AustralianSuper — Balanced (Accumulation)

Super Accumulation Accumulation holdings as at 31 December 2025

As at 31 December 2025, the AustralianSuper Balanced (Accumulation) option disclosed 3,749 holdings — its largest being IFM INVESTORS PTY LTD at 5.05%. 0 internally-managed unlisted holdings are disclosed by name only.

Disclosed value

$229,602,379,762

Disclosed holdings

3,749

Itemised value shown

$229,602,236,275

Name only (unlisted)

0

Listed holdings are shown with their disclosed value. We surface disclosed holdings; we don't look through pooled vehicles. See methodology.
Asset-class allocation

Physical holdings by asset class. The synthetic (derivative) effect is the disclosed Schedule 8D Table 3 overlay, shown separately — not netted into the physical figures.

Physical (disclosed holdings)

Asset classWeightingValue (AUD)
Equity
61.60%
$163,353,186,675
Fixed Income
15.21%
$41,463,656,516
Infrastructure
6.62%
$17,161,678,191
Property
2.02%
$5,227,592,994
Cash
0.89%
$2,387,702,390
Alternatives
0.00%
$8,419,509

Synthetic effect (derivatives, Table 3)

Asset classWeighting effect
Cash1.42%
Equity0.84%
Fixed Income-1.56%
Currency exposure

Physical currency as disclosed (sparsely reported — an undisclosed bucket is shown as such, not inferred). The synthetic (derivative) effect is the Schedule 8D Table 4 overlay, shown separately.

Physical (disclosed)

CurrencyWeightingValue (AUD)
Not disclosed
85.45%
$227,249,186,472
USD
0.38%
$954,753,542
AUD
0.29%
$796,483,690
EUR
0.08%
$212,010,475
JPY
0.06%
$158,405,074
GBP
0.04%
$114,966,473
CAD
0.02%
$36,221,739
CHF
0.01%
$29,948,141
HKD
0.01%
$18,836,498

+ 4 further disclosed currencies, each below 0.01% by weighting.

Synthetic effect (derivatives, Table 4)

CurrencyWeighting effect
AUD33.89%
Currencies of emerging markets-1.68%
Currencies of other developed markets-8.76%
USD-22.76%
Holdings

All 3,749 holdings disclosed by AustralianSuper Balanced (Accumulation), largest first, as at 31 December 2025. Each resolved security links to the funds that hold it. Internally-managed unlisted holdings are marked “name only”.

