C000201587 Holdings — Metropolitan West Corporate Bond Fund

All 256 reported holdings of Metropolitan West Corporate Bond Fund (C000201587) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
US Treasury N/b7.17%$356.53K
Bank Of America Corp.2.32%$115.49K
T-Mobile USA, Inc.1.49%$74.01K
Goldman Sachs Group, Inc.1.48%$73.45K
Wells Fargo & Company1.47%$73.21K
Hsbc Holdings PLC1.43%$70.83K
US Treasury N/b1.28%$63.46K
JPMorgan Chase & Co.1.21%$60.17K
Duke Energy Carolinas1.16%$57.89K
Firstenergy Penn Electri1.00%$49.82K
Crown Castle, Inc.0.94%$46.77K
Sprint Spectrum / Spec I0.93%$46.04K
Nationwide Mutual Insura0.91%$45.13K
Citigroup, Inc.0.91%$45.01K
Alliant Energy Finance0.86%$42.76K
Royalty Pharma PLC0.84%$41.95K
JPMorgan Chase & Co.0.83%$41.07K
Equinix, Inc.0.80%$39.77K
Morgan Stanley0.78%$38.76K
Universal Health Svcs0.76%$37.90K
Unitedhealth Group, Inc.0.73%$36.53K
Imperial Brands Fin PLC0.70%$34.82K
Warnermedia Holdings, Inc.0.70%$34.73K
Citigroup, Inc.0.70%$34.72K
Oracle Corp.0.69%$34.28K
Sharp Healthcare0.69%$34.25K
Lloyds Banking Group PLC0.69%$34.11K
Black Hills Corp.0.68%$33.61K
Skyaf 2020-1 A0.67%$33.09K
Guardian Life Insurance0.66%$32.93K
Xcel Energy, Inc.0.65%$32.55K
Bat Capital Corp.0.64%$31.86K
Bristol-Myers Squibb Co.0.64%$31.65K
San Francisco Calif City &cnty0.63%$31.50K
Charter Comm Opt Llc/cap0.63%$31.08K
Global Payments, Inc.0.60%$29.91K
Cvs Health Corp.0.59%$29.22K
Healthcare Rlty Hldgs LP0.58%$28.90K
Farmers Ins Exch0.58%$28.83K
Glp Capital LP / Fin Ii0.58%$28.63K
Hca, Inc.0.58%$28.59K
Wells Fargo & Company0.57%$28.53K
Alcon Finance Corp.0.55%$27.41K
Berry Global, Inc.0.54%$26.96K
Mmi Capital Trust I0.54%$26.93K
US Treasury N/b0.54%$26.93K
Aker Bp Asa0.54%$26.77K
Pilgrim's Pride Corp.0.54%$26.68K
Aep Transmission Co. LLC0.53%$26.58K
Pipeline Funding Co. LLC0.53%$26.34K
American Assets Trust LP0.53%$26.14K
Smith & Nephew PLC0.52%$26.08K
Humana, Inc.0.52%$25.89K
United Air 2023-1 A Ptt0.52%$25.69K
Aercap Ireland Cap/globa0.51%$25.25K
Pacificorp0.50%$24.91K
Transcanada Pipelines0.50%$24.69K
West Va Health Sys Obl0.49%$24.61K
Piedmont Operating Partn0.49%$24.36K
Morgan Stanley0.48%$23.94K
Cdw Llc/cdw Finance0.48%$23.73K
Fidelity Government Portfolio0.48%$23.71K
Ccl Industries, Inc.0.46%$22.97K
Baltimore Gas & Electric0.46%$22.63K
American Express Co.0.45%$22.13K
Jetblue Airways Corp.0.44%$22.09K
Discover Financial Svs0.44%$22.00K
Revvity, Inc.0.44%$21.90K
Micron Technology, Inc.0.44%$21.87K
Cox Communications, Inc.0.43%$21.53K
Broadcom, Inc.0.43%$21.43K
Goldman Sachs Group, Inc.0.43%$21.40K
At&t, Inc.0.43%$21.22K
Morgan Stanley0.43%$21.22K
Smithfield Foods, Inc.0.43%$21.20K
Amcor Finance USA, Inc.0.42%$21.11K
American Tower Corp.0.42%$20.98K
Jde Peet's NV0.42%$20.96K
Constellation Software0.42%$20.96K
Atlassian Corporation0.42%$20.95K
Willis North America, Inc.0.41%$20.60K
Cadence Design Sys, Inc.0.40%$20.12K
Time Warner Cable LLC0.40%$20.01K
