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Holdings (Monthly) Guide ↗

iShares 5-10 Year Investment Grade Corporate Bond ETF

· iShares Trust
Monthly Holdings $22.3B AUM 1023 positions Period May 2026 Filed Jul 24, 2026 EDGAR ↗ ← All Funds
All 235 New 1500 Added 1023 Reduced 268 Exited · May 2026 vs Feb 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 BlackRock Funds III 066922519 Feb 2026 2,016,344,457 -310,924,778 $2.02B -13.4% 11.07% STIV
2 META PLATFORMS INC 30303MAD4 Feb 2026 43,790,000 -85,000 $42.8M -3.4% 0.23% DBT
3 BANK OF AMERICA CORP 06051GMA4 Feb 2026 34,550,000 -65,000 $35.3M -2.6% 0.19% DBT
4 PFIZER INVESTMENT ENTER 716973AE2 Feb 2026 33,818,000 -45,000 $33.6M -2.7% 0.18% DBT
5 JPMORGAN CHASE & CO 46647PDH6 Feb 2026 30,257,000 -300,000 $30.3M -3.2% 0.17% DBT
6 WELLS FARGO & COMPANY 95000U3B7 Feb 2026 29,556,000 -217,000 $29.4M -3.1% 0.16% DBT
7 WELLS FARGO & COMPANY 95000U2U6 Feb 2026 27,971,000 -905,000 $25.8M -5.0% 0.14% DBT
8 JPMORGAN CHASE & CO 46647PEK8 Feb 2026 24,195,000 -2,450,000 $24.4M -11.7% 0.13% DBT
9 WELLS FARGO & COMPANY 95000U3H4 Feb 2026 22,310,000 -760,000 $24.2M -5.7% 0.13% DBT
10 ALPHABET INC 02079KAY3 Feb 2026 24,190,000 -1,115,000 $23.8M -7.2% 0.13% DBT
11 MORGAN STANLEY 61747YFE0 Feb 2026 22,743,000 -510,000 $23.0M -4.7% 0.13% DBT
12 JPMORGAN CHASE & CO 46647PCU8 Feb 2026 25,091,000 -550,000 $22.8M -4.3% 0.12% DBT
13 CITIGROUP INC 17327CAR4 Feb 2026 21,533,000 -1,160,000 $22.5M -7.0% 0.12% DBT
14 JPMORGAN CHASE & CO 46647PEH5 Feb 2026 21,622,000 -920,000 $22.5M -6.8% 0.12% DBT
15 BANK OF AMERICA CORP 06051GKA6 Feb 2026 24,945,000 -1,710,000 $22.1M -8.2% 0.12% DBT
16 MORGAN STANLEY 61747YEY7 Feb 2026 20,555,000 -955,000 $22.0M -7.0% 0.12% DBT
17 JPMORGAN CHASE & CO 46647PEC6 Feb 2026 21,536,000 -345,000 $21.9M -4.1% 0.12% DBT
18 MORGAN STANLEY 61747YFT7 Feb 2026 21,630,000 -860,000 $21.8M -6.2% 0.12% DBT
19 MORGAN STANLEY 61747YFR1 Feb 2026 20,767,000 -320,000 $21.6M -4.1% 0.12% DBT
20 GOLDMAN SACHS GROUP INC 38141GB37 Feb 2026 21,390,000 -1,410,000 $21.5M -8.5% 0.12% DBT
21 CITIGROUP INC 172967PU9 Feb 2026 20,742,000 -20,000 $21.4M -1.9% 0.12% DBT
22 CITIGROUP INC 172967PA3 Feb 2026 19,115,000 -115,000 $20.4M -3.1% 0.11% DBT
23 JPMORGAN CHASE & CO 46647PER3 Feb 2026 20,640,000 -2,450,000 $20.4M -13.1% 0.11% DBT
24 META PLATFORMS INC 30303M8H8 Feb 2026 21,163,000 -310,000 $20.1M -4.5% 0.11% DBT
25 BROADCOM INC 11135FCT6 Feb 2026 21,990,000 -1,455,000 $19.8M -8.8% 0.11% DBT
26 UBS GROUP AG 225401AU2 Feb 2026 21,191,000 -1,090,000 $19.5M -6.7% 0.11% DBT
27 MORGAN STANLEY 61747YEF8 Feb 2026 21,870,000 -2,755,000 $19.0M -12.8% 0.10% DBT
28 GOLDMAN SACHS GROUP INC 38141GA95 Feb 2026 17,990,000 -1,480,000 $18.7M -9.8% 0.10% DBT
29 HSBC HOLDINGS PLC 404280CT4 Feb 2026 20,461,000 -400,000 $18.5M -3.9% 0.10% DBT
30 CITIGROUP INC 172967PG0 Feb 2026 18,019,000 -215,000 $18.4M -3.0% 0.10% DBT
31 GOLDMAN SACHS GROUP INC 38141GYN8 Feb 2026 20,495,000 -4,890,000 $18.2M -21.1% 0.10% DBT
32 T-MOBILE USA INC 87264ACY9 Feb 2026 17,582,000 -460,000 $17.7M -4.9% 0.10% DBT
33 NTT FINANCE CORP 62954WAU9 Feb 2026 17,095,000 -590,000 $17.2M -6.0% 0.09% DBT
34 MORGAN STANLEY 61747YEH4 Feb 2026 19,217,000 -1,540,000 $17.0M -9.5% 0.09% DBT
35 BANK OF AMERICA CORP 06051GMB2 Feb 2026 16,944,000 -146,000 $17.0M -2.8% 0.09% DBT
36 ORACLE CORP 68389XCJ2 Feb 2026 16,310,000 -335,000 $17.0M -3.5% 0.09% DBT
37 ALLY FINANCIAL INC 36186CBY8 Feb 2026 15,170,000 -955,000 $16.9M -7.4% 0.09% DBT
38 META PLATFORMS INC 30303M8U9 Feb 2026 17,161,000 -790,000 $16.9M -7.3% 0.09% DBT
39 PNC FINANCIAL SERVICES 693475BU8 Feb 2026 15,156,000 -349,000 $16.7M -5.0% 0.09% DBT
40 VERIZON COMMUNICATIONS 92343VGZ1 Feb 2026 16,464,000 -235,000 $16.6M -3.7% 0.09% DBT
41 AT&T INC 00206RJY9 Feb 2026 17,956,000 -2,475,000 $16.4M -13.9% 0.09% DBT
42 CITIGROUP INC 17327CBA0 Feb 2026 16,115,000 -1,155,000 $16.2M -8.8% 0.09% DBT
43 ENBRIDGE INC 29250NBR5 Feb 2026 15,553,000 -482,000 $16.2M -5.1% 0.09% DBT
44 VERIZON COMMUNICATIONS 92343VHG2 Feb 2026 16,377,000 -3,638,000 $16.1M -20.0% 0.09% DBT
45 CITIGROUP INC 172967PL9 Feb 2026 15,770,000 -2,500,000 $16.0M -15.8% 0.09% DBT
46 BARCLAYS PLC 06738ECE3 Feb 2026 14,279,000 -615,000 $16.0M -6.6% 0.09% DBT
47 SYNOPSYS INC 871607AE7 Feb 2026 15,980,000 -160,000 $16.0M -3.4% 0.09% DBT
48 MORGAN STANLEY 61747YFJ9 Feb 2026 14,509,000 -136,000 $15.8M -3.7% 0.09% DBT
49 HSBC HOLDINGS PLC 404280EX3 Feb 2026 15,150,000 -2,320,000 $15.6M -15.8% 0.09% DBT
50 BP CAP MARKETS AMERICA 10373QBU3 Feb 2026 15,650,000 -90,000 $15.6M -3.1% 0.09% DBT
51 INTEL CORP 458140CG3 Feb 2026 15,078,000 -312,000 $15.3M -3.6% 0.08% DBT
52 VERIZON COMMUNICATIONS 92343VEA8 Feb 2026 15,574,000 -1,515,000 $15.1M -11.1% 0.08% DBT
53 BANCO SANTANDER SA 05964HAV7 Feb 2026 13,885,000 -155,000 $15.1M -3.4% 0.08% DBT
54 VERIZON COMMUNICATIONS 92343VGY4 Feb 2026 15,209,000 -2,205,000 $14.8M -14.6% 0.08% DBT
55 BNP PARIBAS 05581KAG6 Feb 2026 14,095,000 -855,000 $14.8M -7.8% 0.08% DBT
56 UNITEDHEALTH GROUP INC 91324PER9 Feb 2026 13,904,000 -315,000 $14.3M -4.1% 0.08% DBT
57 BROADCOM INC 11135FCU3 Feb 2026 15,392,000 -465,000 $14.1M -5.3% 0.08% DBT
58 BROADCOM INC 11135FAS0 Feb 2026 14,397,000 -330,000 $14.0M -4.8% 0.08% DBT
59 US BANCORP 91159HJR2 Feb 2026 13,467,000 -455,000 $13.9M -5.9% 0.08% DBT
60 META PLATFORMS INC 30303M8N5 Feb 2026 13,634,000 -260,000 $13.7M -4.7% 0.08% DBT
61 MORGAN STANLEY 61747YEU5 Feb 2026 13,741,000 -430,000 $13.7M -5.3% 0.08% DBT
62 CITIBANK NA 17325FBG2 Feb 2026 13,140,000 -835,000 $13.7M -7.9% 0.08% DBT
63 TRUIST FINANCIAL CORP 89788MAS1 Feb 2026 13,255,000 -130,000 $13.7M -3.8% 0.07% DBT
64 UNITEDHEALTH GROUP INC 91324PFJ6 Feb 2026 13,475,000 -495,000 $13.6M -5.6% 0.07% DBT
65 MARSH & MCLENNAN COS INC 571748CC4 Feb 2026 13,515,000 -110,000 $13.4M -3.3% 0.07% DBT
66 BP CAP MARKETS AMERICA 10373QCA6 Feb 2026 13,131,000 -560,000 $13.4M -6.7% 0.07% DBT
67 BANK OF AMERICA CORP 06051GKC2 Feb 2026 15,118,000 -1,830,000 $13.2M -12.0% 0.07% DBT
68 BP CAP MARKETS AMERICA 10373QBT6 Feb 2026 14,440,000 -1,465,000 $13.1M -11.2% 0.07% DBT
69 UBS GROUP AG 225401BG2 Feb 2026 12,230,000 -130,000 $13.0M -3.8% 0.07% DBT
70 MERCK & CO INC 58933YBE4 Feb 2026 14,749,000 -1,670,000 $13.0M -12.1% 0.07% DBT
71 WELLS FARGO & COMPANY 95000U4B6 Feb 2026 13,320,000 -1,120,000 $13.0M -10.1% 0.07% DBT
72 ORACLE CORP 68389XCT0 Feb 2026 13,893,000 -4,290,000 $12.9M -24.5% 0.07% DBT
73 BAYER US FINANCE LLC 07274EAL7 Feb 2026 11,880,000 -260,000 $12.7M -4.7% 0.07% DBT
74 BROADCOM INC 11135FBY6 Feb 2026 12,344,000 -1,181,000 $12.6M -11.0% 0.07% DBT
75 BNP PARIBAS 09659T2D2 Feb 2026 12,360,000 -1,010,000 $12.6M -9.7% 0.07% DBT
76 ROYAL CARIBBEAN CRUISES 780153BV3 Feb 2026 12,424,000 -76,000 $12.6M -2.7% 0.07% DBT
77 PNC FINANCIAL SERVICES 693475CC7 Feb 2026 12,165,000 -95,000 $12.5M -3.3% 0.07% DBT
78 WALMART INC 931142ET6 Feb 2026 14,073,000 -50,000 $12.5M -2.2% 0.07% DBT
79 AON NORTH AMERICA INC 03740MAD2 Feb 2026 11,929,000 -180,000 $12.2M -3.5% 0.07% DBT
80 ROGERS COMMUNICATIONS IN 775109CH2 Feb 2026 13,022,000 -395,000 $12.2M -5.2% 0.07% DBT
81 MERCK & CO INC 58933YBS3 Feb 2026 12,135,000 -385,000 $12.1M -5.5% 0.07% DBT
82 HSBC HOLDINGS PLC 404280EL9 Feb 2026 11,778,000 -1,092,000 $12.1M -10.8% 0.07% DBT
83 AMERICAN EXPRESS CO 025816EK1 Feb 2026 11,990,000 -675,000 $12.0M -7.5% 0.07% DBT
84 TRUIST FINANCIAL CORP 89788MAP7 Feb 2026 11,509,000 -223,000 $12.0M -4.4% 0.07% DBT
85 FORD MOTOR COMPANY 345370DB3 Feb 2026 11,640,000 -30,000 $11.9M -2.2% 0.07% DBT
86 SUMITOMO MITSUI FINL GRP 86562MCS7 Feb 2026 11,352,000 -205,000 $11.9M -4.5% 0.07% DBT
87 COMCAST CORP 20030NBH3 Feb 2026 12,227,000 -280,000 $11.8M -4.9% 0.06% DBT
88 UNITEDHEALTH GROUP INC 91324PFH0 Feb 2026 11,659,000 -166,000 $11.8M -3.6% 0.06% DBT
89 ROYAL BANK OF CANADA 78016FZX5 Feb 2026 11,641,000 -60,000 $11.8M -3.2% 0.06% DBT
90 CAPITAL ONE FINANCIAL CO 14040HDJ1 Feb 2026 11,406,000 -699,000 $11.7M -7.3% 0.06% DBT
91 UBS GROUP AG 902613BQ0 Feb 2026 11,418,000 -677,000 $11.6M -7.5% 0.06% DBT
92 SOLVENTUM CORP 83444MAR2 Feb 2026 11,315,000 -440,000 $11.6M -5.6% 0.06% DBT
93 MITSUBISHI UFJ FIN GRP 606822BX1 Feb 2026 13,070,000 -580,000 $11.6M -6.4% 0.06% DBT
94 US BANCORP 91159HJN1 Feb 2026 11,053,000 -398,000 $11.5M -6.2% 0.06% DBT
95 JBS NV/USA FOODS/FOOD CO 46590XAY2 Feb 2026 11,029,000 -250,000 $11.3M -4.4% 0.06% DBT
96 ROCHE HOLDINGS INC 771196CH3 Feb 2026 10,675,000 -120,000 $11.2M -3.6% 0.06% DBT
97 MPLX LP 55336VBX7 Feb 2026 11,054,000 -55,000 $11.2M -2.5% 0.06% DBT
98 NIPPON LIFE INSURANCE 654579AP6 Feb 2026 10,650,000 -25,000 $11.2M -2.3% 0.06% DBT
99 CHUBB INA HOLDINGS LLC 171239AK2 Feb 2026 11,142,000 -343,000 $11.2M -5.3% 0.06% DBT
100 BPCE SA 05571ABA2 Feb 2026 10,592,000 -198,000 $11.1M -4.7% 0.06% DBT
101 ONEOK INC 682680CE1 Feb 2026 11,205,000 -245,000 $11.0M -4.0% 0.06% DBT
102 TAKEDA US FIN 87406BAA0 Feb 2026 10,994,000 -386,000 $11.0M -5.9% 0.06% DBT
103 GENERAL MOTORS FINL CO 37045XEP7 Feb 2026 10,455,000 -145,000 $11.0M -3.6% 0.06% DBT
104 PROSUS NV 74365PAF5 Feb 2026 11,990,000 -70,000 $10.9M -1.8% 0.06% DBT
105 BARCLAYS PLC 06738ECH6 Feb 2026 9,940,000 -135,000 $10.9M -3.8% 0.06% DBT
106 BARCLAYS PLC 06738ECL7 Feb 2026 10,040,000 -210,000 $10.9M -4.7% 0.06% DBT
107 TORONTO-DOMINION BANK 89115A2E1 Feb 2026 11,019,000 -2,004,000 $10.9M -17.4% 0.06% DBT
108 L3HARRIS TECH INC 502431AQ2 Feb 2026 10,503,000 -55,000 $10.8M -3.1% 0.06% DBT
109 ENERGY TRANSFER LP 29273VAU4 Feb 2026 9,867,000 -1,303,000 $10.7M -13.3% 0.06% DBT
110 GLOBAL PAYMENTS INC 37940XAY8 Feb 2026 10,928,000 -902,000 $10.7M -9.4% 0.06% DBT
111 SIEMENS FUNDING BV 82622RAE6 Feb 2026 10,420,000 -65,000 $10.6M -3.2% 0.06% DBT
112 BHP BILLITON FIN USA LTD 055451BE7 Feb 2026 10,384,000 -543,000 $10.6M -7.2% 0.06% DBT
113 BPCE SA 05571AAY1 Feb 2026 10,330,000 -810,000 $10.6M -9.8% 0.06% DBT
114 DEUTSCHE BANK NY 251526CT4 Feb 2026 9,880,000 -280,000 $10.6M -5.2% 0.06% DBT
115 BAE SYSTEMS PLC 05523RAL1 Feb 2026 10,325,000 -50,000 $10.5M -3.5% 0.06% DBT
116 FOUNDRY JV HOLDCO LLC 350930AC7 Feb 2026 10,010,000 -95,000 $10.5M -2.9% 0.06% DBT
117 PNC FINANCIAL SERVICES 693475CA1 Feb 2026 10,527,000 -1,242,000 $10.5M -12.7% 0.06% DBT
118 MERCK & CO INC 58933YBZ7 Feb 2026 10,698,000 -162,000 $10.5M -4.2% 0.06% DBT
119 KINDER MORGAN INC 49456BAX9 Feb 2026 10,311,000 -210,000 $10.5M -4.4% 0.06% DBT
120 CHENIERE ENERGY INC 16411RAN9 Feb 2026 10,160,000 -80,000 $10.5M -2.8% 0.06% DBT
121 FOUNDRY JV HOLDCO LLC 350930AG8 Feb 2026 10,030,000 -175,000 $10.4M -3.5% 0.06% DBT
122 AMERICAN EXPRESS CO 025816DZ9 Feb 2026 10,165,000 -425,000 $10.4M -6.0% 0.06% DBT
123 HP ENTERPRISE CO 42824CBU2 Feb 2026 10,340,000 -1,285,000 $10.3M -12.4% 0.06% DBT
124 MPLX LP 55336VCC2 Feb 2026 10,300,000 -150,000 $10.3M -3.3% 0.06% DBT
125 ASTRAZENECA FINANCE LLC 04636NAN3 Feb 2026 10,170,000 -15,000 $10.3M -2.9% 0.06% DBT
