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.
Oct 31, 2025 → Jan 31, 2026
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 2 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
TOTALENERGIES SE
0
140,522
140,522
0.89%
$10.17M
VOYA FINANCIAL INC
0
81,358
81,358
0.55%
$6.24M
▶
Exited
· 3 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
TOTALENERGIES SE ADR
145,814
0
-145,814
0.00%
-$9.08M
Invesco Government & Agency Portfolio, Institutional Class
6,904,825
0
-6,904,825
0.00%
-$6.90M
SOLSTICE ADV MAT
12,090
0
-12,090
0.00%
-$544.92K
▶
Increased
· 20 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
CISCO SYSTEMS INC
217,609
231,443
13,834
1.59%
$2.22M
NYLI U.S. Government Liquidity Fund
13,652,987
17,095,604
3,442,617
1.50%
$3.44M
NEXTERA ENERGY INC
158,465
164,921
6,456
1.27%
$1.60M
MCDONALDS CORP
38,757
42,388
3,631
1.17%
$1.79M
ALPHABET INC CL C
33,899
39,034
5,135
1.16%
$3.66M
META PLATFORMS INC CL A
15,119
16,043
924
1.01%
$1.69M
HONEYWELL INTL INC
48,362
48,406
44
0.97%
$1.28M
UNITEDHEALTH GRP
30,918
37,808
6,890
0.95%
$287.90K
LINDE PLC
23,588
23,725
137
0.95%
$974.75K
OMNICOM GROUP INC
133,348
137,773
4,425
0.93%
$610.26K
GENERAL DYNAMICS CORPORATION
28,086
28,766
680
0.89%
$412.59K
HOME DEPOT INC
26,155
26,794
639
0.88%
$108.59K
HEWLETT PACKARD ENTERPRISE CO
350,277
417,608
67,331
0.79%
$433.16K
TORO CO
91,121
94,033
2,912
0.75%
$1.79M
KLA CORP
4,980
5,897
917
0.74%
$2.40M
COLGATE-PALMOLIVE CO
81,305
85,949
4,644
0.68%
$1.50M
PPG INDUSTRIES INC
59,420
61,992
2,572
0.63%
$1.36M
NISOURCE INC
136,931
160,518
23,587
0.62%
$1.34M
MCCORMICK-N/V
84,733
97,411
12,678
0.53%
$586.45K
PAYCHEX INC
45,713
48,408
2,695
0.44%
-$357.48K
▶
Decreased
· 74 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
JOHNSON&JOHNSON
127,726
117,788
-9,938
2.35%
$2.64M
BANK OF AMERICA CORPORATION
473,349
455,621
-17,728
2.13%
-$1.06M
JPMORGAN CHASE and CO
79,717
78,023
-1,694
2.09%
-$935.10K
BROADCOM INC
73,536
70,759
-2,777
2.06%
-$3.74M
CUMMINS INC
48,170
40,038
-8,132
2.03%
$2.09M
ABBVIE INC
106,784
102,914
-3,870
2.01%
-$332.33K
METLIFE INC
297,812
270,974
-26,838
1.88%
-$2.40M
CHEVRON CORP
122,353
117,772
-4,581
1.83%
$1.54M
MEDTRONIC PLC
193,621
191,005
-2,616
1.73%
$2.10M
INTL BUS MACH CORP
61,698
59,613
-2,085
1.60%
-$683.28K
WALMART INC
173,443
153,009
-20,434
1.60%
$680.53K
AMERICAN ELECTRIC POWER CO INC
154,407
149,195
-5,212
1.57%
-$699.15K
CVS HEALTH CORP
270,118
234,125
-35,993
1.53%
-$3.66M
MERCK & CO
159,312
153,535
-5,777
1.49%
$3.23M
MICROSOFT CORP
38,832
37,521
-1,311
1.42%
-$3.96M
WELLS FARGO & CO
183,971
176,249
-7,722
1.40%
-$51.19K
ENTERGY CORP
165,291
164,805
-486
1.39%
-$79.66K
PHILIP MORRIS INTL INC
93,681
87,014
-6,667
1.37%
$2.09M
TRAVELERS COS IN
56,471
54,101
-2,370
1.35%
$223.04K
US BANCORP DEL
324,481
270,377
-54,104
1.33%
$24.08K
HASBRO INC
181,125
167,026
-14,099
1.31%
$1.10M
EMERSON ELECTRIC CO
104,727
100,801
-3,926
1.30%
$196.97K
BLACKROCK INC
13,614
13,042
-572
1.28%
-$148.16K
ANALOG DEVICES INC
48,028
46,411
