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
AstraZeneca PLC ORD USD0.25
0
36,016
36,016
0.82%
$7.10M
CISCO SYSTEMS INC
0
53,044
53,044
0.48%
$4.12M
BOOZ ALLEN HAMILTON HLDG CL A
0
48,082
48,082
0.43%
$3.75M
WATERS CORP
0
10,174
10,174
0.35%
$3.03M
STANDARDAERO INC
0
107,073
107,073
0.32%
$2.77M
PUBLIC STORAGE
0
3,600
3,600
0.11%
$975.17K
VERSANT MEDIA GROUP INC - A
0
8,367
8,367
0.04%
$309.75K
▶
Exited
· 8 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
ASTRAZENECA PLC SPONS ADR
70,523
0
-70,523
0.00%
-$6.48M
CUMMINS INC
4,544
0
-4,544
0.00%
-$2.32M
POTLATCHDELTIC CORP REIT
37,330
0
-37,330
0.00%
-$1.48M
DOMINION ENERGY INC
21,749
0
-21,749
0.00%
-$1.27M
HUMANA INC
3,929
0
-3,929
0.00%
-$1.01M
VOLKSWAGEN AG PREF PREFERENCE
6,765
0
-6,765
0.00%
-$825.59K
CARDINAL HEALTH INC
3,709
0
-3,709
0.00%
-$762.20K
KEURIG DR PEPPER INC
21,009
0
-21,009
0.00%
-$588.46K
▶
Increased
· 47 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
CONOCOPHILLIPS
122,342
123,857
1,515
1.89%
$4.90M
METLIFE INC
226,422
230,647
4,225
1.89%
-$1.56M
CHUBB LTD COMMON STOCK
39,292
39,692
400
1.50%
$672.99K
COLGATE-PALMOLIVE CO
144,363
149,891
5,528
1.48%
$1.37M
PROCTER & GAMBLE
71,567
84,401
12,834
1.41%
$1.93M
US BANCORP DEL
212,184
220,681
8,497
1.33%
$155.48K
LOEWS CORP
101,757
104,035
2,278
1.29%
$388.67K
CSX CORP
250,484
265,402
14,918
1.26%
$1.81M
BECTON DICKINSON and CO
66,955
68,755
1,800
1.25%
-$2.18M
STANLEY BLACK and DECKER INC
146,275
147,775
1,500
1.22%
-$364.42K
FORTIVE CORP
134,795
183,870
49,075
1.18%
$2.72M
INTL PAPER CO
269,557
280,273
10,716
1.16%
-$612.10K
CHEVRON CORP
43,055
46,487
3,432
1.11%
$3.06M
EQUITABLE HOLDINGS INC
223,786
235,388
11,602
1.01%
-$1.93M
HUNTINGTON BANCSHARES INC
517,264
541,162
23,898
0.98%
-$505.35K
MICROSOFT CORP
18,460
21,825
3,365
0.94%
-$848.66K
HOME DEPOT INC
22,430
24,038
1,608
0.92%
$187.69K
ALLIANT ENERGY CORPORATION
91,125
108,527
17,402
0.90%
$1.86M
WALT DISNEY CO/T
76,187
77,862
1,675
0.87%
-$1.16M
EOG RESOURCES INC
36,719
51,612
14,893
0.86%
$3.61M
T Rowe Price Government Reserve Investment Fund
3,734,221
7,281,775
3,547,554
0.84%
$3.55M
RAYONIER INC REIT
184,075
343,917
159,842
0.82%
$3.11M
ALLSTATE CORPORATION
31,420
32,480
1,060
0.78%
$194.33K
ADV MICRO DEVICE
28,388
32,707
4,319
0.77%
$574.01K
T-MOBILE US INC
16,179
31,628
15,449
0.77%
$3.36M
EXPAND ENERGY CORP
56,453
59,568
3,115
0.76%
$309.22K
INTEL CORP
135,931
138,933
3,002
0.71%
$1.12M
UNITEDHEALTH GRP
20,548
21,536
988
0.67%
-$955.67K
BRISTOL-MYERS SQUIBB CO
79,751
88,821
9,070
0.62%
$1.09M
AGCO CORP
34,312
