BullishAgent BullishAgent
EDGAR Earnings Ratings Insiders Shorts
ETFs Screener
Sign in Register
Holdings (Monthly) Guide ↗

iShares ESG Aware USD Corporate Bond ETF

· iShares Trust
Monthly Holdings $1.6B AUM 4219 positions Period Feb 2026 Filed Apr 23, 2026 EDGAR ↗ ← All Funds
# Name Ticker Since Shares Value % Port Cat
1 BlackRock Funds III 066922519 Feb 2026 97,810,997 $97.9M 6.97% STIV
2 BLACKROCK CASH FUNDS TREASURY SL AGENCY SHARES 066922477 Feb 2026 8,610,000 $8.6M 0.61% STIV
3 SALESFORCE INC 79466LAF1 Feb 2026 5,046,000 $5.0M 0.36% DBT
4 AVANGRID INC 05351WAB9 Feb 2026 4,905,000 $4.9M 0.35% DBT
5 AUTOMATIC DATA PROCESSNG 053015AG8 Feb 2026 4,758,000 $4.6M 0.32% DBT
6 NATIONAL BANK OF CANADA 63307A2X2 Feb 2026 3,997,000 $4.2M 0.30% DBT
7 AUTOMATIC DATA PROCESSNG 053015AF0 Feb 2026 4,074,000 $3.6M 0.26% DBT
8 NEXTERA ENERGY CAPITAL 65339KBM1 Feb 2026 3,581,000 $3.4M 0.24% DBT
9 KONINKLIJKE KPN NV 780641AH9 Feb 2026 2,766,000 $3.2M 0.23% DBT
10 CHENIERE ENERGY INC 16411RAK5 Feb 2026 3,238,000 $3.2M 0.23% DBT
11 DIGITAL REALTY TRUST LP 25389JAR7 Feb 2026 3,222,000 $3.2M 0.23% DBT
12 DIGITAL REALTY TRUST LP 25389JAT3 Feb 2026 3,170,000 $3.2M 0.23% DBT
13 EDWARDS LIFESCIENCES COR 28176EAD0 Feb 2026 3,095,000 $3.1M 0.22% DBT
14 DIGITAL REALTY TRUST LP 25389JAU0 Feb 2026 3,050,000 $3.0M 0.21% DBT
15 MANULIFE FINANCIAL CORP 56501RAE6 Feb 2026 3,001,000 $3.0M 0.21% DBT
16 DIAGEO CAPITAL PLC 25243YAZ2 Feb 2026 2,930,000 $2.9M 0.21% DBT
17 CRH SMW FINANCE DAC 12704PAA6 Feb 2026 2,805,000 $2.9M 0.21% DBT
18 ADOBE INC 00724PAD1 Feb 2026 3,039,000 $2.8M 0.20% DBT
19 TRANE TECHNOLOGIES HOLDC 45687AAP7 Feb 2026 2,838,000 $2.8M 0.20% DBT
20 JACOBS ENGINEERING GROUP 469814AB3 Feb 2026 2,705,000 $2.8M 0.20% DBT
21 CH ROBINSON WORLDWIDE 12541WAA8 Feb 2026 2,834,000 $2.8M 0.20% DBT
22 BANK OF NOVA SCOTIA 06418GAD9 Feb 2026 2,714,000 $2.8M 0.20% DBT
23 3M COMPANY 88579YAY7 Feb 2026 2,795,000 $2.8M 0.20% DBT
24 AXA SA 054536AA5 Feb 2026 2,309,000 $2.7M 0.19% DBT
25 NEXTERA ENERGY CAPITAL 65339KAT7 Feb 2026 2,680,000 $2.7M 0.19% DBT
26 NEXTERA ENERGY CAPITAL 65339KBR0 Feb 2026 2,833,000 $2.6M 0.19% DBT
27 CRH AMERICA FINANCE INC 12636YAE2 Feb 2026 2,513,000 $2.6M 0.19% DBT
28 IBERDROLA INTL BV 29266MAF6 Feb 2026 2,255,000 $2.6M 0.19% DBT
29 NATIONAL BANK OF CANADA 63307A3B9 Feb 2026 2,566,000 $2.6M 0.19% DBT
30 BUNGE LTD FINANCE CORP 120568AZ3 Feb 2026 2,392,000 $2.4M 0.17% DBT
31 BEST BUY CO INC 08652BAA7 Feb 2026 2,339,000 $2.4M 0.17% DBT
32 EVERSOURCE ENERGY 30040WAK4 Feb 2026 2,622,000 $2.3M 0.17% DBT
33 RELX CAPITAL INC 74949LAD4 Feb 2026 2,424,000 $2.3M 0.16% DBT
34 SERVICENOW INC 81762PAE2 Feb 2026 2,606,000 $2.3M 0.16% DBT
35 BEST BUY CO INC 08652BAB5 Feb 2026 2,518,000 $2.3M 0.16% DBT
36 CNH INDUSTRIAL NV 12594KAB8 Feb 2026 2,228,000 $2.2M 0.16% DBT
37 JOHNSON CONTROLS/TYCO FI 47837RAA8 Feb 2026 2,455,000 $2.2M 0.16% DBT
38 NVIDIA CORP 67066GAF1 Feb 2026 2,304,000 $2.2M 0.16% DBT
39 ECOLAB INC 278865BD1 Feb 2026 2,222,000 $2.2M 0.16% DBT
40 RELX CAPITAL INC 74949LAC6 Feb 2026 2,152,000 $2.1M 0.15% DBT
41 TRACTOR SUPPLY CO 892356AB2 Feb 2026 2,017,000 $2.1M 0.15% DBT
42 XYLEM INC 98419MAM2 Feb 2026 2,150,000 $2.1M 0.15% DBT
43 DIAGEO CAPITAL PLC 25243YBD0 Feb 2026 2,247,000 $2.1M 0.15% DBT
44 STERIS PLC 85917PAA5 Feb 2026 2,206,000 $2.0M 0.15% DBT
45 LKQ CORP 501889AF6 Feb 2026 1,930,000 $2.0M 0.15% DBT
46 DIGITAL REALTY TRUST LP 25389JAV8 Feb 2026 1,986,000 $2.0M 0.15% DBT
47 NSTAR ELECTRIC CO 67021CAM9 Feb 2026 2,015,000 $2.0M 0.14% DBT
48 DIAGEO INVESTMENT CORP 386088AH1 Feb 2026 1,635,000 $2.0M 0.14% DBT
49 PUBLIC SERVICE ENTERPRIS 744573AQ9 Feb 2026 2,162,000 $1.9M 0.14% DBT
50 NXP BV/NXP FUNDING LLC 62947QBC1 Feb 2026 1,870,000 $1.9M 0.14% DBT
51 NATIONAL GRID PLC 636274AE2 Feb 2026 1,802,000 $1.9M 0.14% DBT
52 WOODSIDE FINANCE LTD 980236AR4 Feb 2026 1,915,000 $1.9M 0.14% DBT
53 GOLDMAN SACHS GROUP INC 38145GAR1 Feb 2026 1,900,000 $1.9M 0.14% DBT
54 GOLDMAN SACHS GROUP INC 38145GAP5 Feb 2026 1,900,000 $1.9M 0.14% DBT
55 ANHEUSER-BUSCH CO/INBEV 03522AAJ9 Feb 2026 2,020,000 $1.9M 0.14% DBT
56 GOLDMAN SACHS GROUP INC 38145GAT7 Feb 2026 1,900,000 $1.9M 0.13% DBT
57 CUMMINS INC 231021AT3 Feb 2026 2,092,000 $1.9M 0.13% DBT
58 BANK OF NOVA SCOTIA 06418GAL1 Feb 2026 1,875,000 $1.9M 0.13% DBT
59 ASSURANT INC 04621XAM0 Feb 2026 1,924,000 $1.9M 0.13% DBT
60 LKQ CORP 501889AD1 Feb 2026 1,815,000 $1.9M 0.13% DBT
61 NOKIA OYJ 654902AE5 Feb 2026 1,835,000 $1.8M 0.13% DBT
62 BRITISH TELECOMMUNICATIO 111021AE1 Feb 2026 1,496,000 $1.8M 0.13% DBT
63 TELEDYNE TECHNOLOGIES IN 879360AE5 Feb 2026 1,946,000 $1.8M 0.13% DBT
64 CHENIERE ENERGY INC 16411RAN9 Feb 2026 1,725,000 $1.8M 0.13% DBT
65 DIAGEO CAPITAL PLC 25243YBB4 Feb 2026 1,911,000 $1.8M 0.13% DBT
66 ONE GAS INC 68235PAH1 Feb 2026 1,960,000 $1.8M 0.13% DBT
67 COCA-COLA CO/THE 191216DP2 Feb 2026 1,982,000 $1.8M 0.13% DBT
68 BANK OF NOVA SCOTIA 06418GAK3 Feb 2026 1,705,000 $1.8M 0.13% DBT
69 BANK OF AMERICA CORP 06051GGA1 Feb 2026 1,788,000 $1.8M 0.13% DBT
70 TRACTOR SUPPLY CO 892356AA4 Feb 2026 1,972,000 $1.8M 0.13% DBT
71 CHENIERE CORP CHRISTI HD 16412XAJ4 Feb 2026 1,784,000 $1.8M 0.13% DBT
72 ABB FINANCE USA INC 00037BAF9 Feb 2026 1,750,000 $1.8M 0.12% DBT
73 WW GRAINGER INC 384802AF1 Feb 2026 1,739,000 $1.7M 0.12% DBT
74 PENTAIR FINANCE SARL 709629AS8 Feb 2026 1,625,000 $1.7M 0.12% DBT
75 CNH INDUSTRIAL CAP LLC 12592BAV6 Feb 2026 1,715,000 $1.7M 0.12% DBT
76 BAKER HUGHES LLC/CO-OBL 05723KAE0 Feb 2026 1,718,000 $1.7M 0.12% DBT
77 NATIONAL GRID PLC 636274AF9 Feb 2026 1,614,000 $1.7M 0.12% DBT
78 BANK OF NOVA SCOTIA 06417XAP6 Feb 2026 1,622,000 $1.7M 0.12% DBT
79 XYLEM INC 98419MAL4 Feb 2026 1,816,000 $1.7M 0.12% DBT
80 NETAPP INC 64110DAK0 Feb 2026 1,760,000 $1.7M 0.12% DBT
81 CLOROX COMPANY 189054AX7 Feb 2026 1,787,000 $1.6M 0.12% DBT
82 GENERAL MILLS INC 370334CG7 Feb 2026 1,608,000 $1.6M 0.11% DBT
83 CVS HEALTH CORP 126650CZ1 Feb 2026 1,805,000 $1.6M 0.11% DBT
84 NVIDIA CORP 67066GAN4 Feb 2026 1,758,000 $1.6M 0.11% DBT
85 ANHEUSER-BUSCH CO/INBEV 03522AAH3 Feb 2026 1,552,000 $1.6M 0.11% DBT
86 KIMBERLY-CLARK CORP 494368BZ5 Feb 2026 1,579,000 $1.6M 0.11% DBT
87 NOVARTIS CAPITAL CORP 66989HBA5 Feb 2026 1,525,000 $1.5M 0.11% DBT
88 PUBLIC SERVICE ENTERPRIS 744573AU0 Feb 2026 1,687,000 $1.5M 0.11% DBT
89 NOVARTIS CAPITAL CORP 66989HAV0 Feb 2026 1,530,000 $1.5M 0.11% DBT
90 CNH INDUSTRIAL CAP LLC 12592BAS3 Feb 2026 1,475,000 $1.5M 0.11% DBT
91 HESS CORP 42809HAG2 Feb 2026 1,498,000 $1.5M 0.11% DBT
92 CROWN CASTLE INC 22822VAK7 Feb 2026 1,504,000 $1.5M 0.11% DBT
93 ZOETIS INC 98978VAS2 Feb 2026 1,611,000 $1.5M 0.11% DBT
94 ASSURANT INC 04621XAJ7 Feb 2026 1,426,000 $1.4M 0.10% DBT
95 CUMMINS INC 231021AW6 Feb 2026 1,379,000 $1.4M 0.10% DBT
96 FIRSTENERGY TRANSMISSION 33767BAH2 Feb 2026 1,420,000 $1.4M 0.10% DBT
97 EQUINIX INC 29444UBH8 Feb 2026 1,557,000 $1.4M 0.10% DBT
98 ZOETIS INC 98978VAX1 Feb 2026 1,395,000 $1.4M 0.10% DBT
99 NATIONAL GRID PLC 636274AD4 Feb 2026 1,375,000 $1.4M 0.10% DBT
100 MICROSOFT CORP 594918BC7 Feb 2026 1,489,000 $1.4M 0.10% DBT
101 CAMPBELLS COMPANY/THE 134429BG3 Feb 2026 1,380,000 $1.4M 0.10% DBT
102 CRH SMW FINANCE DAC 12704PAB4 Feb 2026 1,335,000 $1.4M 0.10% DBT
103 JPMORGAN CHASE & CO 46647PDH6 Feb 2026 1,345,000 $1.4M 0.10% DBT
104 TRANE TECH FIN LTD 456873AD0 Feb 2026 1,373,000 $1.4M 0.10% DBT
105 NATIONAL GRID USA 49337WAJ9 Feb 2026 1,280,000 $1.4M 0.10% DBT
106 ZOETIS INC 98978VAL7 Feb 2026 1,371,000 $1.4M 0.10% DBT
107 KELLANOVA 487836BX5 Feb 2026 1,450,000 $1.3M 0.10% DBT
108 FORTUNE BRANDS INNOVATIO 34964CAH9 Feb 2026 1,247,000 $1.3M 0.10% DBT
109 NSTAR ELECTRIC CO 67021CAP2 Feb 2026 1,338,000 $1.3M 0.09% DBT
110 SYNCHRONY BANK 87166FAE3 Feb 2026 1,305,000 $1.3M 0.09% DBT
111 JANUS HEND US HLDGS INC 47103MAB4 Feb 2026 1,305,000 $1.3M 0.09% DBT
112 TRANE TECH FIN LTD 892938AA9 Feb 2026 1,250,000 $1.3M 0.09% DBT
113 CARDINAL HEALTH INC 14149YBJ6 Feb 2026 1,309,000 $1.3M 0.09% DBT
114 3M COMPANY 88579YBC4 Feb 2026 1,305,000 $1.3M 0.09% DBT
115 INTUIT INC 46124HAG1 Feb 2026 1,250,000 $1.3M 0.09% DBT
116 WELLS FARGO & COMPANY 95000U2M4 Feb 2026 1,403,000 $1.3M 0.09% DBT
117 SYNOPSYS INC 871607AE7 Feb 2026 1,255,000 $1.3M 0.09% DBT
118 OSHKOSH CORP 688239AF9 Feb 2026 1,267,000 $1.3M 0.09% DBT
119 PROCTER & GAMBLE CO/THE 742718EV7 Feb 2026 1,291,000 $1.3M 0.09% DBT
120 GOLDMAN SACHS GROUP INC 38145GAS9 Feb 2026 1,270,000 $1.3M 0.09% DBT
121 ZOETIS INC 98978VAV5 Feb 2026 1,193,000 $1.3M 0.09% DBT
122 SUMITOMO MITSUI FINL GRP 86562MDP2 Feb 2026 1,205,000 $1.3M 0.09% DBT
123 WESTPAC BANKING CORP 961214DK6 Feb 2026 1,278,000 $1.3M 0.09% DBT
124 OSHKOSH CORP 688225AH4 Feb 2026 1,323,000 $1.3M 0.09% DBT
125 NORTHERN TRUST CORP 665859AU8 Feb 2026 1,286,000 $1.3M 0.09% DBT
126 HOME DEPOT INC 437076BY7 Feb 2026 1,296,000 $1.3M 0.09% DBT
127 PFIZER INVESTMENT ENTER 716973AH5 Feb 2026 1,338,000 $1.3M 0.09% DBT
128 AUTODESK INC 052769AH9 Feb 2026 1,400,000 $1.3M 0.09% DBT
129 RYDER SYSTEM INC 78355HKY4 Feb 2026 1,108,000 $1.2M 0.09% DBT
130 JACOBS ENGINEERING GROUP 469814AA5 Feb 2026 1,180,000 $1.2M 0.09% DBT
131 GOLDMAN SACHS GROUP INC 38141GFD1 Feb 2026 1,108,000 $1.2M 0.09% DBT
132 CENTENE CORP 15135BAT8 Feb 2026 1,268,000 $1.2M 0.09% DBT
133 GENERAL MILLS INC 370334BZ6 Feb 2026 1,242,000 $1.2M 0.09% DBT
134 GENERAL MILLS INC 370334CL6 Feb 2026 1,290,000 $1.2M 0.09% DBT
135 BANK OF NOVA SCOTIA 06418GAH0 Feb 2026 1,202,000 $1.2M 0.09% DBT
136 NEXTERA ENERGY CAPITAL 65339KBJ8 Feb 2026 1,243,000 $1.2M 0.09% DBT
137 IBM CORP 459200KA8 Feb 2026 1,238,000 $1.2M 0.09% DBT
138 ENEL CHILE SA 29278DAA3 Feb 2026 1,200,000 $1.2M 0.09% DBT
139 GOLDMAN SACHS GROUP INC 38141GCU6 Feb 2026 1,107,000 $1.2M 0.09% DBT
140 EQUINIX EU 2 FINANCING C 29390XAA2 Feb 2026 1,160,000 $1.2M 0.09% DBT
141 HSBC HOLDINGS PLC 404280DR7 Feb 2026 1,146,000 $1.2M 0.09% DBT
142 KELLANOVA 487836BU1 Feb 2026 1,212,000 $1.2M 0.09% DBT
143 BANK OF AMERICA CORP 06051GKY4 Feb 2026 1,172,000 $1.2M 0.09% DBT
144 PEPSICO INC 713448EL8 Feb 2026 1,243,000 $1.2M 0.09% DBT
145 MORGAN STANLEY 6174468G7 Feb 2026 1,182,000 $1.2M 0.08% DBT
146 GILEAD SCIENCES INC 375558BM4 Feb 2026 1,197,000 $1.2M 0.08% DBT
147 CLOROX COMPANY 189054AV1 Feb 2026 1,191,000 $1.2M 0.08% DBT
148 FORTUNE BRANDS INNOVATIO 34964CAF3 Feb 2026 1,212,000 $1.2M 0.08% DBT
149 CIGNA GROUP/THE 125523AH3 Feb 2026 1,165,000 $1.2M 0.08% DBT
150 ACUITY BRANDS LIGHTING 00510RAD5 Feb 2026 1,291,000 $1.2M 0.08% DBT
151 VERALTO CORP 92338CAF0 Feb 2026 1,110,000 $1.2M 0.08% DBT
152 RYDER SYSTEM INC 78355HKW8 Feb 2026 1,138,000 $1.2M 0.08% DBT
153 BANK OF AMERICA CORP 06051GLH0 Feb 2026 1,123,000 $1.2M 0.08% DBT
154 CADENCE DESIGN SYS INC 127387AP3 Feb 2026 1,155,000 $1.2M 0.08% DBT
155 ANALOG DEVICES INC 032654BB0 Feb 2026 1,110,000 $1.2M 0.08% DBT
156 ECOLAB INC 278865BE9 Feb 2026 1,125,000 $1.2M 0.08% DBT
157 KELLANOVA 487836BW7 Feb 2026 1,144,000 $1.2M 0.08% DBT
158 HASBRO INC 418056AZ0 Feb 2026 1,155,000 $1.1M 0.08% DBT
159 ORANGE SA 35177PAL1 Feb 2026 947,000 $1.1M 0.08% DBT
160 HSBC HOLDINGS PLC 404280CC1 Feb 2026 1,146,000 $1.1M 0.08% DBT
161 HSBC HOLDINGS PLC 404280CT4 Feb 2026 1,232,000 $1.1M 0.08% DBT
162 ING GROEP NV 456837BM4 Feb 2026 1,084,000 $1.1M 0.08% DBT
163 SANTANDER HOLDINGS USA 80282KAP1 Feb 2026 1,132,000 $1.1M 0.08% DBT
164 NISOURCE INC 65473PAQ8 Feb 2026 1,085,000 $1.1M 0.08% DBT
165 LENNOX INTERNATIONAL INC 526107AF4 Feb 2026 1,167,000 $1.1M 0.08% DBT
166 BANK OF AMERICA CORP 06051GJA8 Feb 2026 1,395,000 $1.1M 0.08% DBT
167 AMGEN INC 031162DR8 Feb 2026 1,080,000 $1.1M 0.08% DBT
168 GILEAD SCIENCES INC 375558BY8 Feb 2026 1,250,000 $1.1M 0.08% DBT
169 PROGRESSIVE CORP 743315AJ2 Feb 2026 1,040,000 $1.1M 0.08% DBT
170 CNH INDUSTRIAL CAP LLC 12592BAR5 Feb 2026 1,076,000 $1.1M 0.08% DBT
171 UBS AG LONDON 902674ZW3 Feb 2026 1,070,000 $1.1M 0.08% DBT
172 OVINTIV INC 012873AK1 Feb 2026 987,000 $1.1M 0.08% DBT
173 CLOROX COMPANY 189054AW9 Feb 2026 1,107,000 $1.1M 0.08% DBT
174 CONNECTICUT LIGHT & PWR 207597EJ0 Feb 2026 1,109,000 $1.1M 0.08% DBT
175 ABBVIE INC 00287YCB3 Feb 2026 1,310,000 $1.1M 0.08% DBT
176 NORTH HAVEN PRIVATE INC 65960NAB6 Feb 2026 1,115,000 $1.1M 0.08% DBT
177 CADENCE DESIGN SYS INC 127387AN8 Feb 2026 1,085,000 $1.1M 0.08% DBT
178 AUTODESK INC 052769AE6 Feb 2026 1,103,000 $1.1M 0.08% DBT
179 META PLATFORMS INC 30303MAE2 Feb 2026 1,120,000 $1.1M 0.08% DBT
180 COMMONWEALTH EDISON CO 202795JR2 Feb 2026 1,162,000 $1.1M 0.08% DBT
181 ONEOK INC 682680CE1 Feb 2026 1,080,000 $1.1M 0.08% DBT
182 INTEL CORP 458140AX8 Feb 2026 1,094,000 $1.1M 0.08% DBT
183 AEGON LTD 007924AJ2 Feb 2026 1,068,000 $1.1M 0.08% DBT
184 3M COMPANY 88579YBR1 Feb 2026 1,035,000 $1.1M 0.08% DBT
185 HARTFORD INSUR GRP INC/T 416515AS3 Feb 2026 986,000 $1.1M 0.08% DBT
186 MITSUBISHI UFJ FIN GRP 606822BC7 Feb 2026 1,055,000 $1.1M 0.08% DBT
187 WELLS FARGO & COMPANY 95000U2Z5 Feb 2026 1,228,000 $1.1M 0.08% DBT
188 COCA-COLA CO/THE 191216DE7 Feb 2026 1,192,000 $1.1M 0.08% DBT
189 JPMORGAN CHASE & CO 46625HHF0 Feb 2026 923,000 $1.1M 0.07% DBT
190 ONE GAS INC 68235PAN8 Feb 2026 1,015,000 $1.0M 0.07% DBT
191 CROWN CASTLE INC 22822VAL5 Feb 2026 1,044,000 $1.0M 0.07% DBT
192 CANADIAN IMPERIAL BANK 13607PHS6 Feb 2026 1,030,000 $1.0M 0.07% DBT
193 FERGUSON ENTERPRISES INC 31488VAA5 Feb 2026 1,030,000 $1.0M 0.07% DBT
194 CNH INDUSTRIAL CAP LLC 12592BAQ7 Feb 2026 1,030,000 $1.0M 0.07% DBT
195 META PLATFORMS INC 30303M8Y1 Feb 2026 1,065,000 $1.0M 0.07% DBT
196 HSBC HOLDINGS PLC 404280BT5 Feb 2026 1,026,000 $1.0M 0.07% DBT
197 INGREDION INC 457187AC6 Feb 2026 1,084,000 $1.0M 0.07% DBT
198 AMGEN INC 031162CU2 Feb 2026 1,095,000 $1.0M 0.07% DBT
199 CUMMINS INC 231021AV8 Feb 2026 1,001,000 $1.0M 0.07% DBT
200 PENTAIR FINANCE SARL 709629AR0 Feb 2026 1,021,000 $1.0M 0.07% DBT
201 BANK OF NY MELLON CORP 06406RAF4 Feb 2026 1,036,000 $1.0M 0.07% DBT
202 JOHNSON CONTROLS/TYCO FI 47837RAD2 Feb 2026 1,156,000 $1.0M 0.07% DBT
203 GILEAD SCIENCES INC 375558BX0 Feb 2026 1,071,000 $1.0M 0.07% DBT
204 CVS HEALTH CORP 126650CY4 Feb 2026 1,075,000 $1.0M 0.07% DBT
205 SUMITOMO MITSUI FINL GRP 86562MBP4 Feb 2026 1,057,000 $1.0M 0.07% DBT
206 EXELON CORP 30161NAX9 Feb 2026 1,023,000 $1.0M 0.07% DBT
207 BANK OF MONTREAL 06368BGS1 Feb 2026 1,029,000 $1.0M 0.07% DBT
208 BANK OF AMERICA CORP 06051GHD4 Feb 2026 1,030,000 $1.0M 0.07% DBT
209 NATWEST GROUP PLC 78009PEH0 Feb 2026 990,000 $1.0M 0.07% DBT
210 CANADIAN IMPERIAL BANK 13607QFE7 Feb 2026 1,000,000 $1.0M 0.07% DBT
211 HP ENTERPRISE CO 42824CBT5 Feb 2026 1,000,000 $1.0M 0.07% DBT
212 WELLS FARGO & COMPANY 949746NL1 Feb 2026 955,000 $1.0M 0.07% DBT
213 NXP BV/NXP FDG/NXP USA 62954HAV0 Feb 2026 1,003,000 $1.0M 0.07% DBT
214 TEXAS INSTRUMENTS INC 882508BG8 Feb 2026 1,058,000 $1.0M 0.07% DBT
215 MORGAN STANLEY 61744YAP3 Feb 2026 1,010,000 $1.0M 0.07% DBT
216 APPLIED MATERIALS INC 038222AK1 Feb 2026 966,000 $1.0M 0.07% DBT
217 ELEVANCE HEALTH INC 036752AB9 Feb 2026 1,007,000 $1.0M 0.07% DBT
218 CHENIERE CORP CHRISTI HD 16412XAL9 Feb 2026 1,151,000 $1.0M 0.07% DBT
219 DIAGEO CAPITAL PLC 25243YBE8 Feb 2026 1,135,000 $1000K 0.07% DBT
220 INTEL CORP 458140BT6 Feb 2026 1,054,000 $996K 0.07% DBT
221 APPLIED MATERIALS INC 038222AL9 Feb 2026 1,000,000 $996K 0.07% DBT
222 ONEOK INC 682680AU7 Feb 2026 982,000 $993K 0.07% DBT
223 KIMBERLY-CLARK CORP 494368BC6 Feb 2026 849,000 $988K 0.07% DBT
224 LAM RESEARCH CORP 512807AV0 Feb 2026 1,075,000 $987K 0.07% DBT
225 AERCAP IRELAND CAP/GLOBA 00774MAX3 Feb 2026 1,056,000 $986K 0.07% DBT
226 PROGRESSIVE CORP 743315AW3 Feb 2026 1,015,000 $985K 0.07% DBT
227 BAKER HUGHES LLC/CO-OBL 05723KAG5 Feb 2026 1,010,000 $984K 0.07% DBT
228 APPLE INC 037833BX7 Feb 2026 1,055,000 $983K 0.07% DBT
229 BANK OF NOVA SCOTIA 0641594B9 Feb 2026 1,088,000 $982K 0.07% DBT
230 MORGAN STANLEY 6174468P7 Feb 2026 1,002,000 $980K 0.07% DBT
231 LAM RESEARCH CORP 512807AU2 Feb 2026 972,000 $976K 0.07% DBT
232 STEWART INFORMATION SERV 86038AAA0 Feb 2026 1,078,000 $975K 0.07% DBT
233 ING GROEP NV 456837BL6 Feb 2026 940,000 $973K 0.07% DBT
234 ANHEUSER-BUSCH INBEV WOR 035240AQ3 Feb 2026 950,000 $973K 0.07% DBT
235 PUBLIC SERVICE ENTERPRIS 744573AZ9 Feb 2026 926,000 $968K 0.07% DBT
236 ANHEUSER-BUSCH INBEV FIN 035242AM8 Feb 2026 960,000 $963K 0.07% DBT
237 AT&T INC 00206RLJ9 Feb 2026 1,420,000 $960K 0.07% DBT
238 HA SUSTAINABLE INF CAP 40408AAA9 Feb 2026 925,000 $960K 0.07% DBT
239 ING GROEP NV 456837AH6 Feb 2026 957,000 $958K 0.07% DBT
240 MORGAN STANLEY 61747YEF8 Feb 2026 1,081,000 $957K 0.07% DBT
241 AT&T INC 00206RKJ0 Feb 2026 1,405,000 $956K 0.07% DBT
242 BANK OF NY MELLON CORP 06406RAH0 Feb 2026 948,000 $952K 0.07% DBT
243 SYNOPSYS INC 871607AD9 Feb 2026 915,000 $943K 0.07% DBT
244 AUTODESK INC 052769AG1 Feb 2026 990,000 $943K 0.07% DBT
245 NISOURCE INC 65473PAU9 Feb 2026 930,000 $938K 0.07% DBT
246 GILEAD SCIENCES INC 375558BZ5 Feb 2026 885,000 $934K 0.07% DBT
247 QUEST DIAGNOSTICS INC 74834LBC3 Feb 2026 998,000 $930K 0.07% DBT
248 PNC FINANCIAL SERVICES 693475BJ3 Feb 2026 855,000 $928K 0.07% DBT
249 GOLDMAN SACHS GROUP INC 38141GGM0 Feb 2026 845,000 $924K 0.07% DBT
250 CLOROX COMPANY 189054AZ2 Feb 2026 910,000 $923K 0.07% DBT
251 MORGAN STANLEY 617482V92 Feb 2026 826,000 $922K 0.07% DBT
252 UNILEVER CAPITAL CORP 904764BQ9 Feb 2026 1,035,000 $922K 0.07% DBT
253 MORGAN STANLEY 617446HD4 Feb 2026 794,000 $919K 0.07% DBT
254 MORGAN STANLEY 61744YAK4 Feb 2026 923,000 $918K 0.07% DBT
255 JPMORGAN CHASE & CO 46625HNJ5 Feb 2026 911,000 $917K 0.07% DBT
256 KELLANOVA 487836BZ0 Feb 2026 870,000 $914K 0.07% DBT
257 3M COMPANY 88579YBN0 Feb 2026 948,000 $913K 0.07% DBT
258 SYNCHRONY FINANCIAL 87165BAM5 Feb 2026 907,000 $903K 0.06% DBT
259 HOME DEPOT INC 437076AS1 Feb 2026 826,000 $902K 0.06% DBT
260 WEYERHAEUSER CO 962166BR4 Feb 2026 785,000 $900K 0.06% DBT
261 RTX CORP 75513EAD3 Feb 2026 962,000 $896K 0.06% DBT
262 ORACLE CORP 68389XDR3 Feb 2026 1,015,000 $893K 0.06% DBT
263 UNITEDHEALTH GROUP INC 91324PER9 Feb 2026 850,000 $892K 0.06% DBT
264 CITIGROUP INC 172967EW7 Feb 2026 693,000 $892K 0.06% DBT
265 ASTRAZENECA PLC 046353AD0 Feb 2026 778,000 $891K 0.06% DBT
266 PFIZER INVESTMENT ENTER 716973AG7 Feb 2026 927,000 $888K 0.06% DBT
267 ENERGY TRANSFER LP 292480AJ9 Feb 2026 990,000 $886K 0.06% DBT
268 WELLS FARGO & COMPANY 95000U3B7 Feb 2026 865,000 $882K 0.06% DBT
269 BANK OF NY MELLON CORP 06406RAB3 Feb 2026 885,000 $881K 0.06% DBT
270 TEXAS INSTRUMENTS INC 882508BV5 Feb 2026 864,000 $879K 0.06% DBT
271 T-MOBILE USA INC 87264ABW4 Feb 2026 910,000 $879K 0.06% DBT
272 BANK OF AMERICA CORP 59022CAJ2 Feb 2026 812,000 $877K 0.06% DBT
273 ELEVANCE HEALTH INC 036752AL7 Feb 2026 913,000 $877K 0.06% DBT
274 BUNGE LTD FINANCE CORP 120568BD1 Feb 2026 873,000 $877K 0.06% DBT
275 SUMITOMO MITSUI FINL GRP 86562MCB4 Feb 2026 950,000 $874K 0.06% DBT
276 BANK OF AMERICA CORP 06051GKQ1 Feb 2026 870,000 $874K 0.06% DBT
277 WOODSIDE FINANCE LTD 980236AT0 Feb 2026 840,000 $871K 0.06% DBT
278 ALLEGION PLC 01748TAB7 Feb 2026 890,000 $871K 0.06% DBT
279 ONEOK INC 682680CQ4 Feb 2026 840,000 $870K 0.06% DBT
280 TRANE TECH FIN LTD 892938AB7 Feb 2026 835,000 $870K 0.06% DBT
281 JPMORGAN CHASE & CO 46647PDC7 Feb 2026 860,000 $868K 0.06% DBT
282 INTUIT INC 46124HAD8 Feb 2026 960,000 $867K 0.06% DBT
283 CRH AMERICA FINANCE INC 12636YAJ1 Feb 2026 855,000 $865K 0.06% DBT
284 RTX CORP 913017CY3 Feb 2026 860,000 $865K 0.06% DBT
285 GOLDMAN SACHS GROUP INC 38141GWZ3 Feb 2026 862,000 $864K 0.06% DBT
286 SUMITOMO MITSUI FINL GRP 86562MDN7 Feb 2026 820,000 $864K 0.06% DBT
287 DEUTSCHE BANK NY 251526CD9 Feb 2026 898,000 $862K 0.06% DBT
288 QUEST DIAGNOSTICS INC 74834LBB5 Feb 2026 903,000 $861K 0.06% DBT
289 ANHEUSER-BUSCH INBEV WOR 03523TBV9 Feb 2026 854,000 $859K 0.06% DBT
290 GILEAD SCIENCES INC 375558CC5 Feb 2026 830,000 $859K 0.06% DBT
291 PFIZER INVESTMENT ENTER 716973AE2 Feb 2026 841,000 $858K 0.06% DBT
292 ING GROEP NV 456837BS1 Feb 2026 820,000 $858K 0.06% DBT
293 TEXAS INSTRUMENTS INC 882508BJ2 Feb 2026 934,000 $858K 0.06% DBT
294 ABBVIE INC 00287YDX4 Feb 2026 870,000 $856K 0.06% DBT
295 VERIZON COMMUNICATIONS 92343VDU5 Feb 2026 841,000 $856K 0.06% DBT
296 KINDER MORGAN ENER PART 494550AT3 Feb 2026 798,000 $853K 0.06% DBT
297 RTX CORP 913017BT5 Feb 2026 924,000 $849K 0.06% DBT
298 ENBRIDGE INC 29250NBF1 Feb 2026 970,000 $846K 0.06% DBT
299 VERIZON COMMUNICATIONS 92343VCV4 Feb 2026 888,000 $843K 0.06% DBT
300 JOHNSON CONTROLS INTL PL 478375AH1 Feb 2026 770,000 $841K 0.06% DBT
301 HOME DEPOT INC 437076BW1 Feb 2026 833,000 $837K 0.06% DBT
302 MORGAN STANLEY 61746BEG7 Feb 2026 963,000 $836K 0.06% DBT
303 EQUINIX EU 2 FINANCING C 29390XAG9 Feb 2026 825,000 $834K 0.06% DBT
304 APPLE INC 037833EA4 Feb 2026 1,480,000 $832K 0.06% DBT
305 ABBVIE INC 00287YAR0 Feb 2026 838,000 $830K 0.06% DBT
306 BUNGE LTD FINANCE CORP 120568BC3 Feb 2026 888,000 $826K 0.06% DBT
307 JPMORGAN CHASE & CO 06423AAJ2 Feb 2026 699,000 $826K 0.06% DBT
308 UNITED PARCEL SERVICE 911312AJ5 Feb 2026 734,000 $825K 0.06% DBT
309 CANADIAN IMPERIAL BANK 13607PH98 Feb 2026 810,000 $824K 0.06% DBT
310 JPMORGAN CHASE & CO 46647PEX0 Feb 2026 780,000 $823K 0.06% DBT
311 NORTHROP GRUMMAN CORP 666807CL4 Feb 2026 802,000 $823K 0.06% DBT
312 BARCLAYS PLC 06738EBK0 Feb 2026 807,000 $823K 0.06% DBT
313 AT&T INC 00206RLV2 Feb 2026 1,221,000 $821K 0.06% DBT
314 CARDINAL HEALTH INC 14149YBP2 Feb 2026 780,000 $820K 0.06% DBT
315 AT&T INC 00206RMN9 Feb 2026 1,169,000 $820K 0.06% DBT
316 ASTRAZENECA PLC 046353AN8 Feb 2026 825,000 $820K 0.06% DBT
317 FACTSET RESEARCH SYSTEMS 303075AB1 Feb 2026 895,000 $820K 0.06% DBT
318 VERALTO CORP 92338CAD5 Feb 2026 793,000 $819K 0.06% DBT
319 TELUS CORP 87971MBF9 Feb 2026 821,000 $816K 0.06% DBT
320 HSBC HOLDINGS PLC 404280CF4 Feb 2026 791,000 $815K 0.06% DBT
321 ADOBE INC 00724PAC3 Feb 2026 827,000 $815K 0.06% DBT
322 KEYSIGHT TECHNOLOGIES 49338LAE3 Feb 2026 808,000 $812K 0.06% DBT
323 CAPITAL ONE FINANCIAL CO 254709AT5 Feb 2026 690,000 $812K 0.06% DBT
324 HCA INC 404119CQ0 Feb 2026 774,000 $811K 0.06% DBT
325 AMERICAN TOWER CORP 03027XCP3 Feb 2026 780,000 $809K 0.06% DBT
326 INTEL CORP 458140CG3 Feb 2026 785,000 $809K 0.06% DBT
327 VMWARE LLC 928563AF2 Feb 2026 791,000 $808K 0.06% DBT
328 BUNGE LTD FINANCE CORP 120568BF6 Feb 2026 812,000 $808K 0.06% DBT
329 CVS HEALTH CORP 126650CN8 Feb 2026 883,000 $807K 0.06% DBT
330 GOLDMAN SACHS GROUP INC 38141GB37 Feb 2026 780,000 $803K 0.06% DBT
331 GOLDMAN SACHS GROUP INC 38141GD43 Feb 2026 805,000 $801K 0.06% DBT
332 NOVARTIS CAPITAL CORP 66989HAT5 Feb 2026 800,000 $801K 0.06% DBT
333 CISCO SYSTEMS INC 17275RAD4 Feb 2026 732,000 $800K 0.06% DBT
334 AMGEN INC 031162CF5 Feb 2026 915,000 $800K 0.06% DBT
335 AMGEN INC 031162CQ1 Feb 2026 807,000 $799K 0.06% DBT
336 BANK OF NOVA SCOTIA 06418GAP2 Feb 2026 785,000 $799K 0.06% DBT
337 GENERAL MILLS INC 370334CQ5 Feb 2026 888,000 $796K 0.06% DBT
338 BROADRIDGE FINANCIAL SOL 11133TAE3 Feb 2026 877,000 $795K 0.06% DBT
339 WORKDAY INC 98138HAH4 Feb 2026 808,000 $795K 0.06% DBT
340 HUNTINGTON BANCSHARES 446150AS3 Feb 2026 843,000 $794K 0.06% DBT
341 CITIGROUP INC 172967NN7 Feb 2026 823,000 $790K 0.06% DBT
342 LEAR CORP 521865BA2 Feb 2026 789,000 $789K 0.06% DBT
343 ABBVIE INC 00287YAS8 Feb 2026 858,000 $786K 0.06% DBT
344 BANK OF AMERICA CORP 06051GGL7 Feb 2026 787,000 $784K 0.06% DBT
345 WORKDAY INC 98138HAJ0 Feb 2026 825,000 $783K 0.06% DBT
346 RYDER SYSTEM INC 78355HLE7 Feb 2026 760,000 $783K 0.06% DBT
347 AMERICAN EXPRESS CREDIT 0258M0EL9 Feb 2026 785,000 $781K 0.06% DBT
348 BANK OF AMERICA CORP 06051GLC1 Feb 2026 753,000 $780K 0.06% DBT
349 UNITEDHEALTH GROUP INC 91324PFJ6 Feb 2026 755,000 $780K 0.06% DBT
350 HP ENTERPRISE CO 42824CBP3 Feb 2026 759,000 $779K 0.06% DBT
351 WESTERN MIDSTREAM OPERAT 958667AE7 Feb 2026 727,000 $777K 0.06% DBT
352 CITIGROUP INC 172967KA8 Feb 2026 771,000 $776K 0.06% DBT
353 GOLDMAN SACHS GROUP INC 38141GD27 Feb 2026 775,000 $775K 0.06% DBT
354 GOLDMAN SACHS GROUP INC 38141GD35 Feb 2026 775,000 $775K 0.06% DBT
355 HCA INC 404119BX6 Feb 2026 769,000 $770K 0.05% DBT
356 HEXCEL CORP 428291AN8 Feb 2026 770,000 $769K 0.05% DBT
357 TEXAS INSTRUMENTS INC 882508CH5 Feb 2026 745,000 $769K 0.05% DBT
358 3M COMPANY 88579EAC9 Feb 2026 720,000 $769K 0.05% DBT
359 EQUINIX INC 29444UBE5 Feb 2026 795,000 $768K 0.05% DBT
360 SUMITOMO MITSUI FINL GRP 86562MBW9 Feb 2026 805,000 $767K 0.05% DBT
361 BRISTOL-MYERS SQUIBB CO 110122EK0 Feb 2026 772,000 $766K 0.05% DBT
362 STATE STREET CORP 857477DE0 Feb 2026 765,000 $764K 0.05% DBT
363 FLEX LTD 33938XAB1 Feb 2026 748,000 $762K 0.05% DBT
364 BARCLAYS PLC 06738EBV6 Feb 2026 830,000 $760K 0.05% DBT
365 CBRE SERVICES INC 12505BAE0 Feb 2026 831,000 $759K 0.05% DBT
366 HESS CORP 023551AJ3 Feb 2026 657,000 $759K 0.05% DBT
367 JPMORGAN CHASE & CO 46647PBD7 Feb 2026 766,000 $758K 0.05% DBT
368 BARCLAYS PLC 06738EBY0 Feb 2026 743,000 $757K 0.05% DBT
369 KIMBERLY-CLARK CORP 494368CE1 Feb 2026 740,000 $756K 0.05% DBT
370 AEP TEXAS INC 00108WAR1 Feb 2026 727,000 $756K 0.05% DBT
371 UBS AMERICAS INC 22541LAE3 Feb 2026 655,000 $755K 0.05% DBT
372 AGILENT TECHNOLOGIES INC 00846UAL5 Feb 2026 787,000 $755K 0.05% DBT
373 BROADCOM INC 11135FBP5 Feb 2026 861,000 $752K 0.05% DBT
374 ING GROEP NV 456837AW3 Feb 2026 808,000 $750K 0.05% DBT
375 VERIZON COMMUNICATIONS 92343VEA8 Feb 2026 752,000 $750K 0.05% DBT
376 BANK OF AMERICA CORP 06051GEN5 Feb 2026 691,000 $743K 0.05% DBT
377 GENERAL ELECTRIC CO 36962GXZ2 Feb 2026 650,000 $743K 0.05% DBT
378 MORGAN STANLEY 61747YFR1 Feb 2026 695,000 $742K 0.05% DBT
379 MERCEDES-BENZ FIN NA 233835AQ0 Feb 2026 623,000 $740K 0.05% DBT
380 CIGNA GROUP/THE 125523AK6 Feb 2026 823,000 $739K 0.05% DBT
381 HONEYWELL INTERNATIONAL 438516BU9 Feb 2026 767,000 $739K 0.05% DBT
382 BRISTOL-MYERS SQUIBB CO 110122CR7 Feb 2026 888,000 $738K 0.05% DBT
383 BANK OF NOVA SCOTIA 06418BAE8 Feb 2026 744,000 $738K 0.05% DBT
384 ITC HOLDINGS CORP 465685AH8 Feb 2026 763,000 $737K 0.05% DBT
385 XL GROUP LTD 98420EAB1 Feb 2026 765,000 $736K 0.05% DBT
386 MCKESSON CORP 581557BU8 Feb 2026 704,000 $735K 0.05% DBT
387 CITIGROUP INC 172967AR2 Feb 2026 699,000 $734K 0.05% DBT
388 REVVITY INC 714046AN9 Feb 2026 825,000 $734K 0.05% DBT
389 META PLATFORMS INC 30303M8W5 Feb 2026 775,000 $730K 0.05% DBT
390 AMGEN INC 031162DT4 Feb 2026 730,000 $729K 0.05% DBT
391 JPMORGAN CHASE & CO 46647PCE4 Feb 2026 1,019,000 $728K 0.05% DBT
392 VODAFONE GROUP PLC 92857TAH0 Feb 2026 636,000 $725K 0.05% DBT
393 CITIGROUP INC 172967MP3 Feb 2026 721,000 $725K 0.05% DBT
394 LENNOX INTERNATIONAL INC 526107AG2 Feb 2026 700,000 $724K 0.05% DBT
395 TELEFONICA EMISIONES SAU 87938WAC7 Feb 2026 639,000 $723K 0.05% DBT
396 NORTHROP GRUMMAN CORP 666807CM2 Feb 2026 757,000 $722K 0.05% DBT
397 DEUTSCHE BANK NY 251526CS6 Feb 2026 690,000 $721K 0.05% DBT
398 MARSH & MCLENNAN COS INC 571748BG6 Feb 2026 713,000 $720K 0.05% DBT
399 T-MOBILE USA INC 87264AAZ8 Feb 2026 858,000 $720K 0.05% DBT
400 HESS CORP 023551AF1 Feb 2026 632,000 $716K 0.05% DBT
401 CITIGROUP INC 17327CAR4 Feb 2026 670,000 $715K 0.05% DBT
402 INTUIT INC 46124HAF3 Feb 2026 695,000 $715K 0.05% DBT
403 KINDER MORGAN INC 49456BAX9 Feb 2026 685,000 $715K 0.05% DBT
404 AUTONATION INC 05329WAT9 Feb 2026 685,000 $715K 0.05% DBT
405 JOHN DEERE CAPITAL CORP 24422EXU8 Feb 2026 684,000 $713K 0.05% DBT
406 AT&T INC 00206RCP5 Feb 2026 728,000 $710K 0.05% DBT
407 NOMURA HOLDINGS INC 65535HAQ2 Feb 2026 740,000 $710K 0.05% DBT
408 NASDAQ INC 63111XAJ0 Feb 2026 673,000 $709K 0.05% DBT
409 BARCLAYS PLC 06738ECZ6 Feb 2026 675,000 $707K 0.05% DBT
410 ONE GAS INC 68235PAM0 Feb 2026 705,000 $706K 0.05% DBT
411 SUMITOMO MITSUI FINL GRP 86562MBG4 Feb 2026 698,000 $705K 0.05% DBT
412 KINDER MORGAN ENER PART 494550AW6 Feb 2026 611,000 $705K 0.05% DBT
413 BANK OF AMERICA CORP 06051GGM5 Feb 2026 752,000 $704K 0.05% DBT
414 NOMURA HOLDINGS INC 65535HAY5 Feb 2026 735,000 $703K 0.05% DBT
415 MORGAN STANLEY 61761JZN2 Feb 2026 703,000 $703K 0.05% DBT
416 TRUIST FINANCIAL CORP 89788NAA8 Feb 2026 696,000 $702K 0.05% DBT
417 IQVIA INC 46266TAC2 Feb 2026 682,000 $702K 0.05% DBT
418 MORGAN STANLEY 61747YED3 Feb 2026 782,000 $701K 0.05% DBT
419 BANCO SANTANDER SA 05964HAV7 Feb 2026 631,000 $701K 0.05% DBT
420 ANHEUSER-BUSCH INBEV WOR 035240AV2 Feb 2026 711,000 $701K 0.05% DBT
421 GLAXOSMITHKLINE CAP INC 377372AE7 Feb 2026 614,000 $700K 0.05% DBT
422 CISCO SYSTEMS INC 17275RAF9 Feb 2026 664,000 $697K 0.05% DBT
423 VERIZON COMMUNICATIONS 92343VCQ5 Feb 2026 711,000 $696K 0.05% DBT
424 CAPITAL ONE FINANCIAL CO 254709AM0 Feb 2026 694,000 $695K 0.05% DBT
425 MORGAN STANLEY 61747YFE0 Feb 2026 670,000 $693K 0.05% DBT
426 NXP BV/NXP FDG/NXP USA 62954HBA5 Feb 2026 757,000 $693K 0.05% DBT
427 ECOLAB INC 278865BF6 Feb 2026 787,000 $693K 0.05% DBT
428 ELEVANCE HEALTH INC 036752AG8 Feb 2026 691,000 $693K 0.05% DBT
429 BANK OF AMERICA CORP 06051GJT7 Feb 2026 747,000 $692K 0.05% DBT
430 NATWEST GROUP PLC 780097BG5 Feb 2026 679,000 $691K 0.05% DBT
431 AVISTA CORP 05379BAR8 Feb 2026 888,000 $691K 0.05% DBT
432 CHARTER COMM OPT LLC/CAP 161175BA1 Feb 2026 725,000 $690K 0.05% DBT
433 AERCAP IRELAND CAP/GLOBA 00774MAW5 Feb 2026 709,000 $689K 0.05% DBT
434 JPMORGAN CHASE & CO 46647PCU8 Feb 2026 743,000 $689K 0.05% DBT
435 ALLEGION US HOLDING CO 01748TAC5 Feb 2026 657,000 $686K 0.05% DBT
436 CARDINAL HEALTH INC 14149YBS6 Feb 2026 660,000 $686K 0.05% DBT
437 BANK OF AMERICA CORP 06051GGC7 Feb 2026 685,000 $686K 0.05% DBT
438 KINDER MORGAN INC 28368EAE6 Feb 2026 583,000 $685K 0.05% DBT
439 HSBC HOLDINGS PLC 404280DX4 Feb 2026 631,000 $685K 0.05% DBT
440 WELLS FARGO & COMPANY 94974BGL8 Feb 2026 679,000 $681K 0.05% DBT
441 BROADCOM INC 11135FBV2 Feb 2026 680,000 $680K 0.05% DBT
442 HONEYWELL INTERNATIONAL 438516CS3 Feb 2026 660,000 $680K 0.05% DBT
443 PNC FINANCIAL SERVICES 693475BZ7 Feb 2026 650,000 $677K 0.05% DBT
444 ONEOK INC 682680CU5 Feb 2026 648,000 $677K 0.05% DBT
445 TRITON CONTAINER/TAL INT 89681LAA0 Feb 2026 730,000 $676K 0.05% DBT
446 WESTPAC BANKING CORP 961214FW8 Feb 2026 645,000 $675K 0.05% DBT
447 UNILEVER CAPITAL CORP 904764AH0 Feb 2026 611,000 $675K 0.05% DBT
448 FEDERAL REALTY OP LP 313747BC0 Feb 2026 655,000 $673K 0.05% DBT
449 KEURIG DR PEPPER INC 49271VAF7 Feb 2026 665,000 $672K 0.05% DBT
450 OVINTIV INC 698900AG2 Feb 2026 599,000 $671K 0.05% DBT
451 BARCLAYS PLC 06738ECD5 Feb 2026 636,000 $669K 0.05% DBT
452 TAPESTRY INC 876030AL1 Feb 2026 645,000 $669K 0.05% DBT
453 CANADIAN IMPERIAL BANK 13607LWW9 Feb 2026 610,000 $669K 0.05% DBT
454 ING GROEP NV 456837BH5 Feb 2026 614,000 $668K 0.05% DBT
455 CARRIER GLOBAL CORP 14448CBC7 Feb 2026 618,000 $668K 0.05% DBT
456 WELLS FARGO & COMPANY 95000U3A9 Feb 2026 660,000 $667K 0.05% DBT
457 SHELL FINANCE US INC 822905AT2 Feb 2026 587,000 $666K 0.05% DBT
458 SUMITOMO MITSUI FINL GRP 86562MCE8 Feb 2026 745,000 $664K 0.05% DBT
459 JPMORGAN CHASE & CO 46647PEK8 Feb 2026 640,000 $664K 0.05% DBT
460 PACIFIC GAS & ELECTRIC 694308JJ7 Feb 2026 965,000 $663K 0.05% DBT
461 CRH AMERICA FINANCE INC 12636YAF9 Feb 2026 630,000 $663K 0.05% DBT
462 HP ENTERPRISE CO 42824CBV0 Feb 2026 670,000 $663K 0.05% DBT
463 MORGAN STANLEY 6174468U6 Feb 2026 746,000 $660K 0.05% DBT
464 CAPITAL ONE NA 25466AAP6 Feb 2026 650,000 $660K 0.05% DBT
465 TEXAS INSTRUMENTS INC 882508BL7 Feb 2026 735,000 $660K 0.05% DBT
466 UNITEDHEALTH GROUP INC 91324PFL1 Feb 2026 670,000 $660K 0.05% DBT
467 SUMITOMO MITSUI FINL GRP 86562MCS7 Feb 2026 615,000 $660K 0.05% DBT
468 LEIDOS INC 52532XAF2 Feb 2026 656,000 $658K 0.05% DBT
469 BROADRIDGE FINANCIAL SOL 11133TAD5 Feb 2026 694,000 $657K 0.05% DBT
470 US BANCORP 91159HJG6 Feb 2026 645,000 $656K 0.05% DBT
471 TEXAS INSTRUMENTS INC 882508BC7 Feb 2026 663,000 $656K 0.05% DBT
472 VERIZON COMMUNICATIONS 92343VCK8 Feb 2026 727,000 $654K 0.05% DBT
473 PNC BANK NA 69353RFG8 Feb 2026 661,000 $654K 0.05% DBT
474 JPMORGAN CHASE & CO 46647PCC8 Feb 2026 709,000 $654K 0.05% DBT
475 FEDERAL REALTY OP LP 313747AZ0 Feb 2026 671,000 $653K 0.05% DBT
476 BANK OF AMERICA CORP 06051GFC8 Feb 2026 671,000 $652K 0.05% DBT
477 ASTRAZENECA PLC 046353AT5 Feb 2026 645,000 $649K 0.05% DBT
478 GENERAL MILLS INC 370334DB7 Feb 2026 630,000 $647K 0.05% DBT
479 CROWN CASTLE INC 22822VBC4 Feb 2026 634,000 $646K 0.05% DBT
480 HP ENTERPRISE CO 42824CBS7 Feb 2026 642,000 $646K 0.05% DBT
481 BANK OF AMERICA CORP 59023VAA8 Feb 2026 527,000 $646K 0.05% DBT
482 GOLDMAN SACHS GROUP INC 38145GAU4 Feb 2026 650,000 $645K 0.05% DBT
483 GOLDMAN SACHS GROUP INC 38148YAA6 Feb 2026 714,000 $645K 0.05% DBT
484 OHIO POWER COMPANY 677415CW9 Feb 2026 610,000 $644K 0.05% DBT
485 ALLEGION US HOLDING CO 01748NAF1 Feb 2026 610,000 $643K 0.05% DBT
486 GOLDMAN SACHS GROUP INC 38141GC44 Feb 2026 615,000 $643K 0.05% DBT
487 CONNECTICUT LIGHT & PWR 207597EL5 Feb 2026 792,000 $643K 0.05% DBT
488 ROYAL BANK OF CANADA 78016FZX5 Feb 2026 620,000 $643K 0.05% DBT
489 CIGNA GROUP/THE 125523CV0 Feb 2026 620,000 $642K 0.05% DBT
490 AERCAP IRELAND CAP/GLOBA 00774MAY1 Feb 2026 704,000 $642K 0.05% DBT
491 BP CAP MARKETS AMERICA 10373QBQ2 Feb 2026 958,000 $641K 0.05% DBT
492 JPMORGAN CHASE & CO 48126BAA1 Feb 2026 626,000 $641K 0.05% DBT
493 PECO ENERGY CO 693304BG1 Feb 2026 675,000 $640K 0.05% DBT
494 ALLY FINANCIAL INC 36186CBY8 Feb 2026 564,000 $640K 0.05% DBT
495 SYNCHRONY FINANCIAL 87165BAP8 Feb 2026 629,000 $639K 0.05% DBT
496 BANK OF AMERICA CORP 06051GLU1 Feb 2026 595,000 $638K 0.05% DBT
497 CITIGROUP INC 172967LW9 Feb 2026 638,000 $638K 0.05% DBT
498 CMS ENERGY CORP 125896BU3 Feb 2026 645,000 $638K 0.05% DBT
499 AT&T INC 00206RDR0 Feb 2026 624,000 $638K 0.05% DBT
500 JPMORGAN CHASE & CO 46647PDR4 Feb 2026 609,000 $637K 0.05% DBT
501 APPLIED MATERIALS INC 038222AS4 Feb 2026 618,000 $637K 0.05% DBT
502 CBRE SERVICES INC 12505BAK6 Feb 2026 615,000 $636K 0.05% DBT
503 PUB SVC NEW HAMP 744482BM1 Feb 2026 840,000 $636K 0.05% DBT
504 BUNGE LTD FINANCE CORP 120568BR0 Feb 2026 620,000 $636K 0.05% DBT
505 ABBVIE INC 00287YAM1 Feb 2026 700,000 $634K 0.05% DBT
506 BARCLAYS PLC 06738ECH6 Feb 2026 565,000 $634K 0.05% DBT
507 ABBVIE INC 00287YCA5 Feb 2026 700,000 $633K 0.05% DBT
508 HSBC HOLDINGS PLC 404280CH0 Feb 2026 671,000 $633K 0.05% DBT
509 AMERICAN EXPRESS CO 025816DW6 Feb 2026 610,000 $632K 0.05% DBT
510 FORD MOTOR CREDIT CO LLC 345397D67 Feb 2026 580,000 $632K 0.05% DBT
511 JPMORGAN CHASE & CO 46647PBM7 Feb 2026 798,000 $632K 0.04% DBT
512 CBRE SERVICES INC 12505BAG5 Feb 2026 590,000 $631K 0.04% DBT
513 PACIFIC GAS & ELECTRIC 694308KG1 Feb 2026 594,000 $629K 0.04% DBT
514 COMCAST CORP 20030NDU2 Feb 2026 1,079,000 $629K 0.04% DBT
515 NATWEST GROUP PLC 639057AP3 Feb 2026 596,000 $628K 0.04% DBT
516 SUMITOMO MITSUI FINL GRP 86562MAY6 Feb 2026 631,000 $627K 0.04% DBT
517 VERIZON COMMUNICATIONS 92343VHK3 Feb 2026 625,000 $627K 0.04% DBT
518 RTX CORP 913017BA6 Feb 2026 560,000 $626K 0.04% DBT
519 MORGAN STANLEY 6174468X0 Feb 2026 705,000 $625K 0.04% DBT
520 JPMORGAN CHASE & CO 46647PEC6 Feb 2026 600,000 $625K 0.04% DBT
521 GOLDMAN SACHS GROUP INC 38141GC51 Feb 2026 615,000 $624K 0.04% DBT
522 JPMORGAN CHASE & CO 46647PAX4 Feb 2026 617,000 $623K 0.04% DBT
523 BIOGEN INC 09062XAD5 Feb 2026 665,000 $623K 0.04% DBT
524 HASBRO INC 418056AV9 Feb 2026 627,000 $623K 0.04% DBT
