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First Trust Smith Opportunistic Fixed Income ETF (FIXD)
Holdings of the Fund as of 11/3/2025

Total Number of Holdings (excluding cash): 392

Security Name Identifier CUSIP Shares / Quantity Market Value Weighting Descending sort
U.S. Treasury Bond, 4.75%, due 02/15/2045 912810UJ5 156,694,000 $158,615,949.06 4.69%
Freddie Mac FN SD8491, 5%, due 12/01/2054 3132DWNG4 125,539,273 $124,990,324.82 3.70%
U.S. Treasury Note, 4%, due 04/30/2032 91282CNA5 124,267,000 $125,288,805.29 3.70%
U.S. Treasury Note, 4%, due 05/31/2030 91282CNG2 114,984,000 $116,466,215.05 3.44%
US Dollar $USD 94,725,292 $94,725,292.48 2.80%
U.S. Treasury Note, 4.125%, due 11/30/2029 91282CMA6 79,350,000 $80,701,429.69 2.39%
U.S. Treasury Bond, 4.75%, due 08/15/2055 912810UM8 69,754,000 $70,484,237.19 2.08%
U.S. Treasury Note, 4.25%, due 08/15/2035 91282CNT4 68,839,000 $69,651,085.42 2.06%
U.S. Treasury Note, 4.25%, due 05/15/2035 91282CNC1 61,429,000 $62,225,657.35 1.84%
U.S. Treasury Bond, 4.75%, due 05/15/2055 912810UK2 56,173,000 $56,743,507.04 1.68%
Freddie Mac FD SD5323, 4%, due 01/01/2054 3132DS4G4 43,928,490 $41,849,012.79 1.24%
FORD MOTOR CREDIT CO LLC 6.50%, due 02/07/2035 345397G56 36,225,000 $37,363,943.34 1.10%
U.S. Treasury Inflation Indexed Note, 1.625%, due 10/15/2029 91282CLV1 35,660,000 $37,332,721.84 1.10%
U.S. Treasury Note, 3.50%, due 09/30/2027 91282CPB1 34,045,000 $33,983,160.32 1.00%
KROGER CO 5%, due 09/15/2034 501044DV0 33,350,000 $33,532,229.41 0.99%
RTX CORP 6.10%, due 03/15/2034 75513ECW9 30,420,000 $33,368,484.66 0.99%
Fannie Mae FN MA5107, 5.50%, due 08/01/2053 31418EU99 31,517,304 $31,867,544.56 0.94%
Fannie Mae FN MA4978, 5%, due 04/01/2053 31418EQ86 30,465,492 $30,465,351.77 0.90%
THE BOEING CO 7.008%, due 05/01/2064 097023DU6 23,523,000 $26,895,670.35 0.80%
U.S. Treasury Bond, 4.875%, due 08/15/2045 912810UN6 26,271,000 $27,007,819.59 0.80%
L3HARRIS TECH INC 5.35%, due 06/01/2034 502431AU3 25,125,000 $26,031,721.05 0.77%
NORTHROP GRUMMAN CORP 5.25%, due 07/15/2035 666807CP5 25,000,000 $25,888,490.00 0.77%
HCA INC 5.75%, due 03/01/2035 404119DB2 22,660,000 $23,709,384.82 0.70%
Freddie Mac FR SD3246, 4%, due 08/01/2052 3132DQTB2 24,335,372 $23,192,252.23 0.69%
Fannie Mae FN MA4733, 4.50%, due 09/01/2052 31418EHK9 23,455,429 $22,966,837.88 0.68%
GNMA G2 MA8347, 4.50%, due 10/20/2052 36179XHY5 23,155,902 $22,739,837.01 0.67%
JANE STREET GRP/JSG FIN 7.125%, due 04/30/2031 47077WAC2 20,810,000 $21,810,274.27 0.64%
Fannie Mae FN CB0290, 2%, due 04/01/2051 3140QKKC1 25,827,888 $21,105,739.39 0.62%
FIRST CITIZENS BANCSHARE Variable rate, due 03/12/2040 31959XAF0 20,590,000 $20,924,999.30 0.62%
U.S. Treasury Note, 3.625%, due 08/31/2030 91282CNX5 20,497,000 $20,423,338.91 0.60%
ALBERTSONS COS/SAFEWAY 6.50%, due 02/15/2028 01309QAA6 19,350,000 $19,712,580.30 0.58%
Freddie Mac FR SD8245, 4.50%, due 09/01/2052 3132DWES8 19,653,087 $19,255,970.30 0.57%
Fannie Mae FN BW8980, 4%, due 10/01/2052 3140N16S7 19,544,354 $18,608,490.73 0.55%
GOLDMAN SACHS GROUP INC Variable rate, due 09/10/2027 38141GYG3 18,965,000 $18,535,286.11 0.55%
LOCKHEED MARTIN CORP 5%, due 08/15/2035 539830CM9 17,995,000 $18,345,935.61 0.54%
VF CORP 2.95%, due 04/23/2030 918204BC1 20,534,000 $18,072,821.47 0.53%
THE BOEING CO 6.528%, due 05/01/2034 097023DS1 15,935,000 $17,606,155.57 0.52%
Fannie Mae FN BW9886, 4.50%, due 10/01/2052 3140N26Y2 17,790,441 $17,400,085.54 0.51%
GNMA G2 MA9963, 4.50%, due 10/20/2054 36180AB85 17,726,737 $17,292,109.96 0.51%
PARAMOUNT GLOBAL 4.20%, due 05/19/2032 92556HAD9 18,580,000 $17,183,604.86 0.51%
U.S. Treasury Inflation Indexed Note, 1.625%, due 04/15/2030 91282CNB3 16,721,000 $17,229,246.80 0.51%
U.S. Treasury Note, 4%, due 06/30/2032 91282CNJ6 16,999,000 $17,128,484.61 0.51%
UBS GROUP AG Variable rate, due 08/12/2033 225401AZ1 15,631,000 $17,292,948.57 0.51%
CARNIVAL CORP 5.75%, due 08/01/2032 143658CA8 16,585,000 $16,985,129.71 0.50%
GENERAL MOTORS CO 6.25%, due 04/15/2035 37045VBB5 15,955,000 $16,941,852.81 0.50%
GILDAN ACTIVEWEAR INC 5.40%, due 10/07/2035 375916AG8 16,858,000 $16,765,646.30 0.50%
U.S. Treasury Note, 3.50%, due 10/31/2027 91282CPE5 16,973,000 $16,941,838.59 0.50%
