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.
Jan 31, 2026 → Apr 30, 2026
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 9 positions
Security
Shares Jan 2026
Shares Apr 2026
Δ shares
End %
Δ value
PERMIAN RESOURCES CORP CL A
0
16,449
16,449
0.07%
$355.63K
ESTEE LAUDER COS INC CL A
0
2,338
2,338
0.04%
$179.35K
MKS INSTRUMENTS INC
0
136
136
0.01%
$38.59K
Versigent Ltd.
0
992
992
0.01%
$34.69K
ROBINHOOD MARKETS INC
0
295
295
0.00%
$21.50K
COUPANG INC A
0
572
572
0.00%
$11.43K
ITT INC
0
49
49
0.00%
$10.50K
VIATRIS INC
0
696
696
0.00%
$10.40K
AKAMAI TECHNOLOGIES INC
0
76
76
0.00%
$7.83K
▶
Exited
· 14 positions
Security
Shares Jan 2026
Shares Apr 2026
Δ shares
End %
Δ value
BOSTON SCIENTIFIC CORP
12,931
0
-12,931
0.00%
-$1.21M
GEN DIGITAL INC
19,680
0
-19,680
0.00%
-$472.12K
EQUITABLE HOLDINGS INC
6,617
0
-6,617
0.00%
-$307.03K
COPART INC
6,034
0
-6,034
0.00%
-$244.86K
ARTHUR J GALLAGHAR AND CO
880
0
-880
0.00%
-$219.45K
HOLOGIC INC
1,683
0
-1,683
0.00%
-$126.11K
ZEBRA TECHNOLOGIES CORP CL A
463
0
-463
0.00%
-$108.80K
VERSANT MEDIA GROUP INC - A
2,178
0
-2,178
0.00%
-$70.96K
HUMANA INC
362
0
-362
0.00%
-$70.66K
JACK HENRY
345
0
-345
0.00%
-$61.83K
UNUM GROUP
651
0
-651
0.00%
-$49.46K
MCCORMICK-N/V
793
0
-793
0.00%
-$49.03K
AFFIRM HOLDINGS INC
420
0
-420
0.00%
-$25.33K
PENSKE AUTOMOTIVE GROUP INC
138
0
-138
0.00%
-$21.64K
▶
Increased
· 200 positions
Security
Shares Jan 2026
Shares Apr 2026
Δ shares
End %
Δ value
AMAZON.COM INC
91,836
101,229
9,393
5.50%
$4.86M
MICROSOFT CORP
50,544
55,427
4,883
4.63%
$853.44K
META PLATFORMS INC CL A
28,514
34,568
6,054
4.34%
$722.22K
JPMORGAN CHASE and CO
38,966
41,192
2,226
2.64%
$983.26K
EXXON MOBIL CORP
68,580
71,451
2,871
2.26%
$1.33M
JOHNSON&JOHNSON
43,345
43,546
201
2.05%
$158.90K
CATERPILLAR INC
8,924
9,051
127
1.65%
$2.19M
WALMART INC
48,880
52,650
3,770
1.42%
$1.12M
VISA INC-CLASS A
18,707
20,087
1,380
1.36%
$605.02K
MICRON TECHNOLOGY INC
7,952
12,080
4,128
1.28%
$2.95M
MERCK & CO
43,168
54,237
11,069
1.21%
$1.16M
PROCTER & GAMBLE
37,948
39,776
1,828
1.20%
$91.28K
HOME DEPOT INC
8,291
17,024
8,733
1.15%
$2.49M
GILEAD SCIENCES INC
33,514
34,135
621
0.92%
-$291.09K
PEPSICO INC
27,215
27,545
330
0.89%
$184.57K
VERIZON COMMUNICATIONS INC
85,436
88,865
3,429
0.87%
$464.58K
ORACLE CORP
25,870
26,103
233
0.86%
-$44.92K
CISCO SYSTEMS INC
43,375
44,622
1,247
0.84%
$685.78K
INTL BUS MACH CORP
16,829
17,269
440
0.82%
-$1.17M
QUALCOMM INC
16,623
22,105
5,482
0.81%
$1.45M
