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Holdings (Monthly) Guide ↗

iShares iBoxx $ Investment Grade Corporate Bond ETF

· iShares Trust
Monthly Holdings $34.2B AUM 1780 positions Period May 2026 Filed Jul 24, 2026 EDGAR ↗ ← All Funds
All 169 New 1168 Added 1780 Reduced 126 Exited · May 2026 vs Feb 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 BlackRock Funds III 066922519 Feb 2026 2,153,414,242 -469,251,029 $2.15B -17.9% 7.23% STIV
2 BLACKROCK CASH FUNDS TREASURY SL AGENCY SHARES 066922477 Feb 2026 282,440,000 -85,250,000 $282.4M -23.2% 0.95% STIV
3 ANHEUSER-BUSCH CO/INBEV 03522AAJ9 Feb 2026 66,847,000 -2,364,000 $61.0M -6.2% 0.20% DBT
4 CVS HEALTH CORP 126650CZ1 Feb 2026 57,432,000 -4,708,000 $50.4M -9.2% 0.17% DBT
5 T-MOBILE USA INC 87264ABF1 Feb 2026 49,440,000 -202,000 $48.1M -2.2% 0.16% DBT
6 BANK OF AMERICA CORP 06051GMA4 Feb 2026 39,622,000 -1,115,000 $40.5M -5.1% 0.14% DBT
7 AT&T INC 00206RLJ9 Feb 2026 59,231,000 -1,113,000 $38.7M -5.1% 0.13% DBT
8 AT&T INC 00206RKJ0 Feb 2026 58,435,000 -3,577,000 $38.6M -8.6% 0.13% DBT
9 ABBVIE INC 00287YBX6 Feb 2026 40,190,000 -7,748,000 $38.6M -17.6% 0.13% DBT
10 WELLS FARGO & COMPANY 95000U2M4 Feb 2026 40,580,000 -3,882,000 $36.4M -10.5% 0.12% DBT
11 BANK OF AMERICA CORP 06051GLH0 Feb 2026 35,442,000 -6,813,000 $36.0M -17.8% 0.12% DBT
12 ANHEUSER-BUSCH CO/INBEV 03522AAH3 Feb 2026 36,199,000 -5,702,000 $35.2M -16.1% 0.12% DBT
13 CVS HEALTH CORP 126650CY4 Feb 2026 37,752,000 -323,000 $35.2M -3.2% 0.12% DBT
14 JPMORGAN CHASE & CO 46647PDR4 Feb 2026 33,190,000 -1,536,000 $33.8M -6.8% 0.11% DBT
15 ABBVIE INC 00287YCB3 Feb 2026 41,332,000 -4,655,000 $33.8M -12.8% 0.11% DBT
16 WELLS FARGO & COMPANY 95000U3F8 Feb 2026 31,693,000 -2,634,000 $32.6M -9.7% 0.11% DBT
17 AT&T INC 00206RMN9 Feb 2026 46,915,000 -2,176,000 $31.8M -7.2% 0.11% DBT
18 AT&T INC 00206RLV2 Feb 2026 48,644,000 -4,640,000 $31.6M -11.7% 0.11% DBT
19 WELLS FARGO & COMPANY 95000U3B7 Feb 2026 31,214,000 -8,533,000 $31.1M -23.2% 0.10% DBT
20 GOLDMAN SACHS GROUP INC 38145GAS9 Feb 2026 31,609,000 -4,433,000 $30.9M -14.9% 0.10% DBT
21 META PLATFORMS INC 30303M8X3 Feb 2026 32,957,000 -6,149,000 $30.9M -20.1% 0.10% DBT
22 GOLDMAN SACHS GROUP INC 38141GYJ7 Feb 2026 34,612,000 -2,251,000 $30.6M -7.9% 0.10% DBT
23 JPMORGAN CHASE & CO 46647PDH6 Feb 2026 29,869,000 -7,812,000 $29.9M -22.5% 0.10% DBT
24 ANHEUSER-BUSCH INBEV WOR 03523TBV9 Feb 2026 30,209,000 -1,562,000 $29.7M -7.0% 0.10% DBT
25 META PLATFORMS INC 30303M8Y1 Feb 2026 32,349,000 -6,339,000 $29.5M -21.4% 0.10% DBT
26 BANK OF AMERICA CORP 06051GLU1 Feb 2026 27,814,000 -6,609,000 $29.1M -21.1% 0.10% DBT
27 GOLDMAN SACHS GROUP INC 38145GAR1 Feb 2026 28,519,000 -25,375,000 $28.1M -48.2% 0.09% DBT
28 MICROSOFT CORP 594918CC6 Feb 2026 45,794,000 -2,524,000 $27.6M -8.3% 0.09% DBT
29 WELLS FARGO & COMPANY 95000U3D3 Feb 2026 26,879,000 -6,282,000 $27.4M -20.8% 0.09% DBT
30 WELLS FARGO & COMPANY 95000U2U6 Feb 2026 29,363,000 -9,683,000 $27.0M -26.2% 0.09% DBT
31 VERIZON COMMUNICATIONS 92343VGN8 Feb 2026 30,744,000 -7,462,000 $27.0M -20.9% 0.09% DBT
32 BANK OF AMERICA CORP 06051GKQ1 Feb 2026 27,379,000 -6,467,000 $26.9M -20.8% 0.09% DBT
33 BANK OF AMERICA CORP 06051GKA6 Feb 2026 30,341,000 -1,846,000 $26.9M -7.5% 0.09% DBT
34 BANK OF AMERICA CORP 06051GMM8 Feb 2026 25,983,000 -6,177,000 $26.6M -21.2% 0.09% DBT
35 BOEING CO 097023CY9 Feb 2026 26,113,000 -273,000 $26.5M -2.9% 0.09% DBT
36 BANK OF AMERICA CORP 06051GJE0 Feb 2026 36,594,000 -4,993,000 $26.5M -14.2% 0.09% DBT
37 MORGAN STANLEY 61748UAM4 Feb 2026 26,575,000 -3,361,000 $26.1M -12.9% 0.09% DBT
38 MORGAN STANLEY 61747YFE0 Feb 2026 25,567,000 -691,000 $25.9M -4.9% 0.09% DBT
39 GOLDMAN SACHS GROUP INC 38141GZM9 Feb 2026 28,490,000 -8,157,000 $25.8M -23.9% 0.09% DBT
40 CITIGROUP INC 172967MP3 Feb 2026 26,032,000 -2,740,000 $25.7M -11.0% 0.09% DBT
41 COMCAST CORP 20030NDU2 Feb 2026 45,750,000 -904,000 $25.6M -5.8% 0.09% DBT
42 WELLS FARGO & COMPANY 95000U3W1 Feb 2026 25,250,000 -1,530,000 $25.6M -7.6% 0.09% DBT
43 GOLDMAN SACHS GROUP INC 38141GD43 Feb 2026 26,168,000 -7,826,000 $25.4M -25.0% 0.09% DBT
44 ORACLE CORP 68389XDX0 Feb 2026 25,765,000 -3,342,000 $25.3M -12.8% 0.09% DBT
45 JPMORGAN CHASE & CO 46647PFE1 Feb 2026 26,055,000 -2,245,000 $25.3M -10.4% 0.08% DBT
46 AMAZON.COM INC 023135CV6 Feb 2026 25,298,000 -303,000 $24.7M -3.8% 0.08% DBT
47 BANK OF AMERICA CORP 06051GKK4 Feb 2026 27,275,000 -145,000 $24.7M -2.7% 0.08% DBT
48 MORGAN STANLEY 61747YED3 Feb 2026 27,801,000 -3,106,000 $24.4M -11.7% 0.08% DBT
49 JPMORGAN CHASE & CO 46647PFJ0 Feb 2026 25,065,000 -968,000 $24.4M -6.8% 0.08% DBT
50 BOEING CO 097023CX1 Feb 2026 24,372,000 -137,000 $24.1M -1.9% 0.08% DBT
51 MORGAN STANLEY 61748UAN2 Feb 2026 24,744,000 -195,000 $24.0M -3.2% 0.08% DBT
52 MORGAN STANLEY 61747YFT7 Feb 2026 23,714,000 -111,000 $23.9M -2.9% 0.08% DBT
53 GOLDMAN SACHS GROUP INC 38141GB78 Feb 2026 24,219,000 -4,533,000 $23.9M -17.8% 0.08% DBT
54 META PLATFORMS INC 30303MAB8 Feb 2026 23,738,000 -10,048,000 $23.4M -31.2% 0.08% DBT
55 GOLDMAN SACHS GROUP INC 38145GAT7 Feb 2026 24,205,000 -24,949,000 $23.4M -52.2% 0.08% DBT
56 ORACLE CORP 68389XDY8 Feb 2026 23,672,000 -7,611,000 $23.3M -25.7% 0.08% DBT
57 AMGEN INC 031162CF5 Feb 2026 27,443,000 -5,825,000 $23.3M -19.9% 0.08% DBT
58 JPMORGAN CHASE & CO 46647PCC8 Feb 2026 25,699,000 -13,552,000 $23.2M -35.9% 0.08% DBT
59 CITIGROUP INC 172967MS7 Feb 2026 25,172,000 -5,762,000 $23.2M -19.9% 0.08% DBT
60 ORACLE CORP 68389XDH5 Feb 2026 23,754,000 -2,629,000 $23.0M -11.0% 0.08% DBT
61 JPMORGAN CHASE & CO 46647PEK8 Feb 2026 22,723,000 -2,823,000 $23.0M -13.4% 0.08% DBT
62 WELLS FARGO & COMPANY 95000U3H4 Feb 2026 21,152,000 -10,083,000 $22.9M -33.9% 0.08% DBT
63 MORGAN STANLEY 6174468L6 Feb 2026 24,570,000 -13,364,000 $22.9M -36.2% 0.08% DBT
64 GOLDMAN SACHS GROUP INC 38141GC51 Feb 2026 23,090,000 -353,000 $22.8M -4.2% 0.08% DBT
65 WELLS FARGO & COMPANY 95000U2Z5 Feb 2026 26,790,000 -2,482,000 $22.5M -10.7% 0.08% DBT
66 JPMORGAN CHASE & CO 46647PEH5 Feb 2026 21,559,000 -2,605,000 $22.4M -13.3% 0.08% DBT
67 CITIGROUP INC 172967QH7 Feb 2026 22,548,000 -2,428,000 $22.4M -11.8% 0.08% DBT
68 MORGAN STANLEY 61748UAS1 Feb 2026 22,709,000 -7,614,000 $22.3M -26.7% 0.07% DBT
69 MORGAN STANLEY 61747YFR1 Feb 2026 21,402,000 -4,758,000 $22.3M -20.2% 0.07% DBT
70 APPLE INC 037833BX7 Feb 2026 24,639,000 -7,089,000 $22.3M -24.5% 0.07% DBT
71 GOLDMAN SACHS GROUP INC 38141GGM0 Feb 2026 20,861,000 -5,515,000 $22.2M -23.0% 0.07% DBT
72 JPMORGAN CHASE & CO 46647PDY9 Feb 2026 20,650,000 -4,962,000 $22.1M -21.4% 0.07% DBT
73 BOEING CO 097023CV5 Feb 2026 21,401,000 -2,399,000 $21.8M -11.9% 0.07% DBT
74 MORGAN STANLEY 61747YGA7 Feb 2026 21,104,000 -1,555,000 $21.7M -9.1% 0.07% DBT
75 MORGAN STANLEY PVT BANK 61776NVG5 Feb 2026 21,765,000 -11,733,000 $21.7M -36.3% 0.07% DBT
76 COMCAST CORP 20030NDS7 Feb 2026 36,908,000 -4,137,000 $21.5M -13.0% 0.07% DBT
77 DEUTSCHE TELEKOM INT FIN 25156PAC7 Feb 2026 18,986,000 -5,625,000 $21.5M -25.6% 0.07% DBT
78 BROADCOM INC 11135FCT6 Feb 2026 23,762,000 -10,108,000 $21.4M -31.6% 0.07% DBT
79 ORACLE CORP 68389XDR3 Feb 2026 24,307,000 -3,521,000 $21.2M -13.2% 0.07% DBT
80 GOLDMAN SACHS GROUP INC 38141GB37 Feb 2026 21,104,000 -1,816,000 $21.2M -10.2% 0.07% DBT
81 MORGAN STANLEY 61747YEY7 Feb 2026 19,815,000 -4,564,000 $21.2M -20.9% 0.07% DBT
82 BROADCOM INC 11135FCY5 Feb 2026 21,749,000 -3,455,000 $21.1M -16.1% 0.07% DBT
83 BROADCOM INC 11135FBP5 Feb 2026 24,613,000 -7,303,000 $20.9M -25.0% 0.07% DBT
84 MORGAN STANLEY 61747YFV2 Feb 2026 21,546,000 -2,262,000 $20.8M -12.0% 0.07% DBT
85 META PLATFORMS INC 30303M8V7 Feb 2026 23,025,000 -1,778,000 $20.6M -12.2% 0.07% DBT
86 ABBOTT LABORATORIES 002824BT6 Feb 2026 21,117,000 -708,000 $20.6M -5.6% 0.07% DBT
87 BANK OF AMERICA CORP 06051GKD0 Feb 2026 23,043,000 -6,148,000 $20.6M -22.6% 0.07% DBT
88 WELLS FARGO & COMPANY 95000U3K7 Feb 2026 20,103,000 -6,662,000 $20.5M -26.7% 0.07% DBT
89 PFIZER INC 717081CY7 Feb 2026 17,473,000 -1,824,000 $20.4M -12.2% 0.07% DBT
90 ORACLE CORP 68389XDK8 Feb 2026 21,230,000 -3,724,000 $20.4M -16.3% 0.07% DBT
91 CITIGROUP INC 17327CAT0 Feb 2026 20,485,000 -6,569,000 $20.4M -25.5% 0.07% DBT
92 ORACLE CORP 68389XBX2 Feb 2026 32,315,000 -4,208,000 $20.2M -11.4% 0.07% DBT
93 BANK OF AMERICA CORP 06051GJW0 Feb 2026 26,042,000 -1,050,000 $20.1M -6.5% 0.07% DBT
94 GOLDMAN SACHS GROUP INC 38141GYN8 Feb 2026 22,616,000 -6,783,000 $20.1M -24.8% 0.07% DBT
95 PFIZER INVESTMENT ENTER 716973AF9 Feb 2026 21,175,000 -1,750,000 $20.1M -9.8% 0.07% DBT
96 CITIGROUP INC 172967PL9 Feb 2026 19,370,000 -35,000 $19.7M -2.5% 0.07% DBT
97 GOLDMAN SACHS GROUP INC 38141GC44 Feb 2026 19,369,000 -192,000 $19.7M -3.6% 0.07% DBT
98 WELLS FARGO & COMPANY 95000U2G7 Feb 2026 20,752,000 -1,822,000 $19.6M -9.3% 0.07% DBT
99 JPMORGAN CHASE & CO 46647PBX3 Feb 2026 22,212,000 -15,974,000 $19.6M -42.8% 0.07% DBT
100 CITIGROUP INC 172967MY4 Feb 2026 21,592,000 -9,296,000 $19.4M -31.2% 0.07% DBT
101 CITIGROUP INC 172967NN7 Feb 2026 20,605,000 -9,014,000 $19.4M -31.8% 0.07% DBT
102 MORGAN STANLEY 61747YFU4 Feb 2026 19,336,000 -5,792,000 $19.3M -24.5% 0.06% DBT
103 APPLE INC 037833AL4 Feb 2026 23,005,000 -5,156,000 $19.2M -20.7% 0.06% DBT
104 BANK OF AMERICA CORP 06051GJB6 Feb 2026 20,492,000 -6,887,000 $18.9M -26.3% 0.06% DBT
105 ORACLE CORP 68389XEC5 Feb 2026 19,771,000 -11,679,000 $18.9M -36.9% 0.06% DBT
106 BANK OF AMERICA CORP 06051GHZ5 Feb 2026 20,447,000 -13,888,000 $18.9M -41.3% 0.06% DBT
107 MORGAN STANLEY 61747YEH4 Feb 2026 21,315,000 -999,000 $18.9M -6.4% 0.06% DBT
108 JPMORGAN CHASE & CO 46647PFG6 Feb 2026 19,206,000 -3,088,000 $18.9M -15.7% 0.06% DBT
109 JPMORGAN CHASE & CO 46647PCR5 Feb 2026 21,011,000 -8,924,000 $18.7M -31.2% 0.06% DBT
110 GOLDMAN SACHS GROUP INC 38141GD35 Feb 2026 19,130,000 -10,627,000 $18.7M -37.1% 0.06% DBT
111 CITIGROUP INC 172967QF1 Feb 2026 18,850,000 -4,918,000 $18.6M -22.1% 0.06% DBT
112 GOLDMAN SACHS GROUP INC 38141GC93 Feb 2026 18,355,000 -3,095,000 $18.6M -16.0% 0.06% DBT
113 JPMORGAN CHASE & CO 46647PBL9 Feb 2026 19,975,000 -3,150,000 $18.4M -15.0% 0.06% DBT
114 ALPHABET INC 02079KAZ0 Feb 2026 18,855,000 -2,178,000 $18.4M -12.9% 0.06% DBT
115 MORGAN STANLEY 6174468P7 Feb 2026 19,123,000 -67,000 $18.4M -2.1% 0.06% DBT
116 HSBC HOLDINGS PLC 404280ER6 Feb 2026 18,159,000 -146,000 $18.3M -3.0% 0.06% DBT
117 CITIGROUP INC 172967PA3 Feb 2026 17,115,000 -6,513,000 $18.3M -29.4% 0.06% DBT
118 BRITISH TELECOMMUNICATIO 111021AE1 Feb 2026 15,366,000 -1,915,000 $18.3M -13.5% 0.06% DBT
119 BRISTOL-MYERS SQUIBB CO 110122EK0 Feb 2026 18,751,000 -3,387,000 $18.2M -16.9% 0.06% DBT
120 AMGEN INC 031162DU1 Feb 2026 18,836,000 -1,412,000 $18.2M -9.0% 0.06% DBT
121 CIGNA GROUP/THE 125523AK6 Feb 2026 20,776,000 -2,440,000 $18.2M -12.7% 0.06% DBT
122 BROADCOM INC 11135FBV2 Feb 2026 18,756,000 -229,000 $18.2M -4.1% 0.06% DBT
123 BROADCOM INC 11135FCQ2 Feb 2026 19,960,000 -9,470,000 $18.1M -33.3% 0.06% DBT
124 IBM CORP 459200KC4 Feb 2026 22,957,000 -2,027,000 $18.0M -10.9% 0.06% DBT
125 JPMORGAN CHASE & CO 46647PCE4 Feb 2026 26,018,000 -3,199,000 $18.0M -13.8% 0.06% DBT
126 HSBC HOLDINGS PLC 404280DH9 Feb 2026 17,666,000 -478,000 $17.9M -5.2% 0.06% DBT
127 GOLDMAN SACHS GROUP INC 38141GXR0 Feb 2026 20,402,000 -4,998,000 $17.9M -21.0% 0.06% DBT
128 MORGAN STANLEY 61747YFG5 Feb 2026 17,415,000 -2,152,000 $17.8M -13.1% 0.06% DBT
129 GOLDMAN SACHS GROUP INC 38141GA95 Feb 2026 16,985,000 -6,080,000 $17.7M -28.1% 0.06% DBT
130 BARCLAYS PLC 06738ECG8 Feb 2026 16,526,000 -5,000 $17.4M -2.5% 0.06% DBT
131 CITIGROUP INC 17327CBA0 Feb 2026 17,257,000 -523,000 $17.4M -5.1% 0.06% DBT
132 CITIGROUP INC 172967EW7 Feb 2026 13,912,000 -1,263,000 $17.4M -11.1% 0.06% DBT
133 HCA INC 404119CA5 Feb 2026 18,253,000 -2,511,000 $17.3M -13.8% 0.06% DBT
134 BANK OF AMERICA CORP 060505GQ1 Feb 2026 17,548,000 -8,870,000 $17.3M -35.0% 0.06% DBT
135 ORACLE CORP 68389XCK9 Feb 2026 17,563,000 -2,600,000 $17.3M -13.0% 0.06% DBT
136 JPMORGAN CHASE & CO 46647PER3 Feb 2026 17,467,000 -6,520,000 $17.2M -29.1% 0.06% DBT
137 BANK OF AMERICA CORP 06051GHS1 Feb 2026 20,884,000 -641,000 $17.2M -5.7% 0.06% DBT
138 ORANGE SA 35177PAL1 Feb 2026 14,675,000 -1,843,000 $17.2M -13.5% 0.06% DBT
139 EXXON MOBIL CORPORATION 30231GBG6 Feb 2026 20,517,000 -681,000 $17.2M -5.3% 0.06% DBT
140 ABBVIE INC 00287YAS8 Feb 2026 19,216,000 -222,000 $17.2M -3.7% 0.06% DBT
141 ORACLE CORP 68389XDP7 Feb 2026 19,172,000 -1,234,000 $17.1M -7.0% 0.06% DBT
142 CITIBANK NA 17325FBP2 Feb 2026 16,822,000 -703,000 $17.0M -5.9% 0.06% DBT
143 ABBOTT LABORATORIES 002824BV1 Feb 2026 17,644,000 -4,181,000 $17.0M -21.6% 0.06% DBT
144 MORGAN STANLEY 61748UAE2 Feb 2026 16,758,000 -3,130,000 $17.0M -17.4% 0.06% DBT
145 META PLATFORMS INC 30303M8W5 Feb 2026 19,158,000 -6,942,000 $17.0M -30.9% 0.06% DBT
146 WELLS FARGO & COMPANY 949746RF0 Feb 2026 17,444,000 -1,491,000 $16.8M -10.8% 0.06% DBT
147 AMAZON.COM INC 023135BF2 Feb 2026 18,658,000 -76,000 $16.8M -3.2% 0.06% DBT
148 CITIGROUP INC 17327CAQ6 Feb 2026 18,455,000 -8,747,000 $16.7M -33.4% 0.06% DBT
149 VERIZON COMMUNICATIONS 92343VHG2 Feb 2026 17,026,000 -15,566,000 $16.7M -49.0% 0.06% DBT
150 MORGAN STANLEY 6174468U6 Feb 2026 19,018,000 -12,107,000 $16.5M -40.0% 0.06% DBT
151 CITIBANK NA 17325FBG2 Feb 2026 15,705,000 -1,127,000 $16.3M -8.7% 0.05% DBT
152 ROGERS COMMUNICATIONS IN 775109DF5 Feb 2026 16,423,000 -562,000 $16.3M -5.8% 0.05% DBT
153 BROADCOM INC 11135FCM1 Feb 2026 16,243,000 -7,889,000 $16.3M -34.5% 0.05% DBT
154 SYNOPSYS INC 871607AE7 Feb 2026 16,337,000 -1,752,000 $16.3M -11.9% 0.05% DBT
155 AT&T INC 00206RKA9 Feb 2026 23,524,000 -2,249,000 $16.3M -11.9% 0.05% DBT
156 MORGAN STANLEY 617482V92 Feb 2026 14,911,000 -2,001,000 $16.2M -14.2% 0.05% DBT
157 COMCAST CORP 20030NDW8 Feb 2026 30,181,000 -2,173,000 $16.1M -10.4% 0.05% DBT
158 MORGAN STANLEY 61747YEL5 Feb 2026 17,910,000 -2,773,000 $16.1M -15.2% 0.05% DBT
159 BANK OF AMERICA CORP 59022CAJ2 Feb 2026 15,303,000 -285,000 $16.1M -4.2% 0.05% DBT
160 CITIGROUP INC 172967ML2 Feb 2026 17,308,000 -2,356,000 $16.1M -13.2% 0.05% DBT
161 JPMORGAN CHASE & CO 46647PDC7 Feb 2026 16,299,000 -3,643,000 $16.1M -20.2% 0.05% DBT
162 MORGAN STANLEY PVT BANK 61776NZW6 Feb 2026 16,276,000 -18,637,000 $16.0M -54.4% 0.05% DBT
163 ORACLE CORP 68389XCJ2 Feb 2026 15,462,000 -1,037,000 $16.0M -7.9% 0.05% DBT
164 ORACLE CORP 68389XBY0 Feb 2026 26,545,000 -974,000 $16.0M -4.4% 0.05% DBT
165 MORGAN STANLEY 61747YDY8 Feb 2026 19,001,000 -3,666,000 $16.0M -19.0% 0.05% DBT
166 AT&T INC 00206RCP5 Feb 2026 16,835,000 -2,266,000 $16.0M -13.9% 0.05% DBT
167 BANK OF AMERICA CORP 06051GJL4 Feb 2026 18,036,000 -5,887,000 $16.0M -25.8% 0.05% DBT
168 AT&T INC 00206RGQ9 Feb 2026 16,075,000 -2,633,000 $15.9M -15.6% 0.05% DBT
169 MORGAN STANLEY 61747YFZ3 Feb 2026 15,665,000 -3,533,000 $15.9M -20.0% 0.05% DBT
170 ORACLE CORP 68389XEA9 Feb 2026 16,403,000 -16,860,000 $15.8M -51.2% 0.05% DBT
171 ORACLE CORP 68389XBW4 Feb 2026 21,311,000 -3,570,000 $15.8M -15.5% 0.05% DBT
172 GILEAD SCIENCES INC 375558BD4 Feb 2026 17,566,000 -2,359,000 $15.8M -13.5% 0.05% DBT
173 AMAZON.COM INC 023135CY0 Feb 2026 16,651,000 -900,000 $15.8M -7.9% 0.05% DBT
174 HSBC HOLDINGS PLC 404280ES4 Feb 2026 15,616,000 -6,744,000 $15.7M -32.1% 0.05% DBT
175 CHARTER COMM OPT LLC/CAP 161175BT0 Feb 2026 21,115,000 -1,628,000 $15.7M -10.0% 0.05% DBT
176 JPMORGAN CHASE & CO 46647PES1 Feb 2026 15,722,000 -3,475,000 $15.6M -20.3% 0.05% DBT
177 ORACLE CORP 68389XBV6 Feb 2026 16,870,000 -9,422,000 $15.6M -36.3% 0.05% DBT
178 WELLS FARGO & COMPANY 95000U3P6 Feb 2026 15,151,000 -4,129,000 $15.4M -23.0% 0.05% DBT
179 SHELL FINANCE US INC 822905AA3 Feb 2026 17,884,000 -2,330,000 $15.3M -13.7% 0.05% DBT
180 PHILIP MORRIS INTL INC 718172DB2 Feb 2026 14,834,000 -360,000 $15.3M -4.6% 0.05% DBT
181 CITIGROUP INC 172967NU1 Feb 2026 15,321,000 -9,847,000 $15.3M -40.5% 0.05% DBT
182 ALPHABET INC 02079KBK2 Feb 2026 15,482,000 -5,408,000 $15.3M -27.3% 0.05% DBT
183 ORACLE CORP 68389XCA1 Feb 2026 23,157,000 -5,554,000 $15.2M -19.3% 0.05% DBT
184 NOVARTIS CAPITAL CORP 66989HAR9 Feb 2026 16,508,000 -3,027,000 $15.1M -17.1% 0.05% DBT
185 GOLDMAN SACHS GROUP INC 38141GB29 Feb 2026 14,951,000 -11,202,000 $15.1M -43.7% 0.05% DBT
186 JPMORGAN CHASE & CO 46647PEQ5 Feb 2026 14,952,000 -7,168,000 $14.9M -33.7% 0.05% DBT
187 HSBC HOLDINGS PLC 404280FG9 Feb 2026 15,161,000 -5,139,000 $14.9M -27.2% 0.05% DBT
188 VERIZON COMMUNICATIONS 92343VGZ1 Feb 2026 14,817,000 -3,015,000 $14.9M -18.8% 0.05% DBT
189 ORACLE CORP 68389XBJ3 Feb 2026 21,398,000 -5,471,000 $14.9M -20.6% 0.05% DBT
190 BROADCOM INC 11135FCR0 Feb 2026 17,028,000 -11,171,000 $14.8M -40.9% 0.05% DBT
191 FORD MOTOR COMPANY 345370DA5 Feb 2026 16,684,000 -4,374,000 $14.8M -21.8% 0.05% DBT
192 CITIGROUP INC 17327CAY9 Feb 2026 15,075,000 -3,039,000 $14.8M -18.8% 0.05% DBT
193 BROADCOM INC 11135FCU3 Feb 2026 16,161,000 -11,353,000 $14.7M -42.7% 0.05% DBT
194 HP ENTERPRISE CO 42824CBV0 Feb 2026 15,024,000 -445,000 $14.7M -3.8% 0.05% DBT
195 AT&T INC 00206RJY9 Feb 2026 16,141,000 -3,704,000 $14.7M -20.3% 0.05% DBT
196 MICROSOFT CORP 594918CD4 Feb 2026 26,143,000 -6,587,000 $14.7M -22.6% 0.05% DBT
197 CATERPILLAR INC 149123CL3 Feb 2026 14,320,000 -669,000 $14.6M -6.9% 0.05% DBT
198 BANK OF AMERICA CORP 06051GFC8 Feb 2026 15,501,000 -1,071,000 $14.6M -9.7% 0.05% DBT
199 GE HEALTHCARE TECH INC 36267VAK9 Feb 2026 13,793,000 -1,446,000 $14.6M -11.8% 0.05% DBT
200 VERIZON COMMUNICATIONS 92343VGY4 Feb 2026 14,956,000 -6,157,000 $14.5M -30.8% 0.05% DBT
201 HSBC HOLDINGS PLC 404280EX3 Feb 2026 14,062,000 -4,803,000 $14.5M -27.5% 0.05% DBT
202 VERIZON COMMUNICATIONS 92343VEU4 Feb 2026 14,703,000 -7,175,000 $14.5M -33.8% 0.05% DBT
203 REYNOLDS AMERICAN INC 761713BB1 Feb 2026 14,739,000 -726,000 $14.5M -6.4% 0.05% DBT
204 VERIZON COMMUNICATIONS 92343VCK8 Feb 2026 16,432,000 -3,273,000 $14.4M -18.6% 0.05% DBT
205 ABBOTT LABORATORIES 002824BX7 Feb 2026 14,791,000 -7,034,000 $14.4M -34.0% 0.05% DBT
206 WELLS FARGO & COMPANY 95000U3N1 Feb 2026 14,364,000 -6,974,000 $14.4M -34.3% 0.05% DBT
207 CHARTER COMM OPT LLC/CAP 161175BL7 Feb 2026 17,779,000 -2,612,000 $14.3M -15.5% 0.05% DBT
208 BARCLAYS PLC 06738ECE3 Feb 2026 12,747,000 -5,829,000 $14.3M -33.1% 0.05% DBT
209 AMAZON.COM INC 023135BS4 Feb 2026 15,916,000 -425,000 $14.2M -3.9% 0.05% DBT
210 CITIGROUP INC 17308CC53 Feb 2026 15,025,000 -9,819,000 $14.2M -40.3% 0.05% DBT
211 CHARTER COMM OPT LLC/CAP 161175BN3 Feb 2026 16,877,000 -1,657,000 $14.2M -11.9% 0.05% DBT
212 KROGER CO 501044DW8 Feb 2026 15,118,000 -952,000 $14.2M -8.5% 0.05% DBT
213 EXXON MOBIL CORPORATION 30231GBM3 Feb 2026 19,793,000 -5,658,000 $14.2M -24.1% 0.05% DBT
214 EXXON MOBIL CORPORATION 30231GBF8 Feb 2026 15,674,000 -1,130,000 $14.2M -9.3% 0.05% DBT
215 BANK OF AMERICA CORP 06051GGG8 Feb 2026 16,640,000 -382,000 $14.2M -5.0% 0.05% DBT
216 BANK OF AMERICA CORP 06051GHV4 Feb 2026 14,646,000 -7,713,000 $14.0M -35.5% 0.05% DBT
217 AT&T INC 00206RJZ6 Feb 2026 18,041,000 -5,067,000 $14.0M -24.5% 0.05% DBT
218 WELLS FARGO & COMPANY 94974BGK0 Feb 2026 17,610,000 -820,000 $14.0M -7.4% 0.05% DBT
219 ABBVIE INC 00287YAW9 Feb 2026 16,217,000 -3,401,000 $13.9M -19.5% 0.05% DBT