U.S. Treasury Note, 3.875%, due 08/31/2032 91282CNW7 16,900,000 $16,892,078.13 0.50%
TRANSDIGM INC TDG TL J 1L USD LX219896 16,615,869 $16,657,408.68 0.49%
Freddie Mac FR QE0521, 2.50%, due 04/01/2052 3133B9SJ4 18,200,184 $15,438,818.12 0.46%
SYNOVUS FINANCIAL CORP Variable rate, due 11/01/2030 87161CAP0 14,866,000 $15,367,861.73 0.45%
WELLS FARGO & COMPANY Variable rate, due 04/23/2036 95000U3V3 14,461,000 $15,167,969.94 0.45%
AMGEN INC 5.25%, due 03/02/2033 031162DR8 14,345,000 $14,833,131.23 0.44%
SOLVENTUM CORP 5.60%, due 03/23/2034 83444MAR2 14,380,000 $14,920,215.47 0.44%
CHARLES SCHWAB CORP Series I, Variable rate 808513BK0 14,296,000 $14,170,381.04 0.42%
CITIGROUP INC Variable rate 172967MV0 14,006,000 $13,931,165.95 0.41%
Freddie Mac Series 5473, Class BF, Variable rate, due 11/25/2054 3137HHFL0 13,393,483 $13,430,563.77 0.40%
FOUNDRY JV HOLDCO LLC 6.10%, due 01/25/2036 350930AH6 12,440,000 $13,140,198.71 0.39%
FOUNDRY JV HOLDCO LLC 6.30%, due 01/25/2039 350930AK9 12,305,000 $13,079,398.07 0.39%
CVS HEALTH CORP Variable rate, due 03/10/2055 126650EH9 12,380,000 $13,017,025.28 0.38%
PARAMOUNT GLOBAL 4.95%, due 05/19/2050 92556HAC1 16,696,000 $12,911,459.41 0.38%
PILGRIM'S PRIDE CORP 6.875%, due 05/15/2034 72147KAL2 11,725,000 $12,943,860.65 0.38%
Fannie Mae FN CB6854, 4.50%, due 08/01/2053 3140QSTL5 12,610,626 $12,358,272.35 0.37%
Freddie Mac FR SD8257, 4.50%, due 10/01/2052 3132DWE66 12,359,997 $12,101,244.59 0.36%
Freddie Mac FR SD8266, 4.50%, due 11/01/2052 3132DWFF5 12,544,467 $12,280,547.55 0.36%
MORGAN STANLEY Variable rate, due 04/17/2036 61747YGA7 11,555,000 $12,151,634.34 0.36%
SYNOPSYS INC 5.15%, due 04/01/2035 871607AE7 12,101,000 $12,247,498.82 0.36%
TARGA RESOURCES PARTNERS 6.875%, due 01/15/2029 87612BBN1 11,943,000 $12,124,923.29 0.36%
ALCON FINANCE CORP 5.375%, due 12/06/2032 01400EAE3 11,500,000 $11,993,754.11 0.35%
GE HEALTHCARE TECH INC 5.50%, due 06/15/2035 36266GAC1 11,375,000 $11,764,707.72 0.35%
GNMA Series 2018-78, Class N2, 3.50%, due 06/20/2048 38380XFR3 12,810,259 $11,894,067.91 0.35%
UBS GROUP AG Variable rate 902613BR8 11,719,000 $11,736,168.35 0.35%
FOUNDRY JV HOLDCO LLC 6.25%, due 01/25/2035 350930AD5 10,900,000 $11,581,919.59 0.34%
AMERICAN WATER CAPITAL CORP 5.25%, due 03/01/2035 03040WBF1 10,820,000 $11,107,855.28 0.33%
LEIDOS INC 5.40%, due 03/15/2032 52532XAK1 10,765,000 $11,166,055.35 0.33%
SOUTHWEST AIRLINES CO 5.25%, due 11/15/2035 844741BM9 11,466,000 $11,152,942.31 0.33%
Fannie Mae FN MA4902, 3.50%, due 01/01/2053 31418ENU0 11,279,865 $10,402,226.91 0.31%
FORD MOTOR CREDIT CO LLC 6.80%, due 05/12/2028 345397C92 10,000,000 $10,401,071.20 0.31%
Freddie Mac FR ZM1779, 3%, due 09/01/2046 3131XU6Q5 11,358,292 $10,341,147.76 0.31%
MPLX LP 6.20%, due 09/15/2055 55336VCD0 10,600,000 $10,592,118.15 0.31%
SOFTBANK CORP 5.332%, due 07/09/2035 83405KAB8 10,473,000 $10,543,861.26 0.31%
AMERICAN ELECTRIC POWER Variable rate, due 02/15/2062 025537AU5 10,480,000 $10,213,357.36 0.30%
Freddie Mac FR RA3078, 3%, due 07/01/2050 3133KJM33 11,317,293 $10,199,957.43 0.30%
HILCORP ENERGY I/HILCORP 7.25%, due 02/15/2035 431318BG8 10,687,000 $10,268,254.93 0.30%
AMERICAN EXPRESS CO Variable rate, due 10/24/2036 025816EM7 9,935,000 $9,813,445.57 0.29%
PERMIAN RESOURCES OPERATING LLC 7%, due 01/15/2032 71424VAA8 9,456,000 $9,801,560.06 0.29%
Fannie Mae FN MA4364, 2%, due 06/01/2041 31418DZ62 10,947,606 $9,557,606.34 0.28%
Freddie Mac FR SD0231, 3%, due 01/01/2050 3132DMHG3 10,379,689 $9,400,930.68 0.28%
Freddie Mac FR SL2146, 5.50%, due 08/01/2055 31427PL44 9,208,772 $9,425,596.74 0.28%
Skyline Aircraft Finance LLC Series 2020-1, Class A, 3.229%, due 5/10/2038 83084RAA3 10,186,077 $9,567,751.89 0.28%
STARBUCKS CORP 5.40%, due 05/15/2035 855244BM0 9,010,000 $9,331,817.74 0.28%
U.S. Treasury Note, 4.125%, due 10/31/2029 91282CLR0 9,298,000 $9,454,722.16 0.28%
CALPINE CORP 4.50%, due 02/15/2028 131347CM6 9,155,000 $9,120,813.40 0.27%
CUSHMAN & WAKEFIELD US BORROWER 6.75%, due 05/15/2028 23166MAA1 8,945,000 $9,016,738.90 0.27%
FAIR ISAAC CORP 6%, due 05/15/2033 303250AG9 8,935,000 $9,113,315.80 0.27%
Fannie Mae FN BN7755, 3%, due 09/01/2049 3140JQTM5 9,959,150 $9,020,481.84 0.27%
Freddie Mac FR RB5345, 6%, due 05/01/2045 3133KY5E5 8,764,601 $8,986,341.12 0.27%
