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
· 20 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
NABORS INDS LTD
0
42,486
42,486
0.11%
$3.66M
CNX RESOURCES CORP
0
61,180
61,180
0.07%
$2.36M
KB HOME
0
43,890
43,890
0.07%
$2.27M
TEREX CORP
0
37,241
37,241
0.07%
$2.20M
GENTEX CORP
0
95,413
95,413
0.06%
$2.08M
WEST PHARMACEUTICAL SVCS INC
0
8,278
8,278
0.06%
$2.07M
ASHLAND INC
0
35,712
35,712
0.06%
$1.99M
TELEFLEX INC
0
15,811
15,811
0.06%
$1.89M
LCI INDUSTRIES
0
13,933
13,933
0.05%
$1.71M
IDEX CORPORATION
0
8,540
8,540
0.05%
$1.62M
GXO LOGISTICS INC
0
29,291
29,291
0.05%
$1.52M
UPBOUND GROUP INC
0
80,978
80,978
0.04%
$1.46M
PENNYMAC FINANCIAL SERVICES INC
0
16,466
16,466
0.04%
$1.44M
DAUCH CORPORATION
0
241,121
241,121
0.04%
$1.43M
PENTAIR PLC
0
16,113
16,113
0.04%
$1.40M
AMERICAN EAGLE OUTFITTERS INC
0
80,723
80,723
0.04%
$1.35M
KBR INC
0
35,859
35,859
0.04%
$1.32M
CALERES INC
0
105,958
105,958
0.03%
$1.12M
PEAKSTONE REALTY
0
16,062
16,062
0.01%
$335.54K
MATIV INC
0
31,538
31,538
0.01%
$274.38K
▶
Exited
· 29 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
TEGNA INC
722,526
0
-722,526
0.00%
-$14.02M
ANYWHERE REAL ESTATE INC
611,161
0
-611,161
0.00%
-$8.65M
ALEXANDER & BALD
394,947
0
-394,947
0.00%
-$8.15M
SL GREEN REALTY CORP REIT
145,892
0
-145,892
0.00%
-$6.69M
DANA INC
128,188
0
-128,188
0.00%
-$3.05M
NEWMARK GROUP INC CL A
161,391
0
-161,391
0.00%
-$2.80M
HANOVER INSURANCE GROUP INC
13,514
0
-13,514
0.00%
-$2.47M
RITHM CAPITAL CORP
225,960
0
-225,960
0.00%
-$2.46M
WP CAREY INC
33,765
0
-33,765
0.00%
-$2.17M
MIDDLEBY CORP
13,846
0
-13,846
0.00%
-$2.06M
REVVITY INC
21,005
0
-21,005
0.00%
-$2.03M
GATES INDUSTRIAL
90,360
0
-90,360
0.00%
-$1.94M
LIBERTY ENERGY INC CL A
104,885
0
-104,885
0.00%
-$1.94M
NATL FUEL GAS CO
23,268
0
-23,268
0.00%
-$1.86M
PENN ENTERTAINMENT INC
122,259
0
-122,259
0.00%
-$1.80M
ROYALTY PHARMA-A
44,402
0
-44,402
0.00%
-$1.72M
APPLE HOSPITALITY REIT INC
141,207
0
-141,207
0.00%
-$1.67M
SPIRE INC
19,181
0
-19,181
0.00%
-$1.59M
LITTELFUSE INC
6,106
0
-6,106
0.00%
-$1.54M
CONCENTRIX CORP
34,823
0
-34,823
0.00%
-$1.45M
SUNSTONE HOTEL INVS INC
160,765
0
-160,765
0.00%
-$1.44M
SONIC AUTOMOTIVE INC CL A
22,830
0
-22,830
0.00%
-$1.41M
CLOROX CO
13,623
0
-13,623
0.00%
-$1.37M
HILLTOP HOLDINGS
39,022
0
-39,022
0.00%
-$1.32M
VIR BIOTECHNOLOGY INC
157,604
0
-157,604
0.00%
-$950.35K
BANNER CORPORATI
14,591
0
-14,591
0.00%
-$914.27K
STANDARD MOTOR PRODUCTS INC
16,306
0
-16,306
0.00%
-$600.88K
CONDUENT INC
134,138
0
-134,138
0.00%
-$257.54K
NII Holdings Inc. Escrow
22,836
0
-22,836
0.00%
-$0
▶
Increased
