CREF Core Bond Account Class R3 QCBMIX

Rating as of
  • NAV / 1-Day Return 141.07  /  −0.12 %
  • Total Assets 12.5B
  • Adj. Expense Ratio
    0.220%
  • Expense Ratio 0.220%
  • Distribution Fee Level —
  • Share Class Type —
  • Category Intermediate Core Bond
  • Credit Quality / Interest Rate Sensitivity Medium/Moderate
  • Min. Initial Investment 0
  • Status Open
  • TTM Yield 0.00
  • Effective Duration 5.49 years

USD | NAV as of Oct 06, 2026 | 1-Day Return as of Oct 06, 2026, 12:29 AM GMT+0

Morningstar’s Analysis QCBMIX

There is no Morningstar’s Analysis data available.

Portfolio Holdings QCBMIX

  • Current Portfolio Date
  • Equity Holdings —
  • Bond Holdings —
  • Other Holdings —
  • % Assets in Top 10 Holdings 14.8
Top 10 Holdings
% Portfolio Weight
Market Value USD
Sector

United States Treasury Notes 3.75%

2.11 275M
Government

Us 5yr Note (Cbt) Sep26 Xcbt 20260930

1.93 252M
Government

United States Treasury Notes 4.125%

1.92 250M
Government

United States Treasury Notes 4.125%

1.68 219M
Government

United States Treasury Notes 3.5%

1.35 176M
Government

Federal National Mortgage Association 5.5%

1.33 173M
Securitized

Federal National Mortgage Association 5.5%

1.32 172M
Securitized

United States Treasury Bonds 2.25%

1.12 146M
Government

United States Treasury Bonds 4.75%

1.06 138M
Government

United States Treasury Notes 3.5%

1.01 132M
Government

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