126 ING GROEP NV 456837BM4 Feb 2026 10,070,000 -225,000 $10.3M -4.7% 0.06% DBT
127 UNITEDHEALTH GROUP INC 91324PEV0 Feb 2026 10,374,000 -1,020,000 $10.1M -10.9% 0.06% DBT
128 ARTHUR J GALLAGHER & CO 04316JAN9 Feb 2026 10,195,000 -215,000 $10.1M -4.1% 0.06% DBT
129 PNC FINANCIAL SERVICES 693475BM6 Feb 2026 10,058,000 -530,000 $10.1M -7.8% 0.06% DBT
130 AMERICAN EXPRESS CO 025816EH8 Feb 2026 9,705,000 -655,000 $10.1M -8.3% 0.06% DBT
131 UNITEDHEALTH GROUP INC 91324PEJ7 Feb 2026 10,280,000 -720,000 $10.0M -8.6% 0.05% DBT
132 BANK OF NY MELLON CORP 06406RBM8 Feb 2026 9,477,000 -200,000 $10.0M -4.5% 0.05% DBT
133 HCA INC 404119CU1 Feb 2026 9,768,000 -610,000 $10.0M -8.2% 0.05% DBT
134 COMCAST CORP 20030NEJ6 Feb 2026 9,811,000 -125,000 $10.0M -4.0% 0.05% DBT
135 HSBC HOLDINGS PLC 404280EG0 Feb 2026 9,665,000 -970,000 $10.0M -11.6% 0.05% DBT
136 VICI PROPERTIES LP 925650AD5 Feb 2026 9,963,000 -330,000 $9.9M -5.3% 0.05% DBT
137 CANADIAN PACIFIC RAILWAY 13645RBF0 Feb 2026 11,067,000 -320,000 $9.8M -5.0% 0.05% DBT
138 US BANCORP 91159HJB7 Feb 2026 11,280,000 -920,000 $9.8M -9.2% 0.05% DBT
139 FLORIDA POWER & LIGHT CO 341081GG6 Feb 2026 10,872,000 -665,000 $9.7M -7.7% 0.05% DBT
140 FORD MOTOR CREDIT CO LLC 345397G31 Feb 2026 9,525,000 -460,000 $9.7M -6.6% 0.05% DBT
141 ELI LILLY & CO 532457CL0 Feb 2026 9,735,000 -345,000 $9.7M -5.9% 0.05% DBT
142 TRUIST FINANCIAL CORP 89788MAM4 Feb 2026 9,690,000 -185,000 $9.7M -4.3% 0.05% DBT
143 BANCO SANTANDER SA 05964HBG9 Feb 2026 9,391,000 -2,129,000 $9.7M -20.8% 0.05% DBT
144 CHARLES SCHWAB CORP 808513CE3 Feb 2026 9,201,000 -595,000 $9.6M -8.5% 0.05% DBT
145 BAT CAPITAL CORP 054989AB4 Feb 2026 8,868,000 -540,000 $9.6M -8.1% 0.05% DBT
146 AMAZON.COM INC 023135AP1 Feb 2026 9,528,000 -42,000 $9.6M -3.2% 0.05% DBT
147 CAPITAL ONE FINANCIAL CO 14040HCY9 Feb 2026 9,325,000 -80,000 $9.6M -3.3% 0.05% DBT
148 RIO TINTO FIN USA PLC 76720AAT3 Feb 2026 9,460,000 -790,000 $9.6M -10.0% 0.05% DBT
149 HONEYWELL INTERNATIONAL 438516CS3 Feb 2026 9,395,000 -700,000 $9.5M -9.1% 0.05% DBT
150 BROADCOM INC 11135FBT7 Feb 2026 9,762,000 -50,000 $9.4M -2.9% 0.05% DBT
151 MITSUBISHI UFJ FIN GRP 606822DH4 Feb 2026 9,095,000 -1,310,000 $9.3M -15.0% 0.05% DBT
152 WILLIAMS COMPANIES INC 88339WAC0 Feb 2026 9,300,000 -370,000 $9.3M -6.0% 0.05% DBT
153 DUKE ENERGY CAROLINAS 26442CBJ2 Feb 2026 9,169,000 -630,000 $9.3M -8.4% 0.05% DBT
154 ENERGY TRANSFER LP 29273VAY6 Feb 2026 9,082,000 -70,000 $9.3M -2.5% 0.05% DBT
155 AERCAP IRELAND CAP/GLOBA 00774MBP9 Feb 2026 9,088,000 -3,767,000 $9.3M -30.9% 0.05% DBT
156 UNITEDHEALTH GROUP INC 91324PFB3 Feb 2026 9,240,000 -265,000 $9.3M -4.9% 0.05% DBT
157 DIAMONDBACK ENERGY INC 25278XAZ2 Feb 2026 9,010,000 -195,000 $9.2M -3.7% 0.05% DBT
158 FISERV INC 337738BH0 Feb 2026 9,090,000 -870,000 $9.2M -10.6% 0.05% DBT
159 REGAL REXNORD CORP 758750AP8 Feb 2026 8,635,000 -230,000 $9.2M -5.1% 0.05% DBT
160 SUMITOMO MITSUI FINL GRP 86562MDP2 Feb 2026 8,812,000 -503,000 $9.1M -7.9% 0.05% DBT
161 WOODSIDE FINANCE LTD 980236AV5 Feb 2026 8,645,000 -380,000 $9.0M -5.5% 0.05% DBT
162 GENERAL MOTORS FINL CO 37045XEV4 Feb 2026 8,696,000 -375,000 $9.0M -6.2% 0.05% DBT
163 ONEOK INC 682680CD3 Feb 2026 9,015,000 -575,000 $9.0M -7.9% 0.05% DBT
164 JEFFERIES FIN GROUP INC 47233JGT9 Feb 2026 10,234,000 -170,000 $8.9M -3.3% 0.05% DBT
165 SOUTH BOW USA INFRA HLDS 83007CAF9 Feb 2026 8,949,000 -146,000 $8.9M -3.5% 0.05% DBT
166 LLOYDS BANKING GROUP PLC 539439BE8 Feb 2026 8,665,000 -45,000 $8.9M -2.6% 0.05% DBT
167 WASTE MANAGEMENT INC 94106LBW8 Feb 2026 8,840,000 -15,000 $8.9M -2.8% 0.05% DBT
168 HONEYWELL INTERNATIONAL 438516CF1 Feb 2026 10,236,000 -550,000 $8.9M -6.8% 0.05% DBT
169 MITSUBISHI UFJ FIN GRP 606822DF8 Feb 2026 8,718,000 -980,000 $8.9M -12.7% 0.05% DBT
170 GLENCORE FUNDING LLC 378272CA4 Feb 2026 8,605,000 -190,000 $8.9M -4.7% 0.05% DBT
171 DOMINION ENERGY INC 25746UDV8 Feb 2026 8,635,000 -155,000 $8.8M -3.1% 0.05% DBT
172 DUKE ENERGY CORP 26441CBT1 Feb 2026 8,970,000 -97,000 $8.8M -3.3% 0.05% DBT
173 DIAMONDBACK ENERGY INC 25278XBC2 Feb 2026 8,570,000 -50,000 $8.8M -2.0% 0.05% DBT
174 ELI LILLY & CO 532457CR7 Feb 2026 8,925,000 -70,000 $8.8M -3.4% 0.05% DBT
175 ACCENTURE CAPITAL INC 00440KAC7 Feb 2026 8,907,000 -1,283,000 $8.8M -14.2% 0.05% DBT
176 BLACKSTONE PRIVATE CRE 09261HBX4 Feb 2026 8,835,000 -460,000 $8.7M -5.4% 0.05% DBT
177 FORD MOTOR CREDIT CO LLC 345397D67 Feb 2026 8,127,000 -1,188,000 $8.7M -14.4% 0.05% DBT
178 MUNICH RE 62582PAA8 Feb 2026 8,479,000 -46,000 $8.7M -2.9% 0.05% DBT
179 LOWE'S COS INC 548661EW3 Feb 2026 8,840,000 -240,000 $8.7M -5.0% 0.05% DBT
180 WOODSIDE FINANCE LTD 980236AR4 Feb 2026 8,668,000 -587,000 $8.6M -7.4% 0.05% DBT
181 T-MOBILE USA INC 87264ACV5 Feb 2026 8,446,000 -800,000 $8.6M -10.7% 0.05% DBT
182 ELI LILLY & CO 532457DE5 Feb 2026 8,590,000 -135,000 $8.6M -3.8% 0.05% DBT
183 NISOURCE INC 65473PAX3 Feb 2026 8,495,000 -260,000 $8.6M -5.0% 0.05% DBT
184 ROCHE HOLDINGS INC 771196CL4 Feb 2026 8,470,000 -70,000 $8.6M -3.6% 0.05% DBT
185 CHUBB INA HOLDINGS LLC 171239AM8 Feb 2026 8,655,000 -365,000 $8.5M -6.6% 0.05% DBT
186 DIAMONDBACK ENERGY INC 25278XAV1 Feb 2026 7,928,000 -80,000 $8.5M -2.8% 0.05% DBT
187 INTESA SANPAOLO SPA 46115HBZ9 Feb 2026 7,800,000 -520,000 $8.5M -8.6% 0.05% DBT
188 T-MOBILE USA INC 87264ADF9 Feb 2026 8,410,000 -1,045,000 $8.5M -13.2% 0.05% DBT
189 CITIZENS FINANCIAL GROUP 174610BH7 Feb 2026 8,255,000 -1,610,000 $8.5M -18.4% 0.05% DBT
190 HCA INC 404119DE6 Feb 2026 8,655,000 -285,000 $8.5M -5.6% 0.05% DBT
191 ENBRIDGE INC 29250NCC7 Feb 2026 8,120,000 -685,000 $8.4M -9.7% 0.05% DBT
192 STELLANTIS FIN US INC 85855CAB6 Feb 2026 9,687,000 -175,000 $8.4M -3.1% 0.05% DBT
193 BANK OF NY MELLON CORP 06406RBZ9 Feb 2026 8,185,000 -880,000 $8.3M -11.7% 0.05% DBT
194 UNITED PARCEL SERVICE 911312CJ3 Feb 2026 8,143,000 -502,000 $8.3M -8.4% 0.05% DBT
195 EXPAND ENERGY CORP 845467AT6 Feb 2026 8,443,000 -937,000 $8.3M -11.5% 0.05% DBT
196 CITIGROUP INC 172967BL4 Feb 2026 7,614,000 -5,000 $8.3M -2.5% 0.05% DBT
197 SALESFORCE INC 79466LAJ3 Feb 2026 9,453,000 -1,008,000 $8.3M -11.2% 0.05% DBT
198 CISCO SYSTEMS INC 17275RBZ4 Feb 2026 8,130,000 -195,000 $8.3M -4.5% 0.05% DBT
199 GENERAL MOTORS CO 37045VAZ3 Feb 2026 7,983,000 -57,000 $8.2M -2.7% 0.05% DBT
200 PACIFIC GAS & ELECTRIC 694308KM8 Feb 2026 7,740,000 -910,000 $8.2M -12.6% 0.05% DBT
201 KINDER MORGAN INC 28368EAE6 Feb 2026 7,190,000 -69,000 $8.2M -3.6% 0.05% DBT
202 ALPHABET INC 02079KAL1 Feb 2026 8,360,000 -80,000 $8.2M -3.5% 0.04% DBT
203 BARCLAYS PLC 06738ECA1 Feb 2026 7,919,000 -168,000 $8.2M -4.7% 0.04% DBT
204 HUNTINGTON BANCSHARES 446150BD5 Feb 2026 7,850,000 -380,000 $8.0M -7.2% 0.04% DBT
205 VISTRA OPERATIONS CO LLC 92840VAQ5 Feb 2026 7,355,000 -195,000 $8.0M -5.4% 0.04% DBT
206 EMD FINANCE LLC 26867LAR1 Feb 2026 8,090,000 -240,000 $8.0M -4.9% 0.04% DBT
207 LOWE'S COS INC 548661EL7 Feb 2026 7,917,000 -488,000 $8.0M -8.1% 0.04% DBT
208 ING GROEP NV 456837BH5 Feb 2026 7,490,000 -115,000 $8.0M -3.9% 0.04% DBT
209 GENERAL MOTORS FINL CO 37045XFC5 Feb 2026 7,679,000 -35,000 $7.9M -2.3% 0.04% DBT
210 INTEL CORP 458140BU3 Feb 2026 9,042,000 -455,000 $7.9M -6.2% 0.04% DBT
211 US BANCORP 91159HJG6 Feb 2026 7,860,000 -605,000 $7.8M -9.6% 0.04% DBT
212 DELL INT LLC / EMC CORP 24703TAN6 Feb 2026 7,605,000 -185,000 $7.8M -4.0% 0.04% DBT
213 TORONTO-DOMINION BANK 89115KAJ9 Feb 2026 7,880,000 -890,000 $7.7M -12.4% 0.04% DBT
214 ROYAL CARIBBEAN CRUISES 780153BU5 Feb 2026 7,575,000 -25,000 $7.7M -2.4% 0.04% DBT
215 SUMITOMO MITSUI FINL GRP 86562MDN7 Feb 2026 7,510,000 -110,000 $7.7M -4.2% 0.04% DBT
216 CSX CORP 126408HU0 Feb 2026 7,858,000 -40,000 $7.6M -3.1% 0.04% DBT
217 ENTERPRISE PRODUCTS OPER 29379VCG6 Feb 2026 7,625,000 -475,000 $7.6M -8.2% 0.04% DBT
218 SOUTHERN CO 842587DT1 Feb 2026 7,335,000 -425,000 $7.6M -7.8% 0.04% DBT
219 DEUTSCHE BANK NY 251526CY3 Feb 2026 7,602,000 -1,073,000 $7.6M -14.5% 0.04% DBT
220 PAYCHEX INC 704326AC1 Feb 2026 7,485,000 -550,000 $7.6M -8.2% 0.04% DBT
221 AIR PRODUCTS & CHEMICALS 009158BK1 Feb 2026 7,536,000 -640,000 $7.5M -10.1% 0.04% DBT
222 TARGA RESOURCES CORP 87612GAK7 Feb 2026 7,394,000 -206,000 $7.5M -4.4% 0.04% DBT
223 BAT CAPITAL CORP 05526DCC7 Feb 2026 7,245,000 -1,150,000 $7.5M -15.5% 0.04% DBT
224 NEXTERA ENERGY CAPITAL 65339KCU2 Feb 2026 7,340,000 -830,000 $7.4M -12.0% 0.04% DBT
225 OCCIDENTAL PETROLEUM COR 674599EK7 Feb 2026 7,220,000 -1,225,000 $7.4M -15.6% 0.04% DBT
226 PHILIP MORRIS INTL INC 718172DE6 Feb 2026 7,070,000 -410,000 $7.4M -7.9% 0.04% DBT
227 HP INC 40434LAN5 Feb 2026 7,198,000 -535,000 $7.4M -7.2% 0.04% DBT
228 COMCAST CORP 20030NEE7 Feb 2026 7,418,000 -1,005,000 $7.4M -14.2% 0.04% DBT
229 RWE FINANCE US LLC 749983AA0 Feb 2026 7,102,000 -118,000 $7.4M -4.0% 0.04% DBT
230 INGERSOLL RAND INC 45687VAB2 Feb 2026 7,080,000 -50,000 $7.4M -3.6% 0.04% DBT
231 FISERV INC 337738BQ0 Feb 2026 7,490,000 -280,000 $7.3M -5.7% 0.04% DBT
232 STANDARD CHARTERED PLC 853254CU2 Feb 2026 6,893,000 -1,515,000 $7.3M -20.1% 0.04% DBT
233 CBRE SERVICES INC 12505BAG5 Feb 2026 7,005,000 -260,000 $7.3M -6.0% 0.04% DBT
234 ONEOK INC 682680DC4 Feb 2026 7,263,000 -867,000 $7.3M -12.3% 0.04% DBT
235 SUMITOMO MITSUI FINL GRP 86562MCJ7 Feb 2026 8,290,000 -1,100,000 $7.3M -13.8% 0.04% DBT
236 PACIFIC GAS & ELECTRIC 694308KU0 Feb 2026 7,160,000 -270,000 $7.3M -6.3% 0.04% DBT
237 WASTE MANAGEMENT INC 94106LBS7 Feb 2026 7,410,000 -55,000 $7.2M -3.2% 0.04% DBT
238 NEW YORK LIFE GLOBAL FDG 64952WFE8 Feb 2026 7,215,000 -345,000 $7.2M -7.1% 0.04% DBT
239 T-MOBILE USA INC 87264ADC6 Feb 2026 6,924,000 -510,000 $7.2M -9.1% 0.04% DBT
240 GOLDMAN SACHS GROUP INC 38141GCU6 Feb 2026 6,689,000 -890,000 $7.2M -13.5% 0.04% DBT
241 CVS HEALTH CORP 126650DR8 Feb 2026 8,229,000 -2,110,000 $7.2M -21.6% 0.04% DBT
242 ELEVANCE HEALTH INC 28622HAB7 Feb 2026 7,265,000 -560,000 $7.2M -9.4% 0.04% DBT
243 VIPER ENERGY PARTNERS LL 92764MAB0 Feb 2026 7,015,000 -25,000 $7.2M -1.8% 0.04% DBT
244 JOHN DEERE CAPITAL CORP 24422EXP9 Feb 2026 7,045,000 -570,000 $7.2M -10.0% 0.04% DBT
245 MSCI INC 55354GAR1 Feb 2026 7,255,000 -940,000 $7.1M -12.9% 0.04% DBT
246 PRUDENTIAL FINANCIAL INC 744320BJ0 Feb 2026 7,270,000 -325,000 $7.1M -4.5% 0.04% DBT
247 NEXTERA ENERGY CAPITAL 65339KDL1 Feb 2026 6,985,000 -750,000 $7.1M -11.5% 0.04% DBT
248 MET LIFE GLOB FUNDING I 59217GFP9 Feb 2026 6,998,000 -255,000 $7.1M -6.1% 0.04% DBT
249 LLOYDS BANKING GROUP PLC 53944YAU7 Feb 2026 7,084,000 -705,000 $7.1M -11.5% 0.04% DBT
250 COMCAST CORP 20030NEC1 Feb 2026 7,121,000 -710,000 $7.0M -11.5% 0.04% DBT
251 DUKE ENERGY CORP 26441CCG8 Feb 2026 6,757,000 -93,000 $7.0M -2.5% 0.04% DBT
252 EQUINIX EU 2 FINANCING C 29390XAH7 Feb 2026 7,185,000 -215,000 $7.0M -5.3% 0.04% DBT
253 MASTERCARD INC 57636QBC7 Feb 2026 7,161,000 -35,000 $7.0M -3.1% 0.04% DBT
