JLPZX
JPMorgan U.S. Large Cap Core Plus Fund
JPMorgan Trust I

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
DOVER CORP 0 182,921 182,921 1.17% $38.13M
INTERCONTINENTAL EXCHANGE INC 0 184,309 184,309 0.89% $28.99M
AT&T INC 0 840,346 840,346 0.75% $24.36M
CONOCOPHILLIPS 0 111,966 111,966 0.45% $14.78M
CANADIAN PACIFIC KANSAS CITY LTD 0 146,374 146,374 0.35% $11.51M
BLACKSTONE INC 0 66,193 66,193 0.23% $7.61M
ADV MICRO DEVICE 0 35,423 35,423 0.22% $7.21M
CATERPILLAR INC 0 9,342 9,342 0.20% $6.62M
MARATHON PETROLEUM CORP 0 25,640 25,640 0.19% $6.26M
NISOURCE INC 0 120,757 120,757 0.17% $5.63M
CORNING INC 0 37,039 37,039 0.15% $5.04M
STATE STREET CORP 0 39,765 39,765 0.15% $5.03M
UDR INC 0 134,797 134,797 0.14% $4.55M
CHENIERE ENERGY INC 0 14,523 14,523 0.13% $4.12M
SHERWIN WILLIAMS CO 0 12,356 12,356 0.12% $3.96M
ALBEMARLE CORP 0 19,179 19,179 0.11% $3.44M
FEDEX CORP 0 9,458 9,458 0.10% $3.37M
TAKE-TWO INTERACTV SOFTWR INC 0 16,448 16,448 0.10% $3.25M
FORTUNE BRANDS INNOVATIONS INC 0 51,615 51,615 0.06% $2.01M
INSMED INC 0 11,885 11,885 0.06% $1.94M
SAIA INC 0 4,574 4,574 0.05% $1.61M
ALEXANDRIA REAL ES EQ INC REIT 0 32,198 32,198 0.05% $1.49M
PARKER HANNIFIN CORP 0 1,657 1,657 0.05% $1.48M
Icon Public Limited Company 0 -11,157 -11,157 -0.04% -$1.23M
THE CAMPBELL'S COMPANY 0 -65,663 -65,663 -0.04% -$1.46M
FREEPORT MCMORAN INC 0 -26,951 -26,951 -0.05% -$1.58M
EPAM SYSTEMS INC 0 -12,075 -12,075 -0.05% -$1.63M
CONAGRA BRANDS INC 0 -104,177 -104,177 -0.05% -$1.64M
VERALTO CORP 0 -18,960 -18,960 -0.05% -$1.68M
NASDAQ INC 0 -19,889 -19,889 -0.05% -$1.69M
PARAMOUNT SKYDANCE CORP 0 -296,913 -296,913 -0.08% -$2.68M
MOHAWK INDUSTRIES INC 0 -27,315 -27,315 -0.08% -$2.69M
TOLL BROTHERS INC 0 -22,010 -22,010 -0.09% -$3.00M
CH ROBINSON WORLDWIDE INC 0 -20,837 -20,837 -0.11% -$3.46M
BERKSHIRE HATH-B 0 -7,270 -7,270 -0.11% -$3.48M
ZIMMER BIOMET HO 0 -38,584 -38,584 -0.11% -$3.49M
VERISK ANALYTICS INC 0 -21,780 -21,780 -0.13% -$4.13M
FACTSET RESEARCH SYSTEMS INC 0 -20,395 -20,395 -0.14% -$4.43M
SLB LTD 0 -103,540 -103,540 -0.16% -$5.32M
AUTOMATIC DATA PROCESSING INC 0 -34,779 -34,779 -0.22% -$7.07M
REPUBLIC SVCS 0 -33,918 -33,918 -0.23% -$7.43M
BLOCK INC CL A 0 -168,989 -168,989 -0.31% -$10.17M
OTIS WORLDWIDE CORP 0 -132,063 -132,063 -0.31% -$10.18M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
APOLLO GLOBAL MANAGEMENT INC 195,258 0 -195,258 0.00% -$28.27M
