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| 第2 信用取引契約残高明細表 |
| 該当事項はありません。 |
|
| 第3 デリバティブ取引及び為替予約取引の契約額等及び時価の状況表 |
| 該当事項はありません。 |
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| (参考) |
| 当ファンドは、「外国債券インデックスマザーファンド」受益証券、「ダイワ日本債券インデックスマザーファンド(BPI)」受益証券、「ダイワ・グローバルREIT・マザーファンド」受益証券、「ダイワJ-REITアクティブ・マザーファンド」受益証券、「ダイワ北米好配当株マザーファンド」受益証券、「ダイワ欧州好配当株マザーファンド」受益証券、「ダイワ・アジア・オセアニア好配当株マザーファンド」受益証券及び「ダイワ好配当日本株マザーファンド」受益証券を主要投資対象としており、貸借対照表の資産の部に計上された「親投資信託受益証券」は、すべて同マザーファンドの受益証券であります。 なお、当ファンドの計算期間末日(以下、「期末日」)における同マザーファンドの状況は次のとおりであります。 |
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| 「外国債券インデックスマザーファンド」の状況 |
| 以下に記載した情報は監査の対象外であります。 |
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| | | |
| 貸借対照表 |
| | 2019年1月10日現在 | 2020年1月10日現在 |
| | 金 額(円) | 金 額(円) |
| 資産の部 | | | |
| 流動資産 | | | |
| 預金 | | 230,509,218 | 979,808,502 |
| コール・ローン | | 1,205,691,831 | 1,651,905,787 |
| 国債証券 | | 162,968,622,856 | 189,735,396,998 |
| 派生商品評価勘定 | | 3,416,203 | 8,389,024 |
| 未収利息 | | 1,312,237,478 | 1,364,622,870 |
| 前払費用 | | 36,746,058 | 49,815,516 |
| 流動資産合計 | | 165,757,223,644 | 193,789,938,697 |
| 資産合計 | | 165,757,223,644 | 193,789,938,697 |
| 負債の部 | | | |
| 流動負債 | | | |
| 派生商品評価勘定 | | 12,406,259 | 716,267 |
| 未払金 | | 135,423,318 | 715,810,978 |
| 未払解約金 | | 50,222,913 | 49,890,878 |
| その他未払費用 | | 22,676 | - |
| 流動負債合計 | | 198,075,166 | 766,418,123 |
| 負債合計 | | 198,075,166 | 766,418,123 |
| 純資産の部 | | | |
| 元本等 | | | |
| 元本 | ※1 | 61,542,450,975 | 67,069,648,143 |
| 剰余金 | | | |
| 期末剰余金又は期末欠損金(△) | | 104,016,697,503 | 125,953,872,431 |
| 元本等合計 | | 165,559,148,478 | 193,023,520,574 |
| 純資産合計 | | 165,559,148,478 | 193,023,520,574 |
| 負債純資産合計 | | 165,757,223,644 | 193,789,938,697 |
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|
| 注記表 |
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| (重要な会計方針に係る事項に関する注記) |
| 区 分 | 自 2019年1月11日 至 2020年1月10日 |
| 1. | 有価証券の評価基準及び評価方法 | 国債証券 |
| | 個別法に基づき、時価で評価しております。 時価評価にあたっては、金融商品取引業者、銀行等の提示する価額(但し、売気配相場は使用しない)、又は価格情報会社の提供する価額等で評価しております。 なお、適正な評価額を入手できなかった場合又は入手した評価額が時価と認定できない事由が認められた場合は、委託会社が忠実義務に基づいて合理的な事由をもって時価と認めた価額又は受託会社と協議のうえ両者が合理的事由をもって時価と認めた価額で評価しております。 |
| | |
| 2. | デリバティブ取引の評価基準及び評価方法 | 為替予約取引 |
| | 個別法に基づき、原則として時価で評価しております。 時価評価にあたっては、原則として計算日の対顧客先物売買相場において為替予約の受渡日の仲値が発表されている場合には当該仲値、受渡日の仲値が発表されていない場合には発表されている受渡日に最も近い前後二つの日の仲値をもとに計算しております。 |
| | |
| 3. | その他財務諸表作成のための基本となる重要な事項 | 外貨建取引等の処理基準 |
| | 外貨建取引については、「投資信託財産の計算に関する規則」(平成12年総理府令第133号)第60条に基づき、取引発生時の外国通貨の額をもって記録する方法を採用しております。但し、同第61条に基づき、外国通貨の売却時において、当該外国通貨に加えて、外貨建資産等の外貨基金勘定及び外貨建各損益勘定の前日の外貨建純資産額に対する当該売却外国通貨の割合相当額を当該外国通貨の売却時の外国為替相場等で円換算し、前日の外貨基金勘定に対する円換算した外貨基金勘定の割合相当の邦貨建資産等の外国投資勘定と、円換算した外貨基金勘定を相殺した差額を為替差損益とする計理処理を採用しております。 |
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| (貸借対照表に関する注記) | | |
| 区 分 | 2019年1月10日現在 | 2020年1月10日現在 |
| 1. | ※1 | 期首 | 2018年1月11日 | 2019年1月11日 |
| | 期首元本額 | 59,579,655,477円 | 61,542,450,975円 |
| | 期中追加設定元本額 | 6,343,591,932円 | 9,548,012,549円 |
| | 期中一部解約元本額 | 4,380,796,434円 | 4,020,815,381円 |
| | | | |
| | 期末元本額の内訳 | | |
| ファンド名 | | |
| | ダイワ外国債券インデックスVA | 690,564,508円 | 650,299,726円 |
| | ダイワ国内重視バランスファンド30VA(一般投資家私募) | 24,922,245円 | 22,093,366円 |
| | ダイワ国内重視バランスファンド50VA(一般投資家私募) | 160,549,057円 | 124,735,116円 |
| | ダイワ国際分散バランスファンド30VA(一般投資家私募) | 47,279,215円 | 42,191,319円 |
| | ダイワ国際分散バランスファンド50VA(一般投資家私募) | 524,647,964円 | 428,004,948円 |
| | 外国債券インデックスファンド(FOFs用)(適格機関投資家専用) | 2,265,111円 | 38,583,061円 |
| | ダイワファンドラップ 外国債券インデックス エマージングプラス(為替ヘッジなし) | 364,027,868円 | 451,731,396円 |
| | ダイワファンドラップ 外国債券インデックス(為替ヘッジなし) | 1,133,977,935円 | 1,546,708,676円 |
| | ダイワファンドラップオンライン 外国債券インデックス エマージングプラス(為替ヘッジなし) | 700,379,471円 | 795,050,364円 |
| | D-I's 外国債券インデックス | 701,020円 | 2,503,662円 |
| | DCダイワ・ターゲットイヤー2050 | 27,109円 | 505,722円 |
| | iFree 外国債券インデックス | 512,803,907円 | 614,937,192円 |
| | iFree 8資産バランス | 496,933,707円 | 816,870,082円 |
| | iFree 年金バランス | 4,558,433円 | 15,278,264円 |
| | DCダイワ外国債券インデックス | 42,686,055,745円 | 45,822,888,977円 |
| | ダイワ・ライフ・バランス30 | 735,766,293円 | 791,449,867円 |
| | ダイワ・ライフ・バランス50 | 367,685,013円 | 416,869,610円 |
| | ダイワ・ライフ・バランス70 | 233,087,436円 | 261,532,079円 |
| | DCダイワ・ワールドアセット(六つの羽/安定コース) | 328,126,532円 | 423,869,091円 |
| | DCダイワ・ワールドアセット(六つの羽/6分散コース) | 261,594,952円 | 331,858,792円 |
| | DCダイワ・ワールドアセット(六つの羽/成長コース) | 82,438,806円 | 108,639,633円 |
| | DCダイワ・ターゲットイヤー2020 | 10,434,826円 | 9,489,359円 |
| | DCダイワ・ターゲットイヤー2030 | 17,776,818円 | 20,637,601円 |
| | DCダイワ・ターゲットイヤー2040 | 1,838,407円 | 3,581,906円 |
| | ダイワつみたてインデックス外国債券 | 3,640,463円 | 77,238,656円 |
| | ダイワつみたてインデックスバランス30 | -円 | 735,776円 |
| | ダイワつみたてインデックスバランス50 | -円 | 61,308円 |
| | ダイワつみたてインデックスバランス70 | -円 | 217,968円 |
| | ダイワ世界バランスファンド40VA | 223,220,528円 | 199,765,495円 |
| | ダイワ世界バランスファンド60VA | 149,818,145円 | 152,054,653円 |
| | ダイワ・バランスファンド35VA | 5,560,870,986円 | 4,894,427,212円 |
| | ダイワ・ワールド・バランスファンド50VA | 15,278,574円 | -円 |
| | ダイワ・ワールド・バランスファンド75VA | 7,772,191円 | -円 |
| | ダイワ・バランスファンド25VA(適格機関投資家専用) | 325,032,492円 | 280,209,141円 |
| | ダイワ・インデックスセレクト 外国債券 | 144,218,648円 | 144,395,781円 |
| | ダイワ・ノーロード 外国債券ファンド | 28,863,937円 | 33,400,825円 |
| | ダイワ外国債券インデックス(為替ヘッジなし)(ダイワSMA専用) | 27,703,290円 | 1,683,601,854円 |
| | ダイワ投信倶楽部外国債券インデックス | 5,556,510,701円 | 5,748,578,972円 |
| | ダイワライフスタイル25 | 35,109,364円 | 34,955,853円 |
| | ダイワライフスタイル50 | 58,680,101円 | 62,515,800円 |
| | ダイワライフスタイル75 | 17,289,177円 | 17,179,040円 |
| 計 | | 61,542,450,975円 | 67,069,648,143円 |
| | | | |
| 2. | | 期末日における受益権の総数 | 61,542,450,975口 | 67,069,648,143口 |
(金融商品に関する注記)
| Ⅰ 金融商品の状況に関する事項 | |
| 区 分 | 自 2019年1月11日 至 2020年1月10日 |
| 1. | 金融商品に対する取組方針 | 当ファンドは、「投資信託及び投資法人に関する法律」第2条第4項に定める証券投資信託であり、投資信託約款に規定する「運用の基本方針」に従っております。 |
| | |
| 2. | 金融商品の内容及びリスク | 当ファンドが保有する金融商品の種類は、有価証券、デリバティブ取引、金銭債権及び金銭債務等であり、その詳細をデリバティブ取引に関する注記及び附属明細表に記載しております。 これらの金融商品に係るリスクは、市場リスク(価格変動、為替変動、金利変動等)、信用リスク、流動性リスクであります。 信託財産の効率的な運用に資すること、および外貨建資産の売買代金等の受取りまたは支払いを目的として、投資信託約款に従って為替予約取引を利用しております。 |
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| Ⅰ 金融商品の状況に関する事項 | |
| 区 分 | 自 2019年1月11日 至 2020年1月10日 |
| 1. | 金融商品に対する取組方針 | 当ファンドは、「投資信託及び投資法人に関する法律」第2条第4項に定める証券投資信託であり、投資信託約款に規定する「運用の基本方針」に従っております。 |
| | |
| 2. | 金融商品の内容及びリスク | 当ファンドが保有する金融商品の種類は、有価証券、デリバティブ取引、金銭債権及び金銭債務等であり、その詳細をデリバティブ取引に関する注記及び附属明細表に記載しております。 これらの金融商品に係るリスクは、市場リスク(価格変動、為替変動、金利変動等)、信用リスク、流動性リスクであります。 信託財産の効率的な運用に資すること、および外貨建資産の売買代金等の受取りまたは支払いを目的として、投資信託約款に従って為替予約取引を利用しております。 |
| | |
| 3. | 金融商品に係るリスク管理体制 | 複数の部署と会議体が連携する組織的な体制によりリスク管理を行っております。信託財産全体としてのリスク管理を金融商品、リスクの種類毎に行っております。 |
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| 4. | 金融商品の時価等に関する事項についての補足説明 | 金融商品の時価には、市場価格に基づく価額のほか、市場価格がない場合には合理的に算定された価額が含まれております。当該価額の算定においては、一定の前提条件等を採用しているため、異なる前提条件等に拠った場合、当該価額が異なることもあります。 デリバティブ取引に関する契約額等については、その金額自体がデリバティブ取引に係る市場リスクを示すものではありません。 |
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| Ⅱ 金融商品の時価等に関する事項 | |
| 区 分 | 2020年1月10日現在 |
| 1. | 金融商品の時価及び貸借対照表計上額との差額 | 金融商品はすべて時価で計上されているため、貸借対照表計上額と時価との差額はありません。 |
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| 2. | 金融商品の時価の算定方法 | (1)有価証券 |
| | 重要な会計方針に係る事項に関する注記に記載しております。 |
| | |
| | (2)デリバティブ取引 |
| | デリバティブ取引に関する注記に記載しております。 |
| | |
| | (3)コール・ローン等の金銭債権及び金銭債務等 |
| | これらは短期間で決済されるため、時価は帳簿価額にほぼ等しいことから、当該帳簿価額を時価としております。 |
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| (有価証券に関する注記) | |
| 売買目的有価証券 | | |
| 2019年1月10日現在 | 2020年1月10日現在 |
| 種 類 | 当期間の損益に 含まれた評価差額(円) | 当期間の損益に 含まれた評価差額(円) |
| 国債証券 | 2,144,596,306 | △1,460,304,757 |
| 合計 | 2,144,596,306 | △1,460,304,757 |
| (注) | 「当期間」とは当親投資信託の計算期間の開始日から期末日までの期間(2018年12月1日から2019年1月10日まで、及び2019年12月3日から2020年1月10日まで)を指しております。 |
|
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| (デリバティブ取引に関する注記) |
| ヘッジ会計が適用されていないデリバティブ取引 |
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| 通貨関連 | | | | | | | | |
| 2019年1月10日 現在 | 2020年1月10日 現在 |
| 種 類 | 契約額等 | | 時価 | 評価損益 | 契約額等 | | 時価 | 評価損益 |
| (円) | うち | (円) | (円) | (円) | うち | (円) | (円) |
| | 1年超 | | | | 1年超 | | |
| 市場取引以外の取引 | | | | | | | | |
| | | | | | | | |
| 為替予約取引 | | | | | | | | |
| | | | | | | | |
| 買 建 | 1,102,187,666 | - | 1,093,197,610 | △8,990,056 | 1,546,367,723 | - | 1,554,040,480 | 7,672,757 |
| | | | | | | | |
| アメリカ・ドル | 381,194,717 | - | 376,240,600 | △4,954,117 | 608,468,766 | - | 611,164,260 | 2,695,494 |
| イギリス・ポン ド | 67,018,499 | - | 66,655,780 | △362,719 | 43,636,685 | - | 43,645,500 | 8,815 |
| オーストラリア ・ドル | 19,413,731 | - | 19,365,000 | △48,731 | 6,864,138 | - | 6,759,000 | △105,138 |
| カナダ・ドル | 53,692,487 | - | 54,010,310 | 317,823 | 23,443,239 | - | 23,533,750 | 90,511 |
| シンガポール ・ドル | 12,352,041 | - | 12,213,990 | △138,051 | - | - | - | - |
| デンマーク・ク ローネ | 34,139,728 | - | 33,982,200 | △157,528 | - | - | - | - |
| ノルウェー・ク ローネ | 4,051,392 | - | 4,083,200 | 31,808 | 42,314,983 | - | 42,168,600 | △146,383 |
| ポーランド・ズ ロチ | 27,780,426 | - | 27,646,530 | △133,896 | 28,244,515 | - | 28,238,070 | △6,445 |
| メキシコ・ペソ | - | - | - | - | 51,349,185 | - | 51,586,500 | 237,315 |
| ユーロ | 502,544,645 | - | 499,000,000 | △3,544,645 | 700,991,421 | - | 706,346,800 | 5,355,379 |
| 南アフリカ・ラ ンド | - | - | - | - | 41,054,791 | - | 40,598,000 | △456,791 |
| | | | | | | | |
| 合計 | 1,102,187,666 | - | 1,093,197,610 | △8,990,056 | 1,546,367,723 | - | 1,554,040,480 | 7,672,757 |
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| (注) | 1. | 時価の算定方法 |
| | (1) | 期末日に対顧客先物売買相場の仲値が発表されている外貨については、以下のように評価しております。 |
| | | ① | 期末日において為替予約の受渡日の対顧客先物売買相場の仲値が発表されている場合は、当該為替予約は当該仲値で評価しております。 |
| | | ② | 期末日において為替予約の受渡日の対顧客先物売買相場の仲値が発表されていない場合は、以下の方法によっております。 |
| | | | ・ | 期末日に為替予約の受渡日を超える対顧客先物売買相場が発表されている場合には、発表されている先物相場のうち当該日に最も近い前後二つの先物相場の仲値をもとに計算したレートを用いております。 |
| | | | ・ | 期末日に為替予約の受渡日を超える対顧客先物売買相場が発表されていない場合には、当該日に最も近い発表されている対顧客先物売買相場の仲値を用いております。 |
| | (2) | 期末日に対顧客先物売買相場の仲値が発表されていない外貨については、期末日の対顧客電信売買相場の仲値で評価しております。 |
