PFFpreferred flow tracker

Security Lookup

search by ticker · name · ISIN · CUSIP · sector · country · exchange

109 securities matching "MS" · search or filter to narrow

ETFTickerNameSectorCountryISIN / CUSIPStreakNet Flow
PFFMSMORGAN STANLEYFinancialsUnited States
US61747S5047
61747S504
SELL ×1-$10.9M
PFFDMSMS 4.86615 PERP
B1802M4
BUY ×1-$720.6K
PFFSTRCMICROSTRATEGY PERP STRETCH PRF SEIndustrialUnited States
US5949728530
594972853
SELL ×1$340.8M
PFFNOVTVNOVANTA TANGIBLE EQUITY UNITS INCIndustrialUnited States
CA67000B2030
67000B203
SELL ×1$47.8M
PFFNEE-SNEXTERA ENERGY UNITS INCUtilitiesUnited States
US65339F6631
65339F663
SELL ×1-$30.1M
PFFFHN-HFIRST HORIZON CORPFinancialsUnited States
US3205178409
320517840
SELL ×1$27.2M
PFFHPE-AHEWLETT PACKARD ENTERPRISE CONV PRIndustrialUnited States
US42824C2089
42824C208
SELL ×1-$25.6M
PFFMCHPMICROCHIP TECHNOLOGY INCORPORATEDIndustrialUnited States
US5950173022
595017302
SELL ×1-$24.1M
PFFSTRFMICROSTRATEGY PERP STRIFE PRF SERIndustrialUnited States
US5949728795
594972879
SELL ×1$21.4M
PFFNEE-TNEXTERA ENERGY UNITS INCUtilitiesUnited States
US65339F1194
65339F119
SELL ×1-$21.2M
PFFRITM-FRITHM CAPITAL CORPFinancialsUnited States
US64828T8889
64828T888
SELL ×1$17M
PFFMS-QMORGAN STANLEYFinancialsUnited States
US61762V8384
61762V838
SELL ×1-$12.9M
PFFMS-PMORGAN STANLEYFinancialsUnited States
US61762V8533
61762V853
SELL ×1-$12.7M
PFFMS-IMORGAN STANLEY DS REPRESENTING FFinancialsUnited States
US61761J4067
61761J406
SELL ×1-$12.5M
PFFTRTGVTRITON INTL CUM RED PERP PREF SERIndustrialBermuda
BMG9078F3057
-
SELL ×1$12.1M
PFFMS-KMORGAN STANLEYFinancialsUnited States
US61762V6065
61762V606
SELL ×1-$11.9M
PFFMTB-JM T BK DEP INT PERP PFD STK SER JFinancialsUnited States
US55261F8648
55261F864
SELL ×1-$11.3M
PFFMS-OMORGAN STANLEYFinancialsUnited States
US61762V8616
61762V861
SELL ×1-$11.3M
PFFMS-EMORGAN STANLEYFinancialsUnited States
US61762V2007
61762V200
SELL ×1-$10.8M
PFFMS-FMORGAN STANLEY DSFinancialsUnited States
US61763E2072
61763E207
SELL ×1-$10.5M
PFFALL-JALLSTATE DEP REPSTG TH NON CUM PEFinancialsUnited States
US0200027888
020002788
SELL ×1-$9M
PFFCMSCMS ENERGY CORPORATIONUtilitiesUnited States
US1258968452
125896845
SELL ×1-$8.2M
PFFTDS-VVTELEPHONE AND DATA SYSTEMS INCIndustrialUnited States
US8794337613
879433761
SELL ×1-$7.3M
PFFRFREGIONS FINANCIAL CORPORATIONFinancialsUnited States
US7591EP8604
7591EP860
SELL ×1-$7.3M
PFFAGMPPFEDERAL AGRIC MTG NON CUMULATIVE PAgencyUnited States
US3131488278
313148827
SELL ×1$7.2M
PFFNLY-IANNALY CAPITAL MANAGEMENT INCFinancialsUnited States
US0357108473
035710847
SELL ×1-$6.5M
PFFCHSINCCHS INCIndustrialUnited States
US12542R5063
12542R506
SELL ×1-$6M
PFFHBAN-JHUNTINGTON BANCSHARES INCFinancialsUnited States
US4461507737
446150773
SELL ×1-$4.6M
PFFMS-LMORGAN STANLEYFinancialsUnited States
US61762V8046
61762V804
SELL ×1-$4.2M
PFFCOF-NCAPITAL ONE FINL DS REPSTG TH PRFFinancialsUnited States
US14040H7338
14040H733
SELL ×1-$3.9M
PFFRF-EREGIONS FINL DRC CORPFinancialsUnited States
US7591EP8869
7591EP886
SELL ×1-$3.9M
PFFUMH-DUMH PROPERTIES INCFinancialsUnited States
US9030025095
903002509
SELL ×1-$3.7M
PFFCMSCMS ENERGY CORPORATIONUtilitiesUnited States
US1258968528
125896852
SELL ×1-$3.7M
PFFTWO-BTWO HARBORS INVESTMENT CORPFinancialsUnited States
US90187B3096
90187B309
SELL ×1-$3.5M
PFFHPP-CHUDSON PACIFIC PROPERTIES INCFinancialsUnited States
US4440973075
444097307
SELL ×1-$3.5M
PFFATDS-VTelephone and Data Systems Inc 6.000%Preferred Stock
PFEP0599472
BUY ×1$3.1M
PFFCMSCMS ENERGY CORPORATIONUtilitiesUnited States
US1258968601
125896860
SELL ×1-$3.1M
PFFDLR-JDIGITAL REALTY TRUST INCFinancialsUnited States
US2538688555
253868855
SELL ×1-$3M
PFFNSA-ANATIONAL STORAGE AFFILIATES REDEEMFinancialsUnited States
US6378702053
637870205
SELL ×1-$2.9M
PFFDCMS-CCMS 4.2 PERP
BLNB396
SELL ×2-$2.9M