GENERAL DYNAMICS CORP 4.95%, due 08/15/2035 369550BR8 9,115,000 $9,292,804.12 0.27%
JANE STREET GRP/JSG FIN 6.75%, due 05/01/2033 47077WAE8 8,875,000 $9,260,530.00 0.27%
L'OREAL SA 5%, due 05/20/2035 502117AA2 9,000,000 $9,249,572.07 0.27%
NEXSTAR MEDIA INC 4.75%, due 11/01/2028 65336YAN3 9,440,000 $9,284,712.00 0.27%
PILGRIM'S PRIDE CORP 6.25%, due 07/01/2033 72147KAK4 8,670,000 $9,215,351.67 0.27%
SYNOPSYS INC 4.85%, due 04/01/2030 871607AC1 8,960,000 $9,111,868.33 0.27%
THE BOEING CO 2.196%, due 02/04/2026 097023DG7 9,170,000 $9,120,503.55 0.27%
ASCENT RESOURCES/ARU FIN 6.625%, due 07/15/2033 04364VBA0 8,592,000 $8,737,084.51 0.26%
BROWN & BROWN INC 6.25%, due 06/23/2055 115236AN1 8,313,000 $8,689,797.11 0.26%
CITADEL SECURITIES GLOBAL HDGS 6.20%, due 06/18/2035 17289RAB2 8,300,000 $8,692,436.60 0.26%
DANSKE BANK A/S Variable rate, due 03/01/2030 23636ABH3 8,349,000 $8,674,388.50 0.26%
Fannie Mae FN CA4534, 3%, due 11/01/2049 3140QCBC9 9,771,363 $8,858,201.96 0.26%
Fannie Mae FN MA5242, 6.50%, due 11/01/2053 31418EZG8 8,647,736 $8,885,896.82 0.26%
GENERAL ELECTRIC CO 4.90%, due 01/29/2036 369604CA9 8,518,000 $8,642,952.16 0.26%
OVINTIV INC 6.50%, due 08/15/2034 292505AD6 8,140,000 $8,637,568.57 0.26%
REGIONS FINANCIAL CORP Variable rate, due 09/06/2035 7591EPAV2 8,525,000 $8,713,341.64 0.26%
BROWN & BROWN INC 5.55%, due 06/23/2035 115236AM3 8,365,000 $8,588,672.74 0.25%
CAESARS ENTERTAIN INC CZR TL B1 1L USD LX225393 8,478,481 $8,420,191.45 0.25%
CITADEL SECURITIES GLOBAL HDGS 5.50%, due 06/18/2030 17289RAA4 8,350,000 $8,537,676.76 0.25%
FISERV INC 5.25%, due 08/11/2035 337738BQ0 8,425,000 $8,379,404.74 0.25%
MORGAN STANLEY Variable rate, due 10/22/2036 61748UAN2 8,415,000 $8,361,942.42 0.25%
OCCIDENTAL PETROLEUM CORP 6.05%, due 10/01/2054 674599EM3 8,600,000 $8,300,430.01 0.25%
VAIL RESORTS INC 5.625%, due 07/15/2030 91879QAQ2 8,310,000 $8,401,015.28 0.25%
VICI PROPERTIES LP 5.125%, due 05/15/2032 925650AD5 8,445,000 $8,501,688.08 0.25%
VIPER ENERGY PARTNERS LLC 5.70%, due 08/01/2035 92764MAB0 8,281,000 $8,420,659.08 0.25%
WELLS FARGO & COMPANY Variable rate, due 04/24/2034 95000U3D3 8,165,000 $8,468,053.04 0.25%
CCO HLDGS LLC/CAP CORP 5%, due 02/01/2028 1248EPBX0 8,049,000 $7,964,719.16 0.24%
Freddie Mac FR SD7513, 3.50%, due 04/01/2050 3132DVK20 8,596,126 $8,021,021.90 0.24%
GOLDMAN SACHS GROUP INC Variable rate, due 10/23/2035 38141GB78 8,020,000 $8,065,184.85 0.24%
STELLANTIS FINANCIAL SER 5.40%, due 09/15/2030 85855FAB9 7,787,000 $7,830,603.68 0.23%
WARNERMEDIA HOLDINGS INC 5.141%, due 03/15/2052 55903VBU6 10,239,000 $7,781,640.00 0.23%
AMERICAN EXPRESS CO Variable rate 025816CH0 7,465,000 $7,336,640.07 0.22%
BANK OF AMERICA CORP Variable rate 06055HAH6 7,265,000 $7,559,573.95 0.22%
BOOST NEWCO BORROWER LLC 7.50%, due 01/15/2031 36268NAA8 7,045,000 $7,473,673.88 0.22%
BUCKEYE PARTNERS LP 6.875%, due 07/01/2029 118230AV3 7,150,000 $7,417,016.76 0.22%
ENERGY TRANSFER LP 6.20%, due 04/01/2055 29273VBF6 7,385,000 $7,294,494.91 0.22%
Fannie Mae FN DE3460, 5.50%, due 07/01/2055 3140BFZ24 7,554,690 $7,584,939.45 0.22%
GOLDMAN SACHS GROUP INC Variable rate 38141GA79 6,915,000 $7,326,407.93 0.22%
HCA INC 5.45%, due 09/15/2034 404121AK1 7,285,000 $7,475,405.57 0.22%
JBS USA HOLD/FOOD/LUX CO 6.75%, due 03/15/2034 47214BAC2 6,660,000 $7,316,795.88 0.22%
META PLATFORMS INC 5.625%, due 11/15/2055 30303MAE2 7,534,000 $7,438,128.26 0.22%
NUSTAR LOGISTICS LP 6.375%, due 10/01/2030 67059TAH8 7,046,000 $7,332,476.27 0.22%
SOLVENTUM CORP 5.45%, due 03/13/2031 83444MAQ4 7,085,000 $7,366,844.63 0.22%
SEALED AIR/SEALED AIR US 7.25%, due 02/15/2031 812127AB4 6,933,000 $7,268,522.53 0.21%
SIRIUS XM RADIO LLC 5%, due 08/01/2027 82967NBA5 7,260,000 $7,237,576.76 0.21%
Fannie Mae FN BV8515, 3%, due 05/01/2052 3140MNN93 7,808,723 $6,928,256.45 0.20%
Fannie Mae FN MA4656, 4.50%, due 07/01/2052 31418EE63 6,923,147 $6,748,678.71 0.20%
GENERAL MOTORS CO 5.625%, due 04/15/2030 37045VBA7 6,650,000 $6,914,958.75 0.20%
GNMA G2 MA3937, 3.50%, due 09/20/2046 36179SLS4 7,162,396 $6,680,684.81 0.20%
META PLATFORMS INC 5.50%, due 11/15/2045 30303M8X3 7,016,000 $6,923,313.66 0.20%
ORACLE CORP 5.95%, due 09/26/2055 68389XDR3 7,164,000 $6,772,333.81 0.20%
WELLS FARGO & COMPANY Variable rate, due 01/24/2031 95000U3P6 6,415,000 $6,635,677.41 0.20%