525 CONSTELLATION EN GEN LLC 210385AC4 Feb 2026 580,000 $622K 0.04% DBT
526 FEDERAL REALTY OP LP 313747BA4 Feb 2026 640,000 $622K 0.04% DBT
527 MORGAN STANLEY 61747YFT7 Feb 2026 600,000 $621K 0.04% DBT
528 UBER TECHNOLOGIES INC 90353TAU4 Feb 2026 625,000 $621K 0.04% DBT
529 GILEAD SCIENCES INC 375558BD4 Feb 2026 678,000 $621K 0.04% DBT
530 GILEAD SCIENCES INC 375558BG7 Feb 2026 620,000 $619K 0.04% DBT
531 HSBC HOLDINGS PLC 404280AM1 Feb 2026 567,000 $619K 0.04% DBT
532 WESTPAC BANKING CORP 961214EX7 Feb 2026 676,000 $619K 0.04% DBT
533 BUNGE LTD FINANCE CORP 120568BE9 Feb 2026 615,000 $619K 0.04% DBT
534 PACIFIC GAS & ELECTRIC 694308JN8 Feb 2026 715,000 $617K 0.04% DBT
535 INTEL CORP 458140BY5 Feb 2026 618,000 $616K 0.04% DBT
536 CITIGROUP INC 172967LP4 Feb 2026 618,000 $615K 0.04% DBT
537 PPL ELECTRIC UTILITIES 69351UBB8 Feb 2026 640,000 $615K 0.04% DBT
538 QUEST DIAGNOSTICS INC 74834LBA7 Feb 2026 610,000 $614K 0.04% DBT
539 HA SUSTAINABLE INF CAP 41068XAF7 Feb 2026 594,000 $614K 0.04% DBT
540 CENCORA INC 03073EAU9 Feb 2026 592,000 $614K 0.04% DBT
541 AERCAP IRELAND CAP/GLOBA 00774MBK0 Feb 2026 581,000 $613K 0.04% DBT
542 JPMORGAN CHASE & CO 46647PBE5 Feb 2026 641,000 $613K 0.04% DBT
543 GOLDMAN SACHS GROUP INC 38141GVS0 Feb 2026 675,000 $612K 0.04% DBT
544 GOLDMAN SACHS GROUP INC 38141EC31 Feb 2026 662,000 $611K 0.04% DBT
545 EDISON INTERNATIONAL 281020AM9 Feb 2026 613,000 $610K 0.04% DBT
546 HSBC HOLDINGS PLC 404280AH2 Feb 2026 548,000 $609K 0.04% DBT
547 CITIGROUP INC 172967PU9 Feb 2026 580,000 $609K 0.04% DBT
548 AMAZON.COM INC 023135BM7 Feb 2026 753,000 $607K 0.04% DBT
549 LLOYDS BANKING GROUP PLC 539439AR0 Feb 2026 601,000 $606K 0.04% DBT
550 ENBRIDGE INC 29250NBR5 Feb 2026 570,000 $606K 0.04% DBT
551 RYDER SYSTEM INC 78355HLC1 Feb 2026 590,000 $605K 0.04% DBT
552 SPIRE INC 84857LAD3 Feb 2026 600,000 $603K 0.04% DBT
553 HONEYWELL INTERNATIONAL 438516CM6 Feb 2026 600,000 $603K 0.04% DBT
554 POTOMAC ELECTRIC POWER 737679DE7 Feb 2026 695,000 $600K 0.04% DBT
555 DENTSPLY SIRONA INC 24906PAA7 Feb 2026 639,000 $599K 0.04% DBT
556 NOMURA HOLDINGS INC 65535HAX7 Feb 2026 657,000 $599K 0.04% DBT
557 APPLIED MATERIALS INC 038222AN5 Feb 2026 657,000 $599K 0.04% DBT
558 CIGNA GROUP/THE 125523AJ9 Feb 2026 617,000 $597K 0.04% DBT
559 JPMORGAN CHASE & CO 46647PER3 Feb 2026 588,000 $596K 0.04% DBT
560 SUZANO AUSTRIA GMBH 86964WAH5 Feb 2026 592,000 $595K 0.04% DBT
561 AGCO CORP 001084AS1 Feb 2026 562,000 $594K 0.04% DBT
562 BARCLAYS PLC 06738ECV5 Feb 2026 581,000 $594K 0.04% DBT
563 NATWEST GROUP PLC 639057AF5 Feb 2026 580,000 $594K 0.04% DBT
564 AMGEN INC 031162DU1 Feb 2026 599,000 $593K 0.04% DBT
565 HUMANA INC 444859CA8 Feb 2026 575,000 $593K 0.04% DBT
566 PACIFIC GAS & ELECTRIC 694308KH9 Feb 2026 548,000 $592K 0.04% DBT
567 GE CAPITAL INTL FUNDING 36164QNA2 Feb 2026 600,000 $592K 0.04% DBT
568 GXO LOGISTICS INC 36262GAD3 Feb 2026 647,000 $592K 0.04% DBT
569 SHELL FINANCE US INC 822905AC9 Feb 2026 607,000 $591K 0.04% DBT
570 KINDER MORGAN ENER PART 494550AV8 Feb 2026 528,000 $591K 0.04% DBT
571 BROOKFIELD CAPITAL FIN 11259NAA2 Feb 2026 557,000 $591K 0.04% DBT
572 KINDER MORGAN INC 49456BBC4 Feb 2026 550,000 $591K 0.04% DBT
573 NEXTERA ENERGY CAPITAL 65339KDM9 Feb 2026 580,000 $589K 0.04% DBT
574 CITIGROUP INC 172967MD0 Feb 2026 660,000 $589K 0.04% DBT
575 WALT DISNEY COMPANY/THE 254687GA8 Feb 2026 797,000 $589K 0.04% DBT
576 AMERICA MOVIL SAB DE CV 02364WAW5 Feb 2026 540,000 $587K 0.04% DBT
577 ICON INVESTMENTS SIX DAC 45115AAC8 Feb 2026 572,000 $587K 0.04% DBT
578 KINDER MORGAN INC 49456BAG6 Feb 2026 566,000 $587K 0.04% DBT
579 CITIGROUP INC 172967FX4 Feb 2026 555,000 $587K 0.04% DBT
580 JPMORGAN CHASE & CO 46647PAL0 Feb 2026 720,000 $587K 0.04% DBT
581 KEYCORP 49326EEJ8 Feb 2026 618,000 $587K 0.04% DBT
582 SYNCHRONY FINANCIAL 87165BAY9 Feb 2026 575,000 $586K 0.04% DBT
583 VISA INC 92826CAE2 Feb 2026 598,000 $585K 0.04% DBT
584 REVVITY INC 714046AH2 Feb 2026 640,000 $585K 0.04% DBT
585 QUANTA SERVICES INC 74762EAF9 Feb 2026 619,000 $585K 0.04% DBT
586 JPMORGAN CHASE & CO 46625HJB7 Feb 2026 558,000 $584K 0.04% DBT
587 RYDER SYSTEM INC 78355HLA5 Feb 2026 575,000 $583K 0.04% DBT
588 EXELON CORP 30161NBS9 Feb 2026 580,000 $582K 0.04% DBT
589 HP ENTERPRISE CO 42824CBU2 Feb 2026 574,000 $582K 0.04% DBT
590 HEALTHPEAK OP LLC 42250PAA1 Feb 2026 608,000 $582K 0.04% DBT
591 ROYAL BANK OF CANADA 78016HZQ6 Feb 2026 560,000 $581K 0.04% DBT
592 VISA INC 92826CAF9 Feb 2026 658,000 $579K 0.04% DBT
593 VALERO ENERGY CORP 91913YAL4 Feb 2026 516,000 $579K 0.04% DBT
594 AMAZON.COM INC 023135BU9 Feb 2026 1,025,000 $579K 0.04% DBT
595 CLEVELAND ELECTRIC ILLUM 186108CE4 Feb 2026 545,000 $579K 0.04% DBT
596 KINDER MORGAN INC 49456BAP6 Feb 2026 574,000 $579K 0.04% DBT
597 GOLDMAN SACHS GROUP INC 38141GZM9 Feb 2026 624,000 $579K 0.04% DBT
598 NSTAR ELECTRIC CO 67021CAN7 Feb 2026 590,000 $578K 0.04% DBT
599 CNO FINANCIAL GROUP INC 12621EAL7 Feb 2026 568,000 $577K 0.04% DBT
600 HP ENTERPRISE CO 42824CAX7 Feb 2026 530,000 $574K 0.04% DBT
601 HUNTINGTON NATIONAL BANK 44644MAF8 Feb 2026 570,000 $574K 0.04% DBT
602 MORGAN STANLEY 61747YFV2 Feb 2026 575,000 $574K 0.04% DBT
603 JPMORGAN CHASE & CO 46647PAF3 Feb 2026 577,000 $574K 0.04% DBT
604 TEXAS EASTERN TRANSMISSI 882389CC1 Feb 2026 504,000 $573K 0.04% DBT
605 PNC FINANCIAL SERVICES 693475AT2 Feb 2026 577,000 $573K 0.04% DBT
606 GOLDMAN SACHS CAPITAL I 38143VAA7 Feb 2026 532,000 $572K 0.04% DBT
607 MERCK & CO INC 58933YAT2 Feb 2026 709,000 $572K 0.04% DBT
608 EXELON CORP 30161NBH3 Feb 2026 732,000 $572K 0.04% DBT
609 CENTENE CORP 15135BAZ4 Feb 2026 659,000 $572K 0.04% DBT
610 ZIMMER BIOMET HOLDINGS 98956PAV4 Feb 2026 625,000 $571K 0.04% DBT
611 METLIFE INC 59156RAP3 Feb 2026 544,000 $570K 0.04% DBT
612 KINDER MORGAN INC 49456BAV3 Feb 2026 560,000 $570K 0.04% DBT
613 CONOCOPHILLIPS COMPANY 208251AE8 Feb 2026 522,000 $569K 0.04% DBT
614 UNITEDHEALTH GROUP INC 91324PFB3 Feb 2026 554,000 $568K 0.04% DBT
615 CHARTER COMM OPT LLC/CAP 161175AZ7 Feb 2026 544,000 $568K 0.04% DBT
616 CENTENE CORP 15135BAY7 Feb 2026 602,000 $568K 0.04% DBT
617 SANDS CHINA LTD 80007RAE5 Feb 2026 555,000 $567K 0.04% DBT
618 CONOCOPHILLIPS 20825CAQ7 Feb 2026 496,000 $566K 0.04% DBT
619 VERIZON COMMUNICATIONS 92343VGC2 Feb 2026 816,000 $563K 0.04% DBT
620 HOME DEPOT INC 437076CP5 Feb 2026 590,000 $563K 0.04% DBT
621 EQUINIX INC 29444UBS4 Feb 2026 615,000 $561K 0.04% DBT
622 RYDER SYSTEM INC 78355HKX6 Feb 2026 530,000 $561K 0.04% DBT
623 UNITEDHEALTH GROUP INC 91324PEV0 Feb 2026 560,000 $559K 0.04% DBT
624 FIDELITY NATL INFO SERV 31620MBY1 Feb 2026 550,000 $559K 0.04% DBT
625 MORGAN STANLEY 61747YFG5 Feb 2026 535,000 $559K 0.04% DBT
626 BANK OF AMERICA CORP 06051GGG8 Feb 2026 637,000 $558K 0.04% DBT
627 NETAPP INC 64110DAM6 Feb 2026 535,000 $558K 0.04% DBT
628 UNITEDHEALTH GROUP INC 91324PEJ7 Feb 2026 560,000 $557K 0.04% DBT
629 BANK OF AMERICA CORP 06051GMA4 Feb 2026 530,000 $555K 0.04% DBT
630 WELLS FARGO & COMPANY 95000U2Q5 Feb 2026 712,000 $555K 0.04% DBT
631 ENTERGY LOUISIANA LLC 29364WAV0 Feb 2026 595,000 $555K 0.04% DBT
632 HSBC HOLDINGS PLC 404280DH9 Feb 2026 531,000 $555K 0.04% DBT
633 CAPITAL ONE FINANCIAL CO 14040HCT0 Feb 2026 540,000 $554K 0.04% DBT
634 BANK OF AMERICA CORP 06051GHS1 Feb 2026 653,000 $554K 0.04% DBT
635 DEUTSCHE BANK NY 251526CK3 Feb 2026 597,000 $553K 0.04% DBT
636 EXXON MOBIL CORPORATION 30231GBM3 Feb 2026 753,000 $553K 0.04% DBT
637 TOTALENERGIES CAPITAL SA 89157XAB7 Feb 2026 559,000 $553K 0.04% DBT
638 GOLDMAN SACHS GROUP INC 38141GYJ7 Feb 2026 613,000 $553K 0.04% DBT
639 CBRE SERVICES INC 12505BAH3 Feb 2026 531,000 $551K 0.04% DBT
640 T-MOBILE USA INC 87264ABN4 Feb 2026 811,000 $551K 0.04% DBT
641 AMGEN INC 031162BZ2 Feb 2026 631,000 $551K 0.04% DBT
642 JPMORGAN CHASE & CO 46647PEH5 Feb 2026 515,000 $551K 0.04% DBT
643 BANK OF AMERICA CORP 06051GKL2 Feb 2026 582,000 $551K 0.04% DBT
644 ZOETIS INC 98978VAN3 Feb 2026 550,000 $551K 0.04% DBT
645 PRUDENTIAL FINANCIAL INC 744320AW2 Feb 2026 558,000 $550K 0.04% DBT
646 MORGAN STANLEY 61747YGA7 Feb 2026 520,000 $550K 0.04% DBT
647 HSBC HOLDINGS PLC 404280BK4 Feb 2026 548,000 $548K 0.04% DBT
648 TEXAS INSTRUMENTS INC 882508BP8 Feb 2026 562,000 $546K 0.04% DBT
649 KENVUE INC 49177JAR3 Feb 2026 588,000 $546K 0.04% DBT
650 CIGNA GROUP/THE 125523CL2 Feb 2026 581,000 $546K 0.04% DBT
651 ONEOK INC 682680AS2 Feb 2026 545,000 $545K 0.04% DBT
652 OCCIDENTAL PETROLEUM COR 674599DF9 Feb 2026 500,000 $545K 0.04% DBT
653 EXXON MOBIL CORPORATION 30231GBG6 Feb 2026 635,000 $544K 0.04% DBT
654 ANHEUSER-BUSCH INBEV WOR 03523TBU1 Feb 2026 519,000 $544K 0.04% DBT
655 PIEDMONT NATURAL GAS CO 720186AN5 Feb 2026 590,000 $544K 0.04% DBT
656 CATERPILLAR INC 149123CE9 Feb 2026 608,000 $544K 0.04% DBT
657 NOVARTIS CAPITAL CORP 66989HAW8 Feb 2026 600,000 $542K 0.04% DBT
658 MICROSOFT CORP 594918CE2 Feb 2026 814,920 $542K 0.04% DBT
659 BARCLAYS PLC 06738EAW5 Feb 2026 536,000 $540K 0.04% DBT
660 CARRIER GLOBAL CORP 14448CAL8 Feb 2026 576,000 $539K 0.04% DBT
661 CROWN CASTLE INC 22822VBA8 Feb 2026 530,000 $539K 0.04% DBT
662 MORGAN STANLEY 61747YFB6 Feb 2026 509,000 $537K 0.04% DBT
663 HONEYWELL INTERNATIONAL 438516CK0 Feb 2026 515,000 $537K 0.04% DBT
664 SUMITOMO MITSUI FINL GRP 86562MCG3 Feb 2026 565,000 $537K 0.04% DBT
665 ADOBE INC 00724PAG4 Feb 2026 525,000 $536K 0.04% DBT
666 MORGAN STANLEY 61747YDY8 Feb 2026 615,000 $536K 0.04% DBT
667 DEUTSCHE BANK NY 251526BN8 Feb 2026 533,000 $535K 0.04% DBT
668 JPMORGAN CHASE & CO 46647PDK9 Feb 2026 504,000 $534K 0.04% DBT
669 JPMORGAN CHASE & CO 46647PBN5 Feb 2026 779,000 $534K 0.04% DBT
670 NUTRIEN LTD 67077MAN8 Feb 2026 567,000 $534K 0.04% DBT
671 BANK OF AMERICA CORP 06051GKC2 Feb 2026 604,000 $534K 0.04% DBT
672 T-MOBILE USA INC 87264ABF1 Feb 2026 537,000 $533K 0.04% DBT
673 AMERICAN TOWER CORP 03027XAR1 Feb 2026 535,000 $531K 0.04% DBT
674 COCA-COLA CO/THE 191216CE8 Feb 2026 535,000 $531K 0.04% DBT
675 OHIO POWER COMPANY 677415CU3 Feb 2026 844,000 $530K 0.04% DBT
676 TARGA RESOURCES CORP 87612GAF8 Feb 2026 479,000 $530K 0.04% DBT
677 ORACLE CORP 68389XAV7 Feb 2026 580,000 $530K 0.04% DBT
678 CBOE GLOBAL MARKETS INC 12503MAD0 Feb 2026 567,000 $530K 0.04% DBT
679 ONEOK INC 682680BL6 Feb 2026 493,000 $529K 0.04% DBT
680 NORTHERN TRUST CORP 665859AT1 Feb 2026 529,000 $529K 0.04% DBT
681 HARLEY-DAVIDSON INC 412822AE8 Feb 2026 661,000 $529K 0.04% DBT
682 BROADCOM INC 11135FCT6 Feb 2026 572,000 $529K 0.04% DBT
683 BROOKFIELD FIN I UK PLC 11272BAA1 Feb 2026 599,000 $528K 0.04% DBT
684 CAPITAL ONE FINANCIAL CO 14040HBW4 Feb 2026 530,000 $528K 0.04% DBT
685 GATX CORP 361448BM4 Feb 2026 487,000 $528K 0.04% DBT
686 BANK OF AMERICA CORP 06051GLG2 Feb 2026 515,000 $528K 0.04% DBT
687 CENTENE CORP 15135BAX9 Feb 2026 608,000 $527K 0.04% DBT
688 DIAMONDBACK ENERGY INC 25278XAN9 Feb 2026 539,000 $527K 0.04% DBT
689 VERIZON COMMUNICATIONS 92343VGB4 Feb 2026 727,000 $527K 0.04% DBT
690 BAKER HUGHES HLDGS LLC 057224AZ0 Feb 2026 529,000 $526K 0.04% DBT
691 SABINE PASS LIQUEFACTION 785592AU0 Feb 2026 524,000 $526K 0.04% DBT
692 AEP TEXAS INC 00108WAT7 Feb 2026 497,000 $526K 0.04% DBT
693 LLOYDS BANKING GROUP PLC 539439BA6 Feb 2026 500,000 $526K 0.04% DBT
694 AERCAP IRELAND CAP/GLOBA 00774MAE5 Feb 2026 527,000 $526K 0.04% DBT
695 VODAFONE GROUP PLC 92857WBM1 Feb 2026 558,000 $526K 0.04% DBT
696 PACIFIC GAS & ELECTRIC 694308KJ5 Feb 2026 489,000 $525K 0.04% DBT
697 BOSTON PROPERTIES LP 10112RBF0 Feb 2026 635,000 $525K 0.04% DBT
698 UNITEDHEALTH GROUP INC 91324PCR1 Feb 2026 580,000 $524K 0.04% DBT
699 HARTFORD INSUR GRP INC/T 416515BE3 Feb 2026 545,000 $524K 0.04% DBT
700 LLOYDS BANKING GROUP PLC 53944YAX1 Feb 2026 495,000 $524K 0.04% DBT
701 HSBC HOLDINGS PLC 404280DS5 Feb 2026 444,000 $524K 0.04% DBT
702 MARSH & MCLENNAN COS INC 571748CD2 Feb 2026 545,000 $524K 0.04% DBT
703 ANHEUSER-BUSCH INBEV WOR 035240AG5 Feb 2026 539,000 $523K 0.04% DBT
704 NXP BV/NXP FDG/NXP USA 62954HBF4 Feb 2026 520,000 $523K 0.04% DBT
705 PNC FINANCIAL SERVICES 693475BU8 Feb 2026 460,000 $522K 0.04% DBT
706 VICI PROPERTIES LP 925650AB9 Feb 2026 517,000 $522K 0.04% DBT
707 WELLS FARGO & COMPANY 94974BGQ7 Feb 2026 579,000 $521K 0.04% DBT
708 COMCAST CORP 20030NDW8 Feb 2026 938,000 $521K 0.04% DBT
709 PACIFIC GAS & ELECTRIC 694308KD8 Feb 2026 586,000 $521K 0.04% DBT
710 COMCAST CORP 20030NDS7 Feb 2026 861,000 $520K 0.04% DBT
711 TORONTO-DOMINION BANK 89114TZJ4 Feb 2026 576,000 $519K 0.04% DBT
712 3M COMPANY 88579YBQ3 Feb 2026 505,000 $519K 0.04% DBT
713 ZOETIS INC 98978VAH6 Feb 2026 558,000 $518K 0.04% DBT
714 COLGATE-PALMOLIVE CO 19416QEK2 Feb 2026 642,000 $518K 0.04% DBT
715 ORACLE CORP 68389XBJ3 Feb 2026 741,000 $518K 0.04% DBT
716 BANK OF AMERICA CORP 06051GKK4 Feb 2026 560,000 $517K 0.04% DBT
717 AMAZON.COM INC 023135BJ4 Feb 2026 626,000 $517K 0.04% DBT
718 PPL ELECTRIC UTILITIES 69351UBA0 Feb 2026 501,000 $517K 0.04% DBT
719 PUB SVC NEW HAMP 744538AE9 Feb 2026 567,000 $515K 0.04% DBT
720 MOLSON COORS BEVERAGE 60871RAH3 Feb 2026 633,000 $514K 0.04% DBT
721 AVNET INC 053807AV5 Feb 2026 495,000 $514K 0.04% DBT
722 NATWEST GROUP PLC 780097BL4 Feb 2026 509,000 $513K 0.04% DBT
723 JPMORGAN CHASE & CO 46647PAA4 Feb 2026 595,000 $511K 0.04% DBT
724 WESTPAC BANKING CORP 961214DW0 Feb 2026 513,000 $511K 0.04% DBT
725 OHIO POWER COMPANY 677415CT6 Feb 2026 575,000 $510K 0.04% DBT
726 PROCTER & GAMBLE CO/THE 742718DF3 Feb 2026 465,000 $509K 0.04% DBT
727 KINDER MORGAN INC 49456BAH4 Feb 2026 515,000 $509K 0.04% DBT
728 BANCO SANTANDER SA 05964HBB0 Feb 2026 490,000 $509K 0.04% DBT
729 FORD MOTOR COMPANY 345370BR0 Feb 2026 465,000 $508K 0.04% DBT
730 MICROSOFT CORP 594918BZ6 Feb 2026 520,000 $508K 0.04% DBT
731 DIAGEO CAPITAL PLC 25243YAH2 Feb 2026 465,000 $508K 0.04% DBT
732 BANK OF AMERICA CORP 06051GKB4 Feb 2026 768,000 $507K 0.04% DBT
733 AMERICAN EXPRESS CO 025816DR7 Feb 2026 475,000 $507K 0.04% DBT
734 HP INC 428236BR3 Feb 2026 506,000 $507K 0.04% DBT
735 BANCO SANTANDER SA 05964HAB1 Feb 2026 505,000 $506K 0.04% DBT
736 HESS CORP 023551AM6 Feb 2026 433,000 $506K 0.04% DBT
737 NXP BV/NXP FDG/NXP USA 62954HBH0 Feb 2026 495,000 $506K 0.04% DBT
738 NEVADA POWER CO 641423CF3 Feb 2026 490,000 $505K 0.04% DBT
739 BRITISH TELECOMMUNICATIO 111021AL5 Feb 2026 492,000 $505K 0.04% DBT
740 MARSH & MCLENNAN COS INC 571748AK8 Feb 2026 464,000 $505K 0.04% DBT
741 INTERCONTINENTALEXCHANGE 45866FAQ7 Feb 2026 843,000 $505K 0.04% DBT
742 BANK OF AMERICA CORP 06051GHM4 Feb 2026 502,000 $505K 0.04% DBT
743 UNILEVER CAPITAL CORP 904764BT3 Feb 2026 481,000 $505K 0.04% DBT
744 WOODSIDE FINANCE LTD 980236AX1 Feb 2026 495,000 $503K 0.04% DBT
745 CITIGROUP INC 172967JU6 Feb 2026 551,000 $503K 0.04% DBT
746 GARTNER INC 366651AK3 Feb 2026 525,000 $503K 0.04% DBT
747 LLOYDS BANKING GROUP PLC 539439AW9 Feb 2026 428,000 $502K 0.04% DBT
748 CADENCE DESIGN SYS INC 127387AM0 Feb 2026 500,000 $502K 0.04% DBT
749 FORD MOTOR CREDIT CO LLC 345397ZR7 Feb 2026 497,000 $502K 0.04% DBT
750 SUMITOMO MITSUI FINL GRP 86562MDJ6 Feb 2026 465,000 $502K 0.04% DBT
751 CITIGROUP INC 172967PA3 Feb 2026 457,000 $501K 0.04% DBT
752 STATE STREET CORP 857477BD4 Feb 2026 498,000 $501K 0.04% DBT
753 SANTANDER HOLDINGS USA 80282KBL9 Feb 2026 465,000 $501K 0.04% DBT
754 COMCAST CORP 20030NAM3 Feb 2026 448,000 $501K 0.04% DBT
755 KRAFT HEINZ FOODS CO 50077LAZ9 Feb 2026 581,000 $501K 0.04% DBT
756 PRUDENTIAL FUNDING ASIA 744330AB7 Feb 2026 517,000 $501K 0.04% DBT
757 INTEL CORP 458140BH2 Feb 2026 530,000 $500K 0.04% DBT
758 NXP BV/NXP FDG/NXP USA 62954HBB3 Feb 2026 489,000 $499K 0.04% DBT
759 CMS ENERGY CORP 125896BV1 Feb 2026 535,000 $499K 0.04% DBT
760 SYSCO CORPORATION 871829BN6 Feb 2026 445,000 $498K 0.04% DBT
761 T-MOBILE USA INC 87264ABT1 Feb 2026 530,000 $498K 0.04% DBT
762 VERIZON COMMUNICATIONS 92343VFW9 Feb 2026 817,000 $497K 0.04% DBT
763 CHARTER COMM OPT LLC/CAP 161175BL7 Feb 2026 596,000 $497K 0.04% DBT
764 META PLATFORMS INC 30303M8R6 Feb 2026 511,000 $497K 0.04% DBT
765 LYB INT FINANCE III 50249AAL7 Feb 2026 486,000 $496K 0.04% DBT
766 ROYAL BANK OF CANADA 78016FZW7 Feb 2026 486,000 $496K 0.04% DBT
767 LABORATORY CORP OF AMER 50540RAY8 Feb 2026 535,000 $495K 0.04% DBT
768 UNITEDHEALTH GROUP INC 91324PEU2 Feb 2026 490,000 $495K 0.04% DBT
769 WELLS FARGO & COMPANY 949746RF0 Feb 2026 497,000 $494K 0.04% DBT
770 STATE STREET CORP 857477CX9 Feb 2026 480,000 $494K 0.04% DBT
771 ANHEUSER-BUSCH INBEV WOR 03523TBF4 Feb 2026 376,000 $490K 0.03% DBT
772 NISOURCE INC 65473PAT2 Feb 2026 470,000 $490K 0.03% DBT
773 RYDER SYSTEM INC 78355HKV0 Feb 2026 475,000 $490K 0.03% DBT
774 MCDONALD'S CORP 58013MFA7 Feb 2026 527,000 $489K 0.03% DBT
775 UNILEVER CAPITAL CORP 904764BC0 Feb 2026 490,000 $489K 0.03% DBT
776 OWENS CORNING 690742AJ0 Feb 2026 490,000 $488K 0.03% DBT
777 CONNECTICUT LIGHT & PWR 207597EH4 Feb 2026 574,000 $488K 0.03% DBT
778 HSBC HOLDINGS PLC 404280ES4 Feb 2026 470,000 $488K 0.03% DBT
779 FORTUNE BRANDS INNOVATIO 34964CAE6 Feb 2026 503,000 $487K 0.03% DBT
780 ELEVANCE HEALTH INC 036752AN3 Feb 2026 525,000 $486K 0.03% DBT
781 TELEFONICA EUROPE BV 879385AD4 Feb 2026 421,000 $486K 0.03% DBT
782 SUZANO AUSTRIA GMBH 86964WAF9 Feb 2026 468,000 $485K 0.03% DBT
783 NETAPP INC 64110DAN4 Feb 2026 465,000 $485K 0.03% DBT
784 APPLE INC 037833CD0 Feb 2026 588,000 $484K 0.03% DBT
785 INTUIT INC 46124HAC0 Feb 2026 500,000 $484K 0.03% DBT
786 ONEOK INC 682680AW3 Feb 2026 480,000 $483K 0.03% DBT
787 HASBRO INC 418056BA4 Feb 2026 449,000 $482K 0.03% DBT
788 UNITEDHEALTH GROUP INC 91324PFM9 Feb 2026 490,000 $482K 0.03% DBT
789 BROOKFIELD FINANCE INC 11271LAM4 Feb 2026 466,000 $481K 0.03% DBT
790 HCA INC 404119BZ1 Feb 2026 526,000 $480K 0.03% DBT
791 GATX CORP 361448BR3 Feb 2026 465,000 $480K 0.03% DBT
792 APTIV SWISS HOLDINGS LTD 00217GAB9 Feb 2026 507,000 $479K 0.03% DBT
793 BANCO SANTANDER SA 05964HBD6 Feb 2026 444,000 $479K 0.03% DBT
794 SMITH & NEPHEW PLC 83192PAA6 Feb 2026 528,000 $479K 0.03% DBT
795 ORACLE CORP 68389XBY0 Feb 2026 787,000 $479K 0.03% DBT
796 EVERSOURCE ENERGY 30040WAX6 Feb 2026 461,000 $478K 0.03% DBT
797 SHERWIN-WILLIAMS CO 824348AX4 Feb 2026 553,000 $478K 0.03% DBT
798 AMERICAN TOWER CORP 03027XAW0 Feb 2026 482,000 $477K 0.03% DBT
799 ABBVIE INC 00287YEF2 Feb 2026 475,000 $477K 0.03% DBT
800 NORTHROP GRUMMAN CORP 666807CJ9 Feb 2026 518,000 $476K 0.03% DBT
801 ING GROEP NV 456837AM5 Feb 2026 470,000 $476K 0.03% DBT
802 MARTIN MARIETTA MATERIAL 573284BB1 Feb 2026 485,000 $476K 0.03% DBT
803 WELLS FARGO & COMPANY 949746TB7 Feb 2026 422,000 $476K 0.03% DBT
804 BANCO SANTANDER SA 05964HAM7 Feb 2026 509,000 $476K 0.03% DBT
805 SCHLUMBERGER INVESTMENT 806854AJ4 Feb 2026 499,000 $475K 0.03% DBT
806 ANHEUSER-BUSCH INBEV WOR 03523TBT4 Feb 2026 542,000 $475K 0.03% DBT
807 ORACLE CORP 68389XCJ2 Feb 2026 450,000 $475K 0.03% DBT
808 BECTON DICKINSON & CO 075887BX6 Feb 2026 524,000 $475K 0.03% DBT
809 BARCLAYS PLC 06738EBD6 Feb 2026 467,000 $475K 0.03% DBT
810 COCA-COLA CO/THE 191216CV0 Feb 2026 517,000 $474K 0.03% DBT
811 GILEAD SCIENCES INC 375558AX1 Feb 2026 506,000 $473K 0.03% DBT
812 MIZUHO FINANCIAL GROUP 60687YBT5 Feb 2026 525,000 $473K 0.03% DBT
813 CAPITAL ONE FINANCIAL CO 254709AS7 Feb 2026 424,000 $472K 0.03% DBT
814 MERCK & CO INC 58933YBG9 Feb 2026 796,000 $471K 0.03% DBT
815 BROOKFIELD FINANCE INC 11271LAK8 Feb 2026 435,000 $471K 0.03% DBT
816 ORACLE CORP 68389XAM7 Feb 2026 515,000 $471K 0.03% DBT
817 AVISTA CORP 05379BAQ0 Feb 2026 560,000 $471K 0.03% DBT
818 PNC FINANCIAL SERVICES 693475BR5 Feb 2026 454,000 $470K 0.03% DBT
819 HUNTINGTON BANCSHARES 446150BA1 Feb 2026 460,000 $469K 0.03% DBT
820 CITIGROUP INC 172967MS7 Feb 2026 501,000 $468K 0.03% DBT
821 MIZUHO FINANCIAL GROUP 60687YCZ0 Feb 2026 450,000 $468K 0.03% DBT
822 COMCAST CORP 20030NCM1 Feb 2026 546,000 $466K 0.03% DBT
823 ELI LILLY & CO 532457BZ0 Feb 2026 845,000 $466K 0.03% DBT
824 CONAGRA BRANDS INC 205887AX0 Feb 2026 405,000 $466K 0.03% DBT
825 DIAGEO CAPITAL PLC 25243YBG3 Feb 2026 455,000 $466K 0.03% DBT
826 IBM CORP 459200KC4 Feb 2026 575,000 $465K 0.03% DBT
827 JPMORGAN CHASE & CO 46625HHV5 Feb 2026 441,000 $464K 0.03% DBT
828 TOTALENERGIES CAP INTL 89153VAV1 Feb 2026 677,000 $464K 0.03% DBT
829 MORGAN STANLEY 61747YFA8 Feb 2026 455,000 $464K 0.03% DBT
830 TARGET CORP 87612EAK2 Feb 2026 415,000 $464K 0.03% DBT
831 METLIFE INC 59156RAV0 Feb 2026 349,000 $464K 0.03% DBT
832 ABBVIE INC 00287YAW9 Feb 2026 522,000 $463K 0.03% DBT
833 TAPESTRY INC 189754AC8 Feb 2026 460,000 $460K 0.03% DBT
834 WEBSTER FINANCIAL CORP 947890AJ8 Feb 2026 462,000 $460K 0.03% DBT
835 ORACLE CORP 68389XBX2 Feb 2026 735,000 $460K 0.03% DBT
836 FLORIDA POWER & LIGHT CO 341081EQ6 Feb 2026 426,000 $459K 0.03% DBT
837 AMERICAN EXPRESS CO 025816EJ4 Feb 2026 455,000 $459K 0.03% DBT
838 ELEVANCE HEALTH INC 036752AW3 Feb 2026 435,000 $459K 0.03% DBT
839 EVERSOURCE ENERGY 30040WAZ1 Feb 2026 429,000 $458K 0.03% DBT
840 FLEX LTD 33938XAA3 Feb 2026 449,000 $457K 0.03% DBT
841 APPLE INC 037833EQ9 Feb 2026 568,000 $457K 0.03% DBT
842 BROADCOM INC 11135FBQ3 Feb 2026 529,000 $456K 0.03% DBT
843 MICROSOFT CORP 594918BS2 Feb 2026 493,000 $455K 0.03% DBT
844 ALLEGION US HOLDING CO 01748NAE4 Feb 2026 457,000 $454K 0.03% DBT
845 MORGAN STANLEY 61747YFM2 Feb 2026 430,000 $453K 0.03% DBT
846 CON EDISON CO OF NY INC 209111FX6 Feb 2026 463,000 $452K 0.03% DBT
847 BOSTON PROPERTIES LP 10112RBA1 Feb 2026 448,000 $452K 0.03% DBT
848 RTX CORP 913017CX5 Feb 2026 507,000 $452K 0.03% DBT
849 SANTANDER HOLDINGS USA 80282KBH8 Feb 2026 400,000 $451K 0.03% DBT
850 MANULIFE FINANCIAL CORP 56501RAX4 Feb 2026 450,000 $451K 0.03% DBT
851 DEUTSCHE BANK NY 251526CY3 Feb 2026 440,000 $451K 0.03% DBT
852 AEP TEXAS INC 00108WAN0 Feb 2026 654,000 $451K 0.03% DBT
853 NASDAQ INC 63111XAH4 Feb 2026 438,000 $451K 0.03% DBT
854 MORGAN STANLEY 61747YEY7 Feb 2026 410,000 $451K 0.03% DBT
855 KINDER MORGAN ENER PART 494550AQ9 Feb 2026 387,000 $451K 0.03% DBT
856 CITIGROUP INC 172967LS8 Feb 2026 454,000 $450K 0.03% DBT
857 ABBVIE INC 00287YBD0 Feb 2026 488,000 $450K 0.03% DBT
858 PFIZER INC 717081FA6 Feb 2026 703,000 $450K 0.03% DBT
859 GOLDMAN SACHS GROUP INC 38141GYB4 Feb 2026 489,000 $449K 0.03% DBT
860 PNC FINANCIAL SERVICES 693475BM6 Feb 2026 435,000 $449K 0.03% DBT
861 COPT DEFENSE PROP LP 22003BAN6 Feb 2026 475,000 $448K 0.03% DBT
862 CLOROX COMPANY 189054AY5 Feb 2026 443,000 $448K 0.03% DBT
863 TELEFONICA EMISIONES SAU 87938WAU7 Feb 2026 499,000 $448K 0.03% DBT
864 CENTERPOINT ENER HOUSTON 15189XAY4 Feb 2026 600,000 $448K 0.03% DBT
865 VODAFONE GROUP PLC 92857WAB6 Feb 2026 407,000 $447K 0.03% DBT
866 MIZUHO FINANCIAL GROUP 60687YAR0 Feb 2026 445,000 $447K 0.03% DBT
867 PHILLIPS 66 CO 718547AR3 Feb 2026 430,000 $447K 0.03% DBT
868 BANK OF AMERICA CORP 06051GHG7 Feb 2026 447,000 $447K 0.03% DBT
869 HUMANA INC 444859BY7 Feb 2026 425,000 $445K 0.03% DBT
870 LOWE'S COS INC 548661EH6 Feb 2026 460,000 $445K 0.03% DBT
871 KEYSIGHT TECHNOLOGIES 49338LAG8 Feb 2026 435,000 $444K 0.03% DBT
872 KIMBERLY-CLARK CORP 494368BY8 Feb 2026 441,000 $443K 0.03% DBT
873 COCA-COLA CO/THE 191216CT5 Feb 2026 448,000 $443K 0.03% DBT
874 WESTPAC BANKING CORP 961214EP4 Feb 2026 482,000 $443K 0.03% DBT
875 GILEAD SCIENCES INC 375558BK8 Feb 2026 525,000 $441K 0.03% DBT
876 BANCO SANTANDER SA 05964HAJ4 Feb 2026 438,000 $441K 0.03% DBT
877 MIZUHO FINANCIAL GROUP 60687YDM8 Feb 2026 425,000 $440K 0.03% DBT
878 INTEL CORP 458140BM1 Feb 2026 529,000 $440K 0.03% DBT
879 BANK OF NOVA SCOTIA 06418GAQ0 Feb 2026 425,000 $440K 0.03% DBT
880 JOHNSON & JOHNSON 478160CT9 Feb 2026 786,000 $440K 0.03% DBT
881 JM SMUCKER CO 832696AZ1 Feb 2026 400,000 $440K 0.03% DBT
882 ORACLE CORP 68389XCK9 Feb 2026 445,000 $439K 0.03% DBT
883 ROYAL BANK OF CANADA 78016HZW3 Feb 2026 417,000 $439K 0.03% DBT
884 JOHN DEERE CAPITAL CORP 24422EXE4 Feb 2026 415,000 $439K 0.03% DBT
885 AMERICAN EXPRESS CO 025816EF2 Feb 2026 425,000 $438K 0.03% DBT
886 FORD MOTOR CREDI 345397B69 Feb 2026 470,000 $438K 0.03% DBT
887 KELLANOVA 487836AT5 Feb 2026 380,000 $438K 0.03% DBT
888 QUANTA SERVICES INC 74762EAH5 Feb 2026 490,000 $438K 0.03% DBT
889 KRAFT HEINZ FOODS CO 50077LAM8 Feb 2026 478,000 $438K 0.03% DBT
890 PROLOGIS LP 74340XCR0 Feb 2026 420,000 $437K 0.03% DBT
891 FIFTH THIRD FINANCL CORP 200340AT4 Feb 2026 437,000 $437K 0.03% DBT
892 US BANCORP 91159HJD3 Feb 2026 480,000 $437K 0.03% DBT
893 HP INC 40434LAN5 Feb 2026 425,000 $437K 0.03% DBT
894 T-MOBILE USA INC 87264ABY0 Feb 2026 649,000 $437K 0.03% DBT
895 HOST HOTELS & RESORTS LP 44107TAZ9 Feb 2026 455,000 $436K 0.03% DBT
896 ORACLE CORP 68389XCV5 Feb 2026 550,000 $436K 0.03% DBT
897 DEUTSCHE TELEKOM INT FIN 25156PAC7 Feb 2026 372,000 $436K 0.03% DBT
898 CITIGROUP INC 172967CC3 Feb 2026 404,000 $435K 0.03% DBT
899 SUMITOMO MITSUI FINL GRP 86562MEF3 Feb 2026 430,000 $435K 0.03% DBT
900 UBER TECHNOLOGIES INC 90353TAQ3 Feb 2026 455,000 $434K 0.03% DBT
901 GATX CORP 361448BN2 Feb 2026 382,000 $434K 0.03% DBT
902 EVERSOURCE ENERGY 30040WAF5 Feb 2026 432,000 $434K 0.03% DBT
903 BANK OF AMERICA CORP 06051GJN0 Feb 2026 595,000 $434K 0.03% DBT
904 ELI LILLY & CO 532457BT4 Feb 2026 530,000 $433K 0.03% DBT
905 BERRY GLOBAL INC 08576PAQ4 Feb 2026 409,000 $432K 0.03% DBT
906 WALT DISNEY COMPANY/THE 254687FZ4 Feb 2026 575,000 $432K 0.03% DBT
907 TAKEDA PHARMACEUTICAL 874060BD7 Feb 2026 657,000 $432K 0.03% DBT
908 ORACLE CORP 68389XCU7 Feb 2026 535,000 $431K 0.03% DBT
909 AERCAP IRELAND CAP/GLOBA 00774MBH7 Feb 2026 419,000 $431K 0.03% DBT
910 US BANCORP 91159HJJ0 Feb 2026 400,000 $431K 0.03% DBT
911 TSMC ARIZONA CORP 872898AC5 Feb 2026 466,000 $431K 0.03% DBT
912 JPMORGAN CHASE & CO 46647PAV8 Feb 2026 429,000 $431K 0.03% DBT
913 CHARTER COMM OPT LLC/CAP 161175BN3 Feb 2026 496,000 $431K 0.03% DBT
914 SANTANDER UK GROUP HLDGS 80281LAY1 Feb 2026 430,000 $430K 0.03% DBT
915 PECO ENERGY CO 693304AX5 Feb 2026 643,000 $430K 0.03% DBT
916 TOTALENERGIES CAP INTL 89153VAW9 Feb 2026 647,000 $430K 0.03% DBT
917 3M COMPANY 88579YBJ9 Feb 2026 453,000 $430K 0.03% DBT
918 PNC FINANCIAL SERVICES 693475BW4 Feb 2026 405,000 $429K 0.03% DBT
919 T-MOBILE USA INC 87264ACT0 Feb 2026 630,000 $429K 0.03% DBT
920 VERIZON COMMUNICATIONS 92343VCX0 Feb 2026 505,000 $429K 0.03% DBT
921 AMAZON.COM INC 023135BT2 Feb 2026 708,000 $429K 0.03% DBT
922 CONAGRA BRANDS INC 205887CD2 Feb 2026 445,000 $428K 0.03% DBT
923 WELLS FARGO & COMPANY 95000U2V4 Feb 2026 430,000 $428K 0.03% DBT
924 KIMBERLY-CLARK CORP 494368CB7 Feb 2026 441,000 $427K 0.03% DBT
925 BANCO BILBAO VIZCAYA ARG 05946KAL5 Feb 2026 414,000 $427K 0.03% DBT
926 VERIZON COMMUNICATIONS 92343VDV3 Feb 2026 432,000 $427K 0.03% DBT
927 BROADCOM INC 11135FCU3 Feb 2026 456,000 $427K 0.03% DBT
928 HP INC 40434LAL9 Feb 2026 440,000 $427K 0.03% DBT
929 BALTIMORE GAS & ELECTRIC 059165EL0 Feb 2026 619,000 $426K 0.03% DBT
930 CARRIER GLOBAL CORP 14448CAS3 Feb 2026 568,000 $426K 0.03% DBT
931 WILLIAMS COMPANIES INC 88339WAC0 Feb 2026 415,000 $425K 0.03% DBT
932 CARDINAL HEALTH INC 14149YBV9 Feb 2026 415,000 $425K 0.03% DBT
933 ORACLE CORP 68389XDT9 Feb 2026 490,000 $424K 0.03% DBT
934 WELLTOWER OP LLC 95040QAP9 Feb 2026 460,000 $424K 0.03% DBT
935 NATIONAL FUEL GAS CO 636180BN0 Feb 2026 425,000 $424K 0.03% DBT
936 AT&T INC 00206RCQ3 Feb 2026 483,000 $424K 0.03% DBT
937 BROADCOM INC 11135FCM1 Feb 2026 410,000 $424K 0.03% DBT
938 ABBVIE INC 00287YAV1 Feb 2026 437,000 $424K 0.03% DBT
939 DEUTSCHE BANK NY 251526CF4 Feb 2026 445,000 $424K 0.03% DBT
940 DUPONT DE NEMOURS INC 26078JAE0 Feb 2026 418,000 $423K 0.03% DBT
941 COMMONWEALTH EDISON CO 202795HK9 Feb 2026 388,000 $423K 0.03% DBT
942 BANCO BILBAO VIZCAYA ARG 05946KAR2 Feb 2026 395,000 $422K 0.03% DBT
943 CITIGROUP INC 172967PG0 Feb 2026 405,000 $422K 0.03% DBT
944 AMERICAN EXPRESS CO 025816DK2 Feb 2026 402,000 $422K 0.03% DBT
945 PHILLIPS 66 718546AL8 Feb 2026 467,000 $421K 0.03% DBT
946 SOUTHERN CAL EDISON 842400JK0 Feb 2026 410,000 $421K 0.03% DBT
947 AEP TEXAS INC 00108WAP5 Feb 2026 416,000 $421K 0.03% DBT
948 AMERICAN TOWER CORP 03027XCD0 Feb 2026 398,000 $420K 0.03% DBT
949 JPMORGAN CHASE & CO 46647PAJ5 Feb 2026 463,000 $419K 0.03% DBT
950 VODAFONE GROUP PLC 92857WBS8 Feb 2026 469,000 $419K 0.03% DBT
951 ORACLE CORP 68389XAE5 Feb 2026 404,000 $419K 0.03% DBT
952 CAPITAL ONE FINANCIAL CO 14040HDA0 Feb 2026 385,000 $417K 0.03% DBT
953 CISCO SYSTEMS INC 17275RBU5 Feb 2026 429,000 $417K 0.03% DBT
954 DIAMONDBACK ENERGY INC 25278XBB4 Feb 2026 426,000 $417K 0.03% DBT
955 ROYAL BANK OF CANADA 78016HZS2 Feb 2026 405,000 $417K 0.03% DBT
956 MIZUHO FINANCIAL GROUP 60687YCM9 Feb 2026 390,000 $417K 0.03% DBT
957 VERIZON COMMUNICATIONS 92343VDR2 Feb 2026 432,000 $417K 0.03% DBT
958 AMERICAN TOWER CORP 03027XBA7 Feb 2026 436,000 $416K 0.03% DBT
959 BOSTON PROPERTIES LP 10112RBD5 Feb 2026 442,000 $416K 0.03% DBT
960 LOWE'S COS INC 548661DQ7 Feb 2026 517,000 $416K 0.03% DBT
961 WALT DISNEY COMPANY/THE 254687FM3 Feb 2026 646,000 $416K 0.03% DBT
962 VICI PROPERTIES LP 925650AD5 Feb 2026 410,000 $415K 0.03% DBT
963 MANULIFE FINANCIAL CORP 56501RAN6 Feb 2026 430,000 $415K 0.03% DBT
964 JOHN DEERE CAPITAL CORP 24422EWL9 Feb 2026 410,000 $415K 0.03% DBT
965 EQUITABLE HOLDINGS INC 054561AJ4 Feb 2026 413,000 $415K 0.03% DBT
966 CENTENE CORP 15135BAW1 Feb 2026 460,000 $414K 0.03% DBT
967 AT&T INC 00206RKA9 Feb 2026 580,000 $414K 0.03% DBT
968 ASTRAZENECA FINANCE LLC 04636NAH6 Feb 2026 398,000 $414K 0.03% DBT
969 CONNECTICUT LIGHT & PWR 207597EN1 Feb 2026 460,000 $413K 0.03% DBT
970 SANTANDER UK GROUP HLDGS 80281LAG0 Feb 2026 415,000 $413K 0.03% DBT
971 HOME DEPOT INC 437076CS9 Feb 2026 405,000 $413K 0.03% DBT
972 NISOURCE INC 65473PAX3 Feb 2026 400,000 $413K 0.03% DBT
973 HALLIBURTON CO 406216BK6 Feb 2026 450,000 $413K 0.03% DBT
974 AMAZON.COM INC 023135BF2 Feb 2026 443,000 $411K 0.03% DBT
975 GENERAL MILLS INC 370334CW2 Feb 2026 395,000 $410K 0.03% DBT
976 TRANSCANADA PIPELINES 8935268Z9 Feb 2026 337,000 $409K 0.03% DBT
977 ORACLE CORP 68389XCA1 Feb 2026 619,000 $409K 0.03% DBT
978 MORGAN STANLEY 61747YFD2 Feb 2026 400,000 $409K 0.03% DBT
979 TOYOTA MOTOR CREDIT CORP 89236TKR5 Feb 2026 400,000 $409K 0.03% DBT
980 TARGET CORP 87612EBA3 Feb 2026 475,000 $409K 0.03% DBT
981 ONEOK PARTNERS LP 68268NAC7 Feb 2026 367,000 $408K 0.03% DBT
982 LOWE'S COS INC 548661EL7 Feb 2026 395,000 $407K 0.03% DBT
983 TOTALENERGIES CAPITAL SA 89157XAC5 Feb 2026 412,000 $407K 0.03% DBT
984 INTEL CORP 458140CE8 Feb 2026 401,000 $407K 0.03% DBT
985 ENERGY TRANSFER LP 29278NAR4 Feb 2026 476,000 $407K 0.03% DBT
986 AMAZON.COM INC 023135CJ3 Feb 2026 515,000 $407K 0.03% DBT
987 SANDS CHINA LTD 80007RAQ8 Feb 2026 425,000 $406K 0.03% DBT
988 REALTY INCOME CORP 756109BP8 Feb 2026 380,000 $406K 0.03% DBT
989 BANK OF AMERICA CORP 06051GKA6 Feb 2026 450,000 $406K 0.03% DBT
990 HP ENTERPRISE CO 42824CCA5 Feb 2026 405,000 $406K 0.03% DBT
991 CITIGROUP INC 172967LJ8 Feb 2026 473,000 $405K 0.03% DBT
992 CHOICE HOTELS INTL INC 169905AH9 Feb 2026 390,000 $404K 0.03% DBT
993 SUMITOMO MITSUI FINL GRP 86562MDD9 Feb 2026 375,000 $404K 0.03% DBT
994 ANHEUSER-BUSCH INBEV WOR 03523TBW7 Feb 2026 389,000 $404K 0.03% DBT
995 MORGAN STANLEY 61748UAT9 Feb 2026 400,000 $403K 0.03% DBT
996 ABBOTT LABORATORIES 002824BG4 Feb 2026 400,000 $403K 0.03% DBT
997 INTEL CORP 458140CL2 Feb 2026 395,000 $403K 0.03% DBT
998 BARCLAYS PLC 06738EDD4 Feb 2026 400,000 $403K 0.03% DBT
999 MIZUHO FINANCIAL GROUP 60687YDL0 Feb 2026 395,000 $403K 0.03% DBT
1000 TRANSCANADA PIPELINES 89352HAD1 Feb 2026 370,000 $403K 0.03% DBT
1001 HUNTINGTON INGALLS INDUS 446413AT3 Feb 2026 403,000 $402K 0.03% DBT
1002 AUTODESK INC 052769AJ5 Feb 2026 395,000 $402K 0.03% DBT
1003 BROADCOM INC 11135FCV1 Feb 2026 485,000 $402K 0.03% DBT
1004 LLOYDS BANKING GROUP PLC 53944YBD4 Feb 2026 400,000 $402K 0.03% DBT
1005 CITIGROUP INC 17327CAQ6 Feb 2026 434,000 $401K 0.03% DBT
1006 ABBVIE INC 00287YEJ4 Feb 2026 400,000 $401K 0.03% DBT
1007 JOHN DEERE CAPITAL CORP 24422EWH8 Feb 2026 405,000 $401K 0.03% DBT
1008 AMGEN INC 031162DG2 Feb 2026 502,000 $401K 0.03% DBT
1009 AEP TEXAS INC 00108WAQ3 Feb 2026 435,000 $401K 0.03% DBT
1010 LABORATORY CORP OF AMER 50540RAS1 Feb 2026 441,000 $401K 0.03% DBT
1011 ARCHER-DANIELS-MIDLAND C 039483AT9 Feb 2026 366,000 $401K 0.03% DBT
1012 MIZUHO FINANCIAL GROUP 60687YDB2 Feb 2026 375,000 $401K 0.03% DBT
1013 BARCLAYS PLC 06738EDJ1 Feb 2026 400,000 $400K 0.03% DBT
1014 TRIMBLE INC 896239AC4 Feb 2026 396,000 $400K 0.03% DBT
1015 MARATHON PETROLEUM CORP 56585AAF9 Feb 2026 366,000 $400K 0.03% DBT
1016 BARCLAYS PLC 06738EDG7 Feb 2026 400,000 $400K 0.03% DBT
1017 JPMORGAN CHASE & CO 46625HJU5 Feb 2026 417,000 $400K 0.03% DBT
1018 ONEOK INC 682680DD2 Feb 2026 395,000 $399K 0.03% DBT
1019 KINDER MORGAN ENER PART 494550AL0 Feb 2026 341,000 $399K 0.03% DBT
1020 CROWN CASTLE INC 22822VAR2 Feb 2026 417,000 $399K 0.03% DBT
1021 AMAZON.COM INC 023135CB0 Feb 2026 587,000 $399K 0.03% DBT
1022 CHARTER COMM OPT LLC/CAP 161175BT0 Feb 2026 523,000 $399K 0.03% DBT
1023 SEMPRA 816851BJ7 Feb 2026 514,000 $398K 0.03% DBT
1024 ENTERGY LOUISIANA LLC 29364WBD9 Feb 2026 624,000 $398K 0.03% DBT
1025 LLOYDS BANKING GROUP PLC 53944YBE2 Feb 2026 400,000 $397K 0.03% DBT
1026 CHARLES SCHWAB CORP 808513CA1 Feb 2026 430,000 $397K 0.03% DBT
1027 MORGAN STANLEY 61747YFL4 Feb 2026 380,000 $397K 0.03% DBT
1028 HUNTINGTON INGALLS INDUS 446413AZ9 Feb 2026 415,000 $396K 0.03% DBT
1029 ONEOK INC 682680CF8 Feb 2026 420,000 $396K 0.03% DBT
1030 KINDER MORGAN INC 28368EAD8 Feb 2026 338,000 $396K 0.03% DBT
1031 WILLIAMS COMPANIES INC 96949LAC9 Feb 2026 423,000 $396K 0.03% DBT
1032 CONOCOPHILLIPS 20825CAP9 Feb 2026 365,000 $395K 0.03% DBT
1033 EVERSOURCE ENERGY 30040WAH1 Feb 2026 556,000 $395K 0.03% DBT
1034 BP CAP MARKETS AMERICA 10373QBG4 Feb 2026 591,000 $395K 0.03% DBT
1035 NSTAR ELECTRIC CO 67021CAJ6 Feb 2026 449,000 $395K 0.03% DBT
1036 BANCO SANTANDER SA 05964HAQ8 Feb 2026 395,000 $395K 0.03% DBT
1037 NATIONAL RURAL UTIL COOP 637432NT8 Feb 2026 462,000 $395K 0.03% DBT
1038 CANADIAN PACIFIC RAILWAY 13645RBH6 Feb 2026 578,000 $395K 0.03% DBT
1039 GOLDMAN SACHS GROUP INC 38141GB78 Feb 2026 390,000 $394K 0.03% DBT
1040 APTIV SWISS HOLDINGS LTD 03835VAJ5 Feb 2026 605,000 $394K 0.03% DBT
1041 IBM CORP 459200BB6 Feb 2026 363,000 $393K 0.03% DBT
1042 CVS HEALTH CORP 126650DU1 Feb 2026 379,000 $393K 0.03% DBT
1043 MOLSON COORS BEVERAGE 60871RAD2 Feb 2026 418,000 $392K 0.03% DBT
1044 BARCLAYS PLC 06738EDE2 Feb 2026 380,000 $391K 0.03% DBT
1045 ORACLE CORP 68389XBW4 Feb 2026 520,000 $390K 0.03% DBT
1046 TRANSCANADA PIPELINES 89352HAM1 Feb 2026 393,000 $390K 0.03% DBT
1047 BROOKFIELD FINANCE INC 11271LAC6 Feb 2026 391,000 $390K 0.03% DBT
1048 OVINTIV INC 292505AD6 Feb 2026 356,000 $390K 0.03% DBT
1049 HCA INC 404119BV0 Feb 2026 409,000 $390K 0.03% DBT
1050 HONEYWELL INTERNATIONAL 438516CL8 Feb 2026 385,000 $390K 0.03% DBT
1051 CAPITAL ONE FINANCIAL CO 14040HCG8 Feb 2026 442,000 $390K 0.03% DBT
1052 L3HARRIS TECH INC 413875AS4 Feb 2026 385,000 $389K 0.03% DBT
1053 TARGA RESOURCES PARTNERS 87612BBU5 Feb 2026 400,000 $388K 0.03% DBT
1054 DOW CHEMICAL CO/THE 260543DJ9 Feb 2026 390,000 $388K 0.03% DBT
1055 DIAGEO INVESTMENT CORP 25245BAE7 Feb 2026 365,000 $388K 0.03% DBT
