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11-K Filing
Eastman Chemical (EMN) 11-KAnnual report of employee stock purchases
Filed: 27 Jun 24, 3:34pm
(Mark One) | |||||
[X] | ANNUAL REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 | ||||
For the fiscal year ended December 31, 2023 | |||||
OR | |||||
[ ] | TRANSITION REPORT PURSUANT TO SECTION 15(d) OF THE SECURITIES EXCHANGE ACT OF 1934 | ||||
For the transition period from _____________ to ______________ |
Commission file number 1-12626 | ||
A. Full Title of the plan and the address of the plan, if different from that of the issuer named below: | ||
EASTMAN INVESTMENT AND EMPLOYEE STOCK OWNERSHIP PLAN | ||
B. Name of issuer of the securities held pursuant to the plan and the address of its principal executive office: | ||
EASTMAN CHEMICAL COMPANY | ||
200 S. Wilcox Drive | ||
Kingsport, Tennessee 37662 |
Report of Independent Registered Public Accounting Firm | |||||
Basic Financial Statements: | |||||
Statements of Net Assets Available for Benefits at December 31, 2023 and 2022 | |||||
Statements of Changes in Net Assets Available for Benefits for the years ended December 31, 2023 and 2022 | |||||
Notes to Financial Statements | |||||
Additional Information (Note A): | |||||
Schedule H, Line 4i - Schedule of Assets (Held at End of Year) at December 31, 2023 | |||||
Signatures | |||||
Exhibits |
Note A: | Other supplemental schedules required by Section 2520.103-10 of the Department of Labor's Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974 have been omitted because they are not applicable. |
2023 | 2022 | |||||||||||||||||||||||||||||||||||||
Non- | Non- | |||||||||||||||||||||||||||||||||||||
Participant | participant | Participant | participant | |||||||||||||||||||||||||||||||||||
Directed | Directed | Total | Directed | Directed | Total | |||||||||||||||||||||||||||||||||
Assets | ||||||||||||||||||||||||||||||||||||||
Investments at fair value | $ | 2,538,279 | $ | 171,070 | $ | 2,709,349 | $ | 2,175,934 | $ | 153,782 | $ | 2,329,716 | ||||||||||||||||||||||||||
Investments at contract value | 577,532 | — | 577,532 | 704,879 | — | 704,879 | ||||||||||||||||||||||||||||||||
Total investments | 3,115,811 | 171,070 | 3,286,881 | 2,880,813 | 153,782 | 3,034,595 | ||||||||||||||||||||||||||||||||
Receivables: | ||||||||||||||||||||||||||||||||||||||
Plan sponsor contributions | 37,871 | 14,962 | 52,833 | 42,693 | 14,596 | 57,289 | ||||||||||||||||||||||||||||||||
Notes receivable from participants | 49,372 | — | 49,372 | 45,943 | — | 45,943 | ||||||||||||||||||||||||||||||||
Other receivables | 2,623 | 1,540 | 4,163 | 3,691 | 1,487 | 5,178 | ||||||||||||||||||||||||||||||||
Total assets | 3,205,677 | 187,572 | 3,393,249 | 2,973,140 | 169,865 | 3,143,005 | ||||||||||||||||||||||||||||||||
Liabilities | ||||||||||||||||||||||||||||||||||||||
Other liabilities | 1,254 | 1,526 | 2,780 | 1,327 | 1,532 | 2,859 | ||||||||||||||||||||||||||||||||
Total liabilities | 1,254 | 1,526 | 2,780 | 1,327 | 1,532 | 2,859 | ||||||||||||||||||||||||||||||||
Net assets available for benefits | $ | 3,204,423 | $ | 186,046 | $ | 3,390,469 | $ | 2,971,813 | $ | 168,333 | $ | 3,140,146 | ||||||||||||||||||||||||||
2023 | 2022 | |||||||||||||||||||||||||||||||||||||
Non- | Non- | |||||||||||||||||||||||||||||||||||||
Participant | participant | Participant | participant | |||||||||||||||||||||||||||||||||||
Directed | Directed | Total | Directed | Directed | Total | |||||||||||||||||||||||||||||||||
Additions to net assets: | ||||||||||||||||||||||||||||||||||||||
Investment income | ||||||||||||||||||||||||||||||||||||||
Interest | $ | 12,168 | $ | — | $ | 12,168 | $ | 10,888 | $ | — | $ | 10,888 | ||||||||||||||||||||||||||
Dividends | 10,529 | 6,185 | 16,714 | 9,797 | 5,855 | 15,652 | ||||||||||||||||||||||||||||||||
Net appreciation (depreciation) in fair value of investments | 408,656 | 14,814 | 423,470 | (493,331) | (75,734) | (569,065) | ||||||||||||||||||||||||||||||||
Net investment gain (loss) | 431,353 | 20,999 | 452,352 | (472,646) | (69,879) | (542,525) | ||||||||||||||||||||||||||||||||
Interest income from notes receivable | 2,809 | — | 2,809 | 2,255 | — | 2,255 | ||||||||||||||||||||||||||||||||
Participant contributions | 124,349 | — | 124,349 | 128,250 | — | 128,250 | ||||||||||||||||||||||||||||||||
Plan sponsor contributions | 61,870 | 14,963 | 76,833 | 66,396 | 14,596 | 80,992 | ||||||||||||||||||||||||||||||||
Total additions (deductions) | 620,381 | 35,962 | 656,343 | (275,745) | (55,283) | (331,028) | ||||||||||||||||||||||||||||||||
Deductions from net assets: | ||||||||||||||||||||||||||||||||||||||
Distributions to and withdrawals by participants | 392,582 | 12,640 | 405,222 | 333,205 | 14,249 | 347,454 | ||||||||||||||||||||||||||||||||
Administrative expenses | 798 | — | 798 | 986 | — | 986 | ||||||||||||||||||||||||||||||||
Total deductions | 393,380 | 12,640 | 406,020 | 334,191 | 14,249 | 348,440 | ||||||||||||||||||||||||||||||||
Net (decrease) increase in net assets | 227,001 | 23,322 | 250,323 | (609,936) | (69,532) | (679,468) | ||||||||||||||||||||||||||||||||
Transfers from non-participant directed | 5,609 | (5,609) | — | 5,183 | (5,183) | — | ||||||||||||||||||||||||||||||||
Plan transfers (see Note 15) | — | — | — | (50,103) | (1,666) | (51,769) | ||||||||||||||||||||||||||||||||
Net assets available for benefits at beginning of year | 2,971,813 | 168,333 | 3,140,146 | 3,626,669 | 244,714 | 3,871,383 | ||||||||||||||||||||||||||||||||
Net assets available for benefits at end of year | $ | 3,204,423 | $ | 186,046 | $ | 3,390,469 | $ | 2,971,813 | $ | 168,333 | $ | 3,140,146 |
(in thousands) | 2023 | 2022 | |||||||||
Cash and Cash Equivalents | $ | 5,115 | $ | 6,886 | |||||||
Common stock - Eastman Chemical Company | 268,315 | 248,770 | |||||||||
Common stock - other | 110,804 | 102,433 | |||||||||
Mutual funds | 620,431 | 522,519 | |||||||||
Collective investment trusts | 1,559,577 | 1,345,379 | |||||||||
Managed income fund | 577,532 | 704,879 | |||||||||
Self-directed brokerage account - mutual funds | 145,107 | 103,729 | |||||||||
Total | $ | 3,286,881 | $ | 3,034,595 |
(in thousands) | December 31, 2023 | December 31, 2022 | |||||||||
Description | Quoted Prices in Active Markets for Identical Assets (Level 1) | Quoted Prices in Active Markets for Identical Assets (Level 1) | |||||||||
Cash and Cash Equivalents | $ | 5,115 | $ | 6,886 | |||||||
Common stock - Eastman Chemical Company | 268,315 | 248,770 | |||||||||
Common stock - other | 110,804 | 102,433 | |||||||||
Mutual funds | 620,431 | 522,519 | |||||||||
Collective investment trusts | 1,559,577 | 1,345,379 | |||||||||
Self-directed brokerage account - mutual funds | 145,107 | 103,729 | |||||||||
Total | $ | 2,709,349 | $ | 2,329,716 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment, including maturity date, rate of interest, collateral, par or maturity value | (d) Historical Cost | (e) Current Value | ||||||||||
* | Fidelity Management Trust Company | Interest Bearing Cash, Participant directed | ** | $ | 1,833 | |||||||||
* | Fidelity Management Trust Company | Interest Bearing Cash, Non-Participant directed | $ | 1,530 | 1,530 | |||||||||