220 BANK OF AMERICA CORP 06051GHX0 Feb 2026 14,739,000 -5,819,000 $13.9M -29.2% 0.05% DBT
221 VODAFONE GROUP PLC 92857WCA6 Feb 2026 14,549,000 -1,337,000 $13.9M -11.1% 0.05% DBT
222 OCCIDENTAL PETROLEUM COR 674599DF9 Feb 2026 12,793,000 -871,000 $13.9M -6.7% 0.05% DBT
223 AMGEN INC 031162BZ2 Feb 2026 16,376,000 -3,434,000 $13.9M -20.0% 0.05% DBT
224 PNC FINANCIAL SERVICES 693475AZ8 Feb 2026 14,819,000 -321,000 $13.8M -3.6% 0.05% DBT
225 CISCO SYSTEMS INC 17275RAF9 Feb 2026 13,485,000 -458,000 $13.8M -5.8% 0.05% DBT
226 HSBC HOLDINGS PLC 404280EN5 Feb 2026 13,550,000 -5,435,000 $13.7M -30.1% 0.05% DBT
227 ALPHABET INC 02079KAW7 Feb 2026 13,841,000 -5,734,000 $13.7M -30.6% 0.05% DBT
228 T-MOBILE USA INC 87264ABN4 Feb 2026 20,698,000 -2,583,000 $13.7M -13.6% 0.05% DBT
229 BERKSHIRE HATHAWAY FIN 084664DB4 Feb 2026 17,956,000 -2,927,000 $13.7M -15.7% 0.05% DBT
230 JPMORGAN CHASE & CO 46647PEJ1 Feb 2026 13,462,000 -10,834,000 $13.6M -45.7% 0.05% DBT
231 T-MOBILE USA INC 87264ACT0 Feb 2026 20,459,000 -2,641,000 $13.6M -13.8% 0.05% DBT
232 ORACLE CORP 68389XCE3 Feb 2026 15,092,000 -4,146,000 $13.5M -22.6% 0.05% DBT
233 HSBC HOLDINGS PLC 404280CC1 Feb 2026 13,757,000 -400,000 $13.5M -4.3% 0.05% DBT
234 UNITEDHEALTH GROUP INC 91324PES7 Feb 2026 13,425,000 -1,656,000 $13.5M -12.1% 0.05% DBT
235 COMCAST CORP 20030NBH3 Feb 2026 13,974,000 -98,000 $13.5M -3.4% 0.05% DBT
236 RTX CORP 75513ECX7 Feb 2026 12,273,000 -1,863,000 $13.4M -15.2% 0.04% DBT
237 ORACLE CORP 68389XCQ6 Feb 2026 16,136,000 -3,172,000 $13.4M -16.5% 0.04% DBT
238 T-MOBILE USA INC 87264ABW4 Feb 2026 14,047,000 -4,796,000 $13.3M -26.9% 0.04% DBT
239 ORACLE CORP 68389XAM7 Feb 2026 14,745,000 -1,151,000 $13.2M -8.9% 0.04% DBT
240 AMAZON.COM INC 023135CH7 Feb 2026 13,882,000 -9,328,000 $13.2M -41.5% 0.04% DBT
241 ORACLE CORP 68389XCT0 Feb 2026 14,205,000 -541,000 $13.2M -4.4% 0.04% DBT
242 BARCLAYS PLC 06738ECV5 Feb 2026 13,281,000 -3,248,000 $13.2M -21.8% 0.04% DBT
243 CVS HEALTH CORP 126650EK2 Feb 2026 13,044,000 -175,000 $13.2M -3.3% 0.04% DBT
244 MORGAN STANLEY 61744YAL2 Feb 2026 14,986,000 -5,706,000 $13.2M -29.9% 0.04% DBT
245 MORGAN STANLEY 61746BEG7 Feb 2026 15,670,000 -5,211,000 $13.1M -27.6% 0.04% DBT
246 ORACLE CORP 68389XDA0 Feb 2026 13,545,000 -132,000 $13.1M -2.6% 0.04% DBT
247 JPMORGAN CHASE & CO 46647PAA4 Feb 2026 15,829,000 -2,314,000 $13.1M -16.0% 0.04% DBT
248 ORACLE CORP 68389XCZ6 Feb 2026 13,208,000 -1,371,000 $13.1M -10.5% 0.04% DBT
249 AON NORTH AMERICA INC 03740MAF7 Feb 2026 13,341,000 -2,324,000 $13.1M -15.6% 0.04% DBT
250 BANCO SANTANDER SA 05964HBG9 Feb 2026 12,715,000 -413,000 $13.1M -5.8% 0.04% DBT
251 ONEOK INC 682680BN2 Feb 2026 12,439,000 -1,712,000 $13.1M -12.7% 0.04% DBT
252 BROADCOM INC 11135FCS8 Feb 2026 17,467,000 -949,000 $13.1M -7.8% 0.04% DBT
253 MORGAN STANLEY 6174468N2 Feb 2026 13,250,000 -474,000 $13.0M -6.3% 0.04% DBT
254 WALT DISNEY COMPANY/THE 254687FZ4 Feb 2026 17,761,000 -456,000 $13.0M -5.1% 0.04% DBT
255 BANK OF AMERICA CORP 06051GMW6 Feb 2026 12,730,000 -9,341,000 $13.0M -43.8% 0.04% DBT
256 APPLE INC 037833DW7 Feb 2026 20,999,000 -1,850,000 $13.0M -10.6% 0.04% DBT
257 BROADCOM INC 11135FCB5 Feb 2026 13,046,000 -174,000 $13.0M -3.1% 0.04% DBT
258 UNITEDHEALTH GROUP INC 91324PER9 Feb 2026 12,592,000 -2,859,000 $13.0M -20.1% 0.04% DBT
259 AT&T INC 00206RKH4 Feb 2026 14,822,000 -3,478,000 $13.0M -20.7% 0.04% DBT
260 MORGAN STANLEY 61747YFS9 Feb 2026 12,830,000 -584,000 $12.9M -6.0% 0.04% DBT
261 HCA INC 404119BZ1 Feb 2026 14,501,000 -1,201,000 $12.9M -9.8% 0.04% DBT
262 GOLDMAN SACHS GROUP INC 38148LAF3 Feb 2026 14,125,000 -811,000 $12.9M -8.4% 0.04% DBT
263 TOTALENERGIES CAP INTL 89153VAV1 Feb 2026 19,161,000 -775,000 $12.8M -6.0% 0.04% DBT
264 BROADCOM INC 11135FCX7 Feb 2026 13,300,000 -4,211,000 $12.8M -26.3% 0.04% DBT
265 UNITEDHEALTH GROUP INC 91324PFM9 Feb 2026 13,211,000 -581,000 $12.8M -5.6% 0.04% DBT
266 HSBC HOLDINGS PLC 404280DV8 Feb 2026 11,943,000 -8,594,000 $12.7M -43.4% 0.04% DBT
267 AMAZON.COM INC 023135AQ9 Feb 2026 13,412,000 -2,176,000 $12.6M -16.4% 0.04% DBT
268 ALPHABET INC 02079KAM9 Feb 2026 13,351,000 -575,000 $12.6M -7.0% 0.04% DBT
269 HALLIBURTON CO 406216BK6 Feb 2026 13,849,000 -650,000 $12.6M -5.5% 0.04% DBT
270 WELLS FARGO & COMPANY 95000U4F7 Feb 2026 13,069,000 -23,118,000 $12.6M -65.0% 0.04% DBT
271 ENERGY TRANSFER LP 29279FAA7 Feb 2026 12,508,000 -1,162,000 $12.5M -9.1% 0.04% DBT
272 HCA INC 404119CT4 Feb 2026 12,248,000 -404,000 $12.5M -5.4% 0.04% DBT
273 AMAZON.COM INC 023135BM7 Feb 2026 15,927,000 -3,672,000 $12.5M -20.9% 0.04% DBT
274 HCA INC 404119DB2 Feb 2026 12,134,000 -128,000 $12.5M -3.9% 0.04% DBT
275 WELLS FARGO & COMPANY 94974BGU8 Feb 2026 14,613,000 -1,814,000 $12.4M -14.7% 0.04% DBT
276 ALPHABET INC 02079KBQ9 Feb 2026 12,533,000 -3,885,000 $12.4M -25.6% 0.04% DBT
277 JBS NV/USA FOODS/FOOD CO 46590XAY2 Feb 2026 12,084,000 -2,145,000 $12.4M -16.9% 0.04% DBT
278 GOLDMAN SACHS GROUP INC 38141GXH2 Feb 2026 12,786,000 -10,468,000 $12.4M -46.1% 0.04% DBT
279 JPMORGAN CHASE & CO 46625HJB7 Feb 2026 12,201,000 -4,057,000 $12.4M -27.3% 0.04% DBT
280 ANHEUSER-BUSCH INBEV WOR 03523TBF4 Feb 2026 9,825,000 -280,000 $12.4M -6.0% 0.04% DBT
281 GLOBAL PAYMENTS INC 37940XAY8 Feb 2026 12,701,000 -1,997,000 $12.4M -15.3% 0.04% DBT
282 UNITEDHEALTH GROUP INC 91324PEF5 Feb 2026 18,331,000 -106,000 $12.3M -2.2% 0.04% DBT
283 TOTALENERGIES CAPITAL SA 89157XAB7 Feb 2026 12,665,000 -222,000 $12.3M -3.4% 0.04% DBT
284 SUMITOMO MITSUI FINL GRP 86562MCB4 Feb 2026 13,583,000 -4,765,000 $12.3M -27.3% 0.04% DBT
285 CIGNA GROUP/THE 125523AJ9 Feb 2026 12,862,000 -5,754,000 $12.2M -32.4% 0.04% DBT
286 MITSUBISHI UFJ FIN GRP 606822DL5 Feb 2026 11,808,000 -2,316,000 $12.1M -18.5% 0.04% DBT
287 CVS HEALTH CORP 126650DU1 Feb 2026 11,949,000 -4,021,000 $12.1M -26.8% 0.04% DBT
288 KINDER MORGAN INC 49456BAX9 Feb 2026 11,928,000 -813,000 $12.1M -8.6% 0.04% DBT
289 T-MOBILE USA INC 87264ACB9 Feb 2026 13,332,000 -2,764,000 $12.1M -18.5% 0.04% DBT
290 BAT CAPITAL CORP 05526DBF1 Feb 2026 14,677,000 -2,398,000 $12.1M -16.1% 0.04% DBT
291 ENERGY TRANSFER LP 29278NAR4 Feb 2026 14,180,000 -929,000 $12.1M -6.3% 0.04% DBT
292 BANK OF AMERICA CORP 06051GGM5 Feb 2026 13,184,000 -4,315,000 $12.1M -26.4% 0.04% DBT
293 WELLS FARGO & COMPANY 95000U4B6 Feb 2026 12,353,000 -6,712,000 $12.1M -36.8% 0.04% DBT
294 VERIZON COMMUNICATIONS 92343VFU3 Feb 2026 19,542,000 -8,240,000 $12.1M -31.3% 0.04% DBT
295 LOWE'S COS INC 548661EA1 Feb 2026 13,214,000 -1,229,000 $12.1M -10.0% 0.04% DBT
296 BARCLAYS PLC 06738ECL7 Feb 2026 11,121,000 -1,517,000 $12.0M -14.2% 0.04% DBT
297 ROYAL BANK OF CANADA 78016EYH4 Feb 2026 13,463,000 -1,305,000 $12.0M -10.6% 0.04% DBT
298 APPLE INC 037833EQ9 Feb 2026 15,317,000 -1,236,000 $12.0M -10.4% 0.04% DBT
299 ONEOK INC 682680CE1 Feb 2026 12,128,000 -921,000 $11.9M -8.7% 0.04% DBT
300 BERKSHIRE HATHAWAY FIN 084664CQ2 Feb 2026 14,494,000 -554,000 $11.9M -5.8% 0.04% DBT
301 NORTHROP GRUMMAN CORP 666807BP6 Feb 2026 14,914,000 -4,074,000 $11.9M -23.9% 0.04% DBT
302 BOEING CO/THE 097023DU6 Feb 2026 10,377,000 -2,690,000 $11.9M -21.9% 0.04% DBT
303 CITIGROUP INC 172967QA2 Feb 2026 11,768,000 -6,090,000 $11.8M -35.3% 0.04% DBT
304 AMPHENOL CORP 032095BA8 Feb 2026 12,263,000 -2,116,000 $11.8M -17.1% 0.04% DBT
305 HALEON US CAPITAL LLC 36264FAM3 Feb 2026 12,507,000 -2,070,000 $11.7M -16.4% 0.04% DBT
306 ALTRIA GROUP INC 02209SAR4 Feb 2026 12,545,000 -2,356,000 $11.7M -18.6% 0.04% DBT
307 TIME WARNER CABLE LLC 88732JAJ7 Feb 2026 11,731,000 -2,998,000 $11.7M -22.9% 0.04% DBT
308 PACIFIC GAS & ELECTRIC 694308JQ1 Feb 2026 13,589,000 -2,182,000 $11.7M -16.4% 0.04% DBT
309 BANK OF AMERICA CORP 06051GJF7 Feb 2026 13,111,000 -11,814,000 $11.7M -48.2% 0.04% DBT
310 UNITEDHEALTH GROUP INC 91324PFC1 Feb 2026 12,508,000 -2,145,000 $11.7M -16.0% 0.04% DBT
311 PNC FINANCIAL SERVICES 693475CC7 Feb 2026 11,410,000 -904,000 $11.7M -9.8% 0.04% DBT
312 INTEL CORP 458140BH2 Feb 2026 12,538,000 -1,283,000 $11.7M -10.4% 0.04% DBT
313 GOLDMAN SACHS GROUP INC 38141EC31 Feb 2026 12,998,000 -2,252,000 $11.7M -17.2% 0.04% DBT
314 FORD MOTOR CREDIT CO LLC 345397B36 Feb 2026 12,313,000 -4,376,000 $11.6M -27.3% 0.04% DBT
315 T-MOBILE USA INC 87264ACW3 Feb 2026 12,195,000 -1,573,000 $11.6M -13.9% 0.04% DBT
316 RTX CORP 75513ECS8 Feb 2026 12,194,000 -522,000 $11.6M -6.5% 0.04% DBT
317 JPMORGAN CHASE & CO 48126BAA1 Feb 2026 11,639,000 -2,016,000 $11.5M -17.3% 0.04% DBT
318 ORACLE CORP 68389XCP8 Feb 2026 12,010,000 -548,000 $11.5M -5.9% 0.04% DBT
319 JPMORGAN CHASE & CO 46647PCD6 Feb 2026 15,121,000 -274,000 $11.5M -4.5% 0.04% DBT
320 PACIFIC GAS & ELECTRIC 694308KH9 Feb 2026 10,943,000 -72,000 $11.5M -3.3% 0.04% DBT
321 UNITEDHEALTH GROUP INC 91324PCR1 Feb 2026 12,951,000 -5,748,000 $11.5M -32.1% 0.04% DBT
322 UNITEDHEALTH GROUP INC 91324PEW8 Feb 2026 12,837,000 -5,049,000 $11.5M -29.3% 0.04% DBT
323 VERIZON COMMUNICATIONS 92343VCQ5 Feb 2026 12,035,000 -2,261,000 $11.5M -18.1% 0.04% DBT
324 UNITEDHEALTH GROUP INC 91324PEK4 Feb 2026 13,375,000 -2,706,000 $11.5M -18.1% 0.04% DBT
325 JBS NV/USA FOODS/FOOD CO 46590XAX4 Feb 2026 11,311,000 -2,307,000 $11.4M -20.4% 0.04% DBT
326 WESTERN MIDSTREAM OPERAT 958667AC1 Feb 2026 11,721,000 -415,000 $11.4M -5.0% 0.04% DBT
327 UNITEDHEALTH GROUP INC 91324PEX6 Feb 2026 12,798,000 -864,000 $11.4M -7.9% 0.04% DBT
328 BP CAP MARKETS AMERICA 10373QCA6 Feb 2026 11,173,000 -1,334,000 $11.4M -13.0% 0.04% DBT
329 ALPHABET INC 02079KAF4 Feb 2026 21,160,000 -2,458,000 $11.4M -12.8% 0.04% DBT
330 ENTERPRISE PRODUCTS OPER 29379VCL5 Feb 2026 11,280,000 -6,021,000 $11.3M -36.3% 0.04% DBT
331 WALT DISNEY COMPANY/THE 254687EH5 Feb 2026 10,064,000 -774,000 $11.3M -9.4% 0.04% DBT
332 ROGERS COMMUNICATIONS IN 775109CH2 Feb 2026 12,111,000 -10,613,000 $11.3M -47.8% 0.04% DBT
333 RIO TINTO FIN USA PLC 76720AAT3 Feb 2026 11,159,000 -1,911,000 $11.3M -16.7% 0.04% DBT
334 UNITEDHEALTH GROUP INC 91324PEV0 Feb 2026 11,569,000 -6,773,000 $11.3M -38.3% 0.04% DBT
335 GOLDMAN SACHS GROUP INC 38141GVS0 Feb 2026 12,793,000 -3,789,000 $11.3M -24.8% 0.04% DBT
336 ONEOK INC 682680CF8 Feb 2026 12,118,000 -615,000 $11.3M -5.8% 0.04% DBT
337 ENERGY TRANSFER LP 29278NAQ6 Feb 2026 11,662,000 -1,497,000 $11.3M -12.9% 0.04% DBT
338 ALPHABET INC 02079KBN6 Feb 2026 11,373,000 -9,471,000 $11.3M -46.9% 0.04% DBT
339 HSBC HOLDINGS PLC 404280CY3 Feb 2026 12,522,000 -3,393,000 $11.3M -23.0% 0.04% DBT
340 INTEL CORP 458140BG4 Feb 2026 15,548,000 -1,111,000 $11.2M -6.7% 0.04% DBT
341 NEXTERA ENERGY CAPITAL 65339KBR0 Feb 2026 12,295,000 -2,581,000 $11.2M -18.7% 0.04% DBT
342 BRISTOL-MYERS SQUIBB CO 110122DW5 Feb 2026 15,347,000 -6,990,000 $11.2M -32.8% 0.04% DBT
343 ANHEUSER-BUSCH INBEV WOR 035240AV2 Feb 2026 11,584,000 -3,074,000 $11.2M -22.4% 0.04% DBT
344 CVS HEALTH CORP 126650DY3 Feb 2026 11,038,000 -1,446,000 $11.2M -13.5% 0.04% DBT
345 US BANCORP 91159HJR2 Feb 2026 10,808,000 -2,056,000 $11.2M -18.2% 0.04% DBT
346 AMAZON.COM INC 023135CU8 Feb 2026 11,356,000 -1,980,000 $11.1M -17.2% 0.04% DBT
347 GILEAD SCIENCES INC 375558BA0 Feb 2026 12,731,000 -1,131,000 $11.1M -10.3% 0.04% DBT
348 AMGEN INC 031162CS7 Feb 2026 15,749,000 -2,083,000 $11.1M -14.5% 0.04% DBT
349 ORACLE CORP 68389XDB8 Feb 2026 12,707,000 -3,172,000 $11.1M -20.3% 0.04% DBT
350 WELLS FARGO & COMPANY 94974BGQ7 Feb 2026 12,733,000 -1,271,000 $11.1M -12.4% 0.04% DBT
351 GOLDMAN SACHS GROUP INC 38141GYC2 Feb 2026 14,705,000 -4,261,000 $11.1M -24.2% 0.04% DBT
352 JPMORGAN CHASE & CO 46647PFD3 Feb 2026 11,299,000 -6,113,000 $11.1M -36.5% 0.04% DBT
353 PAYCHEX INC 704326AA5 Feb 2026 10,932,000 -4,390,000 $11.1M -29.3% 0.04% DBT
354 PHILLIPS 66 718546AL8 Feb 2026 12,409,000 -144,000 $11.0M -2.3% 0.04% DBT
355 VERIZON COMMUNICATIONS 92343VHH0 Feb 2026 11,222,000 -8,801,000 $11.0M -45.4% 0.04% DBT
356 BROADCOM INC 11135FBY6 Feb 2026 10,809,000 -1,436,000 $11.0M -13.8% 0.04% DBT
357 AMAZON.COM INC 023135CT1 Feb 2026 11,186,000 -13,168,000 $11.0M -55.0% 0.04% DBT
358 BERKSHIRE HATHAWAY FIN 084664CR0 Feb 2026 13,362,000 -2,872,000 $11.0M -19.6% 0.04% DBT
359 BOSTON PROPERTIES LP 10112RBD5 Feb 2026 11,848,000 -136,000 $11.0M -2.5% 0.04% DBT
360 COCA-COLA CO/THE 191216DT4 Feb 2026 11,426,000 -2,387,000 $11.0M -19.5% 0.04% DBT
361 AT&T INC 00206RNC2 Feb 2026 11,261,000 -3,513,000 $11.0M -25.7% 0.04% DBT
362 FORD MOTOR CREDIT CO LLC 345397E66 Feb 2026 10,837,000 -1,642,000 $11.0M -14.8% 0.04% DBT
363 WALT DISNEY COMPANY/THE 254687FY7 Feb 2026 13,365,000 -3,404,000 $11.0M -22.8% 0.04% DBT
364 UNITEDHEALTH GROUP INC 91324PEJ7 Feb 2026 11,238,000 -1,747,000 $10.9M -15.5% 0.04% DBT
365 ORACLE CORP 68389XCH6 Feb 2026 10,558,000 -966,000 $10.9M -9.3% 0.04% DBT
366 TIME WARNER CABLE LLC 88732JAN8 Feb 2026 10,477,000 -533,000 $10.9M -8.4% 0.04% DBT
367 PFIZER INC 717081FD0 Feb 2026 11,011,000 -532,000 $10.9M -6.5% 0.04% DBT
368 WELLS FARGO & COMPANY 94974BGT1 Feb 2026 13,385,000 -3,552,000 $10.9M -23.8% 0.04% DBT
369 UNITEDHEALTH GROUP INC 91324PFK3 Feb 2026 11,093,000 -4,234,000 $10.9M -28.8% 0.04% DBT
370 PACIFIC GAS & ELECTRIC 694308JG3 Feb 2026 12,069,000 -2,172,000 $10.8M -16.8% 0.04% DBT
371 JEFFERIES FIN GROUP INC 47233WEJ4 Feb 2026 10,463,000 -3,792,000 $10.8M -27.5% 0.04% DBT
372 HUMANA INC 444859CA8 Feb 2026 10,613,000 -180,000 $10.8M -3.1% 0.04% DBT
373 SHELL FINANCE US INC 822905AE5 Feb 2026 13,442,000 -2,025,000 $10.8M -15.8% 0.04% DBT
374 ORACLE CORP 68389XBZ7 Feb 2026 14,684,000 -4,522,000 $10.7M -24.8% 0.04% DBT
375 HCA INC 404119BV0 Feb 2026 11,593,000 -1,652,000 $10.7M -15.1% 0.04% DBT
376 META PLATFORMS INC 30303M8R6 Feb 2026 11,665,000 -7,022,000 $10.7M -40.9% 0.04% DBT
377 GILEAD SCIENCES INC 375558AX1 Feb 2026 11,753,000 -3,757,000 $10.7M -26.0% 0.04% DBT
378 PFIZER INC 717081FE8 Feb 2026 10,855,000 -4,086,000 $10.7M -29.4% 0.04% DBT
379 IBM CORP 459200KA8 Feb 2026 10,988,000 -12,180,000 $10.7M -53.1% 0.04% DBT
380 AMAZON.COM INC 023135CA2 Feb 2026 14,373,000 -5,731,000 $10.7M -30.7% 0.04% DBT
381 KRAFT HEINZ FOODS CO 50077LAM8 Feb 2026 12,049,000 -4,462,000 $10.7M -29.2% 0.04% DBT
382 COMCAST CORP 20030NCM1 Feb 2026 12,976,000 -2,013,000 $10.7M -16.5% 0.04% DBT
383 PNC FINANCIAL SERVICES 693475CD5 Feb 2026 10,609,000 -589,000 $10.7M -7.1% 0.04% DBT
384 GLOBAL PAYMENTS INC 37940XAW2 Feb 2026 10,873,000 -3,736,000 $10.7M -26.7% 0.04% DBT
385 SOUTHERN CO 842587CX3 Feb 2026 12,788,000 -2,327,000 $10.7M -17.3% 0.04% DBT
386 UNITEDHEALTH GROUP INC 91324PFH0 Feb 2026 10,567,000 -2,356,000 $10.7M -20.0% 0.04% DBT
387 PFIZER INC 717081EW9 Feb 2026 11,383,000 -3,435,000 $10.7M -24.4% 0.04% DBT
388 VERIZON COMMUNICATIONS 92343VEA8 Feb 2026 10,936,000 -8,425,000 $10.6M -45.0% 0.04% DBT
389 RIO TINTO FIN USA PLC 76720AAS5 Feb 2026 10,500,000 -4,814,000 $10.6M -32.8% 0.04% DBT
390 GOLDMAN SACHS GROUP INC 38141GZN7 Feb 2026 13,891,000 -1,444,000 $10.6M -11.8% 0.04% DBT
391 GOLDMAN SACHS GROUP INC 38141GYK4 Feb 2026 14,710,000 -263,000 $10.6M -4.0% 0.04% DBT
392 PHILLIPS 66 718546AH7 Feb 2026 10,532,000 -1,332,000 $10.6M -13.0% 0.04% DBT
393 COMCAST CORP 20030NCC3 Feb 2026 14,232,000 -3,173,000 $10.6M -21.1% 0.04% DBT
394 VERIZON COMMUNICATIONS 92343VFR0 Feb 2026 11,960,000 -3,623,000 $10.6M -24.2% 0.04% DBT
395 ORACLE CORP 68389XBF1 Feb 2026 14,809,000 -3,041,000 $10.5M -18.1% 0.04% DBT
396 ELI LILLY & CO 532457CM8 Feb 2026 11,424,000 -2,126,000 $10.5M -17.2% 0.04% DBT
397 RIO TINTO FIN USA PLC 76720AAU0 Feb 2026 10,325,000 -3,165,000 $10.5M -25.2% 0.04% DBT
398 BP CAP MARKETS AMERICA 10373QBP4 Feb 2026 16,457,000 -1,571,000 $10.5M -11.0% 0.04% DBT
399 CHARTER COMM OPT LLC/CAP 161175CA0 Feb 2026 16,419,000 -2,804,000 $10.5M -17.1% 0.04% DBT
400 SYNOPSYS INC 871607AD9 Feb 2026 10,386,000 -2,242,000 $10.4M -19.7% 0.04% DBT
401 HSBC HOLDINGS PLC 404280EE5 Feb 2026 10,137,000 -4,876,000 $10.4M -34.6% 0.04% DBT
402 ORACLE CORP 68389XCU7 Feb 2026 13,020,000 -3,432,000 $10.4M -21.5% 0.04% DBT
403 MORGAN STANLEY 61747YEU5 Feb 2026 10,461,000 -9,437,000 $10.4M -48.6% 0.04% DBT
404 TRANSCANADA PIPELINES 8935268Z9 Feb 2026 8,810,000 -1,512,000 $10.4M -16.9% 0.03% DBT
405 HCA INC 404119CU1 Feb 2026 10,153,000 -800,000 $10.4M -9.7% 0.03% DBT
406 US BANCORP 91159HJA9 Feb 2026 11,796,000 -2,826,000 $10.4M -20.6% 0.03% DBT
407 LOCKHEED MARTIN CORP 539830BN8 Feb 2026 13,223,000 -2,311,000 $10.4M -17.7% 0.03% DBT
408 T-MOBILE USA INC 87264ADF9 Feb 2026 10,285,000 -680,000 $10.4M -8.5% 0.03% DBT
409 GENERAL MOTORS FINL CO 37045XEP7 Feb 2026 9,893,000 -3,151,000 $10.4M -25.8% 0.03% DBT
410 BP CAP MARKETS AMERICA 10373QBG4 Feb 2026 15,838,000 -3,116,000 $10.3M -18.3% 0.03% DBT
411 ELI LILLY & CO 532457DE5 Feb 2026 10,335,000 -1,809,000 $10.3M -16.9% 0.03% DBT
412 AT&T INC 00206RNB4 Feb 2026 10,509,000 -209,000 $10.3M -4.2% 0.03% DBT
413 ABBOTT LABORATORIES 002824BS8 Feb 2026 10,556,000 -11,269,000 $10.3M -52.7% 0.03% DBT
414 COMCAST CORP 20030NBM2 Feb 2026 10,956,000 -556,000 $10.3M -7.7% 0.03% DBT
415 ORACLE CORP 68389XBP9 Feb 2026 12,673,000 -2,508,000 $10.3M -17.4% 0.03% DBT
416 ENTERPRISE PRODUCTS OPER 29379VCH4 Feb 2026 10,632,000 -2,881,000 $10.3M -22.8% 0.03% DBT
417 SUMITOMO MITSUI FINL GRP 86562MCS7 Feb 2026 9,859,000 -9,439,000 $10.3M -50.3% 0.03% DBT
418 ENERGY TRANSFER LP 29273VAU4 Feb 2026 9,476,000 -6,265,000 $10.3M -40.9% 0.03% DBT
419 ANHEUSER-BUSCH INBEV WOR 03523TBT4 Feb 2026 12,153,000 -4,034,000 $10.3M -27.4% 0.03% DBT
420 CHUBB INA HOLDINGS LLC 171239AG1 Feb 2026 11,719,000 -4,045,000 $10.3M -26.8% 0.03% DBT
421 ORACLE CORP 68389XBQ7 Feb 2026 15,005,000 -6,335,000 $10.3M -30.0% 0.03% DBT
422 MERCK & CO INC 58933YBM6 Feb 2026 11,291,000 -1,655,000 $10.2M -15.0% 0.03% DBT
423 MERCK & CO INC 58933YBF1 Feb 2026 16,751,000 -2,556,000 $10.2M -15.6% 0.03% DBT
424 LLOYDS BANKING GROUP PLC 53944YAU7 Feb 2026 10,274,000 -7,891,000 $10.2M -44.9% 0.03% DBT
425 CVS HEALTH CORP 126650DN7 Feb 2026 11,556,000 -3,422,000 $10.2M -24.0% 0.03% DBT
426 ROGERS COMMUNICATIONS IN 775109CK5 Feb 2026 12,861,000 -1,949,000 $10.2M -15.4% 0.03% DBT
427 SOUTHERN CAL EDISON 842400GG2 Feb 2026 13,695,000 -423,000 $10.2M -6.3% 0.03% DBT
428 DIAMONDBACK ENERGY INC 25278XBA6 Feb 2026 10,413,000 -1,731,000 $10.2M -13.6% 0.03% DBT
429 T-MOBILE USA INC 87264ADZ5 Feb 2026 10,356,000 -697,000 $10.2M -8.2% 0.03% DBT
430 LOWE'S COS INC 548661DQ7 Feb 2026 13,045,000 -1,539,000 $10.2M -13.2% 0.03% DBT
431 CRH SMW FINANCE DAC 12704PAB4 Feb 2026 10,028,000 -121,000 $10.2M -3.0% 0.03% DBT
432 UNITEDHEALTH GROUP INC 91324PET5 Feb 2026 9,988,000 -1,715,000 $10.2M -15.8% 0.03% DBT
433 MPLX LP 55336VAT7 Feb 2026 10,988,000 -1,647,000 $10.1M -14.4% 0.03% DBT
434 COMCAST CORP 20030NCE9 Feb 2026 13,830,000 -3,604,000 $10.1M -23.2% 0.03% DBT
435 CHARTER COMM OPT LLC/CAP 161175CR3 Feb 2026 9,840,000 -1,986,000 $10.1M -19.5% 0.03% DBT
436 AMAZON.COM INC 023135CQ7 Feb 2026 9,978,000 -1,369,000 $10.1M -13.6% 0.03% DBT
437 NEXTERA ENERGY CAPITAL 65339KDJ6 Feb 2026 9,907,000 -1,587,000 $10.1M -15.6% 0.03% DBT
438 COMCAST CORP 20030NCZ2 Feb 2026 15,188,000 -2,426,000 $10.1M -16.9% 0.03% DBT
439 ORACLE CORP 68389XAH8 Feb 2026 10,219,000 -273,000 $10.0M -3.0% 0.03% DBT
440 GENERAL MOTORS FINL CO 37045XEG7 Feb 2026 9,698,000 -1,605,000 $10.0M -15.8% 0.03% DBT
