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.
Sep 30, 2025 → Dec 31, 2025
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 8 positions
Security
Shares Sep 2025
Shares Dec 2025
Δ shares
End %
Δ value
MIDDLEBY CORP
0
5,167
5,167
0.27%
$768.18K
The Southern Company
0
14,585
14,585
0.26%
$734.50K
POTLATCHDELTIC CORP REIT
0
12,380
12,380
0.17%
$492.48K
CAPITAL ONE FINANCIAL CORP
0
1,980
1,980
0.17%
$479.87K
KINDER MORGAN INC
0
6,300
6,300
0.06%
$173.19K
TELEDYNE TECHNOLOGIES INC
0
297
297
0.05%
$151.69K
OPTION
0
1,800
1,800
0.03%
$91.58K
WALMART INC
0
405
405
0.00%
$405
▶
Exited
· 8 positions
Security
Shares Sep 2025
Shares Dec 2025
Δ shares
End %
Δ value
STATE OF WISCONSIN INVESTMENT BOARD
1,000,000
0
-1,000,000
0.00%
-$1.00M
DOLLAR GENERAL CORP
6,330
0
-6,330
0.00%
-$654.21K
VERIZON COMMUNICATIONS INC
9,187
0
-9,187
0.00%
-$403.77K
ADOBE INC
732
0
-732
0.00%
-$258.21K
PG&E CORP
9,511
0
-9,511
0.00%
-$143.43K
ZAR/USD FORWARD
41,476
0
-41,476
0.00%
-$41.48K
ZAR/USD FORWARD
22,018
0
-22,018
0.00%
-$22.02K
USD/SEK FORWARD
18,456
0
-18,456
0.00%
-$18.46K
▶
Increased
· 32 positions
Security
Shares Sep 2025
Shares Dec 2025
Δ shares
End %
Δ value
BANK OF AMERICA CORPORATION
81,730
88,196
6,466
1.69%
$634.33K
TOTALENERGIES SE
69,125
71,042
1,917
1.62%
$421.47K
ELEVANCE HEALTH INC
12,424
12,724
300
1.56%
$445.96K
BECTON DICKINSON and CO
21,958
22,158
200
1.50%
$190.32K
US BANCORP DEL
66,658
72,676
6,018
1.35%
$656.41K
AMERICAN INTERNATIONAL GROUP
42,372
44,523
2,151
1.33%
$481.05K
COLGATE-PALMOLIVE CO
40,133
48,033
7,900
1.33%
$587.34K
EQUITABLE HOLDINGS INC
71,661
76,751
5,090
1.28%
$18.24K
STANLEY BLACK and DECKER INC
47,193
49,193
2,000
1.28%
$146.20K
LOEWS CORP
30,487
33,570
3,083
1.23%
$474.67K
INTL PAPER CO
80,044
88,908
8,864
1.22%
-$211.96K
SALESFORCE INC
12,989
13,189
200
1.22%
$415.50K
PROCTER & GAMBLE
20,231
22,821
2,590
1.14%
$161.98K
CSX CORP
80,524
82,624
2,100
1.05%
$135.71K
MICROSOFT CORP
5,864
6,166
302
1.04%
-$55.26K
MERCK & CO
24,621
25,719
1,098
0.95%
$640.74K
HOME DEPOT INC
6,542
7,492
950
0.90%
-$72.76K
UNITED PARCEL SERVICE INC CL B
21,990
25,304
3,314
0.88%
$673.08K
FORTIVE CORP
38,238
42,339
4,101
0.82%
$464.26K
EXPAND ENERGY CORP
16,745
18,990
2,245
0.73%
$316.75K
ALLSTATE CORPORATION
8,224
9,751
1,527
0.71%
$264.39K
ALLIANT ENERGY CORPORATION
1,119
29,645
28,526
0.67%
$1.85M
META PLATFORMS INC CL A
2,445
2,545
100
0.59%
-$115.63K
WEST FRASER TIMB
15,313
22,421
7,108
0.48%
$329.17K
EOG RESOURCES INC
9,004
12,340
3,336
0.45%
$286.29K
MATTEL INC