SSBK Govt Stif Fund | Interest Bearing Cash Equivalents | ** | 1,752 | |||||||||||
Subtotal – Cash and Cash Equivalents | 5,115 | |||||||||||||
* | Eastman Chemical Company | Common Stock, Participant directed, 1,100 shares | ** | 98,776 | ||||||||||
* | Eastman Chemical Company | Common Stock, Non-Participant directed, 1,888 shares | 116,816 | 169,539 | ||||||||||
Subtotal – Common Stock – Eastman Chemical Co | 268,315 | |||||||||||||
Abbott Laboratories | Common Stock, 9 Shares | ** | 1,007 | |||||||||||
Abbvie Inc | Common Stock, 13 Shares | ** | 2,086 | |||||||||||
Accenture Plc Cl A | Common Stock, 2 Shares | ** | 604 | |||||||||||
Air Products & Chemicals Inc | Common Stock, 9 Shares | ** | 2,397 | |||||||||||
Alexandria Real Es Eq Inc Reit | Common Stock, 3 Shares | ** | 329 | |||||||||||
American Express Co | Common Stock, 10 Shares | ** | 1,815 | |||||||||||
Amgen Inc | Common Stock, 2 Shares | ** | 611 | |||||||||||
Analog Devices Inc | Common Stock, 11 Shares | ** | 2,186 | |||||||||||
Apple Inc | Common Stock, 2 Shares | ** | 290 | |||||||||||
Arthur J Gallaghar And Co | Common Stock, 4 Shares | ** | 883 | |||||||||||
Avalonbay Communities Inc Reit | Common Stock, 3 Shares | ** | 503 | |||||||||||
Bank Of America Corporation | Common Stock, 63 Shares | ** | 2,118 | |||||||||||
Baxter Intl Inc | Common Stock, 12 Shares | ** | 446 | |||||||||||
Becton Dickinson & Co | Common Stock, 4 Shares | ** | 935 | |||||||||||
Best Buy Co Inc | Common Stock, 9 Shares | ** | 695 | |||||||||||
Blackrock Inc | Common Stock, 3 Shares | ** | 2,445 | |||||||||||
Bristol-Myers Squibb Co | Common Stock, 41 Shares | ** | 2,081 | |||||||||||
Capital One Financial Corp | Common Stock, 2 Shares | ** | 326 | |||||||||||
Cencora Inc | Common Stock, 4 Shares | ** | 895 | |||||||||||
Chevron Corp | Common Stock, 15 Shares | ** | 2,208 | |||||||||||
Chubb Ltd | Common Stock, 6 Shares | ** | 1,287 | |||||||||||
Cigna Group (The) | Common Stock, 4 Shares | ** | 1,322 | |||||||||||
Cme Group Inc Cl A | Common Stock, 7 Shares | ** | 1,480 | |||||||||||
Cms Energy Corp | Common Stock, 12 Shares | ** | 703 | |||||||||||
Coca Cola Co | Common Stock, 18 Shares | ** | 1,084 | |||||||||||
Comcast Corp Cl A | Common Stock, 53 Shares | ** | 2,336 | |||||||||||
Conocophillips | Common Stock, 28 Shares | ** | 3,307 | |||||||||||
Corning Inc | Common Stock, 24 Shares | ** | 745 | |||||||||||
Cvs Health Corp | Common Stock, 12 Shares | ** | 918 | |||||||||||
Deere & Co | Common Stock, 3 Shares | ** | 1,228 | |||||||||||
Dominion Energy Inc | Common Stock, 16 Shares | ** | 751 | |||||||||||
Dover Corp | Common Stock, 11 Shares | ** | 1,752 | |||||||||||
Eaton Corp Plc | Common Stock, 7 Shares | ** | 1,589 | |||||||||||
Eli Lilly & Co | Common Stock, 1 Shares | ** | 544 | |||||||||||
Eog Resources Inc | Common Stock, 14 Shares | ** | 1,737 | |||||||||||
Exxon Mobil Corp | Common Stock, 22 Shares | ** | 2,177 | |||||||||||
General Dynamics Corporation | Common Stock, 7 Shares | ** | 1,818 | |||||||||||
Hartford Finl Svcs Group Inc | Common Stock, 10 Shares | ** | 785 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment, including maturity date, rate of interest, collateral, par or maturity value | (d) Historical Cost | (e) Current Value | ||||||||||
Hershey Co (The) | Common Stock, 4 Shares | ** | 745 | |||||||||||
Home Depot Inc | Common Stock, 4 Shares | ** | 1,404 | |||||||||||
Intl Bus Mach Corp | Common Stock, 6 Shares | ** | 968 | |||||||||||
Johnson & Johnson | Common Stock, 12 Shares | ** | 1,880 | |||||||||||
Kenvue Inc | Common Stock, 31 Shares | ** | 676 | |||||||||||
Lam Research Corp | Common Stock, 0 Shares | ** | 330 | |||||||||||
Lowes Cos Inc | Common Stock, 4 Shares | ** | 928 | |||||||||||
Marsh & Mclennan Cos Inc | Common Stock, 3 Shares | ** | 486 | |||||||||||
Mcdonalds Corp | Common Stock, 6 Shares | ** | 1,639 | |||||||||||
Medtronic Plc | Common Stock, 16 Shares | ** | 1,354 | |||||||||||
Merck & Co Inc New | Common Stock, 5 Shares | ** | 519 | |||||||||||
Metlife Inc | Common Stock, 16 Shares | ** | 1,084 | |||||||||||
Microchip Technology | Common Stock, 3 Shares | ** | 289 | |||||||||||
Microsoft Corp | Common Stock, 5 Shares | ** | 1,734 | |||||||||||
Mondelez Intl Inc | Common Stock, 15 Shares | ** | 1,050 | |||||||||||
Morgan Stanley | Common Stock, 25 Shares | ** | 2,344 | |||||||||||
Nextera Energy | Common Stock, 23 Shares | ** | 1,393 | |||||||||||
Norfolk Southern Corp | Common Stock, 10 Shares | ** | 2,362 | |||||||||||
Northrop Grumman Corp | Common Stock, 3 Shares | ** | 1,409 | |||||||||||
Nxp Semiconductors Nv | Common Stock, 8 Shares | ** | 1,852 | |||||||||||
Parker Hannifin Corp | Common Stock, 3 Shares | ** | 1,209 | |||||||||||
Pepsico Inc | Common Stock, 6 Shares | ** | 969 | |||||||||||
Pfizer Inc | Common Stock, 21 Shares | ** | 612 | |||||||||||
Philip Morris Intl Inc | Common Stock, 23 Shares | ** | 2,129 | |||||||||||
Pnc Financial Services Grp Inc | Common Stock, 10 Shares | ** | 1,580 | |||||||||||
Ppg Industries Inc | Common Stock, 13 Shares | ** | 1,904 | |||||||||||
Procter & Gamble Co | Common Stock, 10 Shares | ** | 1,533 | |||||||||||
Progressive Corp Ohio | Common Stock, 5 Shares | ** | 849 | |||||||||||
Prologis Inc Reit | Common Stock, 7 Shares | ** | 958 | |||||||||||
Public Svc Enterprise Grp Inc | Common Stock, 13 Shares | ** | 775 | |||||||||||
Raytheon Technologies Corp | Common Stock, 18 Shares | ** | 1,480 | |||||||||||
Republic Services Inc | Common Stock, 6 Shares | ** | 966 | |||||||||||
Schwab Charles Corp | Common Stock, 30 Shares | ** | 2,072 | |||||||||||
Seagate Technology Holdings Plc | Common Stock, 8 Shares | ** | 678 | |||||||||||
Starbucks Corp | Common Stock, 7 Shares | ** | 686 | |||||||||||
Sysco Corp | Common Stock, 15 Shares | ** | 1,088 | |||||||||||
Texas Instruments Inc | Common Stock, 7 Shares | ** | 1,173 | |||||||||||
Tjx Companies Inc New | Common Stock, 17 Shares | ** | 1,552 | |||||||||||
Travelers Companies Inc | Common Stock, 2 Shares | ** | 476 | |||||||||||
Union Pacific Corp | Common Stock, 2 Shares | ** | 456 | |||||||||||
United Parcel Service Inc Cl B | Common Stock, 13 Shares | ** | 2,119 | |||||||||||
Unitedhealth Group Inc | Common Stock, 5 Shares | ** | 2,479 | |||||||||||
Us Bancorp Del | Common Stock, 41 Shares | ** | 1,795 | |||||||||||
Ventas Inc Reit | Common Stock, 9 Shares | ** | 463 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment, including maturity date, rate of interest, collateral, par or maturity value | (d) Historical Cost | (e) Current Value | ||||||||||
Verizon Communications Inc | Common Stock, 18 Shares | ** | 685 | |||||||||||
Walmart Inc | Common Stock, 9 Shares | ** | 1,480 | |||||||||||
Wells Fargo & Co | Common Stock, 56 Shares | ** | 2,733 | |||||||||||
Xcel Energy Inc | Common Stock, 17 Shares | ** | 1,036 | |||||||||||
Subtotal – Common Stock – Other | 110,804 | |||||||||||||
DODGE & COX STOCK FUND | Registered Investment Company 482 Shares | ** | 117,493 | |||||||||||
* | FID GOVT MMKT | Registered Investment Company 261 Shares | ** | 261 | ||||||||||
* | FID US BOND INDX | Registered Investment Company 2,816 Shares | ** | 29,371 | ||||||||||
