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
· 33 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
CIENA CORP
0
146,395
146,395
0.36%
$56.83M
LUMENTUM HOLDINGS INC
0
48,976
48,976
0.22%
$34.42M
AON PLC
0
106,509
106,509
0.22%
$34.38M
PHILLIPS 66
0
170,107
170,107
0.20%
$30.99M
PULTEGROUP INC
0
199,179
199,179
0.15%
$23.43M
GUARDANT HEALTH INC
0
250,797
250,797
0.15%
$23.17M
NATERA INC
0
108,280
108,280
0.14%
$21.65M
MOTOROLA SOLUTIONS INC
0
46,555
46,555
0.13%
$20.20M
EATON CORP PLC
0
53,437
53,437
0.12%
$19.11M
JABIL INC
0
70,600
70,600
0.12%
$18.75M
AKAMAI TECHNOLOGIES INC
0
138,100
138,100
0.10%
$15.86M
WILLIS TOWERS WATSON PLC
0
49,900
49,900
0.09%
$14.51M
PENTAIR PLC
0
153,600
153,600
0.09%
$13.38M
AXON ENTERPRISE INC
0
31,486
31,486
0.09%
$13.37M
LYONDELLBASELL INDS CLASS A
0
150,600
150,600
0.08%
$12.13M
FIGURE TECHNOLOGY SOLUTIONS INC A
0
326,866
326,866
0.07%
$11.10M
LIVE NATION ENTERTAINMENT INC
0
72,200
72,200
0.07%
$11.01M
CHARLES RIVER LABS INTL INC
0
60,846
60,846
0.07%
$10.50M
INVESCO LTD
0
363,710
363,710
0.06%
$8.83M
STARBUCKS CORP
0
97,053
97,053
0.06%
$8.69M
TRACTOR SUPPLY CO.
0
167,800
167,800
0.05%
$7.60M
QNITY ELECTRONICS INC
0
59,745
59,745
0.04%
$6.89M
BRIGHTSPRING HEALTH SERVICES INC
0
156,401
156,401
0.04%
$6.66M
LPL FINL HLDGS INC
0
21,700
21,700
0.04%
$6.53M
REVVITY INC
0
65,688
65,688
0.04%
$5.75M
VIKING HOLDINGS LTD
0
66,800
66,800
0.03%
$4.91M
U.S. Treasury Bills
0
3,700,000
3,700,000
0.02%
$3.69M
MCCORMICK-N/V
0
45,900
45,900
0.01%
$2.32M
U.S. Treasury Bills
0
1,420,000
1,420,000
0.01%
$1.42M
SYSCO CORP
0
19,100
19,100
0.01%
$1.36M
S&P500 EMINI FUT MAR26
0
176
176
0.01%
$1.29M
UST BILLS 0% 05/14/2026
0
1,070,000
1,070,000
0.01%
$1.07M
U.S. Treasury Bills
0
258,000
258,000
0.00%
$254.90K
▶
Exited
· 40 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
QUALCOMM INC
344,171
0
-344,171
0.00%
-$58.87M
ACCENTURE PLC CL A
175,863
0
-175,863
0.00%
-$47.18M
DATADOG INC CL A
210,563
0
-210,563
0.00%
-$28.63M
HUBBELL INC
60,282
0
-60,282
0.00%
-$26.77M
NVR INC
3,162
0
-3,162
0.00%
-$23.06M
HARTFORD INSURANCE GROUP INC/THE
147,127
0
-147,127
0.00%
-$20.27M
BEONE MEDICINES LTD ADR
57,859
0
-57,859
0.00%
-$17.58M
MARATHON PETROLEUM CORP
98,815
0
-98,815
0.00%
-$16.07M
IDEXX LABS INC
22,156
0
-22,156
0.00%
-$14.99M
FIRST SOLAR INC
46,344
0
-46,344
0.00%
-$12.11M
STATE STREET CORP
83,889
0
-83,889
0.00%
-$10.82M
EXPAND ENERGY CORP
96,683
0
-96,683