AMERICAN EXPRESS CO
11,687
12,137
450
0.80%
-$194.95K
LAM RESEARCH CORP
14,597
15,187
590
0.80%
$508.30K
AMGEN INC
10,429
11,049
620
0.78%
$260.25K
GOLDMAN SACHS GROUP INC
815
3,871
3,056
0.73%
$2.81M
MORGAN STANLEY
17,627
18,521
894
0.72%
$307.70K
BRISTOL-MYERS SQUIBB CO
53,908
57,325
3,417
0.71%
$505.69K
UNION PACIFIC CORP
12,087
12,628
541
0.70%
$561.34K
AT&T INC
115,089
118,931
3,842
0.64%
$91.18K
TEXAS INSTRUMENTS INC
10,297
10,631
334
0.61%
$768.64K
DEERE & CO
4,854
4,885
31
0.59%
$318.60K
LINDE PLC
5,192
5,410
218
0.56%
$338.58K
CONOCOPHILLIPS
19,720
20,577
857
0.53%
$532.76K
HONEYWELL INTL INC
11,467
12,053
586
0.53%
-$25.65K
TRAVELERS COS IN
7,549
7,955
406
0.50%
$279.62K
LOCKHEED MARTIN CORP
4,364
4,587
223
0.49%
-$391.81K
CSX CORP
48,972
50,839
1,867
0.47%
$460.43K
GENERAL MOTORS CO
24,559
27,920
3,361
0.44%
$83.81K
EOG RESOURCES INC
13,913
15,187
1,274
0.44%
$574.77K
PFIZER INC
70,203
79,713
9,510
0.44%
$272.17K
TJX COS INC
12,701
13,365
664
0.43%
$192.23K
RTX CORP
7,882
11,704
3,822
0.42%
$476.99K
MARATHON PETROLEUM CORP
8,118
8,280
162
0.42%
$625.53K
VERTIV HOLDINGS CO
6,052
6,133
81
0.41%
$887.87K
FEDEX CORP
4,783
4,937
154
0.41%
$449.82K
T-MOBILE US INC
9,699
9,973
274
0.40%
$36.98K
ROYAL CARIBBEAN
7,044
7,313
269
0.40%
-$357.96K
UNITED RENTALS INC
1,874
1,981
107
0.39%
$435.86K
NEWMONT CORP
16,498
16,887
389
0.38%
$22.43K
CUMMINS INC
2,582
2,742
160
0.38%
$345.40K
ROSS STORES INC
7,616
7,908
292
0.37%
$364.60K
CHENIERE ENERGY INC
6,044
6,412
368
0.36%
$484.55K
BANK OF NEW YORK MELLON CORP
12,348
12,770
422
0.35%
$235.13K
KROGER CO
21,888
24,925
3,037
0.35%
$320.98K
NXP SEMICONDUCTO
5,478
5,771
293
0.35%
$455.51K
NETFLIX INC
10,947
17,363
6,416
0.33%
$711.39K
TARGET CORP
11,530
12,483
953
0.33%
$403.60K
METLIFE INC
19,160
19,989
829
0.33%
$89.78K
WASTE MANAGEMENT INC
5,892
6,842
950
0.33%
$281.67K
ILLINOIS TOOL WORKS INC
5,817
6,135
318
0.32%
$63.14K
SCHWAB CHARLES CORP
16,262
17,216
954
0.32%
-$112.27K
BAKER HUGHES CO
21,391
22,512
1,121
0.32%
$369.66K
UNITED PARCEL SERVICE INC CL B
12,373
14,237
1,864
0.32%
$234.73K
EATON CORP PLC
3,500
3,549
49
0.32%
$306.78K
3M CO
9,213
9,861
648
0.30%
$33.77K
COMFORT SYSTEMS USA INC
760
785
25
0.30%
$576.60K
FERGUSON ENTERPRISES INC
5,057
5,280
223
0.29%
$136.82K
THE CIGNA GROUP
4,430
4,760
330
0.28%
$168.85K
CRH PLC
10,587
11,495
908
0.28%
$65.28K
OCCIDENTAL PETROLEUM CORP
18,505
22,357
3,852
0.28%
$514.45K
SLB LTD
20,971
23,568
2,597
0.27%
$325.97K
FORD MOTOR CO