* | FID GLB EX US IDX | Registered Investment Company 2,028 Shares | ** | 28,553 | ||||||||||
* | FID 500 INDEX | Registered Investment Company 2,209 Shares | ** | 365,618 | ||||||||||
* | FID EXT MKT IDX | Registered Investment Company 1,092 Shares | ** | 79,135 | ||||||||||
Subtotal – Mutual Funds | 620,431 | |||||||||||||
ARROWST ACWI EX-US A | Collective Investment Trust 366 Shares | ** | 66,971 | |||||||||||
BTC STR COMP NL M | Collective Investment Trust 148 Shares | ** | 1,915 | |||||||||||
* | FID BLUE CHIP GR POOL | Collective Investment Trust 4,349 Shares | ** | 155,871 | ||||||||||
Hotchkis & Wiley Small Cap Diversified V Class F | Collective Investment Trust 5,016 Shares | ** | 56,831 | |||||||||||
LOOMIS SAYLES & CO SMC GWTH C | Collective Investment Trust 2,382 Shares | ** | 53,044 | |||||||||||
PRU CORE PL BD CL 5 | Collective Investment Trust 314 Shares | ** | 52,420 | |||||||||||
VANGUARD TARGET INC | Collective Investment Trust 945 Shares | ** | 49,653 | |||||||||||
VANGUARD TARGET 2020 | Collective Investment Trust 939 Shares | ** | 64,240 | |||||||||||
VANGUARD TARGET 2025 | Collective Investment Trust 1,940 Shares | ** | 144,179 | |||||||||||
VANGUARD TARGET 2030 | Collective Investment Trust 2,942 Shares | ** | 234,956 | |||||||||||
VANGUARD TARGET 2035 | Collective Investment Trust 1,875 Shares | ** | 160,767 | |||||||||||
VANGUARD TARGET 2040 | Collective Investment Trust 1,470 Shares | ** | 133,412 | |||||||||||
VANGUARD TARGET 2045 | Collective Investment Trust 1,132 Shares | ** | 106,416 | |||||||||||
VANGUARD TARGET 2050 | Collective Investment Trust 1,382 Shares | ** | 131,036 | |||||||||||
VANGUARD TARGET 2055 | Collective Investment Trust 847 Shares | ** | 80,207 | |||||||||||
VANGUARD TARGET 2060 | Collective Investment Trust 936 Shares | ** | 53,407 | |||||||||||
VANGUARD TARGET 2065 | Collective Investment Trust 346 Shares | ** | 12,183 | |||||||||||
VANGUARD TARGET 2070 | Collective Investment Trust 97 Shares | ** | 2,069 | |||||||||||
Subtotal – Collective Investment Trusts | 1,559,577 | |||||||||||||
* | (Cash) | Cash | ** | 1,537 | ||||||||||
AT&T INC 1.65% 02/01/2028 | Corporate Bond 1.65% 2/01/28 | ** | 1,545 | |||||||||||
AERCAP IRELAND CAP LTD / AERCAP GLOBAL AVIATION TR | Corporate Bond 4.88% 1/16/24 | ** | 469 | |||||||||||
AERCAP IRELAND CAP LTD / AERCAP GLOBAL AVIATION TR | Corporate Bond 1.65% 10/29/24 | ** | 285 | |||||||||||
AERCAP IRELAND CAP LTD / AERCAP GLOBAL AVIATION TR | Corporate Bond 2.45% 10/29/26 | ** | 381 | |||||||||||
AERCAP IRELAND CAP LTD / AERCAP GLOBAL AVIATION TR | Corporate Bond 6.45% 4/15/27 | ** | 1,543 | |||||||||||
AIR LEASE CORP 4.25% 02/01/2024 | Corporate Bond 4.25% 2/01/24 | ** | 825 | |||||||||||
AIR LEASE CORP 0.7% 02/15/2024 | Corporate Bond 0.70% 2/15/24 | ** | 742 | |||||||||||
AIR LEASE CORP 0.8% 08/18/2024 | Corporate Bond 0.80% 8/18/24 | ** | 818 | |||||||||||
AIR LEASE CORP 2.2% 01/15/2027 | Corporate Bond 2.20% 1/15/27 | ** | 670 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment, including maturity date, rate of interest, collateral, par or maturity value | (d) Historical Cost | (e) Current Value | ||||||||||
ALTRIA GROUP INC 2.35% 05/06/2025 | Corporate Bond 2.35% 5/06/25 | ** | 245 | |||||||||||
AMERICAN EXPRESS CO 2.55% 03/04/2027 | Corporate Bond 2.55% 3/04/27 | ** | 1,289 | |||||||||||
AMERICAN EXPRESS CR ACC MST TR 3.39% 05/15/2027 | Mortgage Backed Security 3.39% 5/15/27 | ** | 2,159 | |||||||||||
AMERICAN EXPRESS CR ACC MST TR 3.75% 08/15/2027 | Mortgage Backed Security 3.75% 8/15/27 | ** | 1,773 | |||||||||||
AMERICAN EXPRESS CR ACC MST TR 4.95% 10/15/2027 | Mortgage Backed Security 4.95% 10/15/27 | ** | 1,091 | |||||||||||
AMERICAN EXPRESS CR ACC MST TR 4.87% 05/15/2028 | Mortgage Backed Security 4.87% 5/15/28 | ** | 836 | |||||||||||
AMERICAN EXPRESS CR ACC MST TR 5.23% 09/15/2028 | Mortgage Backed Security 5.23% 9/15/28 | ** | 1,660 | |||||||||||
American General Life | Synthetic GIC - 2.033% (fair value to contract value) | ** | 3,750 | |||||||||||
AMGEN INC 5.15% 03/02/2028 | Corporate Bond 5.15% 3/02/28 | ** | 378 | |||||||||||
ATHENE GLOBAL FUNDING 0.95% 01/08/2024 144A | Corporate Bond 0.95% 1/08/24 | ** | 1,853 | |||||||||||
ATHENE GLOBAL FUNDING 1.73% 10/02/2026 144A | Corporate Bond 1.73% 10/02/26 | ** | 1,689 | |||||||||||
ATHENE GLOBAL FUNDING 1.716% 01/07/2025 144A | Corporate Bond 1.72% 1/07/25 | ** | 1,836 | |||||||||||
BA CR CARD TR 3.53% 11/15/2027 | Mortgage Backed Security 3.53% 11/15/27 | ** | 1,992 | |||||||||||
BA CR CARD TR 5% 04/15/2028 | Mortgage Backed Security 5.00% 4/15/28 | ** | 1,242 | |||||||||||
BA CR CARD TR 4.79% 05/15/2028 | Mortgage Backed Security 4.79% 5/15/28 | ** | 604 | |||||||||||
BA CR CARD TR 4.98% 11/15/2028 | Mortgage Backed Security 4.98% 11/15/28 | ** | 797 | |||||||||||
BAT INTL FINANCE PLC 1.668% 03/25/2026 | Corporate Bond 1.67% 3/25/26 | ** | 1,867 | |||||||||||
BPCE SA 2.045/VAR 10/19/2027 144A | Corporate Bond 2.04% 10/19/27 | ** | 1,211 | |||||||||||
BMW VECHILE OWNER TRUST 2023-A 5.47% 02/25/2028 | Mortgage Backed Security 5.47% 2/25/28 | ** | 219 | |||||||||||
BX COMMERCIAL MORTGAGE TRUST 2021-PAC TSFR1M+80.35 | Mortgage Backed Security 6.17% 10/15/36 | ** | 859 | |||||||||||
BX TR 2021-ACNT TSFR1M+96.448 11/15/2026 144A | Mortgage Backed Security 6.33% 11/15/38 | ** | 846 | |||||||||||
BX 2021-BXMF TSFR1M+75.041 10/15/2026 144A | Mortgage Backed Security 6.11% 10/15/26 | ** | 736 | |||||||||||
BX COMMERCIAL MORTGAGE TRUST 22-LP2 A TSFR1M+96.27 | Mortgage Backed Security 6.37% 2/15/39 | ** | 929 | |||||||||||
BAKER HUGHES A GE CO LLC / CO-OBLIGOR INC 2.061% 1 | Corporate Bond 2.06% 12/15/26 | ** | 333 | |||||||||||
BANCO SANTANDER SA 1.722%/VAR 09/14/2027 | Corporate Bond 1.72% 9/14/27 | ** | 910 | |||||||||||
BANK OF AMERICA CORPORATION 2.456%/VAR 10/22/2025 | Corporate Bond 2.46% 10/22/25 | ** | 1,752 | |||||||||||
BANK OF AMERICA CORPORATION 1.319%/VAR 06/19/2026 | Corporate Bond 1.32% 6/19/26 | ** | 1,412 | |||||||||||
BANK OF AMERICA CORPORATION 1.197/VAR 10/24/2026 | Corporate Bond 1.20% 10/24/26 | ** | 2,594 | |||||||||||
BANK OF AMERICA CORP 1.734%/VAR 07/22/2027 | Corporate Bond 1.73% 7/22/27 | ** | 1,284 | |||||||||||
BANK OF AMERICA CORPORATION SOFR+0 02/04/2028 | Corporate Bond 2.55% 2/04/28 | ** | 1,780 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment, including maturity date, rate of interest, collateral, par or maturity value | (d) Historical Cost | (e) Current Value | ||||||||||
BANK OF AMERICA CORPORATION 4.948/VAR 07/22/2028 | Corporate Bond 4.95% 7/22/28 | ** | 1,430 | |||||||||||
BANQUE FED CRED MUTUEL PARIS 4.524% 07/13/2025 144 | Corporate Bond 4.52% 7/13/25 | ** | 1,435 | |||||||||||
BARCLAYS PLC (UNGTD) 3ML+161/VAR 05/07/2025 | Corporate Bond 3.93% 5/07/25 | ** | 1,119 | |||||||||||
BARCLAYS PLC (UNGTD) 2.852%/VAR 05/07/2026 | Corporate Bond 2.85% 5/07/26 | ** | 939 | |||||||||||
BARCLAYS PLC (UNGTD) 2.279%/VAR 11/24/2027 | Corporate Bond 2.28% 11/24/27 | ** | 1,778 | |||||||||||
BENCHMARK MTG TR 2018-B2 A2 3.6623% 02/15/2051 | Mortgage Backed Security 3.66% 2/15/51 | ** | 315 | |||||||||||
BENCHMARK MORTGAGE TRUST 2018-B7 A2 4.377% 05/15/2 | Mortgage Backed Security 4.38% 5/15/53 | ** | 736 | |||||||||||