254 NOMURA HOLDINGS INC 65535HAX7 Feb 2026 7,825,000 -340,000 $7.0M -5.7% 0.04% DBT
255 AUST & NZ BANKING GROUP 052528AP1 Feb 2026 6,493,000 -910,000 $7.0M -15.3% 0.04% DBT
256 MITSUBISHI UFJ FIN GRP 606822CD4 Feb 2026 7,825,000 -590,000 $7.0M -9.4% 0.04% DBT
257 DELL INT LLC / EMC CORP 24703DBL4 Feb 2026 6,693,000 -520,000 $7.0M -8.5% 0.04% DBT
258 CAIXABANK SA 12803RAC8 Feb 2026 6,414,000 -301,000 $7.0M -7.1% 0.04% DBT
259 LOWE'S COS INC 548661EQ6 Feb 2026 6,921,000 -235,000 $7.0M -5.8% 0.04% DBT
260 STANDARD CHARTERED PLC 853254CC2 Feb 2026 7,825,000 -115,000 $7.0M -3.2% 0.04% DBT
261 HONEYWELL INTERNATIONAL 438516CM6 Feb 2026 7,140,000 -260,000 $7.0M -6.0% 0.04% DBT
262 SMURFIT KAPPA TREASURY 83272GAE1 Feb 2026 6,891,000 -375,000 $7.0M -7.6% 0.04% DBT
263 BANK OF NY MELLON CORP 06406RBU0 Feb 2026 6,407,000 -597,000 $7.0M -10.9% 0.04% DBT
264 LLOYDS BANKING GROUP PLC 539439BA6 Feb 2026 6,830,000 -515,000 $7.0M -9.8% 0.04% DBT
265 ELI LILLY & CO 532457DD7 Feb 2026 6,990,000 -145,000 $7.0M -4.3% 0.04% DBT
266 AMERICAN ELECTRIC POWER 025537AX9 Feb 2026 6,705,000 -195,000 $7.0M -4.9% 0.04% DBT
267 MASTERCARD INC 57636QAZ7 Feb 2026 6,915,000 -195,000 $7.0M -5.1% 0.04% DBT
268 ENEL FINANCE INTL NV 29278GAX6 Feb 2026 6,954,000 -905,000 $7.0M -14.1% 0.04% DBT
269 BANK OF NOVA SCOTIA 06418GAZ0 Feb 2026 7,040,000 -605,000 $6.9M -10.1% 0.04% DBT
270 HCA INC 404119CC1 Feb 2026 7,821,000 -67,000 $6.9M -2.6% 0.04% DBT
271 MIZUHO FINANCIAL GROUP 60687YDB2 Feb 2026 6,670,000 -630,000 $6.9M -11.1% 0.04% DBT
272 BANK OF NY MELLON CORP 06406RBW6 Feb 2026 6,839,000 -280,000 $6.9M -6.4% 0.04% DBT
273 BP CAP MARKETS AMERICA 10373QBW9 Feb 2026 6,880,000 -1,260,000 $6.9M -17.4% 0.04% DBT
274 GILEAD SCIENCES INC 375558CC5 Feb 2026 6,840,000 -560,000 $6.9M -9.8% 0.04% DBT
275 CHARLES SCHWAB CORP 808513BT1 Feb 2026 7,908,000 -950,000 $6.9M -12.3% 0.04% DBT
276 PFIZER INC 717081FB4 Feb 2026 7,869,000 -85,000 $6.9M -3.0% 0.04% DBT
277 IBM INTERNAT CAPITAL 449276AE4 Feb 2026 6,927,000 -270,000 $6.9M -5.6% 0.04% DBT
278 CAMPBELLS COMPANY/THE 134429BP3 Feb 2026 7,078,000 -87,000 $6.9M -6.2% 0.04% DBT
279 MARRIOTT INTERNATIONAL 571903BS1 Feb 2026 6,755,000 -135,000 $6.9M -4.2% 0.04% DBT
280 UNILEVER CAPITAL CORP 904764BV8 Feb 2026 6,930,000 -75,000 $6.9M -3.8% 0.04% DBT
281 VERIZON COMMUNICATIONS 92343VGT5 Feb 2026 6,760,000 -334,000 $6.8M -7.0% 0.04% DBT
282 CONSTELLATION BRANDS INC 21036PBH0 Feb 2026 7,745,000 -325,000 $6.8M -5.7% 0.04% DBT
283 CHARTER COMM OPT LLC/CAP 161175CJ1 Feb 2026 7,397,000 -520,000 $6.8M -9.3% 0.04% DBT
284 HOME DEPOT INC 437076DK5 Feb 2026 7,000,000 -305,000 $6.8M -6.7% 0.04% DBT
285 WYNNTON FUNDING TRUST 983196AA4 Feb 2026 6,865,000 -315,000 $6.8M -6.3% 0.04% DBT
286 PHILLIPS 66 CO 718547AR3 Feb 2026 6,683,000 -690,000 $6.8M -11.3% 0.04% DBT
287 ABBVIE INC 00287YEA3 Feb 2026 6,672,000 -320,000 $6.8M -6.9% 0.04% DBT
288 BANCO SANTANDER SA 05964HBK0 Feb 2026 6,470,000 -275,000 $6.8M -6.7% 0.04% DBT
289 AMERICAN WATER CAPITAL C 03040WBA2 Feb 2026 6,870,000 -140,000 $6.8M -4.6% 0.04% DBT
290 REPSOL E&P CAP MARKETS 76026AAC1 Feb 2026 6,580,000 -345,000 $6.7M -6.4% 0.04% DBT
291 SUMITOMO LIFE INSUR 86564CAE0 Feb 2026 6,732,000 -8,000 $6.7M -1.7% 0.04% DBT
292 JOHN DEERE CAPITAL CORP 24422EXE4 Feb 2026 6,520,000 -510,000 $6.7M -10.0% 0.04% DBT
293 KLA CORP 482480AL4 Feb 2026 6,663,000 -159,000 $6.7M -4.4% 0.04% DBT
294 PHILLIPS 66 CO 718547AU6 Feb 2026 6,542,000 -2,048,000 $6.7M -25.7% 0.04% DBT
295 MARSH & MCLENNAN COS INC 571748CB6 Feb 2026 6,620,000 -1,175,000 $6.7M -16.8% 0.04% DBT
296 AKER BP ASA 00973RAQ6 Feb 2026 6,793,000 -47,000 $6.7M -2.3% 0.04% DBT
297 PHILLIPS 66 718546AK0 Feb 2026 6,845,000 -400,000 $6.7M -7.4% 0.04% DBT
298 MACQUARIE GROUP LTD 55608JBQ0 Feb 2026 6,245,000 -515,000 $6.7M -10.7% 0.04% DBT
299 T-MOBILE USA INC 87264ABX2 Feb 2026 7,547,000 -1,245,000 $6.7M -15.8% 0.04% DBT
300 META PLATFORMS INC 30303M8T2 Feb 2026 6,660,000 -50,000 $6.7M -3.2% 0.04% DBT
301 GE HEALTHCARE TECH INC 36266GAC1 Feb 2026 6,534,000 -576,000 $6.6M -10.8% 0.04% DBT
302 PEPSICO INC 713448GJ1 Feb 2026 6,600,000 -1,100,000 $6.6M -16.2% 0.04% DBT
303 ING GROEP NV 456837BS1 Feb 2026 6,500,000 -355,000 $6.6M -7.9% 0.04% DBT
304 COMCAST CORP 20030NEP2 Feb 2026 6,485,000 -1,670,000 $6.6M -22.6% 0.04% DBT
305 DOMINION ENERGY INC 25746UDR7 Feb 2026 6,433,000 -1,220,000 $6.6M -17.7% 0.04% DBT
306 GLENCORE FUNDING LLC 378272BG2 Feb 2026 7,360,000 -610,000 $6.6M -9.3% 0.04% DBT
307 MARS INC 571676AV7 Feb 2026 6,645,000 -95,000 $6.6M -4.1% 0.04% DBT
308 NEXTERA ENERGY CAPITAL 65339KDK3 Feb 2026 6,435,000 -985,000 $6.6M -15.4% 0.04% DBT
309 STATE STREET CORP 857477CC5 Feb 2026 6,485,000 -280,000 $6.6M -6.6% 0.04% DBT
310 CVS HEALTH CORP 126650EC0 Feb 2026 6,365,000 -170,000 $6.6M -4.8% 0.04% DBT
311 HONDA MOTOR CO LTD 438127AF9 Feb 2026 6,520,000 -255,000 $6.5M -6.6% 0.04% DBT
312 CONOCOPHILLIPS COMPANY 20826FBF2 Feb 2026 6,425,000 -1,040,000 $6.5M -15.9% 0.04% DBT
313 CSL FINANCE PLC 12661PAC3 Feb 2026 6,780,000 -10,000 $6.5M -3.3% 0.04% DBT
314 GENERAL MOTORS FINL CO 37045XFK7 Feb 2026 6,220,000 -65,000 $6.5M -3.2% 0.04% DBT
315 L'OREAL SA 502117AA2 Feb 2026 6,428,000 -447,000 $6.5M -9.2% 0.04% DBT
316 UNITEDHEALTH GROUP INC 91324PCQ3 Feb 2026 6,670,000 -670,000 $6.5M -11.2% 0.04% DBT
317 NXP BV/NXP FDG/NXP USA 62954HBB3 Feb 2026 6,451,000 -445,000 $6.5M -8.6% 0.04% DBT
318 BANCO SANTANDER SA 05971KAL3 Feb 2026 7,129,000 -100,000 $6.4M -3.3% 0.04% DBT
319 MEDTRONIC GLOBAL HLDINGS 58507LBC2 Feb 2026 6,540,000 -335,000 $6.4M -7.2% 0.04% DBT
320 MARRIOTT INTERNATIONAL 571903BF9 Feb 2026 6,980,000 -250,000 $6.4M -5.7% 0.04% DBT
321 HOME DEPOT INC 437076CJ9 Feb 2026 7,342,000 -180,000 $6.4M -4.1% 0.04% DBT
322 MACQUARIE BANK LTD 556079AF8 Feb 2026 5,953,000 -515,000 $6.4M -10.2% 0.04% DBT
323 ROPER TECHNOLOGIES INC 776696AJ5 Feb 2026 6,659,000 -316,000 $6.4M -7.2% 0.04% DBT
324 HP INC 40434LAJ4 Feb 2026 7,135,000 -350,000 $6.4M -5.4% 0.04% DBT
325 ROYAL BANK OF CANADA 78016FZQ0 Feb 2026 6,672,000 -150,000 $6.4M -4.5% 0.04% DBT
326 ZOETIS INC 98978VAX1 Feb 2026 6,475,000 -505,000 $6.4M -10.0% 0.04% DBT
327 EMD FINANCE LLC 26867LAQ3 Feb 2026 6,490,000 -690,000 $6.4M -11.9% 0.04% DBT
328 GEORGIA POWER CO 373334KW0 Feb 2026 6,280,000 -100,000 $6.4M -3.9% 0.04% DBT
329 ANALOG DEVICES INC 032654AV7 Feb 2026 7,232,000 -305,000 $6.4M -5.8% 0.04% DBT
330 ELI LILLY & CO 532457CF3 Feb 2026 6,339,000 -839,000 $6.4M -13.6% 0.04% DBT
331 EXELON CORP 30161NBK6 Feb 2026 6,225,000 -121,000 $6.4M -4.2% 0.03% DBT
332 TYSON FOODS INC 902494BM4 Feb 2026 6,145,000 -40,000 $6.4M -3.3% 0.03% DBT
333 ROCHE HOLDINGS INC 771196CQ3 Feb 2026 6,465,000 -475,000 $6.4M -9.3% 0.03% DBT
334 AUST & NZ BANKING GROUP 052528AT3 Feb 2026 6,445,000 -1,325,000 $6.4M -19.7% 0.03% DBT
335 ATMOS ENERGY CORP 049560AZ8 Feb 2026 5,959,000 -90,000 $6.4M -3.9% 0.03% DBT
336 APOLLO DEBT SOLUTIONS BD 03770DAD5 Feb 2026 6,200,000 -615,000 $6.3M -9.8% 0.03% DBT
337 PAYPAL HOLDINGS INC 70450YAL7 Feb 2026 6,498,000 -435,000 $6.3M -8.8% 0.03% DBT
338 HUMANA INC 444859BY7 Feb 2026 6,115,000 -475,000 $6.3M -8.5% 0.03% DBT
339 BAT CAPITAL CORP 05526DBZ7 Feb 2026 5,975,000 -205,000 $6.3M -5.8% 0.03% DBT
340 MOTOROLA SOLUTIONS INC 620076BZ1 Feb 2026 6,208,000 -450,000 $6.3M -9.4% 0.03% DBT
341 CARRIER GLOBAL CORP 14448CBC7 Feb 2026 5,959,000 -260,000 $6.3M -6.5% 0.03% DBT
342 BOEING CO/THE 097023DR3 Feb 2026 5,872,000 -878,000 $6.3M -15.1% 0.03% DBT
343 GILEAD SCIENCES INC 375558BG7 Feb 2026 6,395,000 -830,000 $6.2M -13.5% 0.03% DBT
344 COMCAST CORP 20030NAC5 Feb 2026 5,563,000 -100,000 $6.2M -4.7% 0.03% DBT
345 VIRGINIA ELEC & POWER CO 927804GK4 Feb 2026 6,164,000 -85,000 $6.2M -3.0% 0.03% DBT
346 STANDARD CHARTERED PLC 85325C2E1 Feb 2026 5,880,000 -330,000 $6.2M -8.2% 0.03% DBT
347 NATIONAL GRID PLC 636274AE2 Feb 2026 5,949,000 -50,000 $6.2M -3.2% 0.03% DBT
348 INTEL CORP 458140CL2 Feb 2026 6,151,000 -120,000 $6.2M -3.7% 0.03% DBT
349 NOMURA HOLDINGS INC 65535HCE7 Feb 2026 6,285,000 -450,000 $6.2M -8.7% 0.03% DBT
350 SAN DIEGO G & E 797440CG7 Feb 2026 6,036,000 -85,000 $6.2M -3.5% 0.03% DBT
351 PHILIP MORRIS INTL INC 718172DP1 Feb 2026 6,125,000 -35,000 $6.2M -2.9% 0.03% DBT
352 BANK OF NY MELLON CORP 06406RBR7 Feb 2026 6,126,000 -770,000 $6.1M -13.3% 0.03% DBT
353 ENEL FINANCE INTL NV 29278GAP3 Feb 2026 6,890,000 -170,000 $6.1M -4.6% 0.03% DBT
354 ONCOR ELECTRIC DELIVERY 68233JCS1 Feb 2026 5,853,000 -105,000 $6.1M -4.1% 0.03% DBT
355 KEYBANK NATIONAL ASSN 49327M3H5 Feb 2026 6,131,000 -272,000 $6.1M -6.2% 0.03% DBT
356 PUBLIC SERVICE COLORADO 744448CZ2 Feb 2026 5,973,000 -90,000 $6.1M -4.0% 0.03% DBT
357 REINSURANCE GRP OF AMER 759351AS8 Feb 2026 5,910,000 -35,000 $6.1M -2.5% 0.03% DBT
358 MITSUBISHI UFJ FIN GRP 606822DC5 Feb 2026 5,918,000 -220,000 $6.1M -6.2% 0.03% DBT
359 PACIFIC GAS & ELECTRIC 694308KP1 Feb 2026 5,538,000 -585,000 $6.1M -12.1% 0.03% DBT
360 TOYOTA MOTOR CREDIT CORP 89236TMT9 Feb 2026 6,060,000 -1,310,000 $6.1M -19.7% 0.03% DBT
361 GENERAL MOTORS FINL CO 37045XDL7 Feb 2026 6,710,000 -25,000 $6.1M -2.2% 0.03% DBT
362 RTX CORP 75513ECM1 Feb 2026 6,930,000 -925,000 $6.1M -13.4% 0.03% DBT
363 CSX CORP 126408HZ9 Feb 2026 6,020,000 -295,000 $6.0M -7.2% 0.03% DBT
364 ROYALTY PHARMA PLC 78081BAU7 Feb 2026 6,085,000 -520,000 $6.0M -10.0% 0.03% DBT
365 ENBRIDGE INC 29250NBF1 Feb 2026 7,047,000 -571,000 $6.0M -9.4% 0.03% DBT
366 FISERV INC 337738BE7 Feb 2026 5,936,000 -165,000 $6.0M -4.6% 0.03% DBT
367 EQUINIX INC 29444UBU9 Feb 2026 6,338,000 -1,465,000 $6.0M -20.4% 0.03% DBT
368 T-MOBILE USA INC 87264ADM4 Feb 2026 6,181,000 -1,139,000 $6.0M -17.6% 0.03% DBT
369 TRUIST FINANCIAL CORP 89788MAT9 Feb 2026 5,920,000 -1,390,000 $6.0M -21.2% 0.03% DBT
370 SMBC AVIATION CAPITAL FI 78448TAM4 Feb 2026 5,910,000 -55,000 $6.0M -4.2% 0.03% DBT
371 SANTANDER UK GROUP HLDGS 80281LAY1 Feb 2026 6,150,000 -400,000 $6.0M -9.0% 0.03% DBT
372 IBM CORP 459200LJ8 Feb 2026 5,910,000 -145,000 $6.0M -4.5% 0.03% DBT
373 NORTHROP GRUMMAN CORP 666807CL4 Feb 2026 5,980,000 -295,000 $6.0M -7.3% 0.03% DBT
374 MIZUHO FINANCIAL GROUP 60687YCT4 Feb 2026 5,728,000 -270,000 $6.0M -6.9% 0.03% DBT
375 IMPERIAL BRANDS FIN PLC 45262BAK9 Feb 2026 5,875,000 -40,000 $5.9M -3.0% 0.03% DBT
376 KEURIG DR PEPPER INC 49271VAQ3 Feb 2026 6,225,000 -25,000 $5.9M -2.4% 0.03% DBT
377 ARES STRATEGIC INCOME FU 04020EAJ6 Feb 2026 5,965,000 -265,000 $5.9M -5.2% 0.03% DBT
378 MACQUARIE GROUP LTD 55607PAG0 Feb 2026 6,585,000 -455,000 $5.9M -8.6% 0.03% DBT
379 BHP BILLITON FIN USA LTD 055451BA5 Feb 2026 5,850,000 -305,000 $5.9M -7.1% 0.03% DBT
380 AMERICAN HONDA FINANCE 02665WFL0 Feb 2026 5,835,000 -560,000 $5.9M -11.4% 0.03% DBT
381 MICRON TECHNOLOGY INC 595112BS1 Feb 2026 6,542,000 -50,000 $5.9M -2.6% 0.03% DBT
382 ARES CAPITAL CORP 04010LBC6 Feb 2026 6,644,000 -475,000 $5.8M -6.6% 0.03% DBT
383 KKR & CO INC 48251WAB0 Feb 2026 6,002,000 -368,000 $5.8M -7.3% 0.03% DBT