HoldingAsset classCurrencyWeightingValue (AUD)
IFM INVESTORS PTY LTD Infrastructure5.05%$13,081,636,643
Fixed Income Private Debt Fixed Income2.16%$5,592,478,510
BHP GROUP LTD. Equity1.86%$4,832,291,805
COMMONWEALTH BANK OF AUSTRALIA Equity1.84%$4,776,710,534
NVIDIA CORP. Equity1.65%$4,288,535,255
NATIONAL AUSTRALIA BANK LIMITED Equity1.55%$4,025,269,202
Commonwealth of Australia Fixed Income1.54%$3,983,965,197
RIO TINTO LTD. Equity1.53%$3,955,956,780
WESTPAC BANKING CORPORATION Equity1.48%$3,844,199,062
MICROSOFT CORP. Equity1.35%$3,490,849,348
APPLE, INC. Equity1.26%$3,256,303,173
United States of America Fixed Income1.21%$3,129,552,530
State Street Global Advisors Fixed Income1.17%$3,026,196,652
IFM INVESTORS PTY LTD Property1.17%$3,021,584,834
EVOLUTION MINING LTD. Equity1.05%$2,713,666,352
TPG Inc Equity0.84%$2,173,972,217
META PLATFORMS, INC. Equity0.82%$2,121,425,570
AMAZON.COM, INC. Equity0.82%$2,119,223,339
WOODSIDE ENERGY GROUP LTD. Equity0.78%$2,033,909,568
ORIGIN ENERGY LTD. Equity0.73%$1,895,287,637
MACQUARIE GROUP LTD. Equity0.73%$1,881,969,786
ALPHABET, INC. Equity0.72%$1,864,329,438
TAIWAN SEMICONDUCTOR MANUFACTURING CO. LTD. Equity0.67%$1,747,346,327
QBE INSURANCE GROUP LTD. Equity0.64%$1,656,703,572
Telstra Corporation Limited Equity0.63%$1,622,616,814
BROADCOM, INC. Equity0.62%$1,603,307,815
TRANSURBAN GROUP Infrastructure0.60%$1,567,089,394
Leonard Green & Partners Equity0.60%$1,561,296,001
WESFARMERS LTD. Equity0.59%$1,533,391,848
ARISTOCRAT LEISURE LTD. Equity0.55%$1,427,479,372
COMPUTERSHARE LTD. Equity0.55%$1,413,382,718
RESMED, INC. Equity0.53%$1,379,636,071
Treasury Corp of Victoria Fixed Income0.51%$1,333,952,087
ALPHABET, INC. Equity0.51%$1,320,939,980
CSL LTD. Equity0.51%$1,312,648,481
BROOKFIELD CORP. Infrastructure0.51%$1,310,035,263
Hamilton Lane Equity0.49%$1,260,014,025
Pilbara Minerals Ltd Equity0.48%$1,248,755,450
Queensland Treasury Corp Fixed Income0.47%$1,227,278,953
NATIONAL AUSTRALIA BANK LIMITED Fixed Income0.42%$1,096,311,610
AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED Fixed Income0.42%$1,094,293,258
LOTTERY CORP. LTD. Equity0.40%$1,047,117,807
COMMONWEALTH BANK OF AUSTRALIA CashAUD0.40%$1,039,977,386
Silver Lake Equity0.38%$984,300,224
COMMONWEALTH BANK OF AUSTRALIA Fixed Income0.37%$948,259,419
New South Wales Treasury Corp Fixed Income0.35%$915,880,251
JB HI-FI LTD. Equity0.33%$868,212,240
Cinven Equity0.33%$856,011,567
GENESIS MINERALS LTD. Equity0.33%$849,839,881
Japan Fixed Income0.32%$829,920,948
BLUESCOPE STEEL LTD. Equity0.32%$820,009,831
XERO LTD. Equity0.32%$819,913,355
JPMORGAN CHASE & CO Equity0.31%$812,941,450
FISHER & PAYKEL HEALTHCARE CORP. LTD. Equity0.31%$812,741,637
Medibank Private Ltd Equity0.30%$767,736,699
TENCENT HOLDINGS LTD. Equity0.30%$765,139,502
SGH LTD. Equity0.29%$758,815,757
QIC LIMITED Property0.29%$753,541,103
TAIWAN SEMICONDUCTOR MANUFACTURING CO. LTD. Equity0.29%$741,212,460
Vicinity Centres Property0.28%$737,304,337
French Republic Fixed Income0.27%$711,271,527
WESTPAC BANKING CORPORATION Fixed Income0.27%$700,277,666
ASX LTD. Equity0.27%$688,868,853
LYNAS RARE EARTHS LTD. Equity0.27%$687,690,793
MASTERCARD, INC. Equity0.26%$684,777,215
COCHLEAR LTD. Equity0.26%$675,543,263
PERPETUAL LTD. Equity0.26%$674,024,767
BOOKING HOLDINGS, INC. Equity0.26%$672,311,129
Royal Bank of Canada/Sydney Fixed Income0.25%$660,130,044
AUCKLAND INTERNATIONAL AIRPORT LTD. Equity0.25%$653,087,639
SOUTH32 LTD. Equity0.25%$651,227,323
HCA HEALTHCARE, INC. Equity0.25%$646,762,362
SAMSUNG ELECTRONICS CO. LTD. Equity0.24%$621,119,898
Republic of Italy Fixed Income0.23%$609,202,927
Fannie Mae or Freddie Mac Fixed Income0.23%$602,948,854
Vista Equity Partners Equity0.23%$587,635,372
Sandfire Resources Nl Equity0.23%$586,536,752
New Mountain Capital Equity0.23%$585,583,851
NETFLIX, INC. Equity0.21%$556,891,351
Endeavour Group Ltd/Australia Equity0.20%$527,037,671
UNITEDHEALTH GROUP, INC. Equity0.20%$519,620,587
Federal National Mortgage Association Fixed Income0.20%$508,137,294
BANK OF AMERICA CORP. Equity0.19%$502,923,712
Freddie Mac Pool Fixed Income0.19%$502,290,974
COCA-COLA CO. Equity0.19%$497,108,111
MINERAL RESOURCES LTD. Equity0.19%$490,616,415
ROCHE HOLDING AG Equity0.19%$490,220,285
ORICA LTD. Equity0.18%$472,548,649
Roark Capital Group Equity0.18%$461,716,951
NATWEST GROUP PLC Equity0.18%$458,258,910
NOVARTIS AG Equity0.17%$444,142,194
AMPHENOL CORP. Equity0.17%$441,024,586
Whitehaven Coal Ltd Equity0.16%$425,269,487
SEAGATE TECHNOLOGY HOLDINGS PLC Equity0.16%$423,869,900
AirTree Equity0.16%$415,277,889
REECE LTD. Equity0.16%$414,327,462
AMPOL LTD. Equity0.15%$400,113,853
AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED CashAUD0.15%$400,106,797
COMMONWEALTH BANK OF AUSTRALIA CashUSD0.15%$399,769,481
WOOLWORTHS GROUP LTD Equity0.15%$399,746,805
NEXTDC LTD. Equity0.15%$398,642,539
TH Lee Equity0.15%$398,254,534
United Kingdom of Great Britain and Northern Ireland Fixed Income0.15%$392,772,347
Advent Equity0.15%$388,868,588
ASTRAZENECA PLC Equity0.15%$381,999,447
ELI LILLY & CO. Equity0.14%$375,497,268
CELLNEX TELECOM SA Equity0.14%$370,377,597
Blackbird Ventures Equity0.14%$362,368,966
Affinity Equity Partners Equity0.14%$356,384,762
CRH PLC Equity0.14%$354,291,778
Kingdom of Spain Fixed Income0.14%$352,847,735
Platinum Equity Equity0.13%$346,298,058
STEADFAST GROUP LTD. Equity0.13%$343,773,098
ACCENTURE PLC Equity0.13%$340,610,673
MORGAN STANLEY Equity0.13%$335,826,301
LAM RESEARCH CORP. Equity0.13%$331,275,011
ASML HOLDING NV Equity0.13%$330,054,292
SHELL PLC Equity0.13%$329,676,082
ELEVANCE HEALTH, INC. Equity0.13%$328,913,882
APPLOVIN CORP. Equity0.13%$327,691,741
APPLIED MATERIALS, INC. Equity0.13%$327,030,800
GILEAD SCIENCES, INC. Equity0.12%$323,831,265
BNP PARIBAS Equity0.12%$322,712,651
Cooperatieve Rabobank UA/Australia Fixed Income0.12%$321,491,785
PARKER-HANNIFIN CORP. Equity0.12%$315,224,475
EQT BPEA Equity0.12%$314,491,703
ING GROEP NV Equity0.12%$311,783,572
JP Morgan Securities LLC CashUSD0.12%$308,521,808
TESLA, INC. Equity0.12%$306,348,452
CME GROUP, INC. Equity0.12%$305,042,689
COSTCO WHOLESALE CORP. Equity0.12%$304,516,585
INTUITIVE SURGICAL, INC. Equity0.12%$303,642,785
AMERICAN EXPRESS CO. Equity0.12%$300,350,583
WALMART, INC. Equity0.12%$299,473,228
JP Morgan Securities LLC CashUSD0.12%$298,449,944
DELTA AIR LINES, INC. Equity0.11%$295,921,916
KKR Infrastructure0.11%$295,771,915
QXO Inc Equity0.11%$283,196,608
SERVICENOW, INC. Equity0.11%$282,174,789
SAFRAN SA Equity0.11%$277,468,668
Travelers Companies Inc Equity0.11%$277,192,525
Government National Mortgage Association Fixed Income0.11%$276,347,701
LIFE360, INC. Equity0.11%$276,337,663
Oak Hill Capital Equity0.11%$275,906,613
CAIXABANK SA Equity0.11%$275,118,008
Hartford Financial Services Group Inc Equity0.10%$271,014,532
CHARLES SCHWAB CORP. Equity0.10%$269,170,938
Sovereign in right of New Zealand Fixed Income0.10%$268,969,723
Oversea-Chinese Banking Corp Ltd/Sydney Fixed Income0.10%$268,209,816
SK SQUARE CO. LTD. Equity0.10%$265,278,793
BGH Capital Equity0.10%$258,909,310
HSBC HOLDINGS PLC Equity0.10%$257,644,689
CIGNA GROUP Equity0.10%$257,253,486
MONSTER BEVERAGE CORP. Equity0.10%$256,449,627
SALESFORCE, INC. Equity0.10%$256,379,598
NU Holdings Ltd/Cayman Islands Equity0.10%$256,169,591
ALLSTATE CORP. Equity0.10%$254,805,070
HOWMET AEROSPACE, INC. Equity0.10%$252,826,357
Square Peg Capital Equity0.10%$252,581,174
ADVANCED MICRO DEVICES, INC. Equity0.10%$251,672,397
LLOYDS BANKING GROUP PLC Equity0.10%$250,197,419
CLOUDFLARE, INC. Equity0.10%$249,135,948
BOSTON SCIENTIFIC CORP. Equity0.10%$248,932,748
PDD HOLDINGS, INC. Equity0.10%$246,429,544
Perth Airport Property Fund (PAPF) Infrastructure0.09%$245,927,647
NEXTERA ENERGY, INC. Equity0.09%$245,142,534
ABBVIE, INC. Equity0.09%$244,684,198
EXXON MOBIL CORP. Equity0.09%$244,370,024
CBRE GROUP, INC. Equity0.09%$241,603,440
GENERAL MOTORS CO. Equity0.09%$240,872,810
BRISTOL-MYERS SQUIBB CO. Equity0.09%$240,603,964
KINROSS GOLD CORP. Equity0.09%$237,973,120
MOTOROLA SOLUTIONS, INC. Equity0.09%$234,958,830
IDEXX LABORATORIES, INC. Equity0.09%$233,275,203
Federal Republic of Germany Fixed Income0.09%$233,239,614
ROYAL BANK OF CANADA CashUSD0.09%$233,198,864
CORPAY, INC. Equity0.09%$232,498,027
Raytheon Technologies Corp Equity0.09%$231,745,235
Royal Bank of Canada/Sydney CashAUD0.08%$231,522,586
Sumitomo Mitsui Banking Corp/Sydney Fixed Income0.09%$230,703,839
Kohlberg Equity0.09%$230,627,249
BCI Minerals Ltd Equity0.09%$229,450,464
NEWMONT CORP. Equity0.09%$227,785,519
UNICREDIT SPA Equity0.09%$227,606,356
Stonepeak Infrastructure0.09%$227,358,380
SHOPIFY, INC. Equity0.09%$222,654,324
NEXT PLC Equity0.09%$221,295,176
SUMITOMO MITSUI FINANCIAL GROUP, INC. Equity0.08%$218,313,605
BERKSHIRE HATHAWAY, INC. Equity0.08%$217,706,346
TPG TELECOM LTD. Equity0.08%$215,145,678
SOUTHERN CO. Equity0.08%$212,723,649
UNILEVER PLC Equity0.08%$210,394,198
BANK LEUMI LE-ISRAEL BM Equity0.08%$209,852,142
DBS GROUP HOLDINGS LTD. Equity0.08%$207,097,179
SIEMENS AG Equity0.08%$205,172,633
AIRBUS SE Equity0.08%$204,913,034
COMPASS GROUP PLC Equity0.08%$204,881,194
CAPITAL ONE FINANCIAL CORP. Equity0.08%$204,081,050
PERSEUS MINING LTD. Equity0.08%$203,441,968
UNITED AIRLINES HOLDINGS, INC. Equity0.08%$202,830,575
ANZ GROUP HOLDINGS LTD. Equity0.08%$201,138,495
RELIANCE WORLDWIDE CORP. LTD. Equity0.08%$198,507,161
ADOBE, INC. Equity0.08%$196,488,344
JOHNSON & JOHNSON Equity0.08%$195,851,245
AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED CashUSD0.08%$195,647,184
WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP. Equity0.07%$190,822,978
L'OREAL SA Equity0.07%$189,683,495
WALT DISNEY CO. Equity0.07%$189,461,246
AERCAP HOLDINGS NV Equity0.07%$188,172,396
GENERAL DYNAMICS CORP. Equity0.07%$187,422,421
LINDE PLC Equity0.07%$185,492,977
NBN CO. LTD. Fixed Income0.07%$185,223,036
UNION PACIFIC CORP. Equity0.07%$184,816,999
QIC Private Capital Equity0.07%$184,675,755
EBOS GROUP LTD. Equity0.07%$184,600,971
NORTHROP GRUMMAN CORP. Equity0.07%$182,917,982
SEA LTD. Equity0.07%$181,294,229
SPOTIFY TECHNOLOGY SA Equity0.07%$178,724,463
WELLS FARGO & CO. Equity0.07%$177,976,234
ASTRAZENECA PLC Equity0.07%$177,875,713
HEINEKEN NV Equity0.07%$175,466,741
CATERPILLAR, INC. Equity0.07%$172,984,367
O'REILLY AUTOMOTIVE, INC. Equity0.07%$169,850,572
Loblaw Companies Ltd Equity0.07%$168,783,908
NIIF Infrastructure0.07%$168,569,903
Landwirtschaftliche Rentenbank Fixed Income0.06%$167,216,682
AXA SA Equity0.06%$166,531,258
METTLER-TOLEDO INTERNATIONAL, INC. Equity0.06%$163,927,034
NESTLE SA Equity0.06%$163,393,866
Credit Agricole Corporate & Investment Bank SA/Sydney Fixed Income0.06%$161,833,664
PROCTER & GAMBLE CO. Equity0.06%$160,049,094
South Australian Government Financing Authority Fixed Income0.06%$159,550,089
SHINHAN FINANCIAL GROUP CO. LTD. Equity0.06%$157,874,056
MCDONALD'S CORP. Equity0.06%$157,793,689
CARDINAL HEALTH, INC. Equity0.06%$155,237,080
LVMH MOET HENNESSY LOUIS VUITTON SE Equity0.06%$153,332,171
SONY GROUP CORP. Equity0.06%$152,476,953
ADYEN NV Equity0.06%$152,470,180
BENDIGO & ADELAIDE BANK LTD. Fixed Income0.06%$152,320,744
STEEL DYNAMICS, INC. Equity0.06%$151,568,860
ARISTA NETWORKS, INC. Equity0.06%$151,523,031
TOTALENERGIES SE Equity0.06%$151,515,782
BHARTI AIRTEL LTD. Equity0.06%$149,997,924
INTERACTIVE BROKERS GROUP, INC. Equity0.06%$149,990,439
PFIZER, INC. Equity0.06%$149,968,508
SITEMINDER LTD. Equity0.06%$149,872,452
Norfina Ltd Fixed Income0.06%$149,308,553
UBS GROUP AG Equity0.06%$149,259,515
COMCAST CORP. Equity0.06%$148,273,675
BAE SYSTEMS PLC Equity0.06%$147,581,091
Standard Chartered Bank/Australia Fixed Income0.06%$147,018,492
FAIR ISAAC CORP. Equity0.06%$146,797,460
MITSUBISHI ESTATE CO. LTD. Equity0.05%$141,185,121
PEPSICO, INC. Equity0.05%$141,027,595
DAIMLER TRUCK HOLDING AG Equity0.05%$140,291,927
PROGRESSIVE CORP. Equity0.05%$136,485,364
VEEVA SYSTEMS, INC. Equity0.05%$136,242,995
MERCADOLIBRE, INC. Equity0.05%$135,928,620
ALNYLAM PHARMACEUTICALS, INC. Equity0.05%$135,147,229
MEGAPORT LTD. Equity0.05%$133,184,883
COLGATE-PALMOLIVE CO. Equity0.05%$132,235,639
INPEX CORP. Equity0.05%$132,201,688
Genmab A/S Equity0.05%$131,913,607
TABCORP HOLDINGS LTD. Equity0.05%$131,422,535
European Union Fixed Income0.05%$130,791,020
ROLLS-ROYCE HOLDINGS PLC Equity0.05%$130,001,726
AT&T, INC. Equity0.05%$129,483,484
VISA, INC. Equity0.05%$129,033,313
COUPANG, INC. Equity0.05%$128,920,766
KB FINANCIAL GROUP, INC. Equity0.05%$128,236,223
BLACKROCK, INC. Equity0.05%$128,195,231
United Overseas Bank Ltd/Sydney Fixed Income0.05%$126,286,892
UBER TECHNOLOGIES, INC. Equity0.05%$126,226,528
INSMED, INC. Equity0.05%$125,763,278
TRIP.COM GROUP LTD. Equity0.05%$124,220,436
LEGRAND SA Equity0.05%$123,374,622
International Finance Corp Fixed Income0.05%$123,082,852
GOODMAN GROUP Property0.05%$122,917,176
HERMES INTERNATIONAL SCA Equity0.05%$122,548,691
TRANE TECHNOLOGIES PLC Equity0.05%$122,264,136
RESMED, INC. Equity0.05%$121,292,376
Canada Fixed Income0.05%$120,990,983
ALIBABA GROUP HOLDING LTD. Equity0.05%$119,502,524
METLIFE, INC. Equity0.05%$118,159,811
CONSTELLATION SOFTWARE, INC. Equity0.05%$118,088,031
STERIS PLC Equity0.05%$117,714,959
Stone Point Capital LLC Equity0.05%$117,447,283
ARB CORP. LTD. Equity0.05%$117,094,412
REDDIT, INC. Equity0.05%$117,006,899
Lend Lease Property0.04%$116,585,905
Australian Capital Territory Fixed Income0.04%$116,061,395
TEVA PHARMACEUTICAL INDUSTRIES LTD. Equity0.04%$115,683,918
MERCK & CO., INC. Equity0.04%$115,099,435
ING Bank Australia Ltd Fixed Income0.04%$114,985,324
MANULIFE FINANCIAL CORP. Equity0.04%$114,711,544
MITSUBISHI UFJ FINANCIAL GROUP, INC. Equity0.04%$114,056,581
TECHTRONIC INDUSTRIES CO. LTD. Equity0.04%$113,877,671
Inter-American Development Bank Fixed Income0.04%$113,176,009
SK HYNIX, INC. Equity0.04%$113,028,808
TESCO PLC Equity0.04%$112,467,749
Province of Ontario Canada Fixed Income0.04%$111,967,707
SIEMENS HEALTHINEERS AG Equity0.04%$111,477,484
JPMorgan Chase Bank NA CashJPY0.04%$111,292,585
ENBRIDGE, INC. Equity0.04%$110,961,159
VODAFONE GROUP PLC Equity0.04%$110,010,682
MICRON TECHNOLOGY, INC. Equity0.04%$108,287,544
Brandon Capital Partners Equity0.04%$106,837,396
EXPEDIA GROUP, INC. Equity0.04%$106,810,708
ITAU UNIBANCO HOLDING SA Equity0.04%$106,605,771
European Investment Bank Fixed Income0.04%$105,965,465
ORACLE CORP. Equity0.04%$105,082,472
RIO TINTO LTD. Equity0.04%$105,032,957
Nykredit Realkredit A/S Fixed Income0.04%$104,830,287
KEYENCE CORP. Equity0.04%$104,392,810
ESSILORLUXOTTICA SA Equity0.04%$104,068,379
ROBLOX CORP. Equity0.04%$104,022,375
Asian Development Bank Fixed Income0.04%$103,970,036
MEDTRONIC PLC Equity0.04%$103,694,407
REA GROUP LTD. Equity0.04%$103,542,850
RECKITT BENCKISER GROUP PLC Equity0.04%$102,589,879
Power Corporation Of Canada Equity0.04%$102,174,606
TOYOTA MOTOR CORP. Equity0.04%$101,819,477
GPT Property0.04%$101,474,000
AXON ENTERPRISE, INC. Equity0.04%$100,787,964
International Bank for Reconstruction & Development Fixed Income0.04%$100,598,643
ROCKET LAB CORP. Equity0.04%$100,323,006
DOLLAR GENERAL CORP. Equity0.04%$100,253,029
PRUDENTIAL FINANCIAL, INC. Equity0.04%$100,201,371
PALANTIR TECHNOLOGIES, INC. Equity0.04%$99,901,168
SAMSARA, INC. Equity0.04%$99,458,125
TEMPLE & WEBSTER GROUP LTD. Equity0.04%$99,252,167
MEITUAN Equity0.04%$98,441,851
ITAU UNIBANCO HOLDING SA Equity0.04%$98,373,604
Gxo Logistics Inc Equity0.04%$98,273,670
AMERICAN INTERNATIONAL GROUP, INC. Equity0.04%$98,224,333
Jardine Matheson Holdings Ltd Equity0.04%$98,177,358
Province of British Columbia Canada Fixed Income0.04%$97,755,038
Bruker Corp Equity0.04%$97,642,023
ENGIE SA Equity0.04%$97,257,080
DUKE ENERGY CORP. Equity0.04%$96,810,877
HSBC HOLDINGS PLC Fixed Income0.04%$96,787,617
VALE SA Equity0.04%$96,090,519
ATLASSIAN CORP. Equity0.04%$95,484,630
FISERV, INC. Equity0.04%$95,024,384
ULTA BEAUTY, INC. Equity0.04%$93,489,748
Republic of Austria Fixed Income0.04%$93,055,515
Northern Territory Treasury Corp Fixed Income0.04%$92,966,182
JP Morgan Securities LLC CashAUD0.04%$92,924,608
KINDER MORGAN, INC. Equity0.04%$92,655,486
Icon Plc Equity0.04%$92,593,890
ABB LTD. Equity0.04%$92,451,623
Foresight Infrastructure0.04%$92,041,995
RECRUIT HOLDINGS CO. LTD. Equity0.04%$92,029,668
Syrah Resources Ltd Equity0.04%$92,014,932
HP, INC. Equity0.04%$91,522,220
SUNCOR ENERGY, INC. Equity0.04%$90,884,619
SIEMENS ENERGY AG Equity0.03%$90,673,407
DANAHER CORP. Equity0.03%$90,434,107
SYNCHRONY FINANCIAL Equity0.03%$90,127,495
DOMINION ENERGY, INC. Equity0.03%$90,040,938
AENA SME SA Equity0.03%$89,115,083
SAGE GROUP PLC Equity0.03%$88,955,195
APTIV PLC Equity0.03%$88,954,971
BANCO BPM SPA Equity0.03%$88,231,887
LOCKHEED MARTIN CORP. Equity0.03%$88,144,354
29Metals Ltd Equity0.03%$87,780,834
INSULET CORP. Equity0.03%$87,151,517
KPS Capital Partners, L.P. Equity0.03%$87,024,519
CANADIAN PACIFIC KANSAS CITY LTD. Equity0.03%$86,805,807
Kingdom of Belgium Fixed Income0.03%$86,703,964
AVIVA PLC Equity0.03%$86,565,642
Lowe's Companies Inc Equity0.03%$86,458,208
ENDESA SA Equity0.03%$85,509,787
IQVIA HOLDINGS, INC. Equity0.03%$85,446,752
MARATHON PETROLEUM CORP. Equity0.03%$85,441,724
CONTEMPORARY AMPEREX TECHNOLOGY CO. LTD. Equity0.03%$85,146,351
CSX CORP. Equity0.03%$84,876,323
INVESTOR AB Equity0.03%$84,743,163
YUM! BRANDS, INC. Equity0.03%$84,367,736
DEUTSCHE BOERSE AG Equity0.03%$84,009,959
Williams Companies Inc Equity0.03%$83,999,821
LASERTEC CORP. Equity0.03%$83,564,239
SMURFIT WESTROCK PLC Equity0.03%$83,523,471
DEXCOM, INC. Equity0.03%$82,053,545
ANALOG DEVICES, INC. Equity0.03%$82,050,558
LLOYDS BANKING GROUP PLC Fixed Income0.03%$81,693,830
KASIKORNBANK PCL Equity0.03%$81,484,589
PULTEGROUP, INC. Equity0.03%$81,371,632
Province of Alberta Canada Fixed Income0.03%$80,840,057
Export Development Canada Fixed Income0.03%$80,734,900
CONSTELLATION ENERGY CORP. Equity0.03%$80,717,979
UNITED OVERSEAS BANK LTD. Equity0.03%$80,520,607
BEONE MEDICINES LTD. Equity0.03%$80,451,352
FOX CORP. Equity0.03%$79,984,829
NORFOLK SOUTHERN CORP. Equity0.03%$79,170,626
HALMA PLC Equity0.03%$78,884,255
3M CO. Equity0.03%$78,760,633
ROBINHOOD MARKETS, INC. Equity0.03%$78,392,363
KUAISHOU TECHNOLOGY Equity0.03%$78,282,561
PRINCIPAL FINANCIAL GROUP, INC. Equity0.03%$78,274,420
SUMITOMO CORP. Equity0.03%$78,211,970
Washington H Soul Pattinson And Company Ltd Equity0.03%$76,943,988
Fortescue Metals Group Ltd Equity0.03%$76,739,053
HDFC BANK LTD. Equity0.03%$76,000,254
Realkredit Danmark A/S Fixed Income0.03%$75,900,629
INTUIT, INC. Equity0.03%$75,762,334
AMERICAN TOWER CORP. Property0.03%$75,736,468
WESTERN DIGITAL CORP. Equity0.03%$75,719,714
BANCO BILBAO VIZCAYA ARGENTARIA SA Equity0.03%$74,640,852
Xpo Inc Equity0.03%$74,409,131
Quinbrook Infrastructure0.03%$74,296,099
DAIFUKU CO. LTD. Equity0.03%$74,167,984
ING Bank NV/Sydney Fixed Income0.03%$74,106,984
AMPOL LTD. Fixed Income0.03%$73,815,914
COCA-COLA HBC AG Equity0.03%$73,741,020
ADVANTEST CORP. Equity0.03%$73,697,154
Bank of Montreal/London Fixed Income0.03%$73,634,731
AMP Bank Ltd Fixed Income0.03%$73,587,454
KRAFT HEINZ CO. Equity0.03%$73,207,110
VERTEX PHARMACEUTICALS, INC. Equity0.03%$73,016,919
CARNIVAL CORP. Equity0.03%$72,887,559
CF INDUSTRIES HOLDINGS, INC. Equity0.03%$72,807,177
Tasmanian Public Finance Corp Fixed Income0.03%$72,711,394
BAYER AG Equity0.03%$72,636,565
CENTRICA PLC Equity0.03%$72,071,240
BANK HAPOALIM BM Equity0.03%$71,775,590
Us Bancorp Equity0.03%$71,542,237
BARCLAYS PLC Fixed Income0.03%$71,204,019
NATIONAL GRID PLC Equity0.03%$71,026,256
Pepper Money Ltd Equity0.03%$70,871,277
COLES GROUP LTD. Equity0.03%$70,465,517
BANK OF QUEENSLAND LTD. Fixed Income0.03%$70,399,664
Province of Quebec Canada Fixed Income0.03%$70,289,031
ICICI BANK LTD. Equity0.03%$69,769,299
MONCLER SPA Equity0.03%$69,564,462
EMERSON ELECTRIC CO. Equity0.03%$69,546,106
BNP PARIBAS Fixed Income0.03%$69,542,514
FRESNILLO PLC Equity0.03%$69,237,307
VOLVO AB Equity0.03%$69,202,573
FAIRFAX FINANCIAL HOLDINGS LTD. Equity0.03%$68,950,365
OLD DOMINION FREIGHT LINE, INC. Equity0.03%$68,908,524
QBE INSURANCE GROUP LTD. Fixed Income0.03%$68,695,475
KWEICHOW MOUTAI CO. LTD. Equity0.03%$68,165,175
NINTENDO CO. LTD. Equity0.03%$67,912,485
NORTHERN STAR RESOURCES LTD. Equity0.03%$67,790,482
BANCO BTG PACTUAL SA Equity0.03%$67,652,777
PINNACLE INVESTMENT MANAGEMENT GROUP LTD. Equity0.03%$67,507,922
Titan Company Ltd Equity0.03%$67,492,476
KLA CORP. Equity0.03%$67,295,721
PREMIER INVESTMENTS LTD. Equity0.03%$66,928,510
MERCEDES-BENZ GROUP AG Equity0.03%$66,880,339
YUM CHINA HOLDINGS, INC. Equity0.03%$66,852,468
Kommunalbanken AS Fixed Income0.03%$66,570,688
BANCO SANTANDER SA Fixed Income0.03%$66,250,551
ASML HOLDING NV Equity0.03%$66,236,395
IBERDROLA SA Equity0.03%$66,212,915
BAKER HUGHES CO. Equity0.03%$66,208,800
SINGAPORE TELECOMMUNICATIONS LTD. Equity0.03%$66,145,345
MORGAN STANLEY Fixed Income0.03%$65,586,208
INTERNATIONAL CONSOLIDATED AIRLINES GROUP SA Equity0.03%$65,576,962
American Electric Power Company Inc Equity0.03%$65,483,082
TRIP.COM GROUP LTD. Equity0.03%$65,246,221
JPMorgan Chase Bank NA CashEUR0.03%$64,901,794
NIPPON YUSEN KK Equity0.03%$64,825,046
RIVIAN AUTOMOTIVE, INC. Equity0.02%$64,757,631
EQT CORP. Equity0.02%$64,259,644
REPSOL SA Equity0.02%$64,120,061
RXO Inc Equity0.02%$63,741,896
EBAY, INC. Equity0.02%$63,721,052
AUTOMATIC DATA PROCESSING, INC. Equity0.02%$63,694,403
INTERCONTINENTAL EXCHANGE, INC. Equity0.02%$63,541,201
JPMORGAN CHASE & CO Fixed Income0.02%$63,439,231
AIA GROUP LTD. Equity0.02%$63,432,654
ARTHUR J GALLAGHER & CO. Equity0.02%$62,886,041
Weir Group Australian Holdings Pty Ltd Fixed Income0.02%$62,817,626
LOTTOMATICA GROUP SPA Equity0.02%$62,790,900
INFINEON TECHNOLOGIES AG Equity0.02%$62,516,194
AusNet Services Holdings Pty Ltd Fixed Income0.02%$62,480,947
GOLDMAN SACHS GROUP, INC. Equity0.02%$62,396,524
YANGZIJIANG SHIPBUILDING HOLDINGS LTD. Equity0.02%$62,065,924
THOR INDUSTRIES, INC. Equity0.02%$62,016,778
SVENSKA HANDELSBANKEN AB Equity0.02%$61,546,258
BAPCOR LTD. Equity0.02%$61,524,221
Novo Nordisk A/S Equity0.02%$61,504,819
Kinsale Capital Group Inc Equity0.02%$61,485,018
Sempra Energy Equity0.02%$61,259,451
LIFESTYLE COMMUNITIES LTD. Equity0.02%$60,904,464
Everest Re Group Ltd Equity0.02%$60,870,191
CENTENE CORP. Equity0.02%$60,449,811
BRAMBLES LTD. Equity0.02%$60,198,502
TC ENERGY CORP. Equity0.02%$60,149,091
SUBARU CORP. Equity0.02%$60,093,030
Aes Corp Equity0.02%$59,966,531
JONES LANG LASALLE, INC. Equity0.02%$59,946,233
Astra International Tbk Pt Equity0.02%$59,910,085
INCYTE CORP. Equity0.02%$59,478,455
IFM INVESTORS PTY LTD Fixed Income0.02%$59,460,189
SYMBOTIC, INC. Equity0.02%$59,456,588
New Zealand Local Government Funding Agency Bond Fixed Income0.02%$59,206,494
Canadian Imperial Bank of Commerce/Sydney Fixed Income0.02%$59,124,669
CANADIAN NATIONAL RAILWAY CO. Equity0.02%$58,639,206
LARSEN & TOUBRO LTD. Equity0.02%$58,318,581
TRADE DESK, INC. Equity0.02%$58,246,778
Nordea Kredit Realkreditaktieselskab Fixed Income0.02%$58,234,626
HOME DEPOT, INC. Equity0.02%$57,978,038
GENERAL ELECTRIC CO. Equity0.02%$57,647,262
ANTA SPORTS PRODUCTS LTD. Equity0.02%$57,002,581
Liberty Financial Pty Ltd Fixed Income0.02%$56,972,560
ATLAS COPCO AB Equity0.02%$56,598,399
SUNCORP GROUP LTD. Fixed Income0.02%$56,356,725
T-Mobile US Inc Equity0.02%$56,127,438
Goldman Sachs Group Inc/The Fixed Income0.02%$56,034,232
BANCO COMERCIAL PORTUGUES SA Equity0.02%$55,992,047
TYSON FOODS, INC. Equity0.02%$55,965,245
