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
PINNACLE FINANCIAL PARTNERS INC
0
143,524
143,524
1.71%
$12.36M
REGAL REXNORD CORP
0
49,371
49,371
1.28%
$9.25M
MERCURY SYSTEMS INC
0
103,670
103,670
1.04%
$7.56M
WEATHERFORD INTERNATIONAL PLC
0
55,429
55,429
0.72%
$5.24M
ECHOSTAR CORP CL A
0
31,656
31,656
0.51%
$3.71M
SANDISK CORPORATION
0
4,543
4,543
0.40%
$2.89M
HARMONY BIOSCIENCES HOLDINGS INC
0
87,900
87,900
0.34%
$2.46M
TERADATA CORP
0
95,600
95,600
0.34%
$2.45M
ENTEGRIS INC
0
20,559
20,559
0.33%
$2.41M
TYLER TECHNOLOGIES INC
0
6,589
6,589
0.31%
$2.26M
GARRETT MOTION INC
0
121,100
121,100
0.30%
$2.20M
VISTANCE NETWORKS INC
0
120,400
120,400
0.30%
$2.19M
DYNATRACE INC
0
59,204
59,204
0.30%
$2.19M
FORTIVE CORP
0
37,000
37,000
0.28%
$2.05M
MAPLEBEAR INC
0
52,900
52,900
0.27%
$1.98M
SIRIUS XM HOLDINGS INC
0
84,200
84,200
0.27%
$1.94M
BANK OZK
0
41,900
41,900
0.27%
$1.92M
AVNET INC
0
31,200
31,200
0.27%
$1.92M
WESTLAKE CORP
0
16,019
16,019
0.26%
$1.87M
CENTRAL GARDEN and PET CO CL A
0
56,549
56,549
0.25%
$1.83M
LYFT INC-A
0
137,500
137,500
0.25%
$1.83M
QORVO INC
0
21,100
21,100
0.23%
$1.63M
GIGACLOUD TECHNOLOGY INC A
0
35,900
35,900
0.23%
$1.63M
AVISTA CORP
0
39,000
39,000
0.22%
$1.57M
LIVERAMP HOLDINGS INC
0
58,600
58,600
0.21%
$1.55M
BOOZ ALLEN HAMILTON HLDG CL A
0
19,400
19,400
0.21%
$1.51M
SCIENCE APPLICATIONS INTERNATIONAL CORP
0
15,500
15,500
0.20%
$1.47M
ZOOMINFO TECHNOLOGIES INC
0
244,700
244,700
0.20%
$1.46M
SUN COUNTRY HOLD
0
86,300
86,300
0.20%
$1.43M
MAXIMUS INC
0
21,900
21,900
0.19%
$1.40M
INTERFACE INC
0
55,400
55,400
0.19%
$1.38M
JM SMUCKER CO/THE
0
13,400
13,400
0.18%
$1.29M
G-III APPAREL GROUP LTD
0
45,200
45,200
0.17%
$1.25M
KENNAMETAL INC
0
32,600
32,600
0.16%
$1.18M
QUANEX BUILDING PRODUCTS
0
58,948
58,948
0.15%
$1.06M
LUMENTUM HOLDINGS INC
0
1,495
1,495
0.15%
$1.05M
SIMPLY GOOD FOODS CO
0
71,200
71,200
0.14%
$1.02M
JACKSON FINANCIAL INC
0
9,400
9,400
0.14%
$993.77K
YELP INC
0
39,500
39,500
0.13%
$977.23K
RIGEL PHARMACEUTICALS INC
0
35,000
35,000
0.13%
$946.40K
PENNYMAC MORTGAGE INV TRUST
0
79,500
79,500
0.13%
$926.97K
COLUMBUS MCKI/NY
0
51,500
51,500
0.10%
$748.30K
iShares Trust RUSSELL 2000 VALUE ETF
0
2,234
2,234
0.06%
$423.54K
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
SYNOVUS FINL
205,234
0
-205,234
0.00%
-$10.27M
KEMPER CORP
137,236
0
-137,236
0.00%
-$5.56M
CADENCE BANK
105,216
0
-105,216
0.00%
-$4.51M
PTC INC
22,630
0
-22,630