| 2. | 換算において円未満の端数は切り捨てております。 |
| 3. | 契約額等及び時価の合計欄の金額は、各々の合計金額であります。 |
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| (1口当たり情報) | | |
| 2019年1月10日現在 | 2020年1月10日現在 |
| 1口当たり純資産額 | 2.6902円 | 2.8780円 |
| (1万口当たり純資産額) | (26,902円) | (28,780円) |
附属明細表
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| 第1 有価証券明細表 |
| (1) 株式 |
| 該当事項はありません。 |
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| (2) 株式以外の有価証券 | | | |
| 種 類 | 通 貨 | 銘 柄 | 券面総額 | 評価額 | 備考 |
| 国債証券 | アメリカ・ドル | | アメリカ・ドル | アメリカ・ドル | |
| | 3.625% United States Treasury Note/Bond 20210215 | 4,076,000.000 | 4,164,653.000 | |
| | 3.125% United States Treasury Note/Bond 20210515 | 2,551,000.000 | 2,602,020.000 | |
| | 2.125% United States Treasury Note/Bond 20210815 | 2,534,000.000 | 2,554,069.280 | |
| | 2% United States Treasury Note/Bond 20211115 | 2,153,000.000 | 2,169,298.210 | |
| | 2% United States Treasury Note/Bond 20220215 | 3,224,000.000 | 3,251,436.240 | |
| | 1.75% United States Treasury Note/Bond 20220515 | 2,459,000.000 | 2,468,491.740 | |
| | 1.625% United States Treasury Note/Bond 20220815 | 2,543,000.000 | 2,545,975.310 | |
| | 1.625% United States Treasury Note/Bond 20221115 | 8,168,000.000 | 8,174,697.760 | |
| | 2% United States Treasury Note/Bond 20230215 | 4,350,000.000 | 4,402,635.000 | |
| | 1.75% United States Treasury Note/Bond 20230515 | 4,685,000.000 | 4,706,551.000 | |
| | 2.5% United States Treasury Note/Bond 20230815 | 4,568,000.000 | 4,706,456.080 | |
| | 2.75% United States Treasury Note/Bond 20231115 | 5,021,000.000 | 5,230,074.440 | |
| | 2.375% United States Treasury Note/Bond 20201231 | 2,006,000.000 | 2,020,563.560 | |
| | 2.75% United States Treasury Note/Bond 20240215 | 5,229,000.000 | 5,458,553.100 | |
| | 2.125% United States Treasury Note/Bond 20210131 | 1,647,000.000 | 1,655,877.330 | |
| | 2% United States Treasury Note/Bond 20210228 | 1,734,000.000 | 1,741,577.580 | |
| | 2.25% United States Treasury Note/Bond 20210331 | 2,821,000.000 | 2,842,467.810 | |
| | 2.5% United States Treasury Note/Bond 20240515 | 4,912,000.000 | 5,087,751.360 | |
| | 2.25% United States Treasury Note/Bond 20210430 | 7,907,000.000 | 7,971,521.120 | |
| | 2% United States Treasury Note/Bond 20210531 | 2,732,000.000 | 2,746,397.640 | |
| | 2.125% United States Treasury Note/Bond 20210630 | 3,485,000.000 | 3,511,137.500 | |
| | 8% United States Treasury Note/Bond 20211115 | 2,106,000.000 | 2,350,401.300 | |
| | 6.25% United States Treasury Note/Bond 20230815 | 654,000.000 | 759,660.240 | |
| | 6% United States Treasury Note/Bond 20260215 | 855,000.000 | 1,067,741.100 | |
| | 6.5% United States Treasury Note/Bond 20261115 | 630,000.000 | 823,920.300 | |
| | 6.125% United States Treasury Note/Bond 20271115 | 709,000.000 | 935,880.000 | |
| | 5.5% United States Treasury Note/Bond 20280815 | 700,000.000 | 905,457.000 | |
| | 5.25% United States Treasury Note/Bond 20281115 | 738,000.000 | 944,580.960 | |
| | 5.25% United States Treasury Note/Bond 20290215 | 773,000.000 | 994,572.720 | |
| | 6.25% United States Treasury Note/Bond 20300515 | 964,000.000 | 1,363,230.960 | |
| | 5.375% United States Treasury Note/Bond 20310215 | 1,091,000.000 | 1,474,213.750 | |
| | 4.5% United States Treasury Note/Bond 20360215 | 1,826,000.000 | 2,438,696.040 | |
| | 5% United States Treasury Note/Bond 20370515 | 747,000.000 | 1,065,640.320 | |
| | 4.375% United States Treasury Note/Bond 20380215 | 548,000.000 | 735,514.640 | |
| | 4.5% United States Treasury Note/Bond 20380515 | 519,000.000 | 707,578.650 | |
| | 3.5% United States Treasury Note/Bond 20390215 | 1,249,000.000 | 1,511,864.540 | |
| | 4.25% United States Treasury Note/Bond 20390515 | 1,121,000.000 | 1,489,349.390 | |
| | 4.5% United States Treasury Note/Bond 20390815 | 1,060,000.000 | 1,453,684.000 | |
| | 4.375% United States Treasury Note/Bond 20391115 | 1,210,000.000 | 1,636,234.600 | |
| | 4.625% United States Treasury Note/Bond 20400215 | 2,010,000.000 | 2,804,733.900 | |
| | 4.375% United States Treasury Note/Bond 20400515 | 1,678,000.000 | 2,275,250.540 | |
| | 3.875% United States Treasury Note/Bond 20400815 | 1,591,000.000 | 2,025,279.360 | |
| | 4.25% United States Treasury Note/Bond 20401115 | 1,469,000.000 | 1,963,862.030 | |
| | 4.75% United States Treasury Note/Bond 20410215 | 1,754,000.000 | 2,498,344.980 | |
| | 4.375% United States Treasury Note/Bond 20410515 | 1,365,000.000 | 1,856,604.750 | |
| | 3.75% United States Treasury Note/Bond 20410815 | 1,867,000.000 | 2,339,873.760 | |
| | 3.125% United States Treasury Note/Bond 20411115 | 1,450,000.000 | 1,660,583.500 | |
| | 3.125% United States Treasury Note/Bond 20420215 | 1,623,000.000 | 1,858,708.290 | |
| | 3% United States Treasury Note/Bond 20420515 | 1,353,000.000 | 1,520,744.940 | |
| | 2.75% United States Treasury Note/Bond 20420815 | 2,231,000.000 | 2,407,561.340 | |
| | 2.75% United States Treasury Note/Bond 20421115 | 2,630,000.000 | 2,836,481.300 | |
| | 3.125% United States Treasury Note/Bond 20430215 | 2,826,000.000 | 3,238,172.100 | |
| | 2.875% United States Treasury Note/Bond 20430515 | 3,898,000.000 | 4,292,048.820 | |
| | 3.625% United States Treasury Note/Bond 20430815 | 3,064,000.000 | 3,795,744.480 | |
| | 3.75% United States Treasury Note/Bond 20431115 | 3,581,000.000 | 4,523,805.680 | |
| | 3.625% United States Treasury Note/Bond 20440215 | 4,117,000.000 | 5,110,514.440 | |
| | 3.375% United States Treasury Note/Bond 20440515 | 3,657,000.000 | 4,371,541.230 | |
| | 2.25% United States Treasury Note/Bond 20210731 | 2,834,000.000 | 2,862,340.000 | |
| | 2.375% United States Treasury Note/Bond 20240815 | 6,162,000.000 | 6,358,875.900 | |
| | 3.125% United States Treasury Note/Bond 20440815 | 3,929,000.000 | 4,515,246.090 | |
| | 2% United States Treasury Note/Bond 20210831 | 1,301,000.000 | 1,309,274.360 | |
| | 2.125% United States Treasury Note/Bond 20210930 | 3,625,000.000 | 3,656,718.750 | |
| | 2% United States Treasury Note/Bond 20211031 | 2,163,000.000 | 2,177,686.770 | |
| | 2.25% United States Treasury Note/Bond 20241115 | 5,921,000.000 | 6,082,880.140 | |
| | 3% United States Treasury Note/Bond 20441115 | 3,846,000.000 | 4,329,442.200 | |
| | 1.875% United States Treasury Note/Bond 20211130 | 2,886,000.000 | 2,901,555.540 | |
| | 2.125% United States Treasury Note/Bond 20211231 | 3,169,000.000 | 3,201,672.390 | |
| | 1.5% United States Treasury Note/Bond 20220131 | 2,427,000.000 | 2,422,825.560 | |
| | 2% United States Treasury Note/Bond 20250215 | 5,743,000.000 | 5,834,485.990 | |
| | 2.5% United States Treasury Note/Bond 20450215 | 4,063,000.000 | 4,190,253.160 | |
| | 1.75% United States Treasury Note/Bond 20220228 | 1,809,000.000 | 1,815,639.030 | |
| | 1.75% United States Treasury Note/Bond 20220331 | 2,891,000.000 | 2,901,841.250 | |
| | 2.125% United States Treasury Note/Bond 20250515 | 5,788,000.000 | 5,915,914.800 | |
| | 3% United States Treasury Note/Bond 20450515 | 3,835,000.000 | 4,324,230.950 | |
| | 1.75% United States Treasury Note/Bond 20220430 | 2,612,000.000 | 2,621,795.000 | |
| | 1.875% United States Treasury Note/Bond 20220531 | 2,826,000.000 | 2,845,414.620 | |
| | 2.125% United States Treasury Note/Bond 20220630 | 2,821,000.000 | 2,858,462.880 | |
| | 2% United States Treasury Note/Bond 20220731 | 2,179,000.000 | 2,201,639.810 | |
| | 2% United States Treasury Note/Bond 20250815 | 5,743,000.000 | 5,834,945.430 | |
| | 2.875% United States Treasury Note/Bond 20450815 | 4,073,000.000 | 4,495,573.750 | |
| | 1.875% United States Treasury Note/Bond 20220831 | 2,445,000.000 | 2,463,337.500 | |
| | 1.75% United States Treasury Note/Bond 20220930 | 2,472,000.000 | 2,482,802.640 | |
| | 2.25% United States Treasury Note/Bond 20251115 | 5,840,000.000 | 6,013,331.200 | |
| | 3% United States Treasury Note/Bond 20451115 | 3,709,000.000 | 4,189,686.400 | |
| | 1.875% United States Treasury Note/Bond 20221031 | 2,558,000.000 | 2,577,773.340 | |
| | 2% United States Treasury Note/Bond 20221130 | 6,287,000.000 | 6,358,671.800 | |
| | 1.75% United States Treasury Note/Bond 20201231 | 3,043,000.000 | 3,046,895.040 | |
| | 2.125% United States Treasury Note/Bond 20221231 | 4,992,000.000 | 5,068,427.520 | |
| | 1.375% United States Treasury Note/Bond 20210131 | 3,126,000.000 | 3,118,059.960 | |
| | 1.625% United States Treasury Note/Bond 20260215 | 5,366,000.000 | 5,332,838.120 | |
| | 1.75% United States Treasury Note/Bond 20230131 | 2,561,000.000 | 2,572,780.600 | |
| | 2.5% United States Treasury Note/Bond 20460215 | 3,928,000.000 | 4,051,339.200 | |
| | 1.125% United States Treasury Note/Bond 20210228 | 3,309,000.000 | 3,290,370.330 | |
| | 1.5% United States Treasury Note/Bond 20230228 | 4,262,000.000 | 4,249,341.860 | |
| | 1.25% United States Treasury Note/Bond 20210331 | 3,002,000.000 | 2,988,971.320 | |
| | 1.5% United States Treasury Note/Bond 20230331 | 2,123,000.000 | 2,116,524.850 | |
| | 1.625% United States Treasury Note/Bond 20260515 | 7,029,000.000 | 6,976,282.500 | |
| | 1.375% United States Treasury Note/Bond 20210430 | 2,450,000.000 | 2,443,091.000 | |
| | 1.625% United States Treasury Note/Bond 20230430 | 2,070,000.000 | 2,071,117.800 | |
| | 2.5% United States Treasury Note/Bond 20460515 | 3,423,000.000 | 3,532,091.010 | |
| | 1.375% United States Treasury Note/Bond 20210531 | 2,700,000.000 | 2,691,981.000 | |
| | 1.625% United States Treasury Note/Bond 20230531 | 2,500,000.000 | 2,500,375.000 | |
| | 1.125% United States Treasury Note/Bond 20210630 | 2,500,000.000 | 2,482,800.000 | |
| | 1.375% United States Treasury Note/Bond 20230630 | 3,000,000.000 | 2,977,260.000 | |
| | 1.5% United States Treasury Note/Bond 20260815 | 5,400,000.000 | 5,314,356.000 | |