Mortgage House RMBS Prime Series 2025-1 Fixed Income0.02%$55,874,380
EMCOR GROUP, INC. Equity0.02%$55,540,961
ADANI ENTERPRISES LTD. Equity0.02%$55,497,490
MA FINANCIAL GROUP LTD. Equity0.02%$55,213,452
BANK OF IRELAND GROUP PLC Equity0.02%$55,150,312
VONOVIA SE Fixed Income0.02%$54,858,989
STATE BANK OF INDIA Equity0.02%$54,824,968
DAIICHI SANKYO CO. LTD. Equity0.02%$54,712,336
Province of Manitoba Canada Fixed Income0.02%$54,696,446
SKYCITY Entertainment Group Ltd Equity0.02%$54,570,929
NSW Electricity Networks Finance Pty Ltd Fixed Income0.02%$54,427,850
AUTO TRADER GROUP PLC Equity0.02%$53,845,359
STRYKER CORP. Equity0.02%$53,274,858
BURLINGTON STORES, INC. Equity0.02%$53,207,677
PING AN INSURANCE GROUP CO. OF CHINA LTD. Equity0.02%$52,904,111
BIOGEN, INC. Equity0.02%$52,643,936
ADANI POWER LTD. Equity0.02%$52,471,981
POWSZECHNA KASA OSZCZEDNOSCI BANK POLSKI SA Equity0.02%$52,141,766
AWL Agri Business Ltd Equity0.02%$52,129,263
Scentre Group Trust 1 Fixed Income0.02%$52,127,539
ASICS CORP. Equity0.02%$51,884,160
CHENIERE ENERGY, INC. Equity0.02%$51,874,793
ONEOK, INC. Equity0.02%$51,604,814
TOKIO MARINE HOLDINGS, INC. Equity0.02%$51,269,701
PETROLEO BRASILEIRO SA - PETROBRAS Equity0.02%$50,979,144
WELLS FARGO & CO. Fixed Income0.02%$50,964,327
Lendlease Finance Ltd Fixed Income0.02%$50,649,815
Praxis Precision Medicines Inc Equity0.02%$50,343,825
COREBRIDGE FINANCIAL, INC. Equity0.02%$50,323,385
DBS Bank Ltd/Australia Fixed Income0.02%$50,117,290
PALISADE INVESTMENT PARTNERS LIMITED Infrastructure0.02%$50,038,073
ARCELORMITTAL SA Equity0.02%$50,005,187
Westlake Corp Equity0.02%$49,948,913
TARGA RESOURCES CORP. Equity0.02%$49,817,991
FORTUNE BRANDS INNOVATIONS, INC. Equity0.02%$49,756,503
AIB GROUP PLC Equity0.02%$49,526,558
HON HAI PRECISION INDUSTRY CO. LTD. Equity0.02%$49,428,667
Australia Pacific Airports Melbourne Pty Ltd Fixed Income0.02%$49,329,776
EBARA CORP. Equity0.02%$48,849,630
International Holding Co PJSC Equity0.02%$48,828,765
BANK OF AMERICA CORP. Fixed Income0.02%$48,767,327
ROYAL BANK OF CANADA Fixed Income0.02%$48,578,207
Glaukos Corp Equity0.02%$48,344,316
ERSTE GROUP BANK AG Equity0.02%$48,296,994
AFFIRM HOLDINGS, INC. Equity0.02%$47,235,019
FIDELITY NATIONAL INFORMATION SERVICES, INC. Equity0.02%$47,132,824
Auckland Council Fixed Income0.02%$46,995,310
NOVARTIS AG Equity0.02%$46,932,349
EXELON CORP. Equity0.02%$46,909,183
PAYPAL HOLDINGS, INC. Equity0.02%$46,846,915
TRADEWEB MARKETS, INC. Equity0.02%$46,689,707
WH GROUP LTD. Equity0.02%$46,604,923
XCEL ENERGY, INC. Equity0.02%$46,423,832
TELIX PHARMACEUTICALS LTD. Equity0.02%$46,421,304
INTERNATIONAL BUSINESS MACHINES CORP. Equity0.02%$46,322,752
UNIVERSAL HEALTH SERVICES, INC. Equity0.02%$46,200,298
QUALCOMM, INC. Equity0.02%$46,183,534
HORIZON ROBOTICS Equity0.02%$45,968,876
Stockland Trust Fixed Income0.02%$45,730,470
GRUPO FINANCIERO BANORTE SAB DE CV Equity0.02%$45,495,440
CHEVRON CORP. Equity0.02%$45,378,795
CRISPR Therapeutics AG Equity0.02%$45,271,098
INSURANCE AUSTRALIA GROUP LTD. Equity0.02%$45,267,426
ELF BEAUTY, INC. Equity0.02%$45,256,222
Kreditanstalt fuer Wiederaufbau Fixed Income0.02%$45,230,073
ARGENX SE Equity0.02%$45,038,875
PRUDENTIAL PLC Equity0.02%$44,954,192
NATERA, INC. Equity0.02%$44,793,928
PETROLEO BRASILEIRO SA - PETROBRAS Equity0.02%$44,723,803
Sumitomo Mitsui Trust Holdings Inc Equity0.02%$44,610,674
ENTERGY CORP. Equity0.02%$44,559,549
ROYAL BANK OF CANADA Equity0.02%$44,359,742
PWR HOLDINGS LTD. Equity0.02%$44,356,761
DECKERS OUTDOOR CORP. Equity0.02%$44,291,650
VERIZON COMMUNICATIONS, INC. Equity0.02%$44,080,815
NETEASE, INC. Equity0.02%$43,749,386
PUBLIC SERVICE ENTERPRISE GROUP, INC. Equity0.02%$43,710,192
PLANET FITNESS, INC. Equity0.02%$43,568,466
HDFC BANK LTD. Equity0.02%$43,314,340
BANK CENTRAL ASIA TBK. PT Equity0.02%$43,032,675
OTP BANK NYRT Equity0.02%$42,900,523
Federation of Malaysia Fixed Income0.02%$42,814,811
BANK OF NEW YORK MELLON CORP. Equity0.02%$42,786,557
Macquarie Bank Ltd Fixed Income0.02%$42,296,159
AXIA ENERGIA Equity0.02%$42,279,858
KONINKLIJKE AHOLD DELHAIZE NV Equity0.02%$42,029,467
AMETEK, INC. Equity0.02%$41,940,684
SPX Technologies Inc Equity0.02%$41,892,096
Jyske Realkredit A/S Fixed Income0.02%$41,876,806
JOBY AVIATION, INC. Equity0.02%$41,836,962
PNC FINANCIAL SERVICES GROUP, INC. Equity0.02%$41,629,477
ADANI PORTS & SPECIAL ECONOMIC ZONE LTD. Equity0.02%$41,603,195
Mitsubishi UFJ Trust & Banking Corp/London Fixed Income0.02%$41,559,733
CISCO SYSTEMS, INC. Equity0.02%$41,511,915
BNG Bank NV Fixed Income0.02%$41,253,563
Cooperatieve Rabobank UA/NY Fixed Income0.02%$41,213,291
TVS MOTOR CO. LTD. Equity0.02%$41,111,433
VALERO ENERGY CORP. Equity0.02%$40,948,179
CONSOLIDATED EDISON, INC. Equity0.02%$40,485,056
Royal Bank of Canada/London Fixed Income0.02%$40,386,247
SHOPIFY, INC. Equity0.02%$40,367,456
Standard Chartered Bank/Dubai Fixed Income0.02%$40,362,864
SUN PHARMACEUTICAL INDUSTRIES LTD. Equity0.02%$40,123,312
Amerisourcebergen Corp Equity0.02%$39,851,722
African Development Bank Fixed Income0.02%$39,633,898
NUTANIX, INC. Equity0.02%$39,276,442
CVS HEALTH CORP. Equity0.02%$39,119,053
DATADOG, INC. Equity0.02%$39,089,765
WEC ENERGY GROUP, INC. Equity0.01%$38,776,870
PALO ALTO NETWORKS, INC. Equity0.01%$38,755,138
SANTOS LTD. Equity0.01%$38,711,547
SCENTRE GROUP LTD Property0.01%$38,617,837
HAIER SMART HOME CO. LTD. Equity0.01%$38,535,778
HONG KONG EXCHANGES & CLEARING LTD. Equity0.01%$38,490,285
NOKIA OYJ Equity0.01%$38,439,996
OBJECTIVE CORP. LTD. Equity0.01%$38,388,110
CITIGROUP, INC. Fixed Income0.01%$38,228,835
TELKOM INDONESIA PERSERO TBK. PT Equity0.01%$38,155,136
DUOLINGO, INC. Equity0.01%$38,022,151
FIRST ABU DHABI BANK PJSC Equity0.01%$37,996,467
SHIN-ETSU CHEMICAL CO. LTD. Equity0.01%$37,763,003
SCHNEIDER ELECTRIC SE Equity0.01%$37,647,058
CARREFOUR SA Equity0.01%$37,612,016
PG&E CORP. Equity0.01%$37,557,580
JP Morgan Securities LLC CashEUR0.01%$37,439,294
Indian Hotels Co Ltd/The Equity0.01%$37,341,592
BP PLC Equity0.01%$37,319,263
Patrick Terminals Finance Pty Ltd Fixed Income0.01%$37,228,068
CONOCOPHILLIPS Equity0.01%$37,155,675
Sumitomo Mitsui Banking Corp/Brussels Fixed Income0.01%$36,907,716
GLOBAL PAYMENTS, INC. Equity0.01%$36,881,659
NATIONAL AUSTRALIA BANK LIMITED CashEUR0.01%$36,711,153
SYNOPSYS, INC. Equity0.01%$36,611,183
JP Morgan Securities LLC CashEUR0.01%$36,598,213
QANTAS AIRWAYS LTD. Equity0.01%$36,589,561
B3 SA - BRASIL BOLSA BALCAO Equity0.01%$36,584,570
SAMSUNG BIOLOGICS CO. LTD. Equity0.01%$36,581,363
Adani Green Energy Ltd Equity0.01%$36,573,570
Macquarie Telecom Group Ltd Equity0.01%$36,540,973
INSURANCE AUSTRALIA GROUP LTD. Fixed Income0.01%$36,466,539
SOCIETE GENERALE Fixed Income0.01%$36,347,505
NETAPP, INC. Equity0.01%$36,101,442
PREDICTIVE DISCOVERY LTD. Equity0.01%$35,847,039
FORD MOTOR CO. Equity0.01%$35,840,179
ALIBABA GROUP HOLDING LTD. Equity0.01%$35,811,931
APOLLO GLOBAL MANAGEMENT, INC. Equity0.01%$35,737,362
ADMIRAL GROUP PLC Equity0.01%$35,736,172
BAJAJ FINANCE LTD. Equity0.01%$35,708,365
Pepper Prime 2025-1 Trust Fixed Income0.01%$35,603,676
CROWN CASTLE, INC. Property0.01%$35,563,940
VALE SA Equity0.01%$35,465,425
AUTODESK, INC. Equity0.01%$35,454,735
NRG ENERGY, INC. Equity0.01%$35,432,758
CHRYSOS CORP. LTD. Equity0.01%$35,406,223
ITOCHU CORP. Equity0.01%$35,311,280
NATIONAL BANK OF CANADA Equity0.01%$35,242,939
ADNOC GAS PLC Equity0.01%$34,866,744
Federal Home Loan Mortgage Corp Fixed Income0.01%$34,773,784
ARCHER-DANIELS-MIDLAND CO. Equity0.01%$34,661,959
MAAS GROUP HOLDINGS LTD. Equity0.01%$34,552,798
UNITED RENTALS, INC. Equity0.01%$34,467,829
Diploma Plc Equity0.01%$34,353,456
NextEra Energy Capital Holdings Inc Fixed Income0.01%$34,311,754
JOHNSON CONTROLS INTERNATIONAL PLC Equity0.01%$34,305,386
PACCAR, INC. Equity0.01%$34,297,477
LOVISA HOLDINGS LTD. Equity0.01%$34,268,982
FERROVIAL SE Equity0.01%$34,259,211
Yandex Nv Equity0.01%$34,228,516
BANKINTER SA Equity0.01%$34,217,056
Dsv A/S Equity0.01%$33,946,746
Inter-American Investment Corp Fixed Income0.01%$33,875,258
Dynamoney ABS Trust 2025-1 Fixed Income0.01%$33,854,446
ABBOTT LABORATORIES Equity0.01%$33,848,240
WISE PLC Equity0.01%$33,759,416
Nederlandse Waterschapsbank NV Fixed Income0.01%$33,649,091
Zomato Ltd Equity0.01%$33,577,109
Patanjali Foods Ltd Equity0.01%$33,576,939
E.ON SE Fixed Income0.01%$33,568,886
Idacorp Inc Equity0.01%$33,488,423
United Mexican States Fixed Income0.01%$33,487,120
FREEPORT-MCMORAN, INC. Equity0.01%$33,447,848
STANDARD CHARTERED PLC Equity0.01%$33,384,725
MUFG Bank Ltd/London Fixed Income0.01%$33,234,768
ELITE MATERIAL CO. LTD. Equity0.01%$33,173,324
GALDERMA GROUP AG Equity0.01%$33,152,690
CADENCE DESIGN SYSTEMS, INC. Equity0.01%$32,929,666
AMBEV SA Equity0.01%$32,654,800
ARGENX SE Equity0.01%$32,531,574
Weathergage Capital, LLC Equity0.01%$32,519,133
SAP SE Equity0.01%$32,516,444
Nof Corp Equity0.01%$32,515,891
CITIGROUP, INC. Equity0.01%$32,440,503
CREDICORP LTD. Equity0.01%$32,432,235
BPCE SA Fixed Income0.01%$32,394,832
Tjx Companies Inc Equity0.01%$32,210,168
INTACT FINANCIAL CORP. Equity0.01%$32,096,733
SUNCORP GROUP LTD. Equity0.01%$32,093,312
Karman Holdings Inc Equity0.01%$32,056,186
Athene Global Funding Fixed Income0.01%$32,055,200
Sumitomo Mitsui Banking Corp/New York Fixed Income0.01%$31,922,047
Mizuho Bank Ltd/New York NY Fixed Income0.01%$31,905,490
Natixis SA/New York NY Fixed Income0.01%$31,904,900
Credit Industriel et Commercial/New York Fixed Income0.01%$31,901,263
Nationwide Building Society Fixed Income0.01%$31,840,979
THERMO FISHER SCIENTIFIC, INC. Equity0.01%$31,822,434
NBN CO. LTD. Fixed Income0.01%$31,810,808
Oge Energy Corp Equity0.01%$31,575,796
DLR Kredit A/S Fixed Income0.01%$31,512,552
KRUNG THAI BANK PCL Equity0.01%$31,511,553
VIPSHOP HOLDINGS LTD. Equity0.01%$31,503,658
EMBRAER SA Equity0.01%$31,445,235
L'air Liquide Societe Anonyme Pour L'etude Et L'exploitation Des Procedes George Equity0.01%$31,408,000
INFOSYS LTD. Equity0.01%$31,359,277
Alpha HPA Ltd NPV Equity0.01%$31,300,129
CINTAS CORP. Equity0.01%$31,278,154
Uss Co Ltd Equity0.01%$31,219,149
LYONDELLBASELL INDUSTRIES NV Equity0.01%$31,188,140
PICC PROPERTY & CASUALTY CO. LTD. Equity0.01%$31,149,145
INDUS TOWERS LTD. Equity0.01%$31,111,078
ENEL SPA Equity0.01%$31,102,322
Palomar Holdings Inc Equity0.01%$30,977,422
MITSUBISHI UFJ FINANCIAL GROUP, INC. Fixed Income0.01%$30,939,272
UNITED PARCEL SERVICE, INC. Equity0.01%$30,813,090
TOAST, INC. Equity0.01%$30,689,782
SOCIETE GENERALE Equity0.01%$30,543,951
JPMorgan Chase Bank NA CashCHF0.01%$30,458,541
TEXAS INSTRUMENTS, INC. Equity0.01%$30,428,008
POWER FINANCE CORP. LTD. Equity0.01%$30,421,393
AMEREN CORP. Equity0.01%$30,385,902
ATMOS ENERGY CORP. Equity0.01%$30,369,683
NEWMONT CORP. Equity0.01%$30,116,729
GLENCORE PLC Equity0.01%$30,091,008
Alpha Dhabi Holding PJSC Equity0.01%$30,048,511
CROWN CASTLE, INC. Fixed Income0.01%$30,040,457
Eurofima Europaeische Gesellschaft fuer die Finanzierung von Eisenbahnmaterial Fixed Income0.01%$29,972,642
SAMSUNG FIRE & MARINE INSURANCE CO. LTD. Equity0.01%$29,951,574
NATIONAL BANK OF GREECE SA Equity0.01%$29,825,037
HONEYWELL INTERNATIONAL, INC. Equity0.01%$29,823,000
FRANCO-NEVADA CORP. Equity0.01%$29,744,922
JP Morgan Securities LLC CashJPY0.01%$29,543,073
SNOWFLAKE, INC. Equity0.01%$29,413,916
PPL CORP. Equity0.01%$29,110,539
AIR CANADA Equity0.01%$29,071,009
KOREA INVESTMENT HOLDINGS CO. LTD. Equity0.01%$29,067,114
SWEDBANK AB Equity0.01%$29,046,614
EQUITABLE HOLDINGS, INC. Equity0.01%$28,991,854
American Water Works Company Inc Equity0.01%$28,941,250
EAST JAPAN RAILWAY CO. Equity0.01%$28,936,825
AMGEN, INC. Equity0.01%$28,908,995
Peyto Exploration & Development Corp Equity0.01%$28,905,103
APA GROUP Infrastructure0.01%$28,820,826
SCB X PCL Equity0.01%$28,754,367
Kbc Groep Nv Equity0.01%$28,669,778
Electricite De France Sa Fixed Income0.01%$28,640,184
Hongkong & Shanghai Banking Corp Ltd-The-/Sydney Fixed Income0.01%$28,638,475
SIGMA HEALTHCARE LTD. Equity0.01%$28,602,925
EMIRATES NBD BANK PJSC Equity0.01%$28,496,567
MUFG Bank Ltd/Sydney Fixed Income0.01%$28,419,054
Kingdom of Thailand Fixed Income0.01%$28,404,568
EXPEDITORS INTERNATIONAL OF WASHINGTON, INC. Equity0.01%$28,355,557
WASTE MANAGEMENT, INC. Equity0.01%$28,339,746
INTERNATIONAL CONTAINER TERMINAL SERVICES, INC. Equity0.01%$28,329,572
CENTERPOINT ENERGY, INC. Equity0.01%$28,294,633
Lithia Motors Inc Equity0.01%$28,268,684
BYD CO. LTD. Equity0.01%$28,236,447
EVERSOURCE ENERGY Equity0.01%$28,194,079
JP Morgan Securities LLC CashGBP0.01%$28,176,311
CLP HOLDINGS LTD. Equity0.01%$28,128,153
Australian Unity Ltd Fixed Income0.01%$28,120,054
FIRSTENERGY CORP. Equity0.01%$28,078,521
PETRONET LNG LTD. Equity0.01%$27,976,927
Adani Transmission Ltd Equity0.01%$27,905,721
LOEWS CORP. Equity0.01%$27,843,238
FORTIS, INC. Equity0.01%$27,841,616
ROLLINS, INC. Equity0.01%$27,779,270
DEERE & CO. Equity0.01%$27,681,192
JOHNSON MATTHEY PLC Equity0.01%$27,627,797
CHINA HONGQIAO GROUP LTD. Equity0.01%$27,571,596
OCCIDENTAL PETROLEUM CORP. Equity0.01%$27,563,245
Sendas Distribuidora Sa Equity0.01%$27,444,793
CROWDSTRIKE HOLDINGS, INC. Equity0.01%$27,312,700
ORANGE SA Fixed Income0.01%$27,240,190
INTEL CORP. Equity0.01%$27,170,006
AT&T, INC. Fixed Income0.01%$27,163,571
JAMES HARDIE INDUSTRIES PLC Equity0.01%$27,091,198
National Australia Bank Ltd/London Fixed Income0.01%$26,920,301
Primerica Inc Equity0.01%$26,847,115
CEMEX SAB DE CV Equity0.01%$26,798,780
Nordic Investment Bank Fixed Income0.01%$26,792,346
SONOVA HOLDING AG Equity0.01%$26,785,340
KILROY REALTY CORP. Fixed Income0.01%$26,781,334
CHUBB LTD. Equity0.01%$26,767,932
MUFG Bank Ltd/London CashUSD0.01%$26,736,450
Hanwha Aerospace Co Ltd Equity0.01%$26,694,507
FIDELITY NATIONAL FINANCIAL, INC. Equity0.01%$26,694,182
WISETECH GLOBAL LTD. Equity0.01%$26,638,894
WestConnex Finance Co Pty Ltd Fixed Income0.01%$26,635,208
Credit Agricole Corporate and Investment Bank/London Fixed Income0.01%$26,615,710
British Telecommunications PLC Fixed Income0.01%$26,580,338
ENI SPA Fixed Income0.01%$26,562,042
CYBERAGENT, INC. Equity0.01%$26,561,796
KONINKLIJKE KPN NV Equity0.01%$26,549,946
VenCap International Equity0.01%$26,499,544
CK HUTCHISON HOLDINGS LTD. Equity0.01%$26,476,403
Al Rajhi Banking & Investment Corporation Sjsc Equity0.01%$26,446,992
HUB24 LTD. Equity0.01%$26,440,267
Republic of Poland Fixed Income0.01%$26,357,551
Pacific Gas and Electric Co Fixed Income0.01%$26,352,541
CHINA TOWER CORP. LTD. Equity0.01%$26,255,407
PEMBINA PIPELINE CORP. Equity0.01%$26,186,550
CARETRUST REIT, INC. Property0.01%$26,158,192
EUROBANK SA Equity0.01%$26,080,197
FERRARI NV Equity0.01%$26,058,558
PERNOD RICARD SA Equity0.01%$25,900,343
MTU AERO ENGINES AG Equity0.01%$25,846,381
S&P GLOBAL, INC. Equity0.01%$25,820,797
JPMorgan Chase Bank NA CashGBP0.01%$25,778,056
Republic of Finland Fixed Income0.01%$25,659,399
ARCH CAPITAL GROUP LTD. Equity0.01%$25,627,175
Worley Financial Services Pty Ltd Fixed Income0.01%$25,581,644
JSW STEEL LTD. Equity0.01%$25,527,106
FLUTTER ENTERTAINMENT PLC Equity0.01%$25,520,114
NXP SEMICONDUCTORS NV Equity0.01%$25,519,358
ALIMENTATION COUCHE-TARD, INC. Equity0.01%$25,408,140
MARVELL TECHNOLOGY, INC. Equity0.01%$25,310,815
Genmab A/S Equity0.01%$25,263,807
DEUTSCHE TELEKOM AG Equity0.01%$25,217,585
RAKUTEN GROUP, INC. Equity0.01%$25,149,779
RYANAIR HOLDINGS PLC Equity0.01%$25,113,338
Eneva SA Equity0.01%$25,077,416
VERIZON COMMUNICATIONS, INC. Fixed Income0.01%$25,061,485
TELE2 AB Equity0.01%$24,937,042
Companhia De Saneamento Basico Do Estado De Sao Paulo Sabesp Equity0.01%$24,924,883
T-Mobile USA Inc Fixed Income0.01%$24,765,002
BANK MANDIRI PERSERO TBK. PT Equity0.01%$24,755,980
AGNICO EAGLE MINES LTD. Equity0.01%$24,683,973
ASHTEAD GROUP PLC Equity0.01%$24,681,975
TOPBUILD CORP. Equity0.01%$24,531,489
CENTRAL JAPAN RAILWAY CO. Equity0.01%$24,459,199
CTBC FINANCIAL HOLDING CO. LTD. Equity0.01%$24,330,989
BANCO SANTANDER SA Equity0.01%$24,321,825
Marsh & Mclennan Companies Inc Equity0.01%$24,254,408
PRO MEDICUS LTD. Equity0.01%$24,188,314
Korea Development Bank/The Fixed Income0.01%$24,178,641
Penske Truck Leasing Co Lp / PTL Finance Corp Fixed Income0.01%$24,168,814
BLACKROCK, INC. Equity0.01%$24,161,876
OMV AG Equity0.01%$24,111,494
ROYAL CARIBBEAN CRUISES LTD. Equity0.01%$24,084,179
ALLIANZ SE Equity0.01%$23,996,845
GMR AIRPORTS LTD. Equity0.01%$23,990,897
AKER BP ASA Fixed Income0.01%$23,985,035
Stockland Units/ord Stapled Property0.01%$23,887,354
CMS ENERGY CORP. Equity0.01%$23,826,379
WATERS CORP. Equity0.01%$23,777,865
ORACLE CORP. Fixed Income0.01%$23,742,977
DYNO NOBEL LTD. Fixed Income0.01%$23,710,019
Bechtle Ag Equity0.01%$23,683,390
BOEING CO. Equity0.01%$23,648,111
SWISSCOM AG Equity0.01%$23,593,488
Demant A/S Equity0.01%$23,587,702
UPM-KYMMENE OYJ Equity0.01%$23,559,107
Equatorial Energia Sa Equity0.01%$23,540,543
Fineos Corporation Holdings Plc Equity0.01%$23,476,023
GOLD FIELDS LTD. Equity0.01%$23,452,518
BROOKFIELD CORP. Equity0.01%$23,444,206
CARNIVAL CORP. Fixed Income0.01%$23,434,796
EDISON INTERNATIONAL Equity0.01%$23,432,090
IFM INVESTORS PTY LTD Equity0.01%$23,389,252
PROLOGIS, INC. Property0.01%$23,382,101
H & M HENNES & MAURITZ AB Equity0.01%$23,378,871
Mars Inc Fixed Income0.01%$23,304,900
KIA CORP. Equity0.01%$23,257,656
CANARA BANK Equity0.01%$23,225,290
KLEPIERRE SA Property0.01%$23,098,916
Peabody Energy Corp Equity0.01%$22,908,320
GRUPO MEXICO SAB DE CV Equity0.01%$22,841,270
ASE TECHNOLOGY HOLDING CO. LTD. Equity0.01%$22,840,746
LENNAR CORP. Equity0.01%$22,829,582
Adnoc Logistics & Services Plc Equity0.01%$22,800,711
DOOSAN BOBCAT, INC. Equity0.01%$22,670,417
GENTRACK GROUP LTD. Equity0.01%$22,573,917
WOLTERS KLUWER NV Equity0.01%$22,573,271
BX Commercial Mortgage Trust 2022-CSMO Fixed Income0.01%$22,529,557
INTERCONTINENTAL HOTELS GROUP PLC Equity0.01%$22,462,922
People's Insurance Company Group Of China Ltd Equity0.01%$22,386,371
COMMONWEALTH BANK OF AUSTRALIA CashGBP0.01%$22,376,374
STANDARD CHARTERED BANK CashGBP0.01%$22,376,374
HSBC HOLDINGS PLC Equity0.01%$22,374,355
CALIX, INC. Equity0.01%$22,335,544
CENOVUS ENERGY, INC. Equity0.01%$22,277,666
BARRICK MINING CORP. Equity0.01%$22,188,926
Jyske Bank A/S Fixed Income0.01%$22,150,053
NASPERS LTD. Equity0.01%$22,015,359
BUILDERS FIRSTSOURCE, INC. Equity0.01%$21,986,988
NETEASE, INC. Equity0.01%$21,962,940
P3 Group Sarl Fixed Income0.01%$21,931,573
QANTAS AIRWAYS LTD. Fixed Income0.01%$21,913,571
MACQUARIE GROUP LTD. Fixed Income0.01%$21,894,847
UNILEVER PLC Equity0.01%$21,768,076
MOODY'S CORP. Equity0.01%$21,688,815
Heidelbergcement Ag Equity0.01%$21,669,716
SOFTBANK GROUP CORP. Equity0.01%$21,663,163
Foundry JV Holdco LLC Fixed Income0.01%$21,651,539
HITACHI LTD. Equity0.01%$21,559,925
SAMPO OYJ Equity0.01%$21,494,747
BJ'S WHOLESALE CLUB HOLDINGS, INC. Equity0.01%$21,459,827
CHINA MERCHANTS BANK CO. LTD. Equity0.01%$21,329,374
CHARTER HALL GROUP Property0.01%$21,309,920
Air New Zealand Ltd Fixed Income0.01%$21,293,295
AMERICAN EXPRESS CO. Fixed Income0.01%$21,271,433
AUDINATE GROUP LTD. Equity0.01%$21,176,241
Harmony Gold Mining Company Ltd Equity0.01%$21,172,806
Zip Master Trust Series 2025-2 Fixed Income0.01%$21,170,347
Scholar Rock Holding Corp Equity0.01%$21,146,531
ALDAR PROPERTIES PJSC Equity0.01%$21,107,078
AMERIPRISE FINANCIAL, INC. Equity0.01%$21,063,058
Technologyone Ltd Equity0.01%$21,051,393
Hera SpA Equity0.01%$21,032,987
TRUIST FINANCIAL CORP. Fixed Income0.01%$20,995,938
HGGC Equity0.01%$20,966,114
KROGER CO. Equity0.01%$20,964,465
Energy Transfer LP Fixed Income0.01%$20,876,317
CATHAY FINANCIAL HOLDING CO. LTD. Equity0.01%$20,870,687
GE VERNOVA, INC. Equity0.01%$20,846,284
METRO, INC. Equity0.01%$20,842,315
COPART, INC. Equity0.01%$20,765,029
NISOURCE, INC. Equity0.01%$20,751,561
Mccormick & Company Inc Equity0.01%$20,670,868
FUTU HOLDINGS LTD. Equity0.01%$20,557,811
Cellnex Finance Co SA Fixed Income0.01%$20,536,798
Greggs PLC Equity0.01%$20,535,903
GPT Group Stapled Securities Fully Paid Property0.01%$20,516,193
Royal Bank of Canada/London CashCAD0.01%$20,508,113
CHURCH & DWIGHT CO., INC. Equity0.01%$20,480,123
LUNDIN MINING CORP. Equity0.01%$20,160,676
Suez SACA Fixed Income0.01%$20,143,013
SYNCHRONY FINANCIAL Fixed Income0.01%$20,126,976
UBS GROUP AG Fixed Income0.01%$20,070,266
TARGET CORP. Equity0.01%$20,029,290
Ashtead Capital Inc Fixed Income0.01%$20,017,894
SUZUKI MOTOR CORP. Equity0.01%$20,012,851
SHERWIN-WILLIAMS CO. Equity0.01%$19,941,137
Pfizer Investment Enterprises Pte Ltd Fixed Income0.01%$19,915,328
ACS ACTIVIDADES DE CONSTRUCCION Y SERVICIOS SA Equity0.01%$19,908,078
BHARAT PETROLEUM CORP. LTD. Equity0.01%$19,906,305
COTERRA ENERGY, INC. Equity0.01%$19,899,042
FIRSTENERGY CORP. Fixed Income0.01%$19,851,920
Schlumberger Nv Equity0.01%$19,843,007
SANRIO CO. LTD. Equity0.01%$19,823,570
Charter Hall Property0.01%$19,758,413
PETROCHINA CO. LTD. Equity0.01%$19,718,253
BENDIGO & ADELAIDE BANK LTD. Equity0.01%$19,706,654
Synaptics Inc Equity0.01%$19,686,765
LAS VEGAS SANDS CORP. Fixed Income0.01%$19,659,283
OPEN TEXT CORP. Equity0.01%$19,496,233
HEICO CORP. Equity0.01%$19,473,220
Kawasaki Kisen Kaisha Ltd Equity0.01%$19,435,209
Republic of Lithuania Fixed Income0.01%$19,389,908
TRUIST FINANCIAL CORP. Equity0.01%$19,384,608
EIFFAGE SA Equity0.01%$19,374,267
Hollard Insurance Co Pty Ltd/The Fixed Income0.01%$19,303,743
Light & Wonder Inc CDI 1:1 Foreign Exempt Xngs Equity0.01%$19,271,695
Charter Communications Operating LLC / Charter Communications Operating Capital Fixed Income0.01%$19,250,745
DAITO TRUST CONSTRUCTION CO. LTD. Equity0.01%$19,241,658
SBA COMMUNICATIONS CORP. Property0.01%$19,191,073
NEMETSCHEK SE Equity0.01%$19,124,449
EQT CORP. Equity0.01%$19,114,431
State of Israel Fixed Income0.01%$19,107,943
Yorkshire Water Finance PLC Fixed Income0.01%$19,107,297
IHI CORP. Equity0.01%$19,098,017
CITIZENS FINANCIAL GROUP, INC. Equity0.01%$19,085,457
TORONTO-DOMINION BANK Equity0.01%$19,046,844
Perpetual Corporate Trust Ltd Fixed Income0.01%$18,982,378
HALLIBURTON CO. Equity0.01%$18,904,294
BOUYGUES SA Equity0.01%$18,841,115
JPMorgan Chase Bank NA CashHKD0.01%$18,836,505
AON PLC Equity0.01%$18,826,401
Triton Bond Trust 2023-1 in respect of Series 1 Fixed Income0.01%$18,814,151
Varonis Systems Inc Equity0.01%$18,805,843
RELIANCE INDUSTRIES LTD. Equity0.01%$18,715,854
JD.COM, INC. Equity0.01%$18,667,784
EOG RESOURCES, INC. Equity0.01%$18,633,250
BANCO DE SABADELL SA Equity0.01%$18,626,973
CDW CORP. Equity0.01%$18,523,715
FEDEX CORP. Equity0.01%$18,492,681
Indian Bank Equity0.01%$18,455,276
COMCAST CORP. Fixed Income0.01%$18,454,086
COMFORT SYSTEMS USA, INC. Equity0.01%$18,428,042
MUFG Bank Ltd/London CashEUR0.01%$18,355,577
Ardentec Corp Equity0.01%$18,344,208
Installed Building Products Inc Equity0.01%$18,322,894
DELL TECHNOLOGIES, INC. Equity0.01%$18,308,706
ILLINOIS TOOL WORKS, INC. Equity0.01%$18,300,325
Prpm Fundido 2025-1 DAC Fixed Income0.01%$18,296,793
Corporate Travel Management Ltd Equity0.01%$18,258,299
UNITED MICROELECTRONICS CORP. Equity0.01%$18,232,618
Slovak Republic Fixed Income0.01%$18,021,739
KKR & CO., INC. Equity0.01%$18,002,200
LENOVO GROUP LTD. Equity0.01%$17,923,022
Freddie Mac Seasoned Credit Risk Transfer Trust Series 2019-2 Fixed Income0.01%$17,912,497
Firstmac Mortgage Funding Trust Fixed Income0.01%$17,874,499
EATON CORP. PLC Equity0.01%$17,784,591
WARNER BROS DISCOVERY, INC. Equity0.01%$17,769,040
BAWAG GROUP AG Equity0.01%$17,733,327
ACM Auto Trust 2025-4 Fixed Income0.01%$17,726,880
SHIMADZU CORP. Equity0.01%$17,726,757