0.00%
-$10.67M
ROCKET COS INC-A
549,301
0
-549,301
0.00%
-$10.63M
MARVELL TECHNOLOGY INC
123,268
0
-123,268
0.00%
-$10.48M
ZIMMER BIOMET HO
102,022
0
-102,022
0.00%
-$9.17M
SYNOPSYS INC
17,000
0
-17,000
0.00%
-$7.99M
WORKDAY INC CL A
36,850
0
-36,850
0.00%
-$7.91M
NIKE INC CL B
122,039
0
-122,039
0.00%
-$7.78M
METTLER-TOLEDO INTL INC
5,523
0
-5,523
0.00%
-$7.70M
RENAISSANCERE HLDGS LTD
26,713
0
-26,713
0.00%
-$7.51M
COMCAST CORP CL A
221,900
0
-221,900
0.00%
-$6.63M
AMETEK INC NEW
31,600
0
-31,600
0.00%
-$6.49M
CDW CORPORATION
43,886
0
-43,886
0.00%
-$5.98M
WATERS CORP
15,693
0
-15,693
0.00%
-$5.96M
LIBERTY MEDIA CORP LIBERTY FORMULA ONE CL C
51,665
0
-51,665
0.00%
-$5.09M
TYSON FOODS INC CL A
85,924
0
-85,924
0.00%
-$5.04M
ARTHUR J GALLAGHAR AND CO
19,000
0
-19,000
0.00%
-$4.92M
TRUIST FINL CORP
95,044
0
-95,044
0.00%
-$4.68M
U.S. Treasury Bills
4,420,000
0
-4,420,000
0.00%
-$4.39M
AUTOMATIC DATA PROCESSING INC
14,524
0
-14,524
0.00%
-$3.74M
DAYFORCE INC
42,601
0
-42,601
0.00%
-$2.95M
MICROCHIP TECHNOLOGY
45,609
0
-45,609
0.00%
-$2.91M
VERALTO CORP
27,999
0
-27,999
0.00%
-$2.79M
DOW INC
108,372
0
-108,372
0.00%
-$2.53M
POOL CORP
9,894
0
-9,894
0.00%
-$2.26M
VULCAN MATERIALS CO
6,955
0
-6,955
0.00%
-$1.98M
U.S. Treasury Bills
1,760,000
0
-1,760,000
0.00%
-$1.75M
KIMBERLY CLARK CORP
7,357
0
-7,357
0.00%
-$742.25K
WI TREASURY SEC. 0.000000% 02/19/2026
610,000
0
-610,000
0.00%
-$607.11K
S&P500 EMINI FUT MAR26
119
0
-119
0.00%
-$253.34K
▶
Increased
· 170 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
APPLE INC
4,059,842
4,191,340
131,498
6.81%
-$39.99M
AMAZON.COM INC
2,781,970
2,816,166
34,196
3.76%
-$55.61M
META PLATFORMS INC CL A
641,157
651,991
10,834
2.39%
-$50.20M
ALPHABET INC CL A
1,100,791
1,266,030
165,239
2.33%
$19.51M
EXXON MOBIL CORP
1,023,418
1,026,957
3,539
1.12%
$51.08M
T-MOBILE US INC
695,161
762,861
67,700
1.03%
$19.08M
NETFLIX INC
1,214,756
1,554,327
339,571
0.96%
$35.55M
JOHNSON&JOHNSON
584,478
606,347
21,869
0.95%
$27.26M
CHEVRON CORP
613,707
616,021
2,314
0.82%
$33.92M
COSTCO WHOLESALE CORP
121,118
121,557
439
0.78%
$16.68M
CATERPILLAR INC
166,913
168,476
1,563
0.76%
$23.74M
MICRON TECHNOLOGY INC
317,057
327,229
10,172
0.71%
$20.06M
CISCO SYSTEMS INC
883,983
1,416,446
532,463
0.70%
$41.81M
PROCTER & GAMBLE
722,952
733,091
10,139
0.68%
$2.28M
GENERAL ELECTRIC CO
355,993
357,918
1,925
0.65%
-$8.09M
ABBVIE INC
428,505
457,723
29,218
0.64%
$1.64M
APPLIED MATERIALS INC