· 169 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
PIMCO GOVERNMENT MONEY MARKET FUND
44,820,402
118,274,464
73,454,062
3.63%
$73.45M
JAZZ PHARMACEUTI
369,587
388,324
18,737
2.25%
$10.58M
AFFIL MANAGERS
231,342
234,771
3,429
1.99%
-$1.73M
BREAD FINANCIAL HOLDINGS
812,224
819,881
7,657
1.88%
$1.27M
LANDSTAR SYSTEM INC
301,124
372,863
71,739
1.83%
$16.50M
ACUITY INC
159,675
207,061
47,386
1.78%
$533.25K
NEXSTAR MEDIA GROUP INC
271,304
317,930
46,626
1.76%
$2.40M
DELEK US HOLDINGS INC
1,047,600
1,272,266
224,666
1.76%
$26.27M
WESTERN UNION CO
5,114,554
6,391,540
1,276,986
1.71%
$8.18M
MURPHY USA INC
81,999
111,971
29,972
1.70%
$22.22M
DROPBOX INC CL A
1,771,102
2,237,581
466,479
1.56%
$1.60M
SENSATA TECHNOLO
1,102,250
1,324,808
222,558
1.43%
$9.97M
PARK H&R INC
3,736,155
4,393,727
657,572
1.42%
$7.19M
CARTERS INC
1,166,805
1,274,261
107,456
1.40%
$7.73M
MURPHY OIL CORP
692,349
1,042,967
350,618
1.32%
$21.39M
CAPRI HOLDINGS L
1,783,501
2,220,695
437,194
1.20%
-$4.39M
TERADATA CORP
1,243,212
1,468,764
225,552
1.16%
-$198.95K
VISTANCE NETWORKS INC
1,752,509
2,040,098
287,589
1.14%
$5.36M
FEDERATED HERMES INC
546,459
604,813
58,354
1.05%
$5.84M
ACADEMY SPORTS and OUTDOORS INC
572,861
601,911
29,050
1.04%
$5.36M
AMKOR TECHNOLOGY INC
575,193
752,668
177,475
1.04%
$11.18M
ETSY INC
644,317
672,015
27,698
1.03%
-$2.13M
SMITH (AO) CORP
331,061
497,183
166,122
1.01%
$10.64M
SCIENCE APPLICATIONS INTERNATIONAL CORP
244,779
321,974
77,195
0.94%
$5.92M
MSC INDUSTRIAL DIRECT CO CL A
232,409
329,976
97,567
0.93%
$10.90M
BRUNSWICK CORP
270,062
392,980
122,918
0.88%
$8.54M
IPG PHOTONICS CORP
192,511
247,042
54,531
0.87%
$14.52M
HELMERICH & PAYN
533,039
756,936
223,897
0.84%
$11.98M
YELP INC
881,510
1,028,816
147,306
0.78%
-$1.34M
KENNAMETAL INC
546,754
700,828
154,074
0.78%
$9.79M
CACI INTL-A
4,940
45,040
40,100
0.75%
$21.86M
DENTSPLY SIRONA INC
1,480,608
2,053,926
573,318
0.73%
$6.90M
CVR ENERGY INC
495,752
694,414
198,662
0.72%
$10.76M
WERNER ENTERPRISES INC
615,837
781,661
165,824
0.71%
$4.51M
MAXIMUS INC
266,176
348,047
81,871
0.68%
-$666.50K
PROG HOLDINGS INC
726,265
763,481
37,216
0.67%
$486.72K
CRACKER BARREL OLD CTRY ST INC
513,714
750,444
236,730
0.65%
$8.05M
NEWMARKET CORP
29,907
31,587
1,680
0.62%
-$308.20K
CHIMERA INVESTMENT CORP
1,415,265
1,491,121
75,856
0.57%
$1.12M
TELADOC HEALTH INC
2,354,597
3,359,502
1,004,905
0.56%
$1.83M
CSG SYSTEMS INTL INC
165,888
225,961
60,073
0.55%
$5.34M
ENCORE CAPITAL G
212,504
252,049
39,545
0.54%
$6.12M
NATIONAL VISION HOLDINGS INC
469,521
661,692
192,171
0.53%
$5.01M
RLJ LODGING TRUST
2,065,559
2,294,776
229,217
0.52%
$1.64M
EVERCORE INC A
