Holding | Rating | % Fund |
---|---|---|
United States Government | AAA | 4.6% |
JPMorgan Chase | AA | 3.4% |
Morgan Stanley | A | 3.1% |
Pacific Gas And Electric Company | BBB | 3.0% |
Bristol-Myers Squibb | A | 2.7% |
Holding | Rating | % Fund |
---|---|---|
Amgen | BBB | 2.6% |
Wells Fargo | A | 2.6% |
Southern California Edison | A | 2.1% |
AbbVie | A | 2.0% |
Boeing | BBB | 1.7% |
Asset type | % Fund |
---|---|
Corporates | 91.3% |
Cash & Equivalent | 3.2% |
Derivatives | -0.1% |
Not Rated | -0.1% |
Derivatives | 0.0% |
Government Related | 1.0% |
Municipals | 0.0% |
Treasuries | 4.6% |
Name | % Fund |
---|---|
United States | 85.7% |
United Kingdom | 2.8% |
Canada | 1.4% |
France | 1.1% |
Switzerland | 1.0% |
Other | 4.8% |
Cash & equivalents | 3.2% |