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
ROLLINS INC
0
1,758,058
1,758,058
0.82%
$93.90M
MKS INSTRUMENTS INC
0
328,202
328,202
0.66%
$75.42M
BANK OF NEW YORK MELLON CORP
0
573,348
573,348
0.59%
$68.02M
PALO ALTO NETWORKS INC
0
404,411
404,411
0.56%
$64.84M
TEXAS ROADHOUSE INC
0
390,915
390,915
0.56%
$64.56M
PROCORE TECHNOLOGIES INC
0
1,121,378
1,121,378
0.56%
$63.92M
PACCAR INC
0
497,367
497,367
0.50%
$57.45M
EQUITY LIFESTYLE PPTYS INC
0
867,158
867,158
0.47%
$54.13M
EXPEDIA INC
0
169,709
169,709
0.34%
$39.18M
FIGURE TECHNOLOGY SOLUTIONS INC A
0
1,015,656
1,015,656
0.30%
$34.48M
DIGITALOCEAN HOLDINGS INC
0
371,497
371,497
0.28%
$31.87M
XENON PHARMACEUTICALS INC
0
425,997
425,997
0.22%
$24.77M
BRIDGEBIO PHARMA INC
0
330,683
330,683
0.21%
$24.56M
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
CYBER-ARK SOFTWARE LTD
185,475
0
-185,475
0.00%
-$82.73M
EAGLE MATERIALS INC
325,002
0
-325,002
0.00%
-$67.17M
TPG INC
1,023,727
0
-1,023,727
0.00%
-$65.35M
COINBASE GLOBAL INC
275,304
0
-275,304
0.00%
-$62.26M
CROWN CASTLE INC
644,159
0
-644,159
0.00%
-$57.25M
NUTANIX INC CL A
943,681
0
-943,681
0.00%
-$48.78M
TYLER TECHNOLOGIES INC
101,743
0
-101,743
0.00%
-$46.19M
GARTNER INC
178,025
0
-178,025
0.00%
-$44.91M
CREDO TECHNOLOGY GROUP HOLDING LTD
304,937
0
-304,937
0.00%
-$43.88M
MONDAY.COM LTD
269,336
0
-269,336
0.00%
-$39.74M
ULTRAGENYX PHARMA INC
1,590,149
0
-1,590,149
0.00%
-$36.57M
ARCELLX INC
450,252
0
-450,252
0.00%
-$29.36M
FIGMA INC-CL A
466,839
0
-466,839
0.00%
-$17.45M
CORCEPT THERAPEUTICS INC
366,533
0
-366,533
0.00%
-$12.76M
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
HOWMET AEROSPACE INC
1,487,188
1,713,050
225,862
3.43%
$89.89M
VERTIV HOLDINGS CO
1,424,623
1,526,952
102,329
3.33%
$151.82M
ROYAL CARIBBEAN CRUISES LTD
1,258,904
1,284,759
25,855
3.08%
$2.41M
CENCORA INC
797,823
903,030
105,207
2.47%
$14.21M
ALNYLAM PHARMACEUTICALS INC
660,670
700,981
40,311
2.02%
-$30.78M
CHENIERE ENERGY INC
604,850
704,379
99,529
1.74%
$82.30M
BURLINGTON STORES INC
520,785
555,292
34,507
1.57%
$30.25M
NEUROCRINE BIOSCIENCES INC
1,075,041
1,207,253
132,212
1.38%
$6.57M
LIVE NATION ENTERTAINMENT INC
468,111
1,036,283
568,172
1.37%
$91.34M
DATADOG INC CL A
1,066,805
1,337,997
271,192
1.37%
$12.88M
MSCI INC
243,964
292,404
48,440
1.37%
$17.64M
VEEVA SYSTEMS-A
734,699
788,472
53,773
1.20%
-$25.50M
IDEXX LABS INC
202,118
239,371
37,253
1.17%
-$2.24M
PERFORMANCE FOOD GROUP CO
1,189,412
1,316,745
127,333
0.98%
$5.84M
ON SEMICONDUCTOR CORP
394,832
1,786,996
1,392,164
0.96%
$89.27M
TELEDYNE TECHNOLOGIES INC
159,354
178,550
19,196
0.94%
$26.64M
AMETEK INC NEW
451,018
503,678
52,660
0.94%
$15.37M
BWX TECHNOLOGIES INC
431,634
526,365
94,731
0.94%
$33.03M
RAYMOND JAMES FINANCIAL INC.