Carsales.Com Ltd Equity0.01%$17,710,683
Mirvac Group Stapled Securities Property0.01%$17,704,299
AKZO NOBEL NV Equity0.01%$17,658,073
VINCI SA Equity0.01%$17,657,228
JAPAN AIRLINES CO. LTD. Equity0.01%$17,597,451
BROWN & BROWN, INC. Fixed Income0.01%$17,586,874
JP Morgan Securities LLC CashJPY0.01%$17,569,416
BANK OF BARODA Equity0.01%$17,393,602
COREBRIDGE FINANCIAL, INC. Fixed Income0.01%$17,385,892
REGIONS FINANCIAL CORP. Equity0.01%$17,301,986
BANK OF CHINA LTD. Equity0.01%$17,285,666
E.ON SE Equity0.01%$17,273,681
RYANAIR HOLDINGS PLC Equity0.01%$17,267,071
MICRON TECHNOLOGY, INC. Fixed Income0.01%$17,248,511
BASF SE Equity0.01%$17,245,557
SANKYO CO. LTD. Equity0.01%$17,102,383
AGRICULTURAL BANK OF CHINA LTD. Equity0.01%$17,100,536
Freddie Mac Seasoned Credit Risk Transfer Trust Series 2019-3 Fixed Income0.01%$17,076,398
REALTY INCOME CORP. Fixed Income0.01%$17,068,874
ALPHABET, INC. Fixed Income0.01%$17,065,165
KBC GROUP NV Fixed Income0.01%$17,048,872
AMCOR PLC Equity0.01%$17,013,953
BAMLL Trust 2024-BHP Fixed Income0.01%$16,961,065
SIKA AG Equity0.01%$16,956,537
RHEINMETALL AG Equity0.01%$16,919,175
SHELL PLC Equity0.01%$16,917,151
VERISIGN, INC. Equity0.01%$16,895,902
ACM Auto Trust 2024-2 Fixed Income0.01%$16,863,362
SONIC HEALTHCARE LTD. Equity0.01%$16,857,930
NORFOLK SOUTHERN CORP. Fixed Income0.01%$16,792,080
COMMONWEALTH BANK OF AUSTRALIA CashEUR0.01%$16,785,563
UNICREDIT SPA Fixed Income0.01%$16,752,747
Santander UK Group Holdings PLC Fixed Income0.01%$16,725,499
OIL & NATURAL GAS CORP. LTD. Equity0.01%$16,711,754
ABU DHABI COMMERCIAL BANK PJSC Equity0.01%$16,702,814
Pepper Residential Securities Trust No. 41 Fixed Income0.01%$16,699,432
COGNIZANT TECHNOLOGY SOLUTIONS CORP. Equity0.01%$16,694,523
EMAAR PROPERTIES PJSC Equity0.01%$16,673,794
DUKE ENERGY CORP. Fixed Income0.01%$16,657,563
TRIPOD TECHNOLOGY CORP. Equity0.01%$16,562,006
Reliance Steel & Aluminum Co Equity0.01%$16,516,165
ONEOK, INC. Fixed Income0.01%$16,493,814
INTERNATIONAL CONSOLIDATED AIRLINES GROUP SA Equity0.01%$16,487,854
PHOENIX GROUP HOLDINGS PLC Equity0.01%$16,470,688
TERNA - RETE ELETTRICA NAZIONALE Equity0.01%$16,461,370
Oncor Electric Delivery Co LLC Fixed Income0.01%$16,453,540
NIKE, INC. Equity0.01%$16,437,653
ELECTRONIC ARTS, INC. Equity0.01%$16,398,209
KIWOOM SECURITIES CO. LTD. Equity0.01%$16,368,970
DEUTSCHE POST AG Equity0.01%$16,351,794
Czech Republic Fixed Income0.01%$16,333,836
CUMMINS, INC. Equity0.01%$16,296,386
ALS LTD. Equity0.01%$16,296,091
GSK PLC Equity0.01%$16,294,780
EMERA, INC. Equity0.01%$16,285,017
REGENERON PHARMACEUTICALS, INC. Equity0.01%$16,272,978
CANON, INC. Equity0.01%$16,269,378
M&G PLC Equity0.01%$16,237,520
GLOBAL PAYMENTS, INC. Fixed Income0.01%$16,213,872
Compagnie Financiere Richemont Sa Equity0.01%$16,184,651
Toyota Motor Credit Corp Fixed Income0.01%$16,177,789
JABIL, INC. Equity0.01%$16,107,618
GREAT WALL MOTOR CO. LTD. Equity0.01%$16,107,137
ASUSTEK COMPUTER, INC. Equity0.01%$16,035,915
AURIZON HOLDINGS LTD. Equity0.01%$16,019,774
Scentre Group Trust 2 Fixed Income0.01%$16,009,949
ORANGE SA Equity0.01%$15,959,970
KANSAI ELECTRIC POWER CO., INC. Equity0.01%$15,931,744
RAMELIUS RESOURCES LTD. Equity0.01%$15,903,660
MONDELEZ INTERNATIONAL, INC. Equity0.01%$15,883,201
AXIS BANK LTD. Equity0.01%$15,824,782
HINDALCO INDUSTRIES LTD. Equity0.01%$15,813,703
Sumitomo Chemical Co Ltd Equity0.01%$15,802,052
Var Energi Asa Fixed Income0.01%$15,752,774
Sequoia Mortgage Trust 2025-13 Fixed Income0.01%$15,752,239
United Utilities Water Finance PLC Fixed Income0.01%$15,747,034
Provident Funding Mortgage Trust 2025-6 Fixed Income0.01%$15,739,594
DEXUS Property0.01%$15,633,574
ALLIANT ENERGY CORP. Equity0.01%$15,580,520
UNION BANK OF INDIA LTD. Equity0.01%$15,570,621
EVERGY, INC. Equity0.01%$15,514,130
BAIDU, INC. Equity0.01%$15,479,104
OTSUKA CORP. Equity0.01%$15,426,703
TE CONNECTIVITY PLC Equity0.01%$15,392,504
La Trobe Financial Capital Markets Trust 2023-3 Fixed Income0.01%$15,361,181
ZURICH INSURANCE GROUP AG Equity0.01%$15,339,196
APPF Commercial Finance Pty Ltd Fixed Income0.01%$15,338,208
Ruby Bond Trust 2024-1 Fixed Income0.01%$15,327,258
SANOFI SA Equity0.01%$15,260,275
ANHEUSER-BUSCH INBEV SA Fixed Income0.01%$15,132,454
TOKYO ELECTRON LTD. Equity0.01%$15,109,174
INTEL CORP. Fixed Income0.01%$15,062,808
Shanghai Conant Optical Co Ltd Equity0.01%$15,032,653
ROSS STORES, INC. Equity0.01%$14,982,911
HCA Inc Fixed Income0.01%$14,969,250
HOLCIM AG Equity0.01%$14,894,250
SNAM SPA Equity0.01%$14,788,572
Bank of Nova Scotia/The Fixed Income0.01%$14,780,908
Ventas Realty LP Fixed Income0.01%$14,765,947
Worleyparsons Limited Equity0.01%$14,765,902
JPMorgan Chase Bank NA CashCAD0.01%$14,749,004
New China Life Insurance Company Ltd Equity0.01%$14,743,278
JDE PEET'S NV Equity0.01%$14,728,785
GEELY AUTOMOBILE HOLDINGS LTD. Equity0.01%$14,726,964
NTT Finance Corp Fixed Income0.01%$14,709,947
NYCT Trust 2024-3ELV Fixed Income0.01%$14,624,559
FIRSTRAND LTD. Equity0.01%$14,581,183
Panorama Auto Trust 2025-4 Fixed Income0.01%$14,573,116
ELISA OYJ Equity0.01%$14,538,885
VERTIV HOLDINGS CO. Equity0.01%$14,500,263
PRPM Fundido 2025-2 DAC Fixed Income0.01%$14,464,656
Severn Trent Utilities Finance PLC Fixed Income0.01%$14,462,796
Asian Infrastructure Investment Bank/The Fixed Income0.01%$14,445,840
CANADIAN NATURAL RESOURCES LTD. Equity0.01%$14,445,572
CIMB GROUP HOLDINGS BHD. Equity0.01%$14,439,305
BANK OF NOVA SCOTIA Equity0.01%$14,439,120
STAR 2025-SFR5 Trust Fixed Income0.01%$14,419,427
SUN LIFE FINANCIAL, INC. Equity0.01%$14,390,672
Redox Ltd/Australia Equity0.01%$14,332,232
RESONA HOLDINGS, INC. Equity0.01%$14,304,320
WILLIS TOWERS WATSON PLC Equity0.01%$14,302,383
BANK OF QUEENSLAND LTD. Equity0.01%$14,300,989
DYNO NOBEL LTD. Equity0.01%$14,300,696
TARGET CORP. Fixed Income0.01%$14,213,973
Indofood CBP Sukses Makmur Tbk PT Fixed Income0.01%$14,213,918
VISTRA CORP. Equity0.01%$14,208,455
DR HORTON, INC. Equity0.01%$14,154,012
MCKESSON CORP. Equity0.01%$14,106,739
CHALLENGER LTD. Equity0.01%$14,081,524
Range Resources Corp Equity0.01%$13,999,592
FERGUSON ENTERPRISES, INC. Equity0.01%$13,934,392
Glencore Capital Finance DAC Fixed Income0.01%$13,925,040
ANHEUSER-BUSCH INBEV SA Equity0.01%$13,921,536
ATLX 2024-RPL2 Trust Fixed Income0.01%$13,907,528
BANK OF MONTREAL Equity0.01%$13,900,151
AMBEV SA Equity0.01%$13,867,213
CHARTER COMMUNICATIONS, INC. Equity0.01%$13,800,598
Cigna Group/The Fixed Income0.01%$13,779,541
SANWA HOLDINGS CORP. Equity0.01%$13,741,863
TOKYO GAS CO. LTD. Equity0.01%$13,732,362
BMS Ireland Capital Funding DAC Fixed Income0.01%$13,724,224
OPEN TEXT CORP. Fixed Income0.01%$13,720,292
ECOLAB, INC. Equity0.01%$13,720,280
GS Mortgage-Backed Securities Trust 2025-PJ11 Fixed Income0.01%$13,693,995
BP PLC Equity0.01%$13,692,802
Boeing Co/The Fixed Income0.01%$13,654,970
GS Mortgage-Backed Securities Trust 2025-PJ3 Fixed Income0.01%$13,529,848
AMERICA MOVIL SAB DE CV Equity0.01%$13,484,323
Taurus Finance Retail Warehouse Trust No. 2 Fixed Income0.01%$13,474,310
ROYALTY PHARMA PLC Fixed Income0.01%$13,439,938
ENBRIDGE, INC. Fixed Income0.01%$13,433,500
SITC INTERNATIONAL HOLDINGS CO. LTD. Equity0.01%$13,433,281
INTESA SANPAOLO SPA Equity0.01%$13,428,980
SMC CORP. Equity0.01%$13,409,189
HYDRO ONE LTD. Equity0.01%$13,380,312
BECTON DICKINSON & CO. Equity0.01%$13,375,194
MOLSON COORS BEVERAGE CO. Equity0.01%$13,355,771
AFLAC, INC. Equity0.01%$13,353,949
Export-Import Bank of Korea Fixed Income0.01%$13,289,031
WALMART, INC. Fixed Income0.01%$13,277,131
Consolidated Edison Co of New York Inc Fixed Income0.01%$13,165,989
OSAKA GAS CO. LTD. Equity0.01%$13,115,438
WESTINGHOUSE AIR BRAKE TECHNOLOGIES CORP. Fixed Income0.01%$13,101,800
London Power Networks PLC Fixed Income0.01%$13,100,490
NMDC LTD. Equity0.01%$13,080,814
M&T BANK CORP. Equity0.01%$13,078,151
Chicony Electronics Co Ltd Equity0.01%$13,049,855
FIFTH THIRD BANCORP Equity0.01%$13,002,806
LOGITECH INTERNATIONAL SA Equity0.01%$12,993,679
Magnum Icc Finance BV Fixed Income0.00%$12,961,100
UNITEDHEALTH GROUP, INC. Fixed Income0.00%$12,941,449
Saia Inc Equity0.00%$12,913,084
AIR PRODUCTS & CHEMICALS, INC. Equity0.00%$12,907,371
ZOETIS, INC. Equity0.00%$12,903,994
Angle Asset Finance Radian Trust 2025-2 Fixed Income0.00%$12,897,129
Volkswagen Bank GmbH Fixed Income0.00%$12,871,966
L3HARRIS TECHNOLOGIES, INC. Equity0.00%$12,871,302
Macrotech Developers Ltd Equity0.00%$12,857,547
Freddie Mac Seasoned Credit Risk Transfer Trust Series 2019-1 Fixed Income0.00%$12,831,020
LULULEMON ATHLETICA, INC. Equity0.00%$12,752,643
CVS HEALTH CORP. Fixed Income0.00%$12,745,607
Norddeutsche Landesbank-Girozentrale Fixed Income0.00%$12,743,616
CHINA PACIFIC INSURANCE GROUP CO. LTD. Equity0.00%$12,717,044
RELX PLC Equity0.00%$12,707,668
Roche Holdings Inc Fixed Income0.00%$12,681,977
MIZUHO FINANCIAL GROUP, INC. Equity0.00%$12,661,867
EXTRA SPACE STORAGE, INC. Fixed Income0.00%$12,654,994
OMNICOM GROUP, INC. Equity0.00%$12,651,517
GSK PLC Equity0.00%$12,624,351
MTN GROUP LTD. Equity0.00%$12,620,262
NASDAQ, INC. Equity0.00%$12,619,575
BARCLAYS PLC Equity0.00%$12,595,598
BLACKSTONE, INC. Equity0.00%$12,584,042
Permanent Custodians Ltd Fixed Income0.00%$12,572,733
DOWNER EDI LTD. Equity0.00%$12,540,122
CURTISS-WRIGHT CORP. Equity0.00%$12,487,930
LEAR CORP. Equity0.00%$12,469,263
AGNICO EAGLE MINES LTD. Equity0.00%$12,445,208
CREDO TECHNOLOGY GROUP HOLDING LTD. Equity0.00%$12,425,981
Mortgage House RMBS Osmium Series 2023-1 Fixed Income0.00%$12,407,029
FORTINET, INC. Equity0.00%$12,371,810
La Trobe Financial Capital Markets Trust 2023-1 Fixed Income0.00%$12,360,287
RIO TINTO LTD. Equity0.00%$12,358,790
SBA Tower Trust Fixed Income0.00%$12,324,589
Provident Funding Mortgage Trust 2025-3 Fixed Income0.00%$12,318,962
VEDANTA LTD. Equity0.00%$12,279,986
Caterpillar Financial Services Corp Fixed Income0.00%$12,256,675
CORNING, INC. Equity0.00%$12,205,932
Muenchener Rueckversicherungs Gesellschaft In Muenchen Ag Equity0.00%$12,198,949
AmeriCredit Automobile Receivables Trust 2025-1 Fixed Income0.00%$12,178,777
Nichias Corp Equity0.00%$12,154,522
Republic of Singapore Fixed Income0.00%$12,117,603
QUANTA SERVICES, INC. Equity0.00%$12,117,077
PUBLIC BANK BHD. Equity0.00%$12,096,396
KONGSBERG GRUPPEN ASA Equity0.00%$12,088,707
General Motors Financial Co Inc Fixed Income0.00%$12,087,075
IGO LTD. Equity0.00%$12,079,829
KONINKLIJKE KPN NV Fixed Income0.00%$12,071,992
Empire Company Ltd Equity0.00%$12,027,430
UNITED UTILITIES GROUP PLC Equity0.00%$12,024,438
T. ROWE PRICE GROUP, INC. Equity0.00%$11,997,753
NATIONAL ALUMINIUM CO. LTD. Equity0.00%$11,994,829
GE HEALTHCARE TECHNOLOGIES, INC. Equity0.00%$11,980,435
CHINA CITIC BANK CORP. LTD. Equity0.00%$11,970,348
SW Finance I PLC Fixed Income0.00%$11,957,174
NORTHERN TRUST CORP. Equity0.00%$11,955,870
SYSCO CORP. Equity0.00%$11,939,500
INDIAN OIL CORP. LTD. Equity0.00%$11,929,282
POWSZECHNY ZAKLAD UBEZPIECZEN SA Equity0.00%$11,898,313
GEORGE WESTON LTD. Equity0.00%$11,886,856
TELEFONICA BRASIL SA Equity0.00%$11,884,992
Compagnie De Saint Gobain Sa Equity0.00%$11,870,977
A&D Mortgage Trust 2024-NQM3 Fixed Income0.00%$11,870,378
PHILLIPS 66 Fixed Income0.00%$11,849,223
SWISS RE AG Equity0.00%$11,819,602
PAYCHEX, INC. Equity0.00%$11,803,840
NVR, INC. Equity0.00%$11,772,468
EDWARDS LIFESCIENCES CORP. Equity0.00%$11,764,882
CHUBU ELECTRIC POWER CO., INC. Equity0.00%$11,736,373
ANSELL LTD. Equity0.00%$11,735,893
La Trobe Financial Capital Markets Trust 2024-1 Fixed Income0.00%$11,699,034
SAMSUNG LIFE INSURANCE CO. LTD. Equity0.00%$11,693,830
Sigurd Microelectronics Corp Equity0.00%$11,657,958
MEDIATEK, INC. Equity0.00%$11,652,641
COUSINS PROPERTIES, INC. Fixed Income0.00%$11,650,049
INFRASTRUTTURE WIRELESS ITALIANE SPA Fixed Income0.00%$11,637,669
TEXAS INSTRUMENTS, INC. Fixed Income0.00%$11,610,212
WIPRO LTD. Equity0.00%$11,564,720
KINGFISHER PLC Equity0.00%$11,546,899
HUNTINGTON BANCSHARES, INC. Equity0.00%$11,508,906
ROPER TECHNOLOGIES, INC. Equity0.00%$11,438,038
STARBUCKS CORP. Equity0.00%$11,424,585
AGL ENERGY LTD. Equity0.00%$11,368,124
MITSUBISHI HEAVY INDUSTRIES LTD. Equity0.00%$11,348,750
AA Bond Co Ltd Fixed Income0.00%$11,318,529
Florida Power & Light Co Fixed Income0.00%$11,271,630
SAMSUNG C&T CORP. Equity0.00%$11,266,949
First Citizens Bancshares Inc (Delaware) Equity0.00%$11,261,683
WW GRAINGER, INC. Equity0.00%$11,206,197
REALTEK SEMICONDUCTOR CORP. Equity0.00%$11,154,238
Companhia De Saneamento De Minas Gerais Copasa Mg Equity0.00%$11,153,164
Ryan Specialty Holdings Inc Equity0.00%$11,125,561
ATLX 2024-RPL1 Trust Fixed Income0.00%$11,123,173
MARRIOTT INTERNATIONAL, INC. Equity0.00%$11,092,228
NIPPON STEEL CORP. Equity0.00%$11,069,163
PRET 2025-RPL2 Trust Fixed Income0.00%$11,043,923
RENAULT SA Fixed Income0.00%$11,040,169
PROPEL FUNERAL PARTNERS LTD. Equity0.00%$11,002,688
CONSTELLATION BRANDS, INC. Equity0.00%$10,967,782
SEVERN TRENT PLC Equity0.00%$10,939,779
Companhia Paranaense De Energia Equity0.00%$10,864,454
BROADCOM, INC. Fixed Income0.00%$10,861,179
Atlas Arteria Group Infrastructure0.00%$10,824,501
BPR Trust 2021-WILL Fixed Income0.00%$10,819,579
HYUNDAI MOBIS CO. LTD. Equity0.00%$10,807,592
Ollie's Bargain Outlet Holdings Inc Equity0.00%$10,807,090
SIRIUS REAL ESTATE LTD. Fixed Income0.00%$10,801,602
FASTENAL CO. Equity0.00%$10,799,357
QUBE HOLDINGS LTD. Equity0.00%$10,789,194
AXIA ENERGIA Equity0.00%$10,785,575
CORTEVA, INC. Equity0.00%$10,749,031
CCF SFH SACA Fixed Income0.00%$10,723,728
CARVANA CO. Equity0.00%$10,715,666
NYC Commercial Mortgage Trust 2025-1155 Fixed Income0.00%$10,694,706
VINE 2023-SFR1 Trust Fixed Income0.00%$10,693,567
JW Commercial Mortgage Trust 2024-MRCO Fixed Income0.00%$10,687,635
QATAR ISLAMIC BANK QPSC Equity0.00%$10,658,763
Athora Holding Ltd Fixed Income0.00%$10,654,906
FAST RETAILING CO. LTD. Equity0.00%$10,649,363
Porto Seguro Sa Equity0.00%$10,632,608
Caister Finance DAC Fixed Income0.00%$10,632,276
REPUBLIC SERVICES, INC. Equity0.00%$10,625,017
Danske Bank A/S Fixed Income0.00%$10,624,949
GEN DIGITAL, INC. Equity0.00%$10,616,012
HONG KONG & CHINA GAS CO. LTD. Equity0.00%$10,605,898
Triton Bond Trust 2023-1 in respect of Series 1 Fixed Income0.00%$10,598,201
CHINA LIFE INSURANCE CO. LTD. Equity0.00%$10,586,917
Australian Unity Healthcare Property Trust Fixed Income0.00%$10,565,062
SEEK LTD. Equity0.00%$10,556,404
Jmdc Inc Equity0.00%$10,548,013
BANK POLSKA KASA OPIEKI SA Equity0.00%$10,513,479
NORDEA BANK ABP Equity0.00%$10,511,454
KOMATSU LTD. Equity0.00%$10,499,061
LOWE'S COS., INC. Fixed Income0.00%$10,491,616
LPL FINANCIAL HOLDINGS, INC. Equity0.00%$10,480,538
ITAUSA SA Equity0.00%$10,480,182
Cloud Capital Holdco LP Fixed Income0.00%$10,474,101
NISOURCE, INC. Fixed Income0.00%$10,471,200
APPLE, INC. Fixed Income0.00%$10,470,936
NNN REIT, INC. Fixed Income0.00%$10,458,752
Home Depot Inc/The Fixed Income0.00%$10,450,434
STAR 2025-SFR6 Trust Fixed Income0.00%$10,447,341
REC LTD. Equity0.00%$10,401,699
GAMES WORKSHOP GROUP PLC Equity0.00%$10,357,296
HAMMERSON PLC Fixed Income0.00%$10,355,419
CHIPOTLE MEXICAN GRILL, INC. Equity0.00%$10,351,861
HYUNDAI MOTOR CO. Equity0.00%$10,343,784
South West Water Finance PLC Fixed Income0.00%$10,342,510
POWER ASSETS HOLDINGS LTD. Equity0.00%$10,341,301
TRANSDIGM GROUP, INC. Equity0.00%$10,332,409
DEVON ENERGY CORP. Equity0.00%$10,326,056
A2 Milk Company Ltd Equity0.00%$10,315,475
Greek Organisation Of Football Prognostics Sa Equity0.00%$10,286,265
Powertech Technology Inc Equity0.00%$10,276,844
Romania Fixed Income0.00%$10,270,574
PROSUS NV Equity0.00%$10,262,980
ROCKWELL AUTOMATION, INC. Equity0.00%$10,239,712
LEIDOS HOLDINGS, INC. Equity0.00%$10,232,481
LUMEN TECHNOLOGIES, INC. Equity0.00%$10,216,856
RYDER SYSTEM, INC. Equity0.00%$10,213,708
Wisr Freedom Trust Series 2023-1 Fixed Income0.00%$10,181,742
China Development Financial Holding Corp Equity0.00%$10,135,867
CRRC CORP. LTD. Equity0.00%$10,124,378
RPM INTERNATIONAL, INC. Equity0.00%$10,121,126
PUNJAB NATIONAL BANK Equity0.00%$10,067,238
CEMEX SAB DE CV Equity0.00%$10,046,532
DUBAI ISLAMIC BANK PJSC Equity0.00%$10,033,514
PHILLIPS 66 Equity0.00%$10,025,530
Alcidion Group Ltd Equity0.00%$9,992,529
VEOLIA ENVIRONNEMENT SA Fixed Income0.00%$9,980,335
AMERICAN TOWER CORP. Fixed Income0.00%$9,974,498
PRPM 2024-RPL2 LLC Fixed Income0.00%$9,970,833
INDUSTRIA DE DISENO TEXTIL SA Equity0.00%$9,966,095
KDDI CORP. Equity0.00%$9,963,537
DOORDASH, INC. Equity0.00%$9,942,737
Deutsche Bank AG/New York NY Fixed Income0.00%$9,931,656
UNION PACIFIC CORP. Fixed Income0.00%$9,892,629
SLM Private Credit Student Loan Trust 2006-B Fixed Income0.00%$9,876,947
ESSENTIAL UTILITIES, INC. Equity0.00%$9,876,015
HERSHEY CO. Equity0.00%$9,861,535
Williams Cos Inc/The Fixed Income0.00%$9,855,662
Heathrow Funding Ltd Fixed Income0.00%$9,836,998
RCKT Mortgage Trust 2025-1 Fixed Income0.00%$9,775,096
BX Trust 2025-GW Fixed Income0.00%$9,744,713
DAI-ICHI LIFE HOLDINGS, INC. Equity0.00%$9,730,258
PINNACLE WEST CAPITAL CORP. Equity0.00%$9,703,912
Viridium Group Sarl Fixed Income0.00%$9,701,162
BIM BIRLESIK MAGAZALAR AS Equity0.00%$9,689,331
INDUSTRIAL BANK OF KOREA Equity0.00%$9,669,033
MANULIFE FINANCIAL CORP. Fixed Income0.00%$9,666,493
TIM SA Equity0.00%$9,648,437
Dt Midstream Inc Fixed Income0.00%$9,638,637
JP Morgan Securities LLC CashGBP0.00%$9,627,001
Anglian Water Osprey Financing PLC Fixed Income0.00%$9,623,597
Sartorius Finance BV Fixed Income0.00%$9,613,192
Judo Capital Markets Trust 2023-1 Fixed Income0.00%$9,573,866
ITC Hotels Ltd Equity0.00%$9,572,129
MARTIN MARIETTA MATERIALS, INC. Equity0.00%$9,550,002
FISERV, INC. Fixed Income0.00%$9,505,110
Highwoods Realty LP Fixed Income0.00%$9,493,235
RAYMOND JAMES FINANCIAL, INC. Equity0.00%$9,485,919
KIMBERLY-CLARK DE MEXICO SAB DE CV Equity0.00%$9,446,374
NUCOR CORP. Equity0.00%$9,444,127
Jeronimo Funding DAC Fixed Income0.00%$9,427,395
SINOTRUK HONG KONG LTD. Equity0.00%$9,424,969
SOMPO HOLDINGS, INC. Equity0.00%$9,390,088
CHAMBAL FERTILISERS & CHEMICALS LTD. Equity0.00%$9,387,220
BUPA Finance PLC Fixed Income0.00%$9,379,452
DEXUS FINANCE PTY LTD Fixed Income0.00%$9,359,293
Wynnton Funding Trust Fixed Income0.00%$9,317,561
JP Morgan Mortgage Trust 2024-INV1 Fixed Income0.00%$9,316,032
Dow Chemical Co/The Fixed Income0.00%$9,308,830
ADATA Technology Co Ltd Equity0.00%$9,288,049
STATE STREET CORP. Equity0.00%$9,259,306
HILTON WORLDWIDE HOLDINGS, INC. Equity0.00%$9,232,398
Flutter Treasury DAC Fixed Income0.00%$9,213,786
PIRAEUS BANK SA Fixed Income0.00%$9,204,964
EVERSOURCE ENERGY Fixed Income0.00%$9,190,686
AMP LTD. Equity0.00%$9,176,190
Castlelake Aircraft Structured Trust 2025-2 Fixed Income0.00%$9,158,164
ISUZU MOTORS LTD. Equity0.00%$9,126,568
MS&AD INSURANCE GROUP HOLDINGS, INC. Equity0.00%$9,120,201
ADIDAS AG Equity0.00%$9,112,259
Freddie Mac Seasoned Credit Risk Transfer Trust Series 2020-2 Fixed Income0.00%$9,099,324
BUNGE GLOBAL SA Equity0.00%$9,083,996
Bank of India Equity0.00%$9,068,637
AMMB HOLDINGS BHD. Equity0.00%$9,045,186
NATIONAL GRID PLC Equity0.00%$9,019,175
AIRBNB, INC. Equity0.00%$9,014,004
HANA FINANCIAL GROUP, INC. Equity0.00%$9,002,829
SK TELECOM CO. LTD. Equity0.00%$8,985,663
Bimbo Bakeries USA Inc Fixed Income0.00%$8,985,177
Republic of Korea Fixed Income0.00%$8,979,443
3I GROUP PLC Equity0.00%$8,978,415
CENCOSUD SA Equity0.00%$8,965,959
Sage AR Funding 2021 Holdings Ltd Fixed Income0.00%$8,931,358
WISTRON CORP. Equity0.00%$8,931,142
TRACTOR SUPPLY CO. Equity0.00%$8,931,121
KINROSS GOLD CORP. Equity0.00%$8,858,519
GAIL INDIA LTD. Equity0.00%$8,857,750
Nido Education Ltd Equity0.00%$8,849,108
BLOCK, INC. Equity0.00%$8,847,395
Coca-Cola Icecek As Equity0.00%$8,828,328
Kingdom of Norway Fixed Income0.00%$8,828,301
Amprion GmbH Fixed Income0.00%$8,824,770
ORL Trust 2024-GLKS Fixed Income0.00%$8,817,587
GREAT-WEST LIFECO, INC. Equity0.00%$8,813,185
Citigroup Mortgage Loan Trust 2025-2 Fixed Income0.00%$8,804,788
Foxsemicon Integrated Technology Inc Equity0.00%$8,801,278
ZHEN DING TECHNOLOGY HOLDING LTD. Equity0.00%$8,800,960
Enel Finance International NV Fixed Income0.00%$8,800,088
Svensk Exportkredit AB Fixed Income0.00%$8,796,088
AUCKLAND INTERNATIONAL AIRPORT LTD. Fixed Income0.00%$8,771,581
DOLLARAMA, INC. Equity0.00%$8,770,930
SWISS LIFE HOLDING AG Equity0.00%$8,765,273
Lendlease Group Property0.00%$8,759,198
MITSUBISHI CORP. Equity0.00%$8,718,862
PSEG Power LLC Fixed Income0.00%$8,717,742
KENVUE, INC. Equity0.00%$8,661,905
CANADIAN IMPERIAL BANK OF COMMERCE Equity0.00%$8,657,411
MITSUI & CO. LTD. Equity0.00%$8,649,868
Volksbank Wien AG Fixed Income0.00%$8,646,766
VODACOM GROUP LTD. Equity0.00%$8,646,308
Berkeley Group Holdings Plc Equity0.00%$8,597,282
FirstMac Mortgage Funding Trust No.4 Series Eagle No 4 Fixed Income0.00%$8,580,569
PERNOD RICARD SA Fixed Income0.00%$8,574,571
BRED Banque Populaire CashSEK0.00%$8,572,214
Orion Trust 2023-1 Fixed Income0.00%$8,567,332
STANDARD BANK GROUP LTD. Equity0.00%$8,559,928
JSW ENERGY LTD. Equity0.00%$8,544,791
Rate Mortgage Trust 205-J1 Fixed Income0.00%$8,526,781
XYLEM, INC. Equity0.00%$8,476,054
EMD Finance LLC Fixed Income0.00%$8,448,719
COMPAL ELECTRONICS, INC. Equity0.00%$8,447,361
Hengan International Group Company Ltd Equity0.00%$8,442,399
NORSK HYDRO ASA Equity0.00%$8,423,250
JPMorgan Chase Bank NA Cash0.00%$8,397,489
DARDEN RESTAURANTS, INC. Equity0.00%$8,393,266
Kraft Heinz Foods Co Fixed Income0.00%$8,393,107
JOYY, INC. Equity0.00%$8,391,664
GLP Capital LP / GLP Financing II Inc Fixed Income0.00%$8,387,601
COINBASE GLOBAL, INC. Equity0.00%$8,372,904
AUCKLAND INTERNATIONAL AIRPORT LTD. Equity0.00%$8,370,252
CAPRICORN METALS LTD. Equity0.00%$8,367,643
Taurus 2020-1 NL DAC Fixed Income0.00%$8,356,337
Naturgy Energy Group Sa Equity0.00%$8,345,490
VIA Outlets BV Fixed Income0.00%$8,338,000
COCA-COLA FEMSA SAB DE CV Alternatives0.00%$8,321,730
CARRIER GLOBAL CORP. Equity0.00%$8,315,479
RAMSAY HEALTH CARE LTD. Equity0.00%$8,312,883
Rate Mortgage Trust 2024-J4 Fixed Income0.00%$8,304,968
SANDOZ GROUP AG Equity0.00%$8,298,221
Council Of Europe Development Bank Fixed Income0.00%$8,284,333
SINGAPORE AIRLINES LTD. Equity0.00%$8,245,880
LONZA GROUP AG Equity0.00%$8,230,819
CELESTICA, INC. Equity0.00%$8,205,695
Commonwealth Edison Co Fixed Income0.00%$8,187,082
Prologis Euro Finance LLC Fixed Income0.00%$8,185,388
TARGA RESOURCES CORP. Fixed Income0.00%$8,177,027
HELLENIC TELECOMMUNICATIONS ORGANIZATION SA Equity0.00%$8,156,963
EXPERIAN PLC Equity0.00%$8,143,423
EVA AIRWAYS CORP. Equity0.00%$8,134,549
OTSUKA HOLDINGS CO. LTD. Equity0.00%$8,130,461
ZHEJIANG EXPRESSWAY CO. LTD. Equity0.00%$8,125,171
Freddie Mac Seasoned Credit Risk Transfer Trust Series 2020-3 Fixed Income0.00%$8,110,937
BLOCK, INC. Equity0.00%$8,099,817
GENERAL MILLS, INC. Equity0.00%$8,098,521
FHF Issuer Trust 2024-3 Fixed Income0.00%$8,048,345
Simplo Technology Co Ltd Equity0.00%$8,047,523
DB INSURANCE CO. LTD. Equity0.00%$8,038,434
Chase Home Lending Mortgage Trust Series 2024-7 Fixed Income0.00%$8,038,072
Sakura Internet Inc Equity0.00%$8,033,706
KT CORP. Equity0.00%$8,031,161
WOORI FINANCIAL GROUP, INC. Equity0.00%$8,016,181
CARRIER GLOBAL CORP. Fixed Income0.00%$7,999,617
Panorama Auto Trust 2023-3 Fixed Income0.00%$7,998,878
Dyne Therapeutics Inc Equity0.00%$7,995,949
HEWLETT PACKARD ENTERPRISE CO. Equity0.00%$7,989,775
SOFI TECHNOLOGIES, INC. Equity0.00%$7,989,412
COWAY CO. LTD. Equity0.00%$7,987,855
Pavillion Consumer 2025-1 PLC Fixed Income0.00%$7,983,218
AEP Texas Inc Fixed Income0.00%$7,977,995
Kunlun Energy Company Ltd Equity0.00%$7,950,981
