CBHCX
Victory Market Neutral Income Fund
Victory Portfolios II

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
S P 500 EMINI FUTURE JUN26 0 -10,095 -10,095 2.06% $55.29M
MINI MSCI EMERGING MARKETS INDEX FUTURE JUN26 0 -5,963 -5,963 0.40% $10.75M
BROOKFIELD INFRA 0 208,953 208,953 0.31% $8.26M
ASUSTEK COMPUTER 0 397,000 397,000 0.26% $6.97M
ABM INDUSTRIES INC 0 179,089 179,089 0.26% $6.90M
ENTERGY CORP 0 60,603 60,603 0.25% $6.81M
MURPHY OIL CORP 0 163,776 163,776 0.25% $6.76M
XCEL ENERGY INC 0 82,146 82,146 0.24% $6.53M
PROGRESSIVE CORP OHIO 0 32,603 32,603 0.24% $6.46M
HAIDILAO INTERNA 0 3,509,000 3,509,000 0.24% $6.46M
EVERSOURCE ENERGY 0 79,541 79,541 0.21% $5.51M
BANCO BPM SPA 0 364,399 364,399 0.19% $5.07M
BANNER CORPORATI 0 82,843 82,843 0.19% $5.03M
BANCA MONTE DEI 0 535,827 535,827 0.17% $4.67M
TUPRAS 0 793,552 793,552 0.17% $4.61M
BANCO SABADELL 0 1,275,305 1,275,305 0.17% $4.57M
SWEDBANK AB-A 0 128,576 128,576 0.16% $4.38M
UNITED COMMUNITY BANKS GA 0 132,618 132,618 0.16% $4.18M
OMNICOM GROUP INC 0 53,194 53,194 0.15% $4.01M
Common Stock 0 41,350 41,350 0.14% $3.82M
BANK MANDIRI 0 13,132,500 13,132,500 0.14% $3.69M
GALP ENERGIA SGPS SA 0 153,401 153,401 0.14% $3.68M
ULTRAPAR PARTICIPACOES SA COMMON STOCK 0 637,500 637,500 0.13% $3.54M
NATURGY ENERGY 0 115,893 115,893 0.13% $3.48M
EDENRED 0 173,104 173,104 0.13% $3.45M
NIPPON STEEL COR 0 931,300 931,300 0.13% $3.43M
CAIXA SEGURIDADE PARTICIPACOES S A 0 915,174 915,174 0.12% $3.24M
MINI MSCI EAFE INDEX FUTURE JUN26 0 -3,498 -3,498 0.12% $3.23M
BANK NEGARA INDO 0 13,992,200 13,992,200 0.12% $3.13M
CONSTELLATION BRANDS INC CL A 0 20,539 20,539 0.11% $3.08M
GENUINE PARTS CO 0 28,423 28,423 0.11% $3.01M
REALTEK SEMI 0 197,000 197,000 0.11% $3.00M
AES CORP 0 167,777 167,777 0.09% $2.36M
UMC 0 1,207,000 1,207,000 0.08% $2.16M
SWEDISH KRONE 0 3,256,830 3,256,830 0.01% $344.22K
DANISH KRONER 0 1,617,758 1,617,758 0.01% $250.26K
MALAYSIAN RINGITT 0 202,614 202,614 0.00% $50.09K
RUSSELL 2000 MINI INDEX FUTURE JUN26 0 -3,477 -3,477 -0.10% -$2.72M
NASDAQ 100 E MINI FUTURE JUN26 0 5,338 5,338 -2.58% -$69.35M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
RUSSELL 2000 MINI INDEX FUTURE MAR26 -3,635 0 3,635 0.00% -$13.65M
CME GROUP INC CL A 40,332 0 -40,332 0.00% -$11.01M
IBERDROLA SA 449,672 0 -449,672 0.00% -$9.74M
CISCO SYSTEMS INC 121,936 0 -121,936 0.00% -$9.39M
ABN AMRO BANK-CV 245,894 0 -245,894 0.00% -$8.59M
SK INC COMMON STOCK 47,970 0 -47,970 0.00% -$8.56M
HSBC HOLDINGS PL 521,178 0 -521,178 0.00% -$8.20M
CITIGROUP INC 66,015 0 -66,015 0.00% -$7.70M
NORTHERN TRUST CORP 55,525 0 -55,525 0.00% -$7.58M
EIFFAGE 52,818 0 -52,818 0.00% -$7.57M
NOBLE CORP PLC 233,264 0 -233,264 0.00% -$6.59M
BANK OF HAWAII 87,428 0 -87,428 0.00% -$5.98M
CCB-H 5,802,000 0 -5,802,000 0.00% -$5.74M
TELSTRA GROUP LT 1,730,358 0 -1,730,358 0.00% -$5.61M
GOLD FIELDS LTD 128,099 0 -128,099 0.00% -$5.59M
INTL BUS MACH CORP 18,615 0 -18,615 0.00% -$5.51M
HEWLETT PACKARD ENTERPRISE CO 200,361 0 -200,361 0.00% -$4.81M
LEGGETT & PLATT 433,370 0 -433,370 0.00% -$4.77M
PZU 255,721 0 -255,721 0.00% -$4.74M
KENVUE INC 272,454 0 -272,454 0.00% -$4.70M
AIB GROUP PLC 361,293 0 -361,293 0.00% -$3.86M