10,732
55,212
44,480
0.51%
$12.83M
PEABODY ENERGY CORP
92,786
498,247
405,461
0.50%
$13.66M
PIMCO PRV SHORT TERM FLT III MUTUAL FUND
1,194,234
1,653,435
459,201
0.49%
$4.47M
ARCBEST CORP
112,261
163,270
51,009
0.49%
$7.73M
SCHOLASTIC CORP
324,632
402,076
77,444
0.48%
$6.09M
INGLES MARKETS INC-CL A
158,871
167,771
8,900
0.46%
$4.19M
AMN HEALTHCARE SERVICES INC
651,118
812,818
161,700
0.46%
$4.65M
ACADIA HEALTHCARE CO INC
250,209
624,938
374,729
0.45%
$11.07M
ASGN INC
280,358
358,615
78,257
0.43%
$377.14K
LEGGETT & PLATT
1,117,539
1,384,510
266,971
0.42%
$1.39M
LIBERTY LATIN AMERIC CL C COMMON STOCK USD.01
1,256,958
1,478,309
221,351
0.40%
$3.66M
SYNAPTICS INC
85,826
172,688
86,862
0.37%
$5.74M
ZIFF DAVIS INC
199,697
283,804
84,107
0.37%
$4.89M
Adient PLC ORD SHS
433,865
574,687
140,822
0.36%
$3.30M
QUIDELORTHO CORP
541,283
703,760
162,477
0.35%
-$3.90M
SIGNET JEWELERS
25,219
130,980
105,761
0.34%
$9.00M
JBG SMITH PROPERTIES
737,130
758,244
21,114
0.34%
-$1.46M
XENIA HOTELS & R
678,699
734,999
56,300
0.33%
$1.30M
SONOS INC
582,814
807,826
225,012
0.33%
$590.65K
ALPHA METALLURGICAL RESOURCES INC
16,879
49,667
32,788
0.31%
$6.82M
LIVERAMP HOLDINGS INC
279,954
371,694
91,740
0.30%
$1.64M
WILEY JOHN&SON-A
181,451
255,347
73,896
0.30%
$4.17M
PEBBLEBROOK HOTEL TRUST
688,191
734,285
46,094
0.28%
$1.48M
INTERNATIONAL SE
55,918
126,644
70,726
0.28%
$6.51M
HELEN OF TROY
482,175
623,192
141,017
0.28%
-$1.26M
INNOVIVA INC
257,456
362,103
104,647
0.26%
$3.29M
APOGEE ENTERPRISES INC
200,830
248,002
47,172
0.26%
$1.01M
OXFORD INDUSTRIES
145,074
199,389
54,315
0.24%
$2.72M
CARGURUS INC CL A
114,623
225,471
110,848
0.24%
$3.28M
BOISE CASCADE CO
48,337
97,639
49,302
0.23%
$3.85M
ECOVYST INC
395,078
562,816
167,738
0.22%
$3.39M
G-III APPAREL GROUP LTD
196,539
256,116
59,577
0.22%
$1.40M
NAVIENT CORP
668,450
834,607
166,157
0.21%
-$1.86M
PEDIATRIX MEDICAL GROUP INC
200,793
313,213
112,420
0.21%
$2.40M
LADDER CAPITAL CORP CL A
605,531
654,131
48,600
0.20%
-$263.93K
BRIGHTSPHERE INVESTMENT GROUP INC
79,359
115,256
35,897
0.19%
$2.54M
INTEGRA LIFESCIENCES HLDS CORP
497,884
619,001
121,117
0.18%
-$352.73K
HEALTHCARE SERVS
226,726
311,893
85,167
0.18%
$1.45M
RYERSON HOLDING CORP
223,172
256,394
33,222
0.18%
$148.73K
TRINET GROUP INC
110,160
156,728
46,568
0.18%
-$804.16K
FORTREA HOLDINGS INC
434,246
598,241
163,995
0.17%
-$1.86M
ATKORE INC
26,432
84,737
58,305
0.15%
$3.32M
CHEMOURS CO/ THE
179,458
213,870
34,412
0.14%
$2.60M
SONOCO PRODUCTS CO
79,296
84,896
5,600
0.14%
$1.13M
WABASH NATIONAL CORP
442,165
527,714
85,549
0.14%
$724.17K
SMITH & WESSON B
236,704
308,729
72,025
0.14%