COGNIZANT TECH SOLUTIONS CL A 273,826 0 -273,826 0.00% -$22.73M
MONDELEZ INTL INC 322,582 0 -322,582 0.00% -$17.36M
ROPER TECHNOLOGIES INC 30,156 0 -30,156 0.00% -$13.42M
KEURIG DR PEPPER INC 471,167 0 -471,167 0.00% -$13.20M
REGIONS FINANCIAL CORP 394,217 0 -394,217 0.00% -$10.68M
JACK HENRY 55,077 0 -55,077 0.00% -$10.05M
BOEING CO/THE 44,788 0 -44,788 0.00% -$9.72M
AUTODESK INC 21,158 0 -21,158 0.00% -$6.26M
EXTRA SPACE STORAGE INC 40,596 0 -40,596 0.00% -$5.29M
ACCENTURE PLC CL A 16,441 0 -16,441 0.00% -$4.41M
PINTEREST INC CL A 163,068 0 -163,068 0.00% -$4.22M
TC ENERGY CORP 75,008 0 -75,008 0.00% -$4.13M
TRACTOR SUPPLY CO. 81,775 0 -81,775 0.00% -$4.09M
CHUBB LTD 12,815 0 -12,815 0.00% -$4.00M
ESTEE LAUDER COS INC CL A 35,933 0 -35,933 0.00% -$3.76M
MICROCHIP TECHNOLOGY 56,849 0 -56,849 0.00% -$3.62M
MARKETAXESS HLDGS INC 19,089 0 -19,089 0.00% -$3.46M
DIAMONDBACK ENERGY INC 22,796 0 -22,796 0.00% -$3.43M
PPG INDUSTRIES INC 33,001 0 -33,001 0.00% -$3.38M
LIVE NATION ENTERTAINMENT INC 22,691 0 -22,691 0.00% -$3.23M
APPLIED MATERIALS INC -6,609 0 6,609 0.00% $1.70M
MARVELL TECHNOLOGY INC -20,347 0 20,347 0.00% $1.73M
JOHNSON CONTROLS INTERNATIONAL PLC -16,169 0 16,169 0.00% $1.94M
ACUITY INC -7,478 0 7,478 0.00% $2.69M
PALO ALTO NETWORKS INC -15,889 0 15,889 0.00% $2.93M
INTL PAPER CO -79,695 0 79,695 0.00% $3.14M
ZOETIS INC CL A -26,062 0 26,062 0.00% $3.28M
CBOE GLOBAL MARKETS INC -13,099 0 13,099 0.00% $3.29M
HUNTINGTON BANCSHARES INC -189,674 0 189,674 0.00% $3.29M
ARM HOLDINGS LTD -34,991 0 34,991 0.00% $3.82M
ROCKWELL AUTOMATION INC -11,194 0 11,194 0.00% $4.36M
CONSOLIDATED EDISON INC -46,394 0 46,394 0.00% $4.61M
HALLIBURTON CO -175,421 0 175,421 0.00% $4.96M
ELEVANCE HEALTH INC -14,461 0 14,461 0.00% $5.07M
PUBLIC STORAGE -19,592 0 19,592 0.00% $5.08M
INTEL CORP -141,530 0 141,530 0.00% $5.22M
DEVON ENERGY CORP -143,487 0 143,487 0.00% $5.26M
NORTHROP GRUMMAN CORP -10,487 0 10,487 0.00% $5.98M
KLA CORP -4,951 0 4,951 0.00% $6.02M
KROGER CO -96,925 0 96,925 0.00% $6.06M
AFLAC INC -55,727 0 55,727 0.00% $6.15M
BOOZ ALLEN HAMILTON HLDG CL A -74,068 0 74,068 0.00% $6.25M
INTL BUS MACH CORP -22,751 0 22,751 0.00% $6.74M
T-MOBILE US INC -33,312 0 33,312 0.00% $6.76M
SALESFORCE INC -25,988 0 25,988 0.00% $6.88M
DELL TECHNOLOGIES INC CL C -55,505 0 55,505 0.00% $6.99M
UBER TECHNOLOGIES INC -132,291 0 132,291 0.00% $10.81M
LOCKHEED MARTIN CORP -27,421 0 27,421 0.00% $13.26M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