45,697
11,385
0.61%
$1.72M
WEST FRASER TIMB
63,270
72,275
9,005
0.55%
$852.41K
REXFORD INDUSTRIAL REALTY INC
129,550
141,588
12,038
0.54%
-$382.00K
THERMO FISHER SCIENTIFIC INC
8,710
9,018
308
0.51%
-$614.39K
RALLIANT CORP
66,759
85,040
18,281
0.41%
$138.11K
SSC GOVERNMENT MM GVMXX /
2,984,516
3,000,000
15,484
0.35%
$15.48K
OPTION
7,100
75,215
68,115
0.32%
$2.40M
FISERV INC
41,704
48,339
6,635
0.31%
-$103.94K
MIDDLEBY CORP
16,469
19,175
2,706
0.29%
$93.78K
AVERY DENNISON CORP
10,936
14,604
3,668
0.29%
$532.78K
3M CO
11,526
13,378
1,852
0.22%
$97.57K
SUN COMMUNITIES INC - REIT
11,505
13,871
2,366
0.20%
$321.61K
MORGAN STANLEY
9,273
10,303
1,030
0.20%
$49.33K
CAPITAL ONE FINANCIAL CORP
5,929
8,492
2,563
0.18%
$112.24K
TELEDYNE TECHNOLOGIES INC
894
2,202
1,308
0.15%
$875.64K
KINDER MORGAN INC
21,900
36,189
14,289
0.14%
$611.39K
TE CONNECTIVITY
4,411
5,092
681
0.12%
$60.78K
GLOBAL PAYMENTS INC
10,194
11,888
1,694
0.09%
$11.05K
▶
Decreased
· 55 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
SOUTHERN CO
191,149
190,341
-808
2.13%
$1.70M
SAMSUNG ELECTRONICS CO LTD COMMON STOCK KRW100.0
158,218
144,143
-14,075
1.95%
$3.60M
ALPHABET INC CL A
54,537
53,001
-1,536
1.76%
-$1.83M
JPMORGAN CHASE and CO
52,137
50,735
-1,402
1.73%
-$1.88M
CITIGROUP INC
153,597
129,979
-23,618
1.71%
-$3.18M
EXXON MOBIL CORP
86,326
79,554
-6,772
1.56%
$3.11M
L3HARRIS TECHNOLOGIES INC
45,774
37,437
-8,337
1.50%
-$516.49K
QUALCOMM INC
106,465
99,219
-7,246
1.48%
-$5.43M
BANK OF AMERICA CORPORATION
267,322
230,006
-37,316
1.30%
-$3.49M
AMAZON.COM INC
57,329
53,721
-3,608
1.29%
-$2.04M
APPLIED MATERIALS INC
31,250
30,705
-545
1.21%
$2.46M
ELEVANCE HEALTH INC
37,825
35,544
-2,281
1.20%
-$2.85M
SIEMENS AG REG COMMON STOCK
41,114
40,536
-578
1.14%
-$1.64M
BOEING CO/THE
54,305
49,481
-4,824
1.14%
-$1.94M
CVS HEALTH CORP
143,375
136,814
-6,561
1.14%
-$1.55M
PHILIP MORRIS INTL INC
65,645
59,416
-6,229
1.14%
-$705.62K
AMERICAN INTERNATIONAL GROUP
133,291
129,378
-3,913
1.13%
-$1.67M
EQUITY RESIDENTIAL REIT
175,042
155,870
-19,172
1.07%
-$1.81M
AMEREN CORP
86,014
82,599
-3,415
1.05%
$489.92K
LAS VEGAS SANDS CORP
170,182
164,754
-5,428
1.03%
-$2.20M
MERCK & CO
76,515
73,507
-3,008
1.02%
$788.19K
ZIMMER BIOMET HO
119,740
97,440
-22,300
1.02%
-$1.96M
GENERAL ELECTRIC CO
33,607
29,129
-4,478
0.96%
-$2.09M
VIATRIS INC
649,937
595,421
-54,516
0.93%
-$47.58K
JH COLLATERAL
1,559,800
763,438
-796,362
0.88%
-$7.97M
SOUTHWEST AIRLINES CO
252,938
202,120
-50,818
0.88%
-$2.86M
WELLS FARGO & CO
120,484
93,893
-26,591
0.87%
-$3.75M
NEXTERA ENERGY INC
86,942
79,572
