Market Value | 817,202,300 |
Total Holdings | 838 |
File Date | 2025-08-29 |
Original Filing | (Click here) |
All hedge funds or institutions that manage over $100M are required by the SEC to file quarterly reports on their holdings. These reports are called 13F reports. However, the filings are required the following quarter from the reporting period, which means that by the time the filing is made (and we see them), the information could be five months old.
For funds with long term positions that make few trades, the holdings might closely resemble their current holdings, even after several months. However, for funds that have high turnover, the holdings data we see might differ significantly from their current holdings. Institutions are required to report CALL and PUT options, and those positions are identified in the table. However, they are not required to report short positions.
Click the link icon to see the full transaction history.
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Security | Imputed Share Price |
Prev Shares |
Current Shares |
Change (Percent) |
Prev Value (USD x1000) |
Current Value (USD x1000) |
Change (Percent) |
---|---|---|---|---|---|---|---|
317U9N1A0 PIMCO SWAPTION 3.914 PUT USD 2025072 / DIR (000000000) | |||||||
BOUGHT KRW SOLD USD 20250716 / DFE (000000000) | |||||||
317U9FTA7 PIMCO SWAPTION 4.05 PUT USD 20250630 / DIR (000000000) | |||||||
BOUGHT NOK SOLD USD 20250702 / DFE (000000000) | |||||||
SOLD ILS BOUGHT USD 20250718 / DFE (000000000) | |||||||
SOLD MXN BOUGHT USD 20250917 / DFE (000000000) | |||||||
BOUGHT PEN SOLD USD 20250917 / DFE (000000000) | |||||||
SOLD ZAR BOUGHT USD 20250723 / DFE (000000000) | |||||||
SOLD DKK BOUGHT USD 20250804 / DFE (000000000) | |||||||
BOUGHT TWD SOLD USD 20250714 / DFE (000000000) | |||||||
SOLD CNH BOUGHT USD 20250716 / DFE (000000000) | |||||||
BOUGHT MXN SOLD USD 20250818 / DFE (000000000) | |||||||
317U9EPA4 PIMCO SWAPTION 3.701 CALL USD 202506 / DIR (000000000) | |||||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | |||||||
CDX ITRAXX XOV42 5Y 35-100% SP JPM / DCR (000000000) | |||||||
US097023CP81 / Boeing Co/The | |||||||
US031162DE75 / Amgen Inc | |||||||
AU0000101792 / AUSTRALIAN GOVERNMENT BONDS REGS 11/31 1 | |||||||
US01F0606834 / Uniform Mortgage-Backed Security, TBA | |||||||
US912803DN05 / United States Treasury Strip Principal | |||||||
US067316AF68 / Bacardi Ltd | |||||||
US3140F9Q402 / FNMA POOL BD2274 FN 08/46 FIXED 3.5 | |||||||
US912810QX90 / United States Treas Bds Bond | |||||||
EZ89MT0WHJP2 / MEXICO LA SP MYC | |||||||
US912810RB61 / United States Treas Bds Bond | |||||||
US76116EHP88 / Resol Fnd Ser B 2030 Bonds Int Comp 04/15/30 | |||||||
US629377CP59 / NRG Energy Inc | |||||||
US912810SM18 / US TII .25 02/15/2050 (TIPS) | |||||||
US21H0506723 / Ginnie Mae | |||||||
US912810SE91 / United States Treas Bds Bond | |||||||
EZ6MPW8FKYP3 / CDX EM36 ICE | |||||||
US31397T2X94 / FREDDIE MAC FHR 3440 EM | |||||||
US3140J6GM33 / FANNIE MAE 4% 10/01/2047 FNL | |||||||
US74365PAJ75 / Prosus NV | |||||||
EZBXJKS0JJY3 / BRITISH TELECOMMUNICATIONS PL SNR SE ICE | |||||||
EZ65GBV58FC9 / MEXICO LA SP MYC | |||||||
US05329WAQ50 / AUTONATION INC DEL 4.75% 06/01/2030 | |||||||
US912810TE82 / United States Treasury Inflation Indexed Bonds | |||||||
US01F0526727 / Uniform Mortgage-Backed Security, TBA | |||||||
US00108WAJ99 / AEP Texas Inc | |||||||
US639057AD02 / Natwest Group PLC | |||||||
BOUGHT JPY SOLD USD 20250702 / DFE (000000000) | |||||||
US225401BG25 / UBS Group AG | |||||||
US43284MAB46 / Hilton Grand Vacations Borrower Escrow LLC / Hilton Grand Vacations Borrower Esc | |||||||
US92564RAL96 / VICI Properties LP / VICI Note Co., Inc. | |||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | |||||||
BOUGHT PLN SOLD USD 20250710 / DFE (000000000) | |||||||
MEXICO LA SP MYC / DCR (000000000) | |||||||
SOLD JPY BOUGHT USD 20250702 / DFE (000000000) | |||||||
SOLD IDR BOUGHT USD 20250716 / DFE (000000000) | |||||||
BOUGHT CNH SOLD USD 20250820 / DFE (000000000) | |||||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | |||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | |||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | |||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | |||||||
BOUGHT IDR SOLD USD 20250716 / DFE (000000000) | |||||||
317U9IEA7 PIMCO SWAPTION 4.03 PUT USD 20250707 / DIR (000000000) | |||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | |||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | |||||||
SOLD KRW BOUGHT USD 20250716 / DFE (000000000) | |||||||
317U9L5A0 PIMCO SWAPTION 4.064 PUT USD 2025071 / DIR (000000000) | |||||||
RFR USD SOFR/1.75000 06/15/22-10Y CME / DIR (000000000) | |||||||
US649840CV58 / NEW YORK STATE ELECTRIC & GAS CORP | |||||||
US46647PDR47 / JPMorgan Chase & Co | |||||||
US912810RL44 / United States Treasury Inflation Indexed Bonds | |||||||
US001192AK93 / Southern Co. Gas Capital Corp. | |||||||
US05401AAK79 / Avolon Holdings Funding Ltd | |||||||
US45668RAC25 / IndyMac INDX Mortgage Loan Trust 2007-FLX2 | |||||||
US86389QAG73 / Studio City Finance Ltd | |||||||
US95000U2J10 / WELLS FARGO and CO NEW 2.572/VAR 02/11/2031 | |||||||
US912810SK51 / United States Treasury Note/Bond | |||||||
US912810TW80 / United States Treasury Note/Bond | |||||||
US912810SH23 / United States Treas Bds Bond | |||||||
US303901BF83 / Fairfax Financial Holdings Ltd | |||||||
US29445UAN54 / Equifirst Loan Securitization Trust 2007-1 | |||||||
US912810SY55 / United States Treasury Note/Bond | |||||||
US04621WAD20 / ASSURED GUARANTY US HOLDINGS INC | |||||||
R2035 / South Africa - Corporate Bond/Note | |||||||
US80281LAM72 / Santander UK Group Holdings PLC | |||||||
US404280BK42 / HSBC Holdings PLC | |||||||
US09659W2U76 / BNP Paribas SA | |||||||
US07274EAL74 / BAYER US FINANCE LLC 144A LIFE SR UNSEC 6.5% 11-21-33 | |||||||
US225401AU28 / Credit Suisse Group AG | |||||||
US694308HW04 / PACIFIC GAS + ELECTRIC SR UNSECURED 12/27 3.3 | |||||||
US21H0606895 / Ginnie Mae | |||||||
US01F0306781 / UMBS TBA | |||||||
US797440BQ65 / SAN DIEGO GAS & ELECTRIC SEC 4.3% 04-01-42 | |||||||
US25160PAG28 / Deutsche Bank AG/New York NY | |||||||
US80386WAC91 / Sasol Financing USA LLC | |||||||
US21H0426799 / Ginnie Mae | |||||||
US98310WAM01 / Wyndham Destinations Inc Note M/w Clbl Bond | |||||||
US03040WAV72 / American Water Capital Corp. | |||||||
US11043XAA19 / British Airways Pass Through Trust, Series 2019-1, Class AA | |||||||
