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.
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
PROGRESSIVE CORP OHIO
0
775,620
775,620
0.65%
$161.33M
DEXCOM INC
0
1,737,130
1,737,130
0.51%
$126.88M
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
iShares Russell 1000 Growth ETF
1,672,940
0
-1,672,940
0.00%
-$812.35M
SERVICENOW INC
247,324
0
-247,324
0.00%
-$227.36M
AXON ENTERPRISE INC
158,466
0
-158,466
0.00%
-$116.03M
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
NETFLIX INC
1,106,400
7,676,890
6,570,490
2.57%
-$596.96M
APPLE INC
1,782,130
1,983,950
201,820
2.07%
$32.96M
MCKESSON CORP
378,601
392,451
13,850
1.31%
$19.04M
ASML HOLDING-NY
163,402
205,602
42,200
1.17%
$119.49M
VEEVA SYSTEMS-A
1,400,739
1,410,849
10,110
1.15%
-$120.19M
TJX COS INC
1,528,660
1,860,300
331,640
1.12%
$64.47M
VERISK ANALYTICS INC
889,340
1,246,750
357,410
1.09%
$76.57M
CELSIUS HOLDINGS INC
2,342,528
4,184,988
1,842,460
0.88%
$78.54M
ABBOTT LABS
736,110
1,487,060
750,950
0.65%
$71.54M
SAIA INC
270,850
480,300
209,450
0.65%
$81.61M
INTUIT INC
123,260
311,430
188,170
0.62%
$73.10M
BROADRIDGE FINL
489,634
649,714
160,080
0.51%
$20.15M
REDDIT INC-A
553,530
704,370
150,840
0.51%
$11.32M
ON HOLDING AG
2,131,186
2,484,666
353,480
0.45%
$33.26M
MANHATTAN ASSOCIATES INC
485,601
645,221
159,620
0.39%
$9.02M
CAVA GROUP INC
1,258,810
1,530,220
271,410
0.37%
$25.13M
ASTERA LABS INC
579,039
605,799
26,760
0.37%
-$16.85M
PROCORE TECHNOLOGIES INC
1,468,560
1,560,120
91,560
0.35%
-$20.28M
GARMIN LTD
349,370
409,650
60,280
0.33%
$7.86M
TOAST INC-A
1,972,870
2,016,720
43,850
0.25%
-$8.56M
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
NVIDIA CORP
14,855,982
13,800,492
-1,055,490
10.59%
-$370.50M
ALPHABET INC CL C
7,581,760
6,969,190
-612,570
9.47%
$222.59M
META PLATFORMS INC CL A
2,170,393
1,893,103
-277,290
5.44%
-$50.77M
VISA INC-CLASS A
3,194,107
2,855,307
-338,800
3.69%
-$169.44M
LILLY ELI and CO
848,926
747,056
-101,870
3.11%
$42.30M
TAIWAN SEMIC MFG CO LTD SP ADR
1,931,887
1,682,227
-249,660
2.23%
-$24.32M
COSTCO WHOLESALE CORP
639,488
562,528
-76,960
2.12%
-$53.94M
MONSTER BEVERAGE CORP
6,837,187
6,220,857
-616,330
2.02%
$45.47M
HOME DEPOT INC
1,322,951
1,217,271
-105,680
1.83%
-$46.20M
INTUITIVE SURGICAL INC
836,647
729,927
-106,720
1.48%
-$78.96M
TEXAS INSTRUMENTS INC
1,700,653
1,586,413
-114,240
1.37%
$67.36M
VERTEX PHARMACEUTICALS INC
768,263
715,223
-53,040
1.35%
$9.13M
STRYKER CORP
992,602
908,752
-83,850
1.35%
-$17.77M
SHERWIN WILLIAMS CO
905,054
841,074
-63,980
1.20%
-$13.91M
AB Fixed Income Shares, Inc. - Government Money Market Portfolio