$2.09M
DELUXE CORP
101,701
159,420
57,719
0.13%
$2.12M
MONRO INC
170,565
272,375
101,810
0.13%
$950.77K
Dorian LPG Ltd. COM USD0.01
54,944
123,527
68,583
0.13%
$2.89M
WINNEBAGO INDUSTRIES INC
50,311
134,219
83,908
0.13%
$2.12M
NETGEAR INC
128,226
187,182
58,956
0.13%
$942.67K
POLARIS INC
50,715
73,968
23,253
0.12%
$823.53K
EMPLOYERS HOLDINGS INC
48,996
94,457
45,461
0.12%
$1.77M
WORLD ACCEPTANCE CORP
14,832
28,586
13,754
0.12%
$1.78M
COMMERCIAL METALS CO
58,016
62,514
4,498
0.12%
-$175.63K
OWENS & MINOR
1,419,441
1,666,478
247,037
0.12%
-$174.86K
SERVICE PROPERTI
2,380,651
2,785,385
404,734
0.12%
-$606.20K
NCR VOYIX CORP
356,630
554,080
197,450
0.11%
-$130.30K
STURM RUGER & CO
52,591
85,774
33,183
0.11%
$1.72M
GENWORTH FINANCIAL INC A
364,461
414,761
50,300
0.10%
$76.78K
JACK IN THE BOX INC
233,809
346,049
112,240
0.10%
-$1.08M
UFP INDUSTRIES INC
21,523
35,947
14,424
0.10%
$1.35M
DESIGNER BRANDS INC
452,311
572,377
120,066
0.10%
-$103.85K
INGREDION INC
25,982
28,190
2,208
0.10%
$311.11K
GENESCO INC
83,689
107,193
23,504
0.10%
$1.03M
MARRIOTT VACATIONS WORLD
36,108
47,316
11,208
0.09%
$998.15K
BOOZ ALLEN HAMILTON HLDG CL A
22,378
39,381
17,003
0.09%
$1.19M
B RILEY FINL INC
229,695
413,570
183,875
0.09%
$1.95M
AVERY DENNISON CORP
15,752
17,446
1,694
0.09%
$147.60K
RESIDEO TECHNOLOGIES INC
51,881
89,330
37,449
0.09%
$1.19M
GINKGO BIOWORKS HOLDINGS INC
341,988
489,372
147,384
0.09%
$157.93K
MASTERBRAND INC
203,614
360,695
157,081
0.09%
$749.48K
EXP WORLD HOLDINGS INC
409,955
491,936
81,981
0.09%
-$763.40K
COMMUNITY HEALTH SYS INC NEW
669,013
955,720
286,707
0.09%
$722.50K
EMERGENT BIOSOLU
214,166
330,315
116,149
0.08%
$94.52K
BRANDYWINE RLTY
807,862
991,002
183,140
0.08%
$326.66K
GRAY TELEVISION INC
406,189
616,199
210,010
0.08%
$708.35K
ANDERSONS INC
33,154
37,186
4,032
0.08%
$906.41K
KFORCE INC
57,034
90,889
33,855
0.08%
$894.10K
AVANOS MEDICAL INC
107,300
185,961
78,661
0.08%
$1.40M
SPECTRUM BRANDS HOLDINGS INC
29,627
33,527
3,900
0.08%
$720.58K
Bath & Body Works Inc
108,699
129,894
21,195
0.07%
$242.45K
VAIL RESORTS INC
13,570
18,829
5,259
0.07%
$614.04K
BRIXMOR PROPERTY
77,479
82,911
5,432
0.07%
$356.34K
HUB GROUP INC CL A
55,995
63,967
7,972
0.07%
-$80.58K
LINCOLN ELECTRIC HLDGS INC
8,364
9,164
800
0.07%
$278.22K
VALVOLINE INC
61,144
67,344
6,200
0.07%
$491.30K
ELANCO ANIMAL HEALTH INC
64,884
93,631
28,747
0.07%
$772.26K
BLACK HILLS CORP
28,533
31,443
2,910
0.07%
$201.70K
ABM INDUSTRIES INC
50,438
56,038
5,600
0.07%
$25.06K
SINCLAIR INC CL A
127,782
163,678
35,896
0.06%
$162.93K
DONALDSON CO INC
22,505
24,784
2,279
0.06%
$108.12K
RPM INTL INC
18,705
21,105