XS2345035963 / Wabtec Transportation Netherlands BV | |||||||
US15135BAT89 / CORPORATE BONDS | |||||||
US882384AE01 / TEXAS EASTERN TRANSMISSI SR UNSECURED 144A 01/48 4.15 | |||||||
US912810SG40 / United States Treasury Inflation Indexed Bonds | |||||||
XS2390152986 / Altice France SA/France | |||||||
US126650EA42 / CVS HEALTH CORP | |||||||
EW / Edwards Lifesciences Corporation | |||||||
EW / Edwards Lifesciences Corporation | |||||||
US37940XAD49 / Global Payments Inc | |||||||
XS2356076625 / SIRIUS REAL ESTATE LTD 1.125% 06/22/2026 REGS | |||||||
US93363DAB38 / WaMu Mortgage Pass-Through Certificates Series 2006-AR9 Trust | |||||||
US15135BAY74 / Centene Corp | |||||||
US75886FAE79 / Regeneron Pharmaceuticals Inc | |||||||
US976656CJ54 / Wisconsin Electric Power Co | |||||||
US225401AF50 / Credit Suisse Group AG | |||||||
US008513AD57 / Agree LP | |||||||
EZJYH6W51Q87 / BRITISH TELECOMMUNICATIONS PL SNR SE ICE | |||||||
US00206RMN97 / AT&T Inc | |||||||
US89177XAA54 / TOWD POINT MORTGAGE TRUST 2019-HY3 SER 2019-HY3 CL A1A V/R REGD 144A P/P 2.70800000 | |||||||
US477164AA59 / JetBlue 2020-1 Class A Pass Through Trust | |||||||
US345397B280 / FORD MTR CR CO LLC 3.375% 11/13/2025 | |||||||
US12646WAT18 / CREDIT SUISSE MORTGAGE TRUST CSMC 2013 IVR2 B3 144A | |||||||
US268317AV61 / Electricite de France SA | |||||||
US803014AA74 / Santos Finance Ltd | |||||||
US45262BAF04 / Imperial Brands Finance PLC | |||||||
US912810QZ49 / United States Treas Bds Bond | |||||||
US912834FB91 / United States Treasury Strip Coupon | |||||||
US85855CAA80 / Stellantis Finance US Inc | |||||||
US71567PAP53 / Perusahaan Penerbit SBSN Indonesia III | |||||||
US44891ACA34 / Hyundai Capital America | |||||||
US3140X4GR15 / FNMA POOL FM1107 FN 06/49 FIXED VAR | |||||||
DK0009528424 / NYKREDIT REALKREDIT AS COVERED REGS 10/53 1.5 | |||||||
CVS / CVS Health Corporation | |||||||
EZBLK0RXQ2F2 / AT&T INC SNR S* ICE | |||||||
US52532XAF24 / LEIDOS INC COMPANY GUAR 05/30 4.375 | |||||||
US74340XBV29 / Prologis LP | |||||||
EZZVSNMRWDZ0 / GENERAL ELECTRIC COMPANY SNR S* ICE | |||||||
US3132A5J632 / Freddie Mac Pool | |||||||
US63111XAE13 / Nasdaq Inc | |||||||
US01166VAA70 / Alaska Airlines 2020-1 Class A Pass Through Trust | |||||||
US958102AQ89 / Western Digital Corp | |||||||
US096630AH15 / Boardwalk Pipelines LP | |||||||
XS2280833133 / Country Garden Holdings Co Ltd | |||||||
US11135FAS02 / BROADCOM INC 4.3% 11/15/2032 | |||||||
US76116EGR53 / Resol Fnd Ser A 2030 Bonds Int Comp 01/15/30 | |||||||
US03027XBS80 / American Tower Corp | |||||||
US70052LAC72 / Park Intermediate Holdings LLC / PK Domestic Property LLC / PK Finance Co-Issuer | |||||||
US023764AA14 / American Airlin Bond | |||||||
US60687YBH18 / Mizuho Financial Group Inc | |||||||
US78445QAE17 / SLM Private Education Loan Trust 2010-C | |||||||
US98389BBA70 / XCEL ENERGY INC | |||||||
EZW8XKN63668 / GENERAL ELECTRIC COMPANY SNR S* ICE | |||||||
US912810SJ88 / United States Treas Bds Bond | |||||||
US912810RA88 / United States Treasury Inflation Indexed Bonds | |||||||
US88732JAY47 / Time Warner Cable Inc. 5.875% 11/15/40 | |||||||
US161175CC60 / CHARTER COMMUNICATIONS OPERATING LLC / CHARTER COMMUNICATIONS OPERATING CAPITAL 4.4% 12/01/2061 | |||||||
US912834KH07 / United States Treasury Strip Coupon | |||||||
US91911TAQ67 / Vale Overseas Ltd | |||||||
US928563AL97 / VMware Inc | |||||||
US816851BR98 / Sempra Energy | |||||||
US29273RAF64 / Energy Transfer 6.625% Senior Notes 10/15/36 | |||||||
US87264ABL89 / CORPORATE BONDS | |||||||
US76169XAA28 / Rexford Industrial Realty LP | |||||||
US912803EE96 / United States Treasury Strip Principal | |||||||
US161175BL78 / Charter Communications Operating LLC / Charter Communications Operating Capital | |||||||
US37959GAB32 / Global Atlantic Fin Co | |||||||
EZWLHWP69KK1 / GENERAL MOTORS COMPANY SNR S* ICE | |||||||
US404280CN71 / HSBC Holdings PLC | |||||||
US862121AD28 / STORE Capital Corp. | |||||||
US63633DAF15 / National Health Investors, Inc. | |||||||
US745310AK84 / Puget Energy Inc | |||||||
US25466AAP66 / Discover Bank | |||||||
US912803EC31 / United States Treasury Strip Principal | |||||||
US07384M4E98 / BEAR STEARNS ADJUSTABLE RATE MORTGAGE TRUST 2004 | |||||||
US04273WAC55 / Arrow Electronics Inc | |||||||
US775109CH22 / Rogers Communications Inc | |||||||
US33939HAA77 / FLEX INTERMEDIATE HOLDCO LLC | |||||||
US933637AD24 / WAMU MORTGAGE PASS THROUGH CER WAMU 2006 AR18 2A2 | |||||||
US58547DAD12 / Melco Resorts Finance Ltd | |||||||
US654744AD34 / Nissan Motor Co Ltd | |||||||
US980236AQ66 / Woodside Finance Ltd | |||||||
US22003BAP13 / CORPORATE OFFICE PPTYS LP 2.9% 12/01/2033 | |||||||
US84858DAA63 / Spirit Airlines Pass Through Trust 2015-1A | |||||||
US12644VAD01 / CSN Resources SA | |||||||
US681936BM17 / Omega Healthcare Investors Inc | |||||||
US78486LAA08 / SURA Asset Management SA | |||||||
US91412GHA67 / UNIV OF CALIFORNIA CA REVENUES | |||||||
US02765UEJ97 / AMERICAN MUNI PWR-OHIO INC OH REVENUE | |||||||
US80281LAR69 / Santander UK Group Holdings PLC | |||||||
US682691AB63 / OneMain Finance Corp | |||||||
US87162WAF77 / TD SYNNEX Corp. | |||||||
US62854AAP93 / Mylan NV | |||||||
US59020UL524 / Merrill Lynch Mortgage Investors Trust, Series 2005-3, Class 3A | |||||||
US45670LAA52 / IndyMac IMSC Mortgage Loan Trust, Series 2007-HOA1, Class A11 | |||||||
US87266GAA85 / TMS Issuer Sarl | |||||||
XS0765596357 / Morgan Stanley | |||||||
US22822VAU52 / Crown Castle International Corp | |||||||
US292480AM22 / Enable Midstream Partners LP | |||||||
US64830KAA51 / New Residential Mortgage Loan Trust 2018-3 | |||||||
US694308JU20 / Pacific Gas and Electric Co | |||||||
US23332UBF03 / DSLA Mortgage Loan Trust 2004-AR3 | |||||||
US14448CAR51 / Carrier Global Corp | |||||||
US90932PAA66 / United Airlines 2014-1 Class A Pass Through Trust | |||||||
US529043AE19 / Lexington Realty Trust | |||||||
US23302JAA34 / DAE Sukuk Difc Ltd | |||||||
US02376AAA79 / American Airlines Pass Through Trust, Series 2017-2, Class AA | |||||||
US23371DAG97 / DAE Funding LLC | |||||||
US004375CG41 / Accredited Mortgage Loan Trust, Series 2004-4, Class M1 | |||||||
US880451AZ24 / TENNESSEE GAS PIPELINE REGD 144A P/P 2.90000000 | |||||||
US3623413V99 / GSMPS MORTGAGE LOAN TRUST GSMPS 2006 RP1 1AF2 144A | |||||||
US126670MJ49 / COUNTRYWIDE ASSET BACKED CERTI CWL 2005 15 M2 | |||||||
US606822BU78 / Mitsubishi UFJ Financial Group Inc | |||||||
