FalseFalse00001041690000104169P2YP6YP1YP1Yiso4217:USDxbrli:pureutr:Hwmt:loan0000104169wmt:EBP003Member2025-02-012026-01-3100001041692025-02-012026-01-310000104169wmt:EBP003Member2026-01-310000104169wmt:EBP003Member2025-01-310000104169wmt:EBP003Membersrt:MinimumMember2025-02-012026-01-310000104169wmt:EBP003Membersrt:MaximumMember2025-02-012026-01-310000104169us-gaap-ebp:EmployeeBenefitPlanEmployerCommonStockMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2026-01-310000104169us-gaap-ebp:EmployeeBenefitPlanEmployerCommonStockMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2026-01-310000104169us-gaap-ebp:EmployeeBenefitPlanEmployerCommonStockMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2026-01-310000104169us-gaap-ebp:EbpNonemployerCommonStockMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2026-01-310000104169us-gaap-ebp:EbpNonemployerCommonStockMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2026-01-310000104169us-gaap-ebp:EbpNonemployerCommonStockMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2026-01-310000104169us-gaap:CashEquivalentsMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2026-01-310000104169us-gaap:CashEquivalentsMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2026-01-310000104169us-gaap:CashEquivalentsMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2026-01-310000104169us-gaap:MutualFundMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2026-01-310000104169us-gaap:MutualFundMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2026-01-310000104169us-gaap:MutualFundMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2026-01-310000104169us-gaap:USTreasuryAndGovernmentMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2026-01-310000104169us-gaap:USTreasuryAndGovernmentMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2026-01-310000104169us-gaap:USTreasuryAndGovernmentMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2026-01-310000104169us-gaap:CorporateBondSecuritiesMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2026-01-310000104169us-gaap:CorporateBondSecuritiesMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2026-01-310000104169us-gaap:CorporateBondSecuritiesMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2026-01-310000104169us-gaap:AssetBackedSecuritiesMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2026-01-310000104169us-gaap:AssetBackedSecuritiesMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2026-01-310000104169us-gaap:AssetBackedSecuritiesMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2026-01-310000104169us-gaap:CollateralizedMortgageObligationsMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2026-01-310000104169us-gaap:CollateralizedMortgageObligationsMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2026-01-310000104169us-gaap:CollateralizedMortgageObligationsMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2026-01-310000104169us-gaap:DefinedBenefitPlanCommonCollectiveTrustMemberwmt:EBP003Memberus-gaap:FairValueMeasuredAtNetAssetValuePerShareMember2026-01-310000104169wmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2026-01-310000104169wmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2026-01-310000104169wmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2026-01-310000104169wmt:EBP003Memberus-gaap:FairValueMeasuredAtNetAssetValuePerShareMember2026-01-310000104169us-gaap-ebp:EmployeeBenefitPlanEmployerCommonStockMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2025-01-310000104169us-gaap-ebp:EmployeeBenefitPlanEmployerCommonStockMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2025-01-310000104169us-gaap-ebp:EmployeeBenefitPlanEmployerCommonStockMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2025-01-310000104169us-gaap-ebp:EbpNonemployerCommonStockMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2025-01-310000104169us-gaap-ebp:EbpNonemployerCommonStockMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2025-01-310000104169us-gaap-ebp:EbpNonemployerCommonStockMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2025-01-310000104169us-gaap:CashEquivalentsMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2025-01-310000104169us-gaap:CashEquivalentsMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2025-01-310000104169us-gaap:CashEquivalentsMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2025-01-310000104169us-gaap:MutualFundMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2025-01-310000104169us-gaap:MutualFundMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2025-01-310000104169us-gaap:MutualFundMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2025-01-310000104169us-gaap:USTreasuryAndGovernmentMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2025-01-310000104169us-gaap:USTreasuryAndGovernmentMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2025-01-310000104169us-gaap:USTreasuryAndGovernmentMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2025-01-310000104169us-gaap:CorporateBondSecuritiesMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2025-01-310000104169us-gaap:CorporateBondSecuritiesMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2025-01-310000104169us-gaap:CorporateBondSecuritiesMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2025-01-310000104169us-gaap:AssetBackedSecuritiesMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2025-01-310000104169us-gaap:AssetBackedSecuritiesMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2025-01-310000104169us-gaap:AssetBackedSecuritiesMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2025-01-310000104169us-gaap:CollateralizedMortgageObligationsMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2025-01-310000104169us-gaap:CollateralizedMortgageObligationsMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2025-01-310000104169us-gaap:CollateralizedMortgageObligationsMemberwmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2025-01-310000104169us-gaap:DefinedBenefitPlanCommonCollectiveTrustMemberwmt:EBP003Memberus-gaap:FairValueMeasuredAtNetAssetValuePerShareMember2025-01-310000104169wmt:EBP003Memberus-gaap:FairValueInputsLevel12And3Member2025-01-310000104169wmt:EBP003Memberus-gaap:FairValueInputsLevel1Member2025-01-310000104169wmt:EBP003Memberus-gaap:FairValueInputsLevel2Member2025-01-310000104169wmt:EBP003Memberus-gaap:FairValueMeasuredAtNetAssetValuePerShareMember2025-01-310000104169wmt:EBP003MemberInvestments | Walmart Inc. Equity Securities | Common Stock2026-01-310000104169wmt:EBP003MemberCommon Stock | Abercrombie & Fitch Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Academy Sports & Outdoors Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Acuity Brands Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Adeia Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Aehr Test Systems2026-01-310000104169wmt:EBP003MemberCommon Stock | Aerovironment Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Agilysys Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Agree Realty Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Alamo Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Alarm.com Holdings, Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Alkermes PLC2026-01-310000104169wmt:EBP003MemberCommon Stock | Alliance Laundry Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Alphatec Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Ameren Woodmark Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | American Eagle Outfitters Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | American Healthcare Reit Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | American Homes 4 Rent2026-01-310000104169wmt:EBP003MemberCommon Stock | American Public Education Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | American Tower Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Americold Realty Trust Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Ameris Bancorp2026-01-310000104169wmt:EBP003MemberCommon Stock | Amicus Therapeutics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Amn Healthcare Services Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Amphastar Pharmaceuticals Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Angiodynamics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Antero Resources Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Apogee Therapeutics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Appfolio Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Apple Hospitality REIT Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Applied Industrial Technologies Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Archrock Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Arcutis Biotherapeutics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Arlo Technologies Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Arrowhead Pharmaceuticals Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Artisan Partners Asset Management Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | ASGN Incorporated2026-01-310000104169wmt:EBP003MemberCommon Stock | Aspen Aerogels Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Asure Software Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | ATI Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Atlantic Union Bankshares Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | AvalonBay Communities2026-01-310000104169wmt:EBP003MemberCommon Stock | Axon Enterprise Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Axsome Therapeutics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Azenta Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Badger Meter Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Bath & Body Works Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Berkshire Hills Bancorp Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Biocryst Pharmaceuticals Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Biomarin Pharmaceutical Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Biote Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Bio-Techne Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Bloom Energy Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Bloomin Brands Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Boot Barn Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | BOYD Gaming Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Bridgebio Pharma Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Brinker International Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Broadstone Net Lease Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | BRP Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Bruker Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Bxp Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Caesars Entertainment Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Cameco Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Camtek Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Caretrust Reit Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Carlisle Companies Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Carpenter Technology Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Carvana Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Casella Waste Sys Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Catalyst Pharmaceuticals Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | CCC Intelligent Solutions Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Celestica Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Centerspace2026-01-310000104169wmt:EBP003MemberCommon Stock | Centrus Energy Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Century Alum Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Century Casinos Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Ceva Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | CG Oncology Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Churchill Downs Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Cipher Digital Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Cirruis Logic inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Clean Hbrs Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Coca-Cola Consolidated Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Coda Octopus Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Coherent Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Cohu Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Columbia Banking System Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Columbia Bkg Sys Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Columbus Mckinnon Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Comfort Systems USA Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Commercial Metals Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Community Healthcare Trust Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Community West Bancshares2026-01-310000104169wmt:EBP003MemberCommon Stock | Compass Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Composecure Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Consensus Cloud Solutions Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Construction Partners Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Core & Main Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Cousins Properties Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | CRA International Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Crane Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Credo Technology Group Holding Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Crinetics Pharmaceuticals Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Cross Country Healthcare Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Crown Castle Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | CSW Industrials Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Cullen/Frost Bankers Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Curtiss Wright Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Cushman And Wakefield Ltd Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Customers Bancorp Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Definium Therapeutics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Delek US Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Dentsply Sirona Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Descartes Systems Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Diamondrock Hospitality Co2026-01-310000104169wmt:EBP003MemberCommon Stock | Digital Realty Trust Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Dime Community Bancshares Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Donnelley Financial Solutions Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Douglas Dynamics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Dutch Bros Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Dycom Industries Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Eagle Materials Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | East Group Properties Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Eastern Bankshares Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Edgewise Therapeutics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Elbit Systems Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Element Solution Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Embraer2026-01-310000104169wmt:EBP003MemberCommon Stock | Emcor Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Encompass Health Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Enhabit Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Ensign Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Eos Energy Enterprises Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Equinix Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | EquipmentShare.com Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Equity LifeStyle Properties Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Equity Residential2026-01-310000104169wmt:EBP003MemberCommon Stock | Esco Technologies Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Essex Property Trust, Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Establishment Labs Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Everest Group Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Everus Construction Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Evolus Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Exelixis Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Exponent Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Extra Space Storage Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Fabrinet2026-01-310000104169wmt:EBP003MemberCommon Stock | Federal Agricultural Mortgage Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Federal Signal Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | First Citizens Bancshares Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | First Community Bankshares2026-01-310000104169wmt:EBP003MemberCommon Stock | First Financial Bancorp2026-01-310000104169wmt:EBP003MemberCommon Stock | First Merchants Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Firstcash Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Fiverr International Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Floor & Décor Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Flow Co Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Flowserve Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Fortune Brands Innovations Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Franklin Covey Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Ftai Aviation Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Fti Consulting Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | FTI Consulting Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Gaming & Leisure Properties Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | GATX Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Gencor Industries Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Gentex Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Gibraltar Industries Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Glacier Bancorp Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Glaukos Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Golden Entertainment Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Goosehead Ins Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Granite Construction Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Greif Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Guardant Health Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Guidewire Software Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Gulfport Energy Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | GXO Logistics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Hamilton Lane Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Hancock Whitney Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Hanover Ins Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Harmonic Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Harrow Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Hawkins Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Hayward Holdings, Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Healthcare Realty Trust Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | HealthEquity Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Healthpeak OP LLC2026-01-310000104169wmt:EBP003MemberCommon Stock | Heico Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Helix Energy Solutions Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Helmerich & Payne Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Herc Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Hexcel Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Highwoods Properties Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Hilton Worldwide Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | HNI Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Host Hotels & Resorts Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Hudbay Minerals Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Hudson Pac Properties Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Huntington Ingalls Industries Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Hyatt Hotels Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | ICF International Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | IES Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Immunome Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Impinj, Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Indivior Pharmaceuticals Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Ingevity Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Ingles Markets Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Inmode Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Innoviva Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Installed Building Products Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Integra Lifesciences Holdings Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Interdigital Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | International Flavors & Fragrances Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Inventrust Properties Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Invitation Homes Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Iovance Biotherapeutics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | IPG Photonics Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Irhythm Holdings2026-01-310000104169wmt:EBP003MemberCommon Stock | Iron Mtn Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Itron Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Ituran Location & Control2026-01-310000104169wmt:EBP003MemberCommon Stock | Jazz Pharmaceuticals2026-01-310000104169wmt:EBP003MemberCommon Stock | JBT Corporation2026-01-310000104169wmt:EBP003MemberCommon Stock | John Bean Technologies Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Jones Lang Lasalle Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Kadant Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Kaiser Aluminum Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Karman Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | KB Home2026-01-310000104169wmt:EBP003MemberCommon Stock | KBR Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Kilroy Realty Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Kimco Realty Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Kiniksa Pharmaceuticals International2026-01-310000104169wmt:EBP003MemberCommon Stock | Kinsale Cap Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Kite Realty Group Trust2026-01-310000104169wmt:EBP003MemberCommon Stock | Knight - Swift Transn Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Kratos Defense & Security Solutions Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Kulicke & Soffa Industries Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | KVH Industries Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Kymera Therapeutics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Lamar Advertising Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Landbridge Co. LLC2026-01-310000104169wmt:EBP003MemberCommon Stock | La-Z-Boy Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | LCI Industries Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Legence Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Leidos Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Lemaitre Vascular Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Lendingclub Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Licoln Electric Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Ligand Pharmaceuticals Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Liquidity Services Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | LSB Industries Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | LSI Industries Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Lucky Strike Entertainment Corporation2026-01-310000104169wmt:EBP003MemberCommon Stock | Lumen Technologies Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Lumentum Holdings2026-01-310000104169wmt:EBP003MemberCommon Stock | LXP Industrial Trust2026-01-310000104169wmt:EBP003MemberCommon Stock | M/I Homes Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | MACOM Technology Solutions Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Madden Steven Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Madison Square Garden Entertainment Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Madison Square Garden Sports Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Madrigal Pharmaceuticals Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Magnolia Oil & Gas Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Manhattan Associates Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Maravai Lifesciences Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Marketaxess Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Masimo Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Mastercraft Boat Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Matador Resources Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Medpace Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Meritage Homes Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Metallus Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Miller Industries Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Mirion Technologies Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Mirum Pharmaceuticals Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | MKS Instruments Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Modine Manufacturing Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Morningstar Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | MP Materials Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Mueller Industries Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Murphy Oil Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Murphy USA Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | MYR Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Natera Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | National Health Investors Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | National Healthcare Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | National Vision Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Neptune Ins Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Netstreit Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Newmark Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Nextpower Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Nexxen International Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Noble Corporation2026-01-310000104169wmt:EBP003MemberCommon Stock | Nomad Foods Limited2026-01-310000104169wmt:EBP003MemberCommon Stock | Northwest Natural Holding Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Northwestern Energy Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Norwegian Cruise Line Holdings2026-01-310000104169wmt:EBP003MemberCommon Stock | Novanta Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Nuvalent Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Oceanfirst Financial Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Oddity Tech Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Old National Bancorp2026-01-310000104169wmt:EBP003MemberCommon Stock | Old Republic International Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Omega Healthcare Investors Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Omniab Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Omnicell Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Onto Innovation Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Optimizerx Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Orasure Technologies Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Ormat Technologies Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Oshkosh Corporation2026-01-310000104169wmt:EBP003MemberCommon Stock | OSI Systems Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Outfront Media Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Ovintiv Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Owens Corning2026-01-310000104169wmt:EBP003MemberCommon Stock | Pacira BioSciences Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | PACS Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Pan American Silver Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Park City Group, Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Patrick Industries Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Paymentus Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Perimeter Solutions, Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Perion Network Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Permian Res Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Perrigo Company Limited2026-01-310000104169wmt:EBP003MemberCommon Stock | Piedmont Office Realty Trust2026-01-310000104169wmt:EBP003MemberCommon Stock | Piper Sandler Companies2026-01-310000104169wmt:EBP003MemberCommon Stock | Planet Labs PBC2026-01-310000104169wmt:EBP003MemberCommon Stock | Polaris Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Portland General Electric Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Praxis Precision Medicines Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | PrInceton Bancorp Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Procore Technologies Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Progress Software Corp. 12026-01-310000104169wmt:EBP003MemberCommon Stock | Progress Software Corp. 22026-01-310000104169wmt:EBP003MemberCommon Stock | Prologis Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Prosperity Bancshares Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Protagonist Therapeutics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Provident Financial Services Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | PTC Therapeutics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Pub Storage2026-01-310000104169wmt:EBP003MemberCommon Stock | Pulte Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Quanex Building Products Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Quide Lortho Corporation2026-01-310000104169wmt:EBP003MemberCommon Stock | Quidelortho Corporation2026-01-310000104169wmt:EBP003MemberCommon Stock | Radware Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Rambus Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | RBC Bearings Incorporated2026-01-310000104169wmt:EBP003MemberCommon Stock | Realty Income Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Red Rock Resorts Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Regal Rexnord Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Regency Centers Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Repligen Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Rex American Resources Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Rexford Industrial Realty Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Rhythm Pharmaceuticals Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Rocket Pharmaceuticals Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Rush Enterprises Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | RXO LLC2026-01-310000104169wmt:EBP003MemberCommon Stock | Ryman Hospitality Properties Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Sabra Healthcare Reit Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Saia Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Sanmina Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Saul Centers Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | SBA Communications Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Schneider National Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Scholar Rock Holding Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Science Applications International Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Seadrill Limited2026-01-310000104169wmt:EBP003MemberCommon Stock | Select Water Solutions Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Selective Insurance Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Semtech Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Septerna Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | ShotSpotter, Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Shutterstock Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Silicom Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Silicon Motion Technology Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Simon Property Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Simpson Manufacturing Co, Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | SiteOne Landscape Supply Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Sitime Corporation2026-01-310000104169wmt:EBP003MemberCommon Stock | SL Green Realty Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Smartstop Self Storage Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Smithfield Foods Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Smith-Midland Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Solaris Energy Infrastructure Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Sonos Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | SouthState Bank Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Spectrum Brands Holdings Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Sphere Entertainment Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Spire Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | SPS Commerce, Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | SPX Technologies Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Spyre Therapeutics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Sterling Infrastructure Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Stifel Financial Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Stonex Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Stride Inc. 12026-01-310000104169wmt:EBP003MemberCommon Stock | Stride Inc. 22026-01-310000104169wmt:EBP003MemberCommon Stock | Structure Therapeutics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Summit Hotel Properties Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Sun Communities Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Supernus Pharmaceuticals Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Tapestry Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Tarsus Pharmaceuticals Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Taylor Morrison Home Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Taysha Gene Therapies Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | TechnipFMC2026-01-310000104169wmt:EBP003MemberCommon Stock | Techtarget Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Teekay Tankers Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Terawulf Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Tetra Tech Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | The RealReal Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Thor Industries Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Tower Semiconductor Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | TowneBank2026-01-310000104169wmt:EBP003MemberCommon Stock | Transmedics Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Travel + Leisure Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Travere Therapeutics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Trustco Bank Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Turning PT Brands Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | UDR Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | U-Haul Holding Company2026-01-310000104169wmt:EBP003MemberCommon Stock | UL Solutions Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Umb Financial Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | United Bankshares Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | United Community Bank2026-01-310000104169wmt:EBP003MemberCommon Stock | United Fire Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Universal Display Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Upland Software Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Uranium Energy Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Urban Outfitters Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | UroGen Pharma Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Utah Medical Products Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Utz Brands Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | V2X Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Valmont Inds Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Valvoline Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Varex Imaging Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Ventas Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Veracyte Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Vericel Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Victorias Secret & Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Village Super Market Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Viridian Therapeutics Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Vishay Intertechnology Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Visteon Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Vornado Realty2026-01-310000104169wmt:EBP003MemberCommon Stock | VSE Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Wafd Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Warby Parker Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Wave Life Sciences Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Weatherford International Ltd.2026-01-310000104169wmt:EBP003MemberCommon Stock | Webster Financial Corp.2026-01-310000104169wmt:EBP003MemberCommon Stock | Welltower Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Werner Enterprises Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Wesco International Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Weyerhaeuser Co.2026-01-310000104169wmt:EBP003MemberCommon Stock | Willdan Group Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Williams Sonoma Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Xenon Pharmaceuticals Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Xometry Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | York Space Sys Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Ziff Davis Inc.2026-01-310000104169wmt:EBP003MemberCommon Stock | Zions BanCorp.2026-01-310000104169wmt:EBP003Memberus-gaap-ebp:EbpNonemployerCommonStockMember2026-01-310000104169wmt:EBP003MemberBank of America, N.A. Merrill Lynch Bank Deposit | Cash Equivalent, 3.15%2025-02-012026-01-310000104169wmt:EBP003MemberBank of America, N.A. Merrill Lynch Bank Deposit | Cash Equivalent, 3.15%2026-01-310000104169wmt:EBP003MemberMutual Funds | iShares | Russell 2000 Value ETF2026-01-310000104169wmt:EBP003MemberMutual Funds | AQR Funds | Risk Balanced Commodities Strategy Fund2026-01-310000104169wmt:EBP003Memberus-gaap:MutualFundMember2026-01-310000104169wmt:EBP003MemberGovernment Securities | Abu Dhabi Crude Oil Pipeline LLC | $1,383,000 par, 4.6%, due November 2, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Abu Dhabi Crude Oil Pipeline LLC | $1,383,000 par, 4.6%, due November 2, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | ADNOC Murban RSC Ltd. | $3,031,000 par, 5.13%, due September 11, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | ADNOC Murban RSC Ltd. | $3,031,000 par, 5.13%, due September 11, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | Chile Electricity Lux | $3,708,654 par, 5.58%, due October 20, 20352025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Chile Electricity Lux | $3,708,654 par, 5.58%, due October 20, 20352026-01-310000104169wmt:EBP003MemberGovernment Securities | Chile Electricity Lux | $2,875,720 par, 5.67%, due October 20, 20352025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Chile Electricity Lux | $2,875,720 par, 5.67%, due October 20, 20352026-01-310000104169wmt:EBP003MemberGovernment Securities | Colombia Republic | $1,189,000 par, 8.0%, due April 20, 20332025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Colombia Republic | $1,189,000 par, 8.0%, due April 20, 20332026-01-310000104169wmt:EBP003MemberGovernment Securities | Connecticut Avenue Securities Trust | $264,335 par, 5.37%, due July 25, 20432025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Connecticut Avenue Securities Trust | $264,335 par, 5.37%, due July 25, 20432026-01-310000104169wmt:EBP003MemberGovernment Securities | Equinor ASA | $3,540,000 par, 4.5%, due September 3, 20302025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Equinor ASA | $3,540,000 par, 4.5%, due September 3, 20302026-01-310000104169wmt:EBP003MemberGovernment Securities | Federal Farm Credit | $803,967 par, 3.00%, due August 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Federal Farm Credit | $803,967 par, 3.00%, due August 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,003,339 par, 6.50%, due April 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,003,339 par, 6.50%, due April 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,089,650 par, 3.50%, due March 1, 20482025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,089,650 par, 3.50%, due March 1, 20482026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,097,172 par, 4.50%, due May 1, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,097,172 par, 4.50%, due May 1, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,152,859 par, 5.00%, due June 1, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,152,859 par, 5.00%, due June 1, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,155,664 par, 5.00%, due June 1, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,155,664 par, 5.00%, due June 1, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,164,132 par, Floating Rate, due May 25, 20442025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,164,132 par, Floating Rate, due May 25, 20442026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,197,111 par, 4.50%, due September 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,197,111 par, 4.50%, due September 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,321,160 par, 3.50%, due January 25, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,321,160 par, 3.50%, due January 25, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,370,470 par, 3.00%, due July 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,370,470 par, 3.00%, due July 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,532,257 par, Floating Rate, due September 25, 20452025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,532,257 par, Floating Rate, due September 25, 20452026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,616,137 par, 1.00%, due January 15, 20412025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,616,137 par, 1.00%, due January 15, 20412026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,622,722 par, 2.00%, due September 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,622,722 par, 2.00%, due September 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,752,650 par, 3.50%, due November 1, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,752,650 par, 3.50%, due November 1, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,880,622 par, 4.46%, August 25, 20312025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,880,622 par, 4.46%, August 25, 20312026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,922,945 par, 2.00%, due August 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,922,945 par, 2.00%, due August 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,929,085 par, 5.50%, due May 1, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,929,085 par, 5.50%, due May 1, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,960,632 par, 4.00%, due November 25, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $1,960,632 par, 4.00%, due November 25, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $107,345 par, 4.00%, due August 1, 20482025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $107,345 par, 4.00%, due August 1, 20482026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $152,955 par, 3.00%, due May 1, 20372025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $152,955 par, 3.00%, due May 1, 20372026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $168,152 par, 4.97%, due February 25, 20422025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $168,152 par, 4.97%, due February 25, 20422026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $183,595 par, 3.00%, due December 1, 20492025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $183,595 par, 3.00%, due December 1, 20492026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,011,847 par, 3.00%, due June 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,011,847 par, 3.00%, due June 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,079,848 par, 2.50%, due February 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,079,848 par, 2.50%, due February 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,098,507 par, 4.90%, due October 25, 20332025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,098,507 par, 4.90%, due October 25, 20332026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,161,593 par, 2.50%, due July 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,161,593 par, 2.50%, due July 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,188,183 par, 5.00%, due February 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,188,183 par, 5.00%, due February 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,208,603 par, 2.50%, due April 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,208,603 par, 2.50%, due April 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,216,706 par, 2.50%, due August 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,216,706 par, 2.50%, due August 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,222,446 par, 3.00%, due July 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,222,446 par, 3.00%, due July 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,252,530 par, 2.00%, due December 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,252,530 par, 2.00%, due December 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,425,962 par, 5.50%, due June 1, 20532025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,425,962 par, 5.50%, due June 1, 20532026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,453,154 par, 4.00%, due July 1, 20492025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,453,154 par, 4.00%, due July 1, 20492026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,465,554 par, 4.00%, due August 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,465,554 par, 4.00%, due August 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,623,637 par, 6.50%, due August 1, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,623,637 par, 6.50%, due August 1, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,623,729 par, 2.50%, due December 1, 20352025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,623,729 par, 2.50%, due December 1, 20352026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,677,677 par, 2.50%, due May 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,677,677 par, 2.50%, due May 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,680,871 par, 5.00%, due September 1, 20402025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,680,871 par, 5.00%, due September 1, 20402026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,798,599 par, 6.00%, due February 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,798,599 par, 6.00%, due February 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,805,462 par, 5.50%, due June 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,805,462 par, 5.50%, due June 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,822,545 par, 5.00%, due August 25, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,822,545 par, 5.00%, due August 25, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,823,755 par, 3.00%, due October 1, 20532025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,823,755 par, 3.00%, due October 1, 20532026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,906,161 par, 2.50%, due November 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $2,906,161 par, 2.50%, due November 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $204,253 par, 3.00%, due February 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $204,253 par, 3.00%, due February 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $215,040 par, 2.50%, due July 1, 20352025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $215,040 par, 2.50%, due July 1, 20352026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $230,705 par, 2.50%, due March 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $230,705 par, 2.50%, due March 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $252,435 par, 3.00%, due September 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $252,435 par, 3.00%, due September 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $294,465 par, 4.00%, due September 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $294,465 par, 4.00%, due September 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $295,437 par, 2.50%, due February 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $295,437 par, 2.50%, due February 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,029,846 par, 6.00%, due September 1, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,029,846 par, 6.00%, due September 1, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,034,102 par, 6.50%, due August 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,034,102 par, 6.50%, due August 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,088,961 par, 6.00%, due January 1, 20532025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,088,961 par, 6.00%, due January 1, 20532026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,102,392 par, 3.50%, due January 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,102,392 par, 3.50%, due January 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,130,452 par, 2.00%, due November 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,130,452 par, 2.00%, due November 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,269,861 par, 2.00%, due May 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,269,861 par, 2.00%, due May 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,487,609 par, 5.00%, due August 1, 20452025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,487,609 par, 5.00%, due August 1, 20452026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,568,870 par, 4.00%, due May 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,568,870 par, 4.00%, due May 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,608,657 par, 4.50%, December 25, 20362025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,608,657 par, 4.50%, December 25, 20362026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,932,025 par, 3.50%, due September 25, 20442025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,932,025 par, 3.50%, due September 25, 20442026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,933,774 par, 3.50%, due August 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $3,933,774 par, 3.50%, due August 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $320,626 par, 3.00%, due May 1, 20372025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $320,626 par, 3.00%, due May 1, 20372026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $328,965 par, 2.50%, due September 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $328,965 par, 2.50%, due September 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $345,034 par, 3.00%, due January 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $345,034 par, 3.00%, due January 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $358,787 par, 6.00%, due November 1, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $358,787 par, 6.00%, due November 1, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $359,851 par, 3.00%, due November 1, 20492025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $359,851 par, 3.00%, due November 1, 20492026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $37,914 