BROADCOM INC 286,045 352,411 66,366 3.36% $10.07M
LOWES COS INC 281,165 281,947 782 2.05% -$1.19M
TRANE TECHNOLOGIES PLC 126,636 141,429 14,793 1.81% $9.65M
NEXTERA ENERGY INC 572,003 600,464 28,461 1.72% $9.85M
ABBVIE INC 237,621 255,287 17,666 1.71% $1.23M
LAM RESEARCH CORP -10,478 239,547 250,025 1.57% $52.98M
AMPHENOL CORPORATION CL A 251,489 353,624 102,135 1.37% $10.69M
ENTERGY CORP 385,293 395,281 9,988 1.37% $8.80M
CORPAY INC 116,475 120,907 4,432 1.08% $131.91K
SEMPRA ENERGY 314,397 361,863 47,466 1.08% $7.40M
CSX CORP 798,586 826,498 27,912 1.04% $4.98M
MORGAN STANLEY 62,725 188,199 125,474 0.95% $19.84M
PEPSICO INC 191,886 198,128 6,242 0.95% $3.23M
FIFTH THIRD BANCORP 601,042 653,998 52,956 0.93% $2.25M
WESTERN DIGITAL CORP 41,125 111,561 70,436 0.93% $23.09M
EATON CORP PLC 69,520 81,741 12,221 0.90% $7.09M
AUTOZONE INC 2,852 8,564 5,712 0.89% $19.25M
INTUIT INC 48,776 64,168 15,392 0.85% -$4.57M
CHURCH & DWIGHT 100,389 288,032 187,643 0.83% $18.46M
BRISTOL-MYERS SQUIBB CO 351,456 373,255 21,799 0.70% $3.68M
INGERSOLL RAND INC 117,325 278,050 160,725 0.69% $12.98M
VENTAS INC REIT 254,722 259,560 4,838 0.65% $1.52M
THERMO FISHER SCIENTIFIC INC 37,442 42,933 5,491 0.65% -$592.91K
US BANCORP DEL 189,070 372,427 183,357 0.60% $9.28M
PHILIP MORRIS INTL INC 90,332 110,419 20,087 0.56% $3.77M
BOSTON SCIENTIFIC CORP 116,891 284,958 168,067 0.55% $6.74M
DOORDASH INC-A 110,054 117,758 7,704 0.54% -$7.24M
CADENCE DESIGN SYSTEMS INC 33,537 62,787 29,250 0.54% $6.96M
EDWARDS LIFESCIENCES CORP 133,023 213,573 80,550 0.53% $5.76M
WATERS CORP 21,651 45,868 24,217 0.42% $5.44M
ROSS STORES INC 33,620 60,739 27,119 0.40% $7.10M
UNITED RENTALS INC 4,239 16,366 12,127 0.37% $8.49M
ROYAL CARIBBEAN CRUISES LTD -18,109 42,416 60,525 0.36% $16.72M
CITIGROUP INC 60,147 88,339 28,192 0.31% $3.00M
ARISTA NETWORKS INC 49,539 75,452 25,913 0.28% $2.77M
MSCI INC 7,071 15,638 8,567 0.26% $4.37M
AFFIRM HOLDINGS INC 71,329 177,589 106,260 0.25% $2.83M
DOMINION ENERGY INC 102,198 125,226 23,028 0.24% $1.75M
TARGA RESOURCES CORP 22,445 29,038 6,593 0.22% $3.14M
SHOPIFY INC CL A 29,082 60,329 31,247 0.22% $2.47M
DARDEN RESTAURANTS INC 18,287 35,554 17,267 0.21% $3.60M
CROWDSTRIKE HOLDINGS INC 4,478 14,185 9,707 0.17% $3.44M
TOAST INC-A 92,379 202,683 110,304 0.17% $2.09M
BIOGEN INC 20,014 28,764 8,750 0.16% $1.75M
MASCO CORPORATION 67,181 78,451 11,270 0.15% $472.78K