PFFCMS-CCMS ENERGY CORPORATIONUtilitiesUnited States
US1258968379
125896837
SELL ×1-$2.8M
PFFPEB-GPEBBLEBROOK HOTEL TRUSTFinancialsUnited States
US70509V8037
70509V803
SELL ×1-$2.7M
PFFSCE-JSCE TRUST II CUM TRUST SECS PUtilitiesUnited States
US78407R2040
78407R204
SELL ×1-$2.3M
PFFGNL-AGLOBAL NET LEASE PREF SERIES A INCFinancialsUnited States
US3793783008
379378300
SELL ×1-$2.2M
PFFTRTX-CTPG RE FIN TR PREF SERIES C INC TRFinancialsUnited States
US87266M2061
87266M206
SELL ×1-$2.1M
PFFBEPUCNBROOKFIELD RENEWABLE PARTNERS LPUtilitiesCanada
BMG162582313
-
SELL ×1-$2.1M
PFFMSBIMIDLAND STATES BANCORP INCFinancialsUnited States
US5977423038
597742303
SELL ×1-$2M
PFFBIP-13BROOKFIELD INFRASTRUCTURE CLASSUtilitiesCanada
USG162522670
-
SELL ×1-$1.9M
PFFEFC-CELLINGTON FINANCIAL INCFinancialsUnited States
US28852N4060
28852N406
SELL ×1-$1.8M
PFFFAMCAFEDERAL AGRICULTURAL MORTGAGE CORPAgencyUnited States
US3131488435
313148843
SELL ×1-$1.7M
PFFBPY-A-1BROOKFIELD PROPERTY PARTNERS LPIndustrialBermuda
BMG162491499
-
SELL ×1-$1.6M
PFFRITM-ANEW RESIDENTIAL INVESTMENT CORPFinancialsUnited States
US64828T3005
64828T300
SELL ×1-$1.6M
PFFCODI-ACOMPASS DIVERSIFIED HOLDINGSFinancialsUnited States
US20451Q2030
20451Q203
SELL ×1-$1.5M
PFFACR-DACRES COMMERCIAL REALTY CORPFinancialsUnited States
US00489Q3002
00489Q300
SELL ×1-$1.4M
PFFARR-CARMOUR RESIDENTIAL REIT INCFinancialsUnited States
US0423156068
042315606
SELL ×1-$1.3M
PFFVLY-BVALLEY NATL NON CUM PERP PREF SERIFinancialsUnited States
US9197943056
919794305
SELL ×1-$1.2M
PFFINN-FSUMMIT HOTEL PROPERTIES INCFinancialsUnited States
US8660827044
866082704
SELL ×1-$1.1M
PFFCODI-BCOMPASS DIVERSIFIED HOLDINGS FIXEDFinancialsUnited States
US20451Q3020
20451Q302
SELL ×1-$1M
PFFDMSTRMSTR 8 PERP
BTCDKX2
BUY ×1-$924.2K
PFFATDS-UTelephone and Data Systems Inc 6.625%Preferred Stock
PFEP0597617
SELL ×1$577.3K
PFFDMS-OMS 4 1/4 PERP
BMF4W82
BUY ×1-$444.1K
PFFDCMSCMS 5 7/8 10/15/2078
BFXBC20
BUY ×1-$372.3K
FPECMSCMS Energy Corp., 5.875%, Due 03/01/2079
125896845
BUY ×1$318.1K
PFFDCMSCMS 5 7/8 03/01/2079
BJJP666
BUY ×1-$272.9K
PFFDMS-QMS 6 5/8 PERP
BPDXXZ6
BUY ×1-$253.3K
PFFDMS-PMS 6 1/2 PERP
BQH5ZL5
BUY ×1-$249.8K
PGXMS-QMorgan StanleyPreferred Stock
61762V838
SELL ×3$240K
PGXMS-PMorgan StanleyPreferred Stock
61762V853
SELL ×3$236.9K
PGXMS-IMorgan StanleyPreferred Stock
61761J406
SELL ×3$233.4K
PGXMS-KMorgan StanleyPreferred Stock
61762V606
SELL ×3$222.9K
PGXMS-OMorgan StanleyPreferred Stock
61762V861
SELL ×3$212.2K
PGXMS-EMorgan StanleyPreferred Stock
61762V200
SELL ×3$202.7K
PFFDMS-IMS 6 3/8 PERP
BQT2G00
BUY ×1-$200.9K
PFFDMS-LMS 4 7/8 PERP
BK6JGG8
BUY ×1$189.4K
PGXMS-FMorgan StanleyPreferred Stock
61763E207
SELL ×3$177.9K
PFFDMS-EMS 7 1/8 PERP
BF4YJ94
BUY ×1-$177.1K
PFFDMS-FMS 6 7/8 PERP
BH5QGM5
BUY ×1-$176K
PGXCMSCMS Energy CorpPreferred Stock
125896845
SELL ×3$132.6K
PFFDCMSCMS 5 5/8 03/15/2078
BYWSYZ2
BUY ×1$129.3K
PGXTDS-VVTelephone and Data Systems IncPreferred Stock
879433761
SELL ×3$121.6K
PGXMS-LMorgan StanleyPreferred Stock
61762V804
SELL ×3$95.5K
PGXTDS-UUTelephone and Data Systems IncPreferred Stock
879433787
SELL ×3$81.9K
PGXCMSCMS Energy CorpPreferred Stock
125896852
SELL ×3$59.1K
PGXCMSCMS Energy CorpPreferred Stock
125896860
SELL ×3$40.6K
PGXCMS-CCMS Energy CorpPreferred Stock
125896837
SELL ×3$36.2K
PFFAMSBIPMidland States Bancorp Inc 7.750%Preferred Stock
PFEP0601906
BUY ×1$29.2K
PFFDMS-KMS 5.85 PERP
BYYYY81
BUY ×1-$28.4K
FPEMS-PMorgan Stanley, Series P, 6.500%
61762V853
$0