JP Morgan Securities LLC CashNZD0.00%$7,940,966
HOYA CORP. Equity0.00%$7,939,039
A&D Mortgage Trust 2024-NQM2 Fixed Income0.00%$7,907,702
MERCK & CO., INC. Fixed Income0.00%$7,865,792
AS Mileage Plan IP Ltd Fixed Income0.00%$7,862,412
Southwestern Public Service Co Fixed Income0.00%$7,849,941
BROADRIDGE FINANCIAL SOLUTIONS, INC. Equity0.00%$7,841,083
Boston Gas Co Fixed Income0.00%$7,828,166
AES Corp/The Fixed Income0.00%$7,823,019
HUMANA, INC. Equity0.00%$7,817,013
Metro Finance 2023-2 Trust Fixed Income0.00%$7,806,699
META PLATFORMS, INC. Fixed Income0.00%$7,783,200
HINDUSTAN PETROLEUM CORP. LTD. Equity0.00%$7,773,493
Danske Bank A/S Equity0.00%$7,772,023
Panorama Auto Trust 2024-1 Fixed Income0.00%$7,756,152
CAIXABANK SA Fixed Income0.00%$7,745,126
KOREA ELECTRIC POWER CORP. Equity0.00%$7,740,373
HANKOOK TIRE & TECHNOLOGY CO. LTD. Equity0.00%$7,738,723
MURRAY COD AUSTRALIA LTD. Equity0.00%$7,730,115
Markel Corp Equity0.00%$7,709,528
AUTOZONE, INC. Equity0.00%$7,698,912
Tiger Brands Ltd Equity0.00%$7,697,129
Aon North America Inc Fixed Income0.00%$7,695,016
General Insurance Corp of India Equity0.00%$7,685,343
TAKEDA PHARMACEUTICAL CO. LTD. Equity0.00%$7,685,289
Toronto-Dominion Bank/The Fixed Income0.00%$7,676,567
Oil India Ltd Equity0.00%$7,674,053
RWE Finance US LLC Fixed Income0.00%$7,673,439
BANCO DO BRASIL SA Equity0.00%$7,638,414
XCEL ENERGY, INC. Fixed Income0.00%$7,624,607
CPFL ENERGIA SA Equity0.00%$7,612,323
ALCON AG Equity0.00%$7,610,788
Radian Mortgage Capital Trust 2025-J3 Fixed Income0.00%$7,604,656
AMEREN CORP. Fixed Income0.00%$7,594,355
Compagnie Generale Des Etablissements Michelin Sca Equity0.00%$7,568,983
Cassia 2022-1 SRL Fixed Income0.00%$7,524,966
RWE AG Equity0.00%$7,522,707
ANGLO AMERICAN PLC Equity0.00%$7,518,792
W.R. BERKLEY CORP. Equity0.00%$7,511,137
MERCIALYS SA Fixed Income0.00%$7,499,438
Northumbrian Water Finance PLC Fixed Income0.00%$7,498,582
PPG INDUSTRIES, INC. Equity0.00%$7,480,343
American Airlines Inc Fixed Income0.00%$7,472,186
LG UPLUS CORP. Equity0.00%$7,452,937
CUBESMART Fixed Income0.00%$7,439,256
RHB BANK BHD. Equity0.00%$7,425,600
CK ASSET HOLDINGS LTD. Equity0.00%$7,422,902
Anhui Expressway Co Ltd Equity0.00%$7,418,442
CLEANAWAY WASTE MANAGEMENT LTD. Equity0.00%$7,415,892
AMADEUS IT GROUP SA Equity0.00%$7,407,551
Sylvamo Corp Equity0.00%$7,317,739
MITSUBISHI ELECTRIC CORP. Equity0.00%$7,311,214
Sutter Health Fixed Income0.00%$7,309,928
UNITED THERAPEUTICS CORP. Equity0.00%$7,299,248
Santander Residential 1 FT Fixed Income0.00%$7,299,138
BPCE SFH SA Fixed Income0.00%$7,289,956
GS Mortgage Securities Corp Trust 2024-MARK Fixed Income0.00%$7,289,363
Hyundai Capital America Fixed Income0.00%$7,272,937
MITSUBISHI CHEMICAL GROUP CORP. Equity0.00%$7,271,616
Energy Of Minas Gerais Co Equity0.00%$7,237,236
WILLIAMS-SONOMA, INC. Equity0.00%$7,237,039
KOMERCNI BANKA AS Equity0.00%$7,216,942
MAGNA INTERNATIONAL, INC. Equity0.00%$7,204,134
VULCAN MATERIALS CO. Equity0.00%$7,201,948
BANK OF COMMUNICATIONS CO. LTD. Equity0.00%$7,197,254
AMERICAN ELECTRIC POWER CO., INC. Fixed Income0.00%$7,174,424
HALEON PLC Equity0.00%$7,173,973
UCB SA Equity0.00%$7,126,734
DANONE SA Equity0.00%$7,126,259
Freddie Mac Seasoned Credit Risk Transfer Trust Series 2018-3 Fixed Income0.00%$7,116,300
DataBank Issuer II LLC Fixed Income0.00%$7,111,217
Household Capital 2025-1 RMBS Fixed Income0.00%$7,109,556
JPMorgan Chase Bank NA Cash0.00%$7,087,961
Taurus 2024-1PP Trust Fixed Income0.00%$7,077,510
TEXTRON, INC. Equity0.00%$7,074,357
HEWLETT PACKARD ENTERPRISE CO. Fixed Income0.00%$7,048,488
KIMBERLY-CLARK CORP. Equity0.00%$7,041,915
DIAMONDBACK ENERGY, INC. Equity0.00%$7,020,334
LONDON STOCK EXCHANGE GROUP PLC Equity0.00%$7,008,735
Pfizer Netherlands International Finance BV Fixed Income0.00%$7,008,618
American Medical Systems Europe BV Fixed Income0.00%$6,999,523
CHINA FEIHE LTD. Equity0.00%$6,975,520
OVERSEA-CHINESE BANKING CORP. LTD. Equity0.00%$6,974,431
LIVE NATION ENTERTAINMENT, INC. Equity0.00%$6,962,020
NN GROUP NV Equity0.00%$6,958,677
IDS Financing PLC Fixed Income0.00%$6,937,712
KLEPIERRE SA Fixed Income0.00%$6,936,812
LAS VEGAS SANDS CORP. Equity0.00%$6,925,123
DIAGEO PLC Equity0.00%$6,915,920
Cooperatieve Rabobank UA Fixed Income0.00%$6,907,457
DOVER CORP. Equity0.00%$6,903,432
Freddie Mac Seasoned Credit Risk Transfer Trust Series 2020-1 Fixed Income0.00%$6,899,091
BAJAJ FINSERV LTD. Equity0.00%$6,883,561
SUMITOMO MITSUI FINANCIAL GROUP, INC. Fixed Income0.00%$6,880,973
VERALTO CORP. Equity0.00%$6,872,032
Republic of Indonesia Fixed Income0.00%$6,850,442
AMPHENOL CORP. Fixed Income0.00%$6,836,576
Hipages Group Holdings Ltd Equity0.00%$6,828,516
COMMERZBANK AG Equity0.00%$6,826,996
CBOE GLOBAL MARKETS, INC. Equity0.00%$6,815,922
AGILENT TECHNOLOGIES, INC. Equity0.00%$6,806,268
WORKDAY, INC. Equity0.00%$6,805,858
EQUIFAX, INC. Equity0.00%$6,800,189
LIC HOUSING FINANCE LTD. Equity0.00%$6,780,498
Sinotrans Ltd Equity0.00%$6,759,374
RTE Reseau de Transport d'Electricite SADIR Fixed Income0.00%$6,745,491
MIZRAHI TEFAHOT BANK LTD. Equity0.00%$6,733,295
PILGRIM'S PRIDE CORP. Fixed Income0.00%$6,732,910
BF 2019-NYT Mortgage Trust Fixed Income0.00%$6,728,355
Vmed O2 UK Financing I PLC Fixed Income0.00%$6,726,661
BT GROUP PLC Equity0.00%$6,719,844
WEICHAI POWER CO. LTD. Equity0.00%$6,716,996
FUJITSU LTD. Equity0.00%$6,703,216
Coal India Ltd Equity0.00%$6,686,604
MTR CORP. LTD. Equity0.00%$6,679,209
TOURMALINE OIL CORP. Equity0.00%$6,674,156
NETWEALTH GROUP LTD. Equity0.00%$6,668,228
Shurgard Luxembourg Sarl Fixed Income0.00%$6,665,822
Household Capital 2024-1 RMBS Fixed Income0.00%$6,662,120
Red Electrica Corporacion Sa Equity0.00%$6,640,500
ENI SPA Equity0.00%$6,636,698
LI NING CO. LTD. Equity0.00%$6,633,449
ROYAL BANK OF CANADA CashGBP0.00%$6,632,357
Firstmac Mortgage Funding Trust NO 4 Series 2023-1 Fixed Income0.00%$6,612,033
Tokyo Electric Power Company Holdings Inc Equity0.00%$6,605,126
BDO UNIBANK, INC. Equity0.00%$6,581,612
CELESTICA, INC. Equity0.00%$6,573,555
NEC CORP. Equity0.00%$6,571,343
NRW Bank Fixed Income0.00%$6,540,688
A1 Towers Holding GmbH Fixed Income0.00%$6,538,658
COSTAR GROUP, INC. Equity0.00%$6,518,993
VERISK ANALYTICS, INC. Equity0.00%$6,489,066
CINCINNATI FINANCIAL CORP. Equity0.00%$6,486,429
KEURIG DR. PEPPER, INC. Equity0.00%$6,482,704
DTE ENERGY CO. Fixed Income0.00%$6,463,574
VIBRA ENERGIA SA Equity0.00%$6,454,152
DEUTSCHE BANK AG Equity0.00%$6,444,415
CNH INDUSTRIAL NV Equity0.00%$6,413,932
EID PARRY INDIA LTD. Equity0.00%$6,413,306
Db Hitek Co Ltd Equity0.00%$6,404,963
KEYSIGHT TECHNOLOGIES, INC. Equity0.00%$6,397,598
HEINEKEN HOLDING NV Equity0.00%$6,396,987
EXELON CORP. Fixed Income0.00%$6,394,419
AerCap Ireland Capital DAC / AerCap Global Aviation Trust Fixed Income0.00%$6,383,651
TotalEnergies Capital International SA Fixed Income0.00%$6,370,440
PRPM 2025-RCF1 LLC Fixed Income0.00%$6,360,644
Volkswagen International Finance NV Fixed Income0.00%$6,359,722
HEINEKEN NV Fixed Income0.00%$6,352,371
UNIVERSAL MUSIC GROUP NV Equity0.00%$6,343,064
Duke Energy Florida LLC Fixed Income0.00%$6,337,379
Taurus 2025-2 Trust Fixed Income0.00%$6,331,584
HUATAI SECURITIES CO. LTD. Equity0.00%$6,327,494
Danfoss Finance II BV Fixed Income0.00%$6,322,022
MPLX LP Fixed Income0.00%$6,321,924
SOFTBANK CORP. Equity0.00%$6,312,990
ACM Auto Trust 2025-1 Fixed Income0.00%$6,309,397
Italgas Spa Equity0.00%$6,306,496
Redington Ltd Equity0.00%$6,284,830
TELENOR ASA Fixed Income0.00%$6,284,629
JPMorgan Chase Bank NA Cash0.00%$6,267,611
AMUNDI SA Equity0.00%$6,264,925
JPMorgan Chase Bank NA CashNZD0.00%$6,261,576
AP Eagers Limited Equity0.00%$6,250,691
Brixmor Operating Partnership LP Fixed Income0.00%$6,246,346
ELIA GROUP SA Equity0.00%$6,237,140
Kiatnakin Phatra Bank Pcl Equity0.00%$6,225,356
INTESA SANPAOLO SPA Fixed Income0.00%$6,222,713
CARLYLE GROUP, INC. Equity0.00%$6,216,485
ASSOCIATED BRITISH FOODS PLC Equity0.00%$6,200,350
DAI NIPPON PRINTING CO. LTD. Equity0.00%$6,193,464
ERSTE GROUP BANK AG Fixed Income0.00%$6,187,546
NEXI SPA Equity0.00%$6,183,024
INTERCONTINENTAL EXCHANGE, INC. Fixed Income0.00%$6,178,340
PUBLICIS GROUPE SA Equity0.00%$6,178,219
FIRST SOLAR, INC. Equity0.00%$6,169,521
BANK NEGARA INDONESIA PERSERO TBK. PT Equity0.00%$6,167,534
Vantage Data Centers Germany Borrower Lux Sarl Fixed Income0.00%$6,161,540
SEVEN & I HOLDINGS CO. LTD. Equity0.00%$6,155,068
HUBBELL, INC. Equity0.00%$6,148,277
PARTNERS GROUP HOLDING AG Equity0.00%$6,144,399
NEDBANK GROUP LTD. Equity0.00%$6,143,762
Kite Realty Group LP Fixed Income0.00%$6,142,805
FERRARI NV Equity0.00%$6,120,450
Sequoia Mortgage Trust 2025-8 Fixed Income0.00%$6,117,594
EDP SA Fixed Income0.00%$6,104,293
CAPGEMINI SE Equity0.00%$6,083,725
PRPM 2024-RCF4 LLC Fixed Income0.00%$6,083,173
CFMT 2024-R1 LLC Fixed Income0.00%$6,082,388
PRPM 2024-RCF3 LLC Fixed Income0.00%$6,079,756
PROSUS NV Fixed Income0.00%$6,079,605
MONGODB, INC. Equity0.00%$6,077,447
MSCI, INC. Equity0.00%$6,073,508
JPMorgan Chase Bank NA CashNOK0.00%$6,065,045
Arcadyan Technology Corp Equity0.00%$6,061,542
TELEDYNE TECHNOLOGIES, INC. Equity0.00%$6,040,486
Prologis Targeted US Logistics Fund LP Fixed Income0.00%$6,029,426
GILDAN ACTIVEWEAR, INC. Fixed Income0.00%$6,018,384
AEROPORTS DE PARIS SA Equity0.00%$6,015,388
ENEOS HOLDINGS, INC. Equity0.00%$6,014,909
BUNZL PLC Equity0.00%$5,990,553
City of New York NY Fixed Income0.00%$5,954,383
ROYAL CARIBBEAN CRUISES LTD. Fixed Income0.00%$5,946,115
Chesapeake Energy Corp Equity0.00%$5,930,747
Santander Drive Auto Receivables Trust 2025-4 Fixed Income0.00%$5,917,925
GETLINK SE Equity0.00%$5,903,418
TAKE-TWO INTERACTIVE SOFTWARE, INC. Equity0.00%$5,898,304
TELEFONAKTIEBOLAGET LM ERICSSON Equity0.00%$5,894,546
QUALCOMM, INC. Fixed Income0.00%$5,889,892
JOHNSON & JOHNSON Fixed Income0.00%$5,862,382
ASR NEDERLAND NV Equity0.00%$5,855,224
EMBOTELLADORA ANDINA SA Equity0.00%$5,850,914
CESC Ltd Equity0.00%$5,832,380
PACKAGING CORP. OF AMERICA Equity0.00%$5,817,484
BEIJING ENTERPRISES HOLDINGS LTD. Equity0.00%$5,813,330
KEURIG DR. PEPPER, INC. Fixed Income0.00%$5,811,719
Lonking Holdings Ltd Equity0.00%$5,811,701
Unilever Finance Netherlands BV Fixed Income0.00%$5,810,928
Shell Finance US Inc Fixed Income0.00%$5,810,303
ZTE CORP. Equity0.00%$5,804,621
Zoom Video Communications Inc Equity0.00%$5,792,322
BNK FINANCIAL GROUP, INC. Equity0.00%$5,786,894
Banna RMBS DAC Fixed Income0.00%$5,785,234
CHONGQING RURAL COMMERCIAL BANK CO. LTD. Equity0.00%$5,768,258
REXEL SA Equity0.00%$5,759,429
SEIBU HOLDINGS, INC. Equity0.00%$5,747,155
A&D Mortgage Trust 2023-NQM4 Fixed Income0.00%$5,744,798
MONOLITHIC POWER SYSTEMS, INC. Equity0.00%$5,744,588
ABSA GROUP LTD. Equity0.00%$5,744,426
OTIS WORLDWIDE CORP. Equity0.00%$5,731,116
GETAC HOLDINGS CORP. Equity0.00%$5,728,894
Verallia SA Fixed Income0.00%$5,715,993
GEBERIT AG Equity0.00%$5,710,186
VOLKSWAGEN AG Equity0.00%$5,705,948
PRPM 2025-RPL4 LLC Fixed Income0.00%$5,700,830
Northgate Capital Equity0.00%$5,693,869
Everlight Electronics Co Ltd Equity0.00%$5,686,981
Arizona Public Service Co Fixed Income0.00%$5,676,058
Taurus 2025-3 UK Designated Activity Co Fixed Income0.00%$5,661,483
COMPEQ MANUFACTURING CO. LTD. Equity0.00%$5,637,655
Holding d'Infrastructures des Metiers de l'Environnement SAS Fixed Income0.00%$5,629,388
Vermilion Bond Trust 2023 in respect of Series 1 Fixed Income0.00%$5,625,879
WASTE MANAGEMENT, INC. Fixed Income0.00%$5,625,458
Medco Energi Internasional Tbk PT Equity0.00%$5,621,143
3SBIO, INC. Equity0.00%$5,618,031
OOREDOO QPSC Equity0.00%$5,608,344
Sinopec Engineering Group Co Ltd Equity0.00%$5,604,308
Ford Motor Credit Co LLC Fixed Income0.00%$5,589,490
TEXAS PACIFIC LAND CORP. Equity0.00%$5,581,015
FIRSTMAC MORTGAGE FUNDING TRUST NO. 4 SERIES 2024-3PP Fixed Income0.00%$5,562,395
HONDA MOTOR CO. LTD. Equity0.00%$5,560,817
Liberty Media Corp Equity0.00%$5,558,057
PRPM 2024-RCF2 LLC Fixed Income0.00%$5,554,072
FUJIKURA LTD. Equity0.00%$5,551,460
MICROCHIP TECHNOLOGY, INC. Equity0.00%$5,543,759
RAMSAY HEALTH CARE LTD. Fixed Income0.00%$5,539,815
WHEATON PRECIOUS METALS CORP. Equity0.00%$5,536,893
Chase Home Lending Mortgage Trust 2024-10 Fixed Income0.00%$5,529,204
ACM Auto Trust 2023-2 Fixed Income0.00%$5,527,872
ASM INTERNATIONAL NV Equity0.00%$5,526,781
Flughafen Zuerich Ag Equity0.00%$5,518,791
DTE ENERGY CO. Equity0.00%$5,516,529
ARC RESOURCES LTD. Equity0.00%$5,510,034
Hess Midstream Operations LP Fixed Income0.00%$5,506,574
DAIKIN INDUSTRIES LTD. Equity0.00%$5,499,152
CenterPoint Energy Houston Electric LLC Fixed Income0.00%$5,478,015
ORIX CORP. Equity0.00%$5,475,372
TAPESTRY, INC. Equity0.00%$5,473,776
SUMITOMO ELECTRIC INDUSTRIES LTD. Equity0.00%$5,473,721
IMMOBILIARE GRANDE DISTRIBUZIONE SIIQ SPA Fixed Income0.00%$5,467,373
Pnm Resources Inc Equity0.00%$5,455,177
CHUGAI PHARMACEUTICAL CO. LTD. Equity0.00%$5,445,900
THANACHART CAPITAL PCL Equity0.00%$5,440,978
E-MAC Program BV Fixed Income0.00%$5,437,765
TWILIO, INC. Equity0.00%$5,434,358
Westfield Stratford City Finance NO 2 PLC Fixed Income0.00%$5,433,910
MIZUHO FINANCIAL GROUP, INC. Fixed Income0.00%$5,430,896
WSP GLOBAL, INC. Equity0.00%$5,427,854
SS&C TECHNOLOGIES HOLDINGS, INC. Equity0.00%$5,427,677
China Medical System Holdings Ltd Equity0.00%$5,426,532
TREASURY WINE ESTATES LTD. Equity0.00%$5,423,059
PEPSICO, INC. Fixed Income0.00%$5,407,000
ONNI Commerical Mortgage Trust 2024-APT Fixed Income0.00%$5,399,877
PENTAIR PLC Equity0.00%$5,397,548
SOUTHWEST AIRLINES CO. Equity0.00%$5,397,163
KONE OYJ Equity0.00%$5,395,655
ABN AMRO BANK NV Equity0.00%$5,391,294
Welltower OP LLC Fixed Income0.00%$5,387,660
Eurogrid GmbH Fixed Income0.00%$5,384,493
ERAC USA Finance LLC Fixed Income0.00%$5,375,995
PNC Financial Services Group Inc/The Fixed Income0.00%$5,359,506
Aldar Investment Properties Sukuk Ltd Fixed Income0.00%$5,353,293
FUFENG GROUP LTD. Equity0.00%$5,332,607
KEYCORP Equity0.00%$5,301,286
LG CORP. Equity0.00%$5,294,727
KYUSHU ELECTRIC POWER CO., INC. Equity0.00%$5,289,003
ORION OYJ Equity0.00%$5,286,785
LABCORP HOLDINGS, INC. Equity0.00%$5,280,352
DEUTSCHE TELEKOM AG Fixed Income0.00%$5,272,231
FirstMac Mortgage Funding Trust No.4 Series Eagle No.1 Fixed Income0.00%$5,271,568
WASTE CONNECTIONS, INC. Equity0.00%$5,264,142
Zip Master Trust Series 2024-2 Fixed Income0.00%$5,263,340
Thai Beverage Pcl Equity0.00%$5,259,425
QUEST DIAGNOSTICS, INC. Equity0.00%$5,242,736
CAPITAL ONE FINANCIAL CORP. Fixed Income0.00%$5,233,769
South Bow Corp Equity0.00%$5,232,243
JD SPORTS FASHION PLC Equity0.00%$5,228,305
TransCanada PipeLines Ltd Fixed Income0.00%$5,228,127
FAR EAST HORIZON LTD. Equity0.00%$5,226,552
CK INFRASTRUCTURE HOLDINGS LTD. Equity0.00%$5,219,220
TECK RESOURCES LTD. Equity0.00%$5,208,145
LG INNOTEK CO. LTD. Equity0.00%$5,192,639
Us Foods Holding Corp Equity0.00%$5,176,602
Novozymes A/S Equity0.00%$5,170,738
PENN Commercial Mortgage Trust 2025-P11 Fixed Income0.00%$5,165,151
Exeter Automobile Receivables Trust 2025-5 Fixed Income0.00%$5,134,640
RAIFFEISEN BANK INTERNATIONAL AG Equity0.00%$5,134,515
Magnum Ice Cream Co NV/The Equity0.00%$5,122,893
International Distribution Services PLC Fixed Income0.00%$5,120,954
GENUINE PARTS CO. Equity0.00%$5,116,387
INGERSOLL RAND, INC. Equity0.00%$5,090,478
Piedmont Operating Partnership LP Fixed Income0.00%$5,087,586
JBS USA Holding Lux Sarl/ JBS USA Food Co/ JBS Lux Co Sarl Fixed Income0.00%$5,082,201
Radiant Opto-Electronics Corp Equity0.00%$5,070,975
DEUTSCHE BANK AG Equity0.00%$5,059,988
PRUDENTIAL PLC Equity0.00%$5,058,872
HYT Commercial Mortgage Trust 2024-RGCY Fixed Income0.00%$5,051,602
ORANGE POLSKA SA Equity0.00%$5,027,850
SSE PLC Equity0.00%$5,002,316
Portland General Electric Co Equity0.00%$5,001,376
Gujarat State Fertilizers & Chemicals Ltd Equity0.00%$4,996,980
Lugo Funding DAC Fixed Income0.00%$4,990,236
HOLOGIC, INC. Equity0.00%$4,980,593
Brookfield Infrastructure Corp Equity0.00%$4,977,832
AEGON LTD. Equity0.00%$4,972,892
Nexteer Automotive Group Ltd Equity0.00%$4,966,465
TERADYNE, INC. Equity0.00%$4,965,049
SWIRE PACIFIC LTD. Equity0.00%$4,964,569
AEON CO. LTD. Equity0.00%$4,962,757
ELEMENT FLEET MANAGEMENT CORP. Equity0.00%$4,959,898
SciDev Ltd Equity0.00%$4,947,905
GARMIN LTD. Equity0.00%$4,936,713
LENNOX INTERNATIONAL, INC. Equity0.00%$4,929,598
JPMorgan Chase Bank NA Cash0.00%$4,922,965
ASSA ABLOY AB Equity0.00%$4,914,954
Southern Co Gas Capital Corp Fixed Income0.00%$4,906,829
TRIMBLE, INC. Equity0.00%$4,900,266
SAMSUNG SDS CO. LTD. Equity0.00%$4,895,180
BRIDGESTONE CORP. Equity0.00%$4,890,709
ROGERS COMMUNICATIONS, INC. Fixed Income0.00%$4,885,954
Zee Entertainment Enterprises Ltd Equity0.00%$4,869,337
Deutsche Bahn AG Fixed Income0.00%$4,868,397
FLEX LTD. Equity0.00%$4,868,358
SLM Student Loan Trust Fixed Income0.00%$4,858,563
BAYERISCHE MOTOREN WERKE AG Equity0.00%$4,840,692
PRET 2025-RPL3 Trust Fixed Income0.00%$4,831,927
Mansard Mortgages 2007-2 PLC Fixed Income0.00%$4,831,613
LEGAL & GENERAL GROUP PLC Equity0.00%$4,829,481
DEUTSCHE LUFTHANSA AG Equity0.00%$4,822,314
Genius Electronic Optical Co Ltd Equity0.00%$4,820,244
INTERNATIONAL PAPER CO. Equity0.00%$4,816,596
FRANCO-NEVADA CORP. Equity0.00%$4,789,330
Power Grid Corporation Of India Ltd Equity0.00%$4,783,412
Us Bancorp Fixed Income0.00%$4,779,812
ENGIE SA Fixed Income0.00%$4,775,542
Citigroup Mortgage Loan Trust 2024-1 Fixed Income0.00%$4,763,521
SIMON PROPERTY GROUP, INC. Fixed Income0.00%$4,735,517
Navigator 2024-1 Aviation Ltd Fixed Income0.00%$4,735,192
DOLLAR TREE, INC. Equity0.00%$4,731,629
HIKMA PHARMACEUTICALS PLC Equity0.00%$4,729,987
Solaris Trust 2024-1 Fixed Income0.00%$4,728,503
Sun Tv Network Ltd Equity0.00%$4,725,028
CommonSpirit Health Fixed Income0.00%$4,720,031
Trajan Group Holdings Ltd Equity0.00%$4,713,564
A&D Mortgage Trust 2023-NQM2 Fixed Income0.00%$4,709,068
SKANDINAVISKA ENSKILDA BANKEN AB Equity0.00%$4,702,992
ASTELLAS PHARMA, INC. Equity0.00%$4,698,661
BANCA MONTE DEI PASCHI DI SIENA SPA Equity0.00%$4,685,675
NUTRIEN LTD. Equity0.00%$4,669,336
Ascension Health Fixed Income0.00%$4,668,615
GIVAUDAN SA Equity0.00%$4,652,685
MARUBENI CORP. Equity0.00%$4,636,323
Highways 2021 PLC Fixed Income0.00%$4,634,117
METCASH LTD. Equity0.00%$4,624,532
BFLD 2024-VICT Mortgage Trust Fixed Income0.00%$4,601,926
NE Property BV Fixed Income0.00%$4,587,974
Black Hills Corp Equity0.00%$4,587,440
MITSUBISHI HC CAPITAL, INC. Equity0.00%$4,570,071
KERING SA Equity0.00%$4,567,957
LYB International Finance III LLC Fixed Income0.00%$4,563,177
PERUSAHAAN GAS NEGARA TBK. PT Equity0.00%$4,553,341
Taurus 2023-1 Trust Fixed Income0.00%$4,549,880
SANDVIK AB Equity0.00%$4,548,801
HANNOVER RUECK SE Equity0.00%$4,546,897
Eaton Capital ULC Fixed Income0.00%$4,545,936
ASAHI KASEI CORP. Equity0.00%$4,536,057
CGI, INC. Equity0.00%$4,530,754
Columbia Pipelines Holding Co LLC Fixed Income0.00%$4,512,011
Mol Magyar Olajes Gazipari Nyrt Equity0.00%$4,510,200
PANASONIC HOLDINGS CORP. Equity0.00%$4,509,462
Enterprise Products Operating LLC Fixed Income0.00%$4,504,525
FRESENIUS SE & CO. KGAA Equity0.00%$4,496,096
Lineage Europe Finco BV Fixed Income0.00%$4,494,968
African Rainbow Minerals Ltd Equity0.00%$4,491,221
KB FINANCIAL GROUP, INC. Equity0.00%$4,479,821
CBRE Services Inc Fixed Income0.00%$4,471,535
THALES SA Equity0.00%$4,456,903
Amal Trustees Ltd Fixed Income0.00%$4,455,976
CHINA EVERBRIGHT BANK CO. LTD. Equity0.00%$4,454,745
TOYOTA TSUSHO CORP. Equity0.00%$4,445,136
FORTIVE CORP. Equity0.00%$4,414,824
IA FINANCIAL CORP., INC. Equity0.00%$4,402,178
QNITY ELECTRONICS, INC. Equity0.00%$4,394,944
PRIMAX ELECTRONICS LTD. Equity0.00%$4,387,721
BCE, INC. Equity0.00%$4,384,848
Spire Inc Equity0.00%$4,382,707
Kimco Realty OP LLC Fixed Income0.00%$4,381,409
Astrazeneca Finance LLC Fixed Income0.00%$4,360,647
Great Eastern Shipping Co Ltd/The Equity0.00%$4,354,345
Coventry Bond Trust 2023-2 Fixed Income0.00%$4,352,517
CHENNAI PETROLEUM CORP. LTD. Equity0.00%$4,348,796
Exxaro Resources Ltd Equity0.00%$4,346,222
HYUNDAI GLOVIS CO. LTD. Equity0.00%$4,343,501
ALGONQUIN POWER & UTILITIES CORP. Equity0.00%$4,343,273
PRUDENTIAL PLC Fixed Income0.00%$4,340,459
Korean Reinsurance Co Equity0.00%$4,336,083
ARCELORMITTAL SA Equity0.00%$4,330,664
CSPC PHARMACEUTICAL GROUP LTD. Equity0.00%$4,329,633
DUPONT DE NEMOURS, INC. Equity0.00%$4,327,660
Weir Group Inc Fixed Income0.00%$4,302,688
MURATA MANUFACTURING CO. LTD. Equity0.00%$4,300,894
Al Rajhi Sukuk Ltd Fixed Income0.00%$4,292,189
SAUDI AWWAL BANK Fixed Income0.00%$4,290,771
Assicurazioni Generali Spa Equity0.00%$4,285,928
TATA CONSULTANCY SERVICES LTD. Equity0.00%$4,278,669
Volkswagen Group of America Finance LLC Fixed Income0.00%$4,271,121
DISCO CORP. Equity0.00%$4,270,561
SNAP-ON, INC. Equity0.00%$4,260,628
PUBLIC SERVICE ENTERPRISE GROUP, INC. Fixed Income0.00%$4,253,508
MCDONALD'S CORP. Fixed Income0.00%$4,250,582
Plains All American Pipeline LP / PAA Finance Corp Fixed Income0.00%$4,239,340
Think Tank Residential Series 2025-4 Trust Fixed Income0.00%$4,231,114
Wasion Holdings Ltd Equity0.00%$4,218,529
PRPM 2024-RPL4 LLC Fixed Income0.00%$4,216,582
TELEFONICA SA Equity0.00%$4,215,512
Jacobs Engineering Group Inc Equity0.00%$4,209,188
ENEL SPA Fixed Income0.00%$4,205,084
One Gas Inc Equity0.00%$4,201,840
QORVO, INC. Fixed Income0.00%$4,201,608
Julius Baer Gruppe Ag Equity0.00%$4,200,339
Vestas Wind Systems A/S Equity0.00%$4,187,540
CHINA MINSHENG BANKING CORP. LTD. Equity0.00%$4,185,132
TDC Net A/S Fixed Income0.00%$4,183,989
ROGERS COMMUNICATIONS, INC. Equity0.00%$4,182,201
JPMorgan Chase Bank NA Cash0.00%$4,181,171
AGEAS SA Equity0.00%$4,178,567
ASAHI GROUP HOLDINGS LTD. Equity0.00%$4,164,422
UK Logistics 2024-1 DAC Fixed Income0.00%$4,163,643
Voyager CMBS Trust 2025-1 Fixed Income0.00%$4,144,581
BECTON DICKINSON & CO. Fixed Income0.00%$4,139,438
KYOCERA CORP. Equity0.00%$4,127,419
Topco Scientific Co Ltd Equity0.00%$4,126,771
SGS SA Equity0.00%$4,126,320
Metropolitan Transportation Authority Dedicated Tax Fund Fixed Income0.00%$4,122,547
CISCO SYSTEMS, INC. Fixed Income0.00%$4,121,437
Together Asset Backed Securitisation 14 2025-1ST1 PLC Fixed Income0.00%$4,120,226
China Coal Energy Co Ltd Equity0.00%$4,117,444
TDK CORP. Equity0.00%$4,104,305
Richter Gedeon Vegyeszeti Gyar Nyrt Equity0.00%$4,095,783
Wisr Freedom Trust Series 2025-1 Fixed Income0.00%$4,092,761
AMRIZE LTD. Equity0.00%$4,090,336
BROWN & BROWN, INC. Equity0.00%$4,089,714
KNORR-BREMSE AG Equity0.00%$4,082,974
Kingboard Laminates Holdings Ltd Equity0.00%$4,070,262
NOMURA HOLDINGS, INC. Equity0.00%$4,041,693
OLYMPUS CORP. Equity0.00%$4,024,881
PRPM 2025-RPL2 LLC Fixed Income0.00%$4,009,506
Samsung Card Co Ltd Equity0.00%$4,003,703
ADANI ENTERPRISES LTD. Equity0.00%$3,989,215
China Lesso Group Holdings Ltd Equity0.00%$3,988,848
FOX CORP. Equity0.00%$3,985,043
LINDE PLC Fixed Income0.00%$3,984,618
FP Turbo Series 2023-1 Trust Fixed Income0.00%$3,974,550
FANUC CORP. Equity0.00%$3,964,098
WARTSILA OYJ ABP Equity0.00%$3,963,601
Darling Global Finance BV Fixed Income0.00%$3,954,494
CCF Holding SAS Fixed Income0.00%$3,953,450
WOOLWORTHS GROUP LTD Fixed Income0.00%$3,944,168
WANT WANT CHINA HOLDINGS LTD. Equity0.00%$3,941,186
Nissan Motor Acceptance Co LLC Fixed Income0.00%$3,930,317
Viasat Inc Equity0.00%$3,929,443
IMPERIAL OIL LTD. Equity0.00%$3,928,200
EQUINOR ASA Equity0.00%$3,920,654
OCCIDENTAL PETROLEUM CORP. Fixed Income0.00%$3,919,997
Panorama Auto Trust Fixed Income0.00%$3,918,377
Pou Chen Corp Equity0.00%$3,918,146
Western Alliance Bank Fixed Income0.00%$3,913,085
JH North America Holdings Inc Fixed Income0.00%$3,908,134