1056 CITIGROUP INC 172967BL4 Feb 2026 349,000 $388K 0.03% DBT
1057 AMERICAN TOWER CORP 03027XAP5 Feb 2026 390,000 $388K 0.03% DBT
1058 UNITED PARCEL SERVICE 911312AN6 Feb 2026 393,000 $387K 0.03% DBT
1059 FOX CORP 35137LAK1 Feb 2026 409,000 $387K 0.03% DBT
1060 META PLATFORMS INC 30303M8V7 Feb 2026 410,000 $387K 0.03% DBT
1061 METLIFE INC 59156RCN6 Feb 2026 372,000 $387K 0.03% DBT
1062 MCCORMICK & CO 579780AQ0 Feb 2026 412,000 $386K 0.03% DBT
1063 ANHEUSER-BUSCH INBEV WOR 035240AF7 Feb 2026 351,000 $386K 0.03% DBT
1064 MOSAIC CO 61945CAD5 Feb 2026 372,000 $386K 0.03% DBT
1065 MORGAN STANLEY 6174468N2 Feb 2026 382,000 $386K 0.03% DBT
1066 KIMBERLY-CLARK CORP 494368CC5 Feb 2026 400,000 $385K 0.03% DBT
1067 PECO ENERGY CO 693304AW7 Feb 2026 482,000 $385K 0.03% DBT
1068 GENERAL MOTORS FINL CO 37045XEP7 Feb 2026 359,000 $384K 0.03% DBT
1069 KILROY REALTY LP 49427RAK8 Feb 2026 391,000 $384K 0.03% DBT
1070 EQT CORP 26884LAG4 Feb 2026 351,000 $384K 0.03% DBT
1071 WELLS FARGO & COMPANY 94974BGE4 Feb 2026 437,000 $384K 0.03% DBT
1072 FIRST AMERICAN FINANCIAL 31847RAG7 Feb 2026 395,000 $384K 0.03% DBT
1073 ABBVIE INC 00287YBF5 Feb 2026 379,000 $384K 0.03% DBT
1074 AMAZON.COM INC 023135AP1 Feb 2026 370,000 $383K 0.03% DBT
1075 KINDER MORGAN INC 494553AE0 Feb 2026 365,000 $383K 0.03% DBT
1076 AMGEN INC 031162CD0 Feb 2026 439,000 $383K 0.03% DBT
1077 OWENS CORNING 690742AQ4 Feb 2026 370,000 $383K 0.03% DBT
1078 BRISTOL-MYERS SQUIBB CO 110122DJ4 Feb 2026 401,000 $382K 0.03% DBT
1079 PACIFIC GAS & ELECTRIC 694308JQ1 Feb 2026 429,000 $381K 0.03% DBT
1080 ELI LILLY & CO 532457BU1 Feb 2026 474,000 $381K 0.03% DBT
1081 LOWE'S COS INC 548661EA1 Feb 2026 411,000 $381K 0.03% DBT
1082 BARCLAYS PLC 06738EBP9 Feb 2026 400,000 $381K 0.03% DBT
1083 NOMURA HOLDINGS INC 65535HAS8 Feb 2026 407,000 $380K 0.03% DBT
1084 PRUDENTIAL FINANCIAL INC 74432QCG8 Feb 2026 407,000 $380K 0.03% DBT
1085 CROWN CASTLE INC 22822VBD2 Feb 2026 365,000 $380K 0.03% DBT
1086 GOLDMAN SACHS GROUP INC 38143YAC7 Feb 2026 345,000 $380K 0.03% DBT
1087 ONEOK PARTNERS LP 68268NAD5 Feb 2026 338,000 $380K 0.03% DBT
1088 MORGAN STANLEY 61744YAL2 Feb 2026 418,000 $379K 0.03% DBT
1089 MITSUBISHI UFJ FIN GRP 606822CX0 Feb 2026 360,000 $379K 0.03% DBT
1090 TEXAS INSTRUMENTS INC 882508CG7 Feb 2026 370,000 $379K 0.03% DBT
1091 CONOCOPHILLIPS COMPANY 20826FBD7 Feb 2026 510,000 $379K 0.03% DBT
1092 ORACLE CORP 68389XBE4 Feb 2026 432,000 $378K 0.03% DBT
1093 WALT DISNEY COMPANY/THE 254687FS0 Feb 2026 420,000 $378K 0.03% DBT
1094 MERCK & CO INC 806605AG6 Feb 2026 332,000 $378K 0.03% DBT
1095 MITSUBISHI UFJ FIN GRP 606822BK9 Feb 2026 426,000 $378K 0.03% DBT
1096 NOVARTIS CAPITAL CORP 66989HAS7 Feb 2026 577,000 $378K 0.03% DBT
1097 ELEVANCE HEALTH INC 036752AT0 Feb 2026 385,000 $378K 0.03% DBT
1098 DOW CHEMICAL CO/THE 260543BY8 Feb 2026 294,000 $378K 0.03% DBT
1099 GENERAL MOTORS CO 37045VAK6 Feb 2026 344,000 $377K 0.03% DBT
1100 MIZUHO FINANCIAL GROUP 60687YBH1 Feb 2026 410,000 $377K 0.03% DBT
1101 RTX CORP 913017BK4 Feb 2026 340,000 $377K 0.03% DBT
1102 INTEL CORP 458140AN0 Feb 2026 390,000 $377K 0.03% DBT
1103 MICROSOFT CORP 594918BE3 Feb 2026 466,000 $377K 0.03% DBT
1104 ONEOK INC 682680BB8 Feb 2026 393,000 $376K 0.03% DBT
1105 BRISTOL-MYERS SQUIBB CO 110122DS4 Feb 2026 624,000 $376K 0.03% DBT
1106 TARGA RESOURCES CORP 87612GAA9 Feb 2026 387,000 $376K 0.03% DBT
1107 SANDS CHINA LTD 80007RAS4 Feb 2026 404,000 $376K 0.03% DBT
1108 ONEOK INC 682680BG7 Feb 2026 348,000 $376K 0.03% DBT
1109 TARGET CORP 87612EAR7 Feb 2026 327,000 $376K 0.03% DBT
1110 S&P GLOBAL INC 78409VAR5 Feb 2026 730,000 $375K 0.03% DBT
1111 ORACLE CORP 68389XBQ7 Feb 2026 545,000 $375K 0.03% DBT
1112 ABBVIE INC 00287YDW6 Feb 2026 382,000 $375K 0.03% DBT
1113 META PLATFORMS INC 30303M8K1 Feb 2026 462,000 $375K 0.03% DBT
1114 MERCK & CO INC 58933YAJ4 Feb 2026 427,000 $375K 0.03% DBT
1115 SIMON PROPERTY GROUP LP 828807DU8 Feb 2026 353,000 $375K 0.03% DBT
1116 CONNECTICUT LIGHT & PWR 207597EP6 Feb 2026 390,000 $374K 0.03% DBT
1117 AMERICAN TOWER CORP 03027XBS8 Feb 2026 416,000 $374K 0.03% DBT
1118 BORGWARNER INC 099724AQ9 Feb 2026 360,000 $374K 0.03% DBT
1119 CANADIAN IMPERIAL BANK 13607PVQ4 Feb 2026 360,000 $374K 0.03% DBT
1120 BROADCOM INC 11135FCX7 Feb 2026 375,000 $373K 0.03% DBT
1121 BALTIMORE GAS & ELECTRIC 059165ES5 Feb 2026 370,000 $373K 0.03% DBT
1122 JPMORGAN CHASE & CO 46647PAN6 Feb 2026 464,000 $373K 0.03% DBT
1123 VERIZON COMMUNICATIONS 92343VBT0 Feb 2026 335,000 $373K 0.03% DBT
1124 US BANCORP 91159HJB7 Feb 2026 421,000 $373K 0.03% DBT
1125 TEXAS INSTRUMENTS INC 882508BD5 Feb 2026 444,000 $372K 0.03% DBT
1126 HALLIBURTON CO 406216BJ9 Feb 2026 372,000 $372K 0.03% DBT
1127 RTX CORP 913017BP3 Feb 2026 335,000 $372K 0.03% DBT
1128 ONCOR ELECTRIC DELIVERY 68233JCD4 Feb 2026 610,000 $372K 0.03% DBT
1129 AMERICAN ASSETS TRUST LP 02401LAA2 Feb 2026 404,000 $372K 0.03% DBT
1130 INTUIT INC 46124HAH9 Feb 2026 392,000 $371K 0.03% DBT
1131 KROGER CO 501044DV0 Feb 2026 365,000 $371K 0.03% DBT
1132 ING GROEP NV 456837AQ6 Feb 2026 370,000 $370K 0.03% DBT
1133 COMCAST CORP 20030NCN9 Feb 2026 433,000 $370K 0.03% DBT
1134 AMERICAN HONDA FINANCE 02665WCE9 Feb 2026 372,000 $370K 0.03% DBT
1135 KRAFT HEINZ FOODS CO 50077LBJ4 Feb 2026 395,000 $369K 0.03% DBT
1136 EQUINIX INC 29444UBU9 Feb 2026 380,000 $368K 0.03% DBT
1137 TAKEDA PHARMACEUTICAL 874060AZ9 Feb 2026 536,000 $368K 0.03% DBT
1138 SHELL FINANCE US INC 822905BB0 Feb 2026 555,000 $367K 0.03% DBT
1139 CITIGROUP INC 17308CC53 Feb 2026 383,000 $367K 0.03% DBT
1140 HOME DEPOT INC 437076DE9 Feb 2026 355,000 $367K 0.03% DBT
1141 SUZANO AUSTRIA GMBH 86964WAJ1 Feb 2026 384,000 $366K 0.03% DBT
1142 CVS HEALTH CORP 126650EA4 Feb 2026 374,000 $365K 0.03% DBT
1143 MORGAN STANLEY 6174468Y8 Feb 2026 570,000 $365K 0.03% DBT
1144 ITC HOLDINGS CORP 465685AP0 Feb 2026 369,000 $365K 0.03% DBT
1145 CUMMINS INC 231021BA3 Feb 2026 347,000 $365K 0.03% DBT
1146 TIME WARNER CABLE LLC 88732JAU2 Feb 2026 356,000 $365K 0.03% DBT
1147 BROADCOM INC 11135FBD2 Feb 2026 353,000 $365K 0.03% DBT
1148 NOV INC 637071AM3 Feb 2026 372,000 $365K 0.03% DBT
1149 TORONTO-DOMINION BANK 89115A2E1 Feb 2026 362,000 $365K 0.03% DBT
1150 UNION PACIFIC CORP 907818FK9 Feb 2026 519,000 $365K 0.03% DBT
1151 PUBLIC SERVICE ENTERPRIS 744573AX4 Feb 2026 335,000 $363K 0.03% DBT
1152 MEDTRONIC INC 585055BU9 Feb 2026 392,000 $363K 0.03% DBT
1153 HONEYWELL INTERNATIONAL 438516AR7 Feb 2026 336,000 $363K 0.03% DBT
1154 CDW LLC/CDW FINANCE 12513GBJ7 Feb 2026 388,000 $363K 0.03% DBT
1155 ROYAL BANK OF CANADA 78016FZU1 Feb 2026 350,000 $362K 0.03% DBT
1156 ELI LILLY & CO 532457CN6 Feb 2026 390,000 $362K 0.03% DBT
1157 AMERICAN TOWER CORP 03027XBM1 Feb 2026 390,000 $362K 0.03% DBT
1158 MPLX LP 55336VAT7 Feb 2026 386,000 $362K 0.03% DBT
1159 PHILLIPS 66 718546AH7 Feb 2026 352,000 $362K 0.03% DBT
1160 MORGAN STANLEY 61748UAS1 Feb 2026 360,000 $362K 0.03% DBT
1161 TORONTO-DOMINION BANK 89115A2Y7 Feb 2026 351,000 $361K 0.03% DBT
1162 BROADCOM INC 11135FCY5 Feb 2026 360,000 $361K 0.03% DBT
1163 HONEYWELL INTERNATIONAL 438516CT1 Feb 2026 375,000 $361K 0.03% DBT
1164 BARCLAYS PLC 06738EAJ4 Feb 2026 370,000 $361K 0.03% DBT
1165 EDISON INTERNATIONAL 281020AW7 Feb 2026 335,000 $360K 0.03% DBT
1166 PRUDENTIAL FINANCIAL INC 74432QBD6 Feb 2026 313,000 $360K 0.03% DBT
1167 BANK OF AMERICA CORP 06051GMD8 Feb 2026 350,000 $359K 0.03% DBT
1168 TOLL BROS FINANCE CORP 88947EAT7 Feb 2026 357,000 $359K 0.03% DBT
1169 SEMPRA 816851BH1 Feb 2026 411,000 $359K 0.03% DBT
1170 ASSURANT INC 04621XAN8 Feb 2026 400,000 $359K 0.03% DBT
1171 NORFOLK SOUTHERN CORP 655844BV9 Feb 2026 455,000 $359K 0.03% DBT
1172 BALTIMORE GAS & ELECTRIC 059165EH9 Feb 2026 474,000 $359K 0.03% DBT
1173 GILEAD SCIENCES INC 375558AS2 Feb 2026 342,000 $358K 0.03% DBT
1174 WELLS FARGO & COMPANY 95000U2A0 Feb 2026 360,000 $358K 0.03% DBT
1175 PNC FINANCIAL SERVICES 693475CC7 Feb 2026 340,000 $358K 0.03% DBT
1176 APTIV SWISS HOLDINGS LTD 00217GAC7 Feb 2026 461,000 $358K 0.03% DBT
1177 LLOYDS BANKING GROUP PLC 539439BE8 Feb 2026 340,000 $358K 0.03% DBT
1178 COMCAST CORP 20030NCE9 Feb 2026 472,000 $357K 0.03% DBT
1179 FEDERAL REALTY OP LP 313747AY3 Feb 2026 360,000 $357K 0.03% DBT
1180 UNILEVER CAPITAL CORP 904764BK2 Feb 2026 395,000 $357K 0.03% DBT
1181 BARCLAYS PLC 06738ECX1 Feb 2026 350,000 $356K 0.03% DBT
1182 EDISON INTERNATIONAL 281020BB2 Feb 2026 350,000 $356K 0.03% DBT
1183 CANADIAN NATL RAILWAY 136375CP5 Feb 2026 459,000 $356K 0.03% DBT
1184 ABBVIE INC 00287YED7 Feb 2026 355,000 $355K 0.03% DBT
1185 TIME WARNER CABLE LLC 88732JAN8 Feb 2026 328,000 $355K 0.03% DBT
1186 AMERICAN EXPRESS CO 025816EH8 Feb 2026 335,000 $355K 0.03% DBT
1187 WILLIAMS COMPANIES INC 969457CV0 Feb 2026 350,000 $354K 0.03% DBT
1188 PECO ENERGY CO 693304BJ5 Feb 2026 350,000 $354K 0.03% DBT
1189 NXP BV/NXP FDG/NXP USA 62954HAY4 Feb 2026 365,000 $354K 0.03% DBT
1190 LLOYDS BANKING GROUP PLC 539439AQ2 Feb 2026 355,000 $353K 0.03% DBT
1191 VERIZON COMMUNICATIONS 92343VGN8 Feb 2026 395,000 $352K 0.03% DBT
1192 CVS HEALTH CORP 126650DV9 Feb 2026 370,000 $352K 0.03% DBT
1193 PUBLIC SERVICE ELECTRIC 74456QCV6 Feb 2026 355,000 $352K 0.03% DBT
1194 DEVON ENERGY CORPORATION 25179MAL7 Feb 2026 351,000 $352K 0.03% DBT
1195 SEMPRA 816851AP4 Feb 2026 333,000 $352K 0.03% DBT
1196 CHENIERE CORP CHRISTI HD 16412XAG0 Feb 2026 348,000 $351K 0.03% DBT
1197 RYDER SYSTEM INC 78355HLB3 Feb 2026 337,000 $351K 0.03% DBT
1198 RTX CORP 913017BS7 Feb 2026 330,000 $351K 0.02% DBT
1199 FIFTH THIRD BANCORP 316773CH1 Feb 2026 283,000 $351K 0.02% DBT
1200 BP CAP MARKETS AMERICA 10373QBN9 Feb 2026 552,000 $351K 0.02% DBT
1201 HSBC HOLDINGS PLC 404280EE5 Feb 2026 330,000 $350K 0.02% DBT
1202 MCCORMICK & CO 579780AN7 Feb 2026 352,000 $350K 0.02% DBT
1203 ONCOR ELECTRIC DELIVERY 68233JBR4 Feb 2026 518,000 $350K 0.02% DBT
1204 RAYMOND JAMES FINANCIAL 754730AG4 Feb 2026 342,000 $350K 0.02% DBT
1205 CONOCOPHILLIPS COMPANY 20826FBL9 Feb 2026 340,000 $350K 0.02% DBT
1206 LOWE'S COS INC 548661EF0 Feb 2026 441,000 $349K 0.02% DBT
1207 HCA INC 404119CL1 Feb 2026 421,000 $349K 0.02% DBT
1208 HALLIBURTON CO 406216AY7 Feb 2026 289,000 $349K 0.02% DBT
1209 INTEL CORP 458140BZ2 Feb 2026 350,000 $349K 0.02% DBT
1210 JPMORGAN CHASE & CO 46647PAR7 Feb 2026 349,000 $349K 0.02% DBT
1211 GILEAD SCIENCES INC 375558BJ1 Feb 2026 370,000 $349K 0.02% DBT
1212 BARCLAYS PLC 06738EBR5 Feb 2026 379,000 $349K 0.02% DBT
1213 MICROSOFT CORP 594918BU7 Feb 2026 438,000 $349K 0.02% DBT
1214 MERCK & CO INC 58933YBN4 Feb 2026 375,000 $348K 0.02% DBT
1215 AMERICAN TOWER CORP 03027XCM0 Feb 2026 335,000 $348K 0.02% DBT
1216 EXELON CORP 30161NBV2 Feb 2026 350,000 $348K 0.02% DBT
1217 ALIBABA GROUP HOLDING 01609WAZ5 Feb 2026 503,000 $348K 0.02% DBT
1218 ANHEUSER-BUSCH INBEV WOR 035240AR1 Feb 2026 334,000 $348K 0.02% DBT
1219 TRUIST FINANCIAL CORP 89788MAP7 Feb 2026 325,000 $348K 0.02% DBT
1220 VERIZON COMMUNICATIONS 92343VCM4 Feb 2026 390,000 $348K 0.02% DBT
1221 EQT CORP 26884LAR0 Feb 2026 328,000 $347K 0.02% DBT
1222 MIZUHO FINANCIAL GROUP 60687YCT4 Feb 2026 325,000 $347K 0.02% DBT
1223 VIATRIS INC 92556VAF3 Feb 2026 507,000 $347K 0.02% DBT
1224 DANAHER CORP 235851AW2 Feb 2026 543,000 $347K 0.02% DBT
1225 IQVIA INC 46266TAF5 Feb 2026 330,000 $347K 0.02% DBT
1226 SUMITOMO MITSUI FINL GRP 86562MDC1 Feb 2026 325,000 $347K 0.02% DBT
1227 ONEOK INC 682680BE2 Feb 2026 320,000 $347K 0.02% DBT
1228 ENBRIDGE INC 29250NCD5 Feb 2026 336,000 $347K 0.02% DBT
1229 SOUTHERN CAL EDISON 842400ES8 Feb 2026 325,000 $346K 0.02% DBT
1230 PROLOGIS LP 74340XCE9 Feb 2026 340,000 $346K 0.02% DBT
1231 UNITED PARCEL SERVICE 911312BN5 Feb 2026 440,000 $346K 0.02% DBT
1232 GATX CORP 361448BK8 Feb 2026 340,000 $346K 0.02% DBT
1233 FLORIDA POWER & LIGHT CO 341081FU6 Feb 2026 428,000 $346K 0.02% DBT
1234 COMCAST CORP 20030NBE0 Feb 2026 385,000 $346K 0.02% DBT
1235 ASSURANT INC 04621XAQ1 Feb 2026 340,000 $345K 0.02% DBT
1236 LOWE'S COS INC 548661CX3 Feb 2026 371,000 $343K 0.02% DBT
1237 KEURIG DR PEPPER INC 49271VAQ3 Feb 2026 353,000 $343K 0.02% DBT
1238 CONAGRA BRANDS INC 205887CE0 Feb 2026 383,000 $343K 0.02% DBT
1239 EXELON CORP 30161NAY7 Feb 2026 398,000 $343K 0.02% DBT
1240 VALERO ENERGY CORP 91913YAE0 Feb 2026 295,000 $343K 0.02% DBT
1241 WEYERHAEUSER CO 962166BY9 Feb 2026 345,000 $342K 0.02% DBT
1242 BANK OF AMERICA CORP 06051GJW0 Feb 2026 430,000 $342K 0.02% DBT
1243 MORGAN STANLEY 61747YFZ3 Feb 2026 330,000 $342K 0.02% DBT
1244 VERIZON COMMUNICATIONS 92343VCZ5 Feb 2026 405,000 $342K 0.02% DBT
1245 EVERSOURCE ENERGY 30040WAU2 Feb 2026 334,000 $341K 0.02% DBT
1246 EXELON CORP 30161NAS0 Feb 2026 366,000 $341K 0.02% DBT
1247 CROWN CASTLE INC 22822VAY7 Feb 2026 377,000 $341K 0.02% DBT
1248 BANK OF MONTREAL 06368LGV2 Feb 2026 332,000 $340K 0.02% DBT
1249 UNITEDHEALTH GROUP INC 91324PBK7 Feb 2026 293,000 $340K 0.02% DBT
1250 BRISTOL-MYERS SQUIBB CO 110122DW5 Feb 2026 456,000 $340K 0.02% DBT
1251 ENTERGY LOUISIANA LLC 29364WBN7 Feb 2026 339,000 $340K 0.02% DBT
1252 GOLDMAN SACHS GROUP INC 38141GA46 Feb 2026 321,000 $340K 0.02% DBT
1253 MORGAN STANLEY 61747YES0 Feb 2026 331,000 $339K 0.02% DBT
1254 AMAZON.COM INC 023135CC8 Feb 2026 527,000 $339K 0.02% DBT
1255 GILEAD SCIENCES INC 375558BA0 Feb 2026 379,000 $339K 0.02% DBT
1256 EVERSOURCE ENERGY 30040WAE8 Feb 2026 343,000 $339K 0.02% DBT
1257 APPLE INC 037833ER7 Feb 2026 425,000 $338K 0.02% DBT
1258 SANTANDER HOLDINGS USA 80282KBQ8 Feb 2026 325,000 $338K 0.02% DBT
1259 PUB SVC NEW HAMP 744538AF6 Feb 2026 320,000 $338K 0.02% DBT
1260 UNITEDHEALTH GROUP INC 91324PES7 Feb 2026 332,000 $338K 0.02% DBT
1261 COMCAST CORP 20030NCG4 Feb 2026 449,000 $337K 0.02% DBT
1262 NISOURCE INC 65473PAY1 Feb 2026 335,000 $337K 0.02% DBT
1263 OWENS CORNING 690742AB7 Feb 2026 293,000 $337K 0.02% DBT
1264 UNILEVER CAPITAL CORP 904764BH9 Feb 2026 355,000 $336K 0.02% DBT
1265 ENTERGY TEXAS INC 29365TAN4 Feb 2026 330,000 $336K 0.02% DBT
1266 NSTAR ELECTRIC CO 67021CAR8 Feb 2026 377,000 $336K 0.02% DBT
1267 PHILLIPS 66 718546AK0 Feb 2026 338,000 $335K 0.02% DBT
1268 CAMPBELLS COMPANY/THE 134429BP3 Feb 2026 328,000 $335K 0.02% DBT
1269 FISERV INC 337738AV0 Feb 2026 423,000 $335K 0.02% DBT
1270 NORFOLK SOUTHERN CORP 655844BZ0 Feb 2026 335,000 $335K 0.02% DBT
1271 SYNOPSYS INC 871607AG2 Feb 2026 335,000 $335K 0.02% DBT
1272 BANK OF AMERICA CORP 06051GMQ9 Feb 2026 320,000 $334K 0.02% DBT
1273 CUMMINS INC 231021AQ9 Feb 2026 344,000 $334K 0.02% DBT
1274 WALT DISNEY COMPANY/THE 254687EZ5 Feb 2026 260,000 $334K 0.02% DBT
1275 DEERE & COMPANY 244199BM6 Feb 2026 315,000 $334K 0.02% DBT
1276 HONDA MOTOR CO LTD 438127AC6 Feb 2026 360,000 $333K 0.02% DBT
1277 INTEL CORP 458140AT7 Feb 2026 380,000 $333K 0.02% DBT
1278 CITIGROUP INC 172967PL9 Feb 2026 320,000 $333K 0.02% DBT
1279 COCA-COLA CO/THE 191216CQ1 Feb 2026 388,000 $333K 0.02% DBT
1280 RTX CORP 75513EAC5 Feb 2026 485,000 $333K 0.02% DBT
1281 AMERICAN TOWER CORP 03027XBC3 Feb 2026 363,000 $333K 0.02% DBT
1282 WELLS FARGO & COMPANY 95000U3H4 Feb 2026 300,000 $333K 0.02% DBT
1283 JPMORGAN CHASE & CO 46647PBL9 Feb 2026 355,000 $333K 0.02% DBT
1284 COMCAST CORP 20030NDP3 Feb 2026 612,000 $333K 0.02% DBT
1285 COMCAST CORP 20030NAK7 Feb 2026 295,000 $333K 0.02% DBT
1286 EXXON MOBIL CORPORATION 30231GAW2 Feb 2026 390,000 $333K 0.02% DBT
1287 CANADIAN IMPERIAL BANK 13607LNG4 Feb 2026 325,000 $332K 0.02% DBT
1288 BARCLAYS PLC 06738ECR4 Feb 2026 319,000 $332K 0.02% DBT
1289 CRH AMERICA FINANCE INC 12636YAH5 Feb 2026 330,000 $332K 0.02% DBT
1290 SUMITOMO MITSUI FINL GRP 86562MCJ7 Feb 2026 370,000 $332K 0.02% DBT
1291 CROWN CASTLE INC 22822VAW1 Feb 2026 372,000 $332K 0.02% DBT
1292 AVNET INC 053807AU7 Feb 2026 360,000 $332K 0.02% DBT
1293 TORONTO-DOMINION BANK 89115A2U5 Feb 2026 320,000 $332K 0.02% DBT
1294 CONNECTICUT LIGHT & PWR 207597EG6 Feb 2026 380,000 $332K 0.02% DBT
1295 SPIRE MISSOURI INC 84859DAA5 Feb 2026 475,000 $331K 0.02% DBT
1296 LAZARD GROUP LLC 52107QAM7 Feb 2026 320,000 $331K 0.02% DBT
1297 INTEL CORP 458140CJ7 Feb 2026 349,000 $331K 0.02% DBT
1298 WILLIS NORTH AMERICA INC 970648AJ0 Feb 2026 346,000 $331K 0.02% DBT
1299 CIGNA GROUP/THE 125523CS7 Feb 2026 315,000 $331K 0.02% DBT
1300 CENCORA INC 03073EAT2 Feb 2026 355,000 $331K 0.02% DBT
1301 MITSUBISHI UFJ FIN GRP 606822BE3 Feb 2026 352,000 $331K 0.02% DBT
1302 WW GRAINGER INC 384802AB0 Feb 2026 358,000 $331K 0.02% DBT
1303 PNC FINANCIAL SERVICES 693475AW5 Feb 2026 334,000 $330K 0.02% DBT
1304 MPLX LP 55336VAL4 Feb 2026 362,000 $330K 0.02% DBT
1305 MASTERCARD INC 57636QAL8 Feb 2026 429,000 $330K 0.02% DBT
1306 TIME WARNER CABLE LLC 88732JAJ7 Feb 2026 320,000 $330K 0.02% DBT
1307 BANK OF AMERICA CORP 06051GJE0 Feb 2026 444,000 $330K 0.02% DBT
1308 SPRINT CAPITAL CORP 852060AT9 Feb 2026 270,000 $330K 0.02% DBT
1309 LLOYDS BANKING GROUP PLC 539439AT6 Feb 2026 325,000 $330K 0.02% DBT
1310 WILLIAMS COMPANIES INC 96950FAF1 Feb 2026 302,000 $329K 0.02% DBT
1311 SOUTHERN CAL EDISON 842400EB5 Feb 2026 311,000 $329K 0.02% DBT
1312 US BANCORP 91159HJK7 Feb 2026 325,000 $329K 0.02% DBT
1313 AERCAP IRELAND CAP/GLOBA 00774MAR6 Feb 2026 326,000 $329K 0.02% DBT
1314 CDW LLC/CDW FINANCE 12513GBH1 Feb 2026 337,000 $329K 0.02% DBT
1315 ONCOR ELECTRIC DELIVERY 68233JCU6 Feb 2026 332,000 $328K 0.02% DBT
1316 COMCAST CORP 20030NCC3 Feb 2026 428,000 $328K 0.02% DBT
1317 VERIZON COMMUNICATIONS 92343VGJ7 Feb 2026 355,000 $328K 0.02% DBT
1318 WEYERHAEUSER CO 962166AW4 Feb 2026 314,000 $328K 0.02% DBT
1319 COCA-COLA CO/THE 191216DL1 Feb 2026 482,000 $328K 0.02% DBT
1320 BROOKFIELD FINANCE INC 11271LAD4 Feb 2026 322,000 $328K 0.02% DBT
1321 JOHNSON & JOHNSON 478160BV5 Feb 2026 398,000 $327K 0.02% DBT
1322 HALLIBURTON CO 406216BL4 Feb 2026 341,000 $327K 0.02% DBT
1323 PRUDENTIAL FINANCIAL INC 744320BK7 Feb 2026 315,000 $326K 0.02% DBT
1324 HSBC HOLDINGS PLC 404280CV9 Feb 2026 341,000 $326K 0.02% DBT
1325 CANADIAN NATL RAILWAY 136375CK6 Feb 2026 441,000 $326K 0.02% DBT
1326 COMCAST CORP 20030NAV3 Feb 2026 281,000 $326K 0.02% DBT
1327 WILLIAMS COMPANIES INC 969457CW8 Feb 2026 320,000 $325K 0.02% DBT
1328 KINDER MORGAN ENER PART 494550AJ5 Feb 2026 284,000 $325K 0.02% DBT
1329 ANHEUSER-BUSCH INBEV WOR 035240AP5 Feb 2026 364,000 $325K 0.02% DBT
1330 IBM CORP 459200AR2 Feb 2026 314,000 $325K 0.02% DBT
1331 INTERCONTINENTALEXCHANGE 45866FAY0 Feb 2026 350,000 $324K 0.02% DBT
1332 ANGLOGOLD HOLDINGS PLC 03512TAF8 Feb 2026 333,000 $324K 0.02% DBT
1333 MARATHON PETROLEUM CORP 56585ABD3 Feb 2026 325,000 $324K 0.02% DBT
1334 WELLTOWER OP LLC 95040QAJ3 Feb 2026 335,000 $324K 0.02% DBT
1335 UNITEDHEALTH GROUP INC 91324PET5 Feb 2026 315,000 $324K 0.02% DBT
1336 HSBC BANK USA NA 4042Q1AD9 Feb 2026 275,000 $324K 0.02% DBT
1337 EXXON MOBIL CORPORATION 30231GBF8 Feb 2026 347,000 $323K 0.02% DBT
1338 ORACLE CORP 68389XBH7 Feb 2026 379,000 $323K 0.02% DBT
1339 KROGER CO 501044DW8 Feb 2026 335,000 $323K 0.02% DBT
1340 VERIZON COMMUNICATIONS 92343VFV1 Feb 2026 542,000 $323K 0.02% DBT
1341 SOUTHERN CAL EDISON 842400HN6 Feb 2026 475,000 $323K 0.02% DBT
1342 EXELON CORP 30161NBL4 Feb 2026 332,000 $323K 0.02% DBT
1343 ELEVANCE HEALTH INC 036752AZ6 Feb 2026 310,000 $322K 0.02% DBT
1344 VISA INC 92826CAM4 Feb 2026 345,000 $322K 0.02% DBT
1345 HCA INC 404119CB3 Feb 2026 467,000 $322K 0.02% DBT
1346 JPMORGAN CHASE & CO 46647PDY9 Feb 2026 293,000 $322K 0.02% DBT
1347 HSBC HOLDINGS PLC 404280CY3 Feb 2026 350,000 $322K 0.02% DBT
1348 MORGAN STANLEY 61747YEH4 Feb 2026 355,000 $322K 0.02% DBT
1349 AON NORTH AMERICA INC 03740MAF7 Feb 2026 325,000 $322K 0.02% DBT
1350 CHARTER COMM OPT LLC/CAP 161175CC6 Feb 2026 480,000 $322K 0.02% DBT
1351 TARGET CORP 87612EBF2 Feb 2026 411,000 $322K 0.02% DBT
1352 SOUTHERN CAL EDISON 842400JD6 Feb 2026 334,000 $322K 0.02% DBT
1353 HOST HOTELS & RESORTS LP 44107TBC9 Feb 2026 315,000 $321K 0.02% DBT
1354 BANK OF AMERICA CORP 06051GKP3 Feb 2026 320,000 $321K 0.02% DBT
1355 HOME DEPOT INC 437076BT8 Feb 2026 325,000 $321K 0.02% DBT
1356 HOME DEPOT INC 437076BH4 Feb 2026 373,000 $321K 0.02% DBT
1357 GOLDMAN SACHS GROUP INC 38141GA95 Feb 2026 300,000 $320K 0.02% DBT
1358 HCA INC 404119CU1 Feb 2026 305,000 $320K 0.02% DBT
1359 ORACLE CORP 68389XBG9 Feb 2026 462,000 $320K 0.02% DBT
1360 US BANCORP 91159HJL5 Feb 2026 315,000 $320K 0.02% DBT
1361 MICROSOFT CORP 594918CB8 Feb 2026 356,000 $319K 0.02% DBT
1362 CON EDISON CO OF NY INC 209111FZ1 Feb 2026 535,000 $319K 0.02% DBT
1363 EXELON CORP 30161NAV3 Feb 2026 376,000 $319K 0.02% DBT
1364 TRAVELERS COS INC 89417EAH2 Feb 2026 313,000 $319K 0.02% DBT
1365 DELL INT LLC / EMC CORP 24703TAK2 Feb 2026 249,000 $319K 0.02% DBT
1366 HONEYWELL INTERNATIONAL 438516CF1 Feb 2026 360,000 $319K 0.02% DBT
1367 US BANCORP 91159HJF8 Feb 2026 315,000 $318K 0.02% DBT
1368 AMERICAN EXPRESS CO 025816DN6 Feb 2026 290,000 $317K 0.02% DBT
1369 BALTIMORE GAS & ELECTRIC 059165EJ5 Feb 2026 408,000 $317K 0.02% DBT
1370 GOLDMAN SACHS GROUP INC 38141GWV2 Feb 2026 319,000 $317K 0.02% DBT
1371 DOW CHEMICAL CO/THE 260543DG5 Feb 2026 298,000 $317K 0.02% DBT
1372 UNITEDHEALTH GROUP INC 91324PCQ3 Feb 2026 318,000 $316K 0.02% DBT
1373 VODAFONE GROUP PLC 92857WAQ3 Feb 2026 287,000 $316K 0.02% DBT
1374 AMGEN INC 031162DJ6 Feb 2026 320,000 $316K 0.02% DBT
1375 MARSH & MCLENNAN COS INC 571748BD3 Feb 2026 384,000 $316K 0.02% DBT
1376 MARSH & MCLENNAN COS INC 571748CC4 Feb 2026 310,000 $315K 0.02% DBT
1377 BURLINGTON RESOURCES LLC 12201PAB2 Feb 2026 275,000 $315K 0.02% DBT
1378 MORGAN STANLEY 61748UAF9 Feb 2026 300,000 $315K 0.02% DBT
1379 APPLE INC 037833EK2 Feb 2026 497,000 $315K 0.02% DBT
1380 HSBC HOLDINGS PLC 404280EL9 Feb 2026 300,000 $315K 0.02% DBT
1381 BANK OF AMERICA CORP 06051GHZ5 Feb 2026 335,000 $314K 0.02% DBT
1382 RTX CORP 913017BJ7 Feb 2026 295,000 $314K 0.02% DBT
1383 AT&T INC 00206RBH4 Feb 2026 365,000 $314K 0.02% DBT
1384 QUALCOMM INC 747525AK9 Feb 2026 341,000 $314K 0.02% DBT
1385 STERIS PLC 85917PAB3 Feb 2026 412,000 $314K 0.02% DBT
1386 PRUDENTIAL FINANCIAL INC 74432QCF0 Feb 2026 430,000 $314K 0.02% DBT
1387 CONOCOPHILLIPS COMPANY 20826FBM7 Feb 2026 320,000 $314K 0.02% DBT
1388 MERCK & CO INC 589331AS6 Feb 2026 380,000 $313K 0.02% DBT
1389 CIGNA GROUP/THE 125523CW8 Feb 2026 320,000 $313K 0.02% DBT
1390 BANK OF NY MELLON CORP 06406RCJ4 Feb 2026 300,000 $313K 0.02% DBT
1391 BAXTER INTERNATIONAL INC 071813CV9 Feb 2026 502,000 $313K 0.02% DBT
1392 SOUTHERN CAL EDISON 842400GT4 Feb 2026 437,000 $312K 0.02% DBT
1393 BANK OF AMERICA CORP 06051GFG9 Feb 2026 323,000 $312K 0.02% DBT
1394 ORACLE CORP 68389XBF1 Feb 2026 431,000 $312K 0.02% DBT
1395 HONEYWELL INTERNATIONAL 438516AT3 Feb 2026 288,000 $311K 0.02% DBT
1396 PRUDENTIAL FINANCIAL INC 744320BP6 Feb 2026 295,000 $311K 0.02% DBT
1397 WESTERN UNION CO/THE 959802AH2 Feb 2026 299,000 $311K 0.02% DBT
1398 HSBC HOLDINGS PLC 404280EN5 Feb 2026 300,000 $311K 0.02% DBT
1399 GE HEALTHCARE TECH INC 36267VAM5 Feb 2026 283,000 $311K 0.02% DBT
1400 NISOURCE INC 65473PAM7 Feb 2026 350,000 $310K 0.02% DBT
1401 S&P GLOBAL INC 78409VAQ7 Feb 2026 438,000 $310K 0.02% DBT
1402 MERCK & CO INC 58933YBF1 Feb 2026 494,000 $310K 0.02% DBT
1403 ALEXANDRIA REAL ESTATE E 015271AV1 Feb 2026 373,000 $310K 0.02% DBT
1404 AMERICAN EXPRESS CO 025816BF5 Feb 2026 355,000 $310K 0.02% DBT
1405 WEYERHAEUSER CO 962166BX1 Feb 2026 311,000 $310K 0.02% DBT
1406 HONEYWELL INTERNATIONAL 438516CU8 Feb 2026 320,000 $309K 0.02% DBT
1407 CITIGROUP INC 172967DR9 Feb 2026 289,000 $309K 0.02% DBT
1408 AERCAP IRELAND CAP/GLOBA 00774MAZ8 Feb 2026 372,000 $309K 0.02% DBT
1409 MORGAN STANLEY 6174468L6 Feb 2026 327,000 $309K 0.02% DBT
1410 TRUIST FINANCIAL CORP 89788MAS1 Feb 2026 292,000 $309K 0.02% DBT
1411 GILEAD SCIENCES INC 375558CB7 Feb 2026 300,000 $309K 0.02% DBT
1412 NSTAR ELECTRIC CO 67021CAW7 Feb 2026 300,000 $309K 0.02% DBT
1413 HONEYWELL INTERNATIONAL 438516BZ8 Feb 2026 335,000 $309K 0.02% DBT
1414 GENERAL MOTORS CO 37045VAF7 Feb 2026 301,000 $309K 0.02% DBT
1415 HONEYWELL INTERNATIONAL 438516CZ7 Feb 2026 300,000 $309K 0.02% DBT
1416 LOWE'S COS INC 548661CJ4 Feb 2026 293,000 $309K 0.02% DBT
1417 CIGNA GROUP/THE 125523CF5 Feb 2026 344,000 $309K 0.02% DBT
1418 WELLTOWER OP LLC 95040QAM6 Feb 2026 330,000 $308K 0.02% DBT
1419 AUTONATION INC 05329WAQ5 Feb 2026 304,000 $308K 0.02% DBT
1420 ENERGY TRANSFER LP 29279FAA7 Feb 2026 305,000 $308K 0.02% DBT
1421 AT&T INC 00206RKB7 Feb 2026 442,000 $308K 0.02% DBT
1422 BROADCOM INC 11135FAS0 Feb 2026 309,000 $308K 0.02% DBT
1423 PRUDENTIAL FINANCIAL INC 744320BA9 Feb 2026 399,000 $308K 0.02% DBT
1424 BANK OF NOVA SCOTIA 06417XAD3 Feb 2026 313,000 $308K 0.02% DBT
1425 HCA INC 404119BY4 Feb 2026 316,000 $308K 0.02% DBT
1426 BANCO SANTANDER SA 05964HAY1 Feb 2026 289,000 $308K 0.02% DBT
1427 CORNING INC 219350BF1 Feb 2026 368,000 $308K 0.02% DBT
1428 ADOBE INC 00724PAK5 Feb 2026 295,000 $307K 0.02% DBT
1429 NUCOR CORP 670346AU9 Feb 2026 482,000 $307K 0.02% DBT
1430 SPIRE INC 84857LAE1 Feb 2026 300,000 $307K 0.02% DBT
1431 HCA INC 404119CA5 Feb 2026 317,000 $307K 0.02% DBT
1432 ONEOK PARTNERS LP 68268NAM5 Feb 2026 296,000 $307K 0.02% DBT
1433 MITSUBISHI UFJ FIN GRP 606822BX1 Feb 2026 339,000 $307K 0.02% DBT
1434 TARGA RESOURCES CORP 87612GAQ4 Feb 2026 295,000 $307K 0.02% DBT
1435 ONCOR ELECTRIC DELIVERY 68233JBB9 Feb 2026 383,000 $307K 0.02% DBT
1436 BOSTON SCIENTIFIC CORP 101137AU1 Feb 2026 333,000 $306K 0.02% DBT
1437 COMMONWEALTH EDISON CO 202795JM3 Feb 2026 377,000 $306K 0.02% DBT
1438 MITSUBISHI UFJ FIN GRP 606822BH6 Feb 2026 307,000 $306K 0.02% DBT
1439 HUMANA INC 444859BE1 Feb 2026 351,000 $306K 0.02% DBT
1440 CHURCH & DWIGHT CO INC 17136MAB8 Feb 2026 327,000 $306K 0.02% DBT
1441 HUMANA INC 444859CD2 Feb 2026 300,000 $306K 0.02% DBT
1442 AVALONBAY COMMUNITIES 053484AD3 Feb 2026 295,000 $305K 0.02% DBT
1443 WESTPAC BANKING CORP 961214EF6 Feb 2026 308,000 $305K 0.02% DBT
1444 WELLS FARGO & COMPANY 95000U3F8 Feb 2026 290,000 $305K 0.02% DBT
1445 ALPHABET INC 02079KBB2 Feb 2026 305,000 $305K 0.02% DBT
1446 AVERY DENNISON CORP 053611AM1 Feb 2026 342,000 $305K 0.02% DBT
1447 TIME WARNER CABLE ENTRMN 88731EAJ9 Feb 2026 260,000 $305K 0.02% DBT
1448 TRANE TECHNOLOGIES HOLDC 45687AAG7 Feb 2026 286,000 $304K 0.02% DBT
1449 CHARTER COMM OPT LLC/CAP 161175CA0 Feb 2026 463,000 $304K 0.02% DBT
1450 KROGER CO 501044DG3 Feb 2026 356,000 $304K 0.02% DBT
1451 CARRIER GLOBAL CORP 14448CAQ7 Feb 2026 320,000 $304K 0.02% DBT
1452 TSMC ARIZONA CORP 872898AH4 Feb 2026 300,000 $304K 0.02% DBT
1453 BRISTOL-MYERS SQUIBB CO 110122DK1 Feb 2026 355,000 $304K 0.02% DBT
1454 BANK OF NY MELLON CORP 06406YAA0 Feb 2026 311,000 $304K 0.02% DBT
1455 ROGERS COMMUNICATIONS IN 775109AL5 Feb 2026 259,000 $304K 0.02% DBT
1456 PPL ELECTRIC UTILITIES 69351UAV5 Feb 2026 364,000 $304K 0.02% DBT
1457 DEUTSCHE BANK NY 251526CT4 Feb 2026 276,000 $304K 0.02% DBT
1458 MORGAN STANLEY 61748UAN2 Feb 2026 305,000 $303K 0.02% DBT
1459 SUMITOMO MITSUI FINL GRP 86562MAV2 Feb 2026 305,000 $303K 0.02% DBT
1460 TARGA RESOURCES PARTNERS 87612BBQ4 Feb 2026 298,000 $303K 0.02% DBT
1461 CVS HEALTH CORP 126650BR0 Feb 2026 286,000 $303K 0.02% DBT
1462 HSBC HOLDINGS PLC 404280EX3 Feb 2026 285,000 $303K 0.02% DBT
1463 ENTERPRISE PRODUCTS OPER 29379VBC6 Feb 2026 317,000 $303K 0.02% DBT
1464 SOUTHERN CAL EDISON 842400GQ0 Feb 2026 302,000 $302K 0.02% DBT
1465 LYONDELLBASELL IND NV 552081AM3 Feb 2026 391,000 $302K 0.02% DBT
1466 CANADIAN IMPERIAL BANK 13607QWB4 Feb 2026 300,000 $302K 0.02% DBT
1467 ROYAL BANK OF CANADA 78017DAQ1 Feb 2026 300,000 $302K 0.02% DBT
1468 AMERICAN WATER CAPITAL C 03040WAX3 Feb 2026 417,000 $302K 0.02% DBT
1469 ABBVIE INC 00287YEG0 Feb 2026 300,000 $302K 0.02% DBT
1470 AHOLD FINANCE USA LLC 008685AB5 Feb 2026 278,000 $302K 0.02% DBT
1471 FREEPORT-MCMORAN INC 35671DBC8 Feb 2026 305,000 $302K 0.02% DBT
1472 INTERCONTINENTALEXCHANGE 45866FAL8 Feb 2026 457,000 $302K 0.02% DBT
1473 OMEGA HLTHCARE INVESTORS 681936BN9 Feb 2026 334,000 $302K 0.02% DBT
1474 LOWE'S COS INC 548661EW3 Feb 2026 300,000 $301K 0.02% DBT
1475 T-MOBILE USA INC 87264AAX3 Feb 2026 330,000 $301K 0.02% DBT
1476 AVERY DENNISON CORP 053611AN9 Feb 2026 282,000 $301K 0.02% DBT
1477 CHENIERE ENERGY PARTNERS 16411QAQ4 Feb 2026 281,000 $301K 0.02% DBT
1478 WESTERN MIDSTREAM OPERAT 958667AC1 Feb 2026 305,000 $301K 0.02% DBT
1479 BAXTER INTERNATIONAL INC 071813CS6 Feb 2026 345,000 $301K 0.02% DBT
1480 LOWE'S COS INC 548661ET0 Feb 2026 300,000 $301K 0.02% DBT
1481 TEXAS INSTRUMENTS INC 882508CB8 Feb 2026 290,000 $301K 0.02% DBT
1482 GOLDMAN SACHS GROUP INC 38141GZK3 Feb 2026 305,000 $301K 0.02% DBT
1483 LOWE'S COS INC 548661EV5 Feb 2026 300,000 $301K 0.02% DBT
1484 LOWE'S COS INC 548661EU7 Feb 2026 300,000 $301K 0.02% DBT
1485 HOME DEPOT INC 437076BD3 Feb 2026 317,000 $301K 0.02% DBT
1486 ALLSTATE CORP 020002AQ4 Feb 2026 286,000 $301K 0.02% DBT
1487 NSTAR ELECTRIC CO 67021CAS6 Feb 2026 350,000 $301K 0.02% DBT
1488 HOME DEPOT INC 437076BS0 Feb 2026 373,000 $300K 0.02% DBT
1489 ROYAL BANK OF CANADA 78017DAN8 Feb 2026 300,000 $300K 0.02% DBT
1490 UNION PACIFIC CORP 907818EM6 Feb 2026 391,000 $300K 0.02% DBT
1491 ASTRAZENECA PLC 046353AM0 Feb 2026 336,000 $300K 0.02% DBT
1492 KINDER MORGAN INC 49456BAJ0 Feb 2026 325,000 $300K 0.02% DBT
1493 LOWE'S COS INC 548661EX1 Feb 2026 300,000 $300K 0.02% DBT
1494 SAN DIEGO G & E 797440BY9 Feb 2026 429,000 $300K 0.02% DBT
1495 BARCLAYS PLC 06738EDK8 Feb 2026 300,000 $299K 0.02% DBT
1496 IBM CORP 459200LT6 Feb 2026 300,000 $299K 0.02% DBT
1497 BALTIMORE GAS & ELECTRIC 059165ET3 Feb 2026 285,000 $299K 0.02% DBT
1498 VERIZON COMMUNICATIONS 92343VFU3 Feb 2026 473,000 $299K 0.02% DBT
1499 OVINTIV INC 012873AH8 Feb 2026 260,000 $299K 0.02% DBT
1500 HP ENTERPRISE CO 42824CBW8 Feb 2026 325,000 $299K 0.02% DBT
1501 MITSUBISHI UFJ FIN GRP 606822CD4 Feb 2026 325,000 $299K 0.02% DBT
1502 AT&T INC 00206RHK1 Feb 2026 311,000 $299K 0.02% DBT
1503 MPLX LP 55336VAN0 Feb 2026 354,000 $299K 0.02% DBT
1504 BARCLAYS PLC 06738EBM6 Feb 2026 320,000 $299K 0.02% DBT
1505 GATX CORP 361448BL6 Feb 2026 285,000 $299K 0.02% DBT
1506 ALLY FINANCIAL INC 370425RZ5 Feb 2026 263,000 $299K 0.02% DBT
1507 CAPITAL ONE NA 25466AAR2 Feb 2026 314,000 $299K 0.02% DBT
1508 AON CORP/AON GLOBAL HOLD 03740LAF9 Feb 2026 290,000 $298K 0.02% DBT
1509 FLOWSERVE CORPORATION 34354PAF2 Feb 2026 309,000 $298K 0.02% DBT
1510 TRAVELERS COS INC 89417EAD1 Feb 2026 266,000 $298K 0.02% DBT
1511 NATWEST GROUP PLC 780097BP5 Feb 2026 301,000 $298K 0.02% DBT
1512 HOME DEPOT INC 437076AU6 Feb 2026 287,000 $298K 0.02% DBT
1513 WELLS FARGO & COMPANY 95000U2U6 Feb 2026 317,000 $298K 0.02% DBT
1514 INTERCONTINENTALEXCHANGE 45866FAH7 Feb 2026 356,000 $297K 0.02% DBT
1515 CENTENE CORP 15135BAV3 Feb 2026 320,000 $297K 0.02% DBT
1516 ORACLE CORP 68389XAH8 Feb 2026 300,000 $297K 0.02% DBT
1517 TRAVELERS PPTY CASUALTY 89420GAE9 Feb 2026 262,000 $297K 0.02% DBT
1518 ONCOR ELECTRIC DELIVERY 68233JBP8 Feb 2026 387,000 $296K 0.02% DBT
1519 EXXON MOBIL CORPORATION 30231GAZ5 Feb 2026 423,000 $296K 0.02% DBT
1520 VODAFONE GROUP PLC 92857WBD1 Feb 2026 340,000 $296K 0.02% DBT
1521 TARGA RESOURCES CORP 87612GAM3 Feb 2026 285,000 $295K 0.02% DBT
1522 NORFOLK SOUTHERN CORP 655844BH0 Feb 2026 308,000 $295K 0.02% DBT
1523 BRISTOL-MYERS SQUIBB CO 110122DL9 Feb 2026 337,000 $295K 0.02% DBT
1524 GENERAL MOTORS FINL CO 37045XED4 Feb 2026 271,000 $295K 0.02% DBT
1525 HOME DEPOT INC 437076BX9 Feb 2026 337,000 $295K 0.02% DBT
1526 NOMURA HOLDINGS INC 65535HBB4 Feb 2026 306,000 $294K 0.02% DBT
1527 HSBC BANK USA NA 4042Q1AB3 Feb 2026 280,000 $294K 0.02% DBT
1528 AMERICAN TOWER CORP 03027XBG4 Feb 2026 325,000 $293K 0.02% DBT
1529 INTL FLAVOR & FRAGRANCES 459506AK7 Feb 2026 291,000 $293K 0.02% DBT
1530 ELEVANCE HEALTH INC 036752AD5 Feb 2026 351,000 $293K 0.02% DBT
1531 GOLDMAN SACHS GROUP INC 38141GXA7 Feb 2026 315,000 $293K 0.02% DBT
1532 CON EDISON CO OF NY INC 209111FS7 Feb 2026 291,000 $293K 0.02% DBT
1533 DH EUROPE FINANCE II 23291KAK1 Feb 2026 403,000 $293K 0.02% DBT
1534 PFIZER INC 717081CY7 Feb 2026 242,000 $292K 0.02% DBT
1535 ROYAL BANK OF CANADA 78016EYH4 Feb 2026 320,000 $292K 0.02% DBT
1536 SEMPRA 816851BG3 Feb 2026 295,000 $292K 0.02% DBT
1537 CITIGROUP INC 172967BU4 Feb 2026 271,000 $291K 0.02% DBT
1538 KILROY REALTY LP 49427RAQ5 Feb 2026 347,000 $291K 0.02% DBT
1539 CNO FINANCIAL GROUP INC 12621EAM5 Feb 2026 279,000 $291K 0.02% DBT
1540 JOHNSON & JOHNSON 478160CG7 Feb 2026 357,000 $291K 0.02% DBT
1541 ABB FINANCE USA INC 00037BAC6 Feb 2026 320,000 $291K 0.02% DBT
1542 PARAMOUNT GLOBAL 925524AV2 Feb 2026 323,000 $291K 0.02% DBT
1543 AMGEN INC 031162DC1 Feb 2026 436,000 $291K 0.02% DBT
1544 OCCIDENTAL PETROLEUM COR 674599DD4 Feb 2026 255,000 $291K 0.02% DBT
1545 DUPONT DE NEMOURS INC 26078JAF7 Feb 2026 304,000 $290K 0.02% DBT
1546 BALTIMORE GAS & ELECTRIC 059165EK2 Feb 2026 346,000 $290K 0.02% DBT
1547 BECTON DICKINSON & CO 075887BG3 Feb 2026 316,000 $290K 0.02% DBT
1548 HOME DEPOT INC 437076BF8 Feb 2026 328,000 $290K 0.02% DBT
1549 AMGEN INC 031162CY4 Feb 2026 475,000 $290K 0.02% DBT
1550 HSBC BANK USA NA 4042Q1AA5 Feb 2026 270,000 $289K 0.02% DBT
1551 CITIGROUP INC 172967NU1 Feb 2026 284,000 $289K 0.02% DBT
1552 TIME WARNER CABLE LLC 88732JAY4 Feb 2026 308,000 $289K 0.02% DBT
1553 BRISTOL-MYERS SQUIBB CO 110122EC8 Feb 2026 260,000 $289K 0.02% DBT
1554 PROLOGIS LP 74340XCK5 Feb 2026 300,000 $289K 0.02% DBT
1555 AERCAP IRELAND CAP/GLOBA 00774MAB1 Feb 2026 290,000 $289K 0.02% DBT
1556 BANK OF NOVA SCOTIA 06418JAC5 Feb 2026 270,000 $289K 0.02% DBT
1557 LLOYDS BANKING GROUP PLC 53944YBA0 Feb 2026 275,000 $288K 0.02% DBT
1558 WW GRAINGER INC 384802AC8 Feb 2026 354,000 $288K 0.02% DBT
1559 APPLIED MATERIALS INC 038222AM7 Feb 2026 326,000 $288K 0.02% DBT
1560 TOTALENERGIES CAPITAL SA 89157XAA9 Feb 2026 275,000 $288K 0.02% DBT
1561 SANTANDER HOLDINGS USA 80282KBJ4 Feb 2026 276,000 $288K 0.02% DBT
1562 KRAFT HEINZ FOODS CO 50077LAB2 Feb 2026 351,000 $288K 0.02% DBT
1563 NORFOLK SOUTHERN CORP 655844BX5 Feb 2026 359,000 $288K 0.02% DBT
1564 ASTRAZENECA PLC 046353AG3 Feb 2026 330,000 $288K 0.02% DBT
1565 SOUTHERN CAL EDISON 842400GG2 Feb 2026 373,000 $287K 0.02% DBT
1566 UNITEDHEALTH GROUP INC 91324PEL2 Feb 2026 329,000 $287K 0.02% DBT
1567 PUBLIC SERVICE ELECTRIC 74456QCC8 Feb 2026 419,000 $287K 0.02% DBT
1568 COMMONWEALTH EDISON CO 202795KB5 Feb 2026 275,000 $287K 0.02% DBT
1569 HOME DEPOT INC 437076BA9 Feb 2026 326,000 $287K 0.02% DBT
1570 REALTY INCOME CORP 756109BL7 Feb 2026 315,000 $287K 0.02% DBT
1571 SHELL INTERNATIONAL FIN 822582BE1 Feb 2026 285,000 $287K 0.02% DBT
1572 NSTAR ELECTRIC CO 67021CAQ0 Feb 2026 423,000 $286K 0.02% DBT
1573 PFIZER INC 717081EV1 Feb 2026 353,000 $286K 0.02% DBT
1574 WALT DISNEY COMPANY/THE 254687EH5 Feb 2026 248,000 $286K 0.02% DBT
1575 CANADIAN NATL RAILWAY 136375BQ4 Feb 2026 252,000 $286K 0.02% DBT
1576 AMAZON.COM INC 023135AQ9 Feb 2026 295,000 $286K 0.02% DBT
1577 OHIO POWER COMPANY 677415CV1 Feb 2026 280,000 $286K 0.02% DBT
1578 DUPONT DE NEMOURS INC 26614NAC6 Feb 2026 282,000 $286K 0.02% DBT
1579 HSBC HOLDINGS PLC 404280AJ8 Feb 2026 250,000 $286K 0.02% DBT
1580 NATIONAL RURAL UTIL COOP 637432CT0 Feb 2026 238,000 $286K 0.02% DBT
1581 TC PIPELINES LP 87233QAC2 Feb 2026 286,000 $285K 0.02% DBT