159,465
289,279
129,814
0.63%
$57.89M
MERCK & CO
725,132
799,293
74,161
0.62%
$19.82M
LINDE PLC
174,922
175,646
724
0.56%
$12.49M
MCDONALDS CORP
251,866
269,275
17,409
0.54%
$6.71M
PHILIP MORRIS INTL INC
492,341
494,351
2,010
0.52%
$2.76M
UNITEDHEALTH GRP
269,987
285,455
15,468
0.49%
-$11.88M
CONOCOPHILLIPS
569,860
572,498
2,638
0.48%
$22.23M
ORACLE CORP
462,991
464,755
1,764
0.44%
-$21.87M
INTEL CORP
1,235,969
1,517,201
281,232
0.43%
$21.35M
DEERE & CO
107,170
114,172
7,002
0.41%
$14.42M
MORGAN STANLEY
295,480
384,683
89,203
0.41%
$10.85M
MARSH & MCLENNAN
291,116
359,891
68,775
0.40%
$8.42M
BOEING CO/THE
292,448
294,321
1,873
0.38%
-$4.92M
PARKER HANNIFIN CORP
64,957
65,066
109
0.37%
$1.16M
GOLDMAN SACHS GROUP INC
65,806
66,180
374
0.36%
-$1.86M
TJX COS INC
256,192
340,060
83,868
0.35%
$14.95M
US BANCORP DEL
901,560
988,644
87,084
0.33%
$3.31M
VERTIV HOLDINGS CO
178,573
200,618
22,045
0.32%
$21.34M
CSX CORP
1,069,244
1,210,272
141,028
0.32%
$10.92M
SEAGATE TECHNOLOGY HOLDINGS PLC
98,461
122,056
23,595
0.31%
$20.70M
THE BOOKING HOLDINGS INC
10,751
11,146
395
0.30%
-$10.65M
SOUTHERN CO
302,883
480,048
177,165
0.30%
$19.92M
XCEL ENERGY INC
576,120
581,423
5,303
0.30%
$3.64M
SALESFORCE INC
173,639
246,420
72,781
0.29%
$514
ARISTA NETWORKS INC
345,833
373,652
27,819
0.29%
$562.49K
INTERCONTINENTAL EXCHANGE INC
73,019
286,402
213,383
0.29%
$33.22M
ANALOG DEVICES INC
45,579
137,668
92,089
0.28%
$31.44M
TE CONNECTIVITY PLC
199,549
208,167
8,618
0.28%
-$1.89M
PROLOGIS INC REIT
320,457
323,392
2,935
0.27%
$1.84M
CORNING INC
215,429
311,001
95,572
0.27%
$23.42M
APPLOVIN CORP
94,877
105,544
10,667
0.27%
-$21.92M
S&P GLOBAL INC
80,941
98,597
17,656
0.27%
-$361.71K
PEPSICO INC
263,843
264,536
693
0.26%
$3.21M
RTX CORP
134,636
211,647
77,011
0.26%
$16.13M
WELLTOWER INC
204,540
206,452
1,912
0.26%
$2.85M
BLACKROCK INC
41,906
42,423
517
0.26%
-$4.06M
PACCAR INC
187,109
346,892
159,783
0.26%
$19.58M
BLOCK INC CL A
611,963
652,544
40,581
0.25%
-$562.57K
ALLIANT ENERGY CORPORATION
416,352
543,793
127,441
0.25%
$11.96M
BOSTON SCIENTIFIC CORP
407,593
618,265
210,672
0.25%
-$67.86K
HILTON WORLDWIDE HOLDINGS INC
124,345
125,072
727
0.24%
$2.31M
SAIA INC
88,501
107,212
18,711
0.24%
$8.76M
BANK OF NEW YORK MELLON CORP
285,318
314,289
28,971
0.24%
$4.16M
HOWMET AEROSPACE INC
159,340
160,909
1,569
0.24%
$4.42M
CVS HEALTH CORP
471,386
515,044
43,658
0.24%
-$418.73K
INTUIT INC
84,559
85,251
692
0.24%
