Mutual Funds

Credit Series

Investment Objective

To provide long-term total return.

Investment Strategy

Under normal circumstances, at least 80% of the Series’ assets will be invested in U.S. dollar denominated credit-related instruments and other financial instruments, principally derivative instruments and exchange-traded funds (ETFs), with economic characteristics similar to credit-related instruments. The Series will principally invest in investment grade securities, and is not subject to maturity or duration restrictions.

Daily Price

$9.11

Daily $ Change

-$0.01

Daily % Change

-0.11%

as of 10/09/2024

Ticker

MCDIX

CUSIP

56382R183

Inception Date

09/23/2024

May be waived for certain qualified retirement plans and discretionary investment accounts of the Advisor.

Important Documents

Summary Prospectus
Prospectus
Statement of Additional Information
Annual Report
Semi-Annual Report
Proxy Voting Record
Applications & Forms
Financial Statements and Other Information

Performance

As of 09/30/2024

YTD

5.83%

1 Year

12.29%

3 Year

-0.05%

5 Year

---

10 Year

---

Inception
(04/14/2020)

1.77%

Performance data quoted represents past performance and does not guarantee future results. Performance for periods greater than one year is annualized. The investment return and principal value of an investment will fluctuate, so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance may be higher or lower than that quoted.
Since inception performance is based on the Credit Series Class W inception of 04/14/2020. For periods through 09/23/2024 (the inception date of the Class I shares), performance is hypothetical and is based on the historical performance of the Class W shares adjusted for the Class I shares’ charges and expenses.

Expense Ratio

Gross 0.50%

Top Ten Investments

As of 09/30/2024

FHLMC SUPER Y FIXED . 20520801 4.500% 2.11%
FHLMC SUPER Y FIXED . 20521201 5.000% 2.06%
JPMORGAN CHASE n CO SR GLBL NT 20310324 4.493% 2.00%
FNMA UMBS LNG YEAR . 20520601 4.000% 1.95%
SIMON PPTY GROUP LP SR GLBL NT 20320201 2.650% 1.78%
CAPITAL ONE FINL CORP SR GLBL NT 20311030 7.624% 1.65%
ALIBABA GROUP HLDG LTD SR GLBL NT 20371206 4.000% 1.63%
TENCENT HLDGS LTD FR . 20290411 3.975% 1.57%
FNMA UMBS LNG YEAR . 20491201 3.500% 1.57%
PALOMINO FDG TR I SR SEC GLBL 20280517 7.233% 1.54%

Top Ten Investments list is unaudited and excludes cash

Sector Allocation

As of 09/30/2024

Mortgage
43.91%
Corporate
31.96%
Securitized Credit
16.98%
Securitized / Covered
2.91%
Agency
1.49%
Municipal
1.34%
Fixed Income
0.90%
Commercial Mortgage Backed
0.51%

Credit Quality Distribution

As of 09/30/2024

AAA
44.25%
A
20.40%
BBB
16.75%
NR
16.44%
AA
2.16%

Credit quality ratings are measured on a scale that generally ranges from AAA (highest) to D (lowest). Not Rated (NR) is used to classify securities for which a rating is not available. Credit quality ratings for each issue are obtained from Bloomberg using ratings derived from Moody’s Investors Services (Moody’s) or Standard & Poor’s. When ratings from Moody’s are not available, ratings from Standard & Poor’s are used.

