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
· 26 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
TRUIST FINL CORP
0
198,600
198,600
1.32%
$10.21M
MORGAN STANLEY
0
33,900
33,900
0.80%
$6.20M
M&T BANK CORP
0
23,600
23,600
0.68%
$5.23M
VENTAS INC REIT
0
60,300
60,300
0.61%
$4.68M
KKR & CO INC
0
40,400
40,400
0.60%
$4.62M
BROWN & BROWN
0
62,200
62,200
0.58%
$4.48M
REINSURANCE GROUP OF AMERICA
0
16,400
16,400
0.43%
$3.33M
TANGER INC- REIT
0
100,621
100,621
0.43%
$3.29M
ASSURANT INC
0
12,600
12,600
0.39%
$3.00M
EXTRA SPACE STORAGE INC
0
17,000
17,000
0.30%
$2.35M
KYNDRYL HOLDINGS INC
0
86,700
86,700
0.26%
$1.99M
SAMSUNG ELECTRONICS CO LTD
0
17,890
17,890
0.26%
$1.98M
Icon Public Limited Company
0
7,100
7,100
0.17%
$1.28M
MEDTRONIC PLC
0
9,200
9,200
0.12%
$947.23K
MASIMO CORP
0
6,500
6,500
0.12%
$892.64K
BIOGEN INC
0
3,700
3,700
0.09%
$665.59K
DOLBY LABORATORIES INC CL A
0
9,800
9,800
0.08%
$629.06K
VIATRIS INC
0
39,500
39,500
0.07%
$517.06K
REVOLUTION MEDICINES INC
0
4,100
4,100
0.05%
$397.50K
MODERNA INC
0
8,700
8,700
0.05%
$383.41K
COLGATE-PALMOLIVE CO
0
3,400
3,400
0.04%
$306.99K
MCCORMICK-N/V
0
4,000
4,000
0.03%
$247.32K
CARDINAL HEALTH INC
0
1,100
1,100
0.03%
$236.37K
WAYSTAR HOLDING CORP
0
8,400
8,400
0.03%
$223.10K
JAZZ PHARMA PLC
0
1,100
1,100
0.02%
$180.94K
CONAGRA BRANDS INC
0
9,500
9,500
0.02%
$175.84K
▶
Exited
· 33 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
BANK OF NEW YORK MELLON CORP
84,970
0
-84,970
0.00%
-$9.17M
US BANCORP DEL
189,146
0
-189,146
0.00%
-$8.83M
GOLDMAN SACHS GROUP INC
8,300
0
-8,300
0.00%
-$6.55M
WELLTOWER INC
33,598
0
-33,598
0.00%
-$6.08M
MARVELL TECHNOLOGY INC
51,497
0
-51,497
0.00%
-$4.83M
FIRST HORIZON CORP
210,711
0
-210,711
0.00%
-$4.50M
COMERICA INC
41,158
0
-41,158
0.00%
-$3.15M
O-I GLASS INC
202,393
0
-202,393
0.00%
-$2.29M
TRAVELERS COS IN
8,063
0
-8,063
0.00%
-$2.17M
CHARTER COMMUNICATIONS INC A
8,775
0
-8,775
0.00%
-$2.05M
BNP PARIBAS
25,882
0
-25,882
0.00%
-$2.00M
CUBESMART
49,896
0
-49,896
0.00%
-$1.88M
OMNICOM GROUP INC
23,608
0
-23,608
0.00%
-$1.77M
KILROY REALTY CORP
40,989
0
-40,989
0.00%
-$1.73M
PUBLIC STORAGE
5,616
0
-5,616
0.00%
-$1.56M
BLOCK INC CL A
18,952
0
-18,952
0.00%
-$1.44M
NNN REIT INC
29,125
0
-29,125
0.00%
-$1.18M
AFFIRM HOLDINGS INC
14,107
0
-14,107
0.00%
-$1.01M
Fidelity Securities Lending Cash Central Fund
920,283
0
-920,283
0.00%
-$920.38K
COINBASE GLOBAL INC
2,300
0
-2,300
0.00%
-$790.69K
CURBLINE PROPERTIES CORP
34,043
0
-34,043
0.00%
-$785.03K