VALERO ENERGY CORP -33,655 17,468 51,123 0.13% $9.79M
PHILLIPS 66 13,972 17,981 4,009 0.10% $1.47M
DONALDSON CO INC -104,219 37,378 141,597 0.10% $12.41M
SKYWORKS SOLUTIONS INC 23,065 54,173 31,108 0.09% $1.44M
LENNOX INTL INC -7,837 -1,641 6,196 -0.02% $3.04M
CINTAS CORP -45,829 -7,662 38,167 -0.04% $7.32M
PAYPAL HOLDINGS -224,639 -35,028 189,611 -0.05% $11.53M
PAYCOM SOFTWARE INC -26,874 -15,768 11,106 -0.06% $2.37M
KINDER MORGAN INC -176,210 -58,970 117,240 -0.06% $2.87M
DOLLAR TREE INC -64,633 -25,269 39,364 -0.09% $5.18M
FOX CORP CL A -113,315 -82,014 31,301 -0.15% $3.49M
AMERICAN INTERNATIONAL GROUP -162,524 -70,582 91,942 -0.16% $8.59M
OCCIDENTAL PETROLEUM CORP -150,583 -83,554 67,029 -0.17% $760.96K
SANDISK CORPORATION -25,134 -10,303 14,831 -0.20% -$579.60K
AIR PRODUCTS and CHEMICALS INC -37,618 -24,202 13,416 -0.22% $2.26M
APA CORP -226,866 -171,036 55,830 -0.22% -$1.71M
TERADYNE INC -35,584 -33,897 1,687 -0.31% -$3.16M
AMERICAN ELECTRIC POWER CO INC -90,499 -79,600 10,899 -0.32% $1.47K
EXELON CORP -327,360 -213,660 113,700 -0.32% $3.80M
PPL CORPORATION -370,859 -284,699 86,160 -0.33% $2.11M
ALLSTATE CORPORATION -82,070 -68,973 13,097 -0.44% $2.78M
TARGET CORP -225,628 -152,187 73,441 -0.57% $3.61M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
NVIDIA CORP 1,652,223 1,606,569 -45,654 8.62% -$27.95M
MICROSOFT CORP 520,558 506,693 -13,865 5.77% -$64.19M
APPLE INC 744,100 698,822 -45,278 5.46% -$24.94M
AMAZON.COM INC 821,551 799,349 -22,202 5.12% -$23.15M
ALPHABET INC CL A 522,813 508,111 -14,702 4.49% -$17.53M
META PLATFORMS INC CL A 180,198 170,439 -9,759 3.00% -$21.43M
MASTERCARD INC CL A 165,169 158,855 -6,314 2.44% -$14.92M
EXXON MOBIL CORP 440,313 421,043 -19,270 2.20% $18.45M
JOHNSON&JOHNSON 296,317 283,452 -12,865 2.13% $7.96M
WELLS FARGO & CO 689,914 670,512 -19,402 1.64% -$10.92M
RTX CORP 321,610 265,532 -56,078 1.58% -$7.76M
JPMorgan Prime Money Market Fund, IM Shares 52,620,126 50,945,502 -1,674,625 1.57% -$1.69M
HOWMET AEROSPACE INC 259,778 205,472 -54,306 1.46% -$5.91M
WALT DISNEY CO/T 425,252 415,886 -9,366 1.23% -$8.30M
BURLINGTON STORES INC 130,096 120,646 -9,450 1.21% $1.68M
3M CO 347,261 263,693 -83,568 1.18% -$17.30M
ARTHUR J GALLAGHAR AND CO 192,844 171,220 -21,624 1.14% -$12.82M
UNITEDHEALTH GRP 133,181 130,164 -3,017 1.08% -$8.74M
MCDONALDS CORP 111,501 109,003 -2,498 1.04% -$201.01K
ECOLAB INC 124,320 121,659 -2,661 1.00% -$272.76K