-$19.15M
AMGEN INC
33,245
104,542
71,297
0.24%
$25.90M
CAPITAL ONE FINANCIAL CORP
119,946
199,614
79,668
0.23%
$7.35M
METLIFE INC
492,363
512,976
20,613
0.23%
-$2.59M
SERVICENOW INC
300,620
341,844
41,224
0.23%
-$10.31M
BRISTOL-MYERS SQUIBB CO
114,713
576,009
461,296
0.22%
$28.75M
FORTIVE CORP
525,530
601,726
76,196
0.21%
$4.25M
PFIZER INC
667,652
1,184,208
516,556
0.21%
$16.63M
GE VERNOVA LLC
33,724
37,665
3,941
0.21%
$10.84M
O'REILLY AUTOMOTIVE INC
333,927
355,483
21,556
0.21%
$2.36M
SLB LTD
597,228
631,803
34,575
0.21%
$9.55M
TARGA RESOURCES CORP
125,395
126,296
901
0.20%
$8.53M
VALERO ENERGY CORP
115,091
124,608
9,517
0.20%
$12.05M
EDWARDS LIFESCIENCES CORP
88,976
380,808
291,832
0.20%
$22.91M
TKO GROUP HOLDINGS INC
123,783
148,752
24,969
0.19%
$4.13M
VISTRA CORP
132,222
193,937
61,715
0.19%
$7.82M
FRANCO-NEVADA CORP
117,739
117,929
190
0.19%
$4.73M
WW GRAINGER INC
23,087
25,161
2,074
0.18%
$4.15M
KKR & CO INC
270,100
283,625
13,525
0.17%
-$8.20M
DIAMONDBACK ENERGY INC
129,192
130,266
1,074
0.17%
$6.34M
AUTOZONE INC
7,379
7,466
87
0.16%
$192.63K
GENERAL MOTORS CO
331,925
335,298
3,373
0.16%
-$2.01M
ALTRIA GROUP INC
368,443
376,109
7,666
0.16%
$3.58M
EQT CORPORATION
215,187
383,950
168,763
0.16%
$12.90M
CHUGAI PHARMACEUTICAL CO LTD UNSP ADR
774,936
878,042
103,106
0.15%
$3.81M
CARVANA CO CL A
66,784
75,727
8,943
0.15%
-$4.38M
SHERWIN WILLIAMS CO
72,092
73,558
1,466
0.15%
$219.05K
CARDINAL HEALTH INC
95,380
109,292
13,912
0.15%
$3.49M
BAKER HUGHES CO
306,359
377,825
71,466
0.15%
$9.11M
FREEPORT MCMORAN INC
380,630
384,758
4,128
0.14%
$3.28M
ATMOS ENERGY CORP
119,969
121,780
1,811
0.14%
$2.38M
EQUITABLE HOLDINGS INC
382,215
572,377
190,162
0.14%
$3.03M
CBRE GROUP INC - CL A
127,612
155,129
27,517
0.13%
$495.04K
EMERSON ELECTRIC CO
93,042
159,977
66,935
0.13%
$8.61M
WASTE MANAGEMENT INC
80,681
89,435
8,754
0.13%
$2.82M
CINTAS CORP
118,347
119,850
1,503
0.13%
-$1.99M
TEXAS INSTRUMENTS INC
51,364
103,427
52,063
0.13%
$11.17M
MARTIN MAR MTLS
29,643
33,793
4,150
0.13%
$1.44M
STEEL DYNAMICS INC
108,672
110,325
1,653
0.13%
$1.44M
CAN NATL RAILWAY
174,239
192,367
18,128
0.13%
$2.55M
EOG RESOURCES INC
133,247
136,514
3,267
0.13%
$5.74M
MONDELEZ INTL INC
282,583
341,221
58,638
0.13%
$4.46M
CRH PLC
182,500
185,635
3,135
0.13%
-$3.26M
UNILEVER PLC-SPONSORED ADR DEPOSITARY RECEIPT
311,772
341,059
29,287
0.12%
-$959.76K
ADOBE INC
72,783
79,259
6,476
0.12%
-$6.21M
REXFORD INDUSTRIAL REALTY INC
569,660