Security Description Country Ticker Shares/Par Market Value (USD)
AERCAP IRELAND CAP DESIGNATED SR GLBL NT 20281029 3.000% US 2,700,000 $2,550,528.00
AGATE BAY MTG TR - A- FLT 20460325 3.500% US 825,864.64 $765,565.70
ALEXANDER FDG TR II SR SEC GLBL 20280731 7.467% US 2,290,000 $2,474,253.40
ALIBABA GROUP HLDG LTD SR GLBL NT 20310209 2.125% US 1,400,000 $1,223,684.00
ALIBABA GROUP HLDG LTD SR GLBL NT 20371206 4.000% US 5,235,000 $4,838,815.20
ALLO ISSUER LLC - A- . 20530620 6.200% US 1,600,000 $1,641,221.12
ASHTEAD CAP INC SR SEC GLBL 20280501 4.000% US 2,590,000 $2,522,763.60
BANK AMERICA CORP FR . 20320422 2.687% US 4,015,000 $3,580,858.05
BNSF FUNDING TRUST GTD PFD SECS 20551215 6.613% US 2,540,000 $2,560,370.80
BREAN ABS TR -RM A . 20611025 1.750% US 799,906.7 $739,932.34
BX TRUST -VLT A FLT 20410617 6.588% US 1,900,000 $1,900,000.00
CAPITAL ONE FINL CORP SR GLBL NT 20311030 7.624% US 4,310,000 $4,898,444.30
CENOVUS ENERGY INC SR NT . 20391115 6.750% US 3,380,000 $3,816,729.80
CF HIPPOLYTA ISSUER - B- . 20600715 2.280% US 2,113,712.2 $2,023,637.62
CF HIPPOLYTA ISSUER LLC - B- . 20610315 1.980% US 895,325.6 $824,099.94
CITIGROUP INC SR GLBL NT 20270609 1.462% US 4,000,000 $3,810,920.00
COGENT IPV LLC, - A- . 20540525 7.924% US 990,000 $1,037,543.17
COMMONBOND ST LN TR -A-GS A . 20500825 1.980% US 513,644.42 $452,229.55
COMPASS DATACENTERS - A- . 20490825 5.022% US 1,500,000 $1,510,869.90
CSMC TR -J A- FLT 20480225 3.500% US 3,705,058.23 $3,401,725.11
CSMC TRUST - A- FLT 20430825 3.500% US 229,947.72 $213,948.69
DATABANK ISSUER LLC - A- . 20511025 2.400% US 900,000 $848,949.75
DATABANK ISSUER LLC - A- . 20530225 5.116% US 1,350,000 $1,339,016.54
ECMC GRP STD LN TR - A FLT 20731127 0.000% US 1,300,000 $1,300,000.00
ENERGY TRANSFER L P SR GLBL A 20310201 7.375% US 2,330,000 $2,478,770.50
ENERGY TRANSFER L P SR NT . 20420201 6.500% US 3,465,000 $3,786,725.25
FEDERAL NATL MTG ASSN FR . 20300805 0.875% US 5,195,000 $4,425,828.30
FHLMC REMIC SERIES CP . 20490625 2.500% US 3,963,909.98 $3,539,179.40
FHLMC REMIC SERIES K- X FLT 20300125 1.439% US 15,060,249.28 $886,815.25
FHLMC SUPER Y FIXED . 20430601 5.000% US 3,110,797.24 $3,150,086.61
FHLMC SUPER Y FIXED . 20520601 4.500% US 4,471,730.15 $4,401,345.12
FHLMC SUPER Y FIXED . 20520701 5.500% US 3,333,956.55 $3,378,498.21
FHLMC SUPER Y FIXED . 20520801 4.500% US 6,347,929.35 $6,248,012.94
FHLMC SUPER Y FIXED . 20521201 5.000% US 6,090,126.28 $6,095,363.79
FHLMC UMBS Y FIXED . 20420601 3.500% US 2,916,041.84 $2,777,121.61
FHLMC UMBS Y FIXED . 20420801 4.500% US 1,847,320.61 $1,857,074.46
FHLMC UMBS Y FIXED . 20520901 4.500% US 3,507,973.96 $3,452,723.37
FHLMC UMBS Y FIXED . 20531001 5.000% US 3,860,008.92 $3,876,992.96
FIFTH THIRD BANCORP SR GLBL NT 20281027 6.361% US 760,000 $800,538.40
FIN OF AMER STRU SECS -S A . 20721225 3.000% US 1,447,017.83 $1,406,354.31
FLAGSTAR MTG TR -INV A- FLT 20510925 2.500% US 768,802.35 $647,967.38
FLEXENTIAL ISSUER LLC - A- . 20511127 3.250% US 1,525,000 $1,446,148.81
FNMA REMC TRUST - WJ . 20501025 1.500% US 591,359.94 $506,938.87
FNMA REMIC TRUST - DC . 20500725 2.500% US 3,750,443 $3,310,293.26
FNMA SUPER INT YEAR . 20421001 4.500% US 2,992,120.81 $3,007,919.21
FNMA SUPER INT YEAR . 20430601 4.500% US 3,400,404.92 $3,402,547.18
FNMA SUPER LNG YEAR . 20500301 3.500% US 3,218,243.98 $3,036,863.75