US573874AC88 / Marvell Technology Inc | |||||||
US03666HAE18 / Antares Holdings LP | |||||||
US264399ED44 / Duke Energy Corp 6.450% Senior Notes 10/15/32 | |||||||
US969457BM15 / Williams Companies 8.75% Notes 3/15/32 | |||||||
US00909DAA19 / Air Canada 2020-2 Class A Pass Through Trust | |||||||
US983130AX35 / Wynn Las Vegas LLC / Wynn Las Vegas Capital Corp | |||||||
US902613AD01 / UBS Group AG | |||||||
US11135FBP53 / SR UNSECURED 144A 11/35 3.137 | |||||||
US14918AAD19 / Catholic Health Services of Long Island Obligated Group | |||||||
US65535HAQ20 / Nomura Holdings Inc | |||||||
US21H0406734 / Ginnie Mae | |||||||
US863587AE14 / Structured Asset Investment Loan Trust | |||||||
US65535HBA68 / Nomura Holdings Inc | |||||||
US92857WBS89 / Vodafone Group PLC | |||||||
US98313RAG11 / Wynn Macau Ltd | |||||||
US22822VAP67 / Crown Castle International Corp | |||||||
US45866FAP99 / INTERCONTINENTAL EXCHANGE INC 2.65% 09/15/2040 | |||||||
US853254CH12 / Standard Chartered PLC | |||||||
US912834KP23 / United States Treasury Strip Coupon | |||||||
US842400EB53 / Southern California Edison 6.65% Notes 4/1/29 | |||||||
US06051GKA66 / Bank of America Corp | |||||||
US87264ABF12 / CORP. NOTE | |||||||
EZJGYSSMZ0P0 / MEXICO LA SP MYC | |||||||
43AB / Rolls-Royce plc - Corporate Bond/Note | |||||||
US133434AB69 / Cameron LNG LLC | |||||||
US008513AB91 / AGREE LP 2% 06/15/2028 | |||||||
US69370CAC47 / PTC INC | |||||||
US38122ND583 / Golden State Tobacco Securitization Corp. | |||||||
US90783TAA88 / UNP RR CO 2004 PASS TRST PASS THRU CE 07/25 5.404 | |||||||
US912810SA79 / United States Treas Bds Bond | |||||||
US22160NAA72 / CoStar Group Inc | |||||||
US912810TH14 / United States Treasury Note/Bond | |||||||
US912810SW99 / United States Treasury Note/Bond | |||||||
US71654QDF63 / Petroleos Mexicanos | |||||||
US205887CD22 / Conagra Brands, Inc. | |||||||
US11120VAH69 / Brixmor Operating Partnership LP | |||||||
US980236AN36 / Woodside Finance Ltd | |||||||
US87165BAR42 / Synchrony Financial | |||||||
US05367AAH68 / Aviation Capital Group LLC | |||||||
US694308JM04 / PACIFIC GAS and ELECTRIC CO 4.55% 07/01/2030 | |||||||
US14310FAA03 / Carlyle Holdings II Finance LLC | |||||||
US202712BL88 / Commonwealth Bank of Australia | |||||||
US626207YF57 / MUNI ELEC AUTH OF GEORGIA | |||||||
US02401LAA26 / American Assets Trust LP | |||||||
US35805BAB45 / Fresenius Medical Care US Finance III Inc | |||||||
US3140HFGX12 / FNMA POOL BK2013 FN 04/48 FIXED 4 | |||||||
US89178BAA26 / TOWD POINT MORTGAGE TRUST TPMT 2019 4 A1 144A | |||||||
US89352HAE99 / Trans-canada Pipelines 7.25% Senior Notes 8/15/38 | |||||||
US02209SBD45 / Altria Group Inc | |||||||
US709599BH60 / Penske Truck Leasing Co Lp / PTL Finance Corp | |||||||
US46188BAC63 / INVITATION HOMES OP REGD 2.70000000 | |||||||
US78009PEH01 / NatWest Group PLC | |||||||
US878091BD86 / Teachers Insurance & Annuity Association of America | |||||||
US01400EAC75 / Alcon Finance Corp | |||||||
US638612AM35 / Nationwide Financial Services, Inc. | |||||||
US842400GT44 / SOUTHERN CAL EDISON 1ST MORTGAGE 02/50 3.65 | |||||||
US86360UAF30 / STRUCTURED ASSET MORTGAGE INVE SAMI 2006 AR6 2A1 | |||||||
US11042TAA16 / British Airways Pass-Through Trust, Series 2018-1, Class AA | |||||||
US620076BT59 / Motorola Solutions Inc | |||||||
US337932AJ65 / FirstEnergy Corp | |||||||
US11043HAA68 / British Airways 2018-1 Class A Pass Through Trust | |||||||
US694308HN05 / Pacific Gas & Electric Co | |||||||
US12665UAA25 / CVS Pass-Through Trust, Series 2013 | |||||||
US92922FYJ10 / WAMU MORTGAGE PASS THROUGH CER WAMU 2004 RP1 1F 144A | |||||||
US035240AG57 / Anheuser-Busch InBev Worldwide Inc | |||||||
US31358DDS09 / Fannie Mae Principal Strips | |||||||
US46626LBK52 / JP MORGAN MORTGAGE ACQUISITION JPMAC 2005 WMC1 M3 | |||||||
US02660TGN72 / American Home Mortgage Investment Trust 2005-4 | |||||||
US879385AD49 / Telefonica Europe Bv 8.25% Guaranteed Notes 9/15/30 | |||||||
BOUGHT MXN SOLD USD 20250818 / DFE (000000000) | |||||||
BOUGHT CNH SOLD USD 20250820 / DFE (000000000) | |||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | |||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | |||||||
SOLD ILS BOUGHT USD 20250709 / DFE (000000000) | |||||||
USP78024AF61 / REPUBLIC OF PERU SR UNSECURED REGS 08/32 6.15 | |||||||
US 5YR NOTE (CBT) SEP25 XCBT 20250930 / DIR (000000000) | |||||||
RFR GBP SONIO/1.06000 02/21/22-30Y LCH / DIR (000000000) | |||||||
SOLD CNH BOUGHT USD 20250716 / DFE (000000000) | |||||||
BOUGHT IDR SOLD USD 20250714 / DFE (000000000) | |||||||
IRS EUR 2.35000 04/29/25-5Y LCH / DIR (000000000) | |||||||
BCS / Barclays PLC - Depositary Receipt (Common Stock) | |||||||
BOUGHT CAD SOLD USD 20250702 / DFE (000000000) | |||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | |||||||
SPTR TRS EQUITY FEDL01+72 RBC / DE (000000000) | |||||||
317U9N2A9 PIMCO SWAPTION 3.564 CALL USD 202507 / DIR (000000000) | |||||||
US12513GBJ76 / CDW LLC / CDW Finance Corp | |||||||
RFR GBP SONIO/1.06000 02/21/22-30Y LCH / DIR (000000000) | |||||||
BOUGHT CNH SOLD USD 20250820 / DFE (000000000) | |||||||
US29273RAJ86 / Energy Transfer Partners 7.5% Senior Notes 7/1/38 | |||||||
BOUGHT TWD SOLD USD 20250714 / DFE (000000000) | |||||||
XS2326512618 / HARVEST CLO HARVT 21A A1R 144A | |||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | |||||||
BRAZIL LA SP MYC / DCR (000000000) | |||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | |||||||
THAMES WATER SUPER SEN SR SECURED 144A 10/27 9.75 / DBT (ACI2VXTH6) | |||||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | |||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | |||||||
US34540TF236 / Ford Motor Credit Co. LLC., 6.800%, 08/20/25 | |||||||
US912810ST60 / TREASURY BOND | |||||||
US00131LAK17 / AIA Group Ltd | |||||||
US74730DAE31 / Qatar Petroleum | |||||||
MEXICO LA SP GST / DCR (000000000) | |||||||
317U9MPA6 PIMCO SWAPTION 3.933 PUT USD 2025072 / DIR (000000000) | |||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | |||||||
ZCS BRL 13.32 05/08/25-01/02/29 CME / DIR (000000000) | |||||||
BOUGHT JPY SOLD USD 20250702 / DFE (000000000) | |||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | |||||||
US37940XAH52 / Global Payments Inc | |||||||
US023770AA81 / American Airlin Bond | |||||||
UBSG34 / UBS Group AG - Depositary Receipt (Common Stock) | |||||||
US695114CG18 / Pacificorp 6.250000% 10/15/2037 Bond | |||||||