BPER BANCA SPA Equity0.00%$3,897,433
TAKEDA PHARMACEUTICAL CO. LTD. Fixed Income0.00%$3,891,031
LOY Yang Holdings Pty Ltd Fixed Income0.00%$3,885,102
Hyundai Marine & Fire Insurance Co Ltd Equity0.00%$3,878,794
GRUMA SAB DE CV Equity0.00%$3,875,978
BOOKING HOLDINGS, INC. Fixed Income0.00%$3,857,105
Siemens Financieringsmaatschappij NV Fixed Income0.00%$3,855,487
NITTO DENKO CORP. Equity0.00%$3,844,004
Imola Merger Corp Fixed Income0.00%$3,840,588
JK Paper Ltd Equity0.00%$3,840,048
ZCZL Industrial Technology Group Co Ltd Equity0.00%$3,835,979
United Airlines 2019-1 Class AA Pass Through Trust Fixed Income0.00%$3,831,297
PTC, INC. Equity0.00%$3,818,042
ATLAS COPCO AB Equity0.00%$3,801,499
Triton Bond Trust 2024-1 in respect of Series 1 Fixed Income0.00%$3,796,792
Smurfit Kappa Treasury ULC Fixed Income0.00%$3,796,415
PRYSMIAN SPA Equity0.00%$3,789,108
PRPM 2024-RPL3 LLC Fixed Income0.00%$3,789,091
MOTOR OIL HELLAS CORINTH REFINERIES SA Equity0.00%$3,788,081
TURKIYE IS BANKASI AS Equity0.00%$3,771,812
UNITED INTEGRATED SERVICES CO. LTD. Equity0.00%$3,765,941
CONTINENTAL AG Equity0.00%$3,762,522
Mahanagar Gas Ltd Equity0.00%$3,752,502
TOHOKU ELECTRIC POWER CO., INC. Equity0.00%$3,746,246
TCL ELECTRONICS HOLDINGS LTD. Equity0.00%$3,744,371
NUTRIEN LTD. Equity0.00%$3,727,700
Black Hills Corp Fixed Income0.00%$3,709,088
CREDIT AGRICOLE SA Fixed Income0.00%$3,703,459
STELLANTIS NV Equity0.00%$3,695,240
MITSUI FUDOSAN CO. LTD. Equity0.00%$3,691,144
Ruby Bond Trust 2025-1 Fixed Income0.00%$3,676,206
KUBOTA CORP. Equity0.00%$3,673,049
UNEDIC ASSEO Fixed Income0.00%$3,669,141
BOLIDEN AB Equity0.00%$3,655,656
GARTNER, INC. Equity0.00%$3,642,651
MDU Resources Group Inc Equity0.00%$3,633,815
JAPAN POST BANK CO. LTD. Equity0.00%$3,631,110
Nippon Telegraph And Telephone Corp Equity0.00%$3,624,828
ON SEMICONDUCTOR CORP. Equity0.00%$3,622,361
Northwestern Corp Equity0.00%$3,615,558
JPMorgan Chase Bank NA Cash0.00%$3,612,200
Hello Group Inc Equity0.00%$3,607,912
DAIWA HOUSE INDUSTRY CO. LTD. Equity0.00%$3,598,293
COHERENT CORP. Equity0.00%$3,597,651
Triton Bond Trust 2023-1 in respect of Series 1 Fixed Income0.00%$3,594,594
FINECOBANK BANCA FINECO SPA Equity0.00%$3,585,059
Lindsay Goldberg Equity0.00%$3,584,798
FIRST QUANTUM MINERALS LTD. Equity0.00%$3,577,905
Tung Ho Steel Enterprise Corp Equity0.00%$3,550,737
NJ 2025-WBRK Fixed Income0.00%$3,550,050
Boston Properties LP Fixed Income0.00%$3,549,050
DICK'S SPORTING GOODS, INC. Equity0.00%$3,545,298
Kumba Iron Ore Ltd Equity0.00%$3,528,732
Xtep International Holdings Ltd Equity0.00%$3,521,668
Metropolitan Life Global Funding I Fixed Income0.00%$3,520,812
Orient Securities Co Ltd/China Equity0.00%$3,504,647
PINTEREST, INC. Equity0.00%$3,498,787
EUROFINS SCIENTIFIC SE Equity0.00%$3,485,182
Fresenius Medical Care Ag & Co Kgaa Equity0.00%$3,460,919
Asurion LLC and Asurion Co-Issuer Inc Fixed Income0.00%$3,459,136
ST. JAMES'S PLACE PLC Equity0.00%$3,458,971
TORONTO-DOMINION BANK Equity0.00%$3,443,313
Unilever Capital Corp Fixed Income0.00%$3,432,605
TEVA PHARMACEUTICAL INDUSTRIES LTD. Equity0.00%$3,432,046
CANADIAN IMPERIAL BANK OF COMMERCE Fixed Income0.00%$3,428,402
New York Life Global Funding Fixed Income0.00%$3,413,555
DEUTSCHE BANK AG CashAUD0.00%$3,408,105
City of San Antonio TX Electric & Gas Systems Revenue Fixed Income0.00%$3,389,455
Henneman Trust Fixed Income0.00%$3,388,647
TELUS CORP. Fixed Income0.00%$3,387,804
Motus Holdings Ltd Equity0.00%$3,385,664
Transurban Finance Co Pty Ltd Fixed Income0.00%$3,384,882
BPR Trust 2022-SSP Fixed Income0.00%$3,383,630
A&D Mortgage Trust 2023-NQM5 Fixed Income0.00%$3,381,613
Fmc Corp Fixed Income0.00%$3,379,279
PROMOTORA Y OPERADORA DE INFRAESTRUCTURA SAB DE CV Equity0.00%$3,378,220
Daishin Securities Co Ltd Equity0.00%$3,364,544
HISCOX LTD. Fixed Income0.00%$3,363,876
SINOPAC FINANCIAL HOLDINGS CO. LTD. Equity0.00%$3,362,198
Swiss Confederation Fixed Income0.00%$3,347,040
FUJIFILM HOLDINGS CORP. Equity0.00%$3,338,286
INDOFOOD SUKSES MAKMUR TBK. PT Equity0.00%$3,323,596
AMCOR PLC Equity0.00%$3,315,528
DNB BANK ASA Equity0.00%$3,312,553
TALANX AG Equity0.00%$3,306,351
Entergy Arkansas LLC Fixed Income0.00%$3,301,949
VICI Properties LP / VICI Note Co Inc Fixed Income0.00%$3,301,508
HEICO CORP. Equity0.00%$3,297,091
Greatek Electronics Inc Equity0.00%$3,294,559
OWENS CORNING Fixed Income0.00%$3,288,978
Carlsberg A/S Equity0.00%$3,288,874
LOCKHEED MARTIN CORP. Fixed Income0.00%$3,277,912
Chipmos Technologies Inc Equity0.00%$3,273,651
GODADDY, INC. Equity0.00%$3,261,339
JBS USA Holding Lux Sarl / JBS USA Foods Group Holdings Inc / JBS USA Food Co Fixed Income0.00%$3,257,807
CLAL INSURANCE ENTERPRISES HOLDINGS LTD. Equity0.00%$3,254,308
AFG 2023-1 Trust Fixed Income0.00%$3,253,575
Canadian Pacific Railway Co Fixed Income0.00%$3,252,435
CCL INDUSTRIES, INC. Equity0.00%$3,249,095
HENKEL AG & CO. KGAA Equity0.00%$3,240,394
M&G PLC Fixed Income0.00%$3,240,170
GEA GROUP AG Equity0.00%$3,232,526
Tata Motors Ltd Equity0.00%$3,228,844
Castell 2021-1 PLC Fixed Income0.00%$3,218,787
Duke Energy Indiana LLC Fixed Income0.00%$3,212,803
Pennon Group Plc Equity0.00%$3,205,266
Coventry Bond Trust 2023-1 Fixed Income0.00%$3,200,326
BP Capital Markets America Inc Fixed Income0.00%$3,195,603
SINGAPORE EXCHANGE LTD. Equity0.00%$3,192,129
INTERTEK GROUP PLC Equity0.00%$3,187,521
Guangzhou Baiyunshan Pharmaceutical Holdings Co Ltd Equity0.00%$3,187,503
GlaxoSmithKline Capital Inc Fixed Income0.00%$3,185,078
Sok Marketler Ticaret AS Equity0.00%$3,170,934
HEXAGON AB Equity0.00%$3,160,423
United AirLines Inc Fixed Income0.00%$3,156,871
CARDINAL HEALTH, INC. Fixed Income0.00%$3,151,686
Centuria Property0.00%$3,151,384
COCA-COLA EUROPACIFIC PARTNERS PLC Equity0.00%$3,150,510
Sandisk Corp/DE Equity0.00%$3,149,153
GWT 2024-WLF2 Fixed Income0.00%$3,138,446
ALAMOS GOLD, INC. Equity0.00%$3,134,540
PRPM 2024-RCF5 LLC Fixed Income0.00%$3,128,694
J SAINSBURY PLC Equity0.00%$3,128,263
Aran Funding 2025-1 DAC Fixed Income0.00%$3,127,932
MERCK KGAA Equity0.00%$3,127,720
SOUTHERN COPPER CORP. Equity0.00%$3,119,345
MORGAN STANLEY Infrastructure0.00%$3,107,054
RENESAS ELECTRONICS CORP. Equity0.00%$3,100,557
Enagas Sa Equity0.00%$3,090,358
Co-operative Bank Holdings Ltd/The Fixed Income0.00%$3,085,405
El Sewedy Electric Co Sae Equity0.00%$3,084,659
JBS USA LUX Sarl / JBS USA Food Co / JBS USA Foods Group Fixed Income0.00%$3,081,191
CREDIT AGRICOLE SA Equity0.00%$3,079,657
Virginia Electric and Power Co Fixed Income0.00%$3,078,057
JAB Holdings BV Fixed Income0.00%$3,067,324
Triton Bond Trust 2024-2 in respect of Series 1 Fixed Income0.00%$3,063,228
JIANGSU EXPRESSWAY CO. LTD. Equity0.00%$3,051,632
Estee Lauder Companies Inc Equity0.00%$3,045,318
VISA, INC. Fixed Income0.00%$3,043,785
Essity Ab (Publ) Equity0.00%$3,030,084
ZIMMER BIOMET HOLDINGS, INC. Equity0.00%$3,027,538
PECO Energy Co Fixed Income0.00%$3,013,552
DENSO CORP. Equity0.00%$3,011,320
KINGSPAN GROUP PLC Equity0.00%$3,008,276
ZILLOW GROUP, INC. Equity0.00%$2,990,328
STMICROELECTRONICS NV Equity0.00%$2,987,970
INTERNATIONAL FLAVORS & FRAGRANCES, INC. Equity0.00%$2,984,093
ABN AMRO BANK NV Fixed Income0.00%$2,971,846
TRANSUNION Equity0.00%$2,967,531
NORDEA BANK ABP Fixed Income0.00%$2,965,853
Mesirow Financial Equity0.00%$2,962,980
Anheuser-Busch Cos LLC / Anheuser-Busch InBev Worldwide Inc Fixed Income0.00%$2,956,800
CAMECO CORP. Equity0.00%$2,954,472
China Resources Pharmaceutical Group Ltd Equity0.00%$2,944,501
Telecom Egypt Co Sae Equity0.00%$2,944,449
Asimi Funding 2024-1 PLC Fixed Income0.00%$2,943,934
RESTAURANT BRANDS INTERNATIONAL, INC. Equity0.00%$2,941,454
Pepper Residential Securities Trust No 37 Fixed Income0.00%$2,931,976
GILEAD SCIENCES, INC. Fixed Income0.00%$2,916,542
JPMorgan Chase Bank NA Cash0.00%$2,914,765
KAO CORP. Equity0.00%$2,912,245
Supalai PCL Equity0.00%$2,904,737
Globalstar Inc Equity0.00%$2,901,847
Triton Bond Trust 2025-4 in respect of Series 1 Fixed Income0.00%$2,886,650
PAN AMERICAN SILVER CORP. Equity0.00%$2,886,447
Crimson Bond Trust 2023-1P Fixed Income0.00%$2,886,315
SINGAPORE TECHNOLOGIES ENGINEERING LTD. Equity0.00%$2,885,992
RALPH LAUREN CORP. Equity0.00%$2,885,403
Perpetual Corporate Trust Ltd Fixed Income0.00%$2,880,607
Radian Mortgage Capital Trust 2025-J4 Fixed Income0.00%$2,880,034
DOW, INC. Equity0.00%$2,870,582
ORIENTAL LAND CO. LTD. Equity0.00%$2,861,866
SHANGHAI PHARMACEUTICALS HOLDING CO. LTD. Equity0.00%$2,855,438
TYLER TECHNOLOGIES, INC. Equity0.00%$2,853,410
AJINOMOTO CO., INC. Equity0.00%$2,837,997
BOC HONG KONG HOLDINGS LTD. Equity0.00%$2,836,856
POSTE ITALIANE SPA Equity0.00%$2,835,845
ALSTOM SA Equity0.00%$2,833,888
Lorca Telecom Bondco SA Fixed Income0.00%$2,832,919
COMMERCIAL BANK PSQC Equity0.00%$2,829,605
BANDAI NAMCO HOLDINGS, INC. Equity0.00%$2,827,248
NOMURA RESEARCH INSTITUTE LTD. Equity0.00%$2,826,204
Viper Energy Partners LLC Fixed Income0.00%$2,821,566
AVISTA CORP. Equity0.00%$2,819,450
Fontainebleau Miami Beach Mortgage Trust 2024-FBLU Fixed Income0.00%$2,818,290
GALP ENERGIA SGPS SA Equity0.00%$2,813,634
Repsol E&P Capital Markets US LLC Fixed Income0.00%$2,811,443
Bridge 2024-SFR1 Trust Fixed Income0.00%$2,802,968
TKO Group Holdings Inc Equity0.00%$2,795,333
Small Business Origination Loan Trust 2024-1 DAC Fixed Income0.00%$2,783,844
ATCO LTD. Equity0.00%$2,780,955
BOMBARDIER, INC. Equity0.00%$2,775,595
CENOVUS ENERGY, INC. Equity0.00%$2,765,833
SEKISUI HOUSE LTD. Equity0.00%$2,761,332
INFRASTRUTTURE WIRELESS ITALIANE SPA Equity0.00%$2,753,306
New England Power Co Fixed Income0.00%$2,749,917
Mge Energy Inc Equity0.00%$2,746,582
Fraport Frankfurt Airport Services Worldwide Ag Equity0.00%$2,742,790
TOROMONT INDUSTRIES LTD. Equity0.00%$2,737,686
HLTN Commercial Mortgage Trust 2024-DPLO Fixed Income0.00%$2,733,327
ECOLAB, INC. Fixed Income0.00%$2,728,642
TOKYO METRO CO. LTD. Equity0.00%$2,718,348
SUPER MICRO COMPUTER, INC. Equity0.00%$2,717,685
KONINKLIJKE PHILIPS NV Equity0.00%$2,714,772
JAPAN POST HOLDINGS CO. LTD. Equity0.00%$2,707,046
Kumho Petro Chemical Co Ltd Equity0.00%$2,695,534
Sequoia Mortgage Trust 2025-7 Fixed Income0.00%$2,689,762
ZSCALER, INC. Equity0.00%$2,685,855
Phoenix Holdings Ltd Equity0.00%$2,685,500
UBS GROUP AG Equity0.00%$2,682,776
Pepper Residential Securities Trust No. 39 Fixed Income0.00%$2,682,344
BARRICK MINING CORP. Equity0.00%$2,678,246
Edp Energias De Portugal Sa Equity0.00%$2,675,726
KONAMI GROUP CORP. Equity0.00%$2,668,170
STAFFORD CAPITAL PARTNERS PTY LIMITED Equity0.00%$2,665,198
Helvetia Holding Ag Equity0.00%$2,663,873
INFORMA PLC Equity0.00%$2,655,564
AISIN CORP. Equity0.00%$2,654,486
Commonwealth Bank of Australia/New York NY Fixed Income0.00%$2,653,716
Teva Pharmaceutical Finance Netherlands II BV Fixed Income0.00%$2,651,580
BANCO BILBAO VIZCAYA ARGENTARIA SA Equity0.00%$2,650,637
SUN HUNG KAI PROPERTIES LTD. Equity0.00%$2,640,335
Daehan Steel Co Ltd Equity0.00%$2,631,740
ACM Auto Trust 2024-1 Fixed Income0.00%$2,626,637
S&P GLOBAL, INC. Fixed Income0.00%$2,618,577
SAAB AB Equity0.00%$2,610,134
TX Trust 2024-HOU Fixed Income0.00%$2,604,315
YOKOHAMA RUBBER CO. LTD. Equity0.00%$2,601,450
Sansiri PCL Equity0.00%$2,600,448
Chesapeake Utilities Corp Equity0.00%$2,593,805
Orion Trust 2025-1 Fixed Income0.00%$2,575,950
Qatar Navigation Qpsc Equity0.00%$2,565,416
FUJI ELECTRIC CO. LTD. Equity0.00%$2,561,674
VEOLIA ENVIRONNEMENT SA Equity0.00%$2,557,104
CCO Holdings LLC / CCO Holdings Capital Corp Fixed Income0.00%$2,555,719
American States Water Co Equity0.00%$2,551,727
Panorama Auto Trust 2023-2P Fixed Income0.00%$2,551,154
Lewis Group Ltd Equity0.00%$2,537,686
Trustee For Angle Asset Finance - Radian Trust 2023-3/The Fixed Income0.00%$2,529,561
ROCHE HOLDING AG Equity0.00%$2,518,137
RTX CORP. Fixed Income0.00%$2,512,646
ANTOFAGASTA PLC Equity0.00%$2,504,323
Gujarat Narmada Valley Fertilizers & Chemicals Ltd Equity0.00%$2,501,947
SKF AB Equity0.00%$2,498,942
Pernod Ricard International Finance LLC Fixed Income0.00%$2,496,748
KONINKLIJKE PHILIPS NV Equity0.00%$2,494,203
ReadyCap Lending Small Business Loan Trust 2023-3 Fixed Income0.00%$2,488,372
CJ CHEILJEDANG CORP. Equity0.00%$2,487,498
California Water Service Group Equity0.00%$2,471,343
Mortgage House RMBS Osmium Series 2024-1 Fixed Income0.00%$2,462,348
VONOVIA SE Equity0.00%$2,461,505
Sequoia Logistics 2025-1 DAC Fixed Income0.00%$2,460,097
HKT TRUST & HKT LTD. Infrastructure0.00%$2,458,909
Ibiden Co Ltd Equity0.00%$2,452,372
Portillos Inc Equity0.00%$2,447,484
TERUMO CORP. Equity0.00%$2,442,559
SUMITOMO REALTY & DEVELOPMENT CO. LTD. Equity0.00%$2,440,169
DASSAULT SYSTEMES SE Equity0.00%$2,438,461
Resonac Holdings Corp Equity0.00%$2,437,124
Ap Moeller - Maersk A/S Equity0.00%$2,436,493
Vita Scientia 2022-1 DAC Fixed Income0.00%$2,433,969
STANTEC, INC. Equity0.00%$2,427,160
TOKYU FUDOSAN HOLDINGS CORP. Equity0.00%$2,427,058
EURONEXT NV Equity0.00%$2,425,002
SECOM CO. LTD. Equity0.00%$2,419,639
Jindal Saw Ltd Equity0.00%$2,409,808
HUBSPOT, INC. Equity0.00%$2,405,204
MINEBEA MITSUMI, INC. Equity0.00%$2,395,593
JP Morgan Securities LLC CashCAD0.00%$2,383,117
CHOCOLADEFABRIKEN LINDT & SPRUENGLI AG Equity0.00%$2,377,326
MARKS & SPENCER GROUP PLC Equity0.00%$2,377,240
KAWASAKI HEAVY INDUSTRIES LTD. Equity0.00%$2,376,261
KERRY GROUP PLC Equity0.00%$2,368,405
KEYERA CORP. Equity0.00%$2,350,631
Tryg A/S Equity0.00%$2,347,187
RB GLOBAL, INC. Equity0.00%$2,346,080
HSBC Continental Europe SA Fixed Income0.00%$2,344,540
TOHO GAS CO. LTD. Equity0.00%$2,333,281
HAL TRUST Equity0.00%$2,325,754
METSO OYJ Equity0.00%$2,325,316
MSD Netherlands Capital BV Fixed Income0.00%$2,325,046
THOMSON REUTERS CORP. Equity0.00%$2,316,832
BANCO ABC BRASIL SA Equity0.00%$2,314,791
ARES MANAGEMENT CORP. Equity0.00%$2,312,071
ALTAGAS LTD. Equity0.00%$2,311,325
SES SA Equity0.00%$2,305,694
SIG Combibloc PurchaseCo Sarl Fixed Income0.00%$2,299,504
Baic Motor Corp Ltd Equity0.00%$2,285,173
PAN PACIFIC INTERNATIONAL HOLDINGS CORP. Equity0.00%$2,284,308
BUREAU VERITAS SA Equity0.00%$2,283,447
NITERRA CO. LTD. Equity0.00%$2,280,522
SBI HOLDINGS, INC. Equity0.00%$2,274,847
CIENA CORP. Equity0.00%$2,274,074
JAPAN EXCHANGE GROUP, INC. Equity0.00%$2,272,575
United Airlines 2020-1 Class A Pass Through Trust Fixed Income0.00%$2,272,107
ATKINSREALIS GROUP, INC. Equity0.00%$2,264,225
NOVA LTD. Equity0.00%$2,261,401
KIRIN HOLDINGS CO. LTD. Equity0.00%$2,257,015
ALFA LAVAL AB Equity0.00%$2,250,518
Kuehne Und Nagel International Ag Equity0.00%$2,249,555
National Grid Electricity Transmission PLC Fixed Income0.00%$2,240,111
SKANDINAVISKA ENSKILDA BANKEN AB Fixed Income0.00%$2,233,419
ANHUI CONCH CEMENT CO. LTD. Equity0.00%$2,232,949
Weibo Corp Equity0.00%$2,229,710
EPIROC AB Equity0.00%$2,223,183
Netcare Ltd Equity0.00%$2,215,333
Telia Company Ab Equity0.00%$2,179,478
Kobe Steel Ltd Equity0.00%$2,175,613
WHEATON PRECIOUS METALS CORP. Equity0.00%$2,174,541
PRET 2025-RPL4 Trust Fixed Income0.00%$2,174,322
Bgf Retail Co Ltd Equity0.00%$2,174,261
PURE STORAGE, INC. Equity0.00%$2,168,541
DAIWA SECURITIES GROUP, INC. Equity0.00%$2,167,083
CONOCOPHILLIPS Fixed Income0.00%$2,158,356
Ssy Group Ltd Equity0.00%$2,151,847
ROYALTY PHARMA PLC Equity0.00%$2,147,679
Mitsui O.S.K. Lines Ltd Equity0.00%$2,130,751
Yuexiu Transport Infrastructure Ltd Equity0.00%$2,118,135
HANG SENG BANK LTD. Equity0.00%$2,115,468
OBAYASHI CORP. Equity0.00%$2,114,073
CIE DE SAINT-GOBAIN SA Fixed Income0.00%$2,110,376
Astral Foods Ltd Equity0.00%$2,110,347
DR. ING HC F PORSCHE AG Equity0.00%$2,109,361
ENDEAVOUR MINING PLC Equity0.00%$2,103,486
Citibank NA Fixed Income0.00%$2,101,902
SCREEN HOLDINGS CO. LTD. Equity0.00%$2,100,711
RENAULT SA Equity0.00%$2,091,250
IPSEN SA Equity0.00%$2,086,351
Coca-Cola Co/The Fixed Income0.00%$2,085,437
Hawaiian Electric Industries Inc Equity0.00%$2,081,377
BEIERSDORF AG Equity0.00%$2,077,440
Monongahela Power Co Fixed Income0.00%$2,073,095
YAMAHA MOTOR CO. LTD. Equity0.00%$2,070,015
LOGITECH INTERNATIONAL SA Equity0.00%$2,044,402
SEMBCORP INDUSTRIES LTD. Equity0.00%$2,041,103
NIPPON EXPRESS HOLDINGS, INC. Equity0.00%$2,038,908
NIDEC CORP. Equity0.00%$2,036,439
KAJIMA CORP. Equity0.00%$2,026,713
AES Andes SA Fixed Income0.00%$2,023,468
ADDTECH AB Equity0.00%$2,004,577
ISRAEL DISCOUNT BANK LTD. Equity0.00%$2,001,392
AKER BP ASA Equity0.00%$1,992,546
Netdragon Websoft Holdings Ltd Equity0.00%$1,978,160
HENKEL AG & CO. KGAA Equity0.00%$1,976,141
Kaiser Foundation Hospitals Fixed Income0.00%$1,974,782
AEGON LTD. Equity0.00%$1,971,148
STOREBRAND ASA Equity0.00%$1,966,689
NGK INSULATORS LTD. Equity0.00%$1,961,584
NETLINK NBN TRUST Infrastructure0.00%$1,958,332
JFE HOLDINGS, INC. Equity0.00%$1,950,421
RYOHIN KEIKAKU CO. LTD. Equity0.00%$1,947,789
SMURFIT WESTROCK PLC Equity0.00%$1,943,440
INTERNATIONAL BUSINESS MACHINES CORP. Fixed Income0.00%$1,943,218
AMRIZE LTD. Equity0.00%$1,943,083
FIRST INTERNATIONAL BANK OF ISRAEL LTD. Equity0.00%$1,939,007
FISHER & PAYKEL HEALTHCARE CORP. LTD. Equity0.00%$1,935,593
PAN AMERICAN SILVER CORP. Equity0.00%$1,928,921
Southern California Edison Co Fixed Income0.00%$1,921,105
KOKUSAI ELECTRIC CORP. Equity0.00%$1,920,898
RELX Finance BV Fixed Income0.00%$1,918,596
WEA Finance LLC Fixed Income0.00%$1,918,498
OPEN HOUSE GROUP CO. LTD. Equity0.00%$1,916,601
THALES SA Fixed Income0.00%$1,906,408
Pandora A/S Equity0.00%$1,902,754
LUNDIN GOLD, INC. Equity0.00%$1,891,104
EUROBANK SA Fixed Income0.00%$1,889,915
Boels Topholding BV Fixed Income0.00%$1,887,942
Elbit Systems Ltd Equity0.00%$1,883,850
IMI PLC Equity0.00%$1,880,484
SKANSKA AB Equity0.00%$1,879,361
SECURITAS AB Equity0.00%$1,876,663
STANDARD CHARTERED PLC Fixed Income0.00%$1,861,582
MARSH & MCLENNAN COS., INC. Fixed Income0.00%$1,852,045
Svenska Cellulosa Sca Ab Equity0.00%$1,847,094
ING GROEP NV Fixed Income0.00%$1,843,189
Northwest Natural Holding Co Equity0.00%$1,838,665
WHITECAP RESOURCES, INC. Equity0.00%$1,836,752
American Axle & Manufacturing Inc Fixed Income0.00%$1,831,379
CHUGOKU ELECTRIC POWER CO., INC. Equity0.00%$1,820,848
ASTERA LABS, INC. Equity0.00%$1,814,449
Chong Kun Dang Pharmaceutical Corp Equity0.00%$1,811,051
Ap Moeller - Maersk A/S Equity0.00%$1,807,650
BANK OF MONTREAL Fixed Income0.00%$1,803,012
Bank Tabungan Negara (Persero) Tbk Pt Equity0.00%$1,785,528
TIS, INC. Equity0.00%$1,784,453
PERSOL HOLDINGS CO. LTD. Equity0.00%$1,781,913
Sumitomo Mitsui Banking Corp/Sydney CashAUD0.00%$1,780,552
Hamburg Commercial Bank AG Fixed Income0.00%$1,777,747
SMITHS GROUP PLC Equity0.00%$1,775,103
AMERICAN ASSETS TRUST, INC. Fixed Income0.00%$1,769,983
SHIONOGI & CO. LTD. Equity0.00%$1,763,103
HELIOS TOWERS PLC Equity0.00%$1,743,989
TSURUHA HOLDINGS, INC. Equity0.00%$1,743,423
AGC, INC. Equity0.00%$1,740,656
CAPCOM CO. LTD. Equity0.00%$1,740,351
GFL ENVIRONMENTAL, INC. Equity0.00%$1,739,940
YOKOGAWA ELECTRIC CORP. Equity0.00%$1,733,106
Hanwha Vision Co Ltd Equity0.00%$1,727,691
TATA MOTORS LTD./NEW Equity0.00%$1,724,829
Medtronic Global Holdings SCA Fixed Income0.00%$1,716,076
JP Morgan Securities LLC CashNOK0.00%$1,713,985
SOJITZ CORP. Equity0.00%$1,707,632
Ecopetrol SA Equity0.00%$1,701,375
ICICI BANK LTD. Equity0.00%$1,700,045
SUMITOMO FORESTRY CO. LTD. Equity0.00%$1,698,215
WASTE CONNECTIONS, INC. Equity0.00%$1,686,196
Deutsche Telekom International Finance BV Fixed Income0.00%$1,681,605
Weir Group Inc Equity0.00%$1,678,502
VOLVO AB Equity0.00%$1,678,165
NISSAN CHEMICAL CORP. Equity0.00%$1,675,712
Berkshire Hathaway Finance Corp Fixed Income0.00%$1,669,054
Pioneer Natural Resources Co Fixed Income0.00%$1,666,769
BASF SE Fixed Income0.00%$1,657,731
Travelex Issuerco 2 PLC Fixed Income0.00%$1,656,988
TORAY INDUSTRIES, INC. Equity0.00%$1,656,836
Pepper Residential Securities Trust Fixed Income0.00%$1,653,703
FORTUM OYJ Equity0.00%$1,652,505
GlaxoSmithKline Capital Inc Fixed Income0.00%$1,644,287
NIPPON SANSO HOLDINGS CORP. Equity0.00%$1,644,047
Beazley Plc Equity0.00%$1,642,984
CAE, INC. Equity0.00%$1,642,496
RENTOKIL INITIAL PLC Equity0.00%$1,636,868
T&D HOLDINGS, INC. Equity0.00%$1,635,385
LEONARDO SPA Equity0.00%$1,620,415
IRIDIUM COMMUNICATIONS, INC. Equity0.00%$1,615,270
Marriott International Inc/MD Fixed Income0.00%$1,614,953
RESTAURANT BRANDS INTERNATIONAL, INC. Equity0.00%$1,608,025
Snow Phipps Group Equity0.00%$1,606,996
HANKYU HANSHIN HOLDINGS, INC. Equity0.00%$1,599,406
Hankook & Company Co Ltd Equity0.00%$1,593,028
Furukawa Electric Co Ltd Equity0.00%$1,592,542
Massachusetts Institute of Technology Fixed Income0.00%$1,587,080
SYSMEX CORP. Equity0.00%$1,584,824
SUMITOMO METAL MINING CO. LTD. Equity0.00%$1,582,674
HONGKONG LAND HOLDINGS LTD. Equity0.00%$1,580,338
Lagercrantz Group Ab Equity0.00%$1,580,076
CREDIT SAISON CO. LTD. Equity0.00%$1,574,026
TAISEI CORP. Equity0.00%$1,567,445
Flexicommercial Abs Trust 2023-1 Fixed Income0.00%$1,565,252
RICOH CO. LTD. Equity0.00%$1,563,550
KEPPEL LTD. Equity0.00%$1,561,179
IDEMITSU KOSAN CO. LTD. Equity0.00%$1,545,185
Sjw Group Equity0.00%$1,544,479
SWISS PRIME SITE AG Equity0.00%$1,539,919
Nmdc Steel Ltd Equity0.00%$1,535,321
TRELLEBORG AB Equity0.00%$1,534,298
SHIKOKU ELECTRIC POWER CO., INC. Equity0.00%$1,530,923
Coloplast A/S Equity0.00%$1,530,616
AIRTEL AFRICA PLC Equity0.00%$1,528,990
BROTHER INDUSTRIES LTD. Equity0.00%$1,526,104
Lifco Ab (Publ) Equity0.00%$1,524,650
Affinity Water Finance PLC Fixed Income0.00%$1,524,548
Concordia Financial Group Ltd Equity0.00%$1,517,501
TMX GROUP LTD. Equity0.00%$1,516,393
LOOMIS AB Equity0.00%$1,516,122
BIPROGY, INC. Equity0.00%$1,508,990
UNICHARM CORP. Equity0.00%$1,508,683
INTERCONTINENTAL HOTELS GROUP PLC Equity0.00%$1,505,974
Tower Semiconductor Ltd Equity0.00%$1,504,530
TAIHEIYO CEMENT CORP. Equity0.00%$1,497,258
MOWI ASA Equity0.00%$1,489,299
Mizuho Bank Ltd/London Fixed Income0.00%$1,485,659
DNB BANK ASA Fixed Income0.00%$1,483,443
Lseg Netherlands BV Fixed Income0.00%$1,478,445
Mebuki Financial Group Inc Equity0.00%$1,476,181
NITORI HOLDINGS CO. LTD. Equity0.00%$1,473,823
Cipher Compute LLC Fixed Income0.00%$1,473,359
Toppan Inc Equity0.00%$1,471,763
Tokyo Tatemono Co Ltd Equity0.00%$1,468,516
STRAUMANN HOLDING AG Equity0.00%$1,466,748
DELEK GROUP LTD. Equity0.00%$1,461,421
Evolution Ab (Publ) Equity0.00%$1,449,723
KURITA WATER INDUSTRIES LTD. Equity0.00%$1,449,373
Firstmac Asset Funding Trust No. 1 Series Auto No. 2 Fixed Income0.00%$1,442,363
GALAXY ENTERTAINMENT GROUP LTD. Equity0.00%$1,438,593
HULIC CO. LTD. Equity0.00%$1,433,596
BANCO SANTANDER SA Equity0.00%$1,432,297
Paz Oil Company Ltd Equity0.00%$1,430,653
SYMRISE AG Equity0.00%$1,421,066
CRH SMW Finance DAC Fixed Income0.00%$1,416,805
FIRSTGROUP PLC Equity0.00%$1,408,340
Bezeq Israeli Telecommunication Corp Ltd Equity0.00%$1,403,929
LEGRAND SA Fixed Income0.00%$1,403,175
BE SEMICONDUCTOR INDUSTRIES NV Equity0.00%$1,388,373
Air Liquide Finance SA Fixed Income0.00%$1,366,784
Tosoh Corp Equity0.00%$1,361,086
Mitsui Chemicals Inc Equity0.00%$1,359,131
Shizuoka Financial Group Inc Equity0.00%$1,349,787
KONINKLIJKE AHOLD DELHAIZE NV Fixed Income0.00%$1,346,765
COSMO ENERGY HOLDINGS CO. LTD. Equity0.00%$1,338,585
HOCHTIEF AG Equity0.00%$1,337,340
Ren Redes Energeticas Nacionais Sgps Sa Equity0.00%$1,335,600
Schlumberger Finance BV Fixed Income0.00%$1,333,432
SEKISUI CHEMICAL CO. LTD. Equity0.00%$1,332,849
MATSUKIYOCOCOKARA & CO. Equity0.00%$1,332,390
Maharashtra Seamless Ltd Equity0.00%$1,332,185
MEIJI HOLDINGS CO. LTD. Equity0.00%$1,331,094
ZHONGSHENG GROUP HOLDINGS LTD. Equity0.00%$1,329,303
Chubb INA Holdings LLC Fixed Income0.00%$1,327,674
SELP Finance Sarl Fixed Income0.00%$1,326,448
