| Zero coupon security. The rate represents the current yield to maturity. |
| Variable rate investment. The rate shown is the rate in effect at period end. |
| The security is subject to a demand feature which reduces the effective maturity. |
| Variable rate demand notes are subject to a demand feature which reduces the effective maturity. The maturity date shown represents the final maturity date of the security. The interest rate is determined and reset by the issuer daily, weekly, or monthly depending upon the terms of the security. The rate shown is the rate in effect at period end. |
| The interest rate is determined and reset by the issuer periodically depending upon the terms of the security. The rate shown is the rate in effect at period end. |
| |
| (01) U.S. government securities, 0.75% to 4.88%, 12-31-2024 to 8-15-2052, fair value including accrued interest is $2,047,453,681. |
| (02) U.S. government securities, 2.00% to 3.50%, 7-1-2045 to 1-1-2052, fair value including accrued interest is $103,000,000. |
| (03) U.S. government securities, 2.50% to 7.00%, 8-1-2034 to 7-1-2054, fair value including accrued interest is $515,000,000. |
| (04) U.S. government securities, 0.63% to 3.75%, 12-31-2027 to 2-15-2048, fair value including accrued interest is $1,500,114,006. |
| (05) U.S. government securities, 0.00% to 7.50%, 9-25-2024 to 7-20-2054, fair value including accrued interest is $102,935,316. |
| (06) U.S. government securities, 0.00%, 1-15-2030 to 11-15-2030, fair value is $306,000,023. |
| (07) U.S. government securities, 1.00% to 4.63%, 7-31-2028 to 5-15-2044, fair value including accrued interest is $510,000,088. |
| (08) U.S. government securities, 3.25% to 3.50%, 9-15-2025 to 6-30-2029, fair value including accrued interest is $255,000,028. |
| (09) U.S. government securities, 0.00% to 7.13%, 8-15-2024 to 9-14-2037, fair value including accrued interest is $51,000,524. |
| (10) U.S. government securities, 0.00% to 4.25%, 5-15-2026 to 1-15-2034, fair value including accrued interest is $351,466,505. |
| (11) U.S. government securities, 1.50% to 3.75%, 11-30-2028 to 11-15-2043, fair value including accrued interest is $408,000,016. |
| (12) U.S. government securities, 0.00% to 7.72%, 1-1-2025 to 6-20-2074, fair value including accrued interest is $257,498,293. |
| (13) U.S. government securities, 0.00% to 9.50%, 10-20-2024 to 6-20-2074, fair value including accrued interest is $257,466,039. |
| (14) U.S. government securities, 4.00% to 4.88%, 10-31-2028 to 7-31-2029, fair value including accrued interest is $765,000,056. |
| (15) U.S. government securities, 0.00% to 8.00%, 8-15-2024 to 8-1-2054, fair value including accrued interest is $1,180,424,726. |
| (16) U.S. government securities, 0.00% to 7.00%, 8-31-2024 to 7-20-2054, fair value including accrued interest is $2,056,369,531. |
| (17) U.S. government securities, 0.00% to 4.50%, 8-15-2024 to 11-15-2033, fair value including accrued interest is $1,020,000,000. |
| (18) U.S. government securities, 0.00% to 7.13%, 8-2-2024 to 3-23-2040, fair value including accrued interest is $102,000,000. |
| (19) U.S. government securities, 4.50% to 4.50%, 3-31-2026 to 3-31-2026, fair value including accrued interest is $102,000,070. |
| (20) U.S. government securities, 1.38% to 5.43%, 10-31-2024 to 5-15-2054, fair value including accrued interest is $3,060,000,074. |
| (21) U.S. government securities, 1.00% to 4.38%, 2-28-2027 to 5-15-2034, fair value including accrued interest is $1,020,004,259. |
| (22) U.S. government securities, 0.13% to 4.75%, 5-15-2041 to 11-15-2053, fair value including accrued interest is $6,630,000,167. |
| (23) U.S. government securities, 0.13% to 4.88%, 4-15-2025 to 11-15-2053, fair value including accrued interest is $8,160,000,402. |
| (24) U.S. government securities, 0.50% to 5.00%, 3-31-2025 to 11-30-2027, fair value including accrued interest is $2,550,000,052. |
| (25) U.S. government securities, 0.00% to 6.50%, 8-13-2024 to 8-15-2052, fair value including accrued interest is $3,009,000,035. |
| (26) U.S. government securities, 0.00% to 8.00%, 8-8-2024 to 5-1-2058, fair value including accrued interest is $2,062,167,777. |