par, 3.00%, due February 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $37,914 par, 3.00%, due February 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $380,744 par, 2.50%, due March 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $380,744 par, 2.50%, due March 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $381,005 par, 2.50%, due April 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $381,005 par, 2.50%, due April 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $388,944 par, 2.00%, due December 31, 20492025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $388,944 par, 2.00%, due December 31, 20492026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $4,031,486 par, 2.00%, due August 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $4,031,486 par, 2.00%, due August 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $4,047,534 par, 3.00%, due June 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $4,047,534 par, 3.00%, due June 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $4,591,209 par, 2.00%, due November 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $4,591,209 par, 2.00%, due November 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $4,995,352 par, 2.00%, due February 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $4,995,352 par, 2.00%, due February 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $417,130 par, 3.50%, due October 15, 20532025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $417,130 par, 3.50%, due October 15, 20532026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $426,146 par, 5.00%, due February 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $426,146 par, 5.00%, due February 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $430,354 par, 2.50%, due December 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $430,354 par, 2.50%, due December 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $471,639 par, 3.50%, due March 1, 20482025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $471,639 par, 3.50%, due March 1, 20482026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $472,914 par, 2.50%, due June 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $472,914 par, 2.50%, due June 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $494,209 par, 6.50%, due February 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $494,209 par, 6.50%, due February 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $5,243,682 par, 2.00%, due February 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $5,243,682 par, 2.00%, due February 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $5,495,447 par, 5.50%, due February 1, 20532025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $5,495,447 par, 5.50%, due February 1, 20532026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $5,757,817 par, 2.50%, due February 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $5,757,817 par, 2.50%, due February 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $54,402 par, 3.50%, due October 1, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $54,402 par, 3.50%, due October 1, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $57,266 par, 2.50%, due August 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $57,266 par, 2.50%, due August 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $590,017 par, 6.00%, due March 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $590,017 par, 6.00%, due March 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $6,179,878 par, 5.50%, due November 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $6,179,878 par, 5.50%, due November 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $6,550 par, 6.50%, due June 1, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $6,550 par, 6.50%, due June 1, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $610,440 par, 3.00%, due April 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $610,440 par, 3.00%, due April 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $611,000 par, 6.25%, due July 15, 20322025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $611,000 par, 6.25%, due July 15, 20322026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $615,518 par, 3.00%, due January 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $615,518 par, 3.00%, due January 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $711,617 par, 4.72%, due January 25, 20452025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $711,617 par, 4.72%, due January 25, 20452026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $73,918 par, 6.17%, due March 25, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $73,918 par, 6.17%, due March 25, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $799,861 par, 5.00%, due December 1, 20402025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $799,861 par, 5.00%, due December 1, 20402026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $800,920 par, 1.50%, due June 1, 20372025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $800,920 par, 1.50%, due June 1, 20372026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $844,047 par, 2.00%, due December 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $844,047 par, 2.00%, due December 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $894,406 par, 2.50%, due December 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $894,406 par, 2.50%, due December 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $896,673 par, 2.50%, due December 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $896,673 par, 2.50%, due December 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $901,000 par, 3.51%, due March 1, 20292025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $901,000 par, 3.51%, due March 1, 20292026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $940,677 par, 6.00%, due September 1, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $940,677 par, 6.00%, due September 1, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $944,469 par, Floating Rate, due February 25, 20442025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $944,469 par, Floating Rate, due February 25, 20442026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $984,462 par, 3.00%, due May 1, 20372025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FHLMC, Freddie Mac | $984,462 par, 3.00%, due May 1, 20372026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,029,241 par, 2.50%, due September 1, 20352025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,029,241 par, 2.50%, due September 1, 20352026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,040,072 par, 3.00%, due November 1, 20492025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,040,072 par, 3.00%, due November 1, 20492026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,158,448 par, 2.00%, due June 25, 20462025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,158,448 par, 2.00%, due June 25, 20462026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,198,662 par, 2.50%, due July 1, 20362025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,198,662 par, 2.50%, due July 1, 20362026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,246,511 par, 3.00%, due December 1, 20492025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,246,511 par, 3.00%, due December 1, 20492026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,302,876 par, 2.00%, due June 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,302,876 par, 2.00%, due June 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,485,906 par, 4.00%, due December 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,485,906 par, 4.00%, due December 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,560,059 par, 4.00%, due June 1, 20482025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,560,059 par, 4.00%, due June 1, 20482026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,566,872 par, 3.50%, due September 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,566,872 par, 3.50%, due September 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,569,601 par, 3.00%, due February 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,569,601 par, 3.00%, due February 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,570,000 par, 3.00%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,570,000 par, 3.00%2026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,592,535 par, 2.50%, due August 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,592,535 par, 2.50%, due August 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,597,244 par, 2.00%, due February 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,597,244 par, 2.00%, due February 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,612,127 par, 1.50%, due May 1, 20372025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,612,127 par, 1.50%, due May 1, 20372026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,654,840 par, 2.5%, due April 1, 20422025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,654,840 par, 2.5%, due April 1, 20422026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,657,137 par, 2.00%, due February 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,657,137 par, 2.00%, due February 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,689,379 par, 3.50%, due May 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,689,379 par, 3.50%, due May 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,737,729 par, 2.00%, due April 1, 20422025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,737,729 par, 2.00%, due April 1, 20422026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,755,730 par, 2.50%, due December 1, 20342025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,755,730 par, 2.50%, due December 1, 20342026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,919,026 par, 2.50%, due December 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,919,026 par, 2.50%, due December 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,933,533 par, 2.00%, due August 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,933,533 par, 2.00%, due August 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,999,530 par, 3.50%, due May 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $1,999,530 par, 3.50%, due May 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $10,295,000 par, 3.00%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $10,295,000 par, 3.00%2026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $10,465,000 par, 6.00%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $10,465,000 par, 6.00%2026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $106,734 par, 2.00%, due September 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $106,734 par, 2.00%, due September 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $115,830 par, 3.00%, due December 1, 20492025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $115,830 par, 3.00%, due December 1, 20492026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $12,030,000 par, 5.50%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $12,030,000 par, 5.50%2026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $13,445,000 par, 2.50%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $13,445,000 par, 2.50%2026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $14,970,000 par, 2.00%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $14,970,000 par, 2.00%2026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $145,393 par, 3.50%, due September 1, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $145,393 par, 3.50%, due September 1, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $146,253 par, 3.00%, due May 1, 20362025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $146,253 par, 3.00%, due May 1, 20362026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $160,051 par, 3.00%, due October 1, 20352025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $160,051 par, 3.00%, due October 1, 20352026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $161,268 par, 2.50%, due December 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $161,268 par, 2.50%, due December 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $163,504 par, 2.50%, due October 1, 20342025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $163,504 par, 2.50%, due October 1, 20342026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $165,770 par, 3.00%, due December 1, 20492025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $165,770 par, 3.00%, due December 1, 20492026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $187,453 par, 3.00%, due February 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $187,453 par, 3.00%, due February 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $190,349 par, 2.50%, due September 1, 20422025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $190,349 par, 2.50%, due September 1, 20422026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,035,448 par, 3.00%, due February 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,035,448 par, 3.00%, due February 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,130,000 par, 5.00%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,130,000 par, 5.00%2026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,135,000 par, 6.50%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,135,000 par, 6.50%2026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,192,525 par, 5.50%, due September 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,192,525 par, 5.50%, due September 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,199,539 par, 5.00%, due February 1, 20532025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,199,539 par, 5.00%, due February 1, 20532026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,238,049 par, 3.00%, due May 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,238,049 par, 3.00%, due May 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,277,313 par, due September 25, 20452025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,277,313 par, due September 25, 20452026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,304,948 par, 5.50%, due February 1, 20532025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,304,948 par, 5.50%, due February 1, 20532026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,316,757 par, 2.50%, due November 1, 20362025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,316,757 par, 2.50%, due November 1, 20362026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,349,903 par, 1.50%, due December 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,349,903 par, 1.50%, due December 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,526,911 par, 4.50%, due October 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,526,911 par, 4.50%, due October 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,548,530 par, 2.5%, due August 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,548,530 par, 2.5%, due August 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,567,051 par, 1.50%, due March 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,567,051 par, 1.50%, due March 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,620,000 par, 3.50%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,620,000 par, 3.50%2026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,729,526 par, 5.00%, due October 25, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,729,526 par, 5.00%, due October 25, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,743,469 par, 5.00%, due October 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,743,469 par, 5.00%, due October 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,946,865 par, 3.50%, due June 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $2,946,865 par, 3.50%, due June 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $201,265 par, 3.00%, due July 1, 20492025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $201,265 par, 3.00%, due July 1, 20492026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $206,797 par, due January 25, 20442025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $206,797 par, due January 25, 20442026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $224,345 par, 2.00%, due October 1, 20412025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $224,345 par, 2.00%, due October 1, 20412026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $244,355 par, 2.50%, due April 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $244,355 par, 2.50%, due April 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $250,465 par, 3.50%, due January 1, 20482025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $250,465 par, 3.50%, due January 1, 20482026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $263,110 par, 3.00%, due January 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $263,110 par, 3.00%, due January 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $276,698 par, 2.50%, due February 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $276,698 par, 2.50%, due February 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,009,003 par, 3.50%, due May 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,009,003 par, 3.50%, due May 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,049,934 par, 2.00%, due June 1, 20412025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,049,934 par, 2.00%, due June 1, 20412026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,180,015 par, 2.00%, due December 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,180,015 par, 2.00%, due December 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,199,678 par, 2.00%, due November 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,199,678 par, 2.00%, due November 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,387,786 par, 6.50%, due November 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,387,786 par, 6.50%, due November 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,419,523 par, 4.00%, due June 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,419,523 par, 4.00%, due June 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,472,013 par, 1.50%, due August 1, 20362025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,472,013 par, 1.50%, due August 1, 20362026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,481,993 par, 6.00%, due November 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,481,993 par, 6.00%, due November 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,491,754 par, 4.50%, due August 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,491,754 par, 4.50%, due August 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,517,316 par, 2.50%, due March 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,517,316 par, 2.50%, due March 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,521,629 par, 5.00%, due October 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,521,629 par, 5.00%, due October 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,677,556 par, 6.00%, due December 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,677,556 par, 6.00%, due December 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,683,444 par, 6.00%, due July 1, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,683,444 par, 6.00%, due July 1, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,704,423 par, 2.00%, due September 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,704,423 par, 2.00%, due September 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,723,026 par, 5.00%, due October 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,723,026 par, 5.00%, due October 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,755,250 par, 2.50%, due June 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $3,755,250 par, 2.50%, due June 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $304,606 par, 3.00%, due July 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $304,606 par, 3.00%, due July 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $337,326 par, 2.00%, due November 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $337,326 par, 2.00%, due November 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $344,762 par, 2.50%, due April 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $344,762 par, 2.50%, due April 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $344,856 par, 3.00%, due January 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $344,856 par, 3.00%, due January 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $345,215 par, 2.50%, due September 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $345,215 par, 2.50%, due September 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $354,301 par, 5.50%, due May 1, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $354,301 par, 5.50%, due May 1, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $371,144 par, 2.00%, due October 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $371,144 par, 2.00%, due October 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $372,028 par, 2.50%, due March 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $372,028 par, 2.50%, due March 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $375,895 par, 6.50%, due March 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $375,895 par, 6.50%, due March 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $4,317,297 par, 5.50%, due January 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $4,317,297 par, 5.50%, due January 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $4,379,026 par, 6.00%, due December 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $4,379,026 par, 6.00%, due December 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $4,495,362 par, 5.00%, due March 1, 20532025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $4,495,362 par, 5.00%, due March 1, 20532026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $4,635,000 par, due February 1, 20562025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $4,635,000 par, due February 1, 20562026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $4,941,419 par, 2.50%, due June 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $4,941,419 par, 2.50%, due June 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $428,179 par, 2.50%, due August 1, 20352025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $428,179 par, 2.50%, due August 1, 20352026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $453,721 par, 3.00%, due May 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $453,721 par, 3.00%, due May 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $471,641 par, 3.00%, due October 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $471,641 par, 3.00%, due October 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $498,240 par, 2.00%, due October 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $498,240 par, 2.00%, due October 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $5,050,198 par, 2.00%, due January 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $5,050,198 par, 2.00%, due January 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $5,510,000 par, 4.00%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $5,510,000 par, 4.00%2026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $5,625,000 par, 2.00%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $5,625,000 par, 2.00%2026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $506,942 par, 3.00%, due September 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $506,942 par, 3.00%, due September 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $554,055 par, 6.00%, due July 1, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $554,055 par, 6.00%, due July 1, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $57,478 par, 3.50%, due June 1, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $57,478 par, 3.50%, due June 1, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $582,994 par, 3.50%, due October 1, 20482025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $582,994 par, 3.50%, due October 1, 20482026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $592,166 par, 6.50%, due April 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $592,166 par, 6.50%, due April 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $594,417 par, 2.00%, due October 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $594,417 par, 2.00%, due October 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $6,135,100 par, 2.00%, due February 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $6,135,100 par, 2.00%, due February 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $6,596,863 par, 1.50%, due January 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $6,596,863 par, 1.50%, due January 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $6,919,935 par, 2.50%, due April 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $6,919,935 par, 2.50%, due April 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $611,621 par, 3.00%, due July 1, 20492025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $611,621 par, 3.00%, due July 1, 20492026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $634,117 par, 3.00%, due March 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $634,117 par, 3.00%, due March 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $639,054 par, Floating Rate, due June 25, 20432025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $639,054 par, Floating Rate, due June 25, 20432026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $650,818 par, 2.50% due March 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $650,818 par, 2.50% due March 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $690,392 par, 3.00%, due November 1, 20492025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $690,392 par, 3.00%, due November 1, 20492026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $7,859,904 par, 2.00%, due January 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $7,859,904 par, 2.00%, due January 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $7,995,000 par, 5.00%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $7,995,000 par, 5.00%2026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $71,294 par, due December 25, 20412025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $71,294 par, due December 25, 20412026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $745,290 par, 1.50%, due September 1, 20362025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $745,290 par, 1.50%, due September 1, 20362026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $757,883 par, 2.50%, due September 1, 20362025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $757,883 par, 2.50%, due September 1, 20362026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $767,044 par, 4.50%, due July 1, 20482025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $767,044 par, 4.50%, due July 1, 20482026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $889,653 par, 3.00%, due March 1, 20372025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $889,653 par, 3.00%, due March 1, 20372026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $9,705,000 par, 4.50%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $9,705,000 par, 4.50%2026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $913,706 par, 1.50%, due November 1, 20362025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $913,706 par, 1.50%, due November 1, 20362026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $92,444 par, 3.00%, due May 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $92,444 par, 3.00%, due May 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $929,981 par, 2.00%, due June 25, 20412025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $929,981 par, 2.00%, due June 25, 20412026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $95,256 par, 2.00%, due March 1, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $95,256 par, 2.00%, due March 1, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $96,300 par, 3.00%, due November 1, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | FNMA, Fannie Mae | $96,300 par, 3.00%, due November 1, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,060,735 par, 3.50%, due May 20, 20462025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,060,735 par, 3.50%, due May 20, 20462026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,129,883 par, 4.00%, due August 20, 20452025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,129,883 par, 4.00%, due August 20, 20452026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,260,000 par, 4.5%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,260,000 par, 4.5%2026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,306,754 par, 3.00%, due July 20, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,306,754 par, 3.00%, due July 20, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,363,856 par, 3.00%, due May 20, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,363,856 par, 3.00%, due May 20, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,402,795 par, 3.5%, due February 20, 20462025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,402,795 par, 3.5%, due February 20, 20462026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,763,844 par, 3.5%, due April 20, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,763,844 par, 3.5%, due April 20, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,773,076 par, 2.00%, due October 20, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,773,076 par, 2.00%, due October 20, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,784,501 par, 3.00%, due October 20, 20492025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,784,501 par, 3.00%, due October 20, 20492026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,792,489 par, 3.00%, due January 20, 20502025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,792,489 par, 3.00%, due January 20, 20502026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,815,000 par, 4.00%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,815,000 par, 4.00%2026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,835,681 par, 3.00%, due October 20, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,835,681 par, 3.00%, due October 20, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,940,000 par, 2.5%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $1,940,000 par, 2.5%2026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $10,020,000 par, 5.50%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $10,020,000 par, 5.50%2026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $14,963 par, 3.50%, due September 20, 20462025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $14,963 par, 3.50%, due September 20, 20462026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $145,071 par, 3.50%, due March 20, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $145,071 par, 3.50%, due March 20, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $2,081,680 par, 4.00%, due November 20, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $2,081,680 par, 4.00%, due November 20, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $2,105,464 par, 3.00%, due September 20, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $2,105,464 par, 3.00%, due September 20, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $2,314,266 par, 4.50%, due May 20, 20532025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $2,314,266 par, 4.50%, due May 20, 20532026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $2,836,577 par, 3.00%, due August 20, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $2,836,577 par, 3.00%, due August 20, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $2,895,000 par, 3.5%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $2,895,000 par, 3.5%2026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $2,972,359 par, 3.00%, due November 20, 20492025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $2,972,359 par, 3.00%, due November 20, 20492026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $3,188,913 par, 2.50%, due January 20, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $3,188,913 par, 2.50%, due January 20, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $3,243,814 par, 2.00%, due December 20, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $3,243,814 par, 2.00%, due December 20, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $3,555,113 par, 2%, due October 20, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $3,555,113 par, 2%, due October 20, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $3,712,156 par, 2.5%, due February 20, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $3,712,156 par, 2.5%, due February 20, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $3,990,536 par, 2.50%, due December 20, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $3,990,536 par, 2.50%, due December 20, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $340,670 par, 4.00%, due June 20, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $340,670 par, 4.00%, due June 20, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $341,416 par, 4.00%, due December 20, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $341,416 par, 4.00%, due December 20, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $344,544 par, 3.50%, due November 20, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $344,544 par, 3.50%, due November 20, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $367,758 par, 2%, due February 20, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $367,758 par, 2%, due February 20, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $368,705 par, 4%, due September 20, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $368,705 par, 4%, due September 20, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $370,852 par, 4.0%, due January 20, 20482025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $370,852 par, 4.0%, due January 20, 20482026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $392,194 par, 4%, due July 20, 20452025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $392,194 par, 4%, due July 20, 20452026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $4,061,380 par, 4.5%, due January 20, 20532025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $4,061,380 par, 4.5%, due January 20, 20532026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $4,304,992 par, 2.50%, due September 20, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $4,304,992 par, 2.50%, due September 20, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $4,610,000 par, 6.0%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $4,610,000 par, 6.0%2026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $4,678,865 par, 2.00%, due January 20, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $4,678,865 par, 2.00%, due January 20, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $4,775,811 par, 2.50%, due November 20, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $4,775,811 par, 2.50%, due November 20, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $416,716 par, 3.50%, due April 20, 20462025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $416,716 par, 3.50%, due April 20, 20462026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $453,930 par, 3.00%, due July 20, 20492025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $453,930 par, 3.00%, due July 20, 20492026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $458,677 par, 3.5%, due December 20, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $458,677 par, 3.5%, due December 20, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $5,127,842 par, 2.00%, due November 20, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $5,127,842 par, 2.00%, due November 20, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $5,350,000 par, 6.50%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $5,350,000 par, 6.50%2026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $55,568 par, 3.5%, due August 20, 20462025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $55,568 par, 3.5%, due August 20, 20462026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $618,421 par, 3.5%, due July 20, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $618,421 par, 3.5%, due July 20, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $686,473 par, 3.5%, due March 20, 20462025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $686,473 par, 3.5%, due March 20, 20462026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $7,290,000 par, 2.00%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $7,290,000 par, 2.00%2026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $772,331 par, 3.5%, due May 20, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $772,331 par, 3.5%, due May 20, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $800,000 par, 3%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $800,000 par, 3%2026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $892,385 par, 3.5%, due April 20, 20482025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $892,385 par, 3.5%, due April 20, 20482026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $897,235 par, 3.5%, due February 20, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $897,235 par, 3.5%, due February 20, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $9,060,000 par, 5.00%2025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $9,060,000 par, 5.00%2026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $928,978 par, 4.00%, due July 20, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $928,978 par, 4.00%, due July 20, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $96,118 par, 4.00%, due May 20, 20472025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | GNMA, Ginnie Mae | $96,118 par, 4.00%, due May 20, 20472026-01-310000104169wmt:EBP003MemberGovernment Securities | Illinois State Taxable Pension | $11,975,735 par, 5.10%, due June 1, 20332025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Illinois State Taxable Pension | $11,975,735 par, 5.10%, due June 1, 20332026-01-310000104169wmt:EBP003MemberGovernment Securities | Israel State Bond | $1,441,000 par, 5.88%, due January 13, 20562025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Israel State Bond | $1,441,000 par, 5.88%, due January 13, 20562026-01-310000104169wmt:EBP003MemberGovernment Securities | Kuwait International Bond | $1,315,000 par, 4.02%, due October 9, 20282025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Kuwait International Bond | $1,315,000 par, 4.02%, due October 9, 20282026-01-310000104169wmt:EBP003MemberGovernment Securities | Kuwait International Bond | $3,402,000 par, 4.14%, due October 9, 20302025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Kuwait International Bond | $3,402,000 par, 4.14%, due October 9, 20302026-01-310000104169wmt:EBP003MemberGovernment Securities | Kuwait International Bond | $7,991,000 par, 4.65%, due October 9, 20352025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Kuwait International Bond | $7,991,000 par, 4.65%, due October 9, 20352026-01-310000104169wmt:EBP003MemberGovernment Securities | Mexico (United Mexican States) | $1,390,000 par, 6.13%, due February 9, 20382025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Mexico (United Mexican States) | $1,390,000 par, 6.13%, due February 9, 20382026-01-310000104169wmt:EBP003MemberGovernment Securities | New York | $1,200,000 par, 5.39%, due October 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | New York | $1,200,000 par, 5.39%, due October 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | New York | $460,000 par, 5.11%, due October 1, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | New York | $460,000 par, 5.11%, due October 1, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | New York | $675,000 par, 5.09%, due October 1, 20492025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | New York | $675,000 par, 5.09%, due October 1, 20492026-01-310000104169wmt:EBP003MemberGovernment Securities | New York | $685,000 par, 5.37%, due October 1, 20512025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | New York | $685,000 par, 5.37%, due October 1, 20512026-01-310000104169wmt:EBP003MemberGovernment Securities | Office Cherifien Des Phosphates | $1,859,000 par, 6.70%, due March 1, 20362025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Office Cherifien Des Phosphates | $1,859,000 par, 6.70%, due March 1, 20362026-01-310000104169wmt:EBP003MemberGovernment Securities | Panama Republic | $768,000 par, 4.50%, due January 19, 20632025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Panama Republic | $768,000 par, 4.50%, due January 19, 20632026-01-310000104169wmt:EBP003MemberGovernment Securities | PT Freeport Indonesia | $1,065,000 par, 5.32%, due April 14, 20322025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | PT Freeport Indonesia | $1,065,000 par, 5.32%, due April 14, 20322026-01-310000104169wmt:EBP003MemberGovernment Securities | Qatar Pete | $8,038,000 par, 3.12%, due July 12, 20412025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Qatar Pete | $8,038,000 par, 3.12%, due July 12, 20412026-01-310000104169wmt:EBP003MemberGovernment Securities | Republic of Peru | $746,000 par, 6.2%, due June 30, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Republic of Peru | $746,000 par, 6.2%, due June 30, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | Saudi Arabia KGDM | $1,491,000 par, 5.88%, due January 12, 20562025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Saudi Arabia KGDM | $1,491,000 par, 5.88%, due January 12, 20562026-01-310000104169wmt:EBP003MemberGovernment Securities | Tennessee Valley Authority | $1,761,000 par, 4.25%, due September 15, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Tennessee Valley Authority | $1,761,000 par, 4.25%, due September 15, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | Tennessee Valley Authority | $3,141,000 par, 5.25%, due February 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Tennessee Valley Authority | $3,141,000 par, 5.25%, due February 1, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | Tennessee Valley Authority | $4,336,000 par, 4.88%, due May 15, 20352025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Tennessee Valley Authority | $4,336,000 par, 4.88%, due May 15, 20352026-01-310000104169wmt:EBP003MemberGovernment Securities | Texas Natural Gas Securitization Finance Corp. | $2,519,000 par, 5.17%, due April 1, 20412025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Texas Natural Gas Securitization Finance Corp. | $2,519,000 par, 5.17%, due April 1, 20412026-01-310000104169wmt:EBP003MemberGovernment Securities | Texas Natural Gas Securitization Finance Corp. | $4,051,731 par, 0.00%, due April 1, 20352025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | Texas Natural Gas Securitization Finance Corp. | $4,051,731 par, 0.00%, due April 1, 20352026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $1,004,000 par, 3.50%, due December 15, 20282025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $1,004,000 par, 3.50%, due December 15, 20282026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $10,625,000 par, 2.00%, due November 15, 20412025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $10,625,000 par, 2.00%, due November 15, 20412026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $10,870,000 par, 4.00%, due July 31, 20292025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $10,870,000 par, 4.00%, due July 31, 20292026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $11,124,000 par, 4.63%, due November 15, 20442025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $11,124,000 par, 4.63%, due November 15, 20442026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $11,316,000 par, 3.63%, due August 31, 20292025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $11,316,000 par, 3.63%, due August 31, 20292026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $11,435,000 par, 4.00%, due May 31, 20302025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $11,435,000 par, 4.00%, due May 31, 20302026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $11,566,000 par, 5.0%, due May 15, 20452025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $11,566,000 par, 5.0%, due May 15, 20452026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $11,804,000 par, 4.38%, due December 31, 20292025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $11,804,000 par, 4.38%, due December 31, 20292026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $12,372,000 par, 4.00%, due November 15, 20352025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $12,372,000 par, 4.00%, due November 15, 20352026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $12,819,000 par, 4.63%, due April 30, 20292025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $12,819,000 par, 4.63%, due April 30, 20292026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $13,283,000 par, 3.88%, due June 30, 20302025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $13,283,000 par, 3.88%, due June 30, 20302026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $14,205,000 par, 3.88%, due July 31, 20302025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $14,205,000 par, 3.88%, due July 31, 20302026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $14,412,000 par, 3.63%, due August 31, 20302025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $14,412,000 par, 3.63%, due August 31, 20302026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $14,452,000 par, 4.875%, due August 15, 20452025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $14,452,000 par, 4.875%, due August 15, 20452026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $15,069,000 par, 4.50%, due May 31, 20292025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $15,069,000 par, 4.50%, due May 31, 20292026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $15,736,000 par, 2.38%, due February 15, 20422025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $15,736,000 par, 2.38%, due February 15, 20422026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $17,564,000 par, 3.75%, due January 31, 20312025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $17,564,000 par, 3.75%, due January 31, 20312026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $19,925,000 par, 3.63%, due September 30, 20302025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $19,925,000 par, 3.63%, due September 30, 20302026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $2,916,000 par, 4.75%, due May 15, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $2,916,000 par, 4.75%, due May 15, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $20,004,000 par, 3.63%, due October 31, 20302025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $20,004,000 par, 3.63%, due October 31, 20302026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $21,468,000 par, 3.88%, due April 30, 20302025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $21,468,000 par, 3.88%, due April 30, 20302026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $26,009,000 par, 3.50%, due November 30, 20302025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $26,009,000 par, 3.50%, due November 30, 20302026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $26,175,000 par, 4.75%, due August 15, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $26,175,000 par, 4.75%, due August 15, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $28,583,000 par, 4.63%, due November 15, 20452025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $28,583,000 par, 4.63%, due November 15, 20452026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $3,436,000 par, 3.00%, due August 15, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $3,436,000 par, 3.00%, due August 15, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $3,646,000 par, 4.38%, due August 15, 20432025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $3,646,000 par, 4.38%, due August 15, 20432026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $3,982,000 par, 2.88%, due May 15, 20522025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $3,982,000 par, 2.88%, due May 15, 20522026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $37,422,000 par, 3.5%, due January 15, 20292025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $37,422,000 par, 3.5%, due January 15, 20292026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $4,093,000 par, 3.88%, due February 15, 20432025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $4,093,000 par, 3.88%, due February 15, 20432026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $4,094,000 par, 3.88%, due December 31, 20322025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $4,094,000 par, 3.88%, due December 31, 20322026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $40,666,000 par, 3.63%, due December 31, 20302025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $40,666,000 par, 3.63%, due December 31, 20302026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $41,307,000 par, 3.38%, due December 31, 20272025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $41,307,000 par, 3.38%, due December 31, 20272026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $5,026,000 par, 4.63%, due February 15, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $5,026,000 par, 4.63%, due February 15, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $5,576,000 par, 4.63%, due May 15, 20442025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $5,576,000 par, 4.63%, due May 15, 20442026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $5,726,000 par, 4.13%, due August 15, 20442025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $5,726,000 par, 4.13%, due August 15, 20442026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $5,797,000 par, 4.0%, due February 28, 20302025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $5,797,000 par, 4.0%, due February 28, 20302026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $5,957,000 par, 3.38%, due August 15, 20422025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $5,957,000 par, 3.38%, due August 15, 20422026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $590,000 par, 3.63%, due February 15, 20532025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $590,000 par, 3.63%, due February 15, 20532026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $6,178,000 par, 4.75%, due November 15, 20432025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $6,178,000 par, 4.75%, due November 15, 20432026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $6,566,000 par, 4.75%, due November 15, 20532025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $6,566,000 par, 4.75%, due November 15, 20532026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $6,600,000 par, 4.13%, due August 15, 20532025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $6,600,000 par, 4.13%, due August 15, 20532026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $6,974,000 par, 4.50%, due February 15, 20442025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $6,974,000 par, 4.50%, due February 15, 20442026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $63,704,000 par, 3.50%, due January 31, 20282025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $63,704,000 par, 3.50%, due January 31, 20282026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $7,079,000 par, 4.25%, due February 15, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $7,079,000 par, 4.25%, due February 15, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $7,268,000 par, 4.38%, due January 31, 20302025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $7,268,000 par, 4.38%, due January 31, 20302026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $7,855,000 par, 4.5%, due November 15, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $7,855,000 par, 4.5%, due November 15, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $8,031,000 par, 4.25%, due August 15, 20542025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $8,031,000 