ANWFX
New Perspective Fund
New Perspective Fund

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.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
CATERPILLAR INC 0 556,452 556,452 0.26% $394.22M
CADENCE DESIGN SYSTEMS INC 0 1,394,887 1,394,887 0.25% $387.60M
WHEATON PRECIOUS METALS CORP 0 2,539,399 2,539,399 0.22% $333.12M
VEOLIA ENVIRONNE 0 5,284,838 5,284,838 0.13% $201.88M
ROCHE HOLDING AG 0 506,820 506,820 0.13% $200.13M
WESTLAKE CORP 0 1,229,522 1,229,522 0.09% $143.63M
BNP PARIBAS 0 1,471,682 1,471,682 0.09% $140.19M
LEONARDO SPA 0 2,077,578 2,077,578 0.09% $139.55M
HSBC HOLDINGS PL 0 7,405,307 7,405,307 0.08% $121.17M
VESTAS WIND SYST 0 3,933,549 3,933,549 0.08% $117.77M
AKAMAI TECHNOLOGIES INC 0 1,000,000 1,000,000 0.08% $114.85M
RTX CORP 0 578,839 578,839 0.07% $111.66M
LYONDELLBASELL INDS CLASS A 0 1,116,876 1,116,876 0.06% $89.98M
MITSUB ELEC CORP 0 2,637,100 2,637,100 0.06% $86.12M
APPLOVIN CORP 0 204,059 204,059 0.05% $81.22M
Techtronic Industries Company Limited 0 5,891,000 5,891,000 0.05% $78.41M
EURONEXT NV 0 458,745 458,745 0.05% $73.81M
MICHELIN 0 2,092,639 2,092,639 0.05% $71.26M
WEIR GROUP PLC 0 1,896,127 1,896,127 0.05% $70.94M
CRANE CO 0 223,497 223,497 0.02% $38.22M
SHELL PLC 0 765,330 765,330 0.02% $35.74M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
SYNOPSYS INC 1,736,689 0 -1,736,689 0.00% -$815.76M
FLUTTER ENTERTAINMENT PLC 2,679,444 0 -2,679,444 0.00% -$576.19M
INTL BUS MACH CORP 900,000 0 -900,000 0.00% -$266.59M
REDDIT INC-A 960,000 0 -960,000 0.00% -$220.68M
ESTEE LAUDER COS INC CL A 2,000,000 0 -2,000,000 0.00% -$209.44M
CAN NATL RAILWAY 1,662,438 0 -1,662,438 0.00% -$164.42M
Vale S.A. SPONS ADS REPR 1 COM NPV 11,225,003 0 -11,225,003 0.00% -$146.26M
STANDARD CHARTER 5,680,146 0 -5,680,146 0.00% -$138.71M
ICICI BANK LTD 7,887,833 0 -7,887,833 0.00% -$117.76M
MONCLER SPA 1,372,173 0 -1,372,173 0.00% -$88.19M
DUOLINGO INC 497,216 0 -497,216 0.00% -$87.26M
ASAHI INTECC CO 4,396,200 0 -4,396,200 0.00% -$82.36M
CAPGEMINI SE 377,218 0 -377,218 0.00% -$62.47M
GARTNER INC 153,298 0 -153,298 0.00% -$38.67M
HOYA CORP 240,900 0 -240,900 0.00% -$36.49M
SWATCH GROUP-BR 138,124 0 -138,124 0.00% -$29.31M
VERALTO CORP 149,498 0 -149,498 0.00% -$14.92M
SOFTBANK GROUP CORP 364,000 0 -364,000 0.00% -$10.26M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
META PLATFORMS INC CL A 9,702,438 9,790,623 88,185 3.66% -$802.97M
CAPITAL GROUP CENTRAL CASH FUND 67,373,411 97,217,007 29,843,596 3.34% -$47.47M
NVIDIA CORP 22,192,808 26,289,602 4,096,794 3.00% $445.95M
