Morgan Stanley Institutional Liquidity Funds - Government Portfolio - Institutional Class
1.45%
70.0%
3,559,835
$3.56M
29
—
Purchased Ron / Sold Eur
1.44%
71.5%
-
$3.54M
30
Debt
Ypf Sa
1.44%
72.9%
-
$3.55M
31
—
Purchased KZT / Sold USD
1.31%
74.2%
-
$3.22M
32
—
Irish Tsy 1.10% 2029 1.100000% 05/15/2029
1.30%
75.5%
-
$3.20M
33
Debt
Ustn
1.29%
76.8%
-
$3.18M
34
Debt
Japan Government Twenty Year Bond
1.29%
78.1%
-
$3.17M
35
Debt
New Zealand Government Bond
1.29%
79.4%
-
$3.18M
36
—
Mexican Bonos Series M 8.50%, 02/28/30
1.26%
80.7%
-
$3.10M
37
Debt
French Republic Government Bond Oat
1.17%
81.8%
-
$2.88M
38
—
Corra 90Day Fut Corz6 03-16-27
0.98%
82.8%
-
$2.41M
39
—
Bought EUR Sold USD 20251002
0.95%
83.8%
-
$2.33M
40
—
EURO-Oat Future Mar26
0.93%
84.7%
-
$2.29M
41
—
Sofr 90Day Fut Opt Sfrz6C C @ 98 12-11-26
0.91%
85.6%
-
$2.23M
42
Debt
Government National Mortgage Association
0.78%
86.4%
-
$1.93M
43
Debt
Germany (Federal Republic Of)
0.76%
87.1%
-
$1.88M
44
—
NZD/USD Fwd 20260331
0.75%
87.9%
-
$1.84M
45
—
Rfr USD Sofr/3.86166 12/02/24-4Y* Lch
0.69%
88.6%
-
$1.69M
46
—
Canada (Government Of) Dec 1, 2034 3.25
0.57%
89.2%
-
$1.40M
47
Debt
Czech Republic
0.54%
89.7%
-
$1.33M
48
—
Canadian Government 3.25% 01Jun2035
0.42%
90.1%
-
$1.04M
49
Debt
U.S. Treasury Bond, 1.25%, Due 05/15/2050
0.34%
90.5%
-
$826.3K
50
Debt
United States Treas Bds
0.34%
90.8%
-
$836.5K
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DLGBX Mutual Fund All Holdings
DLGBX holdings total 59 positions. The top 10 holdings account for 35.0% of the fund, led by Us Treasury 0.625% Aug 15, 2030 (USD) at 4.7%, Government Of The United States Of America 0.75% 31-Jan-2028 at 4.1%, United States Treasury 0.88% 15-Nov-2030 at 3.9%.
DLGBX portfolio concentration is moderate, with the top 10 representing 35.0% of total assets. The largest sector exposure is Financials at 39.1%.
DLGBX sectors provide a detailed breakdown. DLGBX overlap shows how holdings compare to other funds in your portfolio.