SOUTHERN CO 452,077 335,112 -116,965 0.99% -$7.08M
ALPHABET INC CL C 113,957 110,752 -3,205 0.98% -$3.99M
TEXAS INSTRUMENTS INC 205,064 151,271 -53,793 0.90% -$6.21M
EOG RESOURCES INC 205,874 199,656 -6,218 0.89% $7.25M
LILLY ELI and CO 31,559 30,672 -887 0.87% -$5.70M
TRANSDIGM GROUP INC 33,144 23,469 -9,675 0.84% -$16.88M
TAIWAN SEMIC MFG CO LTD SP ADR 193,205 72,376 -120,829 0.75% -$34.25M
NXP SEMICONDUCTORS NV 138,818 121,736 -17,082 0.74% -$6.17M
HILTON WORLDWIDE HOLDINGS INC 79,921 77,673 -2,248 0.73% $661.50K
SERVICENOW INC 297,990 222,459 -75,531 0.72% -$22.39M
SCHWAB CHARLES CORP 244,710 237,829 -6,881 0.69% -$2.10M
EQUINIX INC 23,332 22,788 -544 0.69% $4.46M
STRYKER CORP 74,163 67,124 -7,039 0.68% -$4.01M
WALMART INC 342,200 175,321 -166,879 0.67% -$16.34M
MICRON TECHNOLOGY INC 143,966 64,213 -79,753 0.67% -$19.40M
ANALOG DEVICES INC 109,794 66,302 -43,492 0.65% -$8.68M
VERTEX PHARMACEUTICALS INC 46,830 45,816 -1,014 0.63% -$772.17K
BANK OF AMERICA CORPORATION 737,071 403,419 -333,652 0.60% -$20.87M
AMERICAN TOWER CORP 138,682 107,201 -31,481 0.57% -$5.85M
DANAHER CORP 106,116 94,002 -12,114 0.55% -$6.47M
EQT CORPORATION 436,770 264,859 -171,911 0.52% -$6.56M
WARNER MUSIC GRP CORP CL A 673,549 657,743 -15,806 0.52% -$3.86M
AMERICAN EXPRESS CO 115,680 51,018 -64,662 0.47% -$27.36M
AON PLC 51,797 47,668 -4,129 0.47% -$2.89M
REGENERON PHARMACEUTICALS INC 19,554 19,149 -405 0.46% -$297.86K
EMERSON ELECTRIC CO 217,736 107,819 -109,917 0.43% -$14.77M
GE VERNOVA LLC 16,328 15,996 -332 0.43% $3.29M
COSTCO WHOLESALE CORP 14,200 13,801 -399 0.42% $1.51M
BAKER HUGHES CO 272,946 216,299 -56,647 0.41% $775.09K
FIDELITY NATL INFORM SVCS INC 598,757 276,924 -321,833 0.40% -$26.80M
THE BOOKING HOLDINGS INC 3,026 2,941 -85 0.38% -$3.82M
TESLA INC 33,907 32,953 -954 0.38% -$3.00M
MARTIN MAR MTLS 41,096 19,292 -21,804 0.35% -$14.23M
EXPEDIA INC 49,896 48,840 -1,056 0.35% -$2.86M
LINDE PLC 32,422 20,290 -12,132 0.31% -$3.77M
CHIPOTLE MEXICAN GRILL INC 407,062 311,923 -95,139 0.31% -$5.08M
GOLDMAN SACHS GROUP INC 18,968 10,913 -8,055 0.28% -$7.44M
ORACLE CORP 117,009 62,061 -54,948 0.28% -$13.68M
GILEAD SCIENCES INC 59,193 57,528 -1,665 0.25% $752.33K
CAPITAL ONE FINANCIAL CORP 75,609 42,271 -33,338 0.24% -$10.61M
WASTE CONNECTIONS INC 68,482 45,607 -22,875 0.23% -$4.60M
WELLTOWER INC 32,969 32,042 -927 0.19% $215.65K
HEWLETT PACKARD ENTERPRISE CO 409,282 206,083 -203,199 0.15% -$4.92M