par, 4.25%, due August 15, 20542026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $8,253,000 par, 4.00%, due November 15, 20422025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $8,253,000 par, 4.00%, due November 15, 20422026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $8,724,000 par, 3.25%, due May 15, 20422025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $8,724,000 par, 3.25%, due May 15, 20422026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $9,432,000 par, 4.25%, due June 30, 20292025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $9,432,000 par, 4.25%, due June 30, 20292026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $9,780,000 par, 4.75%, due February 15, 20452025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $9,780,000 par, 4.75%, due February 15, 20452026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $9,966,000 par, 4.75%, due May 15, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | U.S. Treasury | $9,966,000 par, 4.75%, due May 15, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | United Mexican States | $1,840,000 par, 5.38%, due March 22, 20332025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | United Mexican States | $1,840,000 par, 5.38%, due March 22, 20332026-01-310000104169wmt:EBP003MemberGovernment Securities | United Mexican States | $1,865,000 par, 6.88%, due May 13, 20372025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | United Mexican States | $1,865,000 par, 6.88%, due May 13, 20372026-01-310000104169wmt:EBP003MemberGovernment Securities | United Mexican States | $842,000 par, 7.38%, due May 13, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | United Mexican States | $842,000 par, 7.38%, due May 13, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | WI Treasury Sec. | $15,091,000 par, 3.88%, due March 31, 20302025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | WI Treasury Sec. | $15,091,000 par, 3.88%, due March 31, 20302026-01-310000104169wmt:EBP003MemberGovernment Securities | WI Treasury Sec. | $3,528,000 par, 4.63%, due November 15, 20552025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | WI Treasury Sec. | $3,528,000 par, 4.63%, due November 15, 20552026-01-310000104169wmt:EBP003MemberGovernment Securities | WI Treasury Sec. | $5,228,000 par, 3.38%, due November 15, 20482025-02-012026-01-310000104169wmt:EBP003MemberGovernment Securities | WI Treasury Sec. | $5,228,000 par, 3.38%, due November 15, 20482026-01-310000104169wmt:EBP003Memberus-gaap:USTreasuryAndGovernmentMember2026-01-310000104169wmt:EBP003MemberCorporate Bonds | Alphabet Inc. | $1,832,000 par, 5.45%, due November 15, 20552025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Alphabet Inc. | $1,832,000 par, 5.45%, due November 15, 20552026-01-310000104169wmt:EBP003MemberCorporate Bonds | Alphabet Inc. | $735,000 par, 5.70%, due November 15, 20752025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Alphabet Inc. | $735,000 par, 5.70%, due November 15, 20752026-01-310000104169wmt:EBP003MemberCorporate Bonds | Ameren Corp. | $2,228,000 par, 5.70%, due December 1, 20262025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Ameren Corp. | $2,228,000 par, 5.70%, due December 1, 20262026-01-310000104169wmt:EBP003MemberCorporate Bonds | Ameren Corp. | $2,945,000 par, 4.30%, due December 1, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Ameren Corp. | $2,945,000 par, 4.30%, due December 1, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Antero Resources Corp. | $3,486,000 par, 5.40%, due February 1, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Antero Resources Corp. | $3,486,000 par, 5.40%, due February 1, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | Antofagasta Plc. | $1,401,000 par, 5.63%, due September 9, 20352025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Antofagasta Plc. | $1,401,000 par, 5.63%, due September 9, 20352026-01-310000104169wmt:EBP003MemberCorporate Bonds | APA Corp. | $2,449,000 par, 5.10%, due September 1, 20402025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | APA Corp. | $2,449,000 par, 5.10%, due September 1, 20402026-01-310000104169wmt:EBP003MemberCorporate Bonds | Ares Strategic Inc. | $880,000 par, 5.55%, due April 15, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Ares Strategic Inc. | $880,000 par, 5.55%, due April 15, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | AT&T Inc. | $1,380,000 par, 3.5%, due September 15, 20532025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | AT&T Inc. | $1,380,000 par, 3.5%, due September 15, 20532026-01-310000104169wmt:EBP003MemberCorporate Bonds | AT&T Inc. | $1,708,000 par, 6.00%, due April 30, 20562025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | AT&T Inc. | $1,708,000 par, 6.00%, due April 30, 20562026-01-310000104169wmt:EBP003MemberCorporate Bonds | Athene Holding Ltd. | $1,582,000 par, 6.25% due April 1, 20542025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Athene Holding Ltd. | $1,582,000 par, 6.25% due April 1, 20542026-01-310000104169wmt:EBP003MemberCorporate Bonds | Atmos Energy Corp. | $1,008,000 par, 5.45%, due January 15, 20562025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Atmos Energy Corp. | $1,008,000 par, 5.45%, due January 15, 20562026-01-310000104169wmt:EBP003MemberCorporate Bonds | Banco Santander | $4,000,000 par, 4.55%, due November 6, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Banco Santander | $4,000,000 par, 4.55%, due November 6, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | Bank of America Corp. | $5,096,000 par, 3.19%, due July 23, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Bank of America Corp. | $5,096,000 par, 3.19%, due July 23, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | Beignet Investor LLC | $3,005,000 par, 6.58%, due May 30, 20492025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Beignet Investor LLC | $3,005,000 par, 6.58%, due May 30, 20492026-01-310000104169wmt:EBP003MemberCorporate Bonds | BHP Billiton Finance | $1,333,000 par, 5.00%, due February 21, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | BHP Billiton Finance | $1,333,000 par, 5.00%, due February 21, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | BHP Billiton Finance | $2,832,000 par, 4.75%, due February 28, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | BHP Billiton Finance | $2,832,000 par, 4.75%, due February 28, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Black Hills Corp. | $1,989,000 par, 4.55%, due January 31, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Black Hills Corp. | $1,989,000 par, 4.55%, due January 31, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Blue Owl Technology Finance Corp. | $811,000 par, 6.13%, due January 23, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Blue Owl Technology Finance Corp. | $811,000 par, 6.13%, due January 23, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Boeing Co. | $1,269,000 par, 3.25%, due February 1, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Boeing Co. | $1,269,000 par, 3.25%, due February 1, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Boeing Co. | $3,205,000 par, 6.86%, due May 1, 20542025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Boeing Co. | $3,205,000 par, 6.86%, due May 1, 20542026-01-310000104169wmt:EBP003MemberCorporate Bonds | Boeing Co. | $4,124,000 par, 6.3%, due May 1, 20292025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Boeing Co. | $4,124,000 par, 6.3%, due May 1, 20292026-01-310000104169wmt:EBP003MemberCorporate Bonds | Boeing Co. | $504,000 par, 3.63%, due March 1, 20482025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Boeing Co. | $504,000 par, 3.63%, due March 1, 20482026-01-310000104169wmt:EBP003MemberCorporate Bonds | Broadcom Inc. | $1,219,000 par, 5.7%, due January 15, 20562025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Broadcom Inc. | $1,219,000 par, 5.7%, due January 15, 20562026-01-310000104169wmt:EBP003MemberCorporate Bonds | Broadcom Inc. | $1,446,000 par, 4.3%, due January 15, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Broadcom Inc. | $1,446,000 par, 4.3%, due January 15, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Broadcom Inc. | $403,000 par, 4.8%, due February 15, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Broadcom Inc. | $403,000 par, 4.8%, due February 15, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | Broadcom Inc. | $6,127,000 par, 4.95%, due January 15, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Broadcom Inc. | $6,127,000 par, 4.95%, due January 15, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | Brooklyn Union Gas Co. | $1,091,000 par, 4.27%, due March 15, 20482025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Brooklyn Union Gas Co. | $1,091,000 par, 4.27%, due March 15, 20482026-01-310000104169wmt:EBP003MemberCorporate Bonds | Brooklyn Union Gas Co. | $119,000 par, 4.49%, due March 4, 20492025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Brooklyn Union Gas Co. | $119,000 par, 4.49%, due March 4, 20492026-01-310000104169wmt:EBP003MemberCorporate Bonds | Burlington Northern Santa Fe | $858,000 par, 5.55%, due March 15, 20262025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Burlington Northern Santa Fe | $858,000 par, 5.55%, due March 15, 20262026-01-310000104169wmt:EBP003MemberCorporate Bonds | CaixaBank | $3,492,000 par, 5.58%, due July 3, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | CaixaBank | $3,492,000 par, 5.58%, due July 3, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | Canadian Imperial Bank of Commerce | $3,937,000 par, 4.28%, due January 29, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Canadian Imperial Bank of Commerce | $3,937,000 par, 4.28%, due January 29, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | Charter Communications, Inc. | $2,328,000 par, 5.75%, due April 1, 20482025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Charter Communications, Inc. | $2,328,000 par, 5.75%, due April 1, 20482026-01-310000104169wmt:EBP003MemberCorporate Bonds | Charter Communications, Inc. | $2,683,000 par, 6.55%, due June 1, 20342025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Charter Communications, Inc. | $2,683,000 par, 6.55%, due June 1, 20342026-01-310000104169wmt:EBP003MemberCorporate Bonds | Chubb Ina Holdings Inc. | $3,680,000 par, 4.9%, due August 15, 20352025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Chubb Ina Holdings Inc. | $3,680,000 par, 4.9%, due August 15, 20352026-01-310000104169wmt:EBP003MemberCorporate Bonds | Citigroup Inc. | $2,983,000 par, 4.5%, due September 11, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Citigroup Inc. | $2,983,000 par, 4.5%, due September 11, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Cleco Power LLC | $1,931,000 par, 5.3%, due January 15, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Cleco Power LLC | $1,931,000 par, 5.3%, due January 15, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | Columbia University | $884,000 par, 4.36%, due October 1, 20352025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Columbia University | $884,000 par, 4.36%, due October 1, 20352026-01-310000104169wmt:EBP003MemberCorporate Bonds | Constellation Energy Generation LLC | $1,856,000 par, 4.4%, due January 15, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Constellation Energy Generation LLC | $1,856,000 par, 4.4%, due January 15, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Constellation Energy Generation LLC | $1,888,000 par, 5.88%, due January 15, 20662025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Constellation Energy Generation LLC | $1,888,000 par, 5.88%, due January 15, 20662026-01-310000104169wmt:EBP003MemberCorporate Bonds | Constellation Energy Generation LLC | $2,105,000 par, 3.9%, due January 8, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Constellation Energy Generation LLC | $2,105,000 par, 3.9%, due January 8, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Constellation Energy Generation LLC | $483,000 par, 3.75%, due March 1, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Constellation Energy Generation LLC | $483,000 par, 3.75%, due March 1, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Constellation Energy Generation LLC | $819,000 par, 6.50%, due October 1, 20532025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Constellation Energy Generation LLC | $819,000 par, 6.50%, due October 1, 20532026-01-310000104169wmt:EBP003MemberCorporate Bonds | Cornell University | $1,080,000 par, 4.17%, due June 15, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Cornell University | $1,080,000 par, 4.17%, due June 15, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | Cornell University | $1,576,000 par, 4.73%, due June 15, 20352025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Cornell University | $1,576,000 par, 4.73%, due June 15, 20352026-01-310000104169wmt:EBP003MemberCorporate Bonds | CVS Health Corp. | $4,148,000 par, 6%, due June 1, 20442025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | CVS Health Corp. | $4,148,000 par, 6%, due June 1, 20442026-01-310000104169wmt:EBP003MemberCorporate Bonds | CVS Health Corp. | $3,285,000 par, 5.7%, due June 1, 20342025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | CVS Health Corp. | $3,285,000 par, 5.7%, due June 1, 20342026-01-310000104169wmt:EBP003MemberCorporate Bonds | Dayton Power and Light Co. | $2,373,000 par, 4.55%, due August 15, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Dayton Power and Light Co. | $2,373,000 par, 4.55%, due August 15, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | Dell International LLC | $4,297,000 par, 5.1%, due February 15, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Dell International LLC | $4,297,000 par, 5.1%, due February 15, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | Dell International LLC | $6,192,000 par, 4.5%, due February 15, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Dell International LLC | $6,192,000 par, 4.5%, due February 15, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Den Norske Stats Oljeselskap | $2,469,000 par, 6.5%, due December 1, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Den Norske Stats Oljeselskap | $2,469,000 par, 6.5%, due December 1, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Devon Energy Corp. | $641,000 par, 7.95%, due April 15, 20322025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Devon Energy Corp. | $641,000 par, 7.95%, due April 15, 20322026-01-310000104169wmt:EBP003MemberCorporate Bonds | Dhafrah PV2 Energy Co. | $2,240,000 par, 5.79%, due June 30, 20532025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Dhafrah PV2 Energy Co. | $2,240,000 par, 5.79%, due June 30, 20532026-01-310000104169wmt:EBP003MemberCorporate Bonds | Duke Energy Corp. | $3,380,000 par, 3.5%, due June 15, 20512025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Duke Energy Corp. | $3,380,000 par, 3.5%, due June 15, 20512026-01-310000104169wmt:EBP003MemberCorporate Bonds | Eli Lilly & Co. | $466,000 par, 5.65%, due October 15, 20652025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Eli Lilly & Co. | $466,000 par, 5.65%, due October 15, 20652026-01-310000104169wmt:EBP003MemberCorporate Bonds | Eli Lilly & Co. | $6,549,000 par, 4.9%, due October 15, 20352025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Eli Lilly & Co. | $6,549,000 par, 4.9%, due October 15, 20352026-01-310000104169wmt:EBP003MemberCorporate Bonds | Embraer Netherlands Finance | $1,358,000 par, 5.4%, due January 9, 20382025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Embraer Netherlands Finance | $1,358,000 par, 5.4%, due January 9, 20382026-01-310000104169wmt:EBP003MemberCorporate Bonds | Enbridge Inc. | $1,115,000 par, 4.2%, due November 20, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Enbridge Inc. | $1,115,000 par, 4.2%, due November 20, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Enbridge Inc. | $1,752,000 par, 3.7%, due July 15, 20272025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Enbridge Inc. | $1,752,000 par, 3.7%, due July 15, 20272026-01-310000104169wmt:EBP003MemberCorporate Bonds | Energy Transfer LP | $2,759,000 par, 4.55%, due January 15, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Energy Transfer LP | $2,759,000 par, 4.55%, due January 15, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Energy Transfer LP | $3,992,000 par, 5.35%, due January 15, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Energy Transfer LP | $3,992,000 par, 5.35%, due January 15, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | Enterprise Products Operating | $1,296,000 par, 4.3%, due June 20, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Enterprise Products Operating | $1,296,000 par, 4.3%, due June 20, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Essential Utilities Inc. | $1,164,000 par, 5.38%, due January 15, 20342025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Essential Utilities Inc. | $1,164,000 par, 5.38%, due January 15, 20342026-01-310000104169wmt:EBP003MemberCorporate Bonds | Essential Utilities Inc. | $2,136,000 par, 5.25%, due August 15, 20352025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Essential Utilities Inc. | $2,136,000 par, 5.25%, due August 15, 20352026-01-310000104169wmt:EBP003MemberCorporate Bonds | FedEx Freight Holding Inc. | $1,585,000 par, 4.3%, due March 15, 20292025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | FedEx Freight Holding Inc. | $1,585,000 par, 4.3%, due March 15, 20292026-01-310000104169wmt:EBP003MemberCorporate Bonds | FedEx Freight Holding Inc. | $1,608,000 par, 5.25%, due March 15, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | FedEx Freight Holding Inc. | $1,608,000 par, 5.25%, due March 15, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | FedEx Freight Holding Inc. | $1,954,000 par, 4.65%, due March 15, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | FedEx Freight Holding Inc. | $1,954,000 par, 4.65%, due March 15, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | FirstEnergy Transmission LLC | $1,307,000 par, 4.75%, due January 15, 20332025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | FirstEnergy Transmission LLC | $1,307,000 par, 4.75%, due January 15, 20332026-01-310000104169wmt:EBP003MemberCorporate Bonds | FirstEnergy Transmission LLC | $3,497,000 par, 2.87%, due September 15, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | FirstEnergy Transmission LLC | $3,497,000 par, 2.87%, due September 15, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | FirstEnergy Transmission LLC | $7,719,000 par, 3.9%, due July 15, 20272025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | FirstEnergy Transmission LLC | $7,719,000 par, 3.9%, due July 15, 20272026-01-310000104169wmt:EBP003MemberCorporate Bonds | Ford Motor Credit Co. | $2,029,000 par, 5.11%, due May 3, 20292025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Ford Motor Credit Co. | $2,029,000 par, 5.11%, due May 3, 20292026-01-310000104169wmt:EBP003MemberCorporate Bonds | Ford Motor Credit Co. | $4,714,000 par, 5.73%, due September 5, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Ford Motor Credit Co. | $4,714,000 par, 5.73%, due September 5, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | FS KKR Capital Corp. | $355,000 par, 6.13%, due January 15, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | FS KKR Capital Corp. | $355,000 par, 6.13%, due January 15, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Georgia Power Co. | $3,280,000 par, 4.00%, due October 1, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Georgia Power Co. | $3,280,000 par, 4.00%, due October 1, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Glencore Funding LLC | $1,179,000 par, 6.38%, due October 6, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Glencore Funding LLC | $1,179,000 par, 6.38%, due October 6, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | Glencore Funding LLC | $3,772,000 par, 5.34%, due April 4, 20272025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Glencore Funding LLC | $3,772,000 par, 5.34%, due April 4, 20272026-01-310000104169wmt:EBP003MemberCorporate Bonds | Glencore Funding LLC | $4,535,000 par, 4.00%, due March 27, 20272025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Glencore Funding LLC | $4,535,000 par, 4.00%, due March 27, 20272026-01-310000104169wmt:EBP003MemberCorporate Bonds | Glencore Funding LLC | $5,225,000 par, 5.67%, due April 1, 20352025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Glencore Funding LLC | $5,225,000 par, 5.67%, due April 1, 20352026-01-310000104169wmt:EBP003MemberCorporate Bonds | Global Payments Inc. | $1,065,000 par, 4.88%, due November 15, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Global Payments Inc. | $1,065,000 par, 4.88%, due November 15, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | Global Payments Inc. | $1,573,000 par, 5.55%, due November 15, 20352025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Global Payments Inc. | $1,573,000 par, 5.55%, due November 15, 20352026-01-310000104169wmt:EBP003MemberCorporate Bonds | Goldman Sachs Group Inc. | $1,252,000 par, 5.78%, due January 21, 20472025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Goldman Sachs Group Inc. | $1,252,000 par, 5.78%, due January 21, 20472026-01-310000104169wmt:EBP003MemberCorporate Bonds | Goldman Sachs Group Inc. | $1,595,000 par, 1.54%, due September 10, 20272025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Goldman Sachs Group Inc. | $1,595,000 par, 1.54%, due September 10, 20272026-01-310000104169wmt:EBP003MemberCorporate Bonds | Goldman Sachs Group Inc. | $3,126,000 par, 5.73%, due January 28, 20562025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Goldman Sachs Group Inc. | $3,126,000 par, 5.73%, due January 28, 20562026-01-310000104169wmt:EBP003MemberCorporate Bonds | Goldman Sachs Group Inc. | $3,981,000 par, 5.07%, due January 21, 20372025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Goldman Sachs Group Inc. | $3,981,000 par, 5.07%, due January 21, 20372026-01-310000104169wmt:EBP003MemberCorporate Bonds | Goldman Sachs Group Inc. | $6,174,000 par, 4.37%, due October 21, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Goldman Sachs Group Inc. | $6,174,000 par, 4.37%, due October 21, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Hewlett Packard Fixed | $1,754,000 par, 4.05%, due September 15, 20272025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Hewlett Packard Fixed | $1,754,000 par, 4.05%, due September 15, 20272026-01-310000104169wmt:EBP003MemberCorporate Bonds | HP Enterprise Co. | $1,484,000 par, 5.6%, due October 15, 20542025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | HP Enterprise Co. | $1,484,000 par, 5.6%, due October 15, 20542026-01-310000104169wmt:EBP003MemberCorporate Bonds | HPS Corporate Lending | $1,263,000 par, 5.45%, due November 15, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | HPS Corporate Lending | $1,263,000 par, 5.45%, due November 15, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | HPS Corporate Lending | $799,000 par, 4.9%, due September 11, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | HPS Corporate Lending | $799,000 par, 4.9%, due September 11, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | HSBC Holdings PLC | $4,861,000 par, 5.24%, due May 13, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | HSBC Holdings PLC | $4,861,000 par, 5.24%, due May 13, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Huntington Bancshares Inc. | $2,552,000 par, 6.21%, due August 21, 20292025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Huntington Bancshares Inc. | $2,552,000 par, 6.21%, due August 21, 20292026-01-310000104169wmt:EBP003MemberCorporate Bonds | Hyundai Capital America | $1,874,000 par, 4.55%, due January 8, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Hyundai Capital America | $1,874,000 par, 4.55%, due January 8, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Hyundai Capital America | $3,333,000 par, 4.8%, due January 10, 20332025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Hyundai Capital America | $3,333,000 par, 4.8%, due January 10, 20332026-01-310000104169wmt:EBP003MemberCorporate Bonds | Intel Corp. | $3,318,000 par, 4.9%, due August 5, 20522025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Intel Corp. | $3,318,000 par, 4.9%, due August 5, 20522026-01-310000104169wmt:EBP003MemberCorporate Bonds | International Business Machs Corp. | $1,672,000 par, 4.95%, due February 3, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | International Business Machs Corp. | $1,672,000 par, 4.95%, due February 3, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | International Business Machs Corp. | $470,000 par, 5.8%, due February 3, 20562025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | International Business Machs Corp. | $470,000 par, 5.8%, due February 3, 20562026-01-310000104169wmt:EBP003MemberCorporate Bonds | J Paul Getty Trust | $4,371,000 par, 4.91%, due April 1, 20352025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | J Paul Getty Trust | $4,371,000 par, 4.91%, due April 1, 20352026-01-310000104169wmt:EBP003MemberCorporate Bonds | JBS USA Food Co. | $874,000 par, 6.38%, due April 15, 20662025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | JBS USA Food Co. | $874,000 par, 6.38%, due April 15, 20662026-01-310000104169wmt:EBP003MemberCorporate Bonds | Jefferies Financial Group Inc. | $1,119,000 par, 5.5%, due February 15, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Jefferies Financial Group Inc. | $1,119,000 par, 5.5%, due February 15, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | JPMorgan Chase & Co. | $5,413,000 par, 5.58%, due April 22, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | JPMorgan Chase & Co. | $5,413,000 par, 5.58%, due April 22, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | Lloyds Banking Group PLC | $2,639,000 par, 5.46%, due January 5, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Lloyds Banking Group PLC | $2,639,000 par, 5.46%, due January 5, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | LYB International LLC | $4,011,000 par, 5.88%, due January 15, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | LYB International LLC | $4,011,000 par, 5.88%, due January 15, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | M&T Bank Corp. | $2,729,000 par, 5.39%, due January 16, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | M&T Bank Corp. | $2,729,000 par, 5.39%, due January 16, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | Massechusetts Institute of Technology | $701,000 par, 5.62%, due June 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Massechusetts Institute of Technology | $701,000 par, 5.62%, due June 1, 20552026-01-310000104169wmt:EBP003MemberCorporate Bonds | Merck & Co Inc. | $1,241,000 par, 5.70%, due December 4, 20652025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Merck & Co Inc. | $1,241,000 par, 5.70%, due December 4, 20652026-01-310000104169wmt:EBP003MemberCorporate Bonds | Merck & Co Inc. | $1,300,000 par, 5.50%, due March 15, 20462025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Merck & Co Inc. | $1,300,000 par, 5.50%, due March 15, 20462026-01-310000104169wmt:EBP003MemberCorporate Bonds | Meta Platforms Inc. | $1,152,000 par, 5.75%, due November 15, 20452025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Meta Platforms Inc. | $1,152,000 par, 5.75%, due November 15, 20452026-01-310000104169wmt:EBP003MemberCorporate Bonds | Meta Platforms Inc. | $2,561,000 par, 5.50%, due November 15, 20452025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Meta Platforms Inc. | $2,561,000 par, 5.50%, due November 15, 20452026-01-310000104169wmt:EBP003MemberCorporate Bonds | Meta Platforms Inc. | $930,000 par, 4.65%, due November 15, 20622025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Meta Platforms Inc. | $930,000 par, 4.65%, due November 15, 20622026-01-310000104169wmt:EBP003MemberCorporate Bonds | Minera Mexico | $1,198,000 par, 5.63%, due February 12, 20322025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Minera Mexico | $1,198,000 par, 5.63%, due February 12, 20322026-01-310000104169wmt:EBP003MemberCorporate Bonds | Molex Electr Technologies | $1,908,000 par, 4.75%, due April 30, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Molex Electr Technologies | $1,908,000 par, 4.75%, due April 30, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Morgan Stanley | $4,179,000 par, 4.24%, due January 9, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Morgan Stanley | $4,179,000 par, 4.24%, due January 9, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | Morgan Stanley | $4,232,000 par, 4.49%, due January 16, 20322025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Morgan Stanley | $4,232,000 par, 4.49%, due January 16, 20322026-01-310000104169wmt:EBP003MemberCorporate Bonds | Morgan Stanley | $4,446,000 par, 5.07%, due January 30, 20372025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Morgan Stanley | $4,446,000 par, 5.07%, due January 30, 20372026-01-310000104169wmt:EBP003MemberCorporate Bonds | Morgan Stanley | $5,415,000 par, 4.47%, due November 19, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Morgan Stanley | $5,415,000 par, 4.47%, due November 19, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Morgan Stanley | $6,574,000 par, 4.73%, due July 18, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Morgan Stanley | $6,574,000 par, 4.73%, due July 18, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Morgan Stanley | $952,000 par, 5.52%, due November 19, 20552025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Morgan Stanley | $952,000 par, 5.52%, due November 19, 20552026-01-310000104169wmt:EBP003MemberCorporate Bonds | National Fuel Gas Co. | $1,896,000 par, 4.75%, due September 1, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | National Fuel Gas Co. | $1,896,000 par, 4.75%, due September 1, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | National Fuel Gas Co. | $4,723,000 par, 5.50%, due March 15, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | National Fuel Gas Co. | $4,723,000 par, 5.50%, due March 15, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | National Fuel Gas Co. | $874,000 par, 5.95%, due March 15, 20352025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | National Fuel Gas Co. | $874,000 par, 5.95%, due March 15, 20352026-01-310000104169wmt:EBP003MemberCorporate Bonds | NextEra Energy Capital Holdings Inc. | $2,049,000 par, 5.90%, due March 15, 20552025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | NextEra Energy Capital Holdings Inc. | $2,049,000 par, 5.90%, due March 15, 20552026-01-310000104169wmt:EBP003MemberCorporate Bonds | NextEra Energy Capital Holdings Inc. | $4,541,000 par, 4.69%, due September 1, 20272025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | NextEra Energy Capital Holdings Inc. | $4,541,000 par, 4.69%, due September 1, 20272026-01-310000104169wmt:EBP003MemberCorporate Bonds | Nisource Fin Corp. | $1,683,000 par, 5.95%, due June 15, 20412025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Nisource Fin Corp. | $1,683,000 par, 5.95%, due June 15, 20412026-01-310000104169wmt:EBP003MemberCorporate Bonds | Nisource Fin Corp. | $2,985,000 par, 5.25%, due February 15, 20432025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Nisource Fin Corp. | $2,985,000 par, 5.25%, due February 15, 20432026-01-310000104169wmt:EBP003MemberCorporate Bonds | Norinchukin Bank | $1,757,000 par, 5.36%, due September 9, 20352025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Norinchukin Bank | $1,757,000 par, 5.36%, due September 9, 20352026-01-310000104169wmt:EBP003MemberCorporate Bonds | Norinchukin Bank | $2,370,000 par, 4.67%, due September 9, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Norinchukin Bank | $2,370,000 par, 4.67%, due September 9, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | NRG Energy | $2,710,000 par, 7.0%, due March 15, 20332025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | NRG Energy | $2,710,000 par, 7.0%, due March 15, 20332026-01-310000104169wmt:EBP003MemberCorporate Bonds | NTT Finance Corp. | $1,673,000 par, 4.57%, due July 16, 20272025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | NTT Finance Corp. | $1,673,000 par, 4.57%, due July 16, 20272026-01-310000104169wmt:EBP003MemberCorporate Bonds | NTT Finance Corp. | $6,628,000 par, 4.39%, due July 16, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | NTT Finance Corp. | $6,628,000 par, 4.39%, due July 16, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | Nuveen Select Tax-Free Income Portfolio | $1,786,000 par, 4.30%, due August 19, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Nuveen Select Tax-Free Income Portfolio | $1,786,000 par, 4.30%, due August 19, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Nuveen Select Tax-Free Income Portfolio | $2,666,000 par, 4.85%, due August 19, 20322025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Nuveen Select Tax-Free Income Portfolio | $2,666,000 par, 4.85%, due August 19, 20322026-01-310000104169wmt:EBP003MemberCorporate Bonds | Occidental Petroleum | $1,307,000 par, 4.4%, due April 15, 20462025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Occidental Petroleum | $1,307,000 par, 4.4%, due April 15, 20462026-01-310000104169wmt:EBP003MemberCorporate Bonds | Occidental Petroleum | $2,282,000 par, 7.88%, due September 15, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Occidental Petroleum | $2,282,000 par, 7.88%, due September 15, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Occidental Petroleum | $2,767,000 par, 6.13%, due January 1, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Occidental Petroleum | $2,767,000 par, 6.13%, due January 1, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Occidental Petroleum | $445,000 par, 6.60%, due March 15, 20462025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Occidental Petroleum | $445,000 par, 6.60%, due March 15, 20462026-01-310000104169wmt:EBP003MemberCorporate Bonds | Occidental Petroleum | $562,000 par, 6.2%, due March 15, 20402025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Occidental Petroleum | $562,000 par, 6.2%, due March 15, 20402026-01-310000104169wmt:EBP003MemberCorporate Bonds | OCP S.A. | $670,000 par, 6.88%, due April 25, 20442025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | OCP S.A. | $670,000 par, 6.88%, due April 25, 20442026-01-310000104169wmt:EBP003MemberCorporate Bonds | Oglethorpe Power Corp. | $2,008,750 par, 6.19%, due January 1, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Oglethorpe Power Corp. | $2,008,750 par, 6.19%, due January 1, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Oglethorpe Power Corp. | $2,091,000 par, 6.20%, due December 1, 20532025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Oglethorpe Power Corp. | $2,091,000 par, 6.20%, due December 1, 20532026-01-310000104169wmt:EBP003MemberCorporate Bonds | Oneok Inc. | $5,762,000 par, 6.50%, due September 1, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Oneok Inc. | $5,762,000 par, 6.50%, due September 1, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | Oracle Corp. | $1,127,000 par, 2.95%, due April 1, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Oracle Corp. | $1,127,000 par, 2.95%, due April 1, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | Oracle Corp. | $1,351,000 par, 5.2%, due September 26, 20352025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Oracle Corp. | $1,351,000 par, 5.2%, due September 26, 20352026-01-310000104169wmt:EBP003MemberCorporate Bonds | Oracle Corp. | $3,253,000 par, 5.88%, due September 26, 20452025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Oracle Corp. | $3,253,000 par, 5.88%, due September 26, 20452026-01-310000104169wmt:EBP003MemberCorporate Bonds | Ovintiv Inc. | $1,793,000 par, 6.25%, due July 15, 20332025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Ovintiv Inc. | $1,793,000 par, 6.25%, due July 15, 20332026-01-310000104169wmt:EBP003MemberCorporate Bonds | Pacific Corp. | $1,269,000 par, 5.8%, due January 15, 20552025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Pacific Corp. | $1,269,000 par, 5.8%, due January 15, 20552026-01-310000104169wmt:EBP003MemberCorporate Bonds | Pacific Gas & Electric Co. | $1,352,000 par, 6.70%, due April 1, 20532025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Pacific Gas & Electric Co. | $1,352,000 par, 6.70%, due April 1, 20532026-01-310000104169wmt:EBP003MemberCorporate Bonds | Pacific Gas & Electric Co. | $1,579,000 par, 6.95%, due March 15, 20342025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Pacific Gas & Electric Co. | $1,579,000 par, 6.95%, due March 15, 20342026-01-310000104169wmt:EBP003MemberCorporate Bonds | Pacific Gas & Electric Co. | $3,574,000 par, 4.50%, due July 1, 20402025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Pacific Gas & Electric Co. | $3,574,000 par, 4.50%, due July 1, 20402026-01-310000104169wmt:EBP003MemberCorporate Bonds | Pacific Gas & Electric Co. | $331,000 par, 6.15%, due March 1, 20552025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Pacific Gas & Electric Co. | $331,000 par, 6.15%, due March 1, 20552026-01-310000104169wmt:EBP003MemberCorporate Bonds | Perusahaan Listrik Negara | $1,573,000 par, 5.45%, due February 3, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Perusahaan Listrik Negara | $1,573,000 par, 5.45%, due February 3, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | Perusahaan Listrik Negara | $2,283,000 par, 4.75%, due February 3, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Perusahaan Listrik Negara | $2,283,000 par, 4.75%, due February 3, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Pfizer Inc. | $960,000 par, 5.60%, due November 15, 20552025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Pfizer Inc. | $960,000 par, 5.60%, due November 15, 20552026-01-310000104169wmt:EBP003MemberCorporate Bonds | Plains All American Pipeline | $847,000 par, 5.60%, due January 15, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Plains All American Pipeline | $847,000 par, 5.60%, due January 15, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | PPL Capital Funding Inc. | $1,612,000 par, 5.25%, due September 1, 20342025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | PPL Capital Funding Inc. | $1,612,000 par, 5.25%, due September 1, 20342026-01-310000104169wmt:EBP003MemberCorporate Bonds | President and Fellows Harvard College | $2,771,000 par, 5.26%, due March 15, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | President and Fellows Harvard College | $2,771,000 par, 5.26%, due March 15, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | President and Fellows Harvard College | $3,550,000 par, 4.89%, due March 15, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | President and Fellows Harvard College | $3,550,000 par, 4.89%, due March 15, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | Protective Life Global Funding | $1,100,000 par, 4.16%, due January 15, 20292025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Protective Life Global Funding | $1,100,000 par, 4.16%, due January 15, 20292026-01-310000104169wmt:EBP003MemberCorporate Bonds | PSEG Power LLC | $2,798,000 par, 5.75%, due May 15, 20352025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | PSEG Power LLC | $2,798,000 par, 5.75%, due May 15, 20352026-01-310000104169wmt:EBP003MemberCorporate Bonds | PSEG Power LLC | $4,914,000 par, 5.20%, due May 15, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | PSEG Power LLC | $4,914,000 par, 5.20%, due May 15, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | Rio Tinto Finance | $3,867,000 par, 4.88%, due March 14, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Rio Tinto Finance | $3,867,000 par, 4.88%, due March 14, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | Royal Bank of Canada | $1,613,000 par, 4.50%, due August 6, 20292025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Royal Bank of Canada | $1,613,000 par, 4.50%, due August 6, 20292026-01-310000104169wmt:EBP003MemberCorporate Bonds | Royal Bank of Canada | $3,177,000 par, 4.65%, due October 18, 20302025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Royal Bank of Canada | $3,177,000 par, 4.65%, due October 18, 20302026-01-310000104169wmt:EBP003MemberCorporate Bonds | RWE Finance US LLC | $1,106,000 par, 5.88%, due April 16, 20342025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | RWE Finance US LLC | $1,106,000 par, 5.88%, due April 16, 20342026-01-310000104169wmt:EBP003MemberCorporate Bonds | RWE Finance US LLC | $826,000 par, 5.88%, due September 18, 20552025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | RWE Finance US LLC | $826,000 par, 5.88%, due September 18, 20552026-01-310000104169wmt:EBP003MemberCorporate Bonds | S&P Global Inc. | $1,121,000 par, 4.25%, due May 1, 20292025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | S&P Global Inc. | $1,121,000 par, 4.25%, due May 1, 20292026-01-310000104169wmt:EBP003MemberCorporate Bonds | Santander UK Group | $2,046,000 par, 6.53%, due January 10, 20292025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Santander UK Group | $2,046,000 par, 6.53%, due January 10, 20292026-01-310000104169wmt:EBP003MemberCorporate Bonds | Santander UK Group | $2,509,000 par, 4.32%, due September 22, 20292025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Santander UK Group | $2,509,000 par, 4.32%, due September 22, 20292026-01-310000104169wmt:EBP003MemberCorporate Bonds | Sempra Energy | $1,900,000 par, 3.4%, due February 1, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Sempra Energy | $1,900,000 par, 3.4%, due February 1, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Sherwin-Williams Co. | $877,000 par, 4.3%, due August 15, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Sherwin-Williams Co. | $877,000 par, 4.3%, due August 15, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Societe Generale | $3,406,000 par, 5.25%, due May 22, 20292025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Societe Generale | $3,406,000 par, 5.25%, due May 22, 20292026-01-310000104169wmt:EBP003MemberCorporate Bonds | Southern Brands Co. | $1,496,000 par, 5.2%, due June 15, 20332025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Southern Brands Co. | $1,496,000 par, 5.2%, due June 15, 20332026-01-310000104169wmt:EBP003MemberCorporate Bonds | Southern California Edison | $1,187,000 par, 6.05%, due March 15, 20392025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Southern California Edison | $1,187,000 par, 6.05%, due March 15, 20392026-01-310000104169wmt:EBP003MemberCorporate Bonds | Southern California Edison | $1,639,000 par, 4.88%, due February 1, 20272025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Southern California Edison | $1,639,000 par, 4.88%, due February 1, 20272026-01-310000104169wmt:EBP003MemberCorporate Bonds | Southern California Edison | $1,639,000 par, 4.9%, due June 1, 20262025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Southern California Edison | $1,639,000 par, 4.9%, due June 1, 20262026-01-310000104169wmt:EBP003MemberCorporate Bonds | Southern California Edison | $815,000 par, 4.00%, due April 1, 20472025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Southern California Edison | $815,000 par, 4.00%, due April 1, 20472026-01-310000104169wmt:EBP003MemberCorporate Bonds | Southern California Gas Co. | $1,688,000 par, 5.05%, due September 1, 20342025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Southern California Gas Co. | $1,688,000 par, 5.05%, due September 1, 20342026-01-310000104169wmt:EBP003MemberCorporate Bonds | Sprint Capital Corp. | $2,402,000 par, 6.88%, due November 15, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Sprint Capital Corp. | $2,402,000 par, 6.88%, due November 15, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Standard Chartered | $1,675,000 par, 5.69%, due May 14, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Standard Chartered | $1,675,000 par, 5.69%, due May 14, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Steel Dynamics Inc. | $793,000 par, 4.00%, due December 15, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Steel Dynamics Inc. | $793,000 par, 4.00%, due December 15, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Sumitomo Mitsui | $3,326,000 par, 4.49%, due January 15, 20322025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Sumitomo Mitsui | $3,326,000 par, 4.49%, due January 15, 20322026-01-310000104169wmt:EBP003MemberCorporate Bonds | Toronto Dominion Bank | $4,661,000 par, 4.93%, due October 15, 20352025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Toronto Dominion Bank | $4,661,000 par, 4.93%, due October 15, 20352026-01-310000104169wmt:EBP003MemberCorporate Bonds | UnitedHealth Group Inc. | $3,070,000 par, 5.15%, due July 15, 20342025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | UnitedHealth Group Inc. | $3,070,000 par, 5.15%, due July 15, 20342026-01-310000104169wmt:EBP003MemberCorporate Bonds | UnitedHealth Group Inc. | $3,340,000 par, 5.63%, due July 15, 20542025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | UnitedHealth Group Inc. | $3,340,000 par, 5.63%, due July 15, 20542026-01-310000104169wmt:EBP003MemberCorporate Bonds | Vale Overseas Ltd. | $1,692,000 par, 6.13%, due June 12, 20332025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Vale Overseas Ltd. | $1,692,000 par, 6.13%, due June 12, 20332026-01-310000104169wmt:EBP003MemberCorporate Bonds | Vale Overseas Ltd. | $1,903,000 par, 6.40%, due June 28, 20542025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Vale Overseas Ltd. | $1,903,000 par, 6.40%, due June 28, 20542026-01-310000104169wmt:EBP003MemberCorporate Bonds | Verizon Communications Inc. | $2,457,000 par, 4.33%, due September 21, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Verizon Communications Inc. | $2,457,000 par, 4.33%, due September 21, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Verizon Communications Inc. | $3,707,000 par, 4.016%, due December 3, 20292025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Verizon Communications Inc. | $3,707,000 par, 4.016%, due December 3, 20292026-01-310000104169wmt:EBP003MemberCorporate Bonds | Viacom Inc. | $987,000 par, 5.85%, due September 1, 20432025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Viacom Inc. | $987,000 par, 5.85%, due September 1, 20432026-01-310000104169wmt:EBP003MemberCorporate Bonds | Vistra Operations Co. LLC | $1,547,000 par, 5.70%, due December 30, 20342025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Vistra Operations Co. LLC | $1,547,000 par, 5.70%, due December 30, 20342026-01-310000104169wmt:EBP003MemberCorporate Bonds | Vistra Operations Co. LLC | $2,580,000 par, 6.00%, due April 15, 20342025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Vistra Operations Co. LLC | $2,580,000 par, 6.00%, due April 15, 20342026-01-310000104169wmt:EBP003MemberCorporate Bonds | Vistra Operations Co. LLC | $1,215,000 par, 4.30%, due October 15, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Vistra Operations Co. LLC | $1,215,000 par, 4.30%, due October 15, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Vistra Operations Co. LLC | $3,796,000 par, 4.30%, due July 15, 20292025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Vistra Operations Co. LLC | $3,796,000 par, 4.30%, due July 15, 20292026-01-310000104169wmt:EBP003MemberCorporate Bonds | Vistra Operations Co. LLC | $3,988,000 par, 4.7%, due January 31, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Vistra Operations Co. LLC | $3,988,000 par, 4.7%, due January 31, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Wells Fargo & Co. | $1,993,000 par, 3.07%, due April 30, 20412025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Wells Fargo & Co. | $1,993,000 par, 3.07%, due April 30, 20412026-01-310000104169wmt:EBP003MemberCorporate Bonds | Wells Fargo & Co. | $3,427,000 par, 5.24%, due January 24, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Wells Fargo & Co. | $3,427,000 par, 5.24%, due January 24, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Wells Fargo & Co. | $7,535,000 par, 5.71%, due April 22, 20282025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Wells Fargo & Co. | $7,535,000 par, 5.71%, due April 22, 20282026-01-310000104169wmt:EBP003MemberCorporate Bonds | Wells Fargo & Co. | $1,658,000 par, 5.56%, due July 25, 20342025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Wells Fargo & Co. | $1,658,000 par, 5.56%, due July 25, 20342026-01-310000104169wmt:EBP003MemberCorporate Bonds | Wells Fargo & Co. | $2,533,000 par, 4.96%, due January 23, 20372025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Wells Fargo & Co. | $2,533,000 par, 4.96%, due January 23, 20372026-01-310000104169wmt:EBP003MemberCorporate Bonds | Western Gas Partners | $1,241,000 par, 5.30%, due March 1, 20482025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Western Gas Partners | $1,241,000 par, 5.30%, due March 1, 20482026-01-310000104169wmt:EBP003MemberCorporate Bonds | Western Gas Partners | $897,000 par, 5.45%, due April 1, 20442025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Western Gas Partners | $897,000 par, 5.45%, due April 1, 20442026-01-310000104169wmt:EBP003MemberCorporate Bonds | Western Midstream Operating | $1,629,000 par, 6.15%, due April 1, 20332025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Western Midstream Operating | $1,629,000 par, 6.15%, due April 1, 20332026-01-310000104169wmt:EBP003MemberCorporate Bonds | Western Midstream Operating | $1,751,000 par, 5.45%, due November 15, 20342025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Western Midstream Operating | $1,751,000 par, 5.45%, due November 15, 20342026-01-310000104169wmt:EBP003MemberCorporate Bonds | Western Midstream Operating | $2,915,000 par, 4.80%, due March 1, 20312025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Western Midstream Operating | $2,915,000 par, 4.80%, due March 1, 20312026-01-310000104169wmt:EBP003MemberCorporate Bonds | Western Southern Global | $2,268,000 par, 4.25%, due January 29, 20292025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Western Southern Global | $2,268,000 par, 4.25%, due January 29, 20292026-01-310000104169wmt:EBP003MemberCorporate Bonds | Williams Cos Inc. | $4,948,000 par, 5.15%, due March 15, 20362025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Williams Cos Inc. | $4,948,000 par, 5.15%, due March 15, 20362026-01-310000104169wmt:EBP003MemberCorporate Bonds | Williams Cos Inc. | $676,000 par, 5.95%, due March 15, 20562025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Williams Cos Inc. | $676,000 par, 5.95%, due March 15, 20562026-01-310000104169wmt:EBP003MemberCorporate Bonds | Windfall Mining Group | $1,695,000 par, 5.85%, due May 13, 20322025-02-012026-01-310000104169wmt:EBP003MemberCorporate Bonds | Windfall Mining Group | $1,695,000 par, 5.85%, due May 13, 20322026-01-310000104169wmt:EBP003Memberus-gaap:CorporateBondSecuritiesMember2026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | 1st Invest Auto | $3,065,000 par, 4.31%, due December 15, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | 1st Invest Auto | $3,065,000 par, 4.31%, due December 15, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Affirm Master Trust | $3,419,000 par, 4.37%, due February 15, 20342025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Affirm Master Trust | $3,419,000 par, 4.37%, due February 15, 20342026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | American Credit Acceptance | $2,737,000 par, 4.24%, due April 12, 20302025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | American Credit Acceptance | $2,737,000 par, 4.24%, due April 12, 20302026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | American Credit Acceptance | $8,659,000 par, 4.16%, due July 12, 20292025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | American Credit Acceptance | $8,659,000 par, 4.16%, due July 12, 20292026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | American Express Credit Account | $2,851,000 