Xcel Energy Inc., 6.25%, Due 10/15/2085 XELLL 98389B878 267,000 $6,666,990.00 0.20%
Freddie Mac FR QA7837, 3.50%, due 03/01/2050 3133A2V64 6,744,872 $6,334,657.78 0.19%
BROADCOM INC 5.20%, due 07/15/2035 11135FCM1 6,033,000 $6,200,043.21 0.18%
COSTAR GROUP INC 2.80%, due 07/15/2030 22160NAA7 6,783,000 $6,199,099.88 0.18%
CVS HEALTH CORP 6.20%, due 09/15/2055 126650EL0 5,888,000 $6,030,135.03 0.18%
Freddie Mac FR ZS4735, 3.50%, due 09/01/2047 3132A5HL2 6,402,516 $6,017,949.03 0.18%
PERMIAN RESOURCES OPERATING LLC 6.25%, due 02/01/2033 71424VAB6 6,000,000 $6,100,158.00 0.18%
T-MOBILE USA INC 5.125%, due 05/15/2032 87264ADS1 5,905,000 $6,057,158.39 0.18%
TRUIST FINANCIAL CORP Variable rate 89832QAD1 6,184,000 $6,199,101.20 0.18%
Carvana Auto Receivables Trust Series 2022-P3, Class R, 0%, due 09/10/2029 14686MAK9 70,350 $5,708,383.18 0.17%
ENERGY TRANSFER LP Variable rate 29273VAM2 5,435,000 $5,635,497.15 0.17%
Fannie Mae FN FS6296, 6%, due 08/01/2053 3140XM7J9 5,696,921 $5,849,736.01 0.17%
JPMORGAN CHASE & CO Variable rate, due 10/22/2036 46647PFE1 5,776,000 $5,758,393.42 0.17%
KKR & CO INC 5.10%, due 08/07/2035 48251WAB0 5,898,000 $5,868,699.97 0.17%
MORGAN STANLEY Variable rate, due 04/28/2032 6174468X0 6,500,000 $5,682,175.00 0.17%
OCCIDENTAL PETROLEUM CORP 7.875%, due 09/15/2031 674599DE2 5,109,000 $5,826,814.50 0.17%
UBS GROUP AG Variable rate 225401BJ6 5,560,000 $5,663,416.00 0.17%
VMWARE LLC 2.20%, due 08/15/2031 928563AL9 6,400,000 $5,651,210.94 0.17%
WARNERMEDIA HOLDINGS INC 4.279%, due 03/15/2032 55903VBQ5 6,239,000 $5,702,321.22 0.17%
CARNIVAL CORP 4%, due 08/01/2028 143658BQ4 5,645,000 $5,553,422.86 0.16%
CHARLES SCHWAB CORP Variable rate, due 03/03/2027 808513BZ7 5,360,000 $5,400,633.46 0.16%
CHART INDUSTRIES INC 7.50%, due 01/01/2030 16115QAF7 5,155,000 $5,378,068.75 0.16%
FIRST CITIZENS BANCSHARE Variable rate, due 03/12/2031 31959XAC7 5,490,000 $5,551,577.43 0.16%
GNMA G2 MA3662, 3%, due 05/20/2046 36179SB71 5,772,468 $5,261,971.98 0.16%
MARS INC 4.80%, due 03/01/2030 571676AY1 5,370,000 $5,483,696.86 0.16%
NEXSTAR MEDIA INC 5.625%, due 07/15/2027 65343HAA9 5,425,000 $5,422,763.98 0.16%
PERMIAN RESOURCES OPERATING LLC 9.875%, due 07/15/2031 27034RAC7 4,960,000 $5,382,616.81 0.16%
T-MOBILE USA INC 4.95%, due 11/15/2035 87264ADX0 5,416,000 $5,355,720.14 0.16%
VMWARE LLC 4.70%, due 05/15/2030 928563AF2 5,465,000 $5,541,814.07 0.16%
WELLS FARGO & COMPANY Variable rate 949746TD3 5,397,000 $5,354,352.36 0.16%
Fannie Mae FN FM5397, 3%, due 12/01/2050 3140X87K7 5,556,099 $5,014,736.15 0.15%
FORD MOTOR CREDIT CO LLC N/C, 4.389%, due 01/08/2026 345397XU2 5,000,000 $4,996,138.30 0.15%
INTEL CORP 3.25%, due 11/15/2049 458140BJ8 7,950,000 $5,219,224.69 0.15%
MORGAN STANLEY Variable rate, due 01/18/2036 61748UAF9 5,010,000 $5,235,285.27 0.15%
TRANSDIGM INC 6.75%, due 08/15/2028 893647BR7 5,000,000 $5,109,476.05 0.15%
WARNERMEDIA HOLDINGS INC 4.054%, due 03/15/2029 55903VBY8 5,092,000 $4,942,702.56 0.15%
AMNEAL PHARMACEUTICALS LLC AMNPHA TL B 1L USD LX266943 4,702,900 $4,751,904.22 0.14%
BANK OF AMERICA CORP Variable rate, due 10/24/2031 06051GJL4 5,265,000 $4,683,769.22 0.14%
BXHPP Trust Series 2021-FILM, Class E, Variable rate, due 08/15/2036 05609JAQ5 5,200,000 $4,596,648.16 0.14%
CHENIERE ENERGY PARTNERS 5.55%, due 10/30/2035 16411QAV3 4,636,000 $4,735,224.03 0.14%
Freddie Mac FR SD7518, 3%, due 06/01/2050 3132DVK79 5,182,518 $4,667,719.51 0.14%
MET LIFE GLOB FUNDING I N/C, 3.45%, due 12/18/2026 59217GBY4 4,645,000 $4,619,861.26 0.14%
ROPER TECHNOLOGIES INC 5.10%, due 09/15/2035 776696AM8 4,714,000 $4,733,750.53 0.14%
Fannie Mae FN BE3774, 4%, due 07/01/2047 3140FPFQ7 4,389,669 $4,236,127.56 0.13%
Fannie Mae FN MA4128, 2%, due 09/01/2040 31418DSS2 5,035,521 $4,441,318.08 0.13%
GOODYEAR TIRE & RUBBER 6.625%, due 07/15/2030 382550BS9 4,358,000 $4,323,450.21 0.13%
ROYAL BANK OF CANADA Variable rate, due 11/24/2085 780082AY9 4,289,000 $4,273,631.22 0.13%
DISCOVERY COMMUNICATIONS 4.125%, due 05/15/2029 25470DCA5 4,139,000 $4,006,365.75 0.12%
ECOLAB INC 5%, due 09/01/2035 278865BS8 3,918,000 $3,986,224.88 0.12%
Freddie Mac FG G67706, 3.50%, due 12/01/2047 3132XCR31 4,241,351 $4,006,582.65 0.12%
