Charter Communications Operating L 5.85% Dec 01, 2035Comm. Services · Media
0.24%
35.1%
9,480,000
$9.46M
Comm. Services
Media
45
Debt
Republic Of South Africa Bond, 7.30%, Due 4/20/52Financials · Diversified Financial Services
0.24%
35.3%
9,300,000
$9.39M
Financials
Diversified Financial Services
46
—
Cds Olin Corp
0.24%
35.6%
7,200,000
$9.31M
-
-
47
—
Bank Of America CorpFinancials · Banks
0.23%
35.8%
9,282,000
$8.83M
Financials
Banks
48
—
Avolon Hdgs 4.95 10/32
0.23%
36.0%
9,015,000
$8.92M
-
-
49
Debt
Russia Foreign Bonds - Eurobond
0.23%
36.3%
7,400,000
$9.07M
-
-
50
Debt
Cheniere Energy Partners Lp Callable Notes FixedEnergy · Oil & Gas
0.22%
36.5%
8,125,000
$8.48M
Energy
Oil & Gas
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GBONX Mutual Fund All Holdings
GBONX holdings total 1421 positions. The top 10 holdings account for 21.3% of the fund, led by Jpmorgan Prime Money Market Fund, Class Institutional at 6.8%, Government National Mortgage A 01/15/2053 at 2.6%, Ginnie Mae at 2.3%.
GBONX portfolio concentration is well-diversified, with the top 10 representing 21.3% of total assets. The largest sector exposure is Financials at 21.5%.
GBONX sectors provide a detailed breakdown. GBONX overlap shows how holdings compare to other funds in your portfolio.