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
Aptiv PLC
0
2,010,658
2,010,658
0.73%
$117.62M
TYSON FOODS INC CL A
0
1,391,645
1,391,645
0.56%
$89.16M
AMCOR PLC
0
2,047,270
2,047,270
0.51%
$81.38M
PERNOD RICARD SA
0
1,074,191
1,074,191
0.50%
$80.18M
WATERS CORP
0
260,237
260,237
0.48%
$77.50M
BROWN & BROWN
0
1,126,563
1,126,563
0.46%
$73.46M
LONDON STOCK EXCHANGE GRP PLC
0
588,223
588,223
0.43%
$69.52M
MiniMed Group Inc
0
4,328,797
4,328,797
0.40%
$64.59M
BIRKENSTOCK HOLDING LTD
0
1,595,132
1,595,132
0.36%
$57.15M
TEREX CORP
0
950,958
950,958
0.35%
$56.20M
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC
0
215,228
215,228
0.30%
$47.80M
BIONTECH SE ADR
0
492,991
492,991
0.27%
$43.82M
GAP INC/THE
0
1,569,888
1,569,888
0.24%
$37.99M
Versigent Ltd
0
670,219
670,219
0.13%
$21.35M
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
APTIV PLC
2,097,393
0
-2,097,393
0.00%
-$159.59M
REGAL REXNORD CORP
816,120
0
-816,120
0.00%
-$114.52M
COCA-COLA EUROPA
1,159,625
0
-1,159,625
0.00%
-$105.18M
HERSHEY CO/THE
525,064
0
-525,064
0.00%
-$95.55M
AMCOR PLC
10,677,925
0
-10,677,925
0.00%
-$89.05M
MATTEL INC
3,833,620
0
-3,833,620
0.00%
-$76.06M
AVANTOR INC
5,296,167
0
-5,296,167
0.00%
-$60.69M
GENERAC HOLDINGS INC
394,228
0
-394,228
0.00%
-$53.76M
MEDLINE INC-A
1,101,686
0
-1,101,686
0.00%
-$46.27M
ORGANON & CO
3,704,989
0
-3,704,989
0.00%
-$26.56M
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
MFS Institutional Money Market Portfolio, Class A
97,220,441
222,472,708
125,252,266
1.39%
$125.23M
JONES LANG LASALLE INC
435,705
471,095
35,390
0.90%
-$3.24M
SEAGATE TECHNOLOGY HOLDINGS PLC
281,578
329,712
48,134
0.81%
$51.62M
GLOBAL PAYMENTS INC
1,457,205
1,760,122
302,917
0.74%
$5.67M
TRANSUNION
1,436,364
1,596,659
160,295
0.69%
-$12.70M
COHERENT CORP
414,643
457,613
42,970
0.68%
$32.48M
FERGUSON ENTERPRISES INC
410,842
458,695
47,853
0.67%
$15.53M
HUMANA INC
521,560
594,755
73,195
0.64%
-$30.46M
NXP SEMICONDUCTORS NV
497,518
512,811
15,293
0.63%
-$7.04M
BAKER HUGHES CO
1,104,468
1,626,606
522,138
0.62%
$49.01M
COGNIZANT TECH SOLUTIONS CL A
1,016,059
1,237,946
221,887
0.47%
-$8.38M
BROWN FORMAN CORP NON VTG CL B
1,735,652
2,558,037
822,385
0.42%
$22.40M
Icon Public Limited Company
448,478
494,040
45,562
0.34%
-$27.05M
GROUP 1 AUTOMOTIVE INC
88,597
163,230
74,633
0.34%
$19.12M
JPMORGAN US GOVERNMENT MONEY MARKET FUND OPEN-END FUND USD