2,400
0.06%
$152.52K
EMBECTA CORP
172,095
230,971
58,876
0.06%
-$2.70K
INGEVITY CORP
23,427
28,476
5,049
0.06%
$641.94K
MARTEN TRANSPORT LTD
35,867
153,526
117,659
0.06%
$1.61M
FULGENT GENETICS INC
100,993
124,279
23,286
0.06%
-$677.05K
ADT INC
267,985
300,085
32,100
0.06%
-$191.08K
TENET HEALTHCARE CORP
9,017
10,117
1,100
0.06%
$117.32K
LOANDEPOT INC -A
734,377
1,307,702
573,325
0.06%
$336.78K
GOPRO INC-CL A
1,749,804
2,411,570
661,766
0.06%
-$610.31K
HUDSON PACIFIC PROPERTIES INC
113,513
306,520
193,007
0.06%
$582.19K
INSIGHT ENTERPRISES INC
20,924
26,634
5,710
0.05%
$80.07K
AVANTOR INC
163,439
223,482
60,043
0.05%
-$120.91K
CROSS COUNTRY HEALTHCARE INC
91,938
176,344
84,406
0.05%
$912.94K
EURONET WORLDWIDE INC
22,800
24,917
2,117
0.05%
-$81.57K
NU SKIN ENTERPRISES INC CL A
175,028
226,322
51,294
0.05%
-$36.15K
ANGI INC
127,872
235,517
107,645
0.05%
-$40.09K
HIGHWOODS PROPERTIES INC
69,691
75,115
5,424
0.05%
-$191.21K
POOL CORP
6,818
7,858
1,040
0.05%
$30.29K
FLOWERS FOODS INC
138,427
191,279
52,852
0.05%
$52.84K
BRIGHTSPIRE CAPITAL INC
215,935
273,539
57,604
0.05%
$322.58K
AMC NETWORKS INC CL A
136,508
207,251
70,743
0.04%
$107.68K
USANA HEALTH SCIENCES INC
67,448
79,241
11,793
0.04%
$60.34K
MILLERKNOLL INC
54,280
91,267
36,987
0.04%
$327.48K
KELLY SERVICES INC CL A
96,136
137,013
40,877
0.04%
$366.57K
GENTHERM INC
23,285
41,719
18,434
0.04%
$312.08K
BLUELINX HOLDINGS INC
15,999
19,904
3,905
0.03%
$95.58K
CLEARWATER PAPER CORP
35,951
71,100
35,149
0.03%
$396.87K
ZUMIEZ INC
14,956
38,479
23,523
0.03%
$463.09K
JELD-WEN HOLDING INC
490,054
660,519
170,465
0.03%
-$386.49K
GLOBAL INDUSTRIAL CO
9,767
22,767
13,000
0.02%
$432.22K
GRAFTECH INTERNATIONAL LTD
54,707
105,808
51,101
0.02%
-$131.13K
MULTIPLAN CORP CL A
37,440
42,689
5,249
0.02%
-$903.02K
SLEEP NUMBER CORP
210,478
283,041
72,563
0.02%
-$1.27M
▶
Decreased
· 77 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
WARRIOR MET COAL INC
1,106,354
906,427
-199,927
2.59%
-$13.11M
DILLARDS INC CL A
125,062
112,754
-12,308
1.98%
-$11.32M
SANMINA CORP
529,374
479,812
-49,562
1.91%
-$17.24M
ALLISON TRANSMISSION HLDGS INC
508,898
429,656
-79,242
1.54%
$474.42K
JANUS HENDERSON
1,028,294
955,083
-73,211
1.51%
$146.67K
SLM CORP
2,360,708
2,157,245
-203,463
1.42%
-$17.69M
CIRRUS LOGIC INC
257,998
213,207
-44,791
0.95%
$261.23K
VICTORIA'S SECRET and CO
801,964
607,072
-194,892
0.86%
-$15.30M
CORECIVIC INC
1,457,983
1,412,727
-45,256
0.82%
-$1.15M
NETSCOUT SYSTEMS INC
847,929
828,850
-19,079
0.81%
$3.40M
VISHAY INTERTECHNOLOGY INC
1,540,072
1,413,426
-126,646
0.78%
$3.13M
CNO FINANCIAL GROUP INC
637,689
596,424