578,308
8,648
0.12%
-$3.13M
HUNTINGTON BANCSHARES INC
994,578
1,200,456
205,878
0.12%
$1.53M
MONSTER BEVERAGE CORP
250,904
255,283
4,379
0.12%
-$739.00K
UNITED AIRLINES HOLDINGS INC
134,476
200,100
65,624
0.12%
$3.39M
CARRIER GLOBAL CORP
264,080
321,209
57,129
0.12%
$4.13M
APOLLO GLOBAL MANAGEMENT INC
147,767
162,134
14,367
0.12%
-$3.33M
PUBLIC STORAGE
53,841
66,283
12,442
0.12%
$3.98M
FIFTH THIRD BANCORP
380,211
386,109
5,898
0.11%
$140.95K
MEDTRONIC PLC
166,678
200,584
33,906
0.11%
$1.37M
ESAB CORP
129,346
177,267
47,921
0.11%
$2.68M
EAST WEST BNCRP
155,895
159,816
3,921
0.11%
-$459.08K
DTE ENERGY CO
112,131
114,160
2,029
0.11%
$2.23M
MIDDLEBY CORP
123,564
125,471
1,907
0.11%
-$1.74M
DESCARTES SYS
227,385
231,084
3,699
0.11%
-$3.40M
ARES MANAGEMENT CORP CL A
147,654
151,487
3,833
0.11%
-$7.34M
API GROUP CORP
337,674
403,289
65,615
0.10%
$3.42M
DELL TECHNOLOGIES INC CL C
66,395
95,800
29,405
0.10%
$7.37M
INGERSOLL RAND INC
174,955
195,606
20,651
0.10%
$1.81M
3M CO
105,056
106,189
1,133
0.10%
-$1.40M
INTL PAPER CO
422,973
429,613
6,640
0.10%
-$1.32M
CORTEVA INC
177,357
181,304
3,947
0.10%
$3.29M
AMEREN CORP
130,729
134,467
3,738
0.09%
$1.73M
TRANSDIGM GROUP INC
12,529
12,692
163
0.09%
-$1.95M
WASTE CONNECTIONS INC
88,157
89,688
1,531
0.09%
-$890.29K
CMS ENERGY CORP
179,318
184,529
5,211
0.09%
$1.78M
SIMON PROPERTY
69,106
70,416
1,310
0.08%
$342.48K
ELEVANCE HEALTH INC
34,643
43,964
9,321
0.08%
$726.36K
KEYCORP
627,066
639,271
12,205
0.08%
-$125.26K
VENTAS INC REIT
111,769
152,437
40,668
0.08%
$3.82M
UBER TECHNOLOGIES INC
126,908
165,173
38,265
0.08%
$1.51M
AUTODESK INC
34,807
49,043
14,236
0.08%
$1.44M
WEST PHARMACEUTICAL SVCS INC
35,166
44,127
8,961
0.07%
$1.38M
ULTA BEAUTY INC
20,394
20,722
328
0.07%
-$1.51M
WEST FRASER TIMB
157,695
160,986
3,291
0.07%
$874.03K
ESSEX PROPERTY TRUST INC
41,694
42,553
859
0.07%
-$612.66K
GLOBAL PAYMENTS INC
23,013
146,502
123,489
0.06%
$8.08M
AVALONBAY COMMUNITIES INC REIT
57,662
58,868
1,206
0.06%
-$838.61K
CF INDUSTRIES HOLDINGS INC
72,118
73,570
1,452
0.06%
$3.97M
LAS VEGAS SANDS CORP
169,394
172,505
3,111
0.06%
-$1.73M
MOSAIC CO/THE
158,307
345,532
187,225
0.06%
$5.00M
KENVUE INC
500,469
509,812
9,343
0.06%
$156.07K
WESTERN ALLIANCE BANCORP
99,331
120,650
21,319
0.05%
$197.30K
DOMINOS PIZZA INC
14,701
23,238
8,537
0.05%
$2.21M
COREBRIDGE FINANCIAL INC
325,703
332,013
6,310
0.05%
-$1.90M
PACKAGING CORP OF AMERICA
27,601
36,215
8,614
0.05%
