Victory Trivalent International Fund - Core Equity
Victory Portfolios
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.
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
ENI SPA
0
62,252
62,252
0.62%
$1.77M
TELIA CO AB
0
319,917
319,917
0.57%
$1.64M
ROCHE HOLDING AG
0
3,806
3,806
0.53%
$1.52M
UNION BANK INDIA
0
821,892
821,892
0.50%
$1.44M
ENDEAVOUR MINING
0
22,104
22,104
0.47%
$1.33M
UCB SA
0
4,219
4,219
0.44%
$1.27M
ENDESA
0
28,361
28,361
0.41%
$1.19M
APR CORP/KOREA /KRW/ 0.00000000
0
5,169
5,169
0.41%
$1.18M
SBM OFFSHORE NV
0
25,112
25,112
0.35%
$1.00M
LOTTOMATICA GROU
0
33,522
33,522
0.34%
$967.81K
VESTAS WIND SYST
0
31,140
31,140
0.33%
$939.65K
AXIA ENERGIA
0
82,339
82,339
0.33%
$930.97K
BIZLINK HOLDING
0
16,000
16,000
0.32%
$918.89K
LAOPU GOLD CO -H
0
11,135
11,135
0.32%
$901.45K
Kioxia Holdings Corp. NPV
0
6,800
6,800
0.31%
$888.16K
DISCOVERY LTD COMMON STOCK
0
54,773
54,773
0.28%
$805.40K
BHARAT ELECTRON
0
186,710
186,710
0.28%
$799.04K
HARMONY GOLD MNG
0
52,039
52,039
0.28%
$795.35K
BUMRUNGRAD-NVDR
0
138,000
138,000
0.24%
$689.33K
SWEDISH KRONE
0
934,804
934,804
0.03%
$98.80K
INDIA RUPEE
0
946,098
946,098
0.00%
$9.98K
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
IBERDROLA SA
74,233
0
-74,233
0.00%
-$1.61M
NORTHERN STAR RE
85,955
0
-85,955
0.00%
-$1.51M
ROCHE HOLDINGS AG (GENUSSCHEINE)
3,526
0
-3,526
0.00%
-$1.46M
ICICI BANK LTD
97,092
0
-97,092
0.00%
-$1.45M
TELE2 AB-B SHS
75,950
0
-75,950
0.00%
-$1.27M
SHELL PLC
32,390
0
-32,390
0.00%
-$1.19M
PRADA SPA
195,800
0
-195,800
0.00%
-$1.13M
TECHNIP ENERGIES
24,993
0
-24,993
0.00%
-$951.70K
BIOMERIEUX
7,283
0
-7,283
0.00%
-$942.30K
SEA LTD ADR
6,663
0
-6,663
0.00%
-$850.00K
CENCOSUD SA
259,779
0
-259,779
0.00%
-$834.48K
Birkenstock Holding Plc
19,227
0
-19,227
0.00%
-$786.38K
REPLY SPA
5,796
0
-5,796
0.00%
-$775.99K
REDE D'OR SAO LU
103,294
0
-103,294
0.00%
-$765.15K
SHOPRITE HOLDINGS LTD COMMON STOCK
45,981
0
-45,981
0.00%
-$750.55K
FRESENIUS MEDICAL CARE AG COMMON STOCK
12,880
0
-12,880
0.00%
-$615.17K
POP MART INTERNA
25,400
0
-25,400
0.00%
-$612.83K
KANZHUN LTD CL A ADR
29,978
0
-29,978
0.00%
-$610.95K
EQUATORIAL SA -
84,000
0
-84,000
0.00%
-$589.66K
SOFTCAT PLC
30,245
0
-30,245
0.00%
-$575.61K
XIAOMI CORP-W
96,000
0
-96,000
0.00%
-$484.51K
OBEROI REALTY
24,800
0
-24,800
0.00%
-$461.33K
KOREAN WON
-0
0
0
0.00%
$0
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
ASML Holding NV
2,572
4,245
1,673
1.97%
$2.87M
Novartis AG (Registered)
29,664
32,031
2,367
1.72%
$829.20K
SK HYNIX INC
7,780
8,392
612
1.67%
$1.24M
ASTRAZENECA PLC
19,348
21,984
2,636
1.50%
$718.21K