Bacardi Ltd.0.40%$20.00K
Public Service Co. Of New0.40%$19.91K
Bae Systems Holdings, Inc.0.40%$19.81K
Morgan Stanley0.40%$19.68K
Government National Mortgage A0.39%$19.44K
Firstenergy Penn Electri0.38%$18.90K
Sealed Air Corp.0.38%$18.79K
American Tower Corp.0.38%$18.78K
Air Lease Corp.0.37%$18.59K
Host Hotels & Resorts LP0.37%$18.54K
Lsega Financing PLC0.37%$18.53K
Open Text Corp.0.36%$17.95K
Interstate Power & Light0.36%$17.89K
Bank Of America Corp.0.36%$17.85K
Delta Air Lines 2020-Aa0.36%$17.79K
Ngpl Pipeco LLC0.36%$17.78K
Vodafone Group PLC0.35%$17.53K
Illumina, Inc.0.35%$17.41K
Bank Of America Corp.0.35%$17.30K
Bank Of America Corp.0.35%$17.26K
New York St Urban Dev Corp. Sal0.34%$17.03K
New York City Ny Transitional0.33%$16.64K
Arizona Public Service0.33%$16.50K
Cvs Health Corp.0.33%$16.45K
Fox Corp.0.33%$16.42K
Allstate Corp.0.33%$16.41K
Meta Platforms, Inc.0.33%$16.28K
Roche Holdings, Inc.0.33%$16.27K
Southern Co. Gas Capital0.32%$16.14K
Jbs USA Hold/food/lux Co.0.32%$16.01K
US Bancorp0.32%$16.00K
Cisco Systems, Inc.0.32%$15.76K
Altria Group, Inc.0.32%$15.75K
Nnn REIT, Inc.0.32%$15.72K
Health Care Service Corp.0.31%$15.61K
Essex Portfolio LP0.31%$15.61K
Wells Fargo & Company0.31%$15.58K
Keyspan Gas East Corp.0.31%$15.47K
Pnc Financial Services0.31%$15.25K
Firstenergy Transmission0.31%$15.21K
Roche Holdings, Inc.0.30%$15.15K
Mastercard, Inc.0.30%$15.08K
Uber Technologies, Inc.0.30%$14.99K
Bayer US Finance Ii LLC0.30%$14.80K
Bayer US Finance Ii LLC0.30%$14.76K
Take-Two Interactive Sof0.29%$14.39K
Miami-Dade Cnty Fl Aviation Re0.29%$14.29K
Athene Global Funding0.29%$14.28K
Aercap Ireland Cap/globa0.29%$14.18K
Los Angeles Ca Dept Of Arpts A0.28%$14.07K
Children's Hospital Medi0.28%$13.70K
Fiserv, Inc.0.28%$13.69K
Energy Transfer LP0.27%$13.56K
Southern Natural Gas0.27%$13.40K
Steris PLC0.27%$13.37K
Unitedhealth Group, Inc.0.27%$13.29K
Extra Space Storage LP0.26%$13.15K
Plains All Amer Pipeline0.26%$13.02K
American Homes 4 Rent0.26%$12.92K
Comcast Corp.0.25%$12.53K
Ses Global Americas Hldg0.24%$12.09K
New York Life Insurance0.24%$12.07K
Kilroy Realty LP0.24%$12.04K
Aon Corp/aon Global Hold0.24%$12.01K
Boeing Co.0.23%$11.53K
Arthur J Gallagher & Co.0.22%$11.17K
Williams Companies, Inc.0.22%$10.91K
Zoetis, Inc.0.22%$10.72K
Iqvia, Inc.0.21%$10.64K
Jetblue 2019-1 Class Aa0.21%$10.61K
Amgen, Inc.0.21%$10.56K
Thermo Fisher Scientific0.21%$10.47K
Maryland St Econ Dev Corp.0.21%$10.41K
Choice Hotels Intl, Inc.0.21%$10.32K
Coca-Cola Co/the0.21%$10.24K
Vici Properties LP0.20%$10.06K
Ngpl Pipeco LLC0.20%$10.05K
Americold Realty Oper Pa0.20%$10.04K
US Bancorp0.20%$10.00K
Avolon Holdings Fndg Ltd.0.20%$9.91K
Relx Capital, Inc.0.20%$9.91K
Centene Corp.0.20%$9.85K
Baxter International, Inc.0.20%$9.78K
Boeing Co.0.19%$9.67K
Oracle Corp.0.19%$9.67K
Kraft Heinz Foods Co.0.19%$9.57K
Lloyds Banking Group PLC0.19%$9.56K
Narragansett Electric0.19%$9.51K
Amgen, Inc.0.19%$9.41K
