Investment Fund

738 Total Holdings:
As of 9/30/24
All Holdings: 1 - 15 of 738
Security Name Asset Type Shares or
Principal Amount
Market Value Percent of
Net Assets
descending arrow
Capital Group Central Cash Fund Short Term 717,897 $71,804,037.00 3.66%
U.S. Treasury 4.125% 8/15/2044 Fixed Income 41,820,500 $41,500,339.00 2.11%
U.S. Treasury 3.50% 9/30/2029 Fixed Income 39,537,000 $39,421,176.00 2.01%
AbbVie, Inc. 5.05% 3/15/2034 Fixed Income 26,701,000 $27,899,955.00 1.42%
Pfizer Investment Enterprises Pte., Ltd. 4.75% 5/19/2033 Fixed Income 24,631,000 $25,114,950.00 1.28%
U.S. Treasury 4.625% 5/15/2054 Fixed Income 20,455,000 $22,190,476.00 1.13%
Morgan Stanley 5.32% 7/19/2035 (USD-SOFR + 1.555% on 7/19/2034) Fixed Income 20,820,000 $21,628,212.00 1.1%
JPMorgan Chase & Co. 5.294% 7/22/2035 (USD-SOFR + 1.46% on 7/22/2034) Fixed Income 19,092,000 $19,919,314.00 1.01%
Chubb INA Holdings, LLC 5.00% 3/15/2034 Fixed Income 18,099,000 $18,802,056.00 0.96%
Bristol-Myers Squibb Co. 5.20% 2/22/2034 Fixed Income 16,029,000 $16,909,858.00 0.86%
U.S. Treasury 3.875% 8/15/2034 Fixed Income 15,999,800 $16,113,603.00 0.82%
Boeing Co. 2.75% 2/1/2026 Fixed Income 16,088,000 $15,620,547.00 0.8%
Cisco Systems, Inc. 5.05% 2/26/2034 Fixed Income 14,836,000 $15,586,494.00 0.79%
Johnson & Johnson 4.95% 6/1/2034 Fixed Income 12,905,000 $13,702,000.00 0.7%
ServiceNow, Inc. 1.40% 9/1/2030 Fixed Income 15,458,000 $13,268,730.00 0.68%
All Holdings: 1 - 15 of 738