BOUGHT JPY SOLD USD 20250804 / DFE (000000000) | |||||||
BOUGHT TRY SOLD USD 20250731 / DFE (000000000) | |||||||
US17307GEC87 / CITIGROUP MORTGAGE LOAN TRUST 2004-HYB2 SER 2004-HYB2 CL 2A V/R REGD 5.13268700 | |||||||
BOUGHT CNH SOLD USD 20250820 / DFE (000000000) | |||||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | |||||||
SOLD GBP BOUGHT USD 20250702 / DFE (000000000) | |||||||
317U9IFA6 PIMCO SWAPTION 3.68 CALL USD 2025070 / DIR (000000000) | |||||||
317U9O7A2 PIMCO SWAPTION 3.525 CALL USD 202507 / DIR (000000000) | |||||||
XS2264968665 / Ivory Coast Government International Bond | |||||||
SOLD CNH BOUGHT USD 20250716 / DFE (000000000) | |||||||
BOUGHT JPY SOLD USD 20250702 / DFE (000000000) | |||||||
BOUGHT JPY SOLD USD 20250702 / DFE (000000000) | |||||||
WFC / Wells Fargo & Company - Depositary Receipt (Common Stock) | |||||||
SPTR TRS EQUITY FEDL01+75 CIB / DE (000000000) | |||||||
IRS EUR 2.41000 11/05/24-10Y LCH / DIR (000000000) | |||||||
SOLD EUR BOUGHT USD 20250724 / DFE (000000000) | |||||||
US72201W1541 / PIMCO PRV SHORT TERM FLT III MUTUAL FUND | |||||||
BOUGHT TWD SOLD USD 20250714 / DFE (000000000) | |||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | |||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | |||||||
BOUGHT MXN SOLD USD 20250917 / DFE (000000000) | |||||||
ZCS BRL 13.9271 05/08/25-01/04/27 CME / DIR (000000000) | |||||||
US54473ENT72 / Los Angeles County Public Works Financing Authority, California, Lease Revenue Bonds, Mulitple Capital Projects I, Build America Taxable Bond Series 2 | |||||||
US38379GW781 / GOVERNMENT NATIONAL MORTGAGE A GNR 2014 174 EZ | |||||||
REPU STATE STREET GLOBAL MARKE USD REPU SSB T / RA (000000000) | |||||||
REVERSE REPO THE BANK OF NOVA REVERSE REPO / RA (000000000) | |||||||
US097023CJ22 / BOEING CO SR UNSECURED 05/34 3.6 | |||||||
317U9MOA7 PIMCO SWAPTION 3.605 CALL USD 202507 / DIR (000000000) | |||||||
31750R5N3 PIMCO FXVAN PUT EUR USD 1.11000000 / DFE (000000000) | |||||||
IRB / IRB Infrastructure Developers Limited | |||||||
IRS EUR 2.25000 09/17/25-30Y LCH / DIR (000000000) | |||||||
US69291QAA31 / PFP III PFP 2022 9 A 144A | |||||||
CROWL / VESSEL MANAGEMENT SERVIC US GOVT GUAR 08/36 3.432 | |||||||
US02377CAA27 / American Airlines Pass Through Trust, Series 2017-2, Class A | |||||||
952NPG907 / CREDIT SUISSE GROUP AG JR SUB REGS | |||||||
US912810TC27 / United States Treasury Note/Bond | |||||||
E1IX34 / Edison International - Depositary Receipt (Common Stock) | |||||||
BOUGHT EUR SOLD USD 20250804 / DFE (000000000) | |||||||
317U9N3A8 PIMCO SWAPTION 3.905 PUT USD 2025072 / DIR (000000000) | |||||||
US63859WAE93 / Nationwide Building Society | |||||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | |||||||
BOUGHT JPY SOLD USD 20250804 / DFE (000000000) | |||||||
BOUGHT PLN SOLD USD 20250710 / DFE (000000000) | |||||||
SOLD CNH BOUGHT USD 20250716 / DFE (000000000) | |||||||
CDX EM43 ICE / DCR (000000000) | |||||||
CAPITAL FOUR US CLO C4US 2022 1A AR 144A / ABS-CBDO (14016CAN6) | |||||||
SOLD DKK BOUGHT USD 20250804 / DFE (000000000) | |||||||
SPTR TRS EQUITY SOFR+42 GST / DE (000000000) | |||||||
BOUGHT JPY SOLD USD 20250804 / DFE (000000000) | |||||||
BOUGHT JPY SOLD USD 20250702 / DFE (000000000) | |||||||
BOUGHT KRW SOLD USD 20250708 / DFE (000000000) | |||||||
31750QMA4 PIMCO CDSOPT PUT USD 1.0 20250716 / DCR (OP0043WJ3) | |||||||
BOUGHT KRW SOLD USD 20250716 / DFE (000000000) | |||||||
SOLD ILS BOUGHT USD 20250718 / DFE (000000000) | |||||||
IRS EUR 2.61000 03/24/25-10Y LCH / DIR (000000000) | |||||||
N1WG34 / NatWest Group plc - Depositary Receipt (Common Stock) | |||||||
US912834KV90 / United States Treasury Strip Coupon | |||||||
R2037 / South Africa - Sovereign or Government Agency Debt | |||||||
BOUGHT BRL SOLD USD 20250702 / DFE (000000000) | |||||||
US694308KC03 / Pacific Gas and Electric Co | |||||||
SOLD CAD BOUGHT USD 20250702 / DFE (000000000) | |||||||
ZCS BRL 11.49576 06/14/24-01/04/27 CME / DIR (000000000) | |||||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | |||||||
US05401AAR23 / Avolon Holdings Funding Ltd | |||||||
US404280DV88 / HSBC Holdings PLC | |||||||
317U9JRA1 PIMCO SWAPTION 4.12 PUT USD 20250709 / DIR (000000000) | |||||||
RFR GBP SONIO/3.50000 03/19/25-5Y LCH / DIR (000000000) | |||||||
BOUGHT CNH SOLD USD 20250820 / DFE (000000000) | |||||||
SPTR TRS EQUITY FEDL01+76 CIB / DE (000000000) | |||||||
317U9JQA2 PIMCO SWAPTION 3.77 CALL USD 2025070 / DIR (000000000) | |||||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | |||||||
317U9LMA1 PIMCO SWAPTION 3.695 CALL USD 202507 / DIR (000000000) | |||||||
US55336VBQ23 / MPLX LP | |||||||
317U9EHA3 PIMCO SWAPTION 3.735 CALL USD 202506 / DIR (000000000) | |||||||
317U9GBA4 PIMCO SWAPTION 2.38 CALL EUR 2025070 / DIR (000000000) | |||||||
CDX IG44 5Y ICE / DCR (000000000) | |||||||
31750QM06 PIMCO CDSOPT PUT USD 0.9 20250716 / DCR (OP0043SX7) | |||||||
SOLD MXN BOUGHT USD 20250917 / DFE (000000000) | |||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | |||||||
RFR JPY MUTK/2.00000 06/18/25-30Y LCH / DIR (000000000) | |||||||
317U9LFA9 PIMCO SWAPTION 2.46 CALL EUR 2025071 / DIR (000000000) | |||||||
FED HM LN PC POOL SD8494 FR 01/55 FIXED 5.5 / ABS-MBS (3132DWNK5) | |||||||
SPTR TRS EQUITY SOFR+35 TOR / DE (000000000) | |||||||
ZCS BRL 13.3537 05/12/25-01/02/29 CME / DIR (000000000) | |||||||
SPTR TRS EQUITY SOFR+50 TOR / DE (000000000) | |||||||
REVERSE REPO DEUTSCHE REVERSE REPO / RA (000000000) | |||||||
BBV / Banco Bilbao Vizcaya Argentaria, S.A. - Depositary Receipt (Common Stock) | |||||||
REVERSE REPO JPM CHASE / RA (000000000) | |||||||
317U9EOA5 PIMCO SWAPTION 4.101 PUT USD 2025063 / DIR (000000000) | |||||||
US912810TS78 / United States Treasury Note/Bond | |||||||
S+P500 EMINI FUT SEP25 XCME 20250919 / DE (000000000) | |||||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | |||||||
RFR USD SOFR/3.25000 06/18/25-30Y LCH / DIR (000000000) | |||||||
BOUGHT PLN SOLD USD 20250718 / DFE (000000000) | |||||||
US92922FTJ74 / WAMU MORTGAGE PASS THROUGH CER WAMU 2004 AR8 A1 | |||||||
CDX EM40 ICE / DCR (000000000) | |||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | |||||||
SOLD EUR BOUGHT USD 20250702 / DFE (000000000) | |||||||
BOUGHT PEN SOLD USD 20250917 / DFE (000000000) | |||||||
317U9EGA4 PIMCO SWAPTION 4.135 PUT USD 2025063 / DIR (000000000) | |||||||
WOODSIDE FINANCE LTD WOODSIDE FINANCE LTD / DBT (980236AR4) | |||||||