| | 2.25% United States Treasury Note/Bond 20460815 | 3,480,000.000 | 3,421,814.400 | |
| | 1.125% United States Treasury Note/Bond 20210831 | 3,700,000.000 | 3,671,066.000 | |
| | 1.125% United States Treasury Note/Bond 20210731 | 3,700,000.000 | 3,672,250.000 | |
| | 1.25% United States Treasury Note/Bond 20230731 | 2,780,000.000 | 2,745,444.600 | |
| | 1.375% United States Treasury Note/Bond 20230831 | 2,400,000.000 | 2,379,360.000 | |
| | 1.375% United States Treasury Note/Bond 20230930 | 2,505,000.000 | 2,482,480.050 | |
| | 1.125% United States Treasury Note/Bond 20210930 | 3,042,000.000 | 3,017,025.180 | |
| | 2% United States Treasury Note/Bond 20261115 | 6,500,000.000 | 6,598,995.000 | |
| | 1.25% United States Treasury Note/Bond 20211031 | 3,000,000.000 | 2,981,700.000 | |
| | 1.625% United States Treasury Note/Bond 20231031 | 2,500,000.000 | 2,500,375.000 | |
| | 2.875% United States Treasury Note/Bond 20461115 | 3,350,000.000 | 3,718,500.000 | |
| | 2.125% United States Treasury Note/Bond 20231130 | 2,490,000.000 | 2,536,289.100 | |
| | 1.75% United States Treasury Note/Bond 20211130 | 3,400,000.000 | 3,410,064.000 | |
| | 2% United States Treasury Note/Bond 20211231 | 4,000,000.000 | 4,031,840.000 | |
| | 2.25% United States Treasury Note/Bond 20231231 | 2,500,000.000 | 2,559,175.000 | |
| | 2.25% United States Treasury Note/Bond 20270215 | 5,340,000.000 | 5,511,040.200 | |
| | 1.875% United States Treasury Note/Bond 20220131 | 3,010,000.000 | 3,027,157.000 | |
| | 2.25% United States Treasury Note/Bond 20240131 | 2,480,000.000 | 2,539,272.000 | |
| | 3% United States Treasury Note/Bond 20470215 | 3,545,000.000 | 4,028,821.600 | |
| | 1.875% United States Treasury Note/Bond 20220228 | 3,010,000.000 | 3,028,090.100 | |
| | 2.125% United States Treasury Note/Bond 20240229 | 2,300,000.000 | 2,345,080.000 | |
| | 2.125% United States Treasury Note/Bond 20240331 | 7,550,000.000 | 7,697,451.500 | |
| | 1.875% United States Treasury Note/Bond 20220331 | 2,900,000.000 | 2,918,560.000 | |
| | 2.375% United States Treasury Note/Bond 20270515 | 5,700,000.000 | 5,936,436.000 | |
| | 3% United States Treasury Note/Bond 20470515 | 3,500,000.000 | 3,978,240.000 | |
| | 1.875% United States Treasury Note/Bond 20220430 | 3,000,000.000 | 3,019,440.000 | |
| | 2% United States Treasury Note/Bond 20240430 | 3,000,000.000 | 3,043,590.000 | |
| | 1.75% United States Treasury Note/Bond 20220531 | 3,000,000.000 | 3,011,700.000 | |
| | 2% United States Treasury Note/Bond 20240531 | 8,800,000.000 | 8,931,296.000 | |
| | 1.75% United States Treasury Note/Bond 20220630 | 3,000,000.000 | 3,012,630.000 | |
| | 2% United States Treasury Note/Bond 20240630 | 2,400,000.000 | 2,436,168.000 | |
| | 2.25% United States Treasury Note/Bond 20270815 | 5,900,000.000 | 6,095,408.000 | |
| | 1.875% United States Treasury Note/Bond 20220731 | 2,900,000.000 | 2,921,054.000 | |
| | 2.125% United States Treasury Note/Bond 20240731 | 3,000,000.000 | 3,062,340.000 | |
| | 2.75% United States Treasury Note/Bond 20470815 | 3,800,000.000 | 4,125,052.000 | |
| | 1.625% United States Treasury Note/Bond 20220831 | 3,200,000.000 | 3,202,976.000 | |
| | 1.875% United States Treasury Note/Bond 20240831 | 2,000,000.000 | 2,019,840.000 | |
| | 1.875% United States Treasury Note/Bond 20220930 | 2,500,000.000 | 2,519,525.000 | |
| | 2.125% United States Treasury Note/Bond 20240930 | 2,500,000.000 | 2,553,125.000 | |
| | 2% United States Treasury Note/Bond 20221031 | 2,500,000.000 | 2,527,925.000 | |
| | 2.25% United States Treasury Note/Bond 20271115 | 5,500,000.000 | 5,683,040.000 | |
| | 2.75% United States Treasury Note/Bond 20471115 | 3,500,000.000 | 3,801,315.000 | |
| | 2.25% United States Treasury Note/Bond 20241031 | 3,500,000.000 | 3,595,690.000 | |
| | 2.125% United States Treasury Note/Bond 20241130 | 3,200,000.000 | 3,269,248.000 | |
| | 2.25% United States Treasury Note/Bond 20241231 | 2,800,000.000 | 2,878,288.000 | |
| | 2% United States Treasury Note/Bond 20210115 | 2,300,000.000 | 2,309,062.000 | |
| | 2.375% United States Treasury Note/Bond 20230131 | 3,500,000.000 | 3,580,640.000 | |
| | 2.75% United States Treasury Note/Bond 20280215 | 6,300,000.000 | 6,748,371.000 | |
| | 2.25% United States Treasury Note/Bond 20210215 | 2,500,000.000 | 2,517,075.000 | |
| | 2.625% United States Treasury Note/Bond 20230228 | 3,300,000.000 | 3,403,125.000 | |
| | 2.5% United States Treasury Note/Bond 20250131 | 2,600,000.000 | 2,705,612.000 | |
| | 2.75% United States Treasury Note/Bond 20250228 | 2,700,000.000 | 2,843,208.000 | |
| | 3% United States Treasury Note/Bond 20480215 | 3,600,000.000 | 4,098,924.000 | |
| | 2.375% United States Treasury Note/Bond 20210315 | 3,200,000.000 | 3,228,352.000 | |
| | 2.5% United States Treasury Note/Bond 20230331 | 2,900,000.000 | 2,981,548.000 | |
| | 2.625% United States Treasury Note/Bond 20250331 | 2,900,000.000 | 3,037,054.000 | |
| | 2.375% United States Treasury Note/Bond 20210415 | 2,500,000.000 | 2,522,925.000 | |
| | 3.125% United States Treasury Note/Bond 20480515 | 4,200,000.000 | 4,895,268.000 | |
| | 2.875% United States Treasury Note/Bond 20280515 | 6,500,000.000 | 7,033,195.000 | |
| | 2.625% United States Treasury Note/Bond 20210515 | 3,000,000.000 | 3,040,170.000 | |
| | 2.75% United States Treasury Note/Bond 20230430 | 2,500,000.000 | 2,591,600.000 | |
| | 2.875% United States Treasury Note/Bond 20250430 | 1,900,000.000 | 2,014,874.000 | |
| | 2.875% United States Treasury Note/Bond 20250531 | 3,550,000.000 | 3,766,585.500 | |
| | 2.75% United States Treasury Note/Bond 20230531 | 2,500,000.000 | 2,593,350.000 | |
| | 2.625% United States Treasury Note/Bond 20210615 | 5,000,000.000 | 5,072,050.000 | |
| | 2.625% United States Treasury Note/Bond 20230630 | 2,500,000.000 | 2,585,150.000 | |
| | 2.75% United States Treasury Note/Bond 20250630 | 3,000,000.000 | 3,165,450.000 | |
| | 2.625% United States Treasury Note/Bond 20210715 | 3,300,000.000 | 3,349,863.000 | |
| | 2.75% United States Treasury Note/Bond 20230731 | 4,550,000.000 | 4,726,631.000 | |
| | 2.875% United States Treasury Note/Bond 20280815 | 6,700,000.000 | 7,258,445.000 | |
| | 3% United States Treasury Note/Bond 20480815 | 4,200,000.000 | 4,788,630.000 | |
| | 2.75% United States Treasury Note/Bond 20210815 | 2,500,000.000 | 2,544,625.000 | |
| | 2.875% United States Treasury Note/Bond 20250731 | 2,500,000.000 | 2,656,250.000 | |
| | 2.75% United States Treasury Note/Bond 20230831 | 3,600,000.000 | 3,742,020.000 | |
| | 2.75% United States Treasury Note/Bond 20250831 | 3,600,000.000 | 3,802,500.000 | |
| | 2.75% United States Treasury Note/Bond 20210915 | 3,500,000.000 | 3,565,730.000 | |
| | 3% United States Treasury Note/Bond 20250930 | 2,500,000.000 | 2,676,550.000 | |
| | 2.875% United States Treasury Note/Bond 20230930 | 3,000,000.000 | 3,134,760.000 | |
| | 2.875% United States Treasury Note/Bond 20211015 | 3,000,000.000 | 3,065,970.000 | |
| | 3% United States Treasury Note/Bond 20251031 | 2,500,000.000 | 2,678,300.000 | |
| | 2.875% United States Treasury Note/Bond 20231031 | 4,000,000.000 | 4,182,480.000 | |
| | 2.875% United States Treasury Note/Bond 20211115 | 4,000,000.000 | 4,092,640.000 | |
| | 3.125% United States Treasury Note/Bond 20281115 | 7,300,000.000 | 8,068,179.000 | |
| | 3.375% United States Treasury Note/Bond 20481115 | 4,800,000.000 | 5,863,104.000 | |
| | 2.875% United States Treasury Note/Bond 20251130 | 3,000,000.000 | 3,194,520.000 | |
| | 2.875% United States Treasury Note/Bond 20231130 | 5,000,000.000 | 5,232,400.000 | |
| | 2.625% United States Treasury Note/Bond 20211215 | 2,800,000.000 | 2,854,796.000 | |
| | 2.5% United States Treasury Note/Bond 20201231 | 4,000,000.000 | 4,033,560.000 | |
| | 2.625% United States Treasury Note/Bond 20251231 | 3,500,000.000 | 3,680,180.000 | |
| | 2.625% United States Treasury Note/Bond 20231231 | 2,500,000.000 | 2,594,725.000 | |
| | 2.5% United States Treasury Note/Bond 20220115 | 3,000,000.000 | 3,053,550.000 | |
| | 2.625% United States Treasury Note/Bond 20290215 | 6,600,000.000 | 7,033,620.000 | |
| | 2.5% United States Treasury Note/Bond 20220215 | 3,000,000.000 | 3,055,890.000 | |
| | 2.5% United States Treasury Note/Bond 20210131 | 3,000,000.000 | 3,027,510.000 | |
| | 2.5% United States Treasury Note/Bond 20240131 | 4,000,000.000 | 4,134,360.000 | |
| | 2.625% United States Treasury Note/Bond 20260131 | 2,500,000.000 | 2,629,100.000 | |
| | 3% United States Treasury Note/Bond 20490215 | 4,600,000.000 | 5,254,764.000 | |
| | 2.5% United States Treasury Note/Bond 20210228 | 3,000,000.000 | 3,029,400.000 | |
| | 2.5% United States Treasury Note/Bond 20260228 | 2,500,000.000 | 2,611,900.000 | |
| | 2.375% United States Treasury Note/Bond 20240229 | 3,300,000.000 | 3,396,162.000 | |
| | 2.375% United States Treasury Note/Bond 20220315 | 3,500,000.000 | 3,559,745.000 | |
| | 2.25% United States Treasury Note/Bond 20260331 | 2,500,000.000 | 2,576,150.000 | |
| | 2.25% United States Treasury Note/Bond 20220415 | 3,700,000.000 | 3,754,168.000 | |
| | 2.125% United States Treasury Note/Bond 20220515 | 3,400,000.000 | 3,441,820.000 | |
| | 2.875% United States Treasury Note/Bond 20490515 | 4,850,000.000 | 5,413,424.500 | |
| | 2.375% United States Treasury Note/Bond 20290515 | 6,900,000.000 | 7,213,191.000 | |
| | 2.25% United States Treasury Note/Bond 20240430 | 3,500,000.000 | 3,586,940.000 | |
| | 2.375% United States Treasury Note/Bond 20260430 | 2,800,000.000 | 2,906,512.000 | |
| | 2.125% United States Treasury Note/Bond 20210531 | 2,000,000.000 | 2,013,500.000 | |
| | 1.75% United States Treasury Note/Bond 20220615 | 3,500,000.000 | 3,514,595.000 | |
