Statistiche di base
Valore del portafoglio | $ 1.843.710.439 |
Posizioni attuali | 972 |
Ultime partecipazioni, performance, AUM (da depositi 13F, 13D)
PTSAX - PIMCO Total Return ESG Fund Institutional ha dichiarato un totale di 972 partecipazioni negli ultimi documenti depositati presso la SEC. Il valore più recente del portafoglio è pari a $ 1.843.710.439 USD. Il patrimonio gestito effettivo (AUM) corrisponde a questo valore più la liquidità (che non viene dichiarata). Le principali partecipazioni di PTSAX - PIMCO Total Return ESG Fund Institutional sono FNMA 30YR TBA 3.0% AUG 20 TO BE ANNOUNCED 3.00000000 (US:US01F0306864) , United States Treasury Note/Bond (US:US912810TH14) , UMBS TBA (US:US01F0406854) , UMBS TBA (US:US01F0306781) , and Uniform Mortgage-Backed Security, TBA (US:US01F0606834) . Le nuove posizioni di PTSAX - PIMCO Total Return ESG Fund Institutional includono FNMA 30YR TBA 3.0% AUG 20 TO BE ANNOUNCED 3.00000000 (US:US01F0306864) , United States Treasury Note/Bond (US:US912810TH14) , UMBS TBA (US:US01F0406854) , UMBS TBA (US:US01F0306781) , and Uniform Mortgage-Backed Security, TBA (US:US01F0606834) .
Gli aumenti più importanti di questo trimestre
Utilizziamo la variazione dell'allocazione del portafoglio perché è l'indicatore più significativo. Le variazioni possono essere dovute a transazioni o a variazioni dei prezzi delle azioni.
Titolo | Azioni (in milioni) |
Valore (in milioni di $) |
Portafoglio % | ΔPortafoglio % |
---|---|---|---|---|
21,39 | 1,3346 | 1,3346 | ||
16,18 | 1,0096 | 1,0096 | ||
10,27 | 0,6405 | 0,6405 | ||
9,53 | 0,5945 | 0,5945 | ||
45,37 | 2,8311 | 0,5802 | ||
11,63 | 0,7259 | 0,2967 | ||
4,18 | 0,2611 | 0,2611 | ||
4,18 | 0,2611 | 0,2611 | ||
3,53 | 0,2203 | 0,2203 | ||
3,24 | 0,2022 | 0,2022 |
Gli aumenti più importanti di questo trimestre
Utilizziamo la variazione dell'allocazione del portafoglio perché è l'indicatore più significativo. Le variazioni possono essere dovute a transazioni o a variazioni dei prezzi delle azioni.
Titolo | Azioni (in milioni) |
Valore (in milioni di $) |
Portafoglio % | ΔPortafoglio % |
---|---|---|---|---|
-209,39 | -13,0654 | -13,0654 | ||
4,03 | 0,2515 | -5,3929 | ||
-4,61 | -0,2874 | -3,5558 | ||
-50,86 | -3,1736 | -3,1736 | ||
85,66 | 5,3447 | -2,5148 | ||
-1,80 | -0,1123 | -2,4390 | ||
38,28 | 2,3884 | -1,9149 | ||
-29,02 | -1,8106 | -1,8106 | ||
-10,23 | -0,6380 | -0,6380 | ||
-10,23 | -0,6380 | -0,6380 |
13F e depositi di fondi
Questo modulo è stato depositato il 2025-08-28 per il periodo di riferimento 2025-06-30. Fai clic sull'icona del link per visualizzare la cronologia completa delle transazioni.
Esegui l'upgrade per sbloccare i dati premium ed esportarli in Excel .
Titolo | Tipo | Prezzo medio dell'azione | Azioni (in milioni) |
ΔAzioni (%) |
ΔAzioni (%) |
Valore (in milioni di $) |
Portafoglio (%) |
ΔPortafoglio (%) |
|
---|---|---|---|---|---|---|---|---|---|
US01F0306864 / FNMA 30YR TBA 3.0% AUG 20 TO BE ANNOUNCED 3.00000000 | 85,66 | -37,87 | 5,3447 | -2,5148 | |||||
US912810TH14 / United States Treasury Note/Bond | 59,34 | -6,53 | 3,7026 | -0,2289 | |||||
US01F0406854 / UMBS TBA | 45,37 | 0,42 | 2,8311 | 0,5802 | |||||
US01F0306781 / UMBS TBA | 45,35 | -19,44 | 2,8297 | 0,0252 | |||||
US01F0606834 / Uniform Mortgage-Backed Security, TBA | 38,28 | -49,29 | 2,3884 | -1,9149 | |||||
FNMA POOL CB7589 FN 11/53 FIXED 5.5 / ABS-MBS (US3140QTNF26) | 31,22 | -2,12 | 1,9478 | -0,0271 | |||||
US912810ST60 / TREASURY BOND | 28,24 | -9,16 | 1,7618 | -0,1631 | |||||
FNMA POOL MB0293 FN 12/54 FIXED 6 / ABS-MBS (US3138MTKF35) | 27,85 | -5,21 | 1,7377 | -0,0817 | |||||
GB00BMV7TC88 / United Kingdom Gilt | 21,39 | 1,3346 | 1,3346 | ||||||
US3140QQYV18 / FNMA POOL CB5223 FN 11/52 FIXED 4 | 21,01 | -0,76 | 1,3107 | -0,0001 | |||||
US3140QTAS83 / FNMA POOL CB7216 FN 09/53 FIXED 4 | 20,50 | -0,80 | 1,2794 | -0,0006 | |||||
US3140QTAT66 / Fannie Mae Pool | 18,28 | -0,51 | 1,1404 | 0,0028 | |||||
US3133KQM605 / FED HM LN PC POOL RA8481 FR 07/53 FIXED 4.5 | 17,90 | -1,05 | 1,1168 | -0,0033 | |||||
ONTARIO (PROVINCE OF) SR UNSECURED 03/33 4.1 / DBT (CA68333ZBD83) | 17,31 | 4,47 | 1,0800 | 0,0539 | |||||
RFR USD SOFR/1.75000 12/21/22-30Y CME / DIR (EZ000VCFPMC7) | 16,42 | 6,32 | 1,0244 | 0,0682 | |||||
US3133KQQ259 / FHLG 30YR 5% 06/01/2053#RA8573 | 16,30 | -2,92 | 1,0170 | -0,0228 | |||||
US912810TK43 / U.S. Treasury Bonds | 16,29 | -2,10 | 1,0164 | -0,0140 | |||||
US912810TA60 / U.S. Treasury Bonds | 16,21 | -2,05 | 1,0113 | -0,0134 | |||||
US11271LAH50 / Brookfield Finance Inc | 16,19 | 1,85 | 1,0104 | 0,0258 | |||||
US21H0406734 / Ginnie Mae | 16,18 | 1,0096 | 1,0096 | ||||||
US91282CCM10 / United States Treasury Inflation Indexed Bonds | 15,76 | 1,21 | 0,9831 | 0,0191 | |||||
XS2226974413 / KINGDOM OF SWEDEN SR UNSECURED 144A 09/30 0.125 | 14,99 | 9,50 | 0,9351 | 0,0875 | |||||
FNMA POOL CB8271 FN 04/54 FIXED 5 / ABS-MBS (US3140QUFM32) | 14,79 | -3,26 | 0,9227 | -0,0239 | |||||
US3140QNCY63 / Fannie Mae Pool | 14,53 | -1,52 | 0,9064 | -0,0070 | |||||
US3142GQBU57 / FHLG 30YR 5.5% 10/01/2053#RJ0050 | 14,05 | -4,20 | 0,8769 | -0,0315 | |||||
FED HM LN PC POOL RJ1108 FR 03/54 FIXED 5 / ABS-MBS (US3142GRGS30) | 14,05 | -2,19 | 0,8766 | -0,0129 | |||||
US20402CAA36 / Community Preservation Corp/The | 13,80 | 2,31 | 0,8611 | 0,0258 | |||||
US912810TF57 / TREASURY BOND | 13,68 | -1,99 | 0,8538 | -0,0107 | |||||
US3133KRBP82 / UMBS | 13,64 | -0,61 | 0,8513 | 0,0012 | |||||
US3140QSSU64 / UMBS | 13,60 | -1,48 | 0,8488 | -0,0063 | |||||
US3133KQM787 / UMBS | 13,59 | -1,64 | 0,8478 | -0,0077 | |||||
US912810SV17 / United States Treasury Inflation Indexed Bonds | 13,37 | -4,36 | 0,8342 | -0,0315 | |||||
FED HM LN PC POOL RJ0138 FR 12/53 FIXED 5.5 / ABS-MBS (US3142GQEL22) | 13,01 | -2,60 | 0,8119 | -0,0153 | |||||
FNMA POOL CB7588 FN 11/53 FIXED 5 / ABS-MBS (US3140QTNE50) | 12,95 | -0,43 | 0,8078 | 0,0026 | |||||
US3140QTAU30 / FNMA 30YR 5% 10/01/2053#CB7218 | 12,87 | -2,38 | 0,8034 | -0,0134 | |||||
US86563VBA61 / Sumitomo Mitsui Trust Bank Ltd | 12,69 | 0,63 | 0,7920 | 0,0109 | |||||
US3137FWHZ64 / FREDDIE MAC MULTICLASS CERTIFI FHMR 2020 P003 A2 | 12,24 | 1,01 | 0,7636 | 0,0133 | |||||
US86772HAA59 / Sunrun Demeter Issuer 2021-2 | 12,18 | 0,30 | 0,7598 | 0,0080 | |||||
US531546AB51 / Liberty Utilities Finance GP 1 | 11,95 | 2,08 | 0,7456 | 0,0207 | |||||
US3133KQQZ27 / FED HM LN PC POOL RA8572 FR 06/53 FIXED 4.5 | 11,76 | -0,62 | 0,7337 | 0,0010 | |||||
US3140QSSW21 / FNMA 30YR 5% 07/01/2053#CB6832 | 11,72 | -1,12 | 0,7313 | -0,0027 | |||||
US912810SH23 / United States Treas Bds Bond | 11,63 | 67,85 | 0,7259 | 0,2967 | |||||
US477854AA13 / JOHN D AND CATHERINE T MACARTHUR FOUNDATION 1.299000% 12/01/2030 | 11,27 | 2,78 | 0,7032 | 0,0241 | |||||
US3140QSDY42 / FNMA POOL CB6418 FN 05/53 FIXED 5 | 10,98 | -1,96 | 0,6853 | -0,0084 | |||||
US78432WAA18 / SFO Commercial Mortgage Trust 2021-555 | 10,96 | 0,99 | 0,6837 | 0,0118 | |||||
US63983TBB08 / Nederlandse Waterschapsbank NV | 10,86 | 0,45 | 0,6777 | 0,0082 | |||||
US23312BAA89 / DC Office Trust 2019-MTC | 10,85 | 1,16 | 0,6770 | 0,0128 | |||||
US912810RM27 / United States Treas Bds Bond | 10,73 | -2,34 | 0,6694 | -0,0109 | |||||
US3140QSKX85 / FNMA POOL CB6609 FN 06/53 FIXED 4.5 | 10,65 | -0,74 | 0,6645 | 0,0001 | |||||
US92230AAA43 / VASA Trust 2021-VASA | 10,44 | 0,07 | 0,6511 | 0,0053 | |||||
US3140QRAB92 / FNMA 30YR 4.5% 12/01/2052#CB5401 | 10,30 | -5,37 | 0,6429 | -0,0314 | |||||
DEUTSCHE BANK REPO REPO / RA (000000000) | 10,27 | 0,6405 | 0,6405 | ||||||
US466330AA51 / JP MORGAN CHASE COMMERCIAL MORTGAGE SECURITIES COR JPMCC 2021-MHC A | 9,88 | -8,17 | 0,6163 | -0,0498 | |||||
US30227FAA84 / Extended Stay America Trust | 9,87 | -0,85 | 0,6160 | -0,0006 | |||||
US3140QSDX68 / FNMA POOL CB6417 FN 05/53 FIXED 4.5 | 9,86 | -0,84 | 0,6152 | -0,0006 | |||||
US843646AW05 / Southern Power Co | 9,79 | 0,90 | 0,6110 | 0,0100 | |||||
US298785HM16 / European Investment Bank | 9,75 | 0,73 | 0,6081 | 0,0090 | |||||
US912810QZ49 / United States Treas Bds Bond | 9,73 | -2,02 | 0,6074 | -0,0079 | |||||
US21H0606895 / Ginnie Mae | 9,53 | 0,5945 | 0,5945 | ||||||
US912810SJ88 / United States Treas Bds Bond | 9,48 | 24,47 | 0,5913 | 0,1198 | |||||
US86745AAA43 / SUNNOVA HELIOS VIII ISSUER LLC 2.79% 02/22/2049 144A | 9,41 | -7,07 | 0,5873 | -0,0399 | |||||
US912810SA79 / United States Treas Bds Bond | 9,29 | 23,08 | 0,5798 | 0,1123 | |||||
US01F0626899 / Uniform Mortgage-Backed Security, TBA | 9,28 | 1,35 | 0,5790 | 0,0571 | |||||
US865592AA73 / SUMIT Mortgage Trust | 9,12 | 1,62 | 0,5689 | 0,0133 | |||||
US3133KQPD24 / FED HM LN PC POOL RA8520 FR 02/53 FIXED 4.5 | 9,11 | -0,75 | 0,5687 | 0,0000 | |||||
EU000A3K4C42 / European Union | 9,09 | 11,66 | 0,5672 | 0,0631 | |||||
US912810RL44 / United States Treasury Inflation Indexed Bonds | 8,96 | -2,85 | 0,5590 | -0,0121 | |||||
FED HM LN PC POOL RJ0639 FR 01/54 FIXED 5.5 / ABS-MBS (US3142GQV902) | 8,87 | -2,36 | 0,5535 | -0,0091 | |||||
US21989DAA00 / Corp Inmobiliaria Vesta SAB de CV | 8,85 | 2,23 | 0,5522 | 0,0161 | |||||
US694308KK29 / Pacific Gas and Electric Co | 8,63 | -3,63 | 0,5387 | -0,0160 | |||||
US418751AL75 / HAT HOLDINGS I LLC/HAT REGD 144A P/P 8.00000000 | 8,45 | 0,63 | 0,5272 | 0,0073 | |||||
US05591UAA51 / BSREP COMMERCIAL MORTGAGE TRUST 2021-DC BSREP 2021-DC A | 8,43 | -0,24 | 0,5260 | 0,0028 | |||||
US26835PAH38 / EDP Finance BV | 8,42 | 1,31 | 0,5255 | 0,0107 | |||||
US00130HCG83 / CORP. NOTE | 8,31 | 2,29 | 0,5185 | 0,0154 | |||||
US576722AA04 / Mather Foundation | 8,25 | 1,04 | 0,5151 | 0,0092 | |||||
US3133KQM522 / FED HM LN PC POOL RA8480 FR 07/53 FIXED 4 | 8,21 | -1,82 | 0,5125 | -0,0055 | |||||
US912810TM09 / United States Treasury Note/Bond | 8,03 | -2,20 | 0,5011 | -0,0074 | |||||
US46654EAA91 / JPMorgan Chase Commercial Mortgage Securities Corp., Series 2021-NYAH, Class A | 7,97 | 0,54 | 0,4974 | 0,0064 | |||||
US3140QSST91 / UMBS | 7,83 | -0,76 | 0,4883 | -0,0000 | |||||
EUROPEAN UNION SR UNSECURED REGS 10/29 2.875 / DBT (EU000A3L1CN4) | 7,81 | 9,83 | 0,4875 | 0,0469 | |||||
US53948QAA40 / Loanpal Solar Loan 2021-2 Ltd | 7,73 | 0,45 | 0,4824 | 0,0059 | |||||
US23345LAA70 / DOLP Trust 2021-NYC | 7,67 | 1,27 | 0,4783 | 0,0095 | |||||
US3140HSDJ75 / FNMA POOL BL1004 FN 12/28 FIXED 4.01 | 7,65 | 0,51 | 0,4773 | 0,0060 | |||||
US65339KBW99 / NextEra Energy Capital Holdings Inc | 7,57 | 1,28 | 0,4724 | 0,0095 | |||||
US TREASURY N/B 05/54 4.625 / DBT (US912810UA42) | 7,48 | -3,18 | 0,4668 | -0,0117 | |||||
XS2390530330 / CTP NV /EUR/ REGD REG S EMTN 0.62500000 | 7,46 | 9,58 | 0,4654 | 0,0439 | |||||
US30227FAC41 / EXTENDED STAY AMERICA TRUST ESA 2021 ESH A1 144A | 7,39 | -0,85 | 0,4608 | -0,0004 | |||||
US912810SE91 / United States Treas Bds Bond | 7,36 | -2,53 | 0,4592 | -0,0084 | |||||
US912810TS78 / United States Treasury Note/Bond | 7,33 | -2,15 | 0,4572 | -0,0065 | |||||
GB00BMV7TC88 / United Kingdom Gilt | 7,30 | 6,45 | 0,4554 | 0,0308 | |||||
US61946QAA94 / Mosaic Solar Loan Trust, Series 2022-1A, Class A | 7,25 | -4,40 | 0,4526 | -0,0172 | |||||
CITIBANK NA SR UNSECURED 11/27 VAR / DBT (US17325FBL13) | 7,25 | 0,12 | 0,4521 | 0,0040 | |||||
US258261AA48 / DORIS DUKE CHARITABLE FOUNDATION/THE 2.345000% 07/01/2050 | 7,15 | -2,88 | 0,4462 | -0,0098 | |||||