HILCORP ENERGY I/HILCORP 6.25%, due 11/01/2028 431318AS3 4,135,000 $4,140,531.64 0.12%
JPMORGAN CHASE & CO Variable rate, due 07/23/2036 46647PFC5 4,011,000 $4,156,932.21 0.12%
META PLATFORMS INC 4.875%, due 11/15/2035 30303MAD4 4,210,000 $4,217,311.34 0.12%
PERMIAN RESOURCES OPERATING LLC 5.875%, due 07/01/2029 19416MAB5 3,894,000 $3,897,368.31 0.12%
ALLY FINANCIAL INC Series C, Variable rate 02005NBN9 4,145,000 $3,855,592.78 0.11%
AMERICAN EXPRESS CO Variable rate, due 04/25/2036 025816EH8 3,685,000 $3,886,674.38 0.11%
AS MILEAGE PLAN IP LTD 5.021%, due 10/20/2029 00218QAA8 3,847,000 $3,843,960.48 0.11%
COOPERATIEVE RABOBANK UA N/C, 3.75%, due 07/21/2026 21684AAF3 3,635,000 $3,621,491.94 0.11%
DANSKE BANK A/S Variable rate, due 03/01/2028 23636ABG5 3,550,000 $3,609,294.98 0.11%
Fannie Mae FN MA4158, 2%, due 10/01/2050 31418DTQ5 4,399,657 $3,601,670.66 0.11%
Freddie Mac FR ZS4688, 3%, due 11/01/2046 3132A5F59 4,041,597 $3,679,668.46 0.11%
IRON MOUNTAIN INC 5.25%, due 03/15/2028 46284VAE1 3,630,000 $3,629,136.42 0.11%
LEIDOS INC 5.50%, due 03/15/2035 52532XAL9 3,645,000 $3,780,888.15 0.11%
MARS INC 5.20%, due 03/01/2035 571676BA2 3,620,000 $3,705,480.98 0.11%
MORGAN STANLEY Variable rate, due 11/01/2034 61747YFJ9 3,340,000 $3,732,846.56 0.11%
WELLS FARGO & COMPANY Variable rate, due 09/15/2036 95000U4B6 3,895,000 $3,885,218.84 0.11%
AMNEAL PHARMACEUTICALS LLC 6.875%, due 08/01/2032 03168LAA3 3,184,000 $3,329,712.58 0.10%
Fannie Mae FN MA3238, 3.50%, due 01/01/2048 31418CS47 3,753,839 $3,516,647.12 0.10%
GNMA G2 787961, 7%, due 12/20/2054 3622ADWW4 3,297,661 $3,358,137.49 0.10%
KINETIK HOLDINGS LP 6.625%, due 12/15/2028 49461MAB6 3,275,000 $3,362,586.60 0.10%
NATIONAL RURAL UTIL COOP Variable rate, due 04/20/2046 637432NK7 3,554,000 $3,544,251.38 0.10%
PARAMOUNT GLOBAL 4.375%, due 03/15/2043 92553PAP7 4,543,000 $3,419,034.68 0.10%
T-MOBILE USA INC 4.70%, due 01/15/2035 87264ADM4 3,625,000 $3,548,525.37 0.10%
U.S. Treasury Note, 3.875%, due 09/30/2032 91282CNZ0 3,450,000 $3,447,304.69 0.10%
VERSANT MEDIA GROUP INC 7.25%, due 01/30/2031 925283AA1 3,192,000 $3,250,179.62 0.10%
BAE SYSTEMS HOLDINGS INC 3.85%, due 12/15/2025 05523UAP5 3,208,000 $3,206,330.91 0.09%
DOMINION ENERGY INC Variable rate, due 02/15/2056 25746UDZ9 2,892,000 $2,929,481.53 0.09%
Fannie Mae FN FM2870, 3%, due 03/01/2050 3140X6FL0 3,211,475 $2,906,862.42 0.09%
FLEX INTERMEDIATE HOLDCO 3.363%, due 06/30/2031 33939HAA7 3,156,000 $2,903,407.74 0.09%
HF SINCLAIR CORP 5%, due 02/01/2028 403949AQ3 2,903,000 $2,905,273.66 0.09%
US BANCORP Variable rate 902973BC9 3,111,000 $3,026,495.28 0.09%
US BANCORP Variable rate, due 02/01/2034 91159HJL5 2,925,000 $2,935,268.48 0.09%
ALPHABET INC 5.45%, due 11/15/2055 02079KBA4 2,807,000 $2,788,473.80 0.08%
ALPHABET INC 5.70%, due 11/15/2075 02079KBB2 2,807,000 $2,786,256.27 0.08%
AS MILEAGE PLAN IP LTD 5.308%, due 10/20/2031 00218QAB6 2,568,000 $2,554,829.40 0.08%
BROADCOM INC 4.80%, due 02/15/2036 11135FCY5 2,710,000 $2,684,794.75 0.08%
COBANK ACB Variable rate 19075QAG7 2,478,000 $2,588,209.05 0.08%
COX ENTERPRISES INC 7.375%, due 07/15/2027 224050AE4 2,670,000 $2,781,490.34 0.08%
DOMINION ENERGY INC Variable rate, due 02/15/2056 25746UEA3 2,603,000 $2,630,351.36 0.08%
Freddie Mac FR SD7511, 3.50%, due 01/01/2050 3132DVKY0 2,776,118 $2,601,051.38 0.08%
GNMA Series 2019-1, Class KD, 3.50%, due 01/20/2049 38381BZK3 3,042,000 $2,771,699.44 0.08%
HCA INC 2.375%, due 07/15/2031 404119CC1 2,943,000 $2,619,461.12 0.08%
JANE STREET GRP/JSG FIN 6.125%, due 11/01/2032 47077WAD0 2,709,000 $2,752,449.65 0.08%
JPMORGAN CHASE & CO Variable rate, due 04/23/2029 46647PAR7 2,625,000 $2,616,118.52 0.08%
PNC FINANCIAL SERVICES Variable rate, due 10/20/2034 693475BU8 2,365,000 $2,671,888.74 0.08%
Fannie Mae FN DE7041, 6.50%, due 08/01/2055 3140BKZF4 2,326,179 $2,425,775.55 0.07%
FORD MOTOR CREDIT CO LLC 3.375%, due 11/13/2025 345397B28 2,447,000 $2,446,095.27 0.07%
Freddie Mac FG G67718, 4%, due 01/01/2049 3132XCSF3 2,516,006 $2,435,324.02 0.07%
Freddie Mac FR ZS4667, 3%, due 06/01/2046 3132A5FG5 2,431,999 $2,215,729.94 0.07%
ONCOR ELECTRIC DELIVERY 5.35%, due 04/01/2035 68233JCZ5 2,185,000 $2,262,331.13 0.07%
SUNOCO LP 5.625%, due 03/15/2031 86765KAF6 2,302,000 $2,302,440.60 0.07%
SUNOCO LP 5.875%, due 03/15/2034 86765KAG4 2,302,000 $2,298,330.38 0.07%
