Currency allocation

  United States Dollar 56.40%
  Euro 23.88%
  Japanese Yen 3.62%
  British Pound 3.33%
  Canadian Dollar 2.89%
  Australian Dollar 1.78%
  Chinese Yuan 1.76%
  South African Rand 1.29%
  South Korean Won 0.80%
  Peru Nuevo Sol 0.69%
  Danish Krone 0.65%
  Malaysian Ringgit 0.60%
  Non definito 0.59%
  Thai Baht 0.49%
  Swiss Franc 0.38%
  Singapore Dollar 0.34%
  Naira 0.20%
  Egypt Pound 0.16%
  Indian Rupee 0.11%
  New Zealand Dollar 0.04%

Update date: 9/30/2025

Geographical allocation

North America 53.22%
Europe 28.90%
Asia Pacific 12.06%
Africa, Arabic Area, Middle East 3.16%
World / Multiple areas 1.53%
Latin America 1.11%

Update date: 9/30/2025


Sector allocation

SOVEREIGN BONDS   37.22%
FINANCIALS   26.43%
MORTGAGE   22.03%
Not Available   12.78%
Service - utilities   1.24%
Government   0.78%
INDUSTRIALS   0.46%
Consumer Discretionary   0.39%
TELECOMMUNICATION   0.37%
Cash   0.31%
Health Care   0.26%
Real Estate   0.22%
ASSET BACKED   0.17%
MATERIALS & COMMODITIES   0.09%
Consumer Staples   0.07%
INFORMATION TECHNOLOGY   0.04%
TMT(INFORMATION TECHNOLOGY,MEDIA&TELECOMMUNICATION   0.04%
Option   0.02%
CONSUMER GOODS   0.02%
Forward   -0.01%
SWAP   -0.30%
FUTURE   -2.62%

Update date: 9/30/2025

Top Ten holdings

Uniform Mortgage-Backed Security, TBA   9.82%
Uniform Mortgage-Backed Security, TBA   7.89%
Uniform Mortgage-Backed Security, TBA   3.65%
Receive Floating rate equal to 1-Day USD-SOFR Comp   2.77%
U.S. Treasury Bonds   2.77%
PIMCO ETFs plc - PIMCO US Dollar Short Maturity UC   1.98%
France Government International Bond   1.88%
PIMCO ETFs plc - PIMCO Euro Short Maturity UCITS E   1.80%
Pay Floating rate equal to 1-Day JPY-MUTKCALM base   -2.81%
Uniform Mortgage-Backed Security, TBA   -2.99%

Update date: 9/30/2025


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