53,884
58,584
4,700
0.41%
$255.44K
RALLIANT CORP
18,592
22,456
3,864
0.40%
$330.21K
T-MOBILE US INC
1,550
5,036
3,486
0.36%
$651.47K
DOVER CORP
3,296
4,611
1,315
0.31%
$350.38K
FISERV INC
12,837
13,337
500
0.31%
-$759.23K
AVERY DENNISON CORP
2,928
3,679
751
0.23%
$194.30K
CUBESMART
1,808
4,808
3,000
0.06%
$99.82K
▶
Decreased
· 49 positions
Security
Shares Sep 2025
Shares Dec 2025
Δ shares
End %
Δ value
QUALCOMM INC
35,276
34,475
-801
2.06%
$28.43K
CITIGROUP INC
55,036
50,342
-4,694
2.05%
$288.25K
ALPHABET INC CL A
19,136
18,352
-784
2.01%
$1.09M
JPMORGAN CHASE and CO
17,664
17,109
-555
1.92%
-$58.89K
SCHWAB CHARLES CORP
57,475
54,664
-2,811
1.91%
-$25.66K
L3HARRIS TECHNOLOGIES INC
16,869
15,236
-1,633
1.56%
-$679.13K
AMAZON.COM INC
20,037
19,149
-888
1.54%
$20.45K
ALPHABET INC CL C
14,699
13,749
-950
1.51%
$734.49K
CVS HEALTH CORP
52,653
48,820
-3,833
1.35%
-$95.15K
BOEING CO/THE
17,940
17,654
-286
1.34%
-$38.95K
SIEMENS AG-REG
13,859
13,584
-275
1.33%
$62.92K
WELLS FARGO & CO
53,111
40,105
-13,006
1.30%
-$713.98K
LAS VEGAS SANDS CORP
68,104
56,648
-11,456
1.29%
$23.90K
ZIMMER BIOMET HO
41,857
40,257
-1,600
1.26%
-$503.01K
EQUITY RESIDENTIAL REIT
59,323
57,023
-2,300
1.25%
-$245.25K
PHILIP MORRIS INTL INC
22,610
21,812
-798
1.22%
-$168.70K
GENERAL ELECTRIC CO
11,794
11,309
-485
1.22%
-$64.36K
SOUTHWEST AIRLINES CO
88,808
84,195
-4,613
1.21%
$645.92K
EXXON MOBIL CORP
31,558
27,920
-3,638
1.17%
-$198.27K
CF INDUSTRIES HOLDINGS INC
39,019
37,629
-1,390
1.02%
-$589.78K
WALT DISNEY CO/T
25,367
25,338
-29
1.01%
-$21.82K
AMEREN CORP
33,065
28,632
-4,433
1.00%
-$592.13K
SEMPRA ENERGY
30,797
29,684
-1,113
0.91%
-$150.31K
MEDTRONIC PLC
26,300
25,812
-488
0.87%
-$25.31K
NEXTERA ENERGY INC
32,475
30,310
-2,165
0.85%
-$18.25K
UNITEDHEALTH GRP
7,489
6,914
-575
0.80%
-$303.57K
KIMBERLY CLARK CORP
36,652
21,885
-14,767
0.77%
-$2.35M
KENVUE INC
183,600
122,031
-61,569
0.73%
-$874.79K
ROCKWELL AUTOMATION INC
5,785
5,395
-390
0.73%
$77.00K
WEYERHAEUSER CO
111,609
87,161
-24,448
0.72%
-$701.94K
T Rowe Price Government Reserve Investment Fund
1,781,179
1,656,946
-124,232
0.58%
-$124.23K
SLB LTD
50,295
41,395
-8,900
0.55%
-$139.90K
WALMART INC
15,112
14,115
-997
0.55%
$15.11K
HARTFORD INSURANCE GROUP INC/THE
19,326
11,402
-7,924
0.55%
-$1.01M
RAYONIER INC REIT
63,878
61,888
-1,990
0.47%
-$355.45K
TC ENERGY CORP
25,271
22,351
-2,920
0.43%
-$145.47K
WILLIAMS COS INC
24,936
20,430
-4,506
0.43%
-$351.65K
Sanofi SA
12,310
11,106
-1,204
0.38%
-$91.12K
SOUTH BOW CORP
39,146
34,746
-4,400
0.33%
-$152.05K