RFR GBP SONIO/1.17500 02/28/22-30Y LCH / DIR (000000000) | |||||||
RFR USD SOFR/3.90500 03/12/25-10Y LCH / DIR (000000000) | |||||||
BOUGHT KRW SOLD USD 20250716 / DFE (000000000) | |||||||
SOLD AUD BOUGHT USD 20250702 / DFE (000000000) | |||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | |||||||
RFR USD SOFR/3.71500 08/07/24-10Y LCH / DIR (000000000) | |||||||
BOUGHT TRY SOLD USD 20250724 / DFE (000000000) | |||||||
317U9N2A9 PIMCO SWAPTION 3.564 CALL USD 202507 / DIR (000000000) | |||||||
XS2080766475 / Standard Industries Inc/NJ | |||||||
317U9EKA9 PIMCO SWAPTION 2.36 PUT EUR 20250630 / DIR (000000000) | |||||||
BOUGHT PLN SOLD USD 20250718 / DFE (000000000) | |||||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | |||||||
317U9LHA7 PIMCO SWAPTION 3.697 CALL USD 202507 / DIR (000000000) | |||||||
BOUGHT TRY SOLD USD 20250725 / DFE (000000000) | |||||||
US83162CRL99 / United States Small Business Administration | |||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | |||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | |||||||
US816851AP42 / Sempra Energy Notes 6% 10/15/39 | |||||||
SOLD CNH BOUGHT USD 20250716 / DFE (000000000) | |||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | |||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | |||||||
317U9FUA5 PIMCO SWAPTION 3.7 CALL USD 20250630 / DIR (000000000) | |||||||
US418751AE33 / HAT Holdings I LLC / HAT Holdings II LLC | |||||||
IRS AUD 4.50000 09/20/23-10Y LCH / DIR (000000000) | |||||||
US62954HAN89 / NXP BV / NXP Funding LLC / NXP USA Inc | |||||||
31750R5B9 PIMCO FXVAN PUT EUR USD 1.10000000 / DFE (000000000) | |||||||
US44701QBE17 / Huntsman International LLC | |||||||
ASHTEAD CAPITAL INC ASHTEAD CAPITAL INC / DBT (045054AS2) | |||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | |||||||
BOUGHT BRL SOLD USD 20250702 / DFE (000000000) | |||||||
XS0800185174 / THAMES WATER UTC | |||||||
SOLD PEN BOUGHT USD 20250814 / DFE (000000000) | |||||||
WILLIAMS COS INC SNR S* ICE / DCR (000000000) | |||||||
BOUGHT TRY SOLD USD 20250807 / DFE (000000000) | |||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | |||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | |||||||
SOLD NOK BOUGHT USD 20250702 / DFE (000000000) | |||||||
SOLD EUR BOUGHT USD 20250702 / DFE (000000000) | |||||||
US64830NAA90 / New Residential Mortgage Loan Trust 2019-RPL3 | |||||||
US3134A4AB02 / FHLMC | |||||||
US02005NBU37 / Ally Financial Inc | |||||||
US212015AU57 / Continental Resources Inc/OK | |||||||
BOUGHT PEN SOLD USD 20250917 / DFE (000000000) | |||||||
GENERAL MOTORS COMPANY SNR S* ICE / DCR (000000000) | |||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | |||||||
BOUGHT NOK SOLD USD 20250702 / DFE (000000000) | |||||||
US097023CQ64 / Boeing Co/The | |||||||
XAF6628DAN49 / Numericable U.S. LLC, Term Loan B14 | |||||||
US89177HAA05 / Towd Point Mortgage Trust, Series 2019-HY2, Class A1 | |||||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | |||||||
US02379KAA25 / American Airlines 2021-1 Class A Pass Through Trust | |||||||
US86360KAE82 / Structured Asset Mortgage Investments II Trust 2006-AR3 | |||||||
US636180BR19 / National Fuel Gas Co | |||||||
METLIFE INC SNR S* ICE / DCR (000000000) | |||||||
FCT / Fincantieri S.p.A. | |||||||
US404280CH04 / HSBC Holdings PLC | |||||||
ZCS BRL 13.9255 05/08/25-01/04/27 CME / DIR (000000000) | |||||||
DK0009527616 / NYKREDIT REALKREDIT AS COVERED REGS 10/53 1.5 | |||||||
SOLD AUD BOUGHT USD 20250805 / DFE (000000000) | |||||||
BOUGHT IDR SOLD USD 20250714 / DFE (000000000) | |||||||
BOUGHT JPY SOLD USD 20250702 / DFE (000000000) | |||||||
US31359MEB54 / FNMA | |||||||
US06684QAB86 / Baptist Healthcare System Obligated Group | |||||||
US251526CF47 / Deutsche Bank AG/New York NY | |||||||
SOLD JPY BOUGHT USD 20250702 / DFE (000000000) | |||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | |||||||
BOUGHT ILS SOLD USD 20250702 / DFE (000000000) | |||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | |||||||
SOLD NOK BOUGHT USD 20250804 / DFE (000000000) | |||||||
VOLKSWAGEN INTERNATIONAL FINA SNR SE ICE / DCR (000000000) | |||||||
SOLD JPY BOUGHT USD 20250702 / DFE (000000000) | |||||||
SOLD ZAR BOUGHT USD 20250723 / DFE (000000000) | |||||||
IRS EUR 2.40000 04/09/25-5Y LCH / DIR (000000000) | |||||||
BOUGHT JPY SOLD USD 20250804 / DFE (000000000) | |||||||
SPTR TRS EQUITY FEDL01+70 RBC / DE (000000000) | |||||||
BOUGHT TRY SOLD USD 20250728 / DFE (000000000) | |||||||
ZCS BRL 14.0087 05/12/25-01/04/27 CME / DIR (000000000) | |||||||
317U9IZA4 PIMCO SWAPTION 4.125 PUT USD 2025070 / DIR (000000000) | |||||||
BOUGHT IDR SOLD USD 20250714 / DFE (000000000) | |||||||
BOUGHT TRY SOLD USD 20250804 / DFE (000000000) | |||||||
BRSTNCNTF1P8 / Brazil Notas do Tesouro Nacional Serie F | |||||||
EURO-BOBL OPTION AUG25C 118.5 EXP 07/25/2025 / DIR (000000000) | |||||||
317U9G7A9 PIMCO SWAPTION 3.715 CALL USD 202507 / DIR (000000000) | |||||||
US912803DP52 / United States Treasury Strip Principal | |||||||
SOLD ZAR BOUGHT USD 20250723 / DFE (000000000) | |||||||
US94973VBB27 / Anthem Inc | |||||||
SOLD DKK BOUGHT USD 20250702 / DFE (000000000) | |||||||
US29365TAN46 / ENTERGY TEXAS INC | |||||||
US3134A4AA29 / Federal Home Loan Mortgage Corp. | |||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | |||||||
US36143L2H78 / GA Global Funding Trust | |||||||
317U9MKA1 PIMCO SWAPTION 3.7 CALL USD 20250721 / DIR (000000000) | |||||||
US909318AA56 / United Airlines Pass Through Trust, Series 2018-1, Class AA | |||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | |||||||
US00108WAR16 / AEP Texas Inc | |||||||
317U9MQA5 PIMCO SWAPTION 3.583 CALL USD 202507 / DIR (000000000) | |||||||
US06738ECL74 / Barclays PLC | |||||||
BOUGHT EUR SOLD USD 20250702 / DFE (000000000) | |||||||
SOLD CNH BOUGHT USD 20250716 / DFE (000000000) | |||||||
SOLD ZAR BOUGHT USD 20250723 / DFE (000000000) | |||||||
US2350367A26 / DALLAS-FORT WORTH TX INTERNATIONAL ARPT REVENUE | |||||||
WOODSIDE FINANCE LTD WOODSIDE FINANCE LTD / DBT (980236AS2) | |||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | |||||||
SOLD SGD BOUGHT USD 20250702 / DFE (000000000) | |||||||
VERIZON COMMUNICATIONS INC SNR S* ICE / DCR (000000000) | |||||||
RFR USD SOFR/3.50000 06/20/24-30Y LCH / DIR (000000000) | |||||||
BOUGHT AUD SOLD USD 20250702 / DFE (000000000) | |||||||
THAMES SSNM 144A UNFUNDED COMM / DBT (955RVLII8) | |||||||
BOUGHT CNH SOLD USD 20250820 / DFE (000000000) | |||||||
