 30231G102 | Long | Börsenkurs (Stufe 1) | 26.826.809 $ | 0,74 | 158.121 | |
| WW Grainger Inc | WW GRAINGER INC | EC | 384802104 | Long | Börsenkurs (Stufe 1) | 26.634.308 $ | 0,73 | 24.417 | |
| Eaton Corp PLC | EATON CORP PLC | EC | G29183103 | Long | Börsenkurs (Stufe 1) | 25.637.428 $ | 0,71 | 71.679 | |
| UBS Group AG | UBS GROUP AG | EC | CH0244767585 | Long | Modellwert (Stufe 2) | 32.931.183 $ | 0,91 | 8.247.754 | |
| Honeywell International Inc | HONEYWELL INTL | EC | 438516106 | Long | Börsenkurs (Stufe 1) | 25.512.910 $ | 0,70 | 112.874 | |
| Coterra Energy Inc | COTERRA ENERGY I | EC | 127097103 | Long | Börsenkurs (Stufe 1) | 25.052.536 $ | 0,69 | 712.935 | |
| Texas Instruments Inc | TEXAS INSTRUMENT | EC | 882508104 | Long | Börsenkurs (Stufe 1) | 24.564.728 $ | 0,68 | 126.531 | |
| Dominion Energy Inc | DOMINION ENERGY | EC | 25746U109 | Long | Börsenkurs (Stufe 1) | 30.172.354 $ | 0,83 | 6.937.353 | |
| Republic Services Inc | REPUBLIC SVCS | EC | 760759100 | Long | Börsenkurs (Stufe 1) | 25.620.377 $ | 0,71 | 2.086.461 | |
| Marriott International Inc/MD | MARRIOTT INTL-A | EC | 571903202 | Long | Börsenkurs (Stufe 1) | 23.662.533 $ | 0,65 | 72.347 | |
| Taiwan Semiconductor Manufacturing Co Ltd | TAIWAN SEMIC-ADR | EC | US8740391003 | Long | Börsenkurs (Stufe 1) | 23.087.730 $ | 0,64 | 68.317 | |
| Walt Disney Co/The | WALT DISNEY CO/T | EC | 254687106 | Long | Börsenkurs (Stufe 1) | 23.792.299 $ | 0,66 | 1.535.686 | |
| Netflix Inc | NETFLIX INC | EC | 64110L106 | Long | Börsenkurs (Stufe 1) | 22.704.188 $ | 0,63 | 236.133 | |
| Abbott Laboratories | ABBOTT LABS | EC | 002824100 | Long | Börsenkurs (Stufe 1) | 24.360.203 $ | 0,67 | 2.007.262 | |
| Advanced Micro Devices Inc | ADV MICRO DEVICE | EC | 007903107 | Long | Börsenkurs (Stufe 1) | 22.069.307 $ | 0,61 | 108.486 | |
| Darden Restaurants Inc | DARDEN RESTAURAN | EC | 237194105 | Long | Börsenkurs (Stufe 1) | 21.731.230 $ | 0,60 | 110.851 | |
| Regeneron Pharmaceuticals Inc | REGENERON PHARM | EC | 75886F107 | Long | Börsenkurs (Stufe 1) | 21.044.396 $ | 0,58 | 27.237 | |
| Cadence Design Systems Inc | CADENCE DESIGN | EC | 127387108 | Long | Börsenkurs (Stufe 1) | 21.036.704 $ | 0,58 | 75.707 | |
| HCA Healthcare Inc | HCA HEALTHCARE I | EC | 40412C101 | Long | Börsenkurs (Stufe 1) | 20.478.041 $ | 0,56 | 43.272 | |
| Coca-Cola Co/The | COCA-COLA CO/THE | EC | 191216100 | Long | Börsenkurs (Stufe 1) | 18.926.259 $ | 0,52 | 248.866 | |
| Amphenol Corp | AMPHENOL CORP-A | EC | 032095101 | Long | Börsenkurs (Stufe 1) | 18.668.339 $ | 0,51 | 147.751 | |
| Jabil Inc | JABIL INC | EC | 466313103 | Long | Börsenkurs (Stufe 1) | 18.582.147 $ | 0,51 | 69.955 | |
| Parker-Hannifin Corp | PARKER HANNIFIN | EC | 701094104 | Long | Börsenkurs (Stufe 1) | 18.068.629 $ | 0,50 | 20.183 | |
| Corning Inc | CORNING INC | EC | 219350105 | Long | Börsenkurs (Stufe 1) | 17.929.276 $ | 0,49 | 131.862 | |
| Kroger Co/The | KROGER CO | EC | 501044101 | Long | Börsenkurs (Stufe 1) | 17.920.026 $ | 0,49 | 247.651 | |
| United States Treasury Note/Bond | US TREASURY N/B | DBT | 91282CPE5 | Long | Modellwert (Stufe 2) | 287.796.588 $ | 7,94 | 296.067.400 | |
| GSK PLC | GSK PLC-ADR | EC | US37733W2044 | Long | Börsenkurs (Stufe 1) | 17.399.144 $ | 0,48 | 315.259 | |
| Linde PLC | LINDE PLC | EC | G54950103 | Long | Börsenkurs (Stufe 1) | 16.873.192 $ | 0,47 | 34.035 | |
| Anglo American PLC | ANGLO AMER PLC | EC | GB00BTK05J60 | Long | Modellwert (Stufe 2) | 16.822.466 $ | 0,46 | 391.807 | |
| Haleon PLC | HALEON PLC | EC | GB00BMX86B70 | Long | Modellwert (Stufe 2) | 16.214.735 $ | 0,45 | 3.276.370 | |
| Roche Holding AG | ROCHE HOLDING AG-GENUSSCHEIN - PART.CERTIFICATES | EC | CH1499059983 | Long | Modellwert (Stufe 2) | 16.057.420 $ | 0,44 | 40.235 | |
| PACCAR Inc | PACCAR INC | EC | 693718108 | Long | Börsenkurs (Stufe 1) | 15.655.332 $ | 0,43 | 135.544 | |
| TJX Cos Inc/The | TJX COS INC | EC | 872540109 | Long | Börsenkurs (Stufe 1) | 15.632.235 $ | 0,43 | 97.885 | |
| Hubbell Inc | HUBBELL INC | EC | 443510607 | Long | Börsenkurs (Stufe 1) | 15.027.931 $ | 0,41 | 30.623 | |
| American International Group Inc | AMERICAN INTERNA | EC | 026874784 | Long | Börsenkurs (Stufe 1) | 15.950.879 $ | 0,44 | 1.386.310 | |
| Stryker Corp | STRYKER CORP | EC | 863667101 | Long | Börsenkurs (Stufe 1) | 14.339.010 $ | 0,40 | 43.638 | |
| Unilever PLC | UNILEVER PLC | EC | GB00BVZK7T90 | Long | Modellwert (Stufe 2) | 14.001.153 $ | 0,39 | 255.033 | |
| Micron Technology Inc | MICRON TECH | EC | 595112103 | Long | Börsenkurs (Stufe 1) | 14.401.712 $ | 0,40 | 471.289 | |
| Palantir Technologies Inc | PALANTIR TECHN-A | EC | 69608A108 | Long | Börsenkurs (Stufe 1) | 13.337.372 $ | 0,37 | 91.177 | |
| Johnson Controls International plc | JOHNSON CONTROLS | EC | G51502105 | Long | Börsenkurs (Stufe 1) | 13.059.513 $ | 0,36 | 99.729 | |
| US Foods Holding Corp | US FOODS HOLDING | EC | 912008109 | Long | Börsenkurs (Stufe 1) | 12.422.531 $ | 0,34 | 134.720 | |
| Snowflake Inc | SNOWFLAKE INC | EC | 833445109 | Long | Börsenkurs (Stufe 1) | 12.300.578 $ | 0,34 | 81.558 | |
| Philip Morris International Inc | PHILIP MORRIS IN | EC | 718172109 | Long | Börsenkurs (Stufe 1) | 30.878.933 $ | 0,85 | 19.014.879 | |
| Devon Energy Corp | DEVON ENERGY CO | EC | 25179M103 | Long | Börsenkurs (Stufe 1) | 11.892.025 $ | 0,33 | 236.328 | |
| Freeport-McMoRan Inc | FREEPORT-MCMORAN | EC | 35671D857 | Long | Börsenkurs (Stufe 1) | 11.514.649 $ | 0,32 | 195.894 | |
| Ross Stores Inc | ROSS STORES INC | EC | 778296103 | Long | Börsenkurs (Stufe 1) | 11.221.434 $ | 0,31 | 51.800 | |
| State of Illinois | IL ST TXB-PENSION | DBT | 452151LF8 | Long | Modellwert (Stufe 2) | 10.252.142 $ | 0,28 | 10.064.853 | |
| Fifth Third Bancorp | FIFTH THIRD BANC | EC | 316773100 | Long | Börsenkurs (Stufe 1) | 10.525.998 $ | 0,29 | 559.292 | |
| UnitedHealth Group Inc | UNITEDHEALTH GRP | EC | 91324P102 | Long | Börsenkurs (Stufe 1) | 23.790.720 $ | 0,66 | 16.081.461 | |
| O'Reilly Automotive Inc | O'REILLY AUTOMOT | EC | 67103H107 | Long | Börsenkurs (Stufe 1) | 9.458.083 $ | 0,26 | 102.460 | |
| Marathon Petroleum Corp | MARATHON PETROLE | EC | 56585A102 | Long | Börsenkurs (Stufe 1) | 8.760.202 $ | 0,24 | 35.876 | |
| Thermo Fisher Scientific Inc | THERMO FISHER | EC | 883556102 | Long | Börsenkurs (Stufe 1) | 8.696.640 $ | 0,24 | 17.693 | |
| Arthur J Gallagher & Co | ARTHUR J GALLAGH | EC | 363576109 | Long | Börsenkurs (Stufe 1) | 8.602.212 $ | 0,24 | 179.065 | |
| JPMorgan Chase & Co | JPMORGAN CHASE | EC | 46625H100 | Long | Börsenkurs (Stufe 1) | 36.873.225 $ | 1,02 | 32.041.397 | |
| GE Vernova Inc | GE VERNOVA INC | EC | 36828A101 | Long | Börsenkurs (Stufe 1) | 6.475.172 $ | 0,18 | 7.418 | |
| Goldman Sachs Group Inc/The | GOLDMAN SACHS GP | DBT | 38141GC93 | Long | Modellwert (Stufe 2) | 24.495.546 $ | 0,68 | 25.100.000 | |
| Westlake Corp | WESTLAKE CORP | EC | 960413102 | Long | Börsenkurs (Stufe 1) | 5.097.674 $ | 0,14 | 43.637 | |
| Bank of America Corp | BANK OF AMER CRP | DBT | 06051GKQ1 | Long | Modellwert (Stufe 2) | 26.663.715 $ | 0,74 | 27.810.000 | |
| Morgan Stanley | MORGAN STANLEY | EC | 617446448 | Long | Börsenkurs (Stufe 1) | 21.198.621 $ | 0,58 | 17.466.826 | |
| Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc | ANHEUSER-BUSCH | DBT | 03522AAJ9 | Long | Modellwert (Stufe 2) | 6.406.172 $ | 0,18 | 6.926.000 | |
| Intercontinental Exchange Inc | INTERCONTINENT | DBT | 45866FAU8 | Long | Modellwert (Stufe 2) | 8.869.431 $ | 0,24 | 10.266.000 | |
| Mars Inc | MARS INC | DBT | 571676AZ8 | Long | Modellwert (Stufe 2) | beschränkt | 10.238.878 $ | 0,28 | 10.224.000 |
| ERAC USA Finance LLC | ERAC USA FINANCE | DBT | 26884TAW2 | Long | Modellwert (Stufe 2) | beschränkt | 7.037.264 $ | 0,19 | 7.139.000 |
| Federation des Caisses Desjardins du Quebec | CAISS DESJARDINS | DBT | 31429KAL7 | Long | Modellwert (Stufe 2) | beschränkt | 4.937.903 $ | 0,14 | 4.852.000 |
| Shell Finance US Inc | SHELL FINANCE US | DBT | 822905AA3 | Long | Modellwert (Stufe 2) | 6.084.821 $ | 0,17 | 7.446.000 | |
| Bank of New York Mellon Corp/The | BANK NY MELLON | EC | 064058100 | Long | Börsenkurs (Stufe 1) | 5.685.276 $ | 0,16 | 2.854.352 | |
| BP Capital Markets America Inc | BP CAP MKTS AMER | DBT | 10373QBT6 | Long | Modellwert (Stufe 2) | 8.414.517 $ | 0,23 | 9.626.000 | |
| Georgia Power Co | GEORGIA POWER | DBT | 373334JW2 | Long | Modellwert (Stufe 2) | 8.034.359 $ | 0,22 | 8.534.000 | |
| JBS NV/JBS USA Foods Group Holdings Inc/JBS USA Food Co Holdings | JBS/FOODS/FOOD | DBT | 472140AH5 | Long | Modellwert (Stufe 2) | 7.725.085 $ | 0,21 | 7.824.000 | |
| Equinor ASA | EQUINOR ASA | DBT | 29446MAN2 | Long | Modellwert (Stufe 2) | 4.982.090 $ | 0,14 | 5.022.000 | |
| Anheuser-Busch InBev Worldwide Inc | ANHEUSER-BUSCH | DBT | 035240AG5 | Long | Modellwert (Stufe 2) | 3.057.803 $ | 0,08 | 3.228.000 | |
| Southern California Edison Co | SOUTHERN CAL ED | DBT | 842400FF5 | Long | Modellwert (Stufe 2) | 9.944.972 $ | 0,27 | 10.181.000 | |
| Boeing Co/The | BOEING CO | DBT | 097023CX1 | Long | Modellwert (Stufe 2) | 3.119.579 $ | 0,09 | 3.149.000 | |
| New York Life Insurance Co | NEW YORK LIFE | DBT | 64952GAE8 | Long | Modellwert (Stufe 2) | beschränkt | 2.454.295 $ | 0,07 | 2.445.000 |
| Comcast Corp | COMCAST CORP | DBT | 20030NDU2 | Long | Modellwert (Stufe 2) | 9.625.740 $ | 0,27 | 15.750.000 | |
| Manufacturers & Traders Trust Co | MANUF & TRADERS | DBT | 55279HAW0 | Long | Modellwert (Stufe 2) | 2.136.001 $ | 0,06 | 2.125.000 | |
| Pfizer Inc | PFIZER INC | DBT | 717081ET6 | Long | Modellwert (Stufe 2) | 3.485.834 $ | 0,10 | 3.670.000 | |
| Oncor Electric Delivery Co LLC | ONCOR ELECTRIC D | DBT | 68233JCS1 | Long | Modellwert (Stufe 2) | 3.761.038 $ | 0,10 | 3.983.000 | |
| Foundry JV Holdco LLC | FOUNDRY JV HOLDC | DBT | 350930AJ2 | Long | Modellwert (Stufe 2) | beschränkt | 7.735.292 $ | 0,21 | 7.432.000 |
| American Tower Trust #1 | AMERICAN TOWER T | DBT | 03027WAM4 | Long | Modellwert (Stufe 2) | beschränkt | 2.092.960 $ | 0,06 | 2.070.000 |
| Kansas Development Finance Authority | KS ST DEV EMPLOYEES-C | DBT | 485428ZY5 | Long | Modellwert (Stufe 2) | 2.345.714 $ | 0,06 | 2.390.000 | |
| Commonwealth Bank of Australia | COM BK AUSTRALIA | DBT | 202712BN4 | Long | Modellwert (Stufe 2) | beschränkt | 3.151.187 $ | 0,09 | 3.345.000 |
| Municipal Electric Authority of Georgia | MEAG TXB-PLT VOGTLE | DBT | 626207YF5 | Long | Modellwert (Stufe 2) | 2.063.664 $ | 0,06 | 1.925.000 | |
| Philadelphia Authority for Industrial Development | PHILADELPHIA INDL-C | DBT | 71781LBH1 | Long | Modellwert (Stufe 2) | 2.053.375 $ | 0,06 | 1.945.000 | |
| BNP Paribas SA | BNP PARIBAS | DBT | 09659W2C7 | Long | Modellwert (Stufe 2) | beschränkt | 4.318.278 $ | 0,12 | 4.325.000 |
| AbbVie Inc | ABBVIE INC | DBT | 00287YAR0 | Long | Modellwert (Stufe 2) | 9.205.951 $ | 0,25 | 9.625.000 | |
| Corebridge Global Funding | COREBRIDGE GF | DBT | 00138CBA5 | Long | Modellwert (Stufe 2) | beschränkt | 2.861.494 $ | 0,08 | 2.820.000 |
| Diageo Capital PLC | DIAGEO CAP PLC | DBT | 25243YBB4 | Long | Modellwert (Stufe 2) | 1.970.375 $ | 0,05 | 2.108.000 | |
| NBN Co Ltd | NBN CO LTD | DBT | 62878U2E1 | Long | Modellwert (Stufe 2) | beschränkt | 2.959.696 $ | 0,08 | 3.284.000 |
| NBK SPC Ltd | NBK SPC LTD | DBT | 62877PAB0 | Long | Modellwert (Stufe 2) | beschränkt | 1.942.276 $ | 0,05 | 1.975.000 |
| National Australia Bank Ltd | NATL AUSTRALIABK | DBT | 632525AU5 | Long | Modellwert (Stufe 2) | beschränkt | 3.506.449 $ | 0,10 | 3.678.000 |
| Salesforce Inc | SALESFORCE INC | DBT | 79466LAS3 | Long | Modellwert (Stufe 2) | 1.922.388 $ | 0,05 | 1.925.000 | |
| Northern States Power Co/MN | NORTHERN ST PR-M | DBT | 665772CB3 | Long | Modellwert (Stufe 2) | 2.538.647 $ | 0,07 | 2.405.000 | |
| BPCE SA | BPCE | DBT | 05571AAZ8 | Long | Modellwert (Stufe 2) | beschränkt | 9.414.184 $ | 0,26 | 9.465.000 |
| Saudi Arabian Oil Co | SAUDI ARAB OIL | DBT | 80415RAA9 | Long | Modellwert (Stufe 2) | beschränkt | 3.568.371 $ | 0,10 | 3.640.000 |
| Ashtead Capital Inc | ASHTEAD CAPITAL | DBT | 045054AS2 | Long | Modellwert (Stufe 2) | beschränkt | 2.331.928 $ | 0,06 | 2.285.000 |
| Southern Co/The | SOUTHERN CO | DBT | 842587CX3 | Long | Modellwert (Stufe 2) | 1.856.452 $ | 0,05 | 2.250.000 | |
| Duke Energy Corp | DUKE ENERGY COR | DBT | 26441CCF0 | Long | Modellwert (Stufe 2) | 9.018.324 $ | 0,25 | 10.598.000 | |
| Morgan Stanley Private Bank NA | MORGAN STANLEY | DBT | 61776NVE0 | Long | Modellwert (Stufe 2) | 5.518.980 $ | 0,15 | 5.549.000 | |
| Abu Dhabi Developmental Holding Co PJSC | ABU DHABI DEVELO | DBT | 00402D2B0 | Long | Modellwert (Stufe 2) | beschränkt | 4.134.084 $ | 0,11 | 4.140.000 |
| AT&T Inc | AT&T INC | DBT | 00206RNJ7 | Long | Modellwert (Stufe 2) | 7.754.028 $ | 0,21 | 9.615.000 | |
| Energy Transfer LP | ENERGY TRANSFER | DBT | 29278NAG8 | Long | Modellwert (Stufe 2) | 5.582.021 $ | 0,15 | 5.797.000 | |
| NiSource Inc | NISOURCE INC | DBT | 65473PAM7 | Long | Modellwert (Stufe 2) | 3.100.366 $ | 0,09 | 3.461.000 | |
| Chicago Transit Authority Sales & Transfer Tax Receipts Revenue | CHICAGO TRANSIT SER A | DBT | 167725AC4 | Long | Modellwert (Stufe 2) | 2.555.700 $ | 0,07 | 2.288.671 | |
| Glencore Funding LLC | GLENCORE FDG LLC | DBT | 378272BU1 | Long | Modellwert (Stufe 2) | beschränkt | 6.022.197 $ | 0,17 | 6.047.000 |
| Saudi Government International Bond | SAUDI INT BOND | DBT | 80413TBP3 | Long | Modellwert (Stufe 2) | beschränkt | 1.931.804 $ | 0,05 | 1.955.000 |
| Aon North America Inc | AON NORTH AMER | DBT | 03740MAD2 | Long | Modellwert (Stufe 2) | 1.721.844 $ | 0,05 | 1.685.000 | |
| Virginia Electric and Power Co | VIRGINIA EL&PWR | DBT | 927804GW8 | Long | Modellwert (Stufe 2) | 3.742.418 $ | 0,10 | 3.930.000 | |
| Lloyds Banking Group PLC | LLOYDS BK GR PLC | DBT | 53944YBD4 | Long | Modellwert (Stufe 2) | 4.922.348 $ | 0,14 | 4.901.000 | |
| Duke Energy Progress LLC | DUKE ENERGY PROG | DBT | 26442UAB0 | Long | Modellwert (Stufe 2) | 3.464.133 $ | 0,10 | 3.888.000 | |
| S&P Global Inc | S&P GLOBAL INC | DBT | 78409VBK9 | Long | Modellwert (Stufe 2) | 1.858.540 $ | 0,05 | 2.022.000 | |
| HSBC Holdings PLC | HSBC HOLDINGS | DBT | 404280DR7 | Long | Modellwert (Stufe 2) | 15.854.986 $ | 0,44 | 16.068.000 | |
| Consolidated Edison Co of New York Inc | CON EDISON CO | DBT | 209111FF5 | Long | Modellwert (Stufe 2) | 5.397.118 $ | 0,15 | 6.566.000 | |
| State of California | CA ST-BABS | DBT | 13063A7D0 | Long | Modellwert (Stufe 2) | 3.157.677 $ | 0,09 | 2.815.000 | |
