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.
Dec 31, 2025 → Mar 31, 2026
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 9 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
COEUR MINING INC
0
501,851
501,851
1.53%
$9.42M
CAESARS ENTERTAINMENT INC
0
243,000
243,000
1.05%
$6.42M
ATS CORP
0
174,000
174,000
0.80%
$4.91M
ON SEMICONDUCTOR CORP
0
72,000
72,000
0.73%
$4.46M
ACV AUCTIONS INC CL A
0
695,000
695,000
0.48%
$2.95M
KNIFE RIVER HOLDING CO W/I
0
23,000
23,000
0.31%
$1.88M
KLARNA GROUP PLC
0
134,000
134,000
0.29%
$1.75M
PRECISION BIOSCIENCES INC
0
179,140
179,140
0.16%
$985.27K
EVERSPIN TECHNOLOGIES INC
0
60,136
60,136
0.09%
$528.60K
▶
Exited
· 7 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
LIVERAMP HOLDINGS INC
345,314
0
-345,314
0.00%
-$10.14M
NEW GOLD INC
1,124,000
0
-1,124,000
0.00%
-$9.79M
DIGITALBRIDGE GROUP INC
399,121
0
-399,121
0.00%
-$6.12M
CERTARA INC
429,000
0
-429,000
0.00%
-$3.78M
BEST BUY CO INC
45,000
0
-45,000
0.00%
-$3.01M
CORSAIR GAMING INC
489,000
0
-489,000
0.00%
-$2.90M
GROCERY OUTLET HOLDING CORP
268,000
0
-268,000
0.00%
-$2.71M
▶
Increased
· 24 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
MONEYMKT
31,153,951
50,874,256
19,720,305
8.28%
$19.72M
STIT GOVT AND AGENCY INST
11,820,504
24,469,473
12,648,969
3.98%
$12.65M
REGAL REXNORD CORP
74,600
77,600
3,000
2.36%
$4.06M
SUN COMMUNITIES INC - REIT
60,312
97,312
37,000
1.99%
$4.78M
TRIMBLE INC
139,656
185,656
46,000
1.97%
$1.17M
VSE CORP
57,000
60,500
3,500
1.82%
$1.31M
TELEFLEX INC
76,000
87,400
11,400
1.70%
$1.18M
PARSONS CORP
144,613
182,800
38,187
1.61%
$965.19K
ADVANCED DRAINAGE SYSTEMS INC
66,000
69,000
3,000
1.54%
-$96.81K
CONSOLIDATED WATER CO LTD
262,000
272,000
10,000
1.47%
-$237.34K
LPL FINL HLDGS INC
25,835
28,835
3,000
1.41%
-$553.05K
TRANSCAT INC
54,000
97,500
43,500
1.17%
$4.10M
HILLMAN SOLUTIONS CORP
671,000
860,000
189,000
1.16%
$1.34M
TRIUMPH FINANCIAL INC
50,314
107,836
57,522
1.05%
$3.28M
James Hardie Industries Public Limited Company
228,000
301,000
73,000
0.93%
$969.94K
RANPAK HOLDINGS CORP A
1,446,000
1,583,000
137,000
0.92%
-$2.17M
ENERGY RECOVERY INC
377,000
516,000
139,000
0.85%
$110.39K
BLACKBERRY LTD
1,326,833
1,454,833
128,000
0.77%
-$315.04K
AMER SUPERCONDTR
110,432
135,432
25,000
0.75%
$1.41M
AMBARELLA INC
55,000
89,000
34,000
0.75%
$685.08K
BRUKER CORP
33,000
108,000
75,000
0.63%
$2.35M
TANDEM DIABETES CARE INC
139,000
159,000
20,000
0.50%
-$7.19K
FERMI INC
193,000
273,000
80,000
0.26%
$50.32K
ZEVIA PBC-A
812,763
1,062,763