par, 4.51%, due July 15, 20322025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | American Express Credit Account | $2,851,000 par, 4.51%, due July 15, 20322026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | American Express Credit Account | $3,918,000 par, 4.51%, due April 15, 20322025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | American Express Credit Account | $3,918,000 par, 4.51%, due April 15, 20322026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | AutoNation Finance Trust | $1,932,000 par, 4.03%, due August 12, 20302025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | AutoNation Finance Trust | $1,932,000 par, 4.03%, due August 12, 20302026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | AutoNation Finance Trust | $2,485,000 par, 3.95%, due January 11, 20292025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | AutoNation Finance Trust | $2,485,000 par, 3.95%, due January 11, 20292026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | AutoNation Finance Trust | $2,679,000 par, 4.18%, due June 11, 20312025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | AutoNation Finance Trust | $2,679,000 par, 4.18%, due June 11, 20312026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | AutoNation Finance Trust | $718,000 par, 4.42%, due June 11, 20312025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | AutoNation Finance Trust | $718,000 par, 4.42%, due June 11, 20312026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Bridge Crest Lending Auto Securitization | $2,739,000 par, 4.1%, due July 17, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Bridge Crest Lending Auto Securitization | $2,739,000 par, 4.1%, due July 17, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | CAP Multi-Asset | $1,913,000 par, 4.02%, due September 15, 20322025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | CAP Multi-Asset | $1,913,000 par, 4.02%, due September 15, 20322026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Capital One Prime Auto Receivables Trust | $527,697 par, 5.82%, due June 15, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Capital One Prime Auto Receivables Trust | $527,697 par, 5.82%, due June 15, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Carmax Auto Owner Trust | $353,390 par, 4.67%, due December 15, 20272025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Carmax Auto Owner Trust | $353,390 par, 4.67%, due December 15, 20272026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Carmax Select Receivables Trust | $2,571,000 par, 4.19%, due March 15, 20292025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Carmax Select Receivables Trust | $2,571,000 par, 4.19%, due March 15, 20292026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Carvana Auto Receivables Trust | $186,621 par, 4.62%, due February 10, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Carvana Auto Receivables Trust | $186,621 par, 4.62%, due February 10, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Carvana Auto Receivables Trust | $340,229 par, 1.03%, due June 10, 20272025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Carvana Auto Receivables Trust | $340,229 par, 1.03%, due June 10, 20272026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Carvana Auto Receivables Trust | $9,246,531 par, 4.07%, due February 12, 20292025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Carvana Auto Receivables Trust | $9,246,531 par, 4.07%, due February 12, 20292026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Citibank Credit Card Issuance Trust | $1,613,000 par, 4.49%, due June 21, 20322025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Citibank Credit Card Issuance Trust | $1,613,000 par, 4.49%, due June 21, 20322026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | DR Auto | $2,172,000 par, 4.45%, due September 15, 20322025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | DR Auto | $2,172,000 par, 4.45%, due September 15, 20322026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Drive Auto Receivables Trust | $4,054,642 par, 4.29%, due October 16, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Drive Auto Receivables Trust | $4,054,642 par, 4.29%, due October 16, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Driveway Finance Corp. | $183,500 par, 4.64%, due November 15, 20272025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Driveway Finance Corp. | $183,500 par, 4.64%, due November 15, 20272026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Driveway Finance Corp. | $253,923 par, 5.23%, due January 18, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Driveway Finance Corp. | $253,923 par, 5.23%, due January 18, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Enterprise Fleet Financing LLC | $2,682,000 par, 4.0%, due October 20, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Enterprise Fleet Financing LLC | $2,682,000 par, 4.0%, due October 20, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Exeter Automobile Receivables Trust | $4,345,000 par, 4.22%, due September 15, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Exeter Automobile Receivables Trust | $4,345,000 par, 4.22%, due September 15, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Exeter Automobile Receivables Trust | $6,285,000 par, 4.38%, due June 15, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Exeter Automobile Receivables Trust | $6,285,000 par, 4.38%, due June 15, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Ford Credit Auto Lease Trust | $4,014,000 par, 4.0%, due July 15, 20292025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Ford Credit Auto Lease Trust | $4,014,000 par, 4.0%, due July 15, 20292026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Ford Credit Auto Owner Trust | $1,828,807 par, 5.38%, due December 15, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Ford Credit Auto Owner Trust | $1,828,807 par, 5.38%, due December 15, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Ford Credit Auto Owner Trust | $232,594 par, 5.23%, due May 15, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Ford Credit Auto Owner Trust | $232,594 par, 5.23%, due May 15, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | GLS Auto Select | $10,437,000 par, 4.37%, due October 16, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | GLS Auto Select | $10,437,000 par, 4.37%, due October 16, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | GLS Auto Select | $3,244,000 par, 4.05%, due February 17, 20322025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | GLS Auto Select | $3,244,000 par, 4.05%, due February 17, 20322026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | GM Financial Automobile Leasing Trust | $2,583,000 par, 4.58%, due May 22, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | GM Financial Automobile Leasing Trust | $2,583,000 par, 4.58%, due May 22, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | GM Financial Revolving Receivables Trust | $3,397,000 par, 4.64%, due December 11, 20372025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | GM Financial Revolving Receivables Trust | $3,397,000 par, 4.64%, due December 11, 20372026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Hertz Vehicle Financing III | $17,019,000 par, 2.33%, due June 26, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Hertz Vehicle Financing III | $17,019,000 par, 2.33%, due June 26, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Hyundai Auto Lease | $4,059,000 par, 4.53% due April 17, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Hyundai Auto Lease | $4,059,000 par, 4.53% due April 17, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Hyundai Auto Receivables Trust | $841,000 par, 5.55%, due December 17, 20292025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Hyundai Auto Receivables Trust | $841,000 par, 5.55%, due December 17, 20292026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Porsche Innovative Lease | $2,266,000 par, 4.61%, due October 20, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Porsche Innovative Lease | $2,266,000 par, 4.61%, due October 20, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Pret LLC | $3,300,013 par, due July 25, 20552025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Pret LLC | $3,300,013 par, due July 25, 20552026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Santander Drive Auto Receivables | $1,354,000 par, 4.63%, due August 15, 20292025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Santander Drive Auto Receivables | $1,354,000 par, 4.63%, due August 15, 20292026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Santander Drive Auto Receivables Trust | $260,754 par, 5.73%, due April 17, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Santander Drive Auto Receivables Trust | $260,754 par, 5.73%, due April 17, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Santander Drive Auto Receivables Trust | $6,474,000 par, 4.35% due January 15, 20292025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Santander Drive Auto Receivables Trust | $6,474,000 par, 4.35% due January 15, 20292026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Sofi Consumer Loan Program | $8,116,000 par, 4.06%, due December 26, 20352025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Sofi Consumer Loan Program | $8,116,000 par, 4.06%, due December 26, 20352026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Stellantis Financial | $1,870,092 par, 4.31%, due May 22, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Stellantis Financial | $1,870,092 par, 4.31%, due May 22, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Stellantis Financial | $6,412,000 par, 4.06%, due June 20, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Stellantis Financial | $6,412,000 par, 4.06%, due June 20, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Tesla Electric Vehicle Trust | $603,000 par, 5.38%, due February 20, 20292025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Tesla Electric Vehicle Trust | $603,000 par, 5.38%, due February 20, 20292026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Toyota Lease Owner Trust | $4,370,000 par, 3.96%, due November 20, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Toyota Lease Owner Trust | $4,370,000 par, 3.96%, due November 20, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | VCAT Asset Securitization LLC | $1,056,000 par, due January 25, 20262025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | VCAT Asset Securitization LLC | $1,056,000 par, due January 25, 20262026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Volkswagen Auto Lease Trust | $1,580,000 par, 4.01%, due January 22, 20292025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Volkswagen Auto Lease Trust | $1,580,000 par, 4.01%, due January 22, 20292026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Volkswagen Auto Lease Trust | $2,283,000 par, 5.58%, due June 21, 20272025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Volkswagen Auto Lease Trust | $2,283,000 par, 5.58%, due June 21, 20272026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Volt CII LLC | $247,114 par, 4.87%, due August 25, 20512025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Volt CII LLC | $247,114 par, 4.87%, due August 25, 20512026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | VOLT XCIV LLC | $99,562 par, due March 27, 20512025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | VOLT XCIV LLC | $99,562 par, due March 27, 20512026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Westlake Automobile Receivables Trust | $1,381,000 par, 4.51%, due May 15, 20292025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Westlake Automobile Receivables Trust | $1,381,000 par, 4.51%, due May 15, 20292026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Westlake Automobile Receivables Trust | $4,014,000 par, 4.43%, due September 15, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Westlake Automobile Receivables Trust | $4,014,000 par, 4.43%, due September 15, 20282026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Westlake Automobile Receivables Trust | $4,258,000 par, 4.2%, due May 15, 20312025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Westlake Automobile Receivables Trust | $4,258,000 par, 4.2%, due May 15, 20312026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Westlake Automobile Receivables Trust | $6,965,000 par, 4.31%, due April 17, 20282025-02-012026-01-310000104169wmt:EBP003MemberAsset-Backed Securities | Westlake Automobile Receivables Trust | $6,965,000 par, 4.31%, due April 17, 20282026-01-310000104169wmt:EBP003Memberus-gaap:AssetBackedSecuritiesMember2026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | ATLX Trust | $1,158,027 par, 3.85%, due April 25, 20642025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | ATLX Trust | $1,158,027 par, 3.85%, due April 25, 20642026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | ATLX Trust | $1,644,897 par, due April 25, 20632025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | ATLX Trust | $1,644,897 par, due April 25, 20632026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Benchmark Mortgage Trust | $2,019,054 par, 5.18%, due February 15, 20592025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Benchmark Mortgage Trust | $2,019,054 par, 5.18%, due February 15, 20592026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Benchmark Mortgage Trust | $906,000 par, 2.29%, due March 15, 20532025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Benchmark Mortgage Trust | $906,000 par, 2.29%, due March 15, 20532026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | BX Commercial Mortgage Trust | $1,155,000 par, 5.59%, due November 13, 20462025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | BX Commercial Mortgage Trust | $1,155,000 par, 5.59%, due November 13, 20462026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Citigroup Commercial Mortgage Trust | $816,000 par, 3.72% floating rate, due December 10, 20492025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Citigroup Commercial Mortgage Trust | $816,000 par, 3.72% floating rate, due December 10, 20492026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | CMO Bank 2024-BNK | $3,050,342 par, 4.74%, due June 15, 20572025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | CMO Bank 2024-BNK | $3,050,342 par, 4.74%, due June 15, 20572026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | CMO Bank 2024-BNK | $913,528 par, 5.05%, due September 15, 20342025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | CMO Bank 2024-BNK | $913,528 par, 5.05%, due September 15, 20342026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | CMO Bank SR 25-BNK | $2,321,288 par,5.29%, due December 25, 20672025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | CMO Bank SR 25-BNK | $2,321,288 par,5.29%, due December 25, 20672026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | CMO BMO Mortgage Trust | $1,560,472 par, due September 15, 20562025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | CMO BMO Mortgage Trust | $1,560,472 par, due September 15, 20562026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | CMO GS MTG | $415,647 par, 3.57%, due May 10, 20522025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | CMO GS MTG | $415,647 par, 3.57%, due May 10, 20522026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Connecticut Avenue Securities Trust | $323,602 par, 5.17%, due October 25, 20432025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Connecticut Avenue Securities Trust | $323,602 par, 5.17%, due October 25, 20432026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Freddie Mac STACR REMIC Trust 2021-DNA7 | $469,243 par, Floating Rate, due November 25, 20412025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Freddie Mac STACR REMIC Trust 2021-DNA7 | $469,243 par, Floating Rate, due November 25, 20412026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Gitsit Mortgage Loan Trust | $1,481,803 par, 6.28%, due February 25, 20552025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Gitsit Mortgage Loan Trust | $1,481,803 par, 6.28%, due February 25, 20552026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Gitsit Mortgage Loan Trust | $2,968,026 par, due December 25, 20552025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Gitsit Mortgage Loan Trust | $2,968,026 par, due December 25, 20552026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | GS Mortgage-Backed Securities Trust | $1,306,816 par, due September 25, 20612025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | GS Mortgage-Backed Securities Trust | $1,306,816 par, due September 25, 20612026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | GS Mortgage-Backed Securities Trust | $685,106 par, 3.75%, due July 25, 20612025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | GS Mortgage-Backed Securities Trust | $685,106 par, 3.75%, due July 25, 20612026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Legacy Mortgage Assest Trust | $1,778,714 par, 1.75%, due April 25, 20612025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Legacy Mortgage Assest Trust | $1,778,714 par, 1.75%, due April 25, 20612026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Legacy Mortgage Assest Trust | $361,342 par, 1.65%, due June 25, 20612025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Legacy Mortgage Assest Trust | $361,342 par, 1.65%, due June 25, 20612026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | MFRA Trust | $2,150,302 par, due October 25, 20622025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | MFRA Trust | $2,150,302 par, due October 25, 20622026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Mill City Mortgage Loan Trust | $234,553 par, 1.13%, due November 25, 20602025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Mill City Mortgage Loan Trust | $234,553 par, 1.13%, due November 25, 20602026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Morgan Stanley Residential Mortgage Loan Trust | $1,267,329 par, 4.00%, due June 25, 20642025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Morgan Stanley Residential Mortgage Loan Trust | $1,267,329 par, 4.00%, due June 25, 20642026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | New Residential Mortgage Loan Trust | $2,350,005 par, 3.80%, due January 25, 20642025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | New Residential Mortgage Loan Trust | $2,350,005 par, 3.80%, due January 25, 20642026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | NLT | $458,458 par, 3.21%, due October 25, 20622025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | NLT | $458,458 par, 3.21%, due October 25, 20622026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | NYMT Loan Trust | $1,300,512 par, 3.75%, due February 25, 20682025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | NYMT Loan Trust | $1,300,512 par, 3.75%, due February 25, 20682026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Preston Ridge Partners Mortgage | $2,774,000 par, due January 25, 20562025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Preston Ridge Partners Mortgage | $2,774,000 par, due January 25, 20562026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRET 2025-RPL1 Trust | $1,281,056 par, 4.00%, due July 25, 20692025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRET 2025-RPL1 Trust | $1,281,056 par, 4.00%, due July 25, 20692026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRET 2025-RPL2 Trust | $586,122 par, 4.00%, due August 25, 20642025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRET 2025-RPL2 Trust | $586,122 par, 4.00%, due August 25, 20642026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRET 2025-RPL5 Trust | $2,251,476 par, 4.15%, due January 25, 20702025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRET 2025-RPL5 Trust | $2,251,476 par, 4.15%, due January 25, 20702026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Pretium Mortgage Credit Partners | $1,059,669 par, due October 25, 20542025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Pretium Mortgage Credit Partners | $1,059,669 par, due October 25, 20542026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Pretium Mortgage Credit Partners | $1,790,510 par, due June 25, 20552025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Pretium Mortgage Credit Partners | $1,790,510 par, due June 25, 20552026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRP Advisors | $3,027,211 par, due October 25, 20552025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRP Advisors | $3,027,211 par, due October 25, 20552026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRP Advisors | $4,837,049 par, due October 25, 20302025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRP Advisors | $4,837,049 par, due October 25, 20302026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRP Advisors LLC | $1,148,502 par, due May 25, 20302025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRP Advisors LLC | $1,148,502 par, due May 25, 20302026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRP Advisors LLC | $1,323,248 par, due March 25, 20542025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRP Advisors LLC | $1,323,248 par, due March 25, 20542026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRPM 2023-RCF2 LLC | $727,596 par, 4.00%, due November 25, 20532025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRPM 2023-RCF2 LLC | $727,596 par, 4.00%, due November 25, 20532026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRPM 2024-RPL1 LLC | $697,891 par, 4.20%, due December 25, 20642025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRPM 2024-RPL1 LLC | $697,891 par, 4.20%, due December 25, 20642026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRPM Asset Backed | $2,220,189 par, 6.18%, due June 25, 20302025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | PRPM Asset Backed | $2,220,189 par, 6.18%, due June 25, 20302026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | RCO IX Mortgage LLC | $914,372 par, 6.51%, due April 25, 20302025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | RCO IX Mortgage LLC | $914,372 par, 6.51%, due April 25, 20302026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | RCO Mortgage LLC | $4,573,063 par, due October 25, 20302025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | RCO Mortgage LLC | $4,573,063 par, due October 25, 20302026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | RCO VIII Mortgage LLC | $1,350,407 par, 6.43% due May 25, 20302025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | RCO VIII Mortgage LLC | $1,350,407 par, 6.43% due May 25, 20302026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | RCO X Mortgage LLC | $1,197,533 par, due January 25, 20302025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | RCO X Mortgage LLC | $1,197,533 par, due January 25, 20302026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | RCO X Mortgage LLC | $2,808,003 par, 5.42% due October 25, 20302025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | RCO X Mortgage LLC | $2,808,003 par, 5.42% due October 25, 20302026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | SER 26-NPL2 | $1,571,000 par, 5.07%, due February 25, 20562025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | SER 26-NPL2 | $1,571,000 par, 5.07%, due February 25, 20562026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | VCAT Asset Securitization LLC | $166,794 par, due February 25, 20552025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | VCAT Asset Securitization LLC | $166,794 par, due February 25, 20552026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Wells Fargo Commercial Mortgage Trust | $2,108,270 par, 5.29%, due October 15, 20582025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Wells Fargo Commercial Mortgage Trust | $2,108,270 par, 5.29%, due October 15, 20582026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Wells Fargo Commercial Mortgage Trust | $306,000 par, 4.44% due September 15, 20612025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Wells Fargo Commercial Mortgage Trust | $306,000 par, 4.44% due September 15, 20612026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Wells Fargo Commercial Mortgage Trust | $637,576 par, 2.30%, due August 15, 20542025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Wells Fargo Commercial Mortgage Trust | $637,576 par, 2.30%, due August 15, 20542026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Wells Fargo Commercial Mortgage Trust | $677,000 par, 3.10% due May 15, 20492025-02-012026-01-310000104169wmt:EBP003MemberMortgage-Backed Securities | Wells Fargo Commercial Mortgage Trust | $677,000 par, 3.10% due May 15, 20492026-01-310000104169wmt:EBP003Memberus-gaap:CollateralizedMortgageObligationsMember2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | BlackRock Institutional Trust Company, N.A. | U.S. Treasury Inflation Protected Securities Non-Lendable Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | BlackRock Institutional Trust Company, N.A. | Government Short-Term Investment Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | BlackRock Institutional Trust Company, N.A. | Intermediate Government Bond Index Non-Lendable Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | BlackRock Institutional Trust Company, N.A. | Long Term Government Bond Index Non-Lendable Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | BlackRock Institutional Trust Company, N.A. | MSCI ACWI ex-U.S. IMI Index Non-Lendable Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | BlackRock Institutional Trust Company, N.A. | MSCI USA Minimum Volatility Index Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | BlackRock Institutional Trust Company, N.A. | MSCI USA Momentum Index RSL Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | BlackRock Institutional Trust Company, N.A. | MSCI USA Quality Index RSL Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | BlackRock Institutional Trust Company, N.A. | MSCI USA Value Weighted Index RSL Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | BlackRock Institutional Trust Company, N.A. | Russell 1000 Index Non-Lendable Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | BlackRock Institutional Trust Company, N.A. | Russell 2000 Index Non-Lendable Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | BlackRock Institutional Trust Company, N.A. | Russell 2500 Index Non-Lendable Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | BlackRock Institutional Trust Company, N.A. | U.S. Debt Index Non Lendable Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | Global Trust Company | Altrinsic International Equity Collective Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | Global Trust Company | AQR Emerging Equities Collective Investment Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | Global Trust Company | Victory Mid Cap Value Collective Investment Trust Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | Great Gray Trust Company | GQG Partners International Equity CIT2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | JPMorgan Chase Bank, N.A. | Short Duration Bond Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | Prudential Trust Company | Core Plus Bond Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | Prudential Trust Company | Long Duration Credit Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | Reliance Trust Company | Driehaus Emerging Markets Growth CIT Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | Reliance Trust Company | The Collective LSV International (ACWI EX US) Value Equity Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | SEI Trust Company | Cohen & Steers Global Listed Infrastructure Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | SEI Trust Company | CoreCommodity Management Diversified I CIT Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | SEI Trust Company | Duff & Phelps US REIT Collective Investment Trust Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | SEI Trust Company | Fiera Asset Management USA Collective Trust2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | SEI Trust Company | Nuveen Global Infrastructure Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | The Northern Trust Company | Collective Government Short Term Investment Fund2026-01-310000104169wmt:EBP003MemberCollective Investment Trusts / Collective Trust Funds | The Northern Trust Company | The First Sentier Global Listed Infrastructure Fund2026-01-310000104169wmt:EBP003Memberus-gaap:DefinedBenefitPlanCommonCollectiveTrustMember2026-01-31
UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 11-K
(Mark One)
| | | | | |
| ☒ | Annual Report Pursuant to Section 15(d) of the Securities Exchange Act of 1934 |
For the fiscal year ended January 31, 2026
or
| | | | | |
| ☐ | Transaction Report Pursuant to Section 15(d) of the Securities Exchange Act of 1934 |
For the transition period from to .
Commission File Number 001-6991
| | | | | |
A. | Full title of the plan and the address of the plan, if different from that of the issuer named below: |
WALMART 401(k) PLAN
| | | | | |
B. | Name of issuer of the securities held pursuant to the plan and the address of its principal executive office: |
WALMART INC.
1 Customer Drive
Bentonville, Arkansas 72716
Walmart 401(k) Plan
Financial Statements and
Supplemental Schedule
As of January 31, 2026 and 2025, and for the year ended January 31, 2026
Table of Contents
Report of Independent Registered Public Accounting Firm
To the Plan Participants and the Plan Administrator of Walmart 401(k) Plan
Opinion on the Financial Statements
We have audited the accompanying statements of net assets available for benefits of Walmart 401(k) Plan (the Plan) as of January 31, 2026 and 2025, and the related statement of changes in net assets available for benefits for the year ended January 31, 2026, and the related notes (collectively referred to as the “financial statements”). In our opinion, the financial statements present fairly, in all material respects, the net assets available for benefits of the Plan at January 31, 2026 and 2025, and the changes in its net assets available for benefits for the year ended January 31, 2026, in conformity with U.S. generally accepted accounting principles.
Basis for Opinion
These financial statements are the responsibility of the Plan’s management. Our responsibility is to express an opinion on the Plan’s financial statements based on our audits. We are a public accounting firm registered with the Public Company Accounting Oversight Board (United States) (PCAOB) and are required to be independent with respect to the Plan in accordance with the U.S. federal securities laws and the applicable rules and regulations of the Securities and Exchange Commission and the PCAOB.
We conducted our audits in accordance with the standards of the PCAOB. Those standards require that we plan and perform the audit to obtain reasonable assurance about whether the financial statements are free of material misstatement, whether due to error or fraud. The Plan is not required to have, nor were we engaged to perform, an audit of its internal control over financial reporting. As part of our audits we are required to obtain an understanding of internal control over financial reporting but not for the purpose of expressing an opinion on the effectiveness of the Plan’s internal control over financial reporting. Accordingly, we express no such opinion.
Our audits included performing procedures to assess the risks of material misstatement of the financial statements, whether due to error or fraud, and performing procedures that respond to those risks. Such procedures included examining, on a test basis, evidence regarding the amounts and disclosures in the financial statements. Our audits also included evaluating the accounting principles used and significant estimates made by management, as well as evaluating the overall presentation of the financial statements. We believe that our audits provide a reasonable basis for our opinion.
Supplemental Schedule Required by ERISA
The accompanying supplemental schedule of assets (held at end of year) as of January 31, 2026 (referred to as the “supplemental schedule”), has been subjected to audit procedures performed in conjunction with the audit of the Plan’s financial statements. The information in the supplemental schedule is the responsibility of the Plan’s management. Our audit procedures included determining whether the information reconciles to the financial statements or the underlying accounting and other records, as applicable, and performing procedures to test the completeness and accuracy of the information presented in the supplemental schedule. In forming our opinion on the information, we evaluated whether such information, including its form and content, is presented in conformity with the Department of Labor’s Rules and Regulations for Reporting and Disclosure under the Employee Retirement Income Security Act of 1974. In our opinion, the information is fairly stated, in all material respects, in relation to the financial statements as a whole.
/s/ Ernst & Young LLP
We have served as the Plan’s auditor since 1998.
Rogers, Arkansas
July 16 , 2026
Walmart 401(k) Plan
Statements of Net Assets Available for Benefits
| | | | | | | | | | | | | | |
| | January 31, |
| | 2026 | | 2025 |
Assets | | | | |
Investments, at fair value | | $ | 57,569,862,277 | | | $ | 49,405,279,099 | |
| | | | |
| Receivables | | | | |
Notes receivable from participants | | 1,489,567,921 | | | 1,369,545,276 | |
Accrued investment income | | 19,728,796 | | | 15,355,303 | |
Total assets | | 59,079,158,994 | | | 50,790,179,678 | |
| | | | |
Liabilities | | | | |
Accrued expenses | | 7,342,867 | | | 7,302,397 | |
Total liabilities | | 7,342,867 | | | 7,302,397 | |
| | | | |
Net assets available for benefits | | $ | 59,071,816,127 | | | $ | 50,782,877,281 | |
See accompanying notes to financial statements.
Walmart 401(k) Plan
Statement of Changes in Net Assets Available for Benefits
| | | | | | | | |
| | |
| Year Ended |
| January 31, 2026 |
| Additions | | |
| Contributions: | | |
| Company | | $ | 1,890,883,163 | |
| Participant | | 2,631,933,766 |
| Rollovers | | 168,631,485 |
| Total contributions | | 4,691,448,414 |
| | |
| Investment income: | | |
| Net appreciation in fair value of investments | | 8,143,564,764 |
| Interest and dividends | | 253,656,499 |
| Net investment income | | 8,397,221,263 |
| | |
| Interest income on notes receivable from participants | | 114,779,786 |
| | |
| | |
| Other, net | | 12,395,530 | |
| | |
| Total additions | | 13,215,844,993 | |
| | |
| Deductions | | |
| Benefits paid to participants | | 4,881,098,820 |
| Administrative expenses | | 37,552,981 |
| Fees on notes receivable from participants | | 8,254,346 |
| Total deductions | | 4,926,906,147 |
| | |
| Net increase | | 8,288,938,846 |
| | |
| Net assets available for benefits: | | |
| Beginning of year | | $ | 50,782,877,281 | |
| | |
| End of year | | $ | 59,071,816,127 | |
See accompanying notes to financial statements.
Walmart 401(k) Plan
Notes to Financial Statements
January 31, 2026
Note 1. Description of the Plan
Walmart Inc., ("Walmart" or the "Company") sponsors the Walmart 401(k) Plan (the "Plan"). The following description provides only general information. This document is not part of the Summary Plan Description and is not a document pursuant to which the Plan is maintained within the meaning of Section 402(a)(1) of the Employee Retirement Income Security Act of 1974, as amended (ERISA). Participants should refer to the Plan document for a complete description of the Plan's provisions. To the extent not specifically prohibited by statute or regulation, Walmart reserves the right to unilaterally amend, modify or terminate the Plan at any time; such changes may be applied to all Plan participants and their beneficiaries regardless of whether the participant is actively working or retired at the time of the change. The Plan may not be amended, however, to permit any part of the Plan's assets to be used for any purpose other than for the purpose of paying benefits to participants and their beneficiaries and paying Plan expenses.
General
The Plan is a defined contribution plan established by the Company on February 1, 1997. Each eligible employee can begin contributing to the Plan beginning on the employee's date of hire. The Plan is subject to the provisions of ERISA.
The responsibility for management of Plan assets and the investment policy is vested in the Plan's Benefits Investment Committee. Benefits Investment Committee members are appointed by the Company's Senior Vice President, Global Total Rewards (or individual from time to time performing such function). Responsibility for operation and administration of the Plan is vested in the Senior Vice President, Global Total Rewards (or individual from time to time performing such function).
The trustee function of the Plan is performed by Northern Trust Company ("Northern Trust Company" or the "Trustee"). The Trustee receives and holds contributions made to the Plan trust and invests those contributions as directed by participants according to the policies established by the Benefits Investment Committee. The Benefits Investment Committee directed Northern Trust Company to enter into a custodial agreement with Bank of America, N.A., a subsidiary of Bank of America Corporation, for the limited purpose of making payouts from the Plan in accordance with the Plan document. Merrill Lynch, Pierce, Fenner & Smith, Inc., which is the record keeper for the Plan, is a subsidiary of Merrill Lynch & Company and ultimately a subsidiary of Bank of America Corporation.
Contributions
Eligible employees may elect to contribute up to 50% of their eligible wages as either pretax or Roth deferrals, but are not required to contribute to the Plan. Participants who have attained age 50 before the end of the calendar year are eligible to make catch-up contributions. Participants may also contribute amounts representing distributions from other eligible retirement plans (rollover contributions).
Each eligible employee may begin receiving matching contributions on the first day of the month after completing at least 1,000 hours of service in a consecutive 12-month period commencing on date of hire (or during any subsequent Plan year). The Company match is 100% of deferrals up to 6% of each participant's eligible wages for the Plan year. Company matching contributions are contributed to the Plan each payroll period and are calculated based on each participant's cumulative compensation and cumulative elective and catch-up contributions through such payroll period. Rollover contributions into the Plan are not eligible for a Company matching contribution.
Additional types of contributions may be contributed by the Company to the Plan. No such additional types of contributions were made for the Plan year ended January 31, 2026. All contributions are subject to certain limitations in accordance with provisions of the Internal Revenue Code (the Code).
Participant Accounts
Each participant's account is adjusted for administrative expenses and earnings (losses). Adjustments are determined by the investments held in each participant's account, the participant's contributions, and an allocation of the Company's matching contributions to the Plan made on the participant's behalf. Forfeitures of non-vested contributions are used or allocated to restore account balances of rehired participants or participants whose distributions were previously unclaimed.
Vesting
Participants are immediately vested in all elective, catch-up, rollover, Company matching and qualified non-elective contributions. A participant's profit sharing contribution account shall vest based on years of service at a rate of 20% per year from years two through six and may become fully vested upon participant retirement at age 65 or above, total and permanent disability, or death.
Notes Receivable from Participants
Participants may borrow from their fund accounts a minimum of $1,000 up to the lesser of (a) $50,000 or (b) 50% of their vested account balance. The administrative loan origination fee of $50 per general loan, and $95 per residential loan is paid by the participant and is deducted from the proceeds of the loan. Participants may only have one general purpose loan and one residential loan outstanding at any time. Loan terms range from one to five years for general purpose loans and one to 15 years for residential loans. The loans are secured by the balance in the participant's account and bear fixed interest at the prime rate on the last day of the month preceding the month in which the loan is processed for payment, plus 1%. Generally, payments of principal and interest on the loan will be deducted from an employee's regular pay in equal amounts each pay period beginning with the first pay period following the date of the loan.
Payment of Benefits and Withdrawals
Generally, payment upon a participant's separation from the Company (and its controlled group members) is a lump-sum payment in cash for the balance of the participant's vested account. However, participants may elect to receive a single lump-sum payment of their profit sharing contributions in whole shares of Walmart equity securities, with partial or fractional shares paid in cash, even if such contributions are not invested in Walmart equity securities. To the extent the participant's profit sharing contributions are not invested in Walmart equity securities, the contributions will automatically be distributed in cash, unless directed otherwise by the participant. Participants may also elect to receive a single lump-sum payment of the remainder of their accounts in whole shares of Walmart equity securities, with partial or fractional shares paid in cash, but only to the extent such contributions are invested in Walmart equity securities as of the date distributions are processed. Participants may also elect to rollover their account balance into a different tax-qualified retirement plan or individual retirement account upon separation from the Company (and its controlled group members).
The Plan permits withdrawals of active participants' vested balances in amounts necessary to satisfy financial hardship as defined by the Internal Revenue Service (IRS). In-service withdrawal of vested balances may be elected by participants who have reached 59 1/2 years of age. Rollovers may be distributed at any time.
Investment Options
A participant may direct the Trustee to invest any portion of his or her account in available investment options. Available investment options may change at any time. Participant investment options at January 31, 2026, include funds with a variety of equity securities, mutual funds, fixed income, and collective investment trusts/collective trust funds. Participants may change their elections at any time.
A participant may direct the Trustee to invest any portion of his or her profit sharing contributions in available investment options, including Walmart equity securities, or any of the investment options for other contributions described previously.
To the extent not directed by the participant, participant accounts are invested as determined by the Benefits Investment Committee.
Note 2. Summary of Accounting Policies
Basis of Accounting
The accompanying financial statements of the Plan are prepared on the accrual basis of accounting in accordance with U.S. generally accepted accounting principles (GAAP). Contributions from Plan participants and the company matching contributions are recorded in the year in which the employee contributions are withheld from compensation.
Use of Estimates
The preparation of the financial statements in accordance with GAAP requires Plan management to use estimates and assumptions that affect the reported amounts of assets and liabilities and changes therein, and disclosure of contingent assets and liabilities. Actual results could differ from these estimates.
Investment Valuation and Income Recognition
Investments are reported at fair value. Fair value is the price that would be received to sell an asset or paid to transfer a liability in an orderly transaction between market participants at the measurement date. The Benefits Investment Committee determines the Plan's valuation policies utilizing information provided by the Trustee. See Note 3 for discussion of fair value measurements. Purchases and sales of securities are recorded on a trade-date basis. Interest income is recorded on the accrual basis. Dividends are recorded on the ex-dividend date. Net appreciation in fair value of investments includes the gains and losses on investments bought and sold, as well as held during the year.
Notes Receivable from Participants
Notes receivable from participants are recorded at their unpaid principal balance plus any accrued but unpaid interest. Interest income is recorded on the accrual basis. Principal and interest from the repayment of loans are allocated to participants' investment accounts in accordance with each participant's investment election in effect at the repayment date. Delinquent notes receivable from participants are recorded as a distribution based upon the terms of the Plan document.
Benefit Payments
Benefit payments are recorded when paid. As of January 31, 2026 and 2025, there were benefits in the amount of $35,647,019 and $34,848,080, respectively, requested before year-end, that were paid after year-end.
Expenses
The Plan allows certain administrative expenses to be paid from Plan assets, unless otherwise paid by the Company. Expenses that are paid by the Company are excluded from these financial statements. The Plan does not reimburse for these expenses. Fees related to the administration of notes receivable from participants are charged directly to the participant's account and are recorded as fees on notes receivable from participants when incurred. Investment related expenses that are indirect are included in net appreciation/depreciation of fair value of investments and direct expenses are included in administrative expenses.
Note 3. Fair Value Measurements
Accounting guidance provides a framework for measuring fair value and provides a fair value hierarchy that prioritizes the inputs to valuation techniques used to measure fair value. The hierarchy gives the highest priority to unadjusted quoted prices in active markets for identical assets or liabilities (Level 1 measurements) and the lowest priority to unobservable inputs (Level 3 measurements). The three levels of the fair value hierarchy are described as follows:
| | | | | |
Level 1 | Unadjusted quoted prices for identical, unrestricted assets or liabilities in active markets that a plan has the ability to access. |
Level 2 | Quoted prices for similar assets or liabilities in active markets; quoted prices for identical or similar assets or liabilities in inactive markets; inputs other than quoted prices that are observable for the asset or liability; and inputs that are derived principally from or corroborated by observable market data by correlation or other means for substantially the full term of the assets or liabilities. |
Level 3 | Significant unobservable inputs. |
The asset or liability's fair value measurement level within the fair value hierarchy is based on the lowest level of any input that is significant to the fair value measurement. Valuation techniques used need to maximize the use of relevant observable inputs and minimize the use of unobservable inputs. There have been no changes in the methodologies used at January 31, 2026 and 2025. During the year ended January 31, 2026, there were no transfers of financial instruments into or out of Level 3. Following is a description of the valuation methodologies used for assets measured at fair value:
Walmart Inc. equity securities - Valued at exchange quoted market prices on the last business day of the Plan year.
Common stocks - Valued at exchange quoted market prices on the last business day of the Plan year.
Cash equivalent - Valued at amortized cost, which approximates fair value.
Mutual fund - Valued at quoted market prices on the last business day of the Plan year.
Government securities - Valued using pricing models maximizing the use of observable inputs for similar securities.
Corporate bonds - Valued using pricing models maximizing the use of observable inputs for similar securities. This includes basing value on yields currently available on comparable securities of issuers with similar credit ratings.
Asset-backed and mortgage-backed securities - Valued on the basis of the timing and certainty of the cash flows compared to investments with similar durations.
Collective investment trusts/collective trust funds - Stated at fair value as determined by the issuers of the funds on the fair market value of the underlying investments, which is valued at net asset value (NAV) as a practical expedient to estimate fair value. The practical expedient would not be used if it is determined to be probable that the funds will sell the investment for an amount different from the reported NAV. Participant transactions (purchases and sales) may occur daily.
The preceding methods described may produce a fair value calculation that may not be indicative of net realizable value or reflective of future fair values. Furthermore, although the Plan believes its valuation methods are appropriate and consistent with other market participants, the use of different methodologies or assumptions to determine the fair value of certain financial instruments could result in a different fair value measurement at the reporting date.
Investments measured at fair value on a recurring basis consisted of the following types of instruments:
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Fair Value Measurements as of January 31, 2026: |
| | Total | | Level 1 | | Level 2 | | Assets at NAV |
| Walmart Inc. equity securities | | $ | 6,304,802,781 | | | $ | 6,304,802,781 | | | $ | — | | | $ | — | |
| Common stocks | | 2,665,582,571 | | | 2,665,582,571 | | | — | | — |
| Cash equivalent | | 20,632,102 | | | 20,632,102 | | | — | | — |
| Mutual funds | | 162,243,758 | | | 162,243,758 | | | — | | — |
| Government securities | | 1,318,113,207 | | | — | | 1,318,113,207 | | | — |
| Corporate bonds | | 491,277,628 | | | — | | 491,277,628 | | | — |
| Asset-backed securities | | 176,681,801 | | | — | | 176,681,801 | | | — |
| Mortgage-backed securities | | 73,105,740 | | | — | | 73,105,740 | | | — |
Investments measured at NAV* Collective investment trusts/collective trust funds | | 46,357,422,689 | | — | | — | | 46,357,422,689 |
| Total investments at fair value | | $ | 57,569,862,277 | | | $ | 9,153,261,212 | | | $ | 2,059,178,376 | | | $ | 46,357,422,689 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Fair Value Measurements as of January 31, 2025: |
| | Total | | Level 1 | | Level 2 | | Assets at NAV |
| Walmart Inc. equity securities | | $ | 5,738,048,126 | | | $ | 5,738,048,126 | | | $ | — | | | $ | — | |
| Common stocks | | 1,790,065,839 | | | 1,790,065,839 | | | — | | — |
| Cash equivalent | | 19,368,827 | | | 19,368,827 | | | — | | — |
Mutual fund | | 1,032,322,277 | | | 1,032,322,277 | | | — | | — |
| Government securities | | 913,843,362 | | | — | | 913,843,362 | | | — |
| Corporate bonds | | 390,618,298 | | | — | | 390,618,298 | | | — |
| Asset-backed securities | | 139,248,391 | | | — | | 139,248,391 | | | — |
| Mortgage-backed securities | | 44,064,257 | | | — | | 44,064,257 | | | — |
Investments measured at NAV* Collective investment trusts/collective trust funds | | 39,337,699,722 | | | — | | — | | 39,337,699,722 | |
| Total investments at fair value | | 49,405,279,099 | | $ | 8,579,805,069 | | | $ | 1,487,774,308 | | | $ | 39,337,699,722 | |
*In accordance with ASC Subtopic 820-10, certain investments that were measured at NAV per share (or its equivalent) have not been classified in the fair value hierarchy. The fair value amounts presented in this table are intended to permit reconciliation of the fair value hierarchy to the line items presented on the Statements of Net Assets Available for Benefits.