| | 2.125% United States Treasury Note/Bond 20260531 | 3,000,000.000 | 3,069,120.000 | |
| | 1.75% United States Treasury Note/Bond 20240630 | 3,500,000.000 | 3,515,015.000 | |
| | 1.625% United States Treasury Note/Bond 20210630 | 4,700,000.000 | 4,700,893.000 | |
| | 1.875% United States Treasury Note/Bond 20260630 | 4,000,000.000 | 4,031,240.000 | |
| | 1.75% United States Treasury Note/Bond 20220715 | 4,000,000.000 | 4,016,080.000 | |
| | 1.75% United States Treasury Note/Bond 20210731 | 4,700,000.000 | 4,709,729.000 | |
| | 1.75% United States Treasury Note/Bond 20240731 | 3,500,000.000 | 3,515,015.000 | |
| | 1.875% United States Treasury Note/Bond 20260731 | 2,000,000.000 | 2,015,300.000 | |
| | 1.625% United States Treasury Note/Bond 20290815 | 6,900,000.000 | 6,762,483.000 | |
| | 1.5% United States Treasury Note/Bond 20220815 | 3,500,000.000 | 3,492,475.000 | |
| | 2.25% United States Treasury Note/Bond 20490815 | 4,850,000.000 | 4,767,356.000 | |
| | 1.5% United States Treasury Note/Bond 20210831 | 3,100,000.000 | 3,094,544.000 | |
| | 1.375% United States Treasury Note/Bond 20260831 | 2,800,000.000 | 2,733,276.000 | |
| | 1.25% United States Treasury Note/Bond 20240831 | 4,000,000.000 | 3,928,720.000 | |
| | 1.5% United States Treasury Note/Bond 20220915 | 3,000,000.000 | 2,993,070.000 | |
| | 1.5% United States Treasury Note/Bond 20210930 | 5,100,000.000 | 5,091,024.000 | |
| | 1.625% United States Treasury Note/Bond 20260930 | 2,500,000.000 | 2,478,500.000 | |
| | 1.5% United States Treasury Note/Bond 20240930 | 3,000,000.000 | 2,978,430.000 | |
| | 1.375% United States Treasury Note/Bond 20221015 | 2,900,000.000 | 2,882,890.000 | |
| | 1.5% United States Treasury Note/Bond 20241031 | 4,000,000.000 | 3,971,240.000 | |
| | 1.5% United States Treasury Note/Bond 20211031 | 2,550,000.000 | 2,545,512.000 | |
| | 1.625% United States Treasury Note/Bond 20261031 | 4,500,000.000 | 4,459,905.000 | |
| | 1.75% United States Treasury Note/Bond 20291115 | 5,300,000.000 | 5,249,862.000 | |
| | 2.375% United States Treasury Note/Bond 20491115 | 3,400,000.000 | 3,432,402.000 | |
| | 1.5% United States Treasury Note/Bond 20211130 | 1,500,000.000 | 1,497,480.000 | |
| | 1.625% United States Treasury Note/Bond 20261130 | 2,000,000.000 | 1,981,560.000 | |
| | 1.5% United States Treasury Note/Bond 20241130 | 3,000,000.000 | 2,978,880.000 | |
| | 1.625% United States Treasury Note/Bond 20221215 | 3,000,000.000 | 3,002,910.000 | |
| アメリカ・ドル 小計 | | アメリカ・ドル | |
| | | | 836,687,337.100 | |
| | | | (91,675,831,526) | |
| イギリス・ポンド | | イギリス・ポンド | イギリス・ポンド | |
| | 2% United Kingdom Gilt 20250907 | 1,821,000.000 | 1,964,003.130 | |
| | 1.5% United Kingdom Gilt 20210122 | 2,477,000.000 | 2,498,698.520 | |
| | 2.5% United Kingdom Gilt 20650722 | 1,682,000.000 | 2,450,505.800 | |
| | 1.5% United Kingdom Gilt 20260722 | 1,465,000.000 | 1,546,541.900 | |
| | 0.5% United Kingdom Gilt 20220722 | 2,320,000.000 | 2,317,007.200 | |
| | 1.5% United Kingdom Gilt 20470722 | 1,590,000.000 | 1,663,140.000 | |
| | 1.75% United Kingdom Gilt 20370907 | 1,650,000.000 | 1,791,075.000 | |
| | 1.75% United Kingdom Gilt 20570722 | 1,510,000.000 | 1,755,677.000 | |
| | 1.25% United Kingdom Gilt 20270722 | 1,510,000.000 | 1,573,133.100 | |
| | 0.75% United Kingdom Gilt 20230722 | 2,000,000.000 | 2,010,920.000 | |
| | 1.625% United Kingdom Gilt 20281022 | 2,500,000.000 | 2,687,650.000 | |
| | 1.625% United Kingdom Gilt 20711022 | 930,000.000 | 1,093,959.000 | |
| | 1% United Kingdom Gilt 20240422 | 1,900,000.000 | 1,930,799.000 | |
| | 1.75% United Kingdom Gilt 20490122 | 570,000.000 | 631,446.000 | |
| | 1.625% United Kingdom Gilt 20541022 | 850,000.000 | 940,406.000 | |
| | 0.875% United Kingdom Gilt 20291022 | 1,700,000.000 | 1,708,806.000 | |
| | 0.625% United Kingdom Gilt 20250607 | 700,000.000 | 699,188.000 | |
| | 8% United Kingdom Gilt 20210607 | 1,102,000.000 | 1,216,090.060 | |
| | 6% United Kingdom Gilt 20281207 | 949,000.000 | 1,379,741.610 | |
| | 4.25% United Kingdom Gilt 20320607 | 1,340,000.000 | 1,854,828.000 | |
| | 5% United Kingdom Gilt 20250307 | 1,472,000.000 | 1,798,533.760 | |
| | 4.25% United Kingdom Gilt 20360307 | 2,032,000.000 | 2,967,939.200 | |
| | 4.75% United Kingdom Gilt 20381207 | 1,557,000.000 | 2,494,781.100 | |
| | 4.25% United Kingdom Gilt 20551207 | 1,708,000.000 | 3,205,062.000 | |
| | 4.25% United Kingdom Gilt 20461207 | 2,086,000.000 | 3,480,908.200 | |
| | 4.25% United Kingdom Gilt 20271207 | 1,232,000.000 | 1,570,861.600 | |
| | 4.5% United Kingdom Gilt 20421207 | 1,946,000.000 | 3,189,494.000 | |
| | 4.75% United Kingdom Gilt 20301207 | 1,330,000.000 | 1,870,113.000 | |
| | 4.25% United Kingdom Gilt 20491207 | 1,523,000.000 | 2,640,882.000 | |
| | 4.25% United Kingdom Gilt 20390907 | 1,446,000.000 | 2,209,343.400 | |
| | 4% United Kingdom Gilt 20220307 | 1,382,000.000 | 1,483,922.500 | |
| | 4.5% United Kingdom Gilt 20340907 | 1,510,000.000 | 2,213,056.000 | |
| | 4% United Kingdom Gilt 20600122 | 1,374,000.000 | 2,594,524.200 | |
| | 4.25% United Kingdom Gilt 20401207 | 1,577,000.000 | 2,442,930.700 | |
| | 3.75% United Kingdom Gilt 20210907 | 803,000.000 | 844,876.450 | |
| | 3.75% United Kingdom Gilt 20520722 | 1,552,000.000 | 2,584,856.000 | |
| | 1.75% United Kingdom Gilt 20220907 | 2,242,000.000 | 2,312,488.480 | |
| | 3.25% United Kingdom Gilt 20440122 | 2,066,000.000 | 2,893,846.200 | |
| | 2.25% United Kingdom Gilt 20230907 | 1,942,000.000 | 2,058,811.300 | |
| | 3.5% United Kingdom Gilt 20680722 | 1,641,000.000 | 3,028,301.400 | |
| | 2.75% United Kingdom Gilt 20240907 | 1,392,000.000 | 1,528,736.160 | |
| | 3.5% United Kingdom Gilt 20450122 | 2,124,000.000 | 3,118,032.000 | |
| イギリス・ポンド 小計 | | イギリス・ポンド | |
| | | | 86,245,914.970 | |
| | | | (12,351,277,483) | |
| オーストラリア・ドル | | オーストラリア・ドル | オーストラリア・ドル | |
| | 5.75% AUSTRALIAN GOVERNMENT BOND 20210515 | 2,420,000.000 | 2,579,042.400 | |
| | 5.75% AUSTRALIAN GOVERNMENT BOND 20220715 | 2,162,000.000 | 2,428,055.720 | |
| | 5.5% AUSTRALIAN GOVERNMENT BOND 20230421 | 2,068,000.000 | 2,380,847.040 | |
| | 4.75% AUSTRALIAN GOVERNMENT BOND 20270421 | 2,589,000.000 | 3,251,628.660 | |
| | 2.75% AUSTRALIAN GOVERNMENT BOND 20240421 | 2,473,000.000 | 2,668,762.680 | |
| | 3.25% AUSTRALIAN GOVERNMENT BOND 20290421 | 2,304,000.000 | 2,712,222.720 | |
| | 3.25% AUSTRALIAN GOVERNMENT BOND 20250421 | 2,698,000.000 | 3,020,060.260 | |
| | 4.5% AUSTRALIAN GOVERNMENT BOND 20330421 | 1,258,000.000 | 1,738,367.300 | |
| | 4.25% AUSTRALIAN GOVERNMENT BOND 20260421 | 3,148,000.000 | 3,768,156.000 | |
| | 3.75% AUSTRALIAN GOVERNMENT BOND 20370421 | 1,113,000.000 | 1,479,911.580 | |
| | 2.75% AUSTRALIAN GOVERNMENT BOND 20350621 | 807,000.000 | 948,507.450 | |
| | 3.25% AUSTRALIAN GOVERNMENT BOND 20390621 | 942,000.000 | 1,187,438.100 | |
| | 2.75% AUSTRALIAN GOVERNMENT BOND 20271121 | 2,672,000.000 | 2,995,365.440 | |
| | 2.25% AUSTRALIAN GOVERNMENT BOND 20280521 | 2,678,000.000 | 2,907,424.260 | |
| | 3% AUSTRALIAN GOVERNMENT BOND 20470321 | 1,252,000.000 | 1,555,059.120 | |
| | 2% AUSTRALIAN GOVERNMENT BOND 20211221 | 1,800,000.000 | 1,841,310.000 | |
| | 2.75% AUSTRALIAN GOVERNMENT BOND 20281121 | 2,800,000.000 | 3,163,552.000 | |
| | 2.25% AUSTRALIAN GOVERNMENT BOND 20221121 | 1,550,000.000 | 1,614,263.000 | |
| | 2.75% AUSTRALIAN GOVERNMENT BOND 20291121 | 2,400,000.000 | 2,736,168.000 | |
| | 2.5% AUSTRALIAN GOVERNMENT BOND 20300521 | 2,770,000.000 | 3,104,117.400 | |
| | 2.75% AUSTRALIAN GOVERNMENT BOND 20410521 | 390,000.000 | 458,624.400 | |
| | 1.5% AUSTRALIAN GOVERNMENT BOND 20310621 | 1,140,000.000 | 1,165,570.200 | |
| オーストラリア・ドル 小計 | | オーストラリア・ドル | |
| | | | 49,704,453.730 | |
| | | | (3,736,283,787) | |
| カナダ・ドル | | カナダ・ドル | カナダ・ドル | |
| | 2.75% Canada Government International Bond 20641201 | 475,000.000 | 631,379.500 | |
| | 8% CANADIAN GOVERNMENT BOND 20270601 | 586,000.000 | 843,927.900 | |
| | 5.75% CANADIAN GOVERNMENT BOND 20290601 | 983,000.000 | 1,332,662.930 | |
| | 5.75% CANADIAN GOVERNMENT BOND 20330601 | 1,227,000.000 | 1,828,033.680 | |
| | 5% CANADIAN GOVERNMENT BOND 20370601 | 1,112,000.000 | 1,660,838.720 | |
| | 4% CANADIAN GOVERNMENT BOND 20410601 | 1,363,000.000 | 1,914,047.270 | |
| | 3.25% CANADIAN GOVERNMENT BOND 20210601 | 956,000.000 | 976,343.680 | |
| | 2.75% CANADIAN GOVERNMENT BOND 20220601 | 1,751,000.000 | 1,796,455.960 | |
| | 3.5% CANADIAN GOVERNMENT BOND 20451201 | 1,561,000.000 | 2,136,166.060 | |
| | 1.5% CANADIAN GOVERNMENT BOND 20230601 | 1,253,000.000 | 1,248,175.950 | |
| | 2.5% CANADIAN GOVERNMENT BOND 20240601 | 1,405,000.000 | 1,458,516.450 | |
| | 2.75% CANADIAN GOVERNMENT BOND 20481201 | 1,297,000.000 | 1,600,627.700 | |
| | 2.25% CANADIAN GOVERNMENT BOND 20250601 | 1,156,000.000 | 1,194,945.640 | |
| | 1.5% CANADIAN GOVERNMENT BOND 20260601 | 1,369,000.000 | 1,360,484.820 | |
| | 0.75% CANADIAN GOVERNMENT BOND 20210301 | 1,837,000.000 | 1,817,307.360 | |
| | 0.75% CANADIAN GOVERNMENT BOND 20210901 | 2,480,000.000 | 2,443,990.400 | |
| | 1% CANADIAN GOVERNMENT BOND 20270601 | 1,240,000.000 | 1,187,386.800 | |
| | 0.5% CANADIAN GOVERNMENT BOND 20220301 | 1,440,000.000 | 1,405,929.600 | |
| | 1% CANADIAN GOVERNMENT BOND 20220901 | 1,750,000.000 | 1,721,545.000 | |
| | 2% CANADIAN GOVERNMENT BOND 20280601 | 1,200,000.000 | 1,236,408.000 | |
| | 1.75% CANADIAN GOVERNMENT BOND 20230301 | 2,100,000.000 | 2,108,001.000 | |
| | 2% CANADIAN GOVERNMENT BOND 20230901 | 1,000,000.000 | 1,013,380.000 | |
| | 2% CANADIAN GOVERNMENT BOND 20511201 | 890,000.000 | 954,293.600 | |
| | 2.25% CANADIAN GOVERNMENT BOND 20290601 | 1,220,000.000 | 1,288,625.000 | |
