Asset Allocation

As of January 31, 2025.
Type % Net
Cash 0.73%
Stock 0.00%
Bond 91.63%
Convertible 0.00%
Preferred 0.00%
Other 7.64%
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Bond Sector Exposure

As of January 31, 2025
Type % Net
Government 71.65%
Corporate 24.40%
Securitized 0.00%
Municipal 2.16%
Other 1.79%
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Region Exposure

% Developed Markets: 9.05%    % Emerging Markets: 81.59%    % Unidentified Markets: 9.36%

Americas 29.66%
0.86%
United States 0.86%
28.80%
Argentina 2.88%
Brazil 3.40%
Colombia 3.39%
Mexico 4.69%
Venezuela 0.48%
As of January 31, 2025. Region breakdown data is calculated by using the long position holdings of the portfolio.
Greater Europe 49.61%
United Kingdom 4.30%
3.89%
Ireland 0.75%
Netherlands 1.16%
16.03%
Czech Republic 1.29%
Turkey 4.37%
25.39%
Egypt 3.35%
Nigeria 1.03%
South Africa 2.78%
Greater Asia 11.37%
Japan 0.00%
0.00%
0.00%
11.37%
China 0.22%
India 1.29%
Kazakhstan 3.87%
Pakistan 1.33%
Philippines 1.63%
Unidentified Region 9.36%

Bond Credit Quality Exposure

AAA 3.26%
AA 0.53%
A 0.00%
BBB 12.24%
BB 36.33%
B 21.12%
Below B 16.80%
    CCC 9.78%
    CC 4.81%
    C 0.00%
    DDD 0.00%
    DD 0.00%
    D 2.20%
Not Rated 0.24%
Not Available 9.48%
Short Term 0.00%
As of January 31, 2025
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Bond Maturity Exposure

Short Term
5.91%
Less than 1 Year
5.91%
Intermediate
67.53%
1 to 3 Years
17.29%
3 to 5 Years
13.30%
5 to 10 Years
36.94%
Long Term
26.57%
10 to 20 Years
12.74%
20 to 30 Years
12.82%
Over 30 Years
1.01%
Other
0.00%
As of January 31, 2025
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