FPEPrinter Friendly PageFact SheetSummary ProspectusMonthly Performance ReportInvestor GuideFund CommentaryFirst Trust Preferred Securities and Income ETF (FPE)Fund Summary|Holdings|News & Literature|Historical Pricing|Distribution History|Contact FundHoldings of the Fund as of 4/6/2026Export to ExcelTotal Number of Holdings (excluding cash): 259Security NameIdentifierCUSIPShares / QuantityMarket ValueWeightingBANK OF AMERICA CORP Variable rate06055HAH6155,649,000$160,876,160.372.59%Wells Fargo & Company, Series L, 7.500%WFC.L949746804110,579$129,267,956.792.08%BARCLAYS PLC Variable rate06738EBX2100,000,000$104,039,000.001.68%NextEra Energy Capital Holdings, Inc., Series U, 6.500%, Due 06/01/2085NEE.U65339K8373,473,570$87,499,228.301.41%JPMORGAN CHASE & CO Variable rate48128BAQ482,350,000$86,084,819.551.39%US Dollar$USD84,623,956$84,623,955.961.36%Xcel Energy Inc., 6.25%, Due 10/15/2085XELLL98389B8783,263,139$80,403,744.961.30%CITIGROUP INC Series HH, Variable rate172967QJ375,485,000$76,116,257.651.23%CREDIT AGRICOLE SA Variable rate225313AT275,172,000$75,971,905.261.22%CHARLES SCHWAB CORP Series H, Variable rate808513BJ373,169,000$68,023,368.131.10%THE HARTFORD INSUR GRP INC Variable rate, due 02/12/2047416515BC769,648,000$67,008,642.371.08%BELL CANADA Variable rate, due 09/15/20550778FPAQ264,644,000$66,546,085.061.07%GOLDMAN SACHS GROUP INC Variable rate38141GA7963,323,000$66,214,518.161.07%T-Mobile USA Inc., 5.50%, Due 03/01/2070TMUSZ87264A2043,114,395$66,212,037.701.07%Corebridge Financial, Inc., 6.375%, Due 12/15/2064CRBD21871X2082,820,939$65,304,737.851.05%AMER AGCREDIT ACA Variable rate02369GAA364,250,000$63,617,780.001.03%BANK OF MONTREAL Variable rate, due 05/26/208406368LQ5860,800,000$62,903,801.601.01%DTE Energy Company, Series H, 6.25%, Due 10/01/2085DTK2333317922,580,336$62,108,687.521.00%Aegon Funding Company LLC, 5.100%, Due 12/15/2049AEFC00775V1043,178,363$61,088,136.860.98%BNP PARIBAS Variable rate05565A5R056,900,000$59,657,999.900.96%BANCO SANTANDER SA Variable rate05971KAQ250,600,000$59,044,229.200.95%F&G Annuities & Life, Inc., 7.30%, Due 01/15/2065FGSN30190A6092,825,001$58,788,270.810.95%ROYAL BANK OF CANADA Variable rate, due 08/24/2085780082AV558,100,000$58,682,045.800.95%ING GROEP NV Variable rate456837BT957,807,000$58,397,908.940.94%Enstar Group Limited, Series D, 7.000%, Variable RateESGRF29359U1092,571,341$57,340,904.300.92%DOMINION ENERGY INC Variable rate, due 05/15/205525746UDV855,306,000$56,341,273.020.91%AMERICAN ELECTRIC POWER 6.95%, due 12/15/2054025537BA851,590,000$55,046,014.100.89%BNP PARIBAS Variable rate05565ASK059,483,000$53,291,188.490.86%LLOYDS BANKING GROUP PLC Variable rate53944YAV550,000,000$52,746,746.990.85%T-Mobile USA Inc., 5.50%, Due 06/01/2070TMUSI87264A3032,442,486$52,489,024.140.85%HSBC HOLDINGS PLC Variable rate404280EJ448,450,000$48,952,668.750.79%HUNTINGTON BANCSHARES Variable rate446150BG847,511,000$46,997,966.720.76%BANK OF NOVA SCOTIA Variable rate, due 01/27/20840641598V144,149,000$46,412,386.780.75%CREDIT AGRICOLE SA Variable rate225313AR645,578,000$45,294,956.060.73%TORONTO-DOMINION BANK Variable rate, due 10/31/208289117F8Z543,430,000$44,987,226.080.73%CANADIAN IMPERIAL BANK Variable rate, due 10/28/208513607P7Y444,100,000$44,922,288.600.72%F&G Annuities & Life, Inc., 7.950%, Due 12/15/2053FGN30190A2031,782,485$43,849,131.000.71%WELLS FARGO & COMPANY Variable rate95002YAE342,400,000$42,716,610.130.69%Aspen Insurance Holdings Limited, 5.625%AHL.EG053842042,060,175$42,068,773.500.68%Athene Holding Ltd., 7.250% Variable Rate, Due 03/30/2064ATHS04686J8381,738,472$41,879,790.480.68%HSBC HOLDINGS PLC Variable rate404280DT341,200,000$42,459,278.000.68%NATWEST GROUP PLC Variable rate639057AQ138,105,000$41,418,229.750.67%ING GROEP NV Variable rateN4578ELV838,873,000$40,880,944.380.66%DOMINION ENERGY INC Variable rate, due 02/15/205625746UEA340,235,000$40,012,102.120.65%MITSUBISHI UFJ FIN GRP Variable rate606822DP640,500,000$40,157,467.200.65%PNC FINANCIAL SERVICES Variable rate693475BP939,711,000$40,283,513.490.65%ARES FINANCE CO 4.125%, due 06/30/205104018VAA140,400,000$39,819,136.880.64%LAND O'LAKES INC 7%514666AN644,888,000$39,725,880.000.64%GLOBAL