101,147
109,888
8,741
0.27%
-$76.47K
EBAY INC
12,118
12,610
492
0.27%
$199.48K
AMERIPRISE FINANCIAL INC
2,399
2,725
326
0.27%
$29.07K
DELTA AIR LI
17,962
18,900
938
0.26%
$101.49K
TRANE TECHNOLOGI
2,468
2,603
135
0.26%
$244.09K
ONEOK INC
12,850
13,578
728
0.26%
$237.83K
NVIDIA CORP
5,676
6,250
574
0.26%
$162.46K
ALLSTATE CORPORATION
4,967
5,523
556
0.25%
$211.54K
HALLIBURTON CO
27,087
28,152
1,065
0.24%
$282.87K
TE CONNECTIVITY
5,359
5,624
265
0.24%
-$3.50K
JABIL INC
3,438
3,494
56
0.24%
$363.73K
TARGA RESOURCES CORP
4,185
4,495
310
0.24%
$327.96K
WILLIAMS COS INC
15,031
15,254
223
0.24%
$153.05K
MONDELEZ INTL INC
15,044
18,776
3,732
0.24%
$273.97K
SHERWIN WILLIAMS CO
3,401
3,554
153
0.23%
-$63.13K
EMERSON ELECTRIC CO
7,585
8,093
508
0.23%
$21.89K
WW GRAINGER INC
911
959
48
0.23%
$129.91K
HARTFORD INSURANCE GROUP INC/THE
7,587
8,083
496
0.23%
$81.14K
NORFOLK SOUTHERN CORP
3,176
3,435
259
0.22%
$159.90K
AMPHENOL CORPORATION CL A
4,727
7,229
2,502
0.22%
$383.55K
AIR PRODUCTS and CHEMICALS INC
3,323
3,489
166
0.21%
$141.36K
EMCOR GROUP INC
1,119
1,166
47
0.21%
$233.19K
DEVON ENERGY CORP
19,134
20,211
1,077
0.21%
$268.86K
NORTHROP GRUMMAN CORP
1,752
1,788
36
0.21%
-$176.73K
STRYKER CORP
3,020
3,271
251
0.21%
-$85.28K
LILLY ELI and CO
950
1,098
148
0.21%
$40.90K
AMETEK INC NEW
4,117
4,342
225
0.21%
$100.42K
MOTOROLA SOLUTIONS INC
1,555
2,287
732
0.21%
$378.11K
CARNIVAL CORP
33,279
37,868
4,589
0.21%
$4.85K
UNITED AIRLINES HOLDINGS INC
10,448
11,001
553
0.20%
-$78.95K
STEEL DYNAMICS INC
4,125
4,179
54
0.20%
$214.84K
MOODYS CORP
1,860
2,034
174
0.19%
-$19.54K
UBER TECHNOLOGIES INC
1,232
12,353
11,121
0.19%
$823.04K
AON PLC-CLASS A
2,519
2,945
426
0.19%
$37.07K
GENERAL DYNAMICS CORPORATION
2,489
2,613
124
0.18%
$25.79K
CINTAS CORP
4,099
5,133
1,034
0.18%
$112.28K
OLD DOMINION FRT
4,076
4,196
120
0.18%
$185.39K
REPUBLIC SVCS
3,608
4,257
649
0.18%
$114.60K
DARDEN RESTAURANTS INC
4,353
4,387
34
0.18%
$12.09K
IDEXX LABS INC
1,510
1,565
55
0.18%
-$134.74K
ROCKWELL AUTOMATION INC
2,040
2,138
98
0.18%
$14.08K
SYSCO CORP
10,989
11,607
618
0.18%
-$54.27K
VULCAN MATERIALS CO
2,733
2,820
87
0.17%
$29.53K
CARRIER GLOBAL CORP
11,501
12,564
1,063
0.17%
$158.69K
COTERRA ENERGY INC
22,458
23,284
826
0.17%
$188.22K
NRG ENERGY INC
5,115
5,333
218
0.17%
$49.01K
SYNCHRONY FINANCIAL
10,097
10,729
632
0.17%
$84.20K
HERSHEY CO/THE
4,218
4,388
170
0.17%
-$6.43K
AMERICAN INTERNATIONAL GROUP
10,126
10,845
719
0.17%
$52.97K
RAYMOND JAMES FINANCIAL INC.
