MGPSX
MID-CAP GROWTH PROFUND
ProFunds
Index fund

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.

Jan 31, 2026 → Apr 30, 2026

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

Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
SITIME CORP 0 62 62 0.72% $34.85K
ARROWHEAD PHARMACEUTICALS INC 0 392 392 0.59% $28.80K
CARETRUST REIT INC 0 623 623 0.51% $24.58K
MOOG INC-CLASS A 0 79 79 0.49% $23.80K
DIGITALOCEAN HOLDINGS INC 0 222 222 0.44% $21.41K
INTERDIGITAL INC 0 72 72 0.44% $21.35K
SOLSTICE ADV MAT 0 234 234 0.39% $19.18K
VICOR CORPORATION 0 64 64 0.35% $17.23K
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
CIENA CORP 363 0 -363 0.00% -$91.41K
COHERENT CORP 405 0 -405 0.00% -$85.93K
LUMENTUM HOLDINGS INC 183 0 -183 0.00% -$71.71K
CASEY'S GENERAL 96 0 -96 0.00% -$58.22K
ECHOSTAR CORP CL A 347 0 -347 0.00% -$39.29K
ZOOMINFO TECHNOLOGIES INC 409 0 -409 0.00% -$3.29K
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
FLEX LTD 952 1,026 74 1.93% $33.92K
TECHNIPFMC PLC 1,041 1,129 88 1.75% $27.31K
CURTISS WRIGHT CORPORATION 95 104 9 1.54% $12.52K
XPO LOGISTICS INC 302 327 25 1.48% $27.25K
UNITED THERAPEUTICS CORP DEL 111 120 9 1.41% $16.45K
FABRINET 92 100 8 1.41% $23.32K
MASTEC INC 158 172 14 1.39% $29.78K
NVENT ELECTRIC 415 451 36 1.33% $17.86K
PURE STORAGE INC CL A 804 875 71 1.29% $6.61K
TWILIO INC CLASS A 390 422 32 1.28% $15.50K
WOODWARD INC 154 167 13 1.25% $11.67K
CARPENTER TECHNOLOGY CORP 128 138 10 1.22% $18.41K
ATI INC 350 379 29 1.21% $16.81K
BWX TECHNOLOGIES INC 235 256 21 1.14% $7.12K
RB GLOBAL INC 478 519 41 1.11% -$155
ROYAL GOLD INC 209 226 17 1.08% -$2.29K
RBC BEARINGS INC 81 88 7 1.08% $12.25K
ITT INC 219 241 22 1.06% $11.73K
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 165 181 16 1.05% $14.83K
API GROUP CORP 953 1,071 118 1.01% $9.35K
TALEN ENERGY CORP 118 126 8 0.96% $5.82K
TTM TECHNOLOGIES INC 266 288 22 0.94% $19.45K
TEMPUR SEALY INTERNATIONAL INC 540 586 46 0.91% -$2.99K
STERLING INFRASTRUCTURE INC 79 85 6 0.90% $15.55K
TENET HEALTHCARE CORP 226 246 20 0.90% $794
MKS INSTRUMENTS INC 123 132 9 0.77% $8.50K
NEUROCRINE BIOSCIENCES INC 257 280 23 0.76% $1.90K
FIVE BELOW INC 142 153 11 0.74% $8.84K
PENUMBRA INC 101 110 9 0.74% -$262
NEW YORK TIMES CO CL A 416 452 36 0.73% $5.22K
OKTA INC CL A 434 473 39 0.72% -$1.83K
RAMBUS INC 277 300 23 0.71% $3.00K
JAZZ PHARMACEUTI 156 170 14 0.71% $8.85K
DYCOM INDUSTRIES INC 75 83 8 0.71% $7.04K
BURLINGTON STORES INC 98 107 9 0.70% $5.25K
TOPBUILD CORP 72 77 5 0.70% $388
HECLA MINING CO 1,725 1,871 146 0.69% -$5.13K
GUIDEWIRE SOFTWARE INC 219 237 18 0.67% $1.97K
KRATOS DEFENSE and SEC SOLTN INC 435 515 80 0.67% -$12.34K
EXELIXIS INC 690 725 35 0.66% $3.70K
CACI INTL-A 57 62 5 0.66% -$3.16K