Note 4. Investments Measured Using NAV per Share as a Practical Expedient
The following table summarizes investments for which fair value is measured using NAV per share as a practical expedient as of January 31, 2026 and 2025.
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | | Unfunded commitments | | Redemption frequency (if currently eligible) | | Redemption notice |
| January 31, 2026 | | Fair Value | |
| Collective investment trusts/collective trust funds | | $ | 46,357,422,689 | | | N/A | | Daily | | N/A |
| January 31, 2025 | | | | | | | | |
| Collective investment trusts/collective trust funds | | $ | 39,337,699,722 | | | N/A | | Daily | | N/A |
Note 5. Related Party and Party-In-Interest Transactions
Certain Plan investments are managed by Bank of America, N.A., Merrill Lynch & Company and Northern Trust Company who provide investment management services to the Plan. The Plan also holds notes receivable from participants. Such transactions, while considered party-in-interest transactions under ERISA regulations, are permitted under the provisions of the Plan and are specifically exempt from the prohibition of party-in-interest transactions under ERISA.
A portion of the Plan's assets are invested in common stock of the Company. While the holding and acquisition of employer securities is generally prohibited by ERISA, the Plan meets the exception in ERISA section 407(b), which permits the acquisition and holding of employer securities by eligible individual account plans.
Note 6. Plan Termination
While there is no intention to do so, the Company may terminate the Plan and discontinue its contributions at any time subject to the provisions of ERISA. In the event of complete or partial Plan termination, any unvested amounts in participants' accounts shall become fully vested. The Plan shall remain in effect and the assets shall be administered in the manner provided by the terms of the trust agreement and distributed as soon as administratively feasible.
Note 7. Tax Status
The Plan has received a determination letter from the IRS dated April 3, 2015, stating that the Plan and related trust is designed in accordance with applicable sections of the Code. Once qualified, the Plan is required to operate in conformity with the Code to maintain its qualified status. Processes are in place to prevent operational failures, but when they occur, the Administrator takes corrective action to preserve the tax qualification of the Plan. Specifically, the Administrator has corrected, and will continue to correct, operational failures in a manner permitted under the Employee Plans Compliance Resolution System of the IRS in order to preserve the Plan's tax favored qualification. Although the Plan has been amended and restated since receiving the determination letter, the Administrator and the Plan's tax counsel believe that the Plan is designed, and is currently being operated, in compliance with the applicable requirements of the Code and, therefore, believe that the Plan is qualified, and the related trust is tax-exempt.
Note 8. Risks and Uncertainties
The Trustee holds the Plan's investments and executes all investment transactions. The Plan invests in various investment securities. Investment securities are exposed to various risks, such as interest rate, market volatility and credit risks. The Plan attempts to limit these risks by authorizing and offering participants a broad range of investment options that are invested in high quality securities or are offered and administered by reputable and known investment companies. Due to the level of risk associated with certain investment securities, it is at least reasonably possible that changes in the values of investment securities will occur in the near term and that such changes could materially affect participants' account balances and the amounts reported on the Statements of Net Assets Available for Benefits. The Plan's exposure to a concentration of risk is limited by the diversification of investments across multiple investment fund options. Additionally, the investments within each investment fund option are further diversified into varied financial instruments.
Note 9. Reconciliation of Financial Statements to Form 5500
The following is a reconciliation of net assets available for benefits per the financial statements to the Form 5500:
| | | | | | | | | | | | | | |
| | January 31, |
| | 2026 | | 2025 |
| Net assets available for benefits per the financial statements | | $ | 59,071,816,127 | | | $ | 50,782,877,281 | |
| Less: Benefits payable per the Form 5500 | | (35,647,019) | | | (34,848,080) | |
| Net assets available for benefits per the Form 5500 | | $ | 59,036,169,108 | | | $ | 50,748,029,201 | |
The following is a reconciliation of the net change in net assets available for benefits per the financial statements to the Form 5500 for the year ended January 31, 2026:
| | | | | |
| Net increase in net assets available for benefits per the financial statements | $ | 8,288,938,846 | |
| Less: Benefits payable per the Form 5500 at January 31, 2026 | (35,647,019) | |
| Add: Benefits payable per the Form 5500 at January 31, 2025 | 34,848,080 | |
| Net gain per the Form 5500 | $ | 8,288,139,907 | |
Benefits payable are recorded in the Form 5500 for benefit payments that have been processed and approved for payment prior to January 31, but not paid as of that date.
Supplemental Schedule
Walmart 401(k) Plan
EIN #71-0415188, Plan #003
Schedule H, Line 4i – Schedule of Assets (Held at End of Year)
January 31, 2026
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| (a) | | (b) Identity of issue, borrower, lessor or similar party | | (c) Description of investment including maturity date, rate of interest, collateral, par or maturity value | | (d) Cost | | (e) Current value |
| | Investments | | | | | | |
| * | | Walmart Inc. Equity Securities | | Common Stock | | ** | | $ | 6,304,802,781 | |
| | | | | | | | |
| | Other Common Stocks | | | | | | |
| | Abercrombie & Fitch Co. | | Common Stock | | ** | | 3,451,221 | |
| | Academy Sports & Outdoors Inc. | | Common Stock | | ** | | 1,609,043 | |
| | Acuity Brands Inc. | | Common Stock | | ** | | 1,020,492 | |
| | Adeia Inc. | | Common Stock | | ** | | 4,920,480 | |
| | Aehr Test Systems | | Common Stock | | ** | | 4,527,204 | |
| | Aerovironment Inc. | | Common Stock | | ** | | 1,911,426 | |
| | Agilysys Inc. | | Common Stock | | ** | | 9,040,304 | |
| | Agree Realty Corp. | | Common Stock | | ** | | 16,104,762 | |
| | Alamo Group Inc. | | Common Stock | | ** | | 5,705,982 | |
| | Alarm.com Holdings, Inc. | | Common Stock | | ** | | 11,139,742 | |
| | Alkermes PLC | | Common Stock | | ** | | 1,213,025 | |
| | Alliance Laundry Holdings Inc. | | Common Stock | | ** | | 1,372,603 | |
| | Alphatec Holdings Inc. | | Common Stock | | ** | | 997,866 | |
| | Ameren Woodmark Corp. | | Common Stock | | ** | | 2,345,905 | |
| | American Eagle Outfitters Inc. | | Common Stock | | ** | | 2,322,842 | |
| | American Healthcare Reit Inc. | | Common Stock | | ** | | 4,074,743 | |
| | American Homes 4 Rent | | Common Stock | | ** | | 10,583,247 | |
| | American Public Education Inc. | | Common Stock | | ** | | 898,270 | |
| | American Tower Corp. | | Common Stock | | ** | | 50,177,783 | |
| | Americold Realty Trust Inc. | | Common Stock | | ** | | 1,347,800 | |
| | Ameris Bancorp | | Common Stock | | ** | | 6,067,461 | |
| | Amicus Therapeutics Inc. | | Common Stock | | ** | | 6,717,629 | |
| | Amn Healthcare Services Inc. | | Common Stock | | ** | | 479,250 | |
| | Amphastar Pharmaceuticals Inc. | | Common Stock | | ** | | 1,294,037 | |
| | Angiodynamics Inc. | | Common Stock | | ** | | 2,177,672 | |
| | Antero Resources Corp. | | Common Stock | | ** | | 4,534,903 | |
| | Apogee Therapeutics Inc. | | Common Stock | | ** | | 3,022,304 | |
| | Appfolio Inc. | | Common Stock | | ** | | 13,150,329 | |
| | Apple Hospitality REIT Inc. | | Common Stock | | ** | | 2,776,140 | |
| | Applied Industrial Technologies Inc. | | Common Stock | | ** | | 12,524,419 | |
| | Archrock Inc. | | Common Stock | | ** | | 7,770,186 | |
| | Arcutis Biotherapeutics Inc. | | Common Stock | | ** | | 1,377,718 | |
| | Arlo Technologies Inc. | | Common Stock | | ** | | 9,288,077 | |
| | Arrowhead Pharmaceuticals Inc. | | Common Stock | | ** | | 3,665,061 | |
| | Artisan Partners Asset Management Inc. | | Common Stock | | ** | | 10,846,853 | |
| | ASGN Incorporated | | Common Stock | | ** | | 2,383,118 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Aspen Aerogels Inc. | | Common Stock | | ** | | 3,285,177 | |
| | Asure Software Inc. | | Common Stock | | ** | | 3,761,305 | |
| | ATI Inc. | | Common Stock | | ** | | 5,512,146 | |
| | Atlantic Union Bankshares Corp. | | Common Stock | | ** | | 6,593,090 | |
| | AvalonBay Communities | | Common Stock | | ** | | 12,486,825 | |
| | Axon Enterprise Inc. | | Common Stock | | ** | | 1,414,472 | |
| | Axsome Therapeutics Inc. | | Common Stock | | ** | | 2,371,666 | |
| | Azenta Inc. | | Common Stock | | ** | | 1,644,624 | |
| | Badger Meter Inc. | | Common Stock | | ** | | 9,165,061 | |
| | Bath & Body Works Inc. | | Common Stock | | ** | | 4,933,231 | |
| | Berkshire Hills Bancorp Inc. | | Common Stock | | ** | | 3,600,450 | |
| | Biocryst Pharmaceuticals Inc. | | Common Stock | | ** | | 2,959,914 | |
| | Biomarin Pharmaceutical Inc. | | Common Stock | | ** | | 1,419,154 | |
| | Biote Corp. | | Common Stock | | ** | | 328,784 | |
| | Bio-Techne Corp. | | Common Stock | | ** | | 17,109,787 | |
| | Bloom Energy Corp. | | Common Stock | | ** | | 3,091,884 | |
| | Bloomin Brands Inc. | | Common Stock | | ** | | 286,500 | |
| | Boot Barn Holdings Inc. | | Common Stock | | ** | | 1,988,089 | |
| | BOYD Gaming Corp. | | Common Stock | | ** | | 1,756,995 | |
| | Bridgebio Pharma Inc. | | Common Stock | | ** | | 3,963,178 | |
| | Brinker International Inc. | | Common Stock | | ** | | 1,890,274 | |
| | Broadstone Net Lease Inc. | | Common Stock | | ** | | 3,007,875 | |
| | BRP Inc. | | Common Stock | | ** | | 3,998,379 | |
| | Bruker Corp. | | Common Stock | | ** | | 7,487,003 | |
| | Bxp Inc. | | Common Stock | | ** | | 8,316,368 | |
| | Caesars Entertainment Inc. | | Common Stock | | ** | | 3,990,008 | |
| | Cameco Corp. | | Common Stock | | ** | | 3,425,677 | |
| | Camtek Ltd. | | Common Stock | | ** | | 2,422,727 | |
| | Caretrust Reit Inc. | | Common Stock | | ** | | 4,212,624 | |
| | Carlisle Companies Inc. | | Common Stock | | ** | | 8,839,278 | |
| | Carpenter Technology Corp. | | Common Stock | | ** | | 3,280,323 | |
| | Carvana Co. | | Common Stock | | ** | | 1,656,183 | |
| | Casella Waste Sys Inc. | | Common Stock | | ** | | 18,175,146 | |
| | Catalyst Pharmaceuticals Inc. | | Common Stock | | ** | | 1,959,795 | |
| | CCC Intelligent Solutions Holdings Inc. | | Common Stock | | ** | | 4,667,006 | |
| | Celestica Inc. | | Common Stock | | ** | | 1,381,066 | |
| | Centerspace | | Common Stock | | ** | | 2,204,461 | |
| | Centrus Energy Corp. | | Common Stock | | ** | | 1,637,121 | |
| | Century Alum Co. | | Common Stock | | ** | | 766,077 | |
| | Century Casinos Inc. | | Common Stock | | ** | | 905,849 | |
| | Ceva Inc. | | Common Stock | | ** | | 1,959,894 | |
| | CG Oncology Inc. | | Common Stock | | ** | | 2,143,003 | |
| | Churchill Downs Inc. | | Common Stock | | ** | | 6,724,873 | |
| | Cipher Digital Inc. | | Common Stock | | ** | | 1,224,324 | |
| | Cirruis Logic inc. | | Common Stock | | ** | | 5,370,008 | |
| | Clean Hbrs Inc. | | Common Stock | | ** | | 9,580,283 | |
| | Coca-Cola Consolidated Inc. | | Common Stock | | ** | | 9,267,297 | |
| | Coda Octopus Group Inc. | | Common Stock | | ** | | 327,562 | |
| | Coherent Inc. | | Common Stock | | ** | | 7,448,579 | |
| | Cohu Inc. | | Common Stock | | ** | | 4,031,275 | |
| | Columbia Banking System Inc. | | Common Stock | | ** | | 4,330,624 | |
| | Columbia Bkg Sys Inc. | | Common Stock | | ** | | 6,107,475 | |
| | Columbus Mckinnon Corp. | | Common Stock | | ** | | 210,800 | |
| | Comfort Systems USA Inc. | | Common Stock | | ** | | 4,534,137 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Commercial Metals Co. | | Common Stock | | ** | | 12,323,030 | |
| | Community Healthcare Trust Inc. | | Common Stock | | ** | | 1,929,312 | |
| | Community West Bancshares | | Common Stock | | ** | | 781,422 | |
| | Compass Inc. | | Common Stock | | ** | | 2,751,558 | |
| | Composecure Inc. | | Common Stock | | ** | | 3,781,924 | |
| | Consensus Cloud Solutions Inc. | | Common Stock | | ** | | 1,190,756 | |
| | Construction Partners Inc. | | Common Stock | | ** | | 2,348,685 | |
| | Core & Main Inc. | | Common Stock | | ** | | 13,627,237 | |
| | Cousins Properties Inc. | | Common Stock | | ** | | 4,320,407 | |
| | CRA International Inc. | | Common Stock | | ** | | 7,688,158 | |
| | Crane Co. | | Common Stock | | ** | | 2,133,783 | |
| | Credo Technology Group Holding Ltd. | | Common Stock | | ** | | 1,289,006 | |
| | Crinetics Pharmaceuticals Inc. | | Common Stock | | ** | | 6,285,798 | |
| | Cross Country Healthcare Inc. | | Common Stock | | ** | | 489,300 | |
| | Crown Castle Inc. | | Common Stock | | ** | | 39,331,528 | |
| | CSW Industrials Inc. | | Common Stock | | ** | | 16,758,469 | |
| | Cullen/Frost Bankers Inc. | | Common Stock | | ** | | 7,275,518 | |
| | Curtiss Wright Corp. | | Common Stock | | ** | | 6,248,405 | |
| | Cushman And Wakefield Ltd Co. | | Common Stock | | ** | | 10,803,217 | |
| | Customers Bancorp Inc. | | Common Stock | | ** | | 2,720,738 | |
| | Definium Therapeutics Inc. | | Common Stock | | ** | | 1,822,196 | |
| | Delek US Holdings Inc. | | Common Stock | | ** | | 2,073,078 | |
| | Dentsply Sirona Inc. | | Common Stock | | ** | | 801,821 | |
| | Descartes Systems Group Inc. | | Common Stock | | ** | | 14,299,569 | |
| | Diamondrock Hospitality Co | | Common Stock | | ** | | 1,601,910 | |
| | Digital Realty Trust Inc. | | Common Stock | | ** | | 52,346,272 | |
| | Dime Community Bancshares Inc. | | Common Stock | | ** | | 4,354,560 | |
| | Donnelley Financial Solutions Inc. | | Common Stock | | ** | | 7,560,054 | |
| | Douglas Dynamics Inc. | | Common Stock | | ** | | 9,252,136 | |
| | Dutch Bros Inc. | | Common Stock | | ** | | 1,329,020 | |
| | Dycom Industries Inc. | | Common Stock | | ** | | 2,262,133 | |
| | Eagle Materials Inc. | | Common Stock | | ** | | 14,830,235 | |
| | East Group Properties Inc. | | Common Stock | | ** | | 5,839,908 | |
| | Eastern Bankshares Inc. | | Common Stock | | ** | | 4,301,850 | |
| | Edgewise Therapeutics Inc. | | Common Stock | | ** | | 2,964,814 | |
| | Elbit Systems Ltd. | | Common Stock | | ** | | 1,868,836 | |
| | Element Solution Inc. | | Common Stock | | ** | | 12,199,302 | |
| | Embraer | | Common Stock | | ** | | 2,100,001 | |
| | Emcor Group Inc. | | Common Stock | | ** | | 9,142,460 | |
| | Encompass Health Corp. | | Common Stock | | ** | | 4,251,487 | |
| | Enhabit Inc. | | Common Stock | | ** | | 1,778,399 | |
| | Ensign Group Inc. | | Common Stock | | ** | | 4,999,769 | |
| | Eos Energy Enterprises Inc. | | Common Stock | | ** | | 5,313,881 | |
| | Equinix Inc. | | Common Stock | | ** | | 45,124,880 | |
| | EquipmentShare.com Inc. | | Common Stock | | ** | | 1,405,036 | |
| | Equity LifeStyle Properties Inc. | | Common Stock | | ** | | 7,584,569 | |
| | Equity Residential | | Common Stock | | ** | | 5,478,115 | |
| | Esco Technologies Inc. | | Common Stock | | ** | | 15,824,502 | |
| | Essex Property Trust, Inc. | | Common Stock | | ** | | 19,658,202 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Establishment Labs Holdings Inc. | | Common Stock | | ** | | 9,834,658 | |
| | Everest Group Ltd. | | Common Stock | | ** | | 4,132,718 | |
| | Everus Construction Group Inc. | | Common Stock | | ** | | 1,380,975 | |
| | Evolus Inc. | | Common Stock | | ** | | 1,575,047 | |
| | Exelixis Inc. | | Common Stock | | ** | | 4,280,760 | |
| | Exponent Inc. | | Common Stock | | ** | | 4,605,645 | |
| | Extra Space Storage Inc. | | Common Stock | | ** | | 36,771,075 | |
| | Fabrinet | | Common Stock | | ** | | 3,896,921 | |
| | Federal Agricultural Mortgage Corp. | | Common Stock | | ** | | 8,445,700 | |
| | Federal Signal Corp. | | Common Stock | | ** | | 12,859,683 | |
| | First Citizens Bancshares Inc. | | Common Stock | | ** | | 2,856,007 | |
| | First Community Bankshares | | Common Stock | | ** | | 1,609,374 | |
| | First Financial Bancorp | | Common Stock | | ** | | 5,031,512 | |
| | First Merchants Corp. | | Common Stock | | ** | | 3,689,728 | |
| | Firstcash Holdings Inc. | | Common Stock | | ** | | 7,948,710 | |
| | Fiverr International Ltd. | | Common Stock | | ** | | 3,207,273 | |
| | Floor & Décor Holdings Inc. | | Common Stock | | ** | | 12,786,940 | |
| | Flow Co Holdings Inc. | | Common Stock | | ** | | 2,182,483 | |
| | Flowserve Corp. | | Common Stock | | ** | | 3,706,186 | |
| | Fortune Brands Innovations Inc. | | Common Stock | | ** | | 1,655,460 | |
| | Franklin Covey Co. | | Common Stock | | ** | | 3,389,833 | |
| | Ftai Aviation Ltd. | | Common Stock | | ** | | 4,379,450 | |
| | Fti Consulting Inc. | | Common Stock | | ** | | 851,516 | |
| | FTI Consulting Inc. | | Common Stock | | ** | | 4,722,203 | |
| | Gaming & Leisure Properties Inc. | | Common Stock | | ** | | 8,443,475 | |
| | GATX Corp. | | Common Stock | | ** | | 9,353,812 | |
| | Gencor Industries Inc. | | Common Stock | | ** | | 982,290 | |
| | Gentex Corp. | | Common Stock | | ** | | 960,668 | |
| | Gibraltar Industries Inc. | | Common Stock | | ** | | 843,227 | |
| | Glacier Bancorp Inc. | | Common Stock | | ** | | 5,837,829 | |
| | Glaukos Corp. | | Common Stock | | ** | | 1,435,067 | |
| | Golden Entertainment Inc. | | Common Stock | | ** | | 1,292,160 | |
| | Goosehead Ins Inc. | | Common Stock | | ** | | 11,089,272 | |
| | Granite Construction Inc. | | Common Stock | | ** | | 6,815,773 | |
| | Greif Inc. | | Common Stock | | ** | | 2,302,212 | |
| | Guardant Health Inc. | | Common Stock | | ** | | 6,978,792 | |
| | Guidewire Software Inc. | | Common Stock | | ** | | 9,232,026 | |
| | Gulfport Energy Corp. | | Common Stock | | ** | | 2,302,017 | |
| | GXO Logistics Inc. | | Common Stock | | ** | | 3,619,213 | |
| | Hamilton Lane Inc. | | Common Stock | | ** | | 27,414,119 | |
| | Hancock Whitney Corp. | | Common Stock | | ** | | 860,000 | |
| | Hanover Ins Group Inc. | | Common Stock | | ** | | 3,010,881 | |
| | Harmonic Inc. | | Common Stock | | ** | | 1,162,512 | |
| | Harrow Inc. | | Common Stock | | ** | | 9,475,031 | |
| | Hawkins Inc. | | Common Stock | | ** | | 3,779,855 | |
| | Hayward Holdings, Inc. | | Common Stock | | ** | | 21,556,229 | |
| | Healthcare Realty Trust Inc. | | Common Stock | | ** | | 9,096,637 | |
| | HealthEquity Inc. | | Common Stock | | ** | | 6,353,373 | |
| | Healthpeak OP LLC | | Common Stock | | ** | | 8,318,645 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Heico Corp. | | Common Stock | | ** | | 20,626,882 | |
| | Helix Energy Solutions Group Inc. | | Common Stock | | ** | | 2,291,484 | |
| | Helmerich & Payne Inc. | | Common Stock | | ** | | 1,968,428 | |
| | Herc Holdings Inc. | | Common Stock | | ** | | 5,494,939 | |
| | Hexcel Corp. | | Common Stock | | ** | | 4,062,245 | |
| | Highwoods Properties Inc. | | Common Stock | | ** | | 5,247,498 | |
| | Hilton Worldwide Holdings Inc. | | Common Stock | | ** | | 2,804,203 | |
| | HNI Corp. | | Common Stock | | ** | | 2,986,875 | |
| | Host Hotels & Resorts Inc. | | Common Stock | | ** | | 10,952,101 | |
| | Hudbay Minerals Inc. | | Common Stock | | ** | | 1,444,077 | |
| | Hudson Pac Properties Inc. | | Common Stock | | ** | | 1,895,366 | |
| | Huntington Ingalls Industries Inc. | | Common Stock | | ** | | 8,593,122 | |
| | Hyatt Hotels Corp. | | Common Stock | | ** | | 2,656,101 | |
| | ICF International Inc. | | Common Stock | | ** | | 1,151,638 | |
| | IES Holdings Inc. | | Common Stock | | ** | | 1,254,196 | |
| | Immunome Inc. | | Common Stock | | ** | | 1,985,283 | |
| | Impinj, Inc. | | Common Stock | | ** | | 3,242,450 | |
| | Indivior Pharmaceuticals Inc. | | Common Stock | | ** | | 1,620,015 | |
| | Ingevity Corp. | | Common Stock | | ** | | 4,153,717 | |
| | Ingles Markets Inc. | | Common Stock | | ** | | 1,755,467 | |
| | Inmode Ltd. | | Common Stock | | ** | | 1,845,925 | |
| | Innoviva Inc. | | Common Stock | | ** | | 4,400,000 | |
| | Installed Building Products Inc. | | Common Stock | | ** | | 6,320,927 | |
| | Integra Lifesciences Holdings Corp. | | Common Stock | | ** | | 1,169,700 | |
| | Interdigital Inc. | | Common Stock | | ** | | 3,911,078 | |
| | International Flavors & Fragrances Inc. | | Common Stock | | ** | | 4,601,177 | |
| | Inventrust Properties Corp. | | Common Stock | | ** | | 3,747,754 | |
| | Invitation Homes Inc. | | Common Stock | | ** | | 18,900,649 | |
| | Iovance Biotherapeutics Inc. | | Common Stock | | ** | | 735,568 | |
| | IPG Photonics Corp. | | Common Stock | | ** | | 1,187,469 | |
| | Irhythm Holdings | | Common Stock | | ** | | 1,859,991 | |
| | Iron Mtn Inc. | | Common Stock | | ** | | 23,748,534 | |
| | Itron Inc. | | Common Stock | | ** | | 1,738,854 | |
| | Ituran Location & Control | | Common Stock | | ** | | 11,645,217 | |
| | Jazz Pharmaceuticals | | Common Stock | | ** | | 6,624,835 | |
| | JBT Corporation | | Common Stock | | ** | | 2,030,715 | |
| | John Bean Technologies Corp. | | Common Stock | | ** | | 7,555,599 | |
| | Jones Lang Lasalle Inc. | | Common Stock | | ** | | 1,655,334 | |
| | Kadant Inc. | | Common Stock | | ** | | 8,384,923 | |
| | Kaiser Aluminum Corp. | | Common Stock | | ** | | 3,077,762 | |
| | Karman Holdings Inc. | | Common Stock | | ** | | 2,759,315 | |
| | KB Home | | Common Stock | | ** | | 2,997,834 | |
| | KBR Inc. | | Common Stock | | ** | | 3,279,246 | |
| | Kilroy Realty Corp. | | Common Stock | | ** | | 4,604,735 | |
| | Kimco Realty Corp. | | Common Stock | | ** | | 10,446,089 | |
| | Kiniksa Pharmaceuticals International | | Common Stock | | ** | | 7,757,853 | |
| | Kinsale Cap Group Inc. | | Common Stock | | ** | | 13,922,308 | |
| | Kite Realty Group Trust | | Common Stock | | ** | | 9,259,171 | |
| | Knight - Swift Transn Holdings Inc. | | Common Stock | | ** | | 1,366,094 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Kratos Defense & Security Solutions Inc. | | Common Stock | | ** | | 1,999,012 | |
| | Kulicke & Soffa Industries Inc. | | Common Stock | | ** | | 1,347,255 | |
| | KVH Industries Inc. | | Common Stock | | ** | | 561,120 | |
| | Kymera Therapeutics Inc. | | Common Stock | | ** | | 2,655,075 | |
| | Lamar Advertising Co. | | Common Stock | | ** | | 2,242,346 | |
| | Landbridge Co. LLC | | Common Stock | | ** | | 13,173,509 | |
| | La-Z-Boy Inc. | | Common Stock | | ** | | 2,099,037 | |
| | LCI Industries Co. | | Common Stock | | ** | | 1,361,137 | |
| | Legence Corp. | | Common Stock | | ** | | 1,446,798 | |
| | Leidos Holdings Inc. | | Common Stock | | ** | | 2,800,665 | |
| | Lemaitre Vascular Inc. | | Common Stock | | ** | | 16,137,587 | |
| | Lendingclub Corp. | | Common Stock | | ** | | 1,715,232 | |
| | Licoln Electric Holdings Inc. | | Common Stock | | ** | | 7,822,518 | |
| | Ligand Pharmaceuticals Inc. | | Common Stock | | ** | | 12,274,422 | |
| | Liquidity Services Inc. | | Common Stock | | ** | | 6,341,280 | |
| | LSB Industries Inc. | | Common Stock | | ** | | 1,844,065 | |
| | LSI Industries Inc. | | Common Stock | | ** | | 6,002,865 | |
| | Lucky Strike Entertainment Corporation | | Common Stock | | ** | | 2,331,439 | |
| | Lumen Technologies Inc. | | Common Stock | | ** | | 4,463,273 | |
| | Lumentum Holdings | | Common Stock | | ** | | 2,064,997 | |
| | LXP Industrial Trust | | Common Stock | | ** | | 3,151,380 | |
| | M/I Homes Inc. | | Common Stock | | ** | | 1,176,560 | |
| | MACOM Technology Solutions Holdings Inc. | | Common Stock | | ** | | 3,547,896 | |
| | Madden Steven Ltd. | | Common Stock | | ** | | 3,737,347 | |
| | Madison Square Garden Entertainment Corp. | | Common Stock | | ** | | 5,203,267 | |
| | Madison Square Garden Sports Corp. | | Common Stock | | ** | | 4,558,066 | |
| | Madrigal Pharmaceuticals Inc. | | Common Stock | | ** | | 2,454,379 | |
| | Magnolia Oil & Gas Corp. | | Common Stock | | ** | | 7,959,120 | |
| | Manhattan Associates Inc. | | Common Stock | | ** | | 13,589,541 | |
| | Maravai Lifesciences Holdings Inc. | | Common Stock | | ** | | 494,760 | |
| | Marketaxess Holdings Inc. | | Common Stock | | ** | | 3,919,874 | |
| | Masimo Corp. | | Common Stock | | ** | | 10,818,583 | |
| | Mastercraft Boat Holdings Inc. | | Common Stock | | ** | | 2,176,683 | |
| | Matador Resources Co. | | Common Stock | | ** | | 4,005,550 | |
| | Medpace Holdings Inc. | | Common Stock | | ** | | 15,981,504 | |
| | Meritage Homes Corp. | | Common Stock | | ** | | 3,182,168 | |
| | Metallus Inc. | | Common Stock | | ** | | 2,693,250 | |
| | Miller Industries Inc. | | Common Stock | | ** | | 1,610,121 | |
| | Mirion Technologies Inc. | | Common Stock | | ** | | 2,557,179 | |
| | Mirum Pharmaceuticals Inc. | | Common Stock | | ** | | 5,033,007 | |
| | MKS Instruments Inc. | | Common Stock | | ** | | 5,920,562 | |
| | Modine Manufacturing Co. | | Common Stock | | ** | | 2,180,096 | |
| | Morningstar Inc. | | Common Stock | | ** | | 5,982,066 | |
| | MP Materials Corp. | | Common Stock | | ** | | 2,342,396 | |
| | Mueller Industries Inc. | | Common Stock | | ** | | 20,380,158 | |
| | Murphy Oil Corp. | | Common Stock | | ** | | 3,950,366 | |
| | Murphy USA Inc. | | Common Stock | | ** | | 10,199,391 | |
| | MYR Group Inc. | | Common Stock | | ** | | 1,577,752 | |
| | Natera Inc. | | Common Stock | | ** | | 3,639,299 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | National Health Investors Inc. | | Common Stock | | ** | | 3,051,086 | |
| | National Healthcare Corp. | | Common Stock | | ** | | 1,681,543 | |
| | National Vision Holdings Inc. | | Common Stock | | ** | | 2,755,077 | |
| | Neptune Ins Holdings Inc. | | Common Stock | | ** | | 713,235 | |
| | Netstreit Corp. | | Common Stock | | ** | | 3,718,846 | |
| | Newmark Group Inc. | | Common Stock | | ** | | 2,524,728 | |
| | Nextpower Inc. | | Common Stock | | ** | | 3,702,269 | |
| | Nexxen International Ltd. | | Common Stock | | ** | | 5,161,221 | |
| | Noble Corporation | | Common Stock | | ** | | 5,640,783 | |
| | Nomad Foods Limited | | Common Stock | | ** | | 2,006,600 | |
| | Northwest Natural Holding Co. | | Common Stock | | ** | | 4,473,019 | |
| | Northwestern Energy Group Inc. | | Common Stock | | ** | | 8,197,488 | |
| | Norwegian Cruise Line Holdings | | Common Stock | | ** | | 5,944,352 | |
| | Novanta Inc. | | Common Stock | | ** | | 19,937,617 | |
| | Nuvalent Inc. | | Common Stock | | ** | | 1,532,444 | |
| | Oceanfirst Financial Corp. | | Common Stock | | ** | | 2,828,438 | |
| | Oddity Tech Ltd. | | Common Stock | | ** | | 3,766,420 | |
| | Old National Bancorp | | Common Stock | | ** | | 5,503,102 | |
| | Old Republic International Corp. | | Common Stock | | ** | | 3,568,387 | |