FNMA SUPER LNG YEAR . 20500601 3.000% US 1,790,476.12 $1,636,029.65
FNMA SUPER LNG YEAR . 20501201 3.000% US 2,351,392.82 $2,148,561.68
FNMA SUPER LNG YEAR . 20510701 3.500% US 3,759,422.85 $3,547,504.18
FNMA SUPER LNG YEAR . 20511201 3.000% US 4,036,084.61 $3,686,236.80
FNMA SUPER LNG YEAR . 20531001 5.500% US 3,788,092.08 $3,868,967.85
FNMA UMBS INT YEAR . 20420601 4.000% US 3,909,284.4 $3,841,223.76
FNMA UMBS INT YEAR . 20421101 5.000% US 3,577,098.15 $3,612,404.11
FNMA UMBS LNG YEAR . 20491201 3.500% US 4,922,932.22 $4,645,475.76
FNMA UMBS LNG YEAR . 20500701 3.000% US 1,386,035.8 $1,246,309.53
FNMA UMBS LNG YEAR . 20520401 3.000% US 2,387,348.13 $2,174,539.92
FNMA UMBS LNG YEAR . 20520601 4.000% US 6,017,886.49 $5,778,856.04
FNMA UMBS LNG YEAR . 20520801 5.000% US 3,572,188.72 $3,578,297.16
FNMA UMBS LNG YEAR . 20521101 5.500% US 2,241,273.54 $2,272,718.61
FNMA UMBS LNG YEAR . 20530501 5.500% US 3,777,151.81 $3,825,234.95
FNMA UMBS LNG YEAR . 20530501 6.000% US 2,505,605.11 $2,617,229.82
GOODGREEN - A . 20550415 2.630% US 684,724.05 $592,401.13
GS MBS TR -PJ A- FLT 20520225 2.500% US 586,902.75 $524,268.08
GS MBS TR -PJ A- FLT 20520825 3.000% US 1,710,335.98 $1,497,855.81
GS MRTG BCK SEC TR -INV A- FLT 20511225 2.500% US 764,313.52 $683,415.98
GS MTG -BACK SEC TR -PJ A- FLT 20511125 2.500% US 508,461.14 $454,010.60
GS MTG SECS TR -PJ A- FLT 20501025 3.000% US 231,712.55 $204,394.54
HAWAII ST TAXABLE GO REF BDS G 20371001 2.632% US 2,240,000 $1,808,889.60
HORIZON AIRCAFT FINANCE - A . 20490915 5.375% US 2,600,000 $2,593,798.22
HOTWIRE FDING LLC - A- . 20530520 5.687% US 2,400,000 $2,458,110.72
HOTWIRE FUNDING LLC - A- . 20511120 2.311% US 1,470,000 $1,389,995.84
HUNTINGTON BANCSHARES INC GLBL NT . 20300204 2.550% US 1,161,000 $1,048,232.07
IMPERIAL FD MTG TR -NQM A- FLT 20670325 3.638% US 1,211,032.74 $1,149,274.31
IMPERIAL FUND MTG TR -NQM A- FLT 20561125 1.595% US 703,046.17 $598,820.91
J.P. MORGAN MTG TR -INV A--B FLT 20520925 3.000% US 1,631,714.7 $1,427,900.48
JEFFERIES FINANCIAL GROUP INC SR GLBL NT. 20340414 6.200% US 3,390,000 $3,628,961.10
JP MORG WLTH MTG TR -ATR A- FLT 20500225 3.000% US 1,922,523.6 $1,701,509.52
JP MORGAN CHASE CMBS -ICON A . 20340106 3.884% US 1,114,074.18 $1,080,693.18
JP MORGAN MTG TR - -A- FLT 20461025 2.500% US 578,062.45 $539,397.01
JP MORGAN MTG TR - A--B FLT 20510825 2.000% US 2,444,260.58 $1,966,940.49
JP MORGAN MTG TR -INV A- FLT 20500525 3.500% US 592,285.24 $543,402.87
JP MORGAN MTG TR -INV A--A FLT 20500525 3.000% US 445,631.85 $396,236.68
JPMORGAN CHASE n CO SR GLBL NT 20310324 4.493% US 5,900,000 $5,931,624.00
KEYBANK NATIONAL ASSOCIATION SR GLBL NT 20271115 5.850% US 2,200,000 $2,281,224.00
KRFF -FL LTD A-S FLT 20390217 6.497% KY 1,500,000 $1,175,753.43
LIBRA SOL LLC - A . 20350215 7.000% US 434,171.21 $435,419.89
MASSMUTUAL GLBL FDG II MTN A NT . 20290117 4.850% US 1,210,000 $1,244,509.20
METROPOLITAN LIFE GLOBAL FDG I FR . 20290108 4.850% US 1,210,000 $1,240,431.50
MORGAN STANLEY CAP TR -CNP A FLT 20300405 2.428% US 1,000,000 $842,821.00
NAVIENT PRIV ED LN -D A . 20690515 1.690% US 415,169.2 $390,436.20
NAVIENT PVT ED RI LN TR -A A . 20690515 0.840% US 301,338.5 $273,807.04
NAVIENT STUDENT LN TR - A FLT 20661227 6.445% US 1,385,228.37 $1,387,850.19
NELNET ST LN TR - A FLT 20400326 6.095% US 477,220.09 $475,793.15