384 TEXAS INSTRUMENTS INC 882508CB8 Feb 2026 5,735,000 -940,000 $5.8M -15.7% 0.03% DBT
385 PACIFIC GAS & ELECTRIC 694308KJ5 Feb 2026 5,570,000 -120,000 $5.8M -4.5% 0.03% DBT
386 BHP BILLITON FIN USA LTD 055451BK3 Feb 2026 5,705,000 -1,430,000 $5.8M -21.9% 0.03% DBT
387 T-MOBILE USA INC 87264ADX0 Feb 2026 5,930,000 -485,000 $5.8M -10.1% 0.03% DBT
388 MPLX LP 55336VBU3 Feb 2026 5,840,000 -1,000,000 $5.8M -16.4% 0.03% DBT
389 ALEXANDRIA REAL ESTATE E 015271AV1 Feb 2026 7,159,000 -175,000 $5.8M -4.6% 0.03% DBT
390 PRUDENTIAL FINANCIAL INC 74432QCK9 Feb 2026 5,762,000 -315,000 $5.8M -6.9% 0.03% DBT
391 SUMITOMO MITSUI FINL GRP 86562MDJ6 Feb 2026 5,534,000 -166,000 $5.8M -5.9% 0.03% DBT
392 ROPER TECHNOLOGIES INC 776696AM8 Feb 2026 5,956,000 -629,000 $5.8M -11.9% 0.03% DBT
393 QUEST DIAGNOSTICS INC 74834LBG4 Feb 2026 5,803,000 -152,000 $5.8M -5.2% 0.03% DBT
394 PUBLIC SERVICE COLORADO 744448DC2 Feb 2026 5,780,000 -780,000 $5.8M -13.8% 0.03% DBT
395 WESTERN MIDSTREAM OPERAT 958667AG2 Feb 2026 5,760,000 -575,000 $5.8M -10.5% 0.03% DBT
396 TOYOTA MOTOR CREDIT CORP 89236TLM5 Feb 2026 5,795,000 -610,000 $5.8M -12.1% 0.03% DBT
397 HUMANA INC 444859BV3 Feb 2026 5,591,000 -435,000 $5.8M -8.7% 0.03% DBT
398 REALTY INCOME CORP 756109CG7 Feb 2026 5,719,000 -61,000 $5.8M -3.9% 0.03% DBT
399 EQT CORP 26884LAR0 Feb 2026 5,570,000 -60,000 $5.8M -3.5% 0.03% DBT
400 COOPERATIEVE RABOBANK UA 74977RDP6 Feb 2026 6,108,000 -270,000 $5.7M -6.2% 0.03% DBT
401 WEYERHAEUSER CO 962166BR4 Feb 2026 5,135,000 -40,000 $5.7M -3.1% 0.03% DBT
402 RWE FINANCE US LLC 749983AC6 Feb 2026 5,875,000 -125,000 $5.7M -4.7% 0.03% DBT
403 GLP CAPITAL LP / FIN II 361841AT6 Feb 2026 5,735,000 -15,000 $5.7M -2.3% 0.03% DBT
404 FISERV INC 337738BN7 Feb 2026 5,865,000 -560,000 $5.7M -10.8% 0.03% DBT
405 BANK OF NOVA SCOTIA 06418JAC5 Feb 2026 5,465,000 -435,000 $5.7M -9.7% 0.03% DBT
406 PROLOGIS LP 74340XCJ8 Feb 2026 5,700,000 -425,000 $5.7M -9.6% 0.03% DBT
407 AMERICAN HONDA FINANCE 02665WFU0 Feb 2026 5,705,000 -585,000 $5.7M -12.0% 0.03% DBT
408 WILLIS NORTH AMERICA INC 970648AM3 Feb 2026 5,610,000 -240,000 $5.7M -5.6% 0.03% DBT
409 ELEVANCE HEALTH INC 036752BC6 Feb 2026 5,645,000 -1,280,000 $5.7M -20.3% 0.03% DBT
410 TORONTO-DOMINION BANK 89114TZJ4 Feb 2026 6,398,000 -103,000 $5.7M -3.4% 0.03% DBT
411 AMERICAN WATER CAPITAL C 03040WBF1 Feb 2026 5,575,000 -140,000 $5.7M -4.7% 0.03% DBT
412 DEUTSCHE BANK NY 251526CK3 Feb 2026 6,220,000 -455,000 $5.7M -8.5% 0.03% DBT
413 REALTY INCOME CORP 756109BP8 Feb 2026 5,426,000 -124,000 $5.7M -4.7% 0.03% DBT
414 QUALCOMM INC 747525AJ2 Feb 2026 5,726,000 -960,000 $5.7M -16.3% 0.03% DBT
415 PACIFIC GAS & ELECTRIC 694308KX4 Feb 2026 5,479,000 -1,501,000 $5.7M -24.0% 0.03% DBT
416 HF SINCLAIR CORP 403949AS9 Feb 2026 5,430,000 -105,000 $5.7M -3.0% 0.03% DBT
417 WALT DISNEY COMPANY/THE 254687EB8 Feb 2026 5,087,000 -783,000 $5.6M -15.7% 0.03% DBT
418 AMERICAN INTERNATIONAL 026874DS3 Feb 2026 5,547,000 -310,000 $5.6M -7.1% 0.03% DBT
419 ZIMMER BIOMET HOLDINGS 98956PAV4 Feb 2026 6,245,000 -173,000 $5.6M -4.6% 0.03% DBT
420 AKER BP ASA 00973RAN3 Feb 2026 5,680,000 -50,000 $5.6M -2.2% 0.03% DBT
421 AMERICAN TOWER CORP 03027XCP3 Feb 2026 5,515,000 -165,000 $5.6M -5.2% 0.03% DBT
422 SAMMONS FINANCIAL GROUP 79588TAF7 Feb 2026 5,220,000 -50,000 $5.6M -2.7% 0.03% DBT
423 SIMON PROPERTY GROUP LP 828807EA1 Feb 2026 5,575,000 -50,000 $5.6M -3.3% 0.03% DBT
424 MITSUBISHI UFJ FIN GRP 606822CB8 Feb 2026 6,267,000 -255,000 $5.6M -6.2% 0.03% DBT
425 DOMINION ENERGY INC 25746UDX4 Feb 2026 5,446,000 -874,000 $5.5M -15.1% 0.03% DBT
426 PACIFIC GAS & ELECTRIC 694308JT5 Feb 2026 5,998,000 -190,000 $5.5M -4.9% 0.03% DBT
427 WASTE CONNECTIONS INC 94106BAF8 Feb 2026 5,742,000 -95,000 $5.5M -4.2% 0.03% DBT
428 BPCE SA 05583JAM4 Feb 2026 5,413,000 -585,000 $5.5M -12.2% 0.03% DBT
429 DELL INT LLC / EMC CORP 24703DBQ3 Feb 2026 5,628,000 -52,000 $5.5M -2.0% 0.03% DBT
430 EXPAND ENERGY CORP 165167DH7 Feb 2026 5,415,000 -155,000 $5.5M -5.2% 0.03% DBT
431 MEITUAN 58533EAJ2 Feb 2026 5,666,000 -44,000 $5.5M -2.8% 0.03% DBT
432 LYB INT FINANCE III 50249AAM5 Feb 2026 5,511,000 -285,000 $5.5M -5.6% 0.03% DBT
433 L3HARRIS TECH INC 502431AU3 Feb 2026 5,402,000 -90,000 $5.5M -3.9% 0.03% DBT
434 NTT FINANCE CORP 62954WAN5 Feb 2026 5,405,000 -270,000 $5.5M -7.2% 0.03% DBT
435 DUKE ENERGY PROGRESS LLC 26442UAU8 Feb 2026 5,445,000 -670,000 $5.5M -13.0% 0.03% DBT
436 NISOURCE INC 65473PAQ8 Feb 2026 5,340,000 -10,000 $5.5M -2.4% 0.03% DBT
437 VICI PROPERTIES LP 925650AH6 Feb 2026 5,435,000 -275,000 $5.4M -6.5% 0.03% DBT
438 JBS NV/USA FOODS/FOOD CO 47214BAC2 Feb 2026 4,986,000 -6,396,000 $5.4M -57.2% 0.03% DBT
439 NESTLE CAPITAL CORP 64105MAC5 Feb 2026 5,395,000 -90,000 $5.4M -4.7% 0.03% DBT
440 FIVE CORNERS FND TR III 33830GAA9 Feb 2026 5,220,000 -210,000 $5.4M -5.9% 0.03% DBT
441 COREBRIDGE FINANCIAL INC 21871XAS8 Feb 2026 5,265,000 -75,000 $5.4M -2.1% 0.03% DBT
442 AON CORP/AON GLOBAL HOLD 03740LAG7 Feb 2026 5,293,000 -308,000 $5.4M -7.7% 0.03% DBT
443 KINDER MORGAN INC 49456BAG6 Feb 2026 5,320,000 -505,000 $5.4M -10.8% 0.03% DBT
444 XCEL ENERGY INC 98389BBE9 Feb 2026 5,265,000 -240,000 $5.4M -6.4% 0.03% DBT
445 INGERSOLL RAND INC 45687VAF3 Feb 2026 5,268,000 -445,000 $5.4M -10.4% 0.03% DBT
446 TRIMBLE INC 896239AE0 Feb 2026 5,118,000 -345,000 $5.4M -7.7% 0.03% DBT
447 BELL CANADA 0778FPAL3 Feb 2026 5,345,000 -800,000 $5.4M -15.0% 0.03% DBT
448 ONEOK INC 682680BG7 Feb 2026 5,080,000 -655,000 $5.4M -13.4% 0.03% DBT
449 PHILIP MORRIS INTL INC 718172EA3 Feb 2026 5,535,000 -205,000 $5.4M -5.8% 0.03% DBT
450 HESS CORP 023551AJ3 Feb 2026 4,774,000 -160,000 $5.4M -6.0% 0.03% DBT
451 VULCAN MATERIALS CO 929160BC2 Feb 2026 5,255,000 -140,000 $5.4M -4.8% 0.03% DBT
452 CHEVRON USA INC 166756BL9 Feb 2026 5,345,000 -1,005,000 $5.4M -17.9% 0.03% DBT
453 CF INDUSTRIES INC 12527GAF0 Feb 2026 5,365,000 -700,000 $5.4M -13.3% 0.03% DBT
454 UNICREDIT SPA 904678AY5 Feb 2026 5,801,000 -155,000 $5.3M -4.3% 0.03% DBT
455 NISOURCE INC 65473PAY1 Feb 2026 5,300,000 -100,000 $5.3M -1.7% 0.03% DBT
456 DOMINION ENERGY INC 25746UDL0 Feb 2026 6,023,000 -25,000 $5.3M -2.2% 0.03% DBT
457 BROOKFIELD ASSET MANAGEM 113004AA3 Feb 2026 5,220,000 -60,000 $5.3M -2.6% 0.03% DBT
458 DOW CHEMICAL CO/THE 260543DG5 Feb 2026 5,038,000 -150,000 $5.3M -3.4% 0.03% DBT
459 GENERAL MILLS INC 370334DB7 Feb 2026 5,315,000 -255,000 $5.3M -7.0% 0.03% DBT
460 BOSTON PROPERTIES LP 10112RBH6 Feb 2026 5,012,000 -428,000 $5.3M -8.9% 0.03% DBT
461 ZOETIS INC 98978VAV5 Feb 2026 5,098,000 -85,000 $5.3M -4.5% 0.03% DBT
462 MACQUARIE GROUP LTD 55608JBN7 Feb 2026 5,070,000 -660,000 $5.3M -13.9% 0.03% DBT
463 CAMPBELLS COMPANY/THE 134429BQ1 Feb 2026 5,735,000 -15,000 $5.3M -5.1% 0.03% DBT
464 ASHTEAD CAPITAL INC 04505AAA7 Feb 2026 5,184,000 -95,000 $5.3M -4.3% 0.03% DBT
465 KKR GROUP FINAN CO XII 48255GAA3 Feb 2026 5,360,000 -60,000 $5.3M -2.2% 0.03% DBT
466 HUMANA INC 444859CD2 Feb 2026 5,280,000 -345,000 $5.3M -7.6% 0.03% DBT
467 DIAGEO CAPITAL PLC 25243YBH1 Feb 2026 5,110,000 -90,000 $5.3M -4.2% 0.03% DBT
468 FORD MOTOR CREDI 345397B69 Feb 2026 5,740,000 -2,010,000 $5.3M -26.9% 0.03% DBT
469 COOPERATIEVE RABOBANK UA 74977RDU5 Feb 2026 5,080,000 -330,000 $5.3M -8.4% 0.03% DBT
470 FLORIDA GAS TRANSMISSION 340711BC3 Feb 2026 5,105,000 -110,000 $5.3M -4.2% 0.03% DBT
471 STEEL DYNAMICS INC 858119BS8 Feb 2026 5,222,000 -18,000 $5.3M -2.3% 0.03% DBT
472 PHILIP MORRIS INTL INC 718172DQ9 Feb 2026 5,275,000 -170,000 $5.3M -5.6% 0.03% DBT
473 CNO FINANCIAL GROUP INC 12621EAM5 Feb 2026 5,035,000 -90,000 $5.3M -1.7% 0.03% DBT
474 TELUS CORP 87971MBW2 Feb 2026 5,737,000 -40,000 $5.2M -2.9% 0.03% DBT
475 INTEL CORP 458140AN0 Feb 2026 5,536,000 -160,000 $5.2M -5.0% 0.03% DBT
476 DIAGEO INVESTMENT CORP 25245BAE7 Feb 2026 5,030,000 -155,000 $5.2M -5.3% 0.03% DBT
477 SK HYNIX INC 78392BAF4 Feb 2026 4,775,000 -45,000 $5.2M -3.6% 0.03% DBT
478 NATIONAL GRID PLC 636274AF9 Feb 2026 5,105,000 -280,000 $5.2M -7.4% 0.03% DBT
479 VIDEOTRON LTD 92660FAT1 Feb 2026 5,135,000 -25,000 $5.2M -2.6% 0.03% DBT
480 BROOKFIELD FINANCE INC 11271LAK8 Feb 2026 4,868,000 -262,000 $5.2M -6.6% 0.03% DBT
481 M&T BANK CORPORATION 55261FAR5 Feb 2026 5,223,000 -760,000 $5.2M -14.6% 0.03% DBT
482 COX COMMUNICATIONS INC 224044CU9 Feb 2026 5,432,000 -58,000 $5.2M -4.6% 0.03% DBT
483 DTE ELECTRIC CO 23338VAY2 Feb 2026 5,099,000 -325,000 $5.2M -8.2% 0.03% DBT
484 FERGUSON ENTERPRISES INC 31488VAA5 Feb 2026 5,195,000 -40,000 $5.2M -2.9% 0.03% DBT
485 CAPITAL ONE FINANCIAL CO 14040HDH5 Feb 2026 5,020,000 -1,865,000 $5.2M -28.9% 0.03% DBT
486 MACQUARIE GROUP LTD 55608JBG2 Feb 2026 5,045,000 -255,000 $5.2M -7.7% 0.03% DBT
487 PROLOGIS LP 74340XCH2 Feb 2026 5,098,000 -180,000 $5.2M -5.8% 0.03% DBT
488 COCA-COLA CO/THE 191216DY3 Feb 2026 5,137,000 -5,000 $5.1M -3.1% 0.03% DBT
489 MERCEDES-BENZ FIN NA 58769JAM9 Feb 2026 5,150,000 -295,000 $5.1M -7.8% 0.03% DBT
490 NEW YORK LIFE GLOBAL FDG 64952WFM0 Feb 2026 5,016,000 -99,000 $5.1M -4.8% 0.03% DBT
491 DUKE ENERGY CORP 26441CBZ7 Feb 2026 4,900,000 -415,000 $5.1M -9.7% 0.03% DBT
492 SANTANDER HOLDINGS USA 80282KBL9 Feb 2026 4,845,000 -60,000 $5.1M -2.9% 0.03% DBT
493 ENBRIDGE INC 29250NCF0 Feb 2026 4,804,000 -126,000 $5.1M -3.5% 0.03% DBT
494 AERCAP IRELAND CAP/GLOBA 00774MBH7 Feb 2026 5,115,000 -130,000 $5.1M -5.2% 0.03% DBT
495 HOST HOTELS & RESORTS LP 44107TBC9 Feb 2026 5,095,000 -90,000 $5.1M -3.5% 0.03% DBT
496 TRUIST FINANCIAL CORP 89788MAK8 Feb 2026 4,815,000 -115,000 $5.1M -4.7% 0.03% DBT
497 ASHTEAD CAPITAL INC 045054AP8 Feb 2026 5,765,000 -1,155,000 $5.1M -18.4% 0.03% DBT
498 AMERICAN NATIONAL GROUP 025676AQ0 Feb 2026 5,120,000 -105,000 $5.1M -2.0% 0.03% DBT
499 GLAXOSMITHKLINE CAP INC 377372AQ0 Feb 2026 5,102,000 -193,000 $5.1M -6.1% 0.03% DBT
500 AMERIPRISE FINANCIAL INC 03076CAM8 Feb 2026 4,979,000 -115,000 $5.1M -4.2% 0.03% DBT
501 CONTINENTAL RESOURCES 212015AV3 Feb 2026 5,735,000 -375,000 $5.1M -6.9% 0.03% DBT
502 MIZUHO FINANCIAL GROUP 60687YBU2 Feb 2026 5,673,000 -1,130,000 $5.0M -18.8% 0.03% DBT
503 COREBRIDGE FINANCIAL INC 21871XAT6 Feb 2026 5,039,000 -21,000 $5.0M -0.7% 0.03% DBT
504 SOUTHERN CAL EDISON 842400HT3 Feb 2026 4,791,000 -194,000 $5.0M -6.4% 0.03% DBT
505 ROCHE HOLDINGS INC 771196CU4 Feb 2026 5,095,000 -570,000 $5.0M -12.5% 0.03% DBT
506 JERSEY CENTRAL PWR & LT 476556DF9 Feb 2026 4,975,000 -290,000 $5.0M -8.2% 0.03% DBT
507 GLOBAL PAYMENTS INC 37940XAQ5 Feb 2026 4,958,000 -485,000 $5.0M -10.5% 0.03% DBT
508 OVINTIV INC 69047QAC6 Feb 2026 4,680,000 -225,000 $5.0M -6.2% 0.03% DBT
509 CARLYLE GROUP INC/THE 14316JAA6 Feb 2026 5,131,000 -374,000 $5.0M -8.9% 0.03% DBT
510 AUTOZONE INC 053332BB7 Feb 2026 4,995,000 -285,000 $5.0M -7.6% 0.03% DBT
511 BOSTON PROPERTIES LP 10112RBE3 Feb 2026 5,675,000 -58,000 $4.9M -1.8% 0.03% DBT
512 STATE STREET CORP 857477CR2 Feb 2026 4,960,000 -1,235,000 $4.9M -21.9% 0.03% DBT