BENCHMARK MTG TR 2018-B8 A2 4.149% 01/15/2052 | Mortgage Backed Security 4.15% 1/15/52 | ** | 277 | |||||||||||
BNP PARIBAS SOFR 1.323%/VAR 01/13/2027 144A | Corporate Bond 1.32% 1/13/27 | ** | 1,427 | |||||||||||
COMM 2014-UBS6 ASB 3.387% 12/10/2047 | Mortgage Backed Security 3.39% 12/10/47 | ** | 64 | |||||||||||
COMM 2015-CR22 ASB MTG TR 3.144% 03/10/2048 | Mortgage Backed Security 3.14% 3/10/48 | ** | 136 | |||||||||||
COMM 2015-CCRE23 MORTGAGE TRUST 3.257% 05/10/2048 | Mortgage Backed Security 3.26% 5/10/48 | ** | 156 | |||||||||||
CSAIL 2017-CX9 A2 3.0538% 09/15/2050 | Mortgage Backed Security 3.05% 9/15/50 | ** | 27 | |||||||||||
CSAIL 2015-C2 COML MTG TR 3.2241% 06/15/2057 | Mortgage Backed Security 3.22% 6/15/57 | ** | 136 | |||||||||||
CA ST 2.40% 10/1/2025 | Municipal Bond 2.40% 10/01/25 | ** | 1,146 | |||||||||||
CANADIAN IMPERIAL BK OF COMM 3.45% 04/07/2027 | Corporate Bond 3.45% 4/07/27 | ** | 2,130 | |||||||||||
CANADIAN PAC RY CO 1.75% 12/02/2026 | Corporate Bond 1.75% 12/02/26 | ** | 385 | |||||||||||
CAPITAL ONE FINANCIAL CORP 1.878%/VAR 11/02/2027 | Corporate Bond 1.88% 11/02/27 | ** | 2,076 | |||||||||||
CAPITAL ONE FINANCIAL CORP SOFR 4.985%/VAR 07/24/26 | Corporate Bond 4.99% 7/24/26 | ** | 634 | |||||||||||
CAPITAL ONE MULTI-ASST EXEC TR 2.8% 03/15/2027 | Mortgage Backed Security 2.80% 3/15/27 | ** | 3,627 | |||||||||||
CAPITAL ONE MULTI-ASST EXEC TR 3.49% 05/15/2027 | Mortgage Backed Security 3.49% 5/15/27 | ** | 2,161 | |||||||||||
CAPITAL ONE MULTI-ASST EXEC TR 4.95% 10/15/2027 | Mortgage Backed Security 4.95% 10/15/27 | ** | 1,558 | |||||||||||
CAPITAL ONE BK (USA) NA 2.28%/VAR 01/28/2026 | Corporate Bond 2.28% 1/28/26 | ** | 1,383 | |||||||||||
CAPITAL ONE PRIME AUTO RECEIVABLES TRUST 2023-2 5. | Mortgage Backed Security 5.82% 6/15/28 | ** | 1,319 | |||||||||||
CARMAX AUTO OWNER TR 2023-2 5.05% 01/18/2028 | Mortgage Backed Security 5.05% 1/18/28 | ** | 1,555 | |||||||||||
CARMAX AUTO OWNER TR 2023-4 6% 07/17/2028 | Mortgage Backed Security 6.00% 7/17/28 | ** | 264 | |||||||||||
CARMX 2023-3 A3 5.28% 05/15/2028 | Mortgage Backed Security 5.28% 5/15/28 | ** | 1,031 | |||||||||||
CHASE ISSUANCE TR 3.97% 09/15/2027 | Mortgage Backed Security 3.97% 9/15/27 | ** | 1,674 | |||||||||||
CHASE ISSUANCE TR 5.16% 09/15/2028 | Mortgage Backed Security 5.16% 9/15/28 | ** | 1,949 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment, including maturity date, rate of interest, collateral, par or maturity value | (d) Historical Cost | (e) Current Value | ||||||||||
CHASE ISSUANCE TR 5.08% 09/15/2030 | Mortgage Backed Security 5.08% 9/15/30 | ** | 1,780 | |||||||||||
CITIGROUP INC 3.106%/VAR 04/08/2026 | Corporate Bond 3.11% 4/08/26 | ** | 1,664 | |||||||||||
CITIBANK CR CARD ISSUANCE TR 5.23% 12/08/2027 | Mortgage Backed Security 5.23% 12/08/27 | ** | 607 | |||||||||||
CITIGROUP COML MTG TR 2014-GC23 A3 3.356% 07/10/20 | Mortgage Backed Security 3.36% 7/10/47 | ** | 798 | |||||||||||
CITIGROUP COML MTG TR 2016-GC36 AAB 3.368% 02/10/2 | Mortgage Backed Security 3.37% 2/10/49 | ** | 303 | |||||||||||
CITIGROUP INC SOFR 2.014%/VAR 01/25/2026 | Corporate Bond 2.01% 1/25/26 | ** | 1,842 | |||||||||||
COMCAST CORP 3.95% 10/15/2025 | Corporate Bond 3.95% 10/15/25 | ** | 851 | |||||||||||
COREBRIDGE FINANCIAL INC 3.5% 04/04/2025 | Corporate Bond 3.50% 4/04/25 | ** | 203 | |||||||||||
COREBRIDGE GLOBAL FUNDING 0.9% 09/22/2025 144A | Corporate Bond 0.90% 9/22/25 | ** | 1,861 | |||||||||||
COREBRIDGE FINANCIAL INC 3.65% 04/05/2027 | Corporate Bond 3.65% 4/05/27 | ** | 284 | |||||||||||
UBS GROUP AG 2.593%/VAR 09/11/2025 144A | Corporate Bond 2.59% 9/11/25 | ** | 1,268 | |||||||||||
UBS GROUP AG 1.305%/VAR 02/02/2027 144A | Corporate Bond 1.31% 2/02/27 | ** | 1,565 | |||||||||||
UBS GROUP AG 6.373%/VAR 07/15/2026 144A | Corporate Bond 6.37% 7/15/26 | ** | 1,145 | |||||||||||
CSAIL 2019-C15 COML MTG TR 3.4505% 03/15/2052 | Mortgage Backed Security 3.45% 3/15/52 | ** | 823 | |||||||||||
DLLAA 2023-1A 5.64% 02/22/2028 144A | Mortgage Backed Security 5.64% 2/22/28 | ** | 119 | |||||||||||
DNB BANK ASA T5Y 1.535%/VAR 05/25/2027 144A | Corporate Bond 1.54% 5/25/27 | ** | 875 | |||||||||||
MERCEDES-BENZ FINANCE NORTH AMERICA LLC 1.45% 03/0 | Corporate Bond 1.45% 3/02/26 | ** | 1,344 | |||||||||||
DEERE & CO 2.75% 04/15/2025 | Corporate Bond 2.75% 4/15/25 | ** | 106 | |||||||||||
DEERE JOHN CAPITAL CORP 4.75% 06/08/2026 | Corporate Bond 4.75% 6/08/26 | ** | 672 | |||||||||||
DELL EQUIPMENT FINANCE TRUST 2023-3 5.93% 04/23/20 | Mortgage Backed Security 5.93% 4/23/29 | ** | 670 | |||||||||||
DELL EQUIP FIN TR 2023-2 5.65% 01/22/2029 144A | Mortgage Backed Security 5.65% 1/22/29 | ** | 480 | |||||||||||
DEUTSCHE BANK AG NEW YORK BNCH 2.129%/VAR 11/24/20 | Corporate Bond 2.13% 11/24/26 | ** | 1,193 | |||||||||||
DEUTSCHE BANK AG NEW YORK BNCH 1.447%/VAR 04/01/20 | Corporate Bond 1.45% 4/01/25 | ** | 1,406 | |||||||||||
DEUTSCHE BANK AG NEW YORK BNCH 2.311%/VAR 11/16/20 | Corporate Bond 2.31% 11/16/27 | ** | 1,275 | |||||||||||
DISCOVER CARD EXECUTION NT TR 3.32% 05/15/2027 | Mortgage Backed Security 3.32% 5/15/27 | ** | 1,774 | |||||||||||
DISCOVER CARD EXECUTION NT TR 3.56% 07/15/2027 | Mortgage Backed Security 3.56% 7/15/27 | ** | 1,676 | |||||||||||
DISCOVER CARD EXECUTION NT TR 5.03% 10/15/2027 | Mortgage Backed Security 5.03% 10/15/27 | ** | 1,546 | |||||||||||
DNB BANK ASA 1.605/VAR 03/30/2028 144A | Corporate Bond 1.60% 3/30/28 | ** | 1,649 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment, including maturity date, rate of interest, collateral, par or maturity value | (d) Historical Cost | (e) Current Value | ||||||||||
DOLLAR GEN CORP NEW 4.625% 11/01/2027 | Corporate Bond 4.63% 11/01/27 | ** | 1,241 | |||||||||||
DUKE ENERGY CORP NEW 4.3% 03/15/2028 | Corporate Bond 4.30% 3/15/28 | ** | 1,062 | |||||||||||
ELP COMMERCIAL MORTGAGE TRUST 2021-ELP TSFR1M+81.5 | Mortgage Backed Security 6.18% 11/15/38 | ** | 1,167 | |||||||||||
ENBRIDGE INC 2.5% 02/14/2025 | Corporate Bond 2.50% 2/14/25 | ** | 297 | |||||||||||
ENBRIDGE INC 5.9% 11/15/2026 | Corporate Bond 5.90% 11/15/26 | ** | 584 | |||||||||||
EQUINOR ASA 1.75% 01/22/2026 | Corporate Bond 1.75% 1/22/26 | ** | 267 | |||||||||||
EQUITABLE FINANCIAL LIFE GLOBAL FUNDING 1.7% 11/12 | Corporate Bond 1.70% 11/12/26 | ** | 1,095 | |||||||||||
EXELON CORP 2.75% 03/15/2027 | Corporate Bond 2.75% 3/15/27 | ** | 140 | |||||||||||
FHLG 5.50% 3/34 #G01665 | Government Bond 5.50% 3/01/34 | ** | 32 | |||||||||||
FHLG 25YR 5.50% 7/35 #G05815 | Government Bond 5.50% 7/01/35 | ** | 21 | |||||||||||
FHLG 15YR 3% 05/01/2033#G16550 | Government Bond 3.00% 5/01/33 | ** | 510 | |||||||||||
FHLG 20YR 3.5% 06/01/2032#C91456 | Government Bond 3.50% 6/01/32 | ** | 360 | |||||||||||
FHLG 15YR 2.5% 01/01/2028#SB0799 | Government Bond 2.50% 1/01/28 | ** | 171 | |||||||||||
FHLG 15YR 2.5% 12/01/2031#SB0093 | Government Bond 2.50% 12/01/31 | ** | 797 | |||||||||||
FHLG 15YR 3% 02/01/2034#SB0179 | Government Bond 3.00% 2/01/34 | ** | 787 | |||||||||||
FHLG 15YR 3% 03/01/2033#SB0181 | Government Bond 3.00% 3/01/33 | ** | 1,494 | |||||||||||
FHLG 15YR 3.5% 04/01/2034#SB0378 | Government Bond 3.50% 4/01/34 | ** | 638 | |||||||||||
