| | |
CORPORATE BONDS – (2.93%) |
| | |
Occidental Petroleum Corp., Sr. Notes, 5.50%, 12/01/25 | | |
| | |
|
Financial Services – (1.37%) |
Capital Markets – (1.37%) | | |
Goldman Sachs Group, Inc., Sr. Notes, 5.9881% (SOFR + 0.81%), 03/09/27 (a) | | |
| |
|
Pharmaceuticals, Biotechnology & Life Sciences – (0.67%) |
Viatris Inc., Sr. Notes, 2.70%, 06/22/30 | | |
| |
TOTAL CORPORATE BONDS –
(Identified cost $7,707,783) | |
|
Brean Asset Backed Securities Trust |
1.75%, 10/25/61, Series 2021-RM2, Class A, 144A (b) | | |
1.75%, 02/25/62, Series 2022-RM3, Class A, 144A (b) | | |
1.40%, 10/25/63, Series 2021-RM1, Class A, 144A (b) | | |
|
4.50%, 10/01/33, Pool No. AL8809 | | |
5.398%, 05/01/53, Pool No. BM7225 | | |
4.676%, 06/01/54, Pool No. BM7528 | | |
|
2.00%, 10/25/40, Series 5028 | | |
5.00%, 06/01/44, Pool No. G60660 | | |
5.50%, 06/25/50, Series 5386 | | |
|
6.00%, 08/20/34, Series 2023-147 | | |
6.00%, 07/20/37, Series 2023-111 | | |
6.50%, 05/20/53, Pool No. MA8881 | | |
6.00%, 10/20/59, Series 2023-136 | | |
7.00%, 12/20/62, Series 2022-207 | | |
6.7165% (1 mo. SOFR + 1.36%), 09/20/70, Series 2020-H16 (a) | | |
4.71%, 08/20/73, Pool No. 786935 | | |
3.989%, 09/20/73, Pool No. 787068 | | |
|
6.10% (Prime Rate – 2.40%), 01/25/33, Pool No. 530285 (a) | | |