-7,370
0.86%
$410.94K
UNITED PARCEL SERVICE INC CL B
75,244
71,250
-3,994
0.81%
-$453.88K
THE CIGNA GROUP
27,398
26,098
-1,300
0.81%
-$579.11K
SALESFORCE INC
39,237
35,637
-3,600
0.77%
-$3.74M
TYSON FOODS INC CL A
117,092
103,492
-13,600
0.77%
-$233.20K
Medtronic plc (Ireland)
76,011
74,648
-1,363
0.75%
-$833.37K
KIMBERLY CLARK CORP
66,660
58,721
-7,939
0.66%
-$1.06M
UNION PACIFIC CORP
24,112
21,189
-2,923
0.60%
-$436.71K
SLB LTD
123,102
93,407
-29,695
0.56%
$75.53K
WILLIAMS COS INC
60,712
54,391
-6,321
0.46%
$309.18K
META PLATFORMS INC CL A
7,220
6,820
-400
0.45%
-$863.92K
WEYERHAEUSER CO
259,238
150,537
-108,701
0.43%
-$2.46M
STATE STREET CORP
38,771
28,816
-9,955
0.42%
-$1.35M
TC ENERGY CORP
66,420
57,163
-9,257
0.41%
-$75.36K
COMCAST CORP CL A
132,191
107,092
-25,099
0.36%
-$876.58K
SOUTH BOW CORP
104,205
81,760
-22,445
0.31%
-$145.96K
Total S.A.
33,409
26,509
-6,900
0.28%
$226.17K
XCEL ENERGY INC
47,487
30,020
-17,467
0.28%
-$1.12M
BIOGEN INC
16,193
12,851
-3,342
0.27%
-$493.83K
MATTEL INC
170,673
158,173
-12,500
0.27%
-$1.09M
ACCENTURE PLC-A
21,374
10,156
-11,218
0.23%
-$3.72M
COREBRIDGE FINANCIAL INC
79,343
64,343
-15,000
0.18%
-$858.55K
SANOFI SA COMMON STOCK EUR2.0
35,705
14,345
-21,360
0.16%
-$2.07M
HARTFORD INSURANCE GROUP INC/THE
34,215
9,900
-24,315
0.15%
-$3.38M
CONAGRA BRANDS INC
99,919
83,242
-16,677
0.15%
-$421.03K
PHILLIPS 66
12,030
4,477
-7,553
0.09%
-$736.73K
SANOFI SPON ADR
39,223
14,023
-25,200
0.08%
-$1.23M
CUBESMART
14,343
11,318
-3,025
0.05%
-$102.26K
▶
Unchanged
· 18 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
TOTALENERGIES SE COMMON STOCK EUR2.5
183,089
183,089
0
1.94%
$4.87M
SCHWAB CHARLES CORP
167,078
167,078
0
1.82%
-$990.77K
CF INDUSTRIES HOLDINGS INC
109,568
109,568
0
1.65%
$5.75M
ALPHABET INC CL C
41,308
41,308
0
1.37%
-$1.11M
FIFTH THIRD BANCORP
206,817
206,817
0
1.11%
-$72.39K
TEXAS INSTRUMENTS INC
43,328
43,328
0
0.97%
$894.72K
SEMPRA ENERGY
86,434
86,434
0
0.97%
$767.53K
NEWS CORP NEW CL A
263,617
263,617
0
0.76%
-$313.70K
KENVUE INC
362,745
362,745
0
0.72%
-$3.63K
ROCKWELL AUTOMATION INC
16,034
16,034
0
0.67%
-$484.07K
WALMART INC
44,032
44,032
0
0.63%
$566.69K
JOHNSON&JOHNSON
19,565
19,565
0
0.55%
$733.49K
Boeing Co. (The), Conv. Pfd.
59,174
59,174
0
0.44%
-$247.35K
EQT CORPORATION
47,221
47,221
0
0.35%
$474.10K
DOVER CORP
13,708
13,708
0
0.33%
$181.08K
The Southern Company
43,483
43,483
0
0.26%
$45.22K
APOLLO GLOBAL MANAGEMENT INC
16,571
16,571
0
0.21%
-$552.48K
NORFOLK SOUTHERN CORP
5,769
5,769
0
0.19%
-$9.92K
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