MID AMERICA APT CMNTY INC
5,269
0
-5,269
0.00%
-$675.64K
ESTEE LAUDER COS INC CL A
5,999
0
-5,999
0.00%
-$580.04K
TENET HEALTHCARE CORP
2,600
0
-2,600
0.00%
-$536.87K
INSMED INC
1,800
0
-1,800
0.00%
-$341.28K
PERFORMANCE FOOD GROUP CO
3,100
0
-3,100
0.00%
-$299.89K
FRESHPET INC
5,673
0
-5,673
0.00%
-$279.17K
ALLISON TRANSMISSION HLDGS INC
2,869
0
-2,869
0.00%
-$236.84K
PRIMO BRANDS CORP A
9,700
0
-9,700
0.00%
-$213.11K
COSTAR GROUP INC
2,807
0
-2,807
0.00%
-$193.15K
KIMBERLY CLARK CORP
1,200
0
-1,200
0.00%
-$143.65K
TYSON FOODS INC CL A
2,500
0
-2,500
0.00%
-$128.52K
KRAFT HEINZ CO/T
1,800
0
-1,800
0.00%
-$44.51K
▶
Increased
· 78 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
AMAZON.COM INC
78,372
80,587
2,215
2.50%
$144.46K
WELLS FARGO & CO
151,769
164,669
12,900
1.93%
$1.70M
JOHNSON&JOHNSON
64,985
65,385
400
1.93%
$2.59M
BOEING CO/THE
59,104
62,904
3,800
1.91%
$2.82M
CUMMINS INC
25,100
25,300
200
1.90%
$3.66M
iShares Trust RUSSELL 1000 VALUE ETF
13,900
61,700
47,800
1.76%
$10.72M
Fidelity Cash Central Fund
12,514,113
13,460,627
946,514
1.75%
$946.70K
WESTINGHOUSE AIR BRAKE TECH CORP
50,325
53,225
2,900
1.59%
$1.96M
CHUBB LTD
27,534
37,734
10,200
1.52%
$4.06M
LOWES COS INC
40,198
40,988
790
1.42%
$1.37M
EMCOR GROUP INC
14,800
14,900
100
1.39%
$737.33K
VERIZON COMMUNICATIONS INC
215,390
218,282
2,892
1.26%
$1.16M
SCHWAB CHARLES CORP
70,665
93,365
22,700
1.26%
$3.02M
PARKER HANNIFIN CORP
10,143
10,343
200
1.26%
$1.84M
SALESFORCE INC
41,125
45,325
4,200
1.25%
-$1.09M
T-MOBILE US INC
37,992
47,699
9,707
1.22%
$1.43M
FEDEX CORP
27,140
28,040
900
1.17%
$2.15M
BLACKROCK INC
7,520
7,820
300
1.13%
$607.38K
CSX CORP
229,800
230,700
900
1.13%
$433.84K
CRH PLC
59,122
64,722
5,600
1.03%
$881.19K
ACCENTURE PLC CL A
27,800
29,000
1,200
0.99%
$692.78K
THERMO FISHER SCIENTIFIC INC
12,775
13,075
300
0.98%
$316.92K
MCDONALDS CORP
23,531
23,816
285
0.97%
$479.68K
STATE STREET CORP
34,167
56,367
22,200
0.96%
$3.42M
AMDOCS LTD
67,737
86,837
19,100
0.92%
$1.41M
INTERCONTINENTAL EXCHANGE INC
35,097
40,397
5,300
0.91%
$1.89M
COCA-COLA CO/THE
84,425
91,925
7,500
0.89%
$1.06M
QUALCOMM INC
36,109
45,009
8,900
0.88%
$290.80K
PHILIP MORRIS INTL INC
34,739
37,039
2,300
0.86%
$1.63M
SEMPRA ENERGY
73,465
76,165
2,700
0.86%
-$127.26K
UNITEDHEALTH GRP
22,760
22,860
100
0.85%
-$1.21M
CENCORA INC
18,000
18,100
100
0.84%
$421.30K
CORTEVA INC
80,522
88,022
7,500
0.83%
$1.46M
ZOOM VIDEO COMMUNICATIONS INC CL A
61,129
68,929
7,800
0.82%
$1.02M
ABBOTT LABS
52,900
55,200