640,626
740,804
100,178
0.93%
$4.38M
AUTOZONE INC
28,180
31,157
2,977
0.92%
$9.67M
FABRINET
172,549
192,618
20,069
0.87%
$21.90M
DOORDASH INC-A
404,944
469,125
64,181
0.61%
-$21.27M
VERALTO CORP
697,429
733,574
36,145
0.56%
-$4.73M
LEVI STRAUSS and COMPANY CL A
2,211,048
3,399,957
1,188,909
0.55%
$17.01M
INGERSOLL RAND INC
640,237
776,554
136,317
0.54%
$11.50M
JFROG LTD
1,042,307
1,323,352
281,045
0.54%
-$3.00M
WYNN RESORTS LTD
503,345
604,117
100,772
0.53%
$780.58K
ESAB CORP
536,623
621,736
85,113
0.52%
$145.48K
CHIPOTLE MEXICAN GRILL INC
1,193,082
1,768,095
575,013
0.49%
$12.45M
THOR INDUSTRIES INC
590,779
683,902
93,123
0.48%
-$6.02M
RHYTHM PHARMACEUTICALS INC
480,164
597,190
117,026
0.45%
$540.86K
RUBRIK INC-A
532,749
757,224
224,475
0.32%
-$3.66M
CARIS LIFE SCIENCES INC
995,112
1,691,144
696,032
0.26%
$3.39M
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
HILTON WORLDWIDE HOLDINGS INC
1,300,860
1,281,596
-19,264
3.39%
$16.04M
QUANTA SVCS INC
628,445
601,723
-26,722
2.87%
$65.12M
COMFORT SYSTEMS USA INC
232,315
211,460
-20,855
2.54%
$74.78M
INSMED INC
1,564,196
1,549,913
-14,283
2.20%
-$18.79M
CLOUDFLARE INC-A
1,231,555
1,220,310
-11,245
2.19%
$9.00M
CARVANA CO CL A
702,197
632,133
-70,064
1.73%
-$97.61M
NATERA INC
852,738
844,952
-7,786
1.47%
-$26.37M
VISTRA CORP
1,578,210
1,029,919
-548,291
1.35%
-$99.78M
WILLIAMS COS INC
2,433,896
2,073,899
-359,997
1.31%
$4.64M
HEICO CORP CL A
688,006
681,723
-6,283
1.25%
-$29.77M
FTAI AVIATION LTD
699,821
574,103
-125,718
1.22%
$2.90M
TAKE-TWO INTERACTV SOFTWR INC
714,986
708,457
-6,529
1.22%
-$43.14M
MONOLITHIC POWER SYS INC
122,627
121,507
-1,120
1.16%
$21.71M
CBRE GROUP INC - CL A
942,211
933,607
-8,604
1.10%
-$25.03M
ITT INC
668,882
662,774
-6,108
1.10%
$10.22M
TEMPUR SEALY INTERNATIONAL INC
1,712,946
1,697,305
-15,641
1.09%
-$27.47M
CASEY'S GENERAL
210,952
168,700
-42,252
1.07%
$6.19M
ULTA BEAUTY INC
250,386
229,430
-20,956
1.04%
-$31.56M
ROBLOX CORP - A
2,180,041
2,113,199
-66,842
1.04%
-$57.13M
CIENA CORP
524,301
300,152
-224,149
1.01%
-$6.09M
DEXCOM INC
1,799,686
1,783,253
-16,433
0.97%
-$7.46M
EOG RESOURCES INC
733,405
726,708
-6,697
0.91%
$28.05M
TERADYNE INC
618,110
346,402
-271,708
0.89%
-$16.95M
REDDIT INC-A
922,068
727,716
-194,352
0.85%
-$113.97M
AXON ENTERPRISE INC
226,572
224,503
-2,069
0.83%
-$33.33M
JPMorgan Securities Lending Money Market Fund, Class Agency SL Shares