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.
Nov 28, 2025 → Feb 27, 2026
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 13 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
CHEVRON CORP
0
27,709
27,709
1.10%
$5.17M
KLA CORP
0
1,764
1,764
0.57%
$2.69M
SUN COMMUNITIES INC - REIT
0
19,266
19,266
0.56%
$2.63M
TERADATA CORP
0
75,420
75,420
0.51%
$2.37M
T ROWE PRICE GRP
0
22,842
22,842
0.46%
$2.16M
MATCH GROUP INC
0
66,714
66,714
0.45%
$2.11M
SALESFORCE INC
0
10,577
10,577
0.44%
$2.06M
BEST BUY CO INC
0
31,536
31,536
0.42%
$1.95M
ALBERTSONS COS INC CL A
0
107,934
107,934
0.41%
$1.93M
MUELLER INDUSTRIES INC
0
5,057
5,057
0.13%
$596.52K
DUKE ENERGY CORP NEW
0
4,280
4,280
0.12%
$560.04K
SOUTHERN CO
0
5,410
5,410
0.11%
$526.83K
VERSANT MEDIA GROUP INC - A
0
4,329
4,329
0.03%
$144.24K
▶
Exited
· 9 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
WELLS FARGO & CO
34,614
0
-34,614
0.00%
-$2.97M
PFIZER INC
94,398
0
-94,398
0.00%
-$2.43M
ADT INC
247,636
0
-247,636
0.00%
-$2.04M
VERISIGN INC
7,155
0
-7,155
0.00%
-$1.80M
OSHKOSH CORP
13,703
0
-13,703
0.00%
-$1.76M
SERVICENOW INC
1,191
0
-1,191
0.00%
-$967.58K
VISTRA CORP
4,463
0
-4,463
0.00%
-$798.25K
ALNYLAM PHARMACEUTICALS INC
1,010
0
-1,010
0.00%
-$455.74K
TALEN ENERGY CORP
985
0
-985
0.00%
-$388.36K
▶
Increased
· 19 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
NVIDIA CORP
180,898
187,758
6,860
7.09%
$1.25M
APPLE INC
107,802
117,786
9,984
6.63%
$1.06M
ALPHABET INC CL A
36,738
47,202
10,464
3.14%
$2.95M
ALPHABET INC CL C
30,681
38,736
8,055
2.57%
$2.24M
BROADCOM INC
25,600
28,564
2,964
1.95%
-$1.19M
VISA INC-CLASS A
18,198
19,627
1,429
1.34%
$197.25K
CATERPILLAR INC
5,628
6,993
1,365
1.11%
$1.95M
BANK OF AMERICA CORPORATION
21,257
81,908
60,651
0.87%
$2.94M
AMGEN INC
9,036
10,436
1,400
0.86%
$929.26K
TJX COS INC
17,204
22,616
5,412
0.78%
$1.04M
BRISTOL-MYERS SQUIBB CO
43,960
57,355
13,395
0.76%
$1.41M
LOCKHEED MARTIN CORP
3,791
5,174
1,383
0.73%
$1.67M
RTX CORP
2,794
16,247
13,453
0.70%
$2.80M
QUALCOMM INC
19,758
22,884
3,126
0.69%
-$63.36K
LILLY ELI and CO
2,440
2,848
408
0.64%
$371.92K
ADOBE INC
8,947
11,256
2,309
0.63%
$89.48K
UBER TECHNOLOGIES INC
33,470
38,778
5,308
0.62%
-$5.33K
WESTERN UNION CO
91,382
237,482
146,100
0.49%
$1.48M
INTUIT INC
4,526
5,258
732
0.46%
-$719.17K
▶
Decreased