513 DUKE ENERGY CORP 26441CCE3 Feb 2026 4,830,000 -125,000 $4.9M -4.9% 0.03% DBT
514 CANADIAN NATL RAILWAY 136375DR0 Feb 2026 5,095,000 -65,000 $4.9M -3.8% 0.03% DBT
515 AVALONBAY COMMUNITIES 053484AB7 Feb 2026 5,620,000 -60,000 $4.9M -2.6% 0.03% DBT
516 GOLDMAN SACHS CAPITAL I 38143VAA7 Feb 2026 4,703,000 -32,000 $4.9M -3.3% 0.03% DBT
517 RELX CAPITAL INC 74949LAG7 Feb 2026 4,855,000 -110,000 $4.9M -3.8% 0.03% DBT
518 CSX CORP 126408HW6 Feb 2026 4,762,000 -188,000 $4.9M -6.3% 0.03% DBT
519 ESTEE LAUDER CO INC 29736RAT7 Feb 2026 4,940,000 -35,000 $4.9M -3.5% 0.03% DBT
520 GEORGIA POWER CO 373334LB5 Feb 2026 4,808,000 -95,000 $4.9M -4.4% 0.03% DBT
521 AUTOZONE INC 053332BK7 Feb 2026 4,790,000 -210,000 $4.9M -6.9% 0.03% DBT
522 STRYKER CORP 863667BF7 Feb 2026 4,950,000 -260,000 $4.8M -7.4% 0.03% DBT
523 SBL HOLDINGS INC 78397DAD0 Feb 2026 5,230,000 -35,000 $4.8M +0.1% 0.03% DBT
524 MASTERCARD INC 57636QAX2 Feb 2026 4,751,000 -175,000 $4.8M -5.6% 0.03% DBT
525 BANGKOK BANK PCL/HK 059895AX0 Feb 2026 4,700,000 -155,000 $4.8M -5.6% 0.03% DBT
526 QUANTA SERVICES INC 74762EAH5 Feb 2026 5,468,000 -286,000 $4.8M -6.5% 0.03% DBT
527 HONEYWELL INTERNATIONAL 438516CZ7 Feb 2026 4,790,000 -220,000 $4.8M -7.0% 0.03% DBT
528 DUKE ENERGY PROGRESS LLC 26442UAL8 Feb 2026 5,410,000 -120,000 $4.8M -3.8% 0.03% DBT
529 SONOCO PRODUCTS CO 835495AS1 Feb 2026 4,850,000 -340,000 $4.8M -8.9% 0.03% DBT
530 FIDELITY NATL INFO SERV 31620MBY1 Feb 2026 4,755,000 -343,000 $4.8M -8.0% 0.03% DBT
531 JOHNSON CONTROLS/TYCO FI 47837RAE0 Feb 2026 4,750,000 -100,000 $4.8M -4.4% 0.03% DBT
532 AMERICAN EXPRESS CO 025816DR7 Feb 2026 4,590,000 -135,000 $4.8M -5.5% 0.03% DBT
533 MSCI INC 55354GAM2 Feb 2026 5,130,000 -685,000 $4.8M -12.8% 0.03% DBT
534 ONCOR ELECTRIC DELIVERY 68233JCK8 Feb 2026 4,824,000 -240,000 $4.8M -7.2% 0.03% DBT
535 MOTOROLA SOLUTIONS INC 620076CC1 Feb 2026 4,645,000 -1,145,000 $4.7M -22.2% 0.03% DBT
536 PUBLIC SERVICE ENTERPRIS 744573AU0 Feb 2026 5,325,000 -135,000 $4.7M -4.2% 0.03% DBT
537 STEEL DYNAMICS INC 858119BQ2 Feb 2026 4,650,000 -310,000 $4.7M -8.2% 0.03% DBT
538 LGENERGYSOLUTION 50205MAJ8 Feb 2026 4,646,000 -49,000 $4.7M -4.3% 0.03% DBT
539 CON EDISON CO OF NY INC 209111GA5 Feb 2026 5,242,000 -479,000 $4.7M -10.3% 0.03% DBT
540 GENERAL DYNAMICS CORP 369550BR8 Feb 2026 4,710,000 -215,000 $4.7M -7.1% 0.03% DBT
541 US BANCORP 91159HJD3 Feb 2026 5,311,000 -550,000 $4.7M -11.4% 0.03% DBT
542 BANK OF NOVA SCOTIA 06418GAN7 Feb 2026 4,733,000 -891,000 $4.7M -17.5% 0.03% DBT
543 AMERICAN ELECTRIC POWER 025537AW1 Feb 2026 4,454,000 -375,000 $4.7M -9.9% 0.03% DBT
544 CUMMINS INC 231021AW6 Feb 2026 4,610,000 -670,000 $4.7M -14.7% 0.03% DBT
545 ROYALTY PHARMA PLC 78081BAN3 Feb 2026 5,341,000 -1,024,000 $4.7M -17.5% 0.03% DBT
546 LOCKHEED MARTIN CORP 539830CM9 Feb 2026 4,659,000 -1,240,000 $4.7M -23.0% 0.03% DBT
547 WASTE CONNECTIONS INC 94106BAC5 Feb 2026 5,342,000 -195,000 $4.7M -5.5% 0.03% DBT
548 SIMON PROPERTY GROUP LP 828807DT1 Feb 2026 5,215,000 -255,000 $4.7M -6.7% 0.03% DBT
549 AMERICAN TOWER CORP 03027XBS8 Feb 2026 5,256,000 -865,000 $4.7M -15.5% 0.03% DBT
550 VIRGINIA ELEC & POWER CO 927804GT5 Feb 2026 4,627,000 -265,000 $4.7M -7.1% 0.03% DBT
551 ALEXANDRIA REAL ESTATE E 015271AR0 Feb 2026 5,031,000 -3,004,000 $4.6M -38.6% 0.03% DBT
552 BOSTON PROPERTIES LP 10112RBF0 Feb 2026 5,625,000 -610,000 $4.6M -9.9% 0.03% DBT
553 NUTRIEN LTD 67077MBF4 Feb 2026 4,552,000 -1,078,000 $4.6M -21.1% 0.03% DBT
554 ZIMMER BIOMET HOLDINGS 98956PAZ5 Feb 2026 4,630,000 -220,000 $4.6M -7.0% 0.03% DBT
555 COX COMMUNICATIONS INC 224044CN5 Feb 2026 5,252,000 -1,555,000 $4.6M -24.7% 0.03% DBT
556 ATHENE HOLDING LTD 04686JAG6 Feb 2026 4,510,000 -400,000 $4.6M -8.2% 0.03% DBT
557 ATHENE GLOBAL FUNDING 04685A4D0 Feb 2026 4,595,000 -210,000 $4.6M -5.9% 0.03% DBT
558 PHILLIPS 66 CO 718547AY8 Feb 2026 4,585,000 -35,000 $4.6M -2.5% 0.03% DBT
559 MIZUHO FINANCIAL GROUP 60687YDE6 Feb 2026 4,420,000 -810,000 $4.5M -18.0% 0.02% DBT
560 NORFOLK SOUTHERN CORP 655844CM8 Feb 2026 4,960,000 -270,000 $4.5M -7.1% 0.02% DBT
561 BOEING CO 097023CP8 Feb 2026 5,211,000 -560,000 $4.5M -11.8% 0.02% DBT
562 WELLTOWER OP LLC 95040QAM6 Feb 2026 4,934,000 -459,000 $4.5M -10.2% 0.02% DBT
563 QUANTA SERVICES INC 74762EAL6 Feb 2026 4,480,000 -35,000 $4.5M -3.2% 0.02% DBT
564 ALEXANDRIA REAL ESTATE E 015271AW9 Feb 2026 5,381,000 -419,000 $4.5M -9.1% 0.02% DBT
565 BOOZ ALLEN HAMILTON INC 09951LAC7 Feb 2026 4,415,000 -548,000 $4.5M -11.3% 0.02% DBT
566 BANK OF NY MELLON CORP 06406RBP1 Feb 2026 4,548,000 -535,000 $4.5M -12.6% 0.02% DBT
567 NOMURA HOLDINGS INC 65535HBP3 Feb 2026 4,245,000 -125,000 $4.5M -5.3% 0.02% DBT
568 COX COMMUNICATIONS INC 224044CF2 Feb 2026 4,985,000 -135,000 $4.5M -6.5% 0.02% DBT
569 NESTLE HOLDINGS INC 641062BH6 Feb 2026 4,428,000 -145,000 $4.5M -5.4% 0.02% DBT
570 MARSH & MCLENNAN COS INC 571748BU5 Feb 2026 4,350,000 -170,000 $4.5M -5.7% 0.02% DBT
571 UDR INC 90265EAR1 Feb 2026 4,882,000 -380,000 $4.5M -9.1% 0.02% DBT
572 BANK OF NOVA SCOTIA 0641594B9 Feb 2026 5,065,000 -175,000 $4.5M -5.4% 0.02% DBT
573 AMERICAN TOWER CORP 03027XCH1 Feb 2026 4,395,000 -510,000 $4.5M -12.7% 0.02% DBT
574 PEPSICO INC 713448FY9 Feb 2026 4,460,000 -290,000 $4.5M -8.9% 0.02% DBT
575 VERISK ANALYTICS INC 92345YAL0 Feb 2026 4,495,000 -195,000 $4.5M -6.2% 0.02% DBT
576 REPUBLIC SERVICES INC 760759BA7 Feb 2026 5,145,000 -220,000 $4.5M -6.0% 0.02% DBT
577 AMERICAN TOWER CORP 03027XCM0 Feb 2026 4,395,000 -455,000 $4.5M -11.6% 0.02% DBT
578 AIR PRODUCTS & CHEMICALS 009158BF2 Feb 2026 4,428,000 -38,000 $4.5M -3.1% 0.02% DBT
579 ESSEX PORTFOLIO LP 29717PAV9 Feb 2026 5,012,000 -38,000 $4.4M -2.4% 0.02% DBT
580 CROWN CASTLE INC 22822VAY7 Feb 2026 4,990,000 -920,000 $4.4M -16.8% 0.02% DBT
581 SUMITOMO MITSUI FINL GRP 86562MEA4 Feb 2026 4,405,000 -560,000 $4.4M -13.5% 0.02% DBT
582 MSCI INC 55354GAQ3 Feb 2026 5,017,000 -815,000 $4.4M -14.7% 0.02% DBT
583 TOYOTA MOTOR CREDIT CORP 89236TNT8 Feb 2026 4,455,000 -185,000 $4.4M -6.5% 0.02% DBT
584 WESTERN MIDSTREAM OPERAT 958667AJ6 Feb 2026 4,445,000 -120,000 $4.4M -3.8% 0.02% DBT
585 STANDARD CHARTERED PLC 853254CH1 Feb 2026 4,820,000 -505,000 $4.4M -11.0% 0.02% DBT
586 AUTONATION INC 05329RAA1 Feb 2026 4,731,000 -230,000 $4.4M -6.6% 0.02% DBT
587 KEYBANK NATIONAL ASSN 49327V2C7 Feb 2026 4,480,000 -95,000 $4.4M -4.2% 0.02% DBT
588 STATE STREET CORP 857477CA9 Feb 2026 4,424,000 -365,000 $4.4M -9.9% 0.02% DBT
589 EAGLE MATERIALS 26969PAB4 Feb 2026 4,918,000 -55,000 $4.4M -3.5% 0.02% DBT
590 CAPITAL ONE FINANCIAL CO 14040HCJ2 Feb 2026 4,960,000 -110,000 $4.4M -4.3% 0.02% DBT
591 ENTERGY LOUISIANA LLC 29364WBP2 Feb 2026 4,345,000 -520,000 $4.4M -12.7% 0.02% DBT
592 OMNICOM GROUP INC 681919BG0 Feb 2026 4,411,000 -199,000 $4.4M -5.6% 0.02% DBT
593 MPLX LP 55336VCB4 Feb 2026 4,395,000 -530,000 $4.4M -12.5% 0.02% DBT
594 MITSUBISHI UFJ FIN GRP 606822CG7 Feb 2026 4,525,000 -370,000 $4.4M -10.1% 0.02% DBT
595 STATE STREET CORP 857477BV4 Feb 2026 4,541,000 -240,000 $4.4M -7.3% 0.02% DBT
596 SIMON PROPERTY GROUP LP 828807DQ7 Feb 2026 4,993,000 -375,000 $4.4M -9.1% 0.02% DBT
597 SIMON PROPERTY GROUP LP 828807DU8 Feb 2026 4,210,000 -345,000 $4.4M -9.8% 0.02% DBT
598 EATON CORP 278062AD6 Feb 2026 4,510,000 -570,000 $4.4M -13.6% 0.02% DBT
599 OMNICOM GROUP INC 681919BD7 Feb 2026 4,844,000 -760,000 $4.4M -14.7% 0.02% DBT
600 CANADIAN PACIFIC RAILWAY 13645RBK9 Feb 2026 4,295,000 -140,000 $4.4M -6.4% 0.02% DBT
601 VIRGINIA ELEC & POWER CO 927804GR9 Feb 2026 4,337,000 -150,000 $4.4M -4.9% 0.02% DBT
602 CARGILL INC 141781BW3 Feb 2026 4,525,000 -340,000 $4.4M -9.1% 0.02% DBT
603 SOUTHERN CALIF GAS CO 842434DB5 Feb 2026 4,340,000 -650,000 $4.3M -15.2% 0.02% DBT
604 MIZUHO FINANCIAL GROUP 60687YDG1 Feb 2026 4,185,000 -290,000 $4.3M -9.3% 0.02% DBT
605 KEYCORP 49326EEN9 Feb 2026 4,382,000 -461,000 $4.3M -11.8% 0.02% DBT
606 ENERGY TRANSFER LP 29273RBE8 Feb 2026 4,379,000 -490,000 $4.3M -11.7% 0.02% DBT
607 MCKESSON CORP 581557BX2 Feb 2026 4,232,000 -378,000 $4.3M -10.8% 0.02% DBT
608 REPUBLIC SERVICES INC 760759BH2 Feb 2026 4,220,000 -693,000 $4.3M -16.4% 0.02% DBT
609 SUMITOMO MITSUI FINL GRP 86562MDZ0 Feb 2026 4,290,000 -135,000 $4.3M -5.9% 0.02% DBT
610 CONSUMERS ENERGY CO 210518DZ6 Feb 2026 4,257,000 -490,000 $4.3M -12.4% 0.02% DBT
611 PROLOGIS LP 74340XBT7 Feb 2026 4,300,000 -700,000 $4.3M -16.0% 0.02% DBT
612 BANK OF NY MELLON CORP 06406RBH9 Feb 2026 4,390,000 -530,000 $4.3M -12.8% 0.02% DBT
613 CHOICE HOTELS INTL INC 169905AH9 Feb 2026 4,185,000 -155,000 $4.2M -5.8% 0.02% DBT
614 CENTERPOINT ENER HOUSTON 15189XBB3 Feb 2026 4,210,000 -8,000 $4.2M -1.9% 0.02% DBT
615 BANK OF NY MELLON CORP 06406RCA3 Feb 2026 4,175,000 -775,000 $4.2M -17.7% 0.02% DBT
616 TOYOTA MOTOR CREDIT CORP 89236TPJ8 Feb 2026 4,310,000 -65,000 $4.2M -4.0% 0.02% DBT
617 LOCKHEED MARTIN CORP 539830CD9 Feb 2026 4,245,000 -220,000 $4.2M -7.3% 0.02% DBT
618 EIDP INC 263534CR8 Feb 2026 4,285,000 -280,000 $4.2M -8.4% 0.02% DBT
619 REALTY INCOME CORP 756109BL7 Feb 2026 4,755,000 -275,000 $4.2M -7.9% 0.02% DBT
620 JM SMUCKER CO 832696AM0 Feb 2026 4,521,000 -124,000 $4.2M -5.4% 0.02% DBT
621 EBAY INC 278642AY9 Feb 2026 4,654,000 -263,000 $4.2M -7.2% 0.02% DBT
622 SEMPRA 816851BV0 Feb 2026 4,165,000 -30,000 $4.2M -1.8% 0.02% DBT
623 RAYMOND JAMES FINANCIAL 754730AJ8 Feb 2026 4,315,000 -300,000 $4.2M -8.8% 0.02% DBT
624 NORTHERN STATES PWR-MINN 665772CZ0 Feb 2026 4,181,000 -340,000 $4.2M -9.5% 0.02% DBT
625 DOW CHEMICAL CO/THE 260543DJ9 Feb 2026 4,241,000 -330,000 $4.2M -7.7% 0.02% DBT
626 SOUTHERN CALIF GAS CO 842434DC3 Feb 2026 4,080,000 -505,000 $4.2M -13.4% 0.02% DBT
627 HUMANA INC 444859BR2 Feb 2026 4,826,000 -790,000 $4.2M -14.6% 0.02% DBT
628 PUBLIC SERVICE OKLAHOMA 744533BR0 Feb 2026 4,182,000 -483,000 $4.2M -12.2% 0.02% DBT
629 DUKE ENERGY CORP 26441CBL8 Feb 2026 4,617,000 -3,031,000 $4.2M -40.6% 0.02% DBT
630 KINDER MORGAN INC 28368EAD8 Feb 2026 3,653,000 -860,000 $4.2M -21.2% 0.02% DBT
631 BROOKFIELD FINANCE INC 11271LAM4 Feb 2026 4,080,000 -485,000 $4.2M -11.9% 0.02% DBT
632 THERMO FISHER SCIENTIFIC 883556CU4 Feb 2026 4,103,000 -160,000 $4.2M -6.2% 0.02% DBT
633 FLORIDA GAS TRANSMISSION 340711BA7 Feb 2026 4,707,000 -160,000 $4.1M -5.5% 0.02% DBT
634 AGILENT TECHNOLOGIES INC 00846UAR2 Feb 2026 4,188,000 -92,000 $4.1M -4.3% 0.02% DBT
635 3M COMPANY 88579YBR1 Feb 2026 4,074,000 -130,000 $4.1M -5.1% 0.02% DBT
636 INTERSTATE POWER & LIGHT 461070AX2 Feb 2026 4,010,000 -220,000 $4.1M -7.4% 0.02% DBT
637 PUBLIC SERVICE ELECTRIC 74456QCS3 Feb 2026 4,135,000 -195,000 $4.1M -6.5% 0.02% DBT
638 NETAPP INC 64110DAN4 Feb 2026 4,004,000 -131,000 $4.1M -4.9% 0.02% DBT
639 EXTRA SPACE STORAGE LP 30225VAG2 Feb 2026 4,710,000 -630,000 $4.1M -13.3% 0.02% DBT
640 ONCOR ELECTRIC DELIVERY 68233DAT4 Feb 2026 3,682,000 -343,000 $4.1M -10.8% 0.02% DBT