COCA COLA CONSOLIDATED INC 146 157 11 0.66% $10.00K
NEXTRACKER INC CL A 248 270 22 0.66% $3.13K
ELANCO ANIMAL HEALTH INC 1,279 1,387 108 0.64% $229
DT MIDSTREAM INC 188 205 17 0.62% $6.65K
SPX TECHNOLOGIES INC 128 138 10 0.62% $3.53K
MUELLER INDUSTRIES INC 206 223 17 0.62% $2.16K
DYNATRACE INC 776 834 58 0.62% $641
ENSIGN GROUP INC 148 161 13 0.62% $4.65K
TEXAS ROADHOUSE INC 170 185 15 0.61% -$793
ILLUMINA INC 212 230 18 0.60% -$1.55K
GLOBUS MEDICAL INC 287 311 24 0.58% $2.02K
ENCOMPASS HEALTH CORP 259 280 21 0.58% $3.52K
LINCOLN ELECTRIC HLDGS INC 96 105 9 0.57% $2.35K
LATTICE SEMICONDUCTOR CORP 208 225 17 0.57% $10.76K
MEDPACE HOLDINGS INC 57 63 6 0.54% -$6.83K
FLOWSERVE CORP 327 354 27 0.54% $514
CHART INDUSTRIES INC 114 124 10 0.53% $2.14K
EAST WEST BNCRP 181 196 15 0.51% $4.07K
ENTEGRIS INC 156 170 14 0.49% $5.62K
FIRSTCASH HOLDINGS INC 100 109 9 0.49% $6.74K
WP CAREY INC 299 323 24 0.48% $2.70K
TETRA TECH INC 673 728 55 0.48% -$1.82K
AFFIL MANAGERS 72 78 6 0.47% $442
FIRST INDUSTRIAL REALTY TRUST 341 369 28 0.47% $3.09K
WATTS WATER TECH INC CL A 71 76 5 0.47% $1.56K
CLEAN HARBORS INC 66 72 6 0.46% $5.36K
ENERSYS INC 95 104 9 0.46% $5.06K
PINTEREST INC CL A 1,044 1,110 66 0.45% -$1.28K
EVERCORE INC A 62 67 5 0.44% -$376
OMEGA HEALTHCARE INVESTORS INC 411 446 35 0.43% $2.91K
HALOZYME THERAPEUTICS INC 303 329 26 0.43% -$784
ROIVANT SCIENCES 654 730 76 0.43% $6.69K
ANTERO MIDSTREAM CORP 858 924 66 0.42% $4.05K
KINSALE CAPITAL GROUP INC 57 62 5 0.41% -$2.50K
LAMAR ADVERTISING CO CL A 134 145 11 0.41% $2.79K
HEXCEL CORPORATION 205 212 7 0.41% $2.92K
ONTO INNOVATION INC 61 67 6 0.41% $7.44K
TRANSUNION 260 278 18 0.41% -$807
RENAISSANCERE 62 64 2 0.40% $2.18K
UL SOLUTIONS INC CL A 194 216 22 0.40% $5.92K
ORMAT TECHNOLOGIES INC 156 170 14 0.40% $42
HEALTHEQUITY INC 222 238 16 0.40% $504
DONALDSON CO INC 200 216 16 0.39% -$1.34K
GRACO INC 218 236 18 0.39% -$94
CHURCHILL DOWNS INC 171 185 14 0.38% $1.86K
NUTANIX INC CL A 418 453 35 0.38% $2.08K
EASTGROUP PROP 85 92 7 0.38% $3.07K
STIFEL FINANCIAL CORP 144 234 90 0.38% $686
VALARIS LTD 167 180 13 0.38% $8.72K
APPLIED INDU TEC 53 58 5 0.36% $3.93K
AAON INC 174 190 16 0.36% $1.88K
CARLISLE COS INC 46 49 3 0.36% $1.73K
EQUITY LIFESTYLE PPTYS INC 254 275 21 0.36% $1.36K
AEROVIRONMENT INC 82 89 7 0.36% -$5.47K
GAMING AND LEISURE PROPRTI INC 328 356 28 0.35% $2.57K
ADVANCED DRAINAGE SYSTEMS INC 103 113 10 0.35% $1.21K
ACUITY INC 53 58 5 0.35% $417
DICKS SPORTING GOODS INC 68 74 6 0.35% $3.06K
SERVICE CORP INTERNATIONAL INC 191 207 16 0.34% $1.41K
BIOMARIN PHARMACEUTICAL INC 282 307 25 0.34% $606
VALMONT INDUSTRIES INC 30 32 2 0.33% $2.89K
EQUITABLE HOLDINGS INC 354 380 26 0.33% -$390
HIMS & HERS HEAL 537 582 45 0.33% $1.27K
PLANET FITNESS INC CL A 214 231 17 0.32% -$4.08K