ATLANTIC FIN CO Variable rate, due 03/01/205637959GAH041,076,000$39,077,508.840.63%BANK OF NOVA SCOTIA Variable rate, due 04/27/20850641598X737,800,000$38,580,985.800.62%BNP PARIBAS Variable rate05565AM3436,770,000$38,046,176.400.61%COMMERZBANK AG Variable rateD1706CKE336,800,000$37,523,718.000.60%AMERICAN ELECTRIC POWER Variable rate, due 03/15/205602557TAF636,830,000$36,711,514.200.59%CITIGROUP INC Variable rate17327CBC635,958,000$36,427,000.200.59%NEXTERA ENERGY CAPITAL Variable rate, due 06/15/205465339KDB335,006,000$36,451,152.700.59%GLOBAL ATLANTIC FIN CO Variable rate, due 10/15/205437959GAG236,675,000$35,768,735.070.58%MEIJI YASUDA LIFE INSURANCE Variable rate, due 06/11/2055585270AE135,800,000$36,211,485.200.58%SOCIETE GENERALE Variable rate83371GAA932,870,000$35,684,888.190.58%AIR LEASE CORP Variable rate00912XBQ636,433,000$35,429,402.000.57%SEMPRA Variable rate, due 10/01/2054816851BT535,416,000$35,481,271.700.57%SOCIETE GENERALE Variable rate83370RAC233,820,000$35,507,516.540.57%ASSURANT INC Variable rate, due 03/27/204804621XAK434,460,000$34,859,903.830.56%BANCO SANTANDER SA Variable rate05964HBH733,100,000$34,982,959.700.56%BBVA MEX BANCA GRUPO TX Variable rate, due 06/29/203807336UAA131,600,000$34,261,604.800.55%Carlyle Finance LLC, 4.625%, Due 05/15/2061CGABL14314C1051,954,231$34,042,704.020.55%ENBRIDGE INC Variable rate, due 01/15/208429250NBT130,188,000$34,173,208.440.55%ROYAL BANK OF CANADA Variable rate, due 11/24/2085780082AY935,640,000$34,289,165.590.55%THE AES CORP Variable rate, due 07/15/205500130HCL736,425,000$34,336,882.230.55%FIRST CITIZENS BANCSHARES Series D, Variable rate31959XAG831,950,000$32,129,076.240.52%SOUTHERN CO Variable rate, due 03/15/2055842587EB931,000,000$32,026,317.000.52%Athene Holding Ltd., Series E, 7.750% Variable RateATH.E04686J5071,283,995$31,727,516.450.51%LANCASHIRE HOLDINGS LTD Variable rate, due 09/18/2041G5361WAB032,050,000$31,501,284.770.51%NOMURA HOLDINGS INC Variable rate65535HCC131,200,000$31,552,216.800.51%ROGERS COMMUNICATIONS INC Variable rate, due 04/15/2055775109DH130,470,000$31,346,651.460.51%TPG Operating Group II, L.P., 6.950%, Due 03/15/2064TPGXL8726521021,275,996$31,861,620.120.51%BANK OF MONTREAL Variable rate, due 11/26/208406368L5Q530,189,000$31,097,658.710.50%ENBRIDGE INC Variable rate, due 01/15/208329250NBP928,420,000$30,800,714.980.50%GOLDMAN SACHS GROUP INC Variable rate38141GB5230,900,000$30,940,633.500.50%HSBC HOLDINGS PLC Variable rate404280FA230,900,000$31,262,920.500.50%LAND O'LAKES INC 8%514666AK231,520,000$31,079,552.130.50%Athene Holding Ltd., Series A, 6.35% Variable RateATH.A04686J8611,273,621$30,477,750.530.49%BNP PARIBAS Variable rate05602XDJ428,020,000$29,440,838.160.47%EUSHI FINANCE INC Variable rate, due 04/01/205629882DAC729,500,000$29,207,392.450.47%BARCLAYS PLC Variable rate06738ECN325,750,000$28,285,654.000.46%CREDIT SUISSE GROUP AG Variable rate225401AR981,425,000$28,808,165.000.46%Affiliated Managers Group, Inc., 6.75%, Due 03/30/2064MGRE0082528271,215,559$27,860,612.280.45%CAPITAL FARM CREDIT ACA Variable rate14019TAA428,250,000$28,119,767.500.45%Equitable Holdings, Inc., Series A, 5.250%EQH.A29452E2001,386,108$27,638,993.520.45%STATE STREET CORP Variable rate857477CM327,247,000$28,207,947.200.45%BANCO BILBAO VIZCAYA ARGENTARIA Variable rate05946KAM325,200,000$27,371,635.200.44%CNP ASSURANCES SACA Variable rateF1876NBV329,400,000$26,998,569.780.44%CREDIT SUISSE GROUP AG Variable rate225401AJ776,900,000$27,207,220.000.44%American National Group Inc., Series D, 7.375%ANG.D0256768591,123,821$26,746,939.800.43%BANCO MERCANTIL DEL NORTE Variable rate05971PAE825,000,000$26,393,099.250.43%Bank of America Corporation, Series KK, 5.375%BAC.M06053U6011,206,694$26,438,665.540.43%TELUS CORP Variable rate, due 10/15/205587971MCM326,177,000$26,820,823.320.43%DEUTSCHE