ASTRAZENECA PLC 13,977,931 15,818,602 1,840,671 2.02% $518.54M
ALPHABET INC CL C 7,483,609 7,583,609 100,000 1.42% -$172.92M
AMAZON.COM INC 9,586,477 10,303,507 717,030 1.40% -$66.84M
ALPHABET INC CL A 5,020,192 7,067,802 2,047,610 1.33% $461.10M
ROYAL CARIBBEAN CRUISES LTD 6,503,402 6,729,861 226,459 1.21% $37.99M
TOTALENERGIES SE 18,351,638 19,268,802 917,164 1.16% $583.03M
SHOPIFY INC CL A 13,723,531 14,358,191 634,660 1.11% -$505.91M
PHILIP MORRIS INTL INC 9,554,731 9,712,731 158,000 1.05% $73.32M
NORTHROP GRUMMAN CORP 1,672,380 2,083,386 411,006 0.93% $467.76M
VISA INC-CLASS A 4,086,358 4,186,358 100,000 0.83% -$167.84M
BAE SYSTEMS PLC 29,433,223 40,847,534 11,414,311 0.78% $512.39M
BANK OF AMERICA CORPORATION 21,137,918 23,975,728 2,837,810 0.76% $6.23M
CLOUDFLARE INC-A 4,950,785 5,350,785 400,000 0.72% $128.03M
MERCADOLIBRE INC 557,512 580,950 23,438 0.66% -$118.50M
SCHNEIDER ELECTR 1,649,239 3,601,779 1,952,540 0.65% $537.24M
STARBUCKS CORP 9,281,687 10,799,810 1,518,123 0.63% $185.94M
HITACHI LTD 17,920,700 32,491,000 14,570,300 0.62% $393.60M
ROYALTY PHARMA PLC 10,090,003 19,645,749 9,555,746 0.62% $552.53M
ENGIE 23,365,430 29,118,988 5,753,558 0.61% $324.44M
DEERE & CO 1,404,552 1,564,062 159,510 0.58% $227.12M
RESTAURANT BRANDS INTERNATIONAL INC 9,003,601 11,694,954 2,691,353 0.56% $249.94M
AMPHENOL CORPORATION CL A 1,853,923 6,670,180 4,816,257 0.55% $592.24M
GLENCORE PLC 59,604,494 104,136,804 44,532,310 0.52% $469.29M
BEONE MEDICINES LTD ADR 2,372,767 2,663,960 291,193 0.52% $70.25M
RYANAIR HOLDINGS PLC SPON ADR 12,637,628 13,471,660 834,032 0.51% -$133.65M
NINTENDO CO LTD 11,199,700 12,970,200 1,770,500 0.48% -$16.44M
SIEMENS AG-REG 3,051,454 3,079,701 28,247 0.48% -$126.48M
FTAI AVIATION LTD 2,818,207 2,951,874 133,667 0.47% $168.45M
BHARTI AIRTEL LIMITED 28,601,184 37,912,645 9,311,461 0.47% $49.87M
WELLTOWER INC 2,078,453 3,574,795 1,496,342 0.46% $320.99M
TRANSDIGM GROUP INC 559,068 590,395 31,327 0.45% -$59.23M
SAP SE 3,252,675 3,978,088 725,413 0.44% -$122.64M
IHI CORP 13,962,435 31,742,035 17,779,600 0.42% $402.55M
RELX PLC 18,606,830 18,706,780 99,950 0.40% -$135.87M
METTLER-TOLEDO INTL INC 369,089 399,549 30,460 0.33% -$10.67M
AGNICO EAGLE MINES LTD 2,194,955 2,368,260 173,305 0.31% $108.49M
NOVO NORDISK-B 10,323,266 12,357,334 2,034,068 0.30% -$70.85M
ROBLOX CORP - A 6,648,997 7,317,016 668,019 0.27% -$124.92M
ALIGN TECHNOLOGY INC 2,097,778 2,113,194 15,416 0.24% $34.70M
KKR & CO INC 2,916,172 3,889,888 973,716 0.24% -$11.94M