DOCUSIGN INC 306 330 24 0.31% -$901
RPM INTL INC 135 147 12 0.31% $538
CELSIUS HOLDINGS INC 411 446 35 0.31% -$6.60K
OLLIES BARGAIN OUTLET HOLDINGS INC 158 172 14 0.31% -$2.55K
NEWMARKET CORP 20 22 2 0.31% $1.45K
PRIMERICA INC 48 52 4 0.30% $2.00K
MP MATERIALS CORP 205 221 16 0.30% $2.55K
SABRA HEALTHCARE REIT INC 642 705 63 0.30% $2.54K
CARLYLE GROUP INC (THE) 261 283 22 0.29% -$1.17K
BOYD GAMING CORP 149 161 12 0.29% $1.40K
EXLSERVICE HOLDINGS INC 409 439 30 0.29% -$2.02K
MANHATTAN ASSOCIATES INC 95 101 6 0.29% -$419
SEI INVESTMENTS 141 153 12 0.29% $1.49K
NATL FUEL GAS CO 144 164 20 0.28% $1.78K
AUTOLIV INC 112 119 7 0.28% $217
AECOM 150 159 9 0.27% -$1.09K
HYATT HOTELS CORP CL A 74 79 5 0.27% $1.67K
OLD REPUBLIC INTL CORP 305 331 26 0.27% $1.28K
CIRRUS LOGIC INC 75 80 5 0.27% $3.27K
MASIMO CORP 67 73 6 0.27% $3.82K
GRAND CANYON EDUCATION INC 71 77 6 0.27% $676
PAYLOCITY HOLDING CORP 113 122 9 0.26% -$2.38K
COGNEX CORP 216 230 14 0.26% $4.40K
CULLEN FROST BANKERS INC 82 88 6 0.26% $1.45K
WINGSTOP INC 72 77 5 0.26% -$6.48K
STAG INDUSTRIAL INC CL A 293 326 33 0.26% $1.59K
OSHKOSH CORP 75 80 5 0.26% $1.72K
CRANE CO 64 70 6 0.26% $752
HOULIHAN LOKEY I 74 80 6 0.25% -$76
FEDERATED HERMES INC 190 206 16 0.25% $1.84K
BRIXMOR PROPERTY 362 394 32 0.24% $2.16K
DROPBOX INC CL A 449 488 39 0.24% $413
VALVOLINE INC 327 356 29 0.24% $1.13K
CYTOKINETICS INC 170 184 14 0.24% $1.03K
LITTELFUSE INC 27 29 2 0.24% $2.98K
CORE & MAIN IN-A 216 232 16 0.24% $160
TRAVEL+LEISURE CO 166 180 14 0.24% $95
CUBESMART 264 287 23 0.24% $1.71K
AGREE REALTY CORP 133 150 17 0.24% $1.96K
IDACORP INC 72 78 6 0.24% $1.96K
GATX CORP 53 58 5 0.23% $1.72K
APPFOLIO INC - A 59 68 9 0.23% $159
CHEWY INC- CL A 388 446 58 0.23% $43
CAVA GROUP INC 108 118 10 0.23% $4.48K
SIMPSON MFG 52 57 5 0.22% $1.68K
LANTHEUS HOLDING 118 127 9 0.22% $2.85K
ALLEGRO MICROSYSTEMS INC 201 220 19 0.22% $3.25K
SILICON LABS 45 49 4 0.22% $4.26K
AMKOR TECHNOLOGY INC 141 152 11 0.22% $3.79K
KIRBY CORP 64 70 6 0.22% $3.01K
AMERICAN FINL GROUP INC OHIO 71 77 6 0.21% $1.01K
MSA SAFETY INC 57 61 4 0.21% $52
SOTERA HEALTH CO 534 649 115 0.21% $422
NNN REIT INC 210 229 19 0.21% $1.28K
REPLIGEN CORP 75 80 5 0.19% -$1.74K
EAGLE MATERIALS INC 42 45 3 0.19% $895
PEGASYSTEMS INC 236 256 20 0.19% -$954
UIPATH INC -CL A 825 908 83 0.19% -$1.03K
WYNDHAM HOTELS and RESORTS INC 103 113 10 0.19% $1.70K
WEATHERFORD INTE 78 83 5 0.19% $1.82K
NEXSTAR MEDIA GROUP INC 40 44 4 0.19% $663
LivaNova PLC ORD GBP1.00 (DI) 141 152 11 0.19% -$130
DOXIMITY INC-A 354 373 19 0.19% -$4.15K
OPTION CARE HEALTH INC 409 443 34 0.19% -$4.90K
SPROUTS FMRS MKT INC 100 110 10 0.19% $1.91K
BRINK'S CO/THE 76 82 6 0.18% -$902
QUALYS INC 92 100 8 0.18% -$3.44K
BENTLEY SYSTEM-B 242 263 21 0.18% $80
WEX INC 52 57 5 0.18% $566