2,300
0.78%
-$506.14K
U-HAUL HOLDING CO
116,050
116,550
500
0.78%
$352.92K
BERKSHIRE HATH-B
7,834
12,434
4,600
0.77%
$2.23M
TAIWAN SEMIC MFG CO LTD SP ADR
11,727
17,127
5,400
0.73%
$2.14M
SMURFIT WESTROCK PLC
120,188
131,388
11,200
0.71%
$1.03M
EVERSOURCE ENERGY
71,815
74,415
2,600
0.67%
-$156.36K
PG&E CORP
312,556
324,156
11,600
0.65%
$10.09K
VONTIER CORP W/I
54,559
129,559
75,000
0.63%
$2.76M
APOLLO GLOBAL MANAGEMENT INC
29,658
35,658
6,000
0.62%
$1.11M
PROLOGIS INC REIT
24,460
36,260
11,800
0.61%
$1.70M
3M CO
19,936
29,936
10,000
0.59%
$1.27M
EQUINIX INC
3,863
5,463
1,600
0.58%
$1.22M
BOSTON SCIENTIFIC CORP
45,100
46,200
1,100
0.56%
-$221.39K
CORE NATURAL RESOURCES INC
39,652
43,452
3,800
0.54%
$1.01M
GENERAL MOTORS CO
48,166
48,266
100
0.53%
$726.56K
GEN DIGITAL INC
154,260
167,260
13,000
0.52%
-$53.73K
RELIANCE STEEL and ALUMINUM CO
7,400
12,100
4,700
0.52%
$1.90M
CONSTELLATION ENERGY CORP
13,674
14,174
500
0.52%
-$1.18M
MOSAIC CO/THE
93,100
132,600
39,500
0.47%
$1.09M
HILTON WORLDWIDE HOLDINGS INC
11,826
11,926
100
0.46%
$521.22K
GILEAD SCIENCES INC
23,000
23,900
900
0.44%
$637.44K
DANAHER CORP
13,200
15,000
1,800
0.43%
$440.33K
VISTRA CORP
15,887
20,587
4,700
0.42%
$268.43K
WALT DISNEY CO/T
21,271
28,324
7,053
0.41%
$799.41K
CBRE GROUP INC - CL A
15,647
18,247
2,600
0.40%
$722.94K
AES CORP
203,543
211,243
7,700
0.40%
$271.57K
MARKETAXESS HLDGS INC
16,220
18,120
1,900
0.40%
$470.27K
KEYCORP
111,882
139,382
27,500
0.39%
$1.03M
MONDELEZ INTL INC
32,327
50,527
18,200
0.38%
$1.10M
META PLATFORMS INC CL A
1,430
4,039
2,609
0.38%
$1.97M
RTX CORP
13,682
13,782
100
0.36%
$326.98K
SUN COMMUNITIES INC - REIT
8,916
18,516
9,600
0.31%
$1.23M
KENVUE INC
63,685
128,585
64,900
0.29%
$1.32M
THE CIGNA GROUP
6,200
7,100
900
0.25%
$430.84K
US FOODS HOLDING CORP
19,299
22,799
3,500
0.25%
$504.96K
REGENERON PHARMACEUTICALS INC
2,390
2,490
100
0.24%
$288.41K
AMERICAN FINL GROUP INC OHIO
11,433
13,733
2,300
0.23%
$283.50K
AMERICAN TOWER CORP
9,301
9,601
300
0.22%
$56.57K
HCA HEALTHCARE INC
3,400
3,500
100
0.22%
$146.03K
TARGET CORP
8,965
11,165
2,200
0.15%
$346.34K
BECTON DICKINSON and CO
4,400
5,400
1,000
0.14%
$312.47K
SPONSORED ADR
13,700
14,000
300
0.11%
$148.22K
SOLVENTUM CORP
6,400
7,400
1,000
0.07%
$127.72K
LAMB WESTON HOLDINGS INC
3,452
3,752
300
0.02%
-$40.76K
▶
Decreased
· 26 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
ALPHABET INC CL A
99,555
97,143
-2,412
4.26%
$4.84M
BANK OF AMERICA CORPORATION
324,105
309,605
-14,500
2.14%
-$852.43K
