HRCVX
Carillon Eagle Growth & Income Fund
Carillon Series Trust

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.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ASTRAZENECA PLC 0 50,068 50,068 2.14% $9.87M
TEXAS INSTRUMENTS INC 0 49,118 49,118 2.06% $9.54M
LINDE PLC 0 16,086 16,086 1.73% $7.97M
PHILIP MORRIS INTL INC 0 39,866 39,866 1.43% $6.59M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ASTRAZENECA PLC SPONS ADR 119,438 0 -119,438 0.00% -$10.98M
BANK OF AMERICA CORPORATION 146,563 0 -146,563 0.00% -$8.06M
MONDELEZ INTL INC 137,069 0 -137,069 0.00% -$7.38M
TRACTOR SUPPLY CO. 124,000 0 -124,000 0.00% -$6.20M
BAKER HUGHES CO 75,564 0 -75,564 0.00% -$3.44M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
MICROSOFT CORP 58,880 63,205 4,325 5.06% -$5.08M
BROADCOM INC 50,228 56,780 6,552 3.80% $190.07K
EATON CORP PLC 39,965 43,112 3,147 3.34% $2.69M
AT&T INC 396,210 470,349 74,139 2.95% $3.79M
WELLS FARGO & CO 121,331 127,549 6,218 2.20% -$1.15M
JOHNSON&JOHNSON 25,295 40,155 14,860 2.12% $4.58M
DEERE & CO 12,090 14,318 2,228 1.75% $2.44M
EQUINIX INC 6,994 7,939 945 1.68% $2.42M
UNION PACIFIC CORP 21,308 31,411 10,103 1.65% $2.69M
EMERSON ELECTRIC CO 49,127 57,110 7,983 1.62% $962.42K
INTERCONTINENTAL EXCHANGE INC 28,616 38,632 10,016 1.32% $1.44M
CARRIER GLOBAL CORP 61,226 79,161 17,935 0.96% $1.22M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
JPMORGAN CHASE and CO 75,280 67,083 -8,197 4.27% -$4.52M
DUKE ENERGY CORP NEW 118,931 116,043 -2,888 3.29% $1.25M
WILLIAMS COS INC 204,912 199,936 -4,976 3.15% $2.23M
PROCTER & GAMBLE 102,775 100,280 -2,495 3.14% -$244.24K
COCA-COLA CO/THE 191,827 187,169 -4,658 3.08% $823.58K
MCDONALDS CORP 44,170 43,098 -1,072 2.90% -$105.25K
TJX COS INC 82,736 80,727 -2,009 2.79% $183.02K
ANALOG DEVICES INC 44,836 39,946 -4,890 2.75% $548.90K
CHEVRON CORP 62,314 60,801 -1,513 2.72% $3.08M
RTX CORP 88,574 61,724 -26,850 2.58% -$4.34M
GOLDMAN SACHS GROUP INC 19,217 13,966 -5,251 2.56% -$5.08M
MEDTRONIC PLC 128,853 125,724 -3,129 2.36% -$1.48M
CORNING INC 145,534 77,508 -68,026 2.28% -$2.20M
ABBVIE INC 47,879 46,717 -1,162 2.20% -$779.39K
ABBOTT LABS 97,855 95,479 -2,376 2.12% -$2.46M
T-MOBILE US INC 44,798 43,711 -1,087 1.99% $84.84K
NEXTERA ENERGY INC 92,693 90,442 -2,251 1.82% $958.86K
HOME DEPOT INC 25,999 25,368 -631 1.81% -$602.97K
BLACKROCK INC 8,386 8,183 -203 1.70% -$1.11M
GILEAD SCIENCES INC 57,469 56,074 -1,395 1.69% $761.29K
HEWLETT PACKARD ENTERPRISE CO 330,779 322,746 -8,033 1.66% -$260.73K
INTL BUS MACH CORP 43,350 29,297 -14,053 1.54% -$5.74M
STARBUCKS CORP 75,303 73,475 -1,828 1.42% $241.36K
ROCKWELL AUTOMATION INC 18,639 18,187 -452 1.41% -$724.93K
PNC FINANCIAL SERVICES GRP INC 74,242 30,003 -44,239 1.35% -$9.25M
LAM RESEARCH CORP 42,824 27,174 -15,650 1.26% -$1.52M
UNITEDHEALTH GRP 21,748 21,220 -528 1.24% -$1.44M
DICKS SPORTING GOODS INC 27,906 27,229 -677 1.17% -$125.31K
ORACLE CORP 31,761 30,990 -771 0.99% -$1.63M
ACCENTURE PLC CL A 35,066 22,072 -12,994 0.95% -$5.03M

No positions in this category.

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