Capital One Financial Co.0.19%$9.41K
Avolon Holdings Fndg Ltd.0.19%$9.34K
Sonoco Products Co.0.19%$9.32K
Alabama Power Co.0.19%$9.31K
Intl Flavor & Fragrances0.19%$9.21K
Weyerhaeuser Co.0.18%$9.14K
Boston Gas Company0.18%$9.13K
Massachusetts St Sch Bldg Auth0.18%$9.12K
Athene Global Funding0.18%$9.09K
Hudson Pacific Propertie0.18%$9.07K
Southern Co. Gas Capital0.18%$8.97K
Lxp Industrial Trust0.18%$8.90K
Doc Dr LLC0.18%$8.73K
Appalachian Power Co.0.18%$8.70K
Boston Properties LP0.17%$8.34K
Duke Energy Carolinas0.17%$8.33K
Virginia Elec & Power Co.0.16%$8.12K
Unitedhealth Group, Inc.0.16%$8.06K
Raymond James Financial0.16%$7.86K
Virginia Elec & Power Co.0.15%$7.42K
Arizona Public Service0.15%$7.32K
At&t, Inc.0.15%$7.32K
Energy Transfer LP0.15%$7.31K
Mass General Brigham, Inc.0.15%$7.28K
US Treasury N/b0.14%$7.01K
Board Of Trade Of The City Of Chicago, Inc.0.13%$6.68K
Arthur J Gallagher & Co.0.13%$6.64K
United Air 2016-2 Aa Ptt0.13%$6.24K
Fannie Mae0.12%$6.09K
Kinder Morgan, Inc.0.12%$5.84K
Commonwealth Edison Co.0.12%$5.75K
Pnc Financial Services0.12%$5.73K
Kinder Morgan Ener Part0.11%$5.69K
Boeing Co/the0.11%$5.37K
Indianapolis Pwr & Light0.11%$5.34K
Lowe's Cos, Inc.0.11%$5.29K
Amgen, Inc.0.11%$5.27K
Cigna Group/the0.11%$5.25K
Elanco Animal Health, Inc.0.10%$5.20K
Invitation Homes Op0.10%$5.17K
Pfizer Investment Enter0.10%$5.10K
Northrop Grumman Corp.0.10%$5.09K
Worldline Sa/france0.10%$5.08K
Cubesmart LP0.10%$4.98K
Sydney Airport Finance0.10%$4.93K
New York City Ny Transitional0.10%$4.93K
Intel Corp.0.10%$4.91K
Warnermedia Holdings, Inc.0.10%$4.91K
Digital Realty Trust LP0.10%$4.84K
Intl Flavor & Fragrances0.10%$4.83K
Barnabas Health, Inc.0.10%$4.82K
Transcanada Pipelines0.10%$4.80K
JPMorgan Chase & Co.0.10%$4.79K
JPMorgan Chase & Co.0.10%$4.78K
Boston Properties LP0.09%$4.68K
Commonspirit Health0.09%$4.55K
Amcor Flexibles North Am0.09%$4.50K
Amgen, Inc.0.09%$4.49K
New York St Urban Dev Corp. Sal0.09%$4.36K
Essex Portfolio LP0.09%$4.36K
Mcdonald's Corp.0.09%$4.33K
New York St Urban Dev Corp. Sal0.09%$4.31K
Lxp Industrial Trust0.08%$4.19K
Con Edison Co. Of Ny, Inc.0.08%$4.12K
Charter Comm Opt Llc/cap0.08%$4.03K
Aep Transmission Co. LLC0.08%$3.95K
Aercap Ireland Cap/globa0.08%$3.93K
Altria Group, Inc.0.07%$3.70K
GS Mortgage Securities Trust0.07%$3.48K
Intel Corp.0.07%$3.37K
Charter Comm Opt Llc/cap0.07%$3.28K
Sabine Pass Liquefaction0.06%$2.98K
Avolon Holdings Fndg Ltd.0.06%$2.80K
Glp Capital LP / Fin Ii0.04%$1.77K
Fannie Mae0.03%$1.45K
Government National Mortgage A0.03%$1.31K
Citigroup, Inc.0.02%$931
Board Of Trade Of The City Of Chicago, Inc.0.00%$152
UBS-Barclays Commercial Mortga0.00%$150
Bank of America, National Association0.00%$7
COMM Mortgage Trust0.00%$4
COMM Mortgage Trust0.00%$1
Citibank, National Association-0.00%$-106
Chicago Mercantile Exchange Inc.-0.04%$-1.90K

C000201587 overview: performance, fees, allocation and SEC filings