| (27) U.S. government securities, 4.00% to 4.25%, 6-15-2026 to 7-31-2029, fair value including accrued interest is $2,047,584,713. |
| (28) U.S. government securities, 0.00% to 2.88%, 2-15-2028 to 5-15-2032, fair value including accrued interest is $102,000,001. |
| (29) U.S. government securities, 2.00% to 7.50%, 3-1-2028 to 11-1-2053, fair value including accrued interest is $257,500,000. |
| (30) U.S. government securities, 1.50% to 6.50%, 5-15-2034 to 5-1-2054, fair value including accrued interest is $1,184,500,016. |
| (31) U.S. government securities, 0.00% to 10.60%, 4-15-2025 to 12-15-2066, fair value including accrued interest is $102,999,913. |
| (32) U.S. government securities, 1.63% to 1.63%, 10-15-2027 to 10-15-2027, fair value including accrued interest is $510,000,080. |
| (33) U.S. government securities, 1.50% to 4.75%, 11-30-2028 to 11-15-2043, fair value including accrued interest is $ 1,020,000,086. |
| (34) U.S. government securities, 3.13% to 5.00%, 8-15-2025 to 10-31-2025, fair value including accrued interest is $ 2,040,000,058. |
| (35) U.S. government securities, 0.75% to 7.50%, 8-25-2024 to 6-20-2054, fair value including accrued interest is $1,284,905,883. |
| (36) U.S. government securities, 1.50% to 7.50%, 8-26-2024 to 1-20-2072, fair value including accrued interest is $1,699,205,849. |
| (37) U.S. government securities, 0.63% to 5.00%, 12-31-2025 to 11-1-2053, fair value including accrued interest is $256,153,927. |
| (38) U.S. government securities, 0.00% to 7.50%, 8-22-2024 to 3-1-2061, fair value including accrued interest is $2,059,578,582. |
| (39) U.S. government securities, 0.00% to 7.50%, 1-15-2026 to 7-1-2054, fair value including accrued interest is $256,724,197. |
| (40) U.S. government securities, 0.00% to 5.50%, 8-15-2024 to 11-15-2053, fair value including accrued interest is $2,040,000,000. |
| (41) U.S. government securities, 0.00% to 4.88%, 8-15-2024 to 5-15-2054, fair value including accrued interest is $255,000,003. |
| (42) U.S. government securities, 0.00% to 6.50%, 8-1-2024 to 5-20-2062, fair value including accrued interest is $3,075,050,169. |
| (43) U.S. government securities, 0.00% to 7.00%, 10-3-2024 to 7-1-2054, fair value including accrued interest is $1,543,445,639. |
| (44) U.S. government securities, 1.50% to 7.50%, 4-30-2027 to 8-1-2054, fair value including accrued interest is $1,029,670,315. |
| (45) U.S. government securities, 5.00% to 5.50%, 3-20-2053 to 6-20-2053, fair value including accrued interest is $257,500,000. |
| (46) U.S. government securities, 2.75% to 4.38%, 4-30-2025 to 8-15-2032, fair value including accrued interest is $510,000,054. |
| (47) U.S. government securities, 0.13% to 2.88%, 7-15-2025 to 5-15-2052, fair value including accrued interest is $612,000,001. |
| (48) U.S. government securities, 0.50% to 2.75%, 5-31-2027 to 8-15-2032, fair value including accrued interest is $255,000,023. |
| (49) U.S. government securities, 0.00%, 9-3-2024 to 7-10-2025, fair value is $816,000,068. |
| (50) U.S. government securities, 1.25% to 4.38%, 7-31-2026 to 8-15-2031, fair value including accrued interest is $408,000,042. |
| (51) U.S. government securities, 0.00% to 7.00%, 8-8-2024 to 7-1-2054, fair value including accrued interest is $102,671,983. |
| (52) U.S. government securities, 1.63% to 2.88%, 5-15-2049 to 11-15-2050, fair value including accrued interest is $95,071,967. |
| (53) U.S. government securities, 3.00% to 4.38%, 8-31-2028 to 4-20-2049, fair value including accrued interest is $488,512,531. |
| (54) U.S. government securities, 1.50% to 6.50%, 12-1-2031 to 8-1-2054, fair value including accrued interest is $927,000,000. |
| (55) U.S. government securities, 1.50% to 7.50%, 6-1-2026 to 7-1-2054, fair value including accrued interest is $515,000,000. |
| (56) U.S. government securities, 1.50% to 7.50%, 5-1-2025 to 8-1-2054, fair value including accrued interest is $1,030,000,000. |
| The security is purchased on a when-issued basis. |
| All or a portion of this security is segregated as collateral for when-issued securities. |