MUBFX
NYLI WMC Value Fund
NEW YORK LIFE INVESTMENTS FUNDS

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
64
Top-10 weight
26.01%
Effective holdings ?
55
Crowding ?
1157.9

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ALPHABET INC CL C 145,219 $49.16M 5.14%
2 JPMORGAN CHASE and CO 117,869 $36.05M 3.77%
3 JOHNSON&JOHNSON 133,979 $30.45M 3.19%
4 MERCK & CO 224,063 $24.71M 2.58%
5 CISCO SYSTEMS INC 251,934 $19.73M 2.06%
6 UNITEDHEALTH GRP 62,270 $17.87M 1.87%
7 GILEAD SCIENCES INC 125,834 $17.86M 1.87%
8 ELEVANCE HEALTH INC 50,427 $17.43M 1.82%
9 PFIZER INC 657,742 $17.39M 1.82%
10 MORGAN STANLEY 92,274 $16.87M 1.76%
11 M&T BANK CORP 76,114 $16.86M 1.76%
12 ACCENTURE PLC CL A 61,792 $16.29M 1.70%
13 PNC FINANCIAL SERVICES GRP INC 72,120 $16.10M 1.68%
14 SEMPRA ENERGY 182,364 $15.87M 1.66%
15 AMDOCS LTD DOX 193,356 $15.84M 1.66%
16 EMERSON ELECTRIC CO 105,035 $15.44M 1.61%
17 T-MOBILE US INC 77,301 $15.24M 1.59%
18 L3HARRIS TECHNOLOGIES INC 44,285 $15.18M 1.59%
19 METLIFE INC 189,551 $14.95M 1.56%
20 CHUBB LTD 48,226 $14.93M 1.56%
21 ANTERO RESOURCES 404,904 $14.73M 1.54%
22 PROGRESSIVE CORP OHIO 70,566 $14.68M 1.54%
23 ARCHER DANIELS MIDLAND CO 217,714 $14.65M 1.53%
24 CONOCOPHILLIPS 139,514 $14.54M 1.52%
25 MARSH & MCLENNAN 77,156 $14.52M 1.52%
26 Industria de Diseno Textil, S.A. ADR IDEXY 888,246 $14.43M 1.51%
27 PACCAR INC 116,960 $14.38M 1.50%
28 US FOODS HOLDING CORP 171,793 $14.37M 1.50%
29 AMERICAN INTERNATIONAL GROUP 191,340 $14.33M 1.50%
30 LPL FINL HLDGS INC 39,299 $14.32M 1.50%
31 TARGA RESOURCES CORP 70,416 $14.15M 1.48%
32 FERGUSON ENTERPRISES INC 55,619 $14.04M 1.47%
33 F5 INC 50,205 $13.84M 1.45%
34 RAYMOND JAMES FINANCIAL INC. 83,110 $13.78M 1.44%
35 JOHNSON CONTROLS INTERNATIONAL PLC 114,638 $13.67M 1.43%
36 CROWN CASTLE INC 156,421 $13.58M 1.42%
37 AMERICAN ELECTRIC POWER CO INC 112,930 $13.53M 1.42%
38 UNILEVER PLC-SPONSORED ADR DEPOSITARY RECEIPT UL 196,027 $13.40M 1.40%
39 NXP SEMICONDUCTORS NV 59,013 $13.35M 1.40%
40 ATMOS ENERGY CORP 79,684 $13.25M 1.39%
41 DICKS SPORTING GOODS INC 65,126 $13.16M 1.38%
42 KEURIG DR PEPPER INC 470,818 $12.92M 1.35%
43 ZOETIS INC CL A 97,915 $12.22M 1.28%
44 GAMING AND LEISURE PROPRTI INC 268,229 $12.00M 1.26%
45 BROADCOM INC 36,040 $11.94M 1.25%
46 KKR & CO INC 103,343 $11.81M 1.24%
47 ROCHE HOLDINGS AG (GENUSSCHEINE) 25,962 $11.78M 1.23%
48 NETAPP INC 121,811 $11.74M 1.23%
49 3M CO 75,854 $11.62M 1.22%
50 NASDAQ INC 119,677 $11.60M 1.21%
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