Fund composition
Symbol
Weight %
Shares
Market value
U
United States Treasury Bills 0.0% 30-OCT-2025
2.06%
3.00 M
4.16 MCAD
F
Federal National Mortgage Association 0.0% 01-OCT-2025
1.45%
2.10 M
2.92 MCAD
F
FHLMC 30yr Pool#SD8525 6.000% 01-Apr-2055 6.0% 01-APR-2055
1.21%
1.72 M
2.45 MCAD
U
United States Treasury Bills 0.0% 14-OCT-2025
1.13%
1.65 M
2.29 MCAD
F
FNMA 30yr Pool#MA5701 6.000% 01-May-2055 6.0% 01-MAY-2055
1.08%
1.54 M
2.18 MCAD
F
FNMA 30yr Pool#FA0445 5.500% 01-Jan-2055 5.5% 01-JAN-2055
0.75%
1.08 M
1.52 MCAD
U
UMBS TBA 30yr 5% November Delivery 5.000% 01-APR-2055
0.68%
1.00 M
1.38 MCAD
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