1 DebtFreddie Mac Gold Pool 4.06% 4.1% - $107.20M - - - 2 DebtGarland Texas (city Of) 3.08% 7.1% - $81.26M - - - 3 I INFXX Institutional Fiduciary Trust - Money Market PortfolioFinancials · Capital Markets 2.87% 10.0% 75,587,015 $75.59M - Financials Capital Markets 4 E EOG Eog Resources Inc Energy · Oil & Gas 2.38% 12.4% 433,728 $62.70M - Energy Oil & Gas 5 —West Ottawa Pub Sch Dist 2.21% 14.6% 7,437,892 $58.21M - - - 6 S SLB Schlumberger Nv. Energy · Energy Equipment 1.85% 16.5% 950,145 $48.83M - Energy Energy Equipment 7 —Novartis Ag Sponsored Adr (1 Ads : 1 Ordinary)Health Care · Pharmaceuticals 1.80% 18.3% 310,110 $47.37M - Health Care Pharmaceuticals 8 —Roche Holding Ag 1.68% 19.9% 110,938 $44.27M - - - 9 A AJG Arthur J Gallagher & Co. Financials · Insurance 1.64% 21.6% 199,867 $43.29M - Financials Insurance 10 A ASRNL Asr Nederland Nv 1.62% 23.2% 620,436 $42.72M - - - 11 —Alphabet IncComm. Services · Interactive Media 1.60% 24.8% 146,283 $42.07M - Comm. Services Interactive Media 12 —ArcelormittalMaterials · Metals & Mining 1.58% 26.4% 805,249 $41.76M - Materials Metals & Mining 13 B BNP Bnp Paribas Sa 1.57% 27.9% 434,613 $41.40M - - - 14 C CSCO Cisco Systems Inc. Info Tech · Communications Equipment 1.57% 29.5% 534,277 $41.45M +4.9K Info Tech Communications Equipment 15 P PPL Ppl Corp Utilities · Electric Utilities 1.57% 31.1% 1,082,445 $41.35M - Utilities Electric Utilities 16 P PNC PNC Financial Services Group Inc. Financials · Banks 1.55% 32.6% 195,929 $40.77M - Financials Banks 17 H HIG Hartford Financial Services Group Inc. Financials · Insurance 1.53% 34.2% 298,639 $40.38M - Financials Insurance 18 D DTEGN Deutsche Telekom AG Na 1.50% 35.7% 1,058,061 $39.49M - - - 19 —Prudential PlcFinancials · Insurance 1.49% 37.2% 2,822,698 $39.24M - Financials Insurance 20 D DANO Danone Sedol B1Y9Tb3 1.48% 38.6% 488,610 $39.04M - - - 21 C CL Colgate-Palmolive Co Cons. Staples · Household Products 1.46% 40.1% 452,523 $38.57M - Cons. Staples Household Products 22 DebtDish Network Corp 144A W/O RtsComm. Services · Media 1.45% 41.5% - $38.14M - Comm. Services Media 23 J JCI Johnson Controls International Plc 1.44% 43.0% 289,345 $37.89M +6.3K - - 24 E EA Electronic Arts, Inc.Comm. Services · Entertainment 1.42% 44.4% 184,329 $37.58M - Comm. Services Entertainment 25 P PGR Progressive Corp Financials · Insurance 1.42% 45.8% 188,344 $37.34M - Financials Insurance 26 B BHF Brighthouse Financial Inc Financials · Insurance 1.41% 47.2% 621,025 $37.19M - Financials Insurance 27 D DOV Dover Corp. Industrials · Industrial Conglomerates 1.41% 48.6% 178,835 $37.28M - Industrials Industrial Conglomerates 28 B BTI British American Tobacco Plc Common Stock GBP 25 Cons. Staples · Tobacco 1.41% 50.0% 642,183 $37.28M - Cons. Staples Tobacco 29 C COO The Cooper Cos Inc Health Care · Healthcare Equip. 1.39% 51.4% 512,817 $36.67M - Health Care Healthcare Equip. 30 M MUFG Mitsubishi Ufj Financial Group, Inc. 1.39% 52.8% 2,170,776 $36.76M - - - 31 D DIS Walt Disney Co Comm. Services · Entertainment 1.36% 54.2% 372,943 $35.94M - Comm. Services Entertainment 32 E ETR Entergy Corp. Utilities · Electric Utilities 1.34% 55.5% 314,304 $35.32M - Utilities Electric Utilities 33 DebtNeptune Bidco Us IncFinancials · Diversified Financial Services 1.32% 56.9% - $34.78M - Financials Diversified Financial Services 34 —Inclusive Language Services Llc, Membership Interests, Class B 1.32% 58.2% 106,532 $34.90M - - - 35 W WFC Wells Fargo & Co. Financials · Banks 1.30% 59.5% 430,935 $34.31M - Financials Banks 36 F FREG Fresenius Se & Co Kgaa 1.29% 60.8% 655,657 $34.03M - - - 37 D DG Dollar General Corp. Consumer Disc. · Multiline Retail 1.26% 62.0% 279,126 $33.14M - Consumer Disc. Multiline Retail 38 B BKR Baker Hughes Co Energy · Energy Equipment 1.25% 63.3% 541,386 $33.05M - Energy Energy Equipment 39 W WBD Warner Bros. Discovery, Inc Comm. Services · Entertainment 1.25% 64.5% 1,198,134 $32.90M - Comm. Services Entertainment 40 H HEIN Heineken N.V. 1.24% 65.8% 426,263 $32.79M - - - 41 —Denso Corp 1.23% 67.0% 2,590,235 $32.48M - - - 42 M MRK Merck & Company Inc Health Care · Pharmaceuticals 1.23% 68.2% 269,292 $32.39M - Health Care Pharmaceuticals 43 U URI United Rentals Inc. Industrials · Commercial Services 1.23% 69.5% 44,596 $32.49M - Industrials Commercial Services 44 A APTV Aptiv Plc Ordinary Shares Consumer Disc. · Auto Components 1.23% 70.7% 468,791 $32.55M - Consumer Disc. Auto Components 45 —Sorenson Holdings Llc, First Lien, Term Loan, A 10 2030-04-01 1.22% 71.9% - $32.08M - - - 46 —Adobe SystemsInfo Tech · Software 1.21% 73.1% 131,791 $32.04M - Info Tech Software 47 U UCG Unicredit Spa 1.21% 74.3% 446,381 $32.03M - - - 48 I IR Ingersoll Rand Inc Industrials · Industrial Conglomerates 1.20% 75.5% 394,944 $31.64M - Industrials Industrial Conglomerates 49 E EVRG Evergy Inc. Utilities · Electric Utilities 1.19% 76.7% 382,452 $31.33M - Utilities Electric Utilities 50 B BEZ Beazley PlcFinancials · Insurance 1.10% 77.8% 1,716,804 $29.01M - Financials Insurance More holdings · Pro