0.00%
-$3.94M
PROGRESS SOFTWARE CORP
90,823
0
-90,823
0.00%
-$3.90M
MODINE MFG CO
14,650
0
-14,650
0.00%
-$1.96M
HELMERICH & PAYN
60,200
0
-60,200
0.00%
-$1.73M
WIX.COM LTD
14,181
0
-14,181
0.00%
-$1.47M
TEGNA INC
69,900
0
-69,900
0.00%
-$1.36M
MGM RESORTS INTERNATIONAL
32,900
0
-32,900
0.00%
-$1.20M
GATES INDUSTRIAL CORP PLC
49,500
0
-49,500
0.00%
-$1.06M
MOSAIC CO/THE
37,000
0
-37,000
0.00%
-$891.33K
CORE NATURAL RESOURCES INC
8,884
0
-8,884
0.00%
-$786.32K
PLAYTIKA HOLDING CORP
189,100
0
-189,100
0.00%
-$746.94K
SUNCOKE ENERGY INC
76,500
0
-76,500
0.00%
-$550.80K
SM ENERGY CO
26,300
0
-26,300
0.00%
-$491.81K
AUTONATION INC
2,300
0
-2,300
0.00%
-$474.90K
UNITI GROUP INC
64,606
0
-64,606
0.00%
-$452.89K
CONAGRA BRANDS INC
17,400
0
-17,400
0.00%
-$301.19K
XEROX HOLDINGS CORP
61,300
0
-61,300
0.00%
-$145.28K
BUNGE GLOBAL SA
1,150
0
-1,150
0.00%
-$102.44K
EMPLOYERS HOLDINGS INC
600
0
-600
0.00%
-$25.90K
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
SOUTHSTATE BANK CORP
105,258
133,859
28,601
1.71%
$2.48M
BRIXMOR PROPERTY
339,619
399,134
59,515
1.59%
$2.59M
CHESAPEAKE UTILITIES CORP
52,291
80,049
27,758
1.40%
$3.59M
VOYA FINANCIAL INC
92,197
145,936
53,739
1.38%
$3.10M
WYNDHAM HOTELS and RESORTS INC
78,805
122,217
43,412
1.37%
$3.97M
COLUMBIA BANKING SYSTEMS INC
308,793
361,092
52,299
1.37%
$1.27M
FLEX LTD
136,995
150,744
13,749
1.36%
$1.59M
VALVOLINE INC
224,111
291,968
67,857
1.36%
$3.32M
WESCO INTL
27,626
34,154
6,528
1.29%
$2.59M
CARETRUST REIT INC
211,030
254,574
43,544
1.29%
$1.70M
HELIOS TECHNOLOGIES INC
123,341
141,291
17,950
1.26%
$2.55M
STIFEL FINANCIAL CORP
68,055
123,111
55,056
1.26%
$578.52K
DICKS SPORTING GOODS INC
41,625
44,331
2,706
1.21%
$549.89K
IDEX CORPORATION
29,836
45,359
15,523
1.19%
$3.29M
STEVEN MADDEN LTD
139,062
253,150
114,088
1.19%
$2.80M
QUAKER HOUGHTON
51,078
68,748
17,670
1.18%
$1.53M
BELDEN INC
52,281
67,610
15,329
1.07%
$1.67M
TEMPUR SEALY INTERNATIONAL INC
67,141
97,312
30,171
0.99%
$1.20M
TRANSUNION
90,092
99,765
9,673
0.95%
-$822.65K
O-I GLASS INC
429,434
597,918
168,484
0.87%
-$54.33K
JOHN BEAN TECHNOLOGIES CORP
47,565
48,956
1,391
0.86%
-$906.61K
CACI INTL-A
8,585
10,908
2,323
0.82%
$1.36M
OSHKOSH CORP
29,200
35,900
6,700
0.73%
$1.62M
INCYTE CORP
46,300
50,800
4,500
0.66%
$208.24K
ENERSYS INC
16,100
27,400
11,300
0.66%
$2.40M
OMNICELL INC
67,653
141,828
74,175
0.65%
$1.67M
EXELIXIS INC
89,500
108,300
18,800
0.64%
$722.20K