HANG SENG BANK 191,000 0 -191,000 0.00% -$3.77M
RENAULT SA 82,565 0 -82,565 0.00% -$3.42M
OIL INDIA LTD 621,604 0 -621,604 0.00% -$2.94M
SKYWORKS SOLUTIONS INC 44,852 0 -44,852 0.00% -$2.84M
WESBANCO INC 73,019 0 -73,019 0.00% -$2.43M
BLOOMIN BRANDS INC 302,971 0 -302,971 0.00% -$1.87M
F&G ANNUITIES 7,211 0 -7,211 0.00% -$222.46K
NASDAQ 100 E MINI FUTURE MAR26 4,357 0 -4,357 0.00% $519.18K
S P 500 EMINI FUTURE MAR26 -8,657 0 8,657 0.00% $1.53M
MINI MSCI EAFE INDEX FUTURE MAR26 -3,270 0 3,270 0.00% $2.09M
MINI MSCI EMERGING MARKETS INDEX FUTURE MAR26 -6,413 0 6,413 0.00% $8.59M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
PKN ORLEN 475,097 479,925 4,828 0.65% $4.71M
NEW JERSEY RESOURCES CORP 283,420 292,508 9,088 0.60% $2.99M
SPIRE INC 160,226 165,382 5,156 0.56% $1.72M
SCB X PCL 3,337,100 3,393,100 56,000 0.56% $208.41K
PORTLAND GENERAL ELECTRIC CO 271,035 279,755 8,720 0.55% $1.76M
AMBEV SA 4,793,400 4,876,700 83,300 0.53% $2.29M
VALE SA 860,700 873,100 12,400 0.52% $2.66M
ENI SPA 388,589 464,707 76,118 0.49% $5.85M
ONE GAS INC 146,186 150,871 4,685 0.48% $1.70M
AMER STATES WATE 161,818 166,969 5,151 0.47% $897.63K
NISOURCE INC 263,569 270,223 6,654 0.47% $1.60M
TAIWAN MOBILE 3,606,000 3,667,000 61,000 0.47% $96.94K
TENAGA NASIONAL 3,495,900 3,554,600 58,700 0.46% $439.99K
BB SEGURIDADE PA 1,775,000 1,805,500 30,500 0.45% $408.11K
EVERGY INC 145,150 147,550 2,400 0.45% $1.57M
VERIZON COMMUNICATIONS INC 159,912 235,173 75,261 0.44% $5.29M
JOHNSON&JOHNSON 47,262 48,120 858 0.44% $1.98M
PTT PCL 10,906,400 11,063,800 157,400 0.44% $679.72K
TIM SA 2,134,900 2,171,300 36,400 0.43% $3.23M
STANDARD BANK GR 600,873 617,117 16,244 0.42% $636.44K
AVISTA CORP 269,113 277,716 8,603 0.41% $775.91K
BLACK HILLS CORP 152,241 157,188 4,947 0.41% $341.85K
TOTALENERGIES SE 81,525 118,287 36,762 0.40% $5.54M
ASTRA INTERNATIO 28,647,100 29,128,700 481,600 0.40% -$745.05K
VIBRA ENERGIA SA COMMON STOCK 1,717,466 1,750,606 33,140 0.40% $2.76M
OMV AG 128,485 146,018 17,533 0.40% $3.53M
FIRSTENERGY CORP 109,427 208,500 99,073 0.39% $5.66M
KT&G CORP 96,609 97,956 1,347 0.39% $1.01M
PTT EXPLOR PROD PUBLIC CO 2,141,800 2,176,700 34,900 0.39% $2.83M
ENBRIDGE INC 172,841 190,511 17,670 0.38% $2.06M
WILLIAMS COS INC 141,066 141,354 288 0.38% $1.81M
BANCO DO BRASIL 2,261,900 2,299,400 37,500 0.38% $1.18M
ABSA GROUP LTD 694,985 705,985 11,000 0.38% $125.10K
EXXON MOBIL CORP 57,186 57,188 2 0.36% $2.82M
THE BUCKLE INC 186,442 192,306 5,864 0.36% -$275.20K
CALIF WATER SRVC 207,179 213,095 5,916 0.36% $684.66K
CALIFORNIA RESOU 134,652 138,965 4,313 0.36% $3.60M
SOUTHWEST GAS HOLDINGS INC 107,132 110,553 3,421 0.36% $1.03M
CHINA SHENHUA-H 1,596,000 1,622,500 26,500 0.36% $1.63M
PHILIP MORRIS INTL INC 56,313 57,376 1,063 0.35% $453.94K
DUKE ENERGY CORP NEW 71,060 72,299 1,239 0.35% $1.14M
STATE STREET CORP 73,433 74,740 1,307 0.35% -$14.50K
FULTON FINANCIAL CORP 447,661 462,008 14,347 0.35% $743.96K
GOLAR LNG LTD COMMON STOCK USD1.0 133,226 173,631 40,405 0.35% $4.44M
SM ENERGY CO 182,444 300,084 117,640 0.35% $5.94M
PETROCHINA-H 6,590,000 6,696,000 106,000 0.34% $2.08M
ARCHER DANIELS MIDLAND CO 122,942 125,607 2,665 0.34% $2.06M