4,806
5,095
289
0.17%
$9.52K
ARCH CAPITAL GRP
8,321
8,527
206
0.17%
$6.31K
LPL FINL HLDGS INC
2,236
2,408
172
0.16%
-$10.44K
ULTA BEAUTY INC
1,451
1,490
39
0.16%
-$138.47K
XPO LOGISTICS INC
3,541
3,594
53
0.16%
$266.69K
GARMIN LTD
2,877
3,079
202
0.16%
$193.14K
NETAPP INC
6,609
6,868
259
0.16%
$123.99K
FLEX LTD
7,553
8,185
632
0.15%
$273.20K
WATERS CORP
1,842
2,381
539
0.15%
$53.41K
PULTEGROUP INC
5,601
5,997
396
0.15%
$33.16K
CASEY'S GENERAL
844
889
45
0.15%
$219.01K
UNITED THERAPEUTICS CORP DEL
1,240
1,272
32
0.15%
$144.59K
CBRE GROUP INC - CL A
4,701
4,997
296
0.15%
-$87.50K
DIAMONDBACK ENERGY INC
2,804
3,443
639
0.15%
$248.27K
WR BERKLEY CORP
9,627
10,248
621
0.14%
$24.65K
QUEST DIAGNOSTICS INC
3,235
3,435
200
0.14%
$62.03K
PACKAGING CORP OF AMERICA
2,882
3,060
178
0.13%
$11.77K
PPG INDUSTRIES INC
5,493
6,017
524
0.13%
$17.69K
EXPEDITORS INTL OF WASH INC
4,173
4,412
239
0.13%
-$17.44K
HUBBELL INC
1,224
1,251
27
0.13%
$38.48K
US FOODS HOLDING CORP
5,077
6,792
1,715
0.13%
$210.45K
HUNT J B TRANSPORT SERVICES IN
2,324
2,517
193
0.13%
$161.98K
WILLIAMS-SONOMA INC
3,144
3,391
247
0.13%
-$28.94K
COGNIZANT TECH SOLUTIONS CL A
10,941
11,563
622
0.13%
-$286.14K
AGILENT TECHNOLOGIES INC
4,799
5,069
270
0.12%
-$56.62K
BURLINGTON STORES INC
1,766
1,817
51
0.12%
$58.97K
PRINCIPAL FINL GROUP INC
5,301
5,741
440
0.12%
$77.21K
EXPEDIA INC
2,139
2,328
189
0.12%
$11.71K
CF INDUSTRIES HOLDINGS INC
3,522
4,604
1,082
0.12%
$243.46K
TECHNIPFMC PLC
4,046
7,539
3,493
0.12%
$344.28K
IQVIA HOLDINGS INC
3,337
3,597
260
0.12%
-$198.35K
LEIDOS HOLDINGS INC
3,453
3,694
241
0.11%
-$98.91K
RESMED INC
2,426
2,568
142
0.11%
-$77.60K
SNAP-ON INCORPORATED
1,325
1,408
83
0.11%
$54.73K
KENVUE INC
27,261
30,770
3,509
0.11%
$65.06K
CORPAY INC
1,613
1,754
141
0.11%
$30.05K
GE HEALTHCARE TECHNOLOGIES INC WI
7,908
8,718
810
0.11%
-$94.09K
CONSTELLATION BRANDS INC CL A
3,106
3,272
166
0.11%
$25.62K
TRACTOR SUPPLY CO.