Bank of Hawaii Corporation, 8.00% BOH.B 062540307 80,882 $2,110,615.80 0.06%
Fannie Mae FN CA1182, 3.50%, due 02/01/2048 3140Q8J48 2,117,140 $1,992,617.69 0.06%
Fannie Mae FN CA3633, 3.50%, due 06/01/2049 3140QBBB3 2,232,277 $2,102,863.54 0.06%
FARM CREDIT BK OF TEXAS Variable rate 30767EAF6 2,089,000 $2,172,551.64 0.06%
FIDELITY NATL INFO SERV 3.10%, due 03/01/2041 31620MBU9 2,932,000 $2,173,938.17 0.06%
GNMA G2 MA4322, 4%, due 03/20/2047 36179SYT8 2,201,906 $2,117,882.78 0.06%
GNMA G2 MA4382, 3.50%, due 04/20/2047 36179S2P1 2,350,399 $2,188,899.97 0.06%
GOLDMAN SACHS GROUP INC Variable rate, due 04/25/2035 38141GA95 1,760,000 $1,873,231.08 0.06%
INTEL CORP 5.60%, due 02/21/2054 458140CM0 2,165,000 $2,052,629.27 0.06%
JPMORGAN CHASE & CO Variable rate, due 01/23/2035 46647PEC6 1,800,000 $1,865,383.78 0.06%
JPMORGAN CHASE & CO Variable rate, due 02/04/2027 46647PBW5 1,895,000 $1,879,847.67 0.06%
JPMORGAN CHASE & CO Variable rate, due 10/22/2035 46647PER3 2,045,000 $2,063,909.68 0.06%
JPMORGAN CHASE & CO Variable rate, due 11/08/2032 46647PCR5 2,260,000 $2,029,213.09 0.06%
ORACLE CORP 3.60%, due 04/01/2050 68389XBX2 2,850,000 $1,914,180.44 0.06%
THE BOEING CO 5.805%, due 05/01/2050 097023CW3 2,030,000 $2,013,922.42 0.06%
TRANSDIGM INC 6%, due 12/15/2033 893647BW6 1,934,000 $1,962,119.86 0.06%
BANK OF AMERICA CORP Variable rate, due 04/25/2034 06051GLH0 1,800,000 $1,857,663.97 0.05%
BANK OF AMERICA CORP Variable rate, due 04/29/2031 06051GJB6 2,000,000 $1,857,507.48 0.05%
Fannie Mae FN AL8825, 3.50%, due 06/01/2046 3138ETYX8 1,939,230 $1,831,830.07 0.05%
Freddie Mac FG G67717, 4%, due 11/01/2048 3132XCSE6 1,627,113 $1,577,390.85 0.05%
Freddie Mac FR ZT0537, 3.50%, due 03/01/2048 3132ACS27 1,722,300 $1,620,722.81 0.05%
GOLDMAN SACHS BANK USA Variable rate, due 03/18/2027 38151LAF7 1,790,000 $1,796,543.51 0.05%
GOLDMAN SACHS GROUP INC Variable rate, due 04/23/2031 38141GC93 1,785,000 $1,840,413.22 0.05%
HCA INC 5.70%, due 11/15/2055 404119DH9 1,911,000 $1,846,395.36 0.05%
Jackson Financial Inc., 8.000%, Variable Rate JXN.A 46817M206 68,100 $1,792,392.00 0.05%
JPMORGAN CHASE & CO Variable rate, due 02/04/2032 46647PBX3 1,855,000 $1,641,681.03 0.05%
JPMORGAN CHASE & CO Variable rate, due 04/22/2028 46647PEE2 1,765,000 $1,800,792.68 0.05%
JPMORGAN CHASE & CO Variable rate, due 11/19/2026 46647PBT2 1,650,000 $1,647,817.36 0.05%
META PLATFORMS INC 5.75%, due 11/15/2065 30303M8Y1 1,883,000 $1,856,475.33 0.05%
NATIONWIDE BLDG SOCIETY Variable rate, due 02/16/2028 63861VAF4 1,550,000 $1,525,829.30 0.05%
ALPHABET INC 4.70%, due 11/15/2035 02079KAY3 1,403,000 $1,401,091.92 0.04%
Fannie Mae FN BM5585, 3%, due 11/01/2048 3140JAF37 1,362,589 $1,240,568.25 0.04%
FANNIE MAE Series 2012-20, Class ZT, 3.50%, due 03/25/2042 3136A4GN3 1,242,124 $1,185,345.39 0.04%
FANNIE MAE Series 2012-84, Class VZ, 3.50%, due 08/25/2042 3136A7N65 1,388,583 $1,333,134.89 0.04%
Freddie Mac FG G61748, 3.50%, due 11/01/2048 31335B5H5 1,513,602 $1,427,994.15 0.04%
Freddie Mac FR SD8107, 2.50%, due 11/01/2050 3132DWAG8 1,763,504 $1,504,135.14 0.04%
HSBC HOLDINGS PLC Variable rate, due 06/09/2028 404280DF3 1,215,000 $1,223,816.90 0.04%
JPMORGAN CHASE & CO Variable rate, due 01/24/2036 46647PEW2 1,300,000 $1,361,155.07 0.04%
JPMORGAN CHASE & CO Variable rate, due 06/01/2029 46647PCJ3 1,445,000 $1,373,664.90 0.04%
MORGAN STANLEY Variable rate, due 04/19/2035 61747YFR1 1,255,000 $1,335,109.21 0.04%
SANTANDER UK GROUP HLDGS Variable rate, due 06/14/2027 80281LAQ8 1,440,000 $1,416,708.52 0.04%
T-MOBILE USA INC 5.05%, due 07/15/2033 87264ACY9 1,315,000 $1,336,067.47 0.04%
VICI PROPERTIES / NOTE 4.125%, due 08/15/2030 92564RAE5 1,570,000 $1,516,035.25 0.04%
BANK OF AMERICA CORP Variable rate, due 01/24/2036 06051GMM8 920,000 $961,785.71 0.03%
Fannie Mae FN AS3134, 3.50%, due 08/01/2044 3138WCPU1 965,677 $915,510.82 0.03%
Fannie Mae FN MA4379, 2.50%, due 07/01/2051 31418D2M3 1,082,294 $922,731.44 0.03%
FOUNDRY JV HOLDCO LLC 5.50%, due 01/25/2031 350930AF0 865,000 $896,488.66 0.03%
Freddie Mac FG G08715, 3%, due 07/01/2046 3128MJYM6 1,143,318 $1,042,400.74 0.03%
Freddie Mac FG G60038, 3.50%, due 01/01/2044 31335ABF4 978,784 $931,877.51 0.03%
