Full Bond Holdings Analysis - BlackAltar

Federal Reserve Full Bond Holdings Analysis

Issuer Sector CUSIP Number Coupon Rate (%) Maturity Date Par Value (US $) Amortized Cost1 (US $) Unrealized PnL (US $)
ABBVIE INC Consumer Non-Cyclical 00287YCG2 3.250 2022-10-01 7000000.0 7345390.80 345390.80
ACTIVISION BLIZZARD Communications 00507VAL3 2.600 2022-06-15 1500000.0 1558240.38 58240.38
AT&T INC Communications 00206RCN0 3.400 2025-05-15 6500000.0 7133929.06 633929.06
AT&T INC Communications 00206RCS9 3.600 2023-02-17 3000000.0 3210774.67 210774.67
AT&T INC Communications 00206RDV1 NaN 2021-07-15 6000000.0 6051211.23 51211.23
AUTOZONE INC Consumer Cyclical 053332AY8 3.625 2025-04-15 3000000.0 3352634.99 352634.99
BERKSHIRE HATHAWAY ENERG Utilities 084659AS0 4.050 2025-04-15 5000000.0 5726546.86 726546.86
BOEING CO Capital Goods 097023CS2 4.508 2023-05-01 3000000.0 3186278.14 186278.14
BOEING CO Capital Goods 097023CT0 4.875 2025-05-01 4000000.0 4421577.51 421577.51
CATERPILLAR FINL SERVICE Capital Goods 14913R2B2 0.950 2022-05-13 5000000.0 5040692.00 40692.00
CHEVRON CORP Energy 166764BW9 1.554 2025-05-11 1500000.0 1547014.41 47014.41
CHEVRON CORP Energy 166764BG4 2.100 2021-05-16 3500000.0 3557124.08 57124.08
COCA-COLA CO/THE Consumer Non-Cyclical 191216CN8 2.950 2025-03-25 6000000.0 6611597.01 611597.01
CVS HEALTH CORP Consumer Non-Cyclical 126650CV0 3.700 2023-03-09 4000000.0 4309933.52 309933.52
CVS HEALTH CORP Consumer Non-Cyclical 126650CW8 4.100 2025-03-25 3000000.0 3382498.07 382498.07
DIAMONDBACK ENERGY INC Energy 25278XAL3 2.875 2024-12-01 3000000.0 3003567.93 3567.93
DOLLAR GENERAL CORP Consumer Cyclical 256677AC9 3.250 2023-04-15 2000000.0 2128536.93 128536.93
DUPONT DE NEMOURS INC Basic Industry 26614NAA0 2.169 2023-05-01 5000000.0 5107899.42 107899.42
EDISON INTERNATIONAL Utilities 281020AQ0 3.550 2024-11-15 2500000.0 2642865.57 142865.57
ENERGY TRANSFER OPERATNG Energy 29278NAM5 5.875 2024-01-15 4500000.0 5043421.78 543421.78
EVERSOURCE ENERGY Utilities 30040WAC2 2.750 2022-03-15 2500000.0 2594777.44 94777.44
EVERSOURCE ENERGY Utilities 30040WAD0 2.900 2024-10-01 2500000.0 2684185.04 184185.04
EXXON MOBIL CORPORATION Energy 30231GBC5 2.019 2024-08-16 2500000.0 2620496.63 120496.63
EXXON MOBIL CORPORATION Energy 30231GBL5 1.571 2023-04-15 2500000.0 2567110.50 67110.50
FEDEX CORP Transportation 31428XBY1 3.800 2025-05-15 3000000.0 3337948.55 337948.55
FORD MOTOR COMPANY Consumer Cyclical 345370CV0 8.500 2023-04-21 4500000.0 4865160.23 365160.23
FORD MOTOR CREDIT CO LLC Consumer Cyclical 345397VU4 5.875 2021-08-02 3000000.0 3059855.25 59855.25
GENERAL MOTORS FINL CO Consumer Cyclical 37045XCW4 5.200 2023-03-20 2000000.0 2146898.95 146898.95
GEORGIA POWER CO Utilities 373334KM2 2.100 2023-07-30 4000000.0 4171809.75 171809.75