| Sydney Airport Finance Co Pty Ltd | SYDNEY AIRPORT F | DBT | 87124VAG4 | Long | Modellwert (Stufe 2) | beschränkt | 1.606.814 $ | 0,04 | 1.620.000 |
| Automatic Data Processing Inc | AUTOMATIC DATA | DBT | 053015AJ2 | Long | Modellwert (Stufe 2) | 1.596.144 $ | 0,04 | 1.580.000 | |
| Danske Bank A/S | DANSKE BANK A/S | DBT | 23636ABB6 | Long | Modellwert (Stufe 2) | beschränkt | 1.584.887 $ | 0,04 | 1.605.000 |
| Banco Santander SA | BANCO SANTANDER | DBT | 05971KAR0 | Long | Modellwert (Stufe 2) | 1.981.490 $ | 0,05 | 2.000.000 | |
| T-Mobile USA Inc | T-MOBILE USA INC | DBT | 87264ADL6 | Long | Modellwert (Stufe 2) | 4.544.436 $ | 0,13 | 4.692.000 | |
| Pfizer Investment Enterprises Pte Ltd | PFIZER INVSTMNT | DBT | 716973AF9 | Long | Modellwert (Stufe 2) | 2.833.251 $ | 0,08 | 3.006.000 | |
| Liberty Mutual Group Inc | LIBERTY MUTUAL | DBT | 53079EBN3 | Long | Modellwert (Stufe 2) | beschränkt | 1.823.333 $ | 0,05 | 1.989.000 |
| SBA Tower Trust | SBA TOWER TRUST | DBT | 78403DAV2 | Long | Modellwert (Stufe 2) | beschränkt | 3.916.740 $ | 0,11 | 4.130.000 |
| Public Service Co of Oklahoma | PUB SVC OKLAHOMA | DBT | 744533BS8 | Long | Modellwert (Stufe 2) | 1.794.375 $ | 0,05 | 1.785.000 | |
| Prudential Financial Inc | PRUDENTIAL FIN | DBT | 74432QCE3 | Long | Modellwert (Stufe 2) | 1.487.010 $ | 0,04 | 1.856.000 | |
| Israel Government International Bond | STATE OF ISRAEL | DBT | 46515CJY1 | Long | Modellwert (Stufe 2) | 3.451.250 $ | 0,10 | 3.480.000 | |
| Bristol-Myers Squibb Co | BRISTOL-MYERS | DBT | 110122CR7 | Long | Modellwert (Stufe 2) | 3.595.031 $ | 0,10 | 4.534.000 | |
| Uber Technologies Inc | UBER TECHNOLOGIE | DBT | 90353TAP5 | Long | Modellwert (Stufe 2) | 2.515.875 $ | 0,07 | 2.580.000 | |
| American Express Co | AMERICAN EXPRESS | DBT | 025816DR7 | Long | Modellwert (Stufe 2) | 7.623.046 $ | 0,21 | 7.541.000 | |
| UBS AG/London | UBS AG LONDON | DBT | 902674ZW3 | Long | Modellwert (Stufe 2) | 1.428.745 $ | 0,04 | 1.385.000 | |
| Standard Chartered PLC | STANDARD CHART | DBT | 85325C2D3 | Long | Modellwert (Stufe 2) | beschränkt | 2.421.579 $ | 0,07 | 2.375.000 |
| Pacific Gas and Electric Co | PACIFIC GAS&ELEC | DBT | 694308JN8 | Long | Modellwert (Stufe 2) | 5.392.058 $ | 0,15 | 5.968.831 | |
| Swedbank AB | SWEDBANK AB | DBT | 870195AC8 | Long | Modellwert (Stufe 2) | beschränkt | 1.389.275 $ | 0,04 | 1.360.000 |
| Kenvue Inc | KENVUE INC | DBT | 49177JAK8 | Long | Modellwert (Stufe 2) | 4.699.295 $ | 0,13 | 4.737.000 | |
| Athene Global Funding | ATHENE GLOBAL FU | DBT | 04685A4G3 | Long | Modellwert (Stufe 2) | beschränkt | 4.694.507 $ | 0,13 | 4.767.000 |
| Macquarie Group Ltd | MACQUARIE GROUP | DBT | 55608JAZ1 | Long | Modellwert (Stufe 2) | beschränkt | 2.591.907 $ | 0,07 | 2.788.000 |
| Lockheed Martin Corp | LOCKHEED MARTIN | DBT | 539830BX6 | Long | Modellwert (Stufe 2) | 2.066.675 $ | 0,06 | 2.136.000 | |
| Welltower OP LLC | WELLTOWER OP LLC | DBT | 95041AAG3 | Long | Modellwert (Stufe 2) | 1.484.124 $ | 0,04 | 1.487.000 | |
| Royal Bank of Canada | ROYAL BK CANADA | DBT | 78016FZX5 | Long | Modellwert (Stufe 2) | 1.376.070 $ | 0,04 | 1.364.000 | |
| Credit Agricole SA | CRED AGRICOLE SA | DBT | 22535WAT4 | Long | Modellwert (Stufe 2) | beschränkt | 2.996.948 $ | 0,08 | 2.995.000 |
| Eastern Gas Transmission & Storage Inc | EASTERN GAS TRAN | DBT | 276480AD2 | Long | Modellwert (Stufe 2) | 2.029.466 $ | 0,06 | 2.313.000 | |
| TotalEnergies Capital SA | TOTALENERGIES | DBT | 89157XAF8 | Long | Modellwert (Stufe 2) | 4.285.113 $ | 0,12 | 4.504.000 | |
| CenterPoint Energy Resources Corp | CENTERPOINT ENER | DBT | 15189WAL4 | Long | Modellwert (Stufe 2) | 3.525.748 $ | 0,10 | 3.491.000 | |
| Ascension Health | ASCENSION HEALTH | DBT | 04352EAA3 | Long | Modellwert (Stufe 2) | 3.164.141 $ | 0,09 | 3.270.000 | |
| Extra Space Storage LP | EXTRA SPACE STOR | DBT | 30225VAR8 | Long | Modellwert (Stufe 2) | 2.828.162 $ | 0,08 | 2.770.000 | |
| Barclays PLC | BARCLAYS PLC | DBT | 06738EDD4 | Long | Modellwert (Stufe 2) | 2.492.585 $ | 0,07 | 2.500.000 | |
| CaixaBank SA | CAIXABANK | DBT | 12803RAK0 | Long | Modellwert (Stufe 2) | beschränkt | 2.556.752 $ | 0,07 | 2.556.000 |
| DNB Bank ASA | DNB BANK ASA | DBT | 25601B2B0 | Long | Modellwert (Stufe 2) | beschränkt | 2.247.657 $ | 0,06 | 2.290.000 |
| Banque Federative du Credit Mutuel SA | BANQ FED CRD MUT | DBT | 06675DCR1 | Long | Modellwert (Stufe 2) | beschränkt | 2.563.572 $ | 0,07 | 2.529.000 |
| Penske Truck Leasing Co Lp / PTL Finance Corp | PENSKE TRUCK LE | DBT | 709599BR4 | Long | Modellwert (Stufe 2) | beschränkt | 4.957.148 $ | 0,14 | 4.853.000 |
| CommonSpirit Health | COMMONSPIRIT | DBT | 20268JAR4 | Long | Modellwert (Stufe 2) | 4.393.431 $ | 0,12 | 4.595.000 | |
| Columbia Pipelines Operating Co LLC | COLUMBIA PIPE OC | DBT | 19828TAE6 | Long | Modellwert (Stufe 2) | beschränkt | 3.026.609 $ | 0,08 | 2.879.000 |
| KLA Corp | KLA CORP | DBT | 482480AM2 | Long | Modellwert (Stufe 2) | 1.253.001 $ | 0,03 | 1.401.000 | |
| Metropolitan Life Global Funding I | MET LIFE GLOB | DBT | 59217GET2 | Long | Modellwert (Stufe 2) | beschränkt | 3.346.342 $ | 0,09 | 3.535.000 |
| Southwestern Electric Power Co | SOUTHWESTN EL PR | DBT | 845437BW1 | Long | Modellwert (Stufe 2) | 2.575.445 $ | 0,07 | 2.640.000 | |
| RGA Global Funding | RGA GLOBAL | DBT | 76209PAF0 | Long | Modellwert (Stufe 2) | beschränkt | 4.513.444 $ | 0,12 | 4.495.000 |
| New York Life Global Funding | NEW YORK LIFE GL | DBT | 64952WFE8 | Long | Modellwert (Stufe 2) | beschränkt | 1.201.631 $ | 0,03 | 1.195.000 |
| Brighthouse Financial Global Funding | BRIGHTHS FIN GLB | DBT | 10921U2L1 | Long | Modellwert (Stufe 2) | beschränkt | 2.204.350 $ | 0,06 | 2.231.000 |
| Societe Generale SA | SOCIETE GENERALE | DBT | 83368RCN0 | Long | Modellwert (Stufe 2) | beschränkt | 1.194.884 $ | 0,03 | 1.235.000 |
| Enterprise Products Operating LLC | ENTERPRISE PRODU | DBT | 29379VBC6 | Long | Modellwert (Stufe 2) | 2.834.167 $ | 0,08 | 3.115.000 | |
| Cedars-Sinai Health System | CEDARS-SINAI HLT | DBT | 15073LAA1 | Long | Modellwert (Stufe 2) | 1.188.595 $ | 0,03 | 1.330.000 | |
| Fortis Inc/Canada | FORTIS INC | DBT | 349553AM9 | Long | Modellwert (Stufe 2) | 1.186.209 $ | 0,03 | 1.195.000 | |
| Sammons Financial Group Global Funding | SAMMONS FIN GLO | DBT | 79587J2C6 | Long | Modellwert (Stufe 2) | beschränkt | 1.661.510 $ | 0,05 | 1.655.000 |
| Synopsys Inc | SYNOPSYS INC | DBT | 871607AD9 | Long | Modellwert (Stufe 2) | 1.174.980 $ | 0,03 | 1.165.000 | |
| Capital One Financial Corp | CAPITAL ONE FINL | DBT | 14040HDC6 | Long | Modellwert (Stufe 2) | 1.588.673 $ | 0,04 | 1.467.000 | |
| Nationwide Mutual Insurance Co | NATIONWIDE MUTL | DBT | 638671AN7 | Long | Modellwert (Stufe 2) | beschränkt | 1.150.509 $ | 0,03 | 1.520.000 |
| Regents of the University of California Medical Center Pooled Revenue | UNIV OF CA REGENTS-Q | DBT | 913366KW9 | Long | Modellwert (Stufe 2) | 3.220.192 $ | 0,09 | 3.820.000 | |
| Realty Income Corp | REALTY INCOME | DBT | 756109BL7 | Long | Modellwert (Stufe 2) | 5.368.984 $ | 0,15 | 5.562.000 | |
| PNC Bank NA | PNC BANK NA | DBT | 69353RFG8 | Long | Modellwert (Stufe 2) | 1.145.838 $ | 0,03 | 1.165.000 | |
| Sutter Health | SUTTER HEALTH | DBT | 86944BAQ6 | Long | Modellwert (Stufe 2) | 1.813.576 $ | 0,05 | 1.795.000 | |