L'Air Liquide, societe anonyme pour l'Etude et l'Exploitation des procedes Georges Claude 987,099 1,559,449 572,350 0.21% $135.49M
CAN NATURAL RES 4,519,437 6,331,873 1,812,436 0.20% $155.80M
RYOHIN KEIKAKU 8,389,200 14,345,900 5,956,700 0.20% $156.04M
DANAHER CORP 1,502,808 1,597,344 94,536 0.20% -$41.17M
AON PLC 835,952 885,860 49,908 0.19% -$9.05M
ABBVIE INC 794,796 1,308,816 514,020 0.19% $103.05M
WYNN RESORTS LTD 2,500,000 2,759,604 259,604 0.18% -$20.59M
HEWLETT PACKARD ENTERPRISE CO 3,776,800 11,171,700 7,394,900 0.17% $175.28M
PERNOD RICARD SA 2,759,592 3,523,352 763,760 0.17% $26.73M
ENTAIN PLC 26,700,531 34,802,260 8,101,729 0.17% -$12.14M
NIKE INC CL B 4,590,682 4,819,311 228,629 0.17% -$37.92M
EPAM SYSTEMS INC 771,184 1,596,626 825,442 0.14% $58.18M
Dassault Systemes SE 8,986,209 10,043,043 1,056,834 0.13% -$46.51M
FERRARI NV 129,513 564,252 434,739 0.12% $142.59M
ADYEN NV 26,431 178,093 151,662 0.12% $135.80M
CONSTELLATION SOFTWARE INC 34,114 63,205 29,091 0.07% $28.90M
MSILF-GOVT-INS 15,600,000 110,100,000 94,500,000 0.07% $94.50M
BlackRock Liquidity FedFund - Institutional Class 16,800,000 110,100,000 93,300,000 0.07% $93.30M
State Street Navigator Securities Lending Portfolio II 13,200,000 92,700,000 79,500,000 0.06% $79.50M
MONEYMKT 9,600,000 81,100,000 71,500,000 0.05% $71.50M
LOAR HOLDINGS INC 679,410 832,968 153,558 0.03% $1.52M
Invesco Government & Agency Portfolio, Institutional Class 16,875,111 46,501,735 29,626,624 0.03% $29.63M
MONEYMKT 9,600,000 46,300,000 36,700,000 0.03% $36.70M
Short-Term Investment 15,600,000 40,500,000 24,900,000 0.03% $24.90M
DSM-FIRMENICH AG 265,383 466,449 201,066 0.02% $11.87M
STRATEGY INC CL A 198,391 260,113 61,722 0.02% $2.32M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
TSMC 118,604,056 111,747,056 -6,857,000 4.12% $505.58M
BROADCOM INC 15,591,074 14,115,145 -1,475,929 2.86% -$1.03B
MICROSOFT CORP 11,672,667 10,782,121 -890,546 2.61% -$1.65B
LILLY ELI and CO 2,588,800 2,464,735 -124,065 1.48% -$515.14M
UNICREDIT SPA 22,214,267 22,121,435 -92,832 1.04% -$250.12M
ASML Holding NV 1,209,456 1,192,028 -17,428 1.03% $285.01M
DSV PANALPINA A S 5,671,204 5,603,632 -67,572 0.87% -$88.41M
Airbus SE 6,629,221 6,331,899 -297,322 0.78% -$348.38M
NESTLE SA (REG) 12,148,472 11,631,122 -517,350 0.75% -$53.80M
GENERAL ELECTRIC CO 4,016,723 3,893,539 -123,184 0.72% -$132.40M
ROLLS-ROYCE HOLDINGS PLC 111,031,915 70,832,779 -40,199,136 0.71% -$644.10M
NETFLIX INC 15,598,909 10,767,751 -4,831,158 0.68% -$427.23M
ASML HOLDING-NY 941,992 748,365 -193,627 0.65% -$19.34M
