Name of Bond |
End of Year Book Value |
End of Year Fair Market Value |
ABBVIE INC SR NT |
239,244 |
239,244 |
AIA GROUP LTD HONG KONG |
327,363 |
327,363 |
AIR CANADA SER 2015 1 CL A |
234,679 |
234,679 |
ALEXANDRIA REAL ESTATE EQ INC SR |
305,603 |
305,603 |
AMERICAN AIRLN PSTHRU SER 2019 1 CL |
173,471 |
173,471 |
AMSR TRUST SER 2020 SFR1 CL A |
343,518 |
343,518 |
ANHEUSER BUSCH COS LLC ANHEU SR GLBL |
399,405 |
399,405 |
APPLE INC SR GLBL NT |
154,046 |
154,046 |
AQUARION CO SR 144A NT |
130,715 |
130,715 |
AT&T INC GLBL NT |
248,713 |
248,713 |
AVIATION CAP GROUP LLC SR 144A NT |
258,476 |
258,476 |
BAE SYS HLDGS INC SR 144A |
212,388 |
212,388 |
BAE SYS PLC SR 144A |
224,146 |
224,146 |
BANK AMER CORP FR |
377,017 |
377,017 |
BANK AMER CORP SR GLBL N NT |
247,422 |
247,422 |
BBCMS MTG TR SER 2021 C9 CL A5 |
338,042 |
338,042 |
BCBSM INC 144A NT |
328,967 |
328,967 |
BENCHMARK MTG TR SER 2018 B1 |
214,387 |
214,387 |
BENCHMARK MTG TR SER 2019 B15 CL A 5 |
221,972 |
221,972 |
BERKSHIRE HATHAWAY ENERGY CO SR GLBL |
234,665 |
234,665 |
BERKSHIRE HATHAWAY ENERGY CO SR GLBL |
194,746 |
194,746 |
BLACKSTONE HLDGS FIN L L C SR 144A |
317,805 |
317,805 |
BROADCOM INC SR GLBL NT |
390,283 |
390,283 |
BX CM MTG SER 2021 VOLT CL A |
316,915 |
316,915 |
BX COML MTG TR 2019-XL COML MTG PASS |
478,150 |
478,150 |
CANADIAN NATL RY CO |
175,697 |
175,697 |
CANADIAN PAC RY CO NEW SR NT |
240,304 |
240,304 |
CAPITAL ONE FINL CORP SR NT |
223,122 |
223,122 |
CAPITAL ONE MULTI TR SER 2021 3 CL A |
365,378 |
365,378 |
CARDINAL HEALTH INC SR NT |
164,530 |
164,530 |
CF HIPPOLYTA ISSUER SER 2020 1 CL A |
157,967 |
157,967 |
CHARTER COMMUNICATIONS OPER SR SEC |
471,489 |
471,489 |
CIGNA CORP NEW GLBL NT |
214,796 |
214,796 |
CIM TR 2020-INV1 |
97,373 |
97,373 |
CITIGROUP COML MTG TR SER 2018 C6 CL |
194,489 |
194,489 |
CITIGROUP INC NT |
342,618 |
342,618 |
CITIGROUP INC SR NT |
436,410 |
436,410 |
COMCAST CORP NEW SR GLBL 144A |
186,696 |
186,696 |
COMCAST CORP NEW SR NT |
235,736 |
235,736 |
COMMONSPIRIT HEALTH BD |
221,069 |
221,069 |
CONTINENTAL AIRLN PT TR SER 2012 1 |
221,892 |
221,892 |
CONTINENTAL AIRLS INC 2012-2 |
501,630 |
501,630 |
CREDIT SUISSE INTERNATIONAL SR 144A |
289,848 |
289,848 |
CVS HEALTH CORP SR SEC AMRTZ |
217,466 |
217,466 |
CVS LEASE BACKED PASS THRU TR |
572,256 |
572,256 |
DIGITAL RLTY TR LP SR GLBL |
233,790 |
233,790 |
DISNEY WALT CO SR NT |
199,211 |
199,211 |
DOMINOS PIZZA MSTR SER 2021 1 CL A 2 |
366,702 |
366,702 |
DTE ENERGY CO SR F NT |