· 15 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
MICROSOFT CORP
57,582
55,336
-2,246
4.63%
-$6.60M
MICRON TECHNOLOGY INC
19,807
16,106
-3,701
1.42%
$1.96M
Invesco Treasury Portfolio, Institutional Class
40,712,946
5,846,786
-34,866,159
1.25%
-$34.87M
JPMORGAN CHASE and CO
18,700
17,862
-838
1.14%
-$490.64K
NEWMONT CORP
43,584
35,845
-7,739
0.99%
$705.47K
WESTERN DIGITAL CORP
19,946
15,740
-4,206
0.94%
$1.14M
GENERAL MOTORS CO
52,161
46,647
-5,514
0.78%
-$163.29K
BANK OF NEW YORK MELLON CORP
33,813
30,063
-3,750
0.76%
-$209.93K
RYDER SYSTEM INC
17,331
10,724
-6,607
0.51%
-$625.89K
ANGLOGOLD ASHANTI PLC
22,826
17,796
-5,030
0.48%
$318.06K
ABBOTT LABS
26,413
12,367
-14,046
0.31%
-$1.97M
UNITED AIRLINES HOLDINGS INC
23,445
8,325
-15,120
0.19%
-$1.51M
CIRRUS LOGIC INC
10,037
4,174
-5,863
0.13%
-$618.82K
NETFLIX INC
51,321
5,260
-46,061
0.11%
-$5.01M
HOME DEPOT INC
9,063
1,294
-7,769
0.11%
-$2.74M
▶
Unchanged
· 75 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
AMAZON.COM INC
59,860
59,860
0
2.68%
-$1.39M
META PLATFORMS INC CL A
19,059
19,059
0
2.63%
$4.38K
WALMART INC
56,284
56,284
0
1.54%
$981.59K
TESLA INC
15,627
15,627
0
1.34%
-$432.24K
GENERAL ELECTRIC CO
17,458
17,458
0
1.27%
$764.83K
ABBVIE INC
25,546
25,546
0
1.26%
$111.89K
LAM RESEARCH CORP
22,487
22,487
0
1.12%
$1.75M
BERKSHIRE HATH-B
9,879
9,879
0
1.06%
-$87.53K
MASTERCARD INC CL A
9,599
9,599
0
1.06%
-$319.84K
GOLDMAN SACHS GROUP INC
5,472
5,472
0
1.00%
$183.48K
CITIGROUP INC
38,794
38,794
0
0.91%
$255.65K
PROCTER & GAMBLE
24,772
24,772
0
0.88%
$471.66K
GILEAD SCIENCES INC
27,797
27,797
0
0.88%
$642.39K
CISCO SYSTEMS INC
45,952
45,952
0
0.78%
$115.80K
PALANTIR TECHNOLOGIES INC
26,058
26,058
0
0.76%
-$814.57K
MCKESSON CORP
3,620
3,620
0
0.76%
$384.62K
ALTRIA GROUP INC
51,093
51,093
0
0.75%
$512.46K
AT&T INC
125,538
125,538
0
0.75%
$249.82K
TAPESTRY INC
22,555
22,555
0
0.75%
$1.04M
CARDINAL HEALTH INC
15,190
15,190
0
0.74%
$257.77K
REGENERON PHARMACEUTICALS INC
4,447
4,447
0
0.74%
$6.58K
COMCAST CORP CL A
108,233
108,233
0
0.71%
$462.15K
HCA HEALTHCARE INC
6,185
6,185
0
0.70%
$132.42K
LOWES COS INC
12,280
12,280
0
0.69%
$271.27K
DOLLAR TREE INC
25,519
25,519
0
0.69%
$399.88K
APA CORP
104,547
104,547
0
0.68%
$564.55K
DEVON ENERGY CORP
70,144
70,144
0
0.65%
$453.83K
GENERAL DYNAMICS CORPORATION
8,401
8,401
0
0.64%
$129.54K