10,032
14,527
4,495
0.10%
-$530
API GROUP CORP
11,000
11,123
123
0.10%
$51.27K
ECOLAB INC
1,910
1,949
39
0.10%
-$30.69K
DOVER CORP
2,060
2,148
88
0.10%
$71.26K
SS&C TECHNOLOGIE
6,519
6,980
461
0.10%
-$50.13K
RALPH LAUREN CORP
1,300
1,328
28
0.10%
$16.84K
BROADRIDGE FINL
2,974
3,032
58
0.10%
-$119.34K
GENERAL MILLS INC
12,790
13,021
231
0.09%
-$131.89K
DOLLAR GENERAL CORP
3,689
3,860
171
0.09%
-$81.82K
DICKS SPORTING GOODS INC
1,919
1,963
44
0.09%
$57.81K
FIRST SOLAR INC
1,850
2,196
346
0.09%
$26.14K
VERTEX PHARMACEUTICALS INC
810
1,025
215
0.09%
$57.45K
NIKE INC CL B
8,378
9,405
1,027
0.09%
-$100.64K
WESTERN DIGITAL CORP
878
945
67
0.08%
$190.92K
CHURCH & DWIGHT
3,775
4,117
342
0.08%
$36.25K
Southern Copper Corporation COM USD0.01
2,296
2,315
19
0.08%
-$39.51K
EQUIFAX INC
2,144
2,264
120
0.08%
-$38.00K
ROLLINS INC
6,743
6,862
119
0.08%
-$44.68K
VERALTO CORP
3,346
4,102
756
0.07%
$30.61K
TENET HEALTHCARE CORP
1,635
1,973
338
0.07%
$39.98K
DOLLAR TREE INC
2,437
3,517
1,080
0.07%
$54.97K
CENCORA INC
885
1,092
207
0.07%
$18.44K
LENNOX INTL INC
507
576
69
0.06%
$57.09K
SOUTHWEST AIRLINES CO
6,789
7,998
1,209
0.06%
-$19.33K
EXPAND ENERGY CORP
1,132
2,501
1,369
0.05%
$128.23K
BALL CORP
2,942
4,178
1,236
0.05%
$87.88K
CARLISLE COS INC
652
717
65
0.05%
$32.46K
FOX CORPORATION B
3,355
4,157
802
0.05%
$17.04K
ATI INC
851
1,451
600
0.05%
$123.20K
TEXAS PACIFIC LAND CORP
393
434
41
0.04%
$55.65K
NORDSON CORP
605
631
26
0.04%
$15.92K
DEXCOM INC
333
3,025
2,692
0.04%
$155.82K
MASTEC INC
353
394
41
0.03%
$70.37K
CARVANA CO CL A
373
392
19
0.03%
$5.54K
CH ROBINSON WORLDWIDE INC
263
831
568
0.03%
$99.81K
NASDAQ INC
628
1,594
966
0.03%
$85.66K
WEST PHARMACEUTICAL SVCS INC
322
456
134
0.03%
$61.28K
INCYTE CORP
842
1,302
460
0.03%
$39.78K
SharkNinja Inc
659
838
179
0.02%
$18.92K
LABCORP HOLDINGS INC
14
228
214
0.01%
$54.75K
TEXTRON INC
481
586
105
0.01%
$13.88K
PTC INC
115
372
257
0.01%
$32.75K
INTUIT INC
18
74
56
0.01%
$19.77K
▶
Decreased
· 39 positions
Security
Shares Jan 2026
Shares Apr 2026
Δ shares
End %
Δ value
ALPHABET INC CL C
48,824
45,970
-2,854
3.60%
$1.03M
ALPHABET INC CL A
52,876
45,005
-7,871
3.55%
-$554.16K
CHEVRON CORP
33,876
20,831
-13,045
0.83%
-$1.97M
The DFA Short Term Investment Fund
3,006,232
2,810,533
-195,699
0.58%
-$195.70K
PROGRESSIVE CORP OHIO
10,278
8,655
-1,623
0.36%
-$395.75K
ABBOTT LABS
19,004
18,988
-16
0.35%
-$353.22K
ABBVIE INC
8,110
7,418
-692
0.32%
-$241.04K
ACCENTURE PLC-A
9,112
8,567
-545
0.31%
-$871.28K
COMCAST CORP CL A
54,459
51,701
-2,758
0.29%
-$222.16K
VISTRA CORP
9,141
8,758
-383
0.28%
-$65.11K
AUTOMATIC DATA PROCESSING INC
6,240
5,124
-1,116
0.22%
-$454.18K