WALMART INC
91,706
87,906
-3,800
1.36%
$1.19M
JPMORGAN CHASE and CO
36,855
28,255
-8,600
1.12%
-$2.82M
MERCK & CO
79,200
77,600
-1,600
1.11%
$1.75M
HARTFORD INSURANCE GROUP INC/THE
74,386
59,086
-15,300
1.04%
-$1.26M
CITIGROUP INC
67,800
64,800
-3,000
0.97%
$634.61K
WESTERN DIGITAL CORP
40,014
25,814
-14,200
0.84%
$448.93K
CAPGEMINI SE
57,456
41,256
-16,200
0.83%
-$2.43M
ARTHUR J GALLAGHAR AND CO
22,361
18,961
-3,400
0.61%
-$850.54K
CVS HEALTH CORP
73,500
62,700
-10,800
0.61%
-$1.07M
TEMPUR SEALY INTERNATIONAL INC
52,487
48,312
-4,175
0.55%
$79.89K
CISCO SYSTEMS INC
54,910
53,410
-1,500
0.54%
$168.60K
EVERGY INC
49,640
42,940
-6,700
0.43%
-$518.06K
TWILIO INC CLASS A
31,800
23,400
-8,400
0.37%
-$1.47M
DROPBOX INC CL A
181,684
94,903
-86,781
0.31%
-$2.85M
INVITATION HOMES INC
105,998
87,398
-18,600
0.30%
-$647.70K
SLM CORP
83,300
81,100
-2,200
0.29%
-$34.74K
KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC
85,500
30,200
-55,300
0.22%
-$2.19M
APTIV PLC
29,121
21,671
-7,450
0.21%
-$720.13K
QUEST DIAGNOSTICS INC
12,300
7,800
-4,500
0.19%
-$705.35K
KROGER CO
21,454
18,254
-3,200
0.15%
-$217.85K
CONSTELLATION BRANDS INC CL A
7,486
5,586
-1,900
0.11%
-$108.18K
HUMANA INC
3,200
2,700
-500
0.07%
-$363.17K
CENTENE CORP
11,200
10,900
-300
0.06%
$76.04K
DARLING INGREDIENTS INC
31,193
9,793
-21,400
0.06%
-$552.59K
▶
Unchanged
· 21 positions
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
EXXON MOBIL CORP
151,500
151,500
0
2.78%
$4.10M
PROCTER & GAMBLE
69,293
69,293
0
1.36%
$97.01K
PHILLIPS 66
41,800
41,800
0
0.78%
$310.16K
IMPERIAL OIL LTD
55,600
55,600
0
0.73%
$699.77K
SHELL PLC SPONS ADR
65,500
65,500
0
0.65%
$138.20K
COMCAST CORP CL A
152,181
152,181
0
0.59%
$291.43K
CATERPILLAR INC
6,400
6,400
0
0.55%
$512.64K
TARGA RESOURCES CORP
19,200
19,200
0
0.50%
$901.25K
DICKS SPORTING GOODS INC
18,915
18,915
0
0.50%
-$367.90K
PEPSICO INC
23,881
23,881
0
0.48%
$180.06K
WILLIAMS-SONOMA INC
16,188
16,188
0
0.43%
$166.90K
NORTHROP GRUMMAN CORP
4,469
4,469
0
0.40%
$486.27K
STRYKER CORP
7,800
7,800
0
0.37%
$103.90K
GALP ENERGIA SGPS SA
125,500
125,500
0
0.32%
-$27.54K
KEURIG DR PEPPER INC
78,919
78,919
0
0.28%
$22.10K
CHENIERE ENERGY INC
9,600
9,600
0
0.26%
-$4.61K
DEERE & CO
3,400
3,400
0
0.23%
$225.66K
PFIZER INC
33,000
33,000
0
0.11%
$59.07K
ELEVANCE HEALTH INC
2,400
2,400
0
0.11%
$68.50K
EDWARDS LIFESCIENCES CORP
10,000
10,000
0
0.11%
-$10.90K
METTLER-TOLEDO INTL INC
500
500
0
0.09%
-$21.52K
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