NELNET STUDENT LOAN TR - A- FLT 20370126 3.351% US 2,104,904.33 $2,086,979.81
NEW YORK LIFE GLOBAL FDG FR . 20290129 4.700% US 1,210,000 $1,238,967.40
NEWCASTLE COAL INFRASTRUCTURE SR SEC A NT 20270929 4.400% US 2,796,511.08 $2,748,858.53
NEWREZ WARH SEC TR - A FLT 20550525 6.181% US .66 $0.66
OAK ST INV GD NET LS FD - A- . 20501120 1.850% US 1,839,656.72 $1,763,429.81
OBX TRUST -NQM A- . 20631125 5.928% US 2,491,712.7 $2,517,129.42
OCEANVIEW MORTGAE LN TR - A-A FLT 20500528 1.733% US 458,049.3 $421,100.16
OXFORD FIN FDG TR - A- . 20310215 6.716% US 2,120,000 $2,150,226.75
OXFORD FIN FDG TR LLC - A- . 20300215 3.602% US 2,600,838.9 $2,483,883.34
PALOMINO FDG TR I SR SEC GLBL 20280517 7.233% US 4,245,000 $4,551,786.15
PCG - LLC SR SEC GLBL 20290725 10.855% US 4,476,609.3 $4,476,027.34
PEAR - LLC A . 20350716 0.000% US 1,187,500.78 $1,205,570.74
PEAR LLC - A . 20360215 6.950% US 837,102.91 $852,620.54
PEAR, LLC - A . 20340115 2.600% US 614,971.7 $602,614.83
PHEAA STUDENT LN TR - A FLT 20650925 6.545% US 364,222.38 $364,840.57
PNC FINL SVCS GROUP INC SR GLBL NT 20260612 5.812% US 3,250,000 $3,271,060.00
PROVIDENT FDG MTG TR - A-A FLT 20510525 2.000% US 637,346.33 $557,730.75
PROVIDENT FND MTG TR -INV A- FLT 20510825 2.500% US 1,321,020.79 $1,111,806.76
RCKT MRTG TR - A- FLT 20511225 2.500% US 797,319.69 $669,491.01
RCKT MRTG TR - A- FLT 20511225 2.500% US 883,925.6 $788,434.59
RUN TR -NQM A- FLT 20670325 4.000% US 807,570.25 $788,276.27
SBA TOWER TR - - . 20521115 6.599% US 3,940,000 $4,100,251.62
SBA TOWER TRUST - C . 20541015 4.831% US 1,360,000 $1,360,000.00
SEQUOIA MTG TR - A- . 20430725 3.500% US 3,419,815.64 $3,180,595.09
SEQUOIA MTG TR - A- FLT 20430525 2.500% US 434,667.75 $381,408.00
SEQUOIA MTG TR - A- FLT 20470425 3.500% US 1,354,601.8 $1,247,020.95
SIMON PPTY GROUP LP GLBL NT . 20320115 2.250% US 2,160,000 $1,860,580.80
SIMON PPTY GROUP LP SR GLBL NT 20320201 2.650% US 5,980,000 $5,277,290.20
SIRIUSPOINT LTD SR GLBL NT 20290405 7.000% US 2,325,000 $2,439,738.75
SLAM LTD - A . 20460615 2.434% KY 1,514,110 $1,395,641.49
SLC STUDENT LN TR - A- FLT 20391215 0.353% US 2,995,010.07 $2,926,099.38
SLM STUDENT LOAN TR - A- FLT 20341025 6.595% US 366,736.92 $367,347.24
SLM STUDENT LOAN TR - A--B FLT 20280626 6.045% US 982,588.05 $979,823.54
SMB PRIVATE ED LN TR -B A-A . 20351015 2.820% US 80,006.43 $78,549.65
SMB PRIVATE ED LN TR -B A-B FLT 20351015 5.961% US 362,347.95 $361,798.23
SMB PRIVATE EDU LN TR -E A-A . 20561016 5.090% US 1,000,000 $1,014,280.70
SOUTH CAROLINA ST PUB SVCS AUT TAXABLE REF OBLIGS B 20281201 2.329% US 1,355,000 $1,254,133.80
STACK INFRASTRUCTURE - A- . 20460326 1.877% US 1,050,000 $1,003,260.62
TAMPA-HILLSBOROUGH CNTY FLA EX TAXABLE REF BDS B 20290701 1.892% US 1,000,000 $908,060.00
TENCENT HLDGS LTD FR . 20290411 3.975% US 4,700,000 $4,653,423.00
TRICON AMERICN HM TR -SFR A . 20380719 1.499% US 1,390,505.45 $1,331,985.89
TRUIST FINL CORP FR . 20290607 1.887% US 3,795,000 $3,471,703.95
US BANCORP FR . 20290201 4.653% US 3,360,000 $3,392,524.80
US DOLLARS US USD 5,395,380.99 $5,395,380.99
VANTAGE DATA CENTER - LLC A- . 20450915 1.645% US 1,750,000 $1,692,558.00
WARNERMEDIA HLDGS INC SR GLBL NT 20290315 4.054% US 3,730,000 $3,533,578.20
WELLS FARGO n CO FR . 20280422 5.707% US 3,350,000 $3,459,176.50
WINWATER MTG LN TR - A- FLT 20450320 3.500% US 1,153,083.71 $1,088,501.45