MAGNOLIA OIL and GAS CORPO CL A 222,743 289,074 66,331 0.34% $4.25M
ARCHROCK INC 253,092 261,182 8,090 0.34% $2.50M
SPECTRUM BRANDS HOLDINGS INC 118,927 122,741 3,814 0.34% $2.02M
SJW GROUP 148,456 152,683 4,227 0.33% $1.69M
SANTANDER BANK 55,168 56,141 973 0.33% $561.55K
GRUPO F BANORT-O 789,069 802,248 13,179 0.33% $1.58M
Receive EVA AIRWAYS Pay Overnight Rate -10.75 3,750,000 8,221,000 4,471,000 0.33% $4.50M
MONEYMKT 3,692,292 8,845,752 5,153,460 0.33% $5.15M
HSBC US GOVT MMKT-I 3,692,292 8,845,752 5,153,460 0.33% $5.15M
Invesco Government & Agency Portfolio, Institutional Class 3,692,292 8,845,752 5,153,460 0.33% $5.15M
MSILF-GOVT-INS 3,692,292 8,845,752 5,153,460 0.33% $5.15M
CITIZENS FINANCIAL GROUP INC 143,245 146,848 3,603 0.33% $439.53K
SOUTHERN CO 89,204 91,013 1,809 0.33% $1.01M
HERO MOTOCORP LT 159,405 162,091 2,686 0.33% -$1.48M
PETROBRAS-PREF 915,500 929,000 13,500 0.32% $3.59M
KORN FERRY 71,539 137,870 66,331 0.32% $3.96M
EXELON CORP 171,753 174,392 2,639 0.32% $1.06M
CITIC BANK-H 8,285,000 8,424,000 139,000 0.32% $1.14M
KODIAK GAS SERVICES INC 141,458 145,949 4,491 0.32% $3.22M
COLGATE-PALMOLIVE CO 96,478 99,301 2,823 0.31% $839.73K
WEC ENERGY GROUP INC 71,726 73,005 1,279 0.31% $887.56K
AT&T INC 284,894 290,993 6,099 0.31% $1.36M
INDEPENDENT BANK CORP MASS 108,658 112,150 3,492 0.31% $494.07K
LOCKHEED MARTIN CORP 13,756 13,926 170 0.31% $1.76M
PRINCIPAL FINL GROUP INC 91,060 92,991 1,931 0.31% $347.02K
CEMIG-PREF 3,372,500 3,429,400 56,900 0.31% $1.52M
CEZ AS 143,849 146,355 2,506 0.31% -$777.01K
NORTHWEST NATURAL HOLDING CO 150,349 155,132 4,783 0.31% $1.23M
OTTER TAIL CORPORATION 72,478 94,013 21,535 0.31% $2.39M
LA FRANCAISE DES 162,860 280,110 117,250 0.31% $3.73M
CABOT CORP 72,181 107,681 35,500 0.30% $3.33M
PEKAO 134,416 136,732 2,316 0.30% $477.49K
CRESCENT ENERGY INC A 414,460 599,446 184,986 0.30% $4.62M
ASSOCIATED BANC CORP 302,799 312,325 9,526 0.30% $276.62K
UNITED BANKSHS 188,964 194,986 6,022 0.30% $820.10K
SLB LTD 156,393 157,143 750 0.30% $2.07M
PEPSICO INC 50,761 51,971 1,210 0.30% $785.36K
SNAP-ON INCORPORATED 21,886 22,209 323 0.30% $524.84K
BANCO DE CHILE 43,697,345 44,333,056 635,711 0.30% -$379.51K
CONSOLIDATED EDISON INC 69,264 70,530 1,266 0.30% $1.10M
BANKUNITED INC 170,750 176,215 5,465 0.30% $347.54K
ALLIANT ENERGY CORPORATION 108,844 110,721 1,877 0.30% $869.39K
ALTRIA GROUP INC 82,610 120,113 37,503 0.29% $3.16M
HASBRO INC 82,943 84,563 1,620 0.29% $1.11M
CPFL ENERGIA SA 820,000 832,900 12,900 0.29% -$128.86K
UNION PACIFIC CORP 31,726 32,055 329 0.29% $438.33K
SYSCO CORP 107,872 108,864 992 0.29% -$183.82K
PPL CORPORATION 199,430 202,847 3,417 0.29% $764.72K
COMMUNITY FINANCIAL SYSTEM INC 127,427 131,419 3,992 0.29% $388.32K
COCA-COLA CO/THE 98,680 100,882 2,202 0.29% $773.36K
DTE ENERGY CO 51,346 51,947 601 0.28% $973.08K
KLABIN SA - UNIT 1,980,711 2,013,911 33,200 0.28% $820.27K
ONEOK INC 60,404 83,586 23,182 0.28% $3.12M
CLOROX CO 57,689 72,891 15,202 0.28% $1.74M
UNIVERSAL CORP 138,721 142,911 4,190 0.28% $213.88K
CHESAPEAKE UTILITIES CORP 57,470 59,330 1,860 0.28% $327.57K
REGIONS FINANCIAL CORP 278,364 283,425 5,061 0.28% -$140.60K
WALMART DE MEXIC 2,239,434 2,276,650 37,216 0.28% $412.47K