1582 PRUDENTIAL FINANCIAL INC 74432QAC9 Feb 2026 261,000 $285K 0.02% DBT
1583 EBAY INC 278642AZ6 Feb 2026 384,000 $285K 0.02% DBT
1584 ALEXANDRIA REAL ESTATE E 015271AG4 Feb 2026 283,000 $285K 0.02% DBT
1585 ENERGY TRANSFER LP 29273VBF6 Feb 2026 285,000 $285K 0.02% DBT
1586 BRISTOL-MYERS SQUIBB CO 110122DX3 Feb 2026 388,000 $285K 0.02% DBT
1587 KEYSIGHT TECHNOLOGIES 49338LAF0 Feb 2026 295,000 $285K 0.02% DBT
1588 EXELON CORP 30161NAC5 Feb 2026 270,000 $285K 0.02% DBT
1589 ALIBABA GROUP HOLDING 01609WAU6 Feb 2026 305,000 $285K 0.02% DBT
1590 JOHN DEERE CAPITAL CORP 24422EXP9 Feb 2026 272,000 $284K 0.02% DBT
1591 TARGA RESOURCES PARTNERS 87612BBS0 Feb 2026 280,000 $284K 0.02% DBT
1592 BANK OF AMERICA CORP 06051GKW8 Feb 2026 280,000 $283K 0.02% DBT
1593 PUBLIC SERVICE ELECTRIC 74456QBQ8 Feb 2026 352,000 $283K 0.02% DBT
1594 PECO ENERGY CO 693304AV9 Feb 2026 365,000 $283K 0.02% DBT
1595 SMURFIT KAPPA TREASURY 83272GAF8 Feb 2026 280,000 $283K 0.02% DBT
1596 RELX CAPITAL INC 74949LAG7 Feb 2026 275,000 $283K 0.02% DBT
1597 PROLOGIS LP 74340XBP5 Feb 2026 423,000 $283K 0.02% DBT
1598 MICROSOFT CORP 594918CC6 Feb 2026 456,000 $283K 0.02% DBT
1599 L3HARRIS TECH INC 502431AV1 Feb 2026 285,000 $283K 0.02% DBT
1600 BANK OF AMERICA CORP 06051GJM2 Feb 2026 438,000 $283K 0.02% DBT
1601 TORONTO-DOMINION BANK 89114TZV7 Feb 2026 300,000 $283K 0.02% DBT
1602 CITIGROUP INC 172967KU4 Feb 2026 282,000 $282K 0.02% DBT
1603 MITSUBISHI UFJ FIN GRP 606822CK8 Feb 2026 272,000 $282K 0.02% DBT
1604 LEGG MASON INC 524901AR6 Feb 2026 282,000 $282K 0.02% DBT
1605 SANTANDER UK GROUP HLDGS 80281LAT2 Feb 2026 270,000 $282K 0.02% DBT
1606 BANK OF AMERICA CORP 06051GMB2 Feb 2026 275,000 $282K 0.02% DBT
1607 HSBC HOLDINGS PLC 404280DC0 Feb 2026 281,000 $281K 0.02% DBT
1608 NATWEST GROUP PLC 639057AK4 Feb 2026 270,000 $281K 0.02% DBT
1609 CSX CORP 126408HQ9 Feb 2026 298,000 $281K 0.02% DBT
1610 CHARTER COMM OPT LLC/CAP 161175BC7 Feb 2026 286,000 $281K 0.02% DBT
1611 COLGATE-PALMOLIVE CO 19416QEJ5 Feb 2026 321,000 $281K 0.02% DBT
1612 TSMC ARIZONA CORP 872898AJ0 Feb 2026 290,000 $281K 0.02% DBT
1613 UNITED PARCEL SERVICE 911312BQ8 Feb 2026 336,000 $281K 0.02% DBT
1614 AT&T INC 04650NAB0 Feb 2026 282,000 $281K 0.02% DBT
1615 LEAR CORP 521865AZ8 Feb 2026 304,000 $281K 0.02% DBT
1616 VENTAS REALTY LP 92277GAV9 Feb 2026 275,000 $281K 0.02% DBT
1617 BANK OF NOVA SCOTIA 06417XAE1 Feb 2026 310,000 $281K 0.02% DBT
1618 INTEL CORP 458140AK6 Feb 2026 310,000 $280K 0.02% DBT
1619 BANCO SANTANDER SA 05964HBK0 Feb 2026 260,000 $280K 0.02% DBT
1620 IBM CORP 459200KY6 Feb 2026 275,000 $280K 0.02% DBT
1621 BANK OF AMERICA NA 06050TJZ6 Feb 2026 258,000 $280K 0.02% DBT
1622 APPLE INC 037833CH1 Feb 2026 322,000 $280K 0.02% DBT
1623 MERCK & CO INC 58933YBK0 Feb 2026 275,000 $280K 0.02% DBT
1624 ENBRIDGE INC 29250NCC7 Feb 2026 264,000 $279K 0.02% DBT
1625 MCDONALD'S CORP 58013MEC4 Feb 2026 247,000 $279K 0.02% DBT
1626 GOLDMAN SACHS GROUP INC 38141GA53 Feb 2026 250,000 $279K 0.02% DBT
1627 HSBC HOLDINGS PLC 404280DV8 Feb 2026 255,000 $279K 0.02% DBT
1628 SALESFORCE INC 79466LAL8 Feb 2026 454,000 $278K 0.02% DBT
1629 APPLIED MATERIALS INC 038222AG0 Feb 2026 257,000 $278K 0.02% DBT
1630 BANK OF NOVA SCOTIA 06418GAZ0 Feb 2026 275,000 $278K 0.02% DBT
1631 PEPSICO INC 713448DD7 Feb 2026 307,000 $278K 0.02% DBT
1632 AT&T INC 00206RFU1 Feb 2026 306,000 $278K 0.02% DBT
1633 HCA INC 404119CW7 Feb 2026 278,000 $278K 0.02% DBT
1634 BOSTON PROPERTIES LP 10112RBE3 Feb 2026 316,000 $278K 0.02% DBT
1635 CSX CORP 126408GK3 Feb 2026 250,000 $278K 0.02% DBT
1636 NATIONAL BANK OF CANADA 63307A3D5 Feb 2026 275,000 $277K 0.02% DBT
1637 GENERAL MOTORS FINL CO 37045XFA9 Feb 2026 270,000 $277K 0.02% DBT
1638 TARGET CORP 87612EBP0 Feb 2026 271,000 $277K 0.02% DBT
1639 REGIONS BANKS 75913MAA7 Feb 2026 253,000 $277K 0.02% DBT
1640 CONOCOPHILLIPS 20825CAF1 Feb 2026 252,000 $277K 0.02% DBT
1641 AT&T INC 00206RDG4 Feb 2026 255,000 $277K 0.02% DBT
1642 RIO TINTO FIN USA PLC 76720AAW6 Feb 2026 265,000 $277K 0.02% DBT
1643 BANK OF NOVA SCOTIA 06418GAY3 Feb 2026 275,000 $276K 0.02% DBT
1644 VERIZON COMMUNICATIONS 92343VHJ6 Feb 2026 275,000 $276K 0.02% DBT
1645 TRAVELERS COS INC 89417EAN9 Feb 2026 337,000 $276K 0.02% DBT
1646 KINDER MORGAN INC 49456BBA8 Feb 2026 270,000 $276K 0.02% DBT
1647 PECO ENERGY CO 693304AS6 Feb 2026 323,000 $276K 0.02% DBT
1648 GOLDMAN SACHS GROUP INC 38141GYK4 Feb 2026 373,000 $276K 0.02% DBT
1649 DELL INT LLC / EMC CORP 24703TAJ5 Feb 2026 227,000 $276K 0.02% DBT
1650 PNC FINANCIAL SERVICES 693475BS3 Feb 2026 255,000 $275K 0.02% DBT
1651 CON EDISON CO OF NY INC 209111EU3 Feb 2026 238,000 $275K 0.02% DBT
1652 NXP BV/NXP FDG/NXP USA 62954HAJ7 Feb 2026 305,000 $275K 0.02% DBT
1653 CVS HEALTH CORP 126650CD0 Feb 2026 292,000 $275K 0.02% DBT
1654 ING GROEP NV 456837BB8 Feb 2026 275,000 $275K 0.02% DBT
1655 AMERICAN TOWER CORP 03027XCF5 Feb 2026 255,000 $275K 0.02% DBT
1656 WELLTOWER OP LLC 42217KAX4 Feb 2026 242,000 $275K 0.02% DBT
1657 CANADIAN NATL RAILWAY 136375CV2 Feb 2026 315,000 $275K 0.02% DBT
1658 HSBC HOLDINGS PLC 404280EC9 Feb 2026 240,000 $275K 0.02% DBT
1659 MIZUHO FINANCIAL GROUP 60687YCP2 Feb 2026 265,000 $275K 0.02% DBT
1660 SPIRE MISSOURI INC 84859DAD9 Feb 2026 265,000 $274K 0.02% DBT
1661 ELEVANCE HEALTH INC 036752AY9 Feb 2026 265,000 $274K 0.02% DBT
1662 CENCORA INC 03073EAN5 Feb 2026 317,000 $274K 0.02% DBT
1663 ENTERGY LOUISIANA LLC 29364WBC1 Feb 2026 338,000 $273K 0.02% DBT
1664 KRAFT HEINZ FOODS CO 50076QAN6 Feb 2026 252,000 $273K 0.02% DBT
1665 JPMORGAN CHASE & CO 46647PAK2 Feb 2026 330,000 $273K 0.02% DBT
1666 CENTERPOINT ENER HOUSTON 15189XAM0 Feb 2026 337,000 $273K 0.02% DBT
1667 OVINTIV INC 292505AG9 Feb 2026 252,000 $272K 0.02% DBT
1668 MCCORMICK & CO 579780AS6 Feb 2026 305,000 $272K 0.02% DBT
1669 MARSH & MCLENNAN COS INC 571748BJ0 Feb 2026 301,000 $272K 0.02% DBT
1670 UNITEDHEALTH GROUP INC 91324PDL3 Feb 2026 330,000 $272K 0.02% DBT
1671 ORACLE CORP 68389XCQ6 Feb 2026 326,000 $272K 0.02% DBT
1672 FLORIDA POWER & LIGHT CO 341081FQ5 Feb 2026 336,000 $272K 0.02% DBT
1673 CATERPILLAR INC 149123BS9 Feb 2026 265,000 $272K 0.02% DBT
1674 CITIGROUP INC 172967MM0 Feb 2026 270,000 $271K 0.02% DBT
1675 TOLEDO EDISON COMPANY 889175BD6 Feb 2026 245,000 $271K 0.02% DBT
1676 KROGER CO 501044DX6 Feb 2026 280,000 $271K 0.02% DBT
1677 LYB INT FINANCE III 50249AAK9 Feb 2026 427,000 $271K 0.02% DBT
1678 FEDEX CORP 31428XBE5 Feb 2026 303,000 $271K 0.02% DBT
1679 DIAGEO INVESTMENT CORP 25245BAC1 Feb 2026 260,000 $271K 0.02% DBT
1680 JM SMUCKER CO 832696AM0 Feb 2026 282,000 $270K 0.02% DBT
1681 ALIBABA GROUP HOLDING 01609WAV4 Feb 2026 319,000 $270K 0.02% DBT
1682 KRAFT HEINZ FOODS CO 50076QAR7 Feb 2026 240,000 $270K 0.02% DBT
1683 CARDINAL HEALTH INC 14149YBD9 Feb 2026 294,000 $269K 0.02% DBT
1684 PUBLIC SERVICE ELECTRIC 74456QBZ8 Feb 2026 343,000 $269K 0.02% DBT
1685 CANADIAN NATL RAILWAY 136375CZ3 Feb 2026 442,000 $269K 0.02% DBT
1686 NUCOR CORP 670346AH8 Feb 2026 238,000 $269K 0.02% DBT
1687 TELEDYNE TECHNOLOGIES IN 879360AD7 Feb 2026 277,000 $268K 0.02% DBT
1688 COCA-COLA CO/THE 191216CY4 Feb 2026 448,000 $268K 0.02% DBT
1689 SHELL FINANCE US INC 822905AG0 Feb 2026 380,000 $268K 0.02% DBT
1690 EXELON CORP 30161NBN0 Feb 2026 255,000 $268K 0.02% DBT
1691 INTERNATIONAL PAPER CO 460146CM3 Feb 2026 265,000 $268K 0.02% DBT
1692 GENERAL MOTORS FINL CO 37045XCY0 Feb 2026 275,000 $267K 0.02% DBT
1693 PRUDENTIAL FINANCIAL INC 74432QBN4 Feb 2026 236,000 $267K 0.02% DBT
1694 HSBC HOLDINGS PLC 404280CK3 Feb 2026 290,000 $267K 0.02% DBT
1695 MOTOROLA SOLUTIONS INC 620076BL2 Feb 2026 264,000 $267K 0.02% DBT
1696 WILLIAMS COMPANIES INC 969457CS7 Feb 2026 260,000 $267K 0.02% DBT
1697 MARRIOTT INTERNATIONAL 571903BE2 Feb 2026 262,000 $267K 0.02% DBT
1698 CON EDISON CO OF NY INC 209111FH1 Feb 2026 335,000 $267K 0.02% DBT
1699 WASTE MANAGEMENT INC 94106LBM0 Feb 2026 431,000 $267K 0.02% DBT
1700 SPECTRA ENERGY PARTNERS 84756NAE9 Feb 2026 258,000 $267K 0.02% DBT
1701 SOUTHERN COPPER CORP 84265VAJ4 Feb 2026 255,000 $266K 0.02% DBT
1702 BANK OF AMERICA CORP 06051GHX0 Feb 2026 278,000 $266K 0.02% DBT
1703 CONOCOPHILLIPS COMPANY 20826FAC0 Feb 2026 307,000 $266K 0.02% DBT
1704 NEXTERA ENERGY CAPITAL 65339KCB4 Feb 2026 270,000 $266K 0.02% DBT
1705 DELL INC 24702RAF8 Feb 2026 245,000 $266K 0.02% DBT
1706 BRISTOL-MYERS SQUIBB CO 110122AX6 Feb 2026 295,000 $266K 0.02% DBT
1707 JPMORGAN CHASE & CO 46647PBV7 Feb 2026 365,000 $266K 0.02% DBT
1708 ONEOK INC 682680AY9 Feb 2026 272,000 $266K 0.02% DBT
1709 WASHINGTON GAS LIGHT CO 93884PDY3 Feb 2026 357,000 $266K 0.02% DBT
1710 MOTOROLA SOLUTIONS INC 620076BN8 Feb 2026 262,000 $266K 0.02% DBT
1711 UNITEDHEALTH GROUP INC 91324PEH1 Feb 2026 265,000 $266K 0.02% DBT
1712 ABBVIE INC 00287YEE5 Feb 2026 265,000 $266K 0.02% DBT
1713 COMMONWEALTH EDISON CO 202795JS0 Feb 2026 400,000 $266K 0.02% DBT
1714 ENERGY TRANSFER LP 292480AM2 Feb 2026 265,000 $266K 0.02% DBT
1715 TYSON FOODS INC 902494BH5 Feb 2026 282,000 $266K 0.02% DBT
1716 MICROSOFT CORP 594918CA0 Feb 2026 299,000 $265K 0.02% DBT
1717 JPMORGAN CHASE & CO 46647PFC5 Feb 2026 255,000 $265K 0.02% DBT
1718 SPECTRA ENERGY PARTNERS 84756NAG4 Feb 2026 306,000 $265K 0.02% DBT
1719 ELEVANCE HEALTH INC 28622HAB7 Feb 2026 262,000 $265K 0.02% DBT
1720 BANK OF AMERICA CORP 06051GHV4 Feb 2026 272,000 $264K 0.02% DBT
1721 BHP BILLITON FIN USA LTD 055451AR9 Feb 2026 300,000 $264K 0.02% DBT
1722 LLOYDS BANKING GROUP PLC 539439AX7 Feb 2026 255,000 $264K 0.02% DBT
1723 BANK OF AMERICA CORP 06051GJL4 Feb 2026 293,000 $264K 0.02% DBT
1724 CHARTER COMM OPT LLC/CAP 161175BY9 Feb 2026 437,000 $264K 0.02% DBT
1725 LOWE'S COS INC 548661DN4 Feb 2026 342,000 $264K 0.02% DBT
1726 ONEOK INC 682680BS1 Feb 2026 275,000 $264K 0.02% DBT
1727 TAMPA ELECTRIC CO 875127BL5 Feb 2026 285,000 $264K 0.02% DBT
1728 VICI PROPERTIES LP 925650AC7 Feb 2026 259,000 $263K 0.02% DBT
1729 CSX CORP 126408HK2 Feb 2026 309,000 $263K 0.02% DBT
1730 BP CAP MARKETS AMERICA 10373QBP4 Feb 2026 401,000 $262K 0.02% DBT
1731 MANULIFE FINANCIAL CORP 56501RAD8 Feb 2026 263,000 $262K 0.02% DBT
1732 FAIRFAX FINL HLDGS LTD 303901BY7 Feb 2026 245,000 $262K 0.02% DBT
1733 PNC FINANCIAL SERVICES 693475CD5 Feb 2026 255,000 $262K 0.02% DBT
1734 AMGEN INC 031162BK5 Feb 2026 267,000 $262K 0.02% DBT
1735 HUMANA INC 444859BV3 Feb 2026 250,000 $262K 0.02% DBT
1736 MICROSOFT CORP 594918AM6 Feb 2026 250,000 $261K 0.02% DBT
1737 CON EDISON CO OF NY INC 209111FG3 Feb 2026 297,000 $261K 0.02% DBT
1738 LOWE'S COS INC 548661DU8 Feb 2026 257,000 $261K 0.02% DBT
1739 ROGERS COMMUNICATIONS IN 775109BB6 Feb 2026 287,000 $261K 0.02% DBT
1740 PRUDENTIAL FINANCIAL INC 744320BJ0 Feb 2026 265,000 $261K 0.02% DBT
1741 TORONTO-DOMINION BANK 89115A2M3 Feb 2026 255,000 $261K 0.02% DBT
1742 BLOCK FINANCIAL LLC 093662AH7 Feb 2026 274,000 $261K 0.02% DBT
1743 COMMONWEALTH EDISON CO 202795JN1 Feb 2026 261,000 $261K 0.02% DBT
1744 CANADIAN NATL RAILWAY 136375BN1 Feb 2026 233,000 $261K 0.02% DBT
1745 SIMON PROPERTY GROUP LP 828807DH7 Feb 2026 371,000 $261K 0.02% DBT
1746 TSMC ARIZONA CORP 872898AE1 Feb 2026 332,000 $261K 0.02% DBT
1747 KEURIG DR PEPPER INC 49271VAR1 Feb 2026 315,000 $260K 0.02% DBT
1748 INTERCONTINENTALEXCHANGE 45866FAX2 Feb 2026 285,000 $260K 0.02% DBT
1749 AT&T INC 00206RDJ8 Feb 2026 311,000 $260K 0.02% DBT
1750 TRANSCANADA PIPELINES 89352HAB5 Feb 2026 244,000 $260K 0.02% DBT
1751 FIRST HORIZON BANK 337158AJ8 Feb 2026 250,000 $260K 0.02% DBT
1752 STARBUCKS CORP 855244AS8 Feb 2026 302,000 $260K 0.02% DBT
1753 AEP TEXAS INC 00108WAU4 Feb 2026 260,000 $260K 0.02% DBT
1754 WESTPAC BANKING CORP 961214EL3 Feb 2026 271,000 $259K 0.02% DBT
1755 GENERAL MOTORS FINL CO 37045XDV5 Feb 2026 258,000 $259K 0.02% DBT
1756 CHARTER COMM OPT LLC/CAP 161175BV5 Feb 2026 400,000 $259K 0.02% DBT
1757 AMERICA MOVIL SAB DE CV 02364WBG9 Feb 2026 302,000 $258K 0.02% DBT
1758 ELEVANCE HEALTH INC 94973VBB2 Feb 2026 286,000 $258K 0.02% DBT
1759 AT&T INC 00206RKE1 Feb 2026 390,000 $258K 0.02% DBT
1760 MASTERCARD INC 57636QAQ7 Feb 2026 326,000 $258K 0.02% DBT
1761 ESSENTIAL UTILITIES INC 03836WAC7 Feb 2026 313,000 $258K 0.02% DBT
1762 ELEVANCE HEALTH INC 94973VAY3 Feb 2026 283,000 $258K 0.02% DBT
1763 ALIBABA GROUP HOLDING 01609WAW2 Feb 2026 305,000 $258K 0.02% DBT
1764 JPMORGAN CHASE & CO 46647PEW2 Feb 2026 245,000 $258K 0.02% DBT
1765 BANK OF AMERICA CORP 06051GKD0 Feb 2026 283,000 $258K 0.02% DBT
1766 WILLIS NORTH AMERICA INC 970648AN1 Feb 2026 260,000 $257K 0.02% DBT
1767 BRISTOL-MYERS SQUIBB CO 110122AU2 Feb 2026 328,000 $257K 0.02% DBT
1768 APPLE INC 037833EL0 Feb 2026 428,000 $257K 0.02% DBT
1769 PUBLIC SERVICE ELECTRIC 74456QBA3 Feb 2026 315,000 $257K 0.02% DBT
1770 KONINKIJKE AHOLD DLHAIZE 24668PAE7 Feb 2026 243,000 $257K 0.02% DBT
1771 FLORIDA POWER & LIGHT CO 341081ET0 Feb 2026 251,000 $257K 0.02% DBT
1772 ROYAL BANK OF CANADA 78016FZS6 Feb 2026 255,000 $257K 0.02% DBT
1773 BANCO BILBAO VIZCAYA ARG 05946KAN1 Feb 2026 220,000 $256K 0.02% DBT
1774 UNITEDHEALTH GROUP INC 91324PEF5 Feb 2026 376,000 $256K 0.02% DBT
1775 NXP BV/NXP FDG/NXP USA 62954HBE7 Feb 2026 255,000 $256K 0.02% DBT
1776 PARAMOUNT GLOBAL 92556HAB3 Feb 2026 274,000 $256K 0.02% DBT
1777 VERIZON COMMUNICATIONS 92343VBE3 Feb 2026 276,000 $256K 0.02% DBT
1778 PPL ELECTRIC UTILITIES 69351UBC6 Feb 2026 250,000 $256K 0.02% DBT
1779 AMERICAN EXPRESS CO 025816EK1 Feb 2026 250,000 $256K 0.02% DBT
1780 COOPERATIEVE RABOBANK UA 21684AAB2 Feb 2026 251,000 $256K 0.02% DBT
1781 WASTE CONNECTIONS INC 94106BAD3 Feb 2026 387,000 $256K 0.02% DBT
1782 CENTENE CORP 15135BAR2 Feb 2026 257,000 $255K 0.02% DBT
1783 PLAINS ALL AMER PIPELINE 72650RAR3 Feb 2026 231,000 $255K 0.02% DBT
1784 AMERICAN EXPRESS CO 025816DZ9 Feb 2026 245,000 $255K 0.02% DBT
1785 APPLE INC 037833BA7 Feb 2026 323,000 $255K 0.02% DBT
1786 PRUDENTIAL FINANCIAL INC 74432QCC7 Feb 2026 255,000 $255K 0.02% DBT
1787 BANK OF AMERICA CORP 06051GJP5 Feb 2026 275,000 $255K 0.02% DBT
1788 THERMO FISHER SCIENTIFIC 883556BY7 Feb 2026 302,000 $255K 0.02% DBT
1789 CIGNA GROUP/THE 125523BK5 Feb 2026 328,000 $255K 0.02% DBT
1790 DH EUROPE FINANCE II 23291KAJ4 Feb 2026 308,000 $255K 0.02% DBT
1791 MIZUHO FINANCIAL GROUP 60687YDD8 Feb 2026 245,000 $254K 0.02% DBT
1792 STARBUCKS CORP 855244AU3 Feb 2026 298,000 $254K 0.02% DBT
1793 AMERICA MOVIL SAB DE CV 02364WBK0 Feb 2026 250,000 $254K 0.02% DBT
1794 INTEL CORP 458140BJ8 Feb 2026 388,000 $254K 0.02% DBT
1795 EXELON CORP 30161NAQ4 Feb 2026 253,000 $253K 0.02% DBT
1796 INTEL CORP 458140BU3 Feb 2026 286,000 $253K 0.02% DBT
1797 ENI USA INC 51808BAE2 Feb 2026 240,000 $253K 0.02% DBT
1798 FORD MOTOR CREDIT CO LLC 345397B36 Feb 2026 264,000 $253K 0.02% DBT
1799 SIMON PROPERTY GROUP LP 828807CE5 Feb 2026 218,000 $253K 0.02% DBT
1800 UNITEDHEALTH GROUP INC 91324PDV1 Feb 2026 349,000 $253K 0.02% DBT
1801 NOMURA HOLDINGS INC 65535HBH1 Feb 2026 245,000 $253K 0.02% DBT
1802 ENTERPRISE PRODUCTS OPER 29379VBR3 Feb 2026 252,000 $253K 0.02% DBT
1803 UNITEDHEALTH GROUP INC 91324PDU3 Feb 2026 337,000 $253K 0.02% DBT
1804 AMERICA MOVIL SAB DE CV 02364WAJ4 Feb 2026 225,000 $252K 0.02% DBT
1805 SOUTHERN CALIF GAS CO 842434CS9 Feb 2026 306,000 $252K 0.02% DBT
1806 AMERICAN TOWER CORP 03027XBK5 Feb 2026 390,000 $252K 0.02% DBT
1807 AETNA INC 00817YAF5 Feb 2026 226,000 $252K 0.02% DBT
1808 PNC BANK NA 69353RFZ6 Feb 2026 250,000 $252K 0.02% DBT
1809 BANK OF AMERICA CORP 06051GMM8 Feb 2026 240,000 $252K 0.02% DBT
1810 ELEVANCE HEALTH INC 036752BD4 Feb 2026 245,000 $252K 0.02% DBT
1811 MCCORMICK & CO 579780AP2 Feb 2026 302,000 $252K 0.02% DBT
1812 CITIGROUP INC 17327CAU7 Feb 2026 250,000 $251K 0.02% DBT
1813 SUZANO AUSTRIA GMBH 86964WAK8 Feb 2026 277,000 $251K 0.02% DBT
1814 AIR LEASE CORP 00912XAY0 Feb 2026 253,000 $251K 0.02% DBT
1815 TOTALENERGIES CAP INTL 89153VAT6 Feb 2026 260,000 $251K 0.02% DBT
1816 MCDONALD'S CORP 58013MFK5 Feb 2026 334,000 $251K 0.02% DBT
1817 CHARLES SCHWAB CORP 808513CH6 Feb 2026 230,000 $251K 0.02% DBT
1818 COMCAST CORP 20030NCZ2 Feb 2026 366,000 $251K 0.02% DBT
1819 NATIONAL BANK OF CANADA 63307A3K9 Feb 2026 250,000 $251K 0.02% DBT
1820 PACIFIC GAS & ELECTRIC 694308KZ9 Feb 2026 250,000 $251K 0.02% DBT
1821 HCA INC 404119CR8 Feb 2026 255,000 $251K 0.02% DBT
1822 FREEPORT-MCMORAN INC 35671DBJ3 Feb 2026 240,000 $251K 0.02% DBT
1823 APPLE INC 037833DZ0 Feb 2026 417,000 $251K 0.02% DBT
1824 RIO TINTO ALCAN INC 013716AU9 Feb 2026 227,000 $250K 0.02% DBT
1825 HOME DEPOT INC 437076CB6 Feb 2026 262,000 $250K 0.02% DBT
1826 META PLATFORMS INC 30303M8J4 Feb 2026 305,000 $250K 0.02% DBT
1827 BARCLAYS PLC 06738ECE3 Feb 2026 218,000 $250K 0.02% DBT
1828 DEUTSCHE BANK NY 25160PAG2 Feb 2026 267,000 $250K 0.02% DBT
1829 AIR LEASE CORP 00912XAV6 Feb 2026 251,000 $250K 0.02% DBT
1830 NOMURA HOLDINGS INC 65535HBV0 Feb 2026 235,000 $250K 0.02% DBT
1831 CANADIAN NATL RAILWAY 136375BL5 Feb 2026 223,000 $250K 0.02% DBT
1832 EBAY INC 278642AF0 Feb 2026 299,000 $250K 0.02% DBT
1833 BERKSHIRE HATHAWAY FIN 084664DA6 Feb 2026 265,000 $249K 0.02% DBT
1834 TOTALENERGIES CAPITAL SA 89152UAH5 Feb 2026 248,000 $249K 0.02% DBT
1835 METLIFE INC 59156RBG2 Feb 2026 269,000 $249K 0.02% DBT
1836 LEGGETT & PLATT INC 524660AZ0 Feb 2026 250,000 $249K 0.02% DBT
1837 BANCO SANTANDER SA 05964HAF2 Feb 2026 250,000 $249K 0.02% DBT
1838 INTEL CORP 458140BR0 Feb 2026 252,000 $249K 0.02% DBT
1839 BANCO SANTANDER SA 05971KAL3 Feb 2026 270,000 $249K 0.02% DBT
1840 WALT DISNEY COMPANY/THE 254687ET9 Feb 2026 244,000 $249K 0.02% DBT
1841 HOME DEPOT INC 437076BP6 Feb 2026 351,000 $249K 0.02% DBT
1842 PNC FINANCIAL SERVICES 693475CE3 Feb 2026 240,000 $249K 0.02% DBT
1843 COCA-COLA CO/THE 191216DZ0 Feb 2026 253,000 $248K 0.02% DBT
1844 CSX CORP 126408GY3 Feb 2026 288,000 $248K 0.02% DBT
1845 UNILEVER CAPITAL CORP 904764BR7 Feb 2026 389,000 $248K 0.02% DBT
1846 OCCIDENTAL PETROLEUM COR 674599DL6 Feb 2026 233,000 $248K 0.02% DBT
1847 NISOURCE INC 65473PAP0 Feb 2026 236,000 $247K 0.02% DBT
1848 ENBRIDGE ENERGY PARTNERS 29250RAX4 Feb 2026 209,000 $247K 0.02% DBT
1849 ESSENTIAL UTILITIES INC 29670GAG7 Feb 2026 262,000 $247K 0.02% DBT
1850 OVINTIV INC 69047QAC6 Feb 2026 229,000 $247K 0.02% DBT
1851 ROYALTY PHARMA PLC 78081BAM5 Feb 2026 349,000 $247K 0.02% DBT
1852 AT&T INC 00206RDF6 Feb 2026 233,000 $247K 0.02% DBT
1853 CROWN CASTLE INC 22822VAT8 Feb 2026 273,000 $247K 0.02% DBT
1854 REPUBLIC SERVICES INC 760759AW0 Feb 2026 358,000 $247K 0.02% DBT
1855 ANGLOGOLD HOLDINGS PLC 03512TAE1 Feb 2026 255,000 $246K 0.02% DBT
1856 ELEVANCE HEALTH INC 036752BL6 Feb 2026 250,000 $246K 0.02% DBT
1857 GATX CORP 361448BJ1 Feb 2026 260,000 $246K 0.02% DBT
1858 CSX CORP 126408HM8 Feb 2026 243,000 $246K 0.02% DBT
1859 CROWN CASTLE INC 22822VBE0 Feb 2026 232,000 $246K 0.02% DBT
1860 CIGNA GROUP/THE 125523CK4 Feb 2026 347,000 $246K 0.02% DBT
1861 CENTERPOINT ENER HOUSTON 15189XAW8 Feb 2026 345,000 $246K 0.02% DBT
1862 PNC FINANCIAL SERVICES 693475BE4 Feb 2026 246,000 $245K 0.02% DBT
1863 HOME DEPOT INC 437076AV4 Feb 2026 225,000 $245K 0.02% DBT
1864 COMMONWEALTH EDISON CO 202795JP6 Feb 2026 305,000 $245K 0.02% DBT
1865 BERKSHIRE HATHAWAY FIN 084664CQ2 Feb 2026 291,000 $245K 0.02% DBT
1866 CMS ENERGY CORP 125896BY5 Feb 2026 235,000 $245K 0.02% DBT
1867 HCA INC 404119BW8 Feb 2026 235,000 $245K 0.02% DBT
1868 EQT CORP 26884LAL3 Feb 2026 240,000 $245K 0.02% DBT
1869 MPLX LP 55336VAM2 Feb 2026 263,000 $244K 0.02% DBT
1870 ONEOK INC 682680BJ1 Feb 2026 235,000 $244K 0.02% DBT
1871 HOST HOTELS & RESORTS LP 44107TAY2 Feb 2026 252,000 $244K 0.02% DBT
1872 TARGET CORP 87612EAU0 Feb 2026 205,000 $244K 0.02% DBT
1873 ENTERPRISE PRODUCTS OPER 29379VBA0 Feb 2026 262,000 $244K 0.02% DBT
1874 SEMPRA 816851BM0 Feb 2026 247,000 $244K 0.02% DBT
1875 SYNCHRONY FINANCIAL 87165BAV5 Feb 2026 235,000 $244K 0.02% DBT
1876 LPL HOLDINGS INC 50212YAM6 Feb 2026 240,000 $244K 0.02% DBT
1877 COCA-COLA CO/THE 191216DC1 Feb 2026 396,000 $244K 0.02% DBT
1878 UNION PACIFIC CORP 907818FG8 Feb 2026 331,000 $244K 0.02% DBT
1879 OMEGA HLTHCARE INVESTORS 681936BL3 Feb 2026 250,000 $244K 0.02% DBT
1880 MIZUHO FINANCIAL GROUP 60687YDG1 Feb 2026 230,000 $243K 0.02% DBT
1881 HSBC HOLDINGS PLC 404280EW5 Feb 2026 235,000 $243K 0.02% DBT
1882 PRUDENTIAL FINANCIAL INC 74432QAQ8 Feb 2026 230,000 $243K 0.02% DBT
1883 ESSEX PORTFOLIO LP 29717PAV9 Feb 2026 270,000 $243K 0.02% DBT
1884 HSBC HOLDINGS PLC 404280FB0 Feb 2026 235,000 $243K 0.02% DBT
1885 SANTANDER UK GROUP HLDGS 80281LAP0 Feb 2026 262,000 $243K 0.02% DBT
1886 GENERAL MOTORS CO 37045VAL4 Feb 2026 225,000 $243K 0.02% DBT
1887 LOWE'S COS INC 548661DJ3 Feb 2026 285,000 $243K 0.02% DBT
1888 RAYMOND JAMES FINANCIAL 754730AF6 Feb 2026 264,000 $243K 0.02% DBT
1889 UNITEDHEALTH GROUP INC 91324PEA6 Feb 2026 395,000 $243K 0.02% DBT
1890 NATWEST GROUP PLC 639057AB4 Feb 2026 261,000 $243K 0.02% DBT
1891 FLORIDA POWER & LIGHT CO 341081FX0 Feb 2026 346,000 $243K 0.02% DBT
1892 LOWE'S COS INC 548661DY0 Feb 2026 270,000 $243K 0.02% DBT
1893 UNITEDHEALTH GROUP INC 91324PDS8 Feb 2026 251,000 $242K 0.02% DBT
1894 UNITEDHEALTH GROUP INC 91324PFC1 Feb 2026 255,000 $242K 0.02% DBT
1895 NUCOR CORP 670346AN5 Feb 2026 245,000 $242K 0.02% DBT
1896 WILLIAMS COMPANIES INC 969457CP3 Feb 2026 230,000 $242K 0.02% DBT
1897 MASTERCARD INC 57636QBC7 Feb 2026 240,000 $242K 0.02% DBT
1898 WELLS FARGO & COMPANY 94974BGU8 Feb 2026 273,000 $241K 0.02% DBT
1899 GENERAL MOTORS CO 37045VAT7 Feb 2026 245,000 $241K 0.02% DBT
1900 BURLINGTN NORTH SANTA FE 12189LBE0 Feb 2026 323,000 $241K 0.02% DBT
1901 CROWN CASTLE INC 22822VAH4 Feb 2026 242,000 $241K 0.02% DBT
1902 GLP CAPITAL LP / FIN II 361841AL3 Feb 2026 236,000 $241K 0.02% DBT
1903 BIOGEN INC 09062XAG8 Feb 2026 366,000 $241K 0.02% DBT
1904 JOHNSON & JOHNSON 478160AT1 Feb 2026 216,000 $241K 0.02% DBT
1905 AMERICAN WATER CAPITAL C 03040WAV7 Feb 2026 296,000 $241K 0.02% DBT
1906 CSX CORP 126408HF3 Feb 2026 301,000 $240K 0.02% DBT
1907 HUMANA INC 444859BK7 Feb 2026 250,000 $240K 0.02% DBT
1908 HSBC HOLDINGS PLC 404280DM8 Feb 2026 220,000 $240K 0.02% DBT
1909 OVINTIV INC 69047QAB8 Feb 2026 232,000 $240K 0.02% DBT
1910 PUBLIC STORAGE OP CO 74460DAJ8 Feb 2026 265,000 $240K 0.02% DBT
1911 ANHEUSER-BUSCH INBEV WOR 03523TBJ6 Feb 2026 185,000 $240K 0.02% DBT
1912 HEALTHPEAK OP LLC 40414LAR0 Feb 2026 244,000 $239K 0.02% DBT
1913 NOVARTIS CAPITAL CORP 66989HAK4 Feb 2026 280,000 $239K 0.02% DBT
1914 PUBLIC SERVICE ELECTRIC 74456QCA2 Feb 2026 342,000 $239K 0.02% DBT
1915 IDEX CORP 45167RAH7 Feb 2026 260,000 $239K 0.02% DBT
1916 CANADIAN IMPERIAL BANK 13608JAA5 Feb 2026 230,000 $239K 0.02% DBT
1917 AMGEN INC 031162BA7 Feb 2026 213,000 $238K 0.02% DBT
1918 PROLOGIS LP 74340XBT7 Feb 2026 235,000 $238K 0.02% DBT
1919 CROWN CASTLE INC 22822VAU5 Feb 2026 354,000 $238K 0.02% DBT
1920 SHELL FINANCE US INC 822905AZ8 Feb 2026 345,000 $238K 0.02% DBT
1921 TOTALENERGIES CAPITAL SA 89157XAF8 Feb 2026 250,000 $238K 0.02% DBT
1922 SOUTHERN CAL EDISON 842400GK3 Feb 2026 304,000 $238K 0.02% DBT
1923 COCA-COLA CO/THE 191216DY3 Feb 2026 230,000 $238K 0.02% DBT
1924 HARTFORD INSUR GRP INC/T 416515BD5 Feb 2026 278,000 $238K 0.02% DBT
1925 ORACLE CORP 68389XDB8 Feb 2026 270,000 $237K 0.02% DBT
1926 CAPITAL ONE FINANCIAL CO 14040HCS2 Feb 2026 235,000 $237K 0.02% DBT
1927 ROGERS COMMUNICATIONS IN 775109BP5 Feb 2026 314,000 $237K 0.02% DBT
1928 CROWN CASTLE INC 22822VAF8 Feb 2026 270,000 $237K 0.02% DBT
1929 SOUTHERN COPPER CORP 84265VAA3 Feb 2026 199,000 $237K 0.02% DBT
1930 ROGERS COMMUNICATIONS IN 775109BG5 Feb 2026 290,000 $237K 0.02% DBT
1931 AVERY DENNISON CORP 053611AJ8 Feb 2026 232,000 $237K 0.02% DBT
1932 TAKEDA PHARMACEUTICAL 874060BN5 Feb 2026 235,000 $237K 0.02% DBT
1933 MEAD JOHNSON NUTRITION C 582839AG1 Feb 2026 260,000 $237K 0.02% DBT
1934 LOWE'S COS INC 548661DZ7 Feb 2026 365,000 $237K 0.02% DBT
1935 LAM RESEARCH CORP 512807AT5 Feb 2026 254,000 $236K 0.02% DBT
1936 HA SUSTAINABLE INF CAP 40408AAB7 Feb 2026 225,000 $236K 0.02% DBT
1937 ONCOR ELECTRIC DELIVERY 68233JBG8 Feb 2026 291,000 $236K 0.02% DBT
1938 INTEL CORP 458140BW9 Feb 2026 376,000 $236K 0.02% DBT
1939 CON EDISON CO OF NY INC 209111FD0 Feb 2026 267,000 $236K 0.02% DBT
1940 STRYKER CORP 863667AJ0 Feb 2026 261,000 $236K 0.02% DBT
1941 CONOCOPHILLIPS COMPANY 20826FBN5 Feb 2026 240,000 $235K 0.02% DBT
1942 POTOMAC ELECTRIC POWER 737679DB3 Feb 2026 208,000 $235K 0.02% DBT
1943 CIGNA GROUP/THE 125523CQ1 Feb 2026 334,000 $235K 0.02% DBT
1944 NEWMONT CORP 651639AZ9 Feb 2026 256,000 $235K 0.02% DBT
1945 SUMITOMO MITSUI FINL GRP 86562MDU1 Feb 2026 220,000 $235K 0.02% DBT
1946 UNITEDHEALTH GROUP INC 91324PEK4 Feb 2026 270,000 $235K 0.02% DBT
1947 METLIFE INC 59156RBN7 Feb 2026 284,000 $235K 0.02% DBT
1948 ORACLE CORP 68389XCP8 Feb 2026 240,000 $235K 0.02% DBT
1949 CANADIAN PACIFIC RAILWAY 13645RAX2 Feb 2026 226,000 $234K 0.02% DBT
1950 MIZUHO FINANCIAL GROUP 60687YAT6 Feb 2026 233,000 $234K 0.02% DBT
1951 TOTALENERGIES CAP INTL 89153VAU3 Feb 2026 318,000 $234K 0.02% DBT
1952 RIO TINTO FIN USA LTD 767201AL0 Feb 2026 231,000 $234K 0.02% DBT
1953 APPLIED MATERIALS INC 038222AU9 Feb 2026 235,000 $234K 0.02% DBT
1954 CENTERPOINT ENER HOUSTON 15189XAS7 Feb 2026 289,000 $234K 0.02% DBT
1955 JPMORGAN CHASE & CO 46647PCD6 Feb 2026 299,000 $234K 0.02% DBT
1956 DIAGEO CAPITAL PLC 25243YBN8 Feb 2026 218,000 $234K 0.02% DBT
1957 AMERICAN INTL GROUP 026874DP9 Feb 2026 280,000 $234K 0.02% DBT
1958 ARCHER-DANIELS-MIDLAND C 039482AC8 Feb 2026 373,000 $234K 0.02% DBT
1959 UNION PACIFIC CORP 907818FW3 Feb 2026 360,000 $233K 0.02% DBT
1960 GENERAL MOTORS CO 37045VAJ9 Feb 2026 256,000 $233K 0.02% DBT
1961 CONAGRA BRANDS INC 205887CC4 Feb 2026 230,000 $233K 0.02% DBT
1962 QUALCOMM INC 747525AV5 Feb 2026 275,000 $233K 0.02% DBT
1963 CON EDISON CO OF NY INC 209111FY4 Feb 2026 294,000 $233K 0.02% DBT
1964 TEXAS INSTRUMENTS INC 882508BM5 Feb 2026 373,000 $233K 0.02% DBT
1965 SIMON PROPERTY GROUP LP 828807DF1 Feb 2026 245,000 $233K 0.02% DBT
1966 MIZUHO FINANCIAL GROUP 60687YDE6 Feb 2026 220,000 $233K 0.02% DBT
1967 FOX CORP 35137LAJ4 Feb 2026 234,000 $233K 0.02% DBT
1968 CSX CORP 126408HG1 Feb 2026 297,000 $233K 0.02% DBT
1969 SYNCHRONY FINANCIAL 87165BAR4 Feb 2026 259,000 $232K 0.02% DBT
1970 ING GROEP NV 456837BR3 Feb 2026 225,000 $232K 0.02% DBT
1971 OCCIDENTAL PETROLEUM COR 674599ED3 Feb 2026 214,000 $232K 0.02% DBT
1972 INTERNATIONAL PAPER CO 460146CH4 Feb 2026 223,000 $232K 0.02% DBT
1973 CATERPILLAR INC 149123CB5 Feb 2026 271,000 $232K 0.02% DBT
1974 ENBRIDGE INC 29250NCG8 Feb 2026 217,000 $232K 0.02% DBT
1975 JPMORGAN CHASE & CO 46625HLL2 Feb 2026 244,000 $232K 0.02% DBT
1976 CATERPILLAR INC 149123BN0 Feb 2026 205,000 $231K 0.02% DBT
1977 CITIGROUP INC 172967KR1 Feb 2026 260,000 $231K 0.02% DBT
1978 CHENIERE ENERGY PARTNERS 16411QAN1 Feb 2026 248,000 $231K 0.02% DBT
1979 MICRON TECHNOLOGY INC 595112BS1 Feb 2026 253,000 $231K 0.02% DBT
1980 MERCK SHARP & DOHME CORP 589331AM9 Feb 2026 210,000 $231K 0.02% DBT
1981 AMERICAN TOWER CORP 03027XCN8 Feb 2026 225,000 $231K 0.02% DBT
1982 ALLSTATE CORP 020002AU5 Feb 2026 220,000 $231K 0.02% DBT
1983 GOLDMAN SACHS GROUP INC 38141GYN8 Feb 2026 254,000 $231K 0.02% DBT
1984 US BANCORP 91159HJU5 Feb 2026 220,000 $231K 0.02% DBT
1985 ALIBABA GROUP HOLDING 01609WAX0 Feb 2026 251,000 $230K 0.02% DBT
1986 T-MOBILE USA INC 87264ACX1 Feb 2026 231,000 $230K 0.02% DBT
1987 LLOYDS BANKING GROUP PLC 53944YAU7 Feb 2026 225,000 $230K 0.02% DBT
1988 JOHNSON & JOHNSON 478160AV6 Feb 2026 236,000 $230K 0.02% DBT
1989 MICRON TECHNOLOGY INC 595112BU6 Feb 2026 314,000 $230K 0.02% DBT
1990 DEERE & COMPANY 244199BJ3 Feb 2026 237,000 $230K 0.02% DBT
1991 GENERAL MOTORS FINL CO 37045XFK7 Feb 2026 215,000 $230K 0.02% DBT
1992 AIR LEASE CORP 00912XBF0 Feb 2026 228,000 $230K 0.02% DBT
1993 METLIFE INC 59156RBR8 Feb 2026 259,000 $230K 0.02% DBT
1994 PARAMOUNT GLOBAL 925524AX8 Feb 2026 253,000 $230K 0.02% DBT
1995 PROCTER & GAMBLE CO/THE 742718GN3 Feb 2026 225,000 $230K 0.02% DBT
1996 CARLISLE COS INC 142339AJ9 Feb 2026 242,000 $230K 0.02% DBT
1997 MIZUHO FINANCIAL GROUP 60687YBQ1 Feb 2026 255,000 $229K 0.02% DBT
1998 CON EDISON CO OF NY INC 209111EH2 Feb 2026 220,000 $229K 0.02% DBT
1999 BOSTON PROPERTIES LP 10112RBJ2 Feb 2026 225,000 $229K 0.02% DBT
2000 DIAMONDBACK ENERGY INC 25278XBA6 Feb 2026 235,000 $229K 0.02% DBT
2001 HONEYWELL INTERNATIONAL 438516BB1 Feb 2026 220,000 $229K 0.02% DBT
2002 SOUTHERN CALIF GAS CO 842434CT7 Feb 2026 300,000 $229K 0.02% DBT
2003 COMMONWEALTH EDISON CO 202795JL5 Feb 2026 294,000 $229K 0.02% DBT
2004 NATWEST GROUP PLC 639057AN8 Feb 2026 215,000 $229K 0.02% DBT
2005 BARCLAYS PLC 06738EAV7 Feb 2026 245,000 $229K 0.02% DBT
2006 MARRIOTT INTERNATIONAL 571903BF9 Feb 2026 242,000 $228K 0.02% DBT
2007 IBM INTERNAT CAPITAL 449276AG9 Feb 2026 245,000 $228K 0.02% DBT
2008 NOVARTIS CAPITAL CORP 66989HAH1 Feb 2026 251,000 $228K 0.02% DBT
2009 BOSTON PROPERTIES LP 10112RBH6 Feb 2026 213,000 $228K 0.02% DBT
2010 VALERO ENERGY PARTNERS 91914JAB8 Feb 2026 226,000 $228K 0.02% DBT
2011 LAM RESEARCH CORP 512807AW8 Feb 2026 346,000 $228K 0.02% DBT
2012 CITIZENS FINANCIAL GROUP 174610AT2 Feb 2026 237,000 $228K 0.02% DBT
2013 JOHNSON & JOHNSON 478160AN4 Feb 2026 203,000 $228K 0.02% DBT
2014 UNITEDHEALTH GROUP INC 91324PDQ2 Feb 2026 269,000 $228K 0.02% DBT
2015 KILROY REALTY LP 49427RAP7 Feb 2026 245,000 $228K 0.02% DBT
2016 DOW CHEMICAL CO/THE 260543CR2 Feb 2026 260,000 $228K 0.02% DBT
2017 GILEAD SCIENCES INC 375558BT9 Feb 2026 354,000 $227K 0.02% DBT
2018 LOWE'S COS INC 548661EJ2 Feb 2026 284,000 $227K 0.02% DBT
2019 COMCAST CORP 20030NDQ1 Feb 2026 437,000 $227K 0.02% DBT
2020 TIME WARNER CABLE LLC 88732JBB3 Feb 2026 253,000 $227K 0.02% DBT
2021 ORANGE SA 35177PAX5 Feb 2026 228,000 $227K 0.02% DBT
2022 WOODSIDE FINANCE LTD 980236AS2 Feb 2026 235,000 $227K 0.02% DBT
2023 MCDONALD'S CORP 58013MEF7 Feb 2026 202,000 $227K 0.02% DBT
2024 APPLE INC 037833EF3 Feb 2026 360,000 $227K 0.02% DBT
2025 STARBUCKS CORP 855244BA6 Feb 2026 314,000 $227K 0.02% DBT
2026 GOLDMAN SACHS GROUP INC 38141GZU1 Feb 2026 225,000 $226K 0.02% DBT
2027 MICROSOFT CORP 594918BK9 Feb 2026 225,000 $226K 0.02% DBT
2028 UNITEDHEALTH GROUP INC 91324PBE1 Feb 2026 199,000 $226K 0.02% DBT
2029 PIEDMONT NATURAL GAS CO 720186AP0 Feb 2026 248,000 $226K 0.02% DBT
2030 HORMEL FOODS CORP 440452AJ9 Feb 2026 337,000 $226K 0.02% DBT
2031 PROCTER & GAMBLE CO/THE 742718DB2 Feb 2026 204,000 $226K 0.02% DBT
2032 HP ENTERPRISE CO 42824CBZ1 Feb 2026 225,000 $226K 0.02% DBT
2033 HP ENTERPRISE CO 42824CCB3 Feb 2026 225,000 $225K 0.02% DBT
2034 HCA INC 404119CV9 Feb 2026 225,000 $225K 0.02% DBT
2035 CVS HEALTH CORP 126650DZ0 Feb 2026 230,000 $225K 0.02% DBT
2036 WILLIS NORTH AMERICA INC 970648AK7 Feb 2026 302,000 $225K 0.02% DBT
2037 FLORIDA POWER & LIGHT CO 341081FR3 Feb 2026 271,000 $225K 0.02% DBT
2038 TOYOTA MOTOR CREDIT CORP 89236TGU3 Feb 2026 240,000 $225K 0.02% DBT
2039 CONSTELLATION EN GEN LLC 30161MAG8 Feb 2026 205,000 $225K 0.02% DBT
2040 BURLINGTN NORTH SANTA FE 12189LBF7 Feb 2026 334,000 $224K 0.02% DBT
2041 MARSH & MCLENNAN COS INC 571748CA8 Feb 2026 220,000 $224K 0.02% DBT
2042 METLIFE INC 59156RBL1 Feb 2026 250,000 $224K 0.02% DBT
2043 PRUDENTIAL FINANCIAL INC 74432QCA1 Feb 2026 252,000 $224K 0.02% DBT
2044 PEPSICO INC 713448BS6 Feb 2026 224,000 $224K 0.02% DBT
2045 ATMOS ENERGY CORP 049560AQ8 Feb 2026 272,000 $224K 0.02% DBT
2046 TRUIST FINANCIAL CORP 05531GAB7 Feb 2026 225,000 $224K 0.02% DBT
2047 CHARTER COMM OPT LLC/CAP 161175CJ1 Feb 2026 235,000 $224K 0.02% DBT
2048 ORANGE SA 685218AB5 Feb 2026 221,000 $224K 0.02% DBT
2049 NEVADA POWER CO 641423CE6 Feb 2026 333,000 $224K 0.02% DBT
2050 RTX CORP 913017CJ6 Feb 2026 282,000 $223K 0.02% DBT
2051 COMCAST CORP 20030NBK6 Feb 2026 250,000 $223K 0.02% DBT
2052 ELEVANCE HEALTH INC 036752AS2 Feb 2026 310,000 $223K 0.02% DBT
2053 AIR LEASE CORP 00914AAS1 Feb 2026 246,000 $223K 0.02% DBT
2054 AMERICAN EXPRESS CO 025816EM7 Feb 2026 225,000 $223K 0.02% DBT
2055 DOW CHEMICAL CO/THE 260543CK7 Feb 2026 241,000 $223K 0.02% DBT
2056 TWDC ENTERPRISES 18 CORP 25468PDB9 Feb 2026 261,000 $223K 0.02% DBT
2057 ABBVIE INC 00287YEB1 Feb 2026 220,000 $222K 0.02% DBT
2058 EDISON INTERNATIONAL 281020AN7 Feb 2026 219,000 $222K 0.02% DBT
2059 AMAZON.COM INC 023135CR5 Feb 2026 215,000 $222K 0.02% DBT
2060 MICROSOFT CORP 594918BL7 Feb 2026 240,000 $222K 0.02% DBT
2061 NUTRIEN LTD 67077MAS7 Feb 2026 231,000 $222K 0.02% DBT
2062 WILLIAMS COMPANIES INC 969457CN8 Feb 2026 223,000 $222K 0.02% DBT
2063 ATMOS ENERGY CORP 049560BE4 Feb 2026 225,000 $222K 0.02% DBT
2064 KINDER MORGAN INC 49456BAR2 Feb 2026 245,000 $222K 0.02% DBT
2065 WILLIAMS COMPANIES INC 96949LAE5 Feb 2026 250,000 $222K 0.02% DBT
2066 INGREDION INC 457187AD4 Feb 2026 283,000 $222K 0.02% DBT
2067 ORIX CORP 686330AP6 Feb 2026 225,000 $222K 0.02% DBT
2068 CITIGROUP INC 172967ME8 Feb 2026 222,000 $221K 0.02% DBT
2069 AMERICAN WATER CAPITAL C 03040WAD7 Feb 2026 192,000 $221K 0.02% DBT
2070 EOG RESOURCES INC 26875PAT8 Feb 2026 243,000 $221K 0.02% DBT
2071 TRANSCANADA PIPELINES 89352HAE9 Feb 2026 188,000 $221K 0.02% DBT
2072 SHELL INTERNATIONAL FIN 822582AD4 Feb 2026 195,000 $221K 0.02% DBT
2073 CHARTER COMM OPT LLC/CAP 161175CG7 Feb 2026 361,000 $221K 0.02% DBT
2074 BANK OF AMERICA CORP 06051GJZ3 Feb 2026 230,000 $220K 0.02% DBT
2075 T-MOBILE USA INC 87264ACW3 Feb 2026 225,000 $220K 0.02% DBT
2076 APPLE INC 037833DW7 Feb 2026 346,000 $220K 0.02% DBT
2077 COCA-COLA CO/THE 191216DK3 Feb 2026 240,000 $220K 0.02% DBT
2078 JPMORGAN CHASE & CO 46647PBX3 Feb 2026 245,000 $220K 0.02% DBT
2079 PEPSICO INC 713448EU8 Feb 2026 285,000 $220K 0.02% DBT
2080 ENTERPRISE PRODUCTS OPER 29379VBN2 Feb 2026 219,000 $220K 0.02% DBT
2081 APPLE INC 037833AL4 Feb 2026 256,000 $219K 0.02% DBT
2082 SAN DIEGO G & E 797440BM5 Feb 2026 237,000 $219K 0.02% DBT
2083 MCDONALD'S CORP 58013MEV2 Feb 2026 244,000 $219K 0.02% DBT
2084 NOMURA HOLDINGS INC 65535HBM0 Feb 2026 210,000 $219K 0.02% DBT
2085 MARTIN MARIETTA MATERIAL 573284AX4 Feb 2026 323,000 $219K 0.02% DBT
2086 WELLS FARGO & COMPANY 94974BGT1 Feb 2026 260,000 $219K 0.02% DBT
2087 ONCOR ELECTRIC DELIVERY 68233JCM4 Feb 2026 240,000 $218K 0.02% DBT
2088 AMGEN INC 031162CS7 Feb 2026 300,000 $218K 0.02% DBT
2089 COCA-COLA CO/THE 191216CX6 Feb 2026 344,000 $218K 0.02% DBT
2090 JPMORGAN CHASE & CO 46647PAM8 Feb 2026 220,000 $218K 0.02% DBT
2091 UDR INC 90265EAU4 Feb 2026 260,000 $218K 0.02% DBT
2092 OHIO POWER COMPANY 677415CR0 Feb 2026 278,000 $218K 0.02% DBT
2093 NOMURA HOLDINGS INC 65535HBK4 Feb 2026 200,000 $218K 0.02% DBT
2094 MARSH & MCLENNAN COS INC 571748BN1 Feb 2026 237,000 $218K 0.02% DBT
2095 NOMURA HOLDINGS INC 65535HBP3 Feb 2026 200,000 $217K 0.02% DBT
2096 ORACLE CORP 68389XCB9 Feb 2026 339,000 $217K 0.02% DBT
2097 COMCAST CORP 20030NCL3 Feb 2026 230,000 $217K 0.02% DBT
2098 BANK OF NY MELLON CORP 06406RAD9 Feb 2026 218,000 $217K 0.02% DBT
2099 NORFOLK SOUTHERN CORP 655844BY3 Feb 2026 263,000 $217K 0.02% DBT
2100 PAYPAL HOLDINGS INC 70450YAH6 Feb 2026 232,000 $217K 0.02% DBT
2101 APPLE INC 037833EG1 Feb 2026 364,000 $217K 0.02% DBT
2102 GENERAL MOTORS FINL CO 37045XDL7 Feb 2026 236,000 $217K 0.02% DBT