HUB GROUP INC CL A
81,970
128,199
46,229
0.64%
$1.13M
Icon Public Limited Company
39,022
40,375
1,353
0.62%
-$2.64M
MATADOR RESOURCES COMPANY
64,800
69,700
4,900
0.61%
$1.65M
NETAPP INC
28,800
41,300
12,500
0.58%
$1.14M
CNO FINANCIAL GROUP INC
79,400
101,700
22,300
0.58%
$803.68K
TD SYNNEX CORP
19,200
22,900
3,700
0.53%
$979.04K
ZIONS BANCORP NA
60,500
65,800
5,300
0.52%
$249.73K
AFFIL MANAGERS
9,500
13,500
4,000
0.52%
$996.79K
FIRST HORIZON CORP
135,800
159,000
23,200
0.50%
$373.22K
APA CORP
67,600
84,600
17,000
0.50%
$1.94M
TOLL BROTHERS INC
22,200
26,000
3,800
0.49%
$546.34K
ALBERTSONS COS INC CL A
103,000
206,000
103,000
0.48%
$1.74M
CITIZENS FINANCIAL GROUP INC
37,300
55,100
17,800
0.46%
$1.13M
FEDERATED HERMES INC
38,200
58,100
19,900
0.46%
$1.31M
HOST HOTELS & RE
152,700
166,100
13,400
0.44%
$475.10K
HF SINCLAIR CORP
42,700
51,000
8,300
0.44%
$1.21M
CF INDUSTRIES HOLDINGS INC
14,300
23,900
9,600
0.43%
$2.00M
MATCH GROUP INC
55,900
99,500
43,600
0.42%
$1.25M
UNIVERSAL HLTH-B
12,900
16,700
3,800
0.41%
$176.34K
RINGCENTRAL INC CL A
37,600
79,300
41,700
0.41%
$1.86M
EPR PROPERTIES
45,900
56,600
10,700
0.39%
$537.33K
TENET HEALTHCARE CORP
10,300
14,900
4,600
0.39%
$764.96K
DROPBOX INC CL A
102,800
123,100
20,300
0.39%
-$61.01K
POPULAR INC
18,700
20,300
1,600
0.38%
$395.13K
SONOCO PRODUCTS CO
33,600
49,100
15,500
0.37%
$1.19M
ATKORE INC
30,700
44,800
14,100
0.36%
$697.39K
NEWMARKET CORP
2,600
4,100
1,500
0.36%
$841.02K
RADIAN GROUP INC
69,500
77,300
7,800
0.35%
$55.78K
ADT INC
217,500
384,300
166,800
0.35%
$769.63K
TRAVEL+LEISURE CO
12,500
35,500
23,000
0.34%
$1.57M
REGIONS FINANCIAL CORP
72,400
93,400
21,000
0.34%
$477.57K
GAP INC/THE
42,200
98,600
56,400
0.33%
$1.31M
MONEYMKT
1,336,084
2,314,031
977,947
0.32%
$977.95K
MONEYMKT
1,336,084
2,314,031
977,947
0.32%
$977.95K
MSILF-GOVT-INS
1,336,084
2,314,031
977,947
0.32%
$977.95K
BlackRock Liquidity FedFund - Institutional Class
1,336,084
2,314,031
977,947
0.32%
$977.95K
ASSOCIATED BANC CORP
56,100
83,700
27,600
0.30%
$719.35K
GENPACT LTD
38,200
52,400
14,200
0.27%
$164.90K
PAR PACIFIC HOLDINGS INC
23,500
30,200
6,700
0.26%
$1.07M
VIATRIS INC
47,900
138,100
90,200
0.26%
$1.27M
ABM INDUSTRIES INC
33,200
48,400
15,200
0.26%
$460.01K
FRESH DEL MONTE PRODUCE INC
27,800
45,800
18,000
0.25%
$853.39K
PITNEY-BOWES INC
111,000
166,400
55,400
0.25%
$665.45K
CROCS INC
12,400
21,700
9,300
0.25%
$741.09K
PERDOCEO EDUCATION CORP
31,500
46,200
