CBHMX
Victory Market Neutral Income Fund
Victory Portfolios II

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
422
Top-10 weight
6.85%
Effective holdings ?
319
Crowding ?
468.6

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 S P 500 EMINI FUTURE JUN26 -10,095 $55.29M 1.90%
2 PKN ORLEN 479,925 $17.40M 0.60%
3 NEW JERSEY RESOURCES CORP 292,508 $16.06M 0.55%
4 SPIRE INC 165,382 $14.97M 0.51%
5 SCB X PCL SCB 3,393,100 $14.92M 0.51%
6 PORTLAND GENERAL ELECTRIC CO 279,755 $14.76M 0.51%
7 AMBEV SA 4,876,700 $14.36M 0.49%
8 ORANGE 696,453 $14.28M 0.49%
9 VALE SA 873,100 $13.90M 0.48%
10 ENI SPA 464,707 $13.21M 0.45%
11 ENGIE 409,421 $13.19M 0.45%
12 ONE GAS INC 150,871 $12.99M 0.45%
13 AMER STATES WATE 166,969 $12.63M 0.43%
14 NISOURCE INC 270,223 $12.61M 0.43%
15 TAIWAN MOBILE 3,667,000 $12.54M 0.43%
16 TENAGA NASIONAL 3,554,600 $12.26M 0.42%
17 BB SEGURIDADE PA 1,805,500 $12.13M 0.42%
18 EVERGY INC 147,550 $12.09M 0.41%
19 REPSOL SA 423,135 $11.91M 0.41%
20 VERIZON COMMUNICATIONS INC 235,173 $11.81M 0.40%
21 JOHNSON&JOHNSON 48,120 $11.76M 0.40%
22 PTT PCL PTT 11,063,800 $11.76M 0.40%
23 TIM SA 2,171,300 $11.51M 0.39%
24 STANDARD BANK GR 617,117 $11.18M 0.38%
25 AVISTA CORP 277,716 $11.15M 0.38%
26 BLACK HILLS CORP 157,188 $10.91M 0.37%
27 TOTALENERGIES SE 118,287 $10.85M 0.37%
28 ASTRA INTERNATIO 29,128,700 $10.76M 0.37%
29 MINI MSCI EMERGING MARKETS INDEX FUTURE JUN26 -5,963 $10.75M 0.37%
30 VIBRA ENERGIA SA COMMON STOCK VBBR3 1,750,606 $10.69M 0.37%
31 OMV AG 146,018 $10.68M 0.37%
32 KPN (KONIN) NV 1,913,464 $10.66M 0.37%
33 FIRSTENERGY CORP 208,500 $10.56M 0.36%
34 KT&G CORP 97,956 $10.54M 0.36%
35 PTT EXPLOR PROD PUBLIC CO PTTEP 2,176,700 $10.49M 0.36%
36 DHT Holdings Inc. COM USD0.01 DHT US 569,515 $10.41M 0.36%
37 ENBRIDGE INC 190,511 $10.33M 0.35%
38 WILLIAMS COS INC 141,354 $10.29M 0.35%
39 ENDESA 245,471 $10.26M 0.35%
40 BANCO DO BRASIL 2,299,400 $10.21M 0.35%
41 ABSA GROUP LTD 705,985 $10.17M 0.35%
42 POSTE ITALIANE 417,964 $9.84M 0.34%
43 NN GROUP 125,700 $9.82M 0.34%
44 EXXON MOBIL CORP 57,188 $9.70M 0.33%
45 THE BUCKLE INC 192,306 $9.68M 0.33%
46 CALIF WATER SRVC 213,095 $9.66M 0.33%
47 CALIFORNIA RESOU 138,965 $9.62M 0.33%
48 SOUTHWEST GAS HOLDINGS INC 110,553 $9.61M 0.33%
49 CHINA SHENHUA-H 1,622,500 $9.60M 0.33%
50 DNB BANK ASA 306,535 $9.60M 0.33%
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