BOUGHT PLN SOLD USD 20250718 / DFE (000000000) | |||||||
AMERICAN INTERNATIONAL GROUP SNR S* ICE / DCR (000000000) | |||||||
SPTR TRS EQUITY FEDL01+64 TOR / DE (000000000) | |||||||
RFR USD SOFR/3.90750 03/04/25-10Y LCH / DIR (000000000) | |||||||
COUSINS PROPERTIES LP COMPANY GUAR 07/30 5.25 / DBT (222793AC5) | |||||||
317U9J0A0 PIMCO SWAPTION 3.775 CALL USD 202507 / DIR (000000000) | |||||||
SPTR TRS EQUITY SOFR+53 BRC / DE (000000000) | |||||||
US01F0426811 / UMBS TBA | |||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | |||||||
BOUGHT BRL SOLD USD 20250702 / DFE (000000000) | |||||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | |||||||
US06760GAA94 / Barings CLO Ltd 2018-I | |||||||
317U9M4A9 PIMCO SWAPTION 3.637 CALL USD 202507 / DIR (000000000) | |||||||
US03835VAJ52 / Aptiv PLC | |||||||
EURO-BUND OPTION AUG25P 129 EXP 07/25/2025 / DIR (000000000) | |||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | |||||||
BOUGHT GBP SOLD USD 20250702 / DFE (000000000) | |||||||
US42225UAD63 / Healthcare Trust of America Holdings, L.P. | |||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | |||||||
US750098AA35 / RACKSPACE HOSTING INC 5.375% 12/01/2028 144A | |||||||
US912810SL35 / United States Treasury Note/Bond | |||||||
BOUGHT JPY SOLD USD 20250804 / DFE (000000000) | |||||||
US842400FC28 / Southern California Edison 5.625% Due 2/1/36 | |||||||
IRS EUR 2.22000 01/08/25-10Y LCH / DIR (000000000) | |||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | |||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | |||||||
BOUGHT NZD SOLD USD 20250702 / DFE (000000000) | |||||||
317U9HMA0 PIMCO SWAPTION 4.019 PUT USD 2025070 / DIR (000000000) | |||||||
IRS EUR -0.17500 03/17/23-10Y LCH / DIR (000000000) | |||||||
317U9L4A1 PIMCO SWAPTION 3.6525 CALL USD 20250 / DIR (000000000) | |||||||
BOUGHT THB SOLD USD 20250716 / DFE (000000000) | |||||||
RFR USD SOFR/3.52500 09/04/24-10Y LCH / DIR (000000000) | |||||||
317U9O6A3 PIMCO SWAPTION 3.875 PUT USD 2025072 / DIR (000000000) | |||||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | |||||||
SOLD KRW BOUGHT USD 20250708 / DFE (000000000) | |||||||
RFR JPY MUTK/1.25000 06/18/25-7Y LCH / DIR (000000000) | |||||||
IRS EUR 2.76000 01/03/24-5Y LCH / DIR (000000000) | |||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | |||||||
RFR USD SOFR/3.67000 01/08/24-10Y LCH / DIR (000000000) | |||||||
IRS EUR 2.25000 09/17/25-10Y LCH / DIR (000000000) | |||||||
US05565ALQ49 / BNP Paribas SA | |||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | |||||||
BOUGHT IDR SOLD USD 20250716 / DFE (000000000) | |||||||
SPTR TRS EQUITY FEDL01+72 RBC / DE (000000000) | |||||||
SOLD CHF BOUGHT USD 20250804 / DFE (000000000) | |||||||
VERIZON COMMUNICATIONS INC SNR S* ICE / DCR (000000000) | |||||||
BOUGHT TWD SOLD USD 20250714 / DFE (000000000) | |||||||
SOLD NOK BOUGHT USD 20250804 / DFE (000000000) | |||||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | |||||||
SOLD EUR BOUGHT USD 20250804 / DFE (000000000) | |||||||
US90931GAA76 / United Airlines 2020-1 Class A Pass Through Trust | |||||||
317U9GEA1 PIMCO SWAPTION 4.075 PUT USD 2025070 / DIR (000000000) | |||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | |||||||
OIS MXN TIIE1/7.75000 04/07/25-5Y* CME / DIR (000000000) | |||||||
CDX ITRAXX XOV42 5Y 35-100% SP BPS / DCR (000000000) | |||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | |||||||
BOUGHT BRL SOLD USD 20250702 / DFE (000000000) | |||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | |||||||
SPTR TRS EQUITY SOFR+63 RBC / DE (000000000) | |||||||
VERIZON COMMUNICATIONS INC SNR S* ICE / DCR (000000000) | |||||||
SPTR TRS EQUITY SOFR+40 GST / DE (000000000) | |||||||
US06738EBN40 / Barclays PLC | |||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | |||||||
SOLD CHF BOUGHT USD 20250702 / DFE (000000000) | |||||||
EURO-BUND OPTION AUG25C 132.5 EXP 07/25/2025 / DIR (000000000) | |||||||
BOUGHT THB SOLD USD 20250716 / DFE (000000000) | |||||||
SOLD EUR BOUGHT USD 20250724 / DFE (000000000) | |||||||
SOLD SGD BOUGHT USD 20250702 / DFE (000000000) | |||||||
SOLD KRW BOUGHT USD 20250716 / DFE (000000000) | |||||||
SOLD IDR BOUGHT USD 20250708 / DFE (000000000) | |||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | |||||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | |||||||
DEVON ENERGY CORPORATION SNR S* ICE / DCR (000000000) | |||||||
TSY INFL IX N/B 02/54 2.125 / DBT (912810TY4) | |||||||
BOUGHT TRY SOLD USD 20250701 / DFE (000000000) | |||||||
RFR JPY MUTK/2.00000 06/18/25-20Y LCH / DIR (000000000) | |||||||
BOUGHT DKK SOLD USD 20250702 / DFE (000000000) | |||||||
RFR USD SOFR/3.15600 03/10/28-5Y LCH / DIR (000000000) | |||||||
BOUGHT IDR SOLD USD 20250714 / DFE (000000000) | |||||||
SOLD IDR BOUGHT USD 20250716 / DFE (000000000) | |||||||
SPTR TRS EQUITY SOFR+53 RBC / DE (000000000) | |||||||
RFR USD SOFR/3.66674 03/01/24-4Y* LCH / DIR (000000000) | |||||||
317U9JSA0 PIMCO SWAPTION 4.122 PUT USD 2025071 / DIR (000000000) | |||||||
BOUGHT TWD SOLD USD 20250820 / DFE (000000000) | |||||||
ING / ING Groep N.V. - Depositary Receipt (Common Stock) | |||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | |||||||
SOLD CAD BOUGHT USD 20250805 / DFE (000000000) | |||||||
IRS AUD 4.50000 09/18/24-10Y LCH / DIR (000000000) | |||||||
RFR USD SOFR/3.87400 03/05/25-10Y LCH / DIR (000000000) | |||||||
SOLD GBP BOUGHT USD 20250804 / DFE (000000000) | |||||||
31750QN05 PIMCO CDSOPT PUT USD 0.85 20250716 / DCR (OP0043Z50) | |||||||
317U9M3A0 PIMCO SWAPTION 4.037 PUT USD 2025071 / DIR (000000000) | |||||||
BOUGHT PLN SOLD USD 20250710 / DFE (000000000) | |||||||
SPTR TRS EQUITY SOFR+55 RBC / DE (000000000) | |||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | |||||||
SOLD NZD BOUGHT USD 20250702 / DFE (000000000) | |||||||
CDX HY37 5Y 25-35% SP MYC / DCR (000000000) | |||||||
SPTR TRS EQUITY SOFR+46 RBC / DE (000000000) | |||||||
BOUGHT IDR SOLD USD 20250714 / DFE (000000000) | |||||||
US TREASURY N/B 08/44 4.125 / DBT (912810UD8) | |||||||
317U9LGA8 PIMCO SWAPTION 4.097 PUT USD 2025071 / DIR (000000000) | |||||||
BOUGHT IDR SOLD USD 20250716 / DFE (000000000) | |||||||
IRS EUR 2.52000 03/27/25-10Y LCH / DIR (000000000) | |||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | |||||||
RFR USD SOFR/3.93000 03/24/25-10Y LCH / DIR (000000000) | |||||||
RFR USD SOFR/3.25000 06/18/25-5Y LCH / DIR (000000000) | |||||||