DUOLINGO INC 71 76 5 0.17% -$1.15K
MGIC INVT CORP 294 313 19 0.17% $374
STANDARDAERO INC 308 329 21 0.17% -$1.34K
CHEMED CORP 18 19 1 0.17% $386
HANOVER INSURANCE GROUP INC 39 43 4 0.17% $1.28K
HILTON GRAND VACATIONS INC 154 168 14 0.16% $944
FORTUNE BRANDS INNOVATIONS INC 176 192 16 0.16% -$1.74K
BIO RAD LABS CL A 26 27 1 0.16% -$73
COMMVAULT SYSTEMS INC 69 74 5 0.15% $1.40K
RYAN SPECIALTY HOLDINGS INC 193 210 17 0.15% -$2.02K
GENPACT LTD 194 208 14 0.15% -$1.33K
ELF BEAUTY INC 103 111 8 0.15% -$1.65K
SLM CORP 287 306 19 0.15% -$730
ESAB CORP 65 70 5 0.14% -$993
ESSENT GROUP LTD 105 113 8 0.14% $232
TXNM ENERGY INC 103 113 10 0.14% $605
SPIRE INC 65 71 6 0.13% $982
VONTIER CORP W/I 164 174 10 0.13% $93
VAIL RESORTS INC 45 49 4 0.13% $244
EPR PROPERTIES 102 111 9 0.13% $662
WARNER MUSIC GRP CORP CL A 199 219 20 0.13% $225
TEXAS CAPITAL BANCSHARES INC 58 61 3 0.13% $275
BRUKER CORP 151 166 15 0.13% -$594
NOVANTA INC 43 47 4 0.13% $303
CROCS INC 56 59 3 0.12% $1.32K
FTI CONSULTING INC 31 33 2 0.12% $502
H&R BLOCK INC 169 185 16 0.12% -$797
KNIFE RIVER HOLDING CO W/I 58 63 5 0.12% $1.93K
AVIS BUDGET GROUP 30 32 2 0.12% $2.33K
BELDEN INC 47 51 4 0.12% $214
HAMILTON LANE INC - A 57 62 5 0.12% -$2.35K
GENTEX CORP 226 246 20 0.12% $485
MSC INDUSTRIAL DIRECT CO CL A 49 54 5 0.11% $1.39K
SHIFT4 PAYMENTS INC 113 123 10 0.11% -$1.23K
NORTHWESTERN ENERGY GROUP INC 70 75 5 0.11% $675
MAXIMUS INC 78 82 4 0.11% -$1.99K
MATTEL INC 320 347 27 0.11% -$1.45K
MORNINGSTAR INC 30 31 1 0.11% -$833
INTL BANCSHARES 65 71 6 0.10% $567
YETI HOLDINGS INC 118 127 9 0.10% -$382
PARSONS CORP 92 98 6 0.10% -$1.51K
FIRST FINL BANKSHARES INC 141 153 12 0.10% $451
EXPONENT INC 67 73 6 0.10% $68
DOLBY LABORATORIES INC CL A 71 76 5 0.10% $317
UNIVERSAL DISPLAY CORP 50 55 5 0.10% -$951
HAEMONETICS CORP MASS 72 78 6 0.10% -$112
BILL HOLDINGS INC 112 121 9 0.09% -$237
ABERCROMBIE & FI 50 53 3 0.09% -$358
CORPORATE OFFICE PROPERTIES TR 122 132 10 0.08% $366
NATIONAL STORAGE AFFILIATES TRUST 77 83 6 0.07% $1.08K
MARZETTI COMPANY/THE 26 27 1 0.07% -$943
CHOICE HOTELS INTL INC 31 33 2 0.07% $83
CAPRI HOLDINGS L 147 160 13 0.06% -$196
CRANE NXT CO 55 60 5 0.06% -$98
BELLRING BRANDS INC 133 135 2 0.05% -$905
BLACKBAUD INC 47 51 4 0.04% -$628
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
ADV ENERGY INDS 200 106 -94 0.84% -$10.38K
AMERICAN HEALTHCARE REIT INC 570 303 -267 0.32% -$11.35K
DUTCH BROS INC-A 380 199 -181 0.24% -$9.22K
Invesco Government & Agency Portfolio, Institutional Class 33,614 8,882 -24,732 0.18% -$24.73K
US ULTRA BOND CBT Sep25 17,000 2,000 -15,000 0.04% -$15.00K
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
GRAHAM HOLDINGS CO 4 4 0 0.09% -$176

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