| | 2.25% CANADIAN GOVERNMENT BOND 20240301 | 1,200,000.000 | 1,231,740.000 | |
| | 2.25% CANADIAN GOVERNMENT BOND 20210201 | 300,000.000 | 301,680.000 | |
| | 1.75% CANADIAN GOVERNMENT BOND 20210501 | 1,050,000.000 | 1,050,787.500 | |
| | 1.5% CANADIAN GOVERNMENT BOND 20240901 | 1,400,000.000 | 1,393,910.000 | |
| | 1.5% CANADIAN GOVERNMENT BOND 20210801 | 400,000.000 | 398,956.000 | |
| | 1.25% CANADIAN GOVERNMENT BOND 20300601 | 550,000.000 | 530,931.500 | |
| | 1.25% CANADIAN GOVERNMENT BOND 20211101 | 800,000.000 | 794,368.000 | |
| | 1.25% CANADIAN GOVERNMENT BOND 20250301 | 600,000.000 | 590,070.000 | |
| | 1.5% CANADIAN GOVERNMENT BOND 20220201 | 2,200,000.000 | 2,194,170.000 | |
| カナダ・ドル 小計 | | カナダ・ドル | |
| | | | 43,646,086.020 | |
| | | | (3,660,597,234) | |
| シンガポール・ドル | | シンガポール・ドル | シンガポール・ドル | |
| | 3.5% SINGAPORE GOVERNMENT 20270301 | 772,000.000 | 868,114.000 | |
| | 3.125% SINGAPORE GOVERNMENT 20220901 | 438,000.000 | 456,615.000 | |
| | 3% SINGAPORE GOVERNMENT 20240901 | 623,000.000 | 663,426.470 | |
| | 2.875% SINGAPORE GOVERNMENT 20300901 | 359,000.000 | 396,946.300 | |
| | 2.25% SINGAPORE GOVERNMENT 20210601 | 495,000.000 | 500,346.000 | |
| | 2.75% SINGAPORE GOVERNMENT 20420401 | 400,000.000 | 453,000.000 | |
| | 2.75% SINGAPORE GOVERNMENT 20230701 | 671,000.000 | 699,047.800 | |
| | 3.375% SINGAPORE GOVERNMENT 20330901 | 718,000.000 | 849,925.320 | |
| | 2.875% SINGAPORE GOVERNMENT 20290701 | 325,000.000 | 357,019.000 | |
| | 2.375% SINGAPORE GOVERNMENT 20250601 | 524,000.000 | 546,008.000 | |
| | 2.75% SINGAPORE GOVERNMENT 20460301 | 688,000.000 | 780,205.760 | |
| | 2.125% SINGAPORE GOVERNMENT 20260601 | 250,000.000 | 257,950.000 | |
| | 1.25% SINGAPORE GOVERNMENT 20211001 | 460,000.000 | 458,339.400 | |
| | 1.75% SINGAPORE GOVERNMENT 20220401 | 500,000.000 | 502,900.000 | |
| | 2.25% SINGAPORE GOVERNMENT 20360801 | 300,000.000 | 315,150.000 | |
| | 1.75% SINGAPORE GOVERNMENT 20230201 | 450,000.000 | 453,555.000 | |
| | 2.625% SINGAPORE GOVERNMENT 20280501 | 550,000.000 | 589,325.000 | |
| | 2% SINGAPORE GOVERNMENT 20240201 | 490,000.000 | 499,153.200 | |
| | 2.375% SINGAPORE GOVERNMENT 20390701 | 150,000.000 | 161,298.000 | |
| シンガポール・ドル 小計 | | シンガポール・ドル | |
| | | | 9,808,324.250 | |
| | | | (795,455,098) | |
| スウェーデン・クローナ | | スウェーデン・クローナ | スウェーデン・クローナ | |
| | 3.5% SWEDISH GOVERNMENT BOND 20390330 | 4,155,000.000 | 6,399,572.550 | |
| | 3.5% SWEDISH GOVERNMENT BOND 20220601 | 8,465,000.000 | 9,237,261.950 | |
| | 1.5% SWEDISH GOVERNMENT BOND 20231113 | 8,025,000.000 | 8,559,545.250 | |
| | 2.5% SWEDISH GOVERNMENT BOND 20250512 | 5,595,000.000 | 6,388,259.100 | |
| | 1% SWEDISH GOVERNMENT BOND 20261112 | 5,680,000.000 | 6,085,154.400 | |
| | 0.75% SWEDISH GOVERNMENT BOND 20280512 | 4,550,000.000 | 4,817,312.500 | |
| | 0.75% SWEDISH GOVERNMENT BOND 20291112 | 4,700,000.000 | 4,973,399.000 | |
| スウェーデン・クローナ 小計 | | スウェーデン・クローナ | |
| | | | 46,460,504.750 | |
| | | | (536,618,830) | |
| デンマーク・クローネ | | デンマーク・クローネ | デンマーク・クローネ | |
| | 4.5% DANISH GOVERNMENT BOND 20391115 | 12,462,000.000 | 23,351,046.360 | |
| | 3% DANISH GOVERNMENT BOND 20211115 | 7,550,000.000 | 8,061,437.000 | |
| | 1.5% DANISH GOVERNMENT BOND 20231115 | 4,846,000.000 | 5,232,226.200 | |
| | 1.75% DANISH GOVERNMENT BOND 20251115 | 6,513,000.000 | 7,361,057.730 | |
| | 0.5% DANISH GOVERNMENT BOND 20271115 | 7,900,000.000 | 8,428,510.000 | |
| | 0.5% DANISH GOVERNMENT BOND 20291115 | 4,090,000.000 | 4,373,396.100 | |
| | 0.25% DANISH GOVERNMENT BOND 20221115 | 800,000.000 | 819,968.000 | |
| デンマーク・クローネ 小計 | | デンマーク・クローネ | |
| | | | 57,627,641.390 | |
| | | | (938,178,002) | |
| ノルウェー・クローネ | | ノルウェー・クローネ | ノルウェー・クローネ | |
| | 3.75% NORWEGIAN GOVERNMENT BOND 20210525 | 6,998,000.000 | 7,224,455.280 | |
| | 2% NORWEGIAN GOVERNMENT BOND 20230524 | 5,204,000.000 | 5,314,272.760 | |
| | 3% NORWEGIAN GOVERNMENT BOND 20240314 | 4,095,000.000 | 4,366,703.250 | |
| | 1.75% NORWEGIAN GOVERNMENT BOND 20250313 | 3,395,000.000 | 3,459,097.600 | |
| | 1.5% NORWEGIAN GOVERNMENT BOND 20260219 | 3,340,000.000 | 3,367,922.400 | |
| | 1.75% NORWEGIAN GOVERNMENT BOND 20270217 | 3,450,000.000 | 3,534,697.500 | |
| | 2% NORWEGIAN GOVERNMENT BOND 20280426 | 3,500,000.000 | 3,662,470.000 | |
| | 1.75% NORWEGIAN GOVERNMENT BOND 20290906 | 3,250,000.000 | 3,344,087.500 | |
| ノルウェー・クローネ 小計 | | ノルウェー・クローネ | |
| | | | 34,273,706.290 | |
| | | | (423,280,273) | |
| ポーランド・ズロチ | | ポーランド・ズロチ | ポーランド・ズロチ | |
| | 5.75% Poland Government Bond 20220923 | 2,309,000.000 | 2,554,308.160 | |
| | 2.5% Poland Government Bond 20260725 | 3,377,000.000 | 3,449,774.350 | |
| | 2% Poland Government Bond 20210425 | 2,127,000.000 | 2,142,952.500 | |
| | 1.75% Poland Government Bond 20210725 | 3,051,000.000 | 3,063,600.630 | |
| | 2.5% Poland Government Bond 20270725 | 2,870,000.000 | 2,925,850.200 | |
| | 2.25% Poland Government Bond 20220425 | 2,320,000.000 | 2,353,616.800 | |
| | 2.5% Poland Government Bond 20230125 | 2,850,000.000 | 2,913,127.500 | |
| | 2.5% Poland Government Bond 20240425 | 2,570,000.000 | 2,634,943.900 | |
| | 2.75% Poland Government Bond 20291025 | 2,040,000.000 | 2,124,394.800 | |
| | Poland Government Bond 20210525 | 800,000.000 | 784,928.000 | |
| | 2.25% Poland Government Bond 20241025 | 1,900,000.000 | 1,926,429.000 | |
| | 5.75% Poland Government Bond 20290425 | 827,000.000 | 1,080,062.000 | |
| | 5.75% Poland Government Bond 20211025 | 1,684,000.000 | 1,808,279.200 | |
| | 4% Poland Government Bond 20231025 | 2,625,000.000 | 2,836,811.250 | |
| | 2.75% Poland Government Bond 20280425 | 2,750,000.000 | 2,852,822.500 | |
| | 3.25% Poland Government Bond 20250725 | 2,591,000.000 | 2,751,149.710 | |
| ポーランド・ズロチ 小計 | | ポーランド・ズロチ | |
| | | | 38,203,050.500 | |
| | | | (1,094,899,427) | |
| マレーシア・リンギット | | マレーシア・リンギット | マレーシア・リンギット | |
| | 3.502% MALAYSIAN GOVERNMENT 20270531 | 573,000.000 | 581,635.110 | |
| | 5.248% MALAYSIAN GOVERNMENT 20280915 | 738,000.000 | 845,283.060 | |
| | 4.498% MALAYSIAN GOVERNMENT 20300415 | 1,178,000.000 | 1,288,932.260 | |
| | 4.16% MALAYSIAN GOVERNMENT 20210715 | 1,916,000.000 | 1,949,779.080 | |
| | 4.392% MALAYSIAN GOVERNMENT 20260415 | 1,514,000.000 | 1,613,712.040 | |
| | 4.232% MALAYSIAN GOVERNMENT 20310630 | 1,300,000.000 | 1,392,898.000 | |
| | 3.418% MALAYSIAN GOVERNMENT 20220815 | 875,000.000 | 883,172.500 | |
| | 3.892% MALAYSIAN GOVERNMENT 20270315 | 731,000.000 | 759,216.600 | |
| | 4.127% MALAYSIAN GOVERNMENT 20320415 | 618,000.000 | 656,853.660 | |
| | 3.48% MALAYSIAN GOVERNMENT 20230315 | 1,001,000.000 | 1,012,971.960 | |
| | 3.844% MALAYSIAN GOVERNMENT 20330415 | 1,427,000.000 | 1,475,960.370 | |
| | 3.733% MALAYSIAN GOVERNMENT 20280615 | 1,186,000.000 | 1,224,426.400 | |
| | 4.935% MALAYSIAN GOVERNMENT 20430930 | 600,000.000 | 699,654.000 | |
| | 4.181% MALAYSIAN GOVERNMENT 20240715 | 1,057,000.000 | 1,102,429.860 | |
| | 4.048% MALAYSIAN GOVERNMENT 20210930 | 857,000.000 | 872,066.060 | |
| | 3.955% MALAYSIAN GOVERNMENT 20250915 | 737,000.000 | 766,008.320 | |
| | 3.795% MALAYSIAN GOVERNMENT 20220930 | 1,161,000.000 | 1,182,710.700 | |
| | 4.254% MALAYSIAN GOVERNMENT 20350531 | 820,000.000 | 887,445.000 | |
| | 3.8% MALAYSIAN GOVERNMENT 20230817 | 1,302,000.000 | 1,332,037.140 | |
| | 4.736% MALAYSIAN GOVERNMENT 20460315 | 930,000.000 | 1,040,372.400 | |
| | 3.9% MALAYSIAN GOVERNMENT 20261130 | 650,000.000 | 675,317.500 | |
| | 3.62% MALAYSIAN GOVERNMENT 20211130 | 352,000.000 | 356,012.800 | |
| | 3.882% MALAYSIAN GOVERNMENT 20220310 | 900,000.000 | 916,200.000 | |
| | 4.059% MALAYSIAN GOVERNMENT 20240930 | 750,000.000 | 778,800.000 | |
| | 3.899% MALAYSIAN GOVERNMENT 20271116 | 890,000.000 | 926,748.100 | |
| | 4.762% MALAYSIAN GOVERNMENT 20370407 | 1,050,000.000 | 1,208,382.000 | |
| | 3.882% MALAYSIAN GOVERNMENT 20250314 | 1,200,000.000 | 1,239,948.000 | |
| | 3.757% MALAYSIAN GOVERNMENT 20230420 | 800,000.000 | 816,208.000 | |
| | 4.642% MALAYSIAN GOVERNMENT 20331107 | 700,000.000 | 784,497.000 | |
| | 4.893% MALAYSIAN GOVERNMENT 20380608 | 600,000.000 | 704,016.000 | |
| | 3.906% MALAYSIAN GOVERNMENT 20260715 | 650,000.000 | 674,843.000 | |
| | 3.885% MALAYSIAN GOVERNMENT 20290815 | 910,000.000 | 954,999.500 | |
| | 4.921% MALAYSIAN GOVERNMENT 20480706 | 1,100,000.000 | 1,285,834.000 | |
| | 3.478% MALAYSIAN GOVERNMENT 20240614 | 400,000.000 | 405,124.000 | |
| | 3.828% MALAYSIAN GOVERNMENT 20340705 | 800,000.000 | 829,616.000 | |
| マレーシア・リンギット 小計 | | マレーシア・リンギット | |
| | | | 34,124,110.420 | |
| | | | (914,526,160) | |
| メキシコ・ペソ | | メキシコ・ペソ | メキシコ・ペソ | |
| | 5.75% Mexican Bonos 20260305 | 15,290,000.000 | 14,490,485.900 | |
| | 8% Mexican Bonos 20471107 | 13,300,000.000 | 14,675,087.000 | |
| | 7.25% Mexican Bonos 20211209 | 13,000,000.000 | 13,108,680.000 | |
| | 8% Mexican Bonos 20240905 | 14,300,000.000 | 15,001,987.000 | |
| | 6.75% Mexican Bonos 20230309 | 5,000,000.000 | 4,992,350.000 | |
| | 8% Mexican Bonos 20231207 | 22,033,000.000 | 22,931,065.080 | |
| | 10% Mexican Bonos 20241205 | 23,919,000.000 | 27,134,670.360 | |
| | 7.5% Mexican Bonos 20270603 | 26,468,000.000 | 27,501,046.040 | |
| | 10% Mexican Bonos 20361120 | 8,874,000.000 | 11,476,034.280 | |
| | 8.5% Mexican Bonos 20290531 | 21,044,000.000 | 23,417,131.880 | |
| | 8.5% Mexican Bonos 20381118 | 13,594,000.000 | 15,571,519.180 | |
| | 6.5% Mexican Bonos 20210610 | 26,326,000.000 | 26,236,228.340 | |
| | 7.75% Mexican Bonos 20310529 | 13,015,000.000 | 13,880,237.200 | |
| | 6.5% Mexican Bonos 20220609 | 24,599,000.000 | 24,458,293.720 | |
| | 7.75% Mexican Bonos 20421113 | 18,654,000.000 | 19,926,202.800 | |
| | 7.75% Mexican Bonos 20341123 | 9,944,000.000 | 10,665,039.440 | |
| メキシコ・ペソ 小計 | | メキシコ・ペソ | |
