Portfolio moves
Net position changes between two of this fund's N-PORT
snapshots. These are differences between point-in-time reports — not a
trade log — and share counts can be affected by splits and other corporate
actions.
Oct 31, 2025 → Jan 31, 2026
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 4 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
TRANE TECHNOLOGI
0
58,878
58,878
0.77%
$24.76M
LAM RESEARCH CORP
0
84,680
84,680
0.62%
$19.77M
MICRON TECHNOLOGY INC
0
18,751
18,751
0.24%
$7.78M
Fixed Income Clearing Corp 3.66 02/02/2026
0
5,700,000
5,700,000
0.18%
$5.70M
▶
Exited
· 6 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
ARISTA NETWORKS INC
144,131
0
-144,131
0.00%
-$22.73M
CDW CORPORATION
76,155
0
-76,155
0.00%
-$12.14M
COPART INC
234,856
0
-234,856
0.00%
-$10.10M
ARM HOLDINGS LTD
45,648
0
-45,648
0.00%
-$7.75M
Fixed Income Clearing Corp 4.15 11/03/2025
6,741,000
0
-6,741,000
0.00%
-$6.74M
SOLSTICE ADV MAT
29,502
0
-29,502
0.00%
-$1.33M
▶
Increased
· 5 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
APPLIED MATERIALS INC
47,788
85,000
37,212
0.85%
$16.26M
NETFLIX INC
28,112
263,342
235,230
0.69%
-$9.47M
SERVICENOW INC
29,402
137,711
108,309
0.50%
-$10.92M
State Street Navigator Securities Lending Portfolio II
10,726
18,055
7,329
0.00%
$7.33K
SOLD PEN/BOUGHT USD
7
9
2
0.00%
-$101.22K
▶
Decreased
· 92 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
NVIDIA CORP
1,531,110
1,434,294
-96,816
8.55%
-$35.90M
MICROSOFT CORP
531,261
497,667
-33,594
6.68%
-$60.95M
ALPHABET INC CL A
653,654
612,320
-41,334
6.46%
$23.16M
APPLE INC
627,046
587,396
-39,650
4.75%
-$17.12M
AMAZON.COM INC
537,631
503,635
-33,996
3.76%
-$10.78M
BROADCOM INC
322,441
302,052
-20,389
3.12%
-$19.11M
META PLATFORMS INC CL A
115,925
108,595
-7,330
2.43%
$2.65M
NEXTERA ENERGY INC
657,533
615,955
-41,578
1.69%
$619.26K
MASTERCARD INC CL A
105,983
99,282
-6,701
1.67%
-$5.01M
TESLA INC
127,601
119,533
-8,068
1.60%
-$6.81M
INTL BUS MACH CORP
171,229
160,401
-10,828
1.53%
-$3.44M
JPMORGAN CHASE and CO
169,370
158,660
-10,710
1.51%
-$4.16M
LILLY ELI and CO
49,366
46,244
-3,122
1.50%
$5.37M
BANK OF AMERICA CORPORATION
920,641
862,426
-58,215
1.43%
-$3.33M
HOME DEPOT INC
123,789
115,962
-7,827
1.36%
-$3.55M
REGIONS FINANCIAL CORP
1,567,051
1,467,962
-99,089
1.31%
$3.91M
ANALOG DEVICES INC
167,682
130,021
-37,661
1.26%
$1.16M
CUMMINS INC
66,452
62,250
-4,202
1.12%
$6.95M
TJX COS INC
244,083
228,648
-15,435
1.07%
$47.97K
PROCTER & GAMBLE
239,549
224,401
-15,148
1.06%
-$1.96M
S&P GLOBAL INC
67,698
63,417
-4,281
1.04%
$487.72K
WELLTOWER INC
186,081
174,316
-11,765
1.02%
-$853.94K
PROLOGIS INC REIT
267,127
250,235
-16,892
1.02%
-$477.11K
LINDE PLC
71,939
67,390
-4,549
0.96%
$703.12K
AMERICAN EXPRESS CO
92,650
86,792
-5,858
0.95%
-$2.86M
DANAHER CORP
149,015
139,593
-9,422
0.95%
-$1.54M
ABBVIE INC
145,356
136,166
-9,190
0.95%
-$1.33M
CADENCE DESIGN SYSTEMS INC
105,609
98,932
-6,677
0.91%
-$6.45M
GILEAD SCIENCES INC
216,165
202,496
-13,669
0.90%
$2.85M
WILLIAMS COS INC
448,946
420,558
-28,388
0.88%
$2.31M
GOLDMAN SACHS GROUP INC
31,992
29,969
-2,023
0.87%
$2.78M
VISA INC-CLASS A
92,697
86,836
-5,861
0.87%
-$3.64M
SLB LTD
570,354
534,289
-36,065
0.81%
$5.28M
THE CIGNA GROUP
100,320
93,976
-6,344
0.80%
$1.24M
HONEYWELL INTL INC
118,009
110,547
-7,462
0.78%
$1.39M
XYLEM INC
193,833
181,577
-12,256
0.78%
-$4.21M
SYSCO CORP
314,824
294,916
-19,908
0.77%
$1.34M
MORGAN STANLEY
141,123
132,200
-8,923
0.75%
$1.02M
PEPSICO INC
166,657
156,119
-10,538
0.75%
-$362.36K
MOTOROLA SOLUTIONS INC
63,410
59,400
-4,010
0.75%
-$1.88M
EATON CORP PLC
71,968
67,417
-4,551
0.74%
-$3.77M
THERMO FISHER SCIENTIFIC INC
43,153
40,424
-2,729
0.73%
-$1.09M
JOHNSON CONTROLS
416,364
189,844
-226,520
0.71%
-$24.99M
MARRIOTT INTL-A
75,828
71,033
-4,795
0.70%
$2.64M
METLIFE INC
298,399
279,531
-18,868
0.69%
-$1.77M
CHENIERE ENERGY INC
108,929
102,041
-6,888
0.67%
-$1.51M
COSTCO WHOLESALE CORP
24,302
22,765
-1,537
0.67%
-$745.27K
BLACKROCK INC
20,076
18,806
-1,270
0.66%
-$695.71K
AMERIPRISE FINANCIAL INC
40,911
38,325
-2,586
0.63%
$1.68M
PARKER HANNIFIN CORP
22,198
20,796
-1,402
0.61%
$2.31M
ECOLAB INC
73,549
68,898
-4,651
0.61%
$570.58K
TRACTOR SUPPLY CO.