US31335BR658 / FED HM LN PC POOL G61409 FG 05/48 FIXED 3.5 | 7,14 | -2,49 | 0,4453 | -0,0079 | |||||
INTL BK RECON + DEVELOP SR UNSECURED 02/26 5.31 / DBT (XS2295730803) | 7,05 | 4,66 | 0,4400 | 0,0228 | |||||
US91282CGW55 / United States Treasury Inflation Indexed Bonds | 6,94 | 0,77 | 0,4330 | 0,0066 | |||||
IT0005246134 / Italy Buoni Poliennali Del Tesoro | 6,87 | 9,99 | 0,4288 | 0,0419 | |||||
US880591EX64 / Tennessee Valley Authority | 6,71 | 1,36 | 0,4184 | 0,0088 | |||||
XS2291692890 / Chile Government International Bond | 6,70 | 0,71 | 0,4183 | 0,0061 | |||||
US26210YAA47 / DROP Mortgage Trust, Series 2021-FILE, Class A | 6,65 | 2,04 | 0,4152 | 0,0114 | |||||
US912810RD28 / United States Treas Bds Bond | 6,64 | -2,14 | 0,4145 | -0,0058 | |||||
US56501RAN61 / Manulife Financial Corp | 6,63 | 2,19 | 0,4138 | 0,0119 | |||||
AU3CB0268829 / NextEra Energy Capital Holdings Inc. | 6,62 | 6,92 | 0,4128 | 0,0297 | |||||
US92936UAJ88 / WP Carey Inc | 6,52 | 2,23 | 0,4068 | 0,0118 | |||||
US345397A860 / Ford Motor Credit Co LLC | 6,45 | 1,19 | 0,4027 | 0,0077 | |||||
6902 / DENSO Corporation | 6,30 | 0,61 | 0,3932 | 0,0053 | |||||
US456837AU72 / ING Groep NV | 6,30 | 0,82 | 0,3931 | 0,0061 | |||||
US715638BY77 / REPUBLIC OF PERU SR UNSECURED 144A 08/32 6.15 | 6,28 | 6,79 | 0,3917 | 0,0276 | |||||
US49427RAR30 / KILROY REALTY 2.65 11/33 | 6,21 | 0,96 | 0,3875 | 0,0066 | |||||
US3133KJJP84 / UMBS | 6,11 | -3,57 | 0,3810 | -0,0111 | |||||
US44107TBA34 / Host Hotels & Resorts LP | 5,96 | 0,98 | 0,3720 | 0,0064 | |||||
US382371AA01 / GoodLeap Sustainable Home Solutions Trust 2021-3 | 5,88 | -2,03 | 0,3669 | -0,0048 | |||||
US05493LAA44 / BANC OF AMERICA MERRILL LYNCH BAMLL 2021 JACX A 144A | 5,74 | 0,24 | 0,3580 | 0,0036 | |||||
FED HM LN PC POOL RJ0046 FR 10/53 FIXED 4 / ABS-MBS (US3142GQBQ46) | 5,68 | -0,72 | 0,3542 | 0,0001 | |||||
US912810SF66 / Us Treasury Bond | 5,68 | -2,56 | 0,3541 | -0,0066 | |||||
US3133KRD925 / UMBS | 5,66 | -0,58 | 0,3530 | 0,0006 | |||||
REGATTA XVI FUNDING LTD. REG16 2019 2A A1R 144A / ABS-CBDO (US75888TAL98) | 5,65 | -2,65 | 0,3524 | -0,0069 | |||||
US55284JAA79 / MF1 2022-FL8 Ltd | 5,63 | -12,58 | 0,3516 | -0,0475 | |||||
SANDSTONE PEAK LTD. SAND 2021 1A A1R 144A / ABS-CBDO (US800130AN66) | 5,50 | 0,05 | 0,3434 | 0,0028 | |||||
US91282CDX65 / United States Treasury Inflation Indexed Bonds | 5,35 | 1,15 | 0,3339 | 0,0063 | |||||
US912810TU25 / United States Treasury Note/Bond | 5,34 | -54,74 | 0,3332 | -0,3973 | |||||
FED HM LN PC POOL RJ1109 FR 03/54 FIXED 5.5 / ABS-MBS (US3142GRGT13) | 5,24 | -2,29 | 0,3272 | -0,0052 | |||||
US298785JA59 / European Investment Bank | 5,18 | 1,55 | 0,3231 | 0,0073 | |||||
US38237KAA88 / 4% 20 Apr 2049 | 5,11 | 2,71 | 0,3191 | 0,0107 | |||||
US50065RAK32 / KOREA HSG FIN CORP 4.625% 02/24/2028 144A | 5,05 | 0,42 | 0,3153 | 0,0037 | |||||
US42806MBS70 / Hertz Vehicle Financing III LLC | 5,03 | -0,12 | 0,3137 | 0,0020 | |||||
US62954HBB33 / NXP BV / NXP Funding LLC / NXP USA Inc | 4,99 | 1,30 | 0,3113 | 0,0063 | |||||
US539565AC59 / LOCAL INITIATIVES SUPPOR UNSECURED 03/27 3.782 | 4,97 | 0,47 | 0,3100 | 0,0038 | |||||
GREYWOLF CLO LTD GWOLF 2020 3RA A1R2 144A / ABS-CBDO (US39809CAY03) | 4,91 | 0,22 | 0,3065 | 0,0030 | |||||
ARES CLO LTD ARES 2013 2A AR3 144A / ABS-CBDO (US00190YBP97) | 4,91 | 0,43 | 0,3061 | 0,0036 | |||||
PIKES PEAK CLO PIPK 2019 4A ARR 144A / ABS-CBDO (US72132WAN92) | 4,90 | 0,27 | 0,3060 | 0,0031 | |||||
ELEVATION CLO LTD AWPT 2018 3A A1R2 144A / ABS-CBDO (US28623VAN91) | 4,90 | 0,08 | 0,3059 | 0,0026 | |||||
US30767EAD13 / FARM CREDIT BK OF TEXAS JR SUBORDINA 144A 12/99 VAR | 4,90 | 0,00 | 4,90 | 0,27 | 0,3056 | 0,0032 | |||
US912810TD00 / United States Treasury Note/Bond | 4,89 | -3,15 | 0,3051 | -0,0076 | |||||
5831 / Shizuoka Financial Group,Inc. | 4,87 | 1,76 | 0,3036 | 0,0075 | |||||
AMEREN MISSOURI SEC FU I SR SECURED 10/41 4.85 / DBT (US023940AA78) | 4,86 | -0,37 | 0,3035 | 0,0011 | |||||
US68249DAA72 / One New York Plaza Trust 2020-1NYP | 4,86 | 1,42 | 0,3035 | 0,0065 | |||||
FED HM LN PC POOL RJ0048 FR 10/53 FIXED 4.5 / ABS-MBS (US3142GQBS02) | 4,86 | -3,07 | 0,3030 | -0,0073 | |||||
TRINITAS CLO LTD TRNTS 2022 19A A1R 144A / ABS-CBDO (US89642FAN33) | 4,80 | 0,17 | 0,2997 | 0,0027 | |||||
CQS US CLO LTD CQS 2021 1A AR 144A / ABS-CBDO (US12659UAL61) | 4,80 | -0,54 | 0,2996 | 0,0007 | |||||
US3140QSKW03 / FNMA POOL CB6608 FN 07/53 FIXED 4 | 4,79 | -0,75 | 0,2989 | 0,0001 | |||||
US83416WAA18 / Solar Star Funding LLC | 4,73 | -0,17 | 0,2954 | 0,0017 | |||||
ELEVATION CLO LTD AWPT 2022 16A A1AR 144A / ABS-CBDO (US28623YAU73) | 4,71 | 0,73 | 0,2936 | 0,0043 | |||||
OCEAN TRAILS CLO OCTR 2021 11A AR 144A / ABS-CBDO (US67514VAL36) | 4,70 | 0,47 | 0,2933 | 0,0036 | |||||
US86562MCN83 / Sumitomo Mitsui Financial Group Inc | 4,70 | 1,29 | 0,2931 | 0,0059 | |||||
XS2100664114 / Digital Dutch Finco BV | 4,68 | 10,66 | 0,2922 | 0,0301 | |||||
US3132XVR625 / FED HM LN PC POOL Q53208 FG 12/47 FIXED 3.5 | 4,67 | -4,97 | 0,2914 | -0,0129 | |||||
TSY INFL IX N/B 02/54 2.125 / DBT (US912810TY47) | 4,60 | -3,67 | 0,2867 | -0,0087 | |||||
US3140QSDW85 / FNMA POOL CB6416 FN 05/53 FIXED 4 | 4,58 | -1,31 | 0,2857 | -0,0016 | |||||
US26444HAH49 / Duke Energy Florida LLC | 4,55 | 1,54 | 0,2842 | 0,0064 | |||||
US50085PAA57 / KREST COMMERCIAL MORTGAGE SECU KREST 2021 CHIP A 144A | 4,52 | 0,09 | 0,2821 | 0,0024 | |||||
MADISON PARK FUNDING LTD MDPK 2021 49A AR 144A / ABS-CBDO (US55820VAL71) | 4,49 | 0,25 | 0,2804 | 0,0028 | |||||
XS2264968665 / Ivory Coast Government International Bond | 4,49 | 12,11 | 0,2802 | 0,0321 | |||||
US656029AL92 / Norinchukin Bank/The | 4,49 | 0,11 | 0,2801 | 0,0024 | |||||
US842400HM81 / Southern California Edison Co | 4,49 | 1,24 | 0,2799 | 0,0055 | |||||
US47109LAB09 / Japan International Cooperation Agency | 4,40 | 0,62 | 0,2743 | 0,0037 | |||||
US797440CE27 / SAN DIEGO GAS & ELECTRIC CO | 4,39 | 0,73 | 0,2741 | 0,0040 | |||||
US052769AH94 / Autodesk Inc | 4,39 | 2,43 | 0,2738 | 0,0085 | |||||
USY4S71YAA27 / JSW Hydro Energy Ltd | 4,38 | -1,26 | 0,2735 | -0,0014 | |||||
US65364UAN63 / Niagara Mohawk Power Corp | 4,33 | 2,12 | 0,2701 | 0,0076 | |||||
MADISON PARK FUNDING LTD MDPK 2020 46A ARR 144A / ABS-CBDO (US55822AAW71) | 4,30 | 0,63 | 0,2686 | 0,0037 | |||||
US75973PAA75 / ReNew Wind Energy AP2 / ReNew Power Pvt Ltd other 9 Subsidiaries | 4,27 | 2,18 | 0,2667 | 0,0076 | |||||
US461070AP91 / Interstate Power & Light Co. | 4,27 | 18,14 | 0,2661 | 0,1218 | |||||
US3133KRBS22 / FED HM LN PC POOL RA9049 FR 05/53 FIXED 4 | 4,26 | -0,72 | 0,2659 | 0,0001 | |||||
US3140QQKU80 / FNMA POOL CB4806 FN 07/52 FIXED 3 | 4,24 | -0,84 | 0,2648 | -0,0003 | |||||
5831 / Shizuoka Financial Group,Inc. | 4,18 | 0,2611 | 0,2611 | ||||||
SMURFIT KAPPA TREASURY COMPANY GUAR 01/30 5.2 / DBT (US83272GAD34) | 4,18 | 0,2611 | 0,2611 | ||||||
FCT / Fincantieri S.p.A. | 4,18 | 11,77 | 0,2607 | 0,0292 | |||||
US212168AA64 / Continental Wind LLC | 4,11 | -0,05 | 0,2567 | 0,0018 | |||||
US92343VGL27 / Verizon Communications Inc | 4,11 | 0,64 | 0,2565 | 0,0036 | |||||
GBDC / Golub Capital BDC, Inc. | 4,10 | 0,52 | 0,2556 | 0,0032 | |||||
FED HM LN PC POOL RA9795 FR 09/53 FIXED 4 / ABS-MBS (US3133KR3C65) | 4,08 | -0,95 | 0,2548 | -0,0004 | |||||
XS2106589471 / CPI Property Group SA | 4,06 | -27,81 | 0,2534 | -0,0950 | |||||
US54750AAB26 / Low Income Investment Fund | 4,04 | -0,30 | 0,2524 | 0,0012 | |||||
US01F0526800 / Uniform Mortgage-Backed Security, TBA | 4,03 | -95,93 | 0,2515 | -5,3929 | |||||
US05571AAR68 / BPCE SA | 4,03 | 0,55 | 0,2512 | 0,0032 | |||||
BMW VEHICLE LEASE TRUST BMWLT 2024 1 A3 / ABS-O (US05611UAD54) | 4,01 | -0,15 | 0,2505 | 0,0015 | |||||
US1301ETAA03 / California Endowment/The | 4,01 | -4,18 | 0,2504 | -0,0089 | |||||
US26442CAX20 / Duke Energy Carolinas LLC | 3,99 | 1,22 | 0,2491 | 0,0049 | |||||
US05591F2S82 / BNG Bank NV | 3,97 | 0,81 | 0,2477 | 0,0039 | |||||
US3138WHS290 / Fannie Mae Pool | 3,95 | -2,03 | 0,2468 | -0,0032 | |||||
US912810SL35 / United States Treasury Note/Bond | 3,94 | -2,96 | 0,2456 | -0,0055 | |||||
BNG BANK NV SR UNSECURED 144A 02/30 4.75 / DBT (US05591F2Y50) | 3,93 | 0,69 | 0,2452 | 0,0036 | |||||
US36257CAA53 / GS Mortgage Securities Corp Trust 2017-GPTX | 3,93 | 0,56 | 0,2452 | 0,0032 | |||||
US298785JV96 / European Investment Bank | 3,92 | 0,77 | 0,2448 | 0,0037 | |||||
ARES EURO CLO ARESE 14A AR 144A / ABS-CBDO (XS2920478356) | 3,86 | -13,17 | 0,2407 | -0,0344 | |||||
US89115A2V36 / Toronto-Dominion Bank/The | 3,85 | 0,03 | 0,2404 | 0,0019 | |||||
US575674AA46 / Massachusetts Higher Education Assistance Corp | 3,83 | 0,55 | 0,2393 | 0,0031 | |||||
RFR USD SOFR/3.50000 06/20/24-30Y LCH / DIR (EZV8ZC6L7CY8) | 3,82 | 13,11 | 0,2384 | 0,0292 | |||||
MDLZ / Mondelez International, Inc. - Depositary Receipt (Common Stock) | 3,81 | 4,88 | 0,2375 | 0,0127 | |||||
945B / ReNew Power Pvt Ltd | 3,73 | 0,84 | 0,2326 | 0,0037 | |||||
US86563VBH15 / SUMITOMO MITSUI TR BK LT SR UNSECURED 144A 03/28 5.5 | 3,71 | 0,41 | 0,2316 | 0,0026 | |||||
US902613AA61 / UBS Group AG | 3,68 | 1,43 | 0,2297 | 0,0050 | |||||
37 CAPITAL CLO LTD PUTNM 2023 2A AR 144A / ABS-CBDO (US883932AN54) | 3,59 | 0,14 | 0,2239 | 0,0020 | |||||
US268317AS33 / Electricite de France SA | 3,59 | 0,28 | 0,2237 | 0,0023 | |||||
US21H0206753 / GINNIE MAE II POOL 30YR TBA (JULY) | 3,58 | 0,65 | 0,2237 | 0,0206 | |||||
TAQA / Abu Dhabi National Energy Company PJSC | 3,54 | -0,56 | 0,2211 | 0,0004 | |||||
SRG / Snam S.p.A. | 3,53 | 0,2203 | 0,2203 | ||||||
37 CAPITAL CLO LTD PUTNM 2022 1A A1R 144A / ABS-CBDO (US88429PAU66) | 3,50 | 0,14 | 0,2186 | 0,0019 | |||||
5831 / Shizuoka Financial Group,Inc. | 3,50 | -2,73 | 0,2181 | -0,0044 | |||||
GOLDENTREE LOAN MANAGEMENT US GLM 2020 8A ARR 144A / ABS-CBDO (US38136NAY22) | 3,42 | 0,38 | 0,2135 | 0,0024 | |||||
US63983TEH41 / Nederlandse Waterschapsbank NV | 3,42 | 0,53 | 0,2132 | 0,0027 | |||||
PROLOGIS LP SR UNSECURED 02/33 4.2 / DBT (CA74340XCP48) | 3,40 | 5,82 | 0,2123 | 0,0132 | |||||
TESLA SUSTAINABLE ENERGY TRUST TSET 2024 1A A2 144A / ABS-O (US88164AAB08) | 3,40 | -3,27 | 0,2120 | -0,0055 | |||||
RFR USD SOFR/2.00000 12/21/22-10Y CME / DIR (EZFXDWH0DRR4) | 3,37 | -9,51 | 0,2103 | -0,0203 | |||||
CBOM / Credit Bank of Moscow (public joint-stock company) | 3,34 | 1,03 | 0,2087 | 0,0037 | |||||
US912810SM18 / US TII .25 02/15/2050 (TIPS) | 3,34 | -3,92 | 0,2082 | -0,0069 | |||||
MADISON PARK FUNDING LTD MDPK 2019 36A A1RR 144A / ABS-CBDO (US55819PBE88) | 3,29 | 0,12 | 0,2051 | 0,0018 | |||||
US80282KBF21 / Santander Holdings USA, Inc. | 3,29 | 1,89 | 0,2050 | 0,0053 | |||||
BMW US CAPITAL LLC COMPANY GUAR 144A 03/30 5.05 / DBT (US05565ECY95) | 3,26 | 1,27 | 0,2034 | 0,0041 | |||||
NORINCHUKIN BANK SR UNSECURED 144A 10/29 5.094 / DBT (US656029AN58) | 3,25 | 0,56 | 0,2027 | 0,0027 | |||||
HASI / HA Sustainable Infrastructure Capital, Inc. | 3,24 | 0,2022 | 0,2022 | ||||||
COTY34 / Coty Inc. - Depositary Receipt (Common Stock) | 3,24 | 8,92 | 0,2019 | 0,0180 | |||||
BMW VEHICLE LEASE TRUST BMWLT 2025 1 A3 / ABS-O (US096912AD26) | 3,22 | 0,2009 | 0,2009 | ||||||
MF1 MULTIFAMILY HOUSING MORTGA MF1 2025 FL17 A 144A / ABS-CBDO (US55287HAA86) | 3,20 | 0,09 | 0,1994 | 0,0017 | |||||
US195325EL56 / Colombia Government International Bond | 3,12 | 0,00 | 0,1947 | 0,0014 | |||||