| Duke Energy Progress Nc Storm Funding II LLC | DUKE ENE II | DBT | 26443NAA7 | Long | Modellwert (Stufe 2) | 1.131.291 $ | 0,03 | 1.150.000 | |
| Mexico Government International Bond | UNITED MEXICAN | DBT | 91087BBR0 | Long | Modellwert (Stufe 2) | 3.682.436 $ | 0,10 | 3.817.000 | |
| BAT Capital Corp | BAT CAPITAL CORP | DBT | 05526DBD6 | Long | Modellwert (Stufe 2) | 4.973.120 $ | 0,14 | 5.050.000 | |
| Duke Energy Carolinas Nc Storm Funding II LLC | DUKE ENERGY II | DBT | 26443UAB9 | Long | Modellwert (Stufe 2) | 1.100.074 $ | 0,03 | 1.125.000 | |
| Simon Property Group LP | SIMON PROP GP LP | DBT | 828807DF1 | Long | Modellwert (Stufe 2) | 1.731.325 $ | 0,05 | 1.818.000 | |
| Texas Electric Market Stabilization Funding N LLC | TX ELECTRIC MRKT | DBT | 88240TAB7 | Long | Modellwert (Stufe 2) | beschränkt | 2.052.877 $ | 0,06 | 2.155.000 |
| Pricoa Global Funding I | PRICOA GLOB FUND | DBT | 74153WCS6 | Long | Modellwert (Stufe 2) | beschränkt | 1.563.943 $ | 0,04 | 1.548.000 |
| Emera US Finance LP | EMERA US FINANCE | DBT | 29103DAM8 | Long | Modellwert (Stufe 2) | 1.788.488 $ | 0,05 | 2.016.000 | |
| Oracle Corp | ORACLE CORP | DBT | 68389XEC5 | Long | Modellwert (Stufe 2) | 3.628.182 $ | 0,10 | 4.164.000 | |
| Nationwide Financial Services Inc | NATIONWIDE FIN | DBT | 638612AM3 | Long | Modellwert (Stufe 2) | beschränkt | 1.061.279 $ | 0,03 | 1.430.000 |
| Cisco Systems Inc | CISCO SYSTEMS | DBT | 17275RBT8 | Long | Modellwert (Stufe 2) | 1.892.261 $ | 0,05 | 1.884.000 | |
| Oregon School Boards Association | OR SCH BRDS-TXB-PENSI | DBT | 686053DR7 | Long | Modellwert (Stufe 2) | 1.058.701 $ | 0,03 | 1.044.237 | |
| Honeywell Aerospace Inc | HONEYWELL AEROSP | DBT | 43849RAF2 | Long | Modellwert (Stufe 2) | beschränkt | 2.599.377 $ | 0,07 | 2.625.000 |
| JBS NV | JBS 5.625 3/10/2037 | DBT | 46590XBA3 | Long | Modellwert (Stufe 2) | beschränkt | 1.056.361 $ | 0,03 | 1.055.000 |
| CNO Global Funding | CNO GLOBAL FUND | DBT | 18977W2D1 | Long | Modellwert (Stufe 2) | beschränkt | 1.614.902 $ | 0,04 | 1.620.000 |
| City of San Antonio TX Electric & Gas Systems Revenue | SAN ANTONIO ELEC & -A | DBT | 79625GNC3 | Long | Modellwert (Stufe 2) | 1.524.363 $ | 0,04 | 1.525.000 | |
| Hyundai Capital America | HYUNDAI CAP AMER | DBT | 44891ABZ9 | Long | Modellwert (Stufe 2) | beschränkt | 1.046.474 $ | 0,03 | 1.060.000 |
| Ameren Illinois Co | AMEREN ILLINOIS | DBT | 02361DAA8 | Long | Modellwert (Stufe 2) | 1.142.607 $ | 0,03 | 1.140.000 | |
| Massachusetts School Building Authority | MA ST | DBT | 576000KV4 | Long | Modellwert (Stufe 2) | 1.031.622 $ | 0,03 | 1.000.000 | |
| Florida Power & Light Co | FLORIDA PWR & LT | DBT | 341081ES2 | Long | Modellwert (Stufe 2) | 3.437.657 $ | 0,09 | 3.518.000 | |
| Eni SpA | ENI SPA | DBT | 26874RAP3 | Long | Modellwert (Stufe 2) | beschränkt | 1.022.249 $ | 0,03 | 1.030.000 |
| Healthpeak OP LLC | HEALTHPEAK OP | DBT | 42250GAB9 | Long | Modellwert (Stufe 2) | 3.172.849 $ | 0,09 | 3.320.000 | |
| UniCredit SpA | UNICREDIT SPA | DBT | 904678AW9 | Long | Modellwert (Stufe 2) | beschränkt | 1.927.681 $ | 0,05 | 2.015.000 |
| Duke Energy Carolinas LLC | DUKE ENERGY CAR | DBT | 26442CBK9 | Long | Modellwert (Stufe 2) | 2.027.714 $ | 0,06 | 2.186.000 | |
| Niagara Mohawk Power Corp | NIAGARA MOHAWK | DBT | 65364UAL0 | Long | Modellwert (Stufe 2) | beschränkt | 1.329.412 $ | 0,04 | 1.540.000 |
| ENEL Finance International NV | ENEL FIN INTL NV | DBT | 29278GBG2 | Long | Modellwert (Stufe 2) | beschränkt | 1.379.400 $ | 0,04 | 1.400.000 |
| Port Authority of New York & New Jersey | NY & NJ PORT AUTH-239 | DBT | 73358XJB9 | Long | Modellwert (Stufe 2) | 2.857.685 $ | 0,08 | 3.335.000 | |
| QUALCOMM Inc | QUALCOMM INC | DBT | 747525BK8 | Long | Modellwert (Stufe 2) | 3.204.984 $ | 0,09 | 3.493.000 | |
| CSL Finance PLC | CSL FINANCE PLC | DBT | 12661PAE9 | Long | Modellwert (Stufe 2) | beschränkt | 981.080 $ | 0,03 | 1.164.000 |
| San Diego Gas & Electric Co | SAN DIEGO G & E | DBT | 797440CD4 | Long | Modellwert (Stufe 2) | 1.800.928 $ | 0,05 | 2.126.000 | |
| Prologis LP | PROLOGIS LP | DBT | 74340XCR0 | Long | Modellwert (Stufe 2) | 1.270.344 $ | 0,04 | 1.252.000 | |
| SSM Health Care Corp | SSM HEALTH CARE | DBT | 784710AA3 | Long | Modellwert (Stufe 2) | 934.396 $ | 0,03 | 940.000 | |
| Canadian Imperial Bank of Commerce | CAN IMPERIAL BK | DBT | 13607PHS6 | Long | Modellwert (Stufe 2) | 2.556.190 $ | 0,07 | 2.560.000 | |
| Jersey Central Power & Light Co | JERSEY CENT P&L | DBT | 476556DF9 | Long | Modellwert (Stufe 2) | 925.694 $ | 0,03 | 925.000 | |
| Chile Government International Bond | CHILE | DBT | 168863DT2 | Long | Modellwert (Stufe 2) | 1.819.691 $ | 0,05 | 2.205.000 | |
| Providence St Joseph Health Obligated Group | ST JOSEPH HLTH | DBT | 743820AA0 | Long | Modellwert (Stufe 2) | 2.326.526 $ | 0,06 | 2.449.000 | |
| Teachers Insurance & Annuity Association of America | TEACHERS INS&ANN | DBT | 878091BF3 | Long | Modellwert (Stufe 2) | beschränkt | 919.683 $ | 0,03 | 1.145.000 |
| AEP Texas Inc | AEP TEXAS | DBT | 00108WAV2 | Long | Modellwert (Stufe 2) | 1.429.950 $ | 0,04 | 1.685.000 | |
| Charles Schwab Corp/The | CHARLES SCHWAB | DBT | 808513BP9 | Long | Modellwert (Stufe 2) | 913.518 $ | 0,03 | 952.000 | |
| Verizon Communications Inc | VERIZON COMM INC | DBT | 92343VHH0 | Long | Modellwert (Stufe 2) | 910.428 $ | 0,03 | 935.000 | |
| Greensaif Pipelines Bidco Sarl | GREENSAIF PIPELI | DBT | 39541EAD5 | Long | Modellwert (Stufe 2) | beschränkt | 3.597.474 $ | 0,10 | 3.558.000 |
| State Board of Administration Finance Corp | FLORIDA ST BRD OF ADM | DBT | 341271AE4 | Long | Modellwert (Stufe 2) | 899.745 $ | 0,02 | 925.000 | |
| City of New York NY | NEW YORK-TXBL C-2 | DBT | 64966SGN0 | Long | Modellwert (Stufe 2) | 1.866.349 $ | 0,05 | 1.950.000 | |
| International Business Machines Corp | IBM CORP | DBT | 459200KC4 | Long | Modellwert (Stufe 2) | 1.504.275 $ | 0,04 | 1.854.000 | |
| Public Service Enterprise Group Inc | PUBLIC SERVICE | DBT | 744573AY2 | Long | Modellwert (Stufe 2) | 1.919.583 $ | 0,05 | 1.890.000 | |
| Citigroup Inc | CITIGROUP INC | DBT | 172967LU3 | Long | Modellwert (Stufe 2) | 2.623.354 $ | 0,07 | 2.930.000 | |
| CenterPoint Energy Houston Electric LLC | CENTERPOINT HOUS | DBT | 15189XBL1 | Long | Modellwert (Stufe 2) | 1.603.354 $ | 0,04 | 1.616.000 | |
| Berkshire Hathaway Energy Co | BERKSHIRE HATHAW | DBT | 59562VBD8 | Long | Modellwert (Stufe 2) | 2.048.309 $ | 0,06 | 2.138.000 | |
| Reynolds American Inc | REYNOLDS AMERICA | DBT | 761713BB1 | Long | Modellwert (Stufe 2) | 1.137.817 $ | 0,03 | 1.160.000 | |
| Gilead Sciences Inc | GILEAD SCIENCES | DBT | 375558BK8 | Long | Modellwert (Stufe 2) | 946.434 $ | 0,03 | 1.181.000 | |
| Northwestern Mutual Global Funding | NW MUTUAL GLOBAL | DBT | 66815L2S7 | Long | Modellwert (Stufe 2) | beschränkt | 863.992 $ | 0,02 | 845.000 |
| Duke Energy Progress NC Storm Funding LLC | DUKE ENERGY PROG | DBT | 26444BAB0 | Long | Modellwert (Stufe 2) | 861.369 $ | 0,02 | 1.010.000 | |
| Time Warner Cable LLC | TIME WARNER CABL | DBT | 88732JBB3 | Long | Modellwert (Stufe 2) | 850.229 $ | 0,02 | 988.000 | |
| Deutsche Bank AG/New York NY | DEUTSCHE BANK NY | DBT | 251526DD8 | Long | Modellwert (Stufe 2) | 849.723 $ | 0,02 | 865.000 | |
