f/fundlab/nport_cache/mbxix.json
Greg Pomerantz 54d26939dc Fund Lab: N-PORT holdings page for the 16-fund shortlist
- fundlab/nport.py: parse the fund's own category/percentage lines,
  as-of date, net assets and dollar-valued positions from N-PORT
  schedules of investments (handles per-fund and combined multi-fund
  family filings; conservative keyword bucketing of positions)
- fundlab/nport_cache/<sym>.json: parsed snapshots for 15 of 16 funds
  (raw SOI HTML kept locally, gitignored; source URLs + filing dates in
  nport_manifest.json, md5-verified against EDGAR)
- atesx: no current SOI found (Anchor's recent filings cover the Income
  fund) - listed with an honest note
- app.py: new 'Fund Lab' tab - pick a fund, see objective, reported
  composition (bar + table), rough keyword buckets, top positions, and
  the prospectus strategy excerpt
- tests: parser unit tests (section finding, category regex, buckets)
2026-08-26 09:59:24 -04:00

259 lines
4.1 KiB
JSON

{
"sym": "mbxix",
"as_of": "September 30, 2024",
"net_assets": 7537652760.0,
"n_positions": 223,
"categories": [
{
"name": "EXCHANGE-TRADED FUNDS",
"pct": 50.3
},
{
"name": "EQUITY",
"pct": 50.3
},
{
"name": "U.S. GOVERNMENT & AGENCIES",
"pct": 38.4
},
{
"name": "TREASURY NOTES",
"pct": 38.4
},
{
"name": "SHORT-TERM INVESTMENTS",
"pct": 7.9
},
{
"name": "MONEY MARKET FUNDS",
"pct": 7.9
},
{
"name": "American Treasury Obligations Fund, Class X,",
"pct": 4.81
},
{
"name": "OTHER ASSETS IN EXCESS OF LIABILITIES",
"pct": 3.4
}
],
"buckets": [
{
"name": "Fund holdings",
"value": 9478197061.0,
"pct": 76.60463621904158
},
{
"name": "US govt",
"value": 2894236165.0,
"pct": 23.39178085504241
},
{
"name": "Other",
"value": 443311.0,
"pct": 0.0035829259160092435
}
],
"top": [
{
"text": "TOTAL INVESTMENTS - 96.6% (Cost $6,186,216,613)",
"value": 6186216613.0,
"cat": "American Treasury Obligations Fund, Class X,"
},
{
"text": "TOTAL U.S. GOVERNMENT & AGENCIES (Cost $2,894,236,165)",
"value": 2894236165.0,
"cat": "TREASURY NOTES"
},
{
"text": "TOTAL EXCHANGE-TRADED FUNDS (Cost $2,699,965,147)",
"value": 2699965147.0,
"cat": "EQUITY"
},
{
"text": "TOTAL SHORT-TERM INVESTMENTS (Cost $592,015,301)",
"value": 592015301.0,
"cat": "American Treasury Obligations Fund, Class X,"
},
{
"text": "03/17/2027",
"value": 2027.0,
"cat": "NET ASSETS"
},
{
"text": "03/17/2027",
"value": 2027.0,
"cat": "NET ASSETS"
},
{
"text": "03/16/2026",
"value": 2026.0,
"cat": "NET ASSETS"
},
{
"text": "06/15/2026",
"value": 2026.0,
"cat": "NET ASSETS"
},
{
"text": "09/14/2026",
"value": 2026.0,
"cat": "NET ASSETS"
},
{
"text": "12/15/2026",
"value": 2026.0,
"cat": "NET ASSETS"
},
{
"text": "03/17/2026",
"value": 2026.0,
"cat": "NET ASSETS"
},
{
"text": "06/16/2026",
"value": 2026.0,
"cat": "NET ASSETS"
},
{
"text": "09/15/2026",
"value": 2026.0,
"cat": "NET ASSETS"
},
{
"text": "12/15/2026",
"value": 2026.0,
"cat": "NET ASSETS"
},
{
"text": "03/17/2026",
"value": 2026.0,
"cat": "NET ASSETS"
},
{
"text": "06/16/2026",
"value": 2026.0,
"cat": "NET ASSETS"
},
{
"text": "09/15/2026",
"value": 2026.0,
"cat": "NET ASSETS"
},
{
"text": "12/16/2026",
"value": 2026.0,
"cat": "NET ASSETS"
},
{
"text": "06/16/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "09/15/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "12/15/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "01/01/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "01/01/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "02/28/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "01/30/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "09/16/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "12/16/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "09/16/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "12/16/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "01/01/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "02/03/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "03/03/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "04/01/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "01/13/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "01/30/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "02/27/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "02/21/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "03/21/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "01/22/2025",
"value": 2025.0,
"cat": "NET ASSETS"
},
{
"text": "01/01/2025",
"value": 2025.0,
"cat": "NET ASSETS"
}
]
}