$1.99M
BOOZ ALLEN HAMILTON HLDG CL A
57,877
98,227
40,350
0.05%
$2.78M
SPOTIFY TECHNOLOGY SA
15,043
15,746
703
0.05%
-$1.10M
STANLEY BLACK and DECKER INC
102,412
104,736
2,324
0.05%
-$164.62K
REGENCY CENTERS CORP REIT
94,541
96,469
1,928
0.05%
$772.68K
POPULAR INC
51,259
52,336
1,077
0.04%
$639.15K
IQVIA HOLDINGS INC
36,856
37,666
810
0.04%
-$1.88M
AIRBNB INC CLASS A
48,200
49,357
1,157
0.04%
-$308.90K
ELF BEAUTY INC
79,961
102,710
22,749
0.04%
$145.02K
SUN COMMUNITIES INC - REIT
45,681
46,708
1,027
0.04%
$223.01K
AGNICO EAGLE MINES LTD
27,635
28,239
604
0.04%
$1.05M
COSTAR GROUP INC
45,318
130,377
85,059
0.03%
$2.21M
FISERV INC
87,737
89,832
2,095
0.03%
-$880.67K
BXP INC
88,521
92,061
3,540
0.03%
-$1.20M
TARGET CORP
33,400
34,462
1,062
0.03%
$911.94K
EQUITY LIFESTYLE PPTYS INC
47,605
49,192
1,587
0.02%
$185.23K
HUBSPOT INC
11,599
11,982
383
0.02%
-$1.73M
RPM INTL INC
21,706
22,608
902
0.01%
-$10.19K
MAGNUM ICE CREAM
71,487
75,900
4,413
0.01%
$1.64K
KLARNA GROUP PLC
64,204
70,388
6,184
0.01%
-$934.76K
▶
Decreased
· 105 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
NVIDIA CORP
7,094,894
6,946,196
-148,698
7.76%
-$111.78M
BROADCOM INC
1,432,000
1,400,048
-31,952
2.78%
-$62.29M
TESLA INC
765,301
742,171
-23,130
1.77%
-$68.27M
LILLY ELI and CO
237,521
234,129
-3,392
1.38%
-$39.91M
JPMORGAN CHASE and CO
721,742
712,426
-9,316
1.34%
-$22.99M
VISA INC-CLASS A
543,386
530,437
-12,949
1.03%
-$30.25M
BERKSHIRE HATH-B
334,938
328,556
-6,382
1.01%
-$10.91M
WALMART INC
1,276,313
1,239,655
-36,658
0.99%
$11.87M
MASTERCARD INC CL A
249,719
249,325
-394
0.80%
-$17.98M
ADV MICRO DEVICE
569,833
556,171
-13,662
0.72%
-$8.89M
BANK OF AMERICA CORPORATION
2,377,543
2,218,457
-159,086
0.69%
-$22.62M
HOME DEPOT INC
317,108
304,225
-12,883
0.64%
-$9.06M
CITIGROUP INC
886,715
859,893
-26,822
0.62%
-$5.95M
COCA-COLA CO/THE
1,287,934
1,264,260
-23,674
0.62%
$6.11M
CHUBB LTD
256,115
221,952
-34,163
0.46%
-$7.60M
NEXTERA ENERGY INC
814,047
765,669
-48,378
0.46%
$5.76M
PALANTIR TECHNOLOGIES INC
640,528
454,587
-185,941
0.43%
-$47.36M
SCHWAB CHARLES CORP
787,886
690,953
-96,933
0.42%
-$13.78M
GILEAD SCIENCES INC
560,456
446,720
-113,736
0.40%
-$6.53M
LAM RESEARCH CORP
396,888
289,903
-106,985
0.40%
-$6.00M
THERMO FISHER SCIENTIFIC INC
135,509
124,389
-11,120
0.39%
-$17.38M
INTUITIVE SURGICAL INC
136,662
114,757
-21,905
0.34%
-$24.50M
ABBOTT LABS
574,656
488,842
-85,814
0.32%
-$21.81M
NORTHROP GRUMMAN CORP
