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
CONSTRUCTION PARTNERS INC CL A
0
188,700
188,700
0.53%
$20.73M
TERAWULF INC
0
793,400
793,400
0.27%
$10.61M
ON HOLDING AG
0
219,136
219,136
0.25%
$9.92M
MEDLINE INC-A
0
63,500
63,500
0.07%
$2.81M
▶
Exited
· 8 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
WILLIAMS-SONOMA INC
127,408
0
-127,408
0.00%
-$24.76M
SIMPSON MFG
107,700
0
-107,700
0.00%
-$19.01M
BYD COMPANY LTD H
1,189,100
0
-1,189,100
0.00%
-$15.39M
NEXTRACKER INC CL A
150,800
0
-150,800
0.00%
-$15.26M
THE BOOKING HOLDINGS INC
2,900
0
-2,900
0.00%
-$14.73M
PG&E CORP
713,858
0
-713,858
0.00%
-$11.39M
MICROCHIP TECHNOLOGY
174,910
0
-174,910
0.00%
-$10.92M
Fidelity Cash Central Fund
6,881,283
0
-6,881,283
0.00%
-$6.88M
▶
Increased
· 13 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
NVIDIA CORP
1,279,900
1,280,900
1,000
6.29%
-$14.35M
ALPHABET INC CL A
424,800
557,000
132,200
4.84%
$68.82M
APOLLO GLOBAL MANAGEMENT INC
1,055,700
1,123,000
67,300
3.88%
$19.85M
ARTHUR J GALLAGHAR AND CO
489,100
599,900
110,800
3.85%
$27.57M
TAIWAN SEMIC MFG CO LTD SP ADR
409,400
450,100
40,700
3.82%
$25.79M
VERTIV HOLDINGS CO
731,500
785,800
54,300
3.76%
$5.22M
PARKER HANNIFIN CORP
103,700
114,600
10,900
2.76%
$27.10M
BOSTON SCIENTIFIC CORP
671,900
872,900
201,000
2.10%
$13.97M
ARES MANAGEMENT CORP CL A
296,300
410,700
114,400
1.58%
$17.41M
NETFLIX INC
51,500
515,000
463,500
1.11%
-$14.62M
APPLOVIN CORP
40,900
55,400
14,500
0.67%
$143.50K
KKR & CO INC
190,900
228,100
37,200
0.67%
$3.47M
NEW COTAI LLC PIK CONV 5% 02/24/2027
557,069
571,305
14,236
0.01%
-$136.51K
▶
Decreased
· 20 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
COMFORT SYSTEMS USA INC
149,200
137,200
-12,000
4.03%
$12.63M
MICROSOFT CORP
276,500
236,200
-40,300
2.61%
-$41.54M
MKS INSTRUMENTS INC
282,900
271,700
-11,200
1.64%
$23.31M
DICKS SPORTING GOODS INC
248,200
236,200
-12,000
1.23%
-$7.25M
Fidelity Securities Lending Cash Central Fund
37,710,246
33,517,977
-4,192,268
0.86%
-$4.19M
EATON CORP PLC
118,000
89,700
-28,300
0.81%
-$13.50M
AMAZON.COM INC
347,500
123,000
-224,500
0.76%
-$55.43M
MOODYS CORP
73,200
53,600
-19,600
0.71%
-$7.52M
TENET HEALTHCARE CORP
143,709
143,109
-600
0.70%
-$2.59M
NVENT ELECTRIC PLC
515,700
225,300
-290,400
0.65%
-$33.68M
SHOPIFY INC CL A
246,000
177,700
-68,300
0.60%
-$19.45M
RED ROCK RESORTS INC
642,300
330,200
-312,100
0.54%
-$13.40M
BROADCOM INC
364,400
62,600
-301,800
0.53%
-$113.95M
DELL TECHNOLOGIES INC CL C
187,000
154,700
-32,300
0.46%
-$12.59M
ON SEMICONDUCTOR CORP
783,396
287,996