RINGCENTRAL INC CL A
81,634
81,634
0
0.63%
$670.22K
VERIZON COMMUNICATIONS INC
57,960
57,960
0
0.62%
$523.38K
FORD MOTOR CO
205,880
205,880
0
0.62%
$166.76K
EXELIXIS INC
65,030
65,030
0
0.61%
-$7.15K
KROGER CO
41,154
41,154
0
0.60%
$39.51K
CROCS INC
30,475
30,475
0
0.59%
$174.62K
FERGUSON ENTERPRISES INC
10,571
10,571
0
0.59%
$96.09K
CORTEVA INC
33,948
33,948
0
0.58%
$429.44K
IDEXX LABS INC
4,117
4,117
0
0.58%
-$395.85K
HALOZYME THERAPEUTICS INC
38,577
38,577
0
0.57%
-$72.14K
NRG ENERGY INC
14,868
14,868
0
0.57%
$140.80K
ARCHER DANIELS MIDLAND CO
38,497
38,497
0
0.57%
$319.53K
CF INDUSTRIES HOLDINGS INC
26,474
26,474
0
0.56%
$551.72K
THE BOOKING HOLDINGS INC
615
615
0
0.56%
-$415.33K
APPLOVIN CORP
5,790
5,790
0
0.54%
-$953.67K
AMERICAN INTERNATIONAL GROUP
31,128
31,128
0
0.53%
$134.78K
CROWN HOLDINGS INC
21,341
21,341
0
0.52%
$379.23K
MORGAN STANLEY
14,667
14,667
0
0.52%
-$46.20K
COLGATE-PALMOLIVE CO
23,780
23,780
0
0.50%
$445.88K
ULTA BEAUTY INC
3,335
3,335
0
0.49%
$486.78K
EXXON MOBIL CORP
14,550
14,550
0
0.47%
$532.24K
MGIC INVT CORP
82,461
82,461
0
0.47%
-$150.08K
DROPBOX INC CL A
86,446
86,446
0
0.46%
-$422.72K
VICI PROPERTIES
70,123
70,123
0
0.45%
$97.47K
MACYS INC
106,495
106,495
0
0.45%
-$274.76K
EXPEDIA INC
9,656
9,656
0
0.44%
-$386.24K
FASTENAL CO
45,129
45,129
0
0.44%
$254.53K
ZOOM VIDEO COMMUNICATIONS INC CL A
28,069
28,069
0
0.44%
-$309.32K
SEI INVESTMENTS
24,737
24,737
0
0.43%
$11.38K
PEGASYSTEMS INC
44,388
44,388
0
0.41%
-$490.04K
ALLEGION PLC
11,868
11,868
0
0.41%
-$57.92K
STATE STREET CORP
14,114
14,114
0
0.39%
$135.49K
ELECTRONIC ARTS INC
8,815
8,815
0
0.38%
-$12.87K
SKYWORKS SOLUTIONS INC
28,607
28,607
0
0.36%
-$182.23K
BIOGEN INC
8,710
8,710
0
0.36%
$84.75K
LYFT INC-A
120,528
120,528
0
0.36%
-$866.60K
JOHNSON&JOHNSON
6,673
6,673
0
0.35%
$277.00K
PAYPAL HOLDINGS
34,137
34,137
0
0.34%
-$562.58K
MEDPACE HOLDINGS INC
3,491
3,491
0
0.34%
-$491.18K
DOCUSIGN INC
27,198
27,198
0
0.26%
-$660.37K
L3HARRIS TECHNOLOGIES INC
3,074
3,074
0
0.24%
$263.90K
DOLLAR GENERAL CORP
6,716
6,716
0
0.22%
$313.97K
BOSTON BEER COMPANY CL A
3,638
3,638
0
0.18%
$116.34K
COSTCO WHOLESALE CORP
735
735
0
0.16%
$71.44K
ORACLE CORP
3,317
3,317
0
0.10%
-$187.58K
BOYD GAMING CORP
5,399
5,399
0
0.10%
-$378
ADV MICRO DEVICE
2,209
2,209
0
0.09%
-$38.26K
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