77,186
72,751
-4,435
0.32%
$5.62M
AMPHENOL CORPORATION CL A
399,731
391,427
-8,304
0.32%
-$4.56M
ALLSTATE CORPORATION
261,104
231,515
-29,589
0.31%
-$6.35M
KEYSIGHT TECHNOLOGIES INC
243,263
161,886
-81,377
0.29%
-$3.72M
KLA CORP
63,851
29,836
-34,015
0.28%
-$33.65M
WILLIAMS COS INC
635,877
595,748
-40,129
0.28%
$5.14M
DANAHER CORP
274,017
222,918
-51,099
0.27%
-$20.46M
STRYKER CORP
138,548
125,176
-13,372
0.26%
-$7.56M
EQUINIX INC
43,302
41,843
-1,459
0.26%
$7.84M
VERTEX PHARMACEUTICALS INC
120,221
88,522
-31,699
0.25%
-$14.97M
TELEDYNE TECHNOLOGIES INC
66,344
61,844
-4,500
0.24%
$3.53M
SEMPRA ENERGY
405,274
377,719
-27,555
0.24%
$921.31K
T Rowe Price Government Reserve Investment Fund
44,496,033
36,005,382
-8,490,652
0.23%
-$8.49M
OLD DOMINION FRT
245,913
180,909
-65,004
0.23%
-$3.21M
PG&E CORP
2,013,733
1,858,104
-155,629
0.21%
$286.20K
AMERICAN EXPRESS CO
148,102
106,901
-41,201
0.21%
-$22.45M
LOWES COS INC
144,217
133,005
-11,212
0.20%
-$3.35M
TRADEWEB MARKETS INC A
284,204
265,977
-18,227
0.20%
$731.56K
COLGATE-PALMOLIVE CO
417,301
365,891
-51,410
0.20%
-$1.79M
CONSOLIDATED EDISON INC
269,570
269,269
-301
0.20%
$3.70M
CHIPOTLE MEXICAN GRILL INC
885,266
836,131
-49,135
0.17%
-$5.99M
HONEYWELL INTL INC
134,607
116,638
-17,969
0.17%
$103.21K
AMERICAN INTERNATIONAL GROUP
467,593
338,473
-129,120
0.16%
-$14.53M
JOHNSON CONTROLS INTERNATIONAL PLC
215,310
190,890
-24,420
0.16%
-$786.33K
MONOLITHIC POWER SYS INC
56,085
22,483
-33,602
0.16%
-$26.25M
INTL BUS MACH CORP
270,976
101,300
-169,676
0.16%
-$55.71M
CENCORA INC
80,265
76,512
-3,753
0.15%
-$3.07M
MOODYS CORP
64,364
54,941
-9,423
0.15%
-$8.91M
ROSS STORES INC
177,982
110,433
-67,549
0.15%
-$8.14M
VIATRIS INC
2,029,042
1,764,890
-264,152
0.15%
-$1.42M
WESTERN DIGITAL CORP
118,969
87,428
-31,541
0.15%
$3.15M
TERADYNE INC
88,583
77,412
-11,171
0.15%
$5.80M
TRANE TECHNOLOGIES PLC
64,754
52,991
-11,763
0.14%
-$3.12M
WALT DISNEY CO/T
254,769
224,604
-30,165
0.14%
-$7.34M
L3HARRIS TECHNOLOGIES INC
85,190
62,448
-22,742
0.14%
-$3.46M
WELLS FARGO & CO
299,786
264,475
-35,311
0.13%
-$6.89M
CORPAY INC
130,453
70,772
-59,681
0.13%
-$18.66M
ROYAL CARIBBEAN CRUISES LTD
91,037
74,585
-16,452
0.13%
-$4.87M
DOVER CORP
122,819
97,862
-24,957
0.13%
-$3.58M
PALO ALTO NETWORKS INC
265,134
122,823
-142,311
0.13%
-$29.15M
SANDISK CORPORATION
35,455
29,159
-6,296
0.12%
$10.11M
TENET HEALTHCARE CORP
113,857
97,704
-16,153
0.12%
-$4.19M
MCKESSON CORP
23,817