| | Omega Healthcare Investors Inc. | | Common Stock | | ** | | 3,962,364 | |
| | Omniab Inc. | | Common Stock | | ** | | 1,258,286 | |
| | Omnicell Inc. | | Common Stock | | ** | | 451,050 | |
| | Onto Innovation Inc. | | Common Stock | | ** | | 17,861,018 | |
| | Optimizerx Corp. | | Common Stock | | ** | | 4,067,753 | |
| | Orasure Technologies Inc. | | Common Stock | | ** | | 470,115 | |
| | Ormat Technologies Inc. | | Common Stock | | ** | | 1,474,042 | |
| | Oshkosh Corporation | | Common Stock | | ** | | 1,607,189 | |
| | OSI Systems Inc. | | Common Stock | | ** | | 8,847,202 | |
| | Outfront Media Inc. | | Common Stock | | ** | | 3,198,420 | |
| | Ovintiv Inc. | | Common Stock | | ** | | 3,399,354 | |
| | Owens Corning | | Common Stock | | ** | | 3,112,844 | |
| | Pacira BioSciences Inc. | | Common Stock | | ** | | 1,147,262 | |
| | PACS Group Inc. | | Common Stock | | ** | | 1,515,925 | |
| | Pan American Silver Corp. | | Common Stock | | ** | | 2,552,059 | |
| | Park City Group, Inc. | | Common Stock | | ** | | 4,963,268 | |
| | Patrick Industries Inc. | | Common Stock | | ** | | 1,173,255 | |
| | Paymentus Holdings Inc. | | Common Stock | | ** | | 1,467,263 | |
| | Perimeter Solutions, Inc. | | Common Stock | | ** | | 34,097,168 | |
| | Perion Network Ltd. | | Common Stock | | ** | | 496,320 | |
| | Permian Res Corp. | | Common Stock | | ** | | 4,300,097 | |
| | Perrigo Company Limited | | Common Stock | | ** | | 1,904,140 | |
| | Piedmont Office Realty Trust | | Common Stock | | ** | | 1,248,265 | |
| | Piper Sandler Companies | | Common Stock | | ** | | 9,579,695 | |
| | Planet Labs PBC | | Common Stock | | ** | | 5,170,887 | |
| | Polaris Inc. | | Common Stock | | ** | | 1,353,408 | |
| | Portland General Electric Co. | | Common Stock | | ** | | 3,324,038 | |
| | Praxis Precision Medicines Inc. | | Common Stock | | ** | | 5,563,452 | |
| | PrInceton Bancorp Inc. | | Common Stock | | ** | | 1,105,015 | |
| | Procore Technologies Inc. | | Common Stock | | ** | | 11,374,374 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Progress Software Corp. | | Common Stock | | ** | | 3,948,780 | |
| | Progress Software Corp. | | Common Stock | | ** | | 6,717,018 | |
| | Prologis Inc. | | Common Stock | | ** | | 48,231,736 | |
| | Prosperity Bancshares Inc. | | Common Stock | | ** | | 6,901,000 | |
| | Protagonist Therapeutics Inc. | | Common Stock | | ** | | 1,994,448 | |
| | Provident Financial Services Inc. | | Common Stock | | ** | | 4,897,368 | |
| | PTC Therapeutics Inc. | | Common Stock | | ** | | 2,589,168 | |
| | Pub Storage | | Common Stock | | ** | | 7,881,358 | |
| | Pulte Group Inc. | | Common Stock | | ** | | 1,035,120 | |
| | Quanex Building Products Corp. | | Common Stock | | ** | | 3,373,344 | |
| | Quide Lortho Corporation | | Common Stock | | ** | | 7,324,652 | |
| | Quidelortho Corporation | | Common Stock | | ** | | 470,041 | |
| | Radware Ltd. | | Common Stock | | ** | | 5,487,411 | |
| | Rambus Inc. | | Common Stock | | ** | | 4,854,053 | |
| | RBC Bearings Incorporated | | Common Stock | | ** | | 24,479,833 | |
| | Realty Income Corp. | | Common Stock | | ** | | 7,361,340 | |
| | Red Rock Resorts Inc. | | Common Stock | | ** | | 4,022,012 | |
| | Regal Rexnord Corp. | | Common Stock | | ** | | 2,713,200 | |
| | Regency Centers Corp. | | Common Stock | | ** | | 10,826,077 | |
| | Repligen Corp. | | Common Stock | | ** | | 19,652,611 | |
| | Rex American Resources Corp. | | Common Stock | | ** | | 4,202,583 | |
| | Rexford Industrial Realty Inc. | | Common Stock | | ** | | 6,594,272 | |
| | Rhythm Pharmaceuticals Inc. | | Common Stock | | ** | | 3,030,184 | |
| | Rocket Pharmaceuticals Inc. | | Common Stock | | ** | | 200,987 | |
| | Rush Enterprises Inc. | | Common Stock | | ** | | 5,184,947 | |
| | RXO LLC | | Common Stock | | ** | | 2,110,236 | |
| | Ryman Hospitality Properties Inc. | | Common Stock | | ** | | 2,691,469 | |
| | Sabra Healthcare Reit Inc. | | Common Stock | | ** | | 10,980,743 | |
| | Saia Inc. | | Common Stock | | ** | | 7,779,030 | |
| | Sanmina Corp. | | Common Stock | | ** | | 8,611,310 | |
| | Saul Centers Inc. | | Common Stock | | ** | | 359,311 | |
| | SBA Communications Corp. | | Common Stock | | ** | | 9,255,578 | |
| | Schneider National Inc. | | Common Stock | | ** | | 3,164,168 | |
| | Scholar Rock Holding Corp. | | Common Stock | | ** | | 2,426,462 | |
| | Science Applications International Corp. | | Common Stock | | ** | | 1,765,536 | |
| | Seadrill Limited | | Common Stock | | ** | | 1,885,520 | |
| | Select Water Solutions Inc. | | Common Stock | | ** | | 1,481,025 | |
| | Selective Insurance Group Inc. | | Common Stock | | ** | | 5,882,657 | |
| | Semtech Corp. | | Common Stock | | ** | | 2,193,285 | |
| | Septerna Inc. | | Common Stock | | ** | | 2,048,015 | |
| | ShotSpotter, Inc. | | Common Stock | | ** | | 1,948,977 | |
| | Shutterstock Inc. | | Common Stock | | ** | | 6,437,057 | |
| | Silicom Ltd. | | Common Stock | | ** | | 516,135 | |
| | Silicon Motion Technology Corp. | | Common Stock | | ** | | 8,486,726 | |
| | Simon Property Group Inc. | | Common Stock | | ** | | 15,977,255 | |
| | Simpson Manufacturing Co, Inc. | | Common Stock | | ** | | 6,781,281 | |
| | SiteOne Landscape Supply Inc. | | Common Stock | | ** | | 10,999,901 | |
| | Sitime Corporation | | Common Stock | | ** | | 3,805,393 | |
| | SL Green Realty Corp. | | Common Stock | | ** | | 2,937,881 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Smartstop Self Storage Inc. | | Common Stock | | ** | | 1,344,312 | |
| | Smithfield Foods Inc. | | Common Stock | | ** | | 1,776,965 | |
| | Smith-Midland Corp. | | Common Stock | | ** | | 1,134,038 | |
| | Solaris Energy Infrastructure Inc. | | Common Stock | | ** | | 2,490,780 | |
| | Sonos Inc. | | Common Stock | | ** | | 1,879,850 | |
| | SouthState Bank Corp. | | Common Stock | | ** | | 6,747,129 | |
| | Spectrum Brands Holdings Inc. | | Common Stock | | ** | | 2,363,641 | |
| | Sphere Entertainment Co. | | Common Stock | | ** | | 3,070,647 | |
| | Spire Inc. | | Common Stock | | ** | | 5,922,496 | |
| | SPS Commerce, Inc. | | Common Stock | | ** | | 11,141,076 | |
| | SPX Technologies Inc. | | Common Stock | | ** | | 4,023,980 | |
| | Spyre Therapeutics Inc. | | Common Stock | | ** | | 2,076,110 | |
| | Sterling Infrastructure Inc. | | Common Stock | | ** | | 2,233,716 | |
| | Stifel Financial Corp. | | Common Stock | | ** | | 5,341,973 | |
| | Stonex Group Inc. | | Common Stock | | ** | | 1,549,188 | |
| | Stride Inc. | | Common Stock | | ** | | 2,760,075 | |
| | Stride Inc. | | Common Stock | | ** | | 196,864 | |
| | Structure Therapeutics Inc. | | Common Stock | | ** | | 2,552,048 | |
| | Summit Hotel Properties Inc. | | Common Stock | | ** | | 364,650 | |
| | Sun Communities Inc. | | Common Stock | | ** | | 12,642,967 | |
| | Supernus Pharmaceuticals Inc. | | Common Stock | | ** | | 8,046,669 | |
| | Tapestry Inc. | | Common Stock | | ** | | 3,163,232 | |
| | Tarsus Pharmaceuticals Inc. | | Common Stock | | ** | | 2,181,452 | |
| | Taylor Morrison Home Corp. | | Common Stock | | ** | | 3,296,481 | |
| | Taysha Gene Therapies Inc. | | Common Stock | | ** | | 2,093,537 | |
| | TechnipFMC | | Common Stock | | ** | | 1,574,870 | |
| | Techtarget Inc. | | Common Stock | | ** | | 3,790,742 | |
| | Teekay Tankers Ltd. | | Common Stock | | ** | | 1,554,932 | |
| | Terawulf Inc. | | Common Stock | | ** | | 881,297 | |
| | Tetra Tech Inc. | | Common Stock | | ** | | 4,145,280 | |
| | The RealReal Inc. | | Common Stock | | ** | | 1,164,651 | |
| | Thor Industries Inc. | | Common Stock | | ** | | 1,459,568 | |
| | Tower Semiconductor Ltd. | | Common Stock | | ** | | 8,612,615 | |
| | TowneBank | | Common Stock | | ** | | 385,000 | |
| | Transmedics Group Inc. | | Common Stock | | ** | | 2,182,989 | |
| | Travel + Leisure Co. | | Common Stock | | ** | | 2,647,527 | |
| | Travere Therapeutics Inc. | | Common Stock | | ** | | 3,616,202 | |
| | Trustco Bank Corp. | | Common Stock | | ** | | 5,874,190 | |
| | Turning PT Brands Inc. | | Common Stock | | ** | | 3,384,083 | |
| | UDR Inc. | | Common Stock | | ** | | 7,942,781 | |
| | U-Haul Holding Company | | Common Stock | | ** | | 1,334,060 | |
| | UL Solutions Inc. | | Common Stock | | ** | | 1,341,463 | |
| | Umb Financial Corp. | | Common Stock | | ** | | 11,416,536 | |
| | United Bankshares Inc. | | Common Stock | | ** | | 8,348,958 | |
| | United Community Bank | | Common Stock | | ** | | 9,561,555 | |
| | United Fire Group Inc. | | Common Stock | | ** | | 2,515,800 | |
| | Universal Display Corp. | | Common Stock | | ** | | 2,201,674 | |
| | Upland Software Inc. | | Common Stock | | ** | | 820,788 | |
| | Uranium Energy Corp. | | Common Stock | | ** | | 4,612,045 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Urban Outfitters Inc. | | Common Stock | | ** | | 4,977,213 | |
| | UroGen Pharma Ltd. | | Common Stock | | ** | | 3,527,878 | |
| | Utah Medical Products Inc. | | Common Stock | | ** | | 2,606,529 | |
| | Utz Brands Inc. | | Common Stock | | ** | | 8,743,120 | |
| | V2X Inc. | | Common Stock | | ** | | 2,732,551 | |
| | Valmont Inds Inc. | | Common Stock | | ** | | 8,833,227 | |
| | Valvoline Inc. | | Common Stock | | ** | | 9,894,364 | |
| | Varex Imaging Corp. | | Common Stock | | ** | | 10,010,509 | |
| | Ventas Inc. | | Common Stock | | ** | | 18,316,295 | |
| | Veracyte Inc. | | Common Stock | | ** | | 1,081,358 | |
| | Vericel Corp. | | Common Stock | | ** | | 2,990,262 | |
| | Victorias Secret & Co. | | Common Stock | | ** | | 1,474,277 | |
| | Village Super Market Inc. | | Common Stock | | ** | | 1,265,930 | |
| | Viridian Therapeutics Inc. | | Common Stock | | ** | | 9,767,373 | |
| | Vishay Intertechnology Inc. | | Common Stock | | ** | | 3,090,003 | |
| | Visteon Corp. | | Common Stock | | ** | | 2,984,751 | |
| | Vornado Realty | | Common Stock | | ** | | 2,829,573 | |
| | VSE Corp. | | Common Stock | | ** | | 2,836,601 | |
| | Wafd Inc. | | Common Stock | | ** | | 5,480,160 | |
| | Warby Parker Inc. | | Common Stock | | ** | | 9,664,234 | |
| | Wave Life Sciences Ltd. | | Common Stock | | ** | | 2,060,876 | |
| | Weatherford International Ltd. | | Common Stock | | ** | | 2,793,800 | |
| | Webster Financial Corp. | | Common Stock | | ** | | 7,037,390 | |
| | Welltower Inc. | | Common Stock | | ** | | 87,145,696 | |
| | Werner Enterprises Inc. | | Common Stock | | ** | | 4,142,880 | |
| | Wesco International Inc. | | Common Stock | | ** | | 9,145,988 | |
| | Weyerhaeuser Co. | | Common Stock | | ** | | 11,846,967 | |
| | Willdan Group Inc. | | Common Stock | | ** | | 2,324,604 | |
| | Williams Sonoma Inc. | | Common Stock | | ** | | 3,448,353 | |
| | Xenon Pharmaceuticals Inc. | | Common Stock | | ** | | 2,997,667 | |
| | Xometry Inc. | | Common Stock | | ** | | 2,445,335 | |
| | York Space Sys Inc. | | Common Stock | | ** | | 107,214 | |
| | Ziff Davis Inc. | | Common Stock | | ** | | 9,495,262 | |
| | Zions BanCorp. | | Common Stock | | ** | | 7,285,655 | |
| | Total Other Common Stocks | | | | | | 2,665,582,571 | |
| | | | | | | | |
| | Cash Equivalent | | | | | | |
| * | | Bank of America, N.A. Merrill Lynch Bank Deposit | | Cash Equivalent, 3.15% | | ** | | 20,632,102 | |
| | | | | | | | |
| | Mutual Funds | | | | | | |
| | iShares | | Russell 2000 Value ETF | | ** | | 21,821,194 | |
| | AQR Funds | | Risk Balanced Commodities Strategy Fund | | ** | | 140,422,564 | |
| | Total Mutual Funds | | | | | | 162,243,758 | |
| | | | | | | | |
| | Government Securities | | | | | | |
| | Abu Dhabi Crude Oil Pipeline LLC | | $1,383,000 par, 4.6%, due November 2, 2047 | | ** | | 1,273,800 | |
| | ADNOC Murban RSC Ltd. | | $3,031,000 par, 5.13%, due September 11, 2054 | | ** | | 2,818,146 | |
| | Chile Electricity Lux | | $3,708,654 par, 5.58%, due October 20, 2035 | | ** | | 3,804,807 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Chile Electricity Lux | | $2,875,720 par, 5.67%, due October 20, 2035 | | ** | | 2,965,648 | |
| | Colombia Republic | | $1,189,000 par, 8.0%, due April 20, 2033 | | ** | | 1,275,975 | |
| | Connecticut Avenue Securities Trust | | $264,335 par, 5.37%, due July 25, 2043 | | ** | | 265,402 | |
| | Equinor ASA | | $3,540,000 par, 4.5%, due September 3, 2030 | | ** | | 3,582,057 | |
| | Federal Farm Credit | | $803,967 par, 3.00%, due August 1, 2050 | | ** | | 725,948 | |
| | FHLMC, Freddie Mac | | $1,003,339 par, 6.50%, due April 1, 2055 | | ** | | 1,068,615 | |
| | FHLMC, Freddie Mac | | $1,089,650 par, 3.50%, due March 1, 2048 | | ** | | 1,025,013 | |
| | FHLMC, Freddie Mac | | $1,097,172 par, 4.50%, due May 1, 2054 | | ** | | 1,080,834 | |
| | FHLMC, Freddie Mac | | $1,152,859 par, 5.00%, due June 1, 2054 | | ** | | 1,164,000 | |
| | FHLMC, Freddie Mac | | $1,155,664 par, 5.00%, due June 1, 2054 | | ** | | 1,167,136 | |
| | FHLMC, Freddie Mac | | $1,164,132 par, Floating Rate, due May 25, 2044 | | ** | | 1,167,043 | |
| | FHLMC, Freddie Mac | | $1,197,111 par, 4.50%, due September 1, 2050 | | ** | | 1,192,132 | |
| | FHLMC, Freddie Mac | | $1,321,160 par, 3.50%, due January 25, 2051 | | ** | | 1,287,118 | |
| | FHLMC, Freddie Mac | | $1,370,470 par, 3.00%, due July 1, 2050 | | ** | | 1,237,480 | |
| | FHLMC, Freddie Mac | | $1,532,257 par, Floating Rate, due September 25, 2045 | | ** | | 1,534,917 | |
| | FHLMC, Freddie Mac | | $1,616,137 par, 1.00%, due January 15, 2041 | | ** | | 1,418,900 | |
| | FHLMC, Freddie Mac | | $1,622,722 par, 2.00%, due September 1, 2051 | | ** | | 1,323,165 | |
| | FHLMC, Freddie Mac | | $1,752,650 par, 3.50%, due November 1, 2047 | | ** | | 1,643,301 | |
| | FHLMC, Freddie Mac | | $1,880,622 par, 4.46%, August 25, 2031 | | ** | | 1,905,908 | |
| | FHLMC, Freddie Mac | | $1,922,945 par, 2.00%, due August 1, 2050 | | ** | | 1,576,378 | |
| | FHLMC, Freddie Mac | | $1,929,085 par, 5.50%, due May 1, 2054 | | ** | | 1,972,568 | |
| | FHLMC, Freddie Mac | | $1,960,632 par, 4.00%, due November 25, 2051 | | ** | | 1,951,948 | |
| | FHLMC, Freddie Mac | | $107,345 par, 4.00%, due August 1, 2048 | | ** | | 104,423 | |
| | FHLMC, Freddie Mac | | $152,955 par, 3.00%, due May 1, 2037 | | ** | | 147,372 | |
| | FHLMC, Freddie Mac | | $168,152 par, 4.97%, due February 25, 2042 | | ** | | 168,357 | |
| | FHLMC, Freddie Mac | | $183,595 par, 3.00%, due December 1, 2049 | | ** | | 165,887 | |
| | FHLMC, Freddie Mac | | $2,011,847 par, 3.00%, due June 1, 2050 | | ** | | 1,816,003 | |
| | FHLMC, Freddie Mac | | $2,079,848 par, 2.50%, due February 1, 2052 | | ** | | 1,790,259 | |
| | FHLMC, Freddie Mac | | $2,098,507 par, 4.90%, due October 25, 2033 | | ** | | 2,166,926 | |
| | FHLMC, Freddie Mac | | $2,161,593 par, 2.50%, due July 1, 2051 | | ** | | 1,871,545 | |
| | FHLMC, Freddie Mac | | $2,188,183 par, 5.00%, due February 1, 2055 | | ** | | 2,196,860 | |
| | FHLMC, Freddie Mac | | $2,208,603 par, 2.50%, due April 1, 2052 | | ** | | 1,914,653 | |
| | FHLMC, Freddie Mac | | $2,216,706 par, 2.50%, due August 1, 2051 | | ** | | 1,913,281 | |
| | FHLMC, Freddie Mac | | $2,222,446 par, 3.00%, due July 1, 2052 | | ** | | 1,973,815 | |
| | FHLMC, Freddie Mac | | $2,252,530 par, 2.00%, due December 1, 2051 | | ** | | 1,857,210 | |
| | FHLMC, Freddie Mac | | $2,425,962 par, 5.50%, due June 1, 2053 | | ** | | 2,474,166 | |
| | FHLMC, Freddie Mac | | $2,453,154 par, 4.00%, due July 1, 2049 | | ** | | 2,394,502 | |
| | FHLMC, Freddie Mac | | $2,465,554 par, 4.00%, due August 1, 2052 | | ** | | 2,360,753 | |
| | FHLMC, Freddie Mac | | $2,623,637 par, 6.50%, due August 1, 2054 | | ** | | 2,749,630 | |
| | FHLMC, Freddie Mac | | $2,623,729 par, 2.50%, due December 1, 2035 | | ** | | 2,491,519 | |
| | FHLMC, Freddie Mac | | $2,677,677 par, 2.50%, due May 1, 2052 | | ** | | 2,286,233 | |
| | FHLMC, Freddie Mac | | $2,680,871 par, 5.00%, due September 1, 2040 | | ** | | 2,725,275 | |
| | FHLMC, Freddie Mac | | $2,798,599 par, 6.00%, due February 1, 2055 | | ** | | 2,946,187 | |
| | FHLMC, Freddie Mac | | $2,805,462 par, 5.50%, due June 1, 2055 | | ** | | 2,899,516 | |
| | FHLMC, Freddie Mac | | $2,822,545 par, 5.00%, due August 25, 2054 | | ** | | 2,838,353 | |
| | FHLMC, Freddie Mac | | $2,823,755 par, 3.00%, due October 1, 2053 | | ** | | 2,508,215 | |
| | FHLMC, Freddie Mac | | $2,906,161 par, 2.50%, due November 1, 2051 | | ** | | 2,522,271 | |
| | FHLMC, Freddie Mac | | $204,253 par, 3.00%, due February 1, 2050 | | ** | | 185,025 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | FHLMC, Freddie Mac | | $215,040 par, 2.50%, due July 1, 2035 | | ** | | 204,198 | |
| | FHLMC, Freddie Mac | | $230,705 par, 2.50%, due March 1, 2051 | | ** | | 197,721 | |
| | FHLMC, Freddie Mac | | $252,435 par, 3.00%, due September 1, 2050 | | ** | | 228,112 | |
| | FHLMC, Freddie Mac | | $294,465 par, 4.00%, due September 1, 2052 | | ** | | 283,885 | |
| | FHLMC, Freddie Mac | | $295,437 par, 2.50%, due February 1, 2051 | | ** | | 253,410 | |
| | FHLMC, Freddie Mac | | $3,029,846 par, 6.00%, due September 1, 2054 | | ** | | 3,145,158 | |
| | FHLMC, Freddie Mac | | $3,034,102 par, 6.50%, due August 1, 2055 | | ** | | 3,189,836 | |
| | FHLMC, Freddie Mac | | $3,088,961 par, 6.00%, due January 1, 2053 | | ** | | 3,177,711 | |
| | FHLMC, Freddie Mac | | $3,102,392 par, 3.50%, due January 1, 2051 | | ** | | 2,911,687 | |
| | FHLMC, Freddie Mac | | $3,130,452 par, 2.00%, due November 1, 2050 | | ** | | 2,564,308 | |
| | FHLMC, Freddie Mac | | $3,269,861 par, 2.00%, due May 1, 2051 | | ** | | 2,669,286 | |
| | FHLMC, Freddie Mac | | $3,487,609 par, 5.00%, due August 1, 2045 | | ** | | 3,557,697 | |
| | FHLMC, Freddie Mac | | $3,568,870 par, 4.00%, due May 1, 2052 | | ** | | 3,428,493 | |
| | FHLMC, Freddie Mac | | $3,608,657 par, 4.50%, December 25, 2036 | | ** | | 3,613,974 | |
| | FHLMC, Freddie Mac | | $3,932,025 par, 3.50%, due September 25, 2044 | | ** | | 3,831,478 | |
| | FHLMC, Freddie Mac | | $3,933,774 par, 3.50%, due August 1, 2052 | | ** | | 3,642,442 | |
| | FHLMC, Freddie Mac | | $320,626 par, 3.00%, due May 1, 2037 | | ** | | 311,070 | |
| | FHLMC, Freddie Mac | | $328,965 par, 2.50%, due September 1, 2052 | | ** | | 281,210 | |
| | FHLMC, Freddie Mac | | $345,034 par, 3.00%, due January 1, 2050 | | ** | | 311,232 | |
| | FHLMC, Freddie Mac | | $358,787 par, 6.00%, due November 1, 2054 | | ** | | 376,535 | |
| | FHLMC, Freddie Mac | | $359,851 par, 3.00%, due November 1, 2049 | | ** | | 324,603 | |
| | FHLMC, Freddie Mac | | $37,914 par, 3.00%, due February 1, 2050 | | ** | | 34,248 | |
| | FHLMC, Freddie Mac | | $380,744 par, 2.50%, due March 1, 2052 | | ** | | 328,366 | |
| | FHLMC, Freddie Mac | | $381,005 par, 2.50%, due April 1, 2052 | | ** | | 325,815 | |
| | FHLMC, Freddie Mac | | $388,944 par, 2.00%, due December 31, 2049 | | ** | | 372,398 | |
| | FHLMC, Freddie Mac | | $4,031,486 par, 2.00%, due August 1, 2051 | | ** | | 3,284,789 | |
| | FHLMC, Freddie Mac | | $4,047,534 par, 3.00%, due June 1, 2052 | | ** | | 3,594,716 | |
| | FHLMC, Freddie Mac | | $4,591,209 par, 2.00%, due November 1, 2051 | | ** | | 3,727,631 | |
| | FHLMC, Freddie Mac | | $4,995,352 par, 2.00%, due February 1, 2051 | | ** | | 4,088,817 | |
| | FHLMC, Freddie Mac | | $417,130 par, 3.50%, due October 15, 2053 | | ** | | 410,110 | |
| | FHLMC, Freddie Mac | | $426,146 par, 5.00%, due February 1, 2055 | | ** | | 427,825 | |
| | FHLMC, Freddie Mac | | $430,354 par, 2.50%, due December 1, 2051 | | ** | | 368,015 | |
| | FHLMC, Freddie Mac | | $471,639 par, 3.50%, due March 1, 2048 | | ** | | 444,193 | |
| | FHLMC, Freddie Mac | | $472,914 par, 2.50%, due June 1, 2050 | | ** | | 405,842 | |
| | FHLMC, Freddie Mac | | $494,209 par, 6.50%, due February 1, 2055 | | ** | | 518,415 | |
| | FHLMC, Freddie Mac | | $5,243,682 par, 2.00%, due February 1, 2052 | | ** | | 4,323,387 | |
| | FHLMC, Freddie Mac | | $5,495,447 par, 5.50%, due February 1, 2053 | | ** | | 5,591,927 | |
| | FHLMC, Freddie Mac | | $5,757,817 par, 2.50%, due February 1, 2052 | | ** | | 4,918,409 | |
| | FHLMC, Freddie Mac | | $54,402 par, 3.50%, due October 1, 2047 | | ** | | 51,265 | |
| | FHLMC, Freddie Mac | | $57,266 par, 2.50%, due August 1, 2050 | | ** | | 49,076 | |
| | FHLMC, Freddie Mac | | $590,017 par, 6.00%, due March 1, 2055 | | ** | | 612,559 | |
| | FHLMC, Freddie Mac | | $6,179,878 par, 5.50%, due November 1, 2055 | | ** | | 6,387,072 | |
| | FHLMC, Freddie Mac | | $6,550 par, 6.50%, due June 1, 2054 | | ** | | 6,850 | |
| | FHLMC, Freddie Mac | | $610,440 par, 3.00%, due April 1, 2050 | | ** | | 551,258 | |
| | FHLMC, Freddie Mac | | $611,000 par, 6.25%, due July 15, 2032 | | ** | | 687,581 | |
| | FHLMC, Freddie Mac | | $615,518 par, 3.00%, due January 1, 2050 | | ** | | 555,219 | |
| | FHLMC, Freddie Mac | | $711,617 par, 4.72%, due January 25, 2045 | | ** | | 712,500 | |
| | FHLMC, Freddie Mac | | $73,918 par, 6.17%, due March 25, 2052 | | ** | | 74,463 | |
| | FHLMC, Freddie Mac | | $799,861 par, 5.00%, due December 1, 2040 | | ** | | 809,184 | |
| | FHLMC, Freddie Mac | | $800,920 par, 1.50%, due June 1, 2037 | | ** | | 722,884 | |
| | FHLMC, Freddie Mac | | $844,047 par, 2.00%, due December 1, 2050 | | ** | | 691,401 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | FHLMC, Freddie Mac | | $894,406 par, 2.50%, due December 1, 2050 | | ** | | 766,900 | |
| | FHLMC, Freddie Mac | | $896,673 par, 2.50%, due December 1, 2051 | | ** | | 771,828 | |
| | FHLMC, Freddie Mac | | $901,000 par, 3.51%, due March 1, 2029 | | ** | | 890,865 | |
| | FHLMC, Freddie Mac | | $940,677 par, 6.00%, due September 1, 2054 | | ** | | 991,194 | |
| | FHLMC, Freddie Mac | | $944,469 par, Floating Rate, due February 25, 2044 | | ** | | 946,801 | |
| | FHLMC, Freddie Mac | | $984,462 par, 3.00%, due May 1, 2037 | | ** | | 955,564 | |
| | FNMA, Fannie Mae | | $1,029,241 par, 2.50%, due September 1, 2035 | | ** | | 977,312 | |
| | FNMA, Fannie Mae | | $1,040,072 par, 3.00%, due November 1, 2049 | | ** | | 938,301 | |
| | FNMA, Fannie Mae | | $1,158,448 par, 2.00%, due June 25, 2046 | | ** | | 1,056,785 | |
| | FNMA, Fannie Mae | | $1,198,662 par, 2.50%, due July 1, 2036 | | ** | | 1,138,528 | |
| | FNMA, Fannie Mae | | $1,246,511 par, 3.00%, due December 1, 2049 | | ** | | 1,124,283 | |
| | FNMA, Fannie Mae | | $1,302,876 par, 2.00%, due June 1, 2050 | | ** | | 1,068,874 | |
| | FNMA, Fannie Mae | | $1,485,906 par, 4.00%, due December 1, 2052 | | ** | | 1,433,607 | |
| | FNMA, Fannie Mae | | $1,560,059 par, 4.00%, due June 1, 2048 | | ** | | 1,517,601 | |
| | FNMA, Fannie Mae | | $1,566,872 par, 3.50%, due September 1, 2052 | | ** | | 1,450,830 | |
| | FNMA, Fannie Mae | | $1,569,601 par, 3.00%, due February 1, 2050 | | ** | | 1,394,625 | |
| | FNMA, Fannie Mae | | $1,570,000 par, 3.00% | | ** | | 1,507,610 | |
| | FNMA, Fannie Mae | | $1,592,535 par, 2.50%, due August 1, 2050 | | ** | | 1,366,004 | |
| | FNMA, Fannie Mae | | $1,597,244 par, 2.00%, due February 1, 2052 | | ** | | 1,312,295 | |
| | FNMA, Fannie Mae | | $1,612,127 par, 1.50%, due May 1, 2037 | | ** | | 1,455,058 | |
| | FNMA, Fannie Mae | | $1,654,840 par, 2.5%, due April 1, 2042 | | ** | | 1,472,853 | |
| | FNMA, Fannie Mae | | $1,657,137 par, 2.00%, due February 1, 2051 | | ** | | 1,356,063 | |
| | FNMA, Fannie Mae | | $1,689,379 par, 3.50%, due May 1, 2052 | | ** | | 1,572,102 | |
| | FNMA, Fannie Mae | | $1,737,729 par, 2.00%, due April 1, 2042 | | ** | | 1,516,596 | |
| | FNMA, Fannie Mae | | $1,755,730 par, 2.50%, due December 1, 2034 | | ** | | 1,670,952 | |
| | FNMA, Fannie Mae | | $1,919,026 par, 2.50%, due December 1, 2051 | | ** | | 1,649,358 | |
| | FNMA, Fannie Mae | | $1,933,533 par, 2.00%, due August 1, 2051 | | ** | | 1,577,202 | |
| | FNMA, Fannie Mae | | $1,999,530 par, 3.50%, due May 1, 2052 | | ** | | 1,858,159 | |
| | FNMA, Fannie Mae | | $10,295,000 par, 3.00% | | ** | | 9,123,296 | |
| | FNMA, Fannie Mae | | $10,465,000 par, 6.00% | | ** | | 10,715,945 | |
| | FNMA, Fannie Mae | | $106,734 par, 2.00%, due September 1, 2050 | | ** | | 87,564 | |
| | FNMA, Fannie Mae | | $115,830 par, 3.00%, due December 1, 2049 | | ** | | 104,672 | |
| | FNMA, Fannie Mae | | $12,030,000 par, 5.50% | | ** | | 12,182,776 | |
| | FNMA, Fannie Mae | | $13,445,000 par, 2.50% | | ** | | 11,410,405 | |
| | FNMA, Fannie Mae | | $14,970,000 par, 2.00% | | ** | | 12,141,223 | |
| | FNMA, Fannie Mae | | $145,393 par, 3.50%, due September 1, 2047 | | ** | | 136,828 | |
| | FNMA, Fannie Mae | | $146,253 par, 3.00%, due May 1, 2036 | | ** | | 142,449 | |
| | FNMA, Fannie Mae | | $160,051 par, 3.00%, due October 1, 2035 | | ** | | 154,382 | |
| | FNMA, Fannie Mae | | $161,268 par, 2.50%, due December 1, 2050 | | ** | | 138,328 | |
| | FNMA, Fannie Mae | | $163,504 par, 2.50%, due October 1, 2034 | | ** | | 155,877 | |
| | FNMA, Fannie Mae | | $165,770 par, 3.00%, due December 1, 2049 | | ** | | 149,744 | |
| | FNMA, Fannie Mae | | $187,453 par, 3.00%, due February 1, 2050 | | ** | | 166,557 | |
| | FNMA, Fannie Mae | | $190,349 par, 2.50%, due September 1, 2042 | | ** | | 172,123 | |
| | FNMA, Fannie Mae | | $2,035,448 par, 3.00%, due February 1, 2050 | | ** | | 1,838,633 | |
| | FNMA, Fannie Mae | | $2,130,000 par, 5.00% | | ** | | 2,153,911 | |
| | FNMA, Fannie Mae | | $2,135,000 par, 6.50% | | ** | | 2,210,893 | |
| | FNMA, Fannie Mae | | $2,192,525 par, 5.50%, due September 1, 2055 | | ** | | 2,250,088 | |
| | FNMA, Fannie Mae | | $2,199,539 par, 5.00%, due February 1, 2053 | | ** | | 2,208,257 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | FNMA, Fannie Mae | | $2,238,049 par, 3.00%, due May 1, 2052 | | ** | | 1,987,958 | |
| | FNMA, Fannie Mae | | $2,277,313 par, due September 25, 2045 | | ** | | 2,281,347 | |
| | FNMA, Fannie Mae | | $2,304,948 par, 5.50%, due February 1, 2053 | | ** | | 2,354,729 | |
| | FNMA, Fannie Mae | | $2,316,757 par, 2.50%, due November 1, 2036 | | ** | | 2,191,980 | |
| | FNMA, Fannie Mae | | $2,349,903 par, 1.50%, due December 1, 2050 | | ** | | 1,820,993 | |
| | FNMA, Fannie Mae | | $2,526,911 par, 4.50%, due October 1, 2052 | | ** | | 2,494,384 | |
| | FNMA, Fannie Mae | | $2,548,530 par, 2.5%, due August 1, 2051 | | ** | | 2,207,560 | |
| | FNMA, Fannie Mae | | $2,567,051 par, 1.50%, due March 1, 2051 | | ** | | 1,989,266 | |
| | FNMA, Fannie Mae | | $2,620,000 par, 3.50% | | ** | | 2,423,060 | |
| | FNMA, Fannie Mae | | $2,729,526 par, 5.00%, due October 25, 2054 | | ** | | 2,757,939 | |
| | FNMA, Fannie Mae | | $2,743,469 par, 5.00%, due October 1, 2055 | | ** | | 2,776,451 | |
| | FNMA, Fannie Mae | | $2,946,865 par, 3.50%, due June 1, 2052 | | ** | | 2,743,172 | |
| | FNMA, Fannie Mae | | $201,265 par, 3.00%, due July 1, 2049 | | ** | | 182,083 | |
| | FNMA, Fannie Mae | | $206,797 par, due January 25, 2044 | | ** | | 207,015 | |
| | FNMA, Fannie Mae | | $224,345 par, 2.00%, due October 1, 2041 | | ** | | 196,355 | |
| | FNMA, Fannie Mae | | $244,355 par, 2.50%, due April 1, 2052 | | ** | | 209,806 | |
| | FNMA, Fannie Mae | | $250,465 par, 3.50%, due January 1, 2048 | | ** | | 234,651 | |
| | FNMA, Fannie Mae | | $263,110 par, 3.00%, due January 1, 2051 | | ** | | 233,774 | |