Freddie Mac FG G67707, 3.50%, due 01/01/2048 3132XCR49 1,032,436 $973,376.26 0.03%
Freddie Mac FG G67714, 4%, due 07/01/2048 3132XCSB2 1,191,280 $1,153,091.21 0.03%
Freddie Mac FR ZT0277, 3.50%, due 10/01/2046 3132ACJW1 1,203,354 $1,136,333.38 0.03%
GOLDMAN SACHS GROUP INC Variable rate, due 03/09/2027 38141GYA6 860,000 $851,298.00 0.03%
HSBC HOLDINGS PLC Variable rate, due 09/22/2028 404280CL1 1,110,000 $1,066,034.18 0.03%
SANTANDER UK GROUP HLDGS Variable rate, due 01/11/2028 80281LAR6 995,000 $973,267.00 0.03%
STATION CASINOS LLC 4.50%, due 02/15/2028 857691AG4 956,000 $941,061.35 0.03%
T-MOBILE USA INC 3.75%, due 04/15/2027 87264ABD6 915,000 $909,341.91 0.03%
VICI PROPERTIES / NOTE 3.875%, due 02/15/2029 92564RAL9 1,000,000 $976,880.44 0.03%
VISTRA CORP Variable rate 92840MAD4 929,000 $1,023,009.35 0.03%
ALPHABET INC 5.35%, due 11/15/2045 02079KAZ0 561,000 $559,760.19 0.02%
BANK OF AMERICA CORP Variable rate, due 01/23/2035 06051GMA4 720,000 $751,544.09 0.02%
Exeter Automobile Receivables Trust Series 2021-4A, Class R, 0%, due 12/15/2033 30165JAN6 10,000 $613,294.86 0.02%
Fannie Mae FN AS0225, 4%, due 08/01/2043 3138W9HB9 821,779 $803,335.62 0.02%
Fannie Mae FN BJ2692, 3.50%, due 04/01/2048 3140H37E0 598,192 $559,647.00 0.02%
Fannie Mae FN BM!903, 3.50%, due 08/01/2047 3140J6DH7 720,663 $680,079.41 0.02%
Fannie Mae FN BM4472, 3.50%, due 07/01/2048 3140J86J7 587,790 $553,891.44 0.02%
Fannie Mae FN CA0854, 3.50%, due 12/01/2047 3140Q75Q6 755,442 $708,934.49 0.02%
Fannie Mae FN MA4093, 2%, due 08/01/2040 31418DRP9 674,458 $595,619.93 0.02%
Fannie Mae FR BW4936, 6.50%, due 05/01/2043 3140MWPW0 760,397 $789,800.14 0.02%
Freddie Mac FG G08732, 3%, due 11/01/2046 3128MJY61 628,918 $573,274.83 0.02%
Freddie Mac FG G08792, 3.50%, due 12/01/2047 3128MJ3A6 756,175 $710,180.16 0.02%
Freddie Mac FG G60344, 4%, due 12/01/2045 31335ALZ9 522,306 $509,015.94 0.02%
Freddie Mac FR QK1634, 6.50%, due 05/01/2043 3133D4Y72 639,811 $664,550.90 0.02%
Freddie Mac FR ZT0531, 3.50%, due 04/01/2047 3132ACSU5 564,679 $533,348.62 0.02%
Freddie Mac FR ZT0536, 3.50%, due 03/01/2048 3132ACSZ4 555,559 $522,191.96 0.02%
Freddie Mac FR ZT1703, 4%, due 01/01/2049 3132AD3L0 831,503 $803,886.48 0.02%
GNMA G2 MA4652, 3.50%, due 08/20/2047 36179TEZ4 750,731 $701,644.72 0.02%
GNMA G2 MA4778, 3.50%, due 10/20/2047 36179TJX4 643,029 $598,578.04 0.02%
GNMA G2 MA4826, 3%, due 11/20/2047 36179TLR4 619,975 $563,613.69 0.02%
GNMA G2 MA4837, 3.50%, due 11/20/2047 36179TLS2 638,687 $596,538.17 0.02%
GNMA Series 2024-30, Class CF, Variable rate, due 02/20/2054 38384JQR8 795,089 $798,157.47 0.02%
GOLDMAN SACHS GROUP INC Variable rate, due 01/28/2036 38141GC44 775,000 $804,071.71 0.02%
MORGAN STANLEY Variable rate, due 07/20/2027 61747YEC5 610,000 $598,390.53 0.02%
SPECTRUM BRANDS INC 3.875%, due 03/15/2031 84762LAX3 637,000 $518,424.37 0.02%
BUCKEYE PARTNERS LP 4.50%, due 03/01/2028 118230AU5 400,000 $396,912.76 0.01%
CSMCM Trust Certificates Series 2021-RP11, Class CERT, 3.77782%, due 10/27/2061 12658QAA0 513,731 $440,672.64 0.01%
Fannie Mae FN AS6620, 3.50%, due 02/01/2046 3138WGLA0 228,148 $215,584.09 0.01%
Fannie Mae FN BM2000, 3.50%, due 05/01/2047 3140J6GJ0 198,380 $186,742.56 0.01%
Fannie Mae FN BM3260, 3.50%, due 01/01/2048 3140J7TS4 499,729 $469,088.87 0.01%
Fannie Mae FN CA0907, 3.50%, due 12/01/2047 3140Q8AH8 353,526 $331,850.04 0.01%
Fannie Mae FN CA0996, 3.50%, due 01/01/2048 3140Q8DA0 295,874 $277,659.26 0.01%
Fannie Mae FN CA1187, 3.50%, due 02/01/2048 3140Q8J97 360,531 $338,605.27 0.01%
Fannie Mae FN CA1710, 4.50%, due 05/01/2048 3140Q83U7 241,506 $239,111.44 0.01%
Fannie Mae FN CA2327, 4%, due 09/01/2048 3140Q9SR5 365,273 $355,129.21 0.01%
Fannie Mae FN MA1373, 3.50%, due 03/01/2043 31418AQ35 311,198 $294,278.55 0.01%
Fannie Mae FN MA2077, 3.50%, due 11/01/2034 31418BJX5 274,574 $267,920.98 0.01%
Fannie Mae FN MA2670, 3%, due 07/01/2046 31418B6G6 361,654 $328,590.62 0.01%
Fannie Mae FN MA3057, 3.50%, due 07/01/2047 31418CMF8 312,056 $293,604.69 0.01%
Fannie Mae FN MA3210, 3.50%, due 12/01/2047 31418CR89 330,659 $310,178.97 0.01%
Fannie Mae FN MA3239, 4%, due 01/01/2048 31418CS54 311,135 $300,866.03 0.01%
Fannie Mae FN MA3332, 3.50%, due 04/01/2048 31418CV27 450,992 $421,932.61 0.01%
Fannie Mae FN MA3806, 3%, due 11/01/2046 31418CDL5 354,068 $322,360.93 0.01%