BANK AG Variable rateD18190PH124,800,000$25,866,437.690.42%KUVARE US HOLDINGS INC Variable rate, due 05/01/205150149XAA226,429,000$26,357,773.850.42%ALLIANZ SE Variable rate018820AE025,000,000$25,097,450.000.40%CITIGROUP INC Variable rate17327CAV524,700,000$25,014,431.000.40%DUKE ENERGY CORP Variable rate, due 09/01/205426441CCG823,875,000$24,799,822.000.40%ENTERGY CORP Variable rate, due 06/15/205629364GAS224,750,000$24,595,205.830.40%WELLS FARGO & COMPANY Variable rate95002YAC723,948,000$24,933,196.770.40%BANCO BILBAO VIZCAYA ARGENTARIA Variable rate05946KAS022,600,000$23,343,314.000.38%BANCO SANTANDER SA Variable rate05971KAP421,600,000$23,437,512.000.38%ING GROEP NV Variable rateN4578EMC922,200,000$22,741,791.000.37%BANCO MERCANTIL DEL NORTE Variable rate05971PAB422,250,000$22,358,847.000.36%BANCO MERCANTIL DEL NORTE Variable rate05971PAC221,630,000$22,499,742.300.36%EUSHI FINANCE INC Variable rate, due 12/15/205429882DAB921,680,000$22,423,450.560.36%NISOURCE INC Variable rate, due 03/31/205565473PAT221,700,000$22,365,083.300.36%ALTAGAS LTD Variable rate, due 10/15/2054021361AD221,500,000$21,984,072.500.35%BANK OF NOVA SCOTIA Variable rate, due 10/27/208506419GEE221,720,000$21,629,442.800.35%CITIGROUP INC Series DD, Variable rate172967PM720,832,000$21,564,223.970.35%CMS Energy Corp., 5.875%, Due 10/15/2078CMSC125896852981,724$21,774,638.320.35%The Bank of New York Mellon Corporation, Series K, Variable RateBK.K064058845852,268$21,647,607.200.35%TORONTO-DOMINION BANK Variable rate, due 10/31/208589116C4H722,000,000$21,895,590.200.35%LAND O LAKES CAP TRST I 7.45%, Cumulative Preferred, due 03/15/2028514665AA620,360,000$20,898,216.600.34%Oaktree Capital Group, LLC, Series B, 6.55%OAK.B6740014091,043,444$21,317,560.920.34%The Southern Company, 6.50%, Due 03/15/2085SOJF842587867797,297$20,147,695.190.32%PNC FINANCIAL SERVICES Variable rate693475BF119,095,000$19,280,431.550.31%BARCLAYS PLC Variable rate06738EDC617,900,000$18,351,330.600.30%Brookfield Property Partners LP, Series A, 5.75%BPYPNG162491641,367,640$18,887,108.400.30%COMPEER FINANCIAL ACA Variable rate20453QAC617,980,000$18,338,341.760.30%CREDIT SUISSE GROUP AG Variable rate225401AL251,775,000$18,317,995.000.30%SPIRE INC Variable rate, due 06/01/205684857LAE118,560,000$18,580,991.370.30%AMERICAN NATIONAL GROUP Variable rate, due 12/01/2055025676AR818,700,000$17,906,407.530.29%BANK OF NOVA SCOTIA Variable rate, due 10/27/20820641598S817,184,000$17,969,463.460.29%BANK OF MONTREAL Variable rate, due 11/26/208506368L8V117,168,000$17,331,679.710.28%SUMITOMO MITSUI FINL GRP Variable rate86562MDK317,420,000$17,425,898.410.28%NEXTERA ENERGY CAPITAL Variable rate, due 08/15/205565339KDF416,250,000$16,869,238.750.27%KKR Group Finance Co. IX LLC, 4.625%, Due 04/01/2061KKRS48253M1041,006,371$16,343,465.040.26%NIPPON LIFE INSURANCE Variable rate, due 04/30/2055654579AP615,499,000$16,107,025.770.26%Sempra, 5.750%, Due 07/01/2079SREA816851604771,364$16,283,494.040.26%AXIS SPECIALTY FINANCE Variable rate, due 01/15/204005463HAC516,181,000$15,743,116.250.25%BANCO MERCANTIL DEL NORTE Variable rate05962GAJ815,700,000$15,745,614.780.25%HSBC HOLDINGS PLC Variable rate404280FH715,400,000$15,393,876.960.25%HSBC HOLDINGS PLC Variable rate404280FJ315,400,000$15,373,548.960.25%Wintrust Financial Corporation, Series F, 7.875% Variable RateWTFCN97650W702596,580$15,397,729.800.25%Assurant, Inc., 5.250%, Due 01/15/2061AIZN04621X306772,426$15,143,411.910.24%CANADIAN IMPERIAL BANK Variable rate, due 01/28/208513607PNF715,000,000$15,085,770.000.24%PNC FINANCIAL SERVICES Variable rate693475BD614,810,000$14,852,845.330.24%Annaly Capital Management, Inc., Series J, 8.875%NLY.J035710821549,572$14,014,086.000.23%AT&T Inc., 5.350%, Due 11/01/2066TBB00206R300674,612$14,517,650.240.23%CNO Financial Group, Inc., 5.125%, Due 