INTERNATIONAL SE 78,564 100,596 22,032 0.27% $3.52M
DOMINION ENERGY INC 96,561 117,873 21,312 0.27% $1.63M
FAR EASTONE TELE 2,296,000 2,497,000 201,000 0.27% $765.35K
ABBVIE INC 31,835 33,045 1,210 0.27% -$87.02K
FIRST INTST BANCSYST INC CL A 208,460 215,144 6,684 0.27% -$26.91K
TYSON FOODS INC CL A 110,252 111,945 1,693 0.27% $709.34K
UNITED PARCEL SERVICE INC CL B 70,953 72,878 1,925 0.27% $131.91K
KONTOOR BRANDS INC 87,345 101,545 14,200 0.27% $1.80M
SYNNEX TECH INTL 2,794,000 2,962,000 168,000 0.27% $1.98M
AMERICAN ELECTRIC POWER CO INC 29,363 54,138 24,775 0.26% $3.71M
ASIA CEMENT CORP 6,365,000 6,472,000 107,000 0.26% -$450.73K
CVB FINANCIAL CORP 351,766 363,129 11,363 0.26% $498.22K
BUNGE GLOBAL SA 54,660 54,991 331 0.26% $2.13M
MARZETTI COMPANY/THE 19,761 50,550 30,789 0.26% $3.74M
TELEF BRASIL 867,500 877,800 10,300 0.26% $1.79M
WASHINGTON FEDERAL INC 215,283 222,243 6,960 0.26% $82.92K
CMS ENERGY CORP 88,201 89,766 1,565 0.26% $796.15K
J & J SNACK FOOD 84,881 87,612 2,731 0.26% -$725.69K
ICBC-H 5,771,000 7,868,000 2,097,000 0.26% $2.27M
PHILLIPS 66 37,949 38,037 88 0.26% $2.03M
GREIF INC-CL A 99,855 103,035 3,180 0.26% $150.37K
CAN NATURAL RES 112,199 141,466 29,267 0.26% $3.10M
BANK OF CHINA-H 10,608,000 10,782,000 174,000 0.26% $802.86K
HUNTINGTON BANCSHARES INC 431,960 436,810 4,850 0.25% -$658.43K
TELKOM INDONESIA 37,148,600 37,764,500 615,900 0.25% -$945.42K
MEDTRONIC PLC 77,372 78,585 1,213 0.25% -$622.96K
PFIZER INC 238,131 241,790 3,659 0.25% $860.00K
CHUNGHWA TELECOM 1,595,000 1,621,000 26,000 0.25% $128.34K
KIMBERLY CLARK CORP 68,849 69,870 1,021 0.25% -$205.82K
DARDEN RESTAURANTS INC 33,537 34,188 651 0.25% $530.74K
INTERPARFUMS INC 71,402 73,654 2,252 0.25% $633.70K
BRISTOL-MYERS SQUIBB CO 106,069 108,549 2,480 0.24% $862.13K
PNC FINANCIAL SERVICES GRP INC 30,873 31,528 655 0.24% $116.54K
TRINITY INDUSTRIES INC 195,631 201,788 6,157 0.24% $1.32M
DEVON ENERGY CORP 126,955 128,939 1,984 0.24% $1.84M
KEYCORP 314,384 321,410 7,026 0.24% -$44.62K
TC ENERGY CORP 85,005 102,492 17,487 0.24% $1.74M
AVIENT CORP 171,176 176,640 5,464 0.24% $1.06M
DT MIDSTREAM INC 45,209 47,594 2,385 0.24% $998.87K
SINOPEC CORP-H 10,868,000 11,044,000 176,000 0.24% -$179.53K
EDISON INTL 82,721 86,550 3,829 0.24% $1.37M
AMGEN INC 17,615 17,925 310 0.23% $541.35K
PAYCHEX INC 36,351 68,303 31,952 0.23% $2.21M
FIRST BANCORP PUERTO RICO 185,868 292,255 106,387 0.23% $2.39M
ORIENT OVERSEAS 171,000 347,000 176,000 0.23% $3.43M
WINMARK CORP 14,005 14,442 437 0.23% $503.49K
TELEKOM MALAYSIA 3,394,500 3,449,700 55,200 0.23% -$670.65K
VALERO ENERGY CORP 24,376 24,458 82 0.22% $2.07M
ARTISAN PARTNERS ASSET MANAGEMENT INC A 160,243 165,289 5,046 0.22% -$513.43K
TINGYI 1,896,000 3,588,000 1,692,000 0.22% $3.12M
CAL-MAINE FOODS INC 67,253 74,959 7,706 0.22% $581.68K
QUANTA COMPUTER 336,000 659,000 323,000 0.22% $3.03M
Australian Pipeline Trust 448,599 856,035 407,436 0.22% $3.22M
MERCEDES-BENZ GR 77,338 95,275 17,937 0.22% $494.31K
BANKCOMM-H 6,297,000 6,400,000 103,000 0.22% $557.57K
WILEY JOHN&SON-A 146,929 151,542 4,613 0.21% $1.27M
KIMBERLY CLARK DE MEXICO SER A 2,397,456 2,436,058 38,602 0.21% $654.67K
POWER GRID CORP 1,800,190 1,829,439 29,249 0.21% $451.44K