441 ENERGY TRANSFER LP 86765BAV1 Feb 2026 11,067,000 -665,000 $10.0M -7.2% 0.03% DBT
442 ENERGY TRANSFER LP 29273VBE9 Feb 2026 9,759,000 -379,000 $10.0M -5.6% 0.03% DBT
443 OCCIDENTAL PETROLEUM COR 674599EL5 Feb 2026 9,741,000 -1,925,000 $10.0M -17.5% 0.03% DBT
444 ORACLE CORP 68389XAE5 Feb 2026 9,740,000 -1,276,000 $10.0M -12.3% 0.03% DBT
445 MCDONALD'S CORP 58013MFA7 Feb 2026 11,107,000 -361,000 $10.0M -6.0% 0.03% DBT
446 PFIZER INVESTMENT ENTER 716973AD4 Feb 2026 9,934,000 -6,509,000 $10.0M -40.7% 0.03% DBT
447 MASTERCARD INC 57636QBC7 Feb 2026 10,167,000 -385,000 $10.0M -6.0% 0.03% DBT
448 GENERAL MOTORS FINL CO 37045XFJ0 Feb 2026 9,705,000 -4,703,000 $9.9M -34.0% 0.03% DBT
449 REGAL REXNORD CORP 758750AP8 Feb 2026 9,366,000 -2,508,000 $9.9M -23.1% 0.03% DBT
450 MERCK & CO INC 58933YBS3 Feb 2026 9,933,000 -3,273,000 $9.9M -26.6% 0.03% DBT
451 BANK OF AMERICA CORP 06051GKB4 Feb 2026 15,418,000 -1,630,000 $9.9M -11.7% 0.03% DBT
452 WASTE MANAGEMENT INC 94106LCE7 Feb 2026 9,919,000 -886,000 $9.9M -10.7% 0.03% DBT
453 JPMORGAN CHASE & CO 46647PBN5 Feb 2026 14,847,000 -7,824,000 $9.9M -36.4% 0.03% DBT
454 TIME WARNER CABLE LLC 88732JAU2 Feb 2026 9,997,000 -2,565,000 $9.9M -23.0% 0.03% DBT
455 RTX CORP 913017CX5 Feb 2026 11,468,000 -2,905,000 $9.9M -22.7% 0.03% DBT
456 COMCAST CORP 20030NEF4 Feb 2026 11,147,000 -1,617,000 $9.9M -16.0% 0.03% DBT
457 HCA INC 404121AK1 Feb 2026 9,785,000 -649,000 $9.9M -8.7% 0.03% DBT
458 AUTOMATIC DATA PROCESSNG 053015AJ2 Feb 2026 9,842,000 -81,000 $9.9M -3.4% 0.03% DBT
459 MITSUBISHI UFJ FIN GRP 606822DT8 Feb 2026 10,003,000 -5,106,000 $9.9M -35.5% 0.03% DBT
460 ENERGY TRANSFER LP 29273VBA7 Feb 2026 9,629,000 -2,053,000 $9.9M -19.2% 0.03% DBT
461 FORD MOTOR CREDIT CO LLC 345397G31 Feb 2026 9,660,000 -3,178,000 $9.8M -26.3% 0.03% DBT
462 INTEL CORP 458140CB4 Feb 2026 11,625,000 -3,653,000 $9.8M -23.5% 0.03% DBT
463 BP CAP MARKETS AMERICA 10373QBQ2 Feb 2026 15,156,000 -774,000 $9.8M -7.8% 0.03% DBT
464 AT&T INC 00206RCQ3 Feb 2026 11,576,000 -6,633,000 $9.8M -38.6% 0.03% DBT
465 UNION PACIFIC CORP 907818FG8 Feb 2026 13,640,000 -705,000 $9.8M -7.1% 0.03% DBT
466 HSBC HOLDINGS PLC 404280CK3 Feb 2026 10,866,000 -7,699,000 $9.8M -42.5% 0.03% DBT
467 ADOBE INC 00724PAD1 Feb 2026 10,602,000 -730,000 $9.8M -7.6% 0.03% DBT
468 MICROSOFT CORP 594918BT0 Feb 2026 12,373,000 -265,000 $9.8M -4.9% 0.03% DBT
469 COOPERATIEVE RABOBANK UA 21685WCJ4 Feb 2026 9,947,000 -2,073,000 $9.8M -19.5% 0.03% DBT
470 WILLIAMS COMPANIES INC 96950FAF1 Feb 2026 9,196,000 -316,000 $9.8M -5.7% 0.03% DBT
471 MERCK & CO INC 58933YBT1 Feb 2026 9,716,000 -2,174,000 $9.7M -19.8% 0.03% DBT
472 GOLDMAN SACHS GROUP INC 38141GA53 Feb 2026 8,970,000 -733,000 $9.7M -9.9% 0.03% DBT
473 JBS NV/USA FOODS/FOOD CO 472140AB8 Feb 2026 9,438,000 -1,760,000 $9.7M -18.1% 0.03% DBT
474 CVS HEALTH CORP 126650EL0 Feb 2026 9,581,000 -1,556,000 $9.7M -14.8% 0.03% DBT
475 SUMITOMO MITSUI FINL GRP 86562MBW9 Feb 2026 10,399,000 -2,231,000 $9.7M -19.1% 0.03% DBT
476 MERCK & CO INC 58933YAT2 Feb 2026 12,393,000 -6,147,000 $9.7M -35.2% 0.03% DBT
477 APPLE INC 037833EJ5 Feb 2026 11,012,000 -5,243,000 $9.7M -33.4% 0.03% DBT
478 GOLDMAN SACHS GROUP INC 38141GB60 Feb 2026 9,722,000 -6,961,000 $9.7M -42.7% 0.03% DBT
479 BROADCOM INC 11135FCD1 Feb 2026 9,852,000 -8,770,000 $9.7M -48.4% 0.03% DBT
480 JOHNSON & JOHNSON 478160CV4 Feb 2026 9,433,000 -1,968,000 $9.7M -19.0% 0.03% DBT
481 HCA INC 404119CQ0 Feb 2026 9,442,000 -2,840,000 $9.6M -25.1% 0.03% DBT
482 JBS NV/USA FOODS/FOOD CO 472140AH5 Feb 2026 9,862,000 -992,000 $9.6M -13.1% 0.03% DBT
483 BANCO SANTANDER SA 05971KAR0 Feb 2026 9,756,000 -3,507,000 $9.6M -28.1% 0.03% DBT
484 AMGEN INC 031162DV9 Feb 2026 9,776,000 -562,000 $9.6M -7.2% 0.03% DBT
485 FOX CORP 35137LAJ4 Feb 2026 9,764,000 -226,000 $9.6M -3.5% 0.03% DBT
486 JPMORGAN CHASE & CO 46625HJM3 Feb 2026 9,536,000 -984,000 $9.6M -11.6% 0.03% DBT
487 AT&T INC 00206RMZ2 Feb 2026 9,691,000 -4,586,000 $9.6M -33.9% 0.03% DBT
488 UNITED PARCEL SERVICE 911312BZ8 Feb 2026 9,440,000 -363,000 $9.6M -6.3% 0.03% DBT
489 MITSUBISHI UFJ FIN GRP 606822DS0 Feb 2026 9,715,000 -8,300,000 $9.6M -47.3% 0.03% DBT
490 WASTE MANAGEMENT INC 94106LBW8 Feb 2026 9,486,000 -743,000 $9.6M -9.8% 0.03% DBT
491 AT&T INC 00206RNE8 Feb 2026 10,136,000 -3,656,000 $9.5M -28.6% 0.03% DBT
492 IBM CORP 459200KJ9 Feb 2026 10,534,000 -2,553,000 $9.5M -20.5% 0.03% DBT
493 QUALCOMM INC 747525AV5 Feb 2026 11,501,000 -290,000 $9.5M -4.9% 0.03% DBT
494 ABBVIE INC 00287YCY3 Feb 2026 9,789,000 -6,660,000 $9.5M -41.8% 0.03% DBT
495 TAKEDA PHARMACEUTICAL 874060AZ9 Feb 2026 14,347,000 -1,370,000 $9.5M -11.7% 0.03% DBT
496 MPLX LP 55336VBX7 Feb 2026 9,353,000 -2,506,000 $9.5M -22.7% 0.03% DBT
497 METLIFE INC 59156RBZ0 Feb 2026 9,437,000 -1,878,000 $9.5M -18.0% 0.03% DBT
498 JPMORGAN CHASE & CO 46647PBM7 Feb 2026 12,257,000 -2,554,000 $9.5M -19.2% 0.03% DBT
499 ANHEUSER-BUSCH INBEV FIN 035242AN6 Feb 2026 10,438,000 -2,997,000 $9.5M -24.8% 0.03% DBT
500 NATWEST GROUP PLC 639057AS7 Feb 2026 9,416,000 -5,371,000 $9.5M -37.5% 0.03% DBT
501 APPLE INC 037833DU1 Feb 2026 10,440,000 -3,752,000 $9.5M -27.4% 0.03% DBT
502 BROADCOM INC 11135FCC3 Feb 2026 9,570,000 -1,423,000 $9.5M -14.9% 0.03% DBT
503 PNC FINANCIAL SERVICES 693475BX2 Feb 2026 9,219,000 -1,005,000 $9.4M -11.5% 0.03% DBT
504 UNITEDHEALTH GROUP INC 91324PDX7 Feb 2026 10,395,000 -3,855,000 $9.4M -28.1% 0.03% DBT
505 GENERAL ELECTRIC CO 36962GXZ2 Feb 2026 8,542,000 -2,662,000 $9.4M -26.3% 0.03% DBT
506 BURLINGTN NORTH SANTA FE 12189LBK6 Feb 2026 10,160,000 -2,843,000 $9.4M -24.2% 0.03% DBT
507 HONEYWELL INTERNATIONAL 438516CF1 Feb 2026 10,848,000 -8,386,000 $9.4M -44.6% 0.03% DBT
508 CVS HEALTH CORP 126650DZ0 Feb 2026 9,741,000 -3,602,000 $9.4M -28.0% 0.03% DBT
509 FORD MOTOR CREDIT CO LLC 345397E25 Feb 2026 9,205,000 -90,000 $9.4M -2.6% 0.03% DBT
510 ORACLE CORP 68389XBE4 Feb 2026 10,927,000 -5,046,000 $9.4M -32.8% 0.03% DBT
511 ENERGY TRANSFER LP 29273VBF6 Feb 2026 9,442,000 -1,666,000 $9.4M -15.2% 0.03% DBT
512 ELI LILLY & CO 532457CY2 Feb 2026 9,466,000 -1,960,000 $9.4M -18.4% 0.03% DBT
513 CIGNA GROUP/THE 125523CL2 Feb 2026 10,142,000 -307,000 $9.4M -4.5% 0.03% DBT
514 PNC FINANCIAL SERVICES 693475CE3 Feb 2026 9,284,000 -2,776,000 $9.4M -25.0% 0.03% DBT
515 DIAMONDBACK ENERGY INC 25278XAV1 Feb 2026 8,728,000 -2,820,000 $9.4M -25.8% 0.03% DBT
516 CISCO SYSTEMS INC 17275RBY7 Feb 2026 9,194,000 -946,000 $9.3M -11.3% 0.03% DBT
517 SOUTH BOW USA INFRA HLDS 83007CAF9 Feb 2026 9,345,000 -41,000 $9.3M -2.2% 0.03% DBT
518 GE HEALTHCARE TECH INC 36267VAH6 Feb 2026 8,975,000 -2,168,000 $9.3M -21.3% 0.03% DBT
519 AERCAP IRELAND CAP/GLOBA 00774MBM6 Feb 2026 9,540,000 -3,475,000 $9.3M -28.7% 0.03% DBT
520 BROADCOM INC 11135FAQ4 Feb 2026 9,470,000 -12,407,000 $9.3M -57.6% 0.03% DBT
521 PFIZER INC 717081EY5 Feb 2026 10,327,000 -76,000 $9.3M -2.4% 0.03% DBT
522 QUALCOMM INC 747525AK9 Feb 2026 10,277,000 -405,000 $9.3M -6.0% 0.03% DBT
523 MPLX LP 55336VBT6 Feb 2026 10,929,000 -1,699,000 $9.3M -14.4% 0.03% DBT
524 T-MOBILE USA INC 87264ADU6 Feb 2026 9,424,000 -2,296,000 $9.3M -21.7% 0.03% DBT
525 MIZUHO FINANCIAL GROUP 60687YBH1 Feb 2026 10,259,000 -3,450,000 $9.3M -26.5% 0.03% DBT
526 JOHN DEERE CAPITAL CORP 24422EWZ8 Feb 2026 9,184,000 -693,000 $9.3M -9.1% 0.03% DBT
527 CVS HEALTH CORP 126650DQ0 Feb 2026 10,537,000 -2,674,000 $9.2M -21.5% 0.03% DBT
528 FISERV INC 337738BH0 Feb 2026 9,129,000 -2,299,000 $9.2M -21.8% 0.03% DBT
529 BRISTOL-MYERS SQUIBB CO 110122DQ8 Feb 2026 10,519,000 -2,373,000 $9.2M -19.7% 0.03% DBT
530 NVIDIA CORP 67066GAN4 Feb 2026 10,308,000 -1,638,000 $9.2M -15.1% 0.03% DBT
531 JPMORGAN CHASE & CO 46625HHV5 Feb 2026 9,038,000 -2,033,000 $9.2M -21.0% 0.03% DBT
532 BRISTOL-MYERS SQUIBB CO 110122DK1 Feb 2026 11,056,000 -83,000 $9.2M -3.4% 0.03% DBT
533 PFIZER INC 717081FB4 Feb 2026 10,533,000 -5,565,000 $9.2M -35.8% 0.03% DBT
534 MITSUBISHI UFJ FIN GRP 606822BK9 Feb 2026 10,841,000 -2,917,000 $9.2M -24.5% 0.03% DBT
535 WALT DISNEY COMPANY/THE 254687DZ6 Feb 2026 8,382,000 -5,608,000 $9.2M -41.9% 0.03% DBT
536 CARRIER GLOBAL CORP 14448CAQ7 Feb 2026 9,814,000 -5,658,000 $9.2M -37.5% 0.03% DBT
537 GENERAL MOTORS FINL CO 37045XCY0 Feb 2026 9,611,000 -1,779,000 $9.2M -17.0% 0.03% DBT
538 HOME DEPOT INC 437076CD2 Feb 2026 13,224,000 -485,000 $9.2M -6.7% 0.03% DBT
539 PACIFIC GAS & ELECTRIC 694308JJ7 Feb 2026 13,721,000 -2,012,000 $9.2M -15.4% 0.03% DBT
540 UNITEDHEALTH GROUP INC 91324PFG2 Feb 2026 9,056,000 -5,600,000 $9.1M -39.3% 0.03% DBT
541 COMCAST CORP 20030NBP5 Feb 2026 9,680,000 -199,000 $9.1M -4.6% 0.03% DBT
542 ARTHUR J GALLAGHER & CO 04316JAP4 Feb 2026 9,664,000 -2,281,000 $9.1M -19.7% 0.03% DBT
543 VERIZON COMMUNICATIONS 92343VCX0 Feb 2026 10,979,000 -1,774,000 $9.1M -16.1% 0.03% DBT
544 BROADCOM INC 11135FDA6 Feb 2026 9,255,000 -3,992,000 $9.1M -31.8% 0.03% DBT
545 KROGER CO 501044DX6 Feb 2026 9,684,000 -2,945,000 $9.1M -25.4% 0.03% DBT
546 CATERPILLAR INC 149123CB5 Feb 2026 10,939,000 -3,662,000 $9.1M -27.1% 0.03% DBT
547 PACIFIC GAS & ELECTRIC 694308KR7 Feb 2026 8,885,000 -405,000 $9.1M -7.0% 0.03% DBT
548 ABBVIE INC 00287YBD0 Feb 2026 10,102,000 -9,547,000 $9.1M -49.8% 0.03% DBT
549 ELI LILLY & CO 532457CG1 Feb 2026 10,059,000 -2,001,000 $9.1M -18.1% 0.03% DBT
550 UNITED PARCEL SERVICE 911312CK0 Feb 2026 8,862,000 -942,000 $9.1M -11.6% 0.03% DBT
551 FORD MOTOR CREDIT CO LLC 345397C68 Feb 2026 8,523,000 -2,384,000 $9.1M -23.2% 0.03% DBT
552 CITIGROUP INC 172967MM0 Feb 2026 9,216,000 -2,912,000 $9.1M -25.6% 0.03% DBT
553 AMAZON.COM INC 023135CC8 Feb 2026 14,517,000 -1,671,000 $9.0M -12.9% 0.03% DBT
554 CITIGROUP INC 172967BL4 Feb 2026 8,326,000 -2,011,000 $9.0M -21.3% 0.03% DBT
555 COMCAST CORP 20030NEK3 Feb 2026 9,818,000 -1,194,000 $9.0M -14.9% 0.03% DBT
556 COCA-COLA CO/THE 191216DL1 Feb 2026 13,657,000 -926,000 $9.0M -9.1% 0.03% DBT
557 ENBRIDGE INC 29250NBZ7 Feb 2026 8,153,000 -1,162,000 $9.0M -13.8% 0.03% DBT
558 ARTHUR J GALLAGHER & CO 04316JAN9 Feb 2026 9,083,000 -1,496,000 $9.0M -15.9% 0.03% DBT
559 CHARTER COMM OPT LLC/CAP 161175CK8 Feb 2026 11,531,000 -222,000 $9.0M -5.1% 0.03% DBT
560 DEVON ENERGY CORPORATION 25179MAL7 Feb 2026 9,090,000 -544,000 $9.0M -6.6% 0.03% DBT
561 AT&T INC 00206RDJ8 Feb 2026 11,109,000 -3,852,000 $9.0M -28.4% 0.03% DBT
562 APPLE INC 037833DD9 Feb 2026 11,531,000 -227,000 $9.0M -5.0% 0.03% DBT
563 INTERCONTINENTALEXCHANGE 45866FAW4 Feb 2026 9,054,000 -9,063,000 $9.0M -51.1% 0.03% DBT
564 AIR PRODUCTS & CHEMICALS 009158BC9 Feb 2026 9,826,000 -3,348,000 $9.0M -26.6% 0.03% DBT
565 GENERAL MOTORS CO 37045VAK6 Feb 2026 8,326,000 -4,072,000 $9.0M -34.2% 0.03% DBT
566 UNITED PARCEL SERVICE 911312BW5 Feb 2026 9,457,000 -1,665,000 $8.9M -17.1% 0.03% DBT
567 INTEL CORP 458140CF5 Feb 2026 8,815,000 -1,504,000 $8.9M -15.9% 0.03% DBT
568 GENERAL MOTORS FINL CO 37045XFB7 Feb 2026 8,771,000 -2,649,000 $8.9M -24.5% 0.03% DBT
569 CANADIAN PACIFIC RAILWAY 13645RBF0 Feb 2026 10,038,000 -609,000 $8.9M -7.8% 0.03% DBT
570 ONEOK INC 682680CD3 Feb 2026 8,976,000 -1,258,000 $8.9M -14.0% 0.03% DBT
571 CHARTER COMM OPT LLC/CAP 161175BV5 Feb 2026 14,496,000 -1,837,000 $8.9M -15.5% 0.03% DBT
572 CHARTER COMM OPT LLC/CAP 161175CS1 Feb 2026 9,169,000 -4,951,000 $8.9M -37.2% 0.03% DBT
573 AON CORP 037389BE2 Feb 2026 9,564,000 -389,000 $8.9M -5.6% 0.03% DBT
574 HP INC 40434LAJ4 Feb 2026 9,912,000 -4,114,000 $8.9M -29.9% 0.03% DBT
575 UNITEDHEALTH GROUP INC 91324PBK7 Feb 2026 7,815,000 -2,314,000 $8.9M -24.4% 0.03% DBT
576 MPLX LP 55336VCD0 Feb 2026 8,862,000 -773,000 $8.9M -8.8% 0.03% DBT
577 UNITEDHEALTH GROUP INC 91324PEE8 Feb 2026 11,820,000 -1,702,000 $8.9M -14.2% 0.03% DBT
578 GENERAL MOTORS FINL CO 37045XDL7 Feb 2026 9,847,000 -95,000 $8.9M -2.6% 0.03% DBT
579 MASTERCARD INC 57636QAZ7 Feb 2026 8,831,000 -725,000 $8.9M -9.8% 0.03% DBT
580 CHARTER COMM OPT LLC/CAP 161175BY9 Feb 2026 15,317,000 -728,000 $8.9M -8.5% 0.03% DBT
581 WILLIAMS COMPANIES INC 88339WAC0 Feb 2026 8,862,000 -1,670,000 $8.9M -17.8% 0.03% DBT
582 TIME WARNER CABLE ENTRMN 88731EAJ9 Feb 2026 7,885,000 -127,000 $8.9M -5.4% 0.03% DBT
583 MICROSOFT CORP 594918BZ6 Feb 2026 9,340,000 -2,045,000 $8.9M -20.4% 0.03% DBT
584 TAKEDA PHARMACEUTICAL 874060BK1 Feb 2026 8,733,000 -121,000 $8.9M -4.0% 0.03% DBT
585 BARCLAYS PLC 06738EDE2 Feb 2026 8,889,000 -360,000 $8.9M -7.0% 0.03% DBT
586 ONEOK INC 682680DD2 Feb 2026 8,830,000 -1,198,000 $8.9M -12.7% 0.03% DBT
587 INTEL CORP 458140BJ8 Feb 2026 13,489,000 -4,415,000 $8.8M -24.8% 0.03% DBT
588 ROYAL BANK OF CANADA 78017DAC2 Feb 2026 8,712,000 -2,073,000 $8.8M -20.9% 0.03% DBT
589 MICROSOFT CORP 594918CF9 Feb 2026 14,440,000 -4,973,000 $8.8M -27.4% 0.03% DBT
590 ALPHABET INC 02079KAX5 Feb 2026 8,955,000 -8,832,000 $8.8M -51.0% 0.03% DBT
591 WELLTOWER OP LLC 95040QAJ3 Feb 2026 9,303,000 -1,306,000 $8.8M -13.8% 0.03% DBT
592 ELEVANCE HEALTH INC 036752BE2 Feb 2026 9,143,000 -1,655,000 $8.8M -16.7% 0.03% DBT
593 CANADIAN NATL RESOURCES 136385AL5 Feb 2026 8,314,000 -79,000 $8.8M -2.4% 0.03% DBT
594 WALMART INC 931142FP3 Feb 2026 8,710,000 -3,690,000 $8.8M -31.4% 0.03% DBT
595 CIGNA GROUP/THE 125523CZ1 Feb 2026 8,785,000 -3,129,000 $8.8M -27.9% 0.03% DBT
596 INTEL CORP 458140CA6 Feb 2026 9,159,000 -4,985,000 $8.8M -36.3% 0.03% DBT
597 DELL INT LLC / EMC CORP 24703TAJ5 Feb 2026 7,312,000 -2,125,000 $8.8M -23.4% 0.03% DBT
598 COMCAST CORP 20030NDH1 Feb 2026 10,795,000 -5,312,000 $8.8M -35.2% 0.03% DBT
599 UNITEDHEALTH GROUP INC 91324PFB3 Feb 2026 8,709,000 -969,000 $8.7M -12.0% 0.03% DBT
600 SHELL FINANCE US INC 822905AF2 Feb 2026 9,308,000 -1,974,000 $8.7M -18.8% 0.03% DBT
601 MITSUBISHI UFJ FIN GRP 606822BM5 Feb 2026 9,084,000 -3,892,000 $8.7M -31.1% 0.03% DBT
602 INTERCONTINENTALEXCHANGE 45866FAH7 Feb 2026 10,556,000 -2,854,000 $8.7M -22.3% 0.03% DBT
603 SUMITOMO MITSUI FINL GRP 86562MDP2 Feb 2026 8,451,000 -5,157,000 $8.7M -39.6% 0.03% DBT
604 MCDONALD'S CORP 58013MFK5 Feb 2026 11,962,000 -208,000 $8.7M -5.2% 0.03% DBT
605 AERCAP IRELAND CAP/GLOBA 00774MAZ8 Feb 2026 10,759,000 -2,142,000 $8.7M -19.0% 0.03% DBT
606 AMERICAN TOWER CORP 03027XBG4 Feb 2026 9,769,000 -3,460,000 $8.7M -27.3% 0.03% DBT
607 MERCK & CO INC 58933YBX2 Feb 2026 8,832,000 -2,057,000 $8.7M -20.7% 0.03% DBT
608 PNC FINANCIAL SERVICES 693475BZ7 Feb 2026 8,561,000 -2,681,000 $8.7M -25.8% 0.03% DBT
609 AMGEN INC 031162CD0 Feb 2026 10,271,000 -4,990,000 $8.7M -34.8% 0.03% DBT
610 HCA INC 404119DC0 Feb 2026 8,646,000 -4,647,000 $8.7M -36.3% 0.03% DBT
611 LLOYDS BANKING GROUP PLC 53944YBE2 Feb 2026 8,950,000 -4,704,000 $8.7M -36.2% 0.03% DBT
612 T-MOBILE USA INC 87264ADM4 Feb 2026 8,944,000 -3,980,000 $8.7M -32.5% 0.03% DBT
613 BURLINGTN NORTH SANTA FE 12189LBL4 Feb 2026 8,895,000 -135,000 $8.7M -3.8% 0.03% DBT
614 UNITEDHEALTH GROUP INC 91324PFD9 Feb 2026 9,258,000 -1,718,000 $8.7M -16.8% 0.03% DBT
615 BP CAP MARKETS AMERICA 10373QBT6 Feb 2026 9,574,000 -5,717,000 $8.7M -38.7% 0.03% DBT
616 GILEAD SCIENCES INC 375558BK8 Feb 2026 10,574,000 -4,251,000 $8.7M -30.6% 0.03% DBT
617 GENERAL MOTORS FINL CO 37045XED4 Feb 2026 8,101,000 -1,256,000 $8.6M -15.0% 0.03% DBT
618 NXP BV/NXP FDG/NXP USA 62954HAJ7 Feb 2026 9,704,000 -5,277,000 $8.6M -36.3% 0.03% DBT
619 THERMO FISHER SCIENTIFIC 883556DD1 Feb 2026 8,755,000 -3,001,000 $8.6M -27.5% 0.03% DBT
620 BAT CAPITAL CORP 05526DCB9 Feb 2026 8,380,000 -357,000 $8.6M -6.1% 0.03% DBT
621 GENERAL MOTORS FINL CO 37045XDS2 Feb 2026 9,512,000 -2,402,000 $8.6M -21.8% 0.03% DBT
622 CRH AMERICA FINANCE INC 12636YAH5 Feb 2026 8,724,000 -2,526,000 $8.6M -24.0% 0.03% DBT
623 JPMORGAN CHASE & CO 46647PBU9 Feb 2026 9,765,000 -2,950,000 $8.6M -24.5% 0.03% DBT
624 LOCKHEED MARTIN CORP 539830BB4 Feb 2026 10,126,000 -1,281,000 $8.6M -14.0% 0.03% DBT
625 FLORIDA POWER & LIGHT CO 341081GG6 Feb 2026 9,593,000 -2,496,000 $8.6M -22.2% 0.03% DBT
626 INTEL CORP 458140CM0 Feb 2026 9,108,000 -1,826,000 $8.6M -16.7% 0.03% DBT
627 AT&T INC 00206RMY5 Feb 2026 8,480,000 -965,000 $8.6M -12.6% 0.03% DBT
628 SHELL FINANCE US INC 822905AG0 Feb 2026 12,389,000 -6,639,000 $8.6M -36.2% 0.03% DBT
629 EQUINIX INC 29444UBU9 Feb 2026 9,034,000 -1,610,000 $8.6M -16.9% 0.03% DBT
630 IBM INTERNAT CAPITAL 449276AF1 Feb 2026 9,161,000 -3,295,000 $8.6M -28.5% 0.03% DBT
631 HOME DEPOT INC 437076BX9 Feb 2026 10,095,000 -4,062,000 $8.6M -30.8% 0.03% DBT
632 CARRIER GLOBAL CORP 14448CBC7 Feb 2026 8,119,000 -601,000 $8.6M -9.2% 0.03% DBT
633 BOEING CO/THE 097023DR3 Feb 2026 8,030,000 -4,491,000 $8.6M -37.4% 0.03% DBT
634 PFIZER INC 717081EV1 Feb 2026 10,812,000 -272,000 $8.6M -5.0% 0.03% DBT
635 AMGEN INC 031162CZ1 Feb 2026 9,889,000 -7,941,000 $8.6M -45.7% 0.03% DBT
636 VERIZON COMMUNICATIONS 92343VDU5 Feb 2026 8,609,000 -4,642,000 $8.5M -36.6% 0.03% DBT
637 BP CAP MARKETS AMERICA 10373QBV1 Feb 2026 8,550,000 -3,425,000 $8.5M -30.5% 0.03% DBT
638 MASTERCARD INC 57636QBB9 Feb 2026 8,627,000 -2,533,000 $8.5M -24.4% 0.03% DBT
639 MERCK & CO INC 58933YBR5 Feb 2026 8,566,000 -219,000 $8.5M -5.0% 0.03% DBT
640 TIME WARNER CABLE LLC 88732JBB3 Feb 2026 9,892,000 -272,000 $8.5M -5.8% 0.03% DBT
641 CHUBB INA HOLDINGS LLC 171239AM8 Feb 2026 8,652,000 -102,000 $8.5M -3.7% 0.03% DBT
642 GENERAL MOTORS CO 37045VAZ3 Feb 2026 8,297,000 -4,093,000 $8.5M -34.5% 0.03% DBT
643 CVS HEALTH CORP 126650DG2 Feb 2026 8,896,000 -3,486,000 $8.5M -29.1% 0.03% DBT
644 IBM INTERNAT CAPITAL 449276AG9 Feb 2026 9,441,000 -4,666,000 $8.5M -34.9% 0.03% DBT
645 CVS HEALTH CORP 126650DV9 Feb 2026 9,105,000 -1,753,000 $8.5M -17.5% 0.03% DBT
646 TIME WARNER CABLE LLC 88732JAY4 Feb 2026 9,448,000 -1,429,000 $8.5M -16.6% 0.03% DBT
647 CONOCOPHILLIPS COMPANY 20826FBE5 Feb 2026 9,110,000 -1,382,000 $8.5M -14.6% 0.03% DBT
648 FORD MOTOR CREDIT CO LLC 345397G56 Feb 2026 8,210,000 -4,876,000 $8.5M -38.3% 0.03% DBT
649 CONOCOPHILLIPS COMPANY 20826FBL9 Feb 2026 8,456,000 -1,837,000 $8.5M -20.0% 0.03% DBT
650 KRAFT HEINZ FOODS CO 50077LAZ9 Feb 2026 10,151,000 -4,371,000 $8.5M -32.4% 0.03% DBT
651 CHARTER COMM OPT LLC/CAP 161175CJ1 Feb 2026 9,160,000 -633,000 $8.5M -9.3% 0.03% DBT
652 WALT DISNEY COMPANY/THE 254687FM3 Feb 2026 13,540,000 -1,073,000 $8.4M -10.4% 0.03% DBT
653 ORACLE CORP 68389XCV5 Feb 2026 10,683,000 -52,000 $8.4M -0.5% 0.03% DBT
654 BERKSHIRE HATHAWAY INC 084670BK3 Feb 2026 9,266,000 -49,000 $8.4M -3.7% 0.03% DBT
655 GENERAL ELECTRIC CO 369604CA9 Feb 2026 8,436,000 -1,238,000 $8.4M -15.1% 0.03% DBT
656 ELEVANCE HEALTH INC 036752AD5 Feb 2026 10,254,000 -694,000 $8.4M -8.0% 0.03% DBT
657 GOLDMAN SACHS GROUP INC 38141GXG4 Feb 2026 9,029,000 -16,202,000 $8.4M -64.7% 0.03% DBT
658 CHENIERE ENERGY PARTNERS 16411QAS0 Feb 2026 8,107,000 -1,640,000 $8.4M -18.2% 0.03% DBT
659 ELEVANCE HEALTH INC 94973VAY3 Feb 2026 9,482,000 -3,686,000 $8.4M -29.8% 0.03% DBT
660 FLORIDA POWER & LIGHT CO 341081GU5 Feb 2026 8,193,000 -1,824,000 $8.4M -20.4% 0.03% DBT
661 T-MOBILE USA INC 87264ACV5 Feb 2026 8,263,000 -4,030,000 $8.4M -34.3% 0.03% DBT
662 NEXTERA ENERGY CAPITAL 65339KBM1 Feb 2026 8,875,000 -1,822,000 $8.4M -18.0% 0.03% DBT
663 US BANCORP 91159HJS0 Feb 2026 8,272,000 -1,648,000 $8.4M -18.2% 0.03% DBT
664 T-MOBILE USA INC 87264ADX0 Feb 2026 8,544,000 -5,237,000 $8.4M -39.7% 0.03% DBT
665 APPLE INC 037833EK2 Feb 2026 13,572,000 -3,589,000 $8.4M -23.2% 0.03% DBT