| | FNMA, Fannie Mae | | $276,698 par, 2.50%, due February 1, 2052 | | ** | | 236,358 | |
| | FNMA, Fannie Mae | | $3,009,003 par, 3.50%, due May 1, 2052 | | ** | | 2,793,553 | |
| | FNMA, Fannie Mae | | $3,049,934 par, 2.00%, due June 1, 2041 | | ** | | 2,675,726 | |
| | FNMA, Fannie Mae | | $3,180,015 par, 2.00%, due December 1, 2050 | | ** | | 2,605,572 | |
| | FNMA, Fannie Mae | | $3,199,678 par, 2.00%, due November 1, 2051 | | ** | | 2,607,026 | |
| | FNMA, Fannie Mae | | $3,387,786 par, 6.50%, due November 1, 2055 | | ** | | 3,578,878 | |
| | FNMA, Fannie Mae | | $3,419,523 par, 4.00%, due June 1, 2052 | | ** | | 3,284,794 | |
| | FNMA, Fannie Mae | | $3,472,013 par, 1.50%, due August 1, 2036 | | ** | | 3,142,563 | |
| | FNMA, Fannie Mae | | $3,481,993 par, 6.00%, due November 1, 2055 | | ** | | 3,641,763 | |
| | FNMA, Fannie Mae | | $3,491,754 par, 4.50%, due August 1, 2052 | | ** | | 3,435,164 | |
| | FNMA, Fannie Mae | | $3,517,316 par, 2.50%, due March 1, 2052 | | ** | | 3,003,436 | |
| | FNMA, Fannie Mae | | $3,521,629 par, 5.00%, due October 1, 2055 | | ** | | 3,556,376 | |
| | FNMA, Fannie Mae | | $3,677,556 par, 6.00%, due December 1, 2055 | | ** | | 3,835,240 | |
| | FNMA, Fannie Mae | | $3,683,444 par, 6.00%, due July 1, 2054 | | ** | | 3,834,286 | |
| | FNMA, Fannie Mae | | $3,704,423 par, 2.00%, due September 1, 2051 | | ** | | 3,021,741 | |
| | FNMA, Fannie Mae | | $3,723,026 par, 5.00%, due October 1, 2055 | | ** | | 3,762,625 | |
| | FNMA, Fannie Mae | | $3,755,250 par, 2.50%, due June 1, 2051 | | ** | | 3,215,976 | |
| | FNMA, Fannie Mae | | $304,606 par, 3.00%, due July 1, 2050 | | ** | | 276,155 | |
| | FNMA, Fannie Mae | | $337,326 par, 2.00%, due November 1, 2050 | | ** | | 276,217 | |
| | FNMA, Fannie Mae | | $344,762 par, 2.50%, due April 1, 2052 | | ** | | 294,048 | |
| | FNMA, Fannie Mae | | $344,856 par, 3.00%, due January 1, 2050 | | ** | | 311,483 | |
| | FNMA, Fannie Mae | | $345,215 par, 2.50%, due September 1, 2052 | | ** | | 294,054 | |
| | FNMA, Fannie Mae | | $354,301 par, 5.50%, due May 1, 2054 | | ** | | 361,207 | |
| | FNMA, Fannie Mae | | $371,144 par, 2.00%, due October 1, 2050 | | ** | | 304,100 | |
| | FNMA, Fannie Mae | | $372,028 par, 2.50%, due March 1, 2052 | | ** | | 320,817 | |
| | FNMA, Fannie Mae | | $375,895 par, 6.50%, due March 1, 2055 | | ** | | 397,231 | |
| | FNMA, Fannie Mae | | $4,317,297 par, 5.50%, due January 1, 2055 | | ** | | 4,398,816 | |
| | FNMA, Fannie Mae | | $4,379,026 par, 6.00%, due December 1, 2055 | | ** | | 4,564,155 | |
| | FNMA, Fannie Mae | | $4,495,362 par, 5.00%, due March 1, 2053 | | ** | | 4,515,256 | |
| | FNMA, Fannie Mae | | $4,635,000 par, due February 1, 2056 | | ** | | 4,851,447 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | FNMA, Fannie Mae | | $4,941,419 par, 2.50%, due June 1, 2051 | | ** | | 4,231,803 | |
| | FNMA, Fannie Mae | | $428,179 par, 2.50%, due August 1, 2035 | | ** | | 406,592 | |
| | FNMA, Fannie Mae | | $453,721 par, 3.00%, due May 1, 2050 | | ** | | 409,691 | |
| | FNMA, Fannie Mae | | $471,641 par, 3.00%, due October 1, 2051 | | ** | | 382,928 | |
| | FNMA, Fannie Mae | | $498,240 par, 2.00%, due October 1, 2051 | | ** | | 411,008 | |
| | FNMA, Fannie Mae | | $5,050,198 par, 2.00%, due January 1, 2052 | | ** | | 4,143,176 | |
| | FNMA, Fannie Mae | | $5,510,000 par, 4.00% | | ** | | 5,261,668 | |
| | FNMA, Fannie Mae | | $5,625,000 par, 2.00% | | ** | | 5,195,156 | |
| | FNMA, Fannie Mae | | $506,942 par, 3.00%, due September 1, 2050 | | ** | | 459,593 | |
| | FNMA, Fannie Mae | | $554,055 par, 6.00%, due July 1, 2054 | | ** | | 576,461 | |
| | FNMA, Fannie Mae | | $57,478 par, 3.50%, due June 1, 2047 | | ** | | 54,211 | |
| | FNMA, Fannie Mae | | $582,994 par, 3.50%, due October 1, 2048 | | ** | | 547,716 | |
| | FNMA, Fannie Mae | | $592,166 par, 6.50%, due April 1, 2055 | | ** | | 619,876 | |
| | FNMA, Fannie Mae | | $594,417 par, 2.00%, due October 1, 2051 | | ** | | 484,503 | |
| | FNMA, Fannie Mae | | $6,135,100 par, 2.00%, due February 1, 2052 | | ** | | 5,010,142 | |
| | FNMA, Fannie Mae | | $6,596,863 par, 1.50%, due January 1, 2051 | | ** | | 5,113,520 | |
| | FNMA, Fannie Mae | | $6,919,935 par, 2.50%, due April 1, 2052 | | ** | | 5,911,050 | |
| | FNMA, Fannie Mae | | $611,621 par, 3.00%, due July 1, 2049 | | ** | | 553,051 | |
| | FNMA, Fannie Mae | | $634,117 par, 3.00%, due March 1, 2050 | | ** | | 571,929 | |
| | FNMA, Fannie Mae | | $639,054 par, Floating Rate, due June 25, 2043 | | ** | | 644,424 | |
| | FNMA, Fannie Mae | | $650,818 par, 2.50% due March 1, 2052 | | ** | | 555,403 | |
| | FNMA, Fannie Mae | | $690,392 par, 3.00%, due November 1, 2049 | | ** | | 622,767 | |
| | FNMA, Fannie Mae | | $7,859,904 par, 2.00%, due January 1, 2051 | | ** | | 6,436,801 | |
| | FNMA, Fannie Mae | | $7,995,000 par, 5.00% | | ** | | 7,981,554 | |
| | FNMA, Fannie Mae | | $71,294 par, due December 25, 2041 | | ** | | 71,294 | |
| | FNMA, Fannie Mae | | $745,290 par, 1.50%, due September 1, 2036 | | ** | | 673,166 | |
| | FNMA, Fannie Mae | | $757,883 par, 2.50%, due September 1, 2036 | | ** | | 719,669 | |
| | FNMA, Fannie Mae | | $767,044 par, 4.50%, due July 1, 2048 | | ** | | 757,616 | |
| | FNMA, Fannie Mae | | $889,653 par, 3.00%, due March 1, 2037 | | ** | | 858,848 | |
| | FNMA, Fannie Mae | | $9,705,000 par, 4.50% | | ** | | 9,507,180 | |
| | FNMA, Fannie Mae | | $913,706 par, 1.50%, due November 1, 2036 | | ** | | 826,176 | |
| | FNMA, Fannie Mae | | $92,444 par, 3.00%, due May 1, 2050 | | ** | | 83,829 | |
| | FNMA, Fannie Mae | | $929,981 par, 2.00%, due June 25, 2041 | | ** | | 855,979 | |
| | FNMA, Fannie Mae | | $95,256 par, 2.00%, due March 1, 2052 | | ** | | 78,316 | |
| | FNMA, Fannie Mae | | $96,300 par, 3.00%, due November 1, 2050 | | ** | | 86,955 | |
| | GNMA, Ginnie Mae | | $1,060,735 par, 3.50%, due May 20, 2046 | | ** | | 997,296 | |
| | GNMA, Ginnie Mae | | $1,129,883 par, 4.00%, due August 20, 2045 | | ** | | 1,089,608 | |
| | GNMA, Ginnie Mae | | $1,260,000 par, 4.5% | | ** | | 1,230,225 | |
| | GNMA, Ginnie Mae | | $1,306,754 par, 3.00%, due July 20, 2051 | | ** | | 1,181,156 | |
| | GNMA, Ginnie Mae | | $1,363,856 par, 3.00%, due May 20, 2051 | | ** | | 1,233,049 | |
| | GNMA, Ginnie Mae | | $1,402,795 par, 3.5%, due February 20, 2046 | | ** | | 1,318,903 | |
| | GNMA, Ginnie Mae | | $1,763,844 par, 3.5%, due April 20, 2047 | | ** | | 1,656,497 | |
| | GNMA, Ginnie Mae | | $1,773,076 par, 2.00%, due October 20, 2050 | | ** | | 1,435,514 | |
| | GNMA, Ginnie Mae | | $1,784,501 par, 3.00%, due October 20, 2049 | | ** | | 1,620,359 | |
| | GNMA, Ginnie Mae | | $1,792,489 par, 3.00%, due January 20, 2050 | | ** | | 1,624,807 | |
| | GNMA, Ginnie Mae | | $1,815,000 par, 4.00% | | ** | | 1,716,048 | |
| | GNMA, Ginnie Mae | | $1,835,681 par, 3.00%, due October 20, 2051 | | ** | | 1,658,870 | |
| | GNMA, Ginnie Mae | | $1,940,000 par, 2.5% | | ** | | 1,680,072 | |
| | GNMA, Ginnie Mae | | $10,020,000 par, 5.50% | | ** | | 10,129,448 | |
| | GNMA, Ginnie Mae | | $14,963 par, 3.50%, due September 20, 2046 | | ** | | 14,063 | |
| | GNMA, Ginnie Mae | | $145,071 par, 3.50%, due March 20, 2047 | | ** | | 136,272 | |
| | GNMA, Ginnie Mae | | $2,081,680 par, 4.00%, due November 20, 2052 | | ** | | 1,982,783 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | GNMA, Ginnie Mae | | $2,105,464 par, 3.00%, due September 20, 2051 | | ** | | 1,902,987 | |
| | GNMA, Ginnie Mae | | $2,314,266 par, 4.50%, due May 20, 2053 | | ** | | 2,272,481 | |
| | GNMA, Ginnie Mae | | $2,836,577 par, 3.00%, due August 20, 2051 | | ** | | 2,562,983 | |
| | GNMA, Ginnie Mae | | $2,895,000 par, 3.5% | | ** | | 2,651,672 | |
| | GNMA, Ginnie Mae | | $2,972,359 par, 3.00%, due November 20, 2049 | | ** | | 2,691,413 | |
| | GNMA, Ginnie Mae | | $3,188,913 par, 2.50%, due January 20, 2052 | | ** | | 2,763,821 | |
| | GNMA, Ginnie Mae | | $3,243,814 par, 2.00%, due December 20, 2051 | | ** | | 2,699,655 | |
| | GNMA, Ginnie Mae | | $3,555,113 par, 2%, due October 20, 2051 | | ** | | 2,958,761 | |
| | GNMA, Ginnie Mae | | $3,712,156 par, 2.5%, due February 20, 2051 | | ** | | 3,218,533 | |
| | GNMA, Ginnie Mae | | $3,990,536 par, 2.50%, due December 20, 2051 | | ** | | 3,458,571 | |
| | GNMA, Ginnie Mae | | $340,670 par, 4.00%, due June 20, 2047 | | ** | | 328,691 | |
| | GNMA, Ginnie Mae | | $341,416 par, 4.00%, due December 20, 2047 | | ** | | 329,041 | |
| | GNMA, Ginnie Mae | | $344,544 par, 3.50%, due November 20, 2047 | | ** | | 323,395 | |
| | GNMA, Ginnie Mae | | $367,758 par, 2%, due February 20, 2051 | | ** | | 299,252 | |
| | GNMA, Ginnie Mae | | $368,705 par, 4%, due September 20, 2047 | | ** | | 355,541 | |
| | GNMA, Ginnie Mae | | $370,852 par, 4.0%, due January 20, 2048 | | ** | | 356,754 | |
| | GNMA, Ginnie Mae | | $392,194 par, 4%, due July 20, 2045 | | ** | | 379,566 | |
| | GNMA, Ginnie Mae | | $4,061,380 par, 4.5%, due January 20, 2053 | | ** | | 3,991,513 | |
| | GNMA, Ginnie Mae | | $4,304,992 par, 2.50%, due September 20, 2051 | | ** | | 3,731,129 | |
| | GNMA, Ginnie Mae | | $4,610,000 par, 6.0% | | ** | | 4,698,873 | |
| | GNMA, Ginnie Mae | | $4,678,865 par, 2.00%, due January 20, 2052 | | ** | | 3,894,002 | |
| | GNMA, Ginnie Mae | | $4,775,811 par, 2.50%, due November 20, 2051 | | ** | | 4,139,175 | |
| | GNMA, Ginnie Mae | | $416,716 par, 3.50%, due April 20, 2046 | | ** | | 391,794 | |
| | GNMA, Ginnie Mae | | $453,930 par, 3.00%, due July 20, 2049 | | ** | | 412,068 | |
| | GNMA, Ginnie Mae | | $458,677 par, 3.5%, due December 20, 2047 | | ** | | 428,963 | |
| | GNMA, Ginnie Mae | | $5,127,842 par, 2.00%, due November 20, 2051 | | ** | | 4,267,650 | |
| | GNMA, Ginnie Mae | | $5,350,000 par, 6.50% | | ** | | 5,532,149 | |
| | GNMA, Ginnie Mae | | $55,568 par, 3.5%, due August 20, 2046 | | ** | | 52,484 | |
| | GNMA, Ginnie Mae | | $618,421 par, 3.5%, due July 20, 2047 | | ** | | 580,272 | |
| | GNMA, Ginnie Mae | | $686,473 par, 3.5%, due March 20, 2046 | | ** | | 645,419 | |
| | GNMA, Ginnie Mae | | $7,290,000 par, 2.00% | | ** | | 6,061,392 | |
| | GNMA, Ginnie Mae | | $772,331 par, 3.5%, due May 20, 2047 | | ** | | 725,247 | |
| | GNMA, Ginnie Mae | | $800,000 par, 3% | | ** | | 722,200 | |
| | GNMA, Ginnie Mae | | $892,385 par, 3.5%, due April 20, 2048 | | ** | | 835,408 | |
| | GNMA, Ginnie Mae | | $897,235 par, 3.5%, due February 20, 2047 | | ** | | 842,910 | |
| | GNMA, Ginnie Mae | | $9,060,000 par, 5.00% | | ** | | 9,057,845 | |
| | GNMA, Ginnie Mae | | $928,978 par, 4.00%, due July 20, 2047 | | ** | | 896,765 | |
| | GNMA, Ginnie Mae | | $96,118 par, 4.00%, due May 20, 2047 | | ** | | 92,582 | |
| | Illinois State Taxable Pension | | $11,975,735 par, 5.10%, due June 1, 2033 | | ** | | 12,257,948 | |
| | Israel State Bond | | $1,441,000 par, 5.88%, due January 13, 2056 | | ** | | 1,403,107 | |
| | Kuwait International Bond | | $1,315,000 par, 4.02%, due October 9, 2028 | | ** | | 1,313,730 | |
| | Kuwait International Bond | | $3,402,000 par, 4.14%, due October 9, 2030 | | ** | | 3,378,374 | |
| | Kuwait International Bond | | $7,991,000 par, 4.65%, due October 9, 2035 | | ** | | 7,878,384 | |
| | Mexico (United Mexican States) | | $1,390,000 par, 6.13%, due February 9, 2038 | | ** | | 1,384,440 | |
| | New York | | $1,200,000 par, 5.39%, due October 1, 2055 | | ** | | 1,170,900 | |
| | New York | | $460,000 par, 5.11%, due October 1, 2054 | | ** | | 431,018 | |
| | New York | | $675,000 par, 5.09%, due October 1, 2049 | | ** | | 637,551 | |
| | New York | | $685,000 par, 5.37%, due October 1, 2051 | | ** | | 668,743 | |
| | Office Cherifien Des Phosphates | | $1,859,000 par, 6.70%, due March 1, 2036 | | ** | | 1,970,099 | |
| | Panama Republic | | $768,000 par, 4.50%, due January 19, 2063 | | ** | | 559,949 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | PT Freeport Indonesia | | $1,065,000 par, 5.32%, due April 14, 2032 | | ** | | 1,084,434 | |
| | Qatar Pete | | $8,038,000 par, 3.12%, due July 12, 2041 | | ** | | 6,146,546 | |
| | Republic of Peru | | $746,000 par, 6.2%, due June 30, 2055 | | ** | | 762,561 | |
| | Saudi Arabia KGDM | | $1,491,000 par, 5.88%, due January 12, 2056 | | ** | | 1,453,187 | |
| | Tennessee Valley Authority | | $1,761,000 par, 4.25%, due September 15, 2052 | | ** | | 1,492,800 | |
| | Tennessee Valley Authority | | $3,141,000 par, 5.25%, due February 1, 2055 | | ** | | 3,112,642 | |
| | Tennessee Valley Authority | | $4,336,000 par, 4.88%, due May 15, 2035 | | ** | | 4,465,636 | |
| | Texas Natural Gas Securitization Finance Corp. | | $2,519,000 par, 5.17%, due April 1, 2041 | | ** | | 2,553,659 | |
| | Texas Natural Gas Securitization Finance Corp. | | $4,051,731 par, 0.00%, due April 1, 2035 | | ** | | 4,177,350 | |
| | U.S. Treasury | | $1,004,000 par, 3.50%, due December 15, 2028 | | ** | | 1,001,255 | |
| | U.S. Treasury | | $10,625,000 par, 2.00%, due November 15, 2041 | | ** | | 7,391,016 | |
| | U.S. Treasury | | $10,870,000 par, 4.00%, due July 31, 2029 | | ** | | 10,988,891 | |
| | U.S. Treasury | | $11,124,000 par, 4.63%, due November 15, 2044 | | ** | | 10,853,722 | |
| | U.S. Treasury | | $11,316,000 par, 3.63%, due August 31, 2029 | | ** | | 11,294,783 | |
| | U.S. Treasury | | $11,435,000 par, 4.00%, due May 31, 2030 | | ** | | 11,548,010 | |
| | U.S. Treasury | | $11,566,000 par, 5.0%, due May 15, 2045 | | ** | | 11,819,006 | |
| | U.S. Treasury | | $11,804,000 par, 4.38%, due December 31, 2029 | | ** | | 12,085,267 | |
| | U.S. Treasury | | $12,372,000 par, 4.00%, due November 15, 2035 | | ** | | 12,118,761 | |
| | U.S. Treasury | | $12,819,000 par, 4.63%, due April 30, 2029 | | ** | | 13,201,567 | |
| | U.S. Treasury | | $13,283,000 par, 3.88%, due June 30, 2030 | | ** | | 13,345,783 | |
| | U.S. Treasury | | $14,205,000 par, 3.88%, due July 31, 2030 | | ** | | 14,270,476 | |
| | U.S. Treasury | | $14,412,000 par, 3.63%, due August 31, 2030 | | ** | | 14,320,799 | |
| | U.S. Treasury | | $14,452,000 par, 4.875%, due August 15, 2045 | | ** | | 14,535,551 | |
| | U.S. Treasury | | $15,069,000 par, 4.50%, due May 31, 2029 | | ** | | 15,465,738 | |
| | U.S. Treasury | | $15,736,000 par, 2.38%, due February 15, 2042 | | ** | | 11,541,987 | |
| | U.S. Treasury | | $17,564,000 par, 3.75%, due January 31, 2031 | | ** | | 17,520,090 | |
| | U.S. Treasury | | $19,925,000 par, 3.63%, due September 30, 2030 | | ** | | 19,791,129 | |
| | U.S. Treasury | | $2,916,000 par, 4.75%, due May 15, 2054 | | ** | | 2,792,981 | |
| | U.S. Treasury | | $20,004,000 par, 3.63%, due October 31, 2030 | | ** | | 19,861,784 | |
| | U.S. Treasury | | $21,468,000 par, 3.88%, due April 30, 2030 | | ** | | 21,575,340 | |
| | U.S. Treasury | | $26,009,000 par, 3.50%, due November 30, 2030 | | ** | | 25,673,728 | |
| | U.S. Treasury | | $26,175,000 par, 4.75%, due August 15, 2055 | | ** | | 25,598,332 | |
| | U.S. Treasury | | $28,583,000 par, 4.63%, due November 15, 2045 | | ** | | 27,801,434 | |
| | U.S. Treasury | | $3,436,000 par, 3.00%, due August 15, 2052 | | ** | | 2,449,761 | |
| | U.S. Treasury | | $3,646,000 par, 4.38%, due August 15, 2043 | | ** | | 3,470,536 | |
| | U.S. Treasury | | $3,982,000 par, 2.88%, due May 15, 2052 | | ** | | 2,770,290 | |
| | U.S. Treasury | | $37,422,000 par, 3.5%, due January 15, 2029 | | ** | | 37,313,827 | |
| | U.S. Treasury | | $4,093,000 par, 3.88%, due February 15, 2043 | | ** | | 3,669,470 | |
| | U.S. Treasury | | $4,094,000 par, 3.88%, due December 31, 2032 | | ** | | 4,057,538 | |
| | U.S. Treasury | | $40,666,000 par, 3.63%, due December 31, 2030 | | ** | | 40,345,120 | |
| | U.S. Treasury | | $41,307,000 par, 3.38%, due December 31, 2027 | | ** | | 41,187,597 | |
| | U.S. Treasury | | $5,026,000 par, 4.63%, due February 15, 2055 | | ** | | 4,814,751 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | U.S. Treasury | | $5,576,000 par, 4.63%, due May 15, 2044 | | ** | | 5,453,372 | |
| | U.S. Treasury | | $5,726,000 par, 4.13%, due August 15, 2044 | | ** | | 5,236,159 | |
| | U.S. Treasury | | $5,797,000 par, 4.0%, due February 28, 2030 | | ** | | 5,855,649 | |
| | U.S. Treasury | | $5,957,000 par, 3.38%, due August 15, 2042 | | ** | | 5,018,307 | |
| | U.S. Treasury | | $590,000 par, 3.63%, due February 15, 2053 | | ** | | 475,342 | |
| | U.S. Treasury | | $6,178,000 par, 4.75%, due November 15, 2043 | | ** | | 6,152,902 | |
| | U.S. Treasury | | $6,566,000 par, 4.75%, due November 15, 2053 | | ** | | 6,413,905 | |
| | U.S. Treasury | | $6,600,000 par, 4.13%, due August 15, 2053 | | ** | | 5,814,703 | |
| | U.S. Treasury | | $6,974,000 par, 4.50%, due February 15, 2044 | | ** | | 6,722,555 | |
| | U.S. Treasury | | $63,704,000 par, 3.50%, due January 31, 2028 | | ** | | 63,661,697 | |
| | U.S. Treasury | | $7,079,000 par, 4.25%, due February 15, 2054 | | ** | | 6,368,058 | |
| | U.S. Treasury | | $7,268,000 par, 4.38%, due January 31, 2030 | | ** | | 7,409,953 | |
| | U.S. Treasury | | $7,855,000 par, 4.5%, due November 15, 2054 | | ** | | 7,369,279 | |
| | U.S. Treasury | | $8,031,000 par, 4.25%, due August 15, 2054 | | ** | | 7,223,822 | |
| | U.S. Treasury | | $8,253,000 par, 4.00%, due November 15, 2042 | | ** | | 7,532,152 | |
| | U.S. Treasury | | $8,724,000 par, 3.25%, due May 15, 2042 | | ** | | 7,247,395 | |
| | U.S. Treasury | | $9,432,000 par, 4.25%, due June 30, 2029 | | ** | | 9,609,218 | |
| | U.S. Treasury | | $9,780,000 par, 4.75%, due February 15, 2045 | | ** | | 9,689,077 | |
| | U.S. Treasury | | $9,966,000 par, 4.75%, due May 15, 2055 | | ** | | 9,743,322 | |
| | United Mexican States | | $1,840,000 par, 5.38%, due March 22, 2033 | | ** | | 1,811,940 | |
| | United Mexican States | | $1,865,000 par, 6.88%, due May 13, 2037 | | ** | | 1,971,771 | |
| | United Mexican States | | $842,000 par, 7.38%, due May 13, 2055 | | ** | | 900,435 | |
| | WI Treasury Sec. | | $15,091,000 par, 3.88%, due March 31, 2030 | | ** | | 15,241,321 | |
| | WI Treasury Sec. | | $3,528,000 par, 4.63%, due November 15, 2055 | | ** | | 3,381,368 | |
| | WI Treasury Sec. | | $5,228,000 par, 3.38%, due November 15, 2048 | | ** | | 4,120,726 | |
| | Total Government Securities | | | | | | 1,318,113,207 | |
| | | | | | | | |
| | Corporate Bonds | | | | | | |
| | Alphabet Inc. | | $1,832,000 par, 5.45%, due November 15, 2055 | | ** | | 1,786,747 | |
| | Alphabet Inc. | | $735,000 par, 5.70%, due November 15, 2075 | | ** | | 721,617 | |
| | Ameren Corp. | | $2,228,000 par, 5.70%, due December 1, 2026 | | ** | | 2,257,136 | |
| | Ameren Corp. | | $2,945,000 par, 4.30%, due December 1, 2028 | | ** | | 2,965,799 | |
| | Antero Resources Corp. | | $3,486,000 par, 5.40%, due February 1, 2036 | | ** | | 3,461,005 | |
| | Antofagasta Plc. | | $1,401,000 par, 5.63%, due September 9, 2035 | | ** | | 1,437,608 | |
| | APA Corp. | | $2,449,000 par, 5.10%, due September 1, 2040 | | ** | | 2,200,223 | |
| | Ares Strategic Inc. | | $880,000 par, 5.55%, due April 15, 2031 | | ** | | 870,202 | |
| | AT&T Inc. | | $1,380,000 par, 3.5%, due September 15, 2053 | | ** | | 921,769 | |
| | AT&T Inc. | | $1,708,000 par, 6.00%, due April 30, 2056 | | ** | | 1,692,133 | |
| | Athene Holding Ltd. | | $1,582,000 par, 6.25% due April 1, 2054 | | ** | | 1,540,165 | |
| | Atmos Energy Corp. | | $1,008,000 par, 5.45%, due January 15, 2056 | | ** | | 973,878 | |
| | Banco Santander | | $4,000,000 par, 4.55%, due November 6, 2030 | | ** | | 4,003,353 | |
| | Bank of America Corp. | | $5,096,000 par, 3.19%, due July 23, 2030 | | ** | | 4,929,295 | |
| | Beignet Investor LLC | | $3,005,000 par, 6.58%, due May 30, 2049 | | ** | | 3,128,856 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | BHP Billiton Finance | | $1,333,000 par, 5.00%, due February 21, 2030 | | ** | | 1,373,093 | |
| | BHP Billiton Finance | | $2,832,000 par, 4.75%, due February 28, 2028 | | ** | | 2,879,523 | |
| | Black Hills Corp. | | $1,989,000 par, 4.55%, due January 31, 2031 | | ** | | 1,987,826 | |
| | Blue Owl Technology Finance Corp. | | $811,000 par, 6.13%, due January 23, 2031 | | ** | | 798,859 | |
| | Boeing Co. | | $1,269,000 par, 3.25%, due February 1, 2028 | | ** | | 1,250,473 | |
| | Boeing Co. | | $3,205,000 par, 6.86%, due May 1, 2054 | | ** | | 3,613,928 | |
| | Boeing Co. | | $4,124,000 par, 6.3%, due May 1, 2029 | | ** | | 4,380,605 | |
| | Boeing Co. | | $504,000 par, 3.63%, due March 1, 2048 | | ** | | 360,619 | |
| | Broadcom Inc. | | $1,219,000 par, 5.7%, due January 15, 2056 | | ** | | 1,228,399 | |
| | Broadcom Inc. | | $1,446,000 par, 4.3%, due January 15, 2031 | | ** | | 1,445,114 | |
| | Broadcom Inc. | | $403,000 par, 4.8%, due February 15, 2036 | | ** | | 397,802 | |
| | Broadcom Inc. | | $6,127,000 par, 4.95%, due January 15, 2036 | | ** | | 6,120,874 | |
| | Brooklyn Union Gas Co. | | $1,091,000 par, 4.27%, due March 15, 2048 | | ** | | 872,126 | |
| | Brooklyn Union Gas Co. | | $119,000 par, 4.49%, due March 4, 2049 | | ** | | 95,999 | |
| | Burlington Northern Santa Fe | | $858,000 par, 5.55%, due March 15, 2026 | | ** | | 848,768 | |
| | CaixaBank | | $3,492,000 par, 5.58%, due July 3, 2036 | | ** | | 3,579,264 | |
| | Canadian Imperial Bank of Commerce | | $3,937,000 par, 4.28%, due January 29, 2030 | | ** | | 3,947,051 | |
| | Charter Communications, Inc. | | $2,328,000 par, 5.75%, due April 1, 2048 | | ** | | 2,002,854 | |
| | Charter Communications, Inc. | | $2,683,000 par, 6.55%, due June 1, 2034 | | ** | | 2,818,305 | |
| | Chubb Ina Holdings Inc. | | $3,680,000 par, 4.9%, due August 15, 2035 | | ** | | 3,683,181 | |
| | Citigroup Inc. | | $2,983,000 par, 4.5%, due September 11, 2031 | | ** | | 2,985,402 | |
| | Cleco Power LLC | | $1,931,000 par, 5.3%, due January 15, 2036 | | ** | | 1,935,189 | |
| | Columbia University | | $884,000 par, 4.36%, due October 1, 2035 | | ** | | 864,267 | |
| | Constellation Energy Generation LLC | | $1,856,000 par, 4.4%, due January 15, 2031 | | ** | | 1,851,596 | |
| | Constellation Energy Generation LLC | | $1,888,000 par, 5.88%, due January 15, 2066 | | ** | | 1,841,863 | |
| | Constellation Energy Generation LLC | | $2,105,000 par, 3.9%, due January 8, 2028 | | ** | | 2,102,524 | |
| | Constellation Energy Generation LLC | | $483,000 par, 3.75%, due March 1, 2031 | | ** | | 465,495 | |
| | Constellation Energy Generation LLC | | $819,000 par, 6.50%, due October 1, 2053 | | ** | | 886,467 | |
| | Cornell University | | $1,080,000 par, 4.17%, due June 15, 2030 | | ** | | 1,082,859 | |
| | Cornell University | | $1,576,000 par, 4.73%, due June 15, 2035 | | ** | | 1,577,887 | |
| | CVS Health Corp. | | $4,148,000 par, 6%, due June 1, 2044 | | ** | | 4,158,044 | |
| | CVS Health Corp. | | $3,285,000 par, 5.7%, due June 1, 2034 | | ** | | 3,416,861 | |
| | Dayton Power and Light Co. | | $2,373,000 par, 4.55%, due August 15, 2030 | | ** | | 2,363,913 | |
| | Dell International LLC | | $4,297,000 par, 5.1%, due February 15, 2036 | | ** | | 4,222,097 | |
| | Dell International LLC | | $6,192,000 par, 4.5%, due February 15, 2031 | | ** | | 6,175,788 | |
| | Den Norske Stats Oljeselskap | | $2,469,000 par, 6.5%, due December 1, 2028 | | ** | | 2,639,267 | |
| | Devon Energy Corp. | | $641,000 par, 7.95%, due April 15, 2032 | | ** | | 745,617 | |
| | Dhafrah PV2 Energy Co. | | $2,240,000 par, 5.79%, due June 30, 2053 | | ** | | 2,270,659 | |
| | Duke Energy Corp. | | $3,380,000 par, 3.5%, due June 15, 2051 | | ** | | 2,339,331 | |
| | Eli Lilly & Co. | | $466,000 par, 5.65%, due October 15, 2065 | | ** | | 465,871 | |
| | Eli Lilly & Co. | | $6,549,000 par, 4.9%, due October 15, 2035 | | ** | | 6,627,529 | |
| | Embraer Netherlands Finance | | $1,358,000 par, 5.4%, due January 9, 2038 | | ** | | 1,338,377 | |
| | Enbridge Inc. | | $1,115,000 par, 4.2%, due November 20, 2028 | | ** | | 1,118,014 | |
| | Enbridge Inc. | | $1,752,000 par, 3.7%, due July 15, 2027 | | ** | | 1,744,813 | |
| | Energy Transfer LP | | $2,759,000 par, 4.55%, due January 15, 2031 | | ** | | 2,756,260 | |
| | Energy Transfer LP | | $3,992,000 par, 5.35%, due January 15, 2036 | | ** | | 3,987,689 | |
| | Enterprise Products Operating | | $1,296,000 par, 4.3%, due June 20, 2028 | | ** | | 1,307,187 | |
| | Essential Utilities Inc. | | $1,164,000 par, 5.38%, due January 15, 2034 | | ** | | 1,197,967 | |
| | Essential Utilities Inc. | | $2,136,000 par, 5.25%, due August 15, 2035 | | ** | | 2,167,938 | |
| | FedEx Freight Holding Inc. | | $1,585,000 par, 4.3%, due March 15, 2029 | | ** | | 1,586,803 | |
| | FedEx Freight Holding Inc. | | $1,608,000 par, 5.25%, due March 15, 2036 | | ** | | 1,593,288 | |
| | FedEx Freight Holding Inc. | | $1,954,000 par, 4.65%, due March 15, 2031 | | ** | | 1,952,936 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | FirstEnergy Transmission LLC | | $1,307,000 par, 4.75%, due January 15, 2033 | | ** | | 1,303,823 | |
| | FirstEnergy Transmission LLC | | $3,497,000 par, 2.87%, due September 15, 2028 | | ** | | 3,392,191 | |
| | FirstEnergy Transmission LLC | | $7,719,000 par, 3.9%, due July 15, 2027 | | ** | | 7,701,419 | |
| | Ford Motor Credit Co. | | $2,029,000 par, 5.11%, due May 3, 2029 | | ** | | 2,045,001 | |
| | Ford Motor Credit Co. | | $4,714,000 par, 5.73%, due September 5, 2030 | | ** | | 4,826,228 | |
| | FS KKR Capital Corp. | | $355,000 par, 6.13%, due January 15, 2031 | | ** | | 343,759 | |
| | Georgia Power Co. | | $3,280,000 par, 4.00%, due October 1, 2028 | | ** | | 3,290,410 | |
| | Glencore Funding LLC | | $1,179,000 par, 6.38%, due October 6, 2030 | | ** | | 1,271,159 | |
| | Glencore Funding LLC | | $3,772,000 par, 5.34%, due April 4, 2027 | | ** | | 3,831,005 | |
| | Glencore Funding LLC | | $4,535,000 par, 4.00%, due March 27, 2027 | | ** | | 4,536,943 | |
| | Glencore Funding LLC | | $5,225,000 par, 5.67%, due April 1, 2035 | | ** | | 5,472,114 | |
| | Global Payments Inc. | | $1,065,000 par, 4.88%, due November 15, 2030 | | ** | | 1,064,754 | |
| | Global Payments Inc. | | $1,573,000 par, 5.55%, due November 15, 2035 | | ** | | 1,559,813 | |
| | Goldman Sachs Group Inc. | | $1,252,000 par, 5.78%, due January 21, 2047 | | ** | | 1,233,289 | |
| | Goldman Sachs Group Inc. | | $1,595,000 par, 1.54%, due September 10, 2027 | | ** | | 1,571,269 | |
| | Goldman Sachs Group Inc. | | $3,126,000 par, 5.73%, due January 28, 2056 | | ** | | 3,151,352 | |
| | Goldman Sachs Group Inc. | | $3,981,000 par, 5.07%, due January 21, 2037 | | ** | | 3,963,931 | |
| | Goldman Sachs Group Inc. | | $6,174,000 par, 4.37%, due October 21, 2031 | | ** | | 6,138,787 | |
| | Hewlett Packard Fixed | | $1,754,000 par, 4.05%, due September 15, 2027 | | ** | | 1,755,300 | |
| | HP Enterprise Co. | | $1,484,000 par, 5.6%, due October 15, 2054 | | ** | | 1,357,925 | |
| | HPS Corporate Lending | | $1,263,000 par, 5.45%, due November 15, 2030 | | ** | | 1,248,066 | |
| | HPS Corporate Lending | | $799,000 par, 4.9%, due September 11, 2028 | | ** | | 794,330 | |
| | HSBC Holdings PLC | | $4,861,000 par, 5.24%, due May 13, 2031 | | ** | | 5,004,185 | |
| | Huntington Bancshares Inc. | | $2,552,000 par, 6.21%, due August 21, 2029 | | ** | | 2,674,829 | |