BANCO SANTANDER SA
308,953
333,621
24,668
1.31%
$103.41K
SAMSUNG ELECTRONICS CO LTD
22,179
28,177
5,998
1.15%
$1.44M
TENCENT HOLDINGS LTD
48,300
52,100
3,800
1.15%
-$420.66K
SIEMENS ENERGY AG
17,499
18,895
1,396
1.14%
$803.29K
STANDARD CHARTER
142,484
153,859
11,375
1.12%
-$270.14K
SUMITOMO MITSUI FINL GROUP INC
89,275
96,375
7,100
1.11%
$297.56K
DPM METALS INC
82,144
88,790
6,646
1.09%
$587.69K
NORSK HYDRO ASA
250,775
270,797
20,022
1.01%
$951.51K
ABB Ltd. (Registered)
32,682
35,289
2,607
1.00%
$460.15K
FUJIKURA LTD
17,900
102,600
84,700
0.99%
$836.69K
ROLLS-ROYCE HOLDINGS PLC
155,822
168,263
12,441
0.89%
$146.47K
TOYOTA MOTOR CORP
90,900
119,900
29,000
0.87%
$540.12K
ANHEUSER-BUSCH INBEV SA/NV
33,012
35,646
2,634
0.86%
$347.31K
MIZUHO FINANCIAL
56,010
60,510
4,500
0.86%
$405.58K
LUNDIN MINING CORP
90,748
98,090
7,342
0.86%
$495.79K
SCHNEIDER ELECTR
8,210
8,863
653
0.84%
$167.93K
ITOCHU CORP
172,500
186,200
13,700
0.83%
$188.65K
ANZ GROUP HOLDIN
80,513
86,940
6,427
0.76%
$239.47K
HANA FINANCIAL G
25,785
27,817
2,032
0.71%
$345.70K
FAIRFAX FINL HLDGS LTD SUB VTG
1,100
1,189
89
0.71%
-$70.43K
ISH CORE EAFE
18,134
22,146
4,012
0.70%
$382.61K
ZURICH INSURANCE
2,619
2,826
207
0.70%
$15.67K
UNILEVER PLC
32,543
35,140
2,597
0.67%
-$197.02K
CAN IMPL BK COMM
18,757
20,274
1,517
0.67%
$221.10K
SONY GROUP CORP
82,400
89,000
6,600
0.65%
-$258.73K
INDITEX SA
12,719
31,755
19,036
0.65%
$1.01M
PROSUS NV
28,186
39,184
10,998
0.63%
$68.70K
DELTA ELEC
37,000
39,000
2,000
0.62%
$630.03K
ROYAL BANK OF CANADA
10,054
10,867
813
0.61%
$42.79K
AerCap Holdings N.V. (Ireland)
11,838
12,781
943
0.61%
$51.47K
RIO TINTO LTD
14,048
15,168
1,120
0.60%
$352.76K
MUENCHENER RUE-R
2,496
2,693
197
0.59%
$58.07K
COCA-COLA HBC AG
27,708
29,919
2,211
0.59%
$251.88K
OTSUKA HOLDINGS
22,000
23,700
1,700
0.59%
$437.71K
ENGIE
42,855
51,951
9,096
0.59%
$548.34K
CELESTICA INC SUB VTG
5,471
5,913
442
0.58%
$49.72K
REPSOL SA
54,775
59,148
4,373
0.58%
$642.77K
ORANGE
74,612
80,569
5,957
0.58%
$406.78K
DBS GROUP HLDGS
34,380
37,080
2,700
0.58%
$144.10K
HOLCIM LTD
18,147
19,594
1,447
0.57%
-$146.98K
BARCLAYS PLC
274,086
295,970
21,884
0.54%
-$205.43K
EURONEXT NV
8,900
9,609
709
0.54%
$206.00K
NUTRIEN LTD
18,788
20,308
1,520
0.54%
$373.40K
BNP PARIBAS
14,828
16,010
1,182
0.53%
$122.25K
SINGAP TECH ENG
166,000
179,300
13,300
0.53%
$437.20K
SHIONOGI & CO
63,300
68,300
5,000
0.53%
$365.14K
BOC HONG KONG HO
251,000
271,000
20,000
0.52%
$221.29K
Saudi Awwal Bank SAR10
117,463
149,485
32,022
0.52%
$480.92K
BANK OF CHINA-H
1,802,275
2,313,275
511,000
0.52%
$443.83K
KONAMI GROUP COR
11,000
11,900
900
0.51%
-$27.52K