11/25/2060CNO.A12621E301805,557$14,459,748.150.23%COBANK ACB Variable rate19075QAE214,115,000$14,148,684.040.23%COMPEER FINANCIAL ACA Variable rate20453QAA013,950,000$13,742,424.000.22%FORTEGRA FINANCIAL CORP Variable rate, due 10/15/205734954WAA213,700,000$13,546,012.000.22%Oaktree Capital Group, LLC, Series A, 6.625%OAK.A674001300667,263$13,832,361.990.22%BBVA MEX BANCA GRUPO TX Variable rate, due 02/11/2035072912AA612,300,000$12,766,716.370.21%Brookfield BRP Holdings (Canada) Inc., 4.625%BEPH11259P109891,011$13,026,580.820.21%CMS Energy Corp., 5.875%, Due 03/01/2079CMSD125896845582,716$13,023,702.600.21%COBANK ACB Variable rate19075QAF912,500,000$12,802,144.130.21%DOMINION ENERGY INC Variable rate, due 06/01/205425746UDU012,433,000$13,250,345.420.21%LAND O'LAKES INC 7.25%514666AM814,010,000$12,854,175.000.21%RenaissanceRe Holdings Ltd., Series G, 4.200%RNR.GG7498P127859,247$13,180,848.980.21%STATE STREET CORP Variable rate857477CH412,536,000$12,873,669.700.21%TransCanada Pipelines Limited, 6.25%, Due 11/01/2085TCPA893526681547,853$13,164,962.400.21%Affiliated Managers Group, Inc., 4.200%, Due 09/30/2061MGRD008252835857,989$12,552,379.070.20%AGNC Investment Corp., Series F, 6.125% Variable RateAGNCP00123Q872517,492$12,347,359.120.20%Brookfield Property Partners LP, Series A2, 6.375%BPYPOG16249156813,331$12,321,964.650.20%CITIGROUP INC Variable rate172967PJ412,438,000$12,651,572.900.20%EVERSOURCE ENERGY Variable rate, due 08/15/205630040WBD912,760,000$12,642,667.080.20%NORDEA BANK ABP Variable rate65558RAQ212,520,000$12,521,501.150.20%The Southern Company, Series 2020, 4.950%, Due 01/30/2080SOJD842587800622,264$12,264,823.440.20%ASSURED GUARANTY MUNICIPAL HOLDINGS INC Variable rate, due 12/15/206631769PAB612,699,000$11,922,925.760.19%BANC CREDITO INVERSIONES Variable rate05890MAC711,320,000$11,932,978.000.19%BANK OF NY MELLON CORP Variable rate064058AR111,900,000$11,997,163.500.19%T-Mobile USA Inc., 6.25%, Due 09/01/2069TMUSL87264A105475,400$11,547,466.000.19%AT&T Inc., Series C, 4.750%T.C00206R706591,998$11,052,602.660.18%BBVA MEX BANCA GRUPO TX Variable rate, due 09/13/203405533UAG311,600,000$11,353,664.720.18%Brookfield Renewable Partners LP, Series 17, 5.25%BEP.AG16258231638,546$11,238,409.600.18%Ford Motor Company, 6.00%, Due 12/01/2059F.C345370837565,440$11,201,366.400.18%ROYAL BANK OF CANADA Variable rate, due 11/24/2084780082AT011,356,000$10,904,618.310.18%Aspen Insurance Holdings Limited, 5.625%AHL.DG05384162513,331$10,518,152.190.17%Brookfield Infrastructure Finance ULC, 5.00%, Due 05/24/2081BIPH11276B109660,053$10,415,636.340.17%DAIRY FARMERS OF AMERICA 7.125%23385HAA710,700,000$10,699,625.500.17%Global Net Lease, Inc., Series A, 7.25%GNL.A379378300493,052$10,827,421.920.17%HSBC HOLDINGS PLC Variable rate404280EH810,380,000$10,482,294.900.17%JPMorgan Chase & Co., Series LL, 4.625%JPM.L48128B549533,024$10,282,032.960.17%Brookfield Infrastructure Partners LP, Series 13, 5.125%BIP.AG16252267616,426$10,201,850.300.16%CREDIT SUISSE GROUP AG Variable rate225401AX627,200,000$9,623,360.000.16%DigitalBridge Group, Inc., Series I, 7.15%DBRG.I25401T405598,173$9,786,110.280.16%Ford Motor Company, 6.500%, Due 08/15/2062F.D345370811462,967$9,828,789.410.16%GOLDMAN SACHS GROUP INC Variable rate38141GC289,736,000$9,934,464.470.16%Morgan Stanley, Series Q, 6.625%MS.Q61762V838398,053$10,118,507.260.16%Annaly Capital Management, Inc., Series F, 6.950%, Variable RateNLY.F035710870378,145$9,574,631.400.15%BNP PARIBAS Variable rate05602XJC39,300,000$9,459,791.860.15%EMERA US FINANCE LLC Variable rate, due 10/01/205629103HAA59,250,000$9,287,656.750.15%EMERA US FINANCE LLC Variable rate, due 10/01/205629103HAB39,250,000$9,295,056.750.15%EVERSOURCE ENERGY Variable rate, due 08/15/205630040WBC19,300,000$9,241,042.930.15%LLOYDS BANKING GROUP PLC Variable