| | | | 285,466,058.220 | |
| | | | (1,661,412,458) | |
| ユーロ | | ユーロ | ユーロ | |
| | 0.75% Finland Government Bond 20310415 | 414,000.000 | 444,230.280 | |
| | 0.875% Finland Government Bond 20250915 | 279,000.000 | 297,701.370 | |
| | 0.5% Finland Government Bond 20260415 | 411,000.000 | 430,378.650 | |
| | Finland Government Bond 20230915 | 200,000.000 | 203,588.000 | |
| | 1.375% Finland Government Bond 20470415 | 400,000.000 | 486,896.000 | |
| | Finland Government Bond 20220415 | 770,000.000 | 780,048.500 | |
| | 0.5% Finland Government Bond 20270915 | 300,000.000 | 314,685.000 | |
| | 1.125% Finland Government Bond 20340415 | 370,000.000 | 414,932.800 | |
| | 0.5% Finland Government Bond 20280915 | 500,000.000 | 524,595.000 | |
| | 0.5% Finland Government Bond 20290915 | 500,000.000 | 524,255.000 | |
| | Finland Government Bond 20240915 | 200,000.000 | 203,678.000 | |
| | 1.2% Austria Government Bond 20251020 | 873,000.000 | 949,020.840 | |
| | 0.75% Austria Government Bond 20261020 | 1,126,000.000 | 1,200,608.760 | |
| | 1.5% Austria Government Bond 20470220 | 634,000.000 | 778,754.880 | |
| | 1.5% Austria Government Bond 20861102 | 200,000.000 | 254,244.000 | |
| | Austria Government Bond 20230715 | 900,000.000 | 915,804.000 | |
| | 0.5% Austria Government Bond 20270420 | 580,000.000 | 608,454.800 | |
| | 2.1% Austria Government Bond 21170920 | 540,000.000 | 876,997.800 | |
| | Austria Government Bond 20220920 | 400,000.000 | 406,072.000 | |
| | 0.75% Austria Government Bond 20280220 | 1,000,000.000 | 1,068,820.000 | |
| | 0.5% Austria Government Bond 20290220 | 1,200,000.000 | 1,256,544.000 | |
| | Austria Government Bond 20240715 | 300,000.000 | 305,388.000 | |
| | 0.8% Belgium Government Bond 20250622 | 1,399,000.000 | 1,483,149.850 | |
| | 1% Belgium Government Bond 20310622 | 1,274,000.000 | 1,392,673.100 | |
| | 1.9% Belgium Government Bond 20380622 | 758,000.000 | 933,219.280 | |
| | 1% Belgium Government Bond 20260622 | 1,283,000.000 | 1,384,126.060 | |
| | 1.6% Belgium Government Bond 20470622 | 944,000.000 | 1,126,343.040 | |
| | 2.15% Belgium Government Bond 20660622 | 540,000.000 | 750,195.000 | |
| | 0.2% Belgium Government Bond 20231022 | 490,000.000 | 502,235.300 | |
| | 0.8% Belgium Government Bond 20270622 | 1,400,000.000 | 1,496,586.000 | |
| | 0.5% Belgium Government Bond 20241022 | 1,050,000.000 | 1,092,903.000 | |
| | 2.25% Belgium Government Bond 20570622 | 460,000.000 | 637,711.800 | |
| | 1.45% Belgium Government Bond 20370622 | 300,000.000 | 345,282.000 | |
| | 0.8% Belgium Government Bond 20280622 | 1,640,000.000 | 1,756,997.600 | |
| | 1.25% Belgium Government Bond 20330422 | 550,000.000 | 619,498.000 | |
| | 0.9% Belgium Government Bond 20290622 | 1,200,000.000 | 1,297,248.000 | |
| | 1.7% Belgium Government Bond 20500622 | 600,000.000 | 727,596.000 | |
| | 6.25% GERMAN GOVERNMENT BOND 20240104 | 974,000.000 | 1,241,557.800 | |
| | 6.5% GERMAN GOVERNMENT BOND 20270704 | 1,367,000.000 | 2,078,250.100 | |
| | 5.625% GERMAN GOVERNMENT BOND 20280104 | 1,362,000.000 | 2,019,301.200 | |
| | 4.75% GERMAN GOVERNMENT BOND 20280704 | 1,250,000.000 | 1,792,712.500 | |
| | 6.25% GERMAN GOVERNMENT BOND 20300104 | 951,000.000 | 1,574,694.330 | |
| | 5.5% GERMAN GOVERNMENT BOND 20310104 | 1,448,000.000 | 2,362,774.000 | |
| | 4.75% GERMAN GOVERNMENT BOND 20340704 | 1,975,000.000 | 3,357,006.250 | |
| | 4% GERMAN GOVERNMENT BOND 20370104 | 2,071,000.000 | 3,459,067.040 | |
| | 4.25% GERMAN GOVERNMENT BOND 20390704 | 1,225,000.000 | 2,206,274.000 | |
| | 4.75% GERMAN GOVERNMENT BOND 20400704 | 1,599,000.000 | 3,099,229.770 | |
| | 3.25% GERMAN GOVERNMENT BOND 20420704 | 1,374,000.000 | 2,306,946.000 | |
| | 2.5% GERMAN GOVERNMENT BOND 20210104 | 2,333,000.000 | 2,406,092.890 | |
| | 3.25% GERMAN GOVERNMENT BOND 20210704 | 1,674,000.000 | 1,769,702.580 | |
| | 2.25% GERMAN GOVERNMENT BOND 20210904 | 1,415,000.000 | 1,481,788.000 | |
| | 2% GERMAN GOVERNMENT BOND 20220104 | 2,807,000.000 | 2,954,199.080 | |
| | 1.75% GERMAN GOVERNMENT BOND 20220704 | 2,222,000.000 | 2,352,542.500 | |
| | 2.5% GERMAN GOVERNMENT BOND 20440704 | 2,438,000.000 | 3,761,102.600 | |
| | 1.5% GERMAN GOVERNMENT BOND 20220904 | 1,644,000.000 | 1,736,179.080 | |
| | 1.5% GERMAN GOVERNMENT BOND 20230215 | 1,410,000.000 | 1,502,087.100 | |
| | 1.5% GERMAN GOVERNMENT BOND 20230515 | 1,817,000.000 | 1,944,825.950 | |
| | 2% GERMAN GOVERNMENT BOND 20230815 | 1,599,000.000 | 1,748,554.470 | |
| | 1.75% GERMAN GOVERNMENT BOND 20240215 | 1,561,000.000 | 1,709,248.170 | |
| | 2.5% GERMAN GOVERNMENT BOND 20460815 | 2,609,000.000 | 4,109,801.160 | |
| | 1.5% GERMAN GOVERNMENT BOND 20240515 | 1,594,000.000 | 1,736,407.960 | |
| | 1% GERMAN GOVERNMENT BOND 20240815 | 1,542,000.000 | 1,650,880.620 | |
| | 0.5% GERMAN GOVERNMENT BOND 20250215 | 2,194,000.000 | 2,306,574.140 | |
| | 1% GERMAN GOVERNMENT BOND 20250815 | 2,134,000.000 | 2,311,655.500 | |
| | 0.5% GERMAN GOVERNMENT BOND 20260215 | 2,168,000.000 | 2,294,242.640 | |
| | GERMAN GOVERNMENT BOND 20260815 | 2,850,000.000 | 2,928,004.500 | |
| | 0.25% GERMAN GOVERNMENT BOND 20270215 | 1,900,000.000 | 1,987,115.000 | |
| | 0.5% GERMAN GOVERNMENT BOND 20270815 | 2,300,000.000 | 2,452,628.000 | |
| | 1.25% GERMAN GOVERNMENT BOND 20480815 | 1,750,000.000 | 2,209,935.000 | |
| | 0.5% GERMAN GOVERNMENT BOND 20280215 | 1,500,000.000 | 1,602,630.000 | |
| | 0.25% GERMAN GOVERNMENT BOND 20280815 | 1,900,000.000 | 1,991,029.000 | |
| | 0.25% GERMAN GOVERNMENT BOND 20290215 | 2,400,000.000 | 2,513,208.000 | |
| | GERMAN GOVERNMENT BOND 20290815 | 1,900,000.000 | 1,941,021.000 | |
| | GERMAN GOVERNMENT BOND 20500815 | 400,000.000 | 362,508.000 | |
| | GERMAN GOVERNMENT BOND 20210312 | 400,000.000 | 402,832.000 | |
| | GERMAN GOVERNMENT BOND 20210611 | 100,000.000 | 100,849.000 | |
| | GERMAN GOVERNMENT BOND 20210910 | 500,000.000 | 505,040.000 | |
| | GERMAN GOVERNMENT BOND 20211210 | 800,000.000 | 809,264.000 | |
| | GERMAN GOVERNMENT BOND 20210409 | 1,578,000.000 | 1,589,835.000 | |
| | GERMAN GOVERNMENT BOND 20211008 | 1,400,000.000 | 1,414,742.000 | |
| | GERMAN GOVERNMENT BOND 20220408 | 1,160,000.000 | 1,175,810.800 | |
| | GERMAN GOVERNMENT BOND 20221007 | 2,100,000.000 | 2,134,440.000 | |
| | GERMAN GOVERNMENT BOND 20230414 | 730,000.000 | 744,008.700 | |
| | GERMAN GOVERNMENT BOND 20231013 | 1,900,000.000 | 1,940,679.000 | |
| | GERMAN GOVERNMENT BOND 20240405 | 2,250,000.000 | 2,301,142.500 | |
| | GERMAN GOVERNMENT BOND 20241018 | 1,700,000.000 | 1,741,004.000 | |
| | 8.5% FRENCH GOVERNMENT BOND 20230425 | 1,985,000.000 | 2,580,936.700 | |
| | 6% FRENCH GOVERNMENT BOND 20251025 | 3,025,000.000 | 4,134,993.500 | |
| | 5.5% FRENCH GOVERNMENT BOND 20290425 | 3,023,000.000 | 4,578,091.660 | |
| | 5.75% FRENCH GOVERNMENT BOND 20321025 | 2,807,000.000 | 4,776,868.390 | |
| | 4.75% FRENCH GOVERNMENT BOND 20350425 | 2,659,000.000 | 4,396,364.010 | |
| | 4% FRENCH GOVERNMENT BOND 20550425 | 1,664,000.000 | 3,198,624.000 | |
| | 3.75% FRENCH GOVERNMENT BOND 20210425 | 3,230,000.000 | 3,411,429.100 | |
| | 4% FRENCH GOVERNMENT BOND 20381025 | 2,624,000.000 | 4,265,705.600 | |
| | 4.25% FRENCH GOVERNMENT BOND 20231025 | 4,097,000.000 | 4,840,892.290 | |
| | 4.5% FRENCH GOVERNMENT BOND 20410425 | 3,284,000.000 | 5,836,357.640 | |
| | 4% FRENCH GOVERNMENT BOND 20600425 | 1,167,000.000 | 2,342,834.190 | |
| | 3.5% FRENCH GOVERNMENT BOND 20260425 | 3,146,000.000 | 3,894,842.380 | |
| | 3.25% FRENCH GOVERNMENT BOND 20211025 | 4,150,000.000 | 4,437,014.000 | |
| | 3% FRENCH GOVERNMENT BOND 20220425 | 3,630,000.000 | 3,929,257.200 | |
| | 2.75% FRENCH GOVERNMENT BOND 20271025 | 3,699,000.000 | 4,536,786.510 | |
| | 2.25% FRENCH GOVERNMENT BOND 20221025 | 2,694,000.000 | 2,906,556.600 | |
| | 3.25% FRENCH GOVERNMENT BOND 20450525 | 2,538,000.000 | 4,010,141.520 | |
| | 1.75% FRENCH GOVERNMENT BOND 20230525 | 3,347,000.000 | 3,605,555.750 | |
| | 2.25% FRENCH GOVERNMENT BOND 20240525 | 3,086,000.000 | 3,451,752.720 | |
| | 2.5% FRENCH GOVERNMENT BOND 20300525 | 4,087,000.000 | 5,109,240.440 | |
| | 1.75% FRENCH GOVERNMENT BOND 20241125 | 3,399,000.000 | 3,755,385.150 | |
| | 0.5% FRENCH GOVERNMENT BOND 20250525 | 3,292,000.000 | 3,441,753.080 | |
| | 1% FRENCH GOVERNMENT BOND 20251125 | 3,101,000.000 | 3,336,117.820 | |
| | 1.5% FRENCH GOVERNMENT BOND 20310525 | 4,420,000.000 | 5,092,635.600 | |
| | 0.5% FRENCH GOVERNMENT BOND 20260525 | 3,737,000.000 | 3,913,274.290 | |
| | 1.25% FRENCH GOVERNMENT BOND 20360525 | 2,969,000.000 | 3,341,104.770 | |
| | 1.75% FRENCH GOVERNMENT BOND 20660525 | 1,037,000.000 | 1,311,514.640 | |
| | FRENCH GOVERNMENT BOND 20210525 | 2,770,000.000 | 2,792,437.000 | |
| | 0.25% FRENCH GOVERNMENT BOND 20261125 | 3,300,000.000 | 3,400,683.000 | |
| | FRENCH GOVERNMENT BOND 20220525 | 4,000,000.000 | 4,054,480.000 | |
| | 1.75% FRENCH GOVERNMENT BOND 20390625 | 1,870,000.000 | 2,280,689.400 | |
| | 1% FRENCH GOVERNMENT BOND 20270525 | 2,500,000.000 | 2,712,800.000 | |
| | 2% FRENCH GOVERNMENT BOND 20480525 | 2,250,000.000 | 2,919,937.500 | |
| | FRENCH GOVERNMENT BOND 20230325 | 2,400,000.000 | 2,441,088.000 | |
| | 0.75% FRENCH GOVERNMENT BOND 20280525 | 4,100,000.000 | 4,382,900.000 | |
| | FRENCH GOVERNMENT BOND 20210225 | 2,400,000.000 | 2,415,816.000 | |
| | 1.25% FRENCH GOVERNMENT BOND 20340525 | 2,450,000.000 | 2,763,330.500 | |
| | 0.75% FRENCH GOVERNMENT BOND 20281125 | 2,950,000.000 | 3,153,933.500 | |
| | FRENCH GOVERNMENT BOND 20240325 | 3,400,000.000 | 3,464,396.000 | |
| | FRENCH GOVERNMENT BOND 20220225 | 1,400,000.000 | 1,416,408.000 | |
| | 1.5% FRENCH GOVERNMENT BOND 20500525 | 2,500,000.000 | 2,910,450.000 | |