666 ENTERPRISE PRODUCTS OPER 29379VBC6 Feb 2026 8,940,000 -65,000 $8.4M -2.7% 0.03% DBT
667 ALTRIA GROUP INC 02209SBM4 Feb 2026 10,973,000 -2,820,000 $8.4M -22.5% 0.03% DBT
668 HOME DEPOT INC 437076CC4 Feb 2026 10,420,000 -2,971,000 $8.4M -24.6% 0.03% DBT
669 T-MOBILE USA INC 87264ADS1 Feb 2026 8,249,000 -13,149,000 $8.4M -62.3% 0.03% DBT
670 TOTALENERGIES CAPITAL SA 89157XAF8 Feb 2026 8,871,000 -156,000 $8.4M -2.9% 0.03% DBT
671 ABBVIE INC 00287YEB1 Feb 2026 8,447,000 -1,716,000 $8.4M -18.7% 0.03% DBT
672 CONSTELLATION BRANDS INC 21036PBH0 Feb 2026 9,461,000 -540,000 $8.4M -7.1% 0.03% DBT
673 BROADCOM INC 11135FCL3 Feb 2026 8,300,000 -2,397,000 $8.3M -24.3% 0.03% DBT
674 NORTHROP GRUMMAN CORP 666807CJ9 Feb 2026 9,315,000 -2,582,000 $8.3M -23.9% 0.03% DBT
675 JOHN DEERE CAPITAL CORP 24422EXE4 Feb 2026 8,117,000 -3,183,000 $8.3M -30.3% 0.03% DBT
676 FORD MOTOR CREDIT CO LLC 345397D67 Feb 2026 7,742,000 -2,719,000 $8.3M -27.3% 0.03% DBT
677 AT&T INC 00206RBH4 Feb 2026 9,970,000 -530,000 $8.3M -8.3% 0.03% DBT
678 JPMORGAN CHASE & CO 46647PBD7 Feb 2026 8,511,000 -10,345,000 $8.3M -55.5% 0.03% DBT
679 CROWN CASTLE INC 22822VBE0 Feb 2026 8,041,000 -1,666,000 $8.3M -19.3% 0.03% DBT
680 PROCTER & GAMBLE CO/THE 742718FQ7 Feb 2026 9,254,000 -1,967,000 $8.3M -19.1% 0.03% DBT
681 LLOYDS BANKING GROUP PLC 53944YBD4 Feb 2026 8,417,000 -9,621,000 $8.3M -54.3% 0.03% DBT
682 HONEYWELL INTERNATIONAL 438516CM6 Feb 2026 8,461,000 -2,356,000 $8.3M -23.9% 0.03% DBT
683 BOEING CO 097023DC6 Feb 2026 8,682,000 -3,683,000 $8.3M -31.1% 0.03% DBT
684 TOTALENERGIES CAPITAL SA 89157XAC5 Feb 2026 8,500,000 -1,658,000 $8.3M -17.7% 0.03% DBT
685 ANHEUSER-BUSCH INBEV WOR 035240AG5 Feb 2026 8,766,000 -6,501,000 $8.3M -44.1% 0.03% DBT
686 AMGEN INC 031162DK3 Feb 2026 9,476,000 -2,646,000 $8.3M -23.6% 0.03% DBT
687 CIGNA GROUP/THE 125523CY4 Feb 2026 8,239,000 -3,937,000 $8.2M -33.8% 0.03% DBT
688 LOCKHEED MARTIN CORP 539830BL2 Feb 2026 9,244,000 -2,367,000 $8.2M -23.3% 0.03% DBT
689 CVS HEALTH CORP 126650DJ6 Feb 2026 8,494,000 -5,552,000 $8.2M -40.5% 0.03% DBT
690 VODAFONE GROUP PLC 92857WBS8 Feb 2026 9,583,000 -3,488,000 $8.2M -29.4% 0.03% DBT
691 ENTERPRISE PRODUCTS OPER 29379VBQ5 Feb 2026 10,020,000 -1,157,000 $8.2M -11.7% 0.03% DBT
692 TRAVELERS COS INC 89417EAD1 Feb 2026 7,526,000 -334,000 $8.2M -6.6% 0.03% DBT
693 HSBC HOLDINGS PLC 404280CH0 Feb 2026 8,865,000 -9,293,000 $8.2M -52.1% 0.03% DBT
694 EQUINIX EU 2 FINANCING C 29390XAH7 Feb 2026 8,378,000 -272,000 $8.2M -5.4% 0.03% DBT
695 ALTRIA GROUP INC 02209SAV5 Feb 2026 11,011,000 -1,951,000 $8.2M -17.8% 0.03% DBT
696 BANK OF AMERICA CORP 06051GJP5 Feb 2026 9,024,000 -9,774,000 $8.2M -53.0% 0.03% DBT
697 PACIFICORP 695114DD7 Feb 2026 8,087,000 -1,474,000 $8.2M -16.5% 0.03% DBT
698 CONOCOPHILLIPS COMPANY 20826FBM7 Feb 2026 8,506,000 -1,303,000 $8.2M -14.8% 0.03% DBT
699 ENBRIDGE INC 29250NCK9 Feb 2026 7,994,000 -1,826,000 $8.2M -20.3% 0.03% DBT
700 FORD MOTOR COMPANY 345370CA6 Feb 2026 7,483,000 -3,086,000 $8.2M -30.7% 0.03% DBT
701 SALESFORCE INC 79466LAL8 Feb 2026 13,739,000 -1,626,000 $8.2M -13.2% 0.03% DBT
702 WILLIAMS COMPANIES INC 969457CW8 Feb 2026 8,218,000 -216,000 $8.2M -4.5% 0.03% DBT
703 PFIZER INC 717081FF5 Feb 2026 8,232,000 -3,096,000 $8.2M -29.2% 0.03% DBT
704 UNILEVER CAPITAL CORP 904764AH0 Feb 2026 7,591,000 -541,000 $8.2M -9.3% 0.03% DBT
705 CONOCOPHILLIPS COMPANY 20826FBF2 Feb 2026 8,016,000 -1,897,000 $8.1M -21.0% 0.03% DBT
706 T-MOBILE USA INC 87264ADB8 Feb 2026 8,433,000 -2,760,000 $8.1M -26.7% 0.03% DBT
707 ELI LILLY & CO 532457DD7 Feb 2026 8,167,000 -1,758,000 $8.1M -19.7% 0.03% DBT
708 MPLX LP 55336VCA6 Feb 2026 8,139,000 -5,488,000 $8.1M -41.5% 0.03% DBT
709 META PLATFORMS INC 30303M8K1 Feb 2026 10,543,000 -7,586,000 $8.1M -44.8% 0.03% DBT
710 APPLE INC 037833ER7 Feb 2026 10,493,000 -1,858,000 $8.1M -17.6% 0.03% DBT
711 HOME DEPOT INC 437076CS9 Feb 2026 8,128,000 -2,679,000 $8.1M -26.6% 0.03% DBT
712 MITSUBISHI UFJ FIN GRP 606822DN1 Feb 2026 8,186,000 -6,086,000 $8.1M -43.9% 0.03% DBT
713 JBS NV/USA FOODS/FOOD CO 46590XAU0 Feb 2026 8,739,000 -3,691,000 $8.1M -31.3% 0.03% DBT
714 COOPERATIEVE RABOBANK UA 21684AAB2 Feb 2026 8,188,000 -829,000 $8.1M -12.2% 0.03% DBT
715 AT&T INC 00206RND0 Feb 2026 8,508,000 -599,000 $8.1M -9.6% 0.03% DBT
716 BROADCOM INC 11135FCF6 Feb 2026 7,944,000 -7,443,000 $8.1M -49.3% 0.03% DBT
717 INTEL CORP 458140BU3 Feb 2026 9,256,000 -1,596,000 $8.1M -16.1% 0.03% DBT
718 HCA INC 404119DA4 Feb 2026 7,873,000 -1,792,000 $8.1M -20.4% 0.03% DBT
719 BOEING CO 097023CQ6 Feb 2026 11,051,000 -7,491,000 $8.1M -41.4% 0.03% DBT
720 MITSUBISHI UFJ FIN GRP 606822CK8 Feb 2026 7,992,000 -5,895,000 $8.1M -44.1% 0.03% DBT
721 MCDONALD'S CORP 58013MFJ8 Feb 2026 8,504,000 -529,000 $8.1M -7.1% 0.03% DBT
722 EQUINIX INC 29444UBS4 Feb 2026 8,976,000 -1,020,000 $8.1M -11.7% 0.03% DBT
723 AMPHENOL CORP 032095AZ4 Feb 2026 8,257,000 -8,744,000 $8.1M -52.7% 0.03% DBT
724 PROCTER & GAMBLE CO/THE 742718FM6 Feb 2026 9,188,000 -3,263,000 $8.0M -27.3% 0.03% DBT
725 UBER TECHNOLOGIES INC 90353TAP5 Feb 2026 8,219,000 -5,193,000 $8.0M -40.2% 0.03% DBT
726 TARGA RESOURCES CORP 87612GAF8 Feb 2026 7,390,000 -2,115,000 $8.0M -23.7% 0.03% DBT
727 MASTERCARD INC 57636QAQ7 Feb 2026 10,343,000 -1,971,000 $8.0M -17.8% 0.03% DBT
728 APPLOVIN CORP 03831WAB4 Feb 2026 7,931,000 -1,984,000 $8.0M -20.8% 0.03% DBT
729 SOUTHERN CO 842587DT1 Feb 2026 7,723,000 -2,582,000 $8.0M -26.8% 0.03% DBT
730 INTEL CORP 458140AV2 Feb 2026 10,287,000 -1,697,000 $8.0M -13.8% 0.03% DBT
731 COCA-COLA CO/THE 191216DE7 Feb 2026 9,184,000 -3,237,000 $8.0M -27.4% 0.03% DBT
732 HOME DEPOT INC 437076BD3 Feb 2026 8,722,000 -1,197,000 $8.0M -15.0% 0.03% DBT
733 AT&T INC 00206RMX7 Feb 2026 7,972,000 -1,477,000 $8.0M -17.4% 0.03% DBT
734 TOYOTA MOTOR CREDIT CORP 89236TLE3 Feb 2026 7,694,000 -3,249,000 $8.0M -31.4% 0.03% DBT
735 VERIZON COMMUNICATIONS 92343VDC5 Feb 2026 9,943,000 -812,000 $8.0M -9.2% 0.03% DBT
736 TARGA RESOURCES CORP 87612GAK7 Feb 2026 7,861,000 -1,707,000 $8.0M -19.3% 0.03% DBT
737 QUALCOMM INC 747525AJ2 Feb 2026 8,089,000 -4,191,000 $8.0M -35.7% 0.03% DBT
738 ELI LILLY & CO 532457CX4 Feb 2026 7,838,000 -4,307,000 $8.0M -36.7% 0.03% DBT
739 AT&T INC 00206RKB7 Feb 2026 11,825,000 -4,636,000 $8.0M -30.5% 0.03% DBT
740 NORTHROP GRUMMAN CORP 666807BU5 Feb 2026 8,500,000 -2,761,000 $8.0M -26.8% 0.03% DBT
741 KINDER MORGAN ENER PART 494550AW6 Feb 2026 7,089,000 -2,211,000 $8.0M -25.7% 0.03% DBT
742 UNION PACIFIC CORP 907818FX1 Feb 2026 8,712,000 -2,163,000 $7.9M -21.5% 0.03% DBT
743 NATWEST GROUP PLC 780097BL4 Feb 2026 7,997,000 -1,960,000 $7.9M -20.9% 0.03% DBT
744 AMGEN INC 031162DG2 Feb 2026 10,158,000 -1,754,000 $7.9M -16.9% 0.03% DBT
745 DELL INT LLC / EMC CORP 24703DBQ3 Feb 2026 8,071,000 -935,000 $7.9M -11.3% 0.03% DBT
746 UNITEDHEALTH GROUP INC 91324PDL3 Feb 2026 9,792,000 -496,000 $7.9M -6.7% 0.03% DBT
747 BAXTER INTERNATIONAL INC 071813CS6 Feb 2026 9,274,000 -6,786,000 $7.9M -43.5% 0.03% DBT
748 DUKE ENERGY CORP 26441CCJ2 Feb 2026 8,071,000 -1,182,000 $7.9M -14.5% 0.03% DBT
749 CITIGROUP INC 172967NE7 Feb 2026 8,903,000 -11,889,000 $7.9M -57.9% 0.03% DBT
750 MARATHON PETROLEUM CORP 56585AAF9 Feb 2026 7,343,000 -1,911,000 $7.9M -21.8% 0.03% DBT
751 CIGNA GROUP/THE 125523CK4 Feb 2026 11,438,000 -103,000 $7.9M -3.4% 0.03% DBT
752 UNITEDHEALTH GROUP INC 91324PCQ3 Feb 2026 8,134,000 -1,856,000 $7.9M -20.4% 0.03% DBT
753 JBS NV/USA FOODS/FOOD CO 47214BAD0 Feb 2026 7,199,000 -1,649,000 $7.9M -22.1% 0.03% DBT
754 ROYAL BANK OF CANADA 78016HZZ6 Feb 2026 7,802,000 -377,000 $7.9M -6.3% 0.03% DBT
755 PACIFIC GAS & ELECTRIC 694308KU0 Feb 2026 7,773,000 -894,000 $7.9M -12.8% 0.03% DBT
756 TRUIST FINANCIAL CORP 89788MAU6 Feb 2026 7,785,000 -6,892,000 $7.9M -48.0% 0.03% DBT
757 UNION PACIFIC CORP 907818FU7 Feb 2026 8,685,000 -343,000 $7.9M -5.7% 0.03% DBT
758 BERKSHIRE HATHAWAY FIN 084664CV1 Feb 2026 12,373,000 -2,789,000 $7.9M -19.7% 0.03% DBT
759 T-MOBILE USA INC 87264ABT1 Feb 2026 8,526,000 -494,000 $7.9M -7.1% 0.03% DBT
760 DUKE ENERGY FLORIDA LLC 341099CL1 Feb 2026 7,200,000 -1,456,000 $7.9M -19.1% 0.03% DBT
761 BP CAP MARKETS AMERICA 10373QBR0 Feb 2026 10,368,000 -3,605,000 $7.8M -27.8% 0.03% DBT
762 ELEVANCE HEALTH INC 94973VBK2 Feb 2026 9,008,000 -426,000 $7.8M -6.8% 0.03% DBT
763 LOWE'S COS INC 548661DN4 Feb 2026 10,452,000 -1,670,000 $7.8M -16.3% 0.03% DBT
764 ENTERPRISE PRODUCTS OPER 29379VBW2 Feb 2026 9,678,000 -2,690,000 $7.8M -22.9% 0.03% DBT
765 VERIZON COMMUNICATIONS 92343VFD1 Feb 2026 10,191,000 -1,875,000 $7.8M -17.1% 0.03% DBT
766 CIGNA GROUP/THE 125523CX6 Feb 2026 7,849,000 -655,000 $7.8M -9.2% 0.03% DBT
767 LLOYDS BANKING GROUP PLC 53944YBA0 Feb 2026 7,598,000 -2,335,000 $7.8M -25.1% 0.03% DBT
768 BARCLAYS PLC 06738EBR5 Feb 2026 8,671,000 -10,989,000 $7.8M -56.8% 0.03% DBT
769 JPMORGAN CHASE & CO 46647PBV7 Feb 2026 11,007,000 -6,886,000 $7.8M -40.2% 0.03% DBT
770 DUKE ENERGY CORP 26441CAT2 Feb 2026 10,437,000 -2,922,000 $7.8M -23.8% 0.03% DBT
771 PHILIP MORRIS INTL INC 718172EA3 Feb 2026 8,077,000 -315,000 $7.8M -6.1% 0.03% DBT
772 DELL INT LLC / EMC CORP 24703TAP1 Feb 2026 7,618,000 -1,292,000 $7.8M -15.9% 0.03% DBT
773 OCCIDENTAL PETROLEUM COR 674599EA9 Feb 2026 6,835,000 -2,847,000 $7.8M -30.9% 0.03% DBT
774 ONEOK INC 682680DC4 Feb 2026 7,757,000 -8,794,000 $7.8M -53.9% 0.03% DBT
775 MITSUBISHI UFJ FIN GRP 606822DQ4 Feb 2026 7,784,000 -556,000 $7.8M -9.2% 0.03% DBT
776 APPLE INC 037833DP2 Feb 2026 8,235,000 -4,240,000 $7.8M -34.7% 0.03% DBT
777 NOVARTIS CAPITAL CORP 66989HAY4 Feb 2026 7,880,000 -7,593,000 $7.8M -50.2% 0.03% DBT
778 BARCLAYS PLC 06738ECA1 Feb 2026 7,535,000 -8,484,000 $7.8M -54.2% 0.03% DBT
779 COMCAST CORP 20030NCJ8 Feb 2026 9,026,000 -1,841,000 $7.8M -19.7% 0.03% DBT
780 INTERCONTINENTALEXCHANGE 45866FAN4 Feb 2026 9,167,000 -1,606,000 $7.7M -16.4% 0.03% DBT
781 NEXTERA ENERGY CAPITAL 65339KCQ1 Feb 2026 8,522,000 -1,614,000 $7.7M -18.1% 0.03% DBT
782 PACIFICORP 695114DA3 Feb 2026 8,464,000 -784,000 $7.7M -8.1% 0.03% DBT
783 FOX CORP 35137LAN5 Feb 2026 7,208,000 -5,253,000 $7.7M -43.3% 0.03% DBT
784 OCCIDENTAL PETROLEUM COR 674599DL6 Feb 2026 7,217,000 -451,000 $7.7M -4.9% 0.03% DBT
785 APPLE INC 037833CH1 Feb 2026 9,133,000 -624,000 $7.7M -9.1% 0.03% DBT
786 BHP BILLITON FIN USA LTD 055451BM9 Feb 2026 7,602,000 -1,053,000 $7.7M -14.3% 0.03% DBT
787 MPLX LP 55336VAN0 Feb 2026 9,294,000 -3,786,000 $7.7M -29.8% 0.03% DBT
788 GILEAD SCIENCES INC 375558AS2 Feb 2026 7,554,000 -1,690,000 $7.7M -20.4% 0.03% DBT
789 COCA-COLA CO/THE 191216DZ0 Feb 2026 8,100,000 -3,502,000 $7.7M -32.2% 0.03% DBT
790 TRANSCANADA PIPELINES 89352HAD1 Feb 2026 7,237,000 -1,405,000 $7.7M -18.2% 0.03% DBT
791 DIAMONDBACK ENERGY INC 25278XAR0 Feb 2026 8,212,000 -454,000 $7.7M -6.4% 0.03% DBT
792 APPLE INC 037833DQ0 Feb 2026 11,596,000 -2,850,000 $7.7M -22.1% 0.03% DBT
793 HP INC 40434LAN5 Feb 2026 7,500,000 -1,996,000 $7.7M -21.1% 0.03% DBT
794 OCCIDENTAL PETROLEUM COR 674599EK7 Feb 2026 7,480,000 -1,580,000 $7.7M -18.5% 0.03% DBT
795 HOME DEPOT INC 437076CQ3 Feb 2026 10,668,000 -8,840,000 $7.7M -47.2% 0.03% DBT
796 DOW CHEMICAL CO/THE 260543DN0 Feb 2026 7,758,000 -5,068,000 $7.7M -40.0% 0.03% DBT
797 JOHN DEERE CAPITAL CORP 24422EXX2 Feb 2026 7,725,000 -1,879,000 $7.7M -21.5% 0.03% DBT
798 HCA INC 404119CR8 Feb 2026 7,950,000 -2,926,000 $7.7M -28.4% 0.03% DBT
799 ELEVANCE HEALTH INC 036752AN3 Feb 2026 8,376,000 -1,878,000 $7.7M -19.3% 0.03% DBT
800 ELI LILLY & CO 532457DG0 Feb 2026 7,720,000 -344,000 $7.7M -6.3% 0.03% DBT
801 STARBUCKS CORP 855244AW9 Feb 2026 8,330,000 -1,094,000 $7.7M -12.9% 0.03% DBT
802 BANK OF AMERICA CORP 06051GHU6 Feb 2026 8,744,000 -7,368,000 $7.7M -47.0% 0.03% DBT
803 TOTALENERGIES CAPITAL SA 89157XAE1 Feb 2026 8,113,000 -730,000 $7.6M -9.8% 0.03% DBT
804 CRH AMERICA FINANCE INC 12636YAJ1 Feb 2026 7,787,000 -3,333,000 $7.6M -32.1% 0.03% DBT
805 COMCAST CORP 20030NDL2 Feb 2026 13,226,000 -2,858,000 $7.6M -20.4% 0.03% DBT
806 INTERCONTINENTALEXCHANGE 45866FBA1 Feb 2026 7,435,000 -2,270,000 $7.6M -25.1% 0.03% DBT
807 AERCAP IRELAND CAP/GLOBA 00774MBP9 Feb 2026 7,494,000 -5,470,000 $7.6M -43.5% 0.03% DBT
808 UNITEDHEALTH GROUP INC 91324PFP2 Feb 2026 7,607,000 -42,000 $7.6M -2.4% 0.03% DBT
809 COMCAST CORP 20030NBU4 Feb 2026 11,073,000 -1,680,000 $7.6M -16.3% 0.03% DBT
810 FISERV INC 337738BN7 Feb 2026 7,823,000 -939,000 $7.6M -12.7% 0.03% DBT
811 INTEL CORP 458140CK4 Feb 2026 7,902,000 -3,296,000 $7.6M -29.2% 0.03% DBT
812 COMCAST CORP 20030NEQ0 Feb 2026 7,714,000 -77,000 $7.6M -4.5% 0.03% DBT
813 TOYOTA MOTOR CREDIT CORP 89236TNJ0 Feb 2026 7,528,000 -1,091,000 $7.6M -14.5% 0.03% DBT
814 MPLX LP 55336VBZ2 Feb 2026 7,824,000 -1,209,000 $7.6M -14.3% 0.03% DBT
815 CITIGROUP INC 172967HA2 Feb 2026 6,988,000 -750,000 $7.6M -13.1% 0.03% DBT
816 ENERGY TRANSFER LP 29273VBB5 Feb 2026 7,790,000 -3,374,000 $7.6M -30.4% 0.03% DBT
817 PACIFIC GAS & ELECTRIC 694308KJ5 Feb 2026 7,236,000 -1,171,000 $7.6M -16.0% 0.03% DBT
818 KENVUE INC 49177JAH5 Feb 2026 7,458,000 -2,591,000 $7.6M -27.2% 0.03% DBT
819 CHARTER COMM OPT LLC/CAP 161175BZ6 Feb 2026 10,850,000 -1,693,000 $7.6M -16.3% 0.03% DBT
820 MORGAN STANLEY 61744YAR9 Feb 2026 8,183,000 -3,290,000 $7.6M -30.4% 0.03% DBT
821 METLIFE INC 59156RCD8 Feb 2026 8,056,000 -584,000 $7.6M -6.8% 0.03% DBT
822 CANADIAN NATL RESOURCES 136385BD2 Feb 2026 7,462,000 -2,242,000 $7.6M -24.3% 0.03% DBT
823 MERCK & CO INC 58933YAJ4 Feb 2026 8,866,000 -5,640,000 $7.5M -40.7% 0.03% DBT
824 TARGA RESOURCES PARTNERS 87612BBU5 Feb 2026 7,913,000 -1,970,000 $7.5M -21.4% 0.03% DBT
825 ENERGY TRANSFER LP 29273RAR0 Feb 2026 7,120,000 -852,000 $7.5M -11.6% 0.03% DBT
826 HOME DEPOT INC 437076CT7 Feb 2026 8,382,000 -1,980,000 $7.5M -21.4% 0.03% DBT
827 DUKE ENERGY CORP 26441CBU8 Feb 2026 8,663,000 -1,121,000 $7.5M -13.2% 0.03% DBT
828 TARGA RESOURCES CORP 87612GAM3 Feb 2026 7,394,000 -2,218,000 $7.5M -24.5% 0.03% DBT
829 SOLVENTUM CORP 83444MAQ4 Feb 2026 7,313,000 -9,319,000 $7.5M -56.9% 0.03% DBT
830 TARGET CORP 87612EBP0 Feb 2026 7,494,000 -269,000 $7.5M -5.4% 0.03% DBT
831 CROWN CASTLE INC 22822VAW1 Feb 2026 8,533,000 -4,510,000 $7.5M -35.4% 0.03% DBT
832 HCA INC 404119CZ0 Feb 2026 7,377,000 -1,304,000 $7.5M -16.7% 0.03% DBT
833 LOCKHEED MARTIN CORP 539830BR9 Feb 2026 7,735,000 -2,154,000 $7.5M -23.7% 0.03% DBT
834 LYB INT FINANCE III 50249AAM5 Feb 2026 7,490,000 -2,361,000 $7.5M -24.5% 0.03% DBT
835 AMERICAN INTERNATIONAL 026874DS3 Feb 2026 7,392,000 -1,411,000 $7.5M -17.7% 0.03% DBT
836 AMPHENOL CORP 032095AL5 Feb 2026 8,444,000 -1,488,000 $7.5M -17.0% 0.03% DBT
837 SHELL FINANCE US INC 822905AC9 Feb 2026 7,883,000 -822,000 $7.5M -12.0% 0.03% DBT
838 DEUTSCHE BANK NY 251526CD9 Feb 2026 7,917,000 -1,976,000 $7.5M -21.4% 0.03% DBT
839 MERCK & CO INC 58933YCC7 Feb 2026 7,546,000 -2,371,000 $7.5M -25.1% 0.03% DBT
840 VISA INC 92826CAM4 Feb 2026 8,105,000 -4,035,000 $7.5M -34.3% 0.03% DBT
841 BOEING CO 097023CJ2 Feb 2026 8,268,000 -3,326,000 $7.5M -30.3% 0.03% DBT
842 THERMO FISHER SCIENTIFIC 883556CX8 Feb 2026 7,324,000 -2,240,000 $7.4M -25.5% 0.02% DBT
843 WALMART INC 931142EV1 Feb 2026 11,970,000 -573,000 $7.4M -7.6% 0.02% DBT
844 WOODSIDE FINANCE LTD 980236AV5 Feb 2026 7,118,000 -3,265,000 $7.4M -32.4% 0.02% DBT
845 METLIFE INC 59156RCE6 Feb 2026 7,174,000 -137,000 $7.4M -3.6% 0.02% DBT
846 CVS HEALTH CORP 126650EC0 Feb 2026 7,197,000 -2,718,000 $7.4M -29.1% 0.02% DBT
847 MARRIOTT INTERNATIONAL 571903BS1 Feb 2026 7,306,000 -2,847,000 $7.4M -29.7% 0.02% DBT
848 CSX CORP 126408HU0 Feb 2026 7,624,000 -2,601,000 $7.4M -27.4% 0.02% DBT
849 COMCAST CORP 20030NEE7 Feb 2026 7,444,000 -1,928,000 $7.4M -22.6% 0.02% DBT
850 HOME DEPOT INC 437076DK5 Feb 2026 7,586,000 -4,152,000 $7.4M -37.0% 0.02% DBT
851 PRUDENTIAL FINANCIAL INC 74432QAQ8 Feb 2026 7,124,000 -1,226,000 $7.4M -16.4% 0.02% DBT
852 NOMURA HOLDINGS INC 65535HBZ1 Feb 2026 7,384,000 -4,995,000 $7.4M -41.7% 0.02% DBT
853 VERIZON COMMUNICATIONS 92343VFV1 Feb 2026 12,667,000 -291,000 $7.4M -4.7% 0.02% DBT
854 TORONTO-DOMINION BANK 89114TZJ4 Feb 2026 8,329,000 -5,423,000 $7.4M -40.5% 0.02% DBT
855 ALLSTATE CORP 020002BK6 Feb 2026 7,236,000 -736,000 $7.4M -11.5% 0.02% DBT
856 VERIZON COMMUNICATIONS 92343VDR2 Feb 2026 7,860,000 -5,678,000 $7.4M -43.6% 0.02% DBT
857 CIGNA GROUP/THE 125523CQ1 Feb 2026 10,765,000 -1,246,000 $7.4M -12.9% 0.02% DBT
858 UBER TECHNOLOGIES INC 90353TAT7 Feb 2026 7,527,000 -4,373,000 $7.4M -37.8% 0.02% DBT
859 GENERAL MOTORS CO 37045VAJ9 Feb 2026 8,301,000 -1,167,000 $7.4M -14.6% 0.02% DBT
860 ELEVANCE HEALTH INC 036752AS2 Feb 2026 10,404,000 -1,944,000 $7.4M -17.5% 0.02% DBT
861 SIMON PROPERTY GROUP LP 828807DF1 Feb 2026 7,830,000 -429,000 $7.3M -6.5% 0.02% DBT
862 LOWE'S COS INC 548661EJ2 Feb 2026 9,389,000 -1,957,000 $7.3M -19.1% 0.02% DBT
863 METLIFE INC 59156RAY4 Feb 2026 7,072,000 -6,386,000 $7.3M -48.3% 0.02% DBT
864 DIAGEO CAPITAL PLC 25243YBD0 Feb 2026 8,067,000 -4,563,000 $7.3M -37.1% 0.02% DBT
865 ARCELORMITTAL SA 03938LBF0 Feb 2026 6,639,000 -1,682,000 $7.3M -22.4% 0.02% DBT
866 ALTRIA GROUP INC 02209SBJ1 Feb 2026 7,655,000 -3,000 $7.3M -1.9% 0.02% DBT
867 PAYPAL HOLDINGS INC 70450YAL7 Feb 2026 7,518,000 -3,281,000 $7.3M -32.4% 0.02% DBT
868 STRYKER CORP 863667AY7 Feb 2026 8,081,000 -1,407,000 $7.3M -16.0% 0.02% DBT
869 KINDER MORGAN INC 28368EAE6 Feb 2026 6,391,000 -2,383,000 $7.3M -29.1% 0.02% DBT
870 MITSUBISHI UFJ FIN GRP 606822CD4 Feb 2026 8,142,000 -3,558,000 $7.3M -32.1% 0.02% DBT
871 CON EDISON CO OF NY INC 209111GK3 Feb 2026 7,375,000 -36,000 $7.3M -2.4% 0.02% DBT
872 LOWE'S COS INC 548661DZ7 Feb 2026 11,589,000 -4,794,000 $7.3M -31.4% 0.02% DBT
873 ASTRAZENECA FINANCE LLC 04636NAB9 Feb 2026 8,105,000 -538,000 $7.3M -7.9% 0.02% DBT
874 LOWE'S COS INC 548661EQ6 Feb 2026 7,211,000 -2,453,000 $7.3M -27.3% 0.02% DBT
875 WALT DISNEY COMPANY/THE 254687FL5 Feb 2026 7,831,000 -7,509,000 $7.3M -49.7% 0.02% DBT
876 REYNOLDS AMERICAN INC 761713BA3 Feb 2026 7,058,000 -321,000 $7.3M -6.4% 0.02% DBT
877 INTEL CORP 458140BR0 Feb 2026 7,481,000 -5,329,000 $7.3M -42.5% 0.02% DBT
878 TRUIST BANK 89788KAA4 Feb 2026 7,972,000 -5,020,000 $7.3M -39.3% 0.02% DBT
879 DELL INT LLC / EMC CORP 24703DBU4 Feb 2026 7,326,000 -1,019,000 $7.3M -13.2% 0.02% DBT
880 ALPHABET INC 02079KAK3 Feb 2026 7,354,000 -12,060,000 $7.3M -62.8% 0.02% DBT
881 SHERWIN-WILLIAMS CO 824348BJ4 Feb 2026 7,622,000 -874,000 $7.3M -11.5% 0.02% DBT
882 PROCTER & GAMBLE CO/THE 742718FW4 Feb 2026 8,036,000 -3,009,000 $7.3M -28.8% 0.02% DBT
883 AMRIZE FINANCE US LLC 43475RAT3 Feb 2026 7,148,000 -221,000 $7.3M -5.7% 0.02% DBT
884 COREBRIDGE FINANCIAL INC 21871XAH2 Feb 2026 7,701,000 -7,423,000 $7.2M -49.6% 0.02% DBT
885 BRISTOL-MYERS SQUIBB CO 110122DL9 Feb 2026 8,462,000 -2,762,000 $7.2M -26.4% 0.02% DBT
886 SIMON PROPERTY GROUP LP 828807DY0 Feb 2026 7,396,000 -3,407,000 $7.2M -33.4% 0.02% DBT
887 ENERGY TRANSFER LP 29273RBJ7 Feb 2026 7,278,000 -1,935,000 $7.2M -22.2% 0.02% DBT
888 SUMITOMO MITSUI FINL GRP 86562MDS6 Feb 2026 7,091,000 -2,075,000 $7.2M -24.4% 0.02% DBT
889 DOW CHEMICAL CO/THE 260543CG6 Feb 2026 8,918,000 -967,000 $7.2M -7.6% 0.02% DBT
890 ELI LILLY & CO 532457DF2 Feb 2026 7,239,000 -296,000 $7.2M -5.6% 0.02% DBT
891 SOUTHERN CAL EDISON 842400HZ9 Feb 2026 7,300,000 -438,000 $7.2M -8.1% 0.02% DBT