rate539439BF59,300,000$9,014,504.880.15%REINSURANCE GRP OF AMER Variable rate, due 09/15/2056759351AV19,300,000$9,045,375.300.15%AGNC Investment Corp., Series H, 8.75%AGNCZ00123Q831355,770$8,787,519.000.14%AXIS Capital Holdings Limited, Series E, 5.500%AXS.E05461T305452,005$8,791,497.250.14%BNP PARIBAS Variable rate05565AS208,300,000$8,694,025.900.14%TELUS CORP Variable rate, due 10/15/205587971MCL58,681,000$8,755,170.460.14%NextEra Energy Capital Holdings, Inc., Series Z, 6.50%, Due 04/15/2086NEE.W65339K829322,150$8,037,642.500.13%AGNC Investment Corp., Series D, 6.875% Variable RateAGNCM00123Q609300,535$7,140,711.600.12%CHS Inc., Series 3, 6.750%, Variable RateCHSCM12542R704312,417$7,682,334.030.12%FARM CREDIT BK OF TEXAS Variable rate30767EAC37,650,000$7,585,051.500.12%FARM CREDIT BK OF TEXAS Variable rate30767EAF67,460,000$7,667,171.660.12%METLIFE INC Variable rate, due 03/15/205559156RCQ97,509,000$7,681,609.380.12%Pinnacle Financial Partners, Inc., Series C, 6.75%PNFP.C72348N505301,640$7,571,164.000.12%BARCLAYS PLC Variable rate06738EBT17,205,000$6,863,001.710.11%SWEDBANK AB Variable rateW94240RW56,200,000$6,533,132.200.11%W.R. Berkley Corporation, 5.100%, Due 12/30/2059WRB.F084423805370,556$7,010,919.520.11%Affiliated Managers Group, Inc., 5.875%, Due 03/30/2059MGR008252850310,069$6,126,963.440.10%Arch Capital Group Ltd., Series G, 4.550%ACGLN03939A404359,561$5,979,499.430.10%DigitalBridge Group, Inc., Series J, 7.125%DBRG.J25401T306371,318$6,119,320.640.10%FARM CREDIT BK OF TEXAS Variable rate30767EAE96,200,000$6,454,169.000.10%Ford Motor Company, 6.20%, Due 06/01/2059F.B345370845302,131$6,110,599.500.10%Voya Financial, Inc., Series B, 5.350%, Variable RateVOYA.B929089209281,633$6,508,538.630.10%LIBERTY MUTUAL GROUP INC 4.125%, due 12/15/205153079EBM55,977,000$5,864,814.640.09%BANC CREDITO INVERSIONES Variable rate05890PAC05,000,000$5,270,750.000.08%Public Storage, Series L, 4.625%PSA.L74460W552267,640$4,793,432.400.08%State Street Corporation, Series G, 5.350%, Variable RateSTT.G857477855223,413$4,915,086.000.08%WELLS FARGO & COMPANY Variable rate95002YAA15,000,000$5,264,565.000.08%ATHENE HOLDING LTD Variable rate, due 06/28/205504686JAM34,326,000$4,098,560.900.07%The Phoenix Companies, Inc., 7.45%, Due 01/15/2032PNX71902E208226,438$4,132,493.500.07%DOMINION ENERGY INC Variable rate, due 02/01/205525746UDT33,526,000$3,640,390.490.06%TELUS CORP Variable rate, due 06/09/205687971MCR23,775,000$3,715,485.620.06%Affiliated Managers Group, Inc., 4.750%, Due 09/30/2060MGRB008252843197,154$3,176,170.660.05%Jackson Financial Inc., 8.000%, Variable RateJXN.A46817M206114,642$2,922,224.580.05%Morgan Stanley, Series K, 5.850%, Variable RateMS.K61762V606144,127$3,394,190.850.05%Reinsurance Group of America, Incorporated, 7.125%, Variable Rate, Due 10/15/2052RZC759351885130,154$3,274,674.640.05%SEMPRA Variable rate, due 10/01/2054816851BS72,850,000$2,897,272.950.05%Truist Financial Corporation, Series R, 4.750%TFC.R89832Q695162,323$2,977,815.470.05%CHS Inc., Series 2, 7.100%, Variable RateCHSCN12542R50688,500$2,216,040.000.04%Citigroup Inc., Series II, 6.25%C.R17296724299,472$2,490,778.880.04%DigitalBridge Group, Inc., Series H, 7.125%DBRG.H25401T504149,755$2,464,967.300.04%The Allstate Corporation, Series H, 5.100%ALL.H020002838122,810$2,510,236.400.04%U.S. Bancorp, Series K, 5.500%USB.P902973759115,824$2,519,172.000.04%AGNC Investment Corp., Series E, 6.500% Variable RateAGNCO00123Q80780,522$1,987,282.960.03%Bank of America Corporation, Series NN, 4.375%BAC.O06055H400110,067$1,947,085.230.03%RenaissanceRe Holdings Ltd., Series F, 5.750%RNR.F75968N30985,784$1,810,042.400.03%The Southern Company, Series C, 4.200%, Due 10/15/2060SOJE84258788394,878$1,640,440.620.03%Wells Fargo & Company, Series Z, 4.75%WFC.Z94988U151113,350$2,168,385.500.03%Capital One Financial Corporation, Series