VALERO ENERGY CORP
6,324
3,584
-2,740
0.19%
-$242.12K
DR HORTON INC
6,863
5,628
-1,235
0.18%
-$155.56K
AUTODESK INC
3,691
3,495
-196
0.17%
-$105.03K
APPLOVIN CORP
2,481
1,682
-799
0.15%
-$423.03K
HOWMET AEROSPACE INC
6,029
2,912
-3,117
0.15%
-$546.78K
QUANTA SVCS INC
1,885
967
-918
0.14%
-$190.92K
PHILLIPS 66
5,636
3,611
-2,025
0.13%
-$162.19K
PARKER HANNIFIN CORP
1,113
641
-472
0.12%
-$458.65K
NVR INC
93
91
-2
0.12%
-$135.38K
HEWLETT PACKARD ENTERPRISE CO
22,046
19,966
-2,080
0.12%
$99.99K
OMNICOM GROUP INC
6,911
6,453
-458
0.10%
-$37.35K
CAPITAL ONE FINANCIAL CORP
2,506
2,378
-128
0.09%
-$93.73K
APOLLO GLOBAL MANAGEMENT INC
4,492
3,473
-1,019
0.09%
-$157.31K
JOHNSON CONTROLS
4,820
2,891
-1,929
0.09%
-$152.66K
CARLYLE GROUP INC (THE)
8,140
7,604
-536
0.08%
-$97.74K
RPM INTL INC
3,539
3,227
-312
0.07%
-$49.73K
FIDELITY NATIONAL FINL INC
5,980
5,283
-697
0.06%
-$48.95K
ELEVANCE HEALTH INC
2,910
720
-2,190
0.06%
-$735.08K
CURTISS WRIGHT CORPORATION
504
364
-140
0.05%
-$68.82K
BEST BUY CO INC
4,647
4,184
-463
0.05%
-$49.43K
GENUINE PARTS CO
3,408
1,611
-1,797
0.04%
-$300.93K
COINBASE GLOBAL INC
2,893
786
-2,107
0.03%
-$415.80K
PENTAIR PLC
2,791
1,699
-1,092
0.03%
-$156.96K
ELECTRONIC ARTS INC
4,904
606
-4,298
0.03%
-$877.39K
BROWN & BROWN
2,736
1,926
-810
0.02%
-$81.42K
SOLSTICE ADV MAT
2,160
1,140
-1,020
0.02%
-$40.00K
COREBRIDGE FINANCIAL INC
17,000
2,974
-14,026
0.02%
-$442.21K
TRANSUNION
2,807
1,003
-1,804
0.01%
-$150.60K
▶
Unchanged
· 80 positions
Security
Shares Jan 2026
Shares Apr 2026
Δ shares
End %
Δ value
COSTCO WHOLESALE CORP
4,803
4,803
0
1.00%
$356.77K
KLA CORP
2,364
2,364
0
0.85%
$762.18K
COCA-COLA CO/THE
50,400
50,400
0
0.81%
$199.08K
UNITEDHEALTH GRP
9,965
9,965
0
0.76%
$832.58K
APPLIED MATERIALS INC
9,233
9,233
0
0.75%
$666.35K
CORNING INC
16,158
16,158
0
0.54%
$985.48K
FREEPORT MCMORAN INC
24,644
24,644
0
0.29%
-$60.38K
PACCAR INC
10,634
10,634
0
0.26%
-$43.71K
MARSH & MCLENNAN
6,782
6,782
0
0.23%
-$138.90K
NORTHERN TRUST CORP
5,352
5,352
0
0.18%
$90.50K
ANALOG DEVICES INC
2,200
2,200
0
0.18%
$201.04K
ADOBE INC
3,472
3,472
0
0.18%
-$163.70K
NUCOR CORP
3,259
3,259
0
0.15%
$155.03K
CBOE GLOBAL MARKETS INC
2,211
2,211
0
0.14%
$77.45K
ZOETIS INC CL A
5,689
5,689
0
0.13%
-$56.04K
BECTON DICKINSON and CO
4,302
4,302
0
0.13%
-$234.20K
PAYPAL HOLDINGS
12,741
12,741
0
0.13%
-$32.49K
PAYCHEX INC
6,652
6,652
0
0.13%
-$69.85K
WILLIS TOWERS WA
2,392
2,392
0
0.13%
-$146.56K
KEYSIGHT TECHNOLOGIES INC
1,746
1,746
0
0.13%
$233.23K
CHARTER COMMUNICATIONS INC A
3,597
3,597
0
0.12%
-$147.30K
FOX CORP CL A
8,954
8,954
0
0.12%
-$83.18K
KIMBERLY CLARK CORP
5,733
5,733
0
0.12%
-$8.94K
