Amount | Holding |
---|---|
1.96% | United States Treasury Notes 2.38% |
1.85% | Roche Holding AG Dividend Right Cert. |
1.63% | Taiwan Semiconductor Manufacturing Co Ltd ADR |
1.38% | KDDI Corp |
1.37% | United States Treasury Bonds 3.5% |
1.27% | Schneider Electric SE |
1.26% | Johnson & Johnson |
1.23% | Japan (Government Of) 1.8% |
1.17% | Nestle SA |
0.96% | Aon PLC |
0.89% | Comcast Corp Class A |
0.86% | JPMorgan Chase & Co |
0.85% | Eaton Corp PLC |
0.85% | Accenture PLC Class A |
0.85% | United States Treasury Notes 2.25% |
0.82% | Novartis AG |
0.79% | Bayer AG |
0.76% | Japan (Government Of) 1.8% |
0.75% | Lockheed Martin Corp |
0.74% | Honeywell International Inc |