892 SOUTHERN CAL EDISON 842400GK3 Feb 2026 9,597,000 -428,000 $7.2M -8.1% 0.02% DBT
893 ORACLE CORP 68389XCN3 Feb 2026 7,328,000 -723,000 $7.2M -10.2% 0.02% DBT
894 DUKE ENERGY CORP 26441CBL8 Feb 2026 7,970,000 -6,447,000 $7.2M -45.6% 0.02% DBT
895 EOG RESOURCES INC 26875PAY7 Feb 2026 7,123,000 -1,264,000 $7.2M -17.1% 0.02% DBT
896 GOLDMAN SACHS GROUP INC 38141GCU6 Feb 2026 6,704,000 -6,131,000 $7.2M -48.7% 0.02% DBT
897 PAYPAL HOLDINGS INC 70450YAE3 Feb 2026 7,624,000 -558,000 $7.2M -8.7% 0.02% DBT
898 AMAZON.COM INC 023135AP1 Feb 2026 7,137,000 -3,123,000 $7.2M -32.4% 0.02% DBT
899 AMERICAN HONDA FINANCE 02665WFL0 Feb 2026 7,144,000 -631,000 $7.2M -10.7% 0.02% DBT
900 WILLIS NORTH AMERICA INC 970648AM3 Feb 2026 7,090,000 -143,000 $7.2M -3.5% 0.02% DBT
901 TIME WARNER CABLE LLC 88732JBD9 Feb 2026 9,499,000 -375,000 $7.2M -8.1% 0.02% DBT
902 BRISTOL-MYERS SQUIBB CO 110122EG9 Feb 2026 7,013,000 -2,240,000 $7.2M -25.8% 0.02% DBT
903 TARGA RESOURCES CORP 87612GAD3 Feb 2026 6,806,000 -145,000 $7.2M -2.4% 0.02% DBT
904 KENVUE INC 49177JAS1 Feb 2026 7,101,000 -1,678,000 $7.2M -21.0% 0.02% DBT
905 PUBLIC SERVICE COLORADO 744448DC2 Feb 2026 7,178,000 -663,000 $7.2M -10.5% 0.02% DBT
906 FIFTH THIRD BANCORP 316773DM9 Feb 2026 7,133,000 -437,000 $7.2M -7.4% 0.02% DBT
907 HCA INC 404121AL9 Feb 2026 7,354,000 -3,479,000 $7.1M -33.6% 0.02% DBT
908 UNITEDHEALTH GROUP INC 91324PDT6 Feb 2026 8,694,000 -4,261,000 $7.1M -34.3% 0.02% DBT
909 TOYOTA MOTOR CREDIT CORP 89236TGU3 Feb 2026 7,751,000 -2,443,000 $7.1M -25.2% 0.02% DBT
910 JBS NV/USA FOODS/FOOD CO 472140AF9 Feb 2026 7,154,000 -6,959,000 $7.1M -50.8% 0.02% DBT
911 COCA-COLA CO/THE 191216DR8 Feb 2026 6,935,000 -2,538,000 $7.1M -28.6% 0.02% DBT
912 PFIZER INC 717081EZ2 Feb 2026 9,768,000 -719,000 $7.1M -9.5% 0.02% DBT
913 MARSH & MCLENNAN COS INC 571748BJ0 Feb 2026 8,015,000 -1,775,000 $7.1M -19.7% 0.02% DBT
914 ALPHABET INC 02079KAG2 Feb 2026 14,095,000 -1,083,000 $7.1M -10.6% 0.02% DBT
915 MIZUHO FINANCIAL GROUP 60687YDB2 Feb 2026 6,829,000 -214,000 $7.1M -5.6% 0.02% DBT
916 T-MOBILE USA INC 87264ACQ6 Feb 2026 7,969,000 -8,772,000 $7.1M -53.4% 0.02% DBT
917 AT&T INC 00206RBK7 Feb 2026 8,717,000 -3,924,000 $7.1M -33.2% 0.02% DBT
918 GENERAL MOTORS CO 37045VBA7 Feb 2026 6,883,000 -448,000 $7.1M -7.9% 0.02% DBT
919 EVERSOURCE ENERGY 30040WAU2 Feb 2026 7,082,000 -82,000 $7.1M -3.2% 0.02% DBT
920 T-MOBILE USA INC 87264AEA9 Feb 2026 7,224,000 -3,610,000 $7.1M -35.1% 0.02% DBT
921 CVS HEALTH CORP 126650DR8 Feb 2026 8,094,000 -5,426,000 $7.1M -41.1% 0.02% DBT
922 JOHNSON & JOHNSON 478160CF9 Feb 2026 7,887,000 -2,045,000 $7.1M -22.8% 0.02% DBT
923 WILLIAMS COMPANIES INC 969457CV0 Feb 2026 7,167,000 -6,338,000 $7.1M -48.2% 0.02% DBT
924 SOUTHERN CAL EDISON 842400JJ3 Feb 2026 6,981,000 -1,695,000 $7.1M -21.3% 0.02% DBT
925 HOME DEPOT INC 437076BS0 Feb 2026 9,038,000 -6,062,000 $7.1M -42.0% 0.02% DBT
926 GEORGIA POWER CO 373334KT7 Feb 2026 7,008,000 -1,890,000 $7.1M -23.2% 0.02% DBT
927 BRISTOL-MYERS SQUIBB CO 110122DY1 Feb 2026 6,715,000 -4,030,000 $7.0M -38.9% 0.02% DBT
928 JPMORGAN CHASE & CO 46647PDF0 Feb 2026 7,055,000 -6,896,000 $7.0M -50.3% 0.02% DBT
929 SEMPRA 816851AP4 Feb 2026 6,864,000 -691,000 $7.0M -11.8% 0.02% DBT
930 ONEOK INC 682680DB6 Feb 2026 7,065,000 -51,000 $7.0M -2.6% 0.02% DBT
931 BROOKFIELD FINANCE INC 11271LAE2 Feb 2026 7,146,000 -700,000 $7.0M -10.5% 0.02% DBT
932 APPLOVIN CORP 03831WAC2 Feb 2026 6,908,000 -880,000 $7.0M -12.4% 0.02% DBT
933 GENERAL MILLS INC 370334CT9 Feb 2026 7,060,000 -105,000 $7.0M -4.0% 0.02% DBT
934 BAT CAPITAL CORP 05526DBS3 Feb 2026 7,682,000 -697,000 $7.0M -10.1% 0.02% DBT
935 SHELL FINANCE US INC 822905AV7 Feb 2026 6,942,000 -486,000 $7.0M -9.5% 0.02% DBT
936 HCA INC 404119CB3 Feb 2026 10,477,000 -2,661,000 $7.0M -22.4% 0.02% DBT
937 WALT DISNEY COMPANY/THE 254687GE0 Feb 2026 7,210,000 -6,904,000 $7.0M -50.1% 0.02% DBT
938 TARGET CORP 87612EBT2 Feb 2026 6,989,000 -4,033,000 $7.0M -38.0% 0.02% DBT
939 TELEFONICA EUROPE BV 879385AD4 Feb 2026 6,212,000 -6,073,000 $7.0M -50.6% 0.02% DBT
940 UNITEDHEALTH GROUP INC 91324PEQ1 Feb 2026 6,841,000 -3,125,000 $7.0M -32.8% 0.02% DBT
941 PACIFICORP 695114CZ9 Feb 2026 7,807,000 -1,217,000 $7.0M -13.3% 0.02% DBT
942 UNITEDHEALTH GROUP INC 91324PDU3 Feb 2026 9,529,000 -2,969,000 $7.0M -25.3% 0.02% DBT
943 AMAZON.COM INC 023135CK0 Feb 2026 9,370,000 -3,150,000 $7.0M -27.4% 0.02% DBT
944 FORD MOTOR CREDIT CO LLC 345397G49 Feb 2026 6,890,000 -2,918,000 $7.0M -31.0% 0.02% DBT
945 MERCK & CO INC 58933YBY0 Feb 2026 7,095,000 -1,535,000 $7.0M -20.0% 0.02% DBT
946 BROWN & BROWN INC 115236AK7 Feb 2026 7,002,000 -2,152,000 $7.0M -24.7% 0.02% DBT
947 GLOBAL PAYMENTS INC 37940XAX0 Feb 2026 7,129,000 -3,495,000 $7.0M -34.5% 0.02% DBT
948 ATHENE HOLDING LTD 04686JAH4 Feb 2026 7,404,000 -74,000 $7.0M +0.3% 0.02% DBT
949 GENERAL MOTORS FINL CO 37045XEY8 Feb 2026 6,792,000 -4,008,000 $7.0M -38.3% 0.02% DBT
950 JOHN DEERE CAPITAL CORP 24422EXP9 Feb 2026 6,887,000 -2,950,000 $7.0M -32.0% 0.02% DBT
951 COREBRIDGE FINANCIAL INC 21871XAM1 Feb 2026 8,678,000 -1,381,000 $7.0M -12.3% 0.02% DBT
952 ENTERPRISE PRODUCTS OPER 29379VAY9 Feb 2026 7,982,000 -615,000 $7.0M -9.2% 0.02% DBT
953 JOHN DEERE CAPITAL CORP 24422EXN4 Feb 2026 6,875,000 -3,460,000 $7.0M -35.1% 0.02% DBT
954 PHILIP MORRIS INTL INC 718172DP1 Feb 2026 6,948,000 -2,091,000 $7.0M -24.9% 0.02% DBT
955 CITIGROUP INC 172967NF4 Feb 2026 9,611,000 -269,000 $7.0M -5.1% 0.02% DBT
956 AMGEN INC 031162CU2 Feb 2026 7,515,000 -5,788,000 $7.0M -44.3% 0.02% DBT
957 FORD MOTOR CREDIT CO LLC 345397J38 Feb 2026 6,974,000 -1,604,000 $7.0M -20.3% 0.02% DBT
958 KINDER MORGAN INC 49456BBA8 Feb 2026 6,910,000 -1,882,000 $6.9M -22.4% 0.02% DBT
959 UNITED PARCEL SERVICE 911312CA2 Feb 2026 7,712,000 -2,215,000 $6.9M -24.5% 0.02% DBT
960 BAT CAPITAL CORP 054989AC2 Feb 2026 6,233,000 -121,000 $6.9M -3.8% 0.02% DBT
961 JBS NV/USA FOODS/FOOD CO 46590XAP1 Feb 2026 7,803,000 -4,773,000 $6.9M -39.5% 0.02% DBT
962 MPLX LP 55336VCB4 Feb 2026 7,022,000 -542,000 $6.9M -9.7% 0.02% DBT
963 HCA INC 404119DF3 Feb 2026 7,165,000 -3,047,000 $6.9M -31.8% 0.02% DBT
964 TRANSCANADA PIPELINES 89352HAM1 Feb 2026 7,147,000 -2,424,000 $6.9M -27.2% 0.02% DBT
965 VERIZON COMMUNICATIONS 92343VBT0 Feb 2026 6,392,000 -3,425,000 $6.9M -36.8% 0.02% DBT
966 JM SMUCKER CO 832696AZ1 Feb 2026 6,416,000 -90,000 $6.9M -3.2% 0.02% DBT
967 JEFFERIES FIN GROUP INC 47233JGT9 Feb 2026 7,926,000 -1,032,000 $6.9M -13.1% 0.02% DBT
968 NATIONAL GRID PLC 636274AE2 Feb 2026 6,624,000 -107,000 $6.9M -3.9% 0.02% DBT
969 GILEAD SCIENCES INC 375558CC5 Feb 2026 6,846,000 -1,252,000 $6.9M -17.5% 0.02% DBT
970 JOHNSON & JOHNSON 478160CG7 Feb 2026 8,656,000 -863,000 $6.9M -11.0% 0.02% DBT
971 NORTHROP GRUMMAN CORP 666807BS0 Feb 2026 6,937,000 -1,063,000 $6.9M -14.9% 0.02% DBT
972 DIAMONDBACK ENERGY INC 25278XAZ2 Feb 2026 6,762,000 -3,189,000 $6.9M -33.1% 0.02% DBT
973 COMCAST CORP 20030NAC5 Feb 2026 6,166,000 -4,047,000 $6.9M -41.5% 0.02% DBT
974 PEPSICO INC 713448FS2 Feb 2026 6,903,000 -2,249,000 $6.9M -26.5% 0.02% DBT
975 LOCKHEED MARTIN CORP 539830CB3 Feb 2026 7,367,000 -2,262,000 $6.9M -25.6% 0.02% DBT
976 EXELON CORP 30161NAX9 Feb 2026 7,050,000 -6,423,000 $6.9M -48.7% 0.02% DBT
977 US BANCORP 91159HJV3 Feb 2026 6,801,000 -4,747,000 $6.9M -42.3% 0.02% DBT
978 BOEING CO 097023CN3 Feb 2026 7,308,000 -9,041,000 $6.9M -56.0% 0.02% DBT
979 GENERAL MOTORS CO 37045VAP5 Feb 2026 7,224,000 -240,000 $6.9M -5.4% 0.02% DBT
980 NISOURCE INC 65473PAX3 Feb 2026 6,809,000 -5,611,000 $6.9M -46.4% 0.02% DBT
981 HUMANA INC 444859BR2 Feb 2026 7,932,000 -2,892,000 $6.9M -27.2% 0.02% DBT
982 PLAINS ALL AMER PIPELINE 72650RBM3 Feb 2026 7,120,000 -3,320,000 $6.9M -32.8% 0.02% DBT
983 INTUIT INC 46124HAG1 Feb 2026 6,803,000 -1,389,000 $6.9M -19.0% 0.02% DBT
984 RIO TINTO FIN USA PLC 76720AAP1 Feb 2026 7,415,000 -1,250,000 $6.9M -16.4% 0.02% DBT
985 ONEOK INC 682680BG7 Feb 2026 6,501,000 -275,000 $6.9M -6.1% 0.02% DBT
986 CHARTER COMM OPT LLC/CAP 161175CE2 Feb 2026 9,971,000 -1,276,000 $6.9M -13.7% 0.02% DBT
987 COMCAST CORP 20030NEP2 Feb 2026 6,742,000 -2,703,000 $6.9M -30.5% 0.02% DBT
988 CROWN CASTLE INC 22822VAY7 Feb 2026 7,699,000 -964,000 $6.8M -12.5% 0.02% DBT
989 NORFOLK SOUTHERN CORP 655844CS5 Feb 2026 7,292,000 -1,503,000 $6.8M -19.4% 0.02% DBT
990 JEFFERIES FIN GROUP INC 47233JBH0 Feb 2026 7,058,000 -7,351,000 $6.8M -51.8% 0.02% DBT
991 VERIZON COMMUNICATIONS 92343VGW8 Feb 2026 7,162,000 -3,231,000 $6.8M -32.6% 0.02% DBT
992 MORGAN STANLEY 6174468Y8 Feb 2026 10,956,000 -8,364,000 $6.8M -44.9% 0.02% DBT
993 PEPSICO INC 713448GJ1 Feb 2026 6,786,000 -1,446,000 $6.8M -19.5% 0.02% DBT
994 BERKSHIRE HATHAWAY ENERG 59562VBD8 Feb 2026 7,189,000 -49,000 $6.8M -3.0% 0.02% DBT
995 ROYAL BANK OF CANADA 78017DAQ1 Feb 2026 6,935,000 -3,101,000 $6.8M -32.5% 0.02% DBT
996 PNC FINANCIAL SERVICES 693475CB9 Feb 2026 6,688,000 -2,971,000 $6.8M -32.1% 0.02% DBT
997 NORTHROP GRUMMAN CORP 666807BH4 Feb 2026 7,478,000 -4,872,000 $6.8M -41.4% 0.02% DBT
998 OTIS WORLDWIDE CORP 68902VAK3 Feb 2026 7,307,000 -7,302,000 $6.8M -50.7% 0.02% DBT
999 PHILLIPS 66 718546AW4 Feb 2026 7,561,000 -6,136,000 $6.8M -45.5% 0.02% DBT
1000 NISOURCE INC 65473QBF9 Feb 2026 8,257,000 -497,000 $6.8M -8.4% 0.02% DBT
1001 GEORGIA POWER CO 373334KW0 Feb 2026 6,666,000 -751,000 $6.8M -12.4% 0.02% DBT
1002 HONDA MOTOR CO LTD 438127AF9 Feb 2026 6,764,000 -738,000 $6.8M -12.5% 0.02% DBT
1003 NXP BV/NXP FDG/NXP USA 62954HBB3 Feb 2026 6,766,000 -481,000 $6.8M -8.6% 0.02% DBT
1004 APTIV SWISS HOLDINGS LTD 03835VAJ5 Feb 2026 10,992,000 -462,000 $6.8M -9.5% 0.02% DBT
1005 ENTERPRISE PRODUCTS OPER 29379VCK7 Feb 2026 6,761,000 -5,920,000 $6.8M -47.8% 0.02% DBT
1006 BIOGEN INC 09062XAD5 Feb 2026 7,327,000 -703,000 $6.8M -10.0% 0.02% DBT
1007 MCDONALD'S CORP 58013MFH2 Feb 2026 8,062,000 -1,486,000 $6.8M -18.6% 0.02% DBT
1008 WILLIAMS COMPANIES INC 969457BZ2 Feb 2026 6,822,000 -2,849,000 $6.7M -31.1% 0.02% DBT
1009 GENERAL MOTORS FINL CO 37045XFK7 Feb 2026 6,457,000 -2,792,000 $6.7M -31.7% 0.02% DBT
1010 RTX CORP 75513ECM1 Feb 2026 7,721,000 -1,852,000 $6.7M -20.8% 0.02% DBT
1011 MERCK & CO INC 58933YBJ3 Feb 2026 6,768,000 -1,224,000 $6.7M -17.0% 0.02% DBT
1012 CHENIERE ENERGY PARTNERS 16411QAG6 Feb 2026 6,762,000 -4,592,000 $6.7M -41.0% 0.02% DBT
1013 CON EDISON CO OF NY INC 209111GA5 Feb 2026 7,456,000 -3,167,000 $6.7M -31.3% 0.02% DBT
1014 BURLINGTN NORTH SANTA FE 12189LAW1 Feb 2026 8,110,000 -615,000 $6.7M -9.7% 0.02% DBT
1015 ELI LILLY & CO 532457BY3 Feb 2026 11,832,000 -1,205,000 $6.7M -11.9% 0.02% DBT
1016 ABBVIE INC 00287YDB2 Feb 2026 7,468,000 -3,605,000 $6.7M -34.5% 0.02% DBT
1017 FISERV INC 337738BL1 Feb 2026 6,752,000 -2,076,000 $6.7M -25.2% 0.02% DBT
1018 TORONTO-DOMINION BANK 89115KAB6 Feb 2026 6,682,000 -3,457,000 $6.7M -35.5% 0.02% DBT
1019 BHP BILLITON FIN USA LTD 055451AR9 Feb 2026 7,811,000 -3,102,000 $6.7M -29.3% 0.02% DBT
1020 RTX CORP 75513ECK5 Feb 2026 8,046,000 -640,000 $6.7M -10.8% 0.02% DBT
1021 CHARTER COMM OPT LLC/CAP 161175CP7 Feb 2026 6,517,000 -1,897,000 $6.7M -24.8% 0.02% DBT
1022 ELEVANCE HEALTH INC 036752BA0 Feb 2026 6,985,000 -4,054,000 $6.7M -37.6% 0.02% DBT
1023 HONEYWELL INTERNATIONAL 438516BZ8 Feb 2026 7,403,000 -1,765,000 $6.7M -20.7% 0.02% DBT
1024 AERCAP IRELAND CAP/GLOBA 00774MBE4 Feb 2026 6,400,000 -517,000 $6.7M -9.5% 0.02% DBT
1025 NXP BV/NXP FDG/NXP USA 62954HBA5 Feb 2026 7,461,000 -3,263,000 $6.7M -31.7% 0.02% DBT
1026 KINDER MORGAN INC 494553AE0 Feb 2026 6,545,000 -269,000 $6.7M -6.3% 0.02% DBT
1027 EOG RESOURCES INC 26875PAW1 Feb 2026 6,802,000 -1,981,000 $6.7M -23.7% 0.02% DBT
1028 ORACLE CORP 68389XCS2 Feb 2026 6,855,000 -7,353,000 $6.7M -52.3% 0.02% DBT
1029 AMPHENOL CORP 032095AJ0 Feb 2026 7,108,000 -1,628,000 $6.7M -20.1% 0.02% DBT
1030 CVS HEALTH CORP 126650ED8 Feb 2026 6,473,000 -4,869,000 $6.7M -44.1% 0.02% DBT
1031 BANCO SANTANDER SA 05964HBJ3 Feb 2026 6,522,000 -1,068,000 $6.7M -15.9% 0.02% DBT
1032 BRISTOL-MYERS SQUIBB CO 110122DR6 Feb 2026 9,535,000 -2,051,000 $6.7M -20.2% 0.02% DBT
1033 GENERAL MOTORS CO 37045VAT7 Feb 2026 6,944,000 -649,000 $6.7M -10.7% 0.02% DBT
1034 EASTMAN CHEMICAL CO 277432AY6 Feb 2026 6,543,000 -24,000 $6.7M -2.7% 0.02% DBT
1035 HESS CORP 42809HAC1 Feb 2026 6,289,000 -1,366,000 $6.7M -20.4% 0.02% DBT
1036 CVS HEALTH CORP 126650EJ5 Feb 2026 6,615,000 -4,551,000 $6.6M -41.9% 0.02% DBT
1037 UNITEDHEALTH GROUP INC 91324PFA5 Feb 2026 6,559,000 -3,639,000 $6.6M -37.0% 0.02% DBT
1038 INTERCONTINENTALEXCHANGE 45866FAL8 Feb 2026 10,115,000 -5,399,000 $6.6M -35.2% 0.02% DBT
1039 HOME DEPOT INC 437076CJ9 Feb 2026 7,581,000 -1,082,000 $6.6M -14.1% 0.02% DBT
1040 APPLE INC 037833ED8 Feb 2026 7,448,000 -10,671,000 $6.6M -59.5% 0.02% DBT
1041 PACIFIC GAS & ELECTRIC 694308JT5 Feb 2026 7,178,000 -285,000 $6.6M -5.6% 0.02% DBT
1042 CHARTER COMM OPT LLC/CAP 161175BX1 Feb 2026 7,780,000 -1,766,000 $6.6M -20.4% 0.02% DBT
1043 ALTRIA GROUP INC 02209SBL6 Feb 2026 7,518,000 -10,445,000 $6.6M -58.9% 0.02% DBT
1044 ROYALTY PHARMA PLC 78081BAU7 Feb 2026 6,670,000 -5,440,000 $6.6M -46.2% 0.02% DBT
1045 FISERV INC 337738AU2 Feb 2026 6,884,000 -10,694,000 $6.6M -61.3% 0.02% DBT
1046 BANK OF AMERICA NA 06050TJZ6 Feb 2026 6,247,000 -4,561,000 $6.6M -43.6% 0.02% DBT
1047 EOG RESOURCES INC 26875PAZ4 Feb 2026 6,522,000 -3,905,000 $6.6M -38.9% 0.02% DBT
1048 ELEVANCE HEALTH INC 036752BD4 Feb 2026 6,599,000 -3,117,000 $6.6M -33.8% 0.02% DBT
1049 APPLE INC 037833EZ9 Feb 2026 6,596,000 -4,989,000 $6.6M -43.8% 0.02% DBT
1050 TORONTO-DOMINION BANK 89115A3G5 Feb 2026 6,459,000 -497,000 $6.6M -9.8% 0.02% DBT
1051 TARGA RESOURCES CORP 87612GAP6 Feb 2026 6,563,000 -2,181,000 $6.6M -26.4% 0.02% DBT
1052 DEVON ENERGY CORPORATION 25179MBH5 Feb 2026 6,836,000 -2,195,000 $6.6M -24.7% 0.02% DBT
1053 GENERAL ELECTRIC CO 36962G3P7 Feb 2026 6,191,000 -1,240,000 $6.6M -19.1% 0.02% DBT
1054 BANK OF NOVA SCOTIA 06418GAW7 Feb 2026 6,704,000 -661,000 $6.6M -10.7% 0.02% DBT
1055 PHILIP MORRIS INTL INC 718172CJ6 Feb 2026 6,803,000 -747,000 $6.6M -11.3% 0.02% DBT
1056 GILEAD SCIENCES INC 375558CA9 Feb 2026 6,670,000 -1,235,000 $6.6M -17.3% 0.02% DBT
1057 TRUIST FINANCIAL CORP 89788MAT9 Feb 2026 6,499,000 -2,375,000 $6.6M -28.6% 0.02% DBT
1058 JOHNSON & JOHNSON 478160CX0 Feb 2026 6,582,000 -657,000 $6.6M -10.5% 0.02% DBT
1059 LOCKHEED MARTIN CORP 539830CA5 Feb 2026 6,587,000 -1,119,000 $6.6M -17.0% 0.02% DBT
1060 PEPSICO INC 713448GB8 Feb 2026 6,496,000 -72,000 $6.6M -2.8% 0.02% DBT
1061 JOHN DEERE CAPITAL CORP 24422EYE3 Feb 2026 6,538,000 -1,958,000 $6.6M -24.6% 0.02% DBT
1062 JPMORGAN CHASE & CO 46647PAN6 Feb 2026 8,406,000 -9,681,000 $6.6M -54.9% 0.02% DBT
1063 IBM CORP 459200HF1 Feb 2026 7,990,000 -5,674,000 $6.6M -43.0% 0.02% DBT
1064 ENBRIDGE INC 29250NBF1 Feb 2026 7,671,000 -92,000 $6.6M -3.1% 0.02% DBT
1065 MCDONALD'S CORP 58013MFC3 Feb 2026 7,773,000 -2,190,000 $6.6M -24.6% 0.02% DBT
1066 LOWE'S COS INC 548661EV5 Feb 2026 6,679,000 -4,674,000 $6.6M -42.4% 0.02% DBT
1067 CROWN CASTLE INC 22822VAT8 Feb 2026 7,356,000 -4,051,000 $6.6M -36.4% 0.02% DBT
1068 VERIZON COMMUNICATIONS 92343VGP3 Feb 2026 8,837,000 -1,915,000 $6.6M -19.5% 0.02% DBT
1069 HUMANA INC 444859CB6 Feb 2026 7,075,000 -11,000 $6.6M -0.8% 0.02% DBT
1070 MANULIFE FINANCIAL CORP 56501RAX4 Feb 2026 6,638,000 -258,000 $6.5M -5.3% 0.02% DBT
1071 WESTPAC BANKING CORP 961214FP3 Feb 2026 5,988,000 -3,254,000 $6.5M -37.1% 0.02% DBT
1072 STARBUCKS CORP 855244BC2 Feb 2026 7,151,000 -653,000 $6.5M -10.1% 0.02% DBT
1073 ROPER TECHNOLOGIES INC 776696AJ5 Feb 2026 6,773,000 -113,000 $6.5M -4.1% 0.02% DBT
1074 ELEVANCE HEALTH INC 28622HAC5 Feb 2026 7,332,000 -297,000 $6.5M -5.7% 0.02% DBT
1075 TOTALENERGIES CAPITAL SA 89157XAA9 Feb 2026 6,413,000 -1,743,000 $6.5M -23.4% 0.02% DBT
1076 GENERAL MOTORS FINL CO 37045XEU6 Feb 2026 6,388,000 -518,000 $6.5M -9.0% 0.02% DBT
1077 NVIDIA CORP 67066GAG9 Feb 2026 7,817,000 -5,767,000 $6.5M -44.2% 0.02% DBT
1078 PAYPAL HOLDINGS INC 70450YAP8 Feb 2026 6,555,000 -830,000 $6.5M -13.2% 0.02% DBT
1079 PNC FINANCIAL SERVICES 693475BS3 Feb 2026 6,196,000 -1,165,000 $6.5M -18.0% 0.02% DBT
1080 CATERPILLAR INC 149123BS9 Feb 2026 6,511,000 -1,906,000 $6.5M -24.5% 0.02% DBT
1081 ELEVANCE HEALTH INC 94973VBB2 Feb 2026 7,384,000 -391,000 $6.5M -7.2% 0.02% DBT
1082 SUMITOMO MITSUI FINL GRP 86562MDN7 Feb 2026 6,349,000 -3,536,000 $6.5M -37.5% 0.02% DBT
1083 HUMANA INC 444859BV3 Feb 2026 6,321,000 -3,495,000 $6.5M -36.5% 0.02% DBT
1084 ELI LILLY & CO 532457CS5 Feb 2026 7,036,000 -6,613,000 $6.5M -49.5% 0.02% DBT
1085 ALTRIA GROUP INC 02209SBN2 Feb 2026 9,370,000 -2,824,000 $6.5M -25.5% 0.02% DBT
1086 KINDER MORGAN ENER PART 494550BU9 Feb 2026 6,775,000 -1,445,000 $6.5M -19.5% 0.02% DBT
1087 M&T BANK CORPORATION 55261FAY0 Feb 2026 6,438,000 -4,391,000 $6.5M -41.8% 0.02% DBT
1088 BERKSHIRE HATHAWAY ENERG 084659AP6 Feb 2026 8,660,000 -1,814,000 $6.5M -19.3% 0.02% DBT
1089 AT&T INC 00206RDR0 Feb 2026 6,542,000 -1,349,000 $6.5M -19.7% 0.02% DBT
1090 LOWE'S COS INC 548661EF0 Feb 2026 8,362,000 -1,265,000 $6.5M -15.0% 0.02% DBT
1091 GENERAL MOTORS FINL CO 37045XFA9 Feb 2026 6,440,000 -1,618,000 $6.5M -21.6% 0.02% DBT
1092 HCA INC 404119DE6 Feb 2026 6,646,000 -4,973,000 $6.5M -44.3% 0.02% DBT
1093 PHILIP MORRIS INTL INC 718172DZ9 Feb 2026 6,665,000 -3,438,000 $6.5M -35.7% 0.02% DBT
1094 VICI PROPERTIES LP 925650AC7 Feb 2026 6,476,000 -867,000 $6.5M -13.3% 0.02% DBT
1095 BRISTOL-MYERS SQUIBB CO 110122DV7 Feb 2026 8,132,000 -4,196,000 $6.5M -35.9% 0.02% DBT
1096 DIAGEO CAPITAL PLC 25243YBB4 Feb 2026 6,932,000 -2,699,000 $6.5M -29.1% 0.02% DBT
1097 MOTOROLA SOLUTIONS INC 620076BT5 Feb 2026 7,160,000 -2,757,000 $6.5M -29.1% 0.02% DBT
1098 ELI LILLY & CO 532457CR7 Feb 2026 6,542,000 -6,242,000 $6.5M -50.2% 0.02% DBT
1099 WALMART INC 931142ET6 Feb 2026 7,303,000 -8,147,000 $6.5M -53.6% 0.02% DBT
1100 ELI LILLY & CO 532457CZ9 Feb 2026 6,594,000 -1,765,000 $6.5M -23.3% 0.02% DBT
1101 LOCKHEED MARTIN CORP 539830CL1 Feb 2026 6,470,000 -163,000 $6.5M -4.4% 0.02% DBT
1102 APPLE INC 037833EW6 Feb 2026 6,956,000 -7,007,000 $6.5M -51.8% 0.02% DBT
1103 JOHN DEERE CAPITAL CORP 24422EXU8 Feb 2026 6,375,000 -1,604,000 $6.4M -22.4% 0.02% DBT
1104 COTERRA ENERGY INC 127097AM5 Feb 2026 6,366,000 -499,000 $6.4M -9.0% 0.02% DBT
1105 COMCAST CORP 20030NCY5 Feb 2026 8,340,000 -4,073,000 $6.4M -34.9% 0.02% DBT
1106 HOME DEPOT INC 437076BY7 Feb 2026 6,695,000 -1,445,000 $6.4M -18.8% 0.02% DBT
1107 BANCO SANTANDER SA 05971KAG4 Feb 2026 7,118,000 -7,764,000 $6.4M -52.9% 0.02% DBT
1108 BURLINGTN NORTH SANTA FE 12189LBN0 Feb 2026 6,597,000 -2,868,000 $6.4M -32.2% 0.02% DBT
1109 ORACLE CORP 68389XDC6 Feb 2026 7,430,000 -1,003,000 $6.4M -11.7% 0.02% DBT
1110 LPL HOLDINGS INC 50212YAL8 Feb 2026 6,385,000 -144,000 $6.4M -3.6% 0.02% DBT
1111 SUMITOMO MITSUI FINL GRP 86562MCW8 Feb 2026 6,223,000 -7,535,000 $6.4M -55.7% 0.02% DBT
1112 MERCK & CO INC 58933YBN4 Feb 2026 7,099,000 -931,000 $6.4M -13.8% 0.02% DBT
1113 ING GROEP NV 456837BR3 Feb 2026 6,368,000 -2,904,000 $6.4M -32.8% 0.02% DBT
1114 ENERGY TRANSFER LP 29278NAE3 Feb 2026 6,574,000 -2,206,000 $6.4M -25.8% 0.02% DBT
1115 AMERICAN HONDA FINANCE 02665WGF2 Feb 2026 6,381,000 -1,877,000 $6.4M -25.0% 0.02% DBT