YUM! BRANDS INC 143,159 30,689 -112,470 0.15% -$16.89M
OMNICOM GROUP INC 104,797 63,230 -41,567 0.15% -$3.70M
SEAGATE TECHNOLOGY HOLDINGS PLC 19,259 11,041 -8,218 0.13% -$978.31K
CME GROUP INC CL A 27,595 14,462 -13,133 0.13% -$3.26M
NIKE INC CL B 92,631 72,274 -20,357 0.12% -$2.08M
MEDTRONIC PLC 202,724 39,604 -163,120 0.11% -$16.04M
ASML HOLDING-NY 11,991 2,400 -9,591 0.10% -$9.66M
FISERV INC 79,700 50,772 -28,928 0.09% -$2.52M
UNIVERSAL DISPLAY CORP 66,294 26,885 -39,409 0.08% -$5.28M
CARNIVAL CORP 804,223 65,251 -738,972 0.05% -$22.87M
UNITED AIRLINES HOLDINGS INC 16,321 15,914 -407 0.05% -$359.81K
TENET HEALTHCARE CORP 23,944 5,766 -18,178 0.03% -$3.67M
ELANCO ANIMAL HEALTH INC 184,728 34,588 -150,140 0.03% -$3.35M
CENTENE CORP -49,780 -84,420 -34,640 -0.09% -$715.46K
BLACKROCK INC -3,232 -3,358 -126 -0.10% $229.92K
AGILENT TECHNOLOGIES INC 41,050 -28,596 -69,646 -0.10% -$8.85M
LPL FINL HLDGS INC 17,156 -10,960 -28,116 -0.10% -$9.42M
KRAFT HEINZ CO/T -80,890 -155,555 -74,665 -0.11% -$1.54M
KINSALE CAPITAL GROUP INC -12,480 -13,355 -875 -0.14% $318.31K
BRUKER CORP -120,342 -128,076 -7,734 -0.14% $1.04M
PFIZER INC -171,548 -182,503 -10,955 -0.16% -$853.14K
CVS HEALTH CORP -65,746 -89,177 -23,431 -0.20% -$1.19M
PINNACLE WEST CAPITAL CORP -33,626 -64,102 -30,476 -0.20% -$3.48M
VOYA FINANCIAL INC -44,328 -103,321 -58,993 -0.22% -$3.76M
REVVITY INC -73,331 -91,343 -18,012 -0.25% -$907.79K
WILLIS TOWERS WATSON PLC -19,644 -27,541 -7,897 -0.25% -$1.55M
ONEOK INC -47,813 -88,961 -41,148 -0.25% -$4.53M
NETAPP INC -67,697 -86,422 -18,725 -0.27% -$1.60M
SNAP-ON INCORPORATED -22,357 -27,350 -4,993 -0.31% -$2.23M
ENBRIDGE INC -119,527 -185,520 -65,993 -0.31% -$4.33M
EDISON INTL -119,202 -139,224 -20,022 -0.31% -$3.03M
MOODYS CORP -23,303 -26,700 -3,397 -0.36% $256.46K
EVERSOURCE ENERGY -138,405 -173,588 -35,183 -0.37% -$2.71M
HOME DEPOT INC -18,062 -37,612 -19,550 -0.38% -$6.16M
EBAY INC -119,896 -158,786 -38,890 -0.44% -$4.01M
MONOLITHIC POWER SYS INC -8,631 -13,402 -4,771 -0.45% -$6.83M
WASTE MANAGEMENT INC -59,058 -63,810 -4,752 -0.45% -$1.69M
SYSCO CORP -198,040 -223,999 -25,959 -0.49% -$1.38M
QUALCOMM INC -102,145 -139,197 -37,052 -0.55% -$453.89K
DUKE ENERGY CORP NEW -44,016 -142,796 -98,780 -0.58% -$13.54M
CISCO SYSTEMS INC -233,970 -252,025 -18,055 -0.60% -$1.53M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
XCEL ENERGY INC 127,652 127,652 0 0.31% $712.30K
PROGRESSIVE CORP OHIO 50,746 50,746 0 0.31% -$1.50M