Cathay Pacific Airways Ltd Equity0.00%$1,323,925
J.Front Retailing Co Ltd Equity0.00%$1,320,881
Mycronic AB Equity0.00%$1,319,091
BAXTER INTERNATIONAL, INC. Fixed Income0.00%$1,316,791
Series 2019-1 REDS Trust Fixed Income0.00%$1,315,654
Telecom Plus PLC Equity0.00%$1,314,738
Diageo Finance PLC Fixed Income0.00%$1,314,720
TELENOR ASA Equity0.00%$1,313,667
SINO LAND CO. LTD. Equity0.00%$1,313,262
KYOTO FINANCIAL GROUP, INC. Equity0.00%$1,308,941
Australia & New Zealand Banking Group Ltd/New York NY Fixed Income0.00%$1,307,429
Motability Operations Group PLC Fixed Income0.00%$1,302,844
SAPUTO, INC. Equity0.00%$1,301,326
Reunert Ltd Equity0.00%$1,300,527
Seah Besteel Holdings Corp Equity0.00%$1,286,934
DH Europe Finance II Sarl Fixed Income0.00%$1,285,177
SCHINDLER HOLDING AG Equity0.00%$1,284,121
Z Holdings Corp Equity0.00%$1,282,735
Horiba Ltd Equity0.00%$1,279,270
YAMAZAKI BAKING CO. LTD. Equity0.00%$1,277,756
Toyo Tire Corp Equity0.00%$1,274,060
ORDE SERIES 2024-1 TRUST Fixed Income0.00%$1,272,674
Haseko Corp Equity0.00%$1,272,027
HITACHI CONSTRUCTION MACHINERY CO. LTD. Equity0.00%$1,270,793
AZBIL CORP. Equity0.00%$1,270,634
KURARAY CO. LTD. Equity0.00%$1,268,202
Elia Transmission Belgium SA Fixed Income0.00%$1,258,210
ASB Bank Ltd Fixed Income0.00%$1,258,107
TENCENT MUSIC ENTERTAINMENT GROUP Equity0.00%$1,248,052
Maruwa Co Ltd Equity0.00%$1,241,670
MAZDA MOTOR CORP. Equity0.00%$1,236,903
Pembroke Property Finance 3 DAC Fixed Income0.00%$1,232,644
Baycurrent Consulting Inc Equity0.00%$1,231,469
SEGRO PLC Fixed Income0.00%$1,225,042
NESTE OYJ Equity0.00%$1,224,150
SKYLARK HOLDINGS CO. LTD. Equity0.00%$1,223,960
Hokkaido Electric Power Company Incorporated Equity0.00%$1,222,933
Next Vision Stabilized Systems Ltd Equity0.00%$1,222,176
BANCA MEDIOLANUM SPA Equity0.00%$1,222,123
JPMorgan Chase Bank NA CashSGD0.00%$1,221,587
Mitsubishi UFJ Trust & Banking Corp/London CashEUR0.00%$1,218,881
SONY FINANCIAL GROUP, INC. Equity0.00%$1,217,672
INDUTRADE AB Equity0.00%$1,216,002
Getinge Ab Equity0.00%$1,213,529
MELROSE INDUSTRIES PLC Equity0.00%$1,211,466
Subsea 7 Sa Equity0.00%$1,205,252
VODAFONE GROUP PLC Fixed Income0.00%$1,202,126
PEARSON PLC Equity0.00%$1,197,731
EOG RESOURCES, INC. Fixed Income0.00%$1,196,825
Allianz Finance II BV Fixed Income0.00%$1,195,913
HENDERSON LAND DEVELOPMENT CO. LTD. Equity0.00%$1,195,396
ZENSHO HOLDINGS CO. LTD. Equity0.00%$1,188,082
ASAHI GROUP HOLDINGS LTD. Fixed Income0.00%$1,187,282
Food & Life Companies Ltd Equity0.00%$1,177,234
SHIMANO, INC. Equity0.00%$1,174,750
NOW Trust 2025-2 Fixed Income0.00%$1,174,289
EDP RENOVAVEIS SA Equity0.00%$1,172,810
EPIROC AB Equity0.00%$1,172,565
YASKAWA ELECTRIC CORP. Equity0.00%$1,169,640
Evn Ag Equity0.00%$1,169,561
CHORUS LTD. Equity0.00%$1,167,882
Camil Alimentos Sa Equity0.00%$1,166,834
JPMorgan Chase Bank NA Cash0.00%$1,163,295
Tokyo Century Corp Equity0.00%$1,162,793
SANTEN PHARMACEUTICAL CO. LTD. Equity0.00%$1,161,137
SUNTORY BEVERAGE & FOOD LTD. Equity0.00%$1,156,768
LVMH MOET HENNESSY LOUIS VUITTON SE Fixed Income0.00%$1,156,060
ASML HOLDING NV Fixed Income0.00%$1,144,228
JERONIMO MARTINS SGPS SA Equity0.00%$1,144,182
TREND MICRO, INC. Equity0.00%$1,141,038
FLUTTER ENTERTAINMENT PLC Equity0.00%$1,134,309
IMPERIAL OIL LTD. Equity0.00%$1,132,856
AIR WATER, INC. Equity0.00%$1,130,683
SHISEIDO CO. LTD. Equity0.00%$1,127,371
STRYKER CORP. Fixed Income0.00%$1,127,203
Oglethorpe Power Corp Fixed Income0.00%$1,125,569
CHIBA BANK LTD. Equity0.00%$1,121,946
DEUTSCHE BOERSE AG Fixed Income0.00%$1,120,486
ROHM CO. LTD. Equity0.00%$1,118,726
Nomura Real Estate Holdings Inc Equity0.00%$1,116,844
Contact Energy Ltd Equity0.00%$1,111,851
Pepper Residential Securities Trust NO 35 Fixed Income0.00%$1,111,221
RB GLOBAL, INC. Equity0.00%$1,110,146
Mondelez International Holdings Netherlands BV Fixed Income0.00%$1,109,542
ARGENX SE Equity0.00%$1,106,561
Oji Holdings Corp Equity0.00%$1,104,753
BAYERISCHE MOTOREN WERKE AG Equity0.00%$1,103,841
Shimizu Corp Equity0.00%$1,100,253
Repsol Europe Finance Sarl Fixed Income0.00%$1,098,341
Handy ABS 2024-1 Trust Fixed Income0.00%$1,096,822
MAKITA CORP. Equity0.00%$1,095,933
GJENSIDIGE FORSIKRING ASA Equity0.00%$1,092,835
Mitsui Mining And Smelting Co Ltd Equity0.00%$1,092,273
AMAZON.COM, INC. Fixed Income0.00%$1,090,390
LIXIL CORP. Equity0.00%$1,089,432
SMITH & NEPHEW PLC Equity0.00%$1,088,574
Ju Teng International Holdings Ltd Equity0.00%$1,087,586
SCHNEIDER ELECTRIC SE Fixed Income0.00%$1,086,887
OBIC CO. LTD. Equity0.00%$1,084,935
SEIKO EPSON CORP. Equity0.00%$1,083,729
MIGDAL INSURANCE & FINANCIAL HOLDINGS LTD. Equity0.00%$1,073,386
Mcdonald's Holdings Company Japan Ltd Equity0.00%$1,070,941
Partner Communications Company Ltd Equity0.00%$1,068,373
Prada Spa Equity0.00%$1,068,101
Toyo Suisan Kaisha Ltd Equity0.00%$1,064,024
VERBUND AG Equity0.00%$1,063,789
ALBERTA, PROVINCE OF Fixed Income0.00%$1,063,219
VOLKSWAGEN AG Equity0.00%$1,061,604
WEST JAPAN RAILWAY CO. Equity0.00%$1,057,303
Avanza Bank Holding Ab Equity0.00%$1,053,477
Athene Holding Ltd Fixed Income0.00%$1,048,521
RAIFFEISEN BANK INTERNATIONAL AG Fixed Income0.00%$1,042,803
NISSAN MOTOR CO. LTD. Equity0.00%$1,040,858
DOMINION ENERGY, INC. Fixed Income0.00%$1,040,538
Anglo American Capital PLC Fixed Income0.00%$1,037,039
Marui Group Co Ltd Equity0.00%$1,036,626
Hachijuni Bank Ltd Equity0.00%$1,034,901
STARBUCKS CORP. Fixed Income0.00%$1,033,115
RECORDATI INDUSTRIA CHIMICA E FARMACEUTICA SPA Equity0.00%$1,032,088
Shell International Finance BV Fixed Income0.00%$1,030,211
BANK OF IRELAND GROUP PLC Fixed Income0.00%$1,030,171
Public Service Co of Oklahoma Fixed Income0.00%$1,029,844
EISAI CO. LTD. Equity0.00%$1,024,354
NIPPON PAINT HOLDINGS CO. LTD. Equity0.00%$1,022,175
PRPM 2023-RCF1 LLC Fixed Income0.00%$1,020,346
TALANX AG Fixed Income0.00%$1,016,712
CGI, INC. Equity0.00%$1,014,777
Roche Finance Europe BV Fixed Income0.00%$1,013,825
HOKURIKU ELECTRIC POWER CO. Equity0.00%$1,012,133
CAPITALAND INVESTMENT LTD. Equity0.00%$1,010,352
Aptiv Swiss Holdings Ltd Fixed Income0.00%$1,008,887
Hapag Lloyd Ag Equity0.00%$1,008,292
BANKINTER SA Fixed Income0.00%$1,005,879
HUTCHISON PORT HOLDINGS TRUST Infrastructure0.00%$1,000,403
Continuity Capital Private Equity Equity0.00%$999,390
JAPAN POST INSURANCE CO. LTD. Equity0.00%$998,588
Iyogin Holdings Inc Equity0.00%$996,235
TOKYO OHKA KOGYO CO. LTD. Equity0.00%$993,875
KIKKOMAN CORP. Equity0.00%$993,872
Ono Pharmaceutical Co Ltd Equity0.00%$990,730
Wharf Real Estate Investment Company Ltd Equity0.00%$988,899
Carlsberg Breweries A/S Fixed Income0.00%$988,623
WILMAR INTERNATIONAL LTD. Equity0.00%$984,788
Summerset Group Holdings Ltd Equity0.00%$983,784
American Tower Trust #1 Fixed Income0.00%$982,980
Ssab Ab Equity0.00%$982,936
CARNIVAL CORP. Equity0.00%$980,137
SHUFERSAL LTD. Equity0.00%$978,554
NH FOODS LTD. Equity0.00%$975,499
PORSCHE AUTOMOBIL HOLDING SE Equity0.00%$973,932
AMADA CO. LTD. Equity0.00%$973,900
Shenzhen Expressway Corp Ltd Equity0.00%$972,913
STMICROELECTRONICS NV Equity0.00%$970,622
Kinden Corp Equity0.00%$965,235
IGM FINANCIAL, INC. Equity0.00%$964,175
SODEXO SA Fixed Income0.00%$962,883
Seatrium Ltd Equity0.00%$959,073
ZIMMER BIOMET HOLDINGS, INC. Fixed Income0.00%$957,848
Sparebank 1 Sr Bank Asa Equity0.00%$952,108
ZILLOW GROUP, INC. Equity0.00%$948,735
Baltimore Gas and Electric Co Fixed Income0.00%$947,488
YARA INTERNATIONAL ASA Equity0.00%$947,418
Orsted A/S Equity0.00%$930,040
Intermediate Capital Group Plc Equity0.00%$929,113
CCEP Finance Ireland DAC Fixed Income0.00%$926,720
SUMITOMO RUBBER INDUSTRIES LTD. Equity0.00%$926,232
IVANHOE MINES LTD. Equity0.00%$924,685
GUIDEWIRE SOFTWARE, INC. Equity0.00%$924,089
IONQ, INC. Equity0.00%$924,022
ORKLA ASA Equity0.00%$922,382
SUNCOR ENERGY, INC. Equity0.00%$920,866
NEXON CO. LTD. Equity0.00%$917,933
Apollo Series 2017-2 Trust Fixed Income0.00%$913,870
Gunma Bank Ltd Equity0.00%$906,332
Veidekke ASA Equity0.00%$905,237
F&G ANNUITIES & LIFE, INC. Equity0.00%$905,123
DASSAULT AVIATION SA Equity0.00%$898,920
GENTING SINGAPORE LTD. Equity0.00%$897,991
ICL GROUP LTD. Equity0.00%$895,268
OMRON CORP. Equity0.00%$894,527
Takashimaya Co Ltd Equity0.00%$889,122
NETFLIX, INC. Fixed Income0.00%$886,669
Azelis Finance NV Fixed Income0.00%$886,583
NICHIREI CORP. Equity0.00%$886,082
Barratt Developments P L C Equity0.00%$884,110
HAREL INSURANCE INVESTMENTS & FINANCIAL SERVICES LTD. Equity0.00%$881,411
Cogent Communications Holdings Inc Equity0.00%$877,693
Nordnet Ab (Publ) Equity0.00%$876,641
FirstEnergy Transmission LLC Fixed Income0.00%$876,311
Thermo Fisher Scientific Finance I BV Fixed Income0.00%$874,315
Time Warner Cable LLC Fixed Income0.00%$872,797
HENSOLDT AG Equity0.00%$871,866
Jardine Cycle & Carriage Ltd Equity0.00%$871,601
CARREFOUR SA Fixed Income0.00%$870,968
Delta Air Lines 2020-1 Class A Pass Through Trust Fixed Income0.00%$869,033
MONOTARO CO. LTD. Equity0.00%$868,517
COMSYS HOLDINGS CORP. Equity0.00%$865,551
Mainfreight Ltd Equity0.00%$859,483
KANSAI PAINT CO. LTD. Equity0.00%$858,157
SG HOLDINGS CO. LTD. Equity0.00%$857,412
HAFNIA LTD. Equity0.00%$852,084
BIOMERIEUX Equity0.00%$851,749
Gatwick Funding Ltd Fixed Income0.00%$850,760
INTERNATIONAL PAPER CO. Equity0.00%$848,228
SECTRA AB Equity0.00%$847,130
M3, INC. Equity0.00%$845,952
Sweco Ab (Publ) Equity0.00%$844,429
NICE LTD. Equity0.00%$839,328
Catalyst Investment Managers Pty Ltd Equity0.00%$838,875
SMITH & NEPHEW PLC Equity0.00%$837,177
BOLLORE SE Equity0.00%$830,341
Isetan Mitsukoshi Holdings Ltd Equity0.00%$821,966
Hirose Electric Co Ltd Equity0.00%$819,164
MEDIPAL HOLDINGS CORP. Equity0.00%$817,469
Duke Energy Carolinas LLC Fixed Income0.00%$816,482
Entegris Escrow Corp Fixed Income0.00%$809,178
Digital Dutch Finco BV Fixed Income0.00%$805,087
Fukuoka Financial Group Inc Equity0.00%$803,058
RAKUTEN BANK LTD. Equity0.00%$801,664
Beijer Ref Ab (Publ) Equity0.00%$796,903
SARTORIUS AG Equity0.00%$794,456
ZOZO, INC. Equity0.00%$793,345
KOBE BUSSAN CO. LTD. Equity0.00%$791,686
SANDS CHINA LTD. Equity0.00%$790,941
Sumitomo Heavy Industries Ltd Equity0.00%$778,498
Virgin Money Uk Plc Fixed Income0.00%$774,134
Hexpol Ab Equity0.00%$773,814
JAPAN AIRPORT TERMINAL CO. LTD. Equity0.00%$772,364
NISSIN FOODS HOLDINGS CO. LTD. Equity0.00%$770,830
Toho Co Ltd (Tokyo) Equity0.00%$770,470
Fattal Holdings 1998 Ltd Equity0.00%$761,533
EDP Servicios Financieros Espana SA Fixed Income0.00%$756,423
TOKYU CORP. Equity0.00%$754,530
Axfood Ab Equity0.00%$753,067
ASAHI INTECC CO. LTD. Equity0.00%$750,958
SUPERLOOP LTD. Equity0.00%$750,473
Russell Investments Property0.00%$750,334
Burlington Northern Santa Fe LLC Fixed Income0.00%$748,114
BETSSON AB Equity0.00%$746,828
Dentsu Group Inc Equity0.00%$746,824
CIE GENERALE DES ETABLISSEMENTS MICHELIN SCA Fixed Income0.00%$746,131
SUGI HOLDINGS CO. LTD. Equity0.00%$745,139
ADIDAS AG Fixed Income0.00%$743,056
Sohgo Security Services Co Ltd Equity0.00%$738,834
NHK SPRING CO. LTD. Equity0.00%$738,367
INFRATIL LTD. Equity0.00%$735,817
SUNDRUG CO. LTD. Equity0.00%$732,129
NIKON CORP. Equity0.00%$727,543
TENARIS SA Equity0.00%$726,011
TOTO LTD. Equity0.00%$723,731
KOITO MANUFACTURING CO. LTD. Equity0.00%$718,187
MISUMI GROUP, INC. Equity0.00%$716,204
Kewpie Corp Equity0.00%$714,514
Autostrade per l'Italia SpA Fixed Income0.00%$714,117
SVENSKA HANDELSBANKEN AB Fixed Income0.00%$707,523
Mitsubishi Gas Chemical Co Inc Equity0.00%$706,938
Munters Group Ab Equity0.00%$704,314
Scottish Hydro Electric Transmission PLC Fixed Income0.00%$701,573
ORACLE CORP. JAPAN Equity0.00%$696,818
TOYOTA BOSHOKU CORP. Equity0.00%$695,845
Aak Ab (Publ) Equity0.00%$694,010
LION CORP. Equity0.00%$692,919
EMS-CHEMIE HOLDING AG Equity0.00%$689,216
Vector Ltd Equity0.00%$687,252
KYUSHU RAILWAY CO. Equity0.00%$682,787
EL AL ISRAEL AIRLINES Equity0.00%$681,219
Rohto Pharmaceutical Co Ltd Equity0.00%$679,814
TOYO SEIKAN GROUP HOLDINGS LTD. Equity0.00%$676,073
ENLIGHT RENEWABLE ENERGY LTD. Equity0.00%$674,427
Sumco Corp Equity0.00%$670,962
ALFRESA HOLDINGS CORP. Equity0.00%$670,187
INTERNET INITIATIVE JAPAN, INC. Equity0.00%$668,363
TPG Inc Equity0.00%$665,481
YAKULT HONSHA CO. LTD. Equity0.00%$664,634
FASTIGHETS AB BALDER Equity0.00%$662,357
Koreagascorp Equity0.00%$657,133
NISSHIN SEIFUN GROUP, INC. Equity0.00%$656,962
MENORA MIVTACHIM HOLDINGS LTD. Equity0.00%$656,746
ALAMOS GOLD, INC. Equity0.00%$656,016
EBOS GROUP LTD. Equity0.00%$652,288
BNP PARIBAS CashUSD0.00%$649,585
MERIDIAN ENERGY LTD. Equity0.00%$646,307
IIDA GROUP HOLDINGS CO. LTD. Equity0.00%$644,859
TEL AVIV STOCK EXCHANGE LTD. Equity0.00%$644,679
ODAKYU ELECTRIC RAILWAY CO. LTD. Equity0.00%$644,073
KINTETSU GROUP HOLDINGS CO. LTD. Equity0.00%$643,151
TELSTRA GROUP LTD Fixed Income0.00%$642,330
GENERAL ELECTRIC CO. Fixed Income0.00%$641,600
JTEKT CORP. Equity0.00%$638,451
HIKARI TSUSHIN, INC. Equity0.00%$637,595
Southern Gas Networks PLC Fixed Income0.00%$631,179
ASR NEDERLAND NV Fixed Income0.00%$625,947
ROC CAPITAL PTY LTD Equity0.00%$625,674
NIBE INDUSTRIER AB Equity0.00%$622,175
MICROSOFT CORP. Fixed Income0.00%$620,617
COSMOS PHARMACEUTICAL CORP. Equity0.00%$617,376
AIB GROUP PLC Fixed Income0.00%$616,961
YAMAHA CORP. Equity0.00%$614,974
ZENKOKU HOSHO CO. LTD. Equity0.00%$614,037
SCHRODERS PLC Equity0.00%$608,741
AZRIELI GROUP LTD. Equity0.00%$606,993
FIDELITY NATIONAL INFORMATION SERVICES, INC. Fixed Income0.00%$605,601
TAKASAGO THERMAL ENGINEERING CO. LTD. Equity0.00%$603,250
KEISEI ELECTRIC RAILWAY CO. LTD. Equity0.00%$601,914
FLETCHER BUILDING LTD. Equity0.00%$600,735
NIFCO, INC. Equity0.00%$600,053
UBS AG/Australia Fixed Income0.00%$599,741
Kandenko Co Ltd Equity0.00%$598,421
BGC GROUP, INC. Fixed Income0.00%$595,163
Zeda Ltd Equity0.00%$593,757
ACCOR SA Equity0.00%$591,098
PANDOX AB Equity0.00%$589,011
JPMorgan Chase Bank NA Cash0.00%$586,964
STANLEY ELECTRIC CO. LTD. Equity0.00%$586,886
Montreux Equity Partners Equity0.00%$586,258
Xinyi Glass Holdings Ltd Equity0.00%$580,158
Formula Systems 1985 Ltd Equity0.00%$579,907
SOCIONEXT, INC. Equity0.00%$577,019
CANON MARKETING JAPAN, INC. Equity0.00%$576,615
TOBU RAILWAY CO. LTD. Equity0.00%$575,620
RINNAI CORP. Equity0.00%$572,305
Wallenius Wilhelmsen Asa Equity0.00%$568,474
HOLMEN AB Equity0.00%$564,775
BKW AG Equity0.00%$563,246
A2 Milk Company Ltd Equity0.00%$560,587
Frontline Ltd Equity0.00%$559,191
WEST PHARMACEUTICAL SERVICES, INC. Equity0.00%$559,115
Shimamura Co Ltd Equity0.00%$558,533
SAGAX AB Equity0.00%$555,573
CASTELLUM AB Equity0.00%$555,444
MASTERCARD, INC. Fixed Income0.00%$552,780
YAMATO HOLDINGS CO. LTD. Equity0.00%$552,648
Rai Way Spa Equity0.00%$551,956
Gmo Payment Gateway Inc Equity0.00%$550,778
Schibsted Asa Equity0.00%$550,273
Liberty Media Corp Equity0.00%$541,997
PROTECTOR FORSIKRING ASA Equity0.00%$540,190
HAMAMATSU PHOTONICS KK Equity0.00%$538,600
Matrix It Ltd Equity0.00%$534,725
KAMIGUMI CO. LTD. Equity0.00%$534,632
Hakuhodo Dy Holdings Inc Equity0.00%$533,378
KYOWA KIRIN CO. LTD. Equity0.00%$530,929
Duke Energy Progress LLC Fixed Income0.00%$529,618
Sydney Airport Finance Co Pty Ltd Fixed Income0.00%$524,322
GILDAN ACTIVEWEAR, INC. Equity0.00%$521,732
MITSUBISHI MOTORS CORP. Equity0.00%$519,278
SANKYU, INC. Equity0.00%$518,611
SEGA SAMMY HOLDINGS, INC. Equity0.00%$515,818
Japan Steel Works Ltd Equity0.00%$512,924
Electra Ltd Equity0.00%$512,371
Volvo Car Ab Equity0.00%$512,214
Hera SpA Fixed Income0.00%$511,596
Mivne Real Estate Kd Ltd Equity0.00%$508,680
SQUARE ENIX HOLDINGS CO. LTD. Equity0.00%$496,606
SPARK NEW ZEALAND LTD. Equity0.00%$492,854
Pagaya AI Technology in Housing Trust 2023-1 Fixed Income0.00%$491,032
COCA-COLA BOTTLERS JAPAN HOLDINGS, INC. Equity0.00%$488,778
UOL GROUP LTD. Equity0.00%$488,390
Big Shopping Centers Ltd Equity0.00%$484,734
Duke Energy Ohio Inc Fixed Income0.00%$484,098
Thule Group Ab Equity0.00%$480,240
HUSQVARNA AB Equity0.00%$480,074
Organo Corp Equity0.00%$479,869
Swedish Orphan Biovitrum Ab (Publ) Equity0.00%$476,853
CANADIAN UTILITIES LTD. Equity0.00%$474,905
ELECTRIC POWER DEVELOPMENT CO. LTD. Equity0.00%$474,408
Sinch Ab (Publ) Equity0.00%$472,665
UNILEVER PLC Fixed Income0.00%$472,381
KAKAKU.COM, INC. Equity0.00%$471,718
YAMADA HOLDINGS CO. LTD. Equity0.00%$469,716
MAPFRE SA Equity0.00%$469,358
YAMAGUCHI FINANCIAL GROUP, INC. Equity0.00%$466,674
Medicover Ab Equity0.00%$465,994
Holcim Sterling Finance Netherlands BV Fixed Income0.00%$463,610
Diebold Nixdorf Inc Equity0.00%$460,991
SALMAR ASA Equity0.00%$457,404
Hilan Ltd Equity0.00%$457,110
WIHLBORGS FASTIGHETER AB Equity0.00%$453,905
Macquarie Infrastructure Infrastructure0.00%$453,570
SARTORIUS STEDIM BIOTECH Equity0.00%$452,595
Var Energi Asa Equity0.00%$451,005
Fox Wizel Ltd Equity0.00%$450,797
Sapporo Holdings Ltd Equity0.00%$450,470
Cadent Finance PLC Fixed Income0.00%$448,654
Federation Interest Options Equity0.00%$446,864
SWIRE PROPERTIES LTD. Equity0.00%$432,038
PEAB AB Equity0.00%$431,986
HOSHIZAKI CORP. Equity0.00%$427,343
Rocket Companies Inc Equity0.00%$425,664
American Airlines 2016-1 Class AA Pass Through Trust Fixed Income0.00%$425,318
Crown Castle Towers LLC Fixed Income0.00%$425,061
Borregaard Asa Equity0.00%$423,841
YAMATO KOGYO CO. LTD. Equity0.00%$421,936
MELISRON LTD. Equity0.00%$419,166
Tomra Systems Asa Equity0.00%$408,145
One Software Technologies Ltd Equity0.00%$405,083
Seino Holdings Co Ltd Equity0.00%$402,010
Prodigy Finance CM2021-1 DAC Fixed Income0.00%$401,902
Saibu Gas Holdings Co Ltd Equity0.00%$398,946
SUZUKEN CO. LTD. Equity0.00%$398,355
Maeil Dairies Co Ltd Equity0.00%$395,378
ANA HOLDINGS, INC. Equity0.00%$392,542
BW LPG Ltd Equity0.00%$390,872
Globalfoundries Inc Equity0.00%$389,539
Opc Energy Ltd Equity0.00%$388,156
Zegona Communications plc Equity0.00%$385,687
Iwatani Corp Equity0.00%$379,158
UNIPOL ASSICURAZIONI SPA Equity0.00%$375,863
Eutelsat Communications Sa Equity0.00%$375,576
RENTOKIL INITIAL PLC Equity0.00%$374,534
Hoegh Autoliners ASA Equity0.00%$373,082
China Yongda Automobiles Services Holdings Ltd Equity0.00%$370,397
Providence St Joseph Health Obligated Group Fixed Income0.00%$369,026
TENARIS SA Equity0.00%$367,158
Asmodee Group AB Equity0.00%$363,237
Budweiser Brewing Company Apac Ltd Equity0.00%$362,534
Alony Hetz Properties And Investments Ltd Equity0.00%$358,206
CATENA AB Equity0.00%$358,198
Smurfit Westrock Financing DAC Fixed Income0.00%$357,058
THOMSON REUTERS CORP. Equity0.00%$356,265
Millrose Properties Inc Property0.00%$355,580
CANADIAN PACIFIC KANSAS CITY LTD. Equity0.00%$354,823
FABEGE AB Equity0.00%$354,735
Billerud Ab (Publ) Equity0.00%$353,299
ABBVIE, INC. Fixed Income0.00%$351,753
Mercury Nz Ltd Equity0.00%$351,578
Ssab Ab Equity0.00%$350,080
Newgate Funding PLC Fixed Income0.00%$349,065
Nok Corp Equity0.00%$342,727
BLACKSTONE, INC. Property0.00%$342,404
Kyudenko Corp Equity0.00%$341,193
Meritage Homes Corp Fixed Income0.00%$340,108
Strauss Group Ltd Equity0.00%$338,854
TOYOTA INDUSTRIES CORP. Equity0.00%$335,071
KEIO CORP. Equity0.00%$334,794
DOF Group ASA Equity0.00%$334,431
Aker Asa Equity0.00%$333,722
Mashreqbank PSC Fixed Income0.00%$333,188
MODEC, INC. Equity0.00%$332,399
VISIONAL, INC. Equity0.00%$328,234
Acom Co Ltd Equity0.00%$325,734
Vista Land And Lifescapes Inc Equity0.00%$325,623
FERGUSON ENTERPRISES, INC. Equity0.00%$325,561
Meitav Investment House Ltd Equity0.00%$321,446
Hokkaido Gas Co Ltd Equity0.00%$319,931
ENBRIDGE, INC. Equity0.00%$318,675
Magnum Ice Cream Co NV/The Equity0.00%$318,091
Brookfield Wealth Solutions Ltd Equity0.00%$315,916
Okinawa Electric Power Co Inc Equity0.00%$310,316
Bayview Commercial Asset Trust 2005-2 Fixed Income0.00%$307,781
BROOKFIELD RENEWABLE CORP. Equity0.00%$306,535
Camtek Ltd Equity0.00%$303,890
ODFJELL DRILLING LTD. Equity0.00%$300,441
HUFVUDSTADEN AB Equity0.00%$300,335
Sky Perfect Jsat Holdings Inc Equity0.00%$295,586
NIPPON TELEVISION HOLDINGS, INC. Equity0.00%$293,436
Delta Galil Ltd Equity0.00%$291,247
Mitsubishi Logistics Corp Equity0.00%$290,138
Hk Electric Investments Ltd Infrastructure0.00%$289,284
Austevoll Seafood Asa Equity0.00%$286,348
VAT GROUP AG Equity0.00%$286,053
Tbs Holdings Inc Equity0.00%$280,736
Mercari Inc Equity0.00%$279,115
NS SOLUTIONS CORP. Equity0.00%$271,204
Shizuoka Gas Co Ltd Equity0.00%$271,038
P/F Bakkafrost Equity0.00%$268,885
RAKUS CO. LTD. Equity0.00%$267,766
Equital Ltd Equity0.00%$265,276
AMOT INVESTMENTS LTD. Equity0.00%$262,082
ABC-MART, INC. Equity0.00%$259,711
GILDAN ACTIVEWEAR, INC. Equity0.00%$250,373
WALLENSTAM AB Equity0.00%$249,919
Mega Or Holdings Ltd Property0.00%$249,642
Shikun & Binui Ltd Equity0.00%$246,123
Bet Shemesh Engines Holdings 1997 Ltd Equity0.00%$245,261
SHARP CORP. Equity0.00%$244,793
SUMITOMO PHARMA CO. LTD. Equity0.00%$240,694
Port Of Tauranga Ltd Equity0.00%$239,707
Dominion Energy South Carolina Inc Fixed Income0.00%$237,208
JPMorgan Chase Bank NA Cash0.00%$233,631
FUJI MEDIA HOLDINGS, INC. Equity0.00%$228,550
LENNAR CORP. Equity0.00%$226,974
CELLCOM ISRAEL LTD. Equity0.00%$219,738
Airport City Ltd Equity0.00%$219,431
PEARSON PLC Equity0.00%$216,954
Leroy Seafood Group Asa Equity0.00%$215,905
STELLANTIS NV Equity0.00%$215,464
Georgia Power Co Fixed Income0.00%$213,978
Koei Tecmo Holdings Co Ltd Equity0.00%$213,135
American Airlines 2019-1 Class AA Pass Through Trust Fixed Income0.00%$213,092
Kenon Holdings Ltd Equity0.00%$211,789
Camurus AB Equity0.00%$208,798
JPMorgan Chase Bank NA Cash0.00%$207,168
Sparebank 1 Oestlandet Equity0.00%$203,197
TOEI ANIMATION CO. LTD. Equity0.00%$201,875
Wellcome Trust Ltd/The Fixed Income0.00%$200,264
American Airlines 2017-1 Class AA Pass Through Trust Fixed Income0.00%$200,058
NORDIC SEMICONDUCTOR ASA Equity0.00%$199,933
Mitsui E&S Co Ltd Equity0.00%$199,197
BARCLAYS PLC Equity0.00%$196,065
DSM-FIRMENICH AG Equity0.00%$193,081
MGM CHINA HOLDINGS LTD. Equity0.00%$180,195
Bioarctic Ab Equity0.00%$177,195
Pantheon Ventures Equity0.00%$176,500
STANDARD CHARTERED BANK CashAUD0.00%$175,709
CAMECO CORP. Equity0.00%$172,072
Ashtrom Group Ltd Equity0.00%$171,035
JPMorgan Chase Bank NA CashSEK0.00%$169,106
Turpaz Industries Ltd Equity0.00%$165,359
SWIRE PACIFIC LTD. Equity0.00%$163,129
Shapir Engineering And Industry Ltd Equity0.00%$162,801
BROOKFIELD RENEWABLE CORP. Equity0.00%$160,565
YH Dimri Construction & Development Ltd Equity0.00%$157,782
JPMorgan Chase Bank NA Cash0.00%$156,066
NOVA LTD. Equity0.00%$152,824
Samchully Co Ltd Equity0.00%$150,960
Aluminum Corporation Of China Ltd Equity0.00%$145,845
HANG LUNG PROPERTIES LTD. Equity0.00%$142,830
Stolt-Nielsen Ltd Equity0.00%$136,890
AUTOSTORE HOLDINGS LTD. Equity0.00%$136,591
Wilh Wilhelmsen Holding ASA Equity0.00%$132,391
SVENSKA HANDELSBANKEN AB Equity0.00%$131,485
PUMA-Series 2017-1 Fixed Income0.00%$129,295
TOYODA GOSEI CO. LTD. Equity0.00%$129,293
Doral Group Renewable Energy Resources Ltd Equity0.00%$129,215
AMERICAN HOMES 4 RENT Fixed Income0.00%$128,871
American Airlines 2016-3 Class AA Pass Through Trust Fixed Income0.00%$126,398
TOEI CO. LTD. Equity0.00%$122,673
Central New Energy Holding Group Ltd Equity0.00%$122,483
TELEFONAKTIEBOLAGET LM ERICSSON Equity0.00%$121,610
BW LPG Ltd Equity0.00%$120,597
Essity Ab (Publ) Equity0.00%$120,530
CLAS OHLSON AB Equity0.00%$119,787
Energix Renewable Energies Ltd Equity0.00%$119,623
Dws Group Gmbh & Co Kgaa Equity0.00%$119,370
TECK RESOURCES LTD. Equity0.00%$118,513
Olav Thon Eiendomsselskap Asa Equity0.00%$110,639
EXEO GROUP, INC. Equity0.00%$105,739
GFL ENVIRONMENTAL, INC. Equity0.00%$103,619
Fonterra Shareholders' Fund Alternatives0.00%$97,779
Oak Hill Equity0.00%$97,596