TOKIO MARINE HOLDINGS INC COMMON STOCK
28,500
30,800
2,300
0.51%
$392.25K
RELIANCE INDUSTRIES LTD(DEMAT)DEMATERIALIZED SHS
93,088
100,429
7,341
0.51%
-$184.56K
NATIONAL GRID PL
54,585
84,973
30,388
0.50%
$597.03K
FINNING INTL INC
21,131
22,841
1,710
0.49%
$268.50K
DRAX GROUP PLC
110,706
119,545
8,839
0.49%
$165.75K
KONINKLIJKE AHOL
27,908
30,135
2,227
0.49%
$262.22K
OBAYASHI CORP
53,700
58,000
4,300
0.49%
$280.95K
SUNCOR ENERGY INC
19,403
20,973
1,570
0.49%
$526.11K
GENTERA SAB DE C
449,811
485,291
35,480
0.48%
$220.96K
BANKINTER
79,929
86,311
6,382
0.48%
$42.03K
SANDOZ GROUP AG
16,068
17,349
1,281
0.48%
$192.72K
BOLIDEN AB
23,968
25,880
1,912
0.47%
$29.30K
E.ON SE
56,812
61,345
4,533
0.47%
$267.72K
YOKOGAWA ELEC
39,900
43,100
3,200
0.47%
$52.30K
ARCELORMITTAL
23,568
25,448
1,880
0.46%
$237.45K
CAPGEMINI SE
7,543
11,120
3,577
0.46%
$59.57K
ARGENX SE
1,643
1,772
129
0.45%
-$99.99K
IPSEN
6,329
6,833
504
0.45%
$393.80K
PICC P&C-H
638,000
690,000
52,000
0.44%
-$71.20K
SWEDBANK AB-A
34,178
36,905
2,727
0.44%
$72.40K
WHITECAP RESOURC
102,868
111,192
8,324
0.44%
$393.12K
HEADWATER EXPLOR
125,408
135,557
10,149
0.44%
$396.14K
ASICS CORP
43,000
46,500
3,500
0.44%
$217.87K
HENKEL AG KGAA
14,981
16,176
1,195
0.44%
$27.29K
CENTRAL JAPAN RL
44,400
48,000
3,600
0.44%
$18.14K
NATL BANK GREECE
73,922
79,751
5,829
0.43%
$104.42K
BANK OF IRELAND GROUP PLC
62,837
67,852
5,015
0.43%
$29.21K
CCB-H
1,051,000
1,134,000
83,000
0.43%
$183.54K
VEOLIA ENVIRONNE
29,629
31,993
2,364
0.43%
$187.39K
HINDALCO INDS
118,924
128,302
9,378
0.42%
$39.62K
GALP ENERGIA SGPS SA
46,305
50,001
3,696
0.42%
$401.42K
BANK OF MONTREAL
8,098
8,753
655
0.41%
$133.95K
Wiwynn Corp. TWD10
10,000
11,000
1,000
0.41%
-$240.97K
ISHARES CORE MSCI EMERGING MUTUAL FUND
12,616
16,936
4,320
0.41%
$333.24K
3I GROUP PLC
33,425
36,091
2,666
0.41%
-$289.32K
PRIO SA
85,100
91,800
6,700
0.41%
$533.86K
NN GROUP
13,872
14,977
1,105
0.41%
$99.42K
SCREEN HOLDINGS
10,700
19,600
8,900
0.41%
$125.45K
VALLOUREC
42,618
46,019
3,401
0.41%
$382.01K
ALLIANZ SE (REGD)
2,538
2,737
199
0.40%
-$17.68K
HARBOUR ENERGY P
264,570
285,694
21,124
0.40%
$439.92K
RAIADROGASIL
230,214
248,414
18,200
0.39%
$146.57K
ORIX CORP
34,700
37,500
2,800
0.39%
$97.77K
TITAN SA
19,052
20,552
1,500
0.38%
-$96.35K
BRADESCO SA-PREF
264,100
284,900
20,800
0.37%
$189.75K
BRAMBLES LTD
61,365
66,264
4,899
0.36%
$102.88K
POWER FINANCE
235,805
254,402
18,597
0.36%
$94.70K
BYD COMPANY LTD H
69,700
75,200
5,500
0.36%
$176.30K
ASAHI KASEI CORP
96,700
104,400
7,700
0.36%
$161.94K
PUBLICIS GROUPE
11,326
12,229
903
0.35%
-$164.03K
GENMAB AS
3,476
3,752
276