-495,400
0.44%
-$21.98M
RIOT PLATFORMS INC
1,723,900
1,102,200
-621,700
0.44%
-$17.05M
NXP SEMICONDUCTORS NV
144,600
68,800
-75,800
0.40%
-$14.68M
BLUE OWL CAPITAL INC A
2,102,300
960,455
-1,141,845
0.34%
-$20.05M
MLP
1,091,900
590,200
-501,700
0.28%
-$7.49M
PERFORMANCE FOOD GROUP CO
116,400
48,800
-67,600
0.12%
-$6.60M
▶
Unchanged
· 39 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
META PLATFORMS INC CL A
294,700
294,700
0
5.43%
$20.08M
VISTRA CORP
1,061,900
1,061,900
0
4.32%
-$31.80M
TOPBUILD CORP
294,300
294,300
0
3.54%
$13.41M
MICRON TECHNOLOGY INC
313,500
313,500
0
3.34%
$59.91M
EMCOR GROUP INC
125,500
125,500
0
2.33%
$5.64M
CONSTELLATION ENERGY CORP
317,600
317,600
0
2.29%
-$30.59M
TRANE TECHNOLOGIES PLC
164,800
164,800
0
1.78%
-$4.63M
ONEMAIN HOLDINGS INC
1,005,000
1,005,000
0
1.69%
$6.38M
ATI INC
466,200
466,200
0
1.44%
$9.94M
BOYD GAMING CORP
642,266
642,266
0
1.40%
$4.28M
ARISTA NETWORKS INC
345,700
345,700
0
1.26%
-$5.51M
COHERENT CORP
215,100
215,100
0
1.17%
$17.26M
BLOCK INC CL A
667,700
667,700
0
1.04%
-$10.36M
EAGLE MATERIALS INC
197,000
197,000
0
1.03%
-$1.68M
UBER TECHNOLOGIES INC
489,300
489,300
0
1.01%
-$8.05M
US FOODS HOLDING CORP
458,200
458,200
0
0.98%
$5.04M
VISA INC-CLASS A
118,800
118,800
0
0.98%
-$2.25M
ECHOSTAR CORP PIPE
320,970
320,970
0
0.93%
$12.31M
ORACLE CORP
220,800
220,800
0
0.93%
-$21.65M
IES HOLDINGS INC
84,500
84,500
0
0.83%
-$979.36K
TRANSDIGM GROUP INC
22,200
22,200
0
0.81%
$2.64M
MARTIN MAR MTLS
45,900
45,900
0
0.77%
$1.78M
MASTERCARD INC CL A
54,100
54,100
0
0.75%
-$714.12K
James Hardie Industries Public Limited Company
1,260,600
1,260,600
0
0.74%
$2.60M
MARVELL TECHNOLOGY INC
284,500
284,500
0
0.58%
-$4.22M
KLA CORP
15,300
15,300
0
0.56%
$3.35M
BUILDERS FIRSTSOURCE
166,503
166,503
0
0.49%
-$294.71K
WILLSCOT MOBILE MINI HOLDINGS CORP
792,900
792,900
0
0.41%
-$1.36M
FLUTTER ENTERTAINMENT PLC
92,000
92,000
0
0.39%
-$6.13M
CELSIUS HOLDINGS INC
286,500
286,500
0
0.39%
-$2.22M
MONDAY.COM LTD
121,900
121,900
0
0.36%
-$11.03M
PULTEGROUP INC
105,900
105,900
0
0.34%
$552.80K
CARLISLE COS INC
38,400
38,400
0
0.34%
$608.26K
CHEMOURS CO/ THE
817,428
817,428
0
0.31%
$1.31M
DR HORTON INC
64,200
64,200
0
0.25%
-$15.41K
STUDIO CITY INTERNATIONAL HOLDINGS LTD ADR
1,090,629
1,090,629
0
0.09%
-$774.35K
STUDIO CITY INTERNATIONAL HOLDINGS LTD ADR 144A
993,219
993,219
0
0.08%
-$705.19K
NEW COTAI LLC/NEW COTAI CAPITAL CORP P/P
411,029
411,029
0
0.00%
-$61.65K
GENCO SHIPPING and TRADING LTD
1,493
1,493
0
0.00%
$5.76K
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