2103 ELEVANCE HEALTH INC 94973VBK2 Feb 2026 243,000 $216K 0.02% DBT
2104 RTX CORP 913017CA5 Feb 2026 254,000 $216K 0.02% DBT
2105 BARCLAYS PLC 06738ECG8 Feb 2026 200,000 $216K 0.02% DBT
2106 ANHEUSER-BUSCH INBEV WOR 035240AN0 Feb 2026 240,000 $216K 0.02% DBT
2107 CON EDISON CO OF NY INC 209111EL3 Feb 2026 199,000 $216K 0.02% DBT
2108 HONEYWELL INTERNATIONAL 438516CY0 Feb 2026 210,000 $216K 0.02% DBT
2109 NOVARTIS CAPITAL CORP 66989HAU2 Feb 2026 215,000 $216K 0.02% DBT
2110 EVERSOURCE ENERGY 30040WAL2 Feb 2026 235,000 $216K 0.02% DBT
2111 PARAMOUNT GLOBAL 92553PAU6 Feb 2026 291,000 $216K 0.02% DBT
2112 TARGA RESOURCES CORP 87612GAP6 Feb 2026 210,000 $216K 0.02% DBT
2113 CITIGROUP INC 172967HA2 Feb 2026 191,000 $215K 0.02% DBT
2114 CON EDISON CO OF NY INC 209111FW8 Feb 2026 304,000 $215K 0.02% DBT
2115 INTERNATIONAL PAPER CO 460146CQ4 Feb 2026 259,000 $215K 0.02% DBT
2116 TARGA RESOURCES CORP 87612GAD3 Feb 2026 203,000 $215K 0.02% DBT
2117 IBM CORP 459200LV1 Feb 2026 215,000 $215K 0.02% DBT
2118 PRUDENTIAL FINANCIAL INC 74432QCK9 Feb 2026 210,000 $215K 0.02% DBT
2119 IBM CORP 459200LG4 Feb 2026 210,000 $215K 0.02% DBT
2120 TRAVELERS COS INC 89417EAM1 Feb 2026 263,000 $215K 0.02% DBT
2121 SIMON PROPERTY GROUP LP 828807DQ7 Feb 2026 240,000 $215K 0.02% DBT
2122 CITIGROUP INC 172967MY4 Feb 2026 234,000 $214K 0.02% DBT
2123 NASDAQ INC 63111XAD3 Feb 2026 240,000 $214K 0.02% DBT
2124 KINDER MORGAN ENER PART 494550BD7 Feb 2026 193,000 $214K 0.02% DBT
2125 HUMANA INC 444859BB7 Feb 2026 249,000 $214K 0.02% DBT
2126 MORGAN STANLEY 61748UAP7 Feb 2026 215,000 $214K 0.02% DBT
2127 DEUTSCHE BANK NY 251526DB2 Feb 2026 210,000 $214K 0.02% DBT
2128 KROGER CO 501044BZ3 Feb 2026 186,000 $214K 0.02% DBT
2129 ONEOK INC 682680AN3 Feb 2026 200,000 $213K 0.02% DBT
2130 ATMOS ENERGY CORP 049560AS4 Feb 2026 297,000 $213K 0.02% DBT
2131 VALERO ENERGY CORP 91913YBD1 Feb 2026 299,000 $213K 0.02% DBT
2132 DELMARVA PWR & LIGHT CO 247109BT7 Feb 2026 249,000 $213K 0.02% DBT
2133 UNION PACIFIC CORP 907818EW4 Feb 2026 243,000 $213K 0.02% DBT
2134 COOPERATIEVE RABOBANK UA 21685WCJ4 Feb 2026 210,000 $213K 0.02% DBT
2135 EPR PROPERTIES 26884UAE9 Feb 2026 210,000 $212K 0.02% DBT
2136 ANALOG DEVICES INC 032654BD6 Feb 2026 210,000 $212K 0.02% DBT
2137 PNC FINANCIAL SERVICES 693475CF0 Feb 2026 210,000 $212K 0.02% DBT
2138 ELEVANCE HEALTH INC 94973VAL1 Feb 2026 199,000 $212K 0.02% DBT
2139 KIMCO REALTY OP LLC 49446RBA6 Feb 2026 210,000 $212K 0.02% DBT
2140 INTEL CORP 458140BG4 Feb 2026 293,000 $212K 0.02% DBT
2141 WELLS FARGO & COMPANY 95000U2J1 Feb 2026 225,000 $212K 0.02% DBT
2142 CROWN CASTLE INC 22822VBB6 Feb 2026 208,000 $211K 0.02% DBT
2143 CENCORA INC 03073EBE4 Feb 2026 210,000 $211K 0.02% DBT
2144 MITSUBISHI UFJ FIN GRP 606822CR3 Feb 2026 200,000 $211K 0.02% DBT
2145 SUMITOMO MITSUI FINL GRP 86562MDT4 Feb 2026 200,000 $211K 0.02% DBT
2146 INTL FLAVOR & FRAGRANCES 459506AE1 Feb 2026 254,000 $211K 0.02% DBT
2147 UNITEDHEALTH GROUP INC 91324PDK5 Feb 2026 211,000 $211K 0.02% DBT
2148 COMCAST CORP 20030NEG2 Feb 2026 229,000 $211K 0.02% DBT
2149 ZOETIS INC 98978VAM5 Feb 2026 256,000 $211K 0.02% DBT
2150 SOUTHERN CALIF GAS CO 842434CR1 Feb 2026 264,000 $211K 0.02% DBT
2151 AT&T INC 00206RGL0 Feb 2026 210,000 $211K 0.01% DBT
2152 PFIZER INC 717081ED1 Feb 2026 251,000 $211K 0.01% DBT
2153 MIZUHO FINANCIAL GROUP 60687YAX7 Feb 2026 217,000 $210K 0.01% DBT
2154 AMERICAN WATER CAPITAL C 03040WAT2 Feb 2026 254,000 $210K 0.01% DBT
2155 JOHNSON & JOHNSON 478160BK9 Feb 2026 222,000 $210K 0.01% DBT
2156 PNC FINANCIAL SERVICES 693475AZ8 Feb 2026 221,000 $210K 0.01% DBT
2157 CHARTER COMM OPT LLC/CAP 161175CK8 Feb 2026 259,000 $209K 0.01% DBT
2158 APPLE INC 037833DQ0 Feb 2026 306,000 $209K 0.01% DBT
2159 SUMITOMO MITSUI FINL GRP 86562MDS6 Feb 2026 200,000 $209K 0.01% DBT
2160 JOHNSON & JOHNSON 478160BA1 Feb 2026 208,000 $209K 0.01% DBT
2161 CHEVRON CORP 166764CA6 Feb 2026 298,000 $209K 0.01% DBT
2162 UNION PACIFIC CORP 907818GG7 Feb 2026 200,000 $209K 0.01% DBT
2163 NOMURA HOLDINGS INC 65535HCB3 Feb 2026 200,000 $208K 0.01% DBT
2164 UNITED PARCEL SERVICE 911312BS4 Feb 2026 287,000 $208K 0.01% DBT
2165 CVS HEALTH CORP 126650CM0 Feb 2026 210,000 $208K 0.01% DBT
2166 SUMITOMO MITSUI FINL GRP 86562MDB3 Feb 2026 200,000 $208K 0.01% DBT
2167 ELI LILLY & CO 532457BA5 Feb 2026 192,000 $208K 0.01% DBT
2168 MARSH & MCLENNAN COS INC 571748BC5 Feb 2026 246,000 $208K 0.01% DBT
2169 ANHEUSER-BUSCH INBEV FIN 03524BAF3 Feb 2026 226,000 $208K 0.01% DBT
2170 MIZUHO FINANCIAL GROUP 60687YDF3 Feb 2026 200,000 $208K 0.01% DBT
2171 ELEVANCE HEALTH INC 94973VBF3 Feb 2026 219,000 $208K 0.01% DBT
2172 AMAZON.COM INC 023135CK0 Feb 2026 270,000 $208K 0.01% DBT
2173 BROWN & BROWN INC 115236AE1 Feb 2026 215,000 $208K 0.01% DBT
2174 BARCLAYS PLC 06738ECY9 Feb 2026 200,000 $208K 0.01% DBT
2175 MORGAN STANLEY 61747YFJ9 Feb 2026 185,000 $208K 0.01% DBT
2176 UNION PACIFIC CORP 907818FE3 Feb 2026 273,000 $208K 0.01% DBT
2177 BALTIMORE GAS & ELECTRIC 059165EC0 Feb 2026 185,000 $207K 0.01% DBT
2178 COCA-COLA FEMSA SAB CV 191241AF5 Feb 2026 205,000 $207K 0.01% DBT
2179 UNITEDHEALTH GROUP INC 91324PBU5 Feb 2026 225,000 $207K 0.01% DBT
2180 ANALOG DEVICES INC 032654AV7 Feb 2026 230,000 $207K 0.01% DBT
2181 INTEL CORP 458140CB4 Feb 2026 245,000 $207K 0.01% DBT
2182 FORTUNE BRANDS INNOVATIO 34964CAG1 Feb 2026 254,000 $207K 0.01% DBT
2183 CAPITAL ONE FINANCIAL CO 14040HCV5 Feb 2026 200,000 $206K 0.01% DBT
2184 NSTAR ELECTRIC CO 67021CAF4 Feb 2026 200,000 $206K 0.01% DBT
2185 ALIBABA GROUP HOLDING 01609WAR3 Feb 2026 206,000 $206K 0.01% DBT
2186 INTEL CORP 458140CF5 Feb 2026 200,000 $206K 0.01% DBT
2187 NATWEST GROUP PLC 639057AV0 Feb 2026 200,000 $206K 0.01% DBT
2188 POTOMAC ELECTRIC POWER 737679DJ6 Feb 2026 210,000 $206K 0.01% DBT
2189 AT&T INC 00206RDK5 Feb 2026 246,000 $206K 0.01% DBT
2190 AMERICAN TOWER CORP 03027XCH1 Feb 2026 197,000 $206K 0.01% DBT
2191 ENERGY TRANSFER LP 29273RAJ8 Feb 2026 175,000 $206K 0.01% DBT
2192 UNION PACIFIC CORP 907818FC7 Feb 2026 243,000 $206K 0.01% DBT
2193 PHILLIPS 66 718546AR5 Feb 2026 206,000 $206K 0.01% DBT
2194 CONOCOPHILLIPS COMPANY 20826FAR7 Feb 2026 195,000 $206K 0.01% DBT
2195 ARTHUR J GALLAGHER & CO 04316JAP4 Feb 2026 215,000 $205K 0.01% DBT
2196 INTEL CORP 458140CA6 Feb 2026 210,000 $205K 0.01% DBT
2197 NATWEST GROUP PLC 639057AS7 Feb 2026 200,000 $205K 0.01% DBT
2198 PRUDENTIAL FINANCIAL INC 74432QCE3 Feb 2026 251,000 $205K 0.01% DBT
2199 TAKEDA PHARMACEUTICAL 874060BL9 Feb 2026 200,000 $205K 0.01% DBT
2200 TRANSCANADA PIPELINES 893526DF7 Feb 2026 193,000 $205K 0.01% DBT
2201 NOMURA HOLDINGS INC 65535HBZ1 Feb 2026 200,000 $205K 0.01% DBT
2202 COMMONWEALTH EDISON CO 202795JQ4 Feb 2026 297,000 $204K 0.01% DBT
2203 ORACLE CORP 68389XAW5 Feb 2026 265,000 $204K 0.01% DBT
2204 DIAMONDBACK ENERGY INC 25278XBC2 Feb 2026 195,000 $204K 0.01% DBT
2205 FLORIDA POWER & LIGHT CO 341081FL6 Feb 2026 240,000 $204K 0.01% DBT
2206 AT&T INC 00206RHA3 Feb 2026 220,000 $204K 0.01% DBT
2207 SUMITOMO MITSUI FINL GRP 86562MAR1 Feb 2026 205,000 $204K 0.01% DBT
2208 SUMITOMO MITSUI FINL GRP 86562MEG1 Feb 2026 200,000 $204K 0.01% DBT
2209 CHARLES SCHWAB CORP 808513BT1 Feb 2026 230,000 $204K 0.01% DBT
2210 SANDS CHINA LTD 80007RAL9 Feb 2026 206,000 $204K 0.01% DBT
2211 PFIZER INC 717081EK5 Feb 2026 242,000 $204K 0.01% DBT
2212 EQUINIX INC 29444UBM7 Feb 2026 321,000 $204K 0.01% DBT
2213 MICROSOFT CORP 594918CD4 Feb 2026 351,000 $204K 0.01% DBT
2214 APPLE INC 037833EP1 Feb 2026 210,000 $204K 0.01% DBT
2215 NOMURA HOLDINGS INC 65535HBF5 Feb 2026 200,000 $203K 0.01% DBT
2216 UNION PACIFIC CORP 907818EJ3 Feb 2026 245,000 $203K 0.01% DBT
2217 ING GROEP NV 456837BQ5 Feb 2026 200,000 $203K 0.01% DBT
2218 APPLE INC 037833BH2 Feb 2026 225,000 $203K 0.01% DBT
2219 ALIBABA GROUP HOLDING 01609WBA9 Feb 2026 308,000 $203K 0.01% DBT
2220 ENTERPRISE PRODUCTS OPER 29379VAM5 Feb 2026 166,000 $203K 0.01% DBT
2221 HSBC HOLDINGS PLC 404280EQ8 Feb 2026 200,000 $203K 0.01% DBT
2222 SOUTHERN CAL EDISON 842400HV8 Feb 2026 213,000 $203K 0.01% DBT
2223 IBM CORP 459200LF6 Feb 2026 200,000 $203K 0.01% DBT
2224 AETNA INC 00817YAG3 Feb 2026 182,000 $203K 0.01% DBT
2225 TORONTO-DOMINION BANK 89115KAD2 Feb 2026 200,000 $203K 0.01% DBT
2226 MIZUHO FINANCIAL GROUP 60687YDS5 Feb 2026 200,000 $203K 0.01% DBT
2227 FLORIDA POWER & LIGHT CO 341081FF9 Feb 2026 229,000 $202K 0.01% DBT
2228 TRANSCANADA PIPELINES 89352HAZ2 Feb 2026 212,000 $202K 0.01% DBT
2229 HSBC HOLDINGS PLC 404280FE4 Feb 2026 200,000 $202K 0.01% DBT
2230 WELLTOWER OP LLC 95040QAL8 Feb 2026 215,000 $202K 0.01% DBT
2231 SUMITOMO MITSUI FINL GRP 86562MED8 Feb 2026 200,000 $202K 0.01% DBT
2232 PAYPAL HOLDINGS INC 70450YAJ2 Feb 2026 291,000 $202K 0.01% DBT
2233 MOODY'S CORPORATION 615369AP0 Feb 2026 200,000 $202K 0.01% DBT
2234 HSBC HOLDINGS PLC 404280FG9 Feb 2026 200,000 $202K 0.01% DBT
2235 LLOYDS BANKING GROUP PLC 53944YBJ1 Feb 2026 200,000 $202K 0.01% DBT
2236 AMERICAN EXPRESS CO 025816DA4 Feb 2026 202,000 $202K 0.01% DBT
2237 BANCO SANTANDER SA 05971KAR0 Feb 2026 200,000 $202K 0.01% DBT
2238 IBM CORP 459200LS8 Feb 2026 200,000 $202K 0.01% DBT
2239 LYB INTL FINANCE BV 50247VAB5 Feb 2026 230,000 $202K 0.01% DBT
2240 MITSUBISHI UFJ FIN GRP 606822BB9 Feb 2026 210,000 $201K 0.01% DBT
2241 CARRIER GLOBAL CORP 14448CAR5 Feb 2026 246,000 $201K 0.01% DBT
2242 COCA-COLA CO/THE 191216CM0 Feb 2026 212,000 $201K 0.01% DBT
2243 ARCHER-DANIELS-MIDLAND C 039483AU6 Feb 2026 189,000 $201K 0.01% DBT
2244 IBM CORP 459200LR0 Feb 2026 200,000 $201K 0.01% DBT
2245 BANCO SANTANDER SA 05971KAS8 Feb 2026 200,000 $201K 0.01% DBT
2246 WELLTOWER OP LLC 95040QAH7 Feb 2026 200,000 $201K 0.01% DBT
2247 MIZUHO FINANCIAL GROUP 60687YDR7 Feb 2026 200,000 $201K 0.01% DBT
2248 TRAVELERS COS INC 792860AK4 Feb 2026 174,000 $201K 0.01% DBT
2249 LLOYDS BANKING GROUP PLC 53944YBG7 Feb 2026 200,000 $201K 0.01% DBT
2250 QUALCOMM INC 747525BT9 Feb 2026 190,000 $201K 0.01% DBT
2251 VONTIER CORP 928881AD3 Feb 2026 208,000 $201K 0.01% DBT
2252 SUMITOMO MITSUI FINL GRP 86562MEJ5 Feb 2026 200,000 $201K 0.01% DBT
2253 BROOKFIELD FINANCE INC 11271LAB8 Feb 2026 234,000 $201K 0.01% DBT
2254 IBM CORP 459200LH2 Feb 2026 195,000 $201K 0.01% DBT
2255 IBM CORP 459200LQ2 Feb 2026 200,000 $201K 0.01% DBT
2256 SANTANDER UK GROUP HLDGS 80281LAX3 Feb 2026 200,000 $201K 0.01% DBT
2257 AMERICAN TOWER CORP 03027XAY6 Feb 2026 265,000 $200K 0.01% DBT
2258 VISA INC 92826CAJ1 Feb 2026 253,000 $200K 0.01% DBT
2259 AMERICAN EXPRESS CO 025816DF3 Feb 2026 195,000 $200K 0.01% DBT
2260 AMERICAN HONDA FINANCE 02665WEZ0 Feb 2026 197,000 $200K 0.01% DBT
2261 BANCO BILBAO VIZCAYA ARG 05946KAT8 Feb 2026 200,000 $200K 0.01% DBT
2262 ENBRIDGE ENERGY PARTNERS 29250RAP1 Feb 2026 167,000 $200K 0.01% DBT
2263 QUEST DIAGNOSTICS INC 74834LAY6 Feb 2026 216,000 $200K 0.01% DBT
2264 HOME DEPOT INC 437076DK5 Feb 2026 200,000 $200K 0.01% DBT
2265 TARGET CORP 87612EBH8 Feb 2026 202,000 $200K 0.01% DBT
2266 CON EDISON CO OF NY INC 209111EY5 Feb 2026 192,000 $200K 0.01% DBT
2267 ELEVANCE HEALTH INC 036752BB8 Feb 2026 195,000 $200K 0.01% DBT
2268 APTIV SWISS HOLDINGS LTD 03837AAC4 Feb 2026 205,000 $200K 0.01% DBT
2269 CAPITAL ONE FINANCIAL CO 14040HDN2 Feb 2026 200,000 $200K 0.01% DBT
2270 CAPITAL ONE FINANCIAL CO 14040HCJ2 Feb 2026 220,000 $199K 0.01% DBT
2271 ANALOG DEVICES INC 032654BE4 Feb 2026 195,000 $199K 0.01% DBT
2272 ANHEUSER-BUSCH INBEV WOR 035240AT7 Feb 2026 215,000 $199K 0.01% DBT
2273 REGIONS FINANCIAL CORP 7591EPAT7 Feb 2026 210,000 $199K 0.01% DBT
2274 HOME DEPOT INC 437076DG4 Feb 2026 205,000 $199K 0.01% DBT
2275 ATMOS ENERGY CORP 049560AP0 Feb 2026 235,000 $199K 0.01% DBT
2276 BANCO BILBAO VIZCAYA ARG 05946KAU5 Feb 2026 200,000 $199K 0.01% DBT
2277 QUALCOMM INC 747525BR3 Feb 2026 235,000 $199K 0.01% DBT
2278 ELI LILLY & CO 532457BR8 Feb 2026 240,000 $199K 0.01% DBT
2279 MERCK & CO INC 806605AH4 Feb 2026 172,000 $199K 0.01% DBT
2280 NATWEST GROUP PLC 639057AW8 Feb 2026 200,000 $199K 0.01% DBT
2281 TARGA RESOURCES CORP 87612GAS0 Feb 2026 195,000 $199K 0.01% DBT
2282 IBM CORP 459200GS4 Feb 2026 191,000 $199K 0.01% DBT
2283 HOME DEPOT INC 437076BZ4 Feb 2026 287,000 $198K 0.01% DBT
2284 ANHEUSER-BUSCH INBEV FIN 035242AN6 Feb 2026 212,000 $198K 0.01% DBT
2285 NUTRIEN LTD 67077MBD9 Feb 2026 190,000 $198K 0.01% DBT
2286 GOLDMAN SACHS GROUP INC 38141GWL4 Feb 2026 199,000 $198K 0.01% DBT
2287 WELLS FARGO & COMPANY 95000U3D3 Feb 2026 190,000 $198K 0.01% DBT
2288 VENTAS REALTY LP 92277GAN7 Feb 2026 196,000 $198K 0.01% DBT
2289 SIMON PROPERTY GROUP LP 828807CT2 Feb 2026 230,000 $198K 0.01% DBT
2290 CUMMINS INC 231021AX4 Feb 2026 198,000 $198K 0.01% DBT
2291 SUMITOMO MITSUI FINL GRP 86562MDM9 Feb 2026 190,000 $198K 0.01% DBT
2292 CANADIAN IMPERIAL BANK 13607HR53 Feb 2026 205,000 $197K 0.01% DBT
2293 UNION PACIFIC CORP 907818EC8 Feb 2026 258,000 $197K 0.01% DBT
2294 CSX CORP 126408HC0 Feb 2026 249,000 $197K 0.01% DBT
2295 BANK OF MONTREAL 06368DH72 Feb 2026 216,000 $197K 0.01% DBT
2296 LYB INT FINANCE III 50249AAD5 Feb 2026 273,000 $197K 0.01% DBT
2297 CARDINAL HEALTH INC 14149YBT4 Feb 2026 195,000 $197K 0.01% DBT
2298 INTEL CORP 458140AP5 Feb 2026 237,000 $197K 0.01% DBT
2299 PROLOGIS LP 74340XBJ9 Feb 2026 230,000 $196K 0.01% DBT
2300 PROLOGIS LP 74340XBH3 Feb 2026 196,000 $196K 0.01% DBT
2301 ENTERPRISE PRODUCTS OPER 29379VAQ6 Feb 2026 174,000 $196K 0.01% DBT
2302 ATMOS ENERGY CORP 049560AM7 Feb 2026 228,000 $196K 0.01% DBT
2303 ROGERS COMMUNICATIONS IN 775109BN0 Feb 2026 240,000 $196K 0.01% DBT
2304 ERP OPERATING LP 26884ABJ1 Feb 2026 197,000 $196K 0.01% DBT
2305 PEPSICO INC 713448EZ7 Feb 2026 214,000 $196K 0.01% DBT
2306 CON EDISON CO OF NY INC 209111FV0 Feb 2026 243,000 $196K 0.01% DBT
2307 LEIDOS INC 52532XAH8 Feb 2026 215,000 $195K 0.01% DBT
2308 NEWMONT CORP 651639AP1 Feb 2026 201,000 $195K 0.01% DBT
2309 APPLIED MATERIALS INC 038222AP0 Feb 2026 295,000 $195K 0.01% DBT
2310 UNITED PARCEL SERVICE 911312BV7 Feb 2026 190,000 $195K 0.01% DBT
2311 LLOYDS BANKING GROUP PLC 53944YAE3 Feb 2026 230,000 $195K 0.01% DBT
2312 CAPITAL ONE FINANCIAL CO 14040HDH5 Feb 2026 185,000 $195K 0.01% DBT
2313 DEERE & COMPANY 244199BA2 Feb 2026 170,000 $195K 0.01% DBT
2314 PARKER-HANNIFIN CORP 701094AP9 Feb 2026 237,000 $195K 0.01% DBT
2315 DANAHER CORP 235851AV4 Feb 2026 315,000 $195K 0.01% DBT
2316 KINDER MORGAN ENER PART 494550BH8 Feb 2026 178,000 $194K 0.01% DBT
2317 CHARTER COMM OPT LLC/CAP 161175CL6 Feb 2026 244,000 $194K 0.01% DBT
2318 GENERAL MOTORS FINL CO 37045XDS2 Feb 2026 210,000 $194K 0.01% DBT
2319 GOLDMAN SACHS GROUP INC 38148LAF3 Feb 2026 206,000 $194K 0.01% DBT
2320 TRAVELERS COS INC 89417EAJ8 Feb 2026 210,000 $194K 0.01% DBT
2321 WESTERN MIDSTREAM OPERAT 958667AA5 Feb 2026 223,000 $194K 0.01% DBT
2322 HUMANA INC 444859BG6 Feb 2026 232,000 $194K 0.01% DBT
2323 KROGER CO 501044DM0 Feb 2026 200,000 $194K 0.01% DBT
2324 NATIONAL RURAL UTIL COOP 637432MS1 Feb 2026 196,000 $193K 0.01% DBT
2325 FORD MOTOR COMPANY 345370DA5 Feb 2026 215,000 $193K 0.01% DBT
2326 ORACLE CORP 68389XDM4 Feb 2026 200,000 $193K 0.01% DBT
2327 TJX COS INC 872540AU3 Feb 2026 219,000 $193K 0.01% DBT
2328 CHUBB INA HOLDINGS LLC 00440EAW7 Feb 2026 220,000 $193K 0.01% DBT
2329 ALPHABET INC 02079KAG2 Feb 2026 368,000 $193K 0.01% DBT
2330 CHARTER COMM OPT LLC/CAP 161175BM5 Feb 2026 208,000 $193K 0.01% DBT
2331 CSX CORP 126408HN6 Feb 2026 214,000 $193K 0.01% DBT
2332 LLOYDS BANKING GROUP PLC 539439AN9 Feb 2026 200,000 $193K 0.01% DBT
2333 CSX CORP 126408GW7 Feb 2026 204,000 $193K 0.01% DBT
2334 MOODY'S CORPORATION 615369AQ8 Feb 2026 214,000 $193K 0.01% DBT
2335 COMCAST CORP 20030NBQ3 Feb 2026 221,000 $192K 0.01% DBT
2336 BROOKFLD FIN LLC/FIN INC 11271RAB5 Feb 2026 284,000 $192K 0.01% DBT
2337 PRUDENTIAL FUNDING ASIA 744330AA9 Feb 2026 199,000 $192K 0.01% DBT
2338 MASCO CORP 574599BN5 Feb 2026 193,000 $192K 0.01% DBT
2339 CARDINAL HEALTH INC 14149YBM9 Feb 2026 227,000 $192K 0.01% DBT
2340 PRUDENTIAL FINANCIAL INC 744320BH4 Feb 2026 205,000 $192K 0.01% DBT
2341 DEUTSCHE BANK NY 25160PAR8 Feb 2026 190,000 $192K 0.01% DBT
2342 ABBOTT LABORATORIES 002819AC4 Feb 2026 170,000 $191K 0.01% DBT
2343 AMGEN INC 031162AW0 Feb 2026 170,000 $191K 0.01% DBT
2344 PPL ELECTRIC UTILITIES 69351UAM5 Feb 2026 172,000 $191K 0.01% DBT
2345 WESTERN MIDSTREAM OPERAT 958667AG2 Feb 2026 188,000 $191K 0.01% DBT
2346 COMMONWEALTH EDISON CO 202795HT0 Feb 2026 169,000 $191K 0.01% DBT
2347 AUTOMATIC DATA PROCESSNG 053015AJ2 Feb 2026 185,000 $191K 0.01% DBT
2348 MIZUHO FINANCIAL GROUP 60687YBE8 Feb 2026 203,000 $190K 0.01% DBT
2349 MARSH & MCLENNAN COS INC 571748CB6 Feb 2026 185,000 $190K 0.01% DBT
2350 CSX CORP 126408HA4 Feb 2026 222,000 $190K 0.01% DBT
2351 KIMBERLY-CLARK CORP 494368CD3 Feb 2026 210,000 $190K 0.01% DBT
2352 LYB INT FINANCE III 50249AAA1 Feb 2026 262,000 $190K 0.01% DBT
2353 BANK OF NOVA SCOTIA 06417XAG6 Feb 2026 193,000 $190K 0.01% DBT
2354 VERIZON COMMUNICATIONS 92343VDS0 Feb 2026 208,000 $190K 0.01% DBT
2355 INTERNATIONAL PAPER CO 460146CK7 Feb 2026 213,000 $190K 0.01% DBT
2356 WRKCO INC 92940PAG9 Feb 2026 210,000 $190K 0.01% DBT
2357 CIGNA GROUP/THE 125523CD0 Feb 2026 177,000 $189K 0.01% DBT
2358 PNC BANK NA 69349LAR9 Feb 2026 189,000 $189K 0.01% DBT
2359 BROADCOM INC 11135FCK5 Feb 2026 185,000 $189K 0.01% DBT
2360 EQUINIX INC 29444UBJ4 Feb 2026 292,000 $189K 0.01% DBT
2361 MPLX LP 55336VAP5 Feb 2026 227,000 $189K 0.01% DBT
2362 ONE GAS INC 68235PAG3 Feb 2026 213,000 $189K 0.01% DBT
2363 SYSCO CORPORATION 871829BL0 Feb 2026 177,000 $188K 0.01% DBT
2364 FLORIDA POWER & LIGHT CO 341081FA0 Feb 2026 171,000 $188K 0.01% DBT
2365 INTERCONTINENTALEXCHANGE 45866FAW4 Feb 2026 185,000 $188K 0.01% DBT
2366 VOYA FINANCIAL INC 929089AF7 Feb 2026 195,000 $188K 0.01% DBT
2367 OCCIDENTAL PETROLEUM COR 674599EF8 Feb 2026 174,000 $187K 0.01% DBT
2368 BANK OF NY MELLON CORP 06406RCA3 Feb 2026 180,000 $187K 0.01% DBT
2369 INTEL CORP 458140CK4 Feb 2026 195,000 $187K 0.01% DBT
2370 TARGA RESOURCES CORP 87612GAN1 Feb 2026 185,000 $187K 0.01% DBT
2371 ENTERPRISE PRODUCTS OPER 29379VBU6 Feb 2026 208,000 $187K 0.01% DBT
2372 MPLX LP 55336VBN9 Feb 2026 186,000 $187K 0.01% DBT
2373 BURLINGTN NORTH SANTA FE 12189LBD2 Feb 2026 224,000 $187K 0.01% DBT
2374 MID-AMERICA APARTMENTS 59523UAS6 Feb 2026 210,000 $187K 0.01% DBT
2375 WW GRAINGER INC 384802AD6 Feb 2026 216,000 $187K 0.01% DBT
2376 CROWN CASTLE INC 22822VAP6 Feb 2026 242,000 $186K 0.01% DBT
2377 WALT DISNEY COMPANY/THE 254687FB7 Feb 2026 203,000 $186K 0.01% DBT
2378 BURLINGTON RESOURCES LLC 20825VAB8 Feb 2026 170,000 $186K 0.01% DBT
2379 COMMONWEALTH EDISON CO 202795JJ0 Feb 2026 239,000 $186K 0.01% DBT
2380 PUBLIC SERVICE ELECTRIC 74456QBT2 Feb 2026 245,000 $186K 0.01% DBT
2381 ECOLAB INC 278865BS8 Feb 2026 180,000 $186K 0.01% DBT
2382 DEVON ENERGY CORPORATION 25179MAN3 Feb 2026 205,000 $186K 0.01% DBT
2383 ONCOR ELECTRIC DELIVERY 68233JBD5 Feb 2026 237,000 $186K 0.01% DBT
2384 KRAFT HEINZ FOODS CO 50077LBN5 Feb 2026 180,000 $186K 0.01% DBT
2385 CAMPBELLS COMPANY/THE 134429BH1 Feb 2026 214,000 $185K 0.01% DBT
2386 ELEVANCE HEALTH INC 036752BC6 Feb 2026 180,000 $185K 0.01% DBT
2387 CRH AMERICA FINANCE INC 12636YAK8 Feb 2026 185,000 $185K 0.01% DBT
2388 CROWN CASTLE INC 22822VAQ4 Feb 2026 233,000 $185K 0.01% DBT
2389 BURLINGTN NORTH SANTA FE 12189LBC4 Feb 2026 225,000 $185K 0.01% DBT
2390 NXP BV/NXP FDG/NXP USA 62954HAU2 Feb 2026 240,000 $185K 0.01% DBT
2391 NOMURA HOLDINGS INC 65535HBA6 Feb 2026 200,000 $184K 0.01% DBT
2392 AMGEN INC 031162BE9 Feb 2026 192,000 $184K 0.01% DBT
2393 BAIDU INC 056752AU2 Feb 2026 200,000 $184K 0.01% DBT
2394 CANADIAN PACIFIC RAILWAY 13645RAU8 Feb 2026 195,000 $184K 0.01% DBT
2395 BOSTON PROPERTIES LP 10112RBB9 Feb 2026 189,000 $184K 0.01% DBT
2396 WALT DISNEY COMPANY/THE 254687EX0 Feb 2026 194,000 $184K 0.01% DBT
2397 BAXTER INTERNATIONAL INC 071813BP3 Feb 2026 260,000 $184K 0.01% DBT
2398 BERKSHIRE HATHAWAY FIN 084664BL4 Feb 2026 167,000 $184K 0.01% DBT
2399 ENERGY TRANSFER LP 29278NAE3 Feb 2026 186,000 $184K 0.01% DBT
2400 AT&T INC 00206RDS8 Feb 2026 191,000 $183K 0.01% DBT
2401 CHURCH & DWIGHT CO INC 17136MAC6 Feb 2026 170,000 $183K 0.01% DBT
2402 TELEFONICA EMISIONES SAU 87938WAW3 Feb 2026 213,000 $183K 0.01% DBT
2403 INVESCO FINANCE PLC 46132FAC4 Feb 2026 186,000 $183K 0.01% DBT
2404 TENNESSEE GAS PIPELINE 880451AS8 Feb 2026 177,000 $183K 0.01% DBT
2405 AT&T INC 00206RDT6 Feb 2026 187,000 $182K 0.01% DBT
2406 BANK OF AMERICA CORP 06051GJF7 Feb 2026 201,000 $182K 0.01% DBT
2407 INTERNATIONAL PAPER CO 460146CF8 Feb 2026 155,000 $182K 0.01% DBT
2408 BROADCOM INC 11135FCS8 Feb 2026 236,000 $182K 0.01% DBT
2409 PAYPAL HOLDINGS INC 70450YAN3 Feb 2026 199,000 $182K 0.01% DBT
2410 HONEYWELL INTERNATIONAL 438516BS4 Feb 2026 228,000 $182K 0.01% DBT
2411 AMERICAN TOWER CORP 03027XBD1 Feb 2026 271,000 $182K 0.01% DBT
2412 TRAVELERS COS INC 89417EAP4 Feb 2026 220,000 $182K 0.01% DBT
2413 TWDC ENTERPRISES 18 CORP 25468PDN3 Feb 2026 256,000 $182K 0.01% DBT
2414 COMCAST CORP 20030NDL2 Feb 2026 305,000 $181K 0.01% DBT
2415 TARGA RESOURCES CORP 87612GAB7 Feb 2026 210,000 $181K 0.01% DBT
2416 EQUINIX INC 29444UBL9 Feb 2026 190,000 $181K 0.01% DBT
2417 UNITEDHEALTH GROUP INC 91324PAX0 Feb 2026 161,000 $181K 0.01% DBT
2418 FORD MOTOR CREDIT CO LLC 345397E66 Feb 2026 175,000 $181K 0.01% DBT
2419 AT&T INC 00206RKF8 Feb 2026 280,000 $181K 0.01% DBT
2420 BIOGEN INC 09062XAH6 Feb 2026 195,000 $181K 0.01% DBT
2421 OVINTIV INC 292505AE4 Feb 2026 165,000 $181K 0.01% DBT
2422 UNITEDHEALTH GROUP INC 91324PFH0 Feb 2026 175,000 $180K 0.01% DBT
2423 MASTERCARD INC 57636QAZ7 Feb 2026 175,000 $180K 0.01% DBT
2424 MERCK & CO INC 58933YAW5 Feb 2026 222,000 $180K 0.01% DBT
2425 COMCAST CORP 20030NCK5 Feb 2026 234,000 $180K 0.01% DBT
2426 ORACLE CORP 68389XBD6 Feb 2026 192,000 $180K 0.01% DBT
2427 LOWE'S COS INC 548661EN3 Feb 2026 182,000 $180K 0.01% DBT
2428 ENTERPRISE PRODUCTS OPER 29379VAW3 Feb 2026 191,000 $180K 0.01% DBT
2429 VONTIER CORP 928881AF8 Feb 2026 194,000 $180K 0.01% DBT
2430 KIMBERLY-CLARK CORP 494368BG7 Feb 2026 173,000 $180K 0.01% DBT
2431 ATMOS ENERGY CORP 049560AW5 Feb 2026 280,000 $180K 0.01% DBT
2432 FEDERAL REALTY OP LP 313747AV9 Feb 2026 203,000 $180K 0.01% DBT
2433 PROGRESSIVE CORP 743315AS2 Feb 2026 217,000 $180K 0.01% DBT
2434 UNION PACIFIC CORP 907818FL7 Feb 2026 260,000 $180K 0.01% DBT
2435 ENTERGY LOUISIANA LLC 29364WBB3 Feb 2026 220,000 $180K 0.01% DBT
2436 CENTERPOINT ENER HOUSTON 15189XAN8 Feb 2026 201,000 $180K 0.01% DBT
2437 HSBC HOLDINGS PLC 404280DL0 Feb 2026 165,000 $179K 0.01% DBT
2438 RTX CORP 913017CP2 Feb 2026 217,000 $179K 0.01% DBT
2439 JBS NV/USA FOODS/FOOD CO 46590XAX4 Feb 2026 170,000 $179K 0.01% DBT
2440 BANCO SANTANDER SA 05971KAG4 Feb 2026 195,000 $179K 0.01% DBT
2441 OHIO POWER COMPANY 677415CQ2 Feb 2026 220,000 $179K 0.01% DBT
2442 CHUBB INA HOLDINGS LLC 171232AS0 Feb 2026 156,000 $179K 0.01% DBT
2443 ANHEUSER-BUSCH INBEV WOR 035240AM2 Feb 2026 186,000 $179K 0.01% DBT
2444 ENBRIDGE INC 29250NCF0 Feb 2026 166,000 $179K 0.01% DBT
2445 ENBRIDGE INC 29250NAZ8 Feb 2026 185,000 $179K 0.01% DBT
2446 VICI PROPERTIES LP 925650AE3 Feb 2026 190,000 $179K 0.01% DBT
2447 BRIXMOR OPERATING PART 11120VAH6 Feb 2026 178,000 $178K 0.01% DBT
2448 EXELON CORP 30161NBQ3 Feb 2026 170,000 $178K 0.01% DBT
2449 EVERSOURCE ENERGY 30040WAP3 Feb 2026 190,000 $178K 0.01% DBT
2450 AMERICA MOVIL SAB DE CV 02364WAP0 Feb 2026 163,000 $178K 0.01% DBT
2451 WILLIAMS COMPANIES INC 969457CR9 Feb 2026 175,000 $178K 0.01% DBT
2452 DOW CHEMICAL CO/THE 260543CG6 Feb 2026 225,000 $178K 0.01% DBT
2453 NIKE INC 654106AM5 Feb 2026 243,000 $178K 0.01% DBT
2454 CAPITAL ONE FINANCIAL CO 14040HCZ6 Feb 2026 170,000 $178K 0.01% DBT
2455 CROWN CASTLE INC 22822VAN1 Feb 2026 185,000 $178K 0.01% DBT
2456 AON CORP/AON GLOBAL HOLD 03740LAG7 Feb 2026 170,000 $178K 0.01% DBT
2457 OCCIDENTAL PETROLEUM COR 674599DJ1 Feb 2026 170,000 $178K 0.01% DBT
2458 PECO ENERGY CO 693304BH9 Feb 2026 175,000 $178K 0.01% DBT
2459 RIO TINTO FIN USA PLC 76720AAD8 Feb 2026 187,000 $177K 0.01% DBT
2460 NUTRIEN LTD 67077MBB3 Feb 2026 174,000 $177K 0.01% DBT
2461 ENTERPRISE PRODUCTS OPER 29379VAT0 Feb 2026 166,000 $177K 0.01% DBT
2462 IBM CORP 459200LK5 Feb 2026 180,000 $177K 0.01% DBT
2463 WILLIAMS COMPANIES INC 969457BB5 Feb 2026 155,000 $177K 0.01% DBT
2464 SOUTHERN CAL EDISON 842400FQ1 Feb 2026 198,000 $177K 0.01% DBT
2465 ELEVANCE HEALTH INC 036752BJ1 Feb 2026 175,000 $177K 0.01% DBT
2466 TARGA RESOURCES CORP 87612GAR2 Feb 2026 175,000 $176K 0.01% DBT
2467 SOUTHERN CALIF GAS CO 842434DD1 Feb 2026 170,000 $176K 0.01% DBT
2468 NEXTERA ENERGY CAPITAL 65339KDX5 Feb 2026 175,000 $176K 0.01% DBT
2469 ESSENTIAL UTILITIES INC 29670GAE2 Feb 2026 251,000 $176K 0.01% DBT
2470 ELEVANCE HEALTH INC 036752BK8 Feb 2026 175,000 $176K 0.01% DBT
2471 SUMITOMO MITSUI FINL GRP 86562MEK2 Feb 2026 175,000 $176K 0.01% DBT
2472 FLORIDA POWER & LIGHT CO 341081FG7 Feb 2026 201,000 $176K 0.01% DBT
2473 HONEYWELL INTERNATIONAL 438516CQ7 Feb 2026 170,000 $175K 0.01% DBT
2474 ELEVANCE HEALTH INC 036752BH5 Feb 2026 175,000 $175K 0.01% DBT
2475 SOUTHERN CAL EDISON 842400FZ1 Feb 2026 202,000 $175K 0.01% DBT
2476 MCKESSON CORP 581557BJ3 Feb 2026 175,000 $175K 0.01% DBT
2477 ARTHUR J GALLAGHER & CO 04316JAJ8 Feb 2026 180,000 $175K 0.01% DBT
2478 WILLIS NORTH AMERICA INC 970648AP6 Feb 2026 175,000 $175K 0.01% DBT
2479 ENBRIDGE INC 29250NAM7 Feb 2026 177,000 $175K 0.01% DBT
2480 CATERPILLAR INC 149123CD1 Feb 2026 196,000 $175K 0.01% DBT
2481 ARCH CAPITAL FINANCE LLC 03939CAB9 Feb 2026 185,000 $175K 0.01% DBT
2482 MCCORMICK & CO 579780AU1 Feb 2026 175,000 $175K 0.01% DBT
2483 FISERV INC 337738AU2 Feb 2026 180,000 $175K 0.01% DBT
2484 JPMORGAN CHASE & CO 46625HRY8 Feb 2026 175,000 $175K 0.01% DBT
2485 CITIGROUP INC 172967HS3 Feb 2026 180,000 $175K 0.01% DBT
2486 EATON VANCE CORP 278265AE3 Feb 2026 175,000 $174K 0.01% DBT
2487 CSX CORP 126408GU1 Feb 2026 168,000 $174K 0.01% DBT
2488 EQUITABLE HOLDINGS INC 054561AM7 Feb 2026 196,000 $174K 0.01% DBT
2489 BROOKFIELD FINANCE INC 11271LAL6 Feb 2026 175,000 $174K 0.01% DBT
2490 CAPITAL ONE FINANCIAL CO 14040HCY9 Feb 2026 165,000 $174K 0.01% DBT
2491 SYNOPSYS INC 871607AC1 Feb 2026 170,000 $174K 0.01% DBT
2492 ELEVANCE HEALTH INC 94973VAN7 Feb 2026 157,000 $174K 0.01% DBT
2493 WILLIS NORTH AMERICA INC 970648AG6 Feb 2026 173,000 $174K 0.01% DBT
2494 DANAHER CORP 235851AR3 Feb 2026 197,000 $174K 0.01% DBT
2495 DEUTSCHE BANK NY 251526CX5 Feb 2026 170,000 $174K 0.01% DBT
2496 PAYPAL HOLDINGS INC 70450YAE3 Feb 2026 180,000 $174K 0.01% DBT
2497 TWDC ENTERPRISES 18 CORP 25468PCP9 Feb 2026 190,000 $174K 0.01% DBT
2498 HEALTHPEAK OP LLC 40414LAE9 Feb 2026 156,000 $174K 0.01% DBT
2499 TENNESSEE GAS PIPELINE 880451AV1 Feb 2026 161,000 $173K 0.01% DBT
2500 CANADIAN IMPERIAL BANK 13607LWV1 Feb 2026 165,000 $173K 0.01% DBT
2501 KROGER CO 501044DN8 Feb 2026 223,000 $173K 0.01% DBT
2502 MCDONALD'S CORP 58013MFC3 Feb 2026 198,000 $173K 0.01% DBT
2503 SAN DIEGO G & E 797440BX1 Feb 2026 216,000 $173K 0.01% DBT
2504 ENTERGY CORP 29364GAQ6 Feb 2026 165,000 $173K 0.01% DBT
2505 ROGERS COMMUNICATIONS IN 775109AZ4 Feb 2026 180,000 $173K 0.01% DBT
2506 BANK OF AMERICA CORP 06051GHU6 Feb 2026 192,000 $173K 0.01% DBT
2507 GENERAL MOTORS CO 37045VAP5 Feb 2026 177,000 $172K 0.01% DBT
2508 LEAR CORP 521865BD6 Feb 2026 247,000 $172K 0.01% DBT
2509 SOUTHERN CAL EDISON 842400JH7 Feb 2026 175,000 $172K 0.01% DBT
2510 BURLINGTN NORTH SANTA FE 12189LBB6 Feb 2026 205,000 $172K 0.01% DBT
2511 LYB INTL FINANCE BV 50247VAC3 Feb 2026 205,000 $172K 0.01% DBT
2512 EQUITABLE HOLDINGS INC 29452EAD3 Feb 2026 165,000 $172K 0.01% DBT
2513 ELEVANCE HEALTH INC 94973VAH0 Feb 2026 159,000 $172K 0.01% DBT
2514 UNITEDHEALTH GROUP INC 91324PCA8 Feb 2026 205,000 $172K 0.01% DBT
2515 CON EDISON CO OF NY INC 209111EM1 Feb 2026 155,000 $171K 0.01% DBT
2516 ELEVANCE HEALTH INC 036752AH6 Feb 2026 199,000 $171K 0.01% DBT
2517 WASTE MANAGEMENT INC 94106LBK4 Feb 2026 201,000 $171K 0.01% DBT
2518 CON EDISON CO OF NY INC 209111ES8 Feb 2026 153,000 $171K 0.01% DBT
2519 ENTERPRISE PRODUCTS OPER 29379VAY9 Feb 2026 191,000 $171K 0.01% DBT
2520 CATERPILLAR INC 149123BL4 Feb 2026 160,000 $171K 0.01% DBT
2521 AMERICAN HOMES 4 RENT 02666TAE7 Feb 2026 180,000 $171K 0.01% DBT
2522 ABBVIE INC 00287YDZ9 Feb 2026 165,000 $171K 0.01% DBT
2523 COMMONWEALTH EDISON CO 202795JF8 Feb 2026 214,000 $170K 0.01% DBT
2524 ORACLE CORP 68389XBP9 Feb 2026 207,000 $170K 0.01% DBT
2525 CONAGRA BRANDS INC 205887CL4 Feb 2026 165,000 $170K 0.01% DBT
2526 MPLX LP 55336VAS9 Feb 2026 167,000 $170K 0.01% DBT
2527 WELLTOWER OP LLC 95040QAF1 Feb 2026 180,000 $170K 0.01% DBT
2528 CARDINAL HEALTH INC 14149YBR8 Feb 2026 165,000 $170K 0.01% DBT
2529 ALEXANDRIA REAL ESTATE E 015271AW9 Feb 2026 198,000 $170K 0.01% DBT
2530 BANCO SANTANDER SA 05971KAF6 Feb 2026 175,000 $170K 0.01% DBT
2531 LOWE'S COS INC 548661DW4 Feb 2026 185,000 $170K 0.01% DBT
2532 AMERICAN WATER CAPITAL C 03040WAP0 Feb 2026 211,000 $170K 0.01% DBT
2533 HOME DEPOT INC 437076CK6 Feb 2026 270,000 $170K 0.01% DBT
2534 UNION PACIFIC CORP 907818ER5 Feb 2026 226,000 $170K 0.01% DBT
2535 MOODY'S CORPORATION 615369AZ8 Feb 2026 170,000 $170K 0.01% DBT
2536 FEDEX CORP 31428XBZ8 Feb 2026 168,000 $170K 0.01% DBT
2537 CDW LLC/CDW FINANCE 12513GBD0 Feb 2026 170,000 $169K 0.01% DBT
2538 VODAFONE GROUP PLC 92857WBU3 Feb 2026 211,000 $169K 0.01% DBT
2539 MASTERCARD INC 57636QAK0 Feb 2026 208,000 $169K 0.01% DBT
2540 WELLS FARGO & COMPANY 94974BGK0 Feb 2026 207,000 $169K 0.01% DBT
2541 UNION PACIFIC CORP 907818EF1 Feb 2026 202,000 $169K 0.01% DBT
2542 KINDER MORGAN ENER PART 494550BU9 Feb 2026 172,000 $169K 0.01% DBT
2543 CHARLES SCHWAB CORP 808513BP9 Feb 2026 175,000 $169K 0.01% DBT
2544 VISA INC 92826CAQ5 Feb 2026 307,000 $169K 0.01% DBT
2545 UNION PACIFIC CORP 907818FZ6 Feb 2026 234,000 $169K 0.01% DBT
2546 KEURIG DR PEPPER INC 49271VAK6 Feb 2026 229,000 $169K 0.01% DBT
2547 SOUTHERN CAL EDISON 842400GE7 Feb 2026 228,000 $169K 0.01% DBT
2548 AMERICAN HONDA FINANCE 02665WEH0 Feb 2026 166,000 $169K 0.01% DBT
2549 ENTERPRISE PRODUCTS OPER 29379VBJ1 Feb 2026 182,000 $169K 0.01% DBT
2550 AMERICAN INTL GROUP 026874DC8 Feb 2026 180,000 $168K 0.01% DBT
2551 JPMORGAN CHASE & CO 46647PCR5 Feb 2026 185,000 $168K 0.01% DBT
2552 ALEXANDRIA REAL ESTATE E 015271AS8 Feb 2026 219,000 $168K 0.01% DBT
2553 CF INDUSTRIES INC 12527GAE3 Feb 2026 176,000 $168K 0.01% DBT
2554 NOVARTIS CAPITAL CORP 66989HAR9 Feb 2026 180,000 $168K 0.01% DBT
2555 INTEL CORP 458140AV2 Feb 2026 216,000 $168K 0.01% DBT
2556 FEDEX CORP 31428XDW3 Feb 2026 175,000 $168K 0.01% DBT
2557 COMCAST CORP 20030NBZ3 Feb 2026 216,000 $167K 0.01% DBT
2558 ELI LILLY & CO 532457BJ6 Feb 2026 206,000 $167K 0.01% DBT
2559 COMCAST CORP 20030NAY7 Feb 2026 150,000 $167K 0.01% DBT
2560 SHERWIN-WILLIAMS CO 824348BL9 Feb 2026 180,000 $167K 0.01% DBT
2561 VENTAS REALTY LP 92277GAW7 Feb 2026 184,000 $167K 0.01% DBT
2562 ROGERS COMMUNICATIONS IN 775109CK5 Feb 2026 204,000 $167K 0.01% DBT
2563 ELEVANCE HEALTH INC 036752AK9 Feb 2026 225,000 $167K 0.01% DBT
2564 OMEGA HLTHCARE INVESTORS 681936BM1 Feb 2026 177,000 $167K 0.01% DBT
2565 HOME DEPOT INC 437076CQ3 Feb 2026 225,000 $167K 0.01% DBT
2566 SOUTHERN CAL EDISON 842400FC2 Feb 2026 162,000 $167K 0.01% DBT
2567 ARTHUR J GALLAGHER & CO 04316JAD1 Feb 2026 160,000 $167K 0.01% DBT
2568 BERKSHIRE HATHAWAY FIN 084664DB4 Feb 2026 215,000 $167K 0.01% DBT
2569 PPL ELECTRIC UTILITIES 69351UAW3 Feb 2026 248,000 $167K 0.01% DBT
2570 Hartford Insurance Group Inc/The 416515AP9 Feb 2026 153,000 $167K 0.01% DBT
2571 GENERAL MOTORS CO 37045VAQ3 Feb 2026 181,000 $167K 0.01% DBT
2572 MORGAN STANLEY 61744YAR9 Feb 2026 176,000 $167K 0.01% DBT
2573 BROOKFIELD FINANCE INC 11271LAF9 Feb 2026 243,000 $167K 0.01% DBT
2574 ABBVIE INC 00287YEA3 Feb 2026 160,000 $167K 0.01% DBT
2575 FLORIDA POWER & LIGHT CO 341081FP7 Feb 2026 214,000 $166K 0.01% DBT
2576 NORTHROP GRUMMAN CORP 666807BU5 Feb 2026 172,000 $166K 0.01% DBT
2577 LYB INT FINANCE III 50249AAM5 Feb 2026 165,000 $166K 0.01% DBT
2578 Hartford Insurance Group Inc/The 416518AD0 Feb 2026 255,000 $166K 0.01% DBT
2579 CHENIERE ENERGY PARTNERS 16411QAG6 Feb 2026 165,000 $166K 0.01% DBT
2580 BRISTOL-MYERS SQUIBB CO 110122EL8 Feb 2026 165,000 $166K 0.01% DBT
2581 BAKER HUGHES LLC/CO-OBL 05723KAF7 Feb 2026 204,000 $166K 0.01% DBT
2582 NOKIA OYJ 654902AC9 Feb 2026 153,000 $166K 0.01% DBT
2583 MONDELEZ INTERNATIONAL 609207AM7 Feb 2026 165,000 $166K 0.01% DBT
2584 BAXALTA INC 07177MAN3 Feb 2026 170,000 $165K 0.01% DBT
2585 WILLIAMS COMPANIES INC 96950FAN4 Feb 2026 170,000 $165K 0.01% DBT
2586 PRINCIPAL FINANCIAL GRP 74251VAR3 Feb 2026 167,000 $165K 0.01% DBT
2587 NBCUNIVERSAL MEDIA LLC 63946BAF7 Feb 2026 150,000 $165K 0.01% DBT
2588 BANK OF NY MELLON CORP 06406RCB1 Feb 2026 160,000 $165K 0.01% DBT
2589 EATON CORP 278062AE4 Feb 2026 186,000 $165K 0.01% DBT
2590 PROLOGIS LP 74340XCH2 Feb 2026 159,000 $165K 0.01% DBT
2591 KROGER CO 501044CK5 Feb 2026 141,000 $165K 0.01% DBT
2592 IBM CORP 459200AS0 Feb 2026 157,000 $165K 0.01% DBT
2593 AMCOR FINANCE USA INC 02343UAJ4 Feb 2026 155,000 $164K 0.01% DBT
2594 OWENS CORNING 690742AP6 Feb 2026 155,000 $164K 0.01% DBT
2595 HCA INC 404119DC0 Feb 2026 160,000 $164K 0.01% DBT
2596 NORFOLK SOUTHERN CORP 655844CH9 Feb 2026 250,000 $164K 0.01% DBT
2597 PHILLIPS 66 CO 718547AW2 Feb 2026 170,000 $164K 0.01% DBT
2598 TRAVELERS COS INC 89417EAL3 Feb 2026 206,000 $164K 0.01% DBT
2599 TRANSCONT GAS PIPE LINE 893574AM5 Feb 2026 187,000 $164K 0.01% DBT
2600 AMERICAN INTL GROUP 026874DA2 Feb 2026 185,000 $164K 0.01% DBT
2601 HOWMET AEROSPACE INC 013817AK7 Feb 2026 150,000 $164K 0.01% DBT
2602 CSX CORP 126408HP1 Feb 2026 188,000 $164K 0.01% DBT
2603 FLORIDA POWER & LIGHT CO 341081FC6 Feb 2026 155,000 $164K 0.01% DBT
2604 JOHN DEERE CAPITAL CORP 24422EUU1 Feb 2026 165,000 $164K 0.01% DBT
2605 SANTANDER HOLDINGS USA 80282KBF2 Feb 2026 157,000 $164K 0.01% DBT
2606 NASDAQ INC 631103AM0 Feb 2026 215,000 $163K 0.01% DBT
2607 METLIFE INC 59156RAY4 Feb 2026 155,000 $163K 0.01% DBT
2608 WELLS FARGO & COMPANY 94974BFP0 Feb 2026 167,000 $163K 0.01% DBT
2609 NATIONAL RURAL UTIL COOP 637432NR2 Feb 2026 189,000 $163K 0.01% DBT
2610 CVS HEALTH CORP 126650DL1 Feb 2026 206,000 $163K 0.01% DBT
2611 SABINE PASS LIQUEFACTION 785592AX4 Feb 2026 161,000 $163K 0.01% DBT
2612 ELEVANCE HEALTH INC 036752BE2 Feb 2026 165,000 $162K 0.01% DBT
2613 SOLVENTUM CORP 83444MAR2 Feb 2026 155,000 $162K 0.01% DBT
2614 PRINCIPAL FINANCIAL GRP 74251VAA0 Feb 2026 148,000 $162K 0.01% DBT
2615 BANK OF NY MELLON CORP 06406RBU0 Feb 2026 144,000 $161K 0.01% DBT
2616 CSX CORP 126408GS6 Feb 2026 145,000 $161K 0.01% DBT
2617 VERIZON COMMUNICATIONS 92344GAM8 Feb 2026 140,000 $161K 0.01% DBT
2618 VENTAS REALTY LP 92277GAQ0 Feb 2026 180,000 $161K 0.01% DBT
2619 AIR LEASE CORP 00914AAE2 Feb 2026 167,000 $161K 0.01% DBT
2620 EBAY INC 278642AW3 Feb 2026 170,000 $161K 0.01% DBT
2621 BP CAP MARKETS AMERICA 10373QBS8 Feb 2026 245,000 $161K 0.01% DBT
2622 GENERAL MILLS INC 370334CP7 Feb 2026 246,000 $161K 0.01% DBT
2623 ILLUMINA INC 452327AM1 Feb 2026 175,000 $161K 0.01% DBT
2624 IBM CORP 459200KB6 Feb 2026 179,000 $161K 0.01% DBT