641 PRICOA GLOBAL FUNDING 1 74153WCX5 Feb 2026 4,038,000 -257,000 $4.1M -8.6% 0.02% DBT
642 EASTMAN CHEMICAL CO 277432AX8 Feb 2026 3,932,000 -180,000 $4.1M -6.7% 0.02% DBT
643 EIDP INC 263534CS6 Feb 2026 4,025,000 -70,000 $4.1M -4.1% 0.02% DBT
644 OCCIDENTAL PETROLEUM COR 674599DE2 Feb 2026 3,578,000 -1,115,000 $4.1M -25.2% 0.02% DBT
645 BROWN & BROWN INC 115236AG6 Feb 2026 4,020,000 -1,155,000 $4.1M -23.5% 0.02% DBT
646 SYNCHRONY FINANCIAL 87165BAR4 Feb 2026 4,617,000 -250,000 $4.1M -6.8% 0.02% DBT
647 ALLSTATE CORP 020002AS0 Feb 2026 3,925,000 -190,000 $4.1M -7.2% 0.02% DBT
648 ATHENE HOLDING LTD 04686JAM3 Feb 2026 4,190,000 -135,000 $4.1M -2.6% 0.02% DBT
649 MASSMUTUAL GLOBAL FUNDIN 57629W3S7 Feb 2026 4,144,000 -920,000 $4.1M -19.9% 0.02% DBT
650 TEXAS INSTRUMENTS INC 882508CM4 Feb 2026 3,999,000 -210,000 $4.1M -7.5% 0.02% DBT
651 ENBRIDGE INC 29250NCP8 Feb 2026 4,055,000 -500,000 $4.1M -12.7% 0.02% DBT
652 MCKESSON CORP 581557BU8 Feb 2026 3,981,000 -115,000 $4.0M -5.4% 0.02% DBT
653 SOUTHWEST GAS CORP 845011AE5 Feb 2026 4,233,000 -547,000 $4.0M -13.5% 0.02% DBT
654 QUEST DIAGNOSTICS INC 74834LBC3 Feb 2026 4,408,000 -300,000 $4.0M -8.1% 0.02% DBT
655 MARRIOTT INTERNATIONAL 571903BX0 Feb 2026 4,015,000 -1,000,000 $4.0M -21.6% 0.02% DBT
656 ANALOG DEVICES INC 032654BB0 Feb 2026 3,943,000 -82,000 $4.0M -4.6% 0.02% DBT
657 VICI PROPERTIES LP 925650AF0 Feb 2026 3,933,000 -237,000 $4.0M -7.4% 0.02% DBT
658 ATHENE HOLDING LTD 04686JAJ0 Feb 2026 4,160,000 -145,000 $4.0M -3.4% 0.02% DBT
659 ESTEE LAUDER CO INC 29736RAV2 Feb 2026 3,985,000 -265,000 $4.0M -8.9% 0.02% DBT
660 PHILIP MORRIS INTL INC 718172DU0 Feb 2026 4,040,000 -105,000 $4.0M -5.2% 0.02% DBT
661 EXTRA SPACE STORAGE LP 30225VAS6 Feb 2026 3,940,000 -525,000 $4.0M -13.5% 0.02% DBT
662 JACOBS ENGINEERING GROUP 469814AA5 Feb 2026 3,840,000 -135,000 $4.0M -5.2% 0.02% DBT
663 ATMOS ENERGY CORP 049560BC8 Feb 2026 3,901,000 -255,000 $4.0M -8.5% 0.02% DBT
664 WISCONSIN POWER & LIGHT 976826BQ9 Feb 2026 4,145,000 -362,000 $4.0M -10.1% 0.02% DBT
665 TORONTO-DOMINION BANK 89114TZQ8 Feb 2026 4,457,000 -80,000 $4.0M -3.9% 0.02% DBT
666 HELMERICH & PAYNE INC 423452AG6 Feb 2026 4,385,000 -35,000 $3.9M -2.4% 0.02% DBT
667 MASSMUTUAL GLOBAL FUNDIN 57629TBZ9 Feb 2026 3,980,000 -95,000 $3.9M -4.6% 0.02% DBT
668 INVITATION HOMES OP 46188BAA0 Feb 2026 4,564,000 -1,310,000 $3.9M -24.1% 0.02% DBT
669 SUMITOMO MITSUI FINL GRP 86562MDD9 Feb 2026 3,755,000 -277,000 $3.9M -9.4% 0.02% DBT
670 VOLKSWAGEN GROUP AMERICA 928668CS9 Feb 2026 3,860,000 -100,000 $3.9M -5.6% 0.02% DBT
671 DOMINION ENERGY INC 257469AJ5 Feb 2026 3,860,000 -360,000 $3.9M -10.4% 0.02% DBT
672 REALTY INCOME CORP 756109CT9 Feb 2026 3,905,000 -615,000 $3.9M -15.9% 0.02% DBT
673 KYNDRYL HOLDINGS INC 50155QAL4 Feb 2026 4,640,000 -316,000 $3.9M -7.4% 0.02% DBT
674 BMW US CAPITAL LLC 05565ECS2 Feb 2026 3,891,000 -538,000 $3.9M -14.2% 0.02% DBT
675 NUCOR CORP 670346AV7 Feb 2026 4,216,000 -611,000 $3.9M -14.3% 0.02% DBT
676 AEP TEXAS INC 00108WAT7 Feb 2026 3,760,000 -50,000 $3.9M -3.7% 0.02% DBT
677 COCA-COLA FEMSA SAB CV 191241AJ7 Feb 2026 4,660,000 -285,000 $3.9M -8.6% 0.02% DBT
678 KEYSIGHT TECHNOLOGIES 49338LAG8 Feb 2026 3,910,000 -25,000 $3.9M -3.3% 0.02% DBT
679 NRG ENERGY INC 629377DB5 Feb 2026 3,945,000 -890,000 $3.9M -20.7% 0.02% DBT
680 AMERICAN ASSETS TRUST LP 02401LAB0 Feb 2026 3,840,000 -50,000 $3.9M -2.9% 0.02% DBT
681 EXTRA SPACE STORAGE LP 30225VAQ0 Feb 2026 4,394,000 -780,000 $3.9M -16.6% 0.02% DBT
682 CENTERPOINT ENER HOUSTON 15189XBH0 Feb 2026 3,895,000 -720,000 $3.9M -17.6% 0.02% DBT
683 MOODY'S CORPORATION 615369AW5 Feb 2026 4,377,000 -44,000 $3.9M -2.8% 0.02% DBT
684 SIMON PROPERTY GROUP LP 828807DW4 Feb 2026 3,580,000 -75,000 $3.9M -4.7% 0.02% DBT
685 WESTINGHOUSE AIR BRAKE 960386AR1 Feb 2026 3,740,000 -85,000 $3.9M -5.0% 0.02% DBT
686 BMW US CAPITAL LLC 05565ECF0 Feb 2026 3,808,000 -390,000 $3.8M -11.5% 0.02% DBT
687 GEORGIA-PACIFIC LLC 37331NAT8 Feb 2026 3,820,000 -130,000 $3.8M -6.3% 0.02% DBT
688 APOLLO DEBT SOLUTIONS BD 03770DAF0 Feb 2026 3,785,000 -160,000 $3.8M -5.0% 0.02% DBT
689 COTERRA ENERGY INC 127097AL7 Feb 2026 3,699,000 -241,000 $3.8M -7.5% 0.02% DBT
690 QUANTA SERVICES INC 74762EAP7 Feb 2026 3,830,000 -240,000 $3.8M -7.9% 0.02% DBT
691 TRANE TECH FIN LTD 892938AB7 Feb 2026 3,765,000 -10,000 $3.8M -3.1% 0.02% DBT
692 REALTY INCOME CORP 756109BT0 Feb 2026 3,815,000 -550,000 $3.8M -15.1% 0.02% DBT
693 DAIMLER TRUCK FINAN NA 233853BJ8 Feb 2026 3,810,000 -130,000 $3.8M -6.1% 0.02% DBT
694 CNA FINANCIAL CORP 126117AX8 Feb 2026 3,720,000 -5,000 $3.8M -2.4% 0.02% DBT
695 OVINTIV INC 012873AK1 Feb 2026 3,410,000 -380,000 $3.8M -11.5% 0.02% DBT
696 ARCELORMITTAL SA 03938LBG8 Feb 2026 3,595,000 -155,000 $3.8M -7.1% 0.02% DBT
697 AMERICAN TRANSMISSION SY 030288AC8 Feb 2026 4,235,000 -52,000 $3.8M -3.5% 0.02% DBT
698 VIRGINIA ELEC & POWER CO 927804GP3 Feb 2026 3,764,000 -70,000 $3.8M -3.4% 0.02% DBT
699 NATIONAL RURAL UTIL COOP 637432MS1 Feb 2026 3,925,000 -735,000 $3.8M -18.0% 0.02% DBT
700 ENTERPRISE PRODUCTS OPER 293791AF6 Feb 2026 3,374,000 -281,000 $3.8M -10.2% 0.02% DBT
701 BROADRIDGE FINANCIAL SOL 11133TAE3 Feb 2026 4,208,000 -2,349,000 $3.8M -36.7% 0.02% DBT
702 COREBRIDGE FINANCIAL INC 21871XAR0 Feb 2026 3,585,000 -1,265,000 $3.8M -27.3% 0.02% DBT
703 LENOVO GROUP LTD 526250AE5 Feb 2026 3,480,000 -570,000 $3.8M -15.7% 0.02% DBT
704 BECTON DICKINSON & CO 075887CS6 Feb 2026 3,741,000 -113,000 $3.8M -5.2% 0.02% DBT
705 LPL HOLDINGS INC 50212YAK0 Feb 2026 3,660,000 -310,000 $3.8M -9.3% 0.02% DBT
706 ARTHUR J GALLAGHER & CO 04316JAH2 Feb 2026 3,688,000 -10,000 $3.7M -2.4% 0.02% DBT
707 NORDSON CORP 655663AB8 Feb 2026 3,592,000 -18,000 $3.7M -3.0% 0.02% DBT
708 CANADIAN PACIFIC RAILWAY 13645RAD6 Feb 2026 3,372,000 -140,000 $3.7M -7.0% 0.02% DBT
709 PAYPAL HOLDINGS INC 70450YAT0 Feb 2026 3,785,000 -540,000 $3.7M -14.7% 0.02% DBT
710 HONEYWELL INTERNATIONAL 438516CK0 Feb 2026 3,658,000 -4,313,000 $3.7M -55.2% 0.02% DBT
711 NISOURCE INC 65473PAP0 Feb 2026 3,622,000 -213,000 $3.7M -7.6% 0.02% DBT
712 ALTRIA GROUP INC 02209SBT9 Feb 2026 3,610,000 -30,000 $3.7M -3.1% 0.02% DBT
713 BROWN & BROWN INC 115236AL5 Feb 2026 3,695,000 -360,000 $3.7M -10.3% 0.02% DBT
714 CANADIAN NATL RAILWAY 136375BL5 Feb 2026 3,390,000 -90,000 $3.7M -4.8% 0.02% DBT
715 JT INTL FIN SERVICES BV 480914AA8 Feb 2026 3,357,000 -158,000 $3.7M -7.1% 0.02% DBT
716 LABORATORY CORP OF AMER 50540RBA9 Feb 2026 3,745,000 -160,000 $3.7M -6.2% 0.02% DBT
717 ATHENE GLOBAL FUNDING 04685A3Z2 Feb 2026 3,670,000 -180,000 $3.7M -7.1% 0.02% DBT
718 WASTE MANAGEMENT INC 94106LBU2 Feb 2026 3,702,000 -7,000 $3.7M -2.9% 0.02% DBT
719 CARDINAL HEALTH INC 14149YBP2 Feb 2026 3,605,000 -40,000 $3.7M -3.9% 0.02% DBT
720 CNA FINANCIAL CORP 126117AY6 Feb 2026 3,703,000 -32,000 $3.7M -3.2% 0.02% DBT
721 ENSTAR GROUP LTD 29359UAC3 Feb 2026 4,118,000 -345,000 $3.7M -8.8% 0.02% DBT
722 DEUTSCHE TELEKOM INT FIN 25156PAD5 Feb 2026 2,995,000 -165,000 $3.7M -8.0% 0.02% DBT
723 NEW YORK LIFE GLOBAL FDG 64952WEG4 Feb 2026 4,195,000 -520,000 $3.7M -12.6% 0.02% DBT
724 ERP OPERATING LP 26884ABN2 Feb 2026 4,167,000 -70,000 $3.7M -3.2% 0.02% DBT
725 CENTERPOINT ENERGY RES 15189WAP5 Feb 2026 3,730,000 -265,000 $3.7M -9.0% 0.02% DBT
726 QUALCOMM INC 747525BW2 Feb 2026 3,635,000 -325,000 $3.6M -10.2% 0.02% DBT
727 MARRIOTT INTERNATIONAL 571903BT9 Feb 2026 3,590,000 -10,000 $3.6M -2.6% 0.02% DBT
728 MARS INC 571676AC9 Feb 2026 3,990,000 -90,000 $3.6M -4.8% 0.02% DBT
729 HYATT HOTELS CORP 448579AV4 Feb 2026 3,520,000 -270,000 $3.6M -9.1% 0.02% DBT
730 LPL HOLDINGS INC 50212YAM6 Feb 2026 3,650,000 -465,000 $3.6M -13.0% 0.02% DBT
731 ROYALTY PHARMA PLC 78081BAR4 Feb 2026 3,570,000 -335,000 $3.6M -10.6% 0.02% DBT
732 MARS INC 571676AL9 Feb 2026 4,310,000 -1,445,000 $3.6M -27.0% 0.02% DBT
733 MONDELEZ INTERNATIONAL 609207AY1 Feb 2026 4,225,000 -195,000 $3.6M -6.2% 0.02% DBT
734 NORTHROP GRUMMAN CORP 666807CP5 Feb 2026 3,539,000 -516,000 $3.6M -15.1% 0.02% DBT
735 CSL FINANCE PLC 12661PAG4 Feb 2026 3,590,000 -150,000 $3.6M -6.9% 0.02% DBT
736 ORIX CORP 686330AP6 Feb 2026 3,758,000 -95,000 $3.6M -5.5% 0.02% DBT
737 REXFORD INDUSTRIAL REALT 76169XAB0 Feb 2026 4,125,000 -1,285,000 $3.6M -25.3% 0.02% DBT
738 EMERSON ELECTRIC CO 291011BT0 Feb 2026 3,565,000 -300,000 $3.6M -10.3% 0.02% DBT
739 BLUE OWL FINANCE LLC 09581JAR7 Feb 2026 4,064,000 -2,595,000 $3.6M -39.4% 0.02% DBT
740 ALEXANDRIA REAL ESTATE E 015271BA6 Feb 2026 3,775,000 -450,000 $3.6M -12.9% 0.02% DBT
741 CENTERPOINT ENER HOUSTON 15189XBF4 Feb 2026 3,580,000 -205,000 $3.6M -7.5% 0.02% DBT
742 CHURCH & DWIGHT CO INC 17136MAC6 Feb 2026 3,411,000 -65,000 $3.6M -4.4% 0.02% DBT
743 AMERIPRISE FINANCIAL INC 03076CAL0 Feb 2026 3,595,000 -1,390,000 $3.6M -29.3% 0.02% DBT
744 KRAFT HEINZ FOODS CO 50077LBN5 Feb 2026 3,531,000 -67,000 $3.6M -4.2% 0.02% DBT
745 LYB INT FINANCE III 50249AAL7 Feb 2026 3,509,000 -62,000 $3.6M -2.5% 0.02% DBT
746 ARROW ELECTRONICS INC 04273WAE1 Feb 2026 3,450,000 -140,000 $3.6M -6.0% 0.02% DBT
747 GA GLOBAL FUNDING TRUST 36143L2S3 Feb 2026 3,545,000 -40,000 $3.6M -2.2% 0.02% DBT
748 ENTERGY TEXAS INC 29365TAQ7 Feb 2026 3,530,000 -25,000 $3.6M -3.6% 0.02% DBT
749 ERP OPERATING LP 26884ABQ5 Feb 2026 3,520,000 -325,000 $3.5M -10.6% 0.02% DBT
750 KEURIG DR PEPPER INC 49271VBB5 Feb 2026 3,595,000 -105,000 $3.5M -5.6% 0.02% DBT
751 SOUTHWESTERN PUBLIC SERV 845743BY8 Feb 2026 3,515,000 -155,000 $3.5M -6.6% 0.02% DBT
752 PUBLIC SERVICE ELECTRIC 74456QCW4 Feb 2026 3,555,000 -75,000 $3.5M -4.4% 0.02% DBT
753 WRKCO INC 92940PAG9 Feb 2026 4,005,000 -450,000 $3.5M -12.2% 0.02% DBT
754 CENTERPOINT ENER HOUSTON 15189XAZ1 Feb 2026 3,593,000 -450,000 $3.5M -13.2% 0.02% DBT
755 DARDEN RESTAURANTS INC 237194AN5 Feb 2026 3,291,000 -249,000 $3.5M -9.5% 0.02% DBT
756 INVERSIONES CMPC SA 46128MAT8 Feb 2026 3,535,000 -175,000 $3.5M -7.2% 0.02% DBT
757 NXP BV/NXP FDG/NXP USA 62954HBH0 Feb 2026 3,507,000 -1,373,000 $3.5M -29.4% 0.02% DBT
758 MERCEDES-BENZ FIN NA 58769JAX5 Feb 2026 3,534,000 -86,000 $3.5M -5.1% 0.02% DBT
759 LPL HOLDINGS INC 50212YAQ7 Feb 2026 3,484,000 -86,000 $3.5M -4.0% 0.02% DBT
760 UNION ELECTRIC CO 906548CY6 Feb 2026 3,440,000 -170,000 $3.5M -7.2% 0.02% DBT
761 EQT AB 29439EAA7 Feb 2026 3,480,000 -30,000 $3.5M -3.3% 0.02% DBT
762 VENTAS REALTY LP 92277GBB2 Feb 2026 3,445,000 -460,000 $3.5M -14.0% 0.02% DBT
763 NEWMONT CORP 651639AW6 Feb 2026 3,250,000 -125,000 $3.5M -5.8% 0.02% DBT
764 RENAISSANCERE HOLDINGS L 75968NAG6 Feb 2026 3,360,000 -350,000 $3.5M -11.1% 0.02% DBT
765 ATHENE HOLDING LTD 04686JAF8 Feb 2026 3,253,000 -275,000 $3.5M -7.9% 0.02% DBT
766 L3HARRIS TECH INC 502431AT6 Feb 2026 3,366,000 -1,449,000 $3.4M -31.8% 0.02% DBT
767 SAMMONS FINANCIAL GROUP 79588TAE0 Feb 2026 3,585,000 -165,000 $3.4M -6.3% 0.02% DBT
768 CNA FINANCIAL CORP 126117AZ3 Feb 2026 3,476,000 -224,000 $3.4M -8.1% 0.02% DBT