FHLG 5.50% 5/34 #Z40042 | Government Bond 5.50% 5/01/34 | ** | 242 | |||||||||||
FHLG 20YR 3% 11/01/2033#G30872 | Government Bond 3.00% 11/01/33 | ** | 555 | |||||||||||
FHLG 20YR 3.5% 07/01/2032#G31067 | Government Bond 3.50% 7/01/32 | ** | 239 | |||||||||||
FEDERAL NAT MTG ASN GTD REM PA 2012-149 DA 1.75% 0 | Mortgage Backed Security 1.75% 1/25/43 | ** | 56 | |||||||||||
FNR 2013-16 GP 3% 1/1/33 | Mortgage Backed Security 3.00% 3/25/33 | ** | 84 | |||||||||||
FEDERAL NAT MTG ASN GTD REM PA 1.85% 05/25/2033 | Mortgage Backed Security 1.85% 5/25/33 | ** | 407 | |||||||||||
FEDERAL NAT MTG ASN GTD REM PA 3.0% 06/25/2043 | Mortgage Backed Security 3.00% 6/25/43 | ** | 315 | |||||||||||
FNR 2015-49 LE 3% 07/45 | Mortgage Backed Security 3.00% 7/25/45 | ** | 320 | |||||||||||
FEDERAL NAT MTG ASN GTD REM PA 3.0% 04/25/2044 | Mortgage Backed Security 3.00% 4/25/44 | ** | 163 | |||||||||||
FEDERAL NAT MTG ASN GTD REM PA 2.5% 05/25/2045 | Mortgage Backed Security 2.50% 5/25/45 | ** | 656 | |||||||||||
FEDERAL NAT MTG ASN GTD REM PA 2015-28 JE 3.0% 05/ | Mortgage Backed Security 3.00% 5/25/45 | ** | 451 | |||||||||||
FNR 2015-42 LE 3.0% 06/25/45 | Mortgage Backed Security 3.00% 6/25/45 | ** | 408 | |||||||||||
FNR 2015-54 GA 2.5% 07/25/2045 | Mortgage Backed Security 2.50% 7/25/45 | ** | 249 | |||||||||||
FNR 2016-26 CG 3% 05/46 | Mortgage Backed Security 3.00% 5/25/46 | ** | 835 | |||||||||||
FNR 2016-19 AH 3% 04/46 | Mortgage Backed Security 3.00% 4/25/46 | ** | 314 | |||||||||||
FNR 2016-27 HK 3% 01/25/2041 | Mortgage Backed Security 3.00% 1/25/41 | ** | 459 | |||||||||||
FNR 2016-27 KG 3% 01/40 | Mortgage Backed Security 3.00% 1/25/40 | ** | 211 | |||||||||||
FNR 2016-37 BK 3% 06/25/46 | Mortgage Backed Security 3.00% 6/25/46 | ** | 903 | |||||||||||
FNR 2016-34 GH 3% 06/46 | Mortgage Backed Security 3.00% 6/25/46 | ** | 791 | |||||||||||
FEDERAL NATL MTG AS GTD RE PTT 2016-105 PA 3.5% 04 | Mortgage Backed Security 3.50% 4/25/45 | ** | 322 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment, including maturity date, rate of interest, collateral, par or maturity value | (d) Historical Cost | (e) Current Value | ||||||||||
FNR 2016-100 P 3.5% 11/44 | Mortgage Backed Security 3.50% 11/25/44 | ** | 536 | |||||||||||
FNR 2017-20 AP 3.5% 03/25/2045 | Mortgage Backed Security 3.50% 3/25/45 | ** | 761 | |||||||||||
FEDERAL NAT MTG ASN GTD REM PA 2017-11 HA 3.5% 12/ | Mortgage Backed Security 3.50% 12/25/45 | ** | 636 | |||||||||||
FANNIE MAE 2017-74 PA 3.5% 11/25/2045 | Mortgage Backed Security 3.50% 11/25/45 | ** | 624 | |||||||||||
FEDERAL NAT MTG ASN GTD REM 2017-97 P 3% 01/25/204 | Mortgage Backed Security 3.00% 1/25/47 | ** | 709 | |||||||||||
FEDERAL NAT MTG ASN GTD REM PA 2018-3 LP 3% 02/25/ | Mortgage Backed Security 3.00% 2/25/47 | ** | 1,095 | |||||||||||
FNR 2018-16 NB 3.25% 12/25/2044 | Mortgage Backed Security 3.25% 12/25/44 | ** | 90 | |||||||||||
FEDERAL NATL MTG AS GTD RE PTT 2018-11 LA 3.5% 07/ | Mortgage Backed Security 3.50% 7/25/45 | ** | 443 | |||||||||||
FEDERAL NAT MTG ASN GTD REM PA 3.5% 02/25/2046 | Mortgage Backed Security 3.50% 2/25/46 | ** | 396 | |||||||||||
FNMA GTD MTG PASS THRU CTF 3.5% 10/25/2044 | Mortgage Backed Security 3.50% 10/25/44 | ** | 504 | |||||||||||
FEDERAL NAT MTG ASN GTD REM PA 3% 03/25/2048 | Mortgage Backed Security 3.00% 3/25/48 | ** | 1,401 | |||||||||||
FEDERAL NAT MTG ASN GTD REM PA 2019-14 DA 4% 03/25 | Mortgage Backed Security 4.00% 3/25/48 | ** | 314 | |||||||||||
FEDERAL NAT MTG ASN GTD REM PA 4% 11/25/2048 | Mortgage Backed Security 4.00% 11/25/48 | ** | 369 | |||||||||||
FEDERAL NAT MTG ASN GTD REM PA 2019-38 AB 3% 07/25 | Mortgage Backed Security 3.00% 7/25/39 | ** | 817 | |||||||||||
FEDERAL NAT MTG ASN GTD REM PA 2.5% 10/25/2039 | Mortgage Backed Security 2.50% 10/25/39 | ** | 433 | |||||||||||
FEDERAL NAT MTG ASN GTD REM PA 2% 06/25/2035 | Mortgage Backed Security 2.00% 6/25/35 | ** | 919 | |||||||||||
FNMA 5.50% 11/34 #310105 | Mortgage Backed Security 5.50% 11/01/34 | ** | 173 | |||||||||||
FEDERAL HOME LN MTG MLT CTF GT 4135 AB 1.75% 06/15 | Mortgage Backed Security 1.75% 6/15/42 | ** | 48 | |||||||||||
FEDERAL HOME LN MTG MLT CTF GT 3.0% 05/15/2045 | Mortgage Backed Security 3.00% 5/15/45 | ** | 266 | |||||||||||
FREDDIE MAC 4656 PA 3.5% 10/15/2045 | Mortgage Backed Security 3.50% 10/15/45 | ** | 458 | |||||||||||
FHR 4683 EA 2.5% 05/47 | Mortgage Backed Security 2.50% 5/15/47 | ** | 762 | |||||||||||
FREDDIE MAC REMICS 2018-4766 MA 3.5% 02/15/2046 | Mortgage Backed Security 3.50% 2/15/46 | ** | 747 | |||||||||||
FEDERAL HOME LN MTGE CORP 4765 QA 3% 02/15/2046 | Mortgage Backed Security 3.00% 2/15/46 | ** | 757 | |||||||||||
FEDERAL HOME LN MTG MLT CTF GT 4847 CA 3.5% 11/15/ | Mortgage Backed Security 3.50% 11/15/45 | ** | 287 | |||||||||||
FEDERAL HOME LN MTG MLT CTF GT 4% 07/15/2047 | Mortgage Backed Security 4.00% 7/15/47 | ** | 484 | |||||||||||
FEDERAL HOME LN MTG MLT CTF GT 2019-4872 AB 4% 08/ | Mortgage Backed Security 4.00% 8/15/47 | ** | 475 | |||||||||||
FEDERAL HOME LN MTG MLT CTF GT 3% 07/25/2039 | Mortgage Backed Security 3.00% 7/25/39 | ** | 642 | |||||||||||
FREDDIE MAC REMICS 3% 10/25/2048 | Mortgage Backed Security 3.00% 10/25/48 | ** | 667 | |||||||||||
FNMA 6.50% 7/32 #545759 | Mortgage Backed Security 6.50% 7/01/32 | ** | 10 | |||||||||||
FNMA 6.50% 7/32 #545762 | Mortgage Backed Security 6.50% 7/01/32 | ** | 2 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment, including maturity date, rate of interest, collateral, par or maturity value | (d) Historical Cost | (e) Current Value | ||||||||||
FNMA 20YR 2.5% 01/01/2033#AL2982 | Mortgage Backed Security 2.50% 1/01/33 | ** | 123 | |||||||||||
FNMA 20YR 2.5% 01/01/2033#AL2974 | Mortgage Backed Security 2.50% 1/01/33 | ** | 155 | |||||||||||
FNMA 20YR 2.5% 01/01/2033#AL2975 | Mortgage Backed Security 2.50% 1/01/33 | ** | 185 | |||||||||||
FNMA 20YR 2.5% 01/01/2033#AL2976 | Mortgage Backed Security 2.50% 1/01/33 | ** | 103 | |||||||||||
FNMA 15YR 3.5% 09/01/2029#AL5878 | Mortgage Backed Security 3.50% 9/01/29 | ** | 179 | |||||||||||
FNMA 15YR 3.5% 11/01/2030#AL7688 | Mortgage Backed Security 3.50% 11/01/30 | ** | 160 | |||||||||||
FNMA 15YR 4.5% 11/01/2025#AL8242 | Mortgage Backed Security 4.50% 11/01/25 | ** | 10 | |||||||||||
FNMA 15YR 2.5% 10/01/2031#AS8010 | Mortgage Backed Security 2.50% 10/01/31 | ** | 348 | |||||||||||
FNMA 15YR 3.5% 12/01/2028#AV1907 | Mortgage Backed Security 3.50% 12/01/28 | ** | 5 | |||||||||||
FHR 3415 PC 5% 12/37 | Mortgage Backed Security 5.00% 12/15/37 | ** | 27 | |||||||||||
FEDERAL NAT MTG ASN GTD REM 2011-26 PA 4.5% 04/25/ | Mortgage Backed Security 4.50% 4/25/41 | ** | 221 | |||||||||||
* | FIDELITY SHORT TERM CASH FUND | Fid Inst Cash Port: MM Fund Class 1 SHS F/N/A | ** | 9,700 | ||||||||||
FNMA 6.50% 12/32 #735415 | Mortgage Backed Security 6.50% 12/01/32 | ** | 4 | |||||||||||
FNMA 6.50% 7/35 #745092 | Mortgage Backed Security 6.50% 7/01/35 | ** | 4 | |||||||||||
FNMA 15YR 3% 02/01/2033#BM5108 | Mortgage Backed Security 3.00% 2/01/33 | ** | 1,905 | |||||||||||
FNMA 15YR 3% 12/01/2032#BM5109 | Mortgage Backed Security 3.00% 12/01/32 | ** | 1,901 | |||||||||||
FNMA 15YR 3.5% 02/01/2035#FM0065 | Mortgage Backed Security 3.50% 2/01/35 | ** | 730 | |||||||||||
