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.
Dec 31, 2025 → Mar 31, 2026
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 7 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
TETRA TECH INC
0
3,166,100
3,166,100
0.85%
$95.36M
STRIDE INC
0
682,788
682,788
0.54%
$60.20M
MOOG INC-CLASS A
0
182,813
182,813
0.48%
$53.50M
PEGASYSTEMS INC
0
1,024,536
1,024,536
0.39%
$43.60M
INDIVIOR PHARMACEUTICALS INC
0
1,257,555
1,257,555
0.34%
$38.33M
NMI HOLDINGS INC A
0
1,021,077
1,021,077
0.34%
$38.30M
SENSATA TECHNOLO
0
958,700
958,700
0.30%
$33.77M
▶
Exited
· 8 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
Indivior PLC ORD USD0.5
3,195,955
0
-3,195,955
0.00%
-$114.67M
REV GROUP INC
1,817,376
0
-1,817,376
0.00%
-$110.51M
CADENCE BANK
2,541,127
0
-2,541,127
0.00%
-$108.86M
TOPBUILD CORP
104,244
0
-104,244
0.00%
-$43.49M
COMMVAULT SYSTEMS INC
309,154
0
-309,154
0.00%
-$38.76M
ZIFF DAVIS INC
825,361
0
-825,361
0.00%
-$29.01M
BANK OZK
456,636
0
-456,636
0.00%
-$21.01M
TENNANT CO
242,861
0
-242,861
0.00%
-$17.90M
▶
Increased
· 35 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
MONEY MARKET FUND
457,156,184
638,310,638
181,154,453
5.68%
$181.15M
ALLISON TRANSMISSION HLDGS INC
2,786,899
2,836,599
49,700
2.96%
$59.21M
EXELIXIS INC
6,777,316
7,048,116
270,800
2.69%
$5.24M
MATCH GROUP INC
6,661,159
7,393,659
732,500
2.02%
$11.97M
BORGWARNER INC
3,101,440
3,891,540
790,100
1.88%
$71.40M
ENCOMPASS HEALTH CORP
1,958,746
2,124,246
165,500
1.83%
-$2.42M
AFFIL MANAGERS
654,200
723,800
69,600
1.78%
$11.68M
WEATHERFORD INTE
1,841,184
2,069,184
228,000
1.74%
$51.61M
OPTION CARE HEALTH INC
6,639,944
6,805,644
165,700
1.63%
-$28.34M
HANOVER INSURANCE GROUP INC
910,662
945,262
34,600
1.46%
-$2.58M
ARMSTRONG WORLD INDUSTRIES INC
952,869
993,879
41,010
1.46%
-$18.30M
RYDER SYSTEM INC
666,375
720,875
54,500
1.31%
$20.03M
CROWN HOLDINGS INC
1,180,286
1,441,091
260,805
1.29%
$22.94M
ZIONS BANCORP NA
2,182,182
2,476,682
294,500
1.27%
$14.96M
ACUITY INC
440,003
501,303
61,300
1.25%
-$17.94M
MUELLER WATER PRODUCTS INC A
4,862,239
4,931,339
69,100
1.21%
$19.74M
VONTIER CORP W/I
3,600,392
3,771,792
171,400
1.19%
-$77.11K
GARRETT MOTION INC
6,347,850
6,671,950
324,100
1.08%
$10.59M
BELDEN INC
954,394
1,003,474
49,080
1.03%
$3.99M
PLEXUS CORP
426,741
562,351
135,610
1.01%
$51.17M
CROCS INC
867,505
1,187,957
320,452
0.88%
$24.44M
EVERCORE INC A
261,252
315,652
54,400
0.84%
$5.33M
BRIGHT HORIZONS FAMILY SOLUTIONS INC
1,031,696
1,128,086
96,390
0.82%
-$11.96M
STIFEL FINANCIAL CORP
558,437
1,162,506
604,068
0.76%
$16.00M
ACI WORLDWIDE INC