2625 DOVER CORP 260003AF5 Feb 2026 150,000 $160K 0.01% DBT
2626 DIAMONDBACK ENERGY INC 25278XAT6 Feb 2026 200,000 $160K 0.01% DBT
2627 KRAFT HEINZ FOODS CO 50077LAL0 Feb 2026 160,000 $160K 0.01% DBT
2628 EASTMAN CHEMICAL CO 277432AP5 Feb 2026 185,000 $160K 0.01% DBT
2629 UNITEDHEALTH GROUP INC 91324PDP4 Feb 2026 160,000 $160K 0.01% DBT
2630 HCA INC 404121AL9 Feb 2026 161,000 $160K 0.01% DBT
2631 IBM CORP 459200LJ8 Feb 2026 155,000 $160K 0.01% DBT
2632 WILLIAMS COMPANIES INC 969457CQ1 Feb 2026 156,000 $160K 0.01% DBT
2633 UNITEDHEALTH GROUP INC 91324PAR3 Feb 2026 149,000 $160K 0.01% DBT
2634 PRINCIPAL FINANCIAL GRP 74251VAJ1 Feb 2026 183,000 $160K 0.01% DBT
2635 HEALTHPEAK OP LLC 42250GAA1 Feb 2026 155,000 $160K 0.01% DBT
2636 GENERAL MOTORS FINL CO 37045XCS3 Feb 2026 154,000 $160K 0.01% DBT
2637 T-MOBILE USA INC 87264ABL8 Feb 2026 210,000 $160K 0.01% DBT
2638 SANTANDER HOLDINGS USA 80282KBM7 Feb 2026 155,000 $159K 0.01% DBT
2639 ATHENE HOLDING LTD 04686JAB7 Feb 2026 152,000 $159K 0.01% DBT
2640 WILLIAMS COMPANIES INC 96950FAK0 Feb 2026 158,000 $159K 0.01% DBT
2641 ASTRAZENECA PLC 046353AU2 Feb 2026 180,000 $159K 0.01% DBT
2642 AT&T INC 00206RAG7 Feb 2026 145,000 $159K 0.01% DBT
2643 JPMORGAN CHASE & CO 46647PBJ4 Feb 2026 157,000 $159K 0.01% DBT
2644 ENBRIDGE INC 29250NBA2 Feb 2026 203,000 $159K 0.01% DBT
2645 MPLX LP 55336VAR1 Feb 2026 159,000 $159K 0.01% DBT
2646 ONEOK INC 682680BN2 Feb 2026 150,000 $159K 0.01% DBT
2647 PROGRESSIVE CORP 743315AP8 Feb 2026 182,000 $159K 0.01% DBT
2648 ABBOTT LABORATORIES 002824AV2 Feb 2026 143,000 $159K 0.01% DBT
2649 SAN DIEGO G & E 797440BW3 Feb 2026 194,000 $159K 0.01% DBT
2650 MERCK SHARP & DOHME CORP 589331AE7 Feb 2026 150,000 $159K 0.01% DBT
2651 SANTANDER HOLDINGS USA 80282KBN5 Feb 2026 155,000 $158K 0.01% DBT
2652 BP CAP MARKETS AMERICA 10373QBL3 Feb 2026 160,000 $158K 0.01% DBT
2653 PRINCIPAL FINANCIAL GRP 74251VAN2 Feb 2026 187,000 $158K 0.01% DBT
2654 KROGER CO 501044DK4 Feb 2026 180,000 $158K 0.01% DBT
2655 MPLX LP 55336VCD0 Feb 2026 155,000 $157K 0.01% DBT
2656 HALLIBURTON CO 406216AW1 Feb 2026 138,000 $157K 0.01% DBT
2657 AT&T INC 00206RBA9 Feb 2026 157,000 $157K 0.01% DBT
2658 TORONTO-DOMINION BANK 89116CQJ9 Feb 2026 154,000 $157K 0.01% DBT
2659 ZIMMER BIOMET HOLDINGS 98956PAB8 Feb 2026 150,000 $157K 0.01% DBT
2660 S&P GLOBAL INC 78409VAP9 Feb 2026 165,000 $157K 0.01% DBT
2661 KINDER MORGAN INC 49456BAW1 Feb 2026 165,000 $157K 0.01% DBT
2662 MASTERCARD INC 57636QBG8 Feb 2026 150,000 $157K 0.01% DBT
2663 NASDAQ INC 63111XAB7 Feb 2026 229,000 $157K 0.01% DBT
2664 OHIO EDISON CO 677347CE4 Feb 2026 135,000 $157K 0.01% DBT
2665 DEUTSCHE BANK NY 251526CU1 Feb 2026 147,000 $157K 0.01% DBT
2666 SOUTHWEST GAS CORP 845011AB1 Feb 2026 196,000 $157K 0.01% DBT
2667 COMMONWEALTH EDISON CO 202795JA9 Feb 2026 190,000 $157K 0.01% DBT
2668 TYSON FOODS INC 902494BD4 Feb 2026 178,000 $156K 0.01% DBT
2669 REALTY INCOME CORP 756109BA1 Feb 2026 185,000 $156K 0.01% DBT
2670 ARTHUR J GALLAGHER & CO 04316JAB5 Feb 2026 246,000 $156K 0.01% DBT
2671 AT&T INC 00206RCU4 Feb 2026 154,000 $156K 0.01% DBT
2672 GATX CORP 361448BE2 Feb 2026 153,000 $156K 0.01% DBT
2673 SOUTHERN COPPER CORP 84265VAE5 Feb 2026 136,000 $156K 0.01% DBT
2674 ENTERPRISE PRODUCTS OPER 29379VBZ5 Feb 2026 209,000 $156K 0.01% DBT
2675 AUTONATION INC 05329WAP7 Feb 2026 156,000 $155K 0.01% DBT
2676 CVS HEALTH CORP 126650DY3 Feb 2026 150,000 $155K 0.01% DBT
2677 NORFOLK SOUTHERN CORP 655844CE6 Feb 2026 163,000 $155K 0.01% DBT
2678 UBS AG STAMFORD CT 22550L2M2 Feb 2026 145,000 $155K 0.01% DBT
2679 WELLTOWER OP LLC 95040QAD6 Feb 2026 154,000 $155K 0.01% DBT
2680 NORFOLK SOUTHERN CORP 655844BM9 Feb 2026 183,000 $155K 0.01% DBT
2681 TSMC ARIZONA CORP 872898AF8 Feb 2026 155,000 $155K 0.01% DBT
2682 DEUTSCHE BANK NY 251526DA4 Feb 2026 150,000 $155K 0.01% DBT
2683 INTERCONTINENTALEXCHANGE 45866FAJ3 Feb 2026 155,000 $154K 0.01% DBT
2684 GILEAD SCIENCES INC 375558CD3 Feb 2026 155,000 $154K 0.01% DBT
2685 CON EDISON CO OF NY INC 209111FF5 Feb 2026 180,000 $154K 0.01% DBT
2686 TORONTO-DOMINION BANK 89115A3C4 Feb 2026 150,000 $154K 0.01% DBT
2687 FEDEX CORP 31428XBV7 Feb 2026 159,000 $154K 0.01% DBT
2688 UNITEDHEALTH GROUP INC 91324PCX8 Feb 2026 186,000 $154K 0.01% DBT
2689 TYCO ELECTRONICS GROUP S 902133AG2 Feb 2026 129,000 $154K 0.01% DBT
2690 GOLDMAN SACHS GROUP INC 38141GYC2 Feb 2026 200,000 $154K 0.01% DBT
2691 MCDONALD'S CORP 58013MFR0 Feb 2026 187,000 $154K 0.01% DBT
2692 TELEFONICA EMISIONES SAU 87938WAX1 Feb 2026 165,000 $154K 0.01% DBT
2693 CSX CORP 126408HS5 Feb 2026 198,000 $154K 0.01% DBT
2694 LOWE'S COS INC 548661DR5 Feb 2026 155,000 $154K 0.01% DBT
2695 IBM CORP 459200KL4 Feb 2026 238,000 $154K 0.01% DBT
2696 COMMONWEALTH EDISON CO 202795JG6 Feb 2026 177,000 $154K 0.01% DBT
2697 MIZUHO FINANCIAL GROUP 60687YBA6 Feb 2026 160,000 $153K 0.01% DBT
2698 COPT DEFENSE PROP LP 22003BAM8 Feb 2026 166,000 $153K 0.01% DBT
2699 DEUTSCHE BANK NY 25160PAQ0 Feb 2026 150,000 $153K 0.01% DBT
2700 ROYAL BANK OF CANADA 78017DAM0 Feb 2026 150,000 $153K 0.01% DBT
2701 ENBRIDGE INC 29250NCP8 Feb 2026 150,000 $153K 0.01% DBT
2702 CON EDISON CO OF NY INC 209111FK4 Feb 2026 189,000 $153K 0.01% DBT
2703 CITIGROUP INC 172967LU3 Feb 2026 171,000 $152K 0.01% DBT
2704 INTEL CORP 458140BN9 Feb 2026 184,000 $152K 0.01% DBT
2705 FLORIDA POWER & LIGHT CO 341081GE1 Feb 2026 235,000 $152K 0.01% DBT
2706 HUMANA INC 444859BT8 Feb 2026 155,000 $152K 0.01% DBT
2707 ROYAL BANK OF CANADA 78016FZQ0 Feb 2026 155,000 $152K 0.01% DBT
2708 CARDINAL HEALTH INC 14149YBU1 Feb 2026 150,000 $152K 0.01% DBT
2709 HOME DEPOT INC 437076CD2 Feb 2026 212,000 $152K 0.01% DBT
2710 SELECTIVE INSURANCE GROU 816300AH0 Feb 2026 160,000 $152K 0.01% DBT
2711 CHARTER COMM OPT LLC/CAP 161175BS2 Feb 2026 191,000 $152K 0.01% DBT
2712 VISA INC 92826CAZ5 Feb 2026 150,000 $152K 0.01% DBT
2713 ORIX CORP 686330AR2 Feb 2026 145,000 $152K 0.01% DBT
2714 VISA INC 92826CBA9 Feb 2026 150,000 $152K 0.01% DBT
2715 BROADCOM INC 11135FDA6 Feb 2026 150,000 $152K 0.01% DBT
2716 NASDAQ INC 63111XAL5 Feb 2026 146,000 $152K 0.01% DBT
2717 UNION PACIFIC CORP 907818FS2 Feb 2026 216,000 $152K 0.01% DBT
2718 QUALCOMM INC 747525AJ2 Feb 2026 150,000 $152K 0.01% DBT
2719 IBM CORP 459200HF1 Feb 2026 180,000 $152K 0.01% DBT
2720 VISA INC 92826CBB7 Feb 2026 150,000 $152K 0.01% DBT
2721 AMERICAN TOWER CORP 03027XAU4 Feb 2026 152,000 $151K 0.01% DBT
2722 ENBRIDGE INC 29250NCN3 Feb 2026 150,000 $151K 0.01% DBT
2723 VERIZON COMMUNICATIONS 92343VDC5 Feb 2026 185,000 $151K 0.01% DBT
2724 SHERWIN-WILLIAMS CO 824348AS5 Feb 2026 172,000 $151K 0.01% DBT
2725 ROYAL BANK OF CANADA 78017DAF5 Feb 2026 150,000 $151K 0.01% DBT
2726 PROGRESSIVE CORP 743315AT0 Feb 2026 182,000 $151K 0.01% DBT
2727 UNITEDHEALTH GROUP INC 91324PCD2 Feb 2026 175,000 $151K 0.01% DBT
2728 ZOETIS INC 98978VAW3 Feb 2026 150,000 $151K 0.01% DBT
2729 HUMANA INC 444859BN1 Feb 2026 149,000 $151K 0.01% DBT
2730 PUB SVC NEW HAMP 744482BP4 Feb 2026 160,000 $151K 0.01% DBT
2731 SOLVENTUM CORP 83444MAS0 Feb 2026 151,000 $151K 0.01% DBT
2732 ENBRIDGE INC 29250NCM5 Feb 2026 150,000 $151K 0.01% DBT
2733 ELI LILLY & CO 532457CT3 Feb 2026 160,000 $151K 0.01% DBT
2734 VERIZON COMMUNICATIONS 92343VBS2 Feb 2026 135,000 $151K 0.01% DBT
2735 VISA INC 92826CAY8 Feb 2026 150,000 $151K 0.01% DBT
2736 PPG INDUSTRIES INC 693506BY2 Feb 2026 150,000 $151K 0.01% DBT
2737 VERIZON COMMUNICATIONS 92343VBG8 Feb 2026 183,000 $151K 0.01% DBT
2738 COMCAST CORP 20030NBU4 Feb 2026 211,000 $151K 0.01% DBT
2739 BANK OF NOVA SCOTIA 06418GAW7 Feb 2026 150,000 $150K 0.01% DBT
2740 BANK OF NOVA SCOTIA 06418GAU1 Feb 2026 150,000 $150K 0.01% DBT
2741 LABORATORY CORP OF AMER 50540RBB7 Feb 2026 150,000 $150K 0.01% DBT
2742 STEEL DYNAMICS INC 858119BU3 Feb 2026 150,000 $150K 0.01% DBT
2743 CENCORA INC 03073EBC8 Feb 2026 150,000 $150K 0.01% DBT
2744 TRAVELERS COS INC 89417EAK5 Feb 2026 174,000 $150K 0.01% DBT
2745 PROGRESSIVE CORP 743315AL7 Feb 2026 135,000 $150K 0.01% DBT
2746 BARCLAYS PLC 06738ECL7 Feb 2026 135,000 $150K 0.01% DBT
2747 MCDONALD'S CORP 58013MEK6 Feb 2026 153,000 $150K 0.01% DBT
2748 ERP OPERATING LP 26884ABM4 Feb 2026 158,000 $150K 0.01% DBT
2749 ZIMMER BIOMET HOLDINGS 98956PAH5 Feb 2026 166,000 $149K 0.01% DBT
2750 STATE STREET CORP 857477DB6 Feb 2026 145,000 $149K 0.01% DBT
2751 CONOCOPHILLIPS COMPANY 20826FBH8 Feb 2026 150,000 $149K 0.01% DBT
2752 REGENERON PHARMACEUTICAL 75886FAF4 Feb 2026 241,000 $149K 0.01% DBT
2753 CANADIAN NATL RAILWAY 136375DR0 Feb 2026 150,000 $149K 0.01% DBT
2754 SYSCO CORPORATION 871829BJ5 Feb 2026 210,000 $149K 0.01% DBT
2755 IBM INTERNAT CAPITAL 449276AE4 Feb 2026 147,000 $149K 0.01% DBT
2756 UNITEDHEALTH GROUP INC 91324PBQ4 Feb 2026 140,000 $149K 0.01% DBT
2757 APTIV SWISS HOLDINGS LTD 03835VAH9 Feb 2026 158,000 $149K 0.01% DBT
2758 BP CAP MARKETS AMERICA 10373QAC4 Feb 2026 148,000 $149K 0.01% DBT
2759 UNION PACIFIC CORP 907818FN3 Feb 2026 247,000 $148K 0.01% DBT
2760 PACIFIC GAS & ELECTRIC 694308HL4 Feb 2026 183,000 $148K 0.01% DBT
2761 MICROSOFT CORP 594918AJ3 Feb 2026 150,080 $148K 0.01% DBT
2762 WILLIAMS COMPANIES INC 969457CJ7 Feb 2026 140,000 $148K 0.01% DBT
2763 TEXAS INSTRUMENTS INC 882508CK8 Feb 2026 145,000 $148K 0.01% DBT
2764 EATON CORP 278062AD6 Feb 2026 149,000 $148K 0.01% DBT
2765 CONAGRA BRANDS INC 205887CK6 Feb 2026 145,000 $148K 0.01% DBT
2766 ALEXANDRIA REAL ESTATE E 015271AK5 Feb 2026 148,000 $148K 0.01% DBT
2767 ENTERGY TEXAS INC 29365TAM6 Feb 2026 164,000 $147K 0.01% DBT
2768 REVVITY INC 714046AJ8 Feb 2026 201,000 $147K 0.01% DBT
2769 DOW CHEMICAL CO/THE 260543CE1 Feb 2026 164,000 $147K 0.01% DBT
2770 ORACLE CORP 68389XDC6 Feb 2026 170,000 $147K 0.01% DBT
2771 ENBRIDGE INC 29250NAJ4 Feb 2026 169,000 $147K 0.01% DBT
2772 PULTEGROUP INC 745867AP6 Feb 2026 132,000 $147K 0.01% DBT
2773 STARBUCKS CORP 855244AM1 Feb 2026 190,000 $147K 0.01% DBT
2774 SOUTHERN CAL EDISON 842400FA6 Feb 2026 144,000 $147K 0.01% DBT
2775 BANK OF AMERICA CORP 06051GJB6 Feb 2026 156,000 $147K 0.01% DBT
2776 US BANCORP 91159HHS2 Feb 2026 146,000 $147K 0.01% DBT
2777 AMERICAN EXPRESS CO 025816EP0 Feb 2026 145,000 $146K 0.01% DBT
2778 VERIZON COMMUNICATIONS 92344GAX4 Feb 2026 135,000 $146K 0.01% DBT
2779 SIMON PROPERTY GROUP LP 828807DM6 Feb 2026 160,000 $146K 0.01% DBT
2780 UNITED PARCEL SERVICE 911312BW5 Feb 2026 150,000 $146K 0.01% DBT
2781 SIMON PROPERTY GROUP LP 828807CL9 Feb 2026 155,000 $146K 0.01% DBT
2782 VENTAS REALTY LP 92277GAU1 Feb 2026 152,000 $146K 0.01% DBT
2783 PRUDENTIAL FINANCIAL INC 744320AY8 Feb 2026 186,000 $145K 0.01% DBT
2784 GILEAD SCIENCES INC 375558CE1 Feb 2026 145,000 $145K 0.01% DBT
2785 MICRON TECHNOLOGY INC 595112BZ5 Feb 2026 135,000 $145K 0.01% DBT
2786 KINDER MORGAN INC 49456BAQ4 Feb 2026 155,000 $145K 0.01% DBT
2787 KINDER MORGAN INC 49456BAZ4 Feb 2026 140,000 $145K 0.01% DBT
2788 GENERAL MOTORS CO 37045VAH3 Feb 2026 146,000 $145K 0.01% DBT
2789 PACIFIC GAS & ELECTRIC 694308HY6 Feb 2026 190,000 $145K 0.01% DBT
2790 APPLE INC 037833BW9 Feb 2026 141,000 $144K 0.01% DBT
2791 ALEXANDRIA REAL ESTATE E 015271AQ2 Feb 2026 165,000 $144K 0.01% DBT
2792 KINDER MORGAN INC 494553AD2 Feb 2026 140,000 $144K 0.01% DBT
2793 KIMCO REALTY OP LLC 49446RAQ2 Feb 2026 170,000 $144K 0.01% DBT
2794 ENBRIDGE INC 29250NCJ2 Feb 2026 140,000 $144K 0.01% DBT
2795 STEEL DYNAMICS INC 858119BS8 Feb 2026 140,000 $144K 0.01% DBT
2796 WILLIAMS COMPANIES INC 96950FAP9 Feb 2026 157,000 $143K 0.01% DBT
2797 PUBLIC SERVICE ELECTRIC 74456QBV7 Feb 2026 176,000 $143K 0.01% DBT
2798 LYB INT FINANCE III 50249AAJ2 Feb 2026 219,000 $143K 0.01% DBT
2799 PROCTER & GAMBLE CO/THE 742718FB0 Feb 2026 180,000 $143K 0.01% DBT
2800 CSX CORP 126408HR7 Feb 2026 199,000 $143K 0.01% DBT
2801 JUNIPER NETWORKS INC 48203RAD6 Feb 2026 140,000 $143K 0.01% DBT
2802 STRYKER CORP 863667AG6 Feb 2026 162,000 $143K 0.01% DBT
2803 PULTEGROUP INC 745867AT8 Feb 2026 132,000 $143K 0.01% DBT
2804 TEXAS INSTRUMENTS INC 882508BF0 Feb 2026 158,000 $143K 0.01% DBT
2805 PROLOGIS LP 74340XBL4 Feb 2026 141,000 $143K 0.01% DBT
2806 TRANSCANADA PIPELINES 89352HBA6 Feb 2026 143,000 $143K 0.01% DBT
2807 CONSTELLATION BRANDS INC 21036PAT5 Feb 2026 166,000 $143K 0.01% DBT
2808 PEPSICO INC 713448BP2 Feb 2026 134,000 $143K 0.01% DBT
2809 REGIONS FINANCIAL CORP 7591EPAE0 Feb 2026 122,000 $143K 0.01% DBT
2810 HUMANA INC 444859CB6 Feb 2026 153,000 $142K 0.01% DBT
2811 AVERY DENNISON CORP 053611AK5 Feb 2026 151,000 $142K 0.01% DBT
2812 CON EDISON CO OF NY INC 209111FA6 Feb 2026 135,000 $142K 0.01% DBT
2813 SAN DIEGO G & E 797440BV5 Feb 2026 183,000 $142K 0.01% DBT
2814 KIMBERLY-CLARK CORP 494368BW2 Feb 2026 175,000 $142K 0.01% DBT
2815 KEURIG DR PEPPER INC 26138EAY5 Feb 2026 171,000 $142K 0.01% DBT
2816 WESTERN MIDSTREAM OPERAT 958254AJ3 Feb 2026 161,000 $142K 0.01% DBT
2817 PHILLIPS 66 CO 718547AX0 Feb 2026 150,000 $142K 0.01% DBT
2818 AMGEN INC 031162BC3 Feb 2026 134,000 $142K 0.01% DBT
2819 ENERGY TRANSFER LP 29273VBB5 Feb 2026 145,000 $142K 0.01% DBT
2820 HCA INC 404119CK3 Feb 2026 149,000 $142K 0.01% DBT
2821 CHARLES SCHWAB CORP 808513BS3 Feb 2026 155,000 $142K 0.01% DBT
2822 BP CAP MARKETS AMERICA 10373QAE0 Feb 2026 140,000 $141K 0.01% DBT
2823 WILLIAMS COMPANIES INC 969457BM1 Feb 2026 116,000 $141K 0.01% DBT
2824 FAIRFAX FINL HLDGS LTD 303901BL5 Feb 2026 135,000 $141K 0.01% DBT
2825 AEP TEXAS INC 00108WAK6 Feb 2026 202,000 $141K 0.01% DBT
2826 ENTERPRISE PRODUCTS OPER 293791AF6 Feb 2026 123,000 $141K 0.01% DBT
2827 METLIFE INC 59156RBD9 Feb 2026 166,000 $141K 0.01% DBT
2828 IBM CORP 459200JH5 Feb 2026 159,000 $141K 0.01% DBT
2829 TRANSCANADA PIPELINES 893526DJ9 Feb 2026 131,000 $141K 0.01% DBT
2830 INTEL CORP 458140BK5 Feb 2026 247,000 $141K 0.01% DBT
2831 SOUTHERN CAL EDISON 842400FH1 Feb 2026 135,000 $141K 0.01% DBT
2832 NORFOLK SOUTHERN CORP 655844CL0 Feb 2026 220,000 $141K 0.01% DBT
2833 TRANE TECHNOLOGIES HOLDC 45687AAN2 Feb 2026 162,000 $141K 0.01% DBT
2834 TEXAS INSTRUMENTS INC 882508CM4 Feb 2026 135,000 $141K 0.01% DBT
2835 ROYALTY PHARMA PLC 78081BAS2 Feb 2026 140,000 $141K 0.01% DBT
2836 VODAFONE GROUP PLC 92857WBL3 Feb 2026 140,000 $140K 0.01% DBT
2837 CAPITAL ONE FINANCIAL CO 14040HDJ1 Feb 2026 135,000 $140K 0.01% DBT
2838 ENTERPRISE PRODUCTS OPER 29379VAG8 Feb 2026 128,000 $140K 0.01% DBT
2839 ARCHER-DANIELS-MIDLAND C 039483BH4 Feb 2026 163,000 $140K 0.01% DBT
2840 ENTERPRISE PRODUCTS OPER 29379VAV5 Feb 2026 135,000 $140K 0.01% DBT
2841 MOSAIC CO 61945CAG8 Feb 2026 140,000 $140K 0.01% DBT
2842 BERKSHIRE HATHAWAY FIN 084664CR0 Feb 2026 166,000 $140K 0.01% DBT
2843 HOME DEPOT INC 437076CC4 Feb 2026 169,000 $140K 0.01% DBT
2844 CAMPBELLS COMPANY/THE 134429BK4 Feb 2026 213,000 $140K 0.01% DBT
2845 RYDER SYSTEM INC 78355HKZ1 Feb 2026 135,000 $140K 0.01% DBT
2846 MORGAN STANLEY 61747YEL5 Feb 2026 152,000 $140K 0.01% DBT
2847 PUBLIC SERVICE ELECTRIC 74456QAV8 Feb 2026 135,000 $140K 0.01% DBT
2848 EASTMAN CHEMICAL CO 277432AL4 Feb 2026 154,000 $140K 0.01% DBT
2849 RIO TINTO FIN USA LTD 767201AT3 Feb 2026 221,000 $140K 0.01% DBT
2850 GLP CAPITAL LP / FIN II 361841AP4 Feb 2026 143,000 $140K 0.01% DBT
2851 SOUTHERN CAL EDISON 842400FV0 Feb 2026 171,000 $140K 0.01% DBT
2852 SYSCO CORPORATION 871829AY3 Feb 2026 153,000 $140K 0.01% DBT
2853 RIO TINTO ALCAN INC 013716AQ8 Feb 2026 122,000 $140K 0.01% DBT
2854 PARAMOUNT GLOBAL 92556HAC1 Feb 2026 220,000 $139K 0.01% DBT
2855 KINDER MORGAN ENER PART 494550BF2 Feb 2026 125,000 $139K 0.01% DBT
2856 LOWE'S COS INC 548661EM5 Feb 2026 141,000 $139K 0.01% DBT
2857 DOW CHEMICAL CO/THE 260543DD2 Feb 2026 212,000 $139K 0.01% DBT
2858 SUMITOMO MITSUI FINL GRP 86562MBU3 Feb 2026 145,000 $139K 0.01% DBT
2859 PECO ENERGY CO 693304AH0 Feb 2026 126,000 $139K 0.01% DBT
2860 EVERSOURCE ENERGY 30040WAT5 Feb 2026 135,000 $139K 0.01% DBT
2861 ESTEE LAUDER CO INC 29736RAM2 Feb 2026 203,000 $139K 0.01% DBT
2862 CON EDISON CO OF NY INC 209111FB4 Feb 2026 159,000 $139K 0.01% DBT
2863 OWENS CORNING 690742AG6 Feb 2026 167,000 $138K 0.01% DBT
2864 TRUIST FINANCIAL CORP 89788MAM4 Feb 2026 135,000 $138K 0.01% DBT
2865 PROGRESSIVE CORP 743315AX1 Feb 2026 176,000 $138K 0.01% DBT
2866 ORACLE CORP 68389XCS2 Feb 2026 140,000 $138K 0.01% DBT
2867 QUANTA SERVICES INC 74762EAJ1 Feb 2026 181,000 $138K 0.01% DBT
2868 QUEST DIAGNOSTICS INC 74834LBG4 Feb 2026 135,000 $138K 0.01% DBT
2869 CROWN CASTLE INC 22822VAE1 Feb 2026 138,000 $138K 0.01% DBT
2870 KIMBERLY-CLARK CORP 494368CA9 Feb 2026 201,000 $138K 0.01% DBT
2871 PUBLIC SERVICE ELECTRIC 74456QBU9 Feb 2026 138,000 $138K 0.01% DBT
2872 REGENCY CENTERS LP 75884RAW3 Feb 2026 158,000 $138K 0.01% DBT
2873 GENERAL ELECTRIC CO 36962G3P7 Feb 2026 125,000 $137K 0.01% DBT
2874 GLOBAL PAYMENTS INC 37940XAR3 Feb 2026 144,000 $137K 0.01% DBT
2875 NORFOLK SOUTHERN CORP 655844BR8 Feb 2026 153,000 $137K 0.01% DBT
2876 RAYMOND JAMES FINANCIAL 754730AH2 Feb 2026 185,000 $137K 0.01% DBT
2877 CUMMINS INC 231021AS5 Feb 2026 220,000 $137K 0.01% DBT
2878 ONEOK PARTNERS LP 68268NAG8 Feb 2026 130,000 $137K 0.01% DBT
2879 ELI LILLY & CO 532457CS5 Feb 2026 145,000 $137K 0.01% DBT
2880 METLIFE INC 59156RAM0 Feb 2026 128,000 $137K 0.01% DBT
2881 FLORIDA POWER & LIGHT CO 341081FB8 Feb 2026 125,000 $137K 0.01% DBT
2882 SAN DIEGO G & E 797440BK9 Feb 2026 127,000 $136K 0.01% DBT
2883 WILLIS NORTH AMERICA INC 970648AH4 Feb 2026 151,000 $136K 0.01% DBT
2884 APPLE INC 037833DD9 Feb 2026 170,000 $136K 0.01% DBT
2885 TRANSCONT GAS PIPE LINE 893574AR4 Feb 2026 173,000 $136K 0.01% DBT
2886 PLAINS ALL AMER PIPELINE 72650RBM3 Feb 2026 139,000 $136K 0.01% DBT
2887 BOSTON SCIENTIFIC CORP 101137AE7 Feb 2026 120,000 $136K 0.01% DBT
2888 SOUTHWEST GAS CORP 844895AX0 Feb 2026 174,000 $136K 0.01% DBT
2889 ABBVIE INC 00287YEH8 Feb 2026 135,000 $136K 0.01% DBT
2890 RIO TINTO FIN USA PLC 76720AAP1 Feb 2026 143,000 $136K 0.01% DBT
2891 PARAMOUNT GLOBAL 92553PAP7 Feb 2026 216,000 $135K 0.01% DBT
2892 ELI LILLY & CO 532457CM8 Feb 2026 144,000 $135K 0.01% DBT
2893 KRAFT HEINZ FOODS CO 50077LBM7 Feb 2026 130,000 $135K 0.01% DBT
2894 LOWE'S COS INC 548661ES2 Feb 2026 135,000 $135K 0.01% DBT
2895 WALT DISNEY COMPANY/THE 254687EF9 Feb 2026 120,000 $134K 0.01% DBT
2896 ONCOR ELECTRIC DELIVERY 68233JAS3 Feb 2026 135,000 $134K 0.01% DBT
2897 Hartford Insurance Group Inc/The 416515BB9 Feb 2026 152,000 $134K 0.01% DBT
2898 MARTIN MARIETTA MATERIAL 573284AU0 Feb 2026 160,000 $134K 0.01% DBT
2899 DOW CHEMICAL CO/THE 260543CV3 Feb 2026 172,000 $134K 0.01% DBT
2900 NXP BV/NXP FDG/NXP USA 62954HAN8 Feb 2026 200,000 $134K 0.01% DBT
2901 HUNTINGTON BANCSHARES 446150AX2 Feb 2026 152,000 $134K 0.01% DBT
2902 PROGRESSIVE CORP 743315BB8 Feb 2026 130,000 $134K 0.01% DBT
2903 UNITEDHEALTH GROUP INC 91324PBN1 Feb 2026 128,000 $134K 0.01% DBT
2904 TSMC ARIZONA CORP 872898AG6 Feb 2026 133,000 $134K 0.01% DBT
2905 LINCOLN NATIONAL CORP 534187BH1 Feb 2026 135,000 $134K 0.01% DBT
2906 CROWN CASTLE INC 22822VAM3 Feb 2026 146,000 $134K 0.01% DBT
2907 PACIFIC GAS & ELECTRIC 694308KC0 Feb 2026 135,000 $134K 0.01% DBT
2908 THERMO FISHER SCIENTIFIC 883556BG6 Feb 2026 134,000 $134K 0.01% DBT
2909 SEKISUI HOUSE US 552676AU2 Feb 2026 148,000 $133K 0.01% DBT
2910 KEURIG DR PEPPER INC 26138EAT6 Feb 2026 156,000 $133K 0.01% DBT
2911 TAKEDA PHARMACEUTICAL 874060AW6 Feb 2026 130,000 $133K 0.01% DBT
2912 AON CORP 037389BE2 Feb 2026 140,000 $133K 0.01% DBT
2913 ONEOK INC 682680CG6 Feb 2026 140,000 $133K 0.01% DBT
2914 SIMON PROPERTY GROUP LP 828807CZ8 Feb 2026 156,000 $133K 0.01% DBT
2915 GENERAL MOTORS FINL CO 37045XEV4 Feb 2026 125,000 $133K 0.01% DBT
2916 BOSTON SCIENTIFIC CORP 101137AL1 Feb 2026 108,000 $133K 0.01% DBT
2917 HESS CORP 42809HAC1 Feb 2026 121,000 $132K 0.01% DBT
2918 WELLTOWER OP LLC 95040QAN4 Feb 2026 139,000 $132K 0.01% DBT
2919 PIEDMONT NATURAL GAS CO 720186AM7 Feb 2026 190,000 $132K 0.01% DBT
2920 MICROSOFT CORP 594918CF9 Feb 2026 210,000 $132K 0.01% DBT
2921 FLORIDA POWER & LIGHT CO 341081FD4 Feb 2026 130,000 $132K 0.01% DBT
2922 ARCHER-DANIELS-MIDLAND C 039483BQ4 Feb 2026 150,000 $132K 0.01% DBT
2923 AIR LEASE CORP 00914AAG7 Feb 2026 139,000 $132K 0.01% DBT
2924 MARATHON PETROLEUM CORP 56585AAH5 Feb 2026 149,000 $132K 0.01% DBT
2925 OCCIDENTAL PETROLEUM COR 674599EM3 Feb 2026 132,000 $131K 0.01% DBT
2926 RIO TINTO ALCAN INC 013716AW5 Feb 2026 122,000 $131K 0.01% DBT
2927 BOARDWALK PIPELINES LP 096630AG3 Feb 2026 129,000 $131K 0.01% DBT
2928 CHUBB INA HOLDINGS LLC 171232AQ4 Feb 2026 120,000 $131K 0.01% DBT
2929 SANTANDER UK GROUP HLDGS 80281LAV7 Feb 2026 125,000 $131K 0.01% DBT
2930 NUTRIEN LTD 67077MAF5 Feb 2026 123,000 $131K 0.01% DBT
2931 NISOURCE INC 65473PAR6 Feb 2026 125,000 $131K 0.01% DBT
2932 BURLINGTN NORTH SANTA FE 12189LAZ4 Feb 2026 160,000 $131K 0.01% DBT
2933 NORFOLK SOUTHERN CORP 655844BQ0 Feb 2026 148,000 $130K 0.01% DBT
2934 NBCUNIVERSAL MEDIA LLC 63946BAG5 Feb 2026 125,000 $130K 0.01% DBT
2935 BANK OF NY MELLON CORP 06406RBZ9 Feb 2026 125,000 $130K 0.01% DBT
2936 HUMANA INC 444859BL5 Feb 2026 178,000 $130K 0.01% DBT
2937 CISCO SYSTEMS INC 17275RBZ4 Feb 2026 125,000 $130K 0.01% DBT
2938 GATX CORP 361448BC6 Feb 2026 128,000 $130K 0.01% DBT
2939 PUBLIC SERVICE ELECTRIC 74456QBB1 Feb 2026 155,000 $130K 0.01% DBT
2940 SAN DIEGO G & E 797440CA0 Feb 2026 198,000 $130K 0.01% DBT
2941 UNION PACIFIC CORP 907818EN4 Feb 2026 158,000 $129K 0.01% DBT
2942 OCCIDENTAL PETROLEUM COR 674599DH5 Feb 2026 107,000 $129K 0.01% DBT
2943 VERIZON COMMUNICATIONS 92343VEU4 Feb 2026 129,000 $129K 0.01% DBT
2944 BROADCOM INC 11135FCR0 Feb 2026 145,000 $129K 0.01% DBT
2945 FOMENTO ECONOMICO MEX 344419AC0 Feb 2026 170,000 $129K 0.01% DBT
2946 WELLTOWER OP LLC 95041AAG3 Feb 2026 125,000 $129K 0.01% DBT
2947 CUMMINS INC 231021AZ9 Feb 2026 125,000 $129K 0.01% DBT
2948 AMGEN INC 031162DF4 Feb 2026 159,000 $129K 0.01% DBT
2949 PRINCIPAL FINANCIAL GRP 74251VAF9 Feb 2026 142,000 $128K 0.01% DBT
2950 ROGERS COMMUNICATIONS IN 775109AX9 Feb 2026 149,000 $128K 0.01% DBT
2951 DEVON ENERGY CORPORATION 25179MAU7 Feb 2026 141,000 $128K 0.01% DBT
2952 KINDER MORGAN INC 49456BAS0 Feb 2026 190,000 $128K 0.01% DBT
2953 GLP CAPITAL LP / FIN II 361841AR0 Feb 2026 140,000 $128K 0.01% DBT
2954 STATE STREET CORP 857477CA9 Feb 2026 125,000 $127K 0.01% DBT
2955 SOUTHERN CAL EDISON 842400EV1 Feb 2026 122,000 $127K 0.01% DBT
2956 ONEOK INC 682680DC4 Feb 2026 125,000 $127K 0.01% DBT
2957 GENERAL MOTORS FINL CO 37045XDE3 Feb 2026 140,000 $127K 0.01% DBT
2958 CSX CORP 126408GH0 Feb 2026 116,000 $127K 0.01% DBT
2959 ALBEMARLE CORP 012725AD9 Feb 2026 135,000 $127K 0.01% DBT
2960 CATERPILLAR INC 149123CH2 Feb 2026 133,000 $127K 0.01% DBT
2961 WESTERN MIDSTREAM OPERAT 958254AK0 Feb 2026 125,000 $127K 0.01% DBT
2962 CNH INDUSTRIAL CAP LLC 12592BAU8 Feb 2026 125,000 $127K 0.01% DBT
2963 KROGER CO 501044CT6 Feb 2026 131,000 $127K 0.01% DBT
2964 CBRE SERVICES INC 12505BAL4 Feb 2026 125,000 $126K 0.01% DBT
2965 US BANCORP 91159HJW1 Feb 2026 125,000 $126K 0.01% DBT
2966 FLORIDA POWER & LIGHT CO 341081EV5 Feb 2026 117,000 $126K 0.01% DBT
2967 MOTOROLA SOLUTIONS INC 620076CC1 Feb 2026 120,000 $126K 0.01% DBT
2968 COCA-COLA CO/THE 191216DR8 Feb 2026 120,000 $126K 0.01% DBT
2969 US BANCORP 91159HJY7 Feb 2026 125,000 $126K 0.01% DBT
2970 LEGGETT & PLATT INC 524660BA4 Feb 2026 192,000 $126K 0.01% DBT
2971 ALEXANDRIA REAL ESTATE E 015271AY5 Feb 2026 145,000 $126K 0.01% DBT
2972 ONE GAS INC 68235PAF5 Feb 2026 138,000 $126K 0.01% DBT
2973 CAPITAL ONE FINANCIAL CO 14040HDQ5 Feb 2026 125,000 $126K 0.01% DBT
2974 WESTERN MIDSTREAM OPERAT 958667AH0 Feb 2026 125,000 $126K 0.01% DBT
2975 CAPITAL ONE FINANCIAL CO 14040HDP7 Feb 2026 125,000 $126K 0.01% DBT
2976 SMITH & NEPHEW PLC 83192PAD0 Feb 2026 121,000 $126K 0.01% DBT
2977 PACIFIC GAS & ELECTRIC 694308HH3 Feb 2026 145,000 $126K 0.01% DBT
2978 KINDER MORGAN ENER PART 494550BW5 Feb 2026 130,000 $126K 0.01% DBT
2979 VULCAN MATERIALS CO 929160BD0 Feb 2026 125,000 $126K 0.01% DBT
2980 BANK OF MONTREAL 06368MXV1 Feb 2026 125,000 $126K 0.01% DBT
2981 RTX CORP 75513ECL3 Feb 2026 197,000 $126K 0.01% DBT
2982 ALPHABET INC 02079KAF4 Feb 2026 228,000 $126K 0.01% DBT
2983 COUSINS PROPERTIES LP 222793AA9 Feb 2026 120,000 $126K 0.01% DBT
2984 CUBESMART LP 22966RAJ5 Feb 2026 140,000 $126K 0.01% DBT
2985 BANK OF AMERICA CORP 06051GHA0 Feb 2026 156,000 $126K 0.01% DBT
2986 KEURIG DR PEPPER INC 49271VAD2 Feb 2026 138,000 $126K 0.01% DBT
2987 CITIGROUP INC 17327CAY9 Feb 2026 125,000 $126K 0.01% DBT
2988 SOUTHERN CAL EDISON 842400JL8 Feb 2026 125,000 $126K 0.01% DBT
2989 NORFOLK SOUTHERN CORP 655844CD8 Feb 2026 174,000 $125K 0.01% DBT
2990 ENERGY TRANSFER LP 29273VAW0 Feb 2026 130,000 $125K 0.01% DBT
2991 HIGHWOODS REALTY LP 431282AU6 Feb 2026 110,000 $125K 0.01% DBT
2992 PROGRESSIVE CORP 743315AZ6 Feb 2026 135,000 $125K 0.01% DBT
2993 DOW CHEMICAL CO/THE 260543DP5 Feb 2026 125,000 $125K 0.01% DBT
2994 JOHNSON & JOHNSON 478160CM4 Feb 2026 160,000 $125K 0.01% DBT
2995 CAMPBELLS COMPANY/THE 134462AA8 Feb 2026 125,000 $125K 0.01% DBT
2996 LABORATORY CORP OF AMER 50540RAW2 Feb 2026 130,000 $125K 0.01% DBT
2997 CISCO SYSTEMS INC 17275RBY7 Feb 2026 120,000 $125K 0.01% DBT
2998 AUTONATION INC 05329RAA1 Feb 2026 131,000 $125K 0.01% DBT
2999 INTERCONTINENTALEXCHANGE 45866FAN4 Feb 2026 145,000 $125K 0.01% DBT
3000 EVEREST REINSURANCE HLDG 299808AJ4 Feb 2026 197,000 $125K 0.01% DBT
3001 UNION PACIFIC CORP 907818EK0 Feb 2026 168,000 $125K 0.01% DBT
3002 CON EDISON CO OF NY INC 209111FN8 Feb 2026 165,000 $125K 0.01% DBT
3003 CENTERPOINT ENER HOUSTON 15189XAU2 Feb 2026 190,000 $125K 0.01% DBT
3004 KEYBANK NATIONAL ASSN 49327V2C7 Feb 2026 124,000 $124K 0.01% DBT
3005 STRYKER CORP 863667AE1 Feb 2026 144,000 $124K 0.01% DBT
3006 JACKSON FINANCIAL INC 46817MAL1 Feb 2026 136,000 $124K 0.01% DBT
3007 SYSCO CORPORATION 871829BK2 Feb 2026 132,000 $124K 0.01% DBT
3008 MITSUBISHI UFJ FIN GRP 606822BU7 Feb 2026 135,000 $124K 0.01% DBT
3009 TRUIST FINANCIAL CORP 89788MAB8 Feb 2026 135,000 $124K 0.01% DBT
3010 COMMONWEALTH EDISON CO 202795KA7 Feb 2026 123,000 $124K 0.01% DBT
3011 AMERICAN WATER CAPITAL C 03040WAS4 Feb 2026 124,000 $124K 0.01% DBT
3012 SOUTHERN CAL EDISON 842400FW8 Feb 2026 157,000 $124K 0.01% DBT
3013 AMERICA MOVIL SAB DE CV 02364WBJ3 Feb 2026 130,000 $123K 0.01% DBT
3014 GATX CORP 361448BH5 Feb 2026 187,000 $123K 0.01% DBT
3015 HUNTINGTON INGALLS INDUS 446413AL0 Feb 2026 124,000 $123K 0.01% DBT
3016 LPL HOLDINGS INC 50212YAQ7 Feb 2026 120,000 $123K 0.01% DBT
3017 ENTERPRISE PRODUCTS OPER 29379VBW2 Feb 2026 149,000 $122K 0.01% DBT
3018 GATX CORP 361448AU7 Feb 2026 127,000 $122K 0.01% DBT
3019 APA CORP 03743QAT5 Feb 2026 120,000 $122K 0.01% DBT
3020 PEPSICO INC 713448EM6 Feb 2026 165,000 $122K 0.01% DBT
3021 CANADIAN PACIFIC RAILWAY 13648TAH0 Feb 2026 159,000 $122K 0.01% DBT
3022 ENERGY TRANSFER LP 29273RBE8 Feb 2026 122,000 $122K 0.01% DBT
3023 METLIFE INC 59156RBZ0 Feb 2026 119,000 $122K 0.01% DBT
3024 MPLX LP 55336VBT6 Feb 2026 141,000 $121K 0.01% DBT
3025 INTERNATIONAL PAPER CO 460146CS0 Feb 2026 148,000 $121K 0.01% DBT
3026 ATHENE HOLDING LTD 04686JAJ0 Feb 2026 125,000 $121K 0.01% DBT
3027 EQUINIX INC 29444UBT2 Feb 2026 175,000 $121K 0.01% DBT
3028 MOODY'S CORPORATION 615369AX3 Feb 2026 195,000 $121K 0.01% DBT
3029 MARTIN MARIETTA MATERIAL 573284AV8 Feb 2026 128,000 $121K 0.01% DBT
3030 CENCORA INC 03073EAQ8 Feb 2026 140,000 $121K 0.01% DBT
3031 HOME DEPOT INC 437076DJ8 Feb 2026 120,000 $120K 0.01% DBT
3032 ARTHUR J GALLAGHER & CO 04316JAG4 Feb 2026 110,000 $120K 0.01% DBT
3033 LOWE'S COS INC 548661AK3 Feb 2026 112,000 $120K 0.01% DBT
3034 HALLIBURTON CO 406216BA8 Feb 2026 132,000 $120K 0.01% DBT
3035 AMERICAN EXPRESS CO 025816DU0 Feb 2026 115,000 $120K 0.01% DBT
3036 KROGER CO 501044DF5 Feb 2026 152,000 $120K 0.01% DBT
3037 MERCK & CO INC 58933YBB0 Feb 2026 200,000 $120K 0.01% DBT
3038 WALT DISNEY COMPANY/THE 254687ER3 Feb 2026 109,000 $120K 0.01% DBT
3039 ROCKWELL AUTOMATION 773903AM1 Feb 2026 205,000 $120K 0.01% DBT
3040 NATIONAL FUEL GAS CO 636180BR1 Feb 2026 129,000 $120K 0.01% DBT
3041 CITIZENS FINANCIAL GROUP 174610AS4 Feb 2026 127,000 $119K 0.01% DBT
3042 SONOCO PRODUCTS CO 835495AJ1 Feb 2026 115,000 $119K 0.01% DBT
3043 WINTRUST FINANCIAL CORP 97650WAG3 Feb 2026 119,000 $119K 0.01% DBT
3044 TARGET CORP 87612EBJ4 Feb 2026 126,000 $119K 0.01% DBT
3045 RYDER SYSTEM INC 78355HKT5 Feb 2026 120,000 $119K 0.01% DBT
3046 NOV INC 637071AK7 Feb 2026 147,000 $119K 0.01% DBT
3047 JM SMUCKER CO 832696AP3 Feb 2026 137,000 $119K 0.01% DBT
3048 GENERAL MILLS INC 370334CT9 Feb 2026 116,000 $119K 0.01% DBT
3049 GARTNER INC 366651AJ6 Feb 2026 120,000 $118K 0.01% DBT
3050 SOUTHERN COPPER CORP 84265VAG0 Feb 2026 121,000 $118K 0.01% DBT
3051 AXIS SPECIALTY FINANCE 05463HAC5 Feb 2026 120,000 $118K 0.01% DBT
3052 RYDER SYSTEM INC 78355HLF4 Feb 2026 115,000 $118K 0.01% DBT
3053 KLA CORP 482480AN0 Feb 2026 125,000 $118K 0.01% DBT
3054 GOLDMAN SACHS GROUP INC 38141GZN7 Feb 2026 150,000 $118K 0.01% DBT
3055 CHOICE HOTELS INTL INC 169905AG1 Feb 2026 122,000 $118K 0.01% DBT
3056 NORFOLK SOUTHERN CORP 655844CJ5 Feb 2026 168,000 $118K 0.01% DBT
3057 DEERE & COMPANY 244199BL8 Feb 2026 110,000 $117K 0.01% DBT
3058 SEMPRA 816851BV0 Feb 2026 115,000 $117K 0.01% DBT
3059 ESSENTIAL UTILITIES INC 29670GAD4 Feb 2026 124,000 $117K 0.01% DBT
3060 COMMONWEALTH EDISON CO 202795JD3 Feb 2026 128,000 $117K 0.01% DBT
3061 SANTANDER UK GROUP HLDGS 80281LAU9 Feb 2026 115,000 $117K 0.01% DBT
3062 LOWE'S COS INC 548661DS3 Feb 2026 137,000 $117K 0.01% DBT
3063 RTX CORP 75513ECA7 Feb 2026 119,000 $117K 0.01% DBT
3064 NUTRIEN LTD 67077MAU2 Feb 2026 128,000 $117K 0.01% DBT
3065 ONEOK INC 682680DB6 Feb 2026 115,000 $117K 0.01% DBT
3066 US BANCORP 91159HJR2 Feb 2026 110,000 $117K 0.01% DBT
3067 PUBLIC SERVICE ELECTRIC 74456QAR7 Feb 2026 108,000 $117K 0.01% DBT
3068 OCCIDENTAL PETROLEUM COR 674599DE2 Feb 2026 100,000 $116K 0.01% DBT
3069 US BANCORP 91159HJA9 Feb 2026 130,000 $116K 0.01% DBT
3070 ROYALTY PHARMA PLC 78081BAV5 Feb 2026 115,000 $116K 0.01% DBT
3071 WP CAREY INC 92936UAF6 Feb 2026 117,000 $116K 0.01% DBT
3072 MARSH & MCLENNAN COS INC 571748BY7 Feb 2026 115,000 $116K 0.01% DBT
3073 RTX CORP 75513ECB5 Feb 2026 122,000 $116K 0.01% DBT
3074 WALT DISNEY COMPANY/THE 254687EV4 Feb 2026 125,000 $116K 0.01% DBT
3075 LAM RESEARCH CORP 512807AX6 Feb 2026 183,000 $116K 0.01% DBT
3076 CAMPBELLS COMPANY/THE 134429BJ7 Feb 2026 125,000 $116K 0.01% DBT
3077 PACIFIC GAS & ELECTRIC 694308KV8 Feb 2026 115,000 $116K 0.01% DBT
3078 CENCORA INC 03073EBF1 Feb 2026 115,000 $116K 0.01% DBT
3079 UNITEDHEALTH GROUP INC 91324PDX7 Feb 2026 125,000 $115K 0.01% DBT
3080 COMCAST CORP 20030NAC5 Feb 2026 100,000 $115K 0.01% DBT
3081 SYSCO CORPORATION 871829BM8 Feb 2026 102,000 $115K 0.01% DBT
3082 SOUTHERN CAL EDISON 842400FP3 Feb 2026 116,000 $115K 0.01% DBT
3083 WILLIS NORTH AMERICA INC 970648AQ4 Feb 2026 115,000 $115K 0.01% DBT
3084 MASTERCARD INC 57636QAT1 Feb 2026 173,000 $115K 0.01% DBT
3085 NISOURCE INC 65473QAX1 Feb 2026 110,000 $115K 0.01% DBT
3086 DEERE & COMPANY 244199BK0 Feb 2026 144,000 $115K 0.01% DBT
3087 EXTRA SPACE STORAGE LP 30225VAG2 Feb 2026 130,000 $115K 0.01% DBT
3088 UNITED PARCEL SERVICE 911312BY1 Feb 2026 112,000 $115K 0.01% DBT
3089 TENNESSEE GAS PIPELINE 880451AU3 Feb 2026 95,000 $114K 0.01% DBT
3090 BOSTON PROPERTIES LP 10112RBC7 Feb 2026 121,000 $114K 0.01% DBT
3091 PUBLIC SERVICE ENTERPRIS 744573BB1 Feb 2026 110,000 $114K 0.01% DBT
3092 INTEL CORP 458140AY6 Feb 2026 148,000 $114K 0.01% DBT
3093 DIAMONDBACK ENERGY INC 25278XAQ2 Feb 2026 138,000 $114K 0.01% DBT
3094 EL PASO ELECTRIC CO 283677AZ5 Feb 2026 125,000 $114K 0.01% DBT
3095 PUBLIC SERVICE ELECTRIC 74456QCR5 Feb 2026 115,000 $114K 0.01% DBT
3096 ELEVANCE HEALTH INC 28622HAC5 Feb 2026 125,000 $114K 0.01% DBT
3097 IBM CORP 459200AP6 Feb 2026 97,000 $114K 0.01% DBT
3098 ECOLAB INC 278865BN9 Feb 2026 181,000 $114K 0.01% DBT
3099 CON EDISON CO OF NY INC 209111GB3 Feb 2026 163,000 $113K 0.01% DBT
3100 BRIGHTHOUSE FINANCIAL IN 10922NAF0 Feb 2026 163,000 $113K 0.01% DBT
3101 OWENS CORNING 690742AH4 Feb 2026 134,000 $113K 0.01% DBT
3102 CITIGROUP INC 17327CBA0 Feb 2026 110,000 $113K 0.01% DBT
3103 PACIFIC GAS & ELECTRIC 694308HD2 Feb 2026 132,000 $113K 0.01% DBT
3104 KEURIG DR PEPPER INC 49271VAV2 Feb 2026 110,000 $113K 0.01% DBT
3105 EMERSON ELECTRIC CO 291011BS2 Feb 2026 175,000 $113K 0.01% DBT
3106 MARKEL GROUP INC 570535AY0 Feb 2026 111,000 $113K 0.01% DBT
3107 ENTERPRISE PRODUCTS OPER 29379VBF9 Feb 2026 125,000 $113K 0.01% DBT
3108 ROYALTY PHARMA PLC 78081BAP8 Feb 2026 167,000 $113K 0.01% DBT
3109 PUBLIC SERVICE ELECTRIC 74456QAZ9 Feb 2026 131,000 $113K 0.01% DBT
3110 STARBUCKS CORP 855244AX7 Feb 2026 160,000 $113K 0.01% DBT
3111 TRANSCANADA PIPELINES 89352HAW9 Feb 2026 112,000 $113K 0.01% DBT
3112 STATE STREET CORP 857477CR2 Feb 2026 110,000 $112K 0.01% DBT
3113 NUCOR CORP 670346AQ8 Feb 2026 130,000 $112K 0.01% DBT
3114 WESTROCK MWV LLC 961548AV6 Feb 2026 98,000 $112K 0.01% DBT
3115 KIMCO REALTY OP LLC 49446RAM1 Feb 2026 130,000 $112K 0.01% DBT
3116 INVITATION HOMES OP 46188BAD4 Feb 2026 115,000 $112K 0.01% DBT
3117 SABRA HEALTH CARE LP 78574MAA1 Feb 2026 121,000 $112K 0.01% DBT
3118 CENTERPOINT ENER HOUSTON 15189XAD0 Feb 2026 98,000 $112K 0.01% DBT
3119 ARCHER-DANIELS-MIDLAND C 039482AB0 Feb 2026 115,000 $112K 0.01% DBT
3120 CON EDISON CO OF NY INC 209111FQ1 Feb 2026 135,000 $112K 0.01% DBT
3121 HOME DEPOT INC 437076CJ9 Feb 2026 125,000 $112K 0.01% DBT
3122 AMERICA MOVIL SAB DE CV 02364WBE4 Feb 2026 125,000 $112K 0.01% DBT
3123 MOTOROLA SOLUTIONS INC 620076BW8 Feb 2026 105,000 $112K 0.01% DBT
3124 BANK OF MONTREAL 06368L3L8 Feb 2026 105,000 $111K 0.01% DBT
3125 STARBUCKS CORP 855244AH2 Feb 2026 129,000 $111K 0.01% DBT
3126 BRIXMOR OPERATING PART 11120VAJ2 Feb 2026 112,000 $111K 0.01% DBT
3127 PULTEGROUP INC 745867AM3 Feb 2026 94,000 $111K 0.01% DBT
3128 WESTERN MIDSTREAM OPERAT 958254AH7 Feb 2026 110,000 $111K 0.01% DBT
3129 COMCAST CORP 20030NES6 Feb 2026 110,000 $111K 0.01% DBT
3130 DH EUROPE FINANCE II 23291KAH8 Feb 2026 116,000 $111K 0.01% DBT
3131 GLAXOSMITHKLINE CAP INC 377372AN7 Feb 2026 110,000 $110K 0.01% DBT
3132 MERCK & CO INC 58933YCC7 Feb 2026 110,000 $110K 0.01% DBT
3133 METLIFE INC 59156RAJ7 Feb 2026 99,000 $110K 0.01% DBT
3134 S&P GLOBAL INC 78409VBT0 Feb 2026 110,000 $110K 0.01% DBT
3135 BARCLAYS PLC 06738ECS2 Feb 2026 103,000 $110K 0.01% DBT
3136 GENERAL MOTORS FINL CO 37045XFC5 Feb 2026 105,000 $110K 0.01% DBT
3137 REALTY INCOME CORP 756109AX2 Feb 2026 115,000 $110K 0.01% DBT
3138 SEMPRA 816851BS7 Feb 2026 107,000 $110K 0.01% DBT
3139 DIAMONDBACK ENERGY INC 25278XAW9 Feb 2026 106,000 $110K 0.01% DBT
3140 REGENCY CENTERS LP 75884RAZ6 Feb 2026 114,000 $110K 0.01% DBT
3141 TRUIST FINANCIAL CORP 89788MAE2 Feb 2026 115,000 $110K 0.01% DBT
3142 TORONTO-DOMINION BANK 89114TZQ8 Feb 2026 121,000 $110K 0.01% DBT
3143 COMCAST CORP 20030NDA6 Feb 2026 115,000 $109K 0.01% DBT
3144 AMERICAN WATER CAPITAL C 03040WAJ4 Feb 2026 122,000 $109K 0.01% DBT
3145 AON CORP/AON GLOBAL HOLD 03740LAC6 Feb 2026 120,000 $109K 0.01% DBT
3146 PRUDENTIAL FINANCIAL INC 744320BL5 Feb 2026 102,000 $109K 0.01% DBT
3147 RIO TINTO FIN USA PLC 76720AAG1 Feb 2026 125,000 $109K 0.01% DBT