FNMA 20YR 4.5% 03/01/2039#FM1774 | Mortgage Backed Security 4.50% 3/01/39 | ** | 98 | |||||||||||
FNMA 20YR 4.5% 06/01/2039#FM1045 | Mortgage Backed Security 4.50% 6/01/39 | ** | 49 | |||||||||||
FNMA 20YR 4.5% 08/01/2039#FM1353 | Mortgage Backed Security 4.50% 8/01/39 | ** | 136 | |||||||||||
FNMA 30YR 4.5% 09/01/2049#FM1534 | Mortgage Backed Security 4.50% 9/01/49 | ** | 848 | |||||||||||
FNMA 15YR 3.5% 09/01/2034#FM1577 | Mortgage Backed Security 3.50% 9/01/34 | ** | 635 | |||||||||||
FNMA 15YR 3.5% 09/01/2034#FM1578 | Mortgage Backed Security 3.50% 9/01/34 | ** | 290 | |||||||||||
FNMA 15YR 3.5% 10/01/2034#FM1579 | Mortgage Backed Security 3.50% 10/01/34 | ** | 173 | |||||||||||
FNMA 15YR 4% 03/01/2034#FM2867 | Mortgage Backed Security 4.00% 3/01/34 | ** | 1,898 | |||||||||||
FNMA 15YR 4% 02/01/2034#FM3001 | Mortgage Backed Security 4.00% 2/01/34 | ** | 854 | |||||||||||
FNMA 20YR 3% 12/01/2040#FM4710 | Mortgage Backed Security 3.00% 3/01/40 | ** | 1,035 | |||||||||||
FNMA 20YR 3% 12/01/2040#FM4711 | Mortgage Backed Security 3.00% 3/01/40 | ** | 1,272 | |||||||||||
FNMA 15YR 3.5% 02/01/2033#FM9794 | Mortgage Backed Security 3.50% 2/01/33 | ** | 288 | |||||||||||
FNMA 15YR 2% 02/01/2028#FS3865 | Mortgage Backed Security 2.00% 2/01/28 | ** | 182 | |||||||||||
FNMA 15YR 2.5% 01/01/2028#FS3867 | Mortgage Backed Security 2.50% 1/01/28 | ** | 211 | |||||||||||
FNMA 15YR 2.5% 01/01/2029# | Mortgage Backed Security 2.50% 1/01/29 | ** | 368 | |||||||||||
FNMA 6.50% 8/36 #888034 | Mortgage Backed Security 6.50% 8/01/36 | ** | 6 | |||||||||||
FNMA 6.50% 8/36 #888544 | Mortgage Backed Security 6.50% 8/01/36 | ** | 30 | |||||||||||
FNMA 20YR 3.00% 11/32 #MA1237 | Mortgage Backed Security 3.00% 11/01/32 | ** | 1,265 | |||||||||||
FNMA 20YR 3% 07/01/2036#MA2672 | Mortgage Backed Security 3.00% 7/01/36 | ** | 1,703 | |||||||||||
FNMA 20YR 4% 04/01/2038#MA3337 | Mortgage Backed Security 4.00% 4/01/38 | ** | 681 | |||||||||||
FNMA 6.50% 12/35 #AD0723 | Mortgage Backed Security 6.50% 12/01/35 | ** | 35 | |||||||||||
FNMA 6.50% 8/36 #AE0746 | Mortgage Backed Security 6.50% 8/01/36 | ** | 23 | |||||||||||
FORD CREDIT AUTO OWNER TRUST 2023-B 5.23% 05/15/20 | Mortgage Backed Security 5.23% 5/15/28 | ** | 924 | |||||||||||
FORD CR FLOORPLN MAST OWN TR A 4.92% 05/15/2028 14 | Mortgage Backed Security 4.92% 5/15/28 | ** | 992 | |||||||||||
FORD CREDIT AUTO LEASE TRUST 2023-B 5.91% 10/15/20 | Mortgage Backed Security 5.91% 10/15/26 | ** | 1,379 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment, including maturity date, rate of interest, collateral, par or maturity value | (d) Historical Cost | (e) Current Value | ||||||||||
FORD CR AUTO OWNER TR 2019-1 A 3.52% 07/15/2030 14 | Mortgage Backed Security 3.52% 7/15/30 | ** | 1,471 | |||||||||||
GMF FLOORPLAN OWNER REVOLVING TR 5.34% 06/15/2028 | Mortgage Backed Security 5.34% 6/15/28 | ** | 1,367 | |||||||||||
GS MTG SECS TR 2014-GC26 AAB 3.365% 11/10/2047 | Mortgage Backed Security 3.37% 11/10/47 | ** | 146 | |||||||||||
GS MTG SECS TR 2015-GC32 AAB 3.513% 07/10/2048 | Mortgage Backed Security 3.51% 7/10/48 | ** | 169 | |||||||||||
GS MTG SECS TR 2015-GC28 AAB 3.206% 02/10/2048 | Mortgage Backed Security 3.21% 2/10/48 | ** | 142 | |||||||||||
GM FINANCIAL AUTOMOBILE LEASING TRUST 23-2 5.05% 0 | Mortgage Backed Security 5.05% 7/20/26 | ** | 984 | |||||||||||
GM FINL CONSUMER AUTOMOBILE RECEIVABLES TR 2023-2 | Mortgage Backed Security 4.47% 2/16/28 | ** | 401 | |||||||||||
GSK CONSUMER HEALTHCARE CAPITAL UK PLC 3.125% 03/2 | Corporate Bond 3.13% 3/24/25 | ** | 1,871 | |||||||||||
GM FINL CONSUMER AUTOMOBILE RECEIVABLES TR 2023-3 | Mortgage Backed Security 5.45% 6/16/28 | ** | 251 | |||||||||||
GENERAL MTRS FINL CO INC 1.25% 01/08/2026 | Corporate Bond 1.25% 1/08/26 | ** | 1,620 | |||||||||||
GENERAL MTRS FINL CO INC 1.05% 03/08/2024 | Corporate Bond 1.05% 3/08/24 | ** | 479 | |||||||||||
GENERAL MTRS FINL CO INC 2.35% 02/26/2027 | Corporate Bond 2.35% 2/26/27 | ** | 743 | |||||||||||
GEORGIA POWER CO 4.65% 05/16/2028 | Corporate Bond 4.65% 5/16/28 | ** | 851 | |||||||||||
GM FINANCIAL LEASING TRUST 2023-3 5.38% 11/20/2026 | Mortgage Backed Security 5.38% 11/20/26 | ** | 120 | |||||||||||
GM FINANCIAL SECURITIZED TERM AUTO RECEIVABLES TR | Mortgage Backed Security 5.78% 8/16/28 | ** | 1,088 | |||||||||||
GOLDMAN SACHS GROUP INC (THE) 2.64%/VAR 02/24/2028 | Corporate Bond 2.64% 2/24/28 | ** | 1,462 | |||||||||||
GOLDMAN SACHS GROUP INC (THE) 4.482%/VAR 08/23/202 | Corporate Bond 4.48% 8/23/28 | ** | 1,398 | |||||||||||
GREAT-WEST LIFECO FIN 20 0.904% 08/12/2025 144A | Corporate Bond 0.90% 8/12/25 | ** | 705 | |||||||||||
GUARDIAN LIFE GLOBAL FUNDING 1.4% 07/06/2027 144A | Corporate Bond 1.40% 7/06/27 | ** | 1,709 | |||||||||||
HSBC HOLDINGS PLC 3.803%/VAR 03/11/2025 | Corporate Bond 3.80% 3/11/25 | ** | 1,914 | |||||||||||
HSBC HOLDINGS PLC 2.251%/VAR 11/22/2027 | Corporate Bond 2.25% 11/22/27 | ** | 1,722 | |||||||||||
HSBC HOLDINGS PLC 5.21%/VAR 08/11/2028 | Corporate Bond 5.21% 8/11/28 | ** | 1,048 | |||||||||||
WELLTOWER OP LLC 4% 06/01/2025 | Corporate Bond 4.00% 6/01/25 | ** | 1,074 | |||||||||||
HEALTHCARE REALTY HOLDINGS LP 3.5% 08/01/2026 | Corporate Bond 3.50% 8/01/26 | ** | 161 | |||||||||||
HOME DEPOT INC 2.875% 04/15/2027 | Corporate Bond 2.88% 4/15/27 | ** | 675 | |||||||||||
HAROT 2023-4 5.67% 06/21/2028 | Mortgage Backed Security 5.67% 6/21/28 | ** | 963 | |||||||||||
HUNTINGTON BANCSHARES INC/OH 2.625% 08/06/2024 | Corporate Bond 2.63% 8/06/24 | ** | 1,297 | |||||||||||
HUNTINGTON BANCSHARES INC/OH 4.443%/VAR 08/04/2028 | Corporate Bond 4.44% 8/04/28 | ** | 816 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment, including maturity date, rate of interest, collateral, par or maturity value | (d) Historical Cost | (e) Current Value | ||||||||||
HUNTINGTON NATL BK COLUMBUS OH 5.699%/VAR 11/18/20 | Corporate Bond 5.70% 11/18/25 | ** | 1,407 | |||||||||||
HYUNDAI AUTO RECEIVABLES TRUST 2023-A 4.58% 04/15/ | Mortgage Backed Security 4.58% 4/15/27 | ** | 486 | |||||||||||
HYUNDAI AUTO RECEIVABLES TRUST 2023-C 5.54% 10/16/ | Mortgage Backed Security 5.54% 10/16/28 | ** | 797 | |||||||||||
HYUNDAI AUTO RECEIVABLES TRUST 2023-B 5.48% 04/17/ | Mortgage Backed Security 5.48% 4/17/28 | ** | 254 | |||||||||||
HYUNDAI AUTO LEASE SECURITIZATION TRUST 2023-C 5.8 | Mortgage Backed Security 5.80% 12/15/26 | ** | 1,141 | |||||||||||
ING GROEP NV SOFR 1.726%/VAR 04/01/2027 | Corporate Bond 1.73% 4/01/27 | ** | 812 | |||||||||||
INTERCONTINENTAL EXCHANGE INC 4% 09/15/2027 | Corporate Bond 4.00% 9/15/27 | ** | 1,598 | |||||||||||
JPMBB COML MTG SECS TR 2014-C22 3.8012% 09/15/2047 | Mortgage Backed Security 3.80% 9/15/47 | ** | 667 | |||||||||||
JPMCC COML MTG SECS TR 2016-JP4 A2 2.984% 12/15/20 | Mortgage Backed Security 2.98% 12/15/49 | ** | 82 | |||||||||||
JP MORGAN CHASE | Synthetic GIC - 2.033% (fair value to contract value) | ** | 5,180 | |||||||||||
JPMORGAN CHASE & CO 2.083/VAR 04/22/2026 | Corporate Bond 2.08% 4/22/26 | ** | 1,731 | |||||||||||
JPMORGAN CHASE & CO 1.045%/VAR 11/19/2026 | Corporate Bond 1.05% 11/19/26 | ** | 1,567 | |||||||||||
JPMORGAN CHASE & CO 0.824/VAR 06/01/2025 | Corporate Bond 0.82% 6/01/25 | ** | 1,580 | |||||||||||