250,000
0.20%
-$642.18K
▶
Decreased
· 21 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
FIRST CITIZENS BANCSHARES INC CL A
9,339
7,886
-1,453
2.42%
-$5.18M
CALIFORNIA RESOU
230,000
209,000
-21,000
2.35%
$4.18M
CACI INTL-A
26,200
25,100
-1,100
2.22%
-$308.48K
Constellium SE, Class A
603,379
497,379
-106,000
1.99%
$851.88K
EVERGY INC
164,000
148,000
-16,000
1.97%
$235.80K
DOLLAR TREE INC
135,125
110,125
-25,000
1.96%
-$4.56M
ADEIA INC
585,000
487,000
-98,000
1.90%
$1.61M
CAMECO CORP
125,789
106,789
-19,000
1.89%
$89.92K
ARITZIA INC-SUB
163,216
127,216
-36,000
1.69%
-$3.57M
DENISON MINES CO
3,327,000
2,714,000
-613,000
1.56%
$730.60K
CROWN HOLDINGS INC
118,642
90,642
-28,000
1.48%
-$3.13M
NEOGEN CORP
1,116,609
968,609
-148,000
1.46%
$1.19M
CEVA INC
511,000
471,000
-40,000
1.43%
-$2.20M
U-HAUL HOLDING CO
217,800
183,800
-34,000
1.43%
-$2.20M
NLIGHT INC
416,717
151,023
-265,694
1.40%
-$7.02M
MIRION TECHNOLOGIES INC-A
585,000
460,240
-124,760
1.39%
-$5.14M
AXIS CAPITAL HOLDINGS LTD
130,000
79,000
-51,000
1.30%
-$5.91M
PDF SOLUTIONS INC
344,000
220,000
-124,000
1.17%
-$2.62M
UNIVERSAL INSURANCE HLDGS INC
215,000
158,000
-57,000
0.88%
-$1.87M
PLANET LABS PBC A
313,000
183,000
-130,000
0.83%
-$1.06M
PENGUIN SOLUTIONS INC
582,782
173,782
-409,000
0.50%
-$8.34M
▶
Unchanged
· 21 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
TEXAS CAPITAL BANCSHARES INC
180,737
180,737
0
2.79%
$784.40K
ENVISTA HOLDINGS CORP
663,643
663,643
0
2.74%
$2.43M
BROOKFIELD RENEW
302,300
302,300
0
1.96%
$450.43K
BWX TECHNOLOGIES INC
54,500
54,500
0
1.81%
$1.72M
CORE & MAIN IN-A
202,000
202,000
0
1.62%
-$519.14K
HONEST CO INC (THE)
2,548,546
2,548,546
0
1.22%
$917.48K
VICI PROPERTIES
268,000
268,000
0
1.19%
-$214.40K
VF CORP
423,975
423,975
0
1.17%
-$462.13K
KORNIT DIGITAL LTD
447,000
447,000
0
1.07%
$125.16K
NEXGEN ENERGY LT
547,655
547,655
0
1.03%
$1.31M
SKYRYSE INC SERIES C PREFERRED STOCK
222,022
222,022
0
0.98%
$932
MAMA'S CREATIONS INC
380,000
380,000
0
0.95%
$703.00K
PVH CORP
79,000
79,000
0
0.90%
$216.46K
ADV MICRO DEVICE
25,000
25,000
0
0.83%
-$268.25K
FLOOR & DECOR-A
94,000
94,000
0
0.78%
-$948.46K
ZENAS BIOPHARMA INC
243,812
243,812
0
0.78%
-$4.09M
ORIC PHARMACEUTICALS INC
370,000
370,000
0
0.76%
$1.66M
LEGEND BIOTECH CORP SPON ADR
200,821
200,821
0
0.59%
-$733.00K
CONTRA ALBIREO PHARMA
150,750
150,750
0
0.06%
-$194
SAMBATV COMMON SHARES
15,368
15,368
0
0.03%
-$36.58K
SAMBATV COMMON SHARES IN ESCROW
9,625
9,625
0
0.02%
-$21.85K
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