1116 BROOKFIELD FINANCE INC 11271LAL6 Feb 2026 6,468,000 -1,589,000 $6.4M -21.4% 0.02% DBT
1117 DELL INT LLC / EMC CORP 24703DBT7 Feb 2026 6,462,000 -8,000,000 $6.4M -56.0% 0.02% DBT
1118 RTX CORP 75513ECR0 Feb 2026 6,290,000 -6,685,000 $6.4M -52.8% 0.02% DBT
1119 CON EDISON CO OF NY INC 209111GP2 Feb 2026 6,477,000 -415,000 $6.4M -8.5% 0.02% DBT
1120 HCA INC 404119DH9 Feb 2026 6,823,000 -814,000 $6.4M -12.9% 0.02% DBT
1121 ASTRAZENECA FINANCE LLC 04636NAM5 Feb 2026 6,310,000 -3,476,000 $6.4M -37.0% 0.02% DBT
1122 GEORGIA POWER CO 373334JW2 Feb 2026 7,382,000 -389,000 $6.4M -8.2% 0.02% DBT
1123 SHELL FINANCE US INC 822905AB1 Feb 2026 6,806,000 -3,928,000 $6.4M -37.6% 0.02% DBT
1124 FLORIDA POWER & LIGHT CO 341081HB6 Feb 2026 6,656,000 -2,869,000 $6.4M -32.3% 0.02% DBT
1125 AON CORP/AON GLOBAL HOLD 03740LAG7 Feb 2026 6,251,000 -1,866,000 $6.4M -24.7% 0.02% DBT
1126 GILEAD SCIENCES INC 375558BT9 Feb 2026 10,128,000 -9,279,000 $6.4M -48.8% 0.02% DBT
1127 FLORIDA POWER & LIGHT CO 341081GE1 Feb 2026 10,190,000 -2,852,000 $6.4M -24.4% 0.02% DBT
1128 NORTHROP GRUMMAN CORP 666807CH3 Feb 2026 6,419,000 -1,552,000 $6.4M -21.6% 0.02% DBT
1129 SOUTHERN CO 842587DE4 Feb 2026 6,590,000 -1,763,000 $6.4M -22.4% 0.02% DBT
1130 VIRGINIA ELEC & POWER CO 927804GW8 Feb 2026 6,577,000 -728,000 $6.4M -11.7% 0.02% DBT
1131 PROLOGIS LP 74340XCE9 Feb 2026 6,418,000 -2,992,000 $6.4M -33.5% 0.02% DBT
1132 TARGA RESOURCES CORP 87612GAC5 Feb 2026 6,014,000 -1,597,000 $6.4M -22.6% 0.02% DBT
1133 AMAZON.COM INC 023135BU9 Feb 2026 11,526,000 -1,072,000 $6.4M -10.6% 0.02% DBT
1134 CANADIAN NATL RAILWAY 136375DC3 Feb 2026 6,658,000 -1,801,000 $6.4M -23.2% 0.02% DBT
1135 TARGET CORP 87612EBS4 Feb 2026 6,537,000 -4,793,000 $6.4M -43.8% 0.02% DBT
1136 ENERGY TRANSFER LP 29273RBL2 Feb 2026 7,075,000 -2,016,000 $6.4M -23.2% 0.02% DBT
1137 PFIZER INC 717081EU3 Feb 2026 7,299,000 -4,018,000 $6.4M -37.4% 0.02% DBT
1138 PHILLIPS 66 718546AK0 Feb 2026 6,530,000 -1,573,000 $6.4M -20.9% 0.02% DBT
1139 MARRIOTT INTERNATIONAL 571903BG7 Feb 2026 6,920,000 -1,263,000 $6.4M -17.1% 0.02% DBT
1140 HALLIBURTON CO 406216BJ9 Feb 2026 6,517,000 -2,105,000 $6.4M -26.3% 0.02% DBT
1141 KROGER CO 501044DN8 Feb 2026 8,449,000 -1,442,000 $6.4M -17.3% 0.02% DBT
1142 CONOCOPHILLIPS COMPANY 20826FBG0 Feb 2026 6,541,000 -1,535,000 $6.3M -20.2% 0.02% DBT
1143 BHP BILLITON FIN USA LTD 055451BE7 Feb 2026 6,196,000 -6,484,000 $6.3M -52.3% 0.02% DBT
1144 SUNCOR ENERGY INC 86722TAB8 Feb 2026 5,723,000 -83,000 $6.3M -3.0% 0.02% DBT
1145 RTX CORP 913017CA5 Feb 2026 7,694,000 -3,306,000 $6.3M -32.5% 0.02% DBT
1146 MIZUHO FINANCIAL GROUP 60687YDJ5 Feb 2026 6,256,000 -252,000 $6.3M -6.9% 0.02% DBT
1147 CVS HEALTH CORP 126650DX5 Feb 2026 6,207,000 -4,049,000 $6.3M -40.7% 0.02% DBT
1148 BAT CAPITAL CORP 05526DBY0 Feb 2026 6,060,000 -335,000 $6.3M -7.5% 0.02% DBT
1149 BLUE OWL CREDIT INCOME 69120VAZ4 Feb 2026 6,311,000 -493,000 $6.3M -7.5% 0.02% DBT
1150 METLIFE INC 59156RBR8 Feb 2026 7,223,000 -159,000 $6.3M -2.9% 0.02% DBT
1151 FIFTH THIRD BANCORP 316773DL1 Feb 2026 6,132,000 -3,163,000 $6.3M -35.5% 0.02% DBT
1152 IBM CORP 459200KY6 Feb 2026 6,320,000 -3,523,000 $6.3M -37.0% 0.02% DBT
1153 WILLIAMS COMPANIES INC 969457CN8 Feb 2026 6,433,000 -4,408,000 $6.3M -41.6% 0.02% DBT
1154 BECTON DICKINSON & CO 075887CL1 Feb 2026 7,121,000 -1,653,000 $6.3M -20.2% 0.02% DBT
1155 HSBC HOLDINGS PLC 404280DM8 Feb 2026 5,923,000 -1,489,000 $6.3M -22.2% 0.02% DBT
1156 GILEAD SCIENCES INC 375558BG7 Feb 2026 6,448,000 -1,094,000 $6.3M -16.5% 0.02% DBT
1157 WALT DISNEY COMPANY/THE 254687EB8 Feb 2026 5,679,000 -1,253,000 $6.3M -20.2% 0.02% DBT
1158 MPLX LP 55336VBV1 Feb 2026 6,297,000 -10,916,000 $6.3M -64.1% 0.02% DBT
1159 PHILIP MORRIS INTL INC 718172DY2 Feb 2026 6,422,000 -4,169,000 $6.3M -40.6% 0.02% DBT
1160 DUPONT DE NEMOURS INC 26078JAE0 Feb 2026 6,349,000 -1,208,000 $6.3M -18.1% 0.02% DBT
1161 TOTALENERGIES CAP INTL 89153VAT6 Feb 2026 6,625,000 -5,821,000 $6.3M -47.8% 0.02% DBT
1162 SOUTHERN CO 842587EA1 Feb 2026 6,419,000 -2,609,000 $6.3M -30.5% 0.02% DBT
1163 ABBVIE INC 00287YDZ9 Feb 2026 6,173,000 -3,843,000 $6.3M -39.5% 0.02% DBT
1164 CONAGRA BRANDS INC 205887CE0 Feb 2026 7,206,000 -440,000 $6.3M -8.7% 0.02% DBT
1165 APPLE INC 037833EA4 Feb 2026 11,475,000 -5,871,000 $6.2M -35.9% 0.02% DBT
1166 KINDER MORGAN INC 49456BAQ4 Feb 2026 6,821,000 -3,322,000 $6.2M -34.4% 0.02% DBT
1167 LOWE'S COS INC 548661EX1 Feb 2026 6,406,000 -4,188,000 $6.2M -41.0% 0.02% DBT
1168 RTX CORP 75513ECV1 Feb 2026 5,895,000 -3,399,000 $6.2M -38.1% 0.02% DBT
1169 JOHNSON & JOHNSON 478160CL6 Feb 2026 7,180,000 -5,170,000 $6.2M -43.3% 0.02% DBT
1170 PFIZER INC 717081DK6 Feb 2026 7,144,000 -2,925,000 $6.2M -31.9% 0.02% DBT
1171 HCA INC 404119CC1 Feb 2026 7,014,000 -6,194,000 $6.2M -47.8% 0.02% DBT
1172 BRIXMOR OPERATING PART 11120VAH6 Feb 2026 6,309,000 -1,050,000 $6.2M -15.5% 0.02% DBT
1173 ANHEUSER-BUSCH INBEV WOR 035240AT7 Feb 2026 6,948,000 -3,875,000 $6.2M -37.8% 0.02% DBT
1174 CIGNA GROUP/THE 125523CS7 Feb 2026 6,058,000 -265,000 $6.2M -6.4% 0.02% DBT
1175 GLOBAL PAYMENTS INC 37940XAQ5 Feb 2026 6,214,000 -3,898,000 $6.2M -39.6% 0.02% DBT
1176 DOMINION ENERGY INC 25746UDR7 Feb 2026 6,062,000 -1,024,000 $6.2M -16.3% 0.02% DBT
1177 DELL INT LLC / EMC CORP 24703TAM8 Feb 2026 6,134,000 -1,024,000 $6.2M -15.6% 0.02% DBT
1178 WILLIAMS COMPANIES INC 969457CJ7 Feb 2026 6,007,000 -4,713,000 $6.2M -45.2% 0.02% DBT
1179 BANK OF NOVA SCOTIA 06418GAZ0 Feb 2026 6,295,000 -422,000 $6.2M -8.5% 0.02% DBT
1180 CISCO SYSTEMS INC 17275RBZ4 Feb 2026 6,115,000 -1,257,000 $6.2M -19.0% 0.02% DBT
1181 CHARTER COMM OPT LLC/CAP 161175BS2 Feb 2026 8,079,000 -3,977,000 $6.2M -35.0% 0.02% DBT
1182 THERMO FISHER SCIENTIFIC 883556DH2 Feb 2026 6,285,000 -2,697,000 $6.2M -31.8% 0.02% DBT
1183 MARSH & MCLENNAN COS INC 571748BN1 Feb 2026 6,830,000 -4,390,000 $6.2M -39.9% 0.02% DBT
1184 CITIGROUP INC 172967JU6 Feb 2026 7,011,000 -472,000 $6.2M -9.5% 0.02% DBT
1185 NEXTERA ENERGY CAPITAL 65339KDL1 Feb 2026 6,060,000 -3,055,000 $6.2M -34.9% 0.02% DBT
1186 PROLOGIS LP 74340XBR1 Feb 2026 7,090,000 -1,325,000 $6.2M -17.0% 0.02% DBT
1187 MICRON TECHNOLOGY INC 595112BS1 Feb 2026 6,877,000 -481,000 $6.2M -8.2% 0.02% DBT
1188 ARES CAPITAL CORP 04010LBK8 Feb 2026 6,226,000 -2,476,000 $6.2M -28.5% 0.02% DBT
1189 CHUBB INA HOLDINGS LLC 171239AK2 Feb 2026 6,142,000 -3,552,000 $6.2M -38.3% 0.02% DBT
1190 MASTERCARD INC 57636QAL8 Feb 2026 8,225,000 -325,000 $6.2M -6.3% 0.02% DBT
1191 BOSTON PROPERTIES LP 10112RBH6 Feb 2026 5,812,000 -1,009,000 $6.2M -15.7% 0.02% DBT
1192 SUMITOMO MITSUI FINL GRP 86562MCJ7 Feb 2026 7,024,000 -10,966,000 $6.2M -61.8% 0.02% DBT
1193 PACIFIC GAS & ELECTRIC 694308KX4 Feb 2026 5,966,000 -1,191,000 $6.2M -19.1% 0.02% DBT
1194 COMCAST CORP 20030NBZ3 Feb 2026 8,255,000 -6,000 $6.2M -3.9% 0.02% DBT
1195 ASTRAZENECA PLC 046353AU2 Feb 2026 7,146,000 -705,000 $6.2M -11.5% 0.02% DBT
1196 METLIFE INC 59156RBG2 Feb 2026 6,684,000 -3,190,000 $6.1M -32.9% 0.02% DBT
1197 COCA-COLA CO/THE 191216DY3 Feb 2026 6,120,000 -2,773,000 $6.1M -33.2% 0.02% DBT
1198 UNITED PARCEL SERVICE 911312CJ3 Feb 2026 6,003,000 -3,493,000 $6.1M -38.5% 0.02% DBT
1199 EXXON MOBIL CORPORATION 30231GAZ5 Feb 2026 9,022,000 -9,326,000 $6.1M -52.3% 0.02% DBT
1200 VICI PROPERTIES LP 925650AH6 Feb 2026 6,146,000 -2,348,000 $6.1M -29.1% 0.02% DBT
1201 DUKE ENERGY CORP 26441CCE3 Feb 2026 5,986,000 -709,000 $6.1M -12.9% 0.02% DBT
1202 L3HARRIS TECH INC 502431AT6 Feb 2026 5,993,000 -3,976,000 $6.1M -41.3% 0.02% DBT
1203 BURLINGTN NORTH SANTA FE 12189LBM2 Feb 2026 6,053,000 -1,560,000 $6.1M -22.7% 0.02% DBT
1204 BHP BILLITON FIN USA LTD 055451BL1 Feb 2026 5,987,000 -4,457,000 $6.1M -44.0% 0.02% DBT
1205 BP CAP MARKETS AMERICA 10373QBS8 Feb 2026 9,573,000 -2,403,000 $6.1M -22.2% 0.02% DBT
1206 PUBLIC SERVICE COLORADO 744448CY5 Feb 2026 6,637,000 -1,399,000 $6.1M -19.0% 0.02% DBT
1207 FISERV INC 337738BP2 Feb 2026 6,251,000 -8,456,000 $6.1M -58.2% 0.02% DBT
1208 ROPER TECHNOLOGIES INC 776743AL0 Feb 2026 7,060,000 -7,676,000 $6.1M -52.7% 0.02% DBT
1209 CHARTER COMM OPT LLC/CAP 161175BM5 Feb 2026 6,852,000 -2,908,000 $6.1M -32.3% 0.02% DBT
1210 HONEYWELL INTERNATIONAL 438516BU9 Feb 2026 6,454,000 -1,185,000 $6.1M -16.8% 0.02% DBT
1211 BAT CAPITAL CORP 05526DBN4 Feb 2026 6,065,000 -1,638,000 $6.1M -22.7% 0.02% DBT
1212 BERKSHIRE HATHAWAY ENERG 084659BC4 Feb 2026 9,995,000 -1,084,000 $6.1M -12.3% 0.02% DBT
1213 SEMPRA 816851BH1 Feb 2026 7,201,000 -804,000 $6.1M -12.6% 0.02% DBT
1214 WASTE MANAGEMENT INC 94106LCD9 Feb 2026 6,050,000 -128,000 $6.1M -4.4% 0.02% DBT
1215 ENBRIDGE INC 29250NAZ8 Feb 2026 6,401,000 -2,233,000 $6.1M -26.9% 0.02% DBT
1216 ASCENSION HEALTH 04352EAA3 Feb 2026 6,508,000 -1,849,000 $6.1M -23.5% 0.02% DBT
1217 LYONDELLBASELL IND NV 552081AM3 Feb 2026 7,870,000 -850,000 $6.1M -9.1% 0.02% DBT
1218 MICROSOFT CORP 594918CA0 Feb 2026 7,133,000 -5,966,000 $6.1M -47.6% 0.02% DBT
1219 GE HEALTHCARE TECH INC 36266GAA5 Feb 2026 6,060,000 -4,771,000 $6.1M -45.1% 0.02% DBT
1220 WELLTOWER OP LLC 95041AAF5 Feb 2026 6,107,000 -754,000 $6.1M -12.7% 0.02% DBT
1221 BANK OF MONTREAL 06368ME67 Feb 2026 6,183,000 -3,890,000 $6.1M -39.9% 0.02% DBT
1222 BROADCOM INC 11135FCW9 Feb 2026 6,175,000 -2,096,000 $6.1M -26.8% 0.02% DBT
1223 AMGEN INC 031162CW8 Feb 2026 6,739,000 -3,339,000 $6.1M -34.3% 0.02% DBT
1224 BLUE OWL CREDIT INCOME 09581CAB7 Feb 2026 6,027,000 -1,999,000 $6.1M -25.0% 0.02% DBT
1225 ROYAL BANK OF CANADA 78016HZQ6 Feb 2026 6,012,000 -949,000 $6.1M -15.8% 0.02% DBT
1226 PEPSICO INC 713448FM5 Feb 2026 6,257,000 -2,355,000 $6.1M -28.9% 0.02% DBT
1227 IBM CORP 459200LK5 Feb 2026 6,319,000 -1,787,000 $6.1M -24.0% 0.02% DBT
1228 CVS HEALTH CORP 126650DT4 Feb 2026 5,983,000 -11,807,000 $6.1M -66.9% 0.02% DBT
1229 ELEVANCE HEALTH INC 036752BJ1 Feb 2026 6,164,000 -967,000 $6.1M -15.7% 0.02% DBT
1230 GENERAL MOTORS FINL CO 37045XEZ5 Feb 2026 6,016,000 -1,837,000 $6.0M -24.6% 0.02% DBT
1231 CHEVRON CORP 166764BY5 Feb 2026 6,546,000 -5,405,000 $6.0M -46.0% 0.02% DBT
1232 PRUDENTIAL FINANCIAL INC 74432QCA1 Feb 2026 6,933,000 -392,000 $6.0M -7.4% 0.02% DBT
1233 STRYKER CORP 863667BL4 Feb 2026 5,974,000 -5,080,000 $6.0M -47.0% 0.02% DBT
1234 BANCO SANTANDER SA 05964HAM7 Feb 2026 6,577,000 -646,000 $6.0M -10.5% 0.02% DBT
1235 EOG RESOURCES INC 26875PAU5 Feb 2026 6,057,000 -1,072,000 $6.0M -16.6% 0.02% DBT
1236 BERRY GLOBAL INC 08576BAB8 Feb 2026 5,793,000 -1,872,000 $6.0M -26.1% 0.02% DBT
1237 ELEVANCE HEALTH INC 036752AP8 Feb 2026 6,642,000 -2,486,000 $6.0M -28.3% 0.02% DBT
1238 CORNING INC 219350BF1 Feb 2026 7,507,000 -132,000 $6.0M -5.4% 0.02% DBT
1239 INTERCONTINENTALEXCHANGE 45866FAV6 Feb 2026 6,044,000 -2,629,000 $6.0M -31.5% 0.02% DBT
1240 CONSTELLATION EN GEN LLC 30161MAG8 Feb 2026 5,705,000 -875,000 $6.0M -16.5% 0.02% DBT
1241 OCCIDENTAL PETROLEUM COR 674599DD4 Feb 2026 5,402,000 -1,178,000 $6.0M -19.7% 0.02% DBT
1242 PLAINS ALL AMER PIPELINE 72650RBN1 Feb 2026 6,252,000 -319,000 $6.0M -6.6% 0.02% DBT
1243 LOWE'S COS INC 548661EW3 Feb 2026 6,136,000 -7,978,000 $6.0M -57.6% 0.02% DBT
1244 INTEL CORP 458140BN9 Feb 2026 7,203,000 -929,000 $6.0M -10.8% 0.02% DBT
1245 COCA-COLA CO/THE 191216CM0 Feb 2026 6,405,000 -3,975,000 $6.0M -39.1% 0.02% DBT
1246 PFIZER INC 717081EC3 Feb 2026 6,530,000 -7,478,000 $6.0M -54.8% 0.02% DBT
1247 PAYPAL HOLDINGS INC 70450YAM5 Feb 2026 6,950,000 -103,000 $6.0M -5.1% 0.02% DBT
1248 FIDELITY NATL INFO SERV 31620MBY1 Feb 2026 5,991,000 -1,988,000 $6.0M -25.7% 0.02% DBT
1249 DELL INT LLC / EMC CORP 24703TAH9 Feb 2026 5,695,000 -309,000 $6.0M -6.8% 0.02% DBT
1250 NIKE INC 654106AL7 Feb 2026 7,539,000 -207,000 $6.0M -5.8% 0.02% DBT
1251 PHILIP MORRIS INTL INC 718172DT3 Feb 2026 6,042,000 -2,237,000 $6.0M -28.5% 0.02% DBT
1252 WASTE MANAGEMENT INC 94106LBY4 Feb 2026 5,898,000 -2,537,000 $6.0M -31.8% 0.02% DBT
1253 INTEL CORP 458140CH1 Feb 2026 6,163,000 -4,506,000 $6.0M -42.5% 0.02% DBT
1254 UNITEDHEALTH GROUP INC 91324PAR3 Feb 2026 5,708,000 -2,660,000 $6.0M -33.2% 0.02% DBT
1255 MPLX LP 55336VAL4 Feb 2026 6,665,000 -3,284,000 $6.0M -34.0% 0.02% DBT
1256 IBM CORP 459200KU4 Feb 2026 6,124,000 -2,139,000 $6.0M -27.4% 0.02% DBT
1257 MPLX LP 55336VBY5 Feb 2026 5,970,000 -3,912,000 $6.0M -40.8% 0.02% DBT
1258 BERKSHIRE HATHAWAY FIN 084664BL4 Feb 2026 5,575,000 -1,209,000 $6.0M -19.8% 0.02% DBT
1259 WASTE MANAGEMENT INC 94106LBT5 Feb 2026 5,949,000 -2,335,000 $6.0M -29.5% 0.02% DBT
1260 ENBRIDGE INC 29250NBY0 Feb 2026 5,657,000 -716,000 $6.0M -13.4% 0.02% DBT
1261 CROWN CASTLE INC 22822VBC4 Feb 2026 6,010,000 -7,521,000 $6.0M -56.7% 0.02% DBT
1262 ELEVANCE HEALTH INC 036752BC6 Feb 2026 5,930,000 -1,196,000 $6.0M -18.5% 0.02% DBT
1263 KINDER MORGAN INC 49456BAG6 Feb 2026 5,895,000 -3,259,000 $6.0M -37.1% 0.02% DBT
1264 PHILLIPS 66 CO 718547AU6 Feb 2026 5,843,000 -6,740,000 $6.0M -54.6% 0.02% DBT
1265 WALT DISNEY COMPANY/THE 254687FQ4 Feb 2026 6,092,000 -5,491,000 $6.0M -48.5% 0.02% DBT
1266 BURLINGTN NORTH SANTA FE 12189LAU5 Feb 2026 6,763,000 -787,000 $6.0M -12.7% 0.02% DBT
1267 ANHEUSER-BUSCH INBEV WOR 03523TBY3 Feb 2026 5,898,000 -3,473,000 $6.0M -38.9% 0.02% DBT
1268 MERCK & CO INC 58933YBQ7 Feb 2026 6,009,000 -1,325,000 $6.0M -19.6% 0.02% DBT
1269 KINDER MORGAN INC 49456BBC4 Feb 2026 5,678,000 -721,000 $6.0M -13.3% 0.02% DBT
1270 EXELON CORP 30161NBV2 Feb 2026 6,119,000 -3,827,000 $6.0M -39.7% 0.02% DBT
1271 MERCK & CO INC 58933YBL8 Feb 2026 6,435,000 -3,540,000 $5.9M -37.4% 0.02% DBT
1272 VIRGINIA ELEC & POWER CO 927804GY4 Feb 2026 6,040,000 -3,485,000 $5.9M -37.2% 0.02% DBT
1273 MERCK & CO INC 58933YAZ8 Feb 2026 6,690,000 -4,859,000 $5.9M -43.1% 0.02% DBT
1274 DELL INT LLC / EMC CORP 24703DBN0 Feb 2026 5,817,000 -5,725,000 $5.9M -50.2% 0.02% DBT
1275 WILLIAMS COMPANIES INC 969457CA6 Feb 2026 6,493,000 -1,467,000 $5.9M -19.7% 0.02% DBT
1276 MARSH & MCLENNAN COS INC 571748BV3 Feb 2026 6,014,000 -2,146,000 $5.9M -26.8% 0.02% DBT
1277 KINDER MORGAN INC 49456BAJ0 Feb 2026 6,560,000 -1,506,000 $5.9M -20.0% 0.02% DBT
1278 GLOBAL PAYMENTS INC 37940XAB8 Feb 2026 6,276,000 -6,407,000 $5.9M -51.2% 0.02% DBT
1279 RIO TINTO ALCAN INC 013716AU9 Feb 2026 5,551,000 -1,004,000 $5.9M -17.7% 0.02% DBT
1280 DEUTSCHE BANK NY 251526CY3 Feb 2026 5,937,000 -3,147,000 $5.9M -36.2% 0.02% DBT
1281 ABBVIE INC 00287YEA3 Feb 2026 5,828,000 -5,499,000 $5.9M -49.8% 0.02% DBT
1282 PEPSICO INC 713448FA1 Feb 2026 6,800,000 -1,330,000 $5.9M -17.9% 0.02% DBT
1283 COCA-COLA CO/THE 191216DS6 Feb 2026 6,137,000 -2,221,000 $5.9M -28.5% 0.02% DBT
1284 ENERGY TRANSFER LP 29273RBF5 Feb 2026 6,645,000 -3,905,000 $5.9M -37.8% 0.02% DBT
1285 APPLE INC 037833EN6 Feb 2026 6,081,000 -7,646,000 $5.9M -56.3% 0.02% DBT
1286 UNITEDHEALTH GROUP INC 91324PDS8 Feb 2026 6,205,000 -6,255,000 $5.9M -50.9% 0.02% DBT
1287 ENTERPRISE PRODUCTS OPER 29379VBU6 Feb 2026 6,698,000 -3,870,000 $5.9M -37.6% 0.02% DBT
1288 CVS HEALTH CORP 126650EA4 Feb 2026 6,095,000 -246,000 $5.9M -4.7% 0.02% DBT
1289 APPLE INC 037833DG2 Feb 2026 7,594,000 -2,416,000 $5.9M -26.5% 0.02% DBT
1290 NEXTERA ENERGY CAPITAL 65339KCJ7 Feb 2026 5,860,000 -2,395,000 $5.9M -30.6% 0.02% DBT
1291 HUMANA INC 444859CD2 Feb 2026 5,904,000 -451,000 $5.9M -8.7% 0.02% DBT
1292 FORD MOTOR CREDIT CO LLC 345397G98 Feb 2026 5,686,000 -3,203,000 $5.9M -37.5% 0.02% DBT
1293 RIO TINTO FIN USA LTD 767201AT3 Feb 2026 9,613,000 -1,679,000 $5.9M -17.4% 0.02% DBT
1294 COMCAST CORP 20030NEB3 Feb 2026 5,690,000 -3,901,000 $5.9M -42.3% 0.02% DBT
1295 AMERICAN TOWER CORP 03027XBA7 Feb 2026 6,261,000 -5,625,000 $5.9M -48.1% 0.02% DBT
1296 XCEL ENERGY INC 98389BBB5 Feb 2026 5,767,000 -537,000 $5.9M -10.4% 0.02% DBT
1297 T-MOBILE USA INC 87264ADW2 Feb 2026 5,981,000 -6,134,000 $5.9M -51.8% 0.02% DBT
1298 PRUDENTIAL FINANCIAL INC 74432QCE3 Feb 2026 7,244,000 -1,462,000 $5.9M -17.2% 0.02% DBT
1299 INTEL CORP 458140CC2 Feb 2026 7,023,000 -1,293,000 $5.9M -14.8% 0.02% DBT
1300 METLIFE INC 59156RCC0 Feb 2026 6,490,000 -780,000 $5.9M -10.4% 0.02% DBT
1301 MPLX LP 55336VCE8 Feb 2026 5,949,000 -1,137,000 $5.9M -17.6% 0.02% DBT
1302 BERKSHIRE HATHAWAY FIN 084664DA6 Feb 2026 6,345,000 -4,593,000 $5.9M -42.9% 0.02% DBT
1303 CHARTER COMM OPT LLC/CAP 161175CG7 Feb 2026 10,010,000 -3,155,000 $5.9M -26.8% 0.02% DBT
1304 SIMON PROPERTY GROUP LP 828807DH7 Feb 2026 8,530,000 -140,000 $5.9M -3.7% 0.02% DBT
1305 CROWN CASTLE INC 22822VAR2 Feb 2026 6,217,000 -3,079,000 $5.9M -34.1% 0.02% DBT
1306 ONCOR ELECTRIC DELIVERY 68233JCS1 Feb 2026 5,608,000 -988,000 $5.9M -17.0% 0.02% DBT
1307 BELL CANADA 0778FPAL3 Feb 2026 5,831,000 -3,003,000 $5.9M -35.4% 0.02% DBT
1308 SUMITOMO MITSUI FINL GRP 86562MBP4 Feb 2026 6,152,000 -5,867,000 $5.9M -49.6% 0.02% DBT
1309 MARTIN MARIETTA MATERIAL 573284AW6 Feb 2026 6,545,000 -4,340,000 $5.9M -40.8% 0.02% DBT
1310 PACIFIC GAS & ELECTRIC 694308KV8 Feb 2026 6,003,000 -2,157,000 $5.9M -28.6% 0.02% DBT
1311 HOME DEPOT INC 437076CF7 Feb 2026 6,758,000 -3,931,000 $5.9M -37.8% 0.02% DBT
1312 WASTE CONNECTIONS INC 94106BAF8 Feb 2026 6,070,000 -2,098,000 $5.9M -27.5% 0.02% DBT
1313 HUNTINGTON BANCSHARES 446150BE3 Feb 2026 5,766,000 -5,195,000 $5.9M -48.4% 0.02% DBT
1314 APPLE INC 037833EL0 Feb 2026 10,033,000 -1,703,000 $5.8M -17.4% 0.02% DBT
1315 EXXON MOBIL CORPORATION 30231GAN2 Feb 2026 7,518,000 -1,678,000 $5.8M -20.6% 0.02% DBT
1316 T-MOBILE USA INC 87264ADN2 Feb 2026 6,502,000 -1,435,000 $5.8M -20.1% 0.02% DBT
1317 TARGA RESOURCES CORP 87612GAQ4 Feb 2026 5,715,000 -3,775,000 $5.8M -40.8% 0.02% DBT
1318 DOMINION ENERGY INC 25746UDL0 Feb 2026 6,582,000 -2,969,000 $5.8M -32.3% 0.02% DBT
1319 NXP BV/NXP FDG/NXP USA 62954HAY4 Feb 2026 6,104,000 -1,321,000 $5.8M -18.9% 0.02% DBT
1320 ORACLE CORP 68389XAW5 Feb 2026 7,646,000 -3,942,000 $5.8M -34.7% 0.02% DBT
1321 SMURFIT WESTROCK FIN 83272YAB8 Feb 2026 5,766,000 -3,579,000 $5.8M -39.9% 0.02% DBT
1322 KINDER MORGAN INC 49456BAT8 Feb 2026 8,238,000 -2,548,000 $5.8M -24.8% 0.02% DBT
1323 COMCAST CORP 20030NEJ6 Feb 2026 5,731,000 -8,436,000 $5.8M -60.6% 0.02% DBT
1324 PHILIP MORRIS INTL INC 718172DE6 Feb 2026 5,577,000 -3,843,000 $5.8M -42.3% 0.02% DBT
1325 SUMITOMO MITSUI FINL GRP 86562MDJ6 Feb 2026 5,554,000 -1,918,000 $5.8M -27.8% 0.02% DBT
1326 CF INDUSTRIES INC 12527GAF0 Feb 2026 5,839,000 -4,470,000 $5.8M -44.6% 0.02% DBT
1327 ROYAL BANK OF CANADA 78017DAM0 Feb 2026 5,825,000 -2,609,000 $5.8M -32.5% 0.02% DBT
1328 TOYOTA MOTOR CREDIT CORP 89236TMK8 Feb 2026 5,795,000 -1,705,000 $5.8M -24.2% 0.02% DBT
1329 AMCOR FLEXIBLES NORTH AM 02344AAA6 Feb 2026 6,419,000 -747,000 $5.8M -12.2% 0.02% DBT
1330 GENERAL MOTORS FINL CO 37045XFC5 Feb 2026 5,637,000 -3,129,000 $5.8M -36.9% 0.02% DBT
1331 T-MOBILE USA INC 87264ADT9 Feb 2026 5,735,000 -7,275,000 $5.8M -56.9% 0.02% DBT
1332 ORACLE CORP 68389XBG9 Feb 2026 8,479,000 -4,330,000 $5.8M -34.1% 0.02% DBT
1333 LOCKHEED MARTIN CORP 539830BS7 Feb 2026 7,314,000 -4,486,000 $5.8M -39.8% 0.02% DBT
1334 SANTANDER UK GROUP HLDGS 80281LAY1 Feb 2026 5,975,000 -5,652,000 $5.8M -50.2% 0.02% DBT
1335 PEPSICO INC 713448FZ6 Feb 2026 6,014,000 -1,370,000 $5.8M -21.2% 0.02% DBT
1336 BLACKSTONE PRIVATE CRE 09261HBW6 Feb 2026 6,015,000 -2,987,000 $5.8M -33.7% 0.02% DBT
1337 AT&T INC 00206RCU4 Feb 2026 5,997,000 -2,620,000 $5.8M -33.9% 0.02% DBT