IRS EUR 0.25000 09/15/21-15Y LCH / DIR (EZSTDKF68V20) | 3,09 | 8,30 | 0,1931 | 0,0161 | |||||
US00203QAF46 / AP Moller - Maersk A/S | 3,07 | 2,09 | 0,1918 | 0,0053 | |||||
US42806MBW82 / HERTZ 23-2 A 144A 5.57% 09-25-29/28 | 3,07 | 0,43 | 0,1913 | 0,0023 | |||||
US095623AB04 / BlueHub Loan Fund Inc | 3,06 | 0,07 | 0,1909 | 0,0016 | |||||
US38237JAA16 / GoodLeap Sustainable Home Solutions Trust 2022-1 | 3,04 | 0,63 | 0,1898 | 0,0026 | |||||
SCE.PRK / SCE Trust V - Preferred Security | 3,03 | 0,46 | 0,1892 | 0,0023 | |||||
US912810RB61 / United States Treas Bds Bond | 3,01 | -2,12 | 0,1876 | -0,0027 | |||||
US01N0506772 / Ginnie Mae | 2,95 | 0,85 | 0,1841 | 0,0173 | |||||
AVOCA STATIC CLO AVOST 1A AR 144A / ABS-CBDO (XS2935873880) | 2,94 | 0,65 | 0,1836 | 0,0025 | |||||
FIRST HELP FINANCIAL LLC FHF 2024 2A A2 144A / ABS-O (US30336NAC56) | 2,92 | -15,25 | 0,1824 | -0,0312 | |||||
5831 / Shizuoka Financial Group,Inc. | 2,92 | 0,1821 | 0,1821 | ||||||
US70339PAA75 / Pattern Energy Operations LP / Pattern Energy Operations Inc | 2,91 | 4,08 | 0,1815 | 0,0084 | |||||
US3140QRAA10 / FANNIE MAE POOL FN CB5400 | 2,90 | -1,60 | 0,1806 | -0,0016 | |||||
JAMESTOWN CLO LTD JTWN 2021 16A AR 144A / ABS-CBDO (US47048RAL96) | 2,89 | 0,03 | 0,1804 | 0,0014 | |||||
US44107TAZ93 / Host Hotels & Resorts LP | 2,88 | 1,30 | 0,1797 | 0,0037 | |||||
US3133KQDD51 / FHLG 30YR 4% 12/01/2052#RA8200 | 2,82 | -14,36 | 0,1757 | -0,0279 | |||||
US3137FXLY27 / FHLMC Multifamily Structured Pass-Through Certificates, Series KSG1, Class X1 | 2,77 | -4,61 | 0,1729 | -0,0070 | |||||
FED HM LN PC POOL RJ0135 FR 11/53 FIXED 4 / ABS-MBS (US3142GQEH10) | 2,76 | -0,76 | 0,1723 | 0,0000 | |||||
HANA BANK HANA BANK / DBT (US48723RAE53) | 2,75 | -0,11 | 0,1719 | 0,0011 | |||||
US912810TC27 / United States Treasury Note/Bond | 2,75 | -2,10 | 0,1717 | -0,0024 | |||||
US912810RW09 / United States Treasury Inflation Indexed Bonds | 2,70 | -3,33 | 0,1684 | -0,0045 | |||||
US38237VAA44 / GOODLEAP SUSTAINABLE HOME SOLUTIONS TRUST 2023-1 GOOD 2023-1GS A | 2,66 | 0,49 | 0,1657 | 0,0021 | |||||
US3617G9M818 / GNMA II POOL BF3083 G2 07/48 FIXED 4 | 2,65 | -4,57 | 0,1656 | -0,0066 | |||||
US TREASURY N/B 05/44 4.625 / DBT (US912810UB25) | 2,65 | -2,25 | 0,1653 | -0,0025 | |||||
ONCOR ELECTRIC DELIVERY SR SECURED 144A 05/31 3.5 / DBT (XS2813774770) | 2,64 | 10,20 | 0,1646 | 0,0164 | |||||
US3136BBAR38 / Fannie Mae-Aces | 2,60 | -7,18 | 0,1622 | -0,0113 | |||||
US912810SC36 / United States Treas Bds Bond | 2,58 | -2,53 | 0,1610 | -0,0029 | |||||
US31335BTJ51 / FED HM LN PC POOL G61453 FG 05/48 FIXED 3.5 | 2,56 | -0,97 | 0,1600 | -0,0003 | |||||
US3622A3BM11 / GNMA POOL 784544 GN 09/47 FIXED 3.5 | 2,56 | -2,81 | 0,1598 | -0,0034 | |||||
BAIN CAPITAL CREDIT CLO, LIMIT BCC 2021 3A AR 144A / ABS-CBDO (US05683NAJ19) | 2,54 | 0,59 | 0,1585 | 0,0021 | |||||
US912810RH32 / United States Treas Bds Bond | 2,52 | -2,25 | 0,1575 | -0,0024 | |||||
US3133KQQY51 / FED HM LN PC POOL RA8571 FR 06/53 FIXED 4 | 2,52 | -3,96 | 0,1572 | -0,0053 | |||||
US912834KP23 / United States Treasury Strip Coupon | 2,50 | -1,30 | 0,1562 | -0,0009 | |||||
US656029AH80 / Norinchukin Bank/The | 2,47 | 1,40 | 0,1542 | 0,0033 | |||||
US46647PDW32 / JPMorgan Chase & Co | 2,45 | -0,20 | 0,1530 | 0,0009 | |||||
US617463AC80 / Morgan Stanley IXIS Real Estate Capital Trust | 2,45 | -0,41 | 0,1528 | 0,0005 | |||||
FIRST HELP FINANCIAL LLC FHF 2024 1A A2 144A / ABS-O (US31568AAB26) | 2,44 | -14,90 | 0,1525 | -0,0254 | |||||
US912810RF75 / United States Treasury Inflation Indexed Bonds | 2,43 | -2,61 | 0,1516 | -0,0029 | |||||
US720198AE09 / Piedmont Operating Partnership LP | 2,42 | 2,19 | 0,1512 | 0,0044 | |||||
US81758VAA35 / Service Experts Issuer LLC, Series 2021-1A, Class A | 2,38 | -12,55 | 0,1488 | -0,0201 | |||||
FNMA POOL FS8865 FN 02/35 FIXED VAR / ABS-MBS (US3140XQZ753) | 2,36 | -6,49 | 0,1475 | -0,0090 | |||||
ANCHORAGE CAPITAL CLO LTD ANCHC 2021 20A A1R 144A / ABS-CBDO (US03330YAJ91) | 2,29 | 0,00 | 0,1432 | 0,0010 | |||||
US914455UK46 / University of Michigan | 2,29 | -0,91 | 0,1426 | -0,0002 | |||||
US3617L7VQ99 / GNMA II POOL BP1523 G2 08/49 FIXED 3.5 | 2,28 | -1,52 | 0,1420 | -0,0011 | |||||
AU3CB0245884 / European Investment Bank | 2,23 | 6,71 | 0,1389 | 0,0097 | |||||
US 5YR NOTE (CBT) SEP25 XCBT 20250930 / DIR (000000000) | 2,19 | 0,1367 | 0,1367 | ||||||
XS2345035963 / Wabtec Transportation Netherlands BV | 2,17 | 9,67 | 0,1353 | 0,0129 | |||||
US715638BE14 / Peruvian Government International Bond | 2,14 | -15,64 | 0,1333 | -0,0235 | |||||
PRP ADVISORS, LLC PRPM 2023 NQM2 A1 144A / ABS-MBS (US74390KAK43) | 2,13 | -8,30 | 0,1331 | -0,0109 | |||||
SMURFIT WESTROCK FIN COMPANY GUAR 01/35 5.418 / DBT (US83272YAB83) | 2,13 | 0,1328 | 0,1328 | ||||||
US TREASURY N/B 11/54 4.5 / DBT (US912810UE63) | 2,10 | -3,27 | 0,1309 | -0,0034 | |||||
US78409VBJ26 / S&P Global Inc | 2,09 | 1,12 | 0,1301 | 0,0024 | |||||
US525221GC58 / LEHMAN XS TRUST LXS 2005 10 2A4A | 2,08 | -3,48 | 0,1299 | -0,0037 | |||||
CROWN POINT CLO 7, LTD CRNPT 2018 7A AR 144A / ABS-CBDO (US22846MAJ27) | 2,06 | -32,07 | 0,1287 | -0,0594 | |||||
US3617GQ5G46 / GNMA II POOL BG6247 G2 05/48 FIXED 4 | 2,05 | -1,26 | 0,1276 | -0,0007 | |||||
US89231WAA18 / Toyota Auto Loan Extended Note Trust 2023-1 | 2,04 | 0,44 | 0,1274 | 0,0015 | |||||
US3140QSC901 / FNMA 30YR 5% 02/01/2053#CB6395 | 2,04 | -2,54 | 0,1271 | -0,0023 | |||||
US74977RDJ05 / Cooperatieve Rabobank UA | 1,98 | 0,97 | 0,1238 | 0,0021 | |||||
ONTARIO (PROVINCE OF) SR UNSECURED 12/34 3.8 / DBT (CA68333ZBG15) | 1,98 | 0,1237 | 0,1237 | ||||||
US18539UAC99 / Clearway Energy Operating LLC | 1,98 | 1,91 | 0,1234 | 0,0032 | |||||
US3137BWWX87 / FHLMC, Series 4678, Class AF | 1,97 | -3,76 | 0,1231 | -0,0039 | |||||
US78433LAG14 / SCE Recovery Funding LLC | 1,93 | -2,08 | 0,1204 | -0,0016 | |||||
US78449RAC97 / SLG Office Trust 2021-OVA | 1,92 | -3,27 | 0,1200 | -0,0031 | |||||
US15189XBC11 / CenterPoint Energy Houston Electric LLC | 1,91 | -0,05 | 0,1191 | 0,0008 | |||||
CANYON CAPITAL CLO LTD CANYC 2020 1A AR2 144A / ABS-CBDO (US13876LAW72) | 1,90 | 0,53 | 0,1187 | 0,0015 | |||||
US912810RE01 / United States Treas Bds Bond | 1,88 | -2,13 | 0,1176 | -0,0017 | |||||
US13032UD885 / CALIFORNIA ST HLTH FACS FING AUTH REVENUE | 1,87 | 1,02 | 0,1170 | 0,0020 | |||||
IRS EUR 2.25000 09/17/25-30Y LCH / DIR (EZV4L1QCFM97) | 1,84 | -2,44 | 0,1146 | -0,0020 | |||||
US86745XAA46 / SUNNOVA SOL V ISSUER, LLC SNVA 2023 1A A 144A | 1,84 | -1,02 | 0,1145 | -0,0003 | |||||
US86746AAA34 / SNVA_23-A | 1,79 | -6,51 | 0,1120 | -0,0069 | |||||
5831 / Shizuoka Financial Group,Inc. | 1,78 | -5,79 | 0,1108 | -0,0059 | |||||
TIKEHAU CLO IX DAC TIKEH 9A AR 144A / ABS-CBDO (XS2931965672) | 1,77 | 8,87 | 0,1103 | 0,0097 | |||||
US36198UAE91 / GNMA POOL AI7205 GN 08/45 FIXED 3.5 | 1,76 | -2,06 | 0,1100 | -0,0015 | |||||
CPPIB CAPITAL INC COMPANY GUAR REGS 06/34 4.3 / DBT (CA12593CAY71) | 1,76 | 4,08 | 0,1099 | 0,0051 | |||||
US38376R4U70 / GNMA, Series 2017-H14, Class FG | 1,76 | -11,26 | 0,1097 | -0,0130 | |||||
US13048VQC53 / California Municipal Finance Authority | 1,69 | -1,46 | 0,1055 | -0,0008 | |||||
US54750AAA43 / Low Income Investment Fund | 1,67 | 0,48 | 0,1041 | 0,0013 | |||||
US912834KH07 / United States Treasury Strip Coupon | 1,66 | -1,31 | 0,1037 | -0,0005 | |||||
US3140QAZB92 / FNMA POOL CA3437 FN 04/34 FIXED 3 | 1,64 | -3,58 | 0,1025 | -0,0030 | |||||
US912810RJ97 / United States Treas Bds Bond | 1,62 | -2,30 | 0,1009 | -0,0016 | |||||
US29278GAX60 / Enel Finance International NV | 1,61 | 1,84 | 0,1002 | 0,0026 | |||||
US3617H7NB60 / GNMA II POOL BH9386 G2 06/48 FIXED 4 | 1,60 | -3,84 | 0,0999 | -0,0032 | |||||
US912810SD19 / United States Treas Bds Bond | 1,55 | 155,85 | 0,0969 | 0,0593 | |||||
US3140Q7HT70 / Federal National Mortgage Association | 1,52 | -0,33 | 0,0950 | 0,0004 | |||||
US68389BAP85 / Option One Mortgage Loan Trust 2006-3 | 1,51 | -0,13 | 0,0943 | 0,0006 | |||||
US12667LAE20 / Countrywide Asset-Backed Certificates, Series 2006-21, Class 2A4 | 1,47 | -2,40 | 0,0916 | -0,0015 | |||||
US865592AE95 / SUMIT 2022 BVUE MORTGAGE TRUST SUMMT 2022 BVUE B 144A | 1,44 | 1,91 | 0,0900 | 0,0023 | |||||
XS2279559889 / GEMGARTO GMG 2021 1A A 144A | 1,42 | -6,59 | 0,0885 | -0,0055 | |||||
US3617H4NH00 / GNMA II POOL BH6692 G2 06/48 FIXED 4 | 1,41 | -4,40 | 0,0881 | -0,0033 | |||||
RFR GBP SONIO/0.90000 03/15/22-30Y LCH / DIR (EZ1PFH0N3JH1) | 1,40 | 8,42 | 0,0876 | 0,0074 | |||||
US618933AA33 / MSAIC_23-3A | 1,40 | -4,24 | 0,0875 | -0,0032 | |||||
US38237CAA62 / Goodleap Sustainable Home Solutions Trust 2023-3 | 1,40 | -4,69 | 0,0875 | -0,0036 | |||||
US31415P3Z99 / Fannie Mae Pool | 1,39 | -4,60 | 0,0866 | -0,0035 | |||||
US30327CAA45 / FHF TRUST 2022-1 FHF 2022-1A A | 1,38 | -28,20 | 0,0858 | -0,0328 | |||||
US912810TP30 / US TREASURY I/L 1.5% 02-15-53 | 1,37 | -3,87 | 0,0854 | -0,0028 | |||||
US3617KPXT22 / GNMA II POOL BO7890 G2 07/49 FIXED 3.5 | 1,36 | -1,23 | 0,0851 | -0,0004 | |||||
US36196EWU71 / GNMA II POOL AX3359 G2 07/48 FIXED 4 | 1,36 | -1,38 | 0,0850 | -0,0005 | |||||
US912810RK60 / United States Treas Bds Bond | 1,34 | -2,34 | 0,0835 | -0,0014 | |||||
US3617G1S416 / GNMA II POOL BE6839 G2 03/48 FIXED 4 | 1,33 | -1,33 | 0,0831 | -0,0004 | |||||
RFR USD SOFR/3.50000 12/18/24-30Y LCH / DIR (EZ4089K4KC85) | 1,33 | 39,68 | 0,0829 | 0,0240 | |||||
RFR USD SOFR/3.25000 06/18/25-30Y LCH / DIR (EZVR6JLJ0ZB5) | 1,32 | 0,0824 | 0,0824 | ||||||
FED HM LN PC POOL RJ3036 FR 12/54 FIXED 5.5 / ABS-MBS (US3142GTLS31) | 1,30 | -3,70 | 0,0812 | -0,0025 | |||||
US912810SK51 / United States Treasury Note/Bond | 1,29 | -2,80 | 0,0803 | -0,0017 | |||||
US38376RYX87 / GOVERNMENT NATIONAL MORTGAGE A GNR 2016 H21 AF | 1,27 | -15,86 | 0,0795 | -0,0143 | |||||
US095623AA21 / BlueHub Loan Fund Inc | 1,26 | 1,04 | 0,0787 | 0,0014 | |||||
US842400HF31 / Southern California Edison Co | 1,26 | -3,53 | 0,0785 | -0,0022 | |||||
US912834LR79 / United States Treasury Strip Coupon | 1,24 | -1,97 | 0,0775 | -0,0010 | |||||
US61753EAC49 / MORGAN STANLEY CAPITAL INC MSAC 2007 HE2 A2C | 1,12 | 0,27 | 0,0697 | 0,0007 | |||||
US38376R5H50 / GOVERNMENT NATIONAL MORTGAGE A GNR 2017 H14 FE | 1,11 | -8,79 | 0,0693 | -0,0061 | |||||
US38375UZ783 / GOVERNMENT NATIONAL MORTGAGE A GNR 2017 H25 FB | 1,10 | -6,09 | 0,0683 | -0,0039 | |||||
US3617JRQH42 / GNMA II POOL BM1356 G2 07/49 FIXED 3.5 | 1,09 | -1,45 | 0,0680 | -0,0005 | |||||
TSY INFL IX N/B 02/55 2.375 / DBT (US912810UH94) | 1,08 | 0,0675 | 0,0675 | ||||||
US3617BKK835 / GNMA II POOL BD3919 G2 05/48 FIXED 4 | 1,06 | -3,65 | 0,0659 | -0,0020 | |||||
US3617H1J992 / GNMA II POOL BH3888 G2 05/48 FIXED 4 | 1,04 | -1,23 | 0,0652 | -0,0003 | |||||
US3617GMMZ26 / GNMA II POOL BG3076 G2 05/48 FIXED 4 | 1,02 | -1,25 | 0,0639 | -0,0003 | |||||
US75970HAE09 / Renaissance Home Equity Loan Trust | 1,02 | 0,29 | 0,0639 | 0,0006 | |||||
US912810SG40 / United States Treasury Inflation Indexed Bonds | 1,02 | -3,69 | 0,0635 | -0,0020 | |||||
US912834LB28 / United States Treasury Strip Coupon | 1,01 | -1,93 | 0,0633 | -0,0007 | |||||
US3617K06B65 / GNMA II POOL BM8966 G2 06/49 FIXED 3.5 | 0,96 | -4,18 | 0,0601 | -0,0022 | |||||
US30331GAC50 / FHF Trust 2023-1 | 0,96 | -23,34 | 0,0597 | -0,0175 | |||||
