1 F FTBFX Fidelity Cash Central FundFinancials · Diversified Financial Services 10.84% 10.8% 6,303,594 $6.30M Financials Diversified Financial Services 2 DebtTreasury Note (Otr) 3.38% May 15, 2033Financials · Banks 2.43% 13.3% - $1.41M Financials Banks Sector and industry · Pro3 DebtUS Treasury N/B 2.25 2/52 2.12% 15.4% - $1.23M 4 DebtUs Treasury N/B 11/35 4 2.12% 17.5% - $1.23M 5 DebtTreasury Note (Otr) 3.63% Dec 31, 2030 2.07% 19.6% - $1.21M 6 DebtUs Treasury N/B 2.07% 21.7% - $1.20M Sector and industry · Pro7 DebtUs Treas Nts 1.87% 23.5% - $1.09M 8 DebtTreasury Note (Otr) 4.38% Nov 30, 2030 1.63% 25.2% - $947.0K 9 DebtUs Treasury N/B 12/30 3.75 3.75 2030-12-31 1.63% 26.8% - $949.3K 10 DebtUs Treas Nts 1.58% 28.4% - $917.3K 11 DebtU.S. Treasury Note, 4%, Due 04/30/2032 1.56% 29.9% - $908.1K 12 DebtWi Treasury Sec 11/55 1.52% 31.4% - $884.5K 13 —Fannie Mae Or Freddie Mac Tba, 2%, Due 08/01/2050 1.46% 32.9% - $848.9K 14 —Fannie Mae Pool 0.06% Mar 13/2053 1.45% 34.4% - $846.2K 15 DebtUnited States Treasury Note/Bond 1.38% 35.7% - $804.5K 16 DebtTreasury Note (Otr) 3.63% Sep 30, 2031 1.14% 36.9% - $664.1K 17 DebtTreasury Bond (Otr) 4.75% May 15, 2055 1.10% 38.0% - $637.1K 18 DebtUnited States Treasury Note 05/32 4.25 1.08% 39.1% - $626.9K 19 DebtUs Treas Nts 1.07% 40.1% - $622.3K 20 DebtU.S. Treasury Bonds 1.05% 41.2% - $609.1K 21 DebtTreasury Note (Otr) 4.63% Feb 15, 2035 1.05% 42.2% - $612.0K 22 DebtTreasury Bond 1.04% 43.3% - $604.2K 23 —Fannie Mae Or Freddie Mac 03/01/2054 1.04% 44.3% - $606.2K 24 DebtWi Treasury Sec 08/55 4.75 0.99% 45.3% - $575.3K 25 DebtU.S. Treasury Bond 0.98% 46.3% - $569.2K 26 DebtUs Treas Nts 0.96% 47.2% - $561.0K 27 —Federal National Mortgage Association Fnma-30Yr 0.93% 48.2% - $538.4K 28 DebtTreasury Bond (Otr) 4.5% Nov 15, 2054 0.89% 49.0% - $518.8K 29 —Gnma Ii Tba 30Yr 6% Mar 23 0.88% 49.9% - $510.1K 30 DebtUs Treasury N/B 2033-08-15 0.87% 50.8% - $503.6K 31 DebtUmbs 30Yr 0.79% 51.6% - $461.5K 32 —Umbs 30Yr Tba(Reg A) 5.5% Mar 13, 2023 0.74% 52.3% - $431.8K 33 DebtUs Treasury N/B 09/32 3.875 0.72% 53.0% - $416.4K 34 DebtTreasury Note (Otr) 3.75% Oct 31, 2032 0.67% 53.7% - $391.1K 35 —Government Of The United States Of America 4.0% 31-Jan-2033 0.66% 54.4% - $386.5K 36 DebtUs Treasury N/B 06/32 4 0.63% 55.0% - $366.8K 37 DebtUs Treasury Note 4.0000% Mat 01/31/2029 0.61% 55.6% - $355.9K 38 DebtUs Treasury N/B 0.54% 56.2% - $316.9K 39 DebtTreasury Note (Otr) 4% Jul 31, 2029 0.53% 56.7% - $305.6K 40 —Morgan Stanley Variable Rate, Due 10/22/2031 0.52% 57.2% - $300.7K 41 G GIS General Mills, Inc. 0.45% 57.7% - $260.3K 42 DebtVerizon Comm Inc 0.45% 58.1% - $259.3K 43 DebtUs Treasury N/B 4.63 2055-02-15 0.44% 58.6% - $257.3K 44 DebtAmgen Inc Sr Unsecured 02/29 3 0.44% 59.0% - $253.7K 45 —Aimco Clo 19 2024-19A A Ltd Tsfr3M+135 10/20/2037 144A 0.0135% 10-20-2037 0.43% 59.4% - $250.8K 46 —Aimco Clo 2020-11A A1R2 Ltd Tsfr3M+134 07/17/2037 144A 0.0658394% 2037-07-17 0.43% 59.9% - $250.8K 47 —Aimco Clo Series 2018-B 0.43% 60.3% - $250.3K 48 —Ares Lix Clo Ltd Ser 202159A Cl A V/R Regd 144A P/P 0.00000000 0.43% 60.7% - $250.3K 49 DebtBmc Software 0.43% 61.1% - $250.6K 50 —Dryden 2022-108A A1R Clo Ltd / Dryden 2022-108A A1R Clo Llc Tsfr3M+136 07/18/2037 144A 0.0663863% 2037-07-18 0.43% 61.6% - $250.3K More holdings · Pro