395,975
370,935
-25,040
0.59%
-$2.55M
O'REILLY AUTOMOTIVE INC
204,107
191,201
-12,906
0.59%
-$459.77K
IDEXX LABS INC
29,885
27,995
-1,890
0.59%
-$43.38K
AUTOMATIC DATA PROCESSING INC
92,142
74,960
-17,182
0.58%
-$5.48M
VERTEX PHARMACEUTICALS INC
40,213
37,671
-2,542
0.55%
$588.16K
TAIWAN SEMIC MFG CO LTD SP ADR
56,975
53,371
-3,604
0.55%
$525.32K
ZOETIS INC CL A
147,975
138,618
-9,357
0.54%
-$4.02M
GE VERNOVA LLC
25,268
23,671
-1,597
0.54%
$2.41M
UNITED RENTALS INC
22,949
21,497
-1,452
0.52%
-$3.18M
DEERE & CO
33,819
31,680
-2,139
0.52%
$1.12M
THE BOOKING HOLDINGS INC
3,549
3,324
-225
0.52%
-$1.39M
CENCORA INC
49,086
45,983
-3,103
0.52%
-$63.73K
MERCK & CO
158,567
148,540
-10,027
0.51%
$2.75M
INTERCONTINENTAL EXCHANGE INC
97,722
91,543
-6,179
0.50%
$1.61M
UNION PACIFIC CORP
71,801
67,261
-4,540
0.49%
-$9.73K
ASML Holding NV
11,336
10,619
-717
0.48%
$3.24M
CHURCH & DWIGHT
168,409
157,760
-10,649
0.47%
$416.61K
FERGUSON ENTERPRISES INC
63,738
59,707
-4,031
0.47%
-$765.26K
INTUITIVE SURGICAL INC
31,756
29,748
-2,008
0.47%
-$1.97M
EQUINIX INC
19,347
18,123
-1,224
0.46%
-$1.49M
UNITEDHEALTH GRP
54,675
51,217
-3,458
0.46%
-$3.98M
BALL CORP
273,364
256,078
-17,286
0.45%
$1.72M
KKR & CO INC
132,479
124,101
-8,378
0.44%
-$1.50M
UBER TECHNOLOGIES INC
183,847
172,222
-11,625
0.43%
-$3.95M
MARSH & MCLENNAN
77,536
72,633
-4,903
0.43%
-$144.23K
FEDEX CORP
44,690
41,865
-2,825
0.42%
$2.15M
WORKDAY INC CL A
81,966
76,783
-5,183
0.42%
-$6.18M
PROGRESSIVE CORP OHIO
64,425
60,351
-4,074
0.39%
-$718.54K
CROWDSTRIKE HOLDINGS INC
30,305
28,388
-1,917
0.39%
-$3.93M
APPLOVIN CORP
27,398
25,666
-1,732
0.38%
-$5.32M
DYNATRACE INC
336,249
314,987
-21,262
0.37%
-$5.01M
AGILENT TECHNOLOGIES INC
90,145
84,444
-5,701
0.35%
-$1.89M
SALESFORCE INC
56,760
53,170
-3,590
0.35%
-$3.49M
COLGATE-PALMOLIVE CO
129,161
120,994
-8,167
0.34%
$972.69K
VERIZON COMMUNICATIONS INC
247,091
231,467
-15,624
0.32%
$485.51K
BRISTOL-MYERS SQUIBB CO
179,340
167,998
-11,342
0.29%
$986.10K
MONGODB INC CL A
25,597
23,979
-1,618
0.28%
-$306.19K
AIRBNB INC CLASS A
45,002
42,156
-2,846
0.17%
-$240.83K
LIBERTY MEDIA CORP LIBERTY FORMULA ONE CL C
54,943
51,468
-3,475
0.14%
-$1.01M
iShares Core S&P 500 ETF
4,930
2,772
-2,158
0.06%
-$1.45M
SOLD ZAR/BOUGHT USD
5
4
-1
0.00%
-$89.75K
▶
Unchanged
· 2 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
SOLD ZAR/BOUGHT USD
1
1
0
0.00%
-$74.51K
ZURN ELKAY WATER SOLUTIONS CORP
2
2
0
0.00%
-$79.37K
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