OBIC BUSINESS CONSULTANTS CO. LTD. Equity0.00%$97,526
Actis Equity0.00%$97,492
THK CO. LTD. Equity0.00%$94,894
BOMBARDIER, INC. Equity0.00%$93,437
KEIKYU CORP. Equity0.00%$93,119
CYBERARK SOFTWARE LTD. Equity0.00%$91,706
ATRIUM LJUNGBERG AB Equity0.00%$88,624
KINDER MORGAN, INC. Fixed Income0.00%$88,449
Trustee For Emerald II Reverse Mortgage Series 2007-1 Trust/The Fixed Income0.00%$88,192
RELX PLC Equity0.00%$85,985
Aura Investments Ltd Equity0.00%$85,952
ENTRA ASA Equity0.00%$80,840
Keenova Therapeutics PLC Equity0.00%$79,378
TVS MOTOR CO. LTD. Equity0.00%$77,417
CANADIAN NATURAL RESOURCES LTD. Equity0.00%$75,972
Isrotel Ltd Equity0.00%$75,298
Horizon Construction Development Ltd Equity0.00%$75,105
PCCW LTD. Equity0.00%$74,618
Mccormick & Company Inc Equity0.00%$69,005
American Airlines 2017-2 Class AA Pass Through Trust Fixed Income0.00%$66,386
Embracer Group Ab Equity0.00%$65,814
Wilh Wilhelmsen Holding ASA Equity0.00%$65,191
Svenska Cellulosa Sca Ab Equity0.00%$65,100
SKF AB Equity0.00%$64,443
Novo Nordisk A/S Equity0.00%$61,116
Dexerials Corp Equity0.00%$60,652
Casey's General Stores Inc Equity0.00%$58,394
SKANDINAVISKA ENSKILDA BANKEN AB Equity0.00%$57,888
CARNIVAL CORP. Equity0.00%$56,765
DIAGEO PLC Equity0.00%$54,503
Goldman Sachs Equity0.00%$53,718
FIT Hon Teng Ltd Equity0.00%$52,662
NICE LTD. Equity0.00%$49,164
JPMorgan Chase Bank NA Cash0.00%$47,370
Bure Equity Ab Equity0.00%$47,293
LLOYDS BANKING GROUP PLC Equity0.00%$42,733
TFP Realisations PLC Fixed Income0.00%$41,919
Israel Canada T.R Ltd Equity0.00%$41,096
JPMorgan Chase Bank NA Cash0.00%$40,341
BANK OF MONTREAL Equity0.00%$39,284
Elbit Systems Ltd Equity0.00%$34,544
Nayax Ltd Equity0.00%$30,791
HONDA MOTOR CO. LTD. Equity0.00%$30,585
GRAB HOLDINGS LTD. Equity0.00%$30,311
RELX PLC Equity0.00%$30,002
Tower Semiconductor Ltd Equity0.00%$29,742
CHECK POINT SOFTWARE TECHNOLOGIES LTD. Equity0.00%$28,789
ABIOMED Inc Equity0.00%$28,216
WIX.COM LTD. Equity0.00%$26,006
BANCO ABC BRASIL SA Equity0.00%$25,845
Cadeler A/S Equity0.00%$25,285
CANADIAN NATIONAL RAILWAY CO. Equity0.00%$23,051
HUSQVARNA AB Equity0.00%$20,307
Workman Co Ltd Equity0.00%$19,978
HARBOURVEST PARTNERS, LLC Equity0.00%$19,059
Centuria Capital Ltd Property0.00%$18,817
Bentham Asset Management Pty Ltd Equity0.00%$13,791
JPMorgan Chase Bank NA Cash0.00%$13,737
COCA-COLA EUROPACIFIC PARTNERS PLC Equity0.00%$12,690
Pomona Capital Equity0.00%$11,658
Azul SA Equity0.00%$10,014
JPMorgan Chase Bank NA Cash0.00%$8,700
Kiatnakin Phatra Bank Pcl Equity0.00%$7,597
Toronto-Dominion Bank/The CashAUD0.00%$6,651
BARINGS LLC Equity0.00%$5,783
ALCON AG Equity0.00%$5,246
Marathon Asset Management, LP Equity0.00%$5,033
Rockwool A/S Equity0.00%$3,455
Formula Systems 1985 Ltd Equity0.00%$3,007
BCE, INC. Equity0.00%$2,267
AUSTRALIA AND NEW ZEALAND BANKING GROUP LIMITED CashAUD0.00%$1,524
MAGELLAN FINANCIAL GROUP LTD. Equity0.00%$820
JPMorgan Chase Bank NA Cash0.00%$777
JP Morgan Securities LLC CashSGD0.00%$227
JPMorgan Chase Bank NA Cash0.00%$164
JPMorgan Chase Bank NA Cash0.00%$1
Societe De Fabrication Des Boissons De Tunisie Sa Equity0.00%$1
AET AND D HOLDINGS NO. 1 Equity$0
Auto Europe Group Equity$0
Bank Kb Bukopin Tbk Pt Equity$0
China Fiber Optic Network System Group Ltd Equity$0
China Lumena New Materials Corp Equity$0
Constellation Software Inc/Canada Equity$0
ESC GCI LIBERTY INC SR Equity$0
Evraz Plc Equity$0
Fleetwood Enterprises Inc Equity$0
Fraser Papers Inc Equity$0
Gazprom Neft' Pao Equity$0
Gazprom PJSC Equity$0
GenesisCare USA Group Holdings Inc Equity$0
GMK Norilskiy Nickel PAO Equity$0
LUKOIL PJSC Equity$0
Magnetica Ltd Equity$0
Magnit Pao Equity$0
Mobil'nye Telesistemy Pao Equity$0
Norwood Immunology Pty Ltd Equity$0
Pakistan Telecommunication Co Ltd Equity$0
Polyus Pjsc Equity$0
Rosneft Oil Co PJSC Equity$0
SES SA Equity$0
Severstal PAO Equity$0
Tatneft PJSC Equity$0
Travelex International Ltd Equity$0
Value Creation Inc/Canada Equity$0
Virgin Australia International Holdings Pty Ltd Equity$0
YONDERLAND BV - CLASS B Equity$0
JP Morgan Securities LLC CashHKD0.00%-$7
JP Morgan Securities LLC CashCHF0.00%-$25,474
JP Morgan Securities LLC Cash0.00%-$92,297
Citibank NA CashUSD0.00%-$197,092
JP Morgan Securities LLC CashCHF0.00%-$484,926
JP Morgan Securities LLC CashSEK0.00%-$520,535
Goldman Sachs International CashUSD0.00%-$539,410
BARCLAYS BANK PLC CashUSD0.00%-$695,010
JP Morgan Securities LLC CashCAD0.00%-$1,418,495
Bank of America NA CashUSD0.00%-$3,482,341
UBS AG CashAUD0.00%-$4,803,307
JP Morgan Securities LLC Cash0.00%-$5,097,492
HONGKONG & SHANGHAI BANKING CORP. LTD. CashAUD0.00%-$11,767,477
Bank of America NA CashAUD-0.01%-$14,904,937
ROYAL BANK OF CANADA CashAUD-0.01%-$15,752,483
JP Morgan Securities LLC CashAUD-0.01%-$20,770,519
BARCLAYS BANK PLC CashAUD-0.01%-$21,454,780
SOCIETE GENERALE CashAUD-0.01%-$24,116,935
Morgan Stanley & Co International PLC CashAUD-0.01%-$33,566,679
NATIONAL AUSTRALIA BANK LIMITED CashAUD-0.02%-$57,480,446
Citibank NA CashAUD-0.03%-$71,164,031
Goldman Sachs International CashAUD-0.03%-$74,651,700
BNP PARIBAS CashAUD-0.03%-$75,813,624
WESTPAC BANKING CORPORATION CashAUD-0.04%-$113,465,732
JPMorgan Chase Bank NA CashAUD-0.17%-$433,707,578
JPMorgan Chase Bank NA CashUSD-0.19%-$503,305,921
1200 W Carroll Property
1300 W Carroll Property
Abode Property
Ala Moana Shopping Centre Property
ALLP JVIM Property
Assemble BSB Property
Assemble BSI Property
Assemble BWB Property
ASSEMBLE HOLDCO Property
Assemble SRC Property
Assemble TSK Property
Assemble VSB Property
Assemble WSF Property
Athena Financial Pty Ltd Equity
Ausgrid Infrastructure
Baseline LLC Property
BCI Ltd Convertible Note Alternatives
Canada Water Property
Cirion Infrastructure
Craigieburn Logistics Estate Property
Databank Infrastructure
Endura Mining Equity
Fitzroy Gas Works BTR Property
Fitzroy Gas Works BTS Property
Frontier Equity
Generate Capital Infrastructure
Houston Center Property
Indara Infrastructure
Industry Super Holdings Pty Ltd F/P Equity
Kings Cross Estate Property
Kingswood Property
M7 Real Estate Property
Marron Group Holdings Pty Ltd Equity
Marron Group Holdings Pty Ltd Unissued Warrants Alternatives
Mascot Industrial Property
Moorebank Logistics Estate Property
NSW Ports Infrastructure
Peel Ports Infrastructure
PerkinElmer Topco, L.P. and PerkinElmer Topco GP, L.L.C. Equity
PERTH AIRPORT Infrastructure
Slate 1 Trust Equity
Sydney Airport Infrastructure
Syrah Resources Convertible Note Alternatives
Transurban Chesapeake Infrastructure
Transurban Queensland Infrastructure
Vantage EMEA Infrastructure
Vermont Aus Holdco Pty Ltd Equity
Virtual Communities Pty Ltd Equity
Westconnex Infrastructure
Wiri NZ Property
Wollert Property
ALLP JVIM Property
Assemble BSI Property
Assemble BWB Property
Broadgate Estate Property
Delphi Ventures VIII, L.P. Equity
Valad ( BREP Diversified Portfolio #1) Property
Synergy Property
Marathon Asset Management, LP Equity
BARINGS LLC Equity
Clover Fund, L.P. Equity
Great Eagle - Dalian Property
Columbia Sussex Property
Chiswick Park Property
Pomona Capital Equity
CityView Property
Bentham Asset Management Pty Ltd Equity
Glenborough Property
HARBOURVEST PARTNERS, LLC Equity
Build Club Pty Ltd Equity
Ultra Bionics Equity
Clarus Lifesciences II, L.P. Equity
Charles River Partnership XIV, L.P. Equity
AIRBNB, INC. Equity
CB Co-Invest, LP Property
Ivo AI, Inc. Equity
Blackstone Real Estate Partners Europe III, LP Property
L Capital Asia Equity
Equity Office Properties Property
Hilton Hawaiian Village Timeshare Property
Catalyst Buyout Fund 2 Equity
Accel Growth Fund, L.P. Equity
Den - Blackbird Ventures 2022 Core Fund Equity
FREO Germany II Partners (SCA) SICAR Property
Iceberg Quantum Pty Ltd Equity
SCJREP IV Fund Property
Europa Emerging Eurpoe Fund Property
Wonder Studios London, Ltd. Equity
AHAY Society Pty Ltd Equity
Goldman Sachs Equity
Forum European Realty Exempt III, LP Property
Harrison Street Real Estate Partners II, LP Property
Index Technologies, Inc. Equity
Quadron Business Park Property
TA Atlantic and Pacific VI, L.P. Equity
Five Mile Capital Partners II, LP Property
Starwood Global Opportunity Fund VIII Property
Enhance Labs Equity
CITIC Capital China Partners II, L.P. Equity
Wynnchurch Equity
Forum Asia Realty Exempt III, LP Property
Lend Lease Property
Hall Technologies Pty Ltd Equity
Untitled Spreadsheet Pty Ltd Equity
Validly Pty Ltd Equity
One Future Sports Pty Ltd Equity
Startmate Continuity Fund Equity
Carlyle Asia Real Estate Partners II, LP Property
True North High Yield Investment Fund II, LLLC Property
Walton Street Mexico Fund I, LP Property
Caligra, Ltd. Equity
Spaceduck Pty Ltd Equity
August Capital V Special Opportunities, L.P. Equity
Cartesian Pty Ltd Equity
First Mile Group, Inc. Equity
More Good Days Pty Ltd Equity
Oak Hill Equity
Assemble Technologies Pty Ltd Equity
Clove Kitchen Pty Ltd Equity
Aquila Space Technologies Pty Ltd Equity
Spice AI, Inc. Equity
Dyno Projects, Inc. Equity
OrbiMed Private Investments IV, L.P. Equity
New Enterprise Associates X, L.P. Equity
Zero2IPO China Fund II, L.P. Equity
Charles River Partnership XIII, L.P. Equity
CDH Fund IV, L.P. Equity
Kimia Pty Ltd Equity
Floodgate Fund III, L.P. Equity
Ravio Technologies, Ltd. Equity
Local Carbon Pty Ltd Equity
Eesel Pty Ltd Equity
Lava Equity
Manyata Property
Factor House Pty Ltd Equity
DCM Hybrid RMB Fund, L.P. Equity
Maveron Equity Partners IV, L.P. Equity
Trilingual Pty Ltd Equity
KiKi Equity
Pantheon Ventures Equity
Keytone Ventures, L.P. Equity
Treefrog Therapeutics SAS Equity
Redactive Software Pty Ltd Equity
MBO Capital 3 Equity
Checkmate Savings, Inc. Equity
DCM VI, L.P. Equity
OrbiMed Asia Partners, L.P. Equity
Unsloth AI, Inc. Equity
Foundation Capital VI, L.P. Equity
Opto Biosystems, Ltd. Equity
MagicBrief Pty Ltd Equity
NewFIt Dallas, Ltd. Equity
U.S. Venture Partners X, L.P. Equity
IDG-Accel China Capital, L.P. Equity
Venrock Associates V, L.P. Equity
Kwetta, Ltd. Equity
Anastasia Beverly Hills LLC Equity
Hony Capital Fund 2008, L.P. Equity
New Enterprise Associates XI, L.P. Equity
Fairhaven Capital Partners, L.P. Equity
L Capital 3 Equity
Maples Investments II, L.P. Equity
Hyprlabs, Inc. Equity
Tugboat Ventures II, L.P. Equity
Allogene Therapeutics, Inc. Equity
Felicis Ventures II, L.P. Equity
Housatonic Equity Investors V, L.P. Equity
Operator Technologies AI Pty Ltd Equity
Macquarie Infrastructure Infrastructure
Adora Equity
New Enterprise Associates 13, L.P. Equity
283 Queen Street, Melbourne Property
S2Search Australia Pty Ltd Equity
Redpoint Ventures IV, L.P. Equity
Gridiron Capital Fund II, L.P. Equity
Slate 1 Trust Equity
Montreux Equity Partners Equity
Asklepios BioPharmaceutical, Inc. Equity
Shade Store LLC, The Equity
ROC CAPITAL PTY LTD Equity
Dave Operating LLC Equity
L Capital Asia II, L.P. Equity
VenCap 10 US Class Limited Equity
Vencap 11 Limited Equity
VenCap 10 Euro Class, Ltd. Equity
SV Life Sciences Fund V, L.P. Equity
GBS BioVentures IV Equity
Assemble SRC Property
August Capital V, L.P. Equity
Great Sangsang Co., Ltd. Equity
Cirrus Media Pty Ltd Equity
Market Track LLC Equity
Convey Health Solutions, Inc. Equity
Founder Collective, L.P. Equity
Global Music Rights LLC Equity
Felix Pharmaceuticals Pvt. Ltd. Equity
LBS Corp., Ltd. Equity
TradingView, Inc. Equity
Assemble VSB Property
Assemble WSF Property
7 National Circuit, Barton Property
Tanium, Inc. Equity
Snow Phipps Group Equity
Finnovation Tech Solutions Pvt. Ltd. Equity
10 Missenden Road, Camperdown Property
Exactech, Inc. Equity
General Catalyst Group V, L.P. Equity
Peepul Capital Fund III LLC Equity
Shandong Shuaike Pet Products Co., Ltd. Equity
Frontier Equity
585 Reservoir Road, Prospect Property
Au10tix, Ltd. Equity
Globus Events, Ltd. Equity
713-721 Hay Street Mall, Perth Property
COHERENT CORP. Equity
Virtual Communities Pty Ltd Equity
Tredence, Inc. Equity
Svatantra Microfin Pvt. Ltd. Equity
Inventia Healthcare, Ltd. Equity
STAFFORD CAPITAL PARTNERS PTY LIMITED Equity
Public Equity Investments - Consumer Services - United States - Green Equity Investors IX, L.P. Equity
Aland (Jiangsu) Nutraceutical Co., Ltd. Equity
Mesirow Financial Equity
Comfort Healthcare (Cayman), Ltd. Equity
MORGAN STANLEY Infrastructure
Centuria Property
AMNEAL PHARMACEUTICALS, INC. Equity
Augusta Sportswear, Inc. Equity
Canva Pty Ltd Equity
Lindsay Goldberg Equity
ASP Global LLC Equity
2 National Circuit, Barton Property
Milan Laser Corporate LLC Equity
Apollo Healthco, Ltd. Equity
Abano Healthcare Group, Ltd. Equity
LayerZero Power Systems LLC Equity
Seedtag Advertising S.L. Equity
PT Vidio Dot Com Equity
Ramkhamhaeng Hospital Public Co., Ltd. Equity
Horizon Organic Dairy LLC Equity
General Catalyst Group V, L.P. Equity
Towngas Smart Energy Co., Ltd. Equity
Pushpay Holdings, Ltd. Equity
DFJ Growth Fund 2006, L.P. Equity
Parfums de Coeur, Ltd. Equity
Imperial Dade LLC Equity
M-DAQ Pte Ltd Equity
YES BANK LTD. Equity
Northgate Capital Equity
VenCap 12, Ltd. Equity
6 National Circuit, Barton Property
Fitzroy Gas Works BTS Property
myPOS Payments, Ltd. Equity
Sporta Technologies Pvt. Ltd. Equity
Nothing Bundt Franchising LLC Equity
Fitzroy Gas Works BTR Property
VENTORA Group Pty Ltd Equity
WILLIAMS-SONOMA, INC. Equity
2 Julius Avenue, North Ryde Property
L.N.C SARL Equity
Clarivate plc Equity
X.AI Corp. Equity
TripleLift, Inc. Equity
150 Elizabeth Street, Brisbane Property
Hop Lun (Hong Kong), Ltd. Equity
Hyundai Card Co., Ltd. Equity
Zimmermann Wear Pty Ltd Equity
Youth Enrichment Brands LLC Equity
Pacific West Foods (M) Sdn Bhd Equity
UBASE, Inc. Equity
IFM INVESTORS PTY LTD Equity
Project44 LLC Equity
31-35 Victoria Parade, Fitzroy Property
Trumid Financial LLC Equity
Sauer Brands, Inc. Equity
Jamf Holding Corp. Equity
Cohance Lifesciences, Ltd. Equity
Age of Learning, Inc. Equity
Applause App Quality, Inc. Equity
Kajabi LLC Equity
Plaza Premium Lounge Management, Ltd. Equity
OpenAI LLC Equity
Anthropic PBC Equity
Ho Chi Minh City Development Joint Stock Commercial Bank Equity
6-8 Julius Avenue, North Ryde Property
Subway Group Equity
thatgamecompany, Inc. Equity
Petauri Health LLC Equity
155 Queen Street, Brisbane Property
1 Julius Avenue, North Ryde Property
ServiceMaster OpCo Holdings LLC Equity
Rise Baking Co. Equity
Soham, Inc. Equity
50 Lonsdale Street, Melbourne Property
LIFE TIME GROUP HOLDINGS, INC. Equity
744 Boundary Road, Truganina Property
Wire 3 LLC Equity
Hazeldene's Chicken Farm Pty Ltd Equity
Securonix, Inc. Equity
HLS Imaging Holdings Pty Ltd Equity
Zaxby`s SPE Franchisor LLC Equity
Barracuda Networks, Inc. Equity
The Strand Arcade, 250 Elizabeth Street, Melbourne Property
Nuvei Technologies, Inc. Equity
DFJ Fund IX Continuation, L.P. Equity
Nintex Global, Ltd. Equity
JobKorea LLC Equity
Dandenong Works, Dandenong South VIC Property
Integral Ad Science Holding Corp. Equity
CentralSquare Technologies LLC Equity
Salsify, Inc. Equity
US LBM Holdings LLC Equity
Divisions, Inc. Equity
Pediatric Associates Holding Co. LLC Equity
Checkmarx, Ltd. Equity
Reliance Jio Infocomm, Ltd. Equity
Athena Financial Pty Ltd Equity
PowerSchool Holdings, Inc. Equity
425 Officer South Rd, Officer South Property
Fisher Investments, Inc. Equity
RV Holdings, L.P. Equity
Central West Shopping Centre, Braybrook Property
Simtra US LLC Equity
Insight Global LLC Equity
Visual Comfort & Co. Equity
61 Eastern Creek Drive, Eastern Creek Property
Xactly Corp. Equity
Digital.ai Software, Inc. Equity
Melbourne's GPO, Melbourne Property
Other Assets Equity
Learneo, Inc. Equity
Wintergarden Hilton Hotel, 190 Elizabeth Street, Brisbane Property
Lot 8-11 Melbourne Business Park Property
DOC Generici S.r.l. Equity
LifeStance Health Group, Inc. Equity
EIS Group, Inc. Equity
Good Sportsman Marketing LLC Equity
Lakeshore Learning Materials LLC Equity
7 London Circuit, Canberra Property
EAB Global, Inc. Equity
MedVet Associates LLC Equity
Solenis LLC Equity
Stepping Stones Group LLC, The Equity
Press Ganey Associates LLC Equity
Village Roadshow, Ltd. Equity
Cook & Boardman Group LLC Equity
Sonatype, Inc. Equity
Southgate Centre, 2 Riverside Quay Southbank Property
1-800 CONTACTS, Inc. Equity
Charter Hall Property
Sauce Labs, Inc. Equity
Model N, Inc. Equity
Virtus Health, Ltd. Equity
Redwood Software, Inc. Equity
HGGC Equity
I.M.A. Industria Macchine Automatiche S.p.A. Equity
Visma AS Equity
Mindbody, Inc. Equity
80 Melbourne Drive, Truganina Property
Sunrise Medical (US) LLC Equity
ezCater, Inc. Equity
Navitas Pty Ltd Equity
Pure Gym, Ltd. Equity
Envalior GmbH Equity
Scoresby Industry Park, 5 Janine, Scoresby Property
Redsail Technologies LLC Equity
Lend Lease Property
IRIS Software Group, Ltd. Equity
WIRB-Copernicus Group, Inc. Equity
Jetro Cash & Carry Enterprises LLC Equity
UNSW Health Translation Hub, Randwick Property
Lock&Lock Co., Ltd. Equity
Covetrus, Inc. Equity
Barkly Square, 90-106 Sydney Road, Brunswick Property
SERVEONE Co., Ltd. Equity
SK Rent-a-Car Co., Ltd. Equity
Beaver-Visitec International Sales, Ltd. Equity
1 National Circuit, Barton Property
Yupi Indo Jelly Gum Tbk. Equity
3-5 National Circuit, Barton Property
Prometheus Group Enterprises LLC Equity
Wintergarden Shopping Centre, Brisbane Property
Mercer Global Advisors, Inc. Equity
Heroux-Devtek, Inc. Equity
Calderys France SAS Equity
Richmond Marketplace, March Street, Richmond Property
Planview, Inc. Equity
VenCap International Equity
GreenLight Networks LLC Equity
Crunch Holdings LLC Equity
IntraFi LLC Equity
Omni Fiber LLC Equity
Aspen Group, The Equity
ASSEMBLE HOLDCO Property
Epping Property
271 Spring Street, Melbourne Property
Pace Analytical Services LLC Equity
Midtown Plaza, 246 Bourke Street, Melbourne Property
Wollert Property
Troon Golf LLC Equity
Maxar Technologies Holdings, Inc. Equity
Wagga Wagga Marketplace, Forsyth Street, Wagga Wagga Property
Lend Lease Property
Catalis LLC Equity
85 William Angliss Drive, Laverton North Property
Convergint Technologies LLC Equity
GeoStabilization International LLC Equity
Kawana Shopping Centre, 119 Point Cartwright Dr, Buddina Property
Hilton Office Tower, 255 Pitt Street, Sydney Property
PT Holdings LLC Equity
1200 W Carroll Property
Magnum Transaction Sub LLC Equity
Clarience Technologies LLC Equity
Confluent Medical Technologies, Inc. Equity
TenCate Grass Holding B.V. Equity
Charter Next Generation, Inc. Equity
Coomera Town Centre Property
ECi Software Solutions, Inc. Equity
Assemble BSB Property
Bessemer Business Park, 13 Bessemer Street, Blacktown Property
Acorns Grow, Inc. Equity
18 Marcus Clarke Street, Canberra Property
CyberCx Pty Ltd Equity
4 National Circuit, Barton Property
Charles Sturt Industrial Estate, 853 - 867 Port Rd, Woodville Property
Scottish Pacific Business Finance Pty Ltd Equity
Assemble TSK Property
BK Japan Holdings Co., Ltd. Equity
1300 W Carroll Property
Central Plaza One, 345 Queen Street, Brisbane Property
Acumatica Holdings, Inc. Equity
BKR Co., Ltd. Equity
Uptown, 91 Queen Street, Brisbane Property
Jaggaer LLC Equity
Grand Central Property
Alegeus Technologies LLC Equity
Wrench Group LLC Equity
Werribee Property
Veeam Software Group GmbH Equity
VEPF VIII SPV I, L.P. Equity
Vinted, UAB Equity
Kestra Financial, Inc. Equity
EngageSmart, Inc. Equity
Directv LLC Equity
Mandurah Forum, 330 Pinjarra Road, Mandurah Property
INNIO Jenbacher GmbH & Co. OG Equity
Bendigo Marketplace, 37 Garsed Street, Bendigo Property
Pellicano Trusts Property
Defence Plaza, 270 Pitt Street, Sydney Property
Duck Creek Technologies LLC Equity
EP Global Production Solutions LLC Equity
Central West Industrial Park, 9 Ashley Street, West Footscray Property
265 Dandenong Hastings Rd, Dandenong Property
Authentic Brands Group LLC Equity
Affinity Equity Partners Equity
MSHC, Inc. Equity
OMNIA Partners LLC Equity
ProMach, Inc. Equity
Summit at Kemps Creek Property
Discovery Energy LLC Equity
PALISADE INVESTMENT PARTNERS LIMITED Infrastructure
Forrest Chase Shopping Centre, Murray Street, Perth Property
Parklands Estate, Rydalmere Property
Altera Corp. Equity
Portlink Logistics Estate, Altona North Property
ForHealth Group Equity
Southgate Shopping Centre, Sylvania Property
IFM INVESTORS PTY LTD Property
World Square Shopping Centre, 680 George Street, Sydney Property
Mariner LLC Equity
Karingal Hub, Cranbourne Rd, Frankston Property
295 Queen Street, Melbourne Property
447 Collins Street, Melbourne Property
Boomi, L.P. Equity
Lend Lease Property
KnowBe4, Inc. Equity
Finastra Group Holdings, Ltd. Equity
Delinea, Inc. Equity
Metroplex Westgate, Wacol Property
HUB International, Ltd. Equity
Waurn Ponds Shopping Centre, Waurn Ponds Property
Watergardens Property
Cloud Software Group, Inc. Equity
Baseline LLC Property
Houston Center Property
100 St Georges Terrace, Perth Property
Quinbrook Infrastructure
345 George Street, Sydney Property
405 Bourke Street, Melbourne Property
Avalara, Inc. Equity
44 Clunies Ross Street, Prospect Property
Sydney Central, 477 Pitt Street, Sydney Property
Casselden, 2 Lonsdale Street, Melbourne Property
KPS Capital Partners, L.P. Equity
500 Bourke Street, Melbourne Property
Foresight Infrastructure
Westfield Doncaster Shopping Centre, Doncaster Property
WellSky Corp. Equity
GPT Property
Burrah Park, Badgerys Creek Property
BGH Capital Equity
Robina Town Centre Property
1 William Street, Brisbane Property
Brandon Capital Partners Equity
Oak Hill Capital Equity
Platinum Equity Equity
Kingswood Property
363 George Street, Sydney Property
161 Castlereagh Street, Sydney Property
Stone Point Capital LLC Equity
Eastland Property
BLACKROCK, INC. Equity
Canberra Centre Property
275 Kent Street, Sydney Property
Brooks Automation US LLC Equity
ASDI PROPERTY EUR Property
NIIF Infrastructure
Mascot Industrial Property
QIC Private Capital Equity
Advent Equity
Castle Towers Property
Wiri NZ Property
Abode Property
Endura Mining Equity
Stonepeak Infrastructure
Kohlberg Equity
Perth Airport Property Fund (PAPF) Infrastructure
Square Peg Capital Equity
TH Lee Equity
Craigieburn Logistics Estate Property
KKR Infrastructure
M7 Real Estate Property
EQT BPEA Equity
Ala Moana Shopping Centre Property
Blackbird Ventures Equity
Kaseya US LLC Equity
Industry Super Holdings Pty Ltd F/P Equity
Inspire Brands, Inc. Equity
AirTree Equity
Canada Water Property
Greencross Pty Ltd Equity
PerkinElmer U.S. LLC Equity
New Mountain Capital Equity
Leonard Green & Partners Equity
Moorebank Logistics Estate Property
Generate Capital Infrastructure
PERPETUAL LTD. Equity
Cirion Infrastructure
Cinven Equity
TPG Inc Equity
Silver Lake Equity
Databank Infrastructure
Vantage EMEA Data Centers Infrastructure
Ausgrid Infrastructure
PERTH AIRPORT Infrastructure
NSW Ports Infrastructure
Hamilton Lane Equity
BROOKFIELD CORP. Infrastructure
Transurban Chesapeake Infrastructure
Sydney Airport Infrastructure
Transurban Queensland Infrastructure
Kings Cross Estate Property
Peel Ports Infrastructure
Indara Infrastructure
Westconnex Infrastructure
IFM INVESTORS PTY LTD Infrastructure

Figures are disclosed by the fund itself under Portfolio Holdings Disclosure (Schedule 8D), as at 31 December 2025. This is factual disclosure information, not financial advice, a rating or a recommendation.

Methodology — how holdings are sourced, resolved and aggregated.

LookThrough shows the actual holdings inside Australian super funds, with cross-fund look-through.

  • 4 of 86 funds
  • 36 of 111 options reviewed
  • 7,010 of 7,168 securities reviewed

© 2026 LookThrough. Factual disclosure information — not financial advice, a rating or a recommendation.