Investments will change over time.

A Word About Risk

All investments involve risks, including possible loss of principal. There is an inverse relationship between bond prices and interest rates; as interest rates rise, bond prices (and therefore the value of bond funds) fall. Likewise, as interest rates fall, bond prices and the value of bond funds rise. Investments in derivatives can be highly volatile and involve risks in addition to the risks of the underlying instrument on which the derivative is based, such as counterparty, correlation and liquidity risk. Also, the use of leverage increases exposure to the market and may magnify potential losses.

Daily Price

$9.11

Daily $ Change

-$0.01

Daily % Change

-0.11%

as of 10/09/2024

Ticker

MCDIX

CUSIP

56382R183

Inception Date

09/23/2024

May be waived for certain qualified retirement plans and discretionary investment accounts of the Advisor.

Important Documents

Summary Prospectus
Prospectus
Statement of Additional Information
Annual Report
Semi-Annual Report
Proxy Voting Record
Applications & Forms
Financial Statements and Other Information

Investment Objective

To provide long-term total return.

Investment Strategy

Under normal circumstances, at least 80% of the Series’ assets will be invested in U.S. dollar denominated credit-related instruments and other financial instruments, principally derivative instruments and exchange-traded funds (ETFs), with economic characteristics similar to credit-related instruments. The Series will principally invest in investment grade securities, and is not subject to maturity or duration restrictions.

Performance

As of 09/30/2024

YTD

5.83%

1 Year

12.29%

3 Year

-0.05%

5 Year

---

10 Year

---

Inception
(04/14/2020)

1.77%

Performance data quoted represents past performance and does not guarantee future results. Performance for periods greater than one year is annualized. The investment return and principal value of an investment will fluctuate, so that an investor’s shares, when redeemed, may be worth more or less than their original cost. Current performance may be higher or lower than that quoted.
Since inception performance is based on the Credit Series Class W inception of 04/14/2020. For periods through 09/23/2024 (the inception date of the Class I shares), performance is hypothetical and is based on the historical performance of the Class W shares adjusted for the Class I shares’ charges and expenses.

Expense Ratio

Gross 0.50%

Top Ten Investments

As of 09/30/2024

FHLMC SUPER Y FIXED . 20520801 4.500% 2.11%
FHLMC SUPER Y FIXED . 20521201 5.000% 2.06%
JPMORGAN CHASE n CO SR GLBL NT 20310324 4.493% 2.00%
FNMA UMBS LNG YEAR . 20520601 4.000% 1.95%
SIMON PPTY GROUP LP SR GLBL NT 20320201 2.650% 1.78%
CAPITAL ONE FINL CORP SR GLBL NT 20311030 7.624% 1.65%
ALIBABA GROUP HLDG LTD SR GLBL NT 20371206 4.000% 1.63%
TENCENT HLDGS LTD FR . 20290411 3.975% 1.57%
FNMA UMBS LNG YEAR . 20491201 3.500% 1.57%
PALOMINO FDG TR I SR SEC GLBL 20280517 7.233% 1.54%

Top Ten Investments list is unaudited and excludes cash

Sector Allocation

As of 09/30/2024

Mortgage
43.91%
Corporate
31.96%
Securitized Credit
16.98%
Securitized / Covered
2.91%
Agency
1.49%
Municipal
1.34%
Fixed Income
0.90%
Commercial Mortgage Backed
0.51%

Credit Quality Distribution

As of 09/30/2024

AAA
44.25%
A
20.40%
BBB
16.75%
NR
16.44%
AA
2.16%

Credit quality ratings are measured on a scale that generally ranges from AAA (highest) to D (lowest). Not Rated (NR) is used to classify securities for which a rating is not available. Credit quality ratings for each issue are obtained from Bloomberg using ratings derived from Moody’s Investors Services (Moody’s) or Standard & Poor’s. When ratings from Moody’s are not available, ratings from Standard & Poor’s are used.