GREENBRIER COS 106,029 109,313 3,284 0.21% $799.53K
FIRST FIN BANCRP 199,931 206,371 6,440 0.21% $751.35K
INDUSTRIAL BANK 391,708 397,839 6,131 0.21% $53.65K
FIFTH THIRD BANCORP 122,765 123,717 952 0.21% $1.26K
OGE ENERGY CORP 117,554 119,774 2,220 0.21% $724.81K
METLIFE INC 79,395 80,939 1,544 0.21% -$543.44K
FIDELITY NATIONAL FINL INC 120,181 122,443 2,262 0.21% -$881.77K
ADMIRAL GROUP PLC 89,957 135,561 45,604 0.21% $1.82M
SITC 967,000 1,286,000 319,000 0.21% $2.17M
VODACOM GROUP 644,108 655,213 11,105 0.21% $104.23K
TARGET CORP 45,149 46,243 1,094 0.21% $1.19M
VALLEY NATL BANCORP 440,956 455,114 14,158 0.21% $438.43K
BOSIDENG INTL 6,296,000 10,816,000 4,520,000 0.21% $1.95M
UNI-PRESIDENT EN 2,414,000 2,454,000 40,000 0.20% -$437.19K
BJ ENT HLDGS 1,083,000 1,430,500 347,500 0.20% $1.04M
LA-Z-BOY INC 164,602 169,756 5,154 0.20% -$678.76K
WORLD KINECT CORP 227,072 234,210 7,138 0.20% $82.93K
HNI CORP 133,058 159,952 26,894 0.20% -$252.96K
COMCAST CORP CL A 137,190 185,655 48,465 0.20% $1.23M
STRATEGIC EDUCATION INC 61,945 63,948 2,003 0.20% $337.14K
GRUPO AEROPORTUARIO DE SUR 152,765 155,166 2,401 0.19% $315.77K
FIRST MERCHANTS CORP 115,467 135,036 19,569 0.19% $902.24K
CVS HEALTH CORP 71,965 72,720 755 0.19% -$488.39K
PRUDENTL FINL 52,637 53,407 770 0.19% -$724.33K
PEGATRON 2,076,000 2,110,000 34,000 0.19% $587.42K
PINNACLE WEST CAPITAL CORP 49,917 50,549 632 0.19% $665.17K
POSTAL SAVINGS-H 7,940,000 8,069,000 129,000 0.19% -$363.32K
PROVIDENT FINANCIAL SVCS INC 222,204 238,289 16,085 0.19% $653.67K
UNITED TRACTORS 2,702,800 2,745,900 43,100 0.19% $242.70K
KAISER ALUMINUM 6,388 41,605 35,217 0.19% $4.28M
ARCA CONTINENTAL 427,336 434,146 6,810 0.19% $382.72K
US PHYSICAL THERAPY INC 64,527 66,536 2,009 0.19% -$51.37K
GERDAU-PREF 1,335,700 1,357,500 21,800 0.19% $49.63K
FORD MOTOR CO 423,851 429,628 5,777 0.18% -$603.02K
HON HAI 796,000 809,000 13,000 0.18% -$889.58K
FAR EASTERN NEW 4,410,000 5,911,000 1,501,000 0.18% $1.02M
EASTMAN CHEMICAL CO 63,286 64,161 875 0.18% $857.22K
MERITAGE HOMES CORP 76,463 78,822 2,359 0.18% -$156.91K
YAMAHA MOTOR CO 330,300 667,700 337,400 0.18% $2.37M
CHINA RAIL GR-H 4,874,000 9,236,000 4,362,000 0.18% $2.40M
UPBOUND GROUP INC 257,027 264,963 7,936 0.18% $269.19K
ALLY FINANCIAL INC 119,622 120,118 496 0.18% -$705.45K
CARTERS INC 125,072 129,022 3,950 0.17% $557.74K
PITNEY-BOWES INC 394,552 406,865 12,313 0.17% $325.44K
LYONDELLBASELL-A 55,699 55,761 62 0.17% $2.08M
ITC LTD (DEMAT) 1,444,502 1,468,392 23,890 0.17% -$2.00M
CHINA GAS HOLDINGS LTD COMMON STOCK 3,349,000 4,844,400 1,495,400 0.16% $1.12M
COAL INDIA LTD 908,023 922,373 14,350 0.16% $376.54K
HCL TECH LTD 296,079 300,893 4,814 0.16% -$1.02M
LG CORP 74,264 75,403 1,139 0.16% $103.25K
INDIAN OIL CORP 2,921,446 2,969,214 47,768 0.16% -$1.15M
OIL & NATURAL GA 1,379,823 1,401,700 21,877 0.16% $530.68K
HP INC 120,065 217,890 97,825 0.16% $1.51M
TMBTHANACHART BANK PCL COMMON STOCK 58,003,300 58,889,100 885,800 0.15% $423.97K
SYLVAMO CORP 94,987 97,981 2,994 0.15% -$434.91K
EAST WEST BNCRP 37,898 38,423 525 0.15% -$157.32K
International Game Technology plc 308,474 318,152 9,678 0.15% -$721.92K
BEST BUY CO INC 38,923 63,040 24,117 0.15% $1.44M