BOUGHT EUR SOLD USD 20250702 / DFE (000000000) | 0,95 | 0,0596 | 0,0596 | ||||||
US01N0406783 / Ginnie Mae | 0,93 | -51,10 | 0,0582 | -0,0368 | |||||
US10112RBE36 / Boston Properties LP | 0,93 | 2,43 | 0,0579 | 0,0018 | |||||
US3617GQ5V13 / GNMA II POOL BG6260 G2 06/48 FIXED 4 | 0,90 | -7,76 | 0,0564 | -0,0043 | |||||
US3622A2ZK16 / Ginnie Mae II Pool | 0,90 | -3,12 | 0,0562 | -0,0013 | |||||
US05952FAN33 / Banc of America Mortgage 2007-2 Trust | 0,85 | -1,74 | 0,0528 | -0,0005 | |||||
BRITISH COLUMBIA PROV OF UNSECURED 06/34 4.15 / DBT (CA110709AK82) | 0,83 | 4,39 | 0,0520 | 0,0025 | |||||
US38380V2S96 / Government National Mortgage Association | 0,82 | -4,19 | 0,0514 | -0,0018 | |||||
US912810RG58 / United States Treas Bds Bond | 0,82 | -2,26 | 0,0513 | -0,0008 | |||||
US64972EUF41 / NEW YORK CITY NY HSG DEV CORP NEW YORK CITY HOUSING DEVELOPMENT CORP | 0,81 | 0,63 | 0,0503 | 0,0007 | |||||
US912810TE82 / United States Treasury Inflation Indexed Bonds | 0,80 | -4,88 | 0,0500 | -0,0021 | |||||
US3138EGSJ46 / FNMA 5.50% #AL0520 6/41 | 0,80 | -2,20 | 0,0499 | -0,0007 | |||||
US3137FWHY99 / Freddie Mac Multiclass Certificates Series 2020-P003 | 0,79 | -11,80 | 0,0490 | -0,0061 | |||||
US TREASURY N/B 02/55 4.625 / DBT (US912810UG12) | 0,78 | -3,23 | 0,0486 | -0,0013 | |||||
US3137FPHS70 / FHLMC CMO IO | 0,77 | -6,41 | 0,0483 | -0,0029 | |||||
US912834KV90 / United States Treasury Strip Coupon | 0,76 | -1,55 | 0,0475 | -0,0004 | |||||
US3617JRQG68 / GNMA II POOL BM1355 G2 07/49 FIXED 3.5 | 0,76 | -1,31 | 0,0472 | -0,0002 | |||||
US38375UZZ64 / Government National Mortgage Association | 0,75 | -6,57 | 0,0471 | -0,0029 | |||||
US36298XAA00 / GSMPS Mortgage Loan Trust 2006-RP2 | 0,75 | -2,08 | 0,0471 | -0,0006 | |||||
US912810RA88 / United States Treasury Inflation Indexed Bonds | 0,73 | -2,42 | 0,0453 | -0,0008 | |||||
CDX ITRAXX XOV42 5Y 35-100% SP JPM / DCR (EZ2BLZ4YH9B3) | 0,73 | 0,0453 | 0,0453 | ||||||
US3140FQYB72 / FNMA POOL BE5205 FN 03/47 FIXED 3.5 | 0,70 | -0,71 | 0,0440 | 0,0000 | |||||
US29278GAW87 / Enel Finance International NV | 0,70 | 0,43 | 0,0439 | 0,0005 | |||||
US912834FB91 / United States Treasury Strip Coupon | 0,69 | -1,28 | 0,0433 | -0,0002 | |||||
US912810SP49 / United States Treasury Note/Bond | 0,69 | -3,23 | 0,0431 | -0,0011 | |||||
US46628YBM12 / JP MORGAN MORTGAGE TRUST JPMMT 2006 S2 3A10 | 0,63 | -1,42 | 0,0392 | -0,0002 | |||||
US74922MAA99 / RALI Trust, Series 2006-QA6, Class A1 | 0,62 | -2,19 | 0,0390 | -0,0006 | |||||
US418751AD59 / HAT Holdings I LLC / HAT Holdings II LLC | 0,62 | 3,17 | 0,0387 | 0,0015 | |||||
US 10YR NOTE (CBT)SEP25 XCBT 20250919 / DIR (000000000) | 0,62 | 0,0384 | 0,0384 | ||||||
US12638PAW95 / CREDIT SUISSE MORTGAGE TRUST CSMC 2007 3 2A4 | 0,60 | -0,17 | 0,0375 | 0,0002 | |||||
US19423DAA81 / COLLEGE AVE STUDENT LOANS 2018-A LLC CASL 2018-A A1 | 0,60 | -6,26 | 0,0374 | -0,0022 | |||||
US61772WAA53 / Morgan Stanley Capital I Trust 2021-230P | 0,58 | -65,07 | 0,0360 | -0,0663 | |||||
CDX ITRAXX XOV42 5Y 35-100% SP BPS / DCR (EZ2BLZ4YH9B3) | 0,56 | 0,0347 | 0,0347 | ||||||
US3617K1H306 / GNMA II POOL BM9250 G2 05/49 FIXED 3.5 | 0,55 | -1,07 | 0,0346 | -0,0002 | |||||
US3140QQDV47 / FNMA POOL CB4615 FN 07/52 FIXED 4.5 | 0,55 | -0,36 | 0,0345 | 0,0001 | |||||
US46626LCC28 / JP Morgan Mortgage Acquisition Corp., Series 2005-FRE1, Class M1 | 0,55 | -12,72 | 0,0343 | -0,0047 | |||||
US026935AH97 / AMERICAN HOME MORTGAGE ASSETS AHMA 2007 3 21A1 | 0,54 | -2,89 | 0,0336 | -0,0007 | |||||
US3138ELGH03 / FNMA POOL AL3799 FN 05/28 FIXED VAR | 0,53 | -14,22 | 0,0328 | -0,0051 | |||||
US362290AC25 / GSR Mortgage Loan Trust 2007-AR1 | 0,52 | -5,61 | 0,0326 | -0,0017 | |||||
USY7280PAA13 / ReNew Wind Energy AP2 / ReNew Power Pvt Ltd other 9 Subsidiaries | 0,47 | 2,16 | 0,0296 | 0,0008 | |||||
US31418MT440 / FNMA POOL AD0570 FN 08/37 FIXED VAR | 0,47 | -3,51 | 0,0292 | -0,0008 | |||||
US64972EUE75 / NEW YORK CITY NY HSG DEV CORP NEW YORK CITY HOUSING DEVELOPMENT CORP | 0,46 | 0,65 | 0,0289 | 0,0004 | |||||
BOUGHT BRL SOLD USD 20250702 / DFE (000000000) | 0,46 | 0,0285 | 0,0285 | ||||||
BOUGHT BRL SOLD USD 20250702 / DFE (000000000) | 0,46 | 0,0285 | 0,0285 | ||||||
US61915RBY18 / MortgageIT Mortgage Loan Trust, Series 2006-1, Class 1A1 | 0,45 | -2,83 | 0,0279 | -0,0006 | |||||
PRJCT ALFA INVSTINDUSTRAL VIII 2025 EUR TERM LOAN 2 / LON (BA000GNP1) | 0,45 | 9,07 | 0,0278 | 0,0025 | |||||
US3140QTAW95 / Fannie Mae Pool | 0,44 | -1,12 | 0,0277 | -0,0001 | |||||
US36295TBG85 / GNMA II POOL 679639 G2 06/48 FIXED 4 | 0,44 | -12,38 | 0,0274 | -0,0037 | |||||
US29278GAP37 / Enel Finance International NV | 0,44 | 2,10 | 0,0274 | 0,0008 | |||||
US3136APAH50 / Fannie Mae REMICS | 0,43 | -6,15 | 0,0267 | -0,0016 | |||||
US61748LAD47 / MORGAN STANLEY CAPITAL INC MSAC 2006 NC4 A2C | 0,41 | -0,97 | 0,0256 | -0,0000 | |||||
US3132Y0FG00 / FED HM LN PC POOL Q56466 FG 06/48 FIXED 4 | 0,41 | -3,31 | 0,0256 | -0,0007 | |||||
US64352VCS88 / NEW CENTURY HOME EQUITY LOAN T NCHET 2003 2 M2 | 0,40 | 0,25 | 0,0249 | 0,0002 | |||||
FNMA POOL BX6672 FN 02/53 FIXED 5 / ABS-MBS (US3140NBMW86) | 0,38 | -0,26 | 0,0239 | 0,0001 | |||||
US92925GAJ22 / WaMu Mortgage Pass-Through Certificates Trust, Series 2006-AR16, Class 3A3 | 0,37 | -1,32 | 0,0233 | -0,0002 | |||||
EURO-BUND FUTURE SEP25 XEUR 20250908 / DIR (DE000F1NGF53) | 0,37 | 0,0232 | 0,0232 | ||||||
US933634AJ62 / WaMu Mortgage Pass-Through Certificates Series 2007-HY3 Trust | 0,37 | -2,65 | 0,0229 | -0,0004 | |||||
US3617GWNK20 / GNMA II POOL BH0394 G2 06/48 FIXED 4 | 0,36 | -1,09 | 0,0227 | -0,0001 | |||||
US31392KS237 / FREDDIE MAC FHR 2449 ZA | 0,36 | -11,74 | 0,0226 | -0,0028 | |||||
US842400GR87 / Southern California Edison Co | 0,36 | 0,0225 | 0,0225 | ||||||
BOUGHT CAD SOLD USD 20250702 / DFE (000000000) | 0,36 | 0,0224 | 0,0224 | ||||||
US61756YAD58 / Morgan Stanley ABS Capital I Inc Trust 2007-HE7 | 0,36 | 0,57 | 0,0222 | 0,0003 | |||||
US45660LV977 / IndyMac INDX Mortgage Loan Trust 2005-AR31 | 0,35 | -1,71 | 0,0216 | -0,0002 | |||||
US52521YAA47 / LMT 2007-8 1A1 | 0,33 | -0,89 | 0,0209 | -0,0001 | |||||
BOUGHT GBP SOLD USD 20250702 / DFE (000000000) | 0,33 | 0,0204 | 0,0204 | ||||||
US912810QW18 / United States Treas Bds Bond | 0,32 | -1,85 | 0,0199 | -0,0002 | |||||
US86746BAA17 / Helios Issuer LLC, Series 2023-GRID1, Class 1A | 0,31 | -1,57 | 0,0196 | -0,0002 | |||||
IRS AUD 4.50000 09/20/23-10Y LCH / DIR (EZGXS4F4YYN6) | 0,31 | 100,65 | 0,0194 | 0,0098 | |||||
FED HM LN PC POOL QI1132 FR 03/54 FIXED 5 / ABS-MBS (US3133W7HH10) | 0,31 | -0,33 | 0,0191 | 0,0001 | |||||
US31418M5H17 / Fannie Mae Pool | 0,30 | -2,31 | 0,0185 | -0,0003 | |||||
US64972EUD92 / NEW YORK CITY NY HSG DEV CORP NEW YORK CITY HOUSING DEVELOPMENT CORP | 0,28 | 0,72 | 0,0176 | 0,0003 | |||||
FED HM LN PC POOL SD8403 FR 02/54 FIXED 6.5 / ABS-MBS (US3132DWKQ59) | 0,28 | -9,84 | 0,0172 | -0,0017 | |||||
TREASURY BILL 10/25 0.00000 / DBT (US912797RD17) | 0,27 | 0,0169 | 0,0169 | ||||||
US38380UAY91 / Government National Mortgage Association | 0,27 | -2,91 | 0,0167 | -0,0004 | |||||
TESLA AUTO LEASE TRUST TESLA 2024 A A2A 144A / ABS-O (US88166VAB27) | 0,26 | -70,85 | 0,0163 | -0,0390 | |||||
GB00BMBL1D50 / United Kingdom Gilt | 0,25 | 0,40 | 0,0157 | 0,0002 | |||||
US88522RAA23 / Thornburg Mortgage Securities Trust 2006-5 | 0,25 | -2,77 | 0,0154 | -0,0004 | |||||
US31292K2G14 / Freddie Mac Gold Pool | 0,24 | -1,22 | 0,0152 | -0,0000 | |||||
IRS AUD 4.50000 09/18/24-10Y LCH / DIR (EZLG541MMLX8) | 0,24 | 115,32 | 0,0149 | 0,0080 | |||||
LONG GILT FUTURE SEP25 IFLL 20250926 / DIR (GB00MP6FM953) | 0,24 | 0,0149 | 0,0149 | ||||||
US38376RBH84 / Government National Mortgage Association | 0,22 | -26,09 | 0,0138 | -0,0047 | |||||
US912810RY64 / United States Treas Bds Bond | 0,21 | -2,74 | 0,0134 | -0,0002 | |||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | 0,20 | 0,0124 | 0,0124 | ||||||
US715638BD31 / REPUBLIC OF PERU SR UNSECURED 144A 08/31 6.95 | 0,20 | -15,52 | 0,0123 | -0,0021 | |||||
US31418MWD00 / FNMA POOL AD0643 FN 06/39 FIXED VAR | 0,19 | -2,04 | 0,0120 | -0,0002 | |||||
US64972EUC10 / NEW YORK CITY NY HSG DEV CORP NEW YORK CITY HOUSING DEVELOPMENT CORP | 0,19 | 0,53 | 0,0119 | 0,0002 | |||||
US07402FAC95 / BEAR STEARNS STRUCTURED PRODUC BSSP 2007 R6 2A1 | 0,19 | 1,08 | 0,0117 | 0,0002 | |||||
US912834JP42 / United States Treasury Strip Coupon | 0,19 | -1,06 | 0,0117 | -0,0001 | |||||
US31406LKX54 / FNMA POOL 813110 FN 02/35 FIXED 5.5 | 0,18 | -1,62 | 0,0114 | -0,0001 | |||||
US842400GK35 / Southern California Edison Co | 0,18 | 0,0113 | 0,0113 | ||||||
US86363DAH44 / Structured Asset Mortgage Investments II Trust 2007-AR2 | 0,18 | -13,04 | 0,0113 | -0,0016 | |||||
CDX IG44 5Y ICE / DCR (EZPF6RHH0ZV8) | 0,18 | 42,06 | 0,0112 | 0,0034 | |||||
US31417MBY84 / Fannie Mae Pool | 0,17 | -1,72 | 0,0107 | -0,0001 | |||||
BOUGHT BRL SOLD USD 20250903 / DFE (000000000) | 0,16 | 0,0102 | 0,0102 | ||||||
US 2YR NOTE (CBT) SEP25 XCBT 20250930 / DIR (000000000) | 0,16 | 0,0102 | 0,0102 | ||||||
US07388HAP47 / Bear Stearns Asset-Backed Securities I Trust, Series 2006-HE7, Class 2A2 | 0,16 | -3,66 | 0,0099 | -0,0003 | |||||
IRS AUD 4.50000 03/20/24-10Y LCH / DIR (EZJLKSMVQPQ8) | 0,16 | 106,58 | 0,0099 | 0,0051 | |||||
BOUGHT AUD SOLD USD 20250702 / DFE (000000000) | 0,16 | 0,0098 | 0,0098 | ||||||
US31419AY278 / Fannie Mae Pool | 0,15 | -1,32 | 0,0094 | -0,0001 | |||||
TREASURY BILL 09/25 0.00000 / DBT (US912797PW16) | 0,15 | 0,0093 | 0,0093 | ||||||
BOUGHT MXN SOLD USD 20250917 / DFE (000000000) | 0,15 | 0,0092 | 0,0092 | ||||||
US912834JB55 / United States Treasury Strip Coupon | 0,14 | -1,37 | 0,0090 | -0,0001 | |||||
AT&T INC SNR S* ICE / DCR (EZVHX8BNGL14) | 0,14 | 8,53 | 0,0088 | 0,0008 | |||||
TREASURY BILL 07/25 0.00000 / DBT (US912797LW51) | 0,14 | 0,0087 | 0,0087 | ||||||
US31405NM283 / FNMA POOL 794277 FN 09/34 FIXED 5.5 | 0,13 | -3,70 | 0,0081 | -0,0003 | |||||
US31391RZR64 / FNMA POOL 674952 FN 12/32 FIXED 5.5 | 0,13 | -2,34 | 0,0078 | -0,0002 | |||||
US36241KW530 / Ginnie Mae I Pool | 0,12 | -3,31 | 0,0073 | -0,0002 | |||||
US3622MAAB76 / GSAMP Trust 2007-FM1 | 0,11 | -0,87 | 0,0072 | 0,0000 | |||||
US3128M75R30 / Freddie Mac Gold Pool | 0,11 | -2,63 | 0,0070 | -0,0001 | |||||
US31402RRF81 / FNMA POOL 735886 FN 08/35 FLOATING VAR | 0,11 | -1,77 | 0,0069 | -0,0001 | |||||
US912810RR14 / United States Treasury Inflation Indexed Bonds | 0,10 | -2,86 | 0,0064 | -0,0001 | |||||
US31402QYY15 / Fannie Mae Pool | 0,09 | -3,16 | 0,0058 | -0,0002 | |||||
BOUGHT KRW SOLD USD 20250716 / DFE (000000000) | 0,09 | 0,0053 | 0,0053 | ||||||
US31418WUV08 / FNMA POOL AD8695 FN 06/40 FIXED 5 | 0,08 | -1,18 | 0,0053 | -0,0000 | |||||
US31402RDF38 / Fannie Mae Pool | 0,08 | -2,38 | 0,0051 | -0,0001 | |||||
US842400FZ13 / Southern California Edison Co. Bond 4.65% Due 10/1/2043 | 0,08 | 0,0050 | 0,0050 | ||||||
BOUGHT JPY SOLD USD 20250702 / DFE (000000000) | 0,08 | 0,0049 | 0,0049 | ||||||
BOUGHT PLN SOLD USD 20250710 / DFE (000000000) | 0,08 | 0,0048 | 0,0048 | ||||||
BOUGHT PLN SOLD USD 20250710 / DFE (000000000) | 0,08 | 0,0048 | 0,0048 | ||||||
Q / Quetzal Copper Corp. | 0,08 | -96,01 | 0,0048 | -0,1147 | |||||
US31396V4Q81 / Fannie Mae REMICS | 0,07 | -1,37 | 0,0045 | -0,0000 | |||||