Security Description Country Ticker Shares/Par Market Value (USD)
AERCAP IRELAND CAP DESIGNATED SR GLBL NT 20281029 3.000% US 2,700,000 $2,550,528.00
AGATE BAY MTG TR - A- FLT 20460325 3.500% US 825,864.64 $765,565.70
ALEXANDER FDG TR II SR SEC GLBL 20280731 7.467% US 2,290,000 $2,474,253.40
ALIBABA GROUP HLDG LTD SR GLBL NT 20310209 2.125% US 1,400,000 $1,223,684.00
ALIBABA GROUP HLDG LTD SR GLBL NT 20371206 4.000% US 5,235,000 $4,838,815.20
ALLO ISSUER LLC - A- . 20530620 6.200% US 1,600,000 $1,641,221.12
ASHTEAD CAP INC SR SEC GLBL 20280501 4.000% US 2,590,000 $2,522,763.60
BANK AMERICA CORP FR . 20320422 2.687% US 4,015,000 $3,580,858.05
BNSF FUNDING TRUST GTD PFD SECS 20551215 6.613% US 2,540,000 $2,560,370.80
BREAN ABS TR -RM A . 20611025 1.750% US 799,906.7 $739,932.34
BX TRUST -VLT A FLT 20410617 6.588% US 1,900,000 $1,900,000.00
CAPITAL ONE FINL CORP SR GLBL NT 20311030 7.624% US 4,310,000 $4,898,444.30
CENOVUS ENERGY INC SR NT . 20391115 6.750% US 3,380,000 $3,816,729.80
CF HIPPOLYTA ISSUER - B- . 20600715 2.280% US 2,113,712.2 $2,023,637.62
CF HIPPOLYTA ISSUER LLC - B- . 20610315 1.980% US 895,325.6 $824,099.94
CITIGROUP INC SR GLBL NT 20270609 1.462% US 4,000,000 $3,810,920.00
COGENT IPV LLC, - A- . 20540525 7.924% US 990,000 $1,037,543.17
COMMONBOND ST LN TR -A-GS A . 20500825 1.980% US 513,644.42 $452,229.55
COMPASS DATACENTERS - A- . 20490825 5.022% US 1,500,000 $1,510,869.90
CSMC TR -J A- FLT 20480225 3.500% US 3,705,058.23 $3,401,725.11
CSMC TRUST - A- FLT 20430825 3.500% US 229,947.72 $213,948.69
DATABANK ISSUER LLC - A- . 20511025 2.400% US 900,000 $848,949.75
DATABANK ISSUER LLC - A- . 20530225 5.116% US 1,350,000 $1,339,016.54
ECMC GRP STD LN TR - A FLT 20731127 0.000% US 1,300,000 $1,300,000.00
ENERGY TRANSFER L P SR GLBL A 20310201 7.375% US 2,330,000 $2,478,770.50
ENERGY TRANSFER L P SR NT . 20420201 6.500% US 3,465,000 $3,786,725.25
FEDERAL NATL MTG ASSN FR . 20300805 0.875% US 5,195,000 $4,425,828.30
FHLMC REMIC SERIES CP . 20490625 2.500% US 3,963,909.98 $3,539,179.40
FHLMC REMIC SERIES K- X FLT 20300125 1.439% US 15,060,249.28 $886,815.25
FHLMC SUPER Y FIXED . 20430601 5.000% US 3,110,797.24 $3,150,086.61
FHLMC SUPER Y FIXED . 20520601 4.500% US 4,471,730.15 $4,401,345.12
FHLMC SUPER Y FIXED . 20520701 5.500% US 3,333,956.55 $3,378,498.21
FHLMC SUPER Y FIXED . 20520801 4.500% US 6,347,929.35 $6,248,012.94
FHLMC SUPER Y FIXED . 20521201 5.000% US 6,090,126.28 $6,095,363.79
FHLMC UMBS Y FIXED . 20420601 3.500% US 2,916,041.84 $2,777,121.61
FHLMC UMBS Y FIXED . 20420801 4.500% US 1,847,320.61 $1,857,074.46
FHLMC UMBS Y FIXED . 20520901 4.500% US 3,507,973.96 $3,452,723.37
FHLMC UMBS Y FIXED . 20531001 5.000% US 3,860,008.92 $3,876,992.96
FIFTH THIRD BANCORP SR GLBL NT 20281027 6.361% US 760,000 $800,538.40
FIN OF AMER STRU SECS -S A . 20721225 3.000% US 1,447,017.83 $1,406,354.31
FLAGSTAR MTG TR -INV A- FLT 20510925 2.500% US 768,802.35 $647,967.38
FLEXENTIAL ISSUER LLC - A- . 20511127 3.250% US 1,525,000 $1,446,148.81
FNMA REMC TRUST - WJ . 20501025 1.500% US 591,359.94 $506,938.87
FNMA REMIC TRUST - DC . 20500725 2.500% US 3,750,443 $3,310,293.26
FNMA SUPER INT YEAR . 20421001 4.500% US 2,992,120.81 $3,007,919.21
FNMA SUPER INT YEAR . 20430601 4.500% US 3,400,404.92 $3,402,547.18
FNMA SUPER LNG YEAR . 20500301 3.500% US 3,218,243.98 $3,036,863.75
FNMA SUPER LNG YEAR . 20500601 3.000% US 1,790,476.12 $1,636,029.65
FNMA SUPER LNG YEAR . 20501201 3.000% US 2,351,392.82 $2,148,561.68
FNMA SUPER LNG YEAR . 20510701 3.500% US 3,759,422.85 $3,547,504.18
FNMA SUPER LNG YEAR . 20511201 3.000% US 4,036,084.61 $3,686,236.80
