1 —Trs Snam Spa 8.73% 8.7% 388,690,730 $388.69M - - - 2 —T/L Vestis Corporation 0.00000000 4.63% 13.4% 206,079,000 $206.08M - - - 3 DebtTreasury Bill 3.76% 17.1% 167,542,600 $167.32M - - - 4 N NVDA Nvidia Corp. Info Tech · Semiconductors 3.74% 20.9% 953,854 $166.35M +133.5K Info Tech Semiconductors 5 A AAPL Apple, Inc Info Tech · Tech Hardware 3.28% 24.1% 574,696 $145.85M +40.4K Info Tech Tech Hardware 6 M MSFT Microsoft Corp Info Tech · Software 2.39% 26.5% 286,821 $106.17M +38.0K Info Tech Software 7 —Bought Twd/sold Usd 2.25% 28.8% 86,998,109 $100.24M - - - 8 —Gbp Cash 2.00% 30.8% 67,678,445 $89.25M - - - 9 T TSTXX Blackrock Liq Fund T-Fd-In 1.95% 32.7% 86,615,798 $86.62M - - - 10 A AMZN Amazon.com Inc Consumer Disc. · Internet 1.86% 34.6% 397,861 $82.86M +85.2K Consumer Disc. Internet 11 —Trswap: Sptr Index 1.86% 36.5% -97,570 $82.58M - - - 12 —Alphabet IncComm. Services · Interactive Media 1.71% 38.2% 265,447 $76.33M +48.6K Comm. Services Interactive Media 13 G GOOG Alphabet Inc. C Comm. Services · Interactive Media 1.45% 39.6% 224,912 $64.52M - Comm. Services Interactive Media 14 —Fw5580270.Srdup 1.39% 41.0% 2,039,270,184 $61.83M - - - 15 —AUD Cash 1.37% 42.4% 88,921,416 $60.90M - - - 16 —IDR/USD Fwd 20260413 1.35% 43.7% 571,562,090 $60.00M - - - 17 A AVGO Broadcom Inc Info Tech · Semiconductors 1.33% 45.1% 191,228 $59.19M +21.3K Info Tech Semiconductors 18 —Openai Group Pbc Series A-3 1.32% 46.4% 9,371,052,237 $58.90M - - - 19 DebtNextera Energy Capital Holdings Inc 1.27% 47.6% 968,438,532 $56.58M - - - 20 M META Meta Platforms, Inc. Comm. Services · Interactive Media 1.15% 48.8% 89,540 $51.23M +19.3K Comm. Services Interactive Media 21 J JPM JPMorgan Chase Financials · Banks 0.90% 49.7% 136,328 $40.10M +15.6K Financials Banks 22 T TSLA Tesla Inc Consumer Disc. · Automobiles 0.76% 50.5% 91,071 $33.86M +20.4K Consumer Disc. Automobiles 23 L LLY Eli Lilly & Co. Health Care · Pharmaceuticals 0.69% 51.1% 33,350 $30.67M +15.3K Health Care Pharmaceuticals 24 B BRK.A Berkshire Hathaway Inc.Industrials · Industrial Conglomerates 0.68% 51.8% 63,494 $30.43M - Industrials Industrial Conglomerates 25 DebtJpn 10Y Bond(Ose) Jun26 Xose 20260615 0.67% 52.5% -1,424,000,000 $30.02M - - - 26 B BAC Bank Of America Corp. 0.65% 53.1% 589,771 $28.75M - - - 27 —Omv Ag 4.370% Flt Perp 0.61% 53.8% 1,536,083,303 $26.94M - - - 28 X XOM Exxon Mobil Corp. Energy · Oil & Gas 0.54% 54.3% 140,860 $23.90M +75.6K Energy Oil & Gas 29 W WMT Walmart, Inc. Cons. Staples · Consumer Staples Merchandise Retail 0.54% 54.8% 194,901 $24.22M +35.6K Cons. Staples Consumer Staples Merchandise Retail 30 J JNJ Johnson & Johnson - Health Care · Pharmaceuticals 0.51% 55.3% 92,177 $22.53M +53.3K Health Care Pharmaceuticals 31 H HON Honeywell International Inc. 0.50% 55.8% 98,510 $22.27M -27.5K - - 32 —Asml Holding N.V. 0.50% 56.3% 17,366 $22.39M +415 - - 33 L LIN Linde Plc Ordinary Shares Materials · Chemicals 0.48% 56.8% 43,418 $21.52M +2.4K Materials Chemicals 34 C COST Costco Wholesale Corp. Cons. Staples · Food & Staples Retailing 0.48% 57.3% 21,604 $21.53M +4.4K Cons. Staples Food & Staples Retailing 35 —Republic Of Ireland 0.35% Oct 18/32 0.45% 57.7% 408,032,041 $20.21M - - - 36 N NFLX Netflix, Inc. Comm. Services · Entertainment 0.44% 58.2% 204,317 $19.65M -19.0K Comm. Services Entertainment 37 C CVX Chevron Corp Energy · Oil & Gas 0.42% 58.6% 90,987 $18.83M +39.3K Energy Oil & Gas 38 M MU Micron Technology, Inc. Info Tech · Semiconductors 0.42% 59.0% 55,273 $18.67M +5.1K Info Tech Semiconductors 39 —General Electric Co.Industrials · Industrial Conglomerates 0.41% 59.4% 64,932 $18.43M +19.6K Industrials Industrial Conglomerates 40 W WFC Wells Fargo & Co. Financials · Banks 0.38% 59.8% 211,830 $16.86M +103.9K Financials Banks 41 —10-Year Jgb Trade Future, Jun 2026 0.37% 60.2% 16,450,780 $16.45M - - - 42 G GEV GE Vernova Inc. CDR (CAD Hedged) 0.36% 60.5% 18,127 $15.82M - - - 43 —Advanced Micro Devices Inc.Info Tech · Semiconductors 0.35% 60.9% 75,543 $15.37M - Info Tech Semiconductors 44 M MMM 3M Company Industrials · Industrial Conglomerates 0.35% 61.2% 108,139 $15.71M +54.4K Industrials Industrial Conglomerates 45 M MA Mastercard Inc Financials · Capital Markets 0.34% 61.6% 29,865 $14.92M +3.0K Financials Capital Markets 46 R RTX Rtx Corp. 0.33% 61.9% 77,159 $14.88M - - - 47 C CSCO Cisco Systems Inc. Info Tech · Communications Equipment 0.33% 62.2% 189,254 $14.68M +15.5K Info Tech Communications Equipment 48 C CTVA Corteva Inc Ctva Materials · Chemicals 0.33% 62.6% 174,942 $14.64M - Materials Chemicals 49 A ABBV AbbVie Inc. Health Care · Pharmaceuticals 0.32% 62.9% 66,411 $14.44M +2.9K Health Care Pharmaceuticals 50 A ABBN ABB Ltd.Industrials · Industrial Conglomerates 0.31% 63.2% 173,566 $13.66M +31.2K Industrials Industrial Conglomerates More holdings · Pro