1 DebtU.S. Treasury Bills 0 2026-04-09 8.53% 8.5% - $757.03M - - - 2 DebtTreasury Bill Feb 24, 2026 3.31% 11.8% - $293.63M - - - 3 DebtTreasury Floating Rate Note 4.43% Apr 30, 2027Financials · Diversified Financial Services 2.06% 13.9% - $182.75M - Financials Diversified Financial Services 4 DebtEcolab Inc 1.51% 15.4% 3,711,275 $134.42M - - - 5 DebtTreasury Bill 0% Apr 30, 2026 1.33% 16.7% - $118.30M - - - 6 —Jxtg Holdings Inc 1.15% 17.9% 12,038,000 $101.74M +3.45M - - 7 T TSTXX Blackrock Liquidity Funds T-FundFinancials · Capital Markets 1.11% 19.0% 98,720,287 $98.72M - Financials Capital Markets 8 DebtTreasury Floating Rate Note 4.34% Jan 31, 2027Financials · Diversified Financial Services 0.99% 20.0% - $87.92M - Financials Diversified Financial Services 9 —Daiwa House Industry Co. Ltd. Com Stk 0.96% 20.9% 2,505,200 $85.36M +2.12M - - 10 —Barclays Plc 0.84% 21.8% 11,172,358 $74.57M - - - 11 DebtAres Commercial Mortgage Trust, Series 24-Ind, Class A, (1-Month Usd Cme Term Sofr + 1.69%) 0.84% 22.6% 1,565,762 $74.88M - - - 12 DebtUnibail-Rodamco-Westfield Se Mtn Regs 2.63% Apr 09, 2030 0.79% 23.4% 49,103 $70.41M - - - 13 —Purchased Chf / Sold Usd 0.74% 24.2% 759,204 $65.37M - - - 14 —Hitachi Ltd 0.70% 24.9% 1,792,600 $62.20M +1.22M - - 15 —Energy Reservoir Holding Llc Tax Blocker Pp 0.64% 25.5% 8,005,962 $56.68M - - - 16 —Sold BRL Bought USD 20260702 0.63% 26.1% 18,482,100 $56.22M - - - 17 —Assicurazioni Generali 0.63% 26.8% 1,375,071 $56.09M - - - 18 —Upstart Network, Inc., FW1888517.UP.FTS.B 0.62% 27.4% 472,789 $54.71M - - - 19 —Rfr USD Sofr/3.00000 03/19/25-2Y Cme 0.61% 28.0% 479,735 $53.82M - - - 20 S SONY Sony Group Corp 0.59% 28.6% 2,374,200 $52.35M +1.58M - - 21 DebtTreasury Floating Rate Note 5.54% Jan 31, 2026Financials · Diversified Financial Services 0.59% 29.2% - $52.60M - Financials Diversified Financial Services 22 DebtUnited States Treasury Note/Bond 0.59% 29.8% 4,514,600 $52.09M - - - 23 M MQG Macquarie Group Ltd. 0.58% 30.3% 349,889 $51.35M +325.5K - - 24 —Bought KWD Sold USD 20260617 0.56% 30.9% 2,296,938 $49.74M - - - 25 B BMY Bristol Myers Squibb 0.55% 31.4% 889,789 $48.98M - - - 26 —Sysmex Corp option 0.54% 32.0% 5,108,500 $48.34M - - - 27 DebtDelaware State Housing Authority Single Family Mortgage Revenue Bonds 0.54% 32.5% 1,563,957 $47.50M - - - 28 DebtAmadeus It Group Sa 2.875 2027-05-20 0.53% 33.1% 863,504 $47.14M - - - 29 —Myr Fwd Pur From USD 2/9/2026 0.53% 33.6% 2,833,266 $46.63M - - - 30 B BWA Borgwarner Inc 0.53% 34.1% 990,302 $46.95M - - - 31 —Honeywell International Inc option 0.52% 34.6% 204,452 $46.52M - - - 32 DebtBahrain Government International Bond 0.52% 35.2% 268,809 $45.80M - - - 33 —Obx 2026-Inv1 Af Obx 2026-Inv1 Af 0.52% 35.7% 6,522,477 $46.18M - - - 34 —Gnma Ii Pool Ma4900 G2 12/47 Fixed 3.5 0.52% 36.2% 194,481 $46.54M - - - 35 DebtKinscd 0.52% 36.7% 2,609,632 $46.49M - - - 36 —Suzuki Motor Corp 0.51% 37.2% 3,321,400 $45.29M +3.19M - - 37 —Pan Pacific International Ho 0.51% 37.7% 7,698,400 $45.58M -426.3K - - 38 —Natwest Group Plc 0.50% 38.2% 4,871,869 $44.41M - - - 39 —Level 3 Financing Inc Term Loan B4 6.97 2032-03-29 0.49% 38.7% 911,109 $43.57M - - - 40 —Euro Stoxx 50 Jun23 0.49% 39.2% 135,123 $43.49M - - - 41 —Forward Foreign Currency Contract 0.49% 39.7% 2,623,415 $43.18M - - - 42 —Japan (30 Year Issue) /JPY/ Regd Ser 71 0.70000000 0.48% 40.2% 697,235 $42.77M - - - 43 C CS Axa Sa 0.47% 40.7% 912,773 $41.62M +548.6K - - 44 —Zijin Gold International Co Ltd 0.47% 41.1% 1,500,400 $41.57M -621.6K - - 45 —Japan Tobacco Inc 0.47% 41.6% 1,150,600 $41.58M +1.11M - - 46 —Nn Group Nv 0.47% 42.1% 528,532 $41.90M - - - 47 —Cyber Agent Inc 0.47% 42.5% 4,598,300 $41.72M - - - 48 —Federation Of Malaysia 0.0263% 2031/04/15 0.46% 43.0% 513,117 $40.46M - - - 49 —Mexico (United Mexican States) (Go 3.5% Sep 19, 2029 0.46% 43.5% 473,867 $40.61M - - - 50 —317Ua1Ma3 Pimco Swaption 3.067 Call USD 202608 0.46% 43.9% 113,148 $40.43M - - - More holdings · Pro