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
· 4 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
ONEOK INC
0
77,581
77,581
0.70%
$6.14M
WATSCO INC
0
14,300
14,300
0.63%
$5.53M
UNILEVER PLC
0
73,520
73,520
0.57%
$4.97M
INTERTEK GROUP PLC COMMON STOCK GBP.01
0
76,383
76,383
0.53%
$4.67M
▶
Exited
· 8 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
RTX CORP
46,352
0
-46,352
0.00%
-$8.27M
EMERSON ELECTRIC CO
52,006
0
-52,006
0.00%
-$7.26M
UNILEVER PLC
82,710
0
-82,710
0.00%
-$4.99M
NHK SPRING CO LTD
245,800
0
-245,800
0.00%
-$4.62M
Invesco Government & Agency Portfolio, Institutional Class
4,046,720
0
-4,046,720
0.00%
-$4.05M
SK TELECOM
57,848
0
-57,848
0.00%
-$2.12M
WEC ENERGY GROUP INC
7,793
0
-7,793
0.00%
-$870.71K
SOLSTICE ADV MAT
4,815
0
-4,815
0.00%
-$217.01K
▶
Increased
· 33 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
MICROSOFT CORP
38,104
39,664
1,560
1.95%
-$2.66M
ABBVIE INC
65,172
74,254
9,082
1.89%
$2.35M
DELL TECHNOLOGIES INC CL C
121,309
124,807
3,498
1.63%
-$5.37M
AT&T INC
371,924
397,934
26,010
1.19%
$1.22M
APPLE INC
35,820
38,743
2,923
1.15%
$368.38K
NEXTERA ENERGY INC
104,752
113,660
8,908
1.14%
$1.46M
METLIFE INC
120,316
124,711
4,395
1.13%
$233.58K
NYLI U.S. Government Liquidity Fund
6,436,822
9,677,432
3,240,610
1.11%
$3.24M
ENTERGY CORP
94,209
96,710
2,501
1.06%
$220.98K
LOCKHEED MARTIN CORP
11,898
14,419
2,521
1.05%
$3.29M
MPLX LP PARTNERSHIP SHARES
149,128
156,962
7,834
1.00%
$1.20M
MEDTRONIC PLC
81,981
84,612
2,631
1.00%
$1.28M
MSC INDUSTRIAL DIRECT CO CL A
97,495
102,955
5,460
0.99%
$404.92K
ORANGE
448,407
458,960
10,553
0.97%
$1.35M
BAE SYSTEMS PLC
211,724
303,975
92,251
0.94%
$3.01M
VERIZON COMMUNICATIONS INC
144,230
183,399
39,169
0.93%
$2.43M
MERCK & CO
53,458
72,400
18,942
0.91%
$3.39M
LINDE PLC
16,067
16,603
536
0.87%
$866.25K
HOME DEPOT INC
18,094
19,985
1,891
0.86%
$617.88K
SNAM SPA
966,293
1,070,647
104,354
0.84%
$1.40M
COCA-COLA CO/THE
92,763
97,134
4,371
0.83%
$875.22K
COLUMBIA BANKING SYSTEMS INC
224,127
244,469
20,342
0.82%
$1.19M
NISOURCE INC
153,989
159,646
5,657
0.81%
$586.24K
MCCORMICK-N/V
86,682
102,204
15,522
0.72%
$757.76K
OMNICOM GROUP INC
71,032
74,618
3,586
0.66%
$419.75K
HONEYWELL INTL INC
19,260
23,968
4,708
0.62%
$1.58M
REALTY INCOME CORP REIT
76,017
81,362
5,345
0.57%
$568.63K
PINNACLE WEST CAPITAL CORP
46,237
52,614
6,377
0.56%
$829.67K
DUKE ENERGY CORP NEW
35,360
39,977
4,617
0.55%
$455.96K
TERNA-RETE ELETT
404,048
447,163
43,115
0.55%
$698.75K
MICHELIN
118,755
127,471
8,716
0.54%
$946.63K
INFRASTRUTTURE W
496,296
520,968
24,672
0.53%
-$854.41K
POUND STERLING
47
57
10
0.00%
$16
▶
Decreased
· 78 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
CISCO SYSTEMS INC
253,579
250,683
-2,896
2.25%
$1.09M
TAIWAN SEMIC MFG CO LTD SP ADR
57,730
56,681
-1,049
2.14%
$1.39M
SAMSUNG ELEC VTG GDR REGS
7,203
6,667
-536
2.10%
$4.93M
INTL BUS MACH CORP
58,499
57,831
-668
2.03%
-$246.41K
BROADCOM INC
54,828
51,485
-3,343
1.95%
-$3.21M
ANALOG DEVICES INC
50,744
50,167
-577
1.78%
$3.72M
HEWLETT PACKARD ENTERPRISE CO
725,701
717,420
-8,281
1.77%
-$2.28M
TEXAS INSTRUMENTS INC
68,793
65,866
-2,927
1.62%
$3.09M
MICROCHIP TECHNOLOGY
186,859
184,727
-2,132
1.60%
$2.36M
MANULIFE FIN
330,505
321,705
-8,800
1.40%
$1.56M
CVS HEALTH CORP
163,131
156,128
-7,003
1.33%
-$1.11M
PHILIP MORRIS INTL INC
60,971
59,895
-1,076
1.23%
$1.95M
HASBRO INC
115,071
113,040
-2,031
1.15%
$1.31M
AMERICAN ELECTRIC POWER CO INC
84,543
83,579
-964
1.14%
-$156.47K
BANK OF AMERICA CORPORATION
189,772
186,423
-3,349
1.13%
-$225.61K
JPMORGAN CHASE and CO