APPLE INC 3,756,194 3,635,385 -120,809 0.60% -$98.53M
MICRON TECHNOLOGY INC 3,225,072 2,713,293 -511,779 0.60% -$3.81M
CITIGROUP INC 7,531,030 7,231,030 -300,000 0.54% -$58.72M
SK HYNIX INC 2,466,453 1,499,765 -966,688 0.53% -$301.16M
THERMO FISHER SCIENTIFIC INC 2,061,202 1,611,298 -449,904 0.52% -$402.36M
ESSILORLUXOTTICA 4,186,854 3,081,840 -1,105,014 0.47% -$606.52M
DEUTSCHE BANK-RG 27,488,913 23,907,989 -3,580,924 0.46% -$369.58M
SAFRAN SA 2,155,184 2,106,865 -48,319 0.45% -$60.93M
TENCENT HOLDINGS LTD 11,041,000 10,496,600 -544,400 0.43% -$183.37M
TRIP.COM GROUP LTD ADR 12,778,469 12,466,049 -312,420 0.41% -$298.22M
ABB Ltd. (Registered) 11,881,871 7,120,199 -4,761,672 0.38% -$299.22M
JPMORGAN CHASE and CO 2,564,063 1,932,354 -631,709 0.37% -$257.77M
SHERWIN WILLIAMS CO 2,072,917 1,696,249 -376,668 0.36% -$127.95M
BOMBARDIER INC-B 3,223,706 3,059,438 -164,268 0.35% -$7.35M
MARUBENI CORP 14,694,100 13,991,700 -702,400 0.34% $105.60M
CHUBB LTD 2,959,044 1,519,194 -1,439,850 0.32% -$428.43M
SALESFORCE INC 4,388,525 2,618,937 -1,769,588 0.32% -$673.69M
FUJITSU LTD 31,545,800 23,721,600 -7,824,200 0.32% -$382.83M
ABBOTT LABS 5,584,184 4,602,962 -981,222 0.31% -$227.06M
CARRIER GLOBAL CORP 8,189,546 7,993,557 -195,989 0.29% $17.38M
THE BOOKING HOLDINGS INC 107,876 96,065 -11,811 0.26% -$173.25M
Amadeus IT Holding, S.A. 7,705,263 6,876,920 -828,343 0.26% -$174.25M
HEICO CORP 1,406,374 1,351,699 -54,675 0.24% -$84.45M
BOEING CO/THE 1,916,617 1,861,234 -55,383 0.24% -$45.69M
KEYSIGHT TECHNOLOGIES INC 1,400,000 1,300,000 -100,000 0.24% $82.62M
LONDON STOCK EXCHANGE GRP PLC 5,120,997 3,018,095 -2,102,902 0.23% -$259.95M
DHL GROUP 9,161,635 6,808,778 -2,352,857 0.23% -$150.67M
ALLIANZ SE (REGD) 953,456 840,802 -112,654 0.23% -$88.90M
ALNYLAM PHARMACEUTICALS INC 2,392,493 1,020,320 -1,372,173 0.22% -$613.78M
BOSTON SCIENTIFIC CORP 8,341,832 5,324,695 -3,017,137 0.22% -$461.27M
Sanofi SA 4,439,795 3,293,666 -1,146,129 0.21% -$113.05M
ITT INC 1,679,693 1,639,557 -40,136 0.20% $20.94M
MONDELEZ INTL INC 7,214,749 5,279,379 -1,935,370 0.20% -$84.07M
INGERSOLL RAND INC 6,622,029 3,670,353 -2,951,676 0.19% -$230.53M
PUBLICIS GROUPE 4,526,399 3,546,186 -980,213 0.19% -$176.30M
SONY GROUP CORP 19,378,516 14,083,600 -5,294,916 0.19% -$204.82M
COPART INC 13,892,106 8,495,553 -5,396,553 0.18% -$261.82M
America Movil S.A.B. de C.V. SPON ADS RP CL B 18,874,644 10,565,253 -8,309,391 0.18% -$120.94M
CONOCOPHILLIPS 2,418,726 1,787,539 -631,187 0.15% $9.54M
AXA 7,579,348 4,989,279 -2,590,069 0.15% -$135.79M