3148 UNITEDHEALTH GROUP INC 91324PEW8 Feb 2026 120,000 $109K 0.01% DBT
3149 TWDC ENTERPRISES 18 CORP 25468PCR5 Feb 2026 123,000 $109K 0.01% DBT
3150 AMCOR FINANCE USA INC 02343UAH8 Feb 2026 108,000 $109K 0.01% DBT
3151 MERCK & CO INC 58933YAX3 Feb 2026 110,000 $109K 0.01% DBT
3152 BROADCOM INC 11135FBT7 Feb 2026 110,000 $109K 0.01% DBT
3153 BURLINGTN NORTH SANTA FE 12189LAX9 Feb 2026 118,000 $109K 0.01% DBT
3154 LEAR CORP 521865BB0 Feb 2026 112,000 $109K 0.01% DBT
3155 VENTAS REALTY LP 92277GAB3 Feb 2026 106,000 $108K 0.01% DBT
3156 ENTERPRISE PRODUCTS OPER 29379VBQ5 Feb 2026 130,000 $108K 0.01% DBT
3157 AETNA INC 00817YAJ7 Feb 2026 124,000 $108K 0.01% DBT
3158 T-MOBILE USA INC 87264ACV5 Feb 2026 104,000 $108K 0.01% DBT
3159 TRANSCONT GAS PIPE LINE 893574AK9 Feb 2026 108,000 $108K 0.01% DBT
3160 CHARLES SCHWAB CORP 808513BC8 Feb 2026 105,000 $108K 0.01% DBT
3161 GLP CAPITAL LP / FIN II 361841AQ2 Feb 2026 112,000 $108K 0.01% DBT
3162 BRIXMOR OPERATING PART 11120VAE3 Feb 2026 108,000 $108K 0.01% DBT
3163 NASDAQ INC 63111XAK7 Feb 2026 104,000 $108K 0.01% DBT
3164 SAN DIEGO G & E 797440CE2 Feb 2026 105,000 $108K 0.01% DBT
3165 MOSAIC CO 61945CAE3 Feb 2026 110,000 $108K 0.01% DBT
3166 ARCH CAPITAL GROUP LTD 03939AAA5 Feb 2026 145,000 $107K 0.01% DBT
3167 ESSENTIAL UTILITIES INC 03836WAB9 Feb 2026 109,000 $107K 0.01% DBT
3168 SOUTHERN CAL EDISON 842400FF5 Feb 2026 105,000 $107K 0.01% DBT
3169 CAPITAL ONE FINANCIAL CO 14040HDC6 Feb 2026 95,000 $107K 0.01% DBT
3170 PACIFIC GAS & ELECTRIC 694308KT3 Feb 2026 110,000 $107K 0.01% DBT
3171 UNITED PARCEL SERVICE 911312AZ9 Feb 2026 142,000 $107K 0.01% DBT
3172 CONSTELLATION BRANDS INC 21036PBG2 Feb 2026 142,000 $107K 0.01% DBT
3173 GLAXOSMITHKLINE CAP INC 377372AB3 Feb 2026 100,000 $107K 0.01% DBT
3174 ORACLE CORP 68389XBV6 Feb 2026 115,000 $107K 0.01% DBT
3175 GLOBAL PAYMENTS INC 37940XAQ5 Feb 2026 105,000 $107K 0.01% DBT
3176 COMCAST CORP 20030NCY5 Feb 2026 134,000 $107K 0.01% DBT
3177 METLIFE INC 59156RAE8 Feb 2026 95,000 $107K 0.01% DBT
3178 INGERSOLL RAND INC 45687VAG1 Feb 2026 105,000 $107K 0.01% DBT
3179 MARSH & MCLENNAN COS INC 571748CE0 Feb 2026 110,000 $107K 0.01% DBT
3180 INTL FLAVOR & FRAGRANCES 459506AL5 Feb 2026 118,000 $107K 0.01% DBT
3181 DIAGEO INVESTMENT CORP 25245BAA5 Feb 2026 120,000 $106K 0.01% DBT
3182 PUBLIC SERVICE ELECTRIC 74456QCT1 Feb 2026 110,000 $106K 0.01% DBT
3183 NORFOLK SOUTHERN CORP 655844CC0 Feb 2026 131,000 $106K 0.01% DBT
3184 LABORATORY CORP OF AMER 50540RBA9 Feb 2026 105,000 $106K 0.01% DBT
3185 BRIXMOR OPERATING PART 11120BAA5 Feb 2026 100,000 $106K 0.01% DBT
3186 WELLS FARGO & COMPANY 95000U3K7 Feb 2026 101,000 $106K 0.01% DBT
3187 L3HARRIS TECH INC 502431AR0 Feb 2026 105,000 $106K 0.01% DBT
3188 INTEL CORP 458140CC2 Feb 2026 127,000 $106K 0.01% DBT
3189 KINDER MORGAN ENER PART 494550BP0 Feb 2026 113,000 $105K 0.01% DBT
3190 BANK OF NY MELLON CORP 06406RBW6 Feb 2026 101,000 $105K 0.01% DBT
3191 INTEL CORP 458140BL3 Feb 2026 115,000 $105K 0.01% DBT
3192 NEXTERA ENERGY CAPITAL 65339KDB3 Feb 2026 98,000 $104K 0.01% DBT
3193 CVS HEALTH CORP 126650DK3 Feb 2026 120,000 $104K 0.01% DBT
3194 HOST HOTELS & RESORTS LP 44107TBA3 Feb 2026 114,000 $104K 0.01% DBT
3195 AON CORP 037389BC6 Feb 2026 105,000 $104K 0.01% DBT
3196 KROGER CO 501044CR0 Feb 2026 109,000 $104K 0.01% DBT
3197 BRUNSWICK CORP 117043AU3 Feb 2026 107,000 $104K 0.01% DBT
3198 MCKESSON CORP 581557BX2 Feb 2026 100,000 $104K 0.01% DBT
3199 CANADIAN PACIFIC RAILWAY 13648TAA5 Feb 2026 112,000 $104K 0.01% DBT
3200 REGENCY CENTERS LP 75884RAY9 Feb 2026 117,000 $104K 0.01% DBT
3201 ERP OPERATING LP 26884ABK8 Feb 2026 103,000 $104K 0.01% DBT
3202 CON EDISON CO OF NY INC 209111FT5 Feb 2026 118,000 $104K 0.01% DBT
3203 NEXTERA ENERGY CAPITAL 65339KDJ6 Feb 2026 100,000 $104K 0.01% DBT
3204 UNITED PARCEL SERVICE 911312AR7 Feb 2026 126,000 $104K 0.01% DBT
3205 GENERAL ELECTRIC CO 36962G4B7 Feb 2026 87,000 $104K 0.01% DBT
3206 BIOGEN INC 09062XAK9 Feb 2026 156,000 $103K 0.01% DBT
3207 CONOCOPHILLIPS COMPANY 20826FBG0 Feb 2026 105,000 $103K 0.01% DBT
3208 PEPSICO INC 713448FY9 Feb 2026 100,000 $103K 0.01% DBT
3209 BROADCOM INC 11135FAQ4 Feb 2026 103,000 $103K 0.01% DBT
3210 ONEOK INC 682680CA9 Feb 2026 140,000 $103K 0.01% DBT
3211 CISCO SYSTEMS INC 17275RBX9 Feb 2026 100,000 $103K 0.01% DBT
3212 EXTRA SPACE STORAGE LP 30225VAQ0 Feb 2026 115,000 $103K 0.01% DBT
3213 STORE CAPITAL LLC 862121AD2 Feb 2026 115,000 $103K 0.01% DBT
3214 BROADCOM INC 11135FDD0 Feb 2026 100,000 $103K 0.01% DBT
3215 PACIFIC GAS & ELECTRIC 694308GZ4 Feb 2026 120,000 $103K 0.01% DBT
3216 GENERAL MILLS INC 370334DA9 Feb 2026 100,000 $103K 0.01% DBT
3217 AT&T INC 00206RBK7 Feb 2026 122,000 $102K 0.01% DBT
3218 SEMPRA 816851BW8 Feb 2026 100,000 $102K 0.01% DBT
3219 WP CAREY INC 92936UAH2 Feb 2026 120,000 $102K 0.01% DBT
3220 NISOURCE INC 65473PAL9 Feb 2026 115,000 $102K 0.01% DBT
3221 HOME DEPOT INC 437076DF6 Feb 2026 105,000 $102K 0.01% DBT
3222 KRAFT HEINZ FOODS CO 50076QAE6 Feb 2026 111,000 $102K 0.01% DBT
3223 CENTERPOINT ENER HOUSTON 15189XBC1 Feb 2026 105,000 $102K 0.01% DBT
3224 WELLTOWER OP LLC 95041AAF5 Feb 2026 100,000 $102K 0.01% DBT
3225 BUNGE LTD FINANCE CORP 120568BQ2 Feb 2026 100,000 $102K 0.01% DBT
3226 UNILEVER CAPITAL CORP 904764BV8 Feb 2026 100,000 $102K 0.01% DBT
3227 ONEOK INC 682680BX0 Feb 2026 127,000 $101K 0.01% DBT
3228 AMERICAN WATER CAPITAL C 03040WAW5 Feb 2026 106,000 $101K 0.01% DBT
3229 MCDONALD'S CORP 58013MFH2 Feb 2026 117,000 $101K 0.01% DBT
3230 MICROSOFT CORP 594918AR5 Feb 2026 121,000 $101K 0.01% DBT
3231 BROOKFIELD FINANCE INC 11271LAJ1 Feb 2026 145,000 $101K 0.01% DBT
3232 ENBRIDGE INC 29250NBZ7 Feb 2026 90,000 $101K 0.01% DBT
3233 NEXTERA ENERGY CAPITAL 65339KDY3 Feb 2026 100,000 $101K 0.01% DBT
3234 PEPSICO INC 713448BZ0 Feb 2026 115,000 $101K 0.01% DBT
3235 VENTAS REALTY LP 92277GAM9 Feb 2026 101,000 $101K 0.01% DBT
3236 CF INDUSTRIES INC 12527GAD5 Feb 2026 110,000 $101K 0.01% DBT
3237 TORONTO-DOMINION BANK 89115KAJ9 Feb 2026 100,000 $101K 0.01% DBT
3238 ONCOR ELECTRIC DELIVERY 68233DAP2 Feb 2026 87,000 $101K 0.01% DBT
3239 AUTONATION INC 05329WAU6 Feb 2026 100,000 $101K 0.01% DBT
3240 EVERSOURCE ENERGY 30040WBB3 Feb 2026 100,000 $101K 0.01% DBT
3241 EQUINIX INC 29444UBR6 Feb 2026 105,000 $101K 0.01% DBT
3242 BANK OF MONTREAL 06368ME67 Feb 2026 100,000 $101K 0.01% DBT
3243 ALLY FINANCIAL INC 02005NBU3 Feb 2026 95,000 $100K 0.01% DBT
3244 ABBOTT LABORATORIES 002824BH2 Feb 2026 106,000 $100K 0.01% DBT
3245 UNITEDHEALTH GROUP INC 91324PED0 Feb 2026 110,000 $100K 0.01% DBT
3246 AGREE LP 008513AC7 Feb 2026 115,000 $100K 0.01% DBT
3247 NUCOR CORP 670346AP0 Feb 2026 100,000 $100K 0.01% DBT
3248 MARKEL GROUP INC 570535AX2 Feb 2026 145,000 $100K 0.01% DBT
3249 APPLIED MATERIALS INC 038222AT2 Feb 2026 100,000 $100K 0.01% DBT
3250 TARGA RESOURCES CORP 87612GAT8 Feb 2026 100,000 $100K 0.01% DBT
3251 LEIDOS INC 52532XAN5 Feb 2026 100,000 $100K 0.01% DBT
3252 MCKESSON CORP 581557BY0 Feb 2026 95,000 $100K 0.01% DBT
3253 CATERPILLAR INC 149123CL3 Feb 2026 95,000 $100K 0.01% DBT
3254 ESTEE LAUDER CO INC 29736RAK6 Feb 2026 121,000 $99K 0.01% DBT
3255 CME GROUP INC 12572QAJ4 Feb 2026 99,000 $99K 0.01% DBT
3256 ILLINOIS TOOL WORKS INC 452308AR0 Feb 2026 114,000 $99K 0.01% DBT
3257 COMCAST CORP 20030NBT7 Feb 2026 114,000 $99K 0.01% DBT
3258 DOC DR LLC 71951QAB8 Feb 2026 99,000 $99K 0.01% DBT
3259 KINDER MORGAN INC 49456BBB6 Feb 2026 95,000 $99K 0.01% DBT
3260 ROYALTY PHARMA PLC 78081BAL7 Feb 2026 125,000 $99K 0.01% DBT
3261 TRANSCONT GAS PIPE LINE 893574AF0 Feb 2026 110,000 $99K 0.01% DBT
3262 NUTRIEN LTD 67077MAT5 Feb 2026 98,000 $98K 0.01% DBT
3263 KEURIG DR PEPPER INC 49271VAM2 Feb 2026 145,000 $98K 0.01% DBT
3264 DELTA AIR LINES INC 247361ZT8 Feb 2026 100,000 $98K 0.01% DBT
3265 MASTERCARD INC 57636QAH7 Feb 2026 121,000 $98K 0.01% DBT
3266 EQUINIX INC 29444UBG0 Feb 2026 101,000 $98K 0.01% DBT
3267 HESS CORP 42809HAD9 Feb 2026 93,000 $98K 0.01% DBT
3268 VULCAN MATERIALS CO 929160AV1 Feb 2026 112,000 $98K 0.01% DBT
3269 PACIFIC GAS & ELECTRIC 694308HN0 Feb 2026 122,000 $98K 0.01% DBT
3270 NUTRIEN LTD 67077MAX6 Feb 2026 125,000 $97K 0.01% DBT
3271 EL PASO ELECTRIC CO 283677AW2 Feb 2026 92,000 $97K 0.01% DBT
3272 SEKISUI HOUSE US 552676AQ1 Feb 2026 102,000 $97K 0.01% DBT
3273 CON EDISON CO OF NY INC 209111FL2 Feb 2026 123,000 $97K 0.01% DBT
3274 JEFFERIES FIN GROUP INC 472319AC6 Feb 2026 93,000 $97K 0.01% DBT
3275 MCKESSON CORP 581557BW4 Feb 2026 95,000 $97K 0.01% DBT
3276 REALTY INCOME CORP 756109BT0 Feb 2026 95,000 $97K 0.01% DBT
3277 CON EDISON CO OF NY INC 209111FC2 Feb 2026 115,000 $97K 0.01% DBT
3278 RELX CAPITAL INC 74949LAF9 Feb 2026 95,000 $97K 0.01% DBT
3279 KINDER MORGAN ENER PART 28370TAD1 Feb 2026 80,000 $97K 0.01% DBT
3280 JOHN DEERE CAPITAL CORP 24422EUY3 Feb 2026 100,000 $97K 0.01% DBT
3281 CBRE SERVICES INC 12505BAJ9 Feb 2026 95,000 $97K 0.01% DBT
3282 ABBOTT LABORATORIES 002824AY6 Feb 2026 93,000 $97K 0.01% DBT
3283 RIO TINTO FIN USA LTD 767201AD8 Feb 2026 90,000 $97K 0.01% DBT
3284 DOW CHEMICAL CO/THE 260543CY7 Feb 2026 95,000 $97K 0.01% DBT
3285 PUBLIC SERVICE ELECTRIC 74456QCB0 Feb 2026 102,000 $97K 0.01% DBT
3286 US BANCORP 91159HJN1 Feb 2026 90,000 $96K 0.01% DBT
3287 ELEVANCE HEALTH INC 036752AM5 Feb 2026 145,000 $96K 0.01% DBT
3288 VALMONT INDUSTRIES INC 920253AE1 Feb 2026 100,000 $96K 0.01% DBT
3289 STEEL DYNAMICS INC 858119BP4 Feb 2026 141,000 $96K 0.01% DBT
3290 MCDONALD'S CORP 58013MFM1 Feb 2026 103,000 $96K 0.01% DBT
3291 NXP BV/NXP FDG/NXP USA 62954HAX6 Feb 2026 97,000 $96K 0.01% DBT
3292 CON EDISON CO OF NY INC 209111FP3 Feb 2026 96,000 $96K 0.01% DBT
3293 CHUBB INA HOLDINGS LLC 171239AJ5 Feb 2026 153,000 $96K 0.01% DBT
3294 AGILENT TECHNOLOGIES INC 00846UAN1 Feb 2026 105,000 $96K 0.01% DBT
3295 ACE CAPITAL TRUST II 00440FAA2 Feb 2026 80,000 $96K 0.01% DBT
3296 SOUTHERN CAL EDISON 842400GR8 Feb 2026 111,000 $96K 0.01% DBT
3297 ENERGY TRANSFER LP 29273VAQ3 Feb 2026 90,000 $96K 0.01% DBT
3298 HOME DEPOT INC 437076DH2 Feb 2026 95,000 $95K 0.01% DBT
3299 HCA INC 404119DB2 Feb 2026 90,000 $95K 0.01% DBT
3300 CONSTELLATION EN GEN LLC 30161MAJ2 Feb 2026 92,000 $95K 0.01% DBT
3301 CON EDISON CO OF NY INC 209111FM0 Feb 2026 96,000 $95K 0.01% DBT
3302 ROCKWELL AUTOMATION 773903AJ8 Feb 2026 112,000 $95K 0.01% DBT
3303 OCCIDENTAL PETROLEUM COR 674599CJ2 Feb 2026 116,000 $95K 0.01% DBT
3304 GENERAL MOTORS CO 37045VAZ3 Feb 2026 90,000 $95K 0.01% DBT
3305 BP CAPITAL MARKETS PLC 05565QDH8 Feb 2026 95,000 $95K 0.01% DBT
3306 PFIZER INC 717081EC3 Feb 2026 100,000 $95K 0.01% DBT
3307 STEEL DYNAMICS INC 858119BT6 Feb 2026 95,000 $95K 0.01% DBT
3308 BANK OF AMERICA CORP 06051GGR4 Feb 2026 95,000 $94K 0.01% DBT
3309 PEPSICO INC 713448EP9 Feb 2026 140,000 $94K 0.01% DBT
3310 CANADIAN PACIFIC RAILWAY 13645RAV6 Feb 2026 93,000 $94K 0.01% DBT
3311 KEYBANK NATIONAL ASSN 49306CAB7 Feb 2026 90,000 $94K 0.01% DBT
3312 SOUTHERN CALIF GAS CO 842434CJ9 Feb 2026 95,000 $94K 0.01% DBT
3313 JOHN DEERE CAPITAL CORP 24422EUB3 Feb 2026 95,000 $94K 0.01% DBT
3314 PRUDENTIAL FINANCIAL INC 744320BF8 Feb 2026 93,000 $94K 0.01% DBT
3315 HARTFORD INSUR GRP INC/T 416515BF0 Feb 2026 126,000 $94K 0.01% DBT
3316 CANADIAN PACIFIC RAILWAY 13645RAD6 Feb 2026 82,000 $94K 0.01% DBT
3317 CARDINAL HEALTH INC 14149YAW8 Feb 2026 104,000 $93K 0.01% DBT
3318 PEPSICO INC 713448ET1 Feb 2026 108,000 $93K 0.01% DBT
3319 ABBVIE INC 00287YDA4 Feb 2026 99,000 $93K 0.01% DBT
3320 DEERE & COMPANY 244199BG9 Feb 2026 135,000 $93K 0.01% DBT
3321 PARKER-HANNIFIN CORP 70109HAJ4 Feb 2026 82,000 $93K 0.01% DBT
3322 TRANSCONT GAS PIPE LINE 893574AB9 Feb 2026 93,000 $93K 0.01% DBT
3323 UNION PACIFIC CORP 907818FV5 Feb 2026 134,000 $92K 0.01% DBT
3324 AMERICAN HONDA FINANCE 02665WFE6 Feb 2026 90,000 $92K 0.01% DBT
3325 CAMPBELLS COMPANY/THE 134429BQ1 Feb 2026 95,000 $92K 0.01% DBT
3326 UTAH ACQUISITION SUB 62854AAP9 Feb 2026 109,000 $92K 0.01% DBT
3327 ALLSTATE CORP 020002AS0 Feb 2026 86,000 $91K 0.01% DBT
3328 PECO ENERGY CO 693304BD8 Feb 2026 105,000 $91K 0.01% DBT
3329 SUMITOMO MITSUI FINL GRP 86562MBC3 Feb 2026 91,000 $91K 0.01% DBT
3330 SIMON PROPERTY GROUP LP 828807DT1 Feb 2026 100,000 $91K 0.01% DBT
3331 VALERO ENERGY CORP 91913YAW0 Feb 2026 91,000 $91K 0.01% DBT
3332 MASCO CORP 574599BM7 Feb 2026 105,000 $91K 0.01% DBT
3333 AMERICAN TOWER CORP 03027XCR9 Feb 2026 90,000 $91K 0.01% DBT
3334 PPL ELECTRIC UTILITIES 69351UAU7 Feb 2026 112,000 $91K 0.01% DBT
3335 BIOGEN INC 09062XAM5 Feb 2026 85,000 $91K 0.01% DBT
3336 HALLIBURTON CO 406216BE0 Feb 2026 100,000 $91K 0.01% DBT
3337 BIOGEN INC 09062XAL7 Feb 2026 85,000 $91K 0.01% DBT
3338 KINDER MORGAN ENER PART 494550BK1 Feb 2026 90,000 $91K 0.01% DBT
3339 REGENCY CENTERS LP 75884RAX1 Feb 2026 90,000 $90K 0.01% DBT
3340 EVERSOURCE ENERGY 30040WBA5 Feb 2026 85,000 $90K 0.01% DBT
3341 REINSURANCE GRP OF AMER 759351AN9 Feb 2026 91,000 $90K 0.01% DBT
3342 RYDER SYSTEM INC 78355HLG2 Feb 2026 90,000 $90K 0.01% DBT
3343 ONEOK INC 682680BZ5 Feb 2026 105,000 $90K 0.01% DBT
3344 TOTALENERGIES CAP INTL 89153VAX7 Feb 2026 117,000 $90K 0.01% DBT
3345 AEP TEXAS INC 00108WAJ9 Feb 2026 115,000 $90K 0.01% DBT
3346 BROOKFIELD FINANCE INC 11271LAQ5 Feb 2026 90,000 $90K 0.01% DBT
3347 GENERAL MILLS INC 370334BJ2 Feb 2026 88,000 $90K 0.01% DBT
3348 KINDER MORGAN ENER PART 494550BN5 Feb 2026 95,000 $90K 0.01% DBT
3349 MCDONALD'S CORP 58013MFT6 Feb 2026 95,000 $90K 0.01% DBT
3350 SYSCO CORPORATION 871829BH9 Feb 2026 104,000 $89K 0.01% DBT
3351 EOG RESOURCES INC 26875PAU5 Feb 2026 88,000 $89K 0.01% DBT
3352 PROCTER & GAMBLE CO/THE 742718FG9 Feb 2026 90,000 $89K 0.01% DBT
3353 COCA-COLA CO/THE 191216DT4 Feb 2026 90,000 $89K 0.01% DBT
3354 ENTERPRISE PRODUCTS OPER 29379VCH4 Feb 2026 90,000 $89K 0.01% DBT
3355 NSTAR ELECTRIC CO 67021CAV9 Feb 2026 85,000 $89K 0.01% DBT
3356 PPL ELECTRIC UTILITIES 69351UAT0 Feb 2026 105,000 $89K 0.01% DBT
3357 AMERICAN WATER CAPITAL C 03040WAR6 Feb 2026 114,000 $89K 0.01% DBT
3358 CATERPILLAR INC 149123CF6 Feb 2026 122,000 $89K 0.01% DBT
3359 CONSTELLATION BRANDS INC 21036PAZ1 Feb 2026 110,000 $89K 0.01% DBT
3360 ZOETIS INC 98978VAP8 Feb 2026 101,000 $88K 0.01% DBT
3361 COCA-COLA FEMSA SAB CV 191241AJ7 Feb 2026 103,000 $88K 0.01% DBT
3362 GATX CORP 361448BS1 Feb 2026 85,000 $88K 0.01% DBT
3363 STRYKER CORP 863667AZ4 Feb 2026 133,000 $88K 0.01% DBT
3364 CHARLES SCHWAB CORP 808513AU9 Feb 2026 89,000 $88K 0.01% DBT
3365 ELEVANCE HEALTH INC 036752AX1 Feb 2026 85,000 $88K 0.01% DBT
3366 CARRIER GLOBAL CORP 14448CBD5 Feb 2026 80,000 $88K 0.01% DBT
3367 TARGA RESOURCES CORP 87612GAK7 Feb 2026 85,000 $88K 0.01% DBT
3368 BANK OF AMERICA CORP 06051GHQ5 Feb 2026 88,000 $88K 0.01% DBT
3369 VERIZON COMMUNICATIONS 92343VFD1 Feb 2026 112,000 $88K 0.01% DBT
3370 BROOKFIELD FINANCE INC 11271LAP7 Feb 2026 90,000 $88K 0.01% DBT
3371 DCP MIDSTREAM OPERATING 23311VAH0 Feb 2026 85,000 $87K 0.01% DBT
3372 ENBRIDGE INC 29250NBE4 Feb 2026 125,000 $87K 0.01% DBT
3373 MONDELEZ INTERNATIONAL 609207AW5 Feb 2026 143,000 $87K 0.01% DBT
3374 AERCAP IRELAND CAP/GLOBA 00774MBM6 Feb 2026 87,000 $87K 0.01% DBT
3375 DOW CHEMICAL CO/THE 260543CL5 Feb 2026 108,000 $87K 0.01% DBT
3376 UNION PACIFIC CORP 907818EB0 Feb 2026 95,000 $87K 0.01% DBT
3377 DEVON ENERGY CORPORATION 25179SAD2 Feb 2026 74,000 $87K 0.01% DBT
3378 BANK OF NOVA SCOTIA 06418GAN7 Feb 2026 85,000 $86K 0.01% DBT
3379 PROLOGIS LP 74340XBN0 Feb 2026 88,000 $86K 0.01% DBT
3380 BROWN & BROWN INC 115236AN1 Feb 2026 85,000 $86K 0.01% DBT
3381 PEPSICO INC 713448DV7 Feb 2026 103,000 $86K 0.01% DBT
3382 BRIXMOR OPERATING PART 11120VAL7 Feb 2026 95,000 $86K 0.01% DBT
3383 VENTAS REALTY LP 92277GAF4 Feb 2026 100,000 $86K 0.01% DBT
3384 WILLIAMS COMPANIES INC 969457BV1 Feb 2026 85,000 $86K 0.01% DBT
3385 UNION PACIFIC CORP 907818GA0 Feb 2026 122,000 $86K 0.01% DBT
3386 ONEOK INC 682680AT0 Feb 2026 97,000 $86K 0.01% DBT
3387 HONEYWELL INTERNATIONAL 438516CX2 Feb 2026 85,000 $86K 0.01% DBT
3388 MOODY'S CORPORATION 615369AT2 Feb 2026 124,000 $86K 0.01% DBT
3389 MCDONALD'S CORP 58013MEH3 Feb 2026 80,000 $86K 0.01% DBT
3390 MARVELL TECHNOLOGY INC 573874AQ7 Feb 2026 80,000 $86K 0.01% DBT
3391 UNITEDHEALTH GROUP INC 91324PEX6 Feb 2026 95,000 $86K 0.01% DBT
3392 WESTERN MIDSTREAM OPERAT 958667AJ6 Feb 2026 85,000 $86K 0.01% DBT
3393 AFLAC INC 001055BJ0 Feb 2026 87,000 $86K 0.01% DBT
3394 INTEL CORP 458140BX7 Feb 2026 148,000 $86K 0.01% DBT
3395 CENCORA INC 03073EBD6 Feb 2026 85,000 $86K 0.01% DBT
3396 ONCOR ELECTRIC DELIVERY 68233JCH5 Feb 2026 100,000 $85K 0.01% DBT
3397 TOTALENERGIES CAP INTL 89153VAQ2 Feb 2026 86,000 $85K 0.01% DBT
3398 CSX CORP 126408GX5 Feb 2026 94,000 $85K 0.01% DBT
3399 GLAXOSMITHKLINE CAP INC 377372AJ6 Feb 2026 95,000 $85K 0.01% DBT
3400 HYATT HOTELS CORP 448579AJ1 Feb 2026 81,000 $85K 0.01% DBT
3401 FISERV INC 337738BQ0 Feb 2026 85,000 $85K 0.01% DBT
3402 NUTRIEN LTD 67077MAR9 Feb 2026 92,000 $85K 0.01% DBT
3403 BALTIMORE GAS & ELECTRIC 059165EQ9 Feb 2026 87,000 $85K 0.01% DBT
3404 METLIFE INC 59156RCD8 Feb 2026 90,000 $85K 0.01% DBT
3405 LABORATORY CORP OF AMER 50540RAU6 Feb 2026 85,000 $85K 0.01% DBT
3406 SHERWIN-WILLIAMS CO 824348AW6 Feb 2026 85,000 $85K 0.01% DBT
3407 CENTERPOINT ENER HOUSTON 15189XAT5 Feb 2026 100,000 $85K 0.01% DBT
3408 LAS VEGAS SANDS CORP 517834AL1 Feb 2026 80,000 $84K 0.01% DBT
3409 ENTERPRISE PRODUCTS OPER 29379VCB7 Feb 2026 124,000 $84K 0.01% DBT
3410 PACIFIC GAS & ELECTRIC 694308JU2 Feb 2026 100,000 $84K 0.01% DBT
3411 NEXTERA ENERGY CAPITAL 65339KDK3 Feb 2026 80,000 $84K 0.01% DBT
3412 IBM CORP 459200KV2 Feb 2026 95,000 $84K 0.01% DBT
3413 ANHEUSER-BUSCH INBEV WOR 03523TBY3 Feb 2026 80,000 $83K 0.01% DBT
3414 PHILLIPS 66 718546BA1 Feb 2026 124,000 $83K 0.01% DBT
3415 PLAINS ALL AMER PIPELINE 72650RBA9 Feb 2026 89,000 $83K 0.01% DBT
3416 GATX CORP 361448BA0 Feb 2026 84,000 $83K 0.01% DBT
3417 NEXTERA ENERGY CAPITAL 65339KCU2 Feb 2026 80,000 $83K 0.01% DBT
3418 ARCHER-DANIELS-MIDLAND C 039483BE1 Feb 2026 89,000 $82K 0.01% DBT
3419 REVVITY INC 714046AG4 Feb 2026 85,000 $82K 0.01% DBT
3420 PROLOGIS LP 74340XBM2 Feb 2026 88,000 $82K 0.01% DBT
3421 ENTERPRISE PRODUCTS OPER 29379VBY8 Feb 2026 110,000 $82K 0.01% DBT
3422 COCA-COLA CO/THE 191216CW8 Feb 2026 108,000 $82K 0.01% DBT
3423 HIGHWOODS REALTY LP 431282AS1 Feb 2026 87,000 $82K 0.01% DBT
3424 CONCENTRIX CORP 20602DAC5 Feb 2026 85,000 $82K 0.01% DBT
3425 MYLAN INC 628530BJ5 Feb 2026 99,000 $82K 0.01% DBT
3426 PRUDENTIAL FINANCIAL INC 74432QCD5 Feb 2026 97,000 $82K 0.01% DBT
3427 CHUBB INA HOLDINGS LLC 171239AH9 Feb 2026 126,000 $82K 0.01% DBT
3428 IBM CORP 459200KZ3 Feb 2026 90,000 $82K 0.01% DBT
3429 JEFFERIES FIN GROUP INC 472319AM4 Feb 2026 80,000 $81K 0.01% DBT
3430 NEXTERA ENERGY CAPITAL 65339KDG2 Feb 2026 80,000 $81K 0.01% DBT
3431 HOME DEPOT INC 437076CG5 Feb 2026 140,000 $81K 0.01% DBT
3432 MARRIOTT INTERNATIONAL 571903BB8 Feb 2026 80,000 $81K 0.01% DBT
3433 MOODY'S CORPORATION 615369AM7 Feb 2026 82,000 $81K 0.01% DBT
3434 PHILLIPS 66 CO 718547BA9 Feb 2026 80,000 $81K 0.01% DBT
3435 ESTEE LAUDER CO INC 29736RAG5 Feb 2026 94,000 $81K 0.01% DBT
3436 MARATHON PETROLEUM CORP 56585ABE1 Feb 2026 98,000 $81K 0.01% DBT
3437 SHERWIN-WILLIAMS CO 824348BK1 Feb 2026 106,000 $81K 0.01% DBT
3438 ECOLAB INC 278865BM1 Feb 2026 90,000 $81K 0.01% DBT
3439 HSBC HOLDINGS PLC 404280DN6 Feb 2026 72,000 $81K 0.01% DBT
3440 AGILENT TECHNOLOGIES INC 00846UAR2 Feb 2026 80,000 $81K 0.01% DBT
3441 MARTIN MARIETTA MATERIAL 573284AQ9 Feb 2026 81,000 $81K 0.01% DBT
3442 NORTHROP GRUMMAN CORP 666807BP6 Feb 2026 98,000 $81K 0.01% DBT
3443 ARCHER-DANIELS-MIDLAND C 039483BM3 Feb 2026 100,000 $80K 0.01% DBT
3444 INTERCONTINENTALEXCHANGE 45866FAP9 Feb 2026 107,000 $80K 0.01% DBT
3445 ARTHUR J GALLAGHER & CO 363576AB5 Feb 2026 115,000 $80K 0.01% DBT
3446 WORKDAY INC 98138HAG6 Feb 2026 80,000 $80K 0.01% DBT
3447 MARVELL TECHNOLOGY INC 573874AJ3 Feb 2026 85,000 $79K 0.01% DBT
3448 BORGWARNER INC 099724AH9 Feb 2026 93,000 $79K 0.01% DBT
3449 WESTLAKE CORP 960413BA9 Feb 2026 130,000 $79K 0.01% DBT
3450 KIMCO REALTY OP LLC 49446RAV1 Feb 2026 103,000 $79K 0.01% DBT
3451 WESTERN MIDSTREAM OPERAT 958254AD6 Feb 2026 85,000 $78K 0.01% DBT
3452 ORIX CORP 686329AB9 Feb 2026 75,000 $78K 0.01% DBT
3453 PUBLIC SERVICE ELECTRIC 74456QCQ7 Feb 2026 75,000 $78K 0.01% DBT
3454 PARAMOUNT GLOBAL 124857AJ2 Feb 2026 115,000 $78K 0.01% DBT
3455 RIO TINTO FIN USA PLC 76720AAV8 Feb 2026 75,000 $78K 0.01% DBT
3456 CONSTELLATION BRANDS INC 21036PBE7 Feb 2026 80,000 $78K 0.01% DBT
3457 HP INC 40434LAR6 Feb 2026 75,000 $78K 0.01% DBT
3458 QUANTA SERVICES INC 74762EAL6 Feb 2026 75,000 $78K 0.01% DBT
3459 LINCOLN NATIONAL CORP 534187BA6 Feb 2026 73,000 $78K 0.01% DBT
3460 UNITED UTILITIES PLC 91311QAC9 Feb 2026 73,000 $78K 0.01% DBT
3461 AMGEN INC 031162DK3 Feb 2026 87,000 $78K 0.01% DBT
3462 KENVUE INC 49177JAS1 Feb 2026 75,000 $78K 0.01% DBT
3463 SOUTHERN CAL EDISON 842400FL2 Feb 2026 74,000 $77K 0.01% DBT
3464 INVITATION HOMES OP 46188BAC6 Feb 2026 90,000 $77K 0.01% DBT
3465 SHERWIN-WILLIAMS CO 824348BW5 Feb 2026 75,000 $77K 0.01% DBT
3466 AMERICAN EXPRESS CO 025816CX5 Feb 2026 75,000 $77K 0.01% DBT
3467 MITSUBISHI UFJ FIN GRP 606822AR5 Feb 2026 77,000 $77K 0.01% DBT
3468 CHEVRON USA INC 166756AU0 Feb 2026 75,000 $76K 0.01% DBT
3469 SOUTHERN CAL EDISON 842400GJ6 Feb 2026 77,000 $76K 0.01% DBT
3470 JOHN DEERE CAPITAL CORP 24422EYF0 Feb 2026 75,000 $76K 0.01% DBT
3471 AMERICAN INTERNATIONAL 026874DL8 Feb 2026 85,000 $76K 0.01% DBT
3472 ESTEE LAUDER CO INC 29736RAC4 Feb 2026 69,000 $76K 0.01% DBT
3473 VALERO ENERGY CORP 91913YAT7 Feb 2026 83,000 $76K 0.01% DBT
3474 KROGER CO 501044CN9 Feb 2026 75,000 $76K 0.01% DBT
3475 WELLTOWER OP LLC 95040QAK0 Feb 2026 77,000 $76K 0.01% DBT
3476 ELEVANCE HEALTH INC 036752BA0 Feb 2026 78,000 $76K 0.01% DBT
3477 CANADIAN NATL RAILWAY 136375DW9 Feb 2026 75,000 $76K 0.01% DBT
3478 APTARGROUP INC 038336AB9 Feb 2026 75,000 $76K 0.01% DBT
3479 NXP BV/NXP FDG/NXP USA 62954HBG2 Feb 2026 75,000 $76K 0.01% DBT
3480 ELEVANCE HEALTH INC 036752AU7 Feb 2026 91,000 $76K 0.01% DBT
3481 ENBRIDGE INC 29250NCH6 Feb 2026 75,000 $76K 0.01% DBT
3482 KIMCO REALTY OP LLC 49446RAS8 Feb 2026 76,000 $76K 0.01% DBT
3483 VERIZON COMMUNICATIONS 92343VHC1 Feb 2026 74,000 $76K 0.01% DBT
3484 PUB SVC NEW HAMP 744538AH2 Feb 2026 75,000 $76K 0.01% DBT
3485 UNITEDHEALTH GROUP INC 91324PFD9 Feb 2026 80,000 $76K 0.01% DBT
3486 QUANTA SERVICES INC 74762EAK8 Feb 2026 75,000 $76K 0.01% DBT
3487 MARSH & MCLENNAN COS INC 571748CF7 Feb 2026 75,000 $76K 0.01% DBT
3488 INTERCONTINENTALEXCHANGE 45865VAC4 Feb 2026 75,000 $75K 0.01% DBT
3489 CANADIAN NATL RAILWAY 136375DV1 Feb 2026 75,000 $75K 0.01% DBT
3490 CORNING INC 219350BQ7 Feb 2026 80,000 $75K 0.01% DBT
3491 PROCTER & GAMBLE CO/THE 742718GP8 Feb 2026 75,000 $75K 0.01% DBT
3492 FERGUSON ENTERPRISES INC 31488VAB3 Feb 2026 75,000 $75K 0.01% DBT
3493 AON CORP 037389BB8 Feb 2026 74,000 $75K 0.01% DBT
3494 VULCAN MATERIALS CO 929160AT6 Feb 2026 75,000 $75K 0.01% DBT
3495 EDISON INTERNATIONAL 281020BD8 Feb 2026 75,000 $75K 0.01% DBT
3496 CNH INDUSTRIAL CAP LLC 12592BAW4 Feb 2026 75,000 $75K 0.01% DBT
3497 UDR INC 90265EAR1 Feb 2026 80,000 $75K 0.01% DBT
3498 DOW CHEMICAL CO/THE 260543DN0 Feb 2026 75,000 $75K 0.01% DBT
3499 HP INC 40434LAS4 Feb 2026 70,000 $75K 0.01% DBT
3500 NORFOLK SOUTHERN CORP 655844CB2 Feb 2026 85,000 $75K 0.01% DBT
3501 PROCTER & GAMBLE CO/THE 742718GQ6 Feb 2026 75,000 $75K 0.01% DBT
3502 UNUM GROUP 91529YAP1 Feb 2026 95,000 $75K 0.01% DBT
3503 KENVUE INC 49177JAP7 Feb 2026 80,000 $75K 0.01% DBT
3504 DOW CHEMICAL CO/THE 260543DL4 Feb 2026 75,000 $75K 0.01% DBT
3505 MARTIN MARIETTA MATERIAL 573284AT3 Feb 2026 75,000 $75K 0.01% DBT
3506 UNUM GROUP 91529YAJ5 Feb 2026 75,000 $74K 0.01% DBT
3507 DCP MIDSTREAM OPERATING 23311VAF4 Feb 2026 75,000 $74K 0.01% DBT
3508 ONEOK INC 682680BK8 Feb 2026 70,000 $74K 0.01% DBT
3509 AVALONBAY COMMUNITIES 05348EAZ2 Feb 2026 91,000 $74K 0.01% DBT
3510 SELECTIVE INSURANCE GROU 816300AJ6 Feb 2026 70,000 $74K 0.01% DBT
3511 PEPSICO INC 713448FG8 Feb 2026 115,000 $74K 0.01% DBT
3512 DEERE & COMPANY 244199BD6 Feb 2026 70,000 $74K 0.01% DBT
3513 ENERGY TRANSFER LP 86765BAV1 Feb 2026 80,000 $74K 0.01% DBT
3514 BANK OF NY MELLON CORP 06406YAB8 Feb 2026 70,000 $74K 0.01% DBT
3515 PEPSICO INC 713448EV6 Feb 2026 95,000 $74K 0.01% DBT
3516 AETNA INC 00817YAM0 Feb 2026 91,000 $73K 0.01% DBT
3517 AUTOZONE INC 053332AW2 Feb 2026 74,000 $73K 0.01% DBT
3518 CONOCOPHILLIPS 20825CBC7 Feb 2026 80,000 $73K 0.01% DBT
3519 BRISTOL-MYERS SQUIBB CO 110122DH8 Feb 2026 80,000 $73K 0.01% DBT
3520 NOMURA HOLDINGS INC 65535HBC2 Feb 2026 70,000 $73K 0.01% DBT
3521 HONEYWELL INTERNATIONAL 438516CR5 Feb 2026 70,000 $73K 0.01% DBT
3522 ONEOK INC 682680BF9 Feb 2026 65,000 $73K 0.01% DBT
3523 NEXTERA ENERGY CAPITAL 65339KDL1 Feb 2026 70,000 $73K 0.01% DBT
3524 CATERPILLAR INC 149123CJ8 Feb 2026 100,000 $73K 0.01% DBT
3525 DOC DR LLC 71951QAC6 Feb 2026 80,000 $73K 0.01% DBT
3526 AMGEN INC 031162CW8 Feb 2026 79,000 $73K 0.01% DBT
3527 LINCOLN NATIONAL CORP 534187AW9 Feb 2026 70,000 $73K 0.01% DBT
3528 PAYPAL HOLDINGS INC 70450YAM5 Feb 2026 81,000 $73K 0.01% DBT
3529 COMCAST CORP 20030NDH1 Feb 2026 86,000 $72K 0.01% DBT
3530 WESTERN MIDSTREAM OPERAT 958254AL8 Feb 2026 80,000 $72K 0.01% DBT
3531 PARAMOUNT GLOBAL 92556HAD9 Feb 2026 82,000 $72K 0.01% DBT
3532 ERP OPERATING LP 26884ABL6 Feb 2026 74,000 $72K 0.01% DBT
3533 SABRA HEALTH CARE LP 78572XAG6 Feb 2026 73,000 $72K 0.01% DBT
3534 CONOCOPHILLIPS COMPANY 20826FAV8 Feb 2026 95,000 $72K 0.01% DBT
3535 DEVON ENERGY CORPORATION 251799AA0 Feb 2026 61,000 $72K 0.01% DBT
3536 CISCO SYSTEMS INC 17275RBV3 Feb 2026 75,000 $72K 0.01% DBT
3537 AVALONBAY COMMUNITIES 05348EBB4 Feb 2026 85,000 $72K 0.01% DBT
3538 S&P GLOBAL INC 78409VBM5 Feb 2026 95,000 $72K 0.01% DBT
3539 VALERO ENERGY CORP 91913YAV2 Feb 2026 71,000 $72K 0.01% DBT
3540 PARKER-HANNIFIN CORP 701094AN4 Feb 2026 73,000 $72K 0.01% DBT
3541 PROLOGIS LP 74340XBQ3 Feb 2026 130,000 $71K 0.01% DBT
3542 UNITEDHEALTH GROUP INC 91324PDT6 Feb 2026 85,000 $71K 0.01% DBT
3543 PROGRESSIVE CORP 743315AQ6 Feb 2026 90,000 $71K 0.01% DBT
3544 HIGHWOODS REALTY LP 431282AR3 Feb 2026 72,000 $71K 0.01% DBT
3545 PARAMOUNT GLOBAL 124857AN3 Feb 2026 113,000 $71K 0.01% DBT
3546 DCP MIDSTREAM OPERATING 26439XAC7 Feb 2026 61,000 $71K 0.01% DBT
3547 ELEVANCE HEALTH INC 036752AP8 Feb 2026 77,000 $71K 0.01% DBT
3548 SHELL INTERNATIONAL FIN 822582BQ4 Feb 2026 85,000 $71K 0.01% DBT
3549 BANKUNITED INC 06652KAB9 Feb 2026 70,000 $71K 0.01% DBT
3550 JUNIPER NETWORKS INC 48203RAM6 Feb 2026 72,000 $71K 0.01% DBT
3551 CHEVRON USA INC 166756AH9 Feb 2026 118,000 $71K 0.01% DBT
3552 GENERAL MOTORS FINL CO 37045XFM3 Feb 2026 70,000 $71K 0.01% DBT
3553 PARAMOUNT GLOBAL 92553PAW2 Feb 2026 104,000 $71K 0.01% DBT
3554 BROADCOM INC 11135FCZ2 Feb 2026 70,000 $71K 0.01% DBT
3555 SPIRE INC 84857LAF8 Feb 2026 70,000 $71K 0.01% DBT
3556 CNH INDUSTRIAL CAP LLC 12592BAT1 Feb 2026 70,000 $70K 0.01% DBT
3557 TARGA RESOURCES CORP 87612GAC5 Feb 2026 65,000 $70K 0.01% DBT
3558 TELEDYNE FLIR LLC 302445AE1 Feb 2026 75,000 $70K 0.01% DBT
3559 INTERCONTINENTALEXCHANGE 45865VAA8 Feb 2026 70,000 $70K 0.00% DBT
3560 DOC DR LLC 71951QAA0 Feb 2026 70,000 $70K 0.00% DBT
3561 PARKER-HANNIFIN CORP 70109HAM7 Feb 2026 71,000 $70K 0.00% DBT
3562 PUBLIC SERVICE ELECTRIC 74456QBX3 Feb 2026 70,000 $70K 0.00% DBT
3563 TELEFONICA EMISIONES SAU 87938WAV5 Feb 2026 75,000 $70K 0.00% DBT
3564 PPG INDUSTRIES INC 693506BR7 Feb 2026 72,000 $70K 0.00% DBT
3565 STARBUCKS CORP 855244AP4 Feb 2026 70,000 $70K 0.00% DBT
3566 NUTRIEN LTD 67077MAQ1 Feb 2026 65,000 $70K 0.00% DBT
3567 INTERNATIONAL PAPER CO 460146CN1 Feb 2026 75,000 $69K 0.00% DBT
3568 ING GROEP NV 456837BC6 Feb 2026 70,000 $69K 0.00% DBT
3569 ROCKWELL AUTOMATION 773903AH2 Feb 2026 70,000 $69K 0.00% DBT
3570 FORTIVE CORPORATION 34959JAH1 Feb 2026 82,000 $69K 0.00% DBT
3571 SOUTHERN CAL EDISON 842400GU1 Feb 2026 75,000 $69K 0.00% DBT
3572 MOTOROLA SOLUTIONS INC 620076BT5 Feb 2026 75,000 $69K 0.00% DBT
3573 ESTEE LAUDER CO INC 29736RAP5 Feb 2026 73,000 $69K 0.00% DBT
3574 DEUTSCHE BANK NY 25160PAE7 Feb 2026 66,000 $69K 0.00% DBT
3575 ALIBABA GROUP HOLDING 01609WAY8 Feb 2026 90,000 $68K 0.00% DBT
3576 RAYMOND JAMES FINANCIAL 754730AK5 Feb 2026 70,000 $68K 0.00% DBT
3577 CAPITAL ONE FINANCIAL CO 14040HCN3 Feb 2026 70,000 $68K 0.00% DBT
3578 NUTRIEN LTD 67077MAG3 Feb 2026 67,000 $68K 0.00% DBT
3579 CHARTER COMM OPT LLC/CAP 161175BU7 Feb 2026 75,000 $68K 0.00% DBT
3580 MASTERCARD INC 57636QAM6 Feb 2026 70,000 $68K 0.00% DBT
3581 CAMPBELLS COMPANY/THE 134429BR9 Feb 2026 75,000 $68K 0.00% DBT
3582 KIMCO REALTY OP LLC 49446RAT6 Feb 2026 78,000 $68K 0.00% DBT
3583 SOUTHWEST GAS CORP 845011AD7 Feb 2026 100,000 $68K 0.00% DBT
3584 NXP BV/NXP FDG/NXP USA 62954HAL2 Feb 2026 91,000 $68K 0.00% DBT
3585 WASHINGTON GAS LIGHT CO 93884PDW7 Feb 2026 85,000 $68K 0.00% DBT
3586 EXELON CORP 30161NBR1 Feb 2026 65,000 $68K 0.00% DBT
3587 VALERO ENERGY CORP 91913YBE9 Feb 2026 89,000 $67K 0.00% DBT
3588 ORIX CORP 686330AN1 Feb 2026 74,000 $67K 0.00% DBT
3589 PARAMOUNT GLOBAL 925524AH3 Feb 2026 64,000 $67K 0.00% DBT
3590 TYSON FOODS INC 902494AY9 Feb 2026 70,000 $67K 0.00% DBT
3591 ROYALTY PHARMA PLC 78081BAR4 Feb 2026 65,000 $67K 0.00% DBT
3592 ARTHUR J GALLAGHER & CO 04316JAA7 Feb 2026 75,000 $67K 0.00% DBT
3593 SYSCO CORPORATION 871829BD8 Feb 2026 77,000 $67K 0.00% DBT
3594 CSX CORP 126408HL0 Feb 2026 80,000 $67K 0.00% DBT
3595 COSTCO WHOLESALE CORP 22160KAP0 Feb 2026 73,000 $67K 0.00% DBT
3596 PECO ENERGY CO 693304BC0 Feb 2026 105,000 $67K 0.00% DBT
3597 NORTHROP GRUMMAN CORP 666807BT8 Feb 2026 66,000 $67K 0.00% DBT
3598 EDISON INTERNATIONAL 281020BA4 Feb 2026 65,000 $67K 0.00% DBT
3599 DOW CHEMICAL CO/THE 260543DH3 Feb 2026 65,000 $67K 0.00% DBT
3600 TARGA RESOURCES CORP 87612KAC6 Feb 2026 65,000 $67K 0.00% DBT
3601 ELI LILLY & CO 532457BV9 Feb 2026 67,000 $66K 0.00% DBT
3602 PRUDENTIAL FINANCIAL INC 74432QCJ2 Feb 2026 85,000 $66K 0.00% DBT
3603 TOTALENERGIES CAPITAL SA 89157XAD3 Feb 2026 65,000 $66K 0.00% DBT
3604 NATIONAL FUEL GAS CO 636180BP5 Feb 2026 65,000 $66K 0.00% DBT
3605 APPLE INC 037833DG2 Feb 2026 82,000 $66K 0.00% DBT
3606 AVALONBAY COMMUNITIES 05348EBF5 Feb 2026 67,000 $66K 0.00% DBT
3607 JOHNSON & JOHNSON 478160AL8 Feb 2026 62,000 $66K 0.00% DBT
3608 BROADCOM INC 11135FCD1 Feb 2026 65,000 $66K 0.00% DBT
3609 ELI LILLY & CO 532457CZ9 Feb 2026 65,000 $66K 0.00% DBT
3610 TYSON FOODS INC 902494BK8 Feb 2026 65,000 $66K 0.00% DBT
3611 BANK OF NY MELLON CORP 06406RCH8 Feb 2026 65,000 $65K 0.00% DBT
3612 PROGRESSIVE CORP 743315AV5 Feb 2026 65,000 $65K 0.00% DBT
3613 SOUTHERN CAL EDISON 842400HF3 Feb 2026 93,000 $65K 0.00% DBT
3614 VALMONT INDUSTRIES INC 920253AF8 Feb 2026 70,000 $65K 0.00% DBT
3615 CONSTELLATION EN GEN LLC 30161MAN3 Feb 2026 64,000 $65K 0.00% DBT
3616 NBCUNIVERSAL MEDIA LLC 63946BAJ9 Feb 2026 75,000 $65K 0.00% DBT
3617 CABOT CORP 127055AL5 Feb 2026 65,000 $65K 0.00% DBT
3618 TARGA RESOURCES CORP 87612GAU5 Feb 2026 65,000 $65K 0.00% DBT
3619 MARATHON PETROLEUM CORP 56585AAJ1 Feb 2026 75,000 $65K 0.00% DBT
3620 KINDER MORGAN INC 49456BAT8 Feb 2026 90,000 $65K 0.00% DBT
3621 ALEXANDRIA REAL ESTATE E 015271AZ2 Feb 2026 90,000 $65K 0.00% DBT
3622 JACKSON FINANCIAL INC 46817MAN7 Feb 2026 95,000 $65K 0.00% DBT
3623 TRUIST FINANCIAL CORP 89788MAQ5 Feb 2026 60,000 $65K 0.00% DBT
3624 ATMOS ENERGY CORP 049560BB0 Feb 2026 70,000 $64K 0.00% DBT
3625 CHARLES SCHWAB CORP 808513CE3 Feb 2026 60,000 $64K 0.00% DBT
3626 INTERCONTINENTALEXCHANGE 45866FAF1 Feb 2026 65,000 $64K 0.00% DBT
3627 COMCAST CORP 20030NBH3 Feb 2026 65,000 $64K 0.00% DBT
3628 CANADIAN NATL RAILWAY 136375BD3 Feb 2026 60,000 $64K 0.00% DBT
3629 OTIS WORLDWIDE CORP 68902VAM9 Feb 2026 89,000 $64K 0.00% DBT
3630 ONCOR ELECTRIC DELIVERY 68233JAT1 Feb 2026 70,000 $64K 0.00% DBT
3631 MASTERCARD INC 57636QAP9 Feb 2026 65,000 $64K 0.00% DBT
3632 EATON CORP 278062AJ3 Feb 2026 70,000 $64K 0.00% DBT
3633 SUN COMMUNITIES OPER LP 866677AH0 Feb 2026 65,000 $64K 0.00% DBT
3634 CITIZENS FINANCIAL GROUP 174610BE4 Feb 2026 62,000 $64K 0.00% DBT
3635 PARKER-HANNIFIN CORP 70109HAN5 Feb 2026 71,000 $64K 0.00% DBT
3636 CENTERPOINT ENER HOUSTON 15189XAR9 Feb 2026 64,000 $64K 0.00% DBT
3637 BANCO SANTANDER SA 05971KAC3 Feb 2026 65,000 $63K 0.00% DBT
3638 PECO ENERGY CO 693304BA4 Feb 2026 95,000 $63K 0.00% DBT
3639 AMERICAN FINANCIAL GROUP 025932AL8 Feb 2026 74,000 $63K 0.00% DBT
3640 RYDER SYSTEM INC 78355HKU2 Feb 2026 63,000 $63K 0.00% DBT
3641 NEXTERA ENERGY CAPITAL 65339KCV0 Feb 2026 65,000 $63K 0.00% DBT
3642 PROCTER & GAMBLE CO/THE 742718FH7 Feb 2026 65,000 $63K 0.00% DBT
3643 ONEOK INC 682680BY8 Feb 2026 80,000 $63K 0.00% DBT
3644 COMMONWEALTH EDISON CO 202795JZ4 Feb 2026 60,000 $63K 0.00% DBT
3645 REGENCY CENTERS LP 75884RAV5 Feb 2026 63,000 $63K 0.00% DBT
3646 KINDER MORGAN ENER PART 28370TAF6 Feb 2026 69,000 $63K 0.00% DBT
3647 NORFOLK SOUTHERN CORP 655844CN6 Feb 2026 85,000 $63K 0.00% DBT
3648 ATMOS ENERGY CORP 049560BC8 Feb 2026 60,000 $63K 0.00% DBT
3649 METLIFE INC 59156RCQ9 Feb 2026 60,000 $62K 0.00% DBT
3650 ONCOR ELECTRIC DELIVERY 68233JBX1 Feb 2026 65,000 $62K 0.00% DBT
3651 BIOGEN INC 09062XAN3 Feb 2026 60,000 $62K 0.00% DBT
3652 COMCAST CORP 20030NCJ8 Feb 2026 70,000 $62K 0.00% DBT
3653 SUMITOMO MITSUI FINL GRP 86562MEA4 Feb 2026 60,000 $62K 0.00% DBT
3654 REINSURANCE GRP OF AMER 759351AT6 Feb 2026 60,000 $62K 0.00% DBT
3655 ELI LILLY & CO 532457CH9 Feb 2026 68,000 $62K 0.00% DBT
3656 COPT DEFENSE PROP LP 22003BAP1 Feb 2026 71,000 $62K 0.00% DBT
3657 RTX CORP 75513ECX7 Feb 2026 55,000 $61K 0.00% DBT
3658 PIEDMONT NATURAL GAS CO 720186AR6 Feb 2026 60,000 $61K 0.00% DBT
3659 DXC TECHNOLOGY CO 23355LAM8 Feb 2026 65,000 $61K 0.00% DBT
3660 ONCOR ELECTRIC DELIVERY 68233JAF1 Feb 2026 50,000 $61K 0.00% DBT
3661 KROGER CO 501044DL2 Feb 2026 60,000 $61K 0.00% DBT
3662 ORIX CORP 686330AJ0 Feb 2026 61,000 $61K 0.00% DBT
3663 DOLLAR TREE INC 256746AK4 Feb 2026 90,000 $61K 0.00% DBT
3664 BROADCOM INC 11135FDB4 Feb 2026 60,000 $61K 0.00% DBT
3665 WILLIAMS COMPANIES INC 969457CA6 Feb 2026 65,000 $61K 0.00% DBT
3666 CHOICE HOTELS INTL INC 169905AF3 Feb 2026 62,000 $61K 0.00% DBT
3667 ATHENE HOLDING LTD 04686JAE1 Feb 2026 99,000 $61K 0.00% DBT
3668 RPM INTERNATIONAL INC 749685AU7 Feb 2026 62,000 $60K 0.00% DBT
3669 BROWN & BROWN INC 115236AB7 Feb 2026 60,000 $60K 0.00% DBT
3670 S&P GLOBAL INC 78409VBR4 Feb 2026 60,000 $60K 0.00% DBT
3671 SHERWIN-WILLIAMS CO 824348BJ4 Feb 2026 62,000 $60K 0.00% DBT
3672 BURLINGTN NORTH SANTA FE 12189LAA9 Feb 2026 56,000 $60K 0.00% DBT
3673 RTX CORP 75513ECV1 Feb 2026 55,000 $60K 0.00% DBT
3674 ONEOK INC 682680BC6 Feb 2026 72,000 $60K 0.00% DBT
3675 UNUM GROUP 91529YAN6 Feb 2026 60,000 $60K 0.00% DBT
3676 CINCINNATI FINL CORP 172062AE1 Feb 2026 55,000 $59K 0.00% DBT
3677 SHERWIN-WILLIAMS CO 824348BM7 Feb 2026 85,000 $59K 0.00% DBT
3678 EXXON MOBIL CORPORATION 30231GBK7 Feb 2026 60,000 $59K 0.00% DBT
3679 WASTE MANAGEMENT INC 94106LCF4 Feb 2026 60,000 $59K 0.00% DBT
3680 MIZUHO FINANCIAL GROUP 60687YBU2 Feb 2026 65,000 $59K 0.00% DBT
3681 WRKCO INC 92940PAF1 Feb 2026 60,000 $59K 0.00% DBT