391,904 |
391,904 |
DUKE ENERGY CAROLINAS LLC 1M GLBL BD |
114,041 |
114,041 |
DUKE ENERGY FLA LLC SR SEC GLBL BD |
157,566 |
157,566 |
EVERSOURCE ENERGY SR GLBL Q NT |
389,240 |
389,240 |
EXELON CORP SR GLBL |
150,501 |
150,501 |
EXELON CORP SR GLBL NT |
151,706 |
151,706 |
FEDERAL NATL MTG ASSN GTD PASSTHRU |
371,878 |
371,878 |
FEDEX CORP SR NT |
150,436 |
150,436 |
FERGUSON FIN PLC SR 144A NT |
252,262 |
252,262 |
FERGUSON FIN PLC SR GLBL 144A |
233,140 |
233,140 |
FIRSTKEY HOMES 2021-SFR1 TR PASSTHRU |
345,026 |
345,026 |
FIVE CORNERS FDG TR SR 144A NT |
317,973 |
317,973 |
FLAGSTAR MTG TR SER 2021 6INV CL A 4 |
313,823 |
313,823 |
FREDDIE MAC SEASONED CR RISK |
123,282 |
123,282 |
FREDDIE MAC SEASONED CR RISK |
163,686 |
163,686 |
FREDDIE MAC SEASONED CR RISK |
163,775 |
163,775 |
FREDDIE SCRT SERIES SER 2021 2 CL MA |
322,569 |
322,569 |
FRESB 2019-SB59 MTG TR MULTIFAMILY |
203,064 |
203,064 |
GENERAL DYNAMICS CORP SR GLBL NT |
242,294 |
242,294 |
GLDNTREE LN MGT US CLO SER 2021 10 |
249,383 |
249,383 |
GOLDMAN SACHS GROUP INC SR GLBL |
343,456 |
343,456 |
GOLDMAN SACHS GROUP INC SR GLBL NT |
524,620 |
524,620 |
GS MORTGAGE SECRT TR SER 2020 GSA2 |
233,251 |
233,251 |
GS MTG COML SER 2010 C1 CL A 2 |
76,213 |
76,213 |
GS MTG SECS TR SER 2012 GCJ7 |
82,105 |
82,105 |
GS MTG SECS TR SER 2020 INV1 CL A 13 |
159,010 |
159,010 |
HOME DEPOT INC SR GLBL |
152,869 |
152,869 |
HYUNDAI CAP AMER SR GLBL 144A |
235,804 |
235,804 |
JP MORGAN CHASE BANK NA NT |
727,110 |
727,110 |
JP MORGAN MTG TR SER 2021 3 CL A 3 |
440,290 |
440,290 |
JPMBB COML MTG SEC TR SER 2013 C14 |
387,802 |
387,802 |
JPMBB COML MTG SEC TR SER 2015 C28 |
619,155 |
619,155 |
KKR GROUP FINANCE LLC SR NT 144A |
319,106 |
319,106 |
LIBERTY MUT GROUP INC SR 144A NT |
391,843 |
391,843 |
LINCOLN NATL CORP IND SR GLBL |
313,366 |
313,366 |
LLOYDS BANKING GROUP PLC SR GLBL |
254,870 |
254,870 |
LOCKHEED MARTIN CORP NT |
156,740 |
156,740 |
LOWES COS INC SR GLBL NT |
147,930 |
147,930 |
MACQUARIE GROUP LIMITED FR |
260,748 |
260,748 |
MACQUARIE GRP LTD SR MTN 144A FR |
157,458 |
157,458 |
MASSACHUSETTS MUT LIFE 144A NT |
81,200 |
81,200 |
MASTERCARD INC SR NT |
180,272 |
180,272 |
MCDONALDS CORP MED TERM NT FR |
213,637 |
213,637 |
MCDONALDS CORP MED TERM NT FR |
181,547 |
181,547 |
METLIFE SECURITIZATION TR 2020-INV1 |
132,845 |
132,845 |
MIDAMERICAN ENERGY HLDGS CO NEW SR |
231,380 |
231,380 |
MOODYS CORP SR NT |
240,184 |
240,184 |
MORGAN STANLEY FR |
362,867 |
362,867 |