1,749,837
2,055,037
305,200
0.75%
$617.36K
INTERDIGITAL INC
270,876
273,786
2,910
0.74%
-$3.56M
PRIMERICA INC
271,993
304,693
32,700
0.68%
$6.05M
SONOCO PRODUCTS CO
969,624
1,100,824
131,200
0.53%
$17.23M
FIRST FINL BANKSHARES INC
806,631
1,729,131
922,500
0.45%
$26.83M
EVERTEC INC
1,120,301
1,755,054
634,753
0.44%
$16.94M
DECKERS OUTDOOR CORP
314,877
448,577
133,700
0.40%
$12.25M
INSTALLED BUILDING PRODUCTS INC
110,321
169,011
58,690
0.40%
$16.20M
BLACKBAUD INC
384,832
656,932
272,100
0.23%
$996.58K
SPROUTS FMRS MKT INC
213,100
276,600
63,500
0.19%
$4.36M
DONNELLEY FINANCIAL SOLUTIONS INC
278,198
442,498
164,300
0.19%
$7.87M
▶
Decreased
· 29 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
PRIMORIS SVCS CORP
2,242,994
2,139,194
-103,800
2.72%
$27.55M
COMFORT SYSTEMS USA INC
262,601
216,711
-45,890
2.66%
$53.76M
EMCOR GROUP INC
338,231
270,031
-68,200
1.77%
-$7.56M
COMMERCIAL METALS CO
3,625,723
2,829,623
-796,100
1.55%
-$77.15M
STERLING INFRASTRUCTURE INC
577,183
383,178
-194,005
1.39%
-$20.69M
UNITED THERAPEUTICS CORP DEL
271,071
261,071
-10,000
1.38%
$22.73M
FEDERATED HERMES INC
2,657,807
2,525,817
-131,990
1.28%
$4.85M
APPLIED INDU TEC
545,731
536,631
-9,100
1.27%
$2.25M
HF SINCLAIR CORP
2,372,494
2,137,894
-234,600
1.19%
$24.06M
GENPACT LTD
2,969,037
2,524,137
-444,900
0.84%
-$44.87M
SCIENCE APPLICATIONS INTERNATIONAL CORP
1,095,542
955,342
-140,200
0.81%
-$19.60M
SANMINA CORP
696,758
663,958
-32,800
0.77%
-$18.49M
FRONTDOOR INC
2,305,078
1,592,853
-712,225
0.75%
-$48.78M
MURPHY USA INC
301,252
123,667
-177,585
0.54%
-$60.47M
MUFG Collateral
145,637,280
60,768,982
-84,868,298
0.54%
-$84.87M
INTERFACE INC
1,910,730
1,801,330
-109,400
0.40%
-$8.46M
AXALTA COATING S
2,433,662
1,587,841
-845,821
0.39%
-$34.65M
DORMAN PRODUCTS INC
843,523
292,892
-550,631
0.27%
-$73.35M
EAGLE MATERIALS INC
300,429
150,964
-149,465
0.25%
-$33.49M
AUTONATION INC
147,375
142,375
-5,000
0.25%
-$2.63M
MATTEL INC
3,052,002
1,574,802
-1,477,200
0.20%
-$37.67M
CRANE CO
141,464
132,264
-9,200
0.20%
-$3.47M
MUELLER INDUSTRIES INC
245,906
196,006
-49,900
0.19%
-$6.51M
HAWKINS INC
236,324
139,624
-96,700
0.19%
-$12.13M
LA-Z-BOY INC
845,873
647,773
-198,100
0.19%
-$10.71M
MEDPACE HOLDINGS INC
55,554
42,354
-13,200
0.18%
-$10.86M
KONTOOR BRANDS INC
1,006,665
283,460
-723,205
0.18%
-$41.57M
HUB GROUP INC CL A
1,060,284
544,084
-516,200
0.17%
-$25.57M
CLEAN HARBORS INC
75,451
50,251
-25,200
0.13%
-$3.28M
▶
Unchanged
· 47 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
JAZZ PHARMACEUTI
1,601,163
1,601,163
0
2.69%
$30.50M
CIRRUS LOGIC INC