769 UNION ELECTRIC CO 906548DA7 Feb 2026 3,370,000 -160,000 $3.4M -6.6% 0.02% DBT
770 MCCORMICK & CO 579780AT4 Feb 2026 3,428,000 -120,000 $3.4M -6.2% 0.02% DBT
771 MARSH & MCLENNAN COS INC 571748BP6 Feb 2026 3,839,000 -50,000 $3.4M -2.7% 0.02% DBT
772 ARCHER-DANIELS-MIDLAND C 039482AE4 Feb 2026 3,440,000 -155,000 $3.4M -6.3% 0.02% DBT
773 GOODMAN US FIN FIVE LLC 38239PAA5 Feb 2026 3,495,000 -45,000 $3.4M -4.1% 0.02% DBT
774 AIRCASTLE / IRELAND DAC 00929JAA4 Feb 2026 3,320,000 -280,000 $3.4M -10.3% 0.02% DBT
775 UNIVERSAL HEALTH SVCS 913903BC3 Feb 2026 3,531,000 -54,000 $3.4M -4.5% 0.02% DBT
776 SOUTHERN CO GAS CAPITAL 8426EPAK4 Feb 2026 3,420,000 -190,000 $3.4M -7.7% 0.02% DBT
777 TYCO ELECTRONICS GROUP S 902133BD8 Feb 2026 3,410,000 -5,000 $3.4M -3.1% 0.02% DBT
778 FLOWERS FOODS INC 343498AD3 Feb 2026 3,510,000 -70,000 $3.4M -4.5% 0.02% DBT
779 MCCORMICK & CO 579780AU1 Feb 2026 3,509,000 -21,000 $3.4M -4.1% 0.02% DBT
780 PUGET ENERGY INC 745310AN2 Feb 2026 3,520,000 -135,000 $3.4M -5.4% 0.02% DBT
781 BMW US CAPITAL LLC 05565ECZ6 Feb 2026 3,333,000 -582,000 $3.4M -17.3% 0.02% DBT
782 TRAVELERS COS INC 89417EAT6 Feb 2026 3,370,000 -445,000 $3.4M -13.6% 0.02% DBT
783 BRIXMOR OPERATING PART 11120VAL7 Feb 2026 3,775,000 -590,000 $3.4M -15.0% 0.02% DBT
784 MONDELEZ INTERNATIONAL 609207BE4 Feb 2026 3,430,000 -55,000 $3.4M -3.9% 0.02% DBT
785 TOYOTA MOTOR CREDIT CORP 89236TJQ9 Feb 2026 3,859,000 -2,533,000 $3.4M -40.9% 0.02% DBT
786 BRUNSWICK CORP 117043AT6 Feb 2026 3,847,000 -43,000 $3.4M -2.8% 0.02% DBT
787 TYSON FOODS INC 902494AZ6 Feb 2026 3,423,000 -97,000 $3.4M -5.8% 0.02% DBT
788 DUKE ENERGY CAROLINAS 26442CBM5 Feb 2026 3,360,000 -970,000 $3.4M -24.1% 0.02% DBT
789 HOST HOTELS & RESORTS LP 44107TBA3 Feb 2026 3,750,000 -225,000 $3.4M -7.7% 0.02% DBT
790 PUBLIC SERVICE ELECTRIC 74456QCK0 Feb 2026 3,317,000 -45,000 $3.3M -3.7% 0.02% DBT
791 PUBLIC SERVICE ELECTRIC 74456QCL8 Feb 2026 3,365,000 -60,000 $3.3M -3.7% 0.02% DBT
792 KYNDRYL HOLDINGS INC 50155QAN0 Feb 2026 3,475,000 -25,000 $3.3M -0.3% 0.02% DBT
793 MARSH & MCLENNAN COS INC 571748BW1 Feb 2026 3,292,000 -505,000 $3.3M -15.1% 0.02% DBT
794 WELLTOWER OP LLC 95040QAR5 Feb 2026 3,485,000 -785,000 $3.3M -20.6% 0.02% DBT
795 DAIMLER TRUCK FINAN NA 233853BA7 Feb 2026 3,290,000 -160,000 $3.3M -7.4% 0.02% DBT
796 DAIMLER TRUCK FINAN NA 233853AU4 Feb 2026 3,248,000 -180,000 $3.3M -8.0% 0.02% DBT
797 BMW US CAPITAL LLC 05565EDD4 Feb 2026 3,320,000 -360,000 $3.3M -12.0% 0.02% DBT
798 ONEOK INC 682680AN3 Feb 2026 3,175,000 -20,000 $3.3M -2.7% 0.02% DBT
799 VIRGINIA ELEC & POWER CO 927804GE8 Feb 2026 3,716,000 -615,000 $3.3M -15.3% 0.02% DBT
800 WELLTOWER OP LLC 95040QAP9 Feb 2026 3,660,000 -245,000 $3.3M -8.4% 0.02% DBT
801 PROCTER & GAMBLE CO/THE 742718GN3 Feb 2026 3,320,000 -195,000 $3.3M -8.2% 0.02% DBT
802 MARRIOTT INTERNATIONAL 571903BW2 Feb 2026 3,335,000 -1,090,000 $3.3M -26.2% 0.02% DBT
803 HYUNDAI CAPITAL AMERICA 44891ADH7 Feb 2026 3,328,000 -732,000 $3.3M -20.2% 0.02% DBT
804 VOLKSWAGEN GROUP AMERICA 928668BX9 Feb 2026 3,196,000 -359,000 $3.3M -12.5% 0.02% DBT
805 PUBLIC SERVICE ELECTRIC 74456QCN4 Feb 2026 3,210,000 -635,000 $3.3M -18.1% 0.02% DBT
806 HUNTINGTON BANCSHARES 446150AX2 Feb 2026 3,807,000 -319,000 $3.3M -10.0% 0.02% DBT
807 RELX CAPITAL INC 74949LAE2 Feb 2026 3,278,000 -15,000 $3.3M -2.3% 0.02% DBT
808 WASTE CONNECTIONS INC 94106BAE1 Feb 2026 3,557,000 -160,000 $3.3M -6.8% 0.02% DBT
809 STARBUCKS CORP 855244BF5 Feb 2026 3,263,000 -405,000 $3.3M -13.1% 0.02% DBT
810 SAN DIEGO G & E 797440CB8 Feb 2026 3,567,000 -106,000 $3.3M -4.7% 0.02% DBT
811 JERSEY CENTRAL PWR & LT 476556DD4 Feb 2026 3,624,000 -315,000 $3.3M -9.7% 0.02% DBT
812 CONSTELLATION SOFTWARE 21037XAD2 Feb 2026 3,287,000 -228,000 $3.2M -7.4% 0.02% DBT
813 ATHENE GLOBAL FUNDING 04685A3E9 Feb 2026 3,720,000 -160,000 $3.2M -6.1% 0.02% DBT
814 TOYOTA MOTOR CREDIT CORP 89236TKR5 Feb 2026 3,245,000 -346,000 $3.2M -11.9% 0.02% DBT
815 AEP TRANSMISSION CO LLC 00115AAR0 Feb 2026 3,210,000 -50,000 $3.2M -4.0% 0.02% DBT
816 NATIONAL RURAL UTIL COOP 637432NY7 Feb 2026 3,600,000 -295,000 $3.2M -9.0% 0.02% DBT
817 CARGILL INC 141781BZ6 Feb 2026 3,165,000 -580,000 $3.2M -17.8% 0.02% DBT
818 ALLY FINANCIAL INC 02005NCA6 Feb 2026 3,250,000 -250,000 $3.2M -8.7% 0.02% DBT
819 ASTRAZENECA FINANCE LLC 04636NAH6 Feb 2026 3,175,000 -570,000 $3.2M -17.3% 0.02% DBT
820 HYATT HOTELS CORP 448579AT9 Feb 2026 3,160,000 -225,000 $3.2M -8.3% 0.02% DBT
821 SOUTHERN POWER CO 843646AY6 Feb 2026 3,305,000 -110,000 $3.2M -5.3% 0.02% DBT
822 BECTON DICKINSON & CO 075887CP2 Feb 2026 3,314,000 -225,000 $3.2M -9.2% 0.02% DBT
823 CONAGRA BRANDS INC 205887CL4 Feb 2026 3,202,000 -353,000 $3.2M -12.2% 0.02% DBT
824 PROLOGIS TARGETED US 74350LAB0 Feb 2026 3,160,000 -235,000 $3.2M -9.7% 0.02% DBT
825 AUTOZONE INC 053332BD3 Feb 2026 3,260,000 -525,000 $3.2M -16.0% 0.02% DBT
826 NEWCASTLE COAL INFRASTRU 65106WAB1 Feb 2026 3,311,850 -53,227 $3.2M -4.1% 0.02% DBT
827 DTE ENERGY CO 233331BP1 Feb 2026 3,260,000 -360,000 $3.2M -12.2% 0.02% DBT
828 EXPERIAN FINANCE PLC 30217AAD5 Feb 2026 3,180,000 -400,000 $3.2M -13.6% 0.02% DBT
829 DEVON ENERGY CORPORATION 251799AA0 Feb 2026 2,771,000 -95,000 $3.2M -5.2% 0.02% DBT
830 MOODY'S CORPORATION 615369BA2 Feb 2026 3,185,000 -120,000 $3.2M -6.1% 0.02% DBT
831 MAGNA INTERNATIONAL INC 559222AY0 Feb 2026 3,106,000 -530,000 $3.2M -16.5% 0.02% DBT
832 LGENERGYSOLUTION 50205MAE9 Feb 2026 3,188,000 -17,000 $3.2M -4.8% 0.02% DBT
833 KITE REALTY GROUP LP 49803XAF0 Feb 2026 3,200,000 -65,000 $3.2M -4.6% 0.02% DBT
834 HYUNDAI CAPITAL AMERICA 44891AEF0 Feb 2026 3,250,000 -250,000 $3.2M -9.7% 0.02% DBT
835 J PAUL GETTY TRUST 374288AC2 Feb 2026 3,177,000 -8,000 $3.2M -3.5% 0.02% DBT
836 REVVITY INC 714046AN9 Feb 2026 3,619,000 -170,000 $3.2M -5.7% 0.02% DBT
837 TD SYNNEX CORP 87162WAN0 Feb 2026 3,200,000 -75,000 $3.2M -2.9% 0.02% DBT
838 PUBLIC SERVICE ELECTRIC 74456QCQ7 Feb 2026 3,115,000 -200,000 $3.2M -8.3% 0.02% DBT
839 GA GLOBAL FUNDING TRUST 36143L2H7 Feb 2026 3,622,000 -1,243,000 $3.2M -26.6% 0.02% DBT
840 SCHLUMBERGER HLDGS CORP 806851AN1 Feb 2026 3,150,000 -85,000 $3.2M -4.8% 0.02% DBT
841 EXELON CORP 30161NAC5 Feb 2026 3,070,000 -1,220,000 $3.2M -30.1% 0.02% DBT
842 NOMURA HOLDINGS INC 65535HCB3 Feb 2026 3,099,000 -416,000 $3.2M -13.8% 0.02% DBT
843 BANK OF NY MELLON CORP 06406YAB8 Feb 2026 3,080,000 -5,000 $3.2M -2.6% 0.02% DBT
844 ATHENE GLOBAL FUNDING 04685A2Y6 Feb 2026 3,584,000 -25,000 $3.2M -1.6% 0.02% DBT
845 ALTRIA GROUP INC 02209SBV4 Feb 2026 3,140,000 -475,000 $3.1M -15.0% 0.02% DBT
846 ARTHUR J GALLAGHER & CO 04316JAF6 Feb 2026 2,910,000 -100,000 $3.1M -5.2% 0.02% DBT
847 BURLINGTON RESOURCES LLC 12201PAB2 Feb 2026 2,828,000 -260,000 $3.1M -11.2% 0.02% DBT
848 FLEX LTD 33938XAG0 Feb 2026 3,185,000 -195,000 $3.1M -8.2% 0.02% DBT
849 VERISK ANALYTICS INC 92345YAH9 Feb 2026 3,010,000 -400,000 $3.1M -13.4% 0.02% DBT
850 BOEING CO/THE 097023AU9 Feb 2026 2,917,000 -375,000 $3.1M -13.3% 0.02% DBT
851 CARLISLE COS INC 142339AN0 Feb 2026 3,115,000 -60,000 $3.1M -4.9% 0.02% DBT
852 NATIONAL RURAL UTIL COOP 637432NZ4 Feb 2026 3,215,000 -40,000 $3.1M -2.9% 0.02% DBT
853 SOFTBANK CORP 83405KAB8 Feb 2026 3,125,000 -90,000 $3.1M -5.3% 0.02% DBT
854 LOCKHEED MARTIN CORP 539830BC2 Feb 2026 3,377,000 -307,000 $3.1M -10.5% 0.02% DBT
855 MIZUHO FINANCIAL GROUP 60687YBT5 Feb 2026 3,505,000 -630,000 $3.1M -17.1% 0.02% DBT
856 FIRST AMERICAN FINANCIAL 31847RAJ1 Feb 2026 3,100,000 -460,000 $3.1M -14.4% 0.02% DBT
857 TRITON CONTAINER 89680YAC9 Feb 2026 3,391,000 -941,000 $3.1M -23.5% 0.02% DBT
858 MARVELL TECHNOLOGY INC 573874AS3 Feb 2026 2,990,000 -110,000 $3.1M -5.2% 0.02% DBT
859 FLORIDA POWER & LIGHT CO 341081EQ6 Feb 2026 2,920,000 -950,000 $3.1M -26.9% 0.02% DBT
860 SOUTHERN CAL EDISON 842400JE4 Feb 2026 2,990,000 -330,000 $3.1M -12.3% 0.02% DBT
861 STATE STREET CORP 857477BT9 Feb 2026 3,413,000 -515,000 $3.0M -14.9% 0.02% DBT
862 PACKAGING CORP OF AMERIC 695156AY5 Feb 2026 3,050,000 -355,000 $3.0M -12.7% 0.02% DBT
863 ECOLAB INC 278865BS8 Feb 2026 3,050,000 -715,000 $3.0M -21.6% 0.02% DBT
864 PECO ENERGY CO 693304BH9 Feb 2026 3,065,000 -980,000 $3.0M -25.8% 0.02% DBT
865 WELLS FARGO & COMPANY 949746JM4 Feb 2026 2,960,000 -950,000 $3.0M -26.2% 0.02% DBT
866 MACQUARIE GROUP LTD 55608JBE7 Feb 2026 3,120,000 -305,000 $3.0M -11.2% 0.02% DBT
867 STATE STREET CORP 857477CG6 Feb 2026 2,872,000 -248,000 $3.0M -10.6% 0.02% DBT
868 BMW US CAPITAL LLC 05565EBX2 Feb 2026 3,494,000 -193,000 $3.0M -7.2% 0.02% DBT
869 DUKE ENERGY CAROLINAS 264399ED4 Feb 2026 2,781,000 -779,000 $3.0M -24.0% 0.02% DBT
870 ESSEX PORTFOLIO LP 29717PBB2 Feb 2026 2,975,000 -105,000 $3.0M -5.2% 0.02% DBT
871 SELECTIVE INSURANCE GROU 816300AJ6 Feb 2026 2,915,000 -55,000 $3.0M -3.7% 0.02% DBT
872 TWDC ENTERPRISES 18 CORP 25468PBW5 Feb 2026 2,689,000 -490,000 $3.0M -17.5% 0.02% DBT
873 MOODY'S CORPORATION 615369AZ8 Feb 2026 3,075,000 -405,000 $3.0M -13.7% 0.02% DBT
874 SHERWIN-WILLIAMS CO 824348BW5 Feb 2026 2,980,000 -830,000 $3.0M -23.7% 0.02% DBT
875 TAKE-TWO INTERACTIVE SOF 874054AH2 Feb 2026 3,128,000 -5,000 $3.0M -2.4% 0.02% DBT
876 GENUINE PARTS CO 372460AC9 Feb 2026 3,427,000 -96,000 $3.0M -4.6% 0.02% DBT
877 VERIZON COMMUNICATIONS 92344GAX4 Feb 2026 2,835,000 -435,000 $3.0M -15.8% 0.02% DBT
878 BRUNSWICK CORP 117043AU3 Feb 2026 3,130,000 -85,000 $3.0M -5.0% 0.02% DBT
879 OTIS WORLDWIDE CORP 68902VAS6 Feb 2026 2,960,000 -775,000 $3.0M -23.0% 0.02% DBT
880 GXO LOGISTICS INC 36262GAD3 Feb 2026 3,321,000 -53,000 $2.9M -4.5% 0.02% DBT
881 PRICOA GLOBAL FUNDING 1 74153WCV9 Feb 2026 2,965,000 -220,000 $2.9M -9.1% 0.02% DBT
882 EBAY INC 278642BB8 Feb 2026 2,750,000 -360,000 $2.9M -13.8% 0.02% DBT
883 PEPSICO SINGAPORE FIN 713466AD2 Feb 2026 2,935,000 -20,000 $2.9M -2.5% 0.02% DBT
884 EXTRA SPACE STORAGE LP 30225VAT4 Feb 2026 2,905,000 -85,000 $2.9M -5.0% 0.02% DBT
885 MIZUHO FINANCIAL GROUP 60687YBQ1 Feb 2026 3,316,000 -900,000 $2.9M -23.0% 0.02% DBT
886 ALLEGION US HOLDING CO 01748NAF1 Feb 2026 2,850,000 -130,000 $2.9M -7.5% 0.02% DBT
887 GLOBE LIFE INC 37959EAB8 Feb 2026 2,940,000 -260,000 $2.9M -10.2% 0.02% DBT
888 OVINTIV INC 698900AG2 Feb 2026 2,635,000 -230,000 $2.9M -9.5% 0.02% DBT
889 APPALACHIAN POWER CO 037735DB0 Feb 2026 2,820,000 -95,000 $2.9M -5.7% 0.02% DBT
890 CANADIAN NATL RAILWAY 136375DH2 Feb 2026 2,710,000 -415,000 $2.9M -14.8% 0.02% DBT
891 CENTERPOINT ENER HOUSTON 15189XBE7 Feb 2026 2,855,000 -740,000 $2.9M -22.2% 0.02% DBT
892 ITC HOLDINGS CORP 465685AT2 Feb 2026 2,820,000 -60,000 $2.9M -4.6% 0.02% DBT
893 WASTE CONNECTIONS INC 94106BAJ0 Feb 2026 2,845,000 -955,000 $2.9M -27.2% 0.02% DBT
894 PACIFICORP 695114BT4 Feb 2026 2,560,000 -470,000 $2.9M -17.4% 0.02% DBT
895 PUBLIC STORAGE OP CO 74464AAD3 Feb 2026 2,885,000 -60,000 $2.9M -5.0% 0.02% DBT
896 NIAGARA MOHAWK POWER 65364UAH9 Feb 2026 3,080,000 -370,000 $2.9M -12.8% 0.02% DBT