EQT CORPORATION
20,625
15,890
-4,735
0.30%
-$270.91K
COREBRIDGE FINANCIAL INC
34,751
26,708
-8,043
0.28%
-$307.99K
CUMMINS INC
3,622
1,512
-2,110
0.27%
-$758.02K
SANOFI SPON ADR
13,811
12,411
-1,400
0.21%
-$50.44K
CONAGRA BRANDS INC
37,249
33,273
-3,976
0.20%
-$106.07K
PHILLIPS 66
9,900
4,004
-5,896
0.18%
-$829.92K
DOMINION ENERGY INC
25,112
5,564
-19,548
0.11%
-$1.21M
GLOBAL PAYMENTS INC
4,437
3,737
-700
0.10%
-$79.38K
VOLKSWAGEN-PREF
11,387
1,662
-9,725
0.07%
-$1.03M
USD/JPY FORWARD
57,345
26
-57,319
0.00%
-$57.32K
▶
Unchanged
· 38 positions
Security
Shares Sep 2025
Shares Dec 2025
Δ shares
End %
Δ value
METLIFE INC
74,140
74,140
0
2.04%
-$254.30K
SOUTHERN CO
63,644
63,644
0
1.94%
-$481.79K
SAMSUNG ELECTRONICS CO LTD
53,172
53,172
0
1.56%
$1.27M
CHUBB LTD
12,547
12,547
0
1.37%
$374.78K
CONOCOPHILLIPS
41,291
41,291
0
1.35%
-$40.47K
FIFTH THIRD BANCORP
65,430
65,430
0
1.07%
$147.87K
HUNTINGTON BANCSHARES INC
171,536
171,536
0
1.04%
$13.72K
VIATRIS INC
217,500
217,500
0
0.95%
$554.62K
APPLIED MATERIALS INC
10,004
10,004
0
0.90%
$522.71K
THE CIGNA GROUP
9,295
9,295
0
0.89%
-$121.02K
TEXAS INSTRUMENTS INC
14,128
14,128
0
0.86%
-$144.67K
NEWS CORP NEW CL A
89,248
89,248
0
0.81%
-$409.65K
TYSON FOODS INC CL A
38,556
38,556
0
0.79%
$166.56K
ASTRAZENECA PLC SPONS ADR
24,291
24,291
0
0.78%
$369.47K
CHEVRON CORP
13,898
13,898
0
0.74%
-$40.03K
ADV MICRO DEVICE
9,466
9,466
0
0.71%
$495.73K
ACCENTURE PLC CL A
7,234
7,234
0
0.68%
$156.98K
UNION PACIFIC CORP
7,808
7,808
0
0.63%
-$39.43K
STATE STREET CORP
13,433
13,433
0
0.60%
$174.63K
INTEL CORP
45,935
45,935
0
0.59%
$153.88K
THERMO FISHER SCIENTIFIC INC
2,820
2,820
0
0.57%
$266.29K
REXFORD INDUSTRIAL REALTY INC
41,810
41,810
0
0.57%
-$99.93K
Boeing Co. (The), Conv. Pfd.
21,266
21,266
0
0.52%
-$213
BRISTOL-MYERS SQUIBB CO
25,999
25,999
0
0.49%
$229.83K
JOHNSON&JOHNSON
6,715
6,715
0
0.49%
$144.57K
COMCAST CORP CL A
45,860
45,860
0
0.48%
-$70.17K
AGCO CORP
11,949
11,949
0
0.44%
-$32.86K
XCEL ENERGY INC
15,616
15,616
0
0.40%
-$106.03K
BIOGEN INC
5,235
5,235
0
0.32%
$187.99K
APOLLO GLOBAL MANAGEMENT INC
5,379
5,379
0
0.27%
$61.80K
3M CO
3,955
3,955
0
0.22%
$19.46K
NORFOLK SOUTHERN CORP
1,968
1,968
0
0.20%
-$23.01K
MORGAN STANLEY
3,164
3,164
0
0.20%
$58.76K
SUN COMMUNITIES INC - REIT
3,989
3,989
0
0.17%
-$20.30K
HUMANA INC
1,435
1,435
0
0.13%
-$5.80K
TE CONNECTIVITY PLC
1,561
1,561
0
0.12%
$12.46K
KEURIG DR PEPPER INC
7,408
7,408
0
0.07%
$18.52K
CARDINAL HEALTH INC
875
875
0
0.06%
$42.47K
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