-1,617
1.27%
$3.18M
LILLY ELI and CO
14,165
13,867
-298
1.26%
$2.16M
EATON CORP PLC
41,734
40,169
-1,565
1.24%
-$1.81M
VERIZON COMMUNICATIONS INC
323,409
309,833
-13,576
1.21%
$941.49K
AT&T INC
525,749
506,676
-19,073
1.17%
$267.69K
NUTRIEN LTD
199,896
191,505
-8,391
1.16%
$2.31M
Enterprise Products Partners LP
370,653
355,094
-15,559
1.03%
$373.16K
MPLX LP PARTNERSHIP SHARES
219,527
210,312
-9,215
1.03%
$613.25K
PROCTER & GAMBLE
79,840
76,489
-3,351
1.02%
-$396.81K
LOCKHEED MARTIN CORP
18,310
17,542
-768
0.98%
$2.12M
MARSH & MCLENNAN
59,786
57,276
-2,510
0.95%
$127.89K
DELL TECHNOLOGIES INC CL C
97,615
93,517
-4,098
0.94%
-$5.11M
COCA-COLA EUROPA
141,710
116,281
-25,429
0.94%
-$1.93M
PROLOGIS INC REIT
84,794
81,234
-3,560
0.93%
$83.82K
MSC INDUSTRIAL DIRECT CO CL A
131,207
125,700
-5,507
0.93%
-$539.25K
TEXAS INSTRUMENTS INC
50,599
48,892
-1,707
0.92%
$2.37M
LAZARD INC CL A
200,326
191,917
-8,409
0.90%
$533.87K
REGIONS FINANCIAL CORP
380,159
339,773
-40,386
0.85%
$483.68K
HUBBELL INC
20,492
19,632
-860
0.84%
-$52.00K
RTX CORP
76,390
46,863
-29,527
0.83%
-$4.22M
PFIZER INC
380,523
350,110
-30,413
0.81%
-$122.98K
GILEAD SCIENCES INC
66,831
64,025
-2,806
0.80%
$1.08M
TRUIST FINL CORP
197,441
176,192
-21,249
0.79%
$248.00K
IRON MOUNTAIN INC
102,545
98,241
-4,304
0.79%
-$1.51M
CME GROUP INC CL A
31,260
30,768
-492
0.78%
$594.58K
BRISTOL-MYERS SQUIBB CO
177,891
160,855
-17,036
0.78%
$659.63K
VICI PROPERTIES
322,102
308,582
-13,520
0.76%
-$994.86K
NETAPP INC
90,472
86,674
-3,798
0.73%
-$2.30M
MICROCHIP TECHNOLOGY
114,792
109,974
-4,818
0.73%
$1.18M
UNITED PARCEL SERVICE INC CL B
78,919
75,606
-3,313
0.70%
$421.50K
SNAP-ON INCORPORATED
22,365
21,426
-939
0.69%
$339.70K
APPLE INC
31,027
29,904
-1,123
0.68%
-$629.28K
WATSCO INC
19,387
18,685
-702
0.63%
$86.21K
REPUBLIC SVCS
34,967
33,499
-1,468
0.63%
-$76.23K
MONDELEZ INTL INC
126,382
121,649
-4,733
0.62%
-$149.09K
PEPSICO INC
47,879
45,869
-2,010
0.62%
$52.21K
ALLIANT ENERGY CORPORATION
110,390
105,756
-4,634
0.61%
-$405.88K
COCA-COLA CO/THE
96,097
92,063
-4,034
0.60%
$266.15K
AMGEN INC
20,885
20,008
-877
0.60%
$607.62K
DUKE ENERGY CORP NEW
58,162
55,721
-2,441
0.59%
-$467.79K
SALESFORCE INC
32,166
30,815
-1,351
0.57%
-$1.83M
CMS ENERGY CORP
92,442
88,562
-3,880
0.56%
-$467.81K
REALTY INCOME CORP REIT
107,030
102,537
-4,493
0.55%
$65.56K
ESSENTIAL UTILITIES INC
162,731
155,900
-6,831
0.53%
-$304.03K
VAIL RESORTS INC
54,847
44,802
-10,045
0.52%
-$2.17M
PINNACLE WEST CAPITAL CORP
66,378
63,591
-2,787
0.52%
$73.79K
AMEREN CORP
58,804
56,336
-2,468
0.51%
-$180.80K
AMERICAN TOWER CORP
32,185
31,018
-1,167
0.49%
-$199.56K
WEC ENERGY GROUP INC
54,212
49,992
-4,220
0.49%
-$524.49K
OGE ENERGY CORP
130,196
124,730
-5,466
0.48%
-$298.65K
BEST BUY CO INC
88,169
77,111
-11,058
0.44%
-$2.22M
▶
Unchanged
· 2 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
COLUMBIA BANKING SYSTEMS INC
422,714
422,714
0
1.09%
$1.12M
COMCAST CORP CL A
371,860
371,860
0
0.97%
$712.11K
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