MORGAN STANLEY FR |
370,762 |
370,762 |
MS BOFA ML TRUST SER 2012 C6 |
352,573 |
352,573 |
NORFOLK SOUTHERN CORP SR NT |
176,403 |
176,403 |
NORTHROP GRUMMAN CORP SR NT |
138,663 |
138,663 |
NXP B V NXP FDG LLC NXP US SR 144A |
228,311 |
228,311 |
NXP B V NXP FDG LLC SR 144A NT |
258,495 |
258,495 |
OAK ST INV GD NET LS FD SER 2020 1 |
259,473 |
259,473 |
OAK ST INV GD NT LS FD SER 2021 1 CL |
733,653 |
733,653 |
OCCIDENTAL PETE CORP SR GLBL ZRO NT |
333,128 |
333,128 |
ORACLE CORP SR NT |
189,974 |
189,974 |
PALMER SQUARE CLO LTD SER 2018 3R3 |
388,340 |
388,340 |
PEACHTREE CORNERS FDG TR PFD TR 144A |
228,997 |
228,997 |
PENSKE TRUCK LEASING CO L P SR GLBL |
302,547 |
302,547 |
PHILLIPS 66 PARTNERS LP SR GLBL NT |
243,635 |
243,635 |
PROGRESS RES SER 2021 SFR1 CL A |
562,459 |
562,459 |
PROGRESS RES SER 2021 SFR4 CL A |
562,977 |
562,977 |
PROGRESS RES TR SER 2019 SFR3 CL A |
210,309 |
210,309 |
PSMC TRUST SER 2021 2 CL A 3 |
536,522 |
536,522 |
PUBLIC SVC ENTERPRISE GRP INC SR |
226,753 |
226,753 |
RABOBANK NEDERLAND GLOBAL MEDIUM |
262,340 |
262,340 |
SABEY DATA CER ISER LLC SER 2020 01 |
162,317 |
162,317 |
SCHLUMBERGER HLDGS CORP SR NT 144A |
234,406 |
234,406 |
SEQUOIA MTG TR 2016-3 MTG PASS |
3,776 |
3,776 |
SMBC AVIATION CAP FIN SR GLBL 144A |
233,377 |
233,377 |
SPIRIT AIRLINES INC SER 2015 1 |
207,430 |
207,430 |
STACK INFRASTRUCTURE ISSUER LLC |
187,547 |
187,547 |
STACK INFRASTRUCTURE ISSUER LLC SECD |
562,375 |
562,375 |
STATE STR CORP SR GLBL NT |
99,328 |
99,328 |
STATE STR CORP SR GLBL NT |
86,595 |
86,595 |
STORE MASTER FDG I LLC / STORE |
185,293 |
185,293 |
SUNOCO LOGISTICS PARTNERS SR NT |
224,744 |
224,744 |
T MOBILE USA INC SR SEC GLBL NT |
112,304 |
112,304 |
TACO BELL FUNDING LLC SER 2021 1 CL |
371,684 |
371,684 |
TELEFONAKTIEBOLAGET LM ERICSS SR NT |
144,609 |
144,609 |
TEXTRON INC SR NT |
337,444 |
337,444 |
TOYOTA MOTOR CREDIT CORP FR |
186,296 |
186,296 |
TRANSURBAN FIN CO PTY LTD GTD SR |
81,715 |
81,715 |
UBS COML MTG TR SER 2012 C1 CL A 3 |
9,754 |
9,754 |
UBS GROUP AG SR 144A NT |
225,883 |
225,883 |
UBS GROUP AG SR GLBL 144A |
201,351 |
201,351 |
VANTAGE DATA CENTER SER 2020 1 CL A |
346,975 |
346,975 |
VERISK ANALYTICS INC SR GLBL NT |
120,701 |
120,701 |
WENDYS FDG LLC 2021-1 SR SECD NT CL |
377,144 |
377,144 |
WENDYS FDG LLC SER 2019 1 CL A 2 I |
166,801 |
166,801 |
WFRBS COML MTG TR 2013 C17 COML MTG |
446,724 |
446,724 |
WFRBS COML MTG TR SER 2013 C12 |
412,906 |
412,906 |
XCEL ENERGY INC SR GLBL |
204,943 |
204,943 |