1338 GILEAD SCIENCES INC 375558BS1 Feb 2026 7,932,000 -4,632,000 $5.8M -38.6% 0.02% DBT
1339 CHARTER COMM OPT LLC/CAP 161175CL6 Feb 2026 7,527,000 -1,034,000 $5.8M -15.5% 0.02% DBT
1340 AMERICAN TOWER CORP 03027XBZ2 Feb 2026 5,558,000 -631,000 $5.8M -12.4% 0.02% DBT
1341 IBM CORP 459200LH2 Feb 2026 5,696,000 -5,550,000 $5.8M -50.3% 0.02% DBT
1342 DUKE ENERGY CAROLINAS 26442CBK9 Feb 2026 6,093,000 -2,720,000 $5.8M -32.8% 0.02% DBT
1343 GILEAD SCIENCES INC 375558CB7 Feb 2026 5,678,000 -550,000 $5.7M -10.4% 0.02% DBT
1344 RTX CORP 913017CJ6 Feb 2026 7,499,000 -2,438,000 $5.7M -27.0% 0.02% DBT
1345 AMPHENOL CORP 032095AY7 Feb 2026 5,847,000 -1,655,000 $5.7M -23.7% 0.02% DBT
1346 KEYCORP 49326EEJ8 Feb 2026 6,123,000 -3,509,000 $5.7M -37.3% 0.02% DBT
1347 GENERAL MOTORS FINL CO 37045XFG6 Feb 2026 5,583,000 -3,104,000 $5.7M -37.1% 0.02% DBT
1348 SUMITOMO MITSUI FINL GRP 86562MEG1 Feb 2026 5,838,000 -2,835,000 $5.7M -34.9% 0.02% DBT
1349 UNION PACIFIC CORP 907818EM6 Feb 2026 7,651,000 -1,792,000 $5.7M -21.1% 0.02% DBT
1350 BERKSHIRE HATHAWAY FIN 084664CW9 Feb 2026 6,430,000 -484,000 $5.7M -8.2% 0.02% DBT
1351 EOG RESOURCES INC 26875PBA8 Feb 2026 5,576,000 -415,000 $5.7M -8.5% 0.02% DBT
1352 VIRGINIA ELEC & POWER CO 927804GL2 Feb 2026 6,006,000 -197,000 $5.7M -4.1% 0.02% DBT
1353 PNC BANK NA 69349LAS7 Feb 2026 6,065,000 -379,000 $5.7M -7.0% 0.02% DBT
1354 BERKSHIRE HATHAWAY ENERG 084659BF7 Feb 2026 6,825,000 -771,000 $5.7M -11.7% 0.02% DBT
1355 MERCK & CO INC 58933YBA2 Feb 2026 8,003,000 -45,000 $5.7M -3.4% 0.02% DBT
1356 EQUINIX INC 29444UBH8 Feb 2026 6,320,000 -6,913,000 $5.7M -52.9% 0.02% DBT
1357 MCDONALD'S CORP 58013MEZ3 Feb 2026 5,806,000 -633,000 $5.7M -12.6% 0.02% DBT
1358 JM SMUCKER CO 832696AX6 Feb 2026 5,329,000 -621,000 $5.7M -12.9% 0.02% DBT
1359 CSX CORP 126408HK2 Feb 2026 6,879,000 -498,000 $5.7M -9.6% 0.02% DBT
1360 ALEXANDRIA REAL ESTATE E 015271AY5 Feb 2026 6,687,000 -634,000 $5.7M -10.8% 0.02% DBT
1361 ELI LILLY & CO 532457CH9 Feb 2026 6,384,000 -2,510,000 $5.7M -29.8% 0.02% DBT
1362 GENERAL MOTORS FINL CO 37045XDE3 Feb 2026 6,332,000 -5,383,000 $5.7M -46.7% 0.02% DBT
1363 RTX CORP 75513ECP4 Feb 2026 8,817,000 -3,756,000 $5.7M -32.0% 0.02% DBT
1364 KINDER MORGAN INC 49456BAR2 Feb 2026 6,394,000 -2,471,000 $5.7M -29.3% 0.02% DBT
1365 PROCTER & GAMBLE CO/THE 742718GA1 Feb 2026 5,760,000 -1,842,000 $5.7M -26.2% 0.02% DBT
1366 AT&T INC 00206RDK5 Feb 2026 6,987,000 -4,362,000 $5.7M -40.6% 0.02% DBT
1367 FLORIDA POWER & LIGHT CO 341081GM3 Feb 2026 5,997,000 -1,945,000 $5.7M -26.9% 0.02% DBT
1368 PHILIP MORRIS INTL INC 718172BL2 Feb 2026 6,745,000 -2,361,000 $5.7M -28.1% 0.02% DBT
1369 GENERAL MOTORS CO 37045VAY6 Feb 2026 5,521,000 -4,334,000 $5.6M -45.0% 0.02% DBT
1370 IBM INTERNAT CAPITAL 449276AE4 Feb 2026 5,680,000 -4,703,000 $5.6M -46.3% 0.02% DBT
1371 ENTERPRISE PRODUCTS OPER 29379VCG6 Feb 2026 5,649,000 -5,877,000 $5.6M -52.2% 0.02% DBT
1372 CHEVRON USA INC 166756BD7 Feb 2026 5,582,000 -3,508,000 $5.6M -39.8% 0.02% DBT
1373 CITIBANK NA 17325FBK3 Feb 2026 5,565,000 -1,715,000 $5.6M -24.7% 0.02% DBT
1374 BANK OF AMERICA CORP 06051GJM2 Feb 2026 8,988,000 -2,288,000 $5.6M -22.4% 0.02% DBT
1375 DIAGEO INVESTMENT CORP 25245BAC1 Feb 2026 5,523,000 -1,386,000 $5.6M -21.7% 0.02% DBT
1376 PUBLIC SERVICE OKLAHOMA 744533BS8 Feb 2026 5,566,000 -1,066,000 $5.6M -18.1% 0.02% DBT
1377 CIGNA GROUP/THE 125523DA5 Feb 2026 5,539,000 -983,000 $5.6M -16.8% 0.02% DBT
1378 DUKE ENERGY PROGRESS LLC 26442UAU8 Feb 2026 5,602,000 -2,612,000 $5.6M -33.3% 0.02% DBT
1379 THERMO FISHER SCIENTIFIC 883556BZ4 Feb 2026 5,944,000 -9,395,000 $5.6M -61.8% 0.02% DBT
1380 CHENIERE ENERGY PARTNERS 16411QAK7 Feb 2026 5,808,000 -12,355,000 $5.6M -68.5% 0.02% DBT
1381 HP ENTERPRISE CO 42824CAX7 Feb 2026 5,210,000 -2,728,000 $5.6M -34.9% 0.02% DBT
1382 CITIZENS FINANCIAL GROUP 174610AT2 Feb 2026 5,906,000 -1,599,000 $5.6M -22.5% 0.02% DBT
1383 ASTRAZENECA PLC 046353AZ1 Feb 2026 8,362,000 -164,000 $5.6M -4.6% 0.02% DBT
1384 LOCKHEED MARTIN CORP 539830BX6 Feb 2026 5,557,000 -3,883,000 $5.6M -42.7% 0.02% DBT
1385 HP ENTERPRISE CO 42824CCA5 Feb 2026 5,667,000 -10,104,000 $5.6M -64.7% 0.02% DBT
1386 ACCENTURE CAPITAL INC 00440KAB9 Feb 2026 5,626,000 -5,075,000 $5.6M -48.3% 0.02% DBT
1387 ABBVIE INC 00287YDT3 Feb 2026 5,471,000 -10,203,000 $5.6M -65.9% 0.02% DBT
1388 UNITEDHEALTH GROUP INC 91324PCD2 Feb 2026 6,557,000 -971,000 $5.6M -14.6% 0.02% DBT
1389 NOVARTIS CAPITAL CORP 66989HAT5 Feb 2026 5,657,000 -7,457,000 $5.6M -57.7% 0.02% DBT
1390 BERKSHIRE HATHAWAY ENERG 084659AV3 Feb 2026 5,735,000 -5,959,000 $5.6M -52.0% 0.02% DBT
1391 UNITEDHEALTH GROUP INC 91324PDQ2 Feb 2026 6,681,000 -4,534,000 $5.6M -41.5% 0.02% DBT
1392 WYETH LLC 983024AG5 Feb 2026 5,052,000 -313,000 $5.6M -8.5% 0.02% DBT
1393 HUNTINGTON BANCSHARES 446150BK9 Feb 2026 5,633,000 -4,335,000 $5.6M -44.7% 0.02% DBT
1394 COMCAST CORP 20030NCG4 Feb 2026 7,712,000 -1,803,000 $5.6M -22.4% 0.02% DBT
1395 DOMINION ENERGY INC 25746UDW6 Feb 2026 5,474,000 -1,653,000 $5.5M -24.6% 0.02% DBT
1396 MIZUHO FINANCIAL GROUP 60687YBL2 Feb 2026 6,219,000 -6,493,000 $5.5M -52.0% 0.02% DBT
1397 PPL CAPITAL FUNDING INC 69352PAT0 Feb 2026 5,508,000 -446,000 $5.5M -9.8% 0.02% DBT
1398 INTEL CORP 458140AK6 Feb 2026 6,168,000 -507,000 $5.5M -8.4% 0.02% DBT
1399 FORD MOTOR CREDI 345397B69 Feb 2026 6,021,000 -5,621,000 $5.5M -49.0% 0.02% DBT
1400 VERIZON COMMUNICATIONS 92343VCM4 Feb 2026 6,354,000 -1,097,000 $5.5M -16.7% 0.02% DBT
1401 TORONTO-DOMINION BANK 89115KAM2 Feb 2026 5,584,000 -143,000 $5.5M -4.5% 0.02% DBT
1402 PROLOGIS LP 74340XCF6 Feb 2026 5,846,000 -64,000 $5.5M -3.2% 0.02% DBT
1403 TEXAS INSTRUMENTS INC 882508BG8 Feb 2026 5,902,000 -3,042,000 $5.5M -34.9% 0.02% DBT
1404 RTX CORP 75513EAD3 Feb 2026 6,034,000 -1,342,000 $5.5M -19.5% 0.02% DBT
1405 US BANCORP 91159HJY7 Feb 2026 5,614,000 -4,790,000 $5.5M -47.4% 0.02% DBT
1406 ENTERPRISE PRODUCTS OPER 29379VAW3 Feb 2026 5,976,000 -2,794,000 $5.5M -33.4% 0.02% DBT
1407 ARES STRATEGIC INCOME FU 04020EAD9 Feb 2026 5,594,000 -1,715,000 $5.5M -23.5% 0.02% DBT
1408 ABBVIE INC 00287YDA4 Feb 2026 6,009,000 -4,403,000 $5.5M -43.7% 0.02% DBT
1409 ELEVANCE HEALTH INC 036752BB8 Feb 2026 5,483,000 -1,145,000 $5.5M -18.8% 0.02% DBT
1410 INTEL CORP 458140BZ2 Feb 2026 5,600,000 -1,077,000 $5.5M -17.3% 0.02% DBT
1411 UNITED PARCEL SERVICE 911312BQ8 Feb 2026 6,805,000 -217,000 $5.5M -6.5% 0.02% DBT
1412 LOCKHEED MARTIN CORP 539830CM9 Feb 2026 5,460,000 -1,883,000 $5.5M -27.5% 0.02% DBT
1413 WILLIAMS COMPANIES INC 969457CS7 Feb 2026 5,484,000 -2,528,000 $5.5M -33.2% 0.02% DBT
1414 TRAVELERS COS INC 89417EAU3 Feb 2026 5,438,000 -220,000 $5.5M -5.4% 0.02% DBT
1415 ALEXANDRIA REAL ESTATE E 015271BF5 Feb 2026 5,602,000 -1,388,000 $5.5M -21.5% 0.02% DBT
1416 DOW CHEMICAL CO/THE 260543DD2 Feb 2026 8,240,000 -80,000 $5.5M +1.8% 0.02% DBT
1417 KINDER MORGAN INC 49456BAW1 Feb 2026 5,841,000 -3,607,000 $5.5M -38.8% 0.02% DBT
1418 DUKE ENERGY CAROLINAS 26442CAH7 Feb 2026 5,519,000 -939,000 $5.5M -16.7% 0.02% DBT
1419 SHELL FINANCE US INC 822905BB0 Feb 2026 8,432,000 -543,000 $5.5M -7.8% 0.02% DBT
1420 COMCAST CORP 20030NCL3 Feb 2026 5,984,000 -4,578,000 $5.5M -45.1% 0.02% DBT
1421 INTEL CORP 458140AN0 Feb 2026 5,793,000 -4,741,000 $5.5M -46.3% 0.02% DBT
1422 NEWMONT CORP 651639AZ9 Feb 2026 6,068,000 -2,909,000 $5.5M -33.6% 0.02% DBT
1423 METLIFE INC 59156RBD9 Feb 2026 6,517,000 -616,000 $5.5M -10.0% 0.02% DBT
1424 SUMITOMO MITSUI FINL GRP 86562MED8 Feb 2026 5,541,000 -7,722,000 $5.5M -59.2% 0.02% DBT
1425 BAT CAPITAL CORP 054989AA6 Feb 2026 5,134,000 -775,000 $5.4M -15.2% 0.02% DBT
1426 LLOYDS BANKING GROUP PLC 539439BA6 Feb 2026 5,335,000 -3,625,000 $5.4M -42.1% 0.02% DBT
1427 BARCLAYS PLC 06738EBV6 Feb 2026 6,082,000 -2,606,000 $5.4M -31.7% 0.02% DBT
1428 HOME DEPOT INC 437076AV4 Feb 2026 5,133,000 -3,100,000 $5.4M -39.3% 0.02% DBT
1429 ENTERPRISE PRODUCTS OPER 29379VCA9 Feb 2026 8,190,000 -4,727,000 $5.4M -37.3% 0.02% DBT
1430 DIGITAL REALTY TRUST LP 25389JAU0 Feb 2026 5,598,000 -915,000 $5.4M -15.4% 0.02% DBT
1431 VODAFONE GROUP PLC 92857WBU3 Feb 2026 7,005,000 -3,143,000 $5.4M -33.4% 0.02% DBT
1432 ALEXANDRIA REAL ESTATE E 015271AW9 Feb 2026 6,452,000 -448,000 $5.4M -8.3% 0.02% DBT
1433 ELI LILLY & CO 532457CQ9 Feb 2026 5,440,000 -3,270,000 $5.4M -38.5% 0.02% DBT
1434 T-MOBILE USA INC 87264ADG7 Feb 2026 5,819,000 -2,144,000 $5.4M -28.6% 0.02% DBT
1435 CHARTER COMM OPT LLC/CAP 161175CT9 Feb 2026 5,727,000 -15,000 $5.4M -2.9% 0.02% DBT
1436 OWENS CORNING 690742AP6 Feb 2026 5,245,000 -321,000 $5.4M -8.0% 0.02% DBT
1437 CARLISLE COS INC 142339AJ9 Feb 2026 5,802,000 -178,000 $5.4M -4.5% 0.02% DBT
1438 AMGEN INC 031162DF4 Feb 2026 6,921,000 -647,000 $5.4M -11.5% 0.02% DBT
1439 GILEAD SCIENCES INC 375558CE1 Feb 2026 5,517,000 -57,000 $5.4M -2.7% 0.02% DBT
1440 RTX CORP 913017CW7 Feb 2026 5,832,000 -7,354,000 $5.4M -56.9% 0.02% DBT
1441 BROADCOM INC 11135FCG4 Feb 2026 5,303,000 -7,724,000 $5.4M -60.3% 0.02% DBT
1442 APPLE INC 037833AT7 Feb 2026 6,060,000 -5,308,000 $5.4M -48.9% 0.02% DBT
1443 BAT CAPITAL CORP 05526DBK0 Feb 2026 6,420,000 -1,122,000 $5.4M -16.6% 0.02% DBT
1444 GENERAL MOTORS FINL CO 37045XFM3 Feb 2026 5,460,000 -4,300,000 $5.4M -45.1% 0.02% DBT
1445 PROLOGIS LP 74340XCR0 Feb 2026 5,333,000 -3,649,000 $5.4M -42.2% 0.02% DBT
1446 SIMON PROPERTY GROUP LP 828807DK0 Feb 2026 5,803,000 -4,280,000 $5.4M -43.4% 0.02% DBT
1447 UNITEDHEALTH GROUP INC 91324PDV1 Feb 2026 7,569,000 -2,085,000 $5.4M -23.0% 0.02% DBT
1448 BERKSHIRE HATHAWAY ENERG 084659AR2 Feb 2026 6,557,000 -2,363,000 $5.4M -28.6% 0.02% DBT
1449 APPLE INC 037833EE6 Feb 2026 7,545,000 -7,444,000 $5.4M -51.2% 0.02% DBT
1450 RTX CORP 75513EAC5 Feb 2026 8,078,000 -3,330,000 $5.4M -31.6% 0.02% DBT
1451 PFIZER INC 717081ED1 Feb 2026 6,538,000 -3,655,000 $5.4M -37.2% 0.02% DBT
1452 SHELL FINANCE US INC 822905AH8 Feb 2026 6,925,000 -5,656,000 $5.4M -46.3% 0.02% DBT
1453 MCDONALD'S CORP 58013MFW9 Feb 2026 5,608,000 -528,000 $5.4M -11.3% 0.02% DBT
1454 INTEL CORP 458140AT7 Feb 2026 6,126,000 -930,000 $5.4M -13.5% 0.02% DBT
1455 RTX CORP 75513ECN9 Feb 2026 6,045,000 -6,428,000 $5.3M -52.4% 0.02% DBT
1456 KROGER CO 501044DG3 Feb 2026 6,458,000 -1,325,000 $5.3M -19.7% 0.02% DBT
1457 TAKEDA US FIN 87406BAB8 Feb 2026 5,311,000 -1,303,000 $5.3M -21.7% 0.02% DBT
1458 JOHNSON & JOHNSON 478160CT9 Feb 2026 9,820,000 -2,352,000 $5.3M -21.7% 0.02% DBT
1459 CATERPILLAR INC 149123CF6 Feb 2026 7,548,000 -3,960,000 $5.3M -36.4% 0.02% DBT
1460 VERIZON COMMUNICATIONS 92343VGL2 Feb 2026 7,439,000 -4,847,000 $5.3M -40.9% 0.02% DBT
1461 DTE ENERGY CO 233331BL0 Feb 2026 5,074,000 -1,910,000 $5.3M -29.1% 0.02% DBT
1462 ING GROEP NV 456837AW3 Feb 2026 5,852,000 -8,074,000 $5.3M -58.9% 0.02% DBT
1463 PUBLIC SERVICE COLORADO 744448DA6 Feb 2026 5,378,000 -997,000 $5.3M -17.4% 0.02% DBT
1464 DIAGEO CAPITAL PLC 25243YBN8 Feb 2026 5,098,000 -400,000 $5.3M -9.8% 0.02% DBT
1465 EXXON MOBIL CORPORATION 30231GBK7 Feb 2026 5,478,000 -7,920,000 $5.3M -59.8% 0.02% DBT
1466 CIGNA GROUP/THE 125523CU2 Feb 2026 5,217,000 -1,437,000 $5.3M -23.2% 0.02% DBT
1467 HOME DEPOT INC 437076BA9 Feb 2026 6,223,000 -490,000 $5.3M -10.3% 0.02% DBT
1468 ALEXANDRIA REAL ESTATE E 015271AR0 Feb 2026 5,741,000 -407,000 $5.3M -8.5% 0.02% DBT
1469 COMCAST CORP 20030NAF8 Feb 2026 5,128,000 -3,190,000 $5.3M -40.2% 0.02% DBT
1470 CME GROUP INC 12572QAL9 Feb 2026 5,299,000 -1,744,000 $5.3M -26.1% 0.02% DBT
1471 HP ENTERPRISE CO 42824CBU2 Feb 2026 5,295,000 -5,728,000 $5.3M -52.7% 0.02% DBT
1472 COMCAST CORP 20030NDP3 Feb 2026 10,070,000 -3,532,000 $5.3M -29.1% 0.02% DBT
1473 TAKEDA PHARMACEUTICAL 874060BL9 Feb 2026 5,319,000 -1,686,000 $5.3M -26.5% 0.02% DBT
1474 TARGA RESOURCES CORP 87612GAB7 Feb 2026 6,123,000 -868,000 $5.3M -12.8% 0.02% DBT
1475 VISA INC 92826CAQ5 Feb 2026 9,803,000 -4,010,000 $5.3M -30.9% 0.02% DBT
1476 CISCO SYSTEMS INC 17275RCA8 Feb 2026 5,363,000 -586,000 $5.3M -11.8% 0.02% DBT
1477 DEUTSCHE BANK NY 251526CK3 Feb 2026 5,776,000 -2,933,000 $5.3M -34.8% 0.02% DBT
1478 NATIONAL GRID PLC 636274AF9 Feb 2026 5,150,000 -1,021,000 $5.3M -18.5% 0.02% DBT
1479 ARTHUR J GALLAGHER & CO 04316JAL3 Feb 2026 5,211,000 -7,545,000 $5.3M -59.8% 0.02% DBT
1480 ROYAL BANK OF CANADA 78017DAH1 Feb 2026 5,201,000 -4,143,000 $5.3M -45.5% 0.02% DBT
1481 NOMURA HOLDINGS INC 65535HAX7 Feb 2026 5,853,000 -7,763,000 $5.2M -57.7% 0.02% DBT
1482 UNITEDHEALTH GROUP INC 91324PFR8 Feb 2026 5,125,000 -1,837,000 $5.2M -27.1% 0.02% DBT
1483 CONSTELLATION EN GEN LLC 210385AR1 Feb 2026 5,374,000 -1,764,000 $5.2M -26.4% 0.02% DBT
1484 TRUIST FINANCIAL CORP 89788MAK8 Feb 2026 4,941,000 -3,065,000 $5.2M -39.9% 0.02% DBT
1485 UNITED PARCEL SERVICE 911312BN5 Feb 2026 6,892,000 -6,000,000 $5.2M -48.6% 0.02% DBT
1486 COCA-COLA CO/THE 191216CW8 Feb 2026 7,124,000 -628,000 $5.2M -11.1% 0.02% DBT
1487 PAYPAL HOLDINGS INC 70450YAH6 Feb 2026 5,712,000 -6,026,000 $5.2M -52.3% 0.02% DBT
1488 ENTERPRISE PRODUCTS OPER 29379VCB7 Feb 2026 7,775,000 -5,047,000 $5.2M -40.3% 0.02% DBT
1489 QUALCOMM INC 747525BR3 Feb 2026 6,223,000 -1,017,000 $5.2M -15.2% 0.02% DBT
1490 WESTPAC BANKING CORP 961214GC1 Feb 2026 5,217,000 -2,350,000 $5.2M -32.4% 0.02% DBT
1491 COMCAST CORP 20030NCK5 Feb 2026 7,036,000 -2,322,000 $5.2M -27.9% 0.02% DBT
1492 PACIFIC GAS & ELECTRIC 694308KZ9 Feb 2026 5,374,000 -1,516,000 $5.2M -24.5% 0.02% DBT
1493 SHELL FINANCE US INC 822905AQ8 Feb 2026 5,296,000 -4,336,000 $5.2M -46.4% 0.02% DBT
1494 UNION PACIFIC CORP 907818FZ6 Feb 2026 7,387,000 -3,355,000 $5.2M -32.7% 0.02% DBT
1495 WALT DISNEY COMPANY/THE 254687FR2 Feb 2026 5,555,000 -6,202,000 $5.2M -54.2% 0.02% DBT
1496 PEPSICO INC 713448DD7 Feb 2026 5,972,000 -3,440,000 $5.2M -39.0% 0.02% DBT
1497 GENERAL MOTORS CO 37045VAH3 Feb 2026 5,342,000 -5,030,000 $5.2M -49.6% 0.02% DBT
1498 PHILIP MORRIS INTL INC 718172CS6 Feb 2026 5,848,000 -8,328,000 $5.2M -59.4% 0.02% DBT
1499 CHENIERE ENERGY PARTNERS 16411QAN1 Feb 2026 5,653,000 -3,439,000 $5.2M -38.8% 0.02% DBT
1500 PACIFIC GAS & ELECTRIC 694308KT3 Feb 2026 5,475,000 -1,737,000 $5.2M -26.5% 0.02% DBT
1501 GEORGIA POWER CO 373334KR1 Feb 2026 5,584,000 -1,082,000 $5.2M -17.8% 0.02% DBT
1502 RIO TINTO FIN USA PLC 76720AAW6 Feb 2026 5,050,000 -2,029,000 $5.2M -30.0% 0.02% DBT
1503 ONEOK INC 682680AV5 Feb 2026 5,800,000 -3,260,000 $5.2M -37.3% 0.02% DBT
1504 GENERAL MOTORS FINL CO 37045XER3 Feb 2026 4,987,000 -4,943,000 $5.2M -50.8% 0.02% DBT
1505 DEVON ENERGY CORPORATION 25179MAU7 Feb 2026 5,727,000 -797,000 $5.1M -13.0% 0.02% DBT
1506 APOLLO GLOBAL MANAGEMENT 03769MAC0 Feb 2026 5,335,000 -798,000 $5.1M -11.7% 0.02% DBT
1507 MITSUBISHI UFJ FIN GRP 606822CB8 Feb 2026 5,800,000 -4,622,000 $5.1M -45.7% 0.02% DBT
1508 TORONTO-DOMINION BANK 89115A3C4 Feb 2026 5,088,000 -385,000 $5.1M -8.9% 0.02% DBT
1509 DEERE & COMPANY 244199BF1 Feb 2026 6,036,000 -2,601,000 $5.1M -32.5% 0.02% DBT
1510 DELL INT LLC / EMC CORP 24703DBS9 Feb 2026 5,169,000 -5,570,000 $5.1M -52.5% 0.02% DBT
1511 EOG RESOURCES INC 26875PAT8 Feb 2026 5,722,000 -1,716,000 $5.1M -24.2% 0.02% DBT
1512 COMCAST CORP 20030NBQ3 Feb 2026 6,100,000 -1,748,000 $5.1M -25.4% 0.02% DBT
1513 CENCORA INC 03073EAT2 Feb 2026 5,593,000 -2,356,000 $5.1M -31.0% 0.02% DBT
1514 VICI PROPERTIES LP 925650AK9 Feb 2026 5,089,000 -2,349,000 $5.1M -33.2% 0.02% DBT
1515 COMMONWEALTH EDISON CO 202795JM3 Feb 2026 6,508,000 -997,000 $5.1M -16.2% 0.02% DBT
1516 HOME DEPOT INC 437076BZ4 Feb 2026 7,623,000 -9,156,000 $5.1M -56.0% 0.02% DBT
1517 PEPSICO INC 713448DP0 Feb 2026 6,842,000 -1,418,000 $5.1M -20.6% 0.02% DBT
1518 AMERICAN TOWER CORP 03027XCD0 Feb 2026 4,944,000 -1,069,000 $5.1M -19.7% 0.02% DBT
1519 CONOCOPHILLIPS COMPANY 20826FAC0 Feb 2026 6,024,000 -2,442,000 $5.1M -30.8% 0.02% DBT
1520 DELL INT LLC / EMC CORP 24703TAN6 Feb 2026 4,979,000 -2,491,000 $5.1M -34.5% 0.02% DBT
1521 ENERGY TRANSFER LP 29273VAZ3 Feb 2026 4,987,000 -2,585,000 $5.1M -35.3% 0.02% DBT
1522 CVS HEALTH CORP 126650EE6 Feb 2026 5,057,000 -3,838,000 $5.1M -43.8% 0.02% DBT
1523 JOHNSON & JOHNSON 478160CR3 Feb 2026 7,255,000 -3,983,000 $5.1M -37.2% 0.02% DBT
1524 TOYOTA MOTOR CREDIT CORP 89236TNB7 Feb 2026 4,942,000 -1,012,000 $5.1M -19.5% 0.02% DBT
1525 ELI LILLY & CO 532457BT4 Feb 2026 6,368,000 -2,619,000 $5.1M -31.1% 0.02% DBT
1526 STARBUCKS CORP 855244AT6 Feb 2026 5,193,000 -5,377,000 $5.1M -51.5% 0.02% DBT
1527 T-MOBILE USA INC 87264ABX2 Feb 2026 5,746,000 -6,731,000 $5.1M -54.9% 0.02% DBT
1528 ING GROEP NV 456837BC6 Feb 2026 5,224,000 -9,775,000 $5.1M -66.0% 0.02% DBT
1529 WILLIAMS COMPANIES INC 96949LAE5 Feb 2026 5,811,000 -1,861,000 $5.0M -25.9% 0.02% DBT
1530 AMGEN INC 031162DE7 Feb 2026 5,427,000 -10,750,000 $5.0M -67.3% 0.02% DBT
1531 LYB INTL FINANCE BV 50247VAB5 Feb 2026 5,700,000 -849,000 $5.0M -12.1% 0.02% DBT
1532 EBAY INC 278642AZ6 Feb 2026 6,919,000 -1,155,000 $5.0M -15.9% 0.02% DBT
1533 TOTALENERGIES CAP INTL 89153VAU3 Feb 2026 7,013,000 -4,487,000 $5.0M -40.4% 0.02% DBT
1534 NASDAQ INC 63111XAK7 Feb 2026 4,935,000 -1,976,000 $5.0M -29.6% 0.02% DBT
1535 QUEST DIAGNOSTICS INC 74834LBB5 Feb 2026 5,365,000 -555,000 $5.0M -10.8% 0.02% DBT
1536 KRAFT HEINZ FOODS CO 50077LBJ4 Feb 2026 5,528,000 -2,278,000 $5.0M -31.0% 0.02% DBT
1537 BUNGE LTD FINANCE CORP 120568BC3 Feb 2026 5,501,000 -1,625,000 $5.0M -24.1% 0.02% DBT
1538 REALTY INCOME CORP 756109AX2 Feb 2026 5,345,000 -6,177,000 $5.0M -54.5% 0.02% DBT
1539 PACIFIC GAS & ELECTRIC 694308JH1 Feb 2026 6,689,000 -7,489,000 $5.0M -54.3% 0.02% DBT
1540 BRISTOL-MYERS SQUIBB CO 110122DX3 Feb 2026 7,019,000 -1,376,000 $5.0M -18.8% 0.02% DBT
1541 AMEREN CORP 023608AR3 Feb 2026 4,955,000 -1,225,000 $5.0M -21.4% 0.02% DBT
1542 FORD MOTOR CREDIT CO LLC 345397ZR7 Feb 2026 5,031,000 -275,000 $5.0M -6.4% 0.02% DBT
1543 L3HARRIS TECH INC 502431AS8 Feb 2026 4,944,000 -1,010,000 $5.0M -18.3% 0.02% DBT
1544 KLA CORP 482480AJ9 Feb 2026 7,241,000 -2,095,000 $5.0M -24.3% 0.02% DBT
1545 JBS NV/USA FOODS/FOOD CO 46590XAQ9 Feb 2026 6,629,000 -3,732,000 $5.0M -38.7% 0.02% DBT
1546 AMERICAN TOWER CORP 03027XAW0 Feb 2026 5,125,000 -4,246,000 $5.0M -46.0% 0.02% DBT
1547 PRUDENTIAL FINANCIAL INC 744320BA9 Feb 2026 6,591,000 -5,220,000 $5.0M -45.1% 0.02% DBT
1548 TOYOTA MOTOR CREDIT CORP 89236TMT9 Feb 2026 5,013,000 -659,000 $5.0M -13.7% 0.02% DBT
1549 CANADIAN NATL RESOURCES 136385BE0 Feb 2026 4,936,000 -2,334,000 $5.0M -33.4% 0.02% DBT
1550 PEPSICO INC 713448FF0 Feb 2026 6,972,000 -3,485,000 $5.0M -35.6% 0.02% DBT
1551 AETNA INC 00817YAF5 Feb 2026 4,584,000 -1,470,000 $5.0M -25.7% 0.02% DBT
1552 CANADIAN IMPERIAL BANK 13607PHS6 Feb 2026 5,002,000 -520,000 $5.0M -11.0% 0.02% DBT
1553 PROLOGIS LP 74340XCK5 Feb 2026 5,289,000 -1,654,000 $5.0M -25.2% 0.02% DBT
1554 VIRGINIA ELEC & POWER CO 927804GK4 Feb 2026 4,929,000 -1,505,000 $5.0M -24.4% 0.02% DBT
1555 COMCAST CORP 20030NBT7 Feb 2026 5,939,000 -2,338,000 $5.0M -30.5% 0.02% DBT
1556 AMERICAN WATER CAPITAL C 03040WAR6 Feb 2026 6,592,000 -3,936,000 $5.0M -39.2% 0.02% DBT
1557 LYB INT FINANCE III 50249AAJ2 Feb 2026 7,513,000 -753,000 $5.0M -7.5% 0.02% DBT
1558 MCDONALD'S CORP 58013MFT6 Feb 2026 5,437,000 -3,582,000 $5.0M -41.6% 0.02% DBT
1559 PEPSICO INC 713448EU8 Feb 2026 6,680,000 -3,995,000 $5.0M -39.8% 0.02% DBT