I, 5.000%COF.I14040H82465,398$1,239,619.070.02%CENTERPOINT ENERGY INC Variable rate, due 02/15/205515189TBJ51,400,000$1,477,912.800.02%COREBRIDGE FINANCIAL INC Variable rate21871XAU31,155,000$1,179,347.400.02%Globe Life Inc., 4.250%, Due 06/15/2061GL.D37959E30087,348$1,398,441.480.02%The Southern Company, 5.250%, Due 12/01/2077SOJC84258740450,423$1,068,463.370.02%Athene Holding Ltd., Series B, 5.625%ATH.B04686J20022,322$425,010.880.01%Brookfield Infrastructure Partners LP, Series 14, 5.00%BIP.BG1625227556,191$904,113.190.01%CREDIT SUISSE GROUP AG Variable rate225436AA21,200,000$424,560.000.01%DTE Energy Company, 4.375%, Due 12/01/2081DTG23333181820,021$331,948.180.01%Morgan Stanley, Series P, 6.500%MS.P61762V85313,521$338,836.260.01%Prudential Financial, Inc., 5.625%, Due 08/15/2058PRS74432080514,342$324,989.720.01%Public Storage, Series K, 4.750%PSA.K74460W57838,782$715,915.720.01%Algonquin Power & Utilities Corp., Series 19-A, 6.200%, Variable Rate, Due 07/01/2079AQNB0158578081,846$48,051.380.00%Apollo Global Management, Inc., 7.625%, Variable Rate, Due 09/15/2053APOS03769M205947$24,243.200.00%Arch Capital Group Ltd., Series F, 5.450%ACGLO03939A1077,761$153,279.750.00%Bank of America Corporation, Series SS, 4.750%BAC.S06055H87116,049$309,585.210.00%Fifth Third Bancorp, Variable RateFITBM3167738377,214$187,131.160.00%Huntington Bancshares Incorporated, Series J, 6.875% Variable RateHBANL4461507737,062$174,148.920.00%ING GROEP NV Variable rateN4578ELM8285,000$290,965.040.00%JPMorgan Chase & Co., Series DD, 5.750%JPM.D48128B6558,729$214,558.820.00%JPMorgan Chase & Co., Series GG, 4.750%JPM.J48128B6227,606$150,674.860.00%MetLife, Inc., Series F, 4.750%MET.F59156R8504,043$75,482.810.00%Reinsurance Group of America, Incorporated, 5.750%, Variable Rate, Due 06/15/2056RZB7593518025,494$137,405.490.00%Holdings are subject to change.The holdings information set forth above for the date indicated reflects creation and redemption transactions from the prior business day and may differ from the holdings information currently available from the Fund's custodian and accounting agent. With respect to the market value of the Fund's holdings set forth above, the pricing sources are generally third party vendors. The Fund ultimately relies on pricing information provided by the Fund's accounting agent.
Printer Friendly Page
BUY ×1$0
FPEMS-KMorgan Stanley, Series K, 5.850%, Variable Rate
61762V606
$0
FPECMSCMS Energy Corp., 5.875%, Due 10/15/2078
125896852
$0
FPEMS-QMorgan Stanley, Series Q, 6.625%
61762V838
$0
PFXFCMSCms Energy CorpUnited States
US1258968452
125896845
BUY ×7$0
PFXFNEE-TNextera Energy IncUnited States
US65339F1194
65339F119
BUY ×13$0
PFXFNOVTVNovanta IncUnited States
CA67000B2030
67000B203
BUY ×7$0
PFXFMCHPMicrochip Technology IncUnited States
US5950173022
595017302
BUY ×7$0
PFXFRITM-FRithm Capital CorpUnited States
US64828T8889
64828T888
BUY ×7$0
PFXFSTRFStrategy IncUnited States
US5949728795
594972879
BUY ×13$0
PFXFHPP-CHudson Pacific Properties IncUnited States
US4440973075
444097307
BUY ×7$0
PFXFTDS-UUTelephone And Data Systems IncUnited States
US8794337878
879433787
BUY ×7$0
PFXFCMSCms Energy CorpUnited States
US1258968528
125896852
BUY ×7$0
PFXFCHSINCChs IncUnited States
US12542R5063
12542R506
BUY ×7$0
PFXFNLY-IAnnaly Capital Management IncUnited States
US0357108473
035710847
BUY ×7$0
PFXFNEE-SNextera Energy IncUnited States
US65339F6631
65339F663
BUY ×13$0
PFXFTDS-VVTelephone And Data Systems IncUnited States
US8794337613
879433761
BUY ×7$0
PFXFSTRCStrategy IncUnited States
US5949728530
594972853
BUY ×13$0
PFXFUMH-DUmh Properties IncUnited States
US9030025095
903002509
BUY ×7$0
PFXFHPE-AHewlett Packard Enterprise CoUnited States
US42824C2089
42824C208
BUY ×7$0
PFXFTWO-BTwo Harbors Investment CorpUnited States
US90187B3096
90187B309
BUY ×7$0