KEYENCE CORP 1,387,040 633,500 -753,540 0.15% -$278.17M
3I GROUP PLC 9,686,234 6,567,079 -3,119,155 0.14% -$206.24M
SERVICENOW INC 4,443,560 1,963,100 -2,480,460 0.13% -$475.47M
ECOLAB INC 2,117,394 757,271 -1,360,123 0.13% -$354.41M
SLB LTD 4,276,047 3,897,140 -378,907 0.13% $36.16M
BROOKFIELD ASSET MANAGEMENT LTD A 5,186,698 4,169,776 -1,016,922 0.12% -$86.38M
DAIKIN INDS 2,435,500 1,506,700 -928,800 0.12% -$129.87M
HANWHA AEROSPACE 242,351 216,443 -25,908 0.12% $18.69M
ILLUMINA INC 1,918,928 1,396,815 -522,113 0.11% -$79.52M
HYUNDAI MOTOR CO 903,706 556,748 -346,958 0.11% -$19.10M
EDENRED 10,156,084 8,331,950 -1,824,134 0.11% -$59.73M
PARTNERS GROUP HOLDING AG COMMON STOCK 304,842 129,054 -175,788 0.09% -$235.82M
XPO LOGISTICS INC 920,725 677,977 -242,748 0.09% $6.76M
EQUIFAX INC 930,041 727,966 -202,075 0.09% -$70.72M
SEMPRA ENERGY 1,951,477 1,336,228 -615,249 0.08% -$42.45M
TOKYO ELECTRON 548,927 436,427 -112,500 0.07% -$13.82M
INTEL CORP 5,098,243 2,394,654 -2,703,589 0.07% -$82.45M
FREEPORT MCMORAN INC 5,345,607 1,765,126 -3,580,481 0.07% -$167.75M
SPOTIFY TECHNOLOGY SA 464,209 209,251 -254,958 0.07% -$168.10M
Icon Public Limited Company 1,059,500 875,570 -183,930 0.06% -$96.17M
SINGAPORE TELECO (LOT SIZE 100) 32,065,400 22,520,700 -9,544,700 0.06% -$26.43M
CAN IMPL BK COMM 980,259 773,360 -206,899 0.05% -$15.57M
WOLTERS KLUWER 1,972,387 960,963 -1,011,424 0.05% -$132.90M
SMC CORP 190,400 121,100 -69,300 0.03% -$18.93M
ACCENTURE PLC CL A 476,316 169,189 -307,127 0.02% -$94.25M
HILTON WORLDWIDE HOLDINGS INC 177,650 109,571 -68,079 0.02% -$17.71M
RIO TINTO PLC 2,750,419 207,933 -2,542,486 0.01% -$200.11M
INTL PAPER CO 785,327 488,427 -296,900 0.01% -$13.50M
US GOVERNMENT MONEY MARKET FUND 7,200,000 5,700,000 -1,500,000 0.00% -$1.50M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
TESLA INC 10,562,820 10,562,820 0 2.57% -$823.58M
VERTEX PHARMACEUTICALS INC 3,366,011 3,366,011 0 0.98% -$22.96M
SAMSUNG ELECTRONICS CO LTD 11,020,412 11,020,412 0 0.81% $319.43M
COSTCO WHOLESALE CORP 1,239,426 1,239,426 0 0.81% $166.19M
AIA Group Ltd 105,988,333 105,988,333 0 0.78% $102.00M
INTUITIVE SURGICAL INC 2,309,555 2,309,555 0 0.70% -$243.36M
MASTERCARD INC CL A 1,663,139 1,663,139 0 0.54% -$118.45M
LINDE PLC 1,633,997 1,633,997 0 0.53% $113.35M
CENOVUS ENERGY INC 29,955,609 29,955,609 0 0.52% $288.19M
KLA CORP 517,260 517,260 0 0.50% $133.11M
PROSUS NV 16,377,209 16,377,209 0 0.49% -$262.87M
BRITISH AMERICAN TOBACCO PLC 11,312,086 11,312,086 0 0.43% $17.79M
