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
· 5 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
FIXED INC CLEARING CORP.REPO
0
9,823,000
9,823,000
1.45%
$9.82M
FED SIGNAL CORP
0
61,336
61,336
0.98%
$6.63M
FABRINET
0
9,476
9,476
0.73%
$4.94M
STATE OF WISCONSIN INVESTMENT BOARD
0
1,481,009
1,481,009
0.22%
$1.48M
PAN AMERICAN SILVER CORP
0
345,354
345,354
0.05%
$345.35K
▶
Exited
· 8 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
FICC
10,609,000
0
-10,609,000
0.00%
-$10.61M
COLUMBIA BANKING SYSTEMS INC
236,140
0
-236,140
0.00%
-$6.60M
AGREE REALTY CORP
89,111
0
-89,111
0.00%
-$6.42M
SILGAN HOLDINGS INC
130,926
0
-130,926
0.00%
-$5.29M
MEDPACE HOLDINGS INC
8,194
0
-8,194
0.00%
-$4.60M
SCHNEIDER NATL-B
125,531
0
-125,531
0.00%
-$3.33M
PAR TECHNOLOGY CORP
73,843
0
-73,843
0.00%
-$2.68M
USD/JPY FORWARD
1,598
0
-1,598
0.00%
-$1.60K
▶
Increased
· 22 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
SKYLINE CHAMPION CORP
133,520
148,197
14,677
1.62%
-$261.03K
STIFEL FINANCIAL CORP
83,735
125,602
41,867
1.37%
-$1.20M
CSW INDUSTRI INC
29,021
32,927
3,906
1.26%
$61.58K
VERACYTE INC
212,574
265,929
53,355
1.26%
-$383.79K
SEMTECH CORP
89,766
110,727
20,961
1.25%
$1.90M
HALOZYME THERAPEUTICS INC
107,065
129,684
22,619
1.23%
$1.18M
CATHAY GENERAL BANCORP
145,329
164,258
18,929
1.20%
$1.16M
LEGENCE CORP-A
110,457
141,465
31,008
1.18%
$3.23M
CADRE HOLDINGS I
194,463
257,596
63,133
1.16%
-$38.82K
RYMAN HOSPITALITY PPTYS INC
68,648
85,651
17,003
1.16%
$1.41M
ENERPAC TOOL GROUP CORP CL A
176,974
207,508
30,534
1.11%
$800.33K
NATL HEALTH INV
75,578
91,577
15,999
1.09%
$1.63M
LIGAND PHARMACEUTICALS
23,540
32,617
9,077
0.96%
$2.06M
INDEPENDENCE REALTY TR INC
304,557
378,419
73,862
0.83%
$311.00K
PERELLA WEINBERG PARTNERS
216,392
288,984
72,592
0.77%
$1.50M
FB FINANCIAL CORP
52,619
99,253
46,634
0.76%
$2.22M
GLACIER BANCORP INC
85,199
114,257
29,058
0.75%
$1.35M
ULTRAGENYX PHARMA INC
166,630
220,347
53,717
0.68%
$783.78K
WALMART INC
1,000
3,914,000
3,913,000
0.58%
$3.91M
AEROVIRONMENT INC
18,400
21,356
2,956
0.58%
-$541.56K
AZENTA INC
128,387
176,129
47,742
0.55%
-$548.55K
CREDO TECHNOLOGY GROUP HOLDING LTD
22,370
34,303
11,933
0.47%
$1.20K
▶
Decreased
· 68 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
ADV ENERGY INDS
55,179
47,870
-7,309
2.27%
$3.90M
STERLING INFRASTRUCTURE INC
36,717
35,724
-993
2.14%
$3.31M
RBC BEARINGS INC
27,372
26,629
-743
2.13%
$2.19M
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC
95,850
62,599
-33,251
2.05%
-$2.52M
SPX TECHNOLOGIES INC
69,083
67,222
-1,861
1.98%
-$380.38K
ITT INC
64,633
63,013
-1,620
1.77%
$791.40K
VIAVI SOLUTIONS INC
537,601
355,081
-182,520
1.74%
$2.24M
SUPERNUS PHARMACEUTICALS INC
233,039
227,137
-5,902
1.73%
$158.67K
GLOBUS MEDICAL INC
130,064
126,868
-3,196
1.61%
-$424.94K
MATADOR RESOURCES COMPANY
164,262
160,805
-3,457
1.49%
$3.19M
NORTHWESTERN ENERGY GROUP INC
149,931
146,457
-3,474
1.42%
-$19.17K
STAG INDUSTRIAL INC CL A
273,370
266,972
-6,398
1.42%
-$422.07K
PATRICK INDUSTRIES INC
86,978
84,948
-2,030
1.39%
$4.15K
SOLARIS OIL IN-A
169,736
166,395
-3,341
1.38%
$1.60M
AVIENT CORP
261,927
255,850
-6,077
1.37%
$1.10M
NOVANTA INC
79,851
77,959
-1,892
1.35%
-$293.73K
DUCOMMUN INC
77,043
75,277
-1,766
1.35%