JPMORGAN CHASE & CO SOFR 1.47%/VAR 09/22/2027 | Corporate Bond 1.47% 9/22/27 | ** | 1,793 | |||||||||||
JPMORGAN CHASE & CO 2.947%/VAR 02/24/2028 | Corporate Bond 2.95% 2/24/28 | ** | 1,616 | |||||||||||
JPMORGAN CHASE & CO 4.851%/VAR 07/25/2028 | Corporate Bond 4.85% 7/25/28 | ** | 1,430 | |||||||||||
KENVUE INC 5.35% 03/22/2026 | Corporate Bond 5.35% 3/22/26 | ** | 582 | |||||||||||
KENVUE INC 5.05% 03/22/2028 | Corporate Bond 5.05% 3/22/28 | ** | 1,230 | |||||||||||
KEYCORP 3.878%/VAR 05/23/2025 | Corporate Bond 3.88% 5/23/25 | ** | 581 | |||||||||||
KEYBANK NATL ASSN 4.15% 08/08/2025 | Corporate Bond 4.15% 8/08/25 | ** | 505 | |||||||||||
LIFE FINANCIAL SERVICES TRUST 2022 TSFR1M+129.524 | Mortgage Backed Security 6.66% 5/15/39 | ** | 1,233 | |||||||||||
LINCOLN NATL LIFE INS CO | Synthetic GIC - 2.043% (fair value to contract value) | ** | 2,798 | |||||||||||
LLOYDS BANKING GROUP PLC 2.438%/VAR 02/05/2026 | Corporate Bond 2.44% 2/05/26 | ** | 648 | |||||||||||
LLOYDS BANKING GROUP PLC 5.985%/VAR 08/07/2027 | Corporate Bond 5.99% 8/07/27 | ** | 758 | |||||||||||
LOWES COS INC 4.4% 09/08/2025 | Corporate Bond 4.40% 9/08/25 | ** | 844 | |||||||||||
LOWES COS INC 4.8% 04/01/2026 | Corporate Bond 4.80% 4/01/26 | ** | 244 | |||||||||||
MAGALLANES INC 3.638% 03/15/2025 | Corporate Bond 3.64% 3/15/25 | ** | 225 | |||||||||||
MAGALLANES INC 3.755% 03/15/2027 | Corporate Bond 3.76% 3/15/27 | ** | 429 | |||||||||||
MASSACHUSETTS MUTUAL | Synthetic GIC - 2.033% (fair value to contract value) | ** | 168 | |||||||||||
MERCEDES-BENZ AUTO RECEIVABLES TR 2023-2 5.95% 11/ | Mortgage Backed Security 5.95% 11/15/28 | ** | 624 | |||||||||||
METROPOLITAN LIFE INC CO | Synthetic GIC - 2.033% (fair value to contract value) | ** | 2,653 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment, including maturity date, rate of interest, collateral, par or maturity value | (d) Historical Cost | (e) Current Value | ||||||||||
MITSUBISHI UFJ FIN GRP INC 1.412% 07/17/2025 | Corporate Bond 1.41% 7/17/25 | ** | 1,425 | |||||||||||
MITSUBISHI UFJ FIN GRP INC 1.64%/VAR 10/13/2027 | Corporate Bond 1.64% 10/13/27 | ** | 2,199 | |||||||||||
MIZUHO FINL GROUP INC 1.234%/VAR 5/22/2027 | Corporate Bond 1.23% 5/22/27 | ** | 1,916 | |||||||||||
MIZUHO FINL GROUP INC T1Y 2.651%/VAR 05/22/2026 | Corporate Bond 2.65% 5/22/26 | ** | 1,516 | |||||||||||
MSBAM 2015-C22 ASB 3.04% 04/15/48 | Mortgage Backed Security 3.04% 4/15/48 | ** | 80 | |||||||||||
MORGAN STANLEY BK NA SALT LAKE 4.754% 04/21/2026 | Corporate Bond 4.75% 4/21/26 | ** | 958 | |||||||||||
MORGAN STANLEY BK NA SALT LAKE 5.882% 10/30/2026 | Corporate Bond 5.88% 10/30/26 | ** | 1,453 | |||||||||||
MORGAN STANLEY VAR/2.72 07/22/2025 | Corporate Bond 2.72% 7/22/25 | ** | 1,105 | |||||||||||
MORGAN STANLEY 2.188%/VAR 04/28/2026 | Corporate Bond 2.19% 4/28/26 | ** | 1,350 | |||||||||||
MORGAN STANLEY 4.679%/VAR 07/17/2026 | Corporate Bond 4.68% 7/17/26 | ** | 1,089 | |||||||||||
MORGAN STANLEY BK AMER MERRILL LYNCH TR 2014-C16 A | Mortgage Backed Security 3.48% 6/15/47 | ** | 17 | |||||||||||
MSBAM 2014-C17 ASB 3.477% 8/47 | Mortgage Backed Security 3.48% 8/15/47 | ** | 39 | |||||||||||
MORGAN STANLEY BK AMER MERRILL LYNCH TR 2015-C21 A | Mortgage Backed Security 3.15% 3/15/48 | ** | 45 | |||||||||||
MSBAM 2016-C28 3.272% 01/15/49 | Mortgage Backed Security 3.27% 1/15/49 | ** | 323 | |||||||||||
MORGAN STANLEY CAP I TR 2019-MEAD 3.17% 11/10/2036 | Mortgage Backed Security 3.17% 11/10/36 | ** | 956 | |||||||||||
NTT FINANCE CORP 1.162% 04/03/2026 144A | Corporate Bond 1.16% 4/03/26 | ** | 1,703 | |||||||||||
NATIONWIDE LIFE INS CO | Synthetic GIC - 2.043% (fair value to contract value) | ** | 3,913 | |||||||||||
NATWEST GRP PLC(UNGTD) 1.642/VAR 06/14/2027 | Corporate Bond 1.64% 6/14/27 | ** | 1,254 | |||||||||||
NYC TFA (PIT) 2.85% 2/1/2024 | Municipal Bond 2.85% 2/01/24 | ** | 434 | |||||||||||
NISOURCE INC 0.95% 08/15/2025 | Corporate Bond 0.95% 8/15/25 | ** | 595 | |||||||||||
NISSAN AUTO RECEIVABLES 2023-B OWNER TR 5.93% 03/1 | Mortgage Backed Security 5.93% 3/15/28 | ** | 738 | |||||||||||
OREILLY AUTOMOTIVE INC 5.75% 11/20/2026 | Corporate Bond 5.75% 11/20/26 | ** | 413 | |||||||||||
OPG TR 2021-PORT TSFR1M+59.848 8 10/15/2036 144A | Mortgage Backed Security 5.96% 10/15/36 | ** | 1,258 | |||||||||||
ORACLE CORP 1.65% 03/25/2026 | Corporate Bond 1.65% 3/25/26 | ** | 707 | |||||||||||
PNC FINANCIAL SERVICES GRP INC SOFR+ 12/02/2028 | Corporate Bond 5.35% 12/02/28 | ** | 955 | |||||||||||
PACIFIC LIFE INS CO | Synthetic GIC - 2.033% (fair value to contract value) | ** | 2,036 | |||||||||||
PARKER-HANNIFIN CORP 4.25% 09/15/2027 | Corporate Bond 4.25% 9/15/27 | ** | 714 | |||||||||||
PAYPAL HLDGS INC 1.65% 06/01/2025 | Corporate Bond 1.65% 6/01/25 | ** | 503 | |||||||||||
PHILIP MORRIS INTL INC 0.875% 05/01/2026 | Corporate Bond 0.88% 5/01/26 | ** | 877 | |||||||||||
PORSCHE FINL AUTO SECURITIZATION TR 2023 5.79% 01/ | Mortgage Backed Security 5.79% 1/22/29 | ** | 581 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment, including maturity date, rate of interest, collateral, par or maturity value | (d) Historical Cost | (e) Current Value | ||||||||||
PROTECTIVE LIFE GLOBAL FUNDING 3.218% 03/28/2025 1 | Corporate Bond 3.22% 3/28/25 | ** | 424 | |||||||||||
PRUDENTIAL INS CO AMERICA | Synthetic GIC - 2.033% (fair value to contract value) | ** | 4,544 | |||||||||||
RABOBANK NEDERLAND COOP CENTL 1.98%/VAR 12/15/2027 | Corporate Bond 1.98% 12/15/27 | ** | 1,744 | |||||||||||
RAYTHEON TECHNOLOGIES CORP 5.75% 11/08/2026 | Corporate Bond 5.75% 11/08/26 | ** | 631 | |||||||||||
RAYTHEON TECHNOLOGIES CORP 5.75% 01/15/2029 | Corporate Bond 5.75% 1/15/29 | ** | 302 | |||||||||||
CITIZENS BANK NA 2.25% 04/28/2025 | Corporate Bond 2.25% 4/28/25 | ** | 1,261 | |||||||||||
REGIONS FINL CORP NEW 2.25% 05/18/2025 | Corporate Bond 2.25% 5/18/25 | ** | 749 | |||||||||||
RGA GLOBAL FUNDING 2% 11/30/2026 144A | Corporate Bond 2.00% 11/30/26 | ** | 671 | |||||||||||
ROGERS COMMUNICATIONS INC 3.2% 03/15/2027 | Corporate Bond 3.20% 3/15/27 | ** | 460 | |||||||||||
ROPER TECHNOLOGIES INC 1% 09/15/2025 | Corporate Bond 1.00% 9/15/25 | ** | 203 | |||||||||||
ROSS STORES INC 0.875% 04/15/2026 | Corporate Bond 0.88% 4/15/26 | ** | 1,438 | |||||||||||
S&P GLOBAL INC 2.45% 03/01/2027 | Corporate Bond 2.45% 3/01/27 | ** | 1,539 | |||||||||||
SREIT TR 2021-MFP TSFR1M+84.528 08 11/15/2038 144A | Mortgage Backed Security 6.21% 11/15/38 | ** | 759 | |||||||||||
SANTANDER HLDGS USA INC 2.49%/VAR 01/06/2028 | Corporate Bond 2.49% 1/06/28 | ** | 520 | |||||||||||
SEMPRA 3.3% 04/01/2025 | Corporate Bond 3.30% 4/01/25 | ** | 707 | |||||||||||
STATE ST BK & TR CO BOSTON | Synthetic GIC - 2.033% (fair value to contract value) | ** | 2,258 | |||||||||||
7 ELEVEN INC 0.95% 02/10/2026 144A | Corporate Bond 0.95% 2/10/26 | ** | 563 | |||||||||||
7 ELEVEN INC 1.3% 02/10/2028 144A | Corporate Bond 1.30% 2/10/28 | ** | 668 | |||||||||||
SIEMENS FINANCIERINGSMAATSCHAPPIJ NV 1.2% 03/11/20 | Corporate Bond 1.20% 3/11/26 | ** | 1,285 | |||||||||||
SOCIETE GENERALE FRANCE 2.625% 10/16/2024 144A | Corporate Bond 2.63% 10/16/24 | ** | 312 | |||||||||||