US31405JP730 / FNMA POOL 790746 FN 09/34 FIXED 5.5 | 0,07 | -1,37 | 0,0045 | -0,0000 | |||||
US3128M5J279 / Federal Home Loan Mortgage Corporation | 0,07 | -4,00 | 0,0045 | -0,0002 | |||||
US31410G2H50 / Fannie Mae Pool | 0,07 | -1,39 | 0,0045 | 0,0000 | |||||
US3128M4PK35 / FED HM LN PC POOL G02826 FG 05/37 FIXED 6 | 0,07 | -6,58 | 0,0044 | -0,0003 | |||||
US3128MJGJ31 / FED HM LN PC POOL G08200 FG 05/37 FIXED 6 | 0,07 | -2,82 | 0,0044 | -0,0001 | |||||
US61754HAD44 / MORGAN STANLEY MORTGAGE LOAN T MSM 2007 7AX 2A3 | 0,07 | -2,99 | 0,0041 | -0,0001 | |||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | 0,07 | 0,0041 | 0,0041 | ||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | 0,07 | 0,0041 | 0,0041 | ||||||
US3128M85J95 / FED HM LN PC POOL G06849 FG 09/35 FIXED 4 | 0,06 | -6,06 | 0,0039 | -0,0002 | |||||
BOUGHT TWD SOLD USD 20250820 / DFE (000000000) | 0,06 | 0,0038 | 0,0038 | ||||||
BOUGHT TWD SOLD USD 20250820 / DFE (000000000) | 0,06 | 0,0038 | 0,0038 | ||||||
RFR USD SOFR/3.76473 12/17/24-30Y LCH / DIR (EZYDGJYHYRS1) | 0,06 | 275,00 | 0,0037 | 0,0027 | |||||
US40431KAA88 / HSI ASSET LOAN OBLIGATION HALO 2007 WF1 A1 | 0,06 | 0,00 | 0,0035 | 0,0000 | |||||
US36225CUC80 / Ginnie Mae II Pool | 0,05 | -11,48 | 0,0034 | -0,0004 | |||||
US31403DDX49 / Fannie Mae Pool | 0,05 | -3,70 | 0,0033 | -0,0001 | |||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | 0,05 | 0,0030 | 0,0030 | ||||||
US31407JZK14 / FNMA POOL 832446 FN 08/35 FLOATING VAR | 0,05 | -2,04 | 0,0030 | -0,0000 | |||||
US3128M5C571 / Freddie Mac Gold Pool | 0,05 | -2,08 | 0,0030 | -0,0000 | |||||
US3622A2CN02 / Ginnie Mae I Pool | 0,05 | -2,17 | 0,0028 | -0,0001 | |||||
317U88SA5 PIMCO SWAPTION 3.65 CALL USD 2025080 / DIR (EZN8G3KVRYT1) | 0,04 | -52,27 | 0,0026 | -0,0028 | |||||
US3128P7LR24 / Freddie Mac Gold Pool | 0,04 | -8,70 | 0,0026 | -0,0003 | |||||
US3128M5VY30 / FED HM LN PC POOL G03931 FG 02/38 FIXED 6 | 0,04 | 0,00 | 0,0026 | -0,0000 | |||||
US31403DV223 / FNMA POOL 745933 FN 09/36 FIXED VAR | 0,04 | -2,44 | 0,0025 | -0,0000 | |||||
US3128P7NT61 / Freddie Mac Gold 4.50 05/01/2030 | 0,04 | -6,98 | 0,0025 | -0,0002 | |||||
US05534AAN19 / BCAP LLC 2011-RR5-I Trust | 0,04 | -11,11 | 0,0025 | -0,0003 | |||||
US31405JU854 / FNMA POOL 790907 FN 09/34 FIXED 5.5 | 0,04 | -2,50 | 0,0025 | -0,0001 | |||||
US38376RTW69 / Government National Mortgage Association | 0,04 | 2,63 | 0,0024 | 0,0000 | |||||
US31409TU228 / Fannie Mae Pool | 0,04 | -2,78 | 0,0022 | -0,0000 | |||||
US31416VGC28 / Fannie Mae Pool | 0,04 | 0,00 | 0,0022 | -0,0000 | |||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | 0,03 | 0,0021 | 0,0021 | ||||||
US31404AHB35 / FNMA POOL 762626 FN 01/34 FIXED 5.5 | 0,03 | -11,11 | 0,0020 | -0,0002 | |||||
US31403RKS66 / FNMA POOL 755505 FN 12/33 FIXED 5.5 | 0,03 | -3,12 | 0,0020 | -0,0000 | |||||
US31371MY920 / Federal National Mortgage Association, Inc. | 0,03 | 0,00 | 0,0020 | -0,0000 | |||||
TREASURY BILL 08/25 0.00000 / DBT (US912797MG92) | 0,03 | 0,0019 | 0,0019 | ||||||
31750R594 PIMCO FXVAN PUT EUR USD 1.09750000 / DFE (EZXSNMVYWSL9) | 0,03 | 0,0019 | 0,0019 | ||||||
US3128M6MZ88 / FHLG 30YR 6% 09/01/2038# | 0,03 | -3,33 | 0,0019 | -0,0000 | |||||
US31405R5C67 / Fannie Mae Pool | 0,03 | -3,33 | 0,0018 | -0,0000 | |||||
IRS AUD 4.75000 12/20/28-5Y LCH / DIR (EZCW9TP7R7M9) | 0,03 | 107,14 | 0,0018 | 0,0009 | |||||
317U8AEA5 PIMCO SWAPTION 3.6 CALL USD 20250805 / DIR (EZ5DF8SK6Z39) | 0,03 | -72,90 | 0,0018 | -0,0049 | |||||
BOUGHT JPY SOLD USD 20250702 / DFE (000000000) | 0,03 | 0,0018 | 0,0018 | ||||||
US36292FQV21 / GNMA POOL 647668 GN 04/37 FIXED 6 | 0,03 | -3,45 | 0,0018 | -0,0000 | |||||
31750R5B9 PIMCO FXVAN PUT EUR USD 1.10000000 / DFE (EZ0X1GXSRXF6) | 0,03 | 0,0018 | 0,0018 | ||||||
US31410GTY97 / FNMA POOL 888967 FN 12/37 FIXED VAR | 0,03 | -3,45 | 0,0018 | -0,0000 | |||||
MORGAN STANLEY SNR S* ICE / DCR (EZDBN83SBDY5) | 0,03 | 0,0018 | 0,0018 | ||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | 0,03 | 0,0018 | 0,0018 | ||||||
US36176SAL43 / Ginnie Mae I Pool | 0,03 | 0,00 | 0,0017 | 0,0000 | |||||
US31406AZ629 / FANNIE MAE 3.074% 01/01/2035 FNMA ARM | 0,03 | 0,00 | 0,0017 | -0,0000 | |||||
US3138LY5M56 / FNMA POOL AO8051 FN 06/42 FIXED 4.5 | 0,03 | 0,00 | 0,0017 | 0,0000 | |||||
US31410TWV33 / FNMA POOL 897160 FN 09/36 FIXED 6 | 0,03 | -3,70 | 0,0017 | -0,0000 | |||||
BOUGHT SEK SOLD USD 20250702 / DFE (000000000) | 0,03 | 0,0017 | 0,0017 | ||||||
US31407GAG38 / FNMA POOL 829907 FN 07/35 FIXED 6 | 0,03 | -7,14 | 0,0016 | -0,0001 | |||||
SOLD JPY BOUGHT USD 20250702 / DFE (000000000) | 0,03 | 0,0016 | 0,0016 | ||||||
US31402RNW50 / FNMA | 0,03 | -13,79 | 0,0016 | -0,0002 | |||||
317U88VA1 PIMCO SWAPTION 3.65 CALL USD 2025080 / DIR (EZN8G3KVRYT1) | 0,03 | -71,59 | 0,0016 | -0,0039 | |||||
31750R5C7 PIMCO FXVAN PUT EUR USD 1.11000000 / DFE (EZ6LHMHGSW79) | 0,03 | 0,0016 | 0,0016 | ||||||
GOLDMAN SACHS GROUP INC SNR S* ICE / DCR (EZC75LZ075F3) | 0,02 | 0,0015 | 0,0015 | ||||||
CAN 10YR BOND FUT SEP25 XMOD 20250918 / DIR (000000000) | 0,02 | 0,0015 | 0,0015 | ||||||
SOLD JPY BOUGHT USD 20250702 / DFE (000000000) | 0,02 | 0,0014 | 0,0014 | ||||||
SOLD JPY BOUGHT USD 20250702 / DFE (000000000) | 0,02 | 0,0014 | 0,0014 | ||||||
US3138A7F374 / FNMA POOL AH5585 FN 02/41 FIXED 5 | 0,02 | -4,35 | 0,0014 | -0,0001 | |||||
317U8D2A2 PIMCO SWAPTION 3.7 CALL USD 20250813 / DIR (EZKZHY60KQL7) | 0,02 | -59,26 | 0,0014 | -0,0020 | |||||
US3128M6SU38 / Freddie Mac Gold Pool | 0,02 | -4,55 | 0,0014 | -0,0000 | |||||
US38376RUS39 / GNMA, Series 2016-H13, Class FT | 0,02 | 0,00 | 0,0014 | 0,0000 | |||||
US31410RFW43 / FNMA POOL 894881 FN 09/36 FIXED 6 | 0,02 | 0,00 | 0,0013 | -0,0000 | |||||
BOUGHT CHF SOLD USD 20250702 / DFE (000000000) | 0,02 | 0,0013 | 0,0013 | ||||||
US3128M4LZ40 / Freddie Mac Gold Pool | 0,02 | 0,00 | 0,0013 | -0,0000 | |||||
US3128M6PJ10 / FED HM LN PC POOL G04625 FG 06/36 FIXED 6 | 0,02 | -13,64 | 0,0012 | -0,0002 | |||||
US31416MV689 / UMBS, 30 Year | 0,02 | 0,00 | 0,0012 | -0,0000 | |||||
US31414QL967 / FNMA POOL 972952 FN 02/38 FIXED 5 | 0,02 | 0,00 | 0,0012 | -0,0000 | |||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | 0,02 | 0,0012 | 0,0012 | ||||||
US31405R7C40 / Fannie Mae Pool | 0,02 | 0,00 | 0,0011 | -0,0000 | |||||
31750R5R4 PIMCO FXVAN CALL USD SEK 10.20000000 / DFE (EZR5HRN9R6R0) | 0,02 | 0,0011 | 0,0011 | ||||||
US3128KKY298 / FED HM LN PC POOL A57029 FG 01/37 FIXED 6 | 0,02 | 0,00 | 0,0010 | -0,0000 | |||||
US3133T8ZJ94 / Freddie Mac REMICS | 0,02 | -27,27 | 0,0010 | -0,0003 | |||||
RFR GBP SONIO/3.75000 03/19/25-30Y LCH / DIR (EZ0141M3RG43) | 0,02 | 14,29 | 0,0010 | 0,0001 | |||||
US31415YBM03 / UMBS | 0,02 | -38,46 | 0,0010 | -0,0006 | |||||
US31376KHD19 / Fannie Mae Pool | 0,02 | -6,25 | 0,0010 | -0,0000 | |||||
US3140J6GM33 / FANNIE MAE 4% 10/01/2047 FNL | 0,02 | -6,25 | 0,0010 | -0,0000 | |||||
US3620C5BG17 / Ginnie Mae II Pool | 0,02 | 0,00 | 0,0009 | -0,0000 | |||||
US31405PRS10 / Fannie Mae Pool | 0,01 | -6,67 | 0,0009 | -0,0000 | |||||
US31410KCR32 / FANNIE MAE 3.739% 04/01/2038 FNMA ARM | 0,01 | -22,22 | 0,0009 | -0,0002 | |||||
US31416CLT17 / Fannie Mae Pool | 0,01 | 0,00 | 0,0009 | -0,0000 | |||||
RFR USD SOFR/3.80662 04/02/25-30Y* LCH / DIR (EZGJ99MVMFL2) | 0,01 | 0,0009 | 0,0009 | ||||||
US31416Q6H37 / Fannie Mae Pool | 0,01 | -7,14 | 0,0009 | -0,0000 | |||||
US31418NAR17 / FNMA POOL AD0915 FN 12/38 FIXED VAR | 0,01 | -7,14 | 0,0009 | -0,0000 | |||||
US31385XJM02 / FNMA POOL 555668 FN 07/33 FIXED VAR | 0,01 | -7,14 | 0,0009 | -0,0000 | |||||
BOUGHT IDR SOLD USD 20250716 / DFE (000000000) | 0,01 | 0,0008 | 0,0008 | ||||||
US31412RD792 / FNMA POOL 932626 FN 03/40 FIXED 5 | 0,01 | 0,00 | 0,0008 | -0,0000 | |||||
US31410PEM14 / FNMA POOL 893040 FN 11/36 FIXED 6 | 0,01 | -7,69 | 0,0008 | -0,0000 | |||||
US31394VL730 / Fannie Mae REMICS | 0,01 | 0,00 | 0,0008 | -0,0000 | |||||
317U8RKA1 PIMCO SWAPTION 3.5 CALL USD 20250721 / DIR (EZ3SGXHDXKD4) | 0,01 | -89,29 | 0,0008 | -0,0062 | |||||
US3128M7AX42 / Freddie Mac Gold Pool | 0,01 | 0,00 | 0,0008 | -0,0000 | |||||
US31394ALL88 / FANNIEMAE WHOLE LOAN FNW 2004 W8 2A | 0,01 | -8,33 | 0,0007 | -0,0001 | |||||
US31417YSY40 / Fannie Mae Pool | 0,01 | -8,33 | 0,0007 | -0,0000 | |||||
US31374TW477 / FNMA POOL 323867 FN 07/29 FIXED VAR | 0,01 | -8,33 | 0,0007 | -0,0001 | |||||
US3128KHFT83 / FED HM LN PC POOL A54678 FG 06/36 FIXED 6 | 0,01 | 0,00 | 0,0007 | -0,0000 | |||||
VERIZON COMMUNICATIONS INC SNR S* ICE / DCR (EZJPZK13BGC9) | 0,01 | 22,22 | 0,0007 | 0,0001 | |||||
US3138EKK950 / FNMA POOL AL3019 FN 12/38 FIXED VAR | 0,01 | 0,00 | 0,0007 | -0,0000 | |||||
OIS CAD CAONREPO/2.7404 03/10/25-9Y* LCH / DIR (EZFX115HKHQ4) | 0,01 | -375,00 | 0,0007 | 0,0010 | |||||
US31402DQ456 / FNMA POOL 725975 FN 09/34 FLOATING VAR | 0,01 | -8,33 | 0,0007 | -0,0001 | |||||
US31385W2S74 / Fannie Mae | 0,01 | -9,09 | 0,0007 | -0,0000 | |||||
US3128M9BX98 / Freddie Mac Gold Pool | 0,01 | 0,00 | 0,0006 | -0,0000 | |||||
US31404XLJ18 / Fannie Mae Pool | 0,01 | -9,09 | 0,0006 | -0,0000 | |||||
BOUGHT MXN SOLD USD 20251217 / DFE (000000000) | 0,01 | 0,0006 | 0,0006 | ||||||
US31414CJH25 / Fannie Mae Pool | 0,01 | -10,00 | 0,0006 | -0,0000 | |||||
BOUGHT JPY SOLD USD 20250702 / DFE (000000000) | 0,01 | 0,0006 | 0,0006 | ||||||
US31416BN531 / Fannie Mae Pool | 0,01 | -11,11 | 0,0006 | -0,0000 | |||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | 0,01 | 0,0005 | 0,0005 | ||||||
US31402C4J86 / Fannie Mae Pool | 0,01 | 0,00 | 0,0005 | -0,0000 | |||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | 0,01 | 0,0005 | 0,0005 | ||||||
US31403UPF20 / FNMA POOL 758322 FN 12/33 FIXED 5.5 | 0,01 | 0,00 | 0,0005 | -0,0000 | |||||
US312936LM74 / FED HM LN PC POOL A89332 FG 10/39 FIXED 5 | 0,01 | 0,00 | 0,0005 | -0,0000 | |||||
US31417YTV91 / Fannie Mae Pool | 0,01 | -12,50 | 0,0005 | -0,0000 | |||||
BOUGHT THB SOLD USD 20250716 / DFE (000000000) | 0,01 | 0,0005 | 0,0005 | ||||||
BOUGHT KRW SOLD USD 20250708 / DFE (000000000) | 0,01 | 0,0005 | 0,0005 | ||||||
US31418MRL80 / Fannie Mae Pool | 0,01 | -12,50 | 0,0005 | -0,0000 | |||||
US31403DGZ69 / Fannie Mae Pool | 0,01 | 0,00 | 0,0005 | -0,0000 | |||||
US31402DDS62 / FNMA POOL 725613 FN 06/34 FIXED VAR | 0,01 | 0,00 | 0,0005 | -0,0000 | |||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | 0,01 | 0,0005 | 0,0005 | ||||||
BOUGHT KRW SOLD USD 20250716 / DFE (000000000) | 0,01 | 0,0004 | 0,0004 | ||||||
US31414SMQ39 / FANNIE MAE 4.193% 04/01/2038 FAR FNARM | 0,01 | 0,00 | 0,0004 | -0,0000 | |||||
US3128M5DD94 / Freddie Mac Gold Pool | 0,01 | 0,00 | 0,0004 | -0,0000 | |||||
TREASURY BILL 08/25 0.00000 / DBT (US912797QK68) | 0,01 | 0,0004 | 0,0004 | ||||||
US31412QPH64 / FNMA POOL 932024 FN 01/36 FIXED 5.5 | 0,01 | -14,29 | 0,0004 | -0,0000 | |||||
BOUGHT PLN SOLD USD 20250710 / DFE (000000000) | 0,01 | 0,0004 | 0,0004 | ||||||
BOUGHT THB SOLD USD 20250716 / DFE (000000000) | 0,01 | 0,0004 | 0,0004 | ||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | 0,01 | 0,0004 | 0,0004 | ||||||
US31410QD400 / Fannie Mae Pool | 0,01 | 0,00 | 0,0004 | -0,0000 | |||||
BOUGHT BRL SOLD USD 20250702 / DFE (000000000) | 0,01 | 0,0004 | 0,0004 | ||||||
317U8R0A3 PIMCO SWAPTION 3.45 CALL USD 2025071 / DIR (000000000) | 0,01 | 0,0004 | 0,0004 | ||||||