1560 NOMURA HOLDINGS INC 65535HBV0 Feb 2026 4,786,000 -3,837,000 $5.0M -45.9% 0.02% DBT
1561 CF INDUSTRIES INC 12527GAL7 Feb 2026 4,959,000 -4,514,000 $4.9M -48.6% 0.02% DBT
1562 HCA INC 404119BX6 Feb 2026 5,021,000 -5,357,000 $4.9M -52.4% 0.02% DBT
1563 CANADIAN IMPERIAL BANK 13607QFE7 Feb 2026 4,989,000 -8,644,000 $4.9M -63.9% 0.02% DBT
1564 PHILIP MORRIS INTL INC 718172DQ9 Feb 2026 4,965,000 -3,173,000 $4.9M -40.4% 0.02% DBT
1565 DOW CHEMICAL CO/THE 260543DC4 Feb 2026 5,577,000 -2,767,000 $4.9M -33.6% 0.02% DBT
1566 CHARLES SCHWAB CORP 808513BT1 Feb 2026 5,656,000 -1,557,000 $4.9M -22.9% 0.02% DBT
1567 MIZUHO FINANCIAL GROUP 60687YAX7 Feb 2026 5,152,000 -5,625,000 $4.9M -52.9% 0.02% DBT
1568 BURLINGTN NORTH SANTA FE 12189LBJ9 Feb 2026 5,922,000 -2,282,000 $4.9M -30.0% 0.02% DBT
1569 MARSH & MCLENNAN COS INC 571748CB6 Feb 2026 4,882,000 -8,948,000 $4.9M -65.5% 0.02% DBT
1570 PLAINS ALL AMERICAN PIPE 72650RBQ4 Feb 2026 4,739,000 -8,821,000 $4.9M -65.7% 0.02% DBT
1571 NISOURCE INC 65473QBG7 Feb 2026 6,411,000 -4,134,000 $4.9M -41.1% 0.02% DBT
1572 BOSTON PROPERTIES LP 10112RBF0 Feb 2026 5,938,000 -2,049,000 $4.9M -25.9% 0.02% DBT
1573 PROCTER & GAMBLE CO/THE 742718GP8 Feb 2026 4,987,000 -2,885,000 $4.9M -38.2% 0.02% DBT
1574 GENERAL MOTORS CO 37045VAQ3 Feb 2026 5,443,000 -764,000 $4.9M -14.4% 0.02% DBT
1575 BURLINGTN NORTH SANTA FE 12189LAN1 Feb 2026 5,516,000 -1,720,000 $4.9M -25.3% 0.02% DBT
1576 HONDA MOTOR CO LTD 438127AC6 Feb 2026 5,413,000 -2,404,000 $4.9M -32.6% 0.02% DBT
1577 L3HARRIS TECH INC 502431AU3 Feb 2026 4,769,000 -2,602,000 $4.9M -36.9% 0.02% DBT
1578 ASTRAZENECA PLC 046353AW8 Feb 2026 5,494,000 -6,657,000 $4.9M -55.5% 0.02% DBT
1579 ASTRAZENECA PLC 046353AG3 Feb 2026 5,717,000 -2,758,000 $4.9M -34.4% 0.02% DBT
1580 BRISTOL-MYERS SQUIBB CO 110122CP1 Feb 2026 4,996,000 -7,879,000 $4.9M -61.8% 0.02% DBT
1581 MARRIOTT INTERNATIONAL 571903BQ5 Feb 2026 4,792,000 -4,862,000 $4.9M -51.6% 0.02% DBT
1582 SOUTHERN CAL EDISON 842400JE4 Feb 2026 4,752,000 -2,473,000 $4.8M -35.8% 0.02% DBT
1583 COCA-COLA CO/THE 191216CY4 Feb 2026 8,349,000 -652,000 $4.8M -10.3% 0.02% DBT
1584 ENTERPRISE PRODUCTS OPER 29379VBV4 Feb 2026 5,032,000 -3,855,000 $4.8M -44.2% 0.02% DBT
1585 HOME DEPOT INC 437076DC3 Feb 2026 4,781,000 -995,000 $4.8M -18.6% 0.02% DBT
1586 LOWE'S COS INC 548661EE3 Feb 2026 6,793,000 -1,932,000 $4.8M -24.7% 0.02% DBT
1587 SAN DIEGO G & E 797440BZ6 Feb 2026 5,448,000 -1,472,000 $4.8M -22.4% 0.02% DBT
1588 AUTOMATIC DATA PROCESSNG 053015AH6 Feb 2026 4,941,000 -408,000 $4.8M -9.6% 0.02% DBT
1589 DANAHER CORP 235851AW2 Feb 2026 7,764,000 -282,000 $4.8M -6.4% 0.02% DBT
1590 MITSUBISHI UFJ FIN GRP 606822CR3 Feb 2026 4,678,000 -3,473,000 $4.8M -44.2% 0.02% DBT
1591 DUKE ENERGY CAROLINAS 26442CBL7 Feb 2026 5,048,000 -1,119,000 $4.8M -20.4% 0.02% DBT
1592 TARGA RESOURCES PARTNERS 87612BBQ4 Feb 2026 4,740,000 -1,280,000 $4.8M -21.5% 0.02% DBT
1593 CHARLES SCHWAB CORP 808513CA1 Feb 2026 5,287,000 -2,722,000 $4.8M -35.2% 0.02% DBT
1594 MICROSOFT CORP 594918CB8 Feb 2026 5,606,000 -4,264,000 $4.8M -45.9% 0.02% DBT
1595 MIZUHO FINANCIAL GROUP 60687YDE6 Feb 2026 4,659,000 -86,000 $4.8M -4.6% 0.02% DBT
1596 ASTRAZENECA PLC 046353AM0 Feb 2026 5,471,000 -2,554,000 $4.8M -33.4% 0.02% DBT
1597 REGIONS FINANCIAL CORP 7591EPAV2 Feb 2026 4,734,000 -1,000,000 $4.8M -19.5% 0.02% DBT
1598 CHARTER COMM OPT LLC/CAP 161175CQ5 Feb 2026 4,642,000 -4,410,000 $4.8M -49.6% 0.02% DBT
1599 AIR PRODUCTS & CHEMICALS 009158AZ9 Feb 2026 6,445,000 -5,874,000 $4.8M -49.4% 0.02% DBT
1600 BOEING CO 097023CR4 Feb 2026 6,672,000 -560,000 $4.8M -8.2% 0.02% DBT
1601 BERKSHIRE HATHAWAY ENERG 084659AX9 Feb 2026 6,002,000 -2,522,000 $4.8M -32.0% 0.02% DBT
1602 PHILLIPS 66 718546BA1 Feb 2026 7,208,000 -723,000 $4.8M -10.6% 0.02% DBT
1603 BOEING CO 097023CP8 Feb 2026 5,458,000 -5,503,000 $4.7M -51.4% 0.02% DBT
1604 WESTERN MIDSTREAM OPERAT 958667AG2 Feb 2026 4,744,000 -5,878,000 $4.7M -56.1% 0.02% DBT
1605 MIZUHO FINANCIAL GROUP 60687YDF3 Feb 2026 4,653,000 -3,087,000 $4.7M -41.0% 0.02% DBT
1606 PRUDENTIAL FINANCIAL INC 744320AY8 Feb 2026 6,202,000 -4,500,000 $4.7M -43.1% 0.02% DBT
1607 TOTALENERGIES CAPITAL SA 89157XAD3 Feb 2026 4,773,000 -6,346,000 $4.7M -58.2% 0.02% DBT
1608 CONOCOPHILLIPS COMPANY 20826FAV8 Feb 2026 6,411,000 -5,367,000 $4.7M -46.9% 0.02% DBT
1609 CUMMINS INC 231021AT3 Feb 2026 5,333,000 -630,000 $4.7M -12.1% 0.02% DBT
1610 CIGNA GROUP/THE 125523BK5 Feb 2026 6,189,000 -2,344,000 $4.7M -28.8% 0.02% DBT
1611 ENTERPRISE PRODUCTS OPER 29379VBY8 Feb 2026 6,421,000 -433,000 $4.7M -8.0% 0.02% DBT
1612 HONDA MOTOR CO LTD 438127AE2 Feb 2026 4,744,000 -3,790,000 $4.7M -45.7% 0.02% DBT
1613 UNITEDHEALTH GROUP INC 91324PDZ2 Feb 2026 7,400,000 -5,366,000 $4.7M -42.9% 0.02% DBT
1614 NOVARTIS CAPITAL CORP 66989HAW8 Feb 2026 5,344,000 -164,000 $4.7M -5.6% 0.02% DBT
1615 ARES CAPITAL CORP 04010LBH5 Feb 2026 4,725,000 -1,900,000 $4.7M -28.7% 0.02% DBT
1616 MERCK & CO INC 58933YBB0 Feb 2026 8,038,000 -4,545,000 $4.7M -37.9% 0.02% DBT
1617 ELEVANCE HEALTH INC 036752AK9 Feb 2026 6,469,000 -5,305,000 $4.7M -46.4% 0.02% DBT
1618 REGIONS FINANCIAL CORP 7591EPAU4 Feb 2026 4,572,000 -800,000 $4.7M -16.6% 0.02% DBT
1619 WOODSIDE FINANCE LTD 980236AS2 Feb 2026 4,896,000 -975,000 $4.7M -17.0% 0.02% DBT
1620 PHILIP MORRIS INTL INC 718172CP2 Feb 2026 5,130,000 -2,497,000 $4.7M -33.6% 0.02% DBT
1621 WESTPAC BANKING CORP 961214EG4 Feb 2026 5,212,000 -2,631,000 $4.7M -36.2% 0.02% DBT
1622 BARCLAYS PLC 06738ECS2 Feb 2026 4,512,000 -1,662,000 $4.7M -29.4% 0.02% DBT
1623 NXP BV/NXP FDG/NXP USA 62954HAV0 Feb 2026 4,713,000 -929,000 $4.7M -17.6% 0.02% DBT
1624 INTEL CORP 458140BV1 Feb 2026 6,627,000 -3,677,000 $4.7M -36.3% 0.02% DBT
1625 CON EDISON CO OF NY INC 209111FY4 Feb 2026 5,992,000 -1,557,000 $4.7M -21.8% 0.02% DBT
1626 PEPSICO INC 713448EP9 Feb 2026 7,172,000 -1,551,000 $4.7M -20.7% 0.02% DBT
1627 INGERSOLL RAND INC 45687VAD8 Feb 2026 4,573,000 -1,310,000 $4.7M -23.6% 0.02% DBT
1628 UTAH ACQUISITION SUB 62854AAP9 Feb 2026 5,545,000 -200,000 $4.7M -3.6% 0.02% DBT
1629 PEPSICO INC 713448FG8 Feb 2026 7,513,000 -3,510,000 $4.7M -34.3% 0.02% DBT
1630 HUMANA INC 444859BE1 Feb 2026 5,376,000 -479,000 $4.7M -8.5% 0.02% DBT
1631 PACIFICORP 695114CY2 Feb 2026 7,785,000 -2,191,000 $4.6M -22.0% 0.02% DBT
1632 CONSTELLATION BRANDS INC 21036PBE7 Feb 2026 4,849,000 -1,006,000 $4.6M -18.3% 0.02% DBT
1633 HEALTHPEAK OP LLC 42250PAE3 Feb 2026 4,574,000 -1,189,000 $4.6M -22.4% 0.02% DBT
1634 PROLOGIS LP 74340XCH2 Feb 2026 4,574,000 -1,784,000 $4.6M -29.8% 0.02% DBT
1635 THERMO FISHER SCIENTIFIC 883556DE9 Feb 2026 4,677,000 -2,330,000 $4.6M -34.9% 0.02% DBT
1636 PACIFIC GAS & ELECTRIC 694308KP1 Feb 2026 4,209,000 -2,244,000 $4.6M -36.5% 0.02% DBT
1637 AERCAP IRELAND CAP/GLOBA 00774MBL8 Feb 2026 4,603,000 -5,967,000 $4.6M -57.2% 0.02% DBT
1638 TOYOTA MOTOR CREDIT CORP 89236TMF9 Feb 2026 4,499,000 -1,410,000 $4.6M -25.2% 0.02% DBT
1639 GENERAL MILLS INC 370334CL6 Feb 2026 4,894,000 -4,449,000 $4.6M -48.4% 0.02% DBT
1640 GENERAL DYNAMICS CORP 369550BH0 Feb 2026 5,103,000 -1,956,000 $4.6M -30.4% 0.02% DBT
1641 PUBLIC SERVICE ENTERPRIS 744573AU0 Feb 2026 5,145,000 -1,585,000 $4.6M -24.9% 0.02% DBT
1642 DUKE ENERGY PROGRESS LLC 26442UAV6 Feb 2026 4,707,000 -2,198,000 $4.6M -33.7% 0.02% DBT
1643 3M COMPANY 88579YBJ9 Feb 2026 4,864,000 -5,245,000 $4.6M -52.5% 0.02% DBT
1644 MCDONALD'S CORP 58013MFR0 Feb 2026 5,711,000 -1,766,000 $4.6M -25.9% 0.02% DBT
1645 SHELL FINANCE US INC 822905AD7 Feb 2026 5,126,000 -4,364,000 $4.5M -47.6% 0.02% DBT
1646 DH EUROPE FINANCE II 23291KAK1 Feb 2026 6,385,000 -638,000 $4.5M -11.3% 0.02% DBT
1647 JPMORGAN CHASE & CO 46625HJU5 Feb 2026 4,909,000 -6,776,000 $4.5M -59.6% 0.02% DBT
1648 AMGEN INC 031162DC1 Feb 2026 6,968,000 -6,258,000 $4.5M -48.4% 0.02% DBT
1649 ONCOR ELECTRIC DELIVERY 68233JCU6 Feb 2026 4,680,000 -116,000 $4.5M -4.7% 0.02% DBT
1650 CIGNA GROUP/THE 125523CT5 Feb 2026 4,429,000 -695,000 $4.5M -14.8% 0.02% DBT
1651 TAKEDA PHARMACEUTICAL 874060BD7 Feb 2026 7,035,000 -455,000 $4.5M -8.5% 0.02% DBT
1652 GLAXOSMITHKLINE CAPITAL 377373AH8 Feb 2026 4,609,000 -940,000 $4.5M -18.0% 0.02% DBT
1653 CRH AMERICA FINANCE INC 12636YAE2 Feb 2026 4,399,000 -4,906,000 $4.5M -54.0% 0.02% DBT
1654 BURLINGTN NORTH SANTA FE 12189LBC4 Feb 2026 5,602,000 -2,318,000 $4.5M -31.5% 0.02% DBT
1655 UNITEDHEALTH GROUP INC 91324PEH1 Feb 2026 4,521,000 -1,470,000 $4.5M -25.6% 0.02% DBT
1656 US BANCORP 91159HHW3 Feb 2026 4,689,000 -4,790,000 $4.5M -51.4% 0.02% DBT
1657 UNION PACIFIC CORP 907818FN3 Feb 2026 7,643,000 -561,000 $4.5M -8.9% 0.01% DBT
1658 ALTRIA GROUP INC 02209SBP7 Feb 2026 6,337,000 -2,429,000 $4.5M -30.8% 0.01% DBT
1659 AMGEN INC 031162DH0 Feb 2026 4,519,000 -9,691,000 $4.5M -68.7% 0.01% DBT
1660 UNITEDHEALTH GROUP INC 91324PDY5 Feb 2026 6,028,000 -4,057,000 $4.4M -41.4% 0.01% DBT
1661 BURLINGTN NORTH SANTA FE 12189LAZ4 Feb 2026 5,630,000 -3,120,000 $4.4M -37.9% 0.01% DBT
1662 HOME DEPOT INC 437076CK6 Feb 2026 7,301,000 -7,469,000 $4.4M -52.3% 0.01% DBT
1663 FISERV INC 337738BM9 Feb 2026 4,466,000 -8,275,000 $4.4M -65.4% 0.01% DBT
1664 ROGERS COMMUNICATIONS IN 775109BB6 Feb 2026 4,976,000 -1,212,000 $4.4M -21.3% 0.01% DBT
1665 ENBRIDGE INC 29250NBE4 Feb 2026 6,474,000 -48,000 $4.4M -2.9% 0.01% DBT
1666 NUTRIEN LTD 67077MAU2 Feb 2026 4,943,000 -569,000 $4.4M -12.5% 0.01% DBT
1667 AT&T INC 00206RKE1 Feb 2026 6,898,000 -5,719,000 $4.4M -46.9% 0.01% DBT
1668 PHILIP MORRIS INTL INC 718172AM1 Feb 2026 5,041,000 -792,000 $4.4M -16.1% 0.01% DBT
1669 SEMPRA 816851BJ7 Feb 2026 5,804,000 -1,952,000 $4.4M -26.8% 0.01% DBT
1670 AMERICAN TOWER CORP 03027XBC3 Feb 2026 4,864,000 -4,720,000 $4.4M -49.9% 0.01% DBT
1671 HUMANA INC 444859BX9 Feb 2026 4,919,000 -1,106,000 $4.4M -18.7% 0.01% DBT
1672 TYSON FOODS INC 902494BD4 Feb 2026 5,131,000 -1,358,000 $4.4M -23.0% 0.01% DBT
1673 LYB INT FINANCE III 50249AAH6 Feb 2026 5,911,000 -8,189,000 $4.4M -58.0% 0.01% DBT
1674 PHILIP MORRIS INTL INC 718172DN6 Feb 2026 4,346,000 -2,948,000 $4.4M -41.5% 0.01% DBT
1675 NISOURCE INC 65473PAH8 Feb 2026 4,589,000 -4,415,000 $4.4M -49.8% 0.01% DBT
1676 HORMEL FOODS CORP 440452AF7 Feb 2026 4,829,000 -149,000 $4.3M -4.3% 0.01% DBT
1677 APPLE INC 037833DZ0 Feb 2026 7,432,000 -9,159,000 $4.3M -56.5% 0.01% DBT
1678 BARCLAYS PLC 06738EBW4 Feb 2026 5,757,000 -611,000 $4.3M -12.5% 0.01% DBT
1679 SMURFIT KAPPA TREASURY 83272GAD3 Feb 2026 4,239,000 -3,558,000 $4.3M -46.6% 0.01% DBT
1680 COMCAST CORP 20030NDQ1 Feb 2026 8,701,000 -538,000 $4.3M -10.4% 0.01% DBT
1681 DANAHER CORP 235851AV4 Feb 2026 7,138,000 -984,000 $4.3M -14.4% 0.01% DBT
1682 PHILIP MORRIS INTL INC 718172AW9 Feb 2026 5,111,000 -534,000 $4.3M -12.3% 0.01% DBT
1683 BANK OF AMERICA CORP 06051GJN0 Feb 2026 6,032,000 -3,244,000 $4.3M -36.7% 0.01% DBT
1684 BHP BILLITON FIN USA LTD 055451BK3 Feb 2026 4,166,000 -3,460,000 $4.3M -46.6% 0.01% DBT
1685 ARCHER-DANIELS-MIDLAND C 039482AD6 Feb 2026 4,661,000 -163,000 $4.3M -5.1% 0.01% DBT
1686 PACIFIC GAS & ELECTRIC 694308HY6 Feb 2026 5,740,000 -2,580,000 $4.2M -33.2% 0.01% DBT
1687 LOCKHEED MARTIN CORP 539830CE7 Feb 2026 4,590,000 -3,985,000 $4.2M -47.6% 0.01% DBT
1688 ARTHUR J GALLAGHER & CO 363576AB5 Feb 2026 6,111,000 -3,930,000 $4.2M -39.6% 0.01% DBT
1689 CONOCOPHILLIPS COMPANY 20826FBC9 Feb 2026 5,146,000 -1,699,000 $4.2M -26.7% 0.01% DBT
1690 IBM CORP 459200KL4 Feb 2026 6,694,000 -4,844,000 $4.2M -43.8% 0.01% DBT
1691 CSX CORP 126408HF3 Feb 2026 5,380,000 -1,404,000 $4.2M -22.9% 0.01% DBT
1692 CON EDISON CO OF NY INC 209111FD0 Feb 2026 4,851,000 -1,084,000 $4.2M -20.4% 0.01% DBT
1693 MIZUHO FINANCIAL GROUP 60687YDD8 Feb 2026 4,069,000 -1,455,000 $4.2M -27.6% 0.01% DBT
1694 CATERPILLAR INC 149123CJ8 Feb 2026 5,908,000 -4,575,000 $4.2M -45.4% 0.01% DBT
1695 GLOBAL PAYMENTS INC 37940XAH5 Feb 2026 4,678,000 -4,809,000 $4.1M -51.6% 0.01% DBT
1696 PFIZER INC 717081FA6 Feb 2026 6,649,000 -5,360,000 $4.1M -46.2% 0.01% DBT
1697 CON EDISON CO OF NY INC 209111FF5 Feb 2026 4,903,000 -1,108,000 $4.1M -20.6% 0.01% DBT
1698 AMGEN INC 031162DA5 Feb 2026 5,620,000 -1,287,000 $4.1M -21.3% 0.01% DBT
1699 BURLINGTN NORTH SANTA FE 12189LBB6 Feb 2026 4,979,000 -866,000 $4.1M -17.4% 0.01% DBT
1700 LOCKHEED MARTIN CORP 539830BQ1 Feb 2026 6,407,000 -2,736,000 $4.0M -32.0% 0.01% DBT
1701 AMGEN INC 031162CY4 Feb 2026 6,794,000 -3,274,000 $4.0M -34.2% 0.01% DBT
1702 MICROSOFT CORP 594918BL7 Feb 2026 4,521,000 -6,253,000 $4.0M -59.6% 0.01% DBT
1703 TOYOTA MOTOR CREDIT CORP 89236TKD6 Feb 2026 3,968,000 -3,835,000 $4.0M -50.1% 0.01% DBT
1704 IBM CORP 459200KV2 Feb 2026 4,641,000 -5,597,000 $4.0M -56.2% 0.01% DBT
1705 ZIMMER BIOMET HOLDINGS 98956PAV4 Feb 2026 4,402,000 -653,000 $4.0M -14.5% 0.01% DBT
1706 PEPSICO INC 713448FX1 Feb 2026 3,919,000 -3,930,000 $3.9M -50.9% 0.01% DBT
1707 KRAFT HEINZ FOODS CO 50077LAB2 Feb 2026 4,861,000 -17,314,000 $3.9M -78.6% 0.01% DBT
1708 VIRGINIA ELEC & POWER CO 927804GD0 Feb 2026 6,814,000 -2,265,000 $3.9M -26.0% 0.01% DBT
1709 INTEL CORP 458140BK5 Feb 2026 6,750,000 -3,099,000 $3.9M -30.8% 0.01% DBT
1710 HUNTINGTON NATIONAL BANK 44644MAJ0 Feb 2026 3,765,000 -256,000 $3.9M -8.2% 0.01% DBT
1711 PRES & FELLOWS OF HARVAR 740816AR4 Feb 2026 3,919,000 -181,000 $3.9M -7.4% 0.01% DBT
1712 ELEVANCE HEALTH INC 036752AH6 Feb 2026 4,597,000 -4,407,000 $3.9M -50.3% 0.01% DBT
1713 ONEOK INC 682680CA9 Feb 2026 5,319,000 -1,963,000 $3.9M -28.0% 0.01% DBT
1714 ELI LILLY & CO 532457BZ0 Feb 2026 7,115,000 -630,000 $3.8M -10.1% 0.01% DBT
1715 FLORIDA POWER & LIGHT CO 341081FX0 Feb 2026 5,688,000 -2,704,000 $3.8M -34.6% 0.01% DBT
1716 VIRGINIA ELEC & POWER CO 927804GF5 Feb 2026 6,120,000 -1,384,000 $3.8M -19.4% 0.01% DBT
1717 QUALCOMM INC 747525BJ1 Feb 2026 5,567,000 -598,000 $3.8M -11.5% 0.01% DBT
1718 HASBRO INC 418056AZ0 Feb 2026 3,889,000 -287,000 $3.8M -8.4% 0.01% DBT
1719 JOHNSON & JOHNSON 478160CS1 Feb 2026 6,492,000 -4,623,000 $3.8M -43.7% 0.01% DBT
1720 DUKE ENERGY CAROLINAS 26442CAZ7 Feb 2026 5,565,000 -8,554,000 $3.8M -62.1% 0.01% DBT
1721 PARKER-HANNIFIN CORP 701094AN4 Feb 2026 3,858,000 -2,961,000 $3.7M -44.2% 0.01% DBT
1722 ARES CAPITAL CORP 04010LBG7 Feb 2026 3,668,000 -3,121,000 $3.7M -46.4% 0.01% DBT
1723 JBS NV/USA FOODS/FOOD CO 47214BAC2 Feb 2026 3,406,000 -5,426,000 $3.7M -62.3% 0.01% DBT
1724 PEPSICO INC 713448EL8 Feb 2026 3,893,000 -4,231,000 $3.7M -52.7% 0.01% DBT
1725 CROWN CASTLE INC 22822VAU5 Feb 2026 5,629,000 -2,419,000 $3.7M -31.7% 0.01% DBT
1726 BANK OF MONTREAL 06368L8L3 Feb 2026 3,699,000 -329,000 $3.7M -9.6% 0.01% DBT
1727 KENVUE INC 49177JAM4 Feb 2026 3,869,000 -650,000 $3.7M -16.6% 0.01% DBT
1728 SIMON PROPERTY GROUP LP 828807DJ3 Feb 2026 4,914,000 -626,000 $3.7M -13.6% 0.01% DBT
1729 BROADCOM INC 11135FBX8 Feb 2026 3,596,000 -5,338,000 $3.7M -60.4% 0.01% DBT
1730 OTIS WORLDWIDE CORP 68902VAL1 Feb 2026 4,738,000 -1,709,000 $3.6M -29.3% 0.01% DBT
1731 HOME DEPOT INC 437076CG5 Feb 2026 6,446,000 -7,330,000 $3.6M -54.6% 0.01% DBT
1732 NORFOLK SOUTHERN CORP 655844CH9 Feb 2026 5,678,000 -2,117,000 $3.6M -28.9% 0.01% DBT
1733 BROOKFIELD FINANCE INC 11271LAF9 Feb 2026 5,272,000 -1,380,000 $3.6M -20.7% 0.01% DBT
1734 UNION PACIFIC CORP 907818FW3 Feb 2026 5,692,000 -5,151,000 $3.6M -48.5% 0.01% DBT
1735 AMERICAN WATER CAPITAL C 03040WBA2 Feb 2026 3,675,000 -8,657,000 $3.6M -71.0% 0.01% DBT
1736 BERKSHIRE HATHAWAY ENERG 084659AF8 Feb 2026 4,160,000 -1,871,000 $3.6M -32.2% 0.01% DBT
1737 BURLINGTN NORTH SANTA FE 12189LBG5 Feb 2026 5,210,000 -3,524,000 $3.6M -42.1% 0.01% DBT
1738 BOEING CO 097023CK9 Feb 2026 4,656,000 -6,678,000 $3.5M -59.8% 0.01% DBT
1739 SHELL FINANCE US INC 822905AZ8 Feb 2026 5,176,000 -8,861,000 $3.5M -64.4% 0.01% DBT
1740 AON CORP 037389BC6 Feb 2026 3,517,000 -1,762,000 $3.4M -34.2% 0.01% DBT
1741 NOVARTIS CAPITAL CORP 66989HAS7 Feb 2026 5,426,000 -4,282,000 $3.4M -46.0% 0.01% DBT
1742 STATE STREET BANK & TR 857449AE2 Feb 2026 3,276,000 -700,000 $3.3M -19.2% 0.01% DBT
1743 DUKE ENERGY CORP 26441CBN4 Feb 2026 4,834,000 -6,190,000 $3.3M -57.1% 0.01% DBT
1744 BANCO SANTANDER SA 05971KAC3 Feb 2026 3,410,000 -3,854,000 $3.3M -53.6% 0.01% DBT
1745 NORFOLK SOUTHERN CORP 655844CF3 Feb 2026 5,014,000 -3,576,000 $3.3M -43.2% 0.01% DBT
1746 BOSTON PROPERTIES LP 10112RBB9 Feb 2026 3,374,000 -4,368,000 $3.2M -57.0% 0.01% DBT
1747 WASTE MANAGEMENT INC 94106LBP3 Feb 2026 3,729,000 -8,475,000 $3.2M -70.0% 0.01% DBT
1748 CVS HEALTH CORP 126650EB2 Feb 2026 3,163,000 -5,315,000 $3.2M -63.3% 0.01% DBT
1749 RTX CORP 75513ECL3 Feb 2026 5,199,000 -4,928,000 $3.2M -50.2% 0.01% DBT
1750 SUNCOR ENERGY INC 867224AB3 Feb 2026 3,997,000 -814,000 $3.1M -18.2% 0.01% DBT
1751 INTEL CORP 458140BX7 Feb 2026 5,254,000 -2,316,000 $3.1M -29.8% 0.01% DBT
1752 EXPAND ENERGY CORP 845467AS8 Feb 2026 3,019,000 -117,000 $3.0M -4.3% 0.01% DBT
1753 JOHNSON & JOHNSON 478160CU6 Feb 2026 2,950,000 -4,502,000 $3.0M -61.1% 0.01% DBT
1754 RAYMOND JAMES FINANCIAL 754730AH2 Feb 2026 4,033,000 -2,556,000 $2.9M -40.0% 0.01% DBT
1755 JOHN DEERE CAPITAL CORP 24422EXT1 Feb 2026 2,835,000 -2,525,000 $2.9M -48.0% 0.01% DBT
1756 SOUTHERN CAL EDISON 842400GY3 Feb 2026 4,750,000 -1,102,000 $2.9M -21.9% 0.01% DBT
1757 FLORIDA POWER & LIGHT CO 341081GT8 Feb 2026 2,770,000 -1,830,000 $2.8M -40.8% 0.01% DBT
1758 DEUTSCHE BANK NY 251526CW7 Feb 2026 2,714,000 -1,989,000 $2.8M -43.2% 0.01% DBT
1759 STARBUCKS CORP 855244AS8 Feb 2026 3,148,000 -3,696,000 $2.6M -55.4% 0.01% DBT
1760 MOTOROLA SOLUTIONS INC 620076BN8 Feb 2026 2,583,000 -1,725,000 $2.6M -40.9% 0.01% DBT
1761 ICON INVESTMENTS SIX DAC 45115AAB0 Feb 2026 2,458,000 -150,000 $2.5M -6.4% 0.01% DBT
1762 PARKER-HANNIFIN CORP 701094AP9 Feb 2026 2,883,000 -143,000 $2.3M -7.6% 0.01% DBT
1763 LAS VEGAS SANDS CORP 517834AF4 Feb 2026 2,320,000 -700,000 $2.2M -24.0% 0.01% DBT
1764 SUMITOMO MITSUI FINL GRP 86562MDM9 Feb 2026 2,143,000 -6,530,000 $2.2M -75.8% 0.01% DBT
1765 CROWN CASTLE INC 22822VBD2 Feb 2026 2,017,000 -5,969,000 $2.1M -75.1% 0.01% DBT
1766 BOEING CO/THE 097023DQ5 Feb 2026 1,939,000 -4,712,000 $2.0M -71.4% 0.01% DBT
1767 COMMONWEALTH BK AUSTR NY 20271RAW0 Feb 2026 1,957,000 -270,000 $1.9M -14.1% 0.01% DBT
1768 INTEL CORP 458140BW9 Feb 2026 2,410,000 -6,769,000 $1.5M -73.9% 0.01% DBT
1769 NEXTERA ENERGY CAPITAL 65339KDK3 Feb 2026 1,448,000 -4,954,000 $1.5M -77.9% 0.00% DBT
1770 BANK OF NY MELLON CORP 06406YAA0 Feb 2026 1,464,000 -675,000 $1.4M -32.5% 0.00% DBT
1771 XILINX INC 983919AK7 Feb 2026 1,477,000 -760,000 $1.4M -34.8% 0.00% DBT
1772 CRH SMW FINANCE DAC 12704PAA6 Feb 2026 1,333,000 -2,110,000 $1.4M -61.9% 0.00% DBT
1773 PACIFIC GAS & ELECTRIC 694308KQ9 Feb 2026 1,295,000 -5,014,000 $1.3M -79.8% 0.00% DBT
1774 S&P GLOBAL INC 78409VBG8 Feb 2026 1,318,000 -2,340,000 $1.3M -64.5% 0.00% DBT
1775 NETFLIX INC 64110LAX4 Feb 2026 1,191,000 -3,295,000 $1.3M -73.9% 0.00% DBT
1776 PUBLIC SERVICE COLORADO 744448CV1 Feb 2026 1,405,000 -6,758,000 $1.2M -83.1% 0.00% DBT
1777 BECTON DICKINSON & CO 075887BX6 Feb 2026 1,295,000 -10,106,000 $1.1M -89.0% 0.00% DBT
1778 APTIV SWISS HOLDINGS LTD 00217GAC7 Feb 2026 1,000,000 -7,290,000 $744K -88.4% 0.00% DBT
1779 MASTERCARD INC 57636QAM6 Feb 2026 735,000 -4,675,000 $709K -86.6% 0.00% DBT
1780 CITIGROUP INC 172967MD0 Feb 2026 500,000 -19,285,000 $436K -97.5% 0.00% DBT