| | 0.5% FRENCH GOVERNMENT BOND 20290525 | 2,500,000.000 | 2,612,950.000 | |
| | FRENCH GOVERNMENT BOND 20250325 | 2,700,000.000 | 2,747,277.000 | |
| | FRENCH GOVERNMENT BOND 20291125 | 1,800,000.000 | 1,789,488.000 | |
| | 7.5% NETHERLANDS GOVERNMENT BOND 20230115 | 548,000.000 | 682,994.320 | |
| | 5.5% NETHERLANDS GOVERNMENT BOND 20280115 | 1,239,000.000 | 1,810,897.620 | |
| | 4% NETHERLANDS GOVERNMENT BOND 20370115 | 1,555,000.000 | 2,557,446.300 | |
| | 3.75% NETHERLANDS GOVERNMENT BOND 20230115 | 791,000.000 | 895,016.500 | |
| | 3.75% NETHERLANDS GOVERNMENT BOND 20420115 | 1,549,000.000 | 2,713,305.850 | |
| | 3.25% NETHERLANDS GOVERNMENT BOND 20210715 | 1,463,000.000 | 1,548,541.610 | |
| | 2.25% NETHERLANDS GOVERNMENT BOND 20220715 | 1,438,000.000 | 1,541,794.840 | |
| | 2.5% NETHERLANDS GOVERNMENT BOND 20330115 | 1,168,000.000 | 1,540,977.440 | |
| | 1.75% NETHERLANDS GOVERNMENT BOND 20230715 | 1,385,000.000 | 1,497,655.900 | |
| | 2.75% NETHERLANDS GOVERNMENT BOND 20470115 | 1,549,000.000 | 2,525,489.600 | |
| | 2% NETHERLANDS GOVERNMENT BOND 20240715 | 1,514,000.000 | 1,683,628.560 | |
| | 0.25% NETHERLANDS GOVERNMENT BOND 20250715 | 1,291,000.000 | 1,336,972.510 | |
| | 0.5% NETHERLANDS GOVERNMENT BOND 20260715 | 1,338,000.000 | 1,411,121.700 | |
| | NETHERLANDS GOVERNMENT BOND 20220115 | 1,200,000.000 | 1,214,136.000 | |
| | 0.75% NETHERLANDS GOVERNMENT BOND 20270715 | 1,200,000.000 | 1,290,444.000 | |
| | NETHERLANDS GOVERNMENT BOND 20240115 | 1,400,000.000 | 1,427,776.000 | |
| | 0.75% NETHERLANDS GOVERNMENT BOND 20280715 | 1,150,000.000 | 1,242,299.000 | |
| | 0.25% NETHERLANDS GOVERNMENT BOND 20290715 | 1,100,000.000 | 1,137,268.000 | |
| | 0.5% NETHERLANDS GOVERNMENT BOND 20400115 | 400,000.000 | 417,216.000 | |
| | 9% ITALIAN GOVERNMENT BOND 20231101 | 1,106,000.000 | 1,466,279.500 | |
| | 7.25% ITALIAN GOVERNMENT BOND 20261101 | 1,110,000.000 | 1,569,451.200 | |
| | 6.5% ITALIAN GOVERNMENT BOND 20271101 | 2,392,000.000 | 3,358,942.080 | |
| | 2.5% ITALIAN GOVERNMENT BOND 20241201 | 1,814,000.000 | 1,977,078.600 | |
| | 3.25% ITALIAN GOVERNMENT BOND 20460901 | 1,629,000.000 | 1,930,104.360 | |
| | 1.35% ITALIAN GOVERNMENT BOND 20220415 | 1,629,000.000 | 1,676,436.480 | |
| | 1.5% ITALIAN GOVERNMENT BOND 20250601 | 1,687,000.000 | 1,755,795.860 | |
| | 1.65% ITALIAN GOVERNMENT BOND 20320301 | 1,765,000.000 | 1,788,192.100 | |
| | 2% ITALIAN GOVERNMENT BOND 20251201 | 1,891,000.000 | 2,021,951.750 | |
| | 1.45% ITALIAN GOVERNMENT BOND 20220915 | 1,504,000.000 | 1,557,286.720 | |
| | 2.7% ITALIAN GOVERNMENT BOND 20470301 | 1,440,000.000 | 1,555,228.800 | |
| | 0.95% ITALIAN GOVERNMENT BOND 20230315 | 2,359,000.000 | 2,411,723.650 | |
| | 1.6% ITALIAN GOVERNMENT BOND 20260601 | 1,786,000.000 | 1,868,388.180 | |
| | 0.45% ITALIAN GOVERNMENT BOND 20210601 | 1,674,000.000 | 1,688,898.600 | |
| | 2.25% ITALIAN GOVERNMENT BOND 20360901 | 1,124,000.000 | 1,181,256.560 | |
| | 1.25% ITALIAN GOVERNMENT BOND 20261201 | 2,068,000.000 | 2,113,558.040 | |
| | 0.65% ITALIAN GOVERNMENT BOND 20231015 | 1,550,000.000 | 1,569,235.500 | |
| | 0.35% ITALIAN GOVERNMENT BOND 20211101 | 1,358,000.000 | 1,368,443.020 | |
| | 2.8% ITALIAN GOVERNMENT BOND 20670301 | 968,000.000 | 1,013,573.440 | |
| | 2.45% ITALIAN GOVERNMENT BOND 20330901 | 1,700,000.000 | 1,856,315.000 | |
| | 2.2% ITALIAN GOVERNMENT BOND 20270601 | 1,510,000.000 | 1,635,103.500 | |
| | 1.85% ITALIAN GOVERNMENT BOND 20240515 | 1,300,000.000 | 1,375,387.000 | |
| | 1.2% ITALIAN GOVERNMENT BOND 20220401 | 1,250,000.000 | 1,282,375.000 | |
| | 3.45% ITALIAN GOVERNMENT BOND 20480301 | 1,450,000.000 | 1,772,480.000 | |
| | 2.05% ITALIAN GOVERNMENT BOND 20270801 | 1,700,000.000 | 1,822,570.000 | |
| | 0.9% ITALIAN GOVERNMENT BOND 20220801 | 1,700,000.000 | 1,734,408.000 | |
| | 1.45% ITALIAN GOVERNMENT BOND 20241115 | 1,900,000.000 | 1,977,178.000 | |
| | 2.95% ITALIAN GOVERNMENT BOND 20380901 | 1,300,000.000 | 1,478,139.000 | |
| | 2% ITALIAN GOVERNMENT BOND 20280201 | 2,500,000.000 | 2,675,550.000 | |
| | 0.95% ITALIAN GOVERNMENT BOND 20230301 | 900,000.000 | 919,737.000 | |
| | 1.45% ITALIAN GOVERNMENT BOND 20250515 | 1,300,000.000 | 1,349,335.000 | |
| | 0.05% ITALIAN GOVERNMENT BOND 20210415 | 1,500,000.000 | 1,504,965.000 | |
| | 2.8% ITALIAN GOVERNMENT BOND 20281201 | 1,550,000.000 | 1,758,583.500 | |
| | 2.45% ITALIAN GOVERNMENT BOND 20231001 | 1,400,000.000 | 1,506,946.000 | |
| | 2.5% ITALIAN GOVERNMENT BOND 20251115 | 1,800,000.000 | 1,972,908.000 | |
| | 2.3% ITALIAN GOVERNMENT BOND 20211015 | 1,200,000.000 | 1,249,752.000 | |
| | 3.35% ITALIAN GOVERNMENT BOND 20350301 | 1,000,000.000 | 1,197,370.000 | |
| | 3.85% ITALIAN GOVERNMENT BOND 20490901 | 1,250,000.000 | 1,622,587.500 | |
| | 1% ITALIAN GOVERNMENT BOND 20220715 | 1,550,000.000 | 1,585,309.000 | |
| | 3% ITALIAN GOVERNMENT BOND 20290801 | 1,900,000.000 | 2,193,835.000 | |
| | 1.75% ITALIAN GOVERNMENT BOND 20240701 | 1,200,000.000 | 1,263,324.000 | |
| | 2.1% ITALIAN GOVERNMENT BOND 20260715 | 1,300,000.000 | 1,396,941.000 | |
| | 3.1% ITALIAN GOVERNMENT BOND 20400301 | 700,000.000 | 805,273.000 | |
| | 1.35% ITALIAN GOVERNMENT BOND 20300401 | 1,400,000.000 | 1,397,676.000 | |
| | 0.05% ITALIAN GOVERNMENT BOND 20230115 | 740,000.000 | 736,300.000 | |
| | 0.35% ITALIAN GOVERNMENT BOND 20250201 | 700,000.000 | 688,604.000 | |
| | 0.85% ITALIAN GOVERNMENT BOND 20270115 | 300,000.000 | 297,369.000 | |
| | 5.25% Italy Buoni Poliennali Del Tesoro 20291101 | 2,754,000.000 | 3,745,963.260 | |
| | 6% Italy Buoni Poliennali Del Tesoro 20310501 | 2,849,000.000 | 4,188,086.980 | |
| | 5.75% Italy Buoni Poliennali Del Tesoro 20330201 | 2,055,000.000 | 3,035,646.000 | |
| | 5% Italy Buoni Poliennali Del Tesoro 20340801 | 2,498,000.000 | 3,520,706.180 | |
| | 4% Italy Buoni Poliennali Del Tesoro 20370201 | 2,790,000.000 | 3,601,862.100 | |
| | 3.75% Italy Buoni Poliennali Del Tesoro 20210801 | 2,734,000.000 | 2,898,996.900 | |
| | 5% Italy Buoni Poliennali Del Tesoro 20390801 | 2,034,000.000 | 2,968,887.420 | |
| | 4.75% Italy Buoni Poliennali Del Tesoro 20230801 | 2,251,000.000 | 2,603,529.110 | |
| | 5% Italy Buoni Poliennali Del Tesoro 20250301 | 2,118,000.000 | 2,580,444.120 | |
| | 5% Italy Buoni Poliennali Del Tesoro 20400901 | 2,043,000.000 | 2,984,026.230 | |
| | 4.5% Italy Buoni Poliennali Del Tesoro 20260301 | 2,070,000.000 | 2,524,054.500 | |
| | 3.75% Italy Buoni Poliennali Del Tesoro 20210301 | 2,144,000.000 | 2,241,702.080 | |
| | 4.75% Italy Buoni Poliennali Del Tesoro 20210901 | 2,281,000.000 | 2,461,860.490 | |
| | 5% Italy Buoni Poliennali Del Tesoro 20220301 | 2,012,000.000 | 2,226,962.080 | |
| | 5.5% Italy Buoni Poliennali Del Tesoro 20220901 | 1,657,000.000 | 1,892,294.000 | |
| | 5.5% Italy Buoni Poliennali Del Tesoro 20221101 | 2,710,000.000 | 3,115,416.000 | |
| | 4.75% Italy Buoni Poliennali Del Tesoro 20280901 | 2,410,000.000 | 3,115,720.300 | |
| | 4.5% Italy Buoni Poliennali Del Tesoro 20230501 | 1,894,000.000 | 2,156,186.420 | |
| | 4.75% Italy Buoni Poliennali Del Tesoro 20440901 | 1,613,000.000 | 2,345,027.790 | |
| | 4.5% Italy Buoni Poliennali Del Tesoro 20240301 | 2,194,000.000 | 2,555,417.620 | |
| | 3.75% Italy Buoni Poliennali Del Tesoro 20210501 | 1,729,000.000 | 1,818,147.240 | |
| | 3.75% Italy Buoni Poliennali Del Tesoro 20240901 | 2,201,000.000 | 2,519,220.580 | |
| | 3.5% Italy Buoni Poliennali Del Tesoro 20300301 | 1,938,000.000 | 2,328,797.700 | |
| | 2.15% Italy Buoni Poliennali Del Tesoro 20211215 | 1,593,000.000 | 1,660,224.600 | |
| | 5.5% Belgium Government Bond 20280328 | 1,706,000.000 | 2,491,391.220 | |
| | 5% Belgium Government Bond 20350328 | 1,704,000.000 | 2,859,329.040 | |
| | 4% Belgium Government Bond 20220328 | 877,000.000 | 966,743.410 | |
| | 4.25% Belgium Government Bond 20410328 | 1,674,000.000 | 2,860,263.360 | |
| | 4.25% Belgium Government Bond 20210928 | 1,446,000.000 | 1,566,712.080 | |
| | 4.5% Belgium Government Bond 20260328 | 1,001,000.000 | 1,298,016.720 | |
| | 4.25% Belgium Government Bond 20220928 | 1,316,000.000 | 1,489,619.880 | |
| | 4% Belgium Government Bond 20320328 | 980,000.000 | 1,429,898.400 | |
| | 2.25% Belgium Government Bond 20230622 | 1,338,000.000 | 1,466,822.640 | |
| | 3.75% Belgium Government Bond 20450622 | 953,000.000 | 1,613,009.680 | |
| | 2.6% Belgium Government Bond 20240622 | 1,505,000.000 | 1,707,377.350 | |
| | 3% Belgium Government Bond 20340622 | 747,000.000 | 1,026,983.070 | |
| | 5.4% IRISH TREASURY 20250313 | 1,131,000.000 | 1,465,131.330 | |
| | 3.9% IRISH TREASURY 20230320 | 1,004,000.000 | 1,144,389.320 | |
| | 3.4% IRISH TREASURY 20240318 | 607,000.000 | 704,120.000 | |
| | 2.4% IRISH TREASURY 20300515 | 1,061,000.000 | 1,305,889.410 | |
| | 0.8% IRISH TREASURY 20220315 | 516,000.000 | 530,375.760 | |
| | 2% IRISH TREASURY 20450218 | 781,000.000 | 1,003,670.910 | |
| | 1% IRISH TREASURY 20260515 | 1,073,000.000 | 1,154,204.640 | |
| | 1.7% IRISH TREASURY 20370515 | 550,000.000 | 654,164.500 | |
| | IRISH TREASURY 20221018 | 350,000.000 | 354,564.000 | |
| | 0.9% IRISH TREASURY 20280515 | 500,000.000 | 538,090.000 | |
| | 1.3% IRISH TREASURY 20330515 | 700,000.000 | 784,630.000 | |
| | 1.35% IRISH TREASURY 20310318 | 200,000.000 | 224,924.000 | |
| | 1.1% IRISH TREASURY 20290515 | 700,000.000 | 766,913.000 | |
| | 1.5% IRISH TREASURY 20500515 | 400,000.000 | 463,324.000 | |
| | 6.25% Austria Government Bond 20270715 | 825,000.000 | 1,225,455.000 | |
| | 3.5% Austria Government Bond 20210915 | 1,337,000.000 | 1,429,226.260 | |
| | 4.15% Austria Government Bond 20370315 | 1,273,000.000 | 2,084,512.040 | |
| | 4.85% Austria Government Bond 20260315 | 875,000.000 | 1,154,020.000 | |