Bank Rakyat Indonesia Persero Tbk PT 19,466,500 19,777,200 310,700 0.15% -$311.63K
Bidvest Group, The 287,809 292,605 4,796 0.15% -$192.51K
KEURIG DR PEPPER INC 146,744 149,174 2,430 0.15% -$182.55K
POLARIS INC 64,365 71,458 7,093 0.14% -$176.63K
SIME DARBY 6,786,500 6,891,300 104,800 0.14% $285.23K
MONDI PLC COMMON STOCK 335,282 335,545 263 0.14% -$296.81K
MILLERKNOLL INC 251,871 259,885 8,014 0.14% -$846.26K
ENERGIZER HOLDIN 220,262 227,201 6,939 0.14% -$650.37K
GUANGDONG INVESTMENTS LTD 3,658,000 3,716,000 58,000 0.14% $530.70K
SIAM CEMENT PCL THE 563,200 571,800 8,600 0.14% $369.57K
ALAMTRI RESOURCE 23,505,100 23,858,000 352,900 0.14% $1.10M
GAIL INDIA LTD 2,363,417 2,401,577 38,160 0.13% -$1.01M
MEDIATEK 72,000 73,000 1,000 0.13% $232.46K
COHEN & STEERS 54,303 55,784 1,481 0.13% $80.15K
NMDC LTD 4,025,498 4,088,425 62,927 0.12% -$399.21K
COMPAL ELEC 3,739,000 3,797,000 58,000 0.12% -$308.70K
MOELIS & CO-CL A 39,552 56,033 16,481 0.12% $475.08K
CHINA MERCHANTS BANK-H COMMON STOCK 488,000 495,000 7,000 0.12% -$174.48K
WPP PLC 461,440 1,004,642 543,202 0.12% $1.07M
TATA CONSULTANCY VSS LTD 121,699 123,644 1,945 0.12% -$1.23M
PING AN-H 374,000 379,500 5,500 0.11% -$223.44K
BLACKSTONE INC 25,054 25,370 316 0.11% -$944.53K
MOSAIC CO/THE 112,261 113,691 1,430 0.11% $194.75K
SFL CORP LTD COMMON STOCK USD.01 256,635 265,646 9,011 0.11% $862.00K
WINNEBAGO INDUSTRIES INC 89,131 91,953 2,822 0.11% -$761.96K
GENERAL MILLS INC 74,970 76,195 1,225 0.11% -$650.13K
MONRO INC 170,777 175,970 5,193 0.11% -$599.81K
INSPERITY INC 90,020 92,651 2,631 0.09% -$980.29K
FIRST HORIZON CORP 106,071 108,171 2,100 0.09% -$73.12K
FEDERAL AGRI MTG NON VTG CL C 14,393 14,678 285 0.08% -$349.50K
UNITEDHEALTH GRP 7,594 7,738 144 0.08% -$413.03K
WEBSTER FINL 28,968 29,402 434 0.08% $217.84K
ALIGHT INC-CL A 1,528,405 1,583,263 54,858 0.03% -$2.06M
FX Spot Contract: EUR/USD SETTLE 2026-01-05 600,183 653,005 52,822 0.03% $49.40K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ORANGE 702,718 696,453 -6,265 0.53% $2.55M
ENGIE 413,397 409,421 -3,976 0.49% $2.33M
REPSOL SA 426,993 423,135 -3,858 0.44% $3.94M
KPN (KONIN) NV 1,930,515 1,913,464 -17,051 0.40% $1.64M
DHT Holdings Inc. COM USD0.01 606,338 569,515 -36,823 0.39% $3.00M
ENDESA 247,971 245,471 -2,500 0.38% $1.34M
POSTE ITALIANE 421,690 417,964 -3,726 0.37% -$748.14K
NN GROUP 126,839 125,700 -1,139 0.37% $31.21K
DNB BANK ASA 309,359 306,535 -2,824 0.36% $974.36K
BRITISH AMERICAN TOBACCO PLC 166,829 165,317 -1,512 0.36% $140.69K
KINDER MORGAN INC 286,267 284,252 -2,015 0.35% $1.66M
TELIA CO AB 1,869,356 1,852,713 -16,643 0.35% $1.51M
BOUYGUES SA 162,259 160,841 -1,418 0.35% $886.18K
BOC HONG KONG HO 1,669,500 1,654,500 -15,000 0.34% $655.21K
IMPERIAL BRANDS 226,785 224,668 -2,117 0.34% -$412.63K
EMERA INC 176,527 174,787 -1,740 0.34% $361.38K
ENEL SPA 828,979 821,087 -7,892 0.33% $357.15K
OCBC BANK 579,400 502,200 -77,200 0.32% -$299.97K
KENNAMETAL INC 323,637 236,457 -87,180 0.32% -$651.34K
KEYERA CORP 221,441 219,177 -2,264 0.32% $1.38M
ASR NEDERLAND NV 122,643 121,544 -1,099 0.31% -$358.62K
TELENOR ASA 477,224 472,686 -4,538 0.31% $1.40M
ASE TECHNOLOGY H 899,000 757,000 -142,000 0.31% $1.24M