1,459,979
1,459,979
0
1.88%
$38.13M
DONALDSON CO INC
2,007,302
2,007,302
0
1.52%
-$7.61M
NEXSTAR MEDIA GROUP INC
821,720
821,720
0
1.32%
-$18.26M
RALPH LAUREN CORP
420,289
420,289
0
1.29%
-$4.04M
ASSURANT INC
661,438
661,438
0
1.28%
-$15.24M
HANCOCK WHITNEY CORP
2,067,186
2,067,186
0
1.17%
-$186.05K
H&R BLOCK INC
4,095,477
4,095,477
0
1.16%
-$48.49M
TAYLOR MORRISON HOME CORP
2,227,158
2,227,158
0
1.15%
-$1.40M
MSC INDUSTRIAL DIRECT CO CL A
1,232,519
1,232,519
0
1.01%
$10.07M
CSG SYSTEMS INTL INC
1,353,287
1,353,287
0
0.96%
$4.40M
SKYWEST INC
1,134,451
1,134,451
0
0.93%
-$9.73M
MERIT MEDICAL SYSTEMS INC
1,280,783
1,280,783
0
0.79%
-$24.60M
HASBRO INC
927,900
927,900
0
0.77%
$10.76M
WINTRUST FINL
621,208
621,208
0
0.77%
-$546.66K
FULTON FINANCIAL CORP
4,065,237
4,065,237
0
0.74%
$4.11M
APPLE HOSPITALITY REIT INC
6,264,047
6,264,047
0
0.64%
-$2.13M
GRIFFON CORP
956,494
956,494
0
0.62%
-$927.80K
JABIL INC
249,900
249,900
0
0.59%
$9.40M
CACI INTL-A
117,629
117,629
0
0.57%
$1.30M
EXLSERVICE HOLDINGS INC
2,052,956
2,052,956
0
0.56%
-$24.61M
ESCO TECHNOLOGIES INC
179,791
179,791
0
0.45%
$15.46M
US ULTRA BOND CBT Sep25
50,000,000
50,000,000
0
0.45%
$0
FNB CORP PA
2,953,059
2,953,059
0
0.44%
-$1.12M
HUNT J B TRANSPORT SERVICES IN
228,483
228,483
0
0.43%
$4.01M
FIRST FIN BANCRP
1,731,787
1,731,787
0
0.43%
$4.95M
LIVERAMP HOLDINGS INC
1,798,555
1,798,555
0
0.42%
-$5.13M
COLLEGIUM PHARMACEUTICAL INC
1,430,708
1,430,708
0
0.42%
-$18.93M
CHEMED CORP
121,904
121,904
0
0.41%
-$6.11M
CHORD ENERGY CORP
316,590
316,590
0
0.40%
$15.66M
Bath & Body Works Inc
2,235,952
2,235,952
0
0.37%
-$3.15M
BOYD GAMING CORP
470,132
470,132
0
0.34%
-$1.44M
FIRST COMMONWEALTH FINL CORP
1,915,646
1,915,646
0
0.30%
$1.38M
BANCFIRST CORP
258,477
258,477
0
0.25%
$641.02K
AVIENT CORP
766,470
766,470
0
0.25%
$3.88M
MONARCH CASINO and RESORT INC
280,069
280,069
0
0.24%
-$28.01K
SIMPLY GOOD FOODS CO
1,832,850
1,832,850
0
0.23%
-$10.50M
AMPHASTAR PHARMACEUTICALS INC
1,336,827
1,336,827
0
0.23%
-$9.61M
PEDIATRIX MEDICAL GROUP INC
1,178,528
1,178,528
0
0.22%
$0
VICTORY CAPITAL HOLDINGS INC CL A
347,526
347,526
0
0.20%
$830.59K
TEEKAY TANKERS LTD COMMON STOCK USD.01
302,596
302,596
0
0.20%
$6.02M
BUILD A BEAR WORKSHOP INC
586,199
586,199
0
0.20%
-$13.96M
BERKSHIRE HILLS BANCORP INC
656,769
656,769
0
0.18%
$2.38M
LAKELAND FINL
312,912
312,912
0
0.16%
$100.13K
NBT BANCORP INC
381,638
381,638
0
0.14%
$404.54K
INTEGER HOLDINGS CORP
183,074
183,074
0
0.14%
$1.75M
PROGRESS SOFTWARE CORP
603,961
603,961
0
0.14%
-$10.45M
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