14,700
0.24%
$795.21K
GEN DIGITAL INC
85,600
90,900
5,300
0.24%
-$615.82K
BRINK'S CO/THE
9,900
16,300
6,400
0.23%
$533.54K
ZIFF DAVIS INC
21,100
40,100
19,000
0.23%
$940.93K
NETSCOUT SYSTEMS INC
36,613
51,900
15,287
0.23%
$659.15K
WORLD KINECT CORP
39,900
69,600
29,700
0.22%
$670.82K
MATTEL INC
103,800
109,200
5,400
0.22%
-$472.72K
WORTHINGTON INDUSTRIES INC
26,500
30,200
3,700
0.22%
$208.02K
BANK OF NT BUTTERFIELD & SON LTD/THE
9,200
28,550
19,350
0.21%
$1.04M
MILLERKNOLL INC
86,600
102,400
15,800
0.20%
-$102.34K
GRIFFON CORP
17,900
19,867
1,967
0.20%
$125.60K
PROG HOLDINGS INC
39,600
48,200
8,600
0.19%
$215.05K
DELUXE CORP
29,800
50,100
20,300
0.19%
$714.32K
MACYS INC
51,200
76,200
25,000
0.19%
$249.50K
HANCOCK WHITNEY CORP
17,900
21,000
3,100
0.18%
$195.52K
AMERICAN ASSETS TRUST INC
37,400
68,800
31,400
0.17%
$558.63K
UNIVERSAL INSURANCE HLDGS INC
11,600
36,800
25,200
0.17%
$865.01K
NCR ATLEOS CORP
18,600
28,200
9,600
0.17%
$520.11K
FIDELIS INSURANCE HOLDINGS LTD
17,717
59,600
41,883
0.16%
$792.23K
TABOOLA.COM LTD
156,200
364,000
207,800
0.16%
$408.32K
FIRST BANCORP PUERTO RICO
23,200
51,400
28,200
0.15%
$616.97K
CATHAY GENERAL BANCORP
16,300
21,000
4,700
0.14%
$258.30K
ARMADA HOFFLER PROPERTIES INC
100,700
187,900
87,200
0.14%
$366.82K
HOPE BANCORP INC
40,600
90,500
49,900
0.14%
$565.91K
NWPX INFRASTRUCTURE INC
6,764
12,764
6,000
0.14%
$571.12K
WESTERN UNION CO
66,100
112,000
45,900
0.14%
$362.37K
ENNIS INC
23,300
41,500
18,200
0.12%
$469.30K
ONEMAIN HOLDINGS INC
8,400
16,500
8,100
0.12%
$315.16K
SLM CORP
22,800
38,500
15,700
0.11%
$207.32K
BLOOMIN BRANDS INC
74,100
137,900
63,800
0.10%
$287.46K
GOODYEAR TIRE and RUBBER CO
70,000
110,600
40,600
0.10%
$120.08K
COVENANT LOGISTICS GROUP INC
19,800
27,000
7,200
0.10%
$296.66K
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
XPO LOGISTICS INC
59,389
55,229
-4,160
1.48%
$2.67M
US FOODS HOLDING CORP
132,442
114,562
-17,880
1.46%
$588.23K
MKS INSTRUMENTS INC
50,507
40,213
-10,294
1.28%
$1.17M
VIPER ENERGY INC A
185,150
174,307
-10,843
1.13%
$1.04M
ANTERO RESOURCES
223,090
170,943
-52,147
1.00%
-$432.86K
James Hardie Industries Public Limited Company
391,280
375,808
-15,472
0.98%
-$1.00M
INGEVITY CORP
115,973
98,094
-17,879
0.97%
$123.95K
RELIANCE STEEL and ALUMINUM CO
25,639
21,546
-4,093
0.90%
-$858.08K
BOISE CASCADE CO
104,403
81,822
-22,581
0.86%
-$1.48M
CAMDEN PROP TR
73,684
62,495
-11,189
0.84%
-$2.01M
