KCVIX
Knights of Columbus Large Cap Value 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
FEDEX CORP 0 21,446 21,446 2.13% $6.91M
JONES LANG LASALLE INC 0 15,004 15,004 1.65% $5.37M
PEPSICO INC 0 32,635 32,635 1.54% $5.01M
DR HORTON INC 0 25,882 25,882 1.19% $3.85M
US BANCORP DEL 0 57,364 57,364 0.99% $3.22M
BANK OF NEW YORK MELLON CORP COMMON STOCK 0 26,192 26,192 0.97% $3.14M
Viking Holdings Ltd 0 23,305 23,305 0.52% $1.68M
PRIMO BRANDS CORP A 0 83,558 83,558 0.49% $1.58M
ALPHABET INC CL A 0 4,617 4,617 0.48% $1.56M
SANDISK CORPORATION 0 2,114 2,114 0.38% $1.22M
VERSANT MEDIA GROUP INC - A 0 3,350 3,350 0.03% $109.15K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
BERKSHIRE HATHAWAY INC-CL B COMMON STOCK 11,172 0 -11,172 0.00% -$5.34M
WELLTOWER INC 19,912 0 -19,912 0.00% -$3.60M
REALTY INCOME CORP REIT 58,216 0 -58,216 0.00% -$3.38M
BOSTON SCIENTIFIC CORP 33,426 0 -33,426 0.00% -$3.37M
COLGATE-PALMOLIVE CO 42,624 0 -42,624 0.00% -$3.28M
CHENIERE ENERGY INC 14,218 0 -14,218 0.00% -$3.01M
POPULAR INC 18,826 0 -18,826 0.00% -$2.10M
VISA INC-CLASS A 3,879 0 -3,879 0.00% -$1.32M
META PLATFORMS INC CL A 1,622 0 -1,622 0.00% -$1.05M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
EXXON MOBIL CORP 94,535 94,711 176 4.12% $2.58M
BANK OF AMERICA CORP COMMON STOCK 234,846 235,283 437 3.85% -$35.46K
MICRON TECHNOLOGY INC 29,716 29,771 55 3.80% $5.70M
CITIGROUP INC 78,998 79,145 147 2.82% $1.16M
GOLDMAN SACHS GROUP INC 8,443 8,459 16 2.44% $1.25M
GENERAL MOTORS CO 87,367 87,529 162 2.26% $1.32M
CHEVRON CORP 36,398 36,466 68 1.99% $710.14K
INTL BUS MACH CORP 19,491 19,527 36 1.84% -$2.80K
CAPITAL ONE FINANCIAL CORP 14,332 27,059 12,727 1.82% $2.77M
GILEAD SCIENCES INC 41,240 41,317 77 1.81% $924.81K
CUMMINS INC 10,091 10,099 8 1.80% $1.43M
DOLLAR GENERAL CORP 40,213 40,288 75 1.78% $1.81M
STEEL DYNAMICS INC 16,490 30,326 13,836 1.68% $2.86M
PRUDENTL FINL 37,187 47,911 10,724 1.64% $1.46M
CISCO SYSTEMS INC 67,697 67,823 126 1.64% $362.57K
TEXAS INSTRUMENTS INC 24,521 24,567 46 1.63% $1.34M
MONSTER BEVERAGE CORP 65,420 65,541 121 1.63% $921.07K
FIRST HORIZON CORP 89,540 207,382 117,842 1.56% $3.17M
FIRSTENERGY CORP 104,934 105,129 195 1.53% $167.68K
BAKER HUGHES CO 86,742 86,903 161 1.50% $670.86K
VERIZON COMMUNICATIONS INC 106,323 106,521 198 1.46% $517.04K
KINDER MORGAN INC 152,544 152,828 284 1.43% $664.60K
VALERO ENERGY CORP 25,519 25,566 47 1.43% $311.44K
3M CO 28,674 28,727 53 1.35% -$374.39K
LENNAR CORP CL A 30,792 39,890 9,098 1.34% $550.85K
QUEST DIAGNOSTICS INC 22,865 22,907 42 1.32% $261.20K
OMEGA HEALTHCARE INVESTORS INC 96,366 96,545 179 1.30% $186.13K
CONOCOPHILLIPS 40,104 40,178 74 1.29% $624.11K
AMERICAN INTERNATIONAL GROUP COMMON STOCK 55,324 55,427 103 1.28% -$218.01K
CASEY'S GENERAL 6,826 6,838 12 1.28% $644.21K
QUALCOMM INC 9,282 26,688 17,406 1.25% $2.37M
FORTIS INC 75,461 75,601 140 1.24% $241.40K
TJX COS INC 25,434 25,482 48 1.18% $253.14K
WALMART INC 31,938 31,998 60 1.17% $580.75K
WELLS FARGO & CO 41,890 41,968 78 1.17% $154.51K
AXIS CAPITAL 35,669 35,735 66 1.14% $346.38K
LOWES COS INC 13,657 13,682 25 1.13% $401.77K
CSX CORP 90,175 90,343 168 1.05% $163.25K
NEWMONT CORP 29,284 29,299 15 1.01% $920.62K
HEWLETT PACKARD ENTERPRISE CO 148,778 149,055 277 0.99% -$425.50K
LINDE PLC 6,672 6,684 12 0.94% $263.49K
AECOM 30,951 30,969 18 0.92% -$1.17M
NATL FUEL GAS CO 34,000 34,020 20 0.88% $166.24K
PAN AMER SILVER 52,000 52,097 97 0.88% $1.01M
WALT DISNEY CO/T 24,487 24,532 45 0.85% $9.48K
AMERICAN EXPRESS CO COMMON STOCK 7,763 7,778 15 0.84% -$61.17K
NRG ENERGY INC 17,551 17,584 33 0.83% -$332.47K
COMCAST CORP CL A 83,601 83,757 156 0.77% $164.74K
MORGAN STANLEY 13,349 13,374 25 0.75% $255.53K
WESTERN DIGITAL CORP 8,165 8,180 15 0.63% $820.42K
MOTOROLA SOLUTIONS INC 4,941 4,950 9 0.61% -$16.98K
HARTFORD INSURANCE GROUP INC/THE 14,019 14,045 26 0.58% $156.04K
STERIS PLC 7,009 7,022 13 0.57% $191.96K
EMERSON ELECTRIC CO 12,442 12,465 23 0.56% $95.33K
MICROSOFT CORP 4,008 4,015 7 0.53% -$347.77K
UNITED RENTALS INC 2,118 2,122 4 0.51% -$185.63K
WASTE MANAGEMENT INC 7,446 7,460 14 0.51% $170.42K
SEAGATE TECHNOLO 3,934 3,941 7 0.49% $600.07K
COCA-COLA CO/THE 16,872 16,903 31 0.39% $102.03K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
JPMORGAN CHASE and CO 21,317 17,139 -4,178 1.61% -$1.39M
US ULTRA BOND CBT Sep25 6,241,648 4,763,982 -1,477,666 1.47% -$1.48M
ENTERGY CORP 61,997 49,381 -12,616 1.46% -$1.22M
CENCORA INC COMMON STOCK 15,790 11,699 -4,091 1.29% -$1.13M
ALLSTATE CORP COMMON STOCK 20,974 14,555 -6,419 0.89% -$1.12M
PROCTER & GAMBLE 32,553 16,745 -15,808 0.78% -$2.35M
AT&T INC 272,366 64,881 -207,485 0.52% -$5.04M
INTEL CORP 48,776 21,305 -27,471 0.30% -$960.51K
KILROY REALTY CORP 67,647 26,845 -40,802 0.29% -$1.93M

No positions in this category.

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