| Columbia Pipelines Holding Co LLC | COLUMBIA PIPE HC | DBT | 19828AAF4 | Long | Modellwert (Stufe 2) | beschränkt | 1.259.208 $ | 0,03 | 1.260.000 |
| Galaxy Pipeline Assets Bidco Ltd | GALAXY PIPELINE | DBT | 36321PAD2 | Long | Modellwert (Stufe 2) | beschränkt | 1.619.674 $ | 0,04 | 1.911.864 |
| Ventas Realty LP | VENTAS REALTY LP | DBT | 92277GBC0 | Long | Modellwert (Stufe 2) | 840.447 $ | 0,02 | 860.000 | |
| VICI Properties LP | VICI PROPERTIE | DBT | 925650AG8 | Long | Modellwert (Stufe 2) | 1.658.560 $ | 0,05 | 1.707.000 | |
| Caterpillar Inc | CATERPILLAR INC | DBT | 149123CL3 | Long | Modellwert (Stufe 2) | 829.322 $ | 0,02 | 810.000 | |
| Eaton Corp | EATON CORP | DBT | 278058DX7 | Long | Modellwert (Stufe 2) | 1.884.315 $ | 0,05 | 1.910.000 | |
| Potomac Electric Power Co | POTOMAC ELEC PWR | DBT | 737679DB3 | Long | Modellwert (Stufe 2) | 827.213 $ | 0,02 | 750.000 | |
| Equitable Financial Life Global Funding | EQUITABLE FINANC | DBT | 29449WAF4 | Long | Modellwert (Stufe 2) | beschränkt | 1.593.753 $ | 0,04 | 1.660.000 |
| Kaiser Foundation Hospitals | KAISER FOUN HOSP | DBT | 48305QAF0 | Long | Modellwert (Stufe 2) | 1.803.761 $ | 0,05 | 2.510.000 | |
| Mitsubishi UFJ Financial Group Inc | MITSUB UFJ FIN | DBT | 606822CL6 | Long | Modellwert (Stufe 2) | 820.403 $ | 0,02 | 815.000 | |
| Crown Castle Inc | CROWN CASTLE INC | DBT | 22822VBE0 | Long | Modellwert (Stufe 2) | 1.557.279 $ | 0,04 | 1.605.000 | |
| Sales Tax Securitization Corp | SALES TAX-B-REF-TXBL | DBT | 79467BDX0 | Long | Modellwert (Stufe 2) | 816.398 $ | 0,02 | 1.000.000 | |
| Charter Communications Operating LLC / Charter Communications Operating Capital | CHARTER COMM OPT | DBT | 161175CE2 | Long | Modellwert (Stufe 2) | 989.389 $ | 0,03 | 1.359.000 | |
| Public Service Electric and Gas Co | PUBLIC SERVICE | DBT | 74456QCU8 | Long | Modellwert (Stufe 2) | 1.771.172 $ | 0,05 | 1.791.000 | |
| Via Transportation Inc | VIA TRANSPOR-A | EC | 92556W104 | Long | Börsenkurs (Stufe 1) | 804.780 $ | 0,02 | 53.652 | |
| Illinois State Toll Highway Authority | IL TWY TXB-A-SR PRIOR | DBT | 452252FH7 | Long | Modellwert (Stufe 2) | 797.432 $ | 0,02 | 750.000 | |
| Progressive Corp/The | PROGRESSIVE CORP | DBT | 743315BD4 | Long | Modellwert (Stufe 2) | 786.930 $ | 0,02 | 785.000 | |
| CRH SMW Finance DAC | CRH SMW FINANCE | DBT | 12704PAB4 | Long | Modellwert (Stufe 2) | 782.732 $ | 0,02 | 770.000 | |
| NTT Finance Corp | NTT FINANCE | DBT | 62954WAS4 | Long | Modellwert (Stufe 2) | beschränkt | 1.376.330 $ | 0,04 | 1.370.000 |
| Eversource Energy | EVERSOURCE ENERG | DBT | 30040WAT5 | Long | Modellwert (Stufe 2) | 1.889.010 $ | 0,05 | 1.880.000 | |
| MidAmerican Energy Co | MIDAMERICAN ENER | DBT | 595620AV7 | Long | Modellwert (Stufe 2) | 953.768 $ | 0,03 | 1.391.000 | |
| Principal Life Global Funding II | PRINCIPAL LFE II | DBT | 74256LBG3 | Long | Modellwert (Stufe 2) | beschränkt | 769.149 $ | 0,02 | 825.000 |
| John Deere Capital Corp | JOHN DEERE CAP | DBT | 24422EXH7 | Long | Modellwert (Stufe 2) | 1.574.088 $ | 0,04 | 1.550.000 | |
| America Movil SAB de CV | AMERICA MOVIL SA | DBT | 02364WBH7 | Long | Modellwert (Stufe 2) | 758.665 $ | 0,02 | 780.000 | |
| QatarEnergy | QATAR ENERGY | DBT | XS2357494751 | Long | Modellwert (Stufe 2) | 756.221 $ | 0,02 | 1.175.000 | |
| Protective Life Global Funding | PROTECTIVE LIFE | DBT | 74368CBP8 | Long | Modellwert (Stufe 2) | beschränkt | 1.765.629 $ | 0,05 | 1.745.000 |
| FirstEnergy Corp | FIRSTENERGY CORP | DBT | 337932AP2 | Long | Modellwert (Stufe 2) | 1.473.084 $ | 0,04 | 1.833.000 | |
| Diamondback Energy Inc | DIAMONDBACK ENER | DBT | 25278XBC2 | Long | Modellwert (Stufe 2) | 1.535.891 $ | 0,04 | 1.575.000 | |
| Cleco Securitization I LLC | CLECO SECURIT I | DBT | 185512AB6 | Long | Modellwert (Stufe 2) | 738.370 $ | 0,02 | 765.000 | |
| Nationwide Building Society | NATIONWIDE BLDG | DBT | 63861VAM9 | Long | Modellwert (Stufe 2) | beschränkt | 1.221.446 $ | 0,03 | 1.220.000 |
| Wisconsin Electric Power Co | WISCONSIN ELECTR | DBT | 976656BZ0 | Long | Modellwert (Stufe 2) | 725.154 $ | 0,02 | 690.000 | |
| Intel Corp | INTEL CORP | DBT | 458140CH1 | Long | Modellwert (Stufe 2) | 1.570.366 $ | 0,04 | 2.017.000 | |
| BlackRock Funding Inc | BLACKROCK FUND | DBT | 09290DAC5 | Long | Modellwert (Stufe 2) | 1.138.330 $ | 0,03 | 1.215.000 | |
| Takeda Pharmaceutical Co Ltd | TAKEDA PHARM | DBT | 874060BK1 | Long | Modellwert (Stufe 2) | 706.093 $ | 0,02 | 698.000 | |
| Basin Electric Power Cooperative | BASIN ELEC POWER | DBT | 070101AJ9 | Long | Modellwert (Stufe 2) | beschränkt | 702.414 $ | 0,02 | 720.000 |
| Oglethorpe Power Corp | OGLETHORPE POWER | DBT | 677050AC0 | Long | Modellwert (Stufe 2) | beschränkt | 2.042.255 $ | 0,06 | 2.177.625 |
| Oregon State University | OREGON ST UNIV GEN | DBT | 68608WAL6 | Long | Modellwert (Stufe 2) | 697.258 $ | 0,02 | 1.000.000 | |
| Bay Area Toll Authority | BAY AREA TOLL-S1 | DBT | 072024NV0 | Long | Modellwert (Stufe 2) | 753.368 $ | 0,02 | 673.698 | |
| Alabama Power Co | ALABAMA POWER CO | DBT | 010392FB9 | Long | Modellwert (Stufe 2) | 2.575.569 $ | 0,07 | 2.869.000 | |
| KBC Group NV | KBC GROUP NV | DBT | 48241FAC8 | Long | Modellwert (Stufe 2) | beschränkt | 683.462 $ | 0,02 | 640.000 |
| State Street Corp | STATE STREET CRP | DBT | 857477CX9 | Long | Modellwert (Stufe 2) | 1.799.861 $ | 0,05 | 1.790.000 | |
| Louisiana Local Government Environmental Facilities & Community Development Auth | LA LOCAL GOVT -A1-A3 | DBT | 54627RAT7 | Long | Modellwert (Stufe 2) | 681.246 $ | 0,02 | 670.000 | |
| PG&E Wildfire Recovery Funding LLC | PG&E WILDFIRE | DBT | 693342AJ6 | Long | Modellwert (Stufe 2) | 1.626.482 $ | 0,04 | 1.770.000 | |
| OhioHealth Corp | OHIOHEALTH | DBT | 67777JAL2 | Long | Modellwert (Stufe 2) | 1.030.731 $ | 0,03 | 1.245.000 | |
| Marsh & McLennan Cos Inc | MARSH & MCLENNAN | DBT | 571748BG6 | Long | Modellwert (Stufe 2) | 1.440.961 $ | 0,04 | 1.695.000 | |
| Cargill Inc | CARGILL INC | DBT | 141784BH0 | Long | Modellwert (Stufe 2) | beschränkt | 671.832 $ | 0,02 | 645.000 |
| GLP Capital LP / GLP Financing II Inc | GLP CAP/FIN II | DBT | 361841AV1 | Long | Modellwert (Stufe 2) | 1.305.761 $ | 0,04 | 1.343.000 | |
| KeySpan Gas East Corp | KEYSPAN GAS EAST | DBT | 49338CAB9 | Long | Modellwert (Stufe 2) | beschränkt | 666.077 $ | 0,02 | 670.000 |
| Banner Health | BANNER HEALTH | DBT | 06654DAG2 | Long | Modellwert (Stufe 2) | 660.793 $ | 0,02 | 910.000 | |
| Ooredoo International Finance Ltd | OOREDOO INTL FIN | DBT | 74735KAA0 | Long | Modellwert (Stufe 2) | beschränkt | 659.225 $ | 0,02 | 725.000 |
| Rio Tinto Finance USA PLC | RIO TINTO FIN PL | DBT | 76720AAV8 | Long | Modellwert (Stufe 2) | 1.132.943 $ | 0,03 | 1.130.000 | |
| Imperial Brands Finance PLC | IMPERIAL BRANDS | DBT | 45262BAJ2 | Long | Modellwert (Stufe 2) | beschränkt | 655.458 $ | 0,02 | 655.000 |
| NLG Global Funding | NLG GLB FUNDING | DBT | 62915W2B8 | Long | Modellwert (Stufe 2) | beschränkt | 653.667 $ | 0,02 | 665.000 |
| Grand Parkway Transportation Corp | GRAND PARKWAY TRANSPR | DBT | 38611TDL8 | Long | Modellwert (Stufe 2) | 787.661 $ | 0,02 | 1.070.000 | |
| Omnis Funding Trust | OMNIS FUND TRUST | DBT | 68218WAA2 | Long | Modellwert (Stufe 2) | beschränkt | 645.541 $ | 0,02 | 640.000 |