| | Hyundai Capital America | | $1,874,000 par, 4.55%, due January 8, 2031 | | ** | | 1,875,624 | |
| | Hyundai Capital America | | $3,333,000 par, 4.8%, due January 10, 2033 | | ** | | 3,319,728 | |
| | Intel Corp. | | $3,318,000 par, 4.9%, due August 5, 2052 | | ** | | 2,787,084 | |
| | International Business Machs Corp. | | $1,672,000 par, 4.95%, due February 3, 2036 | | ** | | 1,666,539 | |
| | International Business Machs Corp. | | $470,000 par, 5.8%, due February 3, 2056 | | ** | | 468,526 | |
| | J Paul Getty Trust | | $4,371,000 par, 4.91%, due April 1, 2035 | | ** | | 4,441,063 | |
| | JBS USA Food Co. | | $874,000 par, 6.38%, due April 15, 2066 | | ** | | 883,474 | |
| | Jefferies Financial Group Inc. | | $1,119,000 par, 5.5%, due February 15, 2036 | | ** | | 1,104,584 | |
| | JPMorgan Chase & Co. | | $5,413,000 par, 5.58%, due April 22, 2030 | | ** | | 5,639,686 | |
| | Lloyds Banking Group PLC | | $2,639,000 par, 5.46%, due January 5, 2028 | | ** | | 2,673,231 | |
| | LYB International LLC | | $4,011,000 par, 5.88%, due January 15, 2036 | | ** | | 3,967,135 | |
| | M&T Bank Corp. | | $2,729,000 par, 5.39%, due January 16, 2036 | | ** | | 2,767,241 | |
| | Massechusetts Institute of Technology | | $701,000 par, 5.62%, due June 1, 2055 | | ** | | 721,657 | |
| | Merck & Co Inc. | | $1,241,000 par, 5.70%, due December 4, 2065 | | ** | | 1,222,806 | |
| | Merck & Co Inc. | | $1,300,000 par, 5.50%, due March 15, 2046 | | ** | | 1,293,163 | |
| | Meta Platforms Inc. | | $1,152,000 par, 5.75%, due November 15, 2045 | | ** | | 1,089,250 | |
| | Meta Platforms Inc. | | $2,561,000 par, 5.50%, due November 15, 2045 | | ** | | 2,462,744 | |
| | Meta Platforms Inc. | | $930,000 par, 4.65%, due November 15, 2062 | | ** | | 741,754 | |
| | Minera Mexico | | $1,198,000 par, 5.63%, due February 12, 2032 | | ** | | 1,240,110 | |
| | Molex Electr Technologies | | $1,908,000 par, 4.75%, due April 30, 2028 | | ** | | 1,934,281 | |
| | Morgan Stanley | | $4,179,000 par, 4.24%, due January 9, 2030 | | ** | | 4,186,911 | |
| | Morgan Stanley | | $4,232,000 par, 4.49%, due January 16, 2032 | | ** | | 4,229,209 | |
| | Morgan Stanley | | $4,446,000 par, 5.07%, due January 30, 2037 | | ** | | 4,425,332 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Morgan Stanley | | $5,415,000 par, 4.47%, due November 19, 2031 | | ** | | 5,416,721 | |
| | Morgan Stanley | | $6,574,000 par, 4.73%, due July 18, 2031 | | ** | | 6,660,413 | |
| | Morgan Stanley | | $952,000 par, 5.52%, due November 19, 2055 | | ** | | 939,390 | |
| | National Fuel Gas Co. | | $1,896,000 par, 4.75%, due September 1, 2028 | | ** | | 1,919,394 | |
| | National Fuel Gas Co. | | $4,723,000 par, 5.50%, due March 15, 2030 | | ** | | 4,885,345 | |
| | National Fuel Gas Co. | | $874,000 par, 5.95%, due March 15, 2035 | | ** | | 916,032 | |
| | NextEra Energy Capital Holdings Inc. | | $2,049,000 par, 5.90%, due March 15, 2055 | | ** | | 2,061,157 | |
| | NextEra Energy Capital Holdings Inc. | | $4,541,000 par, 4.69%, due September 1, 2027 | | ** | | 4,592,959 | |
| | Nisource Fin Corp. | | $1,683,000 par, 5.95%, due June 15, 2041 | | ** | | 1,732,089 | |
| | Nisource Fin Corp. | | $2,985,000 par, 5.25%, due February 15, 2043 | | ** | | 2,850,816 | |
| | Norinchukin Bank | | $1,757,000 par, 5.36%, due September 9, 2035 | | ** | | 1,781,194 | |
| | Norinchukin Bank | | $2,370,000 par, 4.67%, due September 9, 2030 | | ** | | 2,384,934 | |
| | NRG Energy | | $2,710,000 par, 7.0%, due March 15, 2033 | | ** | | 2,982,360 | |
| | NTT Finance Corp. | | $1,673,000 par, 4.57%, due July 16, 2027 | | ** | | 1,687,579 | |
| | NTT Finance Corp. | | $6,628,000 par, 4.39%, due July 16, 2030 | | ** | | 6,758,299 | |
| | Nuveen Select Tax-Free Income Portfolio | | $1,786,000 par, 4.30%, due August 19, 2028 | | ** | | 1,793,987 | |
| | Nuveen Select Tax-Free Income Portfolio | | $2,666,000 par, 4.85%, due August 19, 2032 | | ** | | 2,689,280 | |
| | Occidental Petroleum | | $1,307,000 par, 4.4%, due April 15, 2046 | | ** | | 1,039,430 | |
| | Occidental Petroleum | | $2,282,000 par, 7.88%, due September 15, 2031 | | ** | | 2,627,883 | |
| | Occidental Petroleum | | $2,767,000 par, 6.13%, due January 1, 2031 | | ** | | 2,926,036 | |
| | Occidental Petroleum | | $445,000 par, 6.60%, due March 15, 2046 | | ** | | 460,095 | |
| | Occidental Petroleum | | $562,000 par, 6.2%, due March 15, 2040 | | ** | | 573,840 | |
| | OCP S.A. | | $670,000 par, 6.88%, due April 25, 2044 | | ** | | 691,775 | |
| | Oglethorpe Power Corp. | | $2,008,750 par, 6.19%, due January 1, 2031 | | ** | | 2,119,378 | |
| | Oglethorpe Power Corp. | | $2,091,000 par, 6.20%, due December 1, 2053 | | ** | | 2,149,318 | |
| | Oneok Inc. | | $5,762,000 par, 6.50%, due September 1, 2030 | | ** | | 6,181,156 | |
| | Oracle Corp. | | $1,127,000 par, 2.95%, due April 1, 2030 | | ** | | 1,041,318 | |
| | Oracle Corp. | | $1,351,000 par, 5.2%, due September 26, 2035 | | ** | | 1,287,497 | |
| | Oracle Corp. | | $3,253,000 par, 5.88%, due September 26, 2045 | | ** | | 2,924,733 | |
| | Ovintiv Inc. | | $1,793,000 par, 6.25%, due July 15, 2033 | | ** | | 1,903,738 | |
| | Pacific Corp. | | $1,269,000 par, 5.8%, due January 15, 2055 | | ** | | 1,195,163 | |
| | Pacific Gas & Electric Co. | | $1,352,000 par, 6.70%, due April 1, 2053 | | ** | | 1,431,811 | |
| | Pacific Gas & Electric Co. | | $1,579,000 par, 6.95%, due March 15, 2034 | | ** | | 1,750,174 | |
| | Pacific Gas & Electric Co. | | $3,574,000 par, 4.50%, due July 1, 2040 | | ** | | 3,109,565 | |
| | Pacific Gas & Electric Co. | | $331,000 par, 6.15%, due March 1, 2055 | | ** | | 328,601 | |
| | Perusahaan Listrik Negara | | $1,573,000 par, 5.45%, due February 3, 2036 | | ** | | 1,564,746 | |
| | Perusahaan Listrik Negara | | $2,283,000 par, 4.75%, due February 3, 2031 | | ** | | 2,275,318 | |
| | Pfizer Inc. | | $960,000 par, 5.60%, due November 15, 2055 | | ** | | 953,867 | |
| | Plains All American Pipeline | | $847,000 par, 5.60%, due January 15, 2036 | | ** | | 859,342 | |
| | PPL Capital Funding Inc. | | $1,612,000 par, 5.25%, due September 1, 2034 | | ** | | 1,643,881 | |
| | President and Fellows Harvard College | | $2,771,000 par, 5.26%, due March 15, 2036 | | ** | | 2,902,170 | |
| | President and Fellows Harvard College | | $3,550,000 par, 4.89%, due March 15, 2030 | | ** | | 3,667,364 | |
| | Protective Life Global Funding | | $1,100,000 par, 4.16%, due January 15, 2029 | | ** | | 1,100,214 | |
| | PSEG Power LLC | | $2,798,000 par, 5.75%, due May 15, 2035 | | ** | | 2,891,028 | |
| | PSEG Power LLC | | $4,914,000 par, 5.20%, due May 15, 2030 | | ** | | 5,041,029 | |
| | Rio Tinto Finance | | $3,867,000 par, 4.88%, due March 14, 2030 | | ** | | 3,964,725 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Royal Bank of Canada | | $1,613,000 par, 4.50%, due August 6, 2029 | | ** | | 1,630,063 | |
| | Royal Bank of Canada | | $3,177,000 par, 4.65%, due October 18, 2030 | | ** | | 3,223,176 | |
| | RWE Finance US LLC | | $1,106,000 par, 5.88%, due April 16, 2034 | | ** | | 1,161,301 | |
| | RWE Finance US LLC | | $826,000 par, 5.88%, due September 18, 2055 | | ** | | 812,302 | |
| | S&P Global Inc. | | $1,121,000 par, 4.25%, due May 1, 2029 | | ** | | 1,127,102 | |
| | Santander UK Group | | $2,046,000 par, 6.53%, due January 10, 2029 | | ** | | 2,135,800 | |
| | Santander UK Group | | $2,509,000 par, 4.32%, due September 22, 2029 | | ** | | 2,513,052 | |
| | Sempra Energy | | $1,900,000 par, 3.4%, due February 1, 2028 | | ** | | 1,877,605 | |
| | Sherwin-Williams Co. | | $877,000 par, 4.3%, due August 15, 2028 | | ** | | 883,064 | |
| | Societe Generale | | $3,406,000 par, 5.25%, due May 22, 2029 | | ** | | 3,476,468 | |
| | Southern Brands Co. | | $1,496,000 par, 5.2%, due June 15, 2033 | | ** | | 1,534,342 | |
| | Southern California Edison | | $1,187,000 par, 6.05%, due March 15, 2039 | | ** | | 1,221,916 | |
| | Southern California Edison | | $1,639,000 par, 4.88%, due February 1, 2027 | | ** | | 1,651,441 | |
| | Southern California Edison | | $1,639,000 par, 4.9%, due June 1, 2026 | | ** | | 1,642,115 | |
| | Southern California Edison | | $815,000 par, 4.00%, due April 1, 2047 | | ** | | 615,285 | |
| | Southern California Gas Co. | | $1,688,000 par, 5.05%, due September 1, 2034 | | ** | | 1,709,427 | |
| | Sprint Capital Corp. | | $2,402,000 par, 6.88%, due November 15, 2028 | | ** | | 2,576,954 | |
| | Standard Chartered | | $1,675,000 par, 5.69%, due May 14, 2028 | | ** | | 1,707,762 | |
| | Steel Dynamics Inc. | | $793,000 par, 4.00%, due December 15, 2028 | | ** | | 791,865 | |
| | Sumitomo Mitsui | | $3,326,000 par, 4.49%, due January 15, 2032 | | ** | | 3,334,096 | |
| | Toronto Dominion Bank | | $4,661,000 par, 4.93%, due October 15, 2035 | | ** | | 4,648,637 | |
| | UnitedHealth Group Inc. | | $3,070,000 par, 5.15%, due July 15, 2034 | | ** | | 3,132,093 | |
| | UnitedHealth Group Inc. | | $3,340,000 par, 5.63%, due July 15, 2054 | | ** | | 3,252,290 | |
| | Vale Overseas Ltd. | | $1,692,000 par, 6.13%, due June 12, 2033 | | ** | | 1,812,173 | |
| | Vale Overseas Ltd. | | $1,903,000 par, 6.40%, due June 28, 2054 | | ** | | 1,956,722 | |
| | Verizon Communications Inc. | | $2,457,000 par, 4.33%, due September 21, 2028 | | ** | | 2,477,976 | |
| | Verizon Communications Inc. | | $3,707,000 par, 4.016%, due December 3, 2029 | | ** | | 3,685,350 | |
| | Viacom Inc. | | $987,000 par, 5.85%, due September 1, 2043 | | ** | | 795,684 | |
| | Vistra Operations Co. LLC | | $1,547,000 par, 5.70%, due December 30, 2034 | | ** | | 1,585,958 | |
| | Vistra Operations Co. LLC | | $2,580,000 par, 6.00%, due April 15, 2034 | | ** | | 2,704,725 | |
| | Vistra Operations Co. LLC | | $1,215,000 par, 4.30%, due October 15, 2028 | | ** | | 1,215,114 | |
| | Vistra Operations Co. LLC | | $3,796,000 par, 4.30%, due July 15, 2029 | | ** | | 3,776,902 | |
| | Vistra Operations Co. LLC | | $3,988,000 par, 4.7%, due January 31, 2031 | | ** | | 3,982,412 | |
| | Wells Fargo & Co. | | $1,993,000 par, 3.07%, due April 30, 2041 | | ** | | 1,537,997 | |
| | Wells Fargo & Co. | | $3,427,000 par, 5.24%, due January 24, 2031 | | ** | | 3,540,639 | |
| | Wells Fargo & Co. | | $7,535,000 par, 5.71%, due April 22, 2028 | | ** | | 7,685,809 | |
| | Wells Fargo & Co. | | $1,658,000 par, 5.56%, due July 25, 2034 | | ** | | 1,727,854 | |
| | Wells Fargo & Co. | | $2,533,000 par, 4.96%, due January 23, 2037 | | ** | | 2,512,315 | |
| | Western Gas Partners | | $1,241,000 par, 5.30%, due March 1, 2048 | | ** | | 1,081,421 | |
| | Western Gas Partners | | $897,000 par, 5.45%, due April 1, 2044 | | ** | | 820,824 | |
| | Western Midstream Operating | | $1,629,000 par, 6.15%, due April 1, 2033 | | ** | | 1,721,616 | |
| | Western Midstream Operating | | $1,751,000 par, 5.45%, due November 15, 2034 | | ** | | 1,762,705 | |
| | Western Midstream Operating | | $2,915,000 par, 4.80%, due March 1, 2031 | | ** | | 2,916,404 | |
| | Western Southern Global | | $2,268,000 par, 4.25%, due January 29, 2029 | | ** | | 2,273,489 | |
| | Williams Cos Inc. | | $4,948,000 par, 5.15%, due March 15, 2036 | | ** | | 4,926,084 | |
| | Williams Cos Inc. | | $676,000 par, 5.95%, due March 15, 2056 | | ** | | 676,186 | |
| | Windfall Mining Group | | $1,695,000 par, 5.85%, due May 13, 2032 | | ** | | 1,768,708 | |
| | Total Corporate Bonds | | | | | | 491,277,628 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | | | | | | | |
| | Asset-Backed Securities | | | | | | |
| | 1st Invest Auto | | $3,065,000 par, 4.31%, due December 15, 2028 | | ** | | 3,068,946 | |
| | Affirm Master Trust | | $3,419,000 par, 4.37%, due February 15, 2034 | | ** | | 3,420,736 | |
| | American Credit Acceptance | | $2,737,000 par, 4.24%, due April 12, 2030 | | ** | | 2,739,196 | |
| | American Credit Acceptance | | $8,659,000 par, 4.16%, due July 12, 2029 | | ** | | 8,658,476 | |
| | American Express Credit Account | | $2,851,000 par, 4.51%, due July 15, 2032 | | ** | | 2,907,934 | |
| | American Express Credit Account | | $3,918,000 par, 4.51%, due April 15, 2032 | | ** | | 3,991,938 | |
| | AutoNation Finance Trust | | $1,932,000 par, 4.03%, due August 12, 2030 | | ** | | 1,935,448 | |
| | AutoNation Finance Trust | | $2,485,000 par, 3.95%, due January 11, 2029 | | ** | | 2,486,923 | |
| | AutoNation Finance Trust | | $2,679,000 par, 4.18%, due June 11, 2031 | | ** | | 2,686,049 | |
| | AutoNation Finance Trust | | $718,000 par, 4.42%, due June 11, 2031 | | ** | | 720,825 | |
| | Bridge Crest Lending Auto Securitization | | $2,739,000 par, 4.1%, due July 17, 2028 | | ** | | 2,739,722 | |
| | CAP Multi-Asset | | $1,913,000 par, 4.02%, due September 15, 2032 | | ** | | 1,911,236 | |
| | Capital One Prime Auto Receivables Trust | | $527,697 par, 5.82%, due June 15, 2028 | | ** | | 533,880 | |
| | Carmax Auto Owner Trust | | $353,390 par, 4.67%, due December 15, 2027 | | ** | | 353,927 | |
| | Carmax Select Receivables Trust | | $2,571,000 par, 4.19%, due March 15, 2029 | | ** | | 2,573,742 | |
| | Carvana Auto Receivables Trust | | $186,621 par, 4.62%, due February 10, 2028 | | ** | | 186,707 | |
| | Carvana Auto Receivables Trust | | $340,229 par, 1.03%, due June 10, 2027 | | ** | | 338,176 | |
| | Carvana Auto Receivables Trust | | $9,246,531 par, 4.07%, due February 12, 2029 | | ** | | 9,246,872 | |
| | Citibank Credit Card Issuance Trust | | $1,613,000 par, 4.49%, due June 21, 2032 | | ** | | 1,641,528 | |
| | DR Auto | | $2,172,000 par, 4.45%, due September 15, 2032 | | ** | | 2,176,881 | |
| | Drive Auto Receivables Trust | | $4,054,642 par, 4.29%, due October 16, 2028 | | ** | | 4,057,124 | |
| | Driveway Finance Corp. | | $183,500 par, 4.64%, due November 15, 2027 | | ** | | 183,581 | |
| | Driveway Finance Corp. | | $253,923 par, 5.23%, due January 18, 2028 | | ** | | 254,234 | |
| | Enterprise Fleet Financing LLC | | $2,682,000 par, 4.0%, due October 20, 2028 | | ** | | 2,685,547 | |
| | Exeter Automobile Receivables Trust | | $4,345,000 par, 4.22%, due September 15, 2028 | | ** | | 4,346,292 | |
| | Exeter Automobile Receivables Trust | | $6,285,000 par, 4.38%, due June 15, 2028 | | ** | | 6,294,669 | |
| | Ford Credit Auto Lease Trust | | $4,014,000 par, 4.0%, due July 15, 2029 | | ** | | 4,023,015 | |
| | Ford Credit Auto Owner Trust | | $1,828,807 par, 5.38%, due December 15, 2028 | | ** | | 1,845,060 | |
| | Ford Credit Auto Owner Trust | | $232,594 par, 5.23%, due May 15, 2028 | | ** | | 234,062 | |
| | GLS Auto Select | | $10,437,000 par, 4.37%, due October 16, 2028 | | ** | | 10,451,440 | |
| | GLS Auto Select | | $3,244,000 par, 4.05%, due February 17, 2032 | | ** | | 3,245,078 | |
| | GM Financial Automobile Leasing Trust | | $2,583,000 par, 4.58%, due May 22, 2028 | | ** | | 2,605,063 | |
| | GM Financial Revolving Receivables Trust | | $3,397,000 par, 4.64%, due December 11, 2037 | | ** | | 3,462,785 | |
| | Hertz Vehicle Financing III | | $17,019,000 par, 2.33%, due June 26, 2028 | | ** | | 16,662,331 | |
| | Hyundai Auto Lease | | $4,059,000 par, 4.53% due April 17, 2028 | | ** | | 4,094,815 | |
| | Hyundai Auto Receivables Trust | | $841,000 par, 5.55%, due December 17, 2029 | | ** | | 860,922 | |
| | Porsche Innovative Lease | | $2,266,000 par, 4.61%, due October 20, 2028 | | ** | | 2,290,360 | |
| | Pret LLC | | $3,300,013 par, due July 25, 2055 | | ** | | 3,313,730 | |
| | Santander Drive Auto Receivables | | $1,354,000 par, 4.63%, due August 15, 2029 | | ** | | 1,360,621 | |
| | Santander Drive Auto Receivables Trust | | $260,754 par, 5.73%, due April 17, 2028 | | ** | | 260,998 | |
| | Santander Drive Auto Receivables Trust | | $6,474,000 par, 4.35% due January 15, 2029 | | ** | | 6,486,925 | |
| | Sofi Consumer Loan Program | | $8,116,000 par, 4.06%, due December 26, 2035 | | ** | | 8,124,029 | |
| | Stellantis Financial | | $1,870,092 par, 4.31%, due May 22, 2028 | | ** | | 1,876,584 | |
| | Stellantis Financial | | $6,412,000 par, 4.06%, due June 20, 2028 | | ** | | 6,430,409 | |
| | Tesla Electric Vehicle Trust | | $603,000 par, 5.38%, due February 20, 2029 | | ** | | 613,383 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | Toyota Lease Owner Trust | | $4,370,000 par, 3.96%, due November 20, 2028 | | ** | | 4,379,920 | |
| | VCAT Asset Securitization LLC | | $1,056,000 par, due January 25, 2026 | | ** | | 1,055,879 | |
| | Volkswagen Auto Lease Trust | | $1,580,000 par, 4.01%, due January 22, 2029 | | ** | | 1,584,217 | |
| | Volkswagen Auto Lease Trust | | $2,283,000 par, 5.58%, due June 21, 2027 | | ** | | 2,295,525 | |
| | Volt CII LLC | | $247,114 par, 4.87%, due August 25, 2051 | | ** | | 247,164 | |
| | VOLT XCIV LLC | | $99,562 par, due March 27, 2051 | | ** | | 99,595 | |
| | Westlake Automobile Receivables Trust | | $1,381,000 par, 4.51%, due May 15, 2029 | | ** | | 1,390,766 | |
| | Westlake Automobile Receivables Trust | | $4,014,000 par, 4.43%, due September 15, 2028 | | ** | | 4,014,180 | |
| | Westlake Automobile Receivables Trust | | $4,258,000 par, 4.2%, due May 15, 2031 | | ** | | 4,257,751 | |
| | Westlake Automobile Receivables Trust | | $6,965,000 par, 4.31%, due April 17, 2028 | | ** | | 6,974,605 | |
| | Total Asset-Backed Securities | | | | | | 176,681,801 | |
| | | | | | | | |
| | Mortgage-Backed Securities | | | | | | |
| | ATLX Trust | | $1,158,027 par, 3.85%, due April 25, 2064 | | ** | | 1,134,376 | |
| | ATLX Trust | | $1,644,897 par, due April 25, 2063 | | ** | | 1,608,990 | |
| | Benchmark Mortgage Trust | | $2,019,054 par, 5.18%, due February 15, 2059 | | ** | | 2,080,796 | |
| | Benchmark Mortgage Trust | | $906,000 par, 2.29%, due March 15, 2053 | | ** | | 822,425 | |
| | BX Commercial Mortgage Trust | | $1,155,000 par, 5.59%, due November 13, 2046 | | ** | | 1,175,573 | |
| | Citigroup Commercial Mortgage Trust | | $816,000 par, 3.72% floating rate, due December 10, 2049 | | ** | | 803,120 | |
| | CMO Bank 2024-BNK | | $3,050,342 par, 4.74%, due June 15, 2057 | | ** | | 3,242,223 | |
| | CMO Bank 2024-BNK | | $913,528 par, 5.05%, due September 15, 2034 | | ** | | 929,206 | |
| | CMO Bank SR 25-BNK | | $2,321,288 par,5.29%, due December 25, 2067 | | ** | | 2,390,136 | |
| | CMO BMO Mortgage Trust | | $1,560,472 par, due September 15, 2056 | | ** | | 1,636,870 | |
| | CMO GS MTG | | $415,647 par, 3.57%, due May 10, 2052 | | ** | | 399,041 | |
| | Connecticut Avenue Securities Trust | | $323,602 par, 5.17%, due October 25, 2043 | | ** | | 324,207 | |
| | Freddie Mac STACR REMIC Trust 2021-DNA7 | | $469,243 par, Floating Rate, due November 25, 2041 | | ** | | 468,957 | |
| | Gitsit Mortgage Loan Trust | | $1,481,803 par, 6.28%, due February 25, 2055 | | ** | | 1,483,232 | |
| | Gitsit Mortgage Loan Trust | | $2,968,026 par, due December 25, 2055 | | ** | | 2,975,568 | |
| | GS Mortgage-Backed Securities Trust | | $1,306,816 par, due September 25, 2061 | | ** | | 1,288,374 | |
| | GS Mortgage-Backed Securities Trust | | $685,106 par, 3.75%, due July 25, 2061 | | ** | | 672,305 | |
| | Legacy Mortgage Assest Trust | | $1,778,714 par, 1.75%, due April 25, 2061 | | ** | | 1,781,049 | |
| | Legacy Mortgage Assest Trust | | $361,342 par, 1.65%, due June 25, 2061 | | ** | | 361,646 | |
| | MFRA Trust | | $2,150,302 par, due October 25, 2062 | | ** | | 2,153,589 | |
| | Mill City Mortgage Loan Trust | | $234,553 par, 1.13%, due November 25, 2060 | | ** | | 226,617 | |
| | Morgan Stanley Residential Mortgage Loan Trust | | $1,267,329 par, 4.00%, due June 25, 2064 | | ** | | 1,242,426 | |
| | New Residential Mortgage Loan Trust | | $2,350,005 par, 3.80%, due January 25, 2064 | | ** | | 2,235,974 | |
| | NLT | | $458,458 par, 3.21%, due October 25, 2062 | | ** | | 425,419 | |
| | NYMT Loan Trust | | $1,300,512 par, 3.75%, due February 25, 2068 | | ** | | 1,221,404 | |
| | Preston Ridge Partners Mortgage | | $2,774,000 par, due January 25, 2056 | | ** | | 2,777,623 | |
| | PRET 2025-RPL1 Trust | | $1,281,056 par, 4.00%, due July 25, 2069 | | ** | | 1,255,619 | |
| | PRET 2025-RPL2 Trust | | $586,122 par, 4.00%, due August 25, 2064 | | ** | | 574,001 | |
| | PRET 2025-RPL5 Trust | | $2,251,476 par, 4.15%, due January 25, 2070 | | ** | | 2,211,738 | |
| | Pretium Mortgage Credit Partners | | $1,059,669 par, due October 25, 2054 | | ** | | 1,060,444 | |
| | Pretium Mortgage Credit Partners | | $1,790,510 par, due June 25, 2055 | | ** | | 1,796,984 | |
| | PRP Advisors | | $3,027,211 par, due October 25, 2055 | | ** | | 3,038,139 | |
| | PRP Advisors | | $4,837,049 par, due October 25, 2030 | | ** | | 4,871,042 | |
| | PRP Advisors LLC | | $1,148,502 par, due May 25, 2030 | | ** | | 1,149,599 | |
| | PRP Advisors LLC | | $1,323,248 par, due March 25, 2054 | | ** | | 1,304,133 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | PRPM 2023-RCF2 LLC | | $727,596 par, 4.00%, due November 25, 2053 | | ** | | 721,635 | |
| | PRPM 2024-RPL1 LLC | | $697,891 par, 4.20%, due December 25, 2064 | | ** | | 690,232 | |
| | PRPM Asset Backed | | $2,220,189 par, 6.18%, due June 25, 2030 | | ** | | 2,223,097 | |
| | RCO IX Mortgage LLC | | $914,372 par, 6.51%, due April 25, 2030 | | ** | | 917,496 | |
| | RCO Mortgage LLC | | $4,573,063 par, due October 25, 2030 | | ** | | 4,585,431 | |
| | RCO VIII Mortgage LLC | | $1,350,407 par, 6.43% due May 25, 2030 | | ** | | 1,353,784 | |
| | RCO X Mortgage LLC | | $1,197,533 par, due January 25, 2030 | | ** | | 1,203,358 | |
| | RCO X Mortgage LLC | | $2,808,003 par, 5.42% due October 25, 2030 | | ** | | 2,820,513 | |
| | SER 26-NPL2 | | $1,571,000 par, 5.07%, due February 25, 2056 | | ** | | 1,571,857 | |
| | VCAT Asset Securitization LLC | | $166,794 par, due February 25, 2055 | | ** | | 167,745 | |
| | Wells Fargo Commercial Mortgage Trust | | $2,108,270 par, 5.29%, due October 15, 2058 | | ** | | 2,176,015 | |
| | Wells Fargo Commercial Mortgage Trust | | $306,000 par, 4.44% due September 15, 2061 | | ** | | 307,669 | |
| | Wells Fargo Commercial Mortgage Trust | | $637,576 par, 2.30%, due August 15, 2054 | | ** | | 569,603 | |
| | Wells Fargo Commercial Mortgage Trust | | $677,000 par, 3.10% due May 15, 2049 | | ** | | 674,460 | |
| | Total Mortgage-Backed Securities | | | | | | 73,105,740 | |
| | | | | | | | |
| | Collective Investment Trusts / Collective Trust Funds | | | | | | |
| | BlackRock Institutional Trust Company, N.A. | | U.S. Treasury Inflation Protected Securities Non-Lendable Fund | | ** | | 502,044,417 | |
| | BlackRock Institutional Trust Company, N.A. | | Government Short-Term Investment Fund | | ** | | 785,416,449 | |
| | BlackRock Institutional Trust Company, N.A. | | Intermediate Government Bond Index Non-Lendable Fund | | ** | | 208,097,467 | |
| | BlackRock Institutional Trust Company, N.A. | | Long Term Government Bond Index Non-Lendable Fund | | ** | | 238,998,840 | |
| | BlackRock Institutional Trust Company, N.A. | | MSCI ACWI ex-U.S. IMI Index Non-Lendable Fund | | ** | | 4,711,712,195 | |
| | BlackRock Institutional Trust Company, N.A. | | MSCI USA Minimum Volatility Index Fund | | ** | | 1,538,718,960 | |
| | BlackRock Institutional Trust Company, N.A. | | MSCI USA Momentum Index RSL Fund | | ** | | 1,544,235,537 | |
| | BlackRock Institutional Trust Company, N.A. | | MSCI USA Quality Index RSL Fund | | ** | | 1,553,376,361 | |
| | BlackRock Institutional Trust Company, N.A. | | MSCI USA Value Weighted Index RSL Fund | | ** | | 1,570,496,920 | |
| | BlackRock Institutional Trust Company, N.A. | | Russell 1000 Index Non-Lendable Fund | | ** | | 15,822,151,755 | |
| | BlackRock Institutional Trust Company, N.A. | | Russell 2000 Index Non-Lendable Fund | | ** | | 725,751,701 | |
| | BlackRock Institutional Trust Company, N.A. | | Russell 2500 Index Non-Lendable Fund | | ** | | 1,514,991,729 | |
| | BlackRock Institutional Trust Company, N.A. | | U.S. Debt Index Non Lendable Fund | | ** | | 2,082,920,016 | |
| | Global Trust Company | | Altrinsic International Equity Collective Fund | | ** | | 1,207,492,901 | |
| | Global Trust Company | | AQR Emerging Equities Collective Investment Fund | | ** | | 649,613,834 | |
| | Global Trust Company | | Victory Mid Cap Value Collective Investment Trust Fund | | ** | | 442,944,336 | |
| | Great Gray Trust Company | | GQG Partners International Equity CIT | | ** | | 1,839,699,591 | |
| | JPMorgan Chase Bank, N.A. | | Short Duration Bond Fund | | ** | | 470,111,668 | |
| | Prudential Trust Company | | Core Plus Bond Fund | | ** | | 1,973,043,602 | |
| | Prudential Trust Company | | Long Duration Credit Fund | | ** | | 1,271,242,024 | |
| | Reliance Trust Company | | Driehaus Emerging Markets Growth CIT Fund | | ** | | 651,674,785 | |
| | Reliance Trust Company | | The Collective LSV International (ACWI EX US) Value Equity Fund | | ** | | 2,531,270,467 | |
| | SEI Trust Company | | Cohen & Steers Global Listed Infrastructure Fund | | ** | | 82,899,211 | |
| | SEI Trust Company | | CoreCommodity Management Diversified I CIT Fund | | ** | | 136,446,329 | |
| | SEI Trust Company | | Duff & Phelps US REIT Collective Investment Trust Fund | | ** | | 183,002,139 | |
| | SEI Trust Company | | Fiera Asset Management USA Collective Trust | | ** | | 1,773,620,398 | |
| | | | | | | | | | | | | | | | | | | | | | | | | | |
| | SEI Trust Company | | Nuveen Global Infrastructure Fund | | ** | | 167,146,388 | |
| * | | The Northern Trust Company | | Collective Government Short Term Investment Fund | | ** | | 12,314,794 | |
| * | | The Northern Trust Company | | The First Sentier Global Listed Infrastructure Fund | | ** | | 165,987,875 | |
| | Total Collective Investment Trusts/Collective Trust Funds | | | | 46,357,422,689 | |
| | | | | | | | |
| | Total Investments | | | | | | $ | 57,569,862,277 | |
| | | | | | | | |
| * | | Notes Receivable from participants | | Loans to participants, interest rates ranging from 4.25% to 9.50%, with various maturities | | | | $ | 1,489,567,921 | |
* Represents a party-in-interest.
** Column (d) cost information not required as accounts are participant directed.
SIGNATURES
Pursuant to the requirements of the Securities Exchange Act of 1934, the trustees (or other persons who administer the employee benefit plan) have duly caused this annual report to be signed on its behalf by the undersigned hereunto duly authorized.
Walmart 401(k) Plan
| | | | | | | | | | | |
July 16 , 2026 | By: | | /s/ Michael Horne |
| | | Michael Horne SVP, Global Total Rewards Walmart Inc. |
ATTACHMENTS / EXHIBITS
EX-23.1
XBRL TAXONOMY EXTENSION SCHEMA DOCUMENT
XBRL TAXONOMY EXTENSION CALCULATION LINKBASE DOCUMENT
XBRL TAXONOMY EXTENSION DEFINITION LINKBASE DOCUMENT
XBRL TAXONOMY EXTENSION LABEL LINKBASE DOCUMENT
XBRL TAXONOMY EXTENSION PRESENTATION LINKBASE DOCUMENT
IDEA: R1.htm
IDEA: R2.htm
IDEA: R3.htm
IDEA: R4.htm
IDEA: R5.htm
IDEA: R6.htm
IDEA: R7.htm
IDEA: R8.htm
IDEA: R9.htm
IDEA: R10.htm
IDEA: R11.htm
IDEA: R12.htm
IDEA: R13.htm
IDEA: R14.htm
IDEA: R15.htm
IDEA: R16.htm
IDEA: R17.htm
IDEA: R18.htm
IDEA: R19.htm
IDEA: R20.htm
IDEA: R21.htm
IDEA: R22.htm
IDEA: R23.htm
IDEA: R24.htm
IDEA: FilingSummary.xml
IDEA: MetaLinks.json
IDEA: wmt-20260716_htm.xml