Fannie Mae FN MA3846, 3%, due 11/01/2049 31418DHY1 478,154 $421,304.65 0.01%
Fannie Mae FN MA4078, 2.50%, due 07/01/2050 31418DQ88 412,762 $352,937.34 0.01%
FANNIE MAE Series 2018-43, Class CT, 3%, due 06/25/2048 3136B1Z72 494,321 $446,697.41 0.01%
Freddie Mac FG G07826, 3%, due 10/01/2046 3128MJYY0 260,988 $237,896.83 0.01%
Freddie Mac FG G08750, 3%, due 02/01/2047 3128MJZQ6 378,093 $344,641.46 0.01%
Freddie Mac FG G08788, 3.50%, due 11/01/2047 3128MJ2W9 229,125 $214,621.84 0.01%
Freddie Mac FG G60080, 3.50%, due 06/01/2045 31335ACR7 258,828 $245,454.74 0.01%
Freddie Mac FG G60582, 3.50%, due 05/01/2046 31335AUF3 518,763 $490,609.26 0.01%
Freddie Mac FG G60658, 3.50%, due 07/01/2046 31335AWT1 489,354 $462,995.11 0.01%
Freddie Mac FG G61556, 3.50%, due 08/01/2048 31335BWR3 212,531 $200,167.71 0.01%
Freddie Mac FG G67700, 3.50%, due 08/01/2046 3132XCRV9 511,444 $483,028.96 0.01%
Freddie Mac FG U90772, 3.50%, due 01/01/2043 3132H32D4 182,174 $172,471.95 0.01%
Freddie Mac FG U99114, 3.50%, due 02/01/2044 3132H7DU5 230,906 $218,609.12 0.01%
Freddie Mac FR RE6029, 3%, due 02/01/2050 3133N3VW1 315,205 $275,171.55 0.01%
Freddie Mac FR ZA4692, 3.50%, due 06/01/2046 31329NF94 473,160 $446,954.88 0.01%
Freddie Mac FR ZM0063, 4%, due 08/01/2045 3131XTB82 224,573 $217,686.54 0.01%
Freddie Mac FR ZS9844, 3.50%, due 07/01/2046 3132AA5D2 463,799 $437,388.54 0.01%
Freddie Mac FR ZT0542. 4%, due 07/01/2048 3132ACS76 295,026 $285,230.87 0.01%
FREDDIE MAC Series 4656, Class EZ, 4%, due 02/15/2047 3137BVBM7 295,236 $283,433.25 0.01%
GNMA G2 MA2825, 3%, due 05/20/2045 36179RD63 400,558 $365,887.60 0.01%
GNMA G2 MA3663, 3.50%, due 05/20/2046 36179SB89 518,944 $484,473.67 0.01%
GNMA G2 MA3735, 3%, due 06/20/2046 36179SEG8 351,979 $321,166.06 0.01%
GNMA G2 MA4261, 3%, due 02/20/2047 36179SWW3 348,631 $317,042.02 0.01%
GNMA G2 MA4519, 3.50%, due 09/20/2047 36179TG41 258,100 $239,399.63 0.01%
GNMA G2 MA4588, 4.50%, due 07/20/2047 36179TCZ6 187,811 $187,365.81 0.01%
GNMA G2 MA4651, 3%, due 08/20/2047 36179TEY7 515,661 $468,294.26 0.01%
GNMA G2 MA4838, 4%, due 11/20/2047 36179TLT0 210,343 $202,250.71 0.01%
GNMA G2 MA4962, 3.50%, due 01/20/2048 36179TQP3 221,770 $206,439.83 0.01%
GNMA G2 MA4963, 4%, due 01/20/2048 36179TQQ1 318,528 $305,765.00 0.01%
GNMA G2 MA5136, 3.50%, due 04/20/2048 36179TV51 444,803 $413,521.98 0.01%
GNMA G2 MA5399, 4.50%, due 08/20/2048 36179T7L3 330,025 $328,212.95 0.01%
GNMA Series 2019-119, Class JE, 3%, due 06/01/2049 38381YZE7 257,195 $231,236.37 0.01%
GNMA Series 2019-12, Class QA, 3.50%, due 09/20/2048 38381BQQ0 256,296 $251,019.83 0.01%
MATIV HOLDINGS INC MATV TL DD 1L USD 418,715 $416,621.88 0.01%
MORGAN STANLEY Variable rate, due 12/10/2026 6174468V4 495,000 $493,428.19 0.01%
Fannie Mae FN MA1146, 4%, due 08/01/2042 31418AHY7 161,356 $157,512.15 0.00%
FANNIE MAE Series 2018-38, Class PA, 3.50%, due 06/25/2047 3136B1Q80 136,669 $134,450.97 0.00%
GNMA Series 2018-115, Class DE, 3.50%, due 08/20/2048 38380XR74 133,839 $124,650.93 0.00%
GNMA Series 2018-124, Class NW, 3.50%, due 09/20/2048 38380Y2X2 146,280 $137,184.37 0.00%
HOSTESS BRANDS LLC TWNK TL 1L USD LX183058 0 $0.00 0.00%
Holdings are subject to change.

The holdings information set forth above for the date indicated reflects creation and redemption transactions from the prior business day and may differ from the holdings information currently available from the Fund's custodian and accounting agent. With respect to the market value of the Fund's holdings set forth above, the pricing sources are generally third party vendors. The Fund ultimately relies on pricing information provided by the Fund's accounting agent.


 
The information presented is not intended to constitute an investment recommendation for, or advice to, any specific person. By providing this information, First Trust is not undertaking to give advice in any fiduciary capacity within the meaning of ERISA, the Internal Revenue Code or any other regulatory framework. Financial professionals are responsible for evaluating investment risks independently and for exercising independent judgment in determining whether investments are appropriate for their clients.
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