897 TOYOTA MOTOR CORP 892331AR0 Feb 2026 2,805,000 -60,000 $2.9M -4.3% 0.02% DBT
898 FLORIDA POWER & LIGHT CO 341081GX9 Feb 2026 2,858,000 -725,000 $2.9M -22.6% 0.02% DBT
899 CUBESMART LP 22966RAK2 Feb 2026 2,885,000 -245,000 $2.9M -10.3% 0.02% DBT
900 GATX CORP 361448BN2 Feb 2026 2,570,000 -210,000 $2.8M -9.8% 0.02% DBT
901 PROCTER & GAMBLE CO/THE 742718GQ6 Feb 2026 2,922,000 -1,013,000 $2.8M -27.8% 0.02% DBT
902 EQUITABLE AMERICA GLOBAL 29446Q2E2 Feb 2026 2,905,000 -265,000 $2.8M -10.3% 0.02% DBT
903 WP CAREY INC 92936UAJ8 Feb 2026 3,201,000 -55,000 $2.8M -3.7% 0.02% DBT
904 STATE STREET CORP 857477BU6 Feb 2026 2,855,000 -515,000 $2.8M -17.4% 0.02% DBT
905 AUTONATION INC 05329WAS1 Feb 2026 3,177,000 -550,000 $2.8M -16.5% 0.02% DBT
906 CANADIAN NATL RESOURCES 136385AE1 Feb 2026 2,565,000 -205,000 $2.8M -8.8% 0.02% DBT
907 AUTODESK INC 052769AJ5 Feb 2026 2,775,000 -535,000 $2.8M -18.1% 0.02% DBT
908 NATIONAL RURAL UTIL COOP 637432PC3 Feb 2026 2,750,000 -740,000 $2.8M -23.0% 0.02% DBT
909 PUBLIC SERVICE ELECTRIC 74456QCH7 Feb 2026 3,163,000 -120,000 $2.8M -5.5% 0.02% DBT
910 RTX CORP 913017BJ7 Feb 2026 2,676,000 -1,000,000 $2.8M -29.2% 0.02% DBT
911 CITIZENS FINANCIAL GROUP 174610AW5 Feb 2026 3,200,000 -810,000 $2.8M -21.6% 0.02% DBT
912 PUBLIC SERVICE ENTERPRIS 744573BB1 Feb 2026 2,730,000 -110,000 $2.8M -6.2% 0.02% DBT
913 KELLANOVA 487836BZ0 Feb 2026 2,701,000 -29,000 $2.8M -3.9% 0.02% DBT
914 PIEDMONT NATURAL GAS CO 720186AR6 Feb 2026 2,765,000 -50,000 $2.8M -4.4% 0.02% DBT
915 HYUNDAI CAPITAL AMERICA 44891ADD6 Feb 2026 2,695,000 -2,060,000 $2.7M -44.9% 0.02% DBT
916 NORINCHUKIN BANK 656029AQ8 Feb 2026 2,755,000 -175,000 $2.7M -8.9% 0.02% DBT
917 GATX CORP 361448BL6 Feb 2026 2,695,000 -110,000 $2.7M -7.0% 0.02% DBT
918 IDEX CORP 45167RAH7 Feb 2026 3,019,000 -304,000 $2.7M -10.4% 0.02% DBT
919 BROOKLYN UNION GAS CO 114259AW4 Feb 2026 2,795,000 -185,000 $2.7M -8.9% 0.02% DBT
920 FIRSTENERGY TRANSMISSION 33767BAH2 Feb 2026 2,760,000 -160,000 $2.7M -7.8% 0.01% DBT
921 EL PASO ELECTRIC CO 283677AW2 Feb 2026 2,710,000 -20,000 $2.7M -4.9% 0.01% DBT
922 OHIO POWER COMPANY 677415CV1 Feb 2026 2,719,000 -160,000 $2.7M -7.7% 0.01% DBT
923 NORINCHUKIN BANK 656029AH8 Feb 2026 3,135,000 -330,000 $2.7M -11.7% 0.01% DBT
924 HERSHEY COMPANY 427866BJ6 Feb 2026 2,730,000 -60,000 $2.7M -4.6% 0.01% DBT
925 DOMINION ENERGY SOUTH 25731VAA2 Feb 2026 3,010,000 -230,000 $2.7M -9.1% 0.01% DBT
926 TOYOTA MOTOR CORP 892331AV1 Feb 2026 2,630,000 -380,000 $2.7M -15.0% 0.01% DBT
927 MIDAMERICAN ENERGY CO 595620AX3 Feb 2026 2,589,000 -40,000 $2.7M -3.8% 0.01% DBT
928 AMERICOLD REALTY OPER PA 03063UAB7 Feb 2026 2,635,000 -470,000 $2.7M -16.6% 0.01% DBT
929 NORFOLK SOUTHERN CORP 655844CV8 Feb 2026 2,630,000 -675,000 $2.6M -22.5% 0.01% DBT
930 EBAY INC 278642BE2 Feb 2026 2,681,000 -354,000 $2.6M -13.9% 0.01% DBT
931 JERSEY CENTRAL PWR & LT 476556DH5 Feb 2026 2,655,000 -375,000 $2.6M -15.0% 0.01% DBT
932 HYATT HOTELS CORP 448579AW2 Feb 2026 2,640,000 -160,000 $2.6M -8.6% 0.01% DBT
933 BRIXMOR OPERATING PART 11120VAM5 Feb 2026 2,545,000 -315,000 $2.6M -12.8% 0.01% DBT
934 SCHLUMBERGER HLDGS CORP 806851AP6 Feb 2026 2,600,000 -220,000 $2.6M -9.6% 0.01% DBT
935 SUMITOMO MITSUI TR BK LT 86563VBR9 Feb 2026 2,535,000 -380,000 $2.6M -15.3% 0.01% DBT
936 SHERWIN-WILLIAMS CO 824348BT2 Feb 2026 2,579,000 -1,096,000 $2.6M -31.7% 0.01% DBT
937 TRUST FIBRAUNO 89834JAA1 Feb 2026 2,420,000 -3,000,000 $2.6M -56.7% 0.01% DBT
938 GATX CORP 361448BJ1 Feb 2026 2,771,000 -80,000 $2.6M -4.9% 0.01% DBT
939 AVALONBAY COMMUNITIES 053484AF8 Feb 2026 2,495,000 -565,000 $2.6M -20.5% 0.01% DBT
940 PRUDENTIAL FINANCIAL INC 74432QAC9 Feb 2026 2,405,000 -920,000 $2.6M -29.5% 0.01% DBT
941 PUBLIC SERVICE OKLAHOMA 744533BM1 Feb 2026 2,879,000 -301,000 $2.5M -11.1% 0.01% DBT
942 AMERICAN INTL GROUP 026874DC8 Feb 2026 2,754,000 -891,000 $2.5M -26.0% 0.01% DBT
943 AVALONBAY COMMUNITIES 053484AG6 Feb 2026 2,540,000 -300,000 $2.5M -13.1% 0.01% DBT
944 CANADIAN NATL RAILWAY 136375DW9 Feb 2026 2,565,000 -115,000 $2.5M -7.2% 0.01% DBT
945 MONDELEZ INTERNATIONAL 609207BH7 Feb 2026 2,510,000 -345,000 $2.5M -14.8% 0.01% DBT
946 TTX CO 87305QCS8 Feb 2026 2,440,000 -385,000 $2.4M -16.4% 0.01% DBT
947 PULTEGROUP INC 745867AM3 Feb 2026 2,120,000 -65,000 $2.4M -5.3% 0.01% DBT
948 ARCHER-DANIELS-MIDLAND C 039483AT9 Feb 2026 2,284,000 -156,000 $2.4M -8.9% 0.01% DBT
949 CARDINAL HEALTH INC 14149YBV9 Feb 2026 2,441,000 -669,000 $2.4M -23.6% 0.01% DBT
950 PHILLIPS EDISON GROCERY 71845JAC2 Feb 2026 2,485,000 -95,000 $2.4M -5.8% 0.01% DBT
951 BLACK HILLS CORP 092113AQ2 Feb 2026 2,540,000 -855,000 $2.4M -27.2% 0.01% DBT
952 WISCONSIN ELECTRIC POWER 976656CS5 Feb 2026 2,460,000 -230,000 $2.4M -10.8% 0.01% DBT
953 KILROY REALTY LP 49427RAQ5 Feb 2026 2,900,000 -505,000 $2.4M -15.8% 0.01% DBT
954 LINCOLN NATIONAL CORP 534187BT5 Feb 2026 2,320,000 -385,000 $2.4M -14.5% 0.01% DBT
955 GLOBAL ATLANTIC FIN CO 37959GAB3 Feb 2026 2,658,000 -2,025,000 $2.4M -43.5% 0.01% DBT
956 EVERGY MISSOURI WEST INC 30037EAC7 Feb 2026 2,385,000 -75,000 $2.4M -5.1% 0.01% DBT
957 AMERICAN FINANCIAL GROUP 025932AQ7 Feb 2026 2,415,000 -155,000 $2.3M -8.0% 0.01% DBT
958 CLECO POWER LLC 185508AJ7 Feb 2026 2,355,000 -75,000 $2.3M -6.0% 0.01% DBT
959 ARTHUR J GALLAGHER & CO 04316JAA7 Feb 2026 2,633,000 -1,816,000 $2.3M -41.5% 0.01% DBT
960 NIAGARA MOHAWK POWER 65364UAQ9 Feb 2026 2,596,000 -614,000 $2.3M -20.4% 0.01% DBT
961 APTARGROUP INC 038336AA1 Feb 2026 2,480,000 -60,000 $2.3M -4.8% 0.01% DBT
962 EQT CORP 26884LAN9 Feb 2026 2,445,000 -603,000 $2.3M -21.1% 0.01% DBT
963 ALABAMA POWER CO 010392GB8 Feb 2026 2,175,000 -145,000 $2.3M -8.6% 0.01% DBT
964 INVITATION HOMES OP 46188BAC6 Feb 2026 2,735,000 -75,000 $2.3M -4.7% 0.01% DBT
965 EVERGY KANSAS CENTRAL 30036FAC5 Feb 2026 2,160,000 -5,000 $2.3M -2.3% 0.01% DBT
966 EVERGY MISSOURI WEST INC 30037EAB9 Feb 2026 2,248,000 -87,000 $2.3M -6.2% 0.01% DBT
967 CENTERPOINT ENER HOUSTON 15189XAX6 Feb 2026 2,504,000 -360,000 $2.3M -14.4% 0.01% DBT
968 EMERA US FINANCE LP 29103DAT3 Feb 2026 2,541,000 -354,000 $2.3M -14.1% 0.01% DBT
969 AON CORP/AON GLOBAL HOLD 03740LAA0 Feb 2026 2,586,000 -850,000 $2.3M -26.2% 0.01% DBT
970 WISCONSIN POWER & LIGHT 976826BR7 Feb 2026 2,232,000 -214,000 $2.2M -10.5% 0.01% DBT
971 INTERSTATE POWER & LIGHT 461070AU8 Feb 2026 2,151,000 -205,000 $2.2M -10.8% 0.01% DBT
972 WISCONSIN POWER & LIGHT 976826BS5 Feb 2026 2,185,000 -100,000 $2.2M -6.4% 0.01% DBT
973 BLOCK FINANCIAL LLC 093662AK0 Feb 2026 2,240,000 -115,000 $2.2M -4.8% 0.01% DBT
974 OHIO EDISON CO 677347CH7 Feb 2026 2,129,000 -11,000 $2.2M -2.5% 0.01% DBT
975 WALT DISNEY COMPANY/THE 254687DV5 Feb 2026 1,968,000 -447,000 $2.2M -20.7% 0.01% DBT
976 MID-AMERICA APARTMENTS 59523UAV9 Feb 2026 2,175,000 -125,000 $2.2M -7.4% 0.01% DBT
977 AMCOR FLEXIBLES NORTH AM 02344AAA6 Feb 2026 2,385,000 -3,003,000 $2.2M -56.6% 0.01% DBT
978 JOHNS HOPKINS UNIVERSITY 478115AH1 Feb 2026 2,109,000 -11,000 $2.1M -3.9% 0.01% DBT
979 EVERGY METRO 30037DAD7 Feb 2026 2,037,000 -68,000 $2.1M -5.9% 0.01% DBT
980 ANHEUSER-BUSCH INBEV WOR 035240AE0 Feb 2026 1,855,000 -210,000 $2.1M -12.8% 0.01% DBT
981 PIEDMONT HEALTHCARE INC 72014TAC3 Feb 2026 2,354,000 -11,000 $2.0M -3.0% 0.01% DBT
982 CITIZENS FINANCIAL GROUP 174610BE4 Feb 2026 2,023,000 -30,000 $2.0M -3.7% 0.01% DBT
983 BLACKROCK CASH FUNDS TREASURY SL AGENCY SHARES 066922477 Feb 2026 2,030,000 -7,520,000 $2.0M -78.7% 0.01% STIV
984 GALAXY PIPELINE ASSETS 36321PAD2 Feb 2026 2,263,354 -134,868 $2.0M -7.4% 0.01% DBT
985 BAYER US FINANCE II LLC 07274NBA0 Feb 2026 2,005,000 -205,000 $2.0M -12.3% 0.01% DBT
986 STARBUCKS CORP 855244BJ7 Feb 2026 1,963,000 -1,877,000 $2.0M -49.9% 0.01% DBT
987 PROCTER & GAMBLE CO/THE 742718CB3 Feb 2026 1,895,000 -140,000 $2.0M -9.7% 0.01% DBT
988 S&P GLOBAL INC 78409VBR4 Feb 2026 2,015,000 -730,000 $2.0M -28.3% 0.01% DBT
989 KITE REALTY GROUP LP 49803XAG8 Feb 2026 1,925,000 -145,000 $1.9M -9.0% 0.01% DBT
990 ELEVANCE HEALTH INC 94973VAH0 Feb 2026 1,843,000 -722,000 $1.9M -29.9% 0.01% DBT
991 LAZARD GROUP LLC 52107QAM7 Feb 2026 1,924,000 -106,000 $1.9M -7.8% 0.01% DBT
992 ONE GAS INC 68235PAM0 Feb 2026 1,984,000 -1,000 $1.9M -2.5% 0.01% DBT
993 EXTRA SPACE STORAGE LP 30225VAF4 Feb 2026 2,152,000 -1,208,000 $1.9M -37.0% 0.01% DBT
994 CLECO POWER LLC 185508AE8 Feb 2026 1,800,000 -5,000 $1.9M -3.1% 0.01% DBT
995 OMNICOM GROUP INC 681919BS4 Feb 2026 1,889,000 -250,000 $1.9M -14.2% 0.01% DBT
996 PUBLIC SERVICE COLORADO 744448CW9 Feb 2026 1,935,000 -680,000 $1.9M -28.1% 0.01% DBT
997 WASTE MANAGEMENT INC 94106LBB4 Feb 2026 2,005,000 -310,000 $1.9M -16.2% 0.01% DBT
998 RIO TINTO ALCAN INC 013716AW5 Feb 2026 1,755,000 -195,000 $1.8M -12.5% 0.01% DBT
999 EXELON CORP 30161NAQ4 Feb 2026 1,885,000 -270,000 $1.8M -14.9% 0.01% DBT
1000 STANDARD CHARTERED BANK 853250AA6 Feb 2026 1,640,000 -240,000 $1.8M -15.4% 0.01% DBT
1001 NXP BV/NXP FDG/NXP USA 62954HBG2 Feb 2026 1,800,000 -355,000 $1.8M -18.5% 0.01% DBT
1002 APA INFRASTRUCTURE LTD 00205GAC1 Feb 2026 1,820,000 -70,000 $1.8M -6.8% 0.01% DBT
1003 SOUTHERN CO GAS CAPITAL 001192AD5 Feb 2026 1,675,000 -10,000 $1.8M -2.8% 0.01% DBT
1004 PRECISION CASTPARTS CORP 740189AN5 Feb 2026 1,775,000 -45,000 $1.7M -5.7% 0.01% DBT
1005 HCA INC 404119AJ8 Feb 2026 1,471,000 -179,000 $1.7M -13.8% 0.01% DBT
1006 CATERPILLAR INC 149123BL4 Feb 2026 1,540,000 -290,000 $1.6M -18.1% 0.01% DBT
1007 ALBEMARLE CORP 012653AE1 Feb 2026 1,588,000 -2,912,000 $1.6M -65.3% 0.01% DBT
1008 UDR INC 90265EAV2 Feb 2026 1,903,000 -237,000 $1.6M -12.5% 0.01% DBT
1009 APPALACHIAN POWER CO 037735CE5 Feb 2026 1,480,000 -85,000 $1.5M -8.0% 0.01% DBT
1010 NY STATE ELECTRIC & GAS 649840CX1 Feb 2026 1,546,000 -514,000 $1.5M -27.1% 0.01% DBT
1011 EQUINIX INC 29444UBS4 Feb 2026 1,642,000 -5,061,000 $1.5M -75.9% 0.01% DBT
1012 WILLIAMS COS INC 969457BD1 Feb 2026 1,277,000 -1,625,000 $1.4M -56.7% 0.01% DBT
1013 GLENCORE CANADA CORP 655422AV5 Feb 2026 1,376,000 -289,000 $1.4M -19.5% 0.01% DBT
1014 PUBLIC SERVICE COLORADO 744448CV1 Feb 2026 1,546,000 -3,815,000 $1.4M -71.7% 0.01% DBT
1015 PUGET SOUND ENERGY INC 745332BU9 Feb 2026 1,255,000 -250,000 $1.3M -19.3% 0.01% DBT
1016 AVNET INC 053807AU7 Feb 2026 1,045,000 -1,166,000 $947K -53.6% 0.01% DBT
1017 VERISIGN INC 92343EAM4 Feb 2026 780,000 -4,485,000 $706K -85.3% 0.00% DBT
1018 ENTERGY CORP 29364GAP8 Feb 2026 753,000 -4,200,000 $672K -85.0% 0.00% DBT
1019 VARANASI AURA NH-2 TOLL 92213HAA0 Feb 2026 263,675 -662 $270K -3.9% 0.00% DBT
1020 NATIONAL RURAL UTIL COOP 637432NX9 Feb 2026 195,000 -2,000,000 $169K -91.3% 0.00% DBT
1021 SUMITOMO LIFE INSUR 86564CAC4 Feb 2026 35,000 -4,390,000 $32K -99.2% 0.00% DBT
1022 APTIV SWISS HOLDINGS LTD 00217GAB9 Feb 2026 25,000 -5,116,000 $23K -99.5% 0.00% DBT
1023 HIGHMARK INC 431116AE2 Feb 2026 23,000 -3,121,000 $21K -99.3% 0.00% DBT