$1.85M
AMERIS BANCORP
119,492
116,879
-2,613
1.34%
$240.72K
MAGNOLIA OIL and GAS CORPO CL A
289,271
283,494
-5,777
1.32%
$2.62M
SEACOAST BANKING CORP FLORIDA
297,016
290,567
-6,449
1.29%
-$530.97K
CENTRAL GARDEN and PET CO CL A
264,964
259,440
-5,524
1.24%
$676.75K
BALCHEM CORP
50,260
49,196
-1,064
1.23%
$629.86K
HOULIHAN LOKEY I
58,840
57,549
-1,291
1.22%
-$1.98M
GRAND CANYON EDUCATION INC
49,357
48,396
-961
1.21%
$20.21K
IDACORP INC
57,040
55,918
-1,122
1.18%
$775.61K
UMB FINANCIAL CORP
72,176
70,715
-1,461
1.17%
-$327.18K
CHORD ENERGY CORP
54,697
53,870
-827
1.13%
$2.59M
BRIDGEBIO PHARMA INC
103,012
101,329
-1,683
1.11%
-$354.70K
VITA COCO CO INC/THE
148,385
145,543
-2,842
1.03%
-$892.92K
HEALTHEQUITY INC
82,312
80,970
-1,342
1.00%
-$773.94K
TEXAS ROADHOUSE INC
41,723
40,961
-762
1.00%
-$161.72K
AGIOS PHARMACEUTICALS INC
202,200
199,507
-2,693
0.99%
$1.25M
HORACE MANN EDUCATORS CORP
160,046
157,343
-2,703
0.99%
-$675.53K
BIOCRYST PHARMACEUTICALS INC
708,747
698,156
-10,591
0.98%
$1.12M
PRIMORIS SVCS CORP
63,487
46,029
-17,458
0.97%
-$1.30M
THERMON GROUP HOLDINGS INC
233,734
126,852
-106,882
0.94%
-$2.29M
GULFPORT ENERGY CORP
30,618
30,138
-480
0.94%
$8.06K
US PHYSICAL THERAPY INC
85,911
84,415
-1,496
0.93%
-$381.04K
ARTIVION INC
172,646
169,886
-2,760
0.92%
-$1.65M
MINERALS TECHNOLOGIES INC
88,520
87,222
-1,298
0.91%
$790.49K
INDEPENDENT BANK CORP MASS
81,527
80,251
-1,276
0.89%
$77.68K
COHEN & STEERS
97,552
95,995
-1,557
0.88%
-$119.83K
ATRICURE INC
211,463
208,040
-3,423
0.87%
-$2.43M
ALLEGRO MICROSYSTEMS INC
188,343
185,298
-3,045
0.86%
$873.96K
SKYWARD SPECIALTY INSURANCE GROUP INC
135,482
133,362
-2,120
0.86%
-$1.10M
TEXAS CAPITAL BANCSHARES INC
60,979
60,159
-820
0.84%
$186.85K
FIRST WATCH RESTAURANT GROUP INC
544,466
535,625
-8,841
0.83%
-$2.60M
BOOT BARN HOLDINGS INC
38,906
38,218
-688
0.82%
-$1.27M
OCEANFIRST FINL
309,738
305,677
-4,061
0.81%
-$45.38K
INTAPP INC
215,545
212,833
-2,712
0.80%
-$4.41M
ARCUTIS BIOTHERAPEUTICS INC
233,057
230,038
-3,019
0.80%
-$1.35M
GATES INDUSTRIAL CORP PLC
242,570
238,761
-3,809
0.79%
$190.41K
HILLMAN SOLUTIONS CORP
648,833
641,741
-7,092
0.79%
-$279.61K
ASBURY AUTOMOTIVE GROUP INC
26,950
26,607
-343
0.76%
-$1.07M
UFP INDUSTRIES INC
56,864
56,129
-735
0.76%
-$6.86K
TANDEM DIABETES CARE INC
268,142
263,924
-4,218
0.74%
-$834.34K
TRI POINTE HOMES INC
193,157
104,517
-88,640
0.72%
-$1.19M
CRINETICS PHARMACEUTICALS INC
133,037
131,466
-1,571
0.70%
-$1.42M
CYTOKINETICS INC
71,784
71,334
-450
0.69%
$140.47K
APPFOLIO INC - A
35,316
29,386
-5,930
0.68%
-$3.58M
ALKAMI TECHNOLOGY INC
286,285
283,512
-2,773
0.65%
-$2.16M
COMMVAULT SYSTEMS INC
51,514
51,147
-367
0.59%
-$2.47M
SHAKE SHACK INC - CLASS A
43,366
43,195
-171
0.56%
$301.44K
CBIZ INC
137,861
137,290
-571
0.54%
-$3.27M
UTZ BRANDS INC A
417,689
417,462
-227
0.49%
-$1.03M
NEOGENOMICS INC
405,737
404,907
-830
0.44%
-$1.77M
DESCARTES SYS
76,583
38,131
-38,452
0.40%
-$3.98M
PHREESIA INC
295,016
294,882
-134
0.36%
-$2.52M
▶
Unchanged
· 3 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
LA-Z-BOY INC
101,915
101,915
0
0.48%
-$522.82K
OXFORD INDUSTRIES
67,542
67,542
0
0.38%
$291.11K
REVOLVE GROUP INC
107,486
107,486
0
0.36%
-$814.74K
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