US3128M6NP97 / FED HM LN PC POOL G04598 FG 10/34 FIXED 5.5 | 0,01 | 0,00 | 0,0004 | -0,0000 | |||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | 0,01 | 0,0004 | 0,0004 | ||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | 0,01 | 0,0004 | 0,0004 | ||||||
US31407XSY84 / FNMA POOL 843935 FN 11/35 FIXED 5.5 | 0,01 | 0,00 | 0,0004 | -0,0000 | |||||
US3128MJBH20 / FED HM LN PC POOL G08039 FG 02/35 FIXED 4.5 | 0,01 | 0,00 | 0,0004 | -0,0000 | |||||
US31292H5P57 / Freddie Mac Gold Pool | 0,01 | -16,67 | 0,0004 | -0,0000 | |||||
US31413QRN06 / FNMA POOL 952393 FN 12/37 FIXED 6 | 0,01 | 0,00 | 0,0004 | -0,0000 | |||||
US31412UY610 / FNMA POOL 935533 FN 08/39 FIXED 4.5 | 0,01 | 0,00 | 0,0004 | -0,0000 | |||||
US31396PZS37 / FANNIE MAE REMICS SER 2007-14 CL F V/R 2.06800000 | 0,01 | 0,00 | 0,0003 | -0,0000 | |||||
US31403CXW62 / Fannie Mae Pool | 0,01 | 0,00 | 0,0003 | -0,0000 | |||||
317U8COA0 PIMCO SWAPTION 3.65 CALL USD 2025081 / DIR (000000000) | 0,01 | 0,0003 | 0,0003 | ||||||
US31404JAM71 / FNMA POOL 769612 FN 03/34 FIXED 5.5 | 0,01 | 0,00 | 0,0003 | -0,0000 | |||||
US3128P7NG41 / FED HM LN PC POOL C91291 FG 03/30 FIXED 4.5 | 0,01 | 0,00 | 0,0003 | -0,0000 | |||||
BOUGHT IDR SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0003 | 0,0003 | ||||||
BOUGHT KRW SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0003 | 0,0003 | ||||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | 0,00 | 0,0003 | 0,0003 | ||||||
BOUGHT THB SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0003 | 0,0003 | ||||||
US31410GME07 / FANNIE MAE 3.62% 09/01/2037 FNMA ARM | 0,00 | 0,00 | 0,0003 | -0,0000 | |||||
US31414SM672 / FNMA POOL 974781 FN 04/38 FLOATING VAR | 0,00 | 0,00 | 0,0003 | -0,0000 | |||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0003 | 0,0003 | ||||||
US3138AJ6A53 / FNMA POOL AI5364 FN 04/31 FIXED 4.5 | 0,00 | 0,00 | 0,0003 | -0,0000 | |||||
31750R5N3 PIMCO FXVAN PUT EUR USD 1.11000000 / DFE (EZ7LNGTTZ444) | 0,00 | 0,0003 | 0,0003 | ||||||
US3620A1YA06 / GNMA POOL 716305 GN 06/39 FIXED 5 | 0,00 | 0,00 | 0,0003 | -0,0000 | |||||
US31404WRQ14 / Fannie Mae Pool | 0,00 | 0,00 | 0,0003 | -0,0000 | |||||
US31385XEC74 / Fannie Mae Pool | 0,00 | 0,00 | 0,0003 | -0,0000 | |||||
US3128M5ED85 / Freddie Mac Gold Pool | 0,00 | 0,00 | 0,0003 | -0,0000 | |||||
US36200DCC56 / GNMA POOL 597767 GN 03/33 FIXED 5 | 0,00 | 0,00 | 0,0003 | -0,0000 | |||||
US31397KZG92 / FREDDIE MAC FHR 3376 FD | 0,00 | -25,00 | 0,0002 | -0,0000 | |||||
BOUGHT TWD SOLD USD 20250707 / DFE (000000000) | 0,00 | 0,0002 | 0,0002 | ||||||
US31410KXK59 / Fannie Mae Pool | 0,00 | 0,00 | 0,0002 | -0,0000 | |||||
BOUGHT IDR SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0002 | 0,0002 | ||||||
US3132CWJA36 / FHLMC UMBS, 15 Year | 0,00 | -62,50 | 0,0002 | -0,0003 | |||||
US31296KN587 / FED HM LN PC POOL A11312 FG 07/33 FIXED 6 | 0,00 | 0,00 | 0,0002 | -0,0000 | |||||
US31403DD486 / FNMA POOL 745423 FN 04/36 FIXED VAR | 0,00 | 0,00 | 0,0002 | -0,0000 | |||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | 0,00 | 0,0002 | 0,0002 | ||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | 0,00 | 0,0002 | 0,0002 | ||||||
US31416BMS42 / Fannie Mae Pool | 0,00 | 0,00 | 0,0002 | -0,0000 | |||||
US3128M6N790 / FED HM LN PC POOL G04614 FG 02/34 FIXED 6 | 0,00 | 0,00 | 0,0002 | -0,0000 | |||||
US31410KNH31 / Fannie Mae Pool | 0,00 | 0,00 | 0,0002 | -0,0000 | |||||
BOUGHT MXN SOLD USD 20250818 / DFE (000000000) | 0,00 | 0,0002 | 0,0002 | ||||||
BOUGHT MXN SOLD USD 20250818 / DFE (000000000) | 0,00 | 0,0002 | 0,0002 | ||||||
US3128M6XE31 / Freddie Mac Gold Pool | 0,00 | 0,00 | 0,0002 | -0,0000 | |||||
US3128P7QX47 / Freddie Mac Gold Pool | 0,00 | 0,00 | 0,0002 | -0,0000 | |||||
US31406NK459 / FNMA POOL 814915 FN 03/35 FIXED 5.5 | 0,00 | 0,00 | 0,0002 | -0,0000 | |||||
US31407KGK97 / FNMA POOL 832802 FN 09/35 FLOATING VAR | 0,00 | -71,43 | 0,0002 | -0,0003 | |||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | 0,00 | 0,0002 | 0,0002 | ||||||
US3133TCE959 / Freddie Mac Structured Pass-Through Certificates | 0,00 | 0,00 | 0,0002 | -0,0000 | |||||
US31403HK821 / FNMA POOL 749219 FN 10/33 FIXED 5.5 | 0,00 | 0,00 | 0,0002 | -0,0000 | |||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | 0,00 | 0,0002 | 0,0002 | ||||||
BOUGHT NZD SOLD USD 20250702 / DFE (000000000) | 0,00 | 0,0002 | 0,0002 | ||||||
BOUGHT BRL SOLD USD 20250702 / DFE (000000000) | 0,00 | 0,0002 | 0,0002 | ||||||
BOUGHT ZAR SOLD USD 20250723 / DFE (000000000) | 0,00 | 0,0002 | 0,0002 | ||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | 0,00 | 0,0002 | 0,0002 | ||||||
BOUGHT PEN SOLD USD 20250707 / DFE (000000000) | 0,00 | 0,0001 | 0,0001 | ||||||
US31382J3L33 / FNMA POOL 484203 FN 02/29 FIXED 6 | 0,00 | 0,00 | 0,0001 | -0,0000 | |||||
US36290QVJ11 / GNMA POOL 614517 GN 06/33 FIXED 5 | 0,00 | 0,00 | 0,0001 | -0,0000 | |||||
US3138A1DF58 / FNMA POOL AH0101 FN 11/30 FIXED 4 | 0,00 | 0,00 | 0,0001 | -0,0000 | |||||
US31411A5E10 / FANNIE MAE POOL FN 902745 | 0,00 | 0,00 | 0,0001 | -0,0000 | |||||
BOUGHT KRW SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0001 | 0,0001 | ||||||
US3128M4SS34 / Freddie Mac Gold Pool | 0,00 | 0,00 | 0,0001 | -0,0000 | |||||
US31396VN533 / FNMA, Series 2007-42, Class AF | 0,00 | 0,00 | 0,0001 | -0,0000 | |||||
BOUGHT PEN SOLD USD 20250917 / DFE (000000000) | 0,00 | 0,0001 | 0,0001 | ||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | 0,00 | 0,0001 | 0,0001 | ||||||
US3128KTAF72 / Freddie Mac Gold Pool | 0,00 | 0,00 | 0,0001 | -0,0000 | |||||
US31385XQ915 / Fannie Mae Pool | 0,00 | 0,00 | 0,0001 | -0,0000 | |||||
US36202DRX11 / GNII II 7% 2/32 #003202 | 0,00 | 0,00 | 0,0001 | -0,0000 | |||||
US31415QAU04 / Fannie Mae Pool | 0,00 | 0,00 | 0,0001 | 0,0000 | |||||
US36225CDM55 / GNMA II POOL 080107 G2 08/27 FLOATING VAR | 0,00 | 0,00 | 0,0001 | -0,0000 | |||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | 0,00 | 0,0001 | 0,0001 | ||||||
US31404BNU25 / FNMA POOL 763703 FN 04/34 FIXED 5.5 | 0,00 | 0,00 | 0,0001 | -0,0000 | |||||
US3128M5VT45 / Freddie Mac Gold Pool | 0,00 | 0,00 | 0,0001 | -0,0000 | |||||
US31416W6M95 / Fannie Mae Pool | 0,00 | -50,00 | 0,0001 | -0,0001 | |||||
317U8PVA3 PIMCO SWAPTION 3.36 CALL USD 2025071 / DIR (EZZX1QQCQTH4) | 0,00 | -97,50 | 0,0001 | -0,0024 | |||||
US45660UAT60 / IndyMac ARM Trust 2001-H2 | 0,00 | 0,00 | 0,0001 | -0,0000 | |||||
BOUGHT IDR SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0001 | 0,0001 | ||||||
BOUGHT IDR SOLD USD 20250707 / DFE (000000000) | 0,00 | 0,0001 | 0,0001 | ||||||
US31412YFP25 / FN 938574 | 0,00 | -100,00 | 0,0001 | -0,0000 | |||||
IRS EUR 2.61000 03/24/25-10Y LCH / DIR (EZPS73SKDR02) | 0,00 | -100,00 | 0,0001 | 0,0002 | |||||
US31416W6N78 / Fannie Mae Pool | 0,00 | -100,00 | 0,0001 | -0,0001 | |||||
US31295LBG68 / FED HM LN PC POOL 787239 FH 07/30 FLOATING VAR | 0,00 | -100,00 | 0,0001 | -0,0000 | |||||
RFR EUR ESTRON/2.05000 11/18/24-5Y* LCH / DIR (EZ64KXLFNMN4) | 0,00 | -100,00 | 0,0001 | -0,0006 | |||||
US31406WUS15 / FNMA POOL 822393 FN 04/35 FIXED 5.5 | 0,00 | -100,00 | 0,0001 | -0,0000 | |||||
US3128P7PJ61 / FED HM LN PC POOL C91325 FG 08/30 FIXED 4 | 0,00 | 0,0001 | -0,0000 | ||||||
US31410RM714 / FNMA POOL 895082 FN 08/36 FIXED 6 | 0,00 | 0,0001 | -0,0000 | ||||||
US36202VXF39 / GNMA POOL 610978 GN 05/34 FIXED 5 | 0,00 | 0,0001 | -0,0000 | ||||||
BOUGHT IDR SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0001 | 0,0001 | ||||||
BOUGHT IDR SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0001 | 0,0001 | ||||||
US3128CUN289 / Freddie Mac Gold Pool | 0,00 | -100,00 | 0,0001 | -0,0000 | |||||
US31400AP771 / FANNIE MAE 3.73% 03/01/2033 FNMA ARM | 0,00 | 0,0001 | -0,0000 | ||||||
US31402DGP96 / FNMA POOL 725706 FN 08/32 FIXED VAR | 0,00 | 0,0000 | -0,0000 | ||||||
US31410WXV52 / FNMA POOL 899892 FN 11/36 FIXED 6 | 0,00 | 0,0000 | 0,0000 | ||||||
US3128M6PH53 / FED HM LN PC POOL G04624 FG 02/33 FIXED 6 | 0,00 | 0,0000 | -0,0000 | ||||||
RFR EUR ESTRON/2.05630 11/18/24-5Y* LCH / DIR (EZ64KXLFNMN4) | 0,00 | -100,00 | 0,0000 | -0,0006 | |||||
RFR EUR ESTRON/2.05630 11/18/24-5Y* LCH / DIR (EZ64KXLFNMN4) | 0,00 | -100,00 | 0,0000 | -0,0006 | |||||
US31403SD781 / FNMA POOL 756226 FN 01/34 FIXED 5.5 | 0,00 | 0,0000 | -0,0000 | ||||||
BOUGHT THB SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT THB SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT THB SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US3128M6PM49 / Freddie Mac Gold Pool | 0,00 | 0,0000 | -0,0000 | ||||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US31410CVE91 / FNMA POOL 885413 FN 06/36 FIXED 6 | 0,00 | 0,0000 | -0,0000 | ||||||
US31371HDQ83 / UMBS, 30 Year | 0,00 | 0,0000 | -0,0000 | ||||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT KRW SOLD USD 20250707 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US36225CC953 / Ginnie Mae II Pool | 0,00 | 0,0000 | -0,0000 | ||||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US31390UBN54 / FNMA POOL 656245 FN 09/32 FIXED 6 | 0,00 | 0,0000 | -0,0000 | ||||||
US31405BBG59 / FNMA POOL 784039 FN 07/34 FLOATING VAR | 0,00 | 0,0000 | -0,0000 | ||||||
US31385JRN09 / Fannie Mae Pool | 0,00 | 0,0000 | -0,0000 | ||||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT KRW SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT KRW SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US312926M399 / FED HM LN PC POOL A80378 FG 12/36 FIXED 5.5 | 0,00 | 0,0000 | -0,0000 | ||||||
US31410CVK51 / FNMA POOL 885418 FN 06/36 FIXED 6 | 0,00 | 0,0000 | -0,0000 | ||||||
US31410GBB86 / FNMA POOL 888434 FN 11/35 FIXED VAR | 0,00 | 0,0000 | -0,0000 | ||||||
US31419KK797 / Fannie Mae Pool | 0,00 | 0,0000 | -0,0000 | ||||||
US31296Q4H01 / FED HM LN PC POOL A16224 FG 11/33 FIXED 6 | 0,00 | 0,0000 | -0,0000 | ||||||
US31380XQV72 / FNMA POOL 453268 FN 11/28 FIXED 6 | 0,00 | 0,0000 | -0,0000 | ||||||
US31417YEQ61 / Fannie Mae Pool | 0,00 | 0,0000 | -0,0000 | ||||||
BOUGHT JPY SOLD USD 20250702 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT JPY SOLD USD 20250702 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT IDR SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US36202KVB87 / Ginnie Mae II Pool | 0,00 | 0,0000 | -0,0000 | ||||||
US31380D4T07 / FNMA POOL 437434 FN 09/28 FIXED 6 | 0,00 | 0,0000 | -0,0000 | ||||||
US31411W4X20 / FNMA POOL 917138 FN 06/37 FIXED 6 | 0,00 | 0,0000 | -0,0000 | ||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US3131X6AC49 / FED HM LN PC POOL ZK2703 FR 11/25 FIXED 3.5 | 0,00 | 0,0000 | -0,0000 | ||||||
BOUGHT IDR SOLD USD 20250714 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US3131X6AB65 / FED HM LN PC POOL ZK2702 FR 11/25 FIXED 3.5 | 0,00 | 0,0000 | -0,0000 | ||||||
US31384VPK25 / Fannie Mae Pool | 0,00 | 0,0000 | -0,0000 | ||||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US31336SNN44 / FED HM LN PC POOL 1B0797 FH 04/33 FLOATING VAR | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT TWD SOLD USD 20250714 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US3128M6PK82 / Freddie Mac Gold Pool | 0,00 | 0,0000 | -0,0000 | ||||||
US31415RL368 / Fannie Mae Pool | 0,00 | 0,0000 | 0,0000 | ||||||
SOLD CAD BOUGHT USD 20250702 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