SOCIETE GENERALE FRANCE 1.488%/VAR 12/14/2026 144A | Corporate Bond 1.49% 12/14/26 | ** | 1,039 | |||||||||||
SOCIETE GENERALE FRANCE 1.792/VAR 06/09/2027 144A | Corporate Bond 1.79% 6/09/27 | ** | 1,260 | |||||||||||
SOCIETE GENERALE FRANCE 2.797%/VAR 01/19/2028 144A | Corporate Bond 2.80% 1/19/28 | ** | 1,774 | |||||||||||
SOUTHERN COMPANY 5.5% 03/15/2029 | Corporate Bond 5.50% 3/15/29 | ** | 774 | |||||||||||
STATE STREET CORP 2.901%/VAR 03/30/2026 | Corporate Bond 2.90% 3/30/26 | ** | 75 | |||||||||||
SUMITOMO MITSUI FINL GRP INC 0.508% 01/12/2024 | Corporate Bond 0.51% 1/12/24 | ** | 206 | |||||||||||
SUMITOMO MITSUI FINL GRP INC 1.402% 09/17/2026 | Corporate Bond 1.40% 9/17/26 | ** | 1,830 | |||||||||||
TESLA ELEC VEH TR 2023-1 5.38% 06/20/2028 144A | Mortgage Backed Security 5.38% 6/20/28 | ** | 627 | |||||||||||
TORONTO DOMINION BANK 2.8% 03/10/2027 | Corporate Bond 2.80% 3/10/27 | ** | 1,543 | |||||||||||
TOYOTA AUTO RECEIVABLES 2023-D OWNER TR 5.54% 08/1 | Mortgage Backed Security 5.54% 8/15/28 | ** | 787 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment, including maturity date, rate of interest, collateral, par or maturity value | (d) Historical Cost | (e) Current Value | ||||||||||
TOYOTA LEASE OWNER TRUST 2023-B 5.66% 11/20/2026 1 | Mortgage Backed Security 5.66% 11/20/26 | ** | 1,244 | |||||||||||
TRANSAMERICA PREMIER LIFE | Synthetic GIC - 2.033% (fair value to contract value) | ** | 4,123 | |||||||||||
TRUIST FINANCIAL CORP 4.26%/VAR 07/28/2026 | Corporate Bond 4.26% 7/28/26 | ** | 1,446 | |||||||||||
USAA AUTO OWNER TRUST 2023-A 5.58% 05/15/2028 144A | Mortgage Backed Security 5.58% 5/15/28 | ** | 1,399 | |||||||||||
UST NOTES 1.5% 01/31/2027 | Government Bond 1.50% 1/31/27 | ** | 2,980 | |||||||||||
UST NOTES 0.75% 03/31/2026 | Government Bond 0.75% 3/31/26 | ** | 21,542 | |||||||||||
UST NOTES 2.75% 04/30/2027 | Government Bond 2.75% 4/30/27 | ** | 25,525 | |||||||||||
UST NOTES 2.625% 05/31/2027 | Government Bond 2.63% 5/31/27 | ** | 4,819 | |||||||||||
UST NOTES 4.125% 09/30/2027 | Government Bond 4.13% 9/30/27 | ** | 37,812 | |||||||||||
UST NOTES 4.125% 10/31/2027 | Government Bond 4.13% 10/31/27 | ** | 19,018 | |||||||||||
UST NOTES 3.875% 11/30/2027 | Government Bond 3.88% 11/30/27 | ** | 2,755 | |||||||||||
UST NOTES 4% 02/29/2028 | Government Bond 4.00% 2/29/28 | ** | 10,314 | |||||||||||
UST NOTES 3.625% 03/31/2028 | Government Bond 3.63% 3/31/28 | ** | 18,292 | |||||||||||
UST NOTES 3.625% 05/15/2026 | Government Bond 3.63% 5/15/26 | ** | 1,050 | |||||||||||
UST NOTES 3.625% 05/31/2028 | Government Bond 3.63% 5/31/28 | ** | 33 | |||||||||||
UST NOTES 4.125% 06/15/2026 | Government Bond 4.13% 6/15/26 | ** | 26,723 | |||||||||||
UST NOTES 4% 06/30/2028 | Government Bond 4.00% 6/30/28 | ** | 4,810 | |||||||||||
UST NOTES 4.125% 07/31/2028 | Government Bond 4.13% 7/31/28 | ** | 13,204 | |||||||||||
UST NOTES 4.625% 09/30/2028 | Government Bond 4.63% 9/30/28 | ** | 7,531 | |||||||||||
UST NOTES 5% 10/31/2025 | Government Bond 5.00% 10/31/25 | ** | 23 | |||||||||||
UST NOTES 4.875% 10/31/2028 | Government Bond 4.88% 10/31/28 | ** | 225 | |||||||||||
UST NOTES 3.75% 12/31/2028 | Government Bond 3.75% 12/31/28 | ** | 41,125 | |||||||||||
UNITEDHEALTH GROUP INC 3.7% 05/15/2027 | Corporate Bond 3.70% 5/15/27 | ** | 1,306 | |||||||||||
VENTAS RLTY LTD PARTNERSHIP 3.5% 04/15/2024 | Corporate Bond 3.50% 4/15/24 | ** | 670 | |||||||||||
VENTAS RLTY LTD PARTNERSHIP 2.65% 01/15/2025 | Corporate Bond 2.65% 1/15/25 | ** | 1,030 | |||||||||||
VERIZON COMMUNICATIONS INC 1.45% 03/20/2026 | Corporate Bond 1.45% 3/20/26 | ** | 573 | |||||||||||
VERIZON MASTER TRUST 2021-1 A 0.5% 05/20/2027 | Mortgage Backed Security 0.50% 5/20/27 | ** | 1,508 | |||||||||||
VERIZON MASTER TRUST 2021-1 A 0.99% 04/20/2028 | Mortgage Backed Security 0.99% 4/20/28 | ** | 2,212 | |||||||||||
VERIZON MASTER TRUST 3.72% 07/20/2027 | Mortgage Backed Security 3.72% 7/20/27 | ** | 875 | |||||||||||
VERIZON MASTER TRUST 4.89% 04/13/2028 | Mortgage Backed Security 4.89% 4/13/28 | ** | 1,201 | |||||||||||
VERIZON MASTER TRUST 5.61% 09/08/2028 | Mortgage Backed Security 5.61% 9/08/28 | ** | 1,202 | |||||||||||
VIRGINIA ELECTRIC AND POWER CO 3.75% 05/15/2027 | Corporate Bond 3.75% 5/15/27 | ** | 1,553 | |||||||||||
VOLKSWAGEN GROUP AMER FIN LLC 1.25% 11/24/2025 144 | Corporate Bond 1.25% 11/24/25 | ** | 1,971 | |||||||||||
VOLKSWAGEN GROUP AMER FIN LLC 3.95% 06/06/2025 144 | Corporate Bond 3.95% 6/06/25 | ** | 735 |
(a) | (b) Identity of issue, borrower, lessor, or similar party | (c) Description of investment, including maturity date, rate of interest, collateral, par or maturity value | (d) Historical Cost | (e) Current Value | ||||||||||
VOLKSWAGEN GROUP AMER FIN LLC 4.35% 06/08/2027 144 | Corporate Bond 4.35% 6/08/27 | ** | 688 | |||||||||||
VOLKSWAGEN GROUP AMER FIN LLC 5.7% 09/12/2026 144A | Corporate Bond 5.70% 9/12/26 | ** | 2,063 | |||||||||||
VOLKSWAGEN AUTO LEASE TRUST 2023-A 5.81% 10/20/202 | Mortgage Backed Security 5.81% 10/20/26 | ** | 1,636 | |||||||||||
VOLKSWAGEN AUTO LOAN ENHANCED TRUST 2023-1 5.02% 0 | Mortgage Backed Security 5.02% 6/20/28 | ** | 686 | |||||||||||
VOLKSWAGEN AUTO LOAN ENHANCED TRUST 2023-2 5.48% 1 | Mortgage Backed Security 5.48% 12/20/28 | ** | 917 | |||||||||||
WFRBS COML MTG TR 2014-C20 ASB 3.638% 05/15/2047 | Mortgage Backed Security 3.64% 5/15/47 | ** | 1 | |||||||||||
WFRBS COML MTG TR 2014-C22 ASB 3.464% 09/15/2057 | Mortgage Backed Security 3.46% 9/15/57 | ** | 216 | |||||||||||
WFRBS COML MTG TR 2014-C23 ASB 3.636% 10/15/2057 | Mortgage Backed Security 3.64% 10/15/57 | ** | 72 | |||||||||||
WELLS FARGO BK NATL ASSN 5.254% 12/11/2026 | Corporate Bond 5.25% 12/11/26 | ** | 1,421 | |||||||||||
WELLS FARGO COML MTG TR 15-C27 ASB 3.278% 02/15/20 | Mortgage Backed Security 3.28% 2/15/48 | ** | 202 | |||||||||||
WELLS FARGO & CO NEW 2.164%/VAR 02/11/2026 | Corporate Bond 2.16% 2/11/26 | ** | 1,786 | |||||||||||
WELLS FARGO & CO NEW 2.188/VAR 04/30/2026 | Corporate Bond 2.19% 4/30/26 | ** | 1,058 | |||||||||||
WELLS FARGO & CO NEW 3.526%/VAR 03/24/2028 | Corporate Bond 3.53% 3/24/28 | ** | 916 | |||||||||||
WELLS FARGO & CO NEW 4.808%/VAR 07/25/2028 | Corporate Bond 4.81% 7/25/28 | ** | 1,419 | |||||||||||
WELLTOWER OP LLC 3.625% 03/15/2024 | Corporate Bond 3.63% 3/15/24 | ** | 1,187 | |||||||||||
WORLD OMNI AUTO RECEIVABLES TR 2023-D 5.79% 02/15/ | Mortgage Backed Security 5.79% 2/15/29 | ** | 882 | |||||||||||
WORLD OMNI AUTO RECEIVABLES TRUST 2023-C 5.15% 11/ | Mortgage Backed Security 5.15% 11/15/28 | ** | 148 | |||||||||||
Subtotal – Managed Income Funds | 577,532 | |||||||||||||
Self-Directed Brokerage Account | Various shares | ** | 145,107 | |||||||||||
Total Investment Assets | 3,286,881 | |||||||||||||
* | Participant Loans | Interest rates ranging 4.25% - 9.50% with maturity dates through December 2028 | 49,372 |
Date: June 27, 2024 | By: /s/Michelle R. Stewart | ||||
Michelle R. Stewart | |||||
Vice President, Chief Accounting Officer and Corporate Controller, Eastman Chemical Company; Member of Eastman Investment Plan Committee and Named Fiduciary for Eastman Investment and Employee Stock Ownership Plan |
Exhibit Number | Description | Sequential Page Number | ||||||
34 |