AGEAS 113,786 112,774 -1,012 0.31% $329.24K
SNAM SPA 1,099,397 1,088,631 -10,766 0.31% $941.01K
TERNA-RETE ELETT 727,188 720,128 -7,060 0.31% $499.61K
CLP HOLDINGS LTD COMMON STOCK 858,500 850,500 -8,000 0.30% $328.17K
SCORPIO TANKERS INC SHS 113,027 105,502 -7,525 0.29% $2.13M
BP PLC 993,814 985,144 -8,670 0.29% $1.91M
DANSKE BANK A/S 156,218 154,847 -1,371 0.28% -$169.43K
PEMBINA PIPELINE 169,066 167,760 -1,306 0.28% $1.07M
RIO TINTO PLC 81,643 80,893 -750 0.28% $928.35K
ING GROEP NV 290,519 287,972 -2,547 0.28% -$691.50K
WILMAR INTERNATI 2,477,600 2,454,200 -23,400 0.27% $1.45M
MERCK & CO 60,712 60,518 -194 0.27% $889.17K
AVNET INC 135,891 118,088 -17,803 0.27% $742.94K
HA SUSTAINABLE INFRASTRUCTURE CAPITAL INC 216,367 197,532 -18,835 0.27% $458.89K
JACKSON FINANCIAL INC 93,551 68,205 -25,346 0.27% -$2.77M
HONG KONG & CHINA GAS COMMON STOCK 7,968,000 7,893,000 -75,000 0.27% -$3.09K
HELMERICH & PAYN 220,741 199,040 -21,701 0.27% $840.56K
WH GROUP LTD 5,449,000 5,398,000 -51,000 0.26% $1.03M
LCI INDUSTRIES 73,875 57,641 -16,234 0.26% -$1.88M
Vodafone Group Public Limited Company 4,716,361 4,674,453 -41,908 0.26% $763.82K
COTERRA ENERGY INC 200,878 200,148 -730 0.26% $1.75M
NATIONAL GRID PL 412,846 408,986 -3,860 0.26% $571.38K
CREDIT AGRICOLE 367,455 364,099 -3,356 0.25% -$769.73K
CK INFRASTRUCTURE HOLDINGS LTD 839,000 831,000 -8,000 0.25% $446.78K
VOLVO AB-B 203,225 201,611 -1,614 0.25% $163.05K
VEOLIA ENVIRONNE 175,209 173,512 -1,697 0.25% $511.17K
CARREFOUR SA 357,756 354,706 -3,050 0.24% $597.94K
INTESA SANPAOLO 1,094,703 1,084,327 -10,376 0.24% -$1.01M
HKT TRUST SHARE STAPLED UNITS 4,223,000 4,184,000 -39,000 0.24% $285.08K
UPM-KYMMENE OYJ 207,808 205,870 -1,938 0.24% $435.71K
JAPAN TOBACCO 169,500 167,900 -1,600 0.24% $348.91K
CAIXABANK SA 542,080 537,360 -4,720 0.24% -$186.16K
EOG RESOURCES INC 45,187 44,164 -1,023 0.24% $1.64M
EDP SA 1,212,264 1,200,129 -12,135 0.24% $766.91K
FORTUM OYJ 247,019 244,666 -2,353 0.23% $1.01M
ORIGIN ENERGY 721,879 715,033 -6,846 0.23% $640.22K
DHL GROUP 117,748 116,645 -1,103 0.23% -$272.58K
CONOCOPHILLIPS 46,784 46,314 -470 0.23% $1.73M
REDEIA CORP SA COMMON STOCK 360,288 356,787 -3,501 0.22% -$375.39K
CK HUTCHISON HOLDINGS LTD COMMON STOCK HKD1.0 793,500 786,000 -7,500 0.22% $638.79K
PHOENIX GROUP HO 668,284 662,202 -6,082 0.22% -$618.39K
GILEAD SCIENCES INC 66,218 42,697 -23,521 0.22% -$2.18M
BNP PARIBAS 62,823 62,309 -514 0.22% -$8.01K
PERMIAN RESOURCES CORP CL A 286,061 278,101 -7,960 0.22% $1.92M
AVIVA PLC 739,574 733,203 -6,371 0.22% -$915.76K
CANADIAN TIRE-A 43,993 43,595 -398 0.22% $287.91K
EXPAND ENERGY CORP 53,902 52,860 -1,042 0.22% -$145.65K
TAKEDA PHARMACEU 157,700 156,200 -1,500 0.21% $853.44K
VIATRIS INC 474,470 420,299 -54,171 0.21% -$228.91K
VEDANTA LTD 934,098 805,878 -128,220 0.21% -$630.68K
BANK OF NOVA SCO 81,343 80,593 -750 0.21% -$410.20K
POWER ASSETS 713,500 707,500 -6,000 0.21% $462.46K
BASF SE COMMON STOCK 90,070 89,257 -813 0.20% $757.67K
WOORI FINANCIAL 279,712 249,016 -30,696 0.20% $30.52K
SIMMONS FIRST -A 329,410 274,582 -54,828 0.20% -$868.76K
ISUZU MOTORS 368,200 364,700 -3,500 0.20% -$494.82K
NORTHWEST BANCSHARES INC 423,403 404,346 -19,057 0.19% $50.31K