SOLD DKK BOUGHT USD 20250702 / DFE (000000000) | |||||||
SPTR TRS EQUITY SOFR+47 CIB / DE (000000000) | |||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | |||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | |||||||
IRS EUR 2.92000 12/13/23-5Y LCH / DIR (000000000) | |||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | |||||||
OIBR4 / Oi S.A. - Preferred Stock | |||||||
TREASURY BILL 07/25 0.00000 / DBT (912797LW5) | |||||||
SOLD THB BOUGHT USD 20250716 / DFE (000000000) | |||||||
S56431109 / Northam Platinum Holdings Ltd | |||||||
BOUGHT TRY SOLD USD 20250729 / DFE (000000000) | |||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | |||||||
US 10YR ULTRA FUT SEP25 XCBT 20250919 / DIR (000000000) | |||||||
31750R594 PIMCO FXVAN PUT EUR USD 1.09750000 / DFE (000000000) | |||||||
IRS AUD 4.50000 03/20/24-10Y LCH / DIR (000000000) | |||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | |||||||
BOUGHT IDR SOLD USD 20250708 / DFE (000000000) | |||||||
69511JD28 / PACIFICORP | |||||||
US TREASURY N/B 05/55 4.75 / DBT (912810UK2) | |||||||
MARS INC SR UNSECURED 144A 05/45 5.65 / DBT (571676BB0) | |||||||
BOUGHT TRY SOLD USD 20250814 / DFE (000000000) | |||||||
SOLD KRW BOUGHT USD 20250716 / DFE (000000000) | |||||||
SOLD NZD BOUGHT USD 20250804 / DFE (000000000) | |||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | |||||||
31750R5R4 PIMCO FXVAN CALL USD SEK 10.20000000 / DFE (000000000) | |||||||
SOLD JPY BOUGHT USD 20250702 / DFE (000000000) | |||||||
EURO-BOBL OPTION AUG25P 117.2 EXP 07/25/2025 / DIR (000000000) | |||||||
BOUGHT CNH SOLD USD 20250820 / DFE (000000000) | |||||||
RFR USD SOFR/3.88400 03/25/25-10Y LCH / DIR (000000000) | |||||||
317U9LLA2 PIMCO SWAPTION 4.095 PUT USD 2025071 / DIR (000000000) | |||||||
IRS EUR 0.00000 03/17/23-30Y LCH / DIR (000000000) | |||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | |||||||
BOUGHT JPY SOLD USD 20250702 / DFE (000000000) | |||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | |||||||
IRS EUR 2.30000 09/25/24-5Y LCH / DIR (000000000) | |||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | |||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | |||||||
SOLD IDR BOUGHT USD 20250716 / DFE (000000000) | |||||||
TSNF34 / Tyson Foods, Inc. - Depositary Receipt (Common Stock) | |||||||
PCG.PRD / Pacific Gas and Electric Company - Preferred Stock | |||||||
EQH.PRC / Equitable Holdings, Inc. - Preferred Stock | |||||||
BOUGHT THB SOLD USD 20250716 / DFE (000000000) | |||||||
TSNF34 / Tyson Foods, Inc. - Depositary Receipt (Common Stock) | |||||||
317U9ELA8 PIMCO SWAPTION 2.1 CALL EUR 20250630 / DIR (000000000) | |||||||
SOLD ILS BOUGHT USD 20250702 / DFE (000000000) | |||||||
SOLD SGD BOUGHT USD 20250805 / DFE (000000000) | |||||||
BOUGHT MXN SOLD USD 20251217 / DFE (000000000) | |||||||
BOUGHT TRY SOLD USD 20250811 / DFE (000000000) | |||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | |||||||
FCT / Fincantieri S.p.A. | |||||||
THAMES WATER SUPER SEN SR SECURED 144A 10/27 9.75 / DBT (BP7M6FII1) | |||||||
BOUGHT IDR SOLD USD 20250714 / DFE (000000000) | |||||||
US 10YR NOTE (CBT)SEP25 XCBT 20250919 / DIR (000000000) | |||||||
BOEING CO/THE SNR S* ICE / DCR (000000000) | |||||||
VERIZON COMMUNICATIONS INC SNR S* ICE / DCR (000000000) | |||||||
BA / The Boeing Company - Depositary Receipt (Common Stock) | |||||||
W1BD34 / Warner Bros. Discovery, Inc. - Depositary Receipt (Common Stock) | |||||||
31750R5C7 PIMCO FXVAN PUT EUR USD 1.11000000 / DFE (000000000) | |||||||
SPTR TRS EQUITY FEDL01+74 RBC / DE (000000000) | |||||||
SOLD BRL BOUGHT USD 20250702 / DFE (000000000) | |||||||
RFR USD SOFR/3.55500 08/28/24-10Y LCH / DIR (000000000) | |||||||
GOLDMAN SACHS GROUP INC SNR S* ICE / DCR (000000000) | |||||||
BOUGHT IDR SOLD USD 20250716 / DFE (000000000) | |||||||
SOLD IDR BOUGHT USD 20250716 / DFE (000000000) | |||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | |||||||
LONG GILT FUTURE SEP25 IFLL 20250926 / DIR (000000000) | |||||||
BOUGHT THB SOLD USD 20250716 / DFE (000000000) | |||||||
BOUGHT BRL SOLD USD 20250903 / DFE (000000000) | |||||||
SOLD JPY BOUGHT USD 20250702 / DFE (000000000) | |||||||
BOUGHT TRY SOLD USD 20250808 / DFE (000000000) | |||||||
AT&T INC SNR S* ICE / DCR (000000000) | |||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | |||||||
ROLLS-ROYCE PLC SNR SE ICE / DCR (000000000) | |||||||
BOUGHT IDR SOLD USD 20250716 / DFE (000000000) | |||||||
SPTR TRS EQUITY SOFR+43 CBK / DE (000000000) | |||||||
BOUGHT CHF SOLD USD 20250702 / DFE (000000000) | |||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | |||||||
US TREASURY N/B 11/54 4.5 / DBT (912810UE6) | |||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | |||||||
BOUGHT SGD SOLD USD 20250702 / DFE (000000000) | |||||||
AT&T INC SNR S* ICE / DCR (000000000) | |||||||
H1UM34 / Humana Inc. - Depositary Receipt (Common Stock) | |||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | |||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | |||||||
H / Hyatt Hotels Corporation | |||||||
RFR USD SOFR/3.85000 08/05/24-10Y LCH / DIR (000000000) | |||||||
SOLD IDR BOUGHT USD 20250716 / DFE (000000000) | |||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | |||||||
US TREASURY N/B 02/55 4.625 / DBT (912810UG1) | |||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | |||||||
BOUGHT IDR SOLD USD 20250716 / DFE (000000000) | |||||||
BOUGHT INR SOLD USD 20250820 / DFE (000000000) | |||||||
GA GLOBAL FUNDING TRUST SR SECURED 144A 01/29 5.5 / DBT (36143L2L8) | |||||||
EURO-BUND FUTURE SEP25 XEUR 20250908 / DIR (000000000) | |||||||
317U9G6A0 PIMCO SWAPTION 4.065 PUT USD 2025070 / DIR (000000000) | |||||||
REVERSE REPO BANK OF AMERICA REVERSE REPO / RA (000000000) | |||||||
GB00BMV7TC88 / United Kingdom Gilt | |||||||
GS / The Goldman Sachs Group, Inc. - Depositary Receipt (Common Stock) | |||||||
317U9GAA5 PIMCO SWAPTION 2.64 PUT EUR 20250703 / DIR (000000000) | |||||||
BOUGHT TWD SOLD USD 20250716 / DFE (000000000) | |||||||
RFR USD SOFR/3.89900 03/11/25-10Y LCH / DIR (000000000) | |||||||
BOUGHT CNH SOLD USD 20250820 / DFE (000000000) | |||||||
317U9MJA3 PIMCO SWAPTION 4.05 PUT USD 20250721 / DIR (000000000) | |||||||
CDX IG43 5Y ICE / DCR (000000000) | |||||||
THAMES WATER UTIL LTD SR SECURED 144A 03/27 0.00000 / DBT (ACI2VX3Q4) | |||||||
SPTR TRS EQUITY FEDL01+81 RBC / DE (000000000) | |||||||
T MOBILE USA INC COMPANY GUAR 04/34 5.15 / DBT (87264ADF9) | |||||||