GENERAL MOTORS CO 120,769 120,769 0 0.28% -$823.64K
HCA HEALTHCARE INC 15,801 15,801 0 0.23% $100.81K
AMEREN CORP 66,154 66,154 0 0.22% $665.51K
O'REILLY AUTOMOTIVE INC 69,510 69,510 0 0.20% $76.46K
WILLIAMS COS INC 54,126 54,126 0 0.12% $685.78K
AMERIPRISE FINANCIAL INC 8,024 8,024 0 0.11% -$368.62K
IDEX CORPORATION 18,026 18,026 0 0.11% $209.28K
DELTA AIR LI 30,953 30,953 0 0.06% -$90.38K
DEXCOM INC 25,797 25,797 0 0.05% -$92.10K
NEUROCRINE BIOSCIENCES INC 11,987 11,987 0 0.05% -$120.95K
DR HORTON INC -11,560 -11,560 0 -0.05% $78.72K
QUEST DIAGNOSTICS INC -9,290 -9,290 0 -0.06% -$208.56K
DENTSPLY SIRONA INC -208,564 -208,564 0 -0.07% -$35.46K
MOLSON COORS BEVERAGE CO B -61,824 -61,824 0 -0.08% $223.80K
POOL CORP -13,461 -13,461 0 -0.08% $355.64K
WESTERN UNION CO -365,907 -365,907 0 -0.10% $212.23K
PROCTER & GAMBLE -22,472 -22,472 0 -0.10% -$25.39K
CLOROX CO -31,534 -31,534 0 -0.10% -$88.30K
GENERAL MILLS INC -89,526 -89,526 0 -0.10% $830.80K
TRADEWEB MARKETS INC A -32,754 -32,754 0 -0.12% -$331.47K
INCYTE CORP -42,012 -42,012 0 -0.12% $195.36K
EASTMAN CHEMICAL CO -52,598 -52,598 0 -0.12% -$656.95K
NVR INC -665 -665 0 -0.13% $467.46K
ADOBE INC -18,956 -18,956 0 -0.14% $2.03M
ILLUMINA INC -38,268 -38,268 0 -0.15% $302.32K
FAIR ISAAC CORP -4,488 -4,488 0 -0.15% $2.80M
CARLYLE GROUP INC (THE) -100,835 -100,835 0 -0.15% $1.08M
NNN REIT INC -122,896 -122,896 0 -0.16% -$294.95K
WORKDAY INC CL A -42,347 -42,347 0 -0.17% $3.59M
TKO GROUP HOLDINGS INC -29,263 -29,263 0 -0.18% $215.08K
MODERNA INC -118,977 -118,977 0 -0.19% -$2.54M
MERCK & CO -61,811 -61,811 0 -0.23% -$929.02K
WEC ENERGY GROUP INC -65,956 -65,956 0 -0.23% -$680.01K
CITIZENS FINANCIAL GROUP INC -130,181 -130,181 0 -0.24% -$203.08K
HONEYWELL INTL INC -36,529 -36,529 0 -0.25% -$1.13M
FORD MOTOR CO -724,155 -724,155 0 -0.26% $1.14M
REALTY INCOME CORP REIT -154,839 -154,839 0 -0.29% -$744.78K
WR BERKLEY CORP -146,065 -146,065 0 -0.30% $560.89K
PAYCHEX INC -107,835 -107,835 0 -0.31% $2.16M
AMGEN INC -29,448 -29,448 0 -0.32% -$722.65K
FRANKLIN RESOURCES INC -444,607 -444,607 0 -0.32% $120.04K
SYNCHRONY FINANCIAL -163,707 -163,707 0 -0.34% $2.52M
FASTENAL CO -247,704 -247,704 0 -0.35% -$1.55M
STARBUCKS CORP -136,862 -136,862 0 -0.38% -$736.32K
ILLINOIS TOOL WORKS INC -54,473 -54,473 0 -0.44% -$762.08K
PNC FINANCIAL SERVICES GRP INC -69,117 -69,117 0 -0.44% $44.23K

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.