| DTE Energy Co | DTE ENERGY CO | DBT | 233331BM8 | Long | Modellwert (Stufe 2) | 1.047.252 $ | 0,03 | 1.035.000 | |
| Ameriprise Financial Inc | AMERIPRISE FINL | DBT | 03076CAM8 | Long | Modellwert (Stufe 2) | 1.484.296 $ | 0,04 | 1.459.000 | |
| Lowe's Cos Inc | LOWE'S COS INC | DBT | 548661EN3 | Long | Modellwert (Stufe 2) | 641.191 $ | 0,02 | 672.000 | |
| Orange SA | FRANCE TELECOM | DBT | 35177PAL1 | Long | Modellwert (Stufe 2) | 626.307 $ | 0,02 | 530.000 | |
| Cooperatieve Rabobank UA | COOPERATIEVE RAB | DBT | 74977RDR2 | Long | Modellwert (Stufe 2) | beschränkt | 626.157 $ | 0,02 | 625.000 |
| MPLX LP | MPLX LP | DBT | 55336VBX7 | Long | Modellwert (Stufe 2) | 622.130 $ | 0,02 | 615.000 | |
| University of Minnesota | UNIV OF MINNESOTA MN | DBT | 914460WT3 | Long | Modellwert (Stufe 2) | 619.853 $ | 0,02 | 775.000 | |
| Mass General Brigham Inc | PARTNERS HEALTH | DBT | 70213HAF5 | Long | Modellwert (Stufe 2) | 981.626 $ | 0,03 | 1.490.000 | |
| Australia & New Zealand Banking Group Ltd | AUST & NZ BANK | DBT | 052528AM8 | Long | Modellwert (Stufe 2) | beschränkt | 612.526 $ | 0,02 | 685.000 |
| University of Michigan | UNIV OF MICHIGAN MI | DBT | 914455UG3 | Long | Modellwert (Stufe 2) | 763.973 $ | 0,02 | 1.207.000 | |
| ONEOK Inc | ONEOK INC | DBT | 682680DB6 | Long | Modellwert (Stufe 2) | 2.568.546 $ | 0,07 | 2.554.000 | |
| Johnsonville Aeroderivative Combustion Turbine Generation LLC | JOHNSONVILLE AER | DBT | 479281AA5 | Long | Modellwert (Stufe 2) | 609.987 $ | 0,02 | 646.892 | |
| HCA Inc | HCA INC | DBT | 404119DC0 | Long | Modellwert (Stufe 2) | 2.022.629 $ | 0,06 | 2.124.000 | |
| LSEG Finance PLC | LSEG FINANCE | DBT | 50220PAC7 | Long | Modellwert (Stufe 2) | beschränkt | 599.879 $ | 0,02 | 630.000 |
| Massachusetts Electric Co | MASS ELECTRIC CO | DBT | 575634AS9 | Long | Modellwert (Stufe 2) | beschränkt | 598.312 $ | 0,02 | 585.000 |
| Cheniere Energy Partners LP | CHENIERE ENERGYP | DBT | 16411QAQ4 | Long | Modellwert (Stufe 2) | 587.363 $ | 0,02 | 560.000 | |
| University of California | UNIV OF CALIFORNIA-BG | DBT | 91412HGG2 | Long | Modellwert (Stufe 2) | 1.317.917 $ | 0,04 | 1.430.000 | |
| J Paul Getty Trust/The | J PAUL GETTY TRS | DBT | 374288AC2 | Long | Modellwert (Stufe 2) | 582.682 $ | 0,02 | 580.000 | |
| Bon Secours Mercy Health Inc | BON SECOURS HLTH | DBT | 09778PAA3 | Long | Modellwert (Stufe 2) | 1.142.338 $ | 0,03 | 1.160.000 | |
| BAE Systems PLC | BAE SYSTEMS PLC | DBT | 05523RAL1 | Long | Modellwert (Stufe 2) | beschränkt | 1.224.266 $ | 0,03 | 1.225.000 |
| Prologis Targeted US Logistics Fund LP | PROLOGIS TARGETE | DBT | 74350LAC8 | Long | Modellwert (Stufe 2) | beschränkt | 562.016 $ | 0,02 | 561.000 |
| Novartis Capital Corp | NOVARTIS CAPITAL | DBT | 66989HAH1 | Long | Modellwert (Stufe 2) | 1.781.118 $ | 0,05 | 1.860.000 | |
| OMERS Finance Trust | OMERS FINANCE TR | DBT | 682142AJ3 | Long | Modellwert (Stufe 2) | beschränkt | 560.258 $ | 0,02 | 560.000 |
| CVS Health Corp | CVS HEALTH CORP | DBT | 126650DY3 | Long | Modellwert (Stufe 2) | 1.213.954 $ | 0,03 | 1.217.000 | |
| Brooklyn Union Gas Co/The | BROOKLYN UNION | DBT | 114259AQ7 | Long | Modellwert (Stufe 2) | beschränkt | 553.719 $ | 0,02 | 708.000 |
| Mutual of Omaha Cos Global Funding | MUTUAL OF OMAHA | DBT | 62829D2F6 | Long | Modellwert (Stufe 2) | beschränkt | 553.626 $ | 0,02 | 550.000 |
| AdventHealth Obligated Group | ADVENTHEALTH | DBT | 00778XAA5 | Long | Modellwert (Stufe 2) | 551.446 $ | 0,02 | 900.000 | |
| EIG Pearl Holdings Sarl | EIG PEARL HOLDIN | DBT | 28249NAA9 | Long | Modellwert (Stufe 2) | beschränkt | 916.388 $ | 0,03 | 1.082.017 |
| GA Global Funding Trust | GA GLOBAL FNDING | DBT | 36143L2Q7 | Long | Modellwert (Stufe 2) | beschränkt | 544.793 $ | 0,02 | 555.000 |
| Public Service Co of Colorado | PUBLIC SERV COLO | DBT | 744448DD0 | Long | Modellwert (Stufe 2) | 543.421 $ | 0,01 | 545.000 | |
| NNN REIT Inc | NNN REIT | DBT | 637417AT3 | Long | Modellwert (Stufe 2) | 543.164 $ | 0,01 | 535.000 | |
| Siemens Financieringsmaatschappij NV | SIEMENS FINAN | DBT | 82620KBE2 | Long | Modellwert (Stufe 2) | beschränkt | 1.020.039 $ | 0,03 | 1.150.000 |
| Northwestern Mutual Life Insurance Co/The | NORTHWESTERN MUT | DBT | 668138AA8 | Long | Modellwert (Stufe 2) | beschränkt | 713.111 $ | 0,02 | 966.000 |
| Trane Technologies Financing Ltd | TRANE TECH | DBT | 892938AA9 | Long | Modellwert (Stufe 2) | 528.643 $ | 0,01 | 515.000 | |
| Blackstone Holdings Finance Co LLC | BLACKSTONE HLDGS | DBT | 09261BAG5 | Long | Modellwert (Stufe 2) | beschränkt | 528.106 $ | 0,01 | 605.000 |
| FirstEnergy Transmission LLC | FIRSTENERGY TRAN | DBT | 33767BAH2 | Long | Modellwert (Stufe 2) | 515.001 $ | 0,01 | 523.000 | |
| North Texas Tollway Authority | N TX HWY-TXB-B | DBT | 66285WFB7 | Long | Modellwert (Stufe 2) | 507.477 $ | 0,01 | 465.000 | |
| Blackstone Reg Finance Co L.L.C. | BLACKSTONE REG | DBT | 092914AA8 | Long | Modellwert (Stufe 2) | 500.149 $ | 0,01 | 510.000 | |
| Exelon Corp | EXELON CO | DBT | 30161NBE0 | Long | Modellwert (Stufe 2) | 498.713 $ | 0,01 | 540.000 | |
| New Jersey Turnpike Authority | NJ TPK-F-TXB | DBT | 646139W35 | Long | Modellwert (Stufe 2) | 484.630 $ | 0,01 | 410.000 | |
| Duke University | DUKE UNIVERSITY | DBT | 26442TAH0 | Long | Modellwert (Stufe 2) | 479.073 $ | 0,01 | 775.000 | |
| MetLife Inc | METLIFE INC | DBT | 59156RBG2 | Long | Modellwert (Stufe 2) | 934.708 $ | 0,03 | 1.062.000 | |
| American Water Capital Corp | AMERICAN WATER | DBT | 03040WAT2 | Long | Modellwert (Stufe 2) | 588.118 $ | 0,02 | 755.000 | |
| Daimler Truck Finance North America LLC | DAIMLER TRUCK | DBT | 233853BH2 | Long | Modellwert (Stufe 2) | beschränkt | 969.831 $ | 0,03 | 970.000 |
| Trans-Allegheny Interstate Line Co | TRANS-ALLEGHENY | DBT | 893045AF1 | Long | Modellwert (Stufe 2) | beschränkt | 462.203 $ | 0,01 | 455.000 |
| Ameren Missouri Securitization Funding I LLC | AMEREN MISSOURI | DBT | 023940AA7 | Long | Modellwert (Stufe 2) | 454.718 $ | 0,01 | 457.657 | |
| Allstate Corp/The | ALLSTATE CORP | DBT | 020002BK6 | Long | Modellwert (Stufe 2) | 773.947 $ | 0,02 | 798.000 | |
| Element Fleet Management Corp | ELEMENT FLEET MA | DBT | 286181AM4 | Long | Modellwert (Stufe 2) | beschränkt | 453.931 $ | 0,01 | 450.000 |
| Canadian Pacific Railway Co | CANADIAN PACIFIC | DBT | 13648TAE7 | Long | Modellwert (Stufe 2) | 642.197 $ | 0,02 | 710.000 | |
| Schlumberger Holdings Corp | SCHLUMBERGER HLD | DBT | 806851AM3 | Long | Modellwert (Stufe 2) | beschränkt | 435.688 $ | 0,01 | 430.000 |
| University of Southern California | UNIV OF SOUTHERN | DBT | 914886AH9 | Long | Modellwert (Stufe 2) | 434.679 $ | 0,01 | 475.000 | |
| Burlington Northern Santa Fe LLC | BURLINGTON NORTH | DBT | 12189LBH3 | Long | Modellwert (Stufe 2) | 1.965.578 $ | 0,05 | 2.517.000 | |
| Metropolitan Transportation Authority | MET TRNS-TXB-E-UNREF | DBT | 59261A6J1 | Long | Modellwert (Stufe 2) | 490.899 $ | 0,01 | 460.000 | |
| Arizona Public Service Co | ARIZONA PUB SERV | DBT | 040555DJ0 | Long | Modellwert (Stufe 2) | 423.936 $ | 0,01 | 430.000 | |
| City of Riverside CA | RIVERSIDE CA PENSN OB | DBT | 769036BT0 | Long | Modellwert (Stufe 2) | 415.697 $ | 0,01 | 475.000 | |
| Atmos Energy Corp | ATMOS ENERGY COR | DBT | 049560BB0 | Long | Modellwert (Stufe 2) | 413.079 $ | 0,01 | 465.000 | |