SOLD CAD BOUGHT USD 20250702 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US36225CAY21 / Ginnie Mae II Pool | 0,00 | 0,0000 | -0,0000 | ||||||
US31419GCY89 / Fannie Mae Pool | 0,00 | 0,0000 | -0,0000 | ||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US31405WXA88 / FNMA POOL 801773 FN 12/36 FIXED 6 | 0,00 | 0,0000 | -0,0000 | ||||||
BOUGHT IDR SOLD USD 20250714 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
SOLD JPY BOUGHT USD 20250702 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US36202KVJ14 / Ginnie Mae II Pool | 0,00 | 0,0000 | -0,0000 | ||||||
US31292G4V52 / Freddie Mac Gold Pool | 0,00 | 0,0000 | -0,0000 | ||||||
US3131X53Q39 / UMBS, 15 Year | 0,00 | 0,0000 | -0,0000 | ||||||
US31379VUA50 / FNMA POOL 430877 FN 09/28 FIXED 6.5 | 0,00 | 0,0000 | -0,0000 | ||||||
US31365H6M38 / FNMA POOL 128776 FN 02/31 FLOATING VAR | 0,00 | 0,0000 | -0,0000 | ||||||
BOUGHT TWD SOLD USD 20250714 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT TWD SOLD USD 20250714 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US36202KXR12 / Ginnie Mae II Pool | 0,00 | 0,0000 | -0,0000 | ||||||
BOUGHT KRW SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT TWD SOLD USD 20250714 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US31406RQ655 / Fannie Mae Pool | 0,00 | 0,0000 | 0,0000 | ||||||
US3128P7GA53 / FED HM LN PC POOL C91093 FG 09/27 FIXED 6 | 0,00 | 0,0000 | -0,0000 | ||||||
US36202KUH66 / Ginnie Mae II Pool | 0,00 | 0,0000 | -0,0000 | ||||||
SOLD JPY BOUGHT USD 20250702 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT IDR SOLD USD 20250714 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US31382F2E80 / FN 02/29 FIXED 6 | 0,00 | 0,0000 | -0,0000 | ||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US3128F2WL56 / FED HM LN PC POOL D63351 FG 09/25 FIXED 7.5 | 0,00 | 0,0000 | -0,0000 | ||||||
BOUGHT IDR SOLD USD 20250714 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT IDR SOLD USD 20250714 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US31410XBB10 / FNMA POOL 900134 FN 09/36 FIXED 6 | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT IDR SOLD USD 20250714 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT CAD SOLD USD 20250805 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
US31375BFN29 / FNMA POOL 329673 FN 01/26 FIXED 6.5 | 0,00 | 0,0000 | -0,0000 | ||||||
BOUGHT PEN SOLD USD 20250917 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
317U9FOA2 PIMCO SWAPTION 4.077 PUT USD 2025063 / DIR (EZXJWB9HGZH3) | 0,00 | 0,0000 | 0,0000 | ||||||
317U9FTA7 PIMCO SWAPTION 4.05 PUT USD 20250630 / DIR (EZXJWB9HGZH3) | 0,00 | 0,0000 | 0,0000 | ||||||
317U9GMA2 PIMCO SWAPTION 4.1 PUT USD 20250703 / DIR (EZ78N9X8M3Y4) | 0,00 | -0,0000 | -0,0000 | ||||||
317U9GMA2 PIMCO SWAPTION 4.1 PUT USD 20250703 / DIR (EZ78N9X8M3Y4) | 0,00 | -0,0000 | -0,0000 | ||||||
317U9FTA7 PIMCO SWAPTION 4.05 PUT USD 20250630 / DIR (EZXJWB9HGZH3) | 0,00 | 0,0000 | 0,0000 | ||||||
317U9G6A0 PIMCO SWAPTION 4.065 PUT USD 2025070 / DIR (EZJQZP36X547) | 0,00 | 0,0000 | 0,0000 | ||||||
31750QSL4 OTC EPUT FN 4.5 JUL25 92.46875 PUT / DIR (000000000) | 0,00 | -0,0000 | -0,0000 | ||||||
317U9EKA9 PIMCO SWAPTION 2.36 PUT EUR 20250630 / DIR (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
317U9EOA5 PIMCO SWAPTION 4.101 PUT USD 2025063 / DIR (EZXJWB9HGZH3) | 0,00 | 0,0000 | 0,0000 | ||||||
317U9ELA8 PIMCO SWAPTION 2.1 CALL EUR 20250630 / DIR (000000000) | 0,00 | 0,0000 | 0,0000 | ||||||
317U9GBA4 PIMCO SWAPTION 2.38 CALL EUR 2025070 / DIR (EZ8HHXRGV1D7) | -0,00 | -0,0000 | -0,0000 | ||||||
317U9IZA4 PIMCO SWAPTION 4.125 PUT USD 2025070 / DIR (EZY1VWC6W1B5) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD CAD BOUGHT USD 20250702 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD IDR BOUGHT USD 20250716 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
317U9JRA1 PIMCO SWAPTION 4.12 PUT USD 20250709 / DIR (EZYG54DQ9CL7) | -0,00 | -0,0000 | -0,0000 | ||||||
317U9JRA1 PIMCO SWAPTION 4.12 PUT USD 20250709 / DIR (EZYG54DQ9CL7) | -0,00 | -0,0000 | -0,0000 | ||||||
317U9HMA0 PIMCO SWAPTION 4.019 PUT USD 2025070 / DIR (EZY1VWC6W1B5) | -0,00 | -0,0000 | -0,0000 | ||||||
317U9HMA0 PIMCO SWAPTION 4.019 PUT USD 2025070 / DIR (EZY1VWC6W1B5) | -0,00 | -0,0000 | -0,0000 | ||||||
317U9JSA0 PIMCO SWAPTION 4.122 PUT USD 2025071 / DIR (EZMLYZSNFH30) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD JPY BOUGHT USD 20250804 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
31750QMA4 PIMCO CDSOPT PUT USD 1.0 20250716 / DCR (EZ967XY50V92) | -0,00 | -100,00 | -0,0000 | 0,0004 | |||||
31750QMB2 PIMCO CDSOPT PUT USD 0.9 20250716 / DCR (EZ967XY50V92) | -0,00 | -100,00 | -0,0000 | 0,0004 | |||||
317U9LGA8 PIMCO SWAPTION 4.097 PUT USD 2025071 / DIR (EZHBWHSTV570) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
31750QN05 PIMCO CDSOPT PUT USD 0.85 20250716 / DCR (EZ967XY50V92) | -0,00 | -100,00 | -0,0000 | 0,0004 | |||||
31750QN05 PIMCO CDSOPT PUT USD 0.85 20250716 / DCR (EZ967XY50V92) | -0,00 | -100,00 | -0,0000 | 0,0004 | |||||
317U9L5A0 PIMCO SWAPTION 4.064 PUT USD 2025071 / DIR (EZQM9CB4TVR9) | -0,00 | -0,0000 | -0,0000 | ||||||
317U9L3A2 PIMCO SWAPTION 4.0525 PUT USD 202507 / DIR (EZQM9CB4TVR9) | -0,00 | -0,0000 | -0,0000 | ||||||
317U9LLA2 PIMCO SWAPTION 4.095 PUT USD 2025071 / DIR (EZBYVN1N6JS0) | -0,00 | -0,0000 | -0,0000 | ||||||
BOUGHT IDR SOLD USD 20250708 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
BOUGHT IDR SOLD USD 20250708 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD THB BOUGHT USD 20250820 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD IDR BOUGHT USD 20250716 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
31750QM06 PIMCO CDSOPT PUT USD 0.9 20250716 / DCR (EZ967XY50V92) | -0,00 | -100,00 | -0,0000 | 0,0003 | |||||
SOLD KRW BOUGHT USD 20250716 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD KRW BOUGHT USD 20250716 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
31750QSK6 OTC ECAL FN 4.5 JUL25 96.46875 CALL / DIR (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD KRW BOUGHT USD 20250716 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
317U9MJA3 PIMCO SWAPTION 4.05 PUT USD 20250721 / DIR (EZPXSH8F93Y9) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
317U9M3A0 PIMCO SWAPTION 4.037 PUT USD 2025071 / DIR (EZ1JLHJ8JY10) | -0,00 | -0,0000 | -0,0000 | ||||||
317U9GAA5 PIMCO SWAPTION 2.64 PUT EUR 20250703 / DIR (EZL9GW5599J4) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD IDR BOUGHT USD 20250707 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD KRW BOUGHT USD 20250714 / DFE (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
US 10YR FUT OPTN AUG25P 108.5 EXP 07/25/2025 / DIR (000000000) | -0,00 | -0,0000 | -0,0000 | ||||||
317U9LFA9 PIMCO SWAPTION 2.46 CALL EUR 2025071 / DIR (EZLXC2V2MYF7) | -0,00 | -0,0000 | -0,0000 | ||||||
SOLD MXN BOUGHT USD 20250917 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
SOLD MXN BOUGHT USD 20250917 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
SOLD SGD BOUGHT USD 20250702 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
SOLD SGD BOUGHT USD 20250702 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
SOLD JPY BOUGHT USD 20250702 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
SOLD BRL BOUGHT USD 20250702 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
SOLD SEK BOUGHT USD 20250702 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
SOLD JPY BOUGHT USD 20250702 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
SOLD KRW BOUGHT USD 20250707 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
EURO-BUND OPTION AUG25C 132.5 EXP 07/25/2025 / DIR (DE000F1674Y7) | -0,00 | -0,0001 | -0,0001 | ||||||
SOLD EUR BOUGHT USD 20250724 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
SOLD EUR BOUGHT USD 20250724 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
EURO-BOBL OPTION AUG25C 118.5 EXP 07/25/2025 / DIR (DE000F167SZ1) | -0,00 | -0,0001 | -0,0001 | ||||||
SOLD SGD BOUGHT USD 20250702 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
317U9LEA0 PIMCO SWAPTION 2.72 PUT EUR 20250716 / DIR (EZMWVGHPD033) | -0,00 | -0,0001 | -0,0001 | ||||||
SOLD IDR BOUGHT USD 20250716 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
317U9MNA8 PIMCO SWAPTION 3.955 PUT USD 2025072 / DIR (EZTRLD6PX319) | -0,00 | -0,0001 | -0,0001 | ||||||
317U9MNA8 PIMCO SWAPTION 3.955 PUT USD 2025072 / DIR (EZTRLD6PX319) | -0,00 | -0,0001 | -0,0001 | ||||||
US 10YR FUT OPTN AUG25P 109 EXP 07/25/2025 / DIR (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
317U9FUA5 PIMCO SWAPTION 3.7 CALL USD 20250630 / DIR (EZY1GXGHBZM5) | -0,00 | -0,0001 | -0,0001 | ||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
US 10YR FUT OPTN AUG25P 109.5 EXP 07/25/2025 / DIR (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
317U9EPA4 PIMCO SWAPTION 3.701 CALL USD 202506 / DIR (EZY1GXGHBZM5) | -0,00 | -0,0001 | -0,0001 | ||||||
317U9EPA4 PIMCO SWAPTION 3.701 CALL USD 202506 / DIR (EZY1GXGHBZM5) | -0,00 | -0,0001 | -0,0001 | ||||||
EURO-BOBL OPTION AUG25P 117.2 EXP 07/25/2025 / DIR (DE000F167SF3) | -0,00 | -0,0001 | -0,0001 | ||||||
SOLD EUR BOUGHT USD 20250724 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
IRS EUR 2.41000 11/05/24-10Y LCH / DIR (EZXB852VHRN9) | -0,00 | -91,30 | -0,0001 | 0,0013 | |||||
317U9N3A8 PIMCO SWAPTION 3.905 PUT USD 2025072 / DIR (EZBGX0TQ91B3) | -0,00 | -0,0001 | -0,0001 | ||||||
317U9N3A8 PIMCO SWAPTION 3.905 PUT USD 2025072 / DIR (EZBGX0TQ91B3) | -0,00 | -0,0001 | -0,0001 | ||||||
317U9IFA6 PIMCO SWAPTION 3.68 CALL USD 2025070 / DIR (EZJFGPMJB918) | -0,00 | -0,0001 | -0,0001 | ||||||
SOLD CAD BOUGHT USD 20250702 / DFE (000000000) | -0,00 | -0,0001 | -0,0001 | ||||||
EURO-BUND OPTION AUG25P 129 EXP 07/25/2025 / DIR (DE000F167368) | -0,00 | -0,0001 | -0,0001 | ||||||
317U9MQA5 PIMCO SWAPTION 3.583 CALL USD 202507 / DIR (EZCLF3R2NG23) | -0,00 | -0,0002 | -0,0002 | ||||||
317U9MQA5 PIMCO SWAPTION 3.583 CALL USD 202507 / DIR (EZCLF3R2NG23) | -0,00 | -0,0002 | -0,0002 | ||||||
SOLD KRW BOUGHT USD 20250708 / DFE (000000000) | -0,00 | -0,0002 | -0,0002 | ||||||
SOLD NZD BOUGHT USD 20250804 / DFE (000000000) | -0,00 | -0,0002 | -0,0002 | ||||||
317U9O6A3 PIMCO SWAPTION 3.875 PUT USD 2025072 / DIR (EZHZLXVZP143) | -0,00 | -0,0002 | -0,0002 | ||||||
317U9O6A3 PIMCO SWAPTION 3.875 PUT USD 2025072 / DIR (EZHZLXVZP143) | -0,00 | -0,0002 | -0,0002 | ||||||
US 10YR FUT OPTN AUG25P 110.2 EXP 07/25/2025 / DIR (000000000) | -0,00 | -0,0002 | -0,0002 | ||||||
SOLD IDR BOUGHT USD 20250708 / DFE (000000000) | -0,00 | -0,0002 | -0,0002 | ||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | -0,00 | -0,0002 | -0,0002 | ||||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | -0,00 | -0,0002 | -0,0002 | ||||||
SOLD IDR BOUGHT USD 20250716 / DFE (000000000) | -0,00 | -0,0002 | -0,0002 | ||||||
SOLD IDR BOUGHT USD 20250716 / DFE (000000000) | -0,00 | -0,0002 | -0,0002 | ||||||
317U9N2A9 PIMCO SWAPTION 3.564 CALL USD 202507 / DIR (EZMYNDCY8F38) | -0,00 | -0,0003 | -0,0003 | ||||||
317U9N2A9 PIMCO SWAPTION 3.564 CALL USD 202507 / DIR (EZMYNDCY8F38) | -0,00 | -0,0003 | -0,0003 | ||||||
SOLD NZD BOUGHT USD 20250702 / DFE (000000000) | -0,00 | -0,0003 | -0,0003 | ||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | -0,00 | -0,0003 | -0,0003 | ||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | -0,00 | -0,0003 | -0,0003 | ||||||
