1 DebtPimco Active Bond Exchange-Traded Fund UsetfFinancials · Thrifts 10.54% 10.5% 148,490,000 $143.39M Financials Thrifts 2 DebtUs Treasury N/Bunited States Treasury Note/Bond 05/15/2043Financials · Capital Markets 7.80% 18.3% 124,931,800 $106.17M Financials Capital Markets Sector and industry · Pro3 DebtU.S. Treasury Note, 3.875%, Due 04/30/2030 3.44% 21.8% 47,648,000 $46.83M 4 DebtUnited States Treasury Note/Bond 2.73% 24.5% 45,517,000 $37.08M 5 DebtTreasury Note 2.56% 27.1% 35,008,000 $34.76M 6 M MUIXX 12/31/2049Morgan Stanley Institutional Liquidity Funds - Government 4.05 2.15% 29.2% 29,180,749 $29.18M Sector and industry · Pro7 —Fannie Mae Or Freddie Mac 4.5 1.63% 30.8% 23,575,000 $22.13M 8 DebtNykredit Fixed Coupon 3.500000 Maturity 20561001 1.29% 32.1% 119,835,063 $17.49M 9 DebtFannie Mae Pool 1.24% 33.4% 16,973,506 $16.87M 10 DebtUs Treasury 4.0% 1.20% 34.6% 16,545,800 $16.35M 11 —European Investment Bank 0.94% 35.5% 13,000,000 $12.84M 12 DebtUs Treas Nts 0.78% 36.3% 10,960,000 $10.63M 13 —Fed Hm Ln Pc Pool Sd8474 5.00 2054-11-01 0.75% 37.1% 10,493,033 $10.18M 14 —Fannie Mae Pool 5.5 0.72% 37.8% 9,849,424 $9.77M 15 Debt- 0.71% 38.5% 9,785,817 $9.72M 16 DebtBank Of America Corp Sr Unsecured 04/32 Var 0.69% 39.2% 9,513,000 $9.34M 17 —Fed Hm Ln Pc Pool Rq0049 Fr 09/55 Fixed 5.5 5.5 2055-09-01 0.68% 39.9% 9,339,033 $9.26M 18 Debt- 0.67% 40.5% 9,230,854 $9.17M 19 DebtUnited States Treasury Note/Bond 0.65% 41.2% 8,819,000 $8.77M 20 —Umbs Tba 0.65% 41.8% 9,680,000 $8.84M 21 —Freddie Mac Pool,5.5,2055-03-01 0.58% 42.4% 7,890,812 $7.83M 22 —International Bank For Reconstruction & Development 4 2031-01-10 0.58% 43.0% 8,000,000 $7.87M 23 —Fnma Pool Ma5614 Fn 02/55 Fixed 5.5 0.56% 43.5% 7,629,273 $7.57M 24 DebtUnited States Treasury Note 2032-05-15 0.55% 44.1% 8,162,000 $7.50M 25 DebtTreasury Note (Otr) 4.25% Dec 31, 2026 0.55% 44.6% 7,474,000 $7.48M 26 DebtRoyal Bank Of Canada 0.55% 45.2% 7,582,000 $7.43M 27 DebtBank Of America Corp Mtn 5.51% Jan 24, 2036 0.53% 45.7% 7,250,000 $7.26M 28 DebtFnma 30Yr 0.51% 46.2% 7,196,445 $6.98M 29 DebtUs Treas Bds 0.50% 46.7% 7,200,000 $6.81M 30 —Olympus Water US Holding Corp., Series 144A, Senior, Secured, Notes, Callable, 9.750% Nov 15, 2028 0.49% 47.2% 6,762,000 $6.66M 31 —Fannie Mae-aces 0.46% 47.7% 6,436,647 $6.32M 32 —Pagaya Ai 5.209% 02/34 5.209 0.46% 48.1% 6,220,000 $6.20M 33 —Fed Hm Ln Pc Pool Sd8494 Fr 01/55 Fixed 5.5 0.45% 48.6% 6,217,206 $6.17M 34 —Bank Of America Corp Regd V/R 5.93300000 0.44% 49.0% 5,980,000 $5.99M 35 —Freddie Mac Pool 0.41% 49.4% 5,556,960 $5.53M 36 —Ha Sustainable Inf Cap Company Guar 07/34 6.375 0.40% 49.8% 5,371,000 $5.39M 37 DebtUs T-Note 0.40% 50.2% 5,470,200 $5.46M 38 DebtJPMorgan Chase & Co 0.39% 50.6% 5,403,000 $5.29M 39 —Fannie Mae - Aces 0.38% 51.0% 5,205,759 $5.11M 40 DebtGreat Wolf Trust 2024-Wolf Tsfr1M+154 0.37% 51.4% 5,061,000 $5.07M 41 —Liberty Mutual Group Inc 144A 5.25% May 01, 2036 5.25 2036-05-01 0.37% 51.7% 5,192,000 $5.03M 42 —Nextera Energy Capital Holdings In 5.45% Mar 15, 2035 0.36% 52.1% 4,885,000 $4.84M 43 —Charter Communications Operating Llc 5.375% 01-May-2047 0.35% 52.5% 6,178,000 $4.70M 44 —Fnma_19-M22 A2 2.52 Aug 25, 2029 0.35% 52.8% 5,023,874 $4.75M 45 C CVSB Calvert Ultra-Short Investment Grade Etf 0.35% 53.2% 95,000 $4.81M 46 —Neighborly Issuer LLC 0.35% 53.5% 4,950,688 $4.76M 47 —Bfld_25-660F A 144A 5.52 Nov 15, 2042 0.35% 53.9% 4,755,000 $4.77M 48 —Cloud Capital Cldcd 2024 1A A2 0.34% 54.2% 4,565,000 $4.56M 49 —New York State Electric & Gas Corporation 5% 0.34% 54.5% 4,659,000 $4.64M 50 —Kfw 4.38% Feb 28, 2034 0.33% 54.9% 4,539,000 $4.48M More holdings · Pro