SOC GENERALE SA 8,813,384 8,813,384 0 0.42% -$66.56M
ARTHUR J GALLAGHAR AND CO 2,582,026 2,582,026 0 0.37% -$108.99M
Hermes International SCA 290,773 290,773 0 0.36% -$163.07M
BANCO SANTANDER SA 47,900,477 47,900,477 0 0.35% -$20.10M
MTN GROUP LTD 42,238,005 42,238,005 0 0.32% $58.48M
DANONE SA 6,009,924 6,009,924 0 0.32% -$59.60M
BUNGE GLOBAL SA 3,722,586 3,722,586 0 0.31% $141.90M
CARLSBERG-B 3,768,908 3,768,908 0 0.31% -$23.81M
DBS GROUP HLDGS 10,419,680 10,419,680 0 0.30% $6.97M
HKEX 9,057,100 9,057,100 0 0.30% -$14.17M
FIRST QUANTUM 18,202,330 18,202,330 0 0.28% -$52.83M
INDITEX SA 7,385,786 7,385,786 0 0.28% -$61.85M
YUM! BRANDS INC 2,625,350 2,625,350 0 0.27% $11.03M
PFIZER INC 14,451,200 14,451,200 0 0.27% $45.95M
S&P GLOBAL INC 947,541 947,541 0 0.26% -$92.15M
MUENCHENER RUE-R 635,397 635,397 0 0.26% -$23.79M
WISE PLC - A 32,837,410 32,837,410 0 0.26% -$298.96K
Prudential Public Limited Company 27,992,331 27,992,331 0 0.26% -$41.54M
MCDONALDS CORP 1,227,673 1,227,673 0 0.25% $6.33M
CORTEVA INC 4,538,997 4,538,997 0 0.25% $75.71M
GE VERNOVA LLC 434,469 434,469 0 0.25% $95.29M
SHIN-ETSU CHEM 9,318,600 9,318,600 0 0.25% $89.36M
L3HARRIS TECHNOLOGIES INC 1,075,023 1,075,023 0 0.24% $55.45M
REGENERON PHARMACEUTICALS INC 467,600 467,600 0 0.24% $360.05K
Bayer Aktiengesellschaft 7,476,077 7,476,077 0 0.22% $17.37M
UL SOLUTIONS INC CL A 3,829,687 3,829,687 0 0.21% $26.23M
HOME DEPOT INC 976,374 976,374 0 0.21% -$14.85M
GOLDMAN SACHS GROUP INC 378,994 378,994 0 0.21% -$12.51M
AMGEN INC 900,000 900,000 0 0.21% $22.09M
MARRIOTT INTL-A 959,830 959,830 0 0.21% $16.15M
CONSTELLATION BRANDS INC CL A 2,084,138 2,084,138 0 0.20% $25.09M
LVMH MOET HENNESSY LOUIS VUITTON SE 542,688 542,688 0 0.20% -$107.47M
RENAULT SA 8,516,528 8,516,528 0 0.19% -$63.61M
L'OREAL SA (TEMP) 686,197 686,197 0 0.18% -$13.36M
CARREFOUR SA 14,742,004 14,742,004 0 0.18% $25.88M
TDK CORP 20,566,900 20,566,900 0 0.17% -$24.33M
ASSA ABLOY AB SER B 7,383,091 7,383,091 0 0.17% -$21.48M
COOPER COS INC 3,607,314 3,607,314 0 0.17% -$37.73M
GOODMAN GROUP 14,124,632 14,124,632 0 0.16% -$38.95M
Receive CONTEMPORARY A-A Pay Overnight Rate -1 4,191,370 4,191,370 0 0.16% $26.24M
CIE FINANCI-REG 1,342,796 1,342,796 0 0.16% -$50.52M
ANHEUSER-BUSCH INBEV SA/NV 3,398,578 3,398,578 0 0.15% $17.77M
GRUPO MEXICO-B 22,000,000 22,000,000 0 0.15% $27.85M
CHUGAI PHARMA CO 4,227,000 4,227,000 0 0.15% $11.67M
SWISSCOM AG-REG 274,386 274,386 0 0.15% $29.65M
BROOKFIELD CORP CL A 5,184,865 5,184,865 0 0.14% -$28.10M
DIPLOMA PLC COMMON STOCK 2,595,688 2,595,688 0 0.14% $21.87M
