AGBHX Mutual Fund

NAV$8.64
Showing top 15 of 572 holdingsSee all 572 holdings(as of Oct 31, 2025)
#Ticker Name Weight Shares Mkt Value Share ChgPROSectorPROIndustryPRO
1T 4 05/31/30Us Treas Nts 4% 05/31/302.21%-$58.10M-FinancialsDiversified Financial Services
2-Scrt_17-3 B 144A 0 07/25/20561.55%-$40.78M-OtherOther
3-Waste Management Inc 5.35% 10/15/20541.53%-$40.19MProProPro
4-New Zealand Government Bond1.11%-$29.21MProProPro
5-United Kingdom Gilt 4.50 12/07/20420.91%-$24.02MProProPro
6-Fannie Mae Pool Ma4096 2.50% 8/1/20500.81%-$21.42MProProPro
7-Mallinckrodt Pve0.77%-$20.24MProProPro
8T 1.625 10/31/26U.s. Treasury Notes 1.625 10/31/20260.76%-$19.98MProProPro
9-Kingdom Of Belgium Government Bond 2.85% 10/22/20340.70%-$18.41MProProPro
10-Barclays Plc0.63%-$16.69MProProPro
11-Sp Financial Select Sector Index Swap Jpmorgan Chase Bank Na0.63%-$16.57MProProPro
12-Pmt Loan Trust Pmtlt 2025 J2 A9 144A0.61%-$16.15MProProPro
13-Eu 2 10/04/27 Ngeu0.60%-$15.79MProProPro
14PEMEX 6.625 06/15/35Petroleos Mexicanos 6.625 2035-06-150.58%-$15.32MProProPro
15-Ginnie Mae0.57%-$14.99MProProPro
See the other 557 holdings of AGBHX
Every position with sector, industry and share changes, as reported Oct 31, 2025.
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AGBHX Mutual Fund All Holdings

AGBHX holdings total 677 positions. The top 10 holdings account for 11.0% of the fund, led by Us Treas Nts 4% 05/31/30 at 2.2%, Scrt_17-3 B 144A 0 07/25/2056 at 1.6%, Waste Management Inc 5.35% 10/15/2054 at 1.5%.

AGBHX portfolio concentration is well-diversified, with the top 10 representing 11.0% of total assets. The largest sector exposure is Other at 53.8%.

AGBHX sector allocation provides a detailed breakdown. AGBHX overlap tool shows how holdings compare to other funds in your portfolio.