3682 EOG RESOURCES INC 26875PAN1 Feb 2026 62,000 $59K 0.00% DBT
3683 CVS HEALTH CORP 126650DG2 Feb 2026 60,000 $58K 0.00% DBT
3684 WALT DISNEY COMPANY/THE 254687DV5 Feb 2026 51,000 $58K 0.00% DBT
3685 MITSUBISHI UFJ FIN GRP 606822DC5 Feb 2026 55,000 $58K 0.00% DBT
3686 HUMANA INC 444859CC4 Feb 2026 60,000 $58K 0.00% DBT
3687 T-MOBILE USA INC 87264ABS3 Feb 2026 60,000 $58K 0.00% DBT
3688 FORD MOTOR CREDIT CO LLC 345397G56 Feb 2026 55,000 $58K 0.00% DBT
3689 KEYSIGHT TECHNOLOGIES 49338LAH6 Feb 2026 55,000 $58K 0.00% DBT
3690 BANCO SANTANDER SA 05964HAZ8 Feb 2026 50,000 $58K 0.00% DBT
3691 BELL CANADA 0778FPAA7 Feb 2026 68,000 $58K 0.00% DBT
3692 NVENT FINANCE SARL 67078AAD5 Feb 2026 57,000 $57K 0.00% DBT
3693 ARCH CAPITAL GROUP LTD 03937LAA3 Feb 2026 49,000 $57K 0.00% DBT
3694 AEP TEXAS INC 00108WAS9 Feb 2026 55,000 $57K 0.00% DBT
3695 NIKE INC 654106AG8 Feb 2026 76,000 $57K 0.00% DBT
3696 BROWN-FORMAN CORP 115637AP5 Feb 2026 64,000 $57K 0.00% DBT
3697 DOLLAR GENERAL CORP 256677AH8 Feb 2026 72,000 $57K 0.00% DBT
3698 STARBUCKS CORP 855244AW9 Feb 2026 61,000 $57K 0.00% DBT
3699 PUBLIC SERVICE ENTERPRIS 744573AY2 Feb 2026 55,000 $57K 0.00% DBT
3700 OTIS WORLDWIDE CORP 68902VAP2 Feb 2026 55,000 $57K 0.00% DBT
3701 NIKE INC 654106AK9 Feb 2026 59,000 $57K 0.00% DBT
3702 TOYOTA MOTOR CREDIT CORP 89236TGY5 Feb 2026 58,000 $57K 0.00% DBT
3703 PUBLIC SERVICE ENTERPRIS 744573BA3 Feb 2026 55,000 $57K 0.00% DBT
3704 VERIZON COMMUNICATIONS 92343VER1 Feb 2026 56,000 $57K 0.00% DBT
3705 LINCOLN NATIONAL CORP 534187BK4 Feb 2026 60,000 $56K 0.00% DBT
3706 RTX CORP 75513ECK5 Feb 2026 65,000 $56K 0.00% DBT
3707 MORGAN STANLEY 61747YEU5 Feb 2026 55,000 $56K 0.00% DBT
3708 CANADIAN PACIFIC RAILWAY 13645RAF1 Feb 2026 51,000 $56K 0.00% DBT
3709 PPG INDUSTRIES INC 693506BP1 Feb 2026 56,000 $56K 0.00% DBT
3710 TYCO ELECTRONICS GROUP S 902133BF3 Feb 2026 55,000 $56K 0.00% DBT
3711 EATON CORP 278062AG9 Feb 2026 56,000 $56K 0.00% DBT
3712 FORD MOTOR COMPANY 345370CS7 Feb 2026 65,000 $55K 0.00% DBT
3713 TRUIST BANK 89788KAA4 Feb 2026 60,000 $55K 0.00% DBT
3714 COMMONWEALTH EDISON CO 202795JK7 Feb 2026 56,000 $55K 0.00% DBT
3715 NOVARTIS CAPITAL CORP 66989HAY4 Feb 2026 55,000 $55K 0.00% DBT
3716 HSBC HOLDINGS PLC 404280DW6 Feb 2026 50,000 $55K 0.00% DBT
3717 NNN REIT INC 637417AP1 Feb 2026 83,000 $55K 0.00% DBT
3718 BROADCOM INC 11135FCW9 Feb 2026 55,000 $55K 0.00% DBT
3719 CENCORA INC 03073EBB0 Feb 2026 55,000 $55K 0.00% DBT
3720 AON CORP 037389AU7 Feb 2026 50,000 $55K 0.00% DBT
3721 ALEXANDRIA REAL ESTATE E 015271AT6 Feb 2026 58,000 $55K 0.00% DBT
3722 AT&T INC 00206RDH2 Feb 2026 57,000 $55K 0.00% DBT
3723 CHENIERE ENERGY PARTNERS 16411QAK7 Feb 2026 56,000 $55K 0.00% DBT
3724 AXIS SPECIALTY FINAN PLC 05464HAC4 Feb 2026 55,000 $55K 0.00% DBT
3725 ESSEX PORTFOLIO LP 29717PAT4 Feb 2026 55,000 $55K 0.00% DBT
3726 FISERV INC 337738BP2 Feb 2026 55,000 $55K 0.00% DBT
3727 FOX CORP 35137LAN5 Feb 2026 50,000 $55K 0.00% DBT
3728 UDR INC 90265EAV2 Feb 2026 65,000 $55K 0.00% DBT
3729 PARAMOUNT GLOBAL 124857AF0 Feb 2026 67,000 $55K 0.00% DBT
3730 SHERWIN-WILLIAMS CO 824348AQ9 Feb 2026 65,000 $55K 0.00% DBT
3731 CHURCH & DWIGHT CO INC 171340AN2 Feb 2026 55,000 $55K 0.00% DBT
3732 COMMONWEALTH EDISON CO 202795JB7 Feb 2026 60,000 $55K 0.00% DBT
3733 MITSUBISHI UFJ FIN GRP 606822CB8 Feb 2026 60,000 $55K 0.00% DBT
3734 NNN REIT INC 637417AQ9 Feb 2026 75,000 $54K 0.00% DBT
3735 QORVO INC 74736KAH4 Feb 2026 55,000 $54K 0.00% DBT
3736 MPLX LP 55336VBZ2 Feb 2026 55,000 $54K 0.00% DBT
3737 AT&T INC 00206RCG5 Feb 2026 60,000 $54K 0.00% DBT
3738 CONAGRA BRANDS INC 205887AR3 Feb 2026 50,000 $53K 0.00% DBT
3739 REINSURANCE GRP OF AMER 759351AR0 Feb 2026 50,000 $53K 0.00% DBT
3740 PARKER-HANNIFIN CORP 701094AL8 Feb 2026 63,000 $53K 0.00% DBT
3741 LOWE'S COS INC 548661DV6 Feb 2026 54,000 $53K 0.00% DBT
3742 CSX CORP 126408HJ5 Feb 2026 53,000 $53K 0.00% DBT
3743 PIEDMONT OPERATING PARTN 720198AE0 Feb 2026 57,000 $53K 0.00% DBT
3744 PIEDMONT NATURAL GAS CO 720186AQ8 Feb 2026 50,000 $53K 0.00% DBT
3745 GENERAL ELECTRIC CO 369604BY8 Feb 2026 60,000 $53K 0.00% DBT
3746 COCA-COLA FEMSA SAB CV 191241AH1 Feb 2026 55,000 $53K 0.00% DBT
3747 JOHN DEERE CAPITAL CORP 24422EVD8 Feb 2026 55,000 $52K 0.00% DBT
3748 ZIMMER BIOMET HOLDINGS 98956PBC5 Feb 2026 50,000 $52K 0.00% DBT
3749 VULCAN MATERIALS CO 929160BC2 Feb 2026 50,000 $52K 0.00% DBT
3750 SYSCO CORPORATION 871829AJ6 Feb 2026 50,000 $52K 0.00% DBT
3751 ESSENTIAL UTILITIES INC 29670GAH5 Feb 2026 50,000 $52K 0.00% DBT
3752 MARVELL TECHNOLOGY INC 573874AS3 Feb 2026 50,000 $52K 0.00% DBT
3753 ASSURED GUARANTY US HLDG 04621WAD2 Feb 2026 55,000 $52K 0.00% DBT
3754 HUNTINGTON INGALLS INDUS 446413BA3 Feb 2026 50,000 $52K 0.00% DBT
3755 DOW CHEMICAL CO/THE 260543DK6 Feb 2026 60,000 $52K 0.00% DBT
3756 AERCAP IRELAND CAP/GLOBA 00774MBQ7 Feb 2026 50,000 $52K 0.00% DBT
3757 MORGAN STANLEY 61747YEV3 Feb 2026 50,000 $52K 0.00% DBT
3758 WESTINGHOUSE AIR BRAKE 960386AM2 Feb 2026 51,000 $52K 0.00% DBT
3759 CONSTELLATION BRANDS INC 21036PBD9 Feb 2026 55,000 $52K 0.00% DBT
3760 RPM INTERNATIONAL INC 749685AX1 Feb 2026 51,000 $52K 0.00% DBT
3761 SOUTHERN CAL EDISON 842400JJ3 Feb 2026 50,000 $52K 0.00% DBT
3762 AXIS SPECIALTY FINANCE 05463HAB7 Feb 2026 52,000 $52K 0.00% DBT
3763 AMGEN INC 031162BH2 Feb 2026 50,000 $52K 0.00% DBT
3764 CONNECTICUT LIGHT & PWR 207597ET8 Feb 2026 50,000 $52K 0.00% DBT
3765 AIR LEASE CORP 00914AAK8 Feb 2026 55,000 $52K 0.00% DBT
3766 MARTIN MARIETTA MATERIAL 573284BA3 Feb 2026 50,000 $52K 0.00% DBT
3767 VULCAN MATERIALS CO 929160BB4 Feb 2026 50,000 $52K 0.00% DBT
3768 NSTAR ELECTRIC CO 67021CAX5 Feb 2026 50,000 $51K 0.00% DBT
3769 SOUTHERN CAL EDISON 842400JC8 Feb 2026 50,000 $51K 0.00% DBT
3770 ZIMMER BIOMET HOLDINGS 98956PAZ5 Feb 2026 50,000 $51K 0.00% DBT
3771 FLORIDA POWER & LIGHT CO 341081GZ4 Feb 2026 50,000 $51K 0.00% DBT
3772 SOUTHERN CAL EDISON 842400JG9 Feb 2026 50,000 $51K 0.00% DBT
3773 LEGGETT & PLATT INC 524660AY3 Feb 2026 52,000 $51K 0.00% DBT
3774 ESSENTIAL UTILITIES INC 29670GAK8 Feb 2026 50,000 $51K 0.00% DBT
3775 DARDEN RESTAURANTS INC 237194AM7 Feb 2026 61,000 $51K 0.00% DBT
3776 JEFFERIES FIN GROUP INC 47233JBH0 Feb 2026 52,000 $51K 0.00% DBT
3777 GLAXOSMITHKLINE CAP INC 377372AP2 Feb 2026 50,000 $51K 0.00% DBT
3778 REGENCY CENTERS LP 75884RBC6 Feb 2026 50,000 $51K 0.00% DBT
3779 FIDELITY NATL FINANCIAL 31620RAK1 Feb 2026 57,000 $51K 0.00% DBT
3780 JOHN DEERE CAPITAL CORP 24422EVF3 Feb 2026 52,000 $51K 0.00% DBT
3781 GLAXOSMITHKLINE CAP INC 377372AQ0 Feb 2026 50,000 $51K 0.00% DBT
3782 SEMPRA 816851BT5 Feb 2026 50,000 $51K 0.00% DBT
3783 MARVELL TECHNOLOGY INC 573874AR5 Feb 2026 50,000 $51K 0.00% DBT
3784 CHUBB INA HOLDINGS LLC 00440EAH0 Feb 2026 44,000 $51K 0.00% DBT
3785 CATERPILLAR FINL SERVICE 14913UAY6 Feb 2026 50,000 $51K 0.00% DBT
3786 KEURIG DR PEPPER INC 49271VBB5 Feb 2026 50,000 $51K 0.00% DBT
3787 CAMDEN PROPERTY TRUST 133131AX0 Feb 2026 52,000 $51K 0.00% DBT
3788 TORONTO-DOMINION BANK 89115KAM2 Feb 2026 50,000 $51K 0.00% DBT
3789 MARKEL GROUP INC 570535AU8 Feb 2026 52,000 $51K 0.00% DBT
3790 ESSENTIAL UTILITIES INC 29670GAJ1 Feb 2026 50,000 $51K 0.00% DBT
3791 ATLANTIC CITY ELECTRIC 048303CJ8 Feb 2026 55,000 $51K 0.00% DBT
3792 CUMMINS INC 231021AY2 Feb 2026 50,000 $51K 0.00% DBT
3793 KEURIG DR PEPPER INC 49271VBA7 Feb 2026 50,000 $50K 0.00% DBT
3794 PUBLIC STORAGE OP CO 74460WAE7 Feb 2026 55,000 $50K 0.00% DBT
3795 CATERPILLAR FINL SERVICE 14913UBH2 Feb 2026 50,000 $50K 0.00% DBT
3796 CHARLES SCHWAB CORP 808513AZ8 Feb 2026 50,000 $50K 0.00% DBT
3797 AT&T INC 00206RAS1 Feb 2026 45,000 $50K 0.00% DBT
3798 PUBLIC SERVICE ELECTRIC 74456QCP9 Feb 2026 51,000 $50K 0.00% DBT
3799 HUBBELL INC 443510AL6 Feb 2026 50,000 $50K 0.00% DBT
3800 HEALTHPEAK OP LLC 42250GAB9 Feb 2026 50,000 $50K 0.00% DBT
3801 CENTERPOINT ENER HOUSTON 15189XBL1 Feb 2026 50,000 $50K 0.00% DBT
3802 DOLLAR TREE INC 256746AH1 Feb 2026 50,000 $50K 0.00% DBT
3803 CISCO SYSTEMS INC 17275RCA8 Feb 2026 50,000 $50K 0.00% DBT
3804 SOUTHERN CAL EDISON 842400GY3 Feb 2026 80,000 $50K 0.00% DBT
3805 AUTOMATIC DATA PROCESSNG 053015AH6 Feb 2026 50,000 $50K 0.00% DBT
3806 INTEL CORP 458140BQ2 Feb 2026 50,000 $50K 0.00% DBT
3807 MITSUBISHI UFJ FIN GRP 606822CG7 Feb 2026 50,000 $50K 0.00% DBT
3808 SYNCHRONY FINANCIAL 87165BAZ6 Feb 2026 50,000 $50K 0.00% DBT
3809 PEPSICO INC 713448FZ6 Feb 2026 50,000 $50K 0.00% DBT
3810 O'REILLY AUTOMOTIVE INC 67103HAJ6 Feb 2026 49,000 $49K 0.00% DBT
3811 SEKISUI HOUSE US 552676AV0 Feb 2026 72,000 $49K 0.00% DBT
3812 EXTRA SPACE STORAGE LP 30225VAM9 Feb 2026 49,000 $49K 0.00% DBT
3813 ENBRIDGE INC 29250NAR6 Feb 2026 49,000 $49K 0.00% DBT
3814 ERP OPERATING LP 26884ABE2 Feb 2026 55,000 $49K 0.00% DBT
3815 UNUM GROUP 91529YAR7 Feb 2026 65,000 $48K 0.00% DBT
3816 MITSUBISHI UFJ FIN GRP 606822AV6 Feb 2026 48,000 $48K 0.00% DBT
3817 ATMOS ENERGY CORP 049560AR6 Feb 2026 50,000 $48K 0.00% DBT
3818 TOTALENERGIES CAPITAL SA 89157XAE1 Feb 2026 50,000 $48K 0.00% DBT
3819 COMCAST CORP 20030NAF8 Feb 2026 45,000 $48K 0.00% DBT
3820 GATX CORP 361448AZ6 Feb 2026 48,000 $48K 0.00% DBT
3821 SEKISUI HOUSE US 552676AT5 Feb 2026 49,000 $48K 0.00% DBT
3822 MIZUHO FINANCIAL GROUP 60687YCR8 Feb 2026 45,000 $48K 0.00% DBT
3823 CENCORA INC 03073EAR6 Feb 2026 50,000 $47K 0.00% DBT
3824 DEERE & COMPANY 244199BF1 Feb 2026 54,000 $47K 0.00% DBT
3825 CITIGROUP INC 172967ML2 Feb 2026 50,000 $47K 0.00% DBT
3826 EPR PROPERTIES 26884UAG4 Feb 2026 50,000 $47K 0.00% DBT
3827 POTOMAC ELECTRIC POWER 737679DH0 Feb 2026 45,000 $47K 0.00% DBT
3828 STATE STREET CORP 857477CC5 Feb 2026 45,000 $47K 0.00% DBT
3829 AMERICAN INTERNATIONAL 026874DS3 Feb 2026 45,000 $46K 0.00% DBT
3830 MARKEL GROUP INC 570535AV6 Feb 2026 59,000 $46K 0.00% DBT
3831 BURLINGTN NORTH SANTA FE 12189LAE1 Feb 2026 45,000 $46K 0.00% DBT
3832 HOME DEPOT INC 437076CT7 Feb 2026 50,000 $46K 0.00% DBT
3833 CME GROUP INC 12572QAF2 Feb 2026 45,000 $46K 0.00% DBT
3834 CONNECTICUT LIGHT & PWR 207597ES0 Feb 2026 45,000 $46K 0.00% DBT
3835 OWENS CORNING 690742AN1 Feb 2026 45,000 $46K 0.00% DBT
3836 FIFTH THIRD BANCORP 316773DG2 Feb 2026 45,000 $46K 0.00% DBT
3837 HERSHEY COMPANY 427866BD9 Feb 2026 48,000 $46K 0.00% DBT
3838 WALT DISNEY COMPANY/THE 254687EB8 Feb 2026 40,000 $45K 0.00% DBT
3839 VICI PROPERTIES LP 925650AG8 Feb 2026 45,000 $45K 0.00% DBT
3840 KILROY REALTY LP 49427RAN2 Feb 2026 45,000 $45K 0.00% DBT
3841 AT&T INC 00206RJL7 Feb 2026 50,000 $45K 0.00% DBT
3842 HCA INC 404119CC1 Feb 2026 50,000 $45K 0.00% DBT
3843 ECOLAB INC 278865BG4 Feb 2026 80,000 $45K 0.00% DBT
3844 BURLINGTN NORTH SANTA FE 12189LAC5 Feb 2026 45,000 $45K 0.00% DBT
3845 RAYMOND JAMES FINANCIAL 754730AJ8 Feb 2026 45,000 $45K 0.00% DBT
3846 STEEL DYNAMICS INC 858119BK5 Feb 2026 46,000 $45K 0.00% DBT
3847 ALPHABET INC 02079KBA4 Feb 2026 45,000 $45K 0.00% DBT
3848 KLA CORP 482480AJ9 Feb 2026 63,000 $45K 0.00% DBT
3849 CBOE GLOBAL MARKETS INC 12503MAC2 Feb 2026 50,000 $45K 0.00% DBT
3850 ENERGY TRANSFER LP 29273RAF6 Feb 2026 40,000 $45K 0.00% DBT
3851 ATMOS ENERGY CORP 049560AK1 Feb 2026 43,000 $45K 0.00% DBT
3852 KEYBANK NATIONAL ASSN 49327V2B9 Feb 2026 45,000 $45K 0.00% DBT
3853 REPUBLIC SERVICES INC 760759BA7 Feb 2026 50,000 $44K 0.00% DBT
3854 GENUINE PARTS CO 372460AD7 Feb 2026 40,000 $44K 0.00% DBT
3855 JM SMUCKER CO 832696AY4 Feb 2026 40,000 $44K 0.00% DBT
3856 BELL CANADA 0778FPAJ8 Feb 2026 60,000 $44K 0.00% DBT
3857 NEWMONT CORP 651639AV8 Feb 2026 43,000 $44K 0.00% DBT
3858 GXO LOGISTICS INC 36262GAG6 Feb 2026 40,000 $44K 0.00% DBT
3859 STATE STREET CORP 857477CG6 Feb 2026 40,000 $43K 0.00% DBT
3860 FORD MOTOR CREDIT CO LLC 345397D42 Feb 2026 40,000 $43K 0.00% DBT
3861 RALPH LAUREN CORP 731572AB9 Feb 2026 45,000 $43K 0.00% DBT
3862 COOPERATIEVE RABOBANK UA 21684AAD8 Feb 2026 45,000 $43K 0.00% DBT
3863 WASTE CONNECTIONS INC 94106BAB7 Feb 2026 62,000 $43K 0.00% DBT
3864 ATHENE HOLDING LTD 04686JAF8 Feb 2026 40,000 $43K 0.00% DBT
3865 APTIV SWISS HOLDINGS LTD 03835VAF3 Feb 2026 51,000 $43K 0.00% DBT
3866 INTEL CORP 458140CM0 Feb 2026 45,000 $42K 0.00% DBT
3867 MARKEL GROUP INC 570535AT1 Feb 2026 47,000 $42K 0.00% DBT
3868 ENTERPRISE PRODUCTS OPER 29379VBX0 Feb 2026 44,000 $42K 0.00% DBT
3869 HF SINCLAIR CORP 403949AS9 Feb 2026 40,000 $42K 0.00% DBT
3870 AMCOR FLEXIBLES NORTH AM 02344AAH1 Feb 2026 40,000 $42K 0.00% DBT
3871 SONOCO PRODUCTS CO 835495AL6 Feb 2026 44,000 $42K 0.00% DBT
3872 HUBBELL INC 443510AJ1 Feb 2026 42,000 $42K 0.00% DBT
3873 FOX CORP 35137LAH8 Feb 2026 41,000 $42K 0.00% DBT
3874 CIGNA GROUP/THE 125523CU2 Feb 2026 40,000 $42K 0.00% DBT
3875 THERMO FISHER SCIENTIFIC 883556CW0 Feb 2026 40,000 $42K 0.00% DBT
3876 HCA INC 404121AK1 Feb 2026 40,000 $42K 0.00% DBT
3877 MOSAIC CO 61945CAB9 Feb 2026 45,000 $41K 0.00% DBT
3878 TAPESTRY INC 876030AK3 Feb 2026 40,000 $41K 0.00% DBT
3879 CATERPILLAR FINL SERVICE 14913UAU4 Feb 2026 40,000 $41K 0.00% DBT
3880 CIGNA GROUP/THE 125523CT5 Feb 2026 40,000 $41K 0.00% DBT
3881 NATIONAL RURAL UTIL COOP 63743HFJ6 Feb 2026 40,000 $41K 0.00% DBT
3882 HF SINCLAIR CORP 403949AT7 Feb 2026 40,000 $41K 0.00% DBT
3883 CHURCH & DWIGHT CO INC 17136MAA0 Feb 2026 45,000 $41K 0.00% DBT
3884 QUEST DIAGNOSTICS INC 74834LBF6 Feb 2026 40,000 $41K 0.00% DBT
3885 MONDELEZ INTERNATIONAL 609207AT2 Feb 2026 43,000 $41K 0.00% DBT
3886 BERKSHIRE HATHAWAY FIN 084664CW9 Feb 2026 45,000 $41K 0.00% DBT
3887 ENSTAR GROUP LTD 29359UAC3 Feb 2026 45,000 $40K 0.00% DBT
3888 PARAMOUNT GLOBAL 124857AZ6 Feb 2026 42,000 $40K 0.00% DBT
3889 MASCO CORP 574599BR6 Feb 2026 60,000 $40K 0.00% DBT
3890 ELI LILLY & CO 532457CY2 Feb 2026 40,000 $40K 0.00% DBT
3891 STATE STREET CORP 857477DA8 Feb 2026 40,000 $40K 0.00% DBT
3892 FORD MOTOR COMPANY 345370CQ1 Feb 2026 50,000 $40K 0.00% DBT
3893 APA CORP 03743QBG2 Feb 2026 46,000 $40K 0.00% DBT
3894 WILLIAMS COMPANIES INC 96949LAD7 Feb 2026 40,000 $40K 0.00% DBT
3895 SOUTHERN CALIF GAS CO 842434CU4 Feb 2026 42,000 $40K 0.00% DBT
3896 ONEOK INC 682680BV4 Feb 2026 43,000 $40K 0.00% DBT
3897 UDR INC 90265EAQ3 Feb 2026 41,000 $40K 0.00% DBT
3898 CONSTELLATION BRANDS INC 21036PAY4 Feb 2026 40,000 $40K 0.00% DBT
3899 JM SMUCKER CO 832696AR9 Feb 2026 40,000 $40K 0.00% DBT
3900 NORTH HAVEN PRIVATE INC 65960NAC4 Feb 2026 40,000 $40K 0.00% DBT
3901 CHUBB INA HOLDINGS LLC 00440EAQ0 Feb 2026 45,000 $39K 0.00% DBT
3902 AVALONBAY COMMUNITIES 05348EBG3 Feb 2026 42,000 $39K 0.00% DBT
3903 KEYCORP 49326EEK5 Feb 2026 40,000 $39K 0.00% DBT
3904 AMPHENOL CORP 032095AJ0 Feb 2026 41,000 $39K 0.00% DBT
3905 PUBLIC SERVICE ELECTRIC 74456QBY1 Feb 2026 40,000 $39K 0.00% DBT
3906 SIMON PROPERTY GROUP LP 828807DJ3 Feb 2026 51,000 $39K 0.00% DBT
3907 ENTERPRISE PRODUCTS OPER 29379VBV4 Feb 2026 40,000 $39K 0.00% DBT
3908 BROOKFIELD FINANCE INC 11271LAE2 Feb 2026 39,000 $39K 0.00% DBT
3909 BHP BILLITON FIN USA LTD 055451AV0 Feb 2026 40,000 $39K 0.00% DBT
3910 MARSH & MCLENNAN COS INC 571748BH4 Feb 2026 40,000 $39K 0.00% DBT
3911 SANTANDER HOLDINGS USA 80282KBG0 Feb 2026 37,000 $39K 0.00% DBT
3912 ENTERPRISE PRODUCTS OPER 293791AP4 Feb 2026 34,000 $39K 0.00% DBT
3913 DOVER CORP 260003AP3 Feb 2026 40,000 $39K 0.00% DBT
3914 ATHENE HOLDING LTD 04686JAM3 Feb 2026 40,000 $39K 0.00% DBT
3915 APOLLO GLOBAL MANAGEMENT 03769MAD8 Feb 2026 40,000 $38K 0.00% DBT
3916 JM SMUCKER CO 832696AX6 Feb 2026 35,000 $38K 0.00% DBT
3917 LINCOLN NATIONAL CORP 534187BG3 Feb 2026 49,000 $38K 0.00% DBT
3918 LOEWS CORP 540424AP3 Feb 2026 35,000 $38K 0.00% DBT
3919 AMERICAN HONDA FINANCE 02665WEB3 Feb 2026 40,000 $38K 0.00% DBT
3920 HUNTINGTON BANCSHARES 446150BC7 Feb 2026 36,000 $38K 0.00% DBT
3921 AVALONBAY COMMUNITIES 05348EBC2 Feb 2026 38,000 $38K 0.00% DBT
3922 BROWN & BROWN INC 115236AF8 Feb 2026 44,000 $38K 0.00% DBT
3923 ZOETIS INC 98978VAT0 Feb 2026 55,000 $37K 0.00% DBT
3924 AFLAC INC 001055AY8 Feb 2026 42,000 $37K 0.00% DBT
3925 AMERICAN INTL GROUP 026874DF1 Feb 2026 40,000 $36K 0.00% DBT
3926 NATIONAL FUEL GAS CO 636180BT7 Feb 2026 35,000 $36K 0.00% DBT
3927 ASTRAZENECA FINANCE LLC 04636NAN3 Feb 2026 35,000 $36K 0.00% DBT
3928 UDR INC 90265EAP5 Feb 2026 36,000 $36K 0.00% DBT
3929 TRAVELERS COS INC 89417EAQ2 Feb 2026 59,000 $36K 0.00% DBT
3930 DELL INT LLC / EMC CORP 24703DBN0 Feb 2026 35,000 $36K 0.00% DBT
3931 PUBLIC SERVICE ELECTRIC 74456QCU8 Feb 2026 35,000 $36K 0.00% DBT
3932 REGENCY CENTERS LP 75884RBD4 Feb 2026 35,000 $36K 0.00% DBT
3933 RYDER SYSTEM INC 78355HLD9 Feb 2026 35,000 $36K 0.00% DBT
3934 ONCOR ELECTRIC DELIVERY 68233JDA9 Feb 2026 35,000 $36K 0.00% DBT
3935 RTX CORP 75513ECP4 Feb 2026 54,000 $36K 0.00% DBT
3936 PROLOGIS LP 74340XCG4 Feb 2026 35,000 $36K 0.00% DBT
3937 ONCOR ELECTRIC DELIVERY 68233JCW2 Feb 2026 35,000 $36K 0.00% DBT
3938 KITE REALTY GROUP TRUST 76131VAB9 Feb 2026 35,000 $36K 0.00% DBT
3939 GENERAL MOTORS FINL CO 37045XFN1 Feb 2026 35,000 $36K 0.00% DBT
3940 ONEOK INC 682680AZ6 Feb 2026 43,000 $35K 0.00% DBT
3941 NEXTERA ENERGY CAPITAL 65339KCA6 Feb 2026 55,000 $35K 0.00% DBT
3942 BELL CANADA 0778FPAB5 Feb 2026 43,000 $35K 0.00% DBT
3943 LABORATORY CORP OF AMER 50540RAZ5 Feb 2026 35,000 $35K 0.00% DBT
3944 PACIFIC GAS & ELECTRIC 694308JM0 Feb 2026 35,000 $35K 0.00% DBT
3945 TJX COS INC 872540AT6 Feb 2026 35,000 $35K 0.00% DBT
3946 REGENCY CENTERS LP 75884RBF9 Feb 2026 35,000 $35K 0.00% DBT
3947 VULCAN MATERIALS CO 929160AY5 Feb 2026 39,000 $35K 0.00% DBT
3948 REALTY INCOME CORP 756109AU8 Feb 2026 35,000 $35K 0.00% DBT
3949 SOUTHWEST GAS CORP 845011AA3 Feb 2026 35,000 $35K 0.00% DBT
3950 CENCORA INC 03073EAP0 Feb 2026 35,000 $35K 0.00% DBT
3951 FIFTH THIRD BANCORP 316773DF4 Feb 2026 35,000 $35K 0.00% DBT
3952 CORNING INC 219350AX3 Feb 2026 35,000 $34K 0.00% DBT
3953 TWDC ENTERPRISES 18 CORP 25468PBW5 Feb 2026 30,000 $34K 0.00% DBT
3954 ATMOS ENERGY CORP 049560AL9 Feb 2026 39,000 $34K 0.00% DBT
3955 BOSTON SCIENTIFIC CORP 101137AT4 Feb 2026 35,000 $34K 0.00% DBT
3956 SUMITOMO MITSUI FINL GRP 86562MCN8 Feb 2026 35,000 $34K 0.00% DBT
3957 BURLINGTN NORTH SANTA FE 12189TAZ7 Feb 2026 30,000 $34K 0.00% DBT
3958 MID-AMERICA APARTMENTS 59523UAR8 Feb 2026 35,000 $33K 0.00% DBT
3959 FORD MOTOR CREDIT CO LLC 345397B93 Feb 2026 35,000 $33K 0.00% DBT
3960 RTX CORP 75513ECW9 Feb 2026 30,000 $33K 0.00% DBT
3961 MATTEL INC 577081AW2 Feb 2026 35,000 $33K 0.00% DBT
3962 JOHNSON & JOHNSON 478160BJ2 Feb 2026 32,000 $33K 0.00% DBT
3963 STANLEY BLACK & DECKER I 854502AL5 Feb 2026 35,000 $32K 0.00% DBT
3964 KLA CORP 482480AM2 Feb 2026 35,000 $32K 0.00% DBT
3965 WASTE MANAGEMENT INC 94106LBC2 Feb 2026 37,000 $32K 0.00% DBT
3966 NNN REIT INC 637417AR7 Feb 2026 50,000 $32K 0.00% DBT
3967 HUNTINGTON INGALLS INDUS 446413BB1 Feb 2026 30,000 $32K 0.00% DBT
3968 REPUBLIC SERVICES INC 760759AN0 Feb 2026 30,000 $32K 0.00% DBT
3969 TOYOTA MOTOR CREDIT CORP 89236TJW6 Feb 2026 35,000 $32K 0.00% DBT
3970 PFIZER INC 717081DK6 Feb 2026 35,000 $32K 0.00% DBT
3971 SUMITOMO MITSUI FINL GRP 86562MCW8 Feb 2026 30,000 $32K 0.00% DBT
3972 PEPSICO INC 713448EG9 Feb 2026 29,000 $32K 0.00% DBT
3973 AMERICAN HOMES 4 RENT 02666TAB3 Feb 2026 31,000 $32K 0.00% DBT
3974 HUNTINGTON BANCSHARES 446150BD5 Feb 2026 30,000 $32K 0.00% DBT
3975 COLUMBIA PIPELINE GROUP 198280AH2 Feb 2026 31,000 $32K 0.00% DBT
3976 PARAMOUNT GLOBAL 124857AK9 Feb 2026 49,000 $31K 0.00% DBT
3977 MOODY'S CORPORATION 615369AE5 Feb 2026 32,000 $31K 0.00% DBT
3978 EVEREST REINSURANCE HLDG 299808AH8 Feb 2026 45,000 $31K 0.00% DBT
3979 EOG RESOURCES INC 26875PBA8 Feb 2026 30,000 $31K 0.00% DBT
3980 UNITEDHEALTH GROUP INC 91324PBW1 Feb 2026 35,000 $31K 0.00% DBT
3981 TOYOTA MOTOR CREDIT CORP 89236TJQ9 Feb 2026 35,000 $31K 0.00% DBT
3982 CAMDEN PROPERTY TRUST 133131AW2 Feb 2026 31,000 $31K 0.00% DBT
3983 STEEL DYNAMICS INC 858119BQ2 Feb 2026 30,000 $31K 0.00% DBT
3984 CRH AMERICA FINANCE INC 12636YAG7 Feb 2026 30,000 $31K 0.00% DBT
3985 CARLISLE COS INC 142339AH3 Feb 2026 31,000 $31K 0.00% DBT
3986 AMERICAN TOWER CORP 03027XCL2 Feb 2026 30,000 $31K 0.00% DBT
3987 ROYAL BANK OF CANADA 78016HZZ6 Feb 2026 30,000 $31K 0.00% DBT
3988 JOHNSON CONTROLS/TYCO FI 47837RAE0 Feb 2026 30,000 $31K 0.00% DBT
3989 AMERICAN HONDA FINANCE 02665WEM9 Feb 2026 30,000 $31K 0.00% DBT
3990 ARCH CAPITAL GRP US INC 03938JAA7 Feb 2026 32,000 $31K 0.00% DBT
3991 THERMO FISHER SCIENTIFIC 883556CY6 Feb 2026 30,000 $31K 0.00% DBT
3992 SEMPRA 816851BU2 Feb 2026 30,000 $30K 0.00% DBT
3993 VODAFONE GROUP PLC 92857WBK5 Feb 2026 30,000 $30K 0.00% DBT
3994 UNION PACIFIC CORP 907818FD5 Feb 2026 35,000 $30K 0.00% DBT
3995 TYSON FOODS INC 902494AZ6 Feb 2026 30,000 $30K 0.00% DBT
3996 ELI LILLY & CO 532457DG0 Feb 2026 30,000 $30K 0.00% DBT
3997 ECOLAB INC 278865BQ2 Feb 2026 30,000 $30K 0.00% DBT
3998 MCDONALD'S CORP 58013MEZ3 Feb 2026 30,000 $30K 0.00% DBT
3999 UNION PACIFIC CORP 907818CF3 Feb 2026 28,000 $30K 0.00% DBT
4000 CUBESMART LP 22966RAE6 Feb 2026 30,000 $30K 0.00% DBT
4001 BHP BILLITON FIN USA LTD 055451BF4 Feb 2026 30,000 $30K 0.00% DBT
4002 CVS HEALTH CORP 126650CX6 Feb 2026 30,000 $30K 0.00% DBT
4003 TARGET CORP 87612EBG0 Feb 2026 37,000 $30K 0.00% DBT
4004 MCDONALD'S CORP 58013MFJ8 Feb 2026 31,000 $30K 0.00% DBT
4005 MIZUHO FINANCIAL GROUP 60687YAM1 Feb 2026 30,000 $30K 0.00% DBT
4006 RTX CORP 913017CW7 Feb 2026 31,000 $30K 0.00% DBT
4007 ANALOG DEVICES INC 032654BC8 Feb 2026 30,000 $29K 0.00% DBT
4008 DEVON ENERGY CORPORATION 25179MBH5 Feb 2026 30,000 $29K 0.00% DBT
4009 UDR INC 90265EAS9 Feb 2026 33,000 $29K 0.00% DBT
4010 WALT DISNEY COMPANY/THE 254687FR2 Feb 2026 30,000 $29K 0.00% DBT
4011 WESTLAKE CORP 960413AS1 Feb 2026 33,000 $29K 0.00% DBT
4012 CITIZENS FINANCIAL GROUP 174610BG9 Feb 2026 26,000 $29K 0.00% DBT
4013 SOUTHERN CAL EDISON 842400GS6 Feb 2026 30,000 $29K 0.00% DBT
4014 BURLINGTN NORTH SANTA FE 12189LAS0 Feb 2026 30,000 $29K 0.00% DBT
4015 LINCOLN NATIONAL CORP 534187BJ7 Feb 2026 30,000 $29K 0.00% DBT
4016 JPMORGAN CHASE & CO 46647PBP0 Feb 2026 30,000 $29K 0.00% DBT
4017 SOUTHERN CAL EDISON 842400HX4 Feb 2026 29,000 $28K 0.00% DBT
4018 SIMON PROPERTY GROUP LP 828807DK0 Feb 2026 30,000 $28K 0.00% DBT
4019 SHELL INTERNATIONAL FIN 822582CH3 Feb 2026 40,000 $28K 0.00% DBT
4020 NNN REIT INC 637417AM8 Feb 2026 31,000 $28K 0.00% DBT
4021 AUTOZONE INC 053332BH4 Feb 2026 25,000 $28K 0.00% DBT
4022 CIGNA GROUP/THE 125523CJ7 Feb 2026 35,000 $28K 0.00% DBT
4023 HUBBELL INC 443510AH5 Feb 2026 28,000 $28K 0.00% DBT
4024 AMERICAN WATER CAPITAL C 03040WAQ8 Feb 2026 28,000 $28K 0.00% DBT
4025 FLOWSERVE CORPORATION 34355JAB4 Feb 2026 30,000 $27K 0.00% DBT
4026 FIDELITY NATL INFO SERV 31620MAU0 Feb 2026 32,000 $27K 0.00% DBT
4027 VERIZON COMMUNICATIONS 92343VES9 Feb 2026 27,000 $27K 0.00% DBT
4028 HASBRO INC 418056AS6 Feb 2026 25,000 $27K 0.00% DBT
4029 AMERICAN HOMES 4 RENT 02666TAD9 Feb 2026 40,000 $27K 0.00% DBT
4030 SOUTHERN CAL EDISON 842400HR7 Feb 2026 29,000 $27K 0.00% DBT
4031 JOHNSON CONTROLS INTL PL 478375AN8 Feb 2026 30,000 $27K 0.00% DBT
4032 HERSHEY COMPANY 427866AW8 Feb 2026 35,000 $27K 0.00% DBT
4033 EVEREST REINSURANCE HLDG 299808AF2 Feb 2026 30,000 $27K 0.00% DBT
4034 NATIONAL FUEL GAS CO 636180BU4 Feb 2026 25,000 $27K 0.00% DBT
4035 COMMONWEALTH EDISON CO 202795JV3 Feb 2026 35,000 $27K 0.00% DBT
4036 NNN REIT INC 637417AS5 Feb 2026 25,000 $26K 0.00% DBT
4037 ERP OPERATING LP 26884ABH5 Feb 2026 32,000 $26K 0.00% DBT
4038 NORTHWEST NATURAL HOLDI 66765NAA3 Feb 2026 25,000 $26K 0.00% DBT
4039 DIAMONDBACK ENERGY INC 25278XAZ2 Feb 2026 25,000 $26K 0.00% DBT
4040 TEXTRON INC 883203CB5 Feb 2026 27,000 $26K 0.00% DBT
4041 KEURIG DR PEPPER INC 49271VAU4 Feb 2026 25,000 $26K 0.00% DBT
4042 ANHEUSER-BUSCH INBEV FIN 035242AB2 Feb 2026 30,000 $26K 0.00% DBT
4043 ADOBE INC 00724PAF6 Feb 2026 25,000 $26K 0.00% DBT
4044 TYCO ELECTRONICS GROUP S 902133BC0 Feb 2026 25,000 $25K 0.00% DBT
4045 CENTERPOINT ENER HOUSTON 15189XBH0 Feb 2026 25,000 $25K 0.00% DBT
4046 MERCK & CO INC 58933YBJ3 Feb 2026 25,000 $25K 0.00% DBT
4047 GATX CORP 361448BP7 Feb 2026 25,000 $25K 0.00% DBT
4048 ENBRIDGE ENERGY PARTNERS 29250RAT3 Feb 2026 25,000 $25K 0.00% DBT
4049 NNN REIT INC 637417AN6 Feb 2026 27,000 $25K 0.00% DBT
4050 EASTMAN CHEMICAL CO 277432AW0 Feb 2026 25,000 $25K 0.00% DBT
4051 COMCAST CORP 20030NCU3 Feb 2026 25,000 $25K 0.00% DBT
4052 ANHEUSER-BUSCH INBEV WOR 03523TBQ0 Feb 2026 30,000 $25K 0.00% DBT
4053 STORE CAPITAL LLC 862121AA8 Feb 2026 25,000 $25K 0.00% DBT
4054 KEYCORP 49326EEG4 Feb 2026 25,000 $25K 0.00% DBT
4055 MCDONALD'S CORP 58013MFF6 Feb 2026 25,000 $25K 0.00% DBT
4056 NORTHWEST PIPELINE LLC 66775VAB1 Feb 2026 25,000 $25K 0.00% DBT
4057 UNITEDHEALTH GROUP INC 91324PCZ3 Feb 2026 30,000 $25K 0.00% DBT
4058 MARSH & MCLENNAN COS INC 571748BV3 Feb 2026 25,000 $25K 0.00% DBT
4059 NEXTERA ENERGY CAPITAL 65339KAV2 Feb 2026 25,000 $25K 0.00% DBT
4060 COMMONWEALTH EDISON CO 202795JU5 Feb 2026 40,000 $25K 0.00% DBT
4061 ATHENE HOLDING LTD 04686JAD3 Feb 2026 36,000 $25K 0.00% DBT
4062 AMERICAN WATER CAPITAL C 03040WAU9 Feb 2026 25,000 $25K 0.00% DBT
4063 CHURCH & DWIGHT CO INC 171340AL6 Feb 2026 30,000 $25K 0.00% DBT
4064 MERCK & CO INC 58933YAV7 Feb 2026 27,000 $25K 0.00% DBT
4065 ARTHUR J GALLAGHER & CO 04316JAE9 Feb 2026 25,000 $24K 0.00% DBT
4066 MCDONALD'S CORP 58013MEN0 Feb 2026 29,000 $24K 0.00% DBT
4067 VERIZON COMMUNICATIONS 92343VFE9 Feb 2026 25,000 $24K 0.00% DBT
4068 FAIRFAX FINL HLDGS LTD 303901BJ0 Feb 2026 25,000 $24K 0.00% DBT
4069 PROCTER & GAMBLE CO/THE 742718FK0 Feb 2026 30,000 $24K 0.00% DBT
4070 KLA CORP 482480AH3 Feb 2026 25,000 $23K 0.00% DBT
4071 ERP OPERATING LP 26884ABN2 Feb 2026 26,000 $23K 0.00% DBT
4072 TOYOTA MOTOR CORP 892331AD1 Feb 2026 23,000 $23K 0.00% DBT
4073 KEMPER CORP 488401AD2 Feb 2026 25,000 $23K 0.00% DBT
4074 REPUBLIC SERVICES INC 760759AK6 Feb 2026 20,000 $23K 0.00% DBT
4075 FRANKLIN RESOURCES INC 354613AM3 Feb 2026 35,000 $23K 0.00% DBT
4076 BURLINGTN NORTH SANTA FE 12189TAX2 Feb 2026 20,000 $22K 0.00% DBT
4077 ORACLE CORP 68389XBZ7 Feb 2026 30,000 $22K 0.00% DBT
4078 CHUBB INA HOLDINGS LLC 171239AG1 Feb 2026 25,000 $22K 0.00% DBT
4079 PROCTER & GAMBLE CO/THE 742718FJ3 Feb 2026 25,000 $22K 0.00% DBT
4080 TRUIST FINANCIAL CORP 89788MAK8 Feb 2026 20,000 $22K 0.00% DBT
4081 TAMPA ELECTRIC CO 875127BJ0 Feb 2026 30,000 $22K 0.00% DBT
4082 LAZARD GROUP LLC 52107QAL9 Feb 2026 20,000 $21K 0.00% DBT
4083 AMERICAN HOMES 4 RENT 02666TAF4 Feb 2026 27,000 $21K 0.00% DBT
4084 ESSEX PORTFOLIO LP 29717PAX5 Feb 2026 35,000 $21K 0.00% DBT
4085 KYNDRYL HOLDINGS INC 50155QAL4 Feb 2026 25,000 $21K 0.00% DBT
4086 EMERSON ELECTRIC CO 291011BD5 Feb 2026 20,000 $21K 0.00% DBT
4087 MARRIOTT INTERNATIONAL 571903BN2 Feb 2026 20,000 $21K 0.00% DBT
4088 FISERV INC 337738BH0 Feb 2026 20,000 $21K 0.00% DBT
4089 WILLIS NORTH AMERICA INC 970648AM3 Feb 2026 20,000 $21K 0.00% DBT
4090 JOHN DEERE CAPITAL CORP 24422EXB0 Feb 2026 20,000 $21K 0.00% DBT
4091 BANK OF NY MELLON CORP 06406RBR7 Feb 2026 20,000 $21K 0.00% DBT
4092 KELLANOVA 487836CA4 Feb 2026 20,000 $20K 0.00% DBT
4093 AGREE LP 008513AD5 Feb 2026 20,000 $20K 0.00% DBT
4094 ONCOR ELECTRIC DELIVERY 68233JAH7 Feb 2026 20,000 $20K 0.00% DBT
4095 CANADIAN PACIFIC RAILWAY 13645RAY0 Feb 2026 20,000 $20K 0.00% DBT
4096 WRKCO INC 96145DAH8 Feb 2026 20,000 $20K 0.00% DBT
4097 MID-AMERICA APARTMENTS 59523UAQ0 Feb 2026 20,000 $20K 0.00% DBT
4098 TOYOTA MOTOR CREDIT CORP 89236TFT7 Feb 2026 20,000 $20K 0.00% DBT
4099 SEMPRA 816851BA6 Feb 2026 20,000 $20K 0.00% DBT
4100 AON GLOBAL LTD 00185AAH7 Feb 2026 22,000 $20K 0.00% DBT
4101 TEXAS INSTRUMENTS INC 882508CJ1 Feb 2026 20,000 $19K 0.00% DBT
4102 UNITED PARCEL SERVICE 911312BU9 Feb 2026 20,000 $19K 0.00% DBT
4103 HEALTHCARE RLTY HLDGS LP 42225UAG9 Feb 2026 20,000 $19K 0.00% DBT
4104 JM SMUCKER CO 832696AS7 Feb 2026 20,000 $19K 0.00% DBT
4105 CME GROUP INC 12572QAK1 Feb 2026 20,000 $18K 0.00% DBT
4106 BELL CANADA 0778FPAF6 Feb 2026 25,000 $18K 0.00% DBT
4107 AMCOR FLEXIBLES NORTH AM 02344AAA6 Feb 2026 20,000 $18K 0.00% DBT
4108 CAMDEN PROPERTY TRUST 133131AZ5 Feb 2026 19,000 $18K 0.00% DBT
4109 FOMENTO ECONOMICO MEX 344419AB2 Feb 2026 20,000 $18K 0.00% DBT
4110 GOLDMAN SACHS GROUP INC 38141GXR0 Feb 2026 20,000 $18K 0.00% DBT
4111 BROWN-FORMAN CORP 115637AT7 Feb 2026 19,000 $17K 0.00% DBT
4112 UDR INC 90265EAT7 Feb 2026 20,000 $17K 0.00% DBT
4113 TELUS CORP 87971MBH5 Feb 2026 20,000 $17K 0.00% DBT
4114 ENSTAR GROUP LTD 29359UAB5 Feb 2026 17,000 $17K 0.00% DBT
4115 TSMC ARIZONA CORP 872898AD3 Feb 2026 20,000 $17K 0.00% DBT
4116 NEWMONT CORP 651639AW6 Feb 2026 15,000 $16K 0.00% DBT
4117 BURLINGTN NORTH SANTA FE 12189LAK7 Feb 2026 18,000 $16K 0.00% DBT
4118 PACIFIC GAS & ELECTRIC 694308KK2 Feb 2026 15,000 $16K 0.00% DBT
4119 AMCOR FLEXIBLES NORTH AM 081437AT2 Feb 2026 17,000 $16K 0.00% DBT
4120 BARCLAYS PLC 06738ECK9 Feb 2026 15,000 $16K 0.00% DBT
4121 OMNICOM GROUP INC 681919BB1 Feb 2026 17,000 $16K 0.00% DBT
4122 RPM INTERNATIONAL INC 749685AW3 Feb 2026 19,000 $16K 0.00% DBT
4123 METLIFE INC 59156RCE6 Feb 2026 15,000 $16K 0.00% DBT
4124 FEDEX CORP 31428XDL7 Feb 2026 20,000 $16K 0.00% DBT
4125 HCA INC 404119CT4 Feb 2026 15,000 $16K 0.00% DBT
4126 DOVER CORP 260003AK4 Feb 2026 15,000 $16K 0.00% DBT
4127 PAYCHEX INC 704326AC1 Feb 2026 15,000 $15K 0.00% DBT
4128 AETNA INC 00817YAZ1 Feb 2026 20,000 $15K 0.00% DBT
4129 ENTERGY CORP 29364GAS2 Feb 2026 15,000 $15K 0.00% DBT
4130 WALT DISNEY COMPANY/THE 254687FL5 Feb 2026 16,000 $15K 0.00% DBT
4131 MARRIOTT INTERNATIONAL 571903AY9 Feb 2026 15,000 $15K 0.00% DBT
4132 ABBOTT LABORATORIES 002824BX7 Feb 2026 15,000 $15K 0.00% DBT
4133 MITSUBISHI UFJ FIN GRP 606822AN4 Feb 2026 15,000 $15K 0.00% DBT
4134 TANGER PROPERTIES LP 875484AK3 Feb 2026 15,000 $15K 0.00% DBT
4135 ATMOS ENERGY CORP 049560AN5 Feb 2026 15,000 $15K 0.00% DBT
4136 NIKE INC 654106AL7 Feb 2026 18,000 $15K 0.00% DBT
4137 MCDONALD'S CORP 58013MFQ2 Feb 2026 15,000 $15K 0.00% DBT
4138 PIEDMONT OPERATING PARTN 720198AF7 Feb 2026 17,000 $15K 0.00% DBT
4139 BURLINGTN NORTH SANTA FE 12189LAG6 Feb 2026 15,000 $15K 0.00% DBT
4140 DOLLAR GENERAL CORP 256677AG0 Feb 2026 15,000 $15K 0.00% DBT
4141 MARSH & MCLENNAN COS INC 571748BX9 Feb 2026 15,000 $14K 0.00% DBT
4142 APTARGROUP INC 038336AA1 Feb 2026 15,000 $14K 0.00% DBT
4143 WASTE CONNECTIONS INC 94106BAA9 Feb 2026 15,000 $14K 0.00% DBT
4144 CONOCOPHILLIPS COMPANY 20826FBE5 Feb 2026 15,000 $14K 0.00% DBT
4145 ALEXANDRIA REAL ESTATE E 015271AR0 Feb 2026 15,000 $14K 0.00% DBT
4146 EXTRA SPACE STORAGE LP 30225VAN7 Feb 2026 14,000 $14K 0.00% DBT
4147 CAMDEN PROPERTY TRUST 133131AY8 Feb 2026 19,000 $14K 0.00% DBT
4148 UNION PACIFIC CORP 907818EQ7 Feb 2026 15,000 $14K 0.00% DBT
4149 JEFFERIES FIN GROUP INC 47233JGT9 Feb 2026 15,000 $13K 0.00% DBT
4150 GATX CORP 361448BG7 Feb 2026 15,000 $13K 0.00% DBT
4151 EATON CORP 278062AF1 Feb 2026 16,000 $13K 0.00% DBT
4152 SHELL INTERNATIONAL FIN 822582BF8 Feb 2026 15,000 $13K 0.00% DBT
4153 AVALONBAY COMMUNITIES 05348EBE8 Feb 2026 15,000 $13K 0.00% DBT
4154 DEUTSCHE TELEKOM INT FIN 25156PAD5 Feb 2026 10,000 $13K 0.00% DBT
4155 ONCOR ELECTRIC DELIVERY 68233JBK9 Feb 2026 12,000 $13K 0.00% DBT
4156 TRANSATLANTIC HOLDINGS 893521AB0 Feb 2026 10,000 $13K 0.00% DBT
4157 NEWMONT / NEWCREST FIN 65163LAF6 Feb 2026 15,000 $13K 0.00% DBT
4158 SNAP-ON INC 833034AL5 Feb 2026 15,000 $12K 0.00% DBT
4159 BRUNSWICK CORP 117043AV1 Feb 2026 15,000 $12K 0.00% DBT
4160 NNN REIT INC 637417AL0 Feb 2026 12,000 $12K 0.00% DBT
4161 HERSHEY COMPANY 427866BB3 Feb 2026 17,000 $12K 0.00% DBT
4162 UNITED PARCEL SERVICE 911312BR6 Feb 2026 12,000 $12K 0.00% DBT
4163 WALT DISNEY COMPANY/THE 254687DZ6 Feb 2026 10,000 $11K 0.00% DBT
4164 UNITEDHEALTH GROUP INC 91324PDY5 Feb 2026 15,000 $11K 0.00% DBT
4165 PACKAGING CORP OF AMERIC 695156AV1 Feb 2026 14,000 $11K 0.00% DBT
4166 OVINTIV INC 69047QAD4 Feb 2026 10,000 $11K 0.00% DBT
4167 MARSH & MCLENNAN COS INC 571748BU5 Feb 2026 10,000 $11K 0.00% DBT
4168 HUNTINGTON NATIONAL BANK 44644MAJ0 Feb 2026 10,000 $11K 0.00% DBT
4169 APA CORP 03743QAR9 Feb 2026 10,000 $10K 0.00% DBT
4170 BHP BILLITON FIN USA LTD 055451BM9 Feb 2026 10,000 $10K 0.00% DBT
4171 THERMO FISHER SCIENTIFIC 883556CX8 Feb 2026 10,000 $10K 0.00% DBT
4172 HOST HOTELS & RESORTS LP 44107TBB1 Feb 2026 10,000 $10K 0.00% DBT
4173 SNAP-ON INC 833034AM3 Feb 2026 15,000 $10K 0.00% DBT
4174 NEXTERA ENERGY CAPITAL 65339KBK5 Feb 2026 10,000 $10K 0.00% DBT
4175 WALT DISNEY COMPANY/THE 254687FP6 Feb 2026 10,000 $10K 0.00% DBT
4176 EQUINIX ASIA FIN CORP 29447KAA3 Feb 2026 10,000 $10K 0.00% DBT
4177 TEXTRON INC 883203BX8 Feb 2026 10,000 $10K 0.00% DBT
4178 BRISTOL-MYERS SQUIBB CO 110122BB3 Feb 2026 10,000 $10K 0.00% DBT
4179 CSX CORP 126408HH9 Feb 2026 10,000 $10K 0.00% DBT
4180 WASTE CONNECTIONS INC 941053AJ9 Feb 2026 10,000 $10K 0.00% DBT
4181 MIZUHO FINANCIAL GROUP 60687YBX6 Feb 2026 10,000 $10K 0.00% DBT
4182 COMCAST CORP 20030NBM2 Feb 2026 10,000 $10K 0.00% DBT
4183 ORACLE CORP 68389XEB7 Feb 2026 10,000 $10K 0.00% DBT
4184 ORACLE CORP 68389XEC5 Feb 2026 10,000 $10K 0.00% DBT
4185 KEURIG DR PEPPER INC 49271VAJ9 Feb 2026 10,000 $10K 0.00% DBT
4186 CONSTELLATION BRANDS INC 21036PBF4 Feb 2026 10,000 $10K 0.00% DBT
4187 GOLDMAN SACHS GROUP INC 38141GXG4 Feb 2026 10,000 $9K 0.00% DBT
4188 NATIONAL RURAL UTIL COOP 637432NV3 Feb 2026 10,000 $9K 0.00% DBT
4189 STATE STREET CORP 857477BT9 Feb 2026 10,000 $9K 0.00% DBT
4190 BURLINGTN NORTH SANTA FE 12189LAJ0 Feb 2026 10,000 $9K 0.00% DBT
4191 HUMANA INC 444859BX9 Feb 2026 10,000 $9K 0.00% DBT
4192 TRANSCANADA PIPELINES 89352HAY5 Feb 2026 10,000 $9K 0.00% DBT
4193 HEALTHCARE RLTY HLDGS LP 42225UAH7 Feb 2026 10,000 $9K 0.00% DBT
4194 FIRST AMERICAN FINANCIAL 31847RAH5 Feb 2026 10,000 $9K 0.00% DBT
4195 INVITATION HOMES OP 46188BAA0 Feb 2026 10,000 $9K 0.00% DBT
4196 ALLEGHANY CORP 017175AD2 Feb 2026 9,000 $8K 0.00% DBT
4197 AMGEN INC 031162CR9 Feb 2026 10,000 $8K 0.00% DBT
4198 ROPER TECHNOLOGIES INC 776743AG1 Feb 2026 6,000 $6K 0.00% DBT
4199 ONCOR ELECTRIC DELIVERY 68233DAT4 Feb 2026 5,000 $6K 0.00% DBT
4200 RENAISSANCERE HOLDINGS L 75968NAE1 Feb 2026 5,000 $5K 0.00% DBT
4201 RTX CORP 75513ECU3 Feb 2026 5,000 $5K 0.00% DBT
4202 AMERICAN FINANCIAL GROUP 025932AP9 Feb 2026 5,000 $5K 0.00% DBT
4203 UNITEDHEALTH GROUP INC 91324PFA5 Feb 2026 5,000 $5K 0.00% DBT
4204 APA CORP 03743QBA5 Feb 2026 5,000 $5K 0.00% DBT
4205 ALPHABET INC 02079KBQ9 Feb 2026 5,000 $5K 0.00% DBT
4206 WASTE CONNECTIONS INC 941053AH3 Feb 2026 5,000 $5K 0.00% DBT
4207 EVERSOURCE ENERGY 30040WBC1 Feb 2026 5,000 $5K 0.00% DBT
4208 UNION PACIFIC CORP 907818EY0 Feb 2026 5,000 $5K 0.00% DBT
4209 NATIONAL RURAL UTIL COOP 637432NS0 Feb 2026 5,000 $5K 0.00% DBT
4210 GLAXOSMITHKLINE CAPITAL 377373AH8 Feb 2026 5,000 $5K 0.00% DBT
4211 CHARLES SCHWAB CORP 808513BA2 Feb 2026 5,000 $5K 0.00% DBT
4212 MOHAWK INDUSTRIES INC 608190AL8 Feb 2026 5,000 $5K 0.00% DBT
4213 META PLATFORMS INC 30303M8Q8 Feb 2026 5,000 $5K 0.00% DBT
4214 COMCAST CORP 20030NBP5 Feb 2026 5,000 $5K 0.00% DBT
4215 PROLOGIS LP 74340XCF6 Feb 2026 5,000 $5K 0.00% DBT
4216 CATERPILLAR INC 149123CG4 Feb 2026 5,000 $5K 0.00% DBT
4217 TARGET CORP 87612EBK1 Feb 2026 5,000 $5K 0.00% DBT
4218 NSTAR ELECTRIC CO 67021CAT4 Feb 2026 5,000 $5K 0.00% DBT
4219 FEDEX CORP 31428XDV5 Feb 2026 5,000 $5K 0.00% DBT