MARTIN MAR MTLS
905
905
0
0.11%
-$29.76K
FIFTH THIRD BANCORP
10,888
10,888
0
0.11%
$5.88K
MARKEL GROUP INC
308
308
0
0.11%
-$82.60K
CHIPOTLE MEXICAN GRILL INC
15,611
15,611
0
0.11%
-$76.18K
FIDELITY NATL INFORM SVCS INC
11,109
11,109
0
0.11%
-$96.87K
INTERCONTINENTAL EXCHANGE INC
3,020
3,020
0
0.10%
-$47.38K
TAPESTRY INC
3,111
3,111
0
0.09%
$56.40K
RELIANCE STEEL and ALUMINUM CO
1,235
1,235
0
0.09%
$40.76K
LAS VEGAS SANDS CORP
8,138
8,138
0
0.09%
$15.30K
T ROWE PRICE GRP
3,895
3,895
0
0.08%
-$10.91K
EDWARDS LIFESCIENCES CORP
4,635
4,635
0
0.08%
$9.92K
LULULEMON ATHLETICA INC
2,672
2,672
0
0.08%
-$98.33K
FISERV INC
5,443
5,443
0
0.07%
-$5.88K
F5 INC
994
994
0
0.07%
$48.00K
CINCINNATI FINANCIAL CORP
1,846
1,846
0
0.06%
$5.00K
MONSTER BEVERAGE CORP
3,829
3,829
0
0.06%
-$14.13K
AFLAC INC
2,412
2,412
0
0.06%
$6.56K
FORTINET INC
3,076
3,076
0
0.05%
$9.38K
PRUDENTL FINL
2,565
2,565
0
0.05%
-$33.34K
JACOBS SOLUTIONS INC
1,847
1,847
0
0.05%
-$10.80K
CFD_EQS BARCUS33 BV7DQ55
5,310
5,310
0
0.04%
-$32.98K
RENAISSANCERE
655
655
0
0.04%
$16.55K
FASTENAL CO
4,082
4,082
0
0.04%
$6.41K
AVERY DENNISON CORP
1,107
1,107
0
0.04%
-$23.89K
APTIV PLC
2,977
2,977
0
0.04%
-$46.11K
APPLE INC
619
619
0
0.03%
$7.35K
GRACO INC
1,924
1,924
0
0.03%
-$13.58K
FIRST CITIZENS BANCSHARES INC CL A
75
75
0
0.03%
-$6.43K
EAST WEST BNCRP
1,047
1,047
0
0.03%
$12.60K
ON SEMICONDUCTOR CORP
1,075
1,075
0
0.02%
$43.99K
TEMPUR SEALY INTERNATIONAL INC
1,423
1,423
0
0.02%
-$17.06K
REGIONS FINANCIAL CORP
3,658
3,658
0
0.02%
$183
HUNTINGTON BANCSHARES INC
5,991
5,991
0
0.02%
-$4.31K
WARNER MUSIC GRP CORP CL A
3,305
3,305
0
0.02%
-$5.65K
DECKERS OUTDOOR CORP
831
831
0
0.02%
-$14.24K
PERFORMANCE FOOD GROUP CO
802
802
0
0.01%
-$3.92K
IDEX CORPORATION
319
319
0
0.01%
$6.16K
LINCOLN ELECTRIC HLDGS INC
249
249
0
0.01%
-$87
ALLEGION PLC
418
418
0
0.01%
-$11.67K
EVEREST RE GROUP
161
161
0
0.01%
$4.10K
TERADYNE INC
162
162
0
0.01%
$16.59K
SOLVENTUM CORP
664
664
0
0.01%
-$6.38K
CVS HEALTH CORP
517
517
0
0.01%
$4.53K
NEUROCRINE BIOSCIENCES INC
323
323
0
0.01%
-$1.42K
WELLS FARGO & CO
468
468
0
0.01%
-$3.87K
WOODWARD INC
106
106
0
0.01%
$4.79K
WATSCO INC
64
64
0
0.01%
$3.29K
THERMO FISHER SCIENTIFIC INC
55
55
0
0.01%
-$5.48K
BJS WHSL CLUB HLDGS INC
250
250
0
0.00%
$362
INTL PAPER CO
611
611
0
0.00%
-$6.05K
UNIVERSAL HLTH-B
100
100
0
0.00%
-$3.30K
AMERICAN FINL GROUP INC OHIO
119
119
0
0.00%
$357
SERVICE CORP INTERNATIONAL INC
149
149
0
0.00%
$89
STERIS PLC
27
27
0
0.00%
-$1.23K
UL SOLUTIONS INC CL A
53
53
0
0.00%
$1.07K
AMENTUM HOLDINGS INC
46
46
0
0.00%
-$439
LENNAR CORP CL B
8
8
0
0.00%
-$103
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