0.35%
-$66.98K
ESSITY AKTIEBO-B
36,198
39,087
2,889
0.35%
-$33.11K
QANTAS AIRWAYS
158,824
171,505
12,681
0.35%
-$89.78K
RECRUIT HOLDINGS
13,100
23,000
9,900
0.35%
$266.00K
ABC-H
1,290,000
1,392,000
102,000
0.35%
$36.04K
EIFFAGE
5,829
6,292
463
0.34%
$129.75K
AXA
19,395
20,941
1,546
0.34%
$31.63K
CTBC FINANCIAL
544,000
587,000
43,000
0.33%
$84.80K
BANCA MEDIOLANUM
43,569
47,046
3,477
0.33%
-$36.14K
POWER GRID CORP
279,806
301,876
22,070
0.33%
$125.34K
QBE INSURANCE
59,169
63,893
4,724
0.33%
$159.46K
MATSUKIYOCOCOKAR
54,200
58,500
4,300
0.33%
-$3.66K
ELEMENT FLEET MA
39,667
42,877
3,210
0.33%
-$111.92K
KIA CORP
8,731
9,416
685
0.33%
$189.64K
AMRIZE LTD
15,431
16,661
1,230
0.32%
$85.87K
RELX PLC
26,038
28,115
2,077
0.32%
-$127.83K
HKEX
16,500
17,800
1,300
0.31%
$34.67K
SPIE SA
16,214
17,507
1,293
0.31%
-$58.13K
CHARTER HALL GRO
61,988
66,936
4,948
0.31%
-$136.02K
Advanced Info Service PLC.
70,600
76,100
5,500
0.30%
$167.58K
KLEPIERRE
21,285
22,983
1,698
0.30%
$20.64K
KONECRANES OYJ
8,093
26,211
18,118
0.30%
-$26.01K
INFORMA PLC
78,493
84,759
6,266
0.30%
-$80.00K
WUXI APPTEC CO LTD H
51,600
55,500
3,900
0.30%
$195.69K
UBS GROUP AG
19,416
20,965
1,549
0.29%
-$79.05K
TOYO SUISAN KAI
10,700
11,500
800
0.28%
$74.69K
GEA GROUP AG
10,440
11,272
832
0.28%
$102.79K
Suzuki Motor Corporation
61,400
66,300
4,900
0.28%
-$110.19K
NIPPON LIFE INDIA ASSET MANAGEMENT LTD
87,640
94,551
6,911
0.28%
-$53.08K
DAIWA HOUSE INDU
23,100
25,000
1,900
0.27%
$16.94K
GALAXY ENTERTAIN
160,000
173,000
13,000
0.27%
-$6.99K
MTU AERO ENGINES
1,954
2,108
154
0.27%
-$40.99K
INTL CONS AIRLIN
151,091
163,155
12,064
0.27%
-$70.01K
HYUNDAI ELECTRIC
1,224
1,318
94
0.26%
$89.65K
INFOSYS LTD COMMON STOCK
38,970
55,224
16,254
0.26%
$43.07K
BROOKFIELD CORP CL A
16,935
18,306
1,371
0.26%
-$35.75K
ARISTOCRAT LEISURE LTD COMMON STOCK
21,607
23,331
1,724
0.26%
-$94.90K
LONDONMETRIC PRO
281,809
304,310
22,501
0.26%
$16.65K
HON HAI
111,000
120,000
9,000
0.26%
-$80.11K
FUYAO GLASS IN-H
89,600
96,400
6,800
0.25%
-$49.31K
ETIHAD ETISALAT
37,915
40,903
2,988
0.25%
$46.16K
On Holding AG
19,323
20,863
1,540
0.25%
-$188.37K
ADANI PORTS AND
46,894
50,591
3,697
0.25%
-$59.97K
GILDAN ACTIVEWEAR INC
11,663
12,606
943
0.25%
-$26.94K
SHOPIFY INC CL A
5,288
5,715
427
0.24%
-$173.33K
GOODMAN GROUP
33,745
36,437
2,692
0.23%
-$40.23K
ASAHI GROUP HOLDINGS LTD COMMON STOCK
60,000
64,800
4,800
0.23%
$18.08K
HSBC US GOVT MMKT-I
264,863
633,144
368,281
0.22%
$368.28K
MAHINDRA & MAHIN
18,592
20,056
1,464
0.22%
-$138.74K
MONEYMKT
264,863
622,556
357,693
0.22%
$357.69K
Invesco Government & Agency Portfolio, Institutional Class