ELISA OYJ 105,653 104,845 -808 0.19% $424.66K
EVONIK INDUSTRIE 260,187 257,811 -2,376 0.19% $998.10K
KINGFISHER PLC COMMON STOCK 1,330,431 1,318,162 -12,269 0.19% -$588.18K
ATLANTIC UNION B 173,491 140,151 -33,340 0.19% -$1.12M
SAINSBURY PLC 1,118,809 1,108,485 -10,324 0.19% $88.96K
MORGAN STANLEY 45,006 30,164 -14,842 0.18% -$3.03M
KUEHNE & NAGEL-R 21,866 21,655 -211 0.18% $269.89K
MSC INDUSTRIAL DIRECT CO CL A 73,305 51,912 -21,393 0.18% -$1.38M
RIO TINTO LTD 77,097 41,191 -35,906 0.17% -$2.84M
KESKO OYJ-B 300,743 210,648 -90,095 0.17% -$2.11M
VOLKSWAGEN-PREF 46,067 45,669 -398 0.17% -$950.52K
FIRST HAWAIIAN INC 256,201 189,513 -66,688 0.17% -$1.81M
BCE INC 180,178 178,456 -1,722 0.17% $205.09K
FORTESCUE METALS 318,124 315,107 -3,017 0.17% -$148.97K
GRUPO MEXICO-B 957,174 417,960 -539,214 0.17% -$4.56M
MGE ENERGY INC 71,463 56,790 -14,673 0.16% -$1.21M
HD HYUNDAI 84,338 25,922 -58,416 0.16% -$6.69M
MTN GROUP LTD 592,316 366,928 -225,388 0.16% -$1.78M
CHINA HONGQIAO 1,352,000 939,000 -413,000 0.16% -$1.44M
WELLS FARGO & CO 72,042 53,089 -18,953 0.16% -$2.49M
MAGNA INTL 94,589 75,157 -19,432 0.16% -$845.08K
Sanofi SA 43,702 43,307 -395 0.16% -$46.45K
ARKEMA SA 61,264 60,758 -506 0.16% $437.61K
PUBLICIS GROUPE 49,277 48,853 -424 0.15% -$1.07M
SONIC HEALTHCARE 283,342 280,655 -2,687 0.15% -$278.43K
BHARAT PETROL 1,382,934 1,270,069 -112,865 0.14% -$2.11M
LKQ CORP 149,126 119,425 -29,701 0.13% -$996.09K
ASTELLAS PHARMA 423,600 214,200 -209,400 0.13% -$2.15M
MITSUBISHI CHEMI 595,300 589,400 -5,900 0.13% -$39.08K
DOOSAN BOBCAT IN 116,706 81,052 -35,654 0.12% -$1.50M
DANA INC 273,956 87,353 -186,603 0.11% -$3.57M
TEXAS INSTRUMENTS INC 29,656 13,233 -16,423 0.10% -$2.58M
HINDUSTAN PETRO 895,481 715,321 -180,160 0.09% -$2.43M
APOGEE ENTERPRISES INC 93,893 71,526 -22,367 0.09% -$1.02M
SVENSKA HAN-A 170,537 169,008 -1,529 0.08% -$241.99K
DINE BRANDS GLOBAL INC 133,366 78,724 -54,642 0.08% -$2.22M
OXFORD INDUSTRIES 55,523 46,100 -9,423 0.07% -$123.58K
STELLANTIS NV 247,416 245,421 -1,995 0.07% -$935.59K
CAN UTILITIES-A 265,325 49,302 -216,023 0.06% -$6.53M
STEVEN MADDEN LTD 236,200 49,978 -186,222 0.06% -$8.14M
HERC HOLDINGS INC 20,746 12,965 -7,781 0.05% -$1.79M
KUMBA IRON ORE L 117,661 16,539 -101,122 0.01% -$2.18M
FX Forward Contract: CAD/USD SETTLE 2026-03-18 203,673 194,208 -9,465 0.01% -$8.78K
GREAT BRITISH POUND 90,895 83,930 -6,966 0.00% -$11.43K
INDIA RUPEE 11,685,784 3,679,267 -8,006,517 0.00% -$91.23K
FX Forward Contract: BRL/USD SETTLE 2026-03-18 7,132,937 0 -7,132,937 0.00% -$1.30M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
SINGAPORE DOLLARS 0 0 0 0.00% $0
RUSHYDRO 694,437,000 694,437,000 0 0.00% $0
INTER RAO 128,274,200 128,274,200 0 0.00% $0
EVRAZ 753,373 753,373 0 0.00% $0
MOSCOW EXCHANGE 2,604,790 2,604,790 0 0.00% $0
NORILSK NICKEL 1,487,700 1,487,700 0 0.00% $0
X 5 RETAIL GROUP NV-REGS GDR /RUB/ REG S 0.00000000 201,753 201,753 0 0.00% $0
SEVERSTAL 223,944 223,944 0 0.00% $0
POLYUS 344,030 344,030 0 0.00% $0
TATNEFT 827,565 827,565 0 0.00% $0
MMK 4,673,660 4,673,660 0 0.00% $0
NOVOLIPETSK STEE 1,477,080 1,477,080 0 0.00% $0
ROSTELECOM 6,752,730 6,752,730 0 0.00% $0

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.