Long: SPH001N18 CDS USD R F 1.50000 SPH001N18_FEE CMBX / Short: SPH001N18 CDS USD P V 01MEVENT SPH001N18_PRO CMBX
0.79%
93.9%
$9.99M
-
-
35
—
Barclays Bank Plc 09/05/2024
0.79%
94.7%
$9.99M
-
-
36
—
Forward Foreign Currency Contract
0.79%
95.5%
$10.00M
-
-
37
—
Bnp Paribas Sa 09/03/2024
0.79%
96.3%
$10.00M
-
-
38
—
Mufg Securities Americas Inc. 09/03/2024
0.71%
97.0%
$9.00M
-
-
39
—
Svenska Handelsbanke 2024-09-06
0.45%
97.5%
$5.74M
-
-
40
—
Bedford Row Funding Corp 09/03/2024
0.40%
97.9%
$5.00M
-
-
41
—
Credit Agricole Corporate and Investment Bank 09/03/2024
0.40%
98.3%
$5.00M
-
-
42
—
Hsbc Securities (Usa), Inc. 09/03/2024
0.40%
98.7%
$5.00M
-
-
43
—
Aichi Prefecture 0.05 2029-09-20
0.40%
99.1%
$5.00M
-
-
44
—
Anz New Zealand Internationallondon 09/25/2024
0.39%
99.4%
$4.98M
-
-
45
Debt
Caterpillar Finl Service Sr Unsecured 09/24 Var
0.28%
99.7%
$3.58M
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-
Scroll for 29 more
Not reported for this fund: shares, share changes.
FIUXX Mutual Fund All Holdings
FIUXX holdings total 46 positions. The top 10 holdings account for 55.9% of the fund, led by Bank Of Nova Scotia 9/3/2024 5.38 at 14.3%, Credit Agricole Corporate And Investment Bank 9/3/2024 5.34 at 9.5%, Totalenergies Capital Sa 9/3/2024 5.39 at 4.8%.
FIUXX portfolio concentration is relatively high, with the top 10 representing 55.9% of total assets. The largest sector exposure is Financials at 1.2%.
FIUXX sectors provide a detailed breakdown. FIUXX overlap shows how holdings compare to other funds in your portfolio.