BIOMERIEUX 1,928,634 1,928,634 0 0.13% -$44.32M
INTERCONTINENTAL EXCHANGE INC 1,279,303 1,279,303 0 0.13% -$5.99M
WALMART INC 1,565,319 1,565,319 0 0.13% $20.15M
TMX GROUP LTD 5,415,199 5,415,199 0 0.13% -$14.04M
ITOCHU CORP 14,746,500 14,746,500 0 0.12% $1.29M
RECRUIT HOLDINGS 4,057,383 4,057,383 0 0.12% -$50.30M
ICICI Bank Ltd 6,917,154 6,917,154 0 0.12% -$26.98M
MONSTER BEVERAGE CORP 2,389,123 2,389,123 0 0.11% -$10.06M
BERKSHIRE HATH-B 360,959 360,959 0 0.11% -$8.46M
Suzuki Motor Corporation 14,274,400 14,274,400 0 0.11% -$40.98M
DELTA AIR LI 2,546,308 2,546,308 0 0.11% -$7.44M
COCA-COLA CO/THE 2,113,051 2,113,051 0 0.11% $12.97M
SAGE GROUP PLC/T 13,979,707 13,979,707 0 0.10% -$47.43M
ARM HOLDINGS LTD 930,878 930,878 0 0.09% $39.07M
HALEON PLC 28,446,151 28,446,151 0 0.09% -$3.14M
CME GROUP INC CL A 442,410 442,410 0 0.09% $9.85M
VALEO 10,591,073 10,591,073 0 0.08% -$14.70M
ARISTOCRAT LEISURE LTD COMMON STOCK 3,897,063 3,897,063 0 0.08% -$27.30M
EVOLUTION AB 1,983,468 1,983,468 0 0.08% -$11.29M
TETRA TECH INC 4,068,579 4,068,579 0 0.08% -$13.91M
MONGODB INC CL A 500,000 500,000 0 0.08% -$87.46M
TRANE TECHNOLOGIES PLC 290,800 290,800 0 0.08% $8.01M
BBVA 5,426,334 5,426,334 0 0.08% -$8.49M
Grifols S.A. SPON ADR EA REPR 1 ORD 14,039,027 14,039,027 0 0.07% -$18.67M
AJINOMOTO CO INC 3,902,786 3,902,786 0 0.07% $26.88M
CRH PLC 1,037,603 1,037,603 0 0.07% -$20.42M
DAIICHI SANKYO 6,154,100 6,154,100 0 0.07% -$22.57M
Ascendis Pharma A/S 463,385 463,385 0 0.07% $7.18M
BRISTOL-MYERS SQUIBB CO 1,717,697 1,717,697 0 0.07% $11.53M
AMERICAN EXPRESS CO 322,682 322,682 0 0.06% -$21.77M
LONZA GROUP -REG 151,428 151,428 0 0.06% -$5.57M
TOURMALINE OIL CORP 2,015,054 2,015,054 0 0.06% $6.05M
SEVEN I HOLDINGS COMPANY 7,005,800 7,005,800 0 0.06% -$6.32M
CRISPR THERAPEUTICS AG 1,944,073 1,944,073 0 0.06% -$9.47M
SAINT GOBAIN 1,057,561 1,057,561 0 0.06% -$20.32M
WYNN MACAU LTD 105,746,000 105,746,000 0 0.05% -$6.42M
GERDAU SA -SPON ADR DEPOSITARY RECEIPT 20,168,239 20,168,239 0 0.05% -$1.61M
ZIMMER BIOMET HO 795,567 795,567 0 0.05% $397.78K
VAT GROUP AG 113,638 113,638 0 0.05% $15.53M
BEONE MEDICINE-H 2,871,700 2,871,700 0 0.04% -$1.64M
SOUTH BOW CORP 1,798,974 1,798,974 0 0.04% $10.37M
MARSH & MCLENNAN 341,274 341,274 0 0.04% -$4.12M
IBERDROLA SA 2,213,202 2,213,202 0 0.03% $2.90M
ATLASSIAN CORP PLC CLS A 645,442 645,442 0 0.03% -$60.60M
L'OREAL SA ORD 103,095 103,095 0 0.03% -$2.01M
ROSNEFT 40,028,340 40,028,340 0 0.00% $0

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