FNMA SUPER LNG YEAR . 20531001 5.500% US 3,788,092.08 $3,868,967.85
FNMA UMBS INT YEAR . 20420601 4.000% US 3,909,284.4 $3,841,223.76
FNMA UMBS INT YEAR . 20421101 5.000% US 3,577,098.15 $3,612,404.11
FNMA UMBS LNG YEAR . 20491201 3.500% US 4,922,932.22 $4,645,475.76
FNMA UMBS LNG YEAR . 20500701 3.000% US 1,386,035.8 $1,246,309.53
FNMA UMBS LNG YEAR . 20520401 3.000% US 2,387,348.13 $2,174,539.92
FNMA UMBS LNG YEAR . 20520601 4.000% US 6,017,886.49 $5,778,856.04
FNMA UMBS LNG YEAR . 20520801 5.000% US 3,572,188.72 $3,578,297.16
FNMA UMBS LNG YEAR . 20521101 5.500% US 2,241,273.54 $2,272,718.61
FNMA UMBS LNG YEAR . 20530501 5.500% US 3,777,151.81 $3,825,234.95
FNMA UMBS LNG YEAR . 20530501 6.000% US 2,505,605.11 $2,617,229.82
GOODGREEN - A . 20550415 2.630% US 684,724.05 $592,401.13
GS MBS TR -PJ A- FLT 20520225 2.500% US 586,902.75 $524,268.08
GS MBS TR -PJ A- FLT 20520825 3.000% US 1,710,335.98 $1,497,855.81
GS MRTG BCK SEC TR -INV A- FLT 20511225 2.500% US 764,313.52 $683,415.98
GS MTG -BACK SEC TR -PJ A- FLT 20511125 2.500% US 508,461.14 $454,010.60
GS MTG SECS TR -PJ A- FLT 20501025 3.000% US 231,712.55 $204,394.54
HAWAII ST TAXABLE GO REF BDS G 20371001 2.632% US 2,240,000 $1,808,889.60
HORIZON AIRCAFT FINANCE - A . 20490915 5.375% US 2,600,000 $2,593,798.22
HOTWIRE FDING LLC - A- . 20530520 5.687% US 2,400,000 $2,458,110.72
HOTWIRE FUNDING LLC - A- . 20511120 2.311% US 1,470,000 $1,389,995.84
HUNTINGTON BANCSHARES INC GLBL NT . 20300204 2.550% US 1,161,000 $1,048,232.07
IMPERIAL FD MTG TR -NQM A- FLT 20670325 3.638% US 1,211,032.74 $1,149,274.31
IMPERIAL FUND MTG TR -NQM A- FLT 20561125 1.595% US 703,046.17 $598,820.91
J.P. MORGAN MTG TR -INV A--B FLT 20520925 3.000% US 1,631,714.7 $1,427,900.48
JEFFERIES FINANCIAL GROUP INC SR GLBL NT. 20340414 6.200% US 3,390,000 $3,628,961.10
JP MORG WLTH MTG TR -ATR A- FLT 20500225 3.000% US 1,922,523.6 $1,701,509.52
JP MORGAN CHASE CMBS -ICON A . 20340106 3.884% US 1,114,074.18 $1,080,693.18
JP MORGAN MTG TR - -A- FLT 20461025 2.500% US 578,062.45 $539,397.01
JP MORGAN MTG TR - A--B FLT 20510825 2.000% US 2,444,260.58 $1,966,940.49
JP MORGAN MTG TR -INV A- FLT 20500525 3.500% US 592,285.24 $543,402.87
JP MORGAN MTG TR -INV A--A FLT 20500525 3.000% US 445,631.85 $396,236.68
JPMORGAN CHASE n CO SR GLBL NT 20310324 4.493% US 5,900,000 $5,931,624.00
KEYBANK NATIONAL ASSOCIATION SR GLBL NT 20271115 5.850% US 2,200,000 $2,281,224.00
KRFF -FL LTD A-S FLT 20390217 6.497% KY 1,500,000 $1,175,753.43
LIBRA SOL LLC - A . 20350215 7.000% US 434,171.21 $435,419.89
MASSMUTUAL GLBL FDG II MTN A NT . 20290117 4.850% US 1,210,000 $1,244,509.20
METROPOLITAN LIFE GLOBAL FDG I FR . 20290108 4.850% US 1,210,000 $1,240,431.50
MORGAN STANLEY CAP TR -CNP A FLT 20300405 2.428% US 1,000,000 $842,821.00
NAVIENT PRIV ED LN -D A . 20690515 1.690% US 415,169.2 $390,436.20
NAVIENT PVT ED RI LN TR -A A . 20690515 0.840% US 301,338.5 $273,807.04
NAVIENT STUDENT LN TR - A FLT 20661227 6.445% US 1,385,228.37 $1,387,850.19
NELNET ST LN TR - A FLT 20400326 6.095% US 477,220.09 $475,793.15
NELNET STUDENT LOAN TR - A- FLT 20370126 3.351% US 2,104,904.33 $2,086,979.81
NEW YORK LIFE GLOBAL FDG FR . 20290129 4.700% US 1,210,000 $1,238,967.40
NEWCASTLE COAL INFRASTRUCTURE SR SEC A NT 20270929 4.400% US 2,796,511.08 $2,748,858.53
NEWREZ WARH SEC TR - A FLT 20550525 6.181% US .66 $0.66
OAK ST INV GD NET LS FD - A- . 20501120 1.850% US 1,839,656.72 $1,763,429.81
OBX TRUST -NQM A- . 20631125 5.928% US 2,491,712.7 $2,517,129.42
OCEANVIEW MORTGAE LN TR - A-A FLT 20500528 1.733% US 458,049.3 $421,100.16