HEALTHPEAK PROPERTIES REITs 40414LAL3 3.875 2024-08-15 4000000.0 4416531.18 416531.18
HOME DEPOT INC Consumer Cyclical 437076BG6 2.625 2022-06-01 2500000.0 2610745.29 110745.29
HONEYWELL INTERNATIONAL Capital Goods 438516CB0 1.350 2025-06-01 3000000.0 3069322.48 69322.48
HP ENTERPRISE CO Technology 42824CBE8 2.250 2023-04-01 4000000.0 4124199.68 124199.68
HUMANA INC Insurance 444859BM3 4.500 2025-04-01 3500000.0 4016243.38 516243.38
HYATT HOTELS CORP Consumer Cyclical 448579AH5 5.375 2025-04-23 1000000.0 1082007.19 82007.19
IBM CORP Technology 459200JX0 2.850 2022-05-13 3000000.0 3135347.01 135347.01
IBM CORP Technology 459200JY8 3.000 2024-05-15 4000000.0 4330613.23 330613.23
IBM CREDIT LLC Technology 44932HAM5 3.600 2021-11-30 3000000.0 3140225.88 140225.88
INTERCONTINENTALEXCHANGE Non-Bank/Insurance Financials 45866FAA2 4.000 2023-10-15 4000000.0 4433407.09 433407.09
MARRIOTT INTERNATIONAL Consumer Cyclical 571903AR4 2.300 2022-01-15 2000000.0 2015133.80 15133.80
MARRIOTT INTERNATIONAL Consumer Cyclical 571903BD4 5.750 2025-05-01 3000000.0 3352196.47 352196.47
MEDTRONIC INC Consumer Non-Cyclical 585055BR6 3.150 2022-03-15 2000000.0 2093674.05 93674.05
MEDTRONIC INC Consumer Non-Cyclical 585055BS4 3.500 2025-03-15 4000000.0 4511951.08 511951.08
NUCOR CORP Basic Industry 670346AR6 2.000 2025-06-01 2500000.0 2581306.43 81306.43
PAYPAL HOLDINGS INC Technology 70450YAC7 2.400 2024-10-01 3000000.0 3185703.63 185703.63
PEPSICO INC Consumer Non-Cyclical 713448CM8 3.600 2024-03-01 4000000.0 4405426.21 405426.21
PEPSICO INC Consumer Non-Cyclical 713448CT3 2.750 2025-04-30 2000000.0 2182020.16 182020.16
PHILIP MORRIS INTL INC Consumer Non-Cyclical 718172BM0 3.250 2024-11-10 1500000.0 1657868.84 157868.84
PHILIP MORRIS INTL INC Consumer Non-Cyclical 718172CQ0 1.125 2023-05-01 4500000.0 4566537.38 66537.38
REALTY INCOME CORP REITs 756109AP9 4.650 2023-08-01 2500000.0 2754654.47 254654.47
SYSCO CORPORATION Consumer Non-Cyclical 871829BG1 3.550 2025-03-15 5000000.0 5406625.42 406625.42
UNITED PARCEL SERVICE Transportation 911312BK1 2.500 2023-04-01 3000000.0 3158065.93 158065.93
UNITEDHEALTH GROUP INC Insurance 91324PCH3 2.875 2021-12-15 6000000.0 6215784.95 215784.95
UNITEDHEALTH GROUP INC Insurance 91324PCN0 3.350 2022-07-15 6500000.0 6880137.87 380137.87
UNITEDHEALTH GROUP INC Insurance 91324PDJ8 3.500 2023-06-15 3000000.0 3259954.07 259954.07
VIRGINIA ELEC & POWER CO Utilities 927804FS8 3.100 2025-05-15 3000000.0 3292071.93 292071.93
VMWARE INC Technology 928563AB1 2.950 2022-08-21 2000000.0 2092184.26 92184.26
VMWARE INC Technology 928563AD7 4.500 2025-05-15 2000000.0 2251825.96 251825.96
WALMART INC Consumer Cyclical 931142DV2 2.650 2024-12-15 2500000.0 2707775.45 207775.45
WALMART INC Consumer Cyclical 931142EK5 3.400 2023-06-26 5500000.0 5960321.56 460321.56