JAZZ PHARMA PLC
36,500
31,300
-5,200
0.82%
-$287.74K
AMDOCS LTD
109,423
86,327
-23,096
0.78%
-$3.18M
TEXTRON INC
54,500
49,700
-4,800
0.60%
-$399.03K
RYDER SYSTEM INC
23,200
18,500
-4,700
0.52%
-$653.11K
TAPESTRY INC
37,600
25,600
-12,000
0.50%
-$1.19M
EXPEDIA INC
17,400
14,000
-3,400
0.45%
-$1.70M
UNITED AIRLINES HOLDINGS INC
31,900
31,500
-400
0.40%
-$666.85K
PULTEGROUP INC
27,300
22,400
-4,900
0.36%
-$566.73K
MGIC INVT CORP
107,200
97,200
-10,000
0.35%
-$580.88K
ADEIA INC
157,800
101,900
-55,900
0.34%
-$273.39K
MURPHY OIL CORP
61,600
50,600
-11,000
0.29%
$162.25K
JABIL INC
11,200
7,400
-3,800
0.27%
-$588.16K
NEXSTAR MEDIA GROUP INC
18,100
10,700
-7,400
0.27%
-$1.74M
ALLY FINANCIAL INC
70,700
49,200
-21,500
0.27%
-$1.27M
SYNCHRONY FINANCIAL
46,300
28,200
-18,100
0.26%
-$1.94M
VICTORY CAPITAL HOLDINGS INC CL A
39,300
27,600
-11,700
0.25%
-$672.19K
OUTFRONT MEDIA INC
93,299
66,600
-26,699
0.24%
-$483.61K
DAVITA INC
16,400
11,300
-5,100
0.24%
-$126.51K
OLD REPUBLIC INTL CORP
48,310
41,100
-7,210
0.23%
-$564.98K
OFG BANCORP
50,300
37,600
-12,700
0.21%
-$540.00K
STEEL DYNAMICS INC
12,000
7,200
-4,800
0.18%
-$737.40K
HUNTINGTON INGALLS INDUSTRIES INC
4,700
3,400
-1,300
0.18%
-$306.67K
EASTMAN CHEMICAL CO
26,200
16,200
-10,000
0.17%
-$435.96K
FIRST BUSEY CORP
74,400
47,500
-26,900
0.17%
-$569.65K
CNH INDUSTRIAL NV
133,100
107,620
-25,480
0.16%
-$43.36K
KOPPERS HOLDINGS
37,700
30,600
-7,100
0.16%
$162.69K
SCORPIO TANKERS INC
21,100
14,800
-6,300
0.15%
$32.46K
ESSENT GROUP LTD
26,800
17,800
-9,000
0.14%
-$702.04K
NATL FUEL GAS CO
32,200
10,300
-21,900
0.13%
-$1.61M
EL POLLO LOCO HO
91,000
69,400
-21,600
0.13%
$10.02K
BIOMARIN PHARMACEUTICAL INC
21,700
16,600
-5,100
0.13%
-$351.90K
APPLE HOSPITALITY REIT INC
103,500
77,300
-26,200
0.12%
-$336.75K
ACM RESEARCH INC-CLASS A
29,400
16,800
-12,600
0.09%
-$498.75K
ARCBEST CORP
20,700
4,518
-16,182
0.06%
-$1.09M
HAVERTY FURNITURE COS INC
28,300
16,700
-11,600
0.05%
-$307.38K
CSG SYSTEMS INTL INC
39,000
3,790
-35,210
0.04%
-$2.69M
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
ARROW ELECTRONICS INC
24,580
24,580
0
0.49%
$816.79K
ALLISON TRANSMISSION HLDGS INC
29,700
29,700
0
0.48%
$569.05K
PHOTRONICS INC
82,767
82,767
0
0.46%
$696.07K
FOX CORP CL A
55,500
55,500
0
0.45%
-$814.18K
BORGWARNER INC
57,300
57,300
0
0.43%
$527.16K
MOLSON COORS BEVERAGE CO B
67,600
67,600
0
0.40%
-$244.71K
Banco Latinoamericano de Comercio Exterior SA, Class E