| | 3.65% Austria Government Bond 20220420 | 797,000.000 | 874,197.420 | |
| | 3.4% Austria Government Bond 20221122 | 872,000.000 | 971,434.160 | |
| | 3.8% Austria Government Bond 20620126 | 388,000.000 | 816,623.600 | |
| | 3.15% Austria Government Bond 20440620 | 623,000.000 | 1,003,223.130 | |
| | 1.75% Austria Government Bond 20231020 | 959,000.000 | 1,040,562.950 | |
| | 2.4% Austria Government Bond 20340523 | 771,000.000 | 1,003,934.520 | |
| | 1.65% Austria Government Bond 20241021 | 932,000.000 | 1,023,205.520 | |
| | 4% Finland Government Bond 20250704 | 667,000.000 | 827,933.760 | |
| | 3.5% Finland Government Bond 20210415 | 459,000.000 | 482,789.970 | |
| | 2.75% Finland Government Bond 20280704 | 389,000.000 | 482,857.920 | |
| | 1.625% Finland Government Bond 20220915 | 312,000.000 | 330,348.720 | |
| | 1.5% Finland Government Bond 20230415 | 446,000.000 | 475,699.140 | |
| | 2.625% Finland Government Bond 20420704 | 407,000.000 | 600,813.400 | |
| | 2% Finland Government Bond 20240415 | 529,000.000 | 584,518.550 | |
| | 6% SPANISH GOVERNMENT BOND 20290131 | 2,352,000.000 | 3,530,540.160 | |
| | 1.6% SPANISH GOVERNMENT BOND 20250430 | 2,445,000.000 | 2,652,360.450 | |
| | 1.95% SPANISH GOVERNMENT BOND 20300730 | 2,052,000.000 | 2,355,613.920 | |
| | 2.15% SPANISH GOVERNMENT BOND 20251031 | 2,192,000.000 | 2,457,034.720 | |
| | 1.95% SPANISH GOVERNMENT BOND 20260430 | 1,733,000.000 | 1,933,438.780 | |
| | 0.75% SPANISH GOVERNMENT BOND 20210730 | 1,747,000.000 | 1,779,267.090 | |
| | 2.9% SPANISH GOVERNMENT BOND 20461031 | 1,552,000.000 | 2,113,606.720 | |
| | 3.45% SPANISH GOVERNMENT BOND 20660730 | 1,150,000.000 | 1,822,347.500 | |
| | 1.3% SPANISH GOVERNMENT BOND 20261031 | 2,030,000.000 | 2,187,061.100 | |
| | 0.4% SPANISH GOVERNMENT BOND 20220430 | 2,080,000.000 | 2,116,732.800 | |
| | 1.5% SPANISH GOVERNMENT BOND 20270430 | 2,500,000.000 | 2,733,700.000 | |
| | 2.35% SPANISH GOVERNMENT BOND 20330730 | 1,850,000.000 | 2,237,353.000 | |
| | 1.45% SPANISH GOVERNMENT BOND 20271031 | 2,050,000.000 | 2,238,620.500 | |
| | 0.05% SPANISH GOVERNMENT BOND 20210131 | 1,300,000.000 | 1,306,734.000 | |
| | 0.45% SPANISH GOVERNMENT BOND 20221031 | 1,600,000.000 | 1,634,544.000 | |
| | 1.4% SPANISH GOVERNMENT BOND 20280430 | 1,600,000.000 | 1,743,104.000 | |
| | 2.7% SPANISH GOVERNMENT BOND 20481031 | 1,300,000.000 | 1,721,343.000 | |
| | 0.35% SPANISH GOVERNMENT BOND 20230730 | 1,400,000.000 | 1,427,538.000 | |
| | 1.4% SPANISH GOVERNMENT BOND 20280730 | 1,900,000.000 | 2,070,183.000 | |
| | 0.05% SPANISH GOVERNMENT BOND 20211031 | 1,700,000.000 | 1,713,294.000 | |
| | 1.45% SPANISH GOVERNMENT BOND 20290430 | 1,900,000.000 | 2,079,246.000 | |
| | 1.85% SPANISH GOVERNMENT BOND 20350730 | 1,100,000.000 | 1,257,091.000 | |
| | 0.25% SPANISH GOVERNMENT BOND 20240730 | 900,000.000 | 913,698.000 | |
| | 0.6% SPANISH GOVERNMENT BOND 20291031 | 2,200,000.000 | 2,232,164.000 | |
| | 5.75% SPANISH GOVERNMENT BOND 20320730 | 1,979,000.000 | 3,208,414.170 | |
| | 4.2% SPANISH GOVERNMENT BOND 20370131 | 1,854,000.000 | 2,825,922.420 | |
| | 4.9% SPANISH GOVERNMENT BOND 20400730 | 1,708,000.000 | 2,926,162.680 | |
| | 4.8% SPANISH GOVERNMENT BOND 20240131 | 1,682,000.000 | 2,019,022.340 | |
| | 4.7% SPANISH GOVERNMENT BOND 20410730 | 1,873,000.000 | 3,167,804.900 | |
| | 4.65% SPANISH GOVERNMENT BOND 20250730 | 2,189,000.000 | 2,747,457.680 | |
| | 5.5% SPANISH GOVERNMENT BOND 20210430 | 2,515,000.000 | 2,708,705.300 | |
| | 5.9% SPANISH GOVERNMENT BOND 20260730 | 1,965,000.000 | 2,702,051.850 | |
| | 5.85% SPANISH GOVERNMENT BOND 20220131 | 1,978,000.000 | 2,231,935.640 | |
| | 5.4% SPANISH GOVERNMENT BOND 20230131 | 2,608,000.000 | 3,060,357.600 | |
| | 4.4% SPANISH GOVERNMENT BOND 20231031 | 1,901,000.000 | 2,231,869.050 | |
| | 5.15% SPANISH GOVERNMENT BOND 20281031 | 1,770,000.000 | 2,503,948.200 | |
| | 5.15% SPANISH GOVERNMENT BOND 20441031 | 1,299,000.000 | 2,396,473.140 | |
| | 3.8% SPANISH GOVERNMENT BOND 20240430 | 1,970,000.000 | 2,301,511.600 | |
| | 2.75% SPANISH GOVERNMENT BOND 20241031 | 2,097,000.000 | 2,381,499.990 | |
| ユーロ 小計 | | | ユーロ | |
| | | | 582,051,950.560 | |
| | | | (70,829,901,863) | |
| 南アフリカ・ランド | | 南アフリカ・ランド | 南アフリカ・ランド | |
| | 10.5% REPUBLIC OF SOUTH AFRICA 20261221 | 21,934,000.000 | 24,515,631.800 | |
| | 6.25% REPUBLIC OF SOUTH AFRICA 20360331 | 11,612,000.000 | 8,312,682.440 | |
| | 6.75% REPUBLIC OF SOUTH AFRICA 20210331 | 4,622,000.000 | 4,625,235.400 | |
| | 6.5% REPUBLIC OF SOUTH AFRICA 20410228 | 8,904,000.000 | 6,194,512.800 | |
| | 7% REPUBLIC OF SOUTH AFRICA 20310228 | 9,999,000.000 | 8,460,153.900 | |
| | 7.75% REPUBLIC OF SOUTH AFRICA 20230228 | 8,439,000.000 | 8,575,543.020 | |
| | 8.75% REPUBLIC OF SOUTH AFRICA 20480228 | 22,552,000.000 | 19,699,172.000 | |
| | 8.5% REPUBLIC OF SOUTH AFRICA 20370131 | 11,021,000.000 | 9,751,270.590 | |
| | 8% REPUBLIC OF SOUTH AFRICA 20300131 | 16,862,000.000 | 15,730,053.940 | |
| | 8.75% REPUBLIC OF SOUTH AFRICA 20440131 | 12,644,000.000 | 11,074,753.160 | |
| | 8.25% REPUBLIC OF SOUTH AFRICA 20320331 | 10,743,000.000 | 9,859,280.820 | |
| | 8.875% REPUBLIC OF SOUTH AFRICA 20350228 | 10,166,000.000 | 9,470,848.920 | |
| | 9% REPUBLIC OF SOUTH AFRICA 20400131 | 9,679,000.000 | 8,813,310.240 | |
| 南アフリカ・ランド 小計 | | 南アフリカ・ランド | |
| | | | 145,082,449.030 | |
| | | | (1,117,134,857) | |
| 国債証券 合計 | | | 189,735,396,998 | |
| | | | [189,735,396,998] | |
| 合計 | | | | 189,735,396,998 | |
| | | | [189,735,396,998] | |
e border="0" style="margin-left:1.5pt;border-collapse:collapse">
| (注)1. | 各種通貨毎の小計の欄における( )内の金額は、邦貨換算額であります。 |
| 2. | 合計欄における[ ]内の金額は、外貨建有価証券の邦貨換算額の合計額であり、 |
| 内数で表示しております。 | | | |
| 3. | 外貨建有価証券の内訳 | | | | |
| 通貨 | 銘柄数 | 組入債券 時価比率 | 合計金額に 対する比率 |
| アメリカ・ドル | 国債証券 | 243銘柄 | 100% | 48.3% |
| イギリス・ポンド | 国債証券 | 42銘柄 | 100% | 6.5% |
| オーストラリア・ドル | 国債証券 | 22銘柄 | 100% | 2.0% |
| カナダ・ドル | 国債証券 | 33銘柄 | 100% | 1.9% |
| シンガポール・ドル | 国債証券 | 19銘柄 | 100% | 0.4% |
| スウェーデン・クローナ | 国債証券 | 7銘柄 | 100% | 0.3% |
| デンマーク・クローネ | 国債証券 | 7銘柄 | 100% | 0.5% |
| ノルウェー・クローネ | 国債証券 | 8銘柄 | 100% | 0.2% |
| ポーランド・ズロチ | 国債証券 | 16銘柄 | 100% | 0.6% |
| マレーシア・リンギット | 国債証券 | 35銘柄 | 100% | 0.5% |
| メキシコ・ペソ | 国債証券 | 16銘柄 | 100% | 0.9% |
| ユーロ | 国債証券 | 303銘柄 | 100% | 37.3% |
| 南アフリカ・ランド | 国債証券 | 13銘柄 | 100% | 0.6% |
e border="0" style="width:100.0%;border-collapse:collapse">
| 第2 信用取引契約残高明細表 |
| 該当事項はありません。 |
|
| 第3 デリバティブ取引及び為替予約取引の契約額等及び時価の状況表 |
| 「注記表(デリバティブ取引に関する注記)」に記載しております。 |
e border="0" style="width:100.0%;border-collapse:collapse">
| 「ダイワ日本債券インデックスマザーファンド(BPI)」の状況 |
| 以下に記載した情報は監査の対象外であります。 |
e border="0" style="width:100.0%;border-collapse:collapse">
| | | |
| 貸借対照表 |
| | 2019年1月10日現在 | 2020年1月10日現在 |
| | 金 額(円) | 金 額(円) |
| 資産の部 | | | |
| 流動資産 | | | |
| コール・ローン | | 25,896,593 | 64,849,132 |
| 国債証券 | | 14,084,673,690 | 17,604,320,010 |
| 地方債証券 | | 936,314,000 | 1,458,385,200 |
| 特殊債券 | | 918,622,200 | 729,970,300 |
| 社債券 | | 1,043,178,800 | 935,292,900 |
| 未収入金 | | 86,746,610 | - |
| 未収利息 | | 32,947,023 | 34,898,734 |
| 前払費用 | | 318,250 | 1,287,679 |
| 流動資産合計 | | 17,128,697,166 | 20,829,003,955 |
| 資産合計 | | 17,128,697,166 | 20,829,003,955 |
| 負債の部 | | | |
| 流動負債 | | | |
| 未払解約金 | | 23,618,648 | 6,121,900 |
| その他未払費用 | | 3,279 | - |
| 流動負債合計 | | 23,621,927 | 6,121,900 |
| 負債合計 | | 23,621,927 | 6,121,900 |
| 純資産の部 | | | |
| 元本等 | | | |
| 元本 | ※1 | 13,344,778,620 | 16,028,287,542 |
| 剰余金 | | | |
| 期末剰余金又は期末欠損金(△) | | 3,760,296,619 | 4,794,594,513 |
| 元本等合計 | | 17,105,075,239 | 20,822,882,055 |
| 純資産合計 | | 17,105,075,239 | 20,822,882,055 |
| 負債純資産合計 | | 17,128,697,166 | 20,829,003,955 |
e border="0" style="width:100.0%;border-collapse:collapse">
|
| 注記表 |
e border="0" style="width:100.0%;border-collapse:collapse">
| (重要な会計方針に係る事項に関する注記) |
| 区 分 | 自 2019年1月11日 至 2020年1月10日 |
| 有価証券の評価基準及び評価方法 | 国債証券、地方債証券、特殊債券及び社債券 |
| | 個別法に基づき、時価で評価しております。 時価評価にあたっては、金融商品取引業者、銀行等の提示する価額(但し、売気配相場は使用しない)、価格情報会社の提供する価額又は日本証券業協会発表の売買参考統計値(平均値)等で評価しております。 なお、適正な評価額を入手できなかった場合又は入手した評価額が時価と認定できない事由が認められた場合は、委託会社が忠実義務に基づいて合理的な事由をもって時価と認めた価額又は受託会社と協議のうえ両者が合理的事由をもって時価と認めた価額で評価しております。 |
e border="0" style="width:100.0%;border-collapse:collapse">
| (貸借対照表に関する注記) | | |
| 区 分 | 2019年1月10日現在 | 2020年1月10日現在 |
| 1. | ※1 | 期首 | 2018年1月11日 | 2019年1月11日 |
| | 期首元本額 | 12,192,600,488円 | 13,344,778,620円 |
| | 期中追加設定元本額 | 2,484,162,074円 | 3,594,110,341円 |
| | 期中一部解約元本額 | 1,331,983,942円 | 910,601,419円 |
| | | | |
| | 期末元本額の内訳 | | |
| ファンド名 | | |
| | 日本債券インデックスファンド(FOFs用)(適格機関投資家専用) | 13,050,515円 | 143,275,232円 |
| | DCダイワ・ターゲットイヤー2050 | 59,366円 | 1,116,709円 |
| | iFree 日本債券インデックス | 115,479,282円 | 136,404,966円 |
| | iFree 8資産バランス | 1,077,056,677円 | 1,806,325,099円 |
| | ダイワ・ライフ・バランス30 | 5,829,421,442円 | 6,367,336,202円 |
| | ダイワ・ライフ・バランス50 | 3,175,753,849円 | 3,685,725,233円 |
| | ダイワ・ライフ・バランス70 | 1,003,199,495円 | 1,155,900,772円 |
| | DCダイワ・ワールドアセット(六つの羽/安定コース) | 709,974,615円 | 937,929,543円 |
| | DCダイワ・ワールドアセット(六つの羽/6分散コース) | 565,614,868円 | 732,725,273円 |
| | DCダイワ・ワールドアセット(六つの羽/成長コース) | 178,625,800円 | 240,167,951円 |
| | DCダイワ・ターゲットイヤー2020 | 56,096,348円 | 52,496,870円 |
| | DCダイワ・ターゲットイヤー2030 | 48,034,174円 | 62,292,873円 |
| | DCダイワ・ターゲットイヤー2040 | 5,068,294円 | 9,940,560円 |
| | ダイワつみたてインデックス日本債券 | 14,157,915円 | 169,662,829円 |
| | ダイワつみたてインデックスバランス30 | -円 | 5,962,153円 |
| | ダイワつみたてインデックスバランス50 | -円 | 541,071円 |
| | ダイワつみたてインデックスバランス70 | -円 | 957,554円 |
| | ダイワ世界バランスファンド40VA | 341,397,807円 | 316,908,449円 |
| | ダイワ世界バランスファンド60VA | 192,516,134円 | 202,618,203円 |
| | ダイワ・ワールド・バランスファンド50VA | 8,170,599円 | -円 |
| | ダイワ・ワールド・バランスファンド75VA | 11,101,440円 | -円 |
| 計 | | 13,344,778,620円 | 16,028,287,542円 |
| | | | |
| 2. | | 期末日における受益権の総数 | 13,344,778,620口 | 16,028,287,542口 |
(金融商品に関する注記)