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.
▶
Opened
· 7 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
MOHAWK INDUSTRIES INC
0
154,351
154,351
3.29%
$15.20M
MOLSON COORS BEVERAGE CO B
0
291,182
291,182
2.71%
$12.54M
LAMB WESTON HOLDINGS INC
0
239,852
239,852
2.19%
$10.14M
CFD_EQS GOLDUS33 2256908
0
153,493
153,493
2.17%
$10.02M
WINPAK LTD
0
277,908
277,908
1.95%
$9.02M
INGREDION INC
0
60,260
60,260
1.47%
$6.79M
NICE SYSTEM LTD SPONSORED ADR
0
45,855
45,855
1.09%
$5.06M
▶
Exited
· 4 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
GILDAN ACTIVEWEAR INC
167,897
0
-167,897
0.00%
-$10.49M
SEALED AIR CORP
153,966
0
-153,966
0.00%
-$6.38M
HEALTHCARE SERVS
65,647
0
-65,647
0.00%
-$1.26M
NATL PRESTO INDS
5,899
0
-5,899
0.00%
-$629.78K
▶
Increased
· 32 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
EDGEWELL PERSONAL CARE CO
618,123
868,328
250,205
4.01%
$7.99M
INGLES MARKETS INC-CL A
147,265
201,021
53,756
3.91%
$7.97M
INNOVEX INTERNATIONAL INC
647,166
727,765
80,599
3.84%
$3.60M
ARLO TECHNOLOGIES INC
831,592
1,223,223
391,631
3.76%
$5.77M
MOOG INC-CLASS A
52,535
55,406
2,871
3.51%
$3.42M
PRESTIGE CONSUMER HEALTHCARE INC
139,750
253,661
113,911
3.25%
$6.41M
ORION GROUP HOLDINGS INC
1,009,676
1,330,306
320,630
3.14%
$4.46M
HEXCEL CORPORATION
161,064
167,786
6,722
2.94%
$1.68M
PAPA JOHNS INTL INC
154,142
408,650
254,508
2.86%
$7.31M
UTAH MEDICAL PRODUCTS INC
144,201
196,402
52,201
2.63%
$4.11M
MINERALS TECHNOLOGIES INC
128,031
162,470
34,439
2.49%
$3.72M
SCOTTS MIRACLE GRO CO
135,203
188,983
53,780
2.48%
$3.60M
AMERICAN OUTDOOR BRANDS INC
826,008
1,199,006
372,998
2.42%
$4.81M
FOSTER L B CO CL A
288,563
399,688
111,125
2.41%
$3.37M
Grifols S.A. SPON ADR EA REPR 1 ORD
581,249
1,318,045
736,796
2.29%
$5.14M
TIMKEN CO
89,043
100,630
11,587
2.19%
$2.63M
MSC INDUSTRIAL DIRECT CO CL A
71,853
108,360
36,507
2.16%
$3.96M
WORLD KINECT CORP
281,645
422,787
141,142
2.11%
$3.15M
NETGEAR INC
184,551
429,566
245,015
2.03%
$4.85M
SONOCO PRODUCTS CO
145,115
173,273
28,158
2.03%
$3.04M
ELANCO ANIMAL HEALTH INC
362,893
363,614
721
1.88%
$489.01K
NT-INST TRSR-PRM
6,984,781
8,011,580
1,026,798
1.73%
$1.03M
OPEN TEXT CORP
120,934
336,339
215,405
1.62%
$3.54M
Globant SA
45,690
158,997
113,307
1.59%
$4.34M
MOVADO GROUP INC
246,101
287,154
41,053
1.52%
$1.94M
CAE INC
104,286
190,863
86,577
1.07%
$1.80M
Sprott Physical Uranium Trust
122,828
201,504
78,676
0.88%
$1.67M
CANFOR CORP
337,602
374,967
37,365
0.80%
$812.99K
HURCO INC
174,437
224,861
50,424
0.72%
$612.65K
RESOURCES CONNECTION INC
550,993
853,474
302,481
0.69%
$406.45K
LENSAR INC
329,842
484,761
154,919
0.62%
-$946.89K
CENTRAL GARDEN and PET CO CL A
50,930
87,944
37,014
0.62%
$1.36M
▶
Decreased
· 4 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
KENNAMETAL INC
553,225
476,454
-76,771
3.72%
$1.50M
UNIFIRST CORP/MA
46,366
44,081
-2,285
2.40%
$2.15M
NATL BKSHS INC
93,901
83,580
-10,321
0.66%
-$105.35K
EAGLE BANCORP MONTANA INC
161,535
78,159
-83,376
0.35%
-$1.61M
▶
Unchanged
· 5 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
PARK AEROSPACE CORP
668,172
668,172
0
3.96%
$4.04M
GRAHAM CORPORATION
199,676
199,676
0
3.41%
$2.93M
BRADY CORPORATION CL A
24,232
24,232
0
0.43%
$69.55K
DOREL INDUSTRIES INC COMMON STOCK
164,960
164,960
0
0.05%
$41.49K
PDL BIOPHARMA INC
11,508
11,508
0
0.00%
-$720
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