SOLD ZAR BOUGHT USD 20250723 / DFE (000000000) | -0,01 | -0,0003 | -0,0003 | ||||||
317U9G7A9 PIMCO SWAPTION 3.715 CALL USD 202507 / DIR (EZL4V0T519J1) | -0,01 | -0,0003 | -0,0003 | ||||||
317U9O3A6 PIMCO SWAPTION 3.545 CALL USD 202507 / DIR (EZ24N26H1YR9) | -0,01 | -0,0003 | -0,0003 | ||||||
317U9O3A6 PIMCO SWAPTION 3.545 CALL USD 202507 / DIR (EZ24N26H1YR9) | -0,01 | -0,0003 | -0,0003 | ||||||
IRS EUR 2.35000 04/29/25-5Y LCH / DIR (EZ74X71XY4J2) | -0,01 | -0,0004 | -0,0004 | ||||||
317U9EJA1 PIMCO SWAPTION 3.727 CALL USD 202506 / DIR (EZY1GXGHBZM5) | -0,01 | -0,0004 | -0,0004 | ||||||
SOLD IDR BOUGHT USD 20250716 / DFE (000000000) | -0,01 | -0,0004 | -0,0004 | ||||||
317U9M4A9 PIMCO SWAPTION 3.637 CALL USD 202507 / DIR (EZ7SJVNDKPC9) | -0,01 | -0,0004 | -0,0004 | ||||||
317U9LHA7 PIMCO SWAPTION 3.697 CALL USD 202507 / DIR (EZ1ZLHZPLNC3) | -0,01 | -0,0005 | -0,0005 | ||||||
317U8PWA2 PIMCO SWAPTION 3.519 CALL USD 202507 / DIR (EZ1KS55XM884) | -0,01 | -87,27 | -0,0005 | 0,0030 | |||||
317U9L6A9 PIMCO SWAPTION 3.664 CALL USD 202507 / DIR (EZT5FL9WGCP1) | -0,01 | -0,0005 | -0,0005 | ||||||
317U9L6A9 PIMCO SWAPTION 3.664 CALL USD 202507 / DIR (EZT5FL9WGCP1) | -0,01 | -0,0005 | -0,0005 | ||||||
OIS CAD CAONREPO/3.0000 01/08/25-9Y* LCH / DIR (EZGTN9JZ4G83) | -0,01 | -60,00 | -0,0005 | 0,0007 | |||||
OIS CAD CAONREPO/3.0000 01/08/25-9Y* LCH / DIR (EZGTN9JZ4G83) | -0,01 | -60,00 | -0,0005 | 0,0007 | |||||
317U9LMA1 PIMCO SWAPTION 3.695 CALL USD 202507 / DIR (EZSG2674R1G7) | -0,01 | -0,0005 | -0,0005 | ||||||
317U9MKA1 PIMCO SWAPTION 3.7 CALL USD 20250721 / DIR (EZQRZMCG5093) | -0,01 | -0,0005 | -0,0005 | ||||||
SOLD JPY BOUGHT USD 20250804 / DFE (000000000) | -0,01 | -0,0006 | -0,0006 | ||||||
SOLD JPY BOUGHT USD 20250804 / DFE (000000000) | -0,01 | -0,0006 | -0,0006 | ||||||
SOLD ZAR BOUGHT USD 20250723 / DFE (000000000) | -0,01 | -0,0006 | -0,0006 | ||||||
SOLD ZAR BOUGHT USD 20250723 / DFE (000000000) | -0,01 | -0,0006 | -0,0006 | ||||||
US 10YR FUT OPTN AUG25C 112.7 EXP 07/25/2025 / DIR (000000000) | -0,01 | -0,0006 | -0,0006 | ||||||
317U9GNA1 PIMCO SWAPTION 3.75 CALL USD 2025070 / DIR (EZ78XR7L6YX2) | -0,01 | -0,0006 | -0,0006 | ||||||
317U9GNA1 PIMCO SWAPTION 3.75 CALL USD 2025070 / DIR (EZ78XR7L6YX2) | -0,01 | -0,0006 | -0,0006 | ||||||
317U8CPA9 PIMCO SWAPTION 3.739 CALL USD 202508 / DIR (EZ02MS39Q829) | -0,01 | -33,33 | -0,0006 | 0,0003 | |||||
IRS EUR 2.40000 04/09/25-5Y LCH / DIR (EZVHX3M64G11) | -0,01 | -0,0007 | -0,0007 | ||||||
317U9JTA9 PIMCO SWAPTION 3.772 CALL USD 202507 / DIR (EZTK0K9DDPF2) | -0,01 | -0,0007 | -0,0007 | ||||||
317U9J0A0 PIMCO SWAPTION 3.775 CALL USD 202507 / DIR (EZJFGPMJB918) | -0,01 | -0,0007 | -0,0007 | ||||||
317U9J0A0 PIMCO SWAPTION 3.775 CALL USD 202507 / DIR (EZJFGPMJB918) | -0,01 | -0,0007 | -0,0007 | ||||||
SOLD CAD BOUGHT USD 20250702 / DFE (000000000) | -0,01 | -0,0007 | -0,0007 | ||||||
RFR USD SOFR/3.97500 03/21/25-10Y LCH / DIR (EZSTF4LLCQZ1) | -0,01 | -57,69 | -0,0007 | 0,0009 | |||||
RFR USD SOFR/3.75000 09/02/25-7Y* LCH / DIR (000000000) | -0,01 | -0,0008 | -0,0008 | ||||||
317U9JLA7 PIMCO SWAPTION 3.79 CALL USD 2025070 / DIR (EZT76LRY6S63) | -0,01 | -0,0009 | -0,0009 | ||||||
317U9JLA7 PIMCO SWAPTION 3.79 CALL USD 2025070 / DIR (EZT76LRY6S63) | -0,01 | -0,0009 | -0,0009 | ||||||
OIS CAD CAONREPO/3.00000 01/13/25-8Y* LC / DIR (EZKVS9DRRQP2) | -0,02 | -54,55 | -0,0010 | 0,0011 | |||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | -0,02 | -0,0010 | -0,0010 | ||||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | -0,02 | -0,0011 | -0,0011 | ||||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | -0,02 | -0,0011 | -0,0011 | ||||||
US 10YR FUT OPTN AUG25C 112 EXP 07/25/2025 / DIR (000000000) | -0,02 | -0,0011 | -0,0011 | ||||||
317U8R1A2 PIMCO SWAPTION 3.515 CALL USD 202507 / DIR (EZHRPWJDVDW8) | -0,02 | -81,25 | -0,0011 | 0,0048 | |||||
317U8RLA0 PIMCO SWAPTION 3.489 CALL USD 202507 / DIR (EZ2BH915DBT1) | -0,02 | -80,39 | -0,0013 | 0,0051 | |||||
SOLD CHF BOUGHT USD 20250804 / DFE (000000000) | -0,02 | -0,0013 | -0,0013 | ||||||
IRS AUD 4.00000 03/19/25-10Y LCH / DIR (EZMSCTBHCX60) | -0,02 | -76,34 | -0,0014 | 0,0044 | |||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | -0,02 | -0,0015 | -0,0015 | ||||||
SOLD SEK BOUGHT USD 20250804 / DFE (000000000) | -0,03 | -0,0016 | -0,0016 | ||||||
SOLD PEN BOUGHT USD 20250915 / DFE (000000000) | -0,03 | -0,0017 | -0,0017 | ||||||
SOLD JPY BOUGHT USD 20250804 / DFE (000000000) | -0,03 | -0,0018 | -0,0018 | ||||||
IRS EUR 2.30000 09/25/24-5Y LCH / DIR (EZG6CLJMHV54) | -0,03 | 70,59 | -0,0019 | -0,0008 | |||||
RFR USD SOFR/3.72680 03/01/24-7Y* LCH / DIR (EZBKXTPHC9Q8) | -0,03 | -0,0021 | -0,0021 | ||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | -0,03 | -0,0021 | -0,0021 | ||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | -0,03 | -0,0022 | -0,0022 | ||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | -0,04 | -0,0022 | -0,0022 | ||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | -0,04 | -0,0022 | -0,0022 | ||||||
IRS EUR 2.76000 01/03/24-5Y LCH / DIR (EZ49DWLXMD81) | -0,04 | 45,83 | -0,0022 | -0,0007 | |||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | -0,04 | -0,0022 | -0,0022 | ||||||
317U8D3A1 PIMCO SWAPTION 3.7565 CALL USD 20250 / DIR (EZF2KQT490F7) | -0,04 | -30,77 | -0,0022 | 0,0010 | |||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | -0,04 | -0,0023 | -0,0023 | ||||||
SOLD PEN BOUGHT USD 20251103 / DFE (000000000) | -0,04 | -0,0023 | -0,0023 | ||||||
RFR USD SOFR/3.84200 03/04/25-5Y LCH / DIR (EZSYJ06JDLK1) | -0,04 | 105,56 | -0,0023 | -0,0012 | |||||
US 10YR FUT OPTN AUG25C 112.5 EXP 07/25/2025 / DIR (000000000) | -0,04 | -0,0024 | -0,0024 | ||||||
RFR USD SOFR/3.73910 03/01/24-7Y* LCH / DIR (EZBKXTPHC9Q8) | -0,04 | -0,0024 | -0,0024 | ||||||
RFR USD SOFR/3.73910 03/01/24-7Y* LCH / DIR (EZBKXTPHC9Q8) | -0,04 | -0,0024 | -0,0024 | ||||||
AUST 10Y BOND FUT SEP25 XSFE 20250915 / DIR (000000000) | -0,04 | -0,0026 | -0,0026 | ||||||
SOLD SGD BOUGHT USD 20250702 / DFE (000000000) | -0,05 | -0,0029 | -0,0029 | ||||||
RFR USD SOFR/3.93000 03/24/25-10Y LCH / DIR (EZKR9TWV5646) | -0,05 | 44,12 | -0,0031 | -0,0010 | |||||
317U8AFA4 PIMCO SWAPTION 3.6283 CALL USD 20250 / DIR (EZ4TR78BWB85) | -0,05 | -51,96 | -0,0031 | 0,0032 | |||||
317U88WA0 PIMCO SWAPTION 3.7075 CALL USD 20250 / DIR (EZ10PVR5LK98) | -0,05 | -64,86 | -0,0033 | 0,0059 | |||||
317U88WA0 PIMCO SWAPTION 3.7075 CALL USD 20250 / DIR (EZ10PVR5LK98) | -0,05 | -64,86 | -0,0033 | 0,0059 | |||||
RFR USD SOFR/3.83600 05/02/25-10Y LCH / DIR (EZ9FQ1FHSFC5) | -0,07 | -0,0044 | -0,0044 | ||||||
SOLD JPY BOUGHT USD 20250804 / DFE (000000000) | -0,08 | -0,0049 | -0,0049 | ||||||
RFR GBP SONIO/3.50000 03/19/25-5Y LCH / DIR (EZ4P0PH8GZ40) | -0,08 | -58,33 | -0,0050 | 0,0069 | |||||
SOLD CHF BOUGHT USD 20250702 / DFE (000000000) | -0,08 | -0,0053 | -0,0053 | ||||||
SOLD PEN BOUGHT USD 20250814 / DFE (000000000) | -0,09 | -0,0059 | -0,0059 | ||||||
SOLD SGD BOUGHT USD 20250702 / DFE (000000000) | -0,10 | -0,0062 | -0,0062 | ||||||
RFR USD SOFR/3.90000 09/02/25-9Y* LCH / DIR (000000000) | -0,11 | -0,0070 | -0,0070 | ||||||
SOLD PEN BOUGHT USD 20251117 / DFE (000000000) | -0,11 | -0,0070 | -0,0070 | ||||||
SOLD KRW BOUGHT USD 20250716 / DFE (000000000) | -0,12 | -0,0073 | -0,0073 | ||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | -0,12 | -0,0076 | -0,0076 | ||||||
SOLD AUD BOUGHT USD 20250805 / DFE (000000000) | -0,16 | -0,0099 | -0,0099 | ||||||
SOLD BRL BOUGHT USD 20250702 / DFE (000000000) | -0,17 | -0,0103 | -0,0103 | ||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | -0,17 | -0,0105 | -0,0105 | ||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | -0,17 | -0,0105 | -0,0105 | ||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | -0,19 | -0,0116 | -0,0116 | ||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | -0,19 | -0,0118 | -0,0118 | ||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | -0,19 | -0,0118 | -0,0118 | ||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | -0,19 | -0,0121 | -0,0121 | ||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | -0,20 | -0,0123 | -0,0123 | ||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | -0,20 | -0,0125 | -0,0125 | ||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | -0,21 | -0,0128 | -0,0128 | ||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | -0,21 | -0,0130 | -0,0130 | ||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | -0,21 | -0,0131 | -0,0131 | ||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | -0,21 | -0,0131 | -0,0131 | ||||||
SOLD SEK BOUGHT USD 20250702 / DFE (000000000) | -0,23 | -0,0141 | -0,0141 | ||||||
SOLD AUD BOUGHT USD 20250702 / DFE (000000000) | -0,24 | -0,0149 | -0,0149 | ||||||
US LONG BOND(CBT) SEP25 XCBT 20250919 / DIR (000000000) | -0,27 | -0,0167 | -0,0167 | ||||||
OIS CAD CAONREPO/3.7500 12/20/23-10Y LCH / DIR (EZ1777XRV3N1) | -0,27 | -19,70 | -0,0168 | 0,0040 | |||||
SOLD CAD BOUGHT USD 20250702 / DFE (000000000) | -0,28 | -0,0172 | -0,0172 | ||||||
RFR USD SOFR/3.65517 03/01/24-4Y* LCH / DIR (EZ5FK37PXZM8) | -0,29 | -160,41 | -0,0183 | -0,0483 | |||||
SOLD GBP BOUGHT USD 20250804 / DFE (000000000) | -0,33 | -0,0204 | -0,0204 | ||||||
RFR USD SOFR/3.75000 12/18/24-5Y LCH / DIR (EZ2V74HC3Q62) | -0,33 | 328,57 | -0,0206 | -0,0158 | |||||
SOLD CAD BOUGHT USD 20250805 / DFE (000000000) | -0,36 | -0,0224 | -0,0224 | ||||||
RFR JPY MUTK/1.25000 06/18/25-7Y LCH / DIR (EZ9MYT9FCQB5) | -0,37 | -0,0233 | -0,0233 | ||||||
IRS EUR 1.00000 05/18/22-5Y LCH / DIR (EZG2JQ07KZT4) | -0,39 | -17,95 | -0,0245 | 0,0052 | |||||
SOLD GBP BOUGHT USD 20250702 / DFE (000000000) | -0,51 | -0,0316 | -0,0316 | ||||||
ZCS BRL 11.4071 07/09/24-01/04/27 CME / DIR (EZNTFR000L79) | -0,72 | -15,12 | -0,0452 | 0,0076 | |||||
OIS CAD CAONREPO/3.5000 03/28/24-8Y* LCH / DIR (EZ6CFT2N3TR9) | -0,81 | -20,98 | -0,0506 | 0,0129 | |||||
SOLD EUR BOUGHT USD 20250804 / DFE (000000000) | -0,95 | -0,0595 | -0,0595 | ||||||
REVERSE REPO BANK OF AMERICA REVERSE REPO / RA (000000000) | -1,06 | -0,0659 | -0,0659 | ||||||
REVERSE REPO BANK OF AMERICA REVERSE REPO / RA (000000000) | -1,06 | -0,0659 | -0,0659 | ||||||
US 10YR ULTRA FUT SEP25 XCBT 20250919 / DIR (000000000) | -1,54 | -0,0964 | -0,0964 | ||||||
US01F0326821 / Fannie Mae or Freddie Mac | -1,80 | -104,41 | -0,1123 | -2,4390 | |||||
SOLD EUR BOUGHT USD 20250702 / DFE (000000000) | -2,19 | -0,1365 | -0,1365 | ||||||
IRS EUR 2.25000 09/17/25-10Y LCH / DIR (EZNLCZXFPVL3) | -2,30 | -15,59 | -0,1433 | 0,0252 | |||||
REVERSE REPO JPM CHASE / RA (000000000) | -3,05 | -0,1904 | -0,1904 | ||||||
EW / Edwards Lifesciences Corporation | -4,61 | -108,03 | -0,2874 | -3,5558 | |||||
REVERSE REPO DEUTSCHE REVERSE REPO / RA (000000000) | -10,23 | -0,6380 | -0,6380 | ||||||
REVERSE REPO DEUTSCHE REVERSE REPO / RA (000000000) | -10,23 | -0,6380 | -0,6380 | ||||||
REVERSE REPO THE BANK OF NOVA REVERSE REPO / RA (000000000) | -29,02 | -1,8106 | -1,8106 | ||||||
REPU STATE STREET GLOBAL MARKE USD REPU SSB T / RA (000000000) | -50,86 | -3,1736 | -3,1736 | ||||||
REVERSE REPO WOOD GUNDY REVERSE REPO / RA (000000000) | -209,39 | -13,0654 | -13,0654 |