| Aviation Capital Group LLC | AVIATION CAPITAL | DBT | 05369AAL5 | Long | Modellwert (Stufe 2) | beschränkt | 409.921 $ | 0,01 | 415.000 |
| Corp Nacional del Cobre de Chile | CODELCO INC | DBT | 21987BBA5 | Long | Modellwert (Stufe 2) | beschränkt | 408.223 $ | 0,01 | 600.000 |
| AstraZeneca PLC | ASTRAZENECA PLC | DBT | 046353AD0 | Long | Modellwert (Stufe 2) | 402.270 $ | 0,01 | 360.000 | |
| Enbridge Inc | ENBRIDGE INC | DBT | 29250NBZ7 | Long | Modellwert (Stufe 2) | 1.355.174 $ | 0,04 | 1.315.000 | |
| Union Pacific Corp | UNION PAC CORP | DBT | 907818FY9 | Long | Modellwert (Stufe 2) | 873.307 $ | 0,02 | 1.130.000 | |
| CK Hutchison International 20 Ltd | CK HUTCHISON INT | DBT | 12564HAB1 | Long | Modellwert (Stufe 2) | beschränkt | 398.227 $ | 0,01 | 560.000 |
| UL Solutions Inc | UL SOLUTIONS | DBT | 903731AC1 | Long | Modellwert (Stufe 2) | 397.818 $ | 0,01 | 380.000 | |
| Memorial Sloan-Kettering Cancer Center | MEMORIAL SLOAN | DBT | 586054AD0 | Long | Modellwert (Stufe 2) | 496.290 $ | 0,01 | 730.000 | |
| Cleco Corporate Holdings LLC | CLECO CORP | DBT | 18551PAE9 | Long | Modellwert (Stufe 2) | 417.625 $ | 0,01 | 444.000 | |
| Inova Health System Foundation | INOVA HEALTH SY | DBT | 45791GAA0 | Long | Modellwert (Stufe 2) | 374.593 $ | 0,01 | 475.000 | |
| Maryland Economic Development Corp | MARYLAND ST ECON DEV | DBT | 574205JJ0 | Long | Modellwert (Stufe 2) | 374.028 $ | 0,01 | 385.000 | |
| Dallas Fort Worth International Airport | DALLAS-FORT WORTH TX | DBT | 2350368N3 | Long | Modellwert (Stufe 2) | 780.802 $ | 0,02 | 1.015.000 | |
| PG&E Energy Recovery Funding LLC | PG&E ENERGY RECO | DBT | 71710TAC2 | Long | Modellwert (Stufe 2) | 454.686 $ | 0,01 | 603.000 | |
| Bermuda Government International Bond | BERMUDA-GOVT OF | DBT | 085209AG9 | Long | Modellwert (Stufe 2) | beschränkt | 497.362 $ | 0,01 | 600.000 |
| American Tower Corp | AMERICAN TOWER | DBT | 03027XCL2 | Long | Modellwert (Stufe 2) | 1.071.398 $ | 0,03 | 1.060.000 | |
| Westinghouse Air Brake Technologies Corp | WESTINGHOUSE AIR | DBT | 960386AT7 | Long | Modellwert (Stufe 2) | 645.804 $ | 0,02 | 635.000 | |
| Advocate Health & Hospitals Corp | ADVOCATE HEALTH | DBT | 007589AE4 | Long | Modellwert (Stufe 2) | 680.445 $ | 0,02 | 900.000 | |
| Met Tower Global Funding | MET TOWER | DBT | 58989V2H6 | Long | Modellwert (Stufe 2) | beschränkt | 346.641 $ | 0,01 | 340.000 |
| Suncor Energy Inc | SUNCOR ENERGY | DBT | 867229AD8 | Long | Modellwert (Stufe 2) | 345.175 $ | 0,01 | 330.000 | |
| Evergy Kansas Central Inc | WESTAR ENERGY | DBT | 95709TAQ3 | Long | Modellwert (Stufe 2) | 342.980 $ | 0,01 | 510.000 | |
| Texas Natural Gas Securitization Finance Corp | TX NATURAL GAS SECZ | DBT | 88258MAB1 | Long | Modellwert (Stufe 2) | 334.218 $ | 0,01 | 330.000 | |
| Bank of New York Mellon/The | BK OF NY MELLON | DBT | 06405LAH4 | Long | Modellwert (Stufe 2) | 332.271 $ | 0,01 | 330.000 | |
| Metropolitan Transportation Authority Dedicated Tax Fund | MTA NY-TXB | DBT | 59259NZH9 | Long | Modellwert (Stufe 2) | 330.240 $ | 0,01 | 285.000 | |
| Indiana Michigan Power Co | IND MICH POWER | DBT | 454889AT3 | Long | Modellwert (Stufe 2) | 329.614 $ | 0,01 | 415.000 | |
| Toronto-Dominion Bank/The | TORONTO DOM BANK | DBT | 89115A2E1 | Long | Modellwert (Stufe 2) | 326.951 $ | 0,01 | 332.000 | |
| Union Electric Co | UNION ELECTRIC | DBT | 906548CN0 | Long | Modellwert (Stufe 2) | 563.529 $ | 0,02 | 673.000 | |
| Huntington National Bank/The | HUNTINGTON NATL | DBT | 44644MAF8 | Long | Modellwert (Stufe 2) | 320.099 $ | 0,01 | 320.000 | |
| Commonwealth Edison Co | COMMONWEALTH EDI | DBT | 202795JG6 | Long | Modellwert (Stufe 2) | 766.498 $ | 0,02 | 973.000 | |
| California State University | CALIFORNIA ST UNIV-B | DBT | 13077DRV6 | Long | Modellwert (Stufe 2) | 527.277 $ | 0,01 | 795.000 | |
| NBCUniversal Media LLC | NBCUNIVERSAL MED | DBT | 63946BAJ9 | Long | Modellwert (Stufe 2) | 298.174 $ | 0,01 | 359.000 | |
| East Ohio Gas Co/The | EAST OHIO GAS CO | DBT | 27409LAE3 | Long | Modellwert (Stufe 2) | beschränkt | 586.163 $ | 0,02 | 800.000 |
| PeaceHealth Obligated Group | PEACEHEALTH OBLI | DBT | 70462GAE8 | Long | Modellwert (Stufe 2) | 528.194 $ | 0,01 | 530.000 | |
| Anglo American Capital PLC | ANGLO AMERICAN | DBT | 034863AX8 | Long | Modellwert (Stufe 2) | beschränkt | 287.827 $ | 0,01 | 315.000 |
| Waste Connections Inc | WASTE CONNECT | DBT | 94106BAJ0 | Long | Modellwert (Stufe 2) | 285.515 $ | 0,01 | 280.000 | |
| Lseg US Fin Corp | LSEG US FIN CORP | DBT | 50222CAF7 | Long | Modellwert (Stufe 2) | beschränkt | 533.978 $ | 0,01 | 535.000 |
| County of Riverside CA | RIVERSIDE CO-TXBL-REV | DBT | 76913CBF5 | Long | Modellwert (Stufe 2) | 273.561 $ | 0,01 | 290.000 | |
| Foothill-Eastern Transportation Corridor Agency | FOOTHILL ESTRN TRANSP | DBT | 345105JG6 | Long | Modellwert (Stufe 2) | 269.845 $ | 0,01 | 345.000 | |
| Lincoln Financial Global Funding | LINCOLN GLOBAL | DBT | 53359KAB7 | Long | Modellwert (Stufe 2) | beschränkt | 269.818 $ | 0,01 | 270.000 |
| EOG Resources Inc | EOG RESOURCES IN | DBT | 26875PBB6 | Long | Modellwert (Stufe 2) | 268.078 $ | 0,01 | 270.000 | |
| Michigan Finance Authority | MICHIGAN ST FIN AUTH | DBT | 59447TXW8 | Long | Modellwert (Stufe 2) | 267.248 $ | 0,01 | 295.000 | |
| Toledo Hospital/The | TOLEDO HOSPITAL | DBT | 889184AD9 | Long | Modellwert (Stufe 2) | 265.781 $ | 0,01 | 265.000 | |
| Southern California Gas Co | SOUTHERN CAL GAS | DBT | 842434CX8 | Long | Modellwert (Stufe 2) | 263.825 $ | 0,01 | 250.000 | |
| Willis North America Inc | WILLIS NORTH AME | DBT | 970648AP6 | Long | Modellwert (Stufe 2) | 261.470 $ | 0,01 | 265.000 | |
| Alcon Finance Corp | ALCON FINANCE CO | DBT | 01400EAE3 | Long | Modellwert (Stufe 2) | beschränkt | 260.650 $ | 0,01 | 255.000 |
| County of Broward FL Airport System Revenue | BROWARD CNTY FL ARPT | DBT | 114894ZW1 | Long | Modellwert (Stufe 2) | 251.656 $ | 0,01 | 300.000 | |
| ING Groep NV | ING GROEP NV | DBT | 456837BL6 | Long | Modellwert (Stufe 2) | 250.197 $ | 0,01 | 245.000 | |
| Tampa Electric Co | TAMPA ELECTRIC | DBT | 875127BM3 | Long | Modellwert (Stufe 2) | 248.223 $ | 0,01 | 245.000 | |
| FirstEnergy Pennsylvania Electric Co | FIRSTENERGY PENN | DBT | 591894CC2 | Long | Modellwert (Stufe 2) | beschränkt | 308.202 $ | 0,01 | 309.000 |
| Whistler Pipeline LLC | WHISTLER PIPELIN | DBT | 96337RAA0 | Long | Modellwert (Stufe 2) | beschränkt | 430.523 $ | 0,01 | 420.000 |
| City of Houston TX | HOUSTON REF-TXB-A-PEN | DBT | 442331QM9 | Long | Modellwert (Stufe 2) | 244.248 $ | 0,01 | 230.000 | |
| Cousins Properties LP | COUSINS LP | DBT | 222793AC5 | Long | Modellwert (Stufe 2) | 238.076 $ | 0,01 | 235.000 | |
| PECO Energy Co | PECO ENERGY CO | DBT | 693304BD8 | Long | Modellwert (Stufe 2) | 234.790 $ | 0,01 | 280.000 | |
| Piedmont Natural Gas Co Inc | PIEDMONT NAT GAS | DBT | 720186AP0 | Long | Modellwert (Stufe 2) | 228.241 $ | 0,01 | 260.000 | |
| Indiana University Health Inc Obligated Group | INDIANA UNIV | DBT | 455170AB6 | Long | Modellwert (Stufe 2) | 226.619 $ | 0,01 | 365.000 | |
| Rutgers The State University of New Jersey | RUTGERS NJ ST UNIV | DBT | 783186UJ6 | Long | Modellwert (Stufe 2) | 223.125 $ | 0,01 | 275.000 | |