34,798
31,479
-3,319
1.10%
-$1.20M
COCA-COLA EUROPA
107,029
104,426
-2,603
1.10%
$68.48K
Novartis AG (Registered)
73,932
64,273
-9,659
1.09%
$409.86K
LAZARD INC CL A
166,181
162,887
-3,294
1.00%
$640.66K
CHEVRON CORP
49,981
49,401
-580
1.00%
$856.03K
Sanofi SA
94,063
91,775
-2,288
0.99%
-$881.93K
ASTRAZENECA PLC SPONS ADR
92,235
90,544
-1,691
0.96%
$799.60K
CUMMINS INC
18,812
14,482
-4,330
0.96%
$148.84K
US BANCORP DEL
148,693
147,192
-1,501
0.94%
$1.32M
TORO CO
91,161
90,123
-1,038
0.94%
$1.43M
RESTAURANT BRANDS INTERNATIONAL INC
121,695
118,736
-2,959
0.91%
-$40.02K
ALPHABET INC CL C
25,085
23,397
-1,688
0.91%
$851.13K
META PLATFORMS INC CL A
11,063
10,936
-127
0.90%
$662.95K
MCDONALDS CORP
25,123
24,834
-289
0.89%
$325.25K
JOHNSON&JOHNSON
36,364
34,400
-1,964
0.89%
$949.33K
IRON MOUNTAIN INC
84,524
83,032
-1,492
0.87%
-$1.05M
BAWAG GROUP AG
46,582
45,450
-1,132
0.85%
$1.39M
ALLIANZ SE (REGD)
17,155
16,699
-456
0.84%
$474.26K
GSK PLC
291,299
284,216
-7,083
0.83%
$484.23K
NUTRIEN LTD
112,980
101,248
-11,732
0.80%
$823.21K
DEUTSCHE TELEKOM
272,931
205,707
-67,224
0.79%
-$1.59M
AIA Group Ltd
605,000
593,600
-11,400
0.79%
$990.83K
NETAPP INC
71,512
70,610
-902
0.78%
-$1.62M
DHL GROUP
123,332
120,333
-2,999
0.77%
$1.09M
IMPERIAL BRANDS
212,566
155,651
-56,915
0.75%
-$1.92M
SIEMENS AG-REG
21,609
21,243
-366
0.74%
$337.67K
MONDELEZ INTL INC
109,964
108,024
-1,940
0.72%
-$2.37K
ROCHE HOLDINGS AG (GENUSSCHEINE)
14,148
13,804
-344
0.72%
$1.71M
ASTELLAS PHARMA
521,200
448,300
-72,900
0.71%
$753.76K
BRISTOL-MYERS SQUIBB CO
111,010
109,888
-1,122
0.69%
$935.10K
AXA
136,004
132,697
-3,307
0.69%
$145.68K
REGIONS FINANCIAL CORP
211,574
209,440
-2,134
0.68%
$848.95K
ROYAL BANK OF CANADA
39,154
35,722
-3,432
0.68%
$211.89K
TRUIST FINL CORP
115,325
114,159
-1,166
0.67%
$723.10K
TOYOTA MOTOR CORP
255,700
247,800
-7,900
0.64%
$403.98K
LLOYDS BANKING
4,416,648
3,637,456
-779,192
0.62%
$254.23K
PEPSICO INC
35,017
34,399
-618
0.60%
$169.08K
EQUINOR ASA
200,722
197,350
-3,372
0.60%
$471.00K
UNITED PARCEL SERVICE INC CL B
50,577
49,368
-1,209
0.60%
$367.23K
TOTALENERGIES SE
72,626
70,840
-1,786
0.59%
$618.50K
SCHRODERS PLC
844,542
824,054
-20,488
0.58%
$882.87K
SEGRO PLC
551,737
476,923
-74,814
0.57%
-$104.27K
PFIZER INC
211,087
182,884
-28,203
0.55%
-$367.84K
ROGERS COMMUNICATIONS INC COMMON STOCK
130,298
127,136
-3,162
0.55%
-$300.15K
VINCI SA
37,721
33,273
-4,448
0.55%
-$261.05K
RECKITT BENCKISE
58,179
57,203
-976
0.55%
$323.28K
VICI PROPERTIES
199,892
169,074
-30,818
0.54%
-$1.25M
LILLY ELI and CO
6,037
4,575
-1,462
0.54%
-$464.12K
EATON CORP PLC
13,614
13,457
-157
0.54%
-$465.50K
WALMART INC
44,770
39,408
-5,362
0.54%
$165.24K
BLACKROCK INC
4,219
4,144
-75
0.53%
$68.51K
ESSENTIAL UTILITIES INC
118,668
117,174
-1,494
0.52%
-$86.43K
GENERAL DYNAMICS CORPORATION
14,426
12,917
-1,509
0.52%
-$440.50K
NESTLE SA (REG)
46,187
45,063
-1,124
0.49%
-$131.96K
Croda International Public Limited Company
116,161
114,208
-1,953
0.49%
-$142.36K
VAIL RESORTS INC
32,179
31,856
-323
0.48%
-$534.03K
PAYCHEX INC
41,209
40,481
-728
0.48%
-$647.88K
BEST BUY CO INC
64,685
63,141
-1,544
0.47%
-$1.20M
MUENCHENER RUE-R
6,550
6,385
-165
0.44%
-$171.66K
FX Spot Contract: EUR/USD SETTLE 2026-01-05
278
185
-93
0.00%
-$101
NORWEGIAN KRONE
-0
-0
-0
0.00%
$0
Yen
-1
-2
-1
0.00%
$0
FX Forward Contract: CAD/USD SETTLE 2026-03-18
-0
-0
-0
0.00%
-$0
▶
Unchanged
· 2 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
Won
793
793
0
0.00%
-$0
SWISS FRANC
-0
-0
0
0.00%
$0
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