OXFORD FIN FDG TR - A- . 20310215 6.716% US 2,120,000 $2,150,226.75
OXFORD FIN FDG TR LLC - A- . 20300215 3.602% US 2,600,838.9 $2,483,883.34
PALOMINO FDG TR I SR SEC GLBL 20280517 7.233% US 4,245,000 $4,551,786.15
PCG - LLC SR SEC GLBL 20290725 10.855% US 4,476,609.3 $4,476,027.34
PEAR - LLC A . 20350716 0.000% US 1,187,500.78 $1,205,570.74
PEAR LLC - A . 20360215 6.950% US 837,102.91 $852,620.54
PEAR, LLC - A . 20340115 2.600% US 614,971.7 $602,614.83
PHEAA STUDENT LN TR - A FLT 20650925 6.545% US 364,222.38 $364,840.57
PNC FINL SVCS GROUP INC SR GLBL NT 20260612 5.812% US 3,250,000 $3,271,060.00
PROVIDENT FDG MTG TR - A-A FLT 20510525 2.000% US 637,346.33 $557,730.75
PROVIDENT FND MTG TR -INV A- FLT 20510825 2.500% US 1,321,020.79 $1,111,806.76
RCKT MRTG TR - A- FLT 20511225 2.500% US 797,319.69 $669,491.01
RCKT MRTG TR - A- FLT 20511225 2.500% US 883,925.6 $788,434.59
RUN TR -NQM A- FLT 20670325 4.000% US 807,570.25 $788,276.27
SBA TOWER TR - - . 20521115 6.599% US 3,940,000 $4,100,251.62
SBA TOWER TRUST - C . 20541015 4.831% US 1,360,000 $1,360,000.00
SEQUOIA MTG TR - A- . 20430725 3.500% US 3,419,815.64 $3,180,595.09
SEQUOIA MTG TR - A- FLT 20430525 2.500% US 434,667.75 $381,408.00
SEQUOIA MTG TR - A- FLT 20470425 3.500% US 1,354,601.8 $1,247,020.95
SIMON PPTY GROUP LP GLBL NT . 20320115 2.250% US 2,160,000 $1,860,580.80
SIMON PPTY GROUP LP SR GLBL NT 20320201 2.650% US 5,980,000 $5,277,290.20
SIRIUSPOINT LTD SR GLBL NT 20290405 7.000% US 2,325,000 $2,439,738.75
SLAM LTD - A . 20460615 2.434% KY 1,514,110 $1,395,641.49
SLC STUDENT LN TR - A- FLT 20391215 0.353% US 2,995,010.07 $2,926,099.38
SLM STUDENT LOAN TR - A- FLT 20341025 6.595% US 366,736.92 $367,347.24
SLM STUDENT LOAN TR - A--B FLT 20280626 6.045% US 982,588.05 $979,823.54
SMB PRIVATE ED LN TR -B A-A . 20351015 2.820% US 80,006.43 $78,549.65
SMB PRIVATE ED LN TR -B A-B FLT 20351015 5.961% US 362,347.95 $361,798.23
SMB PRIVATE EDU LN TR -E A-A . 20561016 5.090% US 1,000,000 $1,014,280.70
SOUTH CAROLINA ST PUB SVCS AUT TAXABLE REF OBLIGS B 20281201 2.329% US 1,355,000 $1,254,133.80
STACK INFRASTRUCTURE - A- . 20460326 1.877% US 1,050,000 $1,003,260.62
TAMPA-HILLSBOROUGH CNTY FLA EX TAXABLE REF BDS B 20290701 1.892% US 1,000,000 $908,060.00
TENCENT HLDGS LTD FR . 20290411 3.975% US 4,700,000 $4,653,423.00
TRICON AMERICN HM TR -SFR A . 20380719 1.499% US 1,390,505.45 $1,331,985.89
TRUIST FINL CORP FR . 20290607 1.887% US 3,795,000 $3,471,703.95
US BANCORP FR . 20290201 4.653% US 3,360,000 $3,392,524.80
US DOLLARS US USD 5,395,380.99 $5,395,380.99
VANTAGE DATA CENTER - LLC A- . 20450915 1.645% US 1,750,000 $1,692,558.00
WARNERMEDIA HLDGS INC SR GLBL NT 20290315 4.054% US 3,730,000 $3,533,578.20
WELLS FARGO n CO FR . 20280422 5.707% US 3,350,000 $3,459,176.50
WINWATER MTG LN TR - A- FLT 20450320 3.500% US 1,153,083.71 $1,088,501.45

Investments will change over time.

A Word About Risk

All investments involve risks, including possible loss of principal. There is an inverse relationship between bond prices and interest rates; as interest rates rise, bond prices (and therefore the value of bond funds) fall. Likewise, as interest rates fall, bond prices and the value of bond funds rise. Investments in derivatives can be highly volatile and involve risks in addition to the risks of the underlying instrument on which the derivative is based, such as counterparty, correlation and liquidity risk. Also, the use of leverage increases exposure to the market and may magnify potential losses.

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