| Piedmont Healthcare Inc | PIEDMONT HLTH | DBT | 72014TAC3 | Long | Modellwert (Stufe 2) | 611.611 $ | 0,02 | 850.000 | |
| Mid-Atlantic Interstate Transmission LLC | MID-ATLANTIC INT | DBT | 59524QAA3 | Long | Modellwert (Stufe 2) | beschränkt | 218.767 $ | 0,01 | 220.000 |
| AEP Transmission Co LLC | AEP TRANSMISSION | DBT | 00115AAP4 | Long | Modellwert (Stufe 2) | 378.096 $ | 0,01 | 435.000 | |
| AerCap Ireland Capital DAC / AerCap Global Aviation Trust | AERCAP IRELAND | DBT | 00774MAW5 | Long | Modellwert (Stufe 2) | 216.666 $ | 0,01 | 225.000 | |
| Duke Energy Florida LLC | FLORIDA PWR CORP | DBT | 341099CH0 | Long | Modellwert (Stufe 2) | 494.327 $ | 0,01 | 525.000 | |
| Tucson Electric Power Co | TUCSON ELEC PWR | DBT | 898813AX8 | Long | Modellwert (Stufe 2) | 410.815 $ | 0,01 | 425.000 | |
| Coca-Cola Consolidated Inc | COCA-COLA CONSOL | DBT | 191098AM4 | Long | Modellwert (Stufe 2) | 212.640 $ | 0,01 | 208.000 | |
| Southwest Gas Corp | SOUTHWEST GAS | DBT | 845011AC9 | Long | Modellwert (Stufe 2) | 209.267 $ | 0,01 | 230.000 | |
| AIB Group PLC | AIB GROUP PLC | DBT | 00135TAE4 | Long | Modellwert (Stufe 2) | beschränkt | 206.407 $ | 0,01 | 200.000 |
| Cottage Health Obligated Group | COTTAGE HEALTH | DBT | 22170QAA8 | Long | Modellwert (Stufe 2) | 202.515 $ | 0,01 | 295.000 | |
| Nevada Power Co | NEVADA POWER CO | DBT | 641423CE6 | Long | Modellwert (Stufe 2) | 196.629 $ | 0,01 | 305.000 | |
| Wyeth LLC | WYETH | DBT | 983024AG5 | Long | Modellwert (Stufe 2) | 187.837 $ | 0,01 | 170.000 | |
| Southern Co Gas Capital Corp | SOUTHERN GAS | DBT | 8426EPAK4 | Long | Modellwert (Stufe 2) | 511.226 $ | 0,01 | 555.000 | |
| Golden State Tobacco Securitization Corp | GOLDEN ST TOBACCO -B | DBT | 38122NB76 | Long | Modellwert (Stufe 2) | 258.980 $ | 0,01 | 290.000 | |
| Evergy Metro Inc | EVERGY METRO | DBT | 30037DAA3 | Long | Modellwert (Stufe 2) | 296.242 $ | 0,01 | 342.000 | |
| Roche Holdings Inc | ROCHE HLDGS INC | DBT | 771196BY7 | Long | Modellwert (Stufe 2) | beschränkt | 183.960 $ | 0,01 | 305.000 |
| Mississippi Power Co | MISS POWER CO | DBT | 605417BZ6 | Long | Modellwert (Stufe 2) | 177.518 $ | 0,00 | 211.000 | |
| Public Service Co of New Hampshire | PUB SVC NEW HAMP | DBT | 744538AF6 | Long | Modellwert (Stufe 2) | 175.315 $ | 0,00 | 170.000 | |
| Travelers Cos Inc/The | TRAVELERS COS | DBT | 89417EAT6 | Long | Modellwert (Stufe 2) | 170.220 $ | 0,00 | 170.000 | |
| Equitable America Global Funding | EQUITABLE AMERIC | DBT | 29446Q2C6 | Long | Modellwert (Stufe 2) | beschränkt | 168.685 $ | 0,00 | 170.000 |
| VSP Optical Group Inc | VSP OPTICAL GROU | DBT | 91836LAA0 | Long | Modellwert (Stufe 2) | beschränkt | 161.664 $ | 0,00 | 165.000 |
| SCE Recovery Funding LLC | SCE REC FUND | DBT | 78433LAA4 | Long | Modellwert (Stufe 2) | 313.162 $ | 0,01 | 387.857 | |
| Johns Hopkins University/The | JOHNS HOPKINS | DBT | 478115AB4 | Long | Modellwert (Stufe 2) | 155.476 $ | 0,00 | 195.000 | |
| New York and Presbyterian Hospital/The | NY & PRES HOSP | DBT | 649322AH7 | Long | Modellwert (Stufe 2) | 154.950 $ | 0,00 | 225.000 | |
| Beth Israel Lahey Health Inc | BETH ISRAEL LAHE | DBT | 08661UAB2 | Long | Modellwert (Stufe 2) | 152.773 $ | 0,00 | 235.000 | |
| Dominion Energy South Carolina Inc | SOUTH CAROL E&G | DBT | 837004BV1 | Long | Modellwert (Stufe 2) | 290.574 $ | 0,01 | 277.000 | |
| DOC DR LLC | PHYSICIANS REALT | DBT | 71951QAC6 | Long | Modellwert (Stufe 2) | 150.783 $ | 0,00 | 170.000 | |
| Baltimore Gas and Electric Co | BALTIMORE GAS | DBT | 059165EM8 | Long | Modellwert (Stufe 2) | 280.855 $ | 0,01 | 366.000 | |
| CBRE Services Inc | CBRE SERVICES IN | DBT | 12505BAL4 | Long | Modellwert (Stufe 2) | 148.154 $ | 0,00 | 150.000 | |
| Northeastern University | NRTHEAST UNIV | DBT | 664675AT2 | Long | Modellwert (Stufe 2) | 147.279 $ | 0,00 | 225.000 | |
| Glencore Canada Corp | NORANDA INC | DBT | 655422AV5 | Long | Modellwert (Stufe 2) | 147.103 $ | 0,00 | 141.000 | |
| Boston Gas Co | BOSTON GAS CO | DBT | 100743AK9 | Long | Modellwert (Stufe 2) | beschränkt | 250.289 $ | 0,01 | 260.000 |
| Ohio Edison Co | OHIO EDISON CO | DBT | 677347CJ3 | Long | Modellwert (Stufe 2) | beschränkt | 136.554 $ | 0,00 | 135.000 |
| JobsOhio Beverage System | JOBSOHIO BEVERAGE-PRE | DBT | 47770VCT5 | Long | Modellwert (Stufe 2) | 135.129 $ | 0,00 | 160.000 | |
| University of Chicago/The | UNIV OF CHICAGO | DBT | 91412NBD1 | Long | Modellwert (Stufe 2) | 129.415 $ | 0,00 | 165.000 | |
| Monongahela Power Co | MONONGAHELA PWR | DBT | 610202BP7 | Long | Modellwert (Stufe 2) | beschränkt | 126.186 $ | 0,00 | 135.000 |
| TransCanada PipeLines Ltd | TRANSCANADA PL | DBT | 89352HBA6 | Long | Modellwert (Stufe 2) | 122.605 $ | 0,00 | 125.000 | |
| Canadian National Railway Co | CANADIAN NATL RR | DBT | 136375CZ3 | Long | Modellwert (Stufe 2) | 119.613 $ | 0,00 | 205.000 | |
| TWDC Enterprises 18 Corp | WALT DISNEY CO | DBT | 25468PCP9 | Long | Modellwert (Stufe 2) | 117.978 $ | 0,00 | 133.000 | |
| California Health Facilities Financing Authority | CA ST HLTH FACS AUTH | DBT | 13032UD88 | Long | Modellwert (Stufe 2) | 112.373 $ | 0,00 | 120.000 | |
| Trustees of the University of Pennsylvania/The | UNI OF PENNSYLVA | DBT | 91481CAD2 | Long | Modellwert (Stufe 2) | 108.590 $ | 0,00 | 186.000 | |
| Kite Realty Group LP | KITE REALTY GRP | DBT | 49803XAG8 | Long | Modellwert (Stufe 2) | 105.449 $ | 0,00 | 105.000 | |
| Georgetown University/The | GEORGETOWN UNIV | DBT | 37310PAC5 | Long | Modellwert (Stufe 2) | 190.950 $ | 0,01 | 264.000 | |
| Brown University | BROWN UNIVERSITY | DBT | 11575TAC2 | Long | Modellwert (Stufe 2) | 100.596 $ | 0,00 | 155.000 | |
| Commonwealth of Massachusetts | MASSACHUSETTS CMNWLTH | DBT | 576004HG3 | Long | Modellwert (Stufe 2) | 98.483 $ | 0,00 | 98.658 | |
| Children's Hospital Corp/The | CHILDREN'S HOSP | DBT | 16876BAB8 | Long | Modellwert (Stufe 2) | 96.109 $ | 0,00 | 160.000 | |
| Glencore Finance Canada Ltd | XSTRATA FIN CAN | DBT | 98417EAN0 | Long | Modellwert (Stufe 2) | beschränkt | 80.957 $ | 0,00 | 80.000 |
| Southwestern Public Service Co | SOUTHWESTERN PUB | DBT | 845743BR3 | Long | Modellwert (Stufe 2) | 75.151 $ | 0,00 | 102.000 | |
| RTX Corp | UNITED TECH CORP | DBT | 913017CW7 | Long | Modellwert (Stufe 2) | 73.813 $ | 0,00 | 80.000 | |
| Trustees of Princeton University/The | TRST PRINCETON U | DBT | 89837LAH8 | Long | Modellwert (Stufe 2) | 90.064 $ | 0,00 | 125.000 | |
| Alabama Federal Aid Highway Finance Authority | ALABAMA FEDERAL AID | DBT | 010268CX6 | Long | Modellwert (Stufe 2) | 40.743 $ | 0,00 | 50.000 | |
| Duke Energy Indiana LLC | DUKE ENERGY IND | DBT | 26443TAG1 | Long | Modellwert (Stufe 2) | 29.541 $ | 0,00 | 30.000 | |
| Yale University | YALE UNIVERSITY | DBT | 98459LAC7 | Long | Modellwert (Stufe 2) | 24.345 $ | 0,00 | 41.000 | |
| Northwestern University | NORTHWESTERN UNI | DBT | 668444AS1 | Long | Modellwert (Stufe 2) | 15.487 $ | 0,00 | 25.000 | |
| Public Storage Operating Co | PUBLIC STORAGE | DBT | 74460WAH0 | Long | Modellwert (Stufe 2) | 4.707 $ | 0,00 | 5.000 | |
| Consumers Energy Co | CONSUMERS ENERGY | DBT | 210518DQ6 | Long | Modellwert (Stufe 2) | 1.583 $ | 0,00 | 2.000 | |
| 3.537.885.859 $ | 97,57 | 1.269.060.743 |
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.