20,688
-3,129
0.11%
-$1.63M
KEURIG DR PEPPER INC
668,321
664,102
-4,219
0.11%
-$1.23M
PROGRESSIVE CORP OHIO
110,369
87,559
-22,810
0.11%
-$7.78M
VOYA FINANCIAL INC
261,301
239,241
-22,060
0.10%
-$3.12M
ECOLAB INC
82,399
60,416
-21,983
0.10%
-$5.56M
REGENERON PHARMACEUTICALS INC
38,066
19,230
-18,836
0.10%
-$14.52M
VERISK ANALYTICS INC
81,538
75,930
-5,608
0.09%
-$3.83M
AMERICAN TOWER CORP
199,953
81,929
-118,024
0.09%
-$20.97M
CROWDSTRIKE HOLDINGS INC
70,747
35,180
-35,567
0.09%
-$19.43M
ESTEE LAUDER COS INC CL A
186,112
169,870
-16,242
0.08%
-$7.30M
BALL CORP
232,043
205,777
-26,266
0.08%
-$127.84K
CME GROUP INC CL A
165,999
39,824
-126,175
0.08%
-$33.57M
MSCI INC
21,300
20,788
-512
0.07%
-$1.02M
DOORDASH INC-A
128,920
69,235
-59,685
0.07%
-$18.80M
ROBINHOOD MARKETS INC
160,441
147,812
-12,629
0.07%
-$7.90M
BLACKSTONE INC
113,784
85,838
-27,946
0.06%
-$7.67M
THE CIGNA GROUP
92,133
32,991
-59,142
0.06%
-$16.56M
CONSTELLATION ENERGY CORP
81,222
30,741
-50,481
0.05%
-$20.11M
TPG INC
214,459
193,608
-20,851
0.05%
-$5.85M
AXIS CAPITAL HOLDINGS LTD
85,849
70,941
-14,908
0.05%
-$2.00M
QUEST DIAGNOSTICS INC
42,119
34,603
-7,516
0.04%
-$527.41K
TREASURY RESERVE FUND - Collateral
37,551,338
6,760,356
-30,790,983
0.04%
-$30.79M
LAMB WESTON HOLDINGS INC
160,545
154,650
-5,895
0.04%
-$189.72K
ZOETIS INC CL A
65,352
51,797
-13,555
0.04%
-$2.10M
KIMCO REALTY CORPORATION
329,134
264,159
-64,975
0.04%
-$735.89K
SITEONE LANDSCAPE SUPPLY INC
66,498
43,761
-22,737
0.04%
-$2.46M
CENTENE CORP
205,864
170,734
-35,130
0.04%
-$2.88M
CUBESMART
230,478
147,511
-82,967
0.03%
-$2.90M
DARDEN RESTAURANTS INC
33,847
26,627
-7,220
0.03%
-$1.01M
RESMED INC
67,229
22,030
-45,199
0.03%
-$11.25M
PTC INC
69,964
33,625
-36,339
0.03%
-$7.40M
WINGSTOP INC
37,281
30,775
-6,506
0.03%
-$4.12M
CBOE GLOBAL MARKETS INC
20,713
15,175
-5,538
0.03%
-$933.73K
CUMMINS INC
40,716
6,900
-33,816
0.02%
-$17.07M
EQUIFAX INC
60,023
20,593
-39,430
0.02%
-$9.32M
MEDLINE INC-A
222,758
83,035
-139,723
0.02%
-$5.66M
FAIR ISAAC CORP
4,170
3,111
-1,059
0.02%
-$3.73M
FORTINET INC
311,554
39,460
-272,094
0.02%
-$21.52M
XYLEM INC
52,259
26,238
-26,021
0.02%
-$3.98M
UNION PACIFIC CORP
28,576
9,868
-18,708
0.02%
-$4.22M
▶
Unchanged
· 2 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
MICROSOFT CORP
2,137,438
2,137,438
0
5.07%
-$242.49M
ALPHABET INC CL C
1,767,427
1,767,427
0
3.25%
-$47.61M
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