KCGVX
Knights of Columbus Large Cap Growth Fund
ADVISORS' INNER CIRCLE III

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.

Oct 31, 2025 → Jan 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
BAKER HUGHES CO 0 33,074 33,074 0.66% $1.85M
WALT DISNEY CO/T 0 16,318 16,318 0.65% $1.84M
CBRE GROUP INC - CL A 0 10,709 10,709 0.65% $1.82M
MARVELL TECHNOLOGY INC 0 21,928 21,928 0.61% $1.73M
CISCO SYSTEMS INC 0 10,928 10,928 0.30% $855.88K
MORGAN STANLEY 0 4,517 4,517 0.29% $825.71K
HYATT HOTELS CORP CL A 0 4,662 4,662 0.26% $729.00K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
STRYKER CORP 6,517 0 -6,517 0.00% -$2.32M
CHENIERE ENERGY INC 6,941 0 -6,941 0.00% -$1.47M
VISTRA CORP 7,611 0 -7,611 0.00% -$1.43M
EATON CORP PLC 1,865 0 -1,865 0.00% -$711.61K
Spotify Technology SA 878 0 -878 0.00% -$575.37K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
NVIDIA CORP 158,783 161,509 2,726 10.94% -$1.28M
APPLE INC COMMON STOCK 101,485 105,268 3,783 9.68% -$123.56K
MICROSOFT CORP 53,291 54,128 837 8.25% -$4.30M
BROADCOM INC 34,658 34,822 164 4.09% -$1.27M
META PLATFORMS INC CL A 14,676 14,716 40 3.74% $1.03M
TESLA INC 19,067 20,034 967 3.06% -$82.40K
JPMORGAN CHASE and CO 17,232 20,179 2,947 2.19% $811.33K
VISA INC-CLASS A 16,274 16,537 263 1.89% -$223.10K
CATERPILLAR INC 5,457 5,537 80 1.29% $489.69K
MASTERCARD INC CL A 6,621 6,702 81 1.28% -$43.76K
GENERAL ELECTRIC CO 11,568 11,729 161 1.27% $24.41K
KLA CORP 2,037 2,040 3 1.03% $450.79K
CUMMINS INC 4,946 5,027 81 1.03% $744.96K
COCA-COLA CO/THE 38,053 38,611 558 1.02% $266.64K
COSTCO WHOLESALE CORP 2,952 2,987 35 1.00% $117.93K
WASTE MANAGEMENT INC 12,126 12,312 186 0.97% $313.81K
Common Stock 11,169 11,365 196 0.95% -$170.17K
BANK OF NEW YORK MELLON CORP COMMON STOCK 21,779 22,146 367 0.94% $305.14K
PROCTER & GAMBLE 16,992 17,265 273 0.93% $65.22K
UBER TECHNOLOGIES INC 31,432 31,908 476 0.91% -$478.95K
SIMON PROPERTY 9,954 13,259 3,305 0.90% $787.06K
SALESFORCE INC 11,673 11,729 56 0.88% -$549.82K
ECOLAB INC 8,616 8,742 126 0.87% $256.01K
TJX COS INC 16,115 16,391 276 0.87% $197.18K
PROGRESSIVE CORP OHIO 11,529 11,583 54 0.85% $34.29K
AMERICAN EXPRESS CO COMMON STOCK 6,701 6,775 74 0.85% -$31.30K
NETFLIX INC 2,792 28,339 25,547 0.84% -$757.83K
GE VERNOVA LLC 3,100 3,133 33 0.81% $461.78K
DARDEN RESTAURANTS INC 8,522 11,292 2,770 0.80% $715.82K
EVERCORE INC A 2,276 6,338 4,062 0.79% $1.57M
ENTERGY CORP 12,757 23,093 10,336 0.78% $988.57K
BOSTON SCIENTIFIC CORP 22,976 23,312 336 0.77% -$133.77K
INTUITIVE SURGICAL INC 4,225 4,298 73 0.77% -$90.20K
TEXAS INSTRUMENTS INC 9,813 9,980 167 0.76% $566.78K
MUELLER INDUSTRIES INC 15,346 15,371 25 0.74% $467.93K
MONSTER BEVERAGE CORP 15,077 24,915 9,838 0.71% $1.00M
AUTOZONE INC COMMON STOCK 485 510 25 0.67% $107.09K
ORACLE CORP 10,929 11,073 144 0.65% -$1.05M
LAM RESEARCH CORP 7,714 7,795 81 0.64% $605.17K
ATI INC 14,823 14,934 111 0.64% $329.53K
GILEAD SCIENCES INC 12,246 12,312 66 0.62% $280.74K
INTUIT INC 3,438 3,497 59 0.62% -$550.31K
DOORDASH INC-A 5,327 8,451 3,124 0.61% $374.21K
EMCOR GROUP INC 2,315 2,331 16 0.60% $115.59K
Viking Holdings Ltd 22,629 22,656 27 0.58% $257.66K
SOFI TECHNOLOGIES INC A 67,681 67,823 142 0.55% -$461.73K
CYBERARK SOFTWARE LTD/ISRAEL COMMON STOCK ILS.01 3,438 3,497 59 0.53% -$283.83K
ON SEMICONDUCTOR CORP 23,890 23,895 5 0.51% $234.66K
TWILIO INC CLASS A 11,100 11,146 46 0.48% -$154.52K
ADOBE INC 4,388 4,444 56 0.46% -$190.08K
ALLSTATE CORP COMMON STOCK 6,462 6,484 22 0.46% $52.65K
INSULET CORP 4,512 4,517 5 0.41% -$256.81K
SNOWFLAKE INC CL A 4,962 5,027 65 0.34% -$395.25K
BUILDERS FIRSTSOURCE 8,021 8,086 65 0.33% -$6.76K
API GROUP CORP 20,817 20,908 91 0.31% $102.66K
SERVICENOW INC 1,356 6,921 5,565 0.29% -$436.72K
DEERE & CO 1,169 1,238 69 0.23% $114.02K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
ALPHABET INC CL A 42,523 39,048 -3,475 4.68% $1.24M
ALPHABET INC CL C 36,254 33,875 -2,379 4.06% $1.25M
WALMART INC 35,900 29,140 -6,760 1.23% -$160.62K
BERKSHIRE HATHAWAY INC-CL B COMMON STOCK 9,892 5,901 -3,991 1.00% -$1.89M
GOLDMAN SACHS GROUP INC 3,750 2,987 -763 0.99% -$166.07K
WELLTOWER INC 18,030 9,252 -8,778 0.62% -$1.52M
ARISTA NETWORKS INC COMMON STOCK 11,890 11,875 -15 0.60% -$191.77K
PALANTIR TECHNOLOGIES INC 13,722 11,000 -2,722 0.57% -$1.14M
UNITED RENTALS INC 1,755 1,748 -7 0.48% -$161.88K
Amrize Ltd. USD0.01 24,718 24,696 -22 0.46% $18.12K
US ULTRA BOND CBT Sep25 2,901,425 1,204,369 -1,697,056 0.43% -$1.70M
CLOUDFLARE INC-A 5,420 5,391 -29 0.34% -$416.79K
TOAST INC-A 29,288 29,286 -2 0.32% -$147.38K
ACCENTURE PLC-A 3,228 3,205 -23 0.30% $37.64K
PALO ALTO NETWORKS INC 9,882 4,517 -5,365 0.28% -$1.38M
APPLOVIN CORP 1,536 1,530 -6 0.26% -$255.08K

No positions in this category.

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