SOLD TWD BOUGHT USD 20250820 / DFE (000000000) | |||||||
SPTR TRS EQUITY SOFR+46 CIB / DE (000000000) | |||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | |||||||
US TREASURY N/B 08/54 4.25 / DBT (912810UC0) | |||||||
S1MF34 / Sumitomo Mitsui Financial Group, Inc. - Depositary Receipt (Common Stock) | |||||||
SPTR TRS EQUITY FEDL01+68 CIB / DE (000000000) | |||||||
SPTR TRS EQUITY FEDL01+72 CIB / DE (000000000) | |||||||
SOLD CNH BOUGHT USD 20250820 / DFE (000000000) | |||||||
OIBR4 / Oi S.A. - Preferred Stock | |||||||
TREASURY BILL 09/25 0.00000 / DBT (912797PW1) | |||||||
RFR USD SOFR/3.77578 03/25/25-30Y* LCH / DIR (000000000) | |||||||
317U9LEA0 PIMCO SWAPTION 2.72 PUT EUR 20250716 / DIR (000000000) | |||||||
SPTR TRS EQUITY SOFR+59 CIB / DE (000000000) | |||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | |||||||
BOUGHT IDR SOLD USD 20250716 / DFE (000000000) | |||||||
SOLD KRW BOUGHT USD 20250714 / DFE (000000000) | |||||||
AT&T INC SNR S* ICE / DCR (000000000) | |||||||
SOLD PEN BOUGHT USD 20250825 / DFE (000000000) | |||||||
SPTR TRS EQUITY SOFR+62 RBC / DE (000000000) | |||||||
RFR USD SOFR/1.75000 06/15/22-10Y CME / DIR (000000000) | |||||||
4020 / Saudi Real Estate Company | |||||||
REVERSE REPO BARCLAYS REVERSE REPO / RA (000000000) | |||||||
XS2083963236 / Teva Pharmaceutical Finance Netherlands II BV | |||||||
BANK OF AMERICA CORP BANK OF AMERICA CORP / DBT (06051GMA4) | |||||||
BOUGHT THB SOLD USD 20250716 / DFE (000000000) | |||||||
317U9L5A0 PIMCO SWAPTION 4.064 PUT USD 2025071 / DIR (000000000) | |||||||
IRS EUR 2.35000 04/29/25-5Y LCH / DIR (000000000) | |||||||
SOLD TWD BOUGHT USD 20250716 / DFE (000000000) | |||||||
NEWMONT / NEWCREST FIN COMPANY GUAR 11/41 5.75 / DBT (65163LAD1) | |||||||
SPTR TRS EQUITY SOFR+43 CIB / DE (000000000) | |||||||
BOUGHT TRY SOLD USD 20250813 / DFE (000000000) | |||||||
SOLD KRW BOUGHT USD 20250716 / DFE (000000000) | |||||||
317U9JTA9 PIMCO SWAPTION 3.772 CALL USD 202507 / DIR (000000000) | |||||||
SOLD PEN BOUGHT USD 20251219 / DFE (000000000) | |||||||
SOLD NOK BOUGHT USD 20250702 / DFE (000000000) | |||||||
BCS / Barclays PLC - Depositary Receipt (Common Stock) | |||||||
MSBR34 / Morgan Stanley - Depositary Receipt (Common Stock) | |||||||
BOUGHT CAD SOLD USD 20250702 / DFE (000000000) | |||||||
317U9GFA0 PIMCO SWAPTION 3.725 CALL USD 202507 / DIR (000000000) | |||||||
LYG / Lloyds Banking Group plc - Depositary Receipt (Common Stock) | |||||||
317U9L6A9 PIMCO SWAPTION 3.664 CALL USD 202507 / DIR (000000000) | |||||||
REVERSE REPO THE BANK OF NOVA REVERSE REPO / RA (000000000) | |||||||
SOLD SGD BOUGHT USD 20250702 / DFE (000000000) | |||||||
317U9HNA9 PIMCO SWAPTION 3.669 CALL USD 202507 / DIR (000000000) | |||||||
BOUGHT PLN SOLD USD 20250718 / DFE (000000000) | |||||||
317U9MNA8 PIMCO SWAPTION 3.955 PUT USD 2025072 / DIR (000000000) | |||||||
ZCS BRL 13.2914 05/08/25-01/02/29 CME / DIR (000000000) | |||||||
BOUGHT THB SOLD USD 20250716 / DFE (000000000) | |||||||
BOUGHT DKK SOLD USD 20250702 / DFE (000000000) | |||||||
BOUGHT IDR SOLD USD 20250708 / DFE (000000000) | |||||||
SOLD EUR BOUGHT USD 20250724 / DFE (000000000) | |||||||
SOLD CAD BOUGHT USD 20250702 / DFE (000000000) | |||||||
BOUGHT EUR SOLD USD 20250702 / DFE (000000000) | |||||||
SOLD ILS BOUGHT USD 20250702 / DFE (000000000) | |||||||
REVERSE REPO DEUTSCHE REVERSE REPO / RA (000000000) | |||||||
BOUGHT BRL SOLD USD 20250702 / DFE (000000000) | |||||||
SOLD KRW BOUGHT USD 20250714 / DFE (000000000) | |||||||
SOLD PEN BOUGHT USD 20251219 / DFE (000000000) | |||||||
SPTR TRS EQUITY SOFR+59 CIB / DE (000000000) | |||||||
NEWMONT / NEWCREST FIN COMPANY GUAR 11/41 5.75 / DBT (65163LAD1) | |||||||
LYG / Lloyds Banking Group plc - Depositary Receipt (Common Stock) | |||||||
SPTR TRS EQUITY SOFR+43 CIB / DE (000000000) | |||||||
317U9JTA9 PIMCO SWAPTION 3.772 CALL USD 202507 / DIR (000000000) | |||||||
317U9GFA0 PIMCO SWAPTION 3.725 CALL USD 202507 / DIR (000000000) | |||||||
REVERSE REPO BARCLAYS REVERSE REPO / RA (000000000) | |||||||
SPTR TRS EQUITY SOFR+62 RBC / DE (000000000) | |||||||
MSBR34 / Morgan Stanley - Depositary Receipt (Common Stock) | |||||||
BOUGHT TRY SOLD USD 20250813 / DFE (000000000) | |||||||
US 5YR NOTE (CBT) SEP25 XCBT 20250930 / DIR (000000000) | |||||||
SOLD ILS BOUGHT USD 20250709 / DFE (000000000) | |||||||
EZ6ZWC9MVX60 / MEXICO LA SP JPM | |||||||
US361841AR08 / GLP Capital LP / GLP Financing II Inc | |||||||
US695114CD86 / PacifiCorp | |||||||
US714046AG46 / PerkinElmer Inc | |||||||
US83370RAA68 / Societe Generale SA | |||||||
US01F0506844 / UMBS TBA | |||||||
US097023BV68 / Boeing Co. | |||||||
US35564CEE30 / SLST 19-3 A1C 2.75% 11-25-2029 | |||||||
US404280DH94 / HSBC Holdings PLC | |||||||
US05526DBD66 / BAT Capital Corp | |||||||
US314890AB05 / Ferguson Finance PLC | |||||||
US87162WAH34 / TD SYNNEX Corp | |||||||
US58547DAE94 / Melco Resorts Finance Ltd | |||||||
US345397B777 / Ford Motor Credit Co LLC | |||||||
US432833AN19 / HILTON DOMESTIC OPERATING CO INC 3.625% 02/15/2032 144A | |||||||
US225401AP33 / Credit Suisse Group AG | |||||||
US01F0526800 / Uniform Mortgage-Backed Security, TBA | |||||||
US38375LUQ12 / GOVERNMENT NATIONAL MORTGAGE A GNR 2007 57 Z | |||||||
US715638BE14 / Peruvian Government International Bond | |||||||
US054989AB41 / BAT CAPITAL CORP 6.421000% 08/02/2033 | |||||||
US55037AAB44 / Lundin Energy Finance BV | |||||||
US715638BY77 / REPUBLIC OF PERU SR UNSECURED 144A 08/32 6.15 | |||||||
US830867AA59 / Delta Air Lines Inc / SkyMiles IP Ltd | |||||||
US912810TF57 / TREASURY BOND | |||||||
US912810SF66 / Us Treasury Bond | |||||||
EZWHY2KRQV17 / BRAZIL LA SP GST | |||||||
US05551JAA88 / BAMLL Commercial Mortgage Securities Trust 2020-BOC | |||||||
US138616AM99 / Cantor Fitzgerald LP | |||||||
US912810SV17 / United States Treasury Inflation Indexed Bonds | |||||||
US79588TAD28 / Sammons Financial Group Inc | |||||||
US36179TZ577 / Ginnie Mae II Pool | |||||||
US76116FAC14 / Resol Fnd Ser B 2030 Bonds Prin Comp 04/15/30 | |||||||
US81376EAC93 / SECURITIZED ASSET BACKED RECEI SABR 2006 NC2 A3 | |||||||
US13063A5E03 / State of California | |||||||
US57421CAW47 / MARYLAND ST HLTH & HGR EDUCTNL MARYLAND HEALTH & HIGHER EDUCATIONAL FACILITIES AU | |||||||
US927804FG41 / Virginia Electric & Power 8.875% Senior Notes 11/15/38 | |||||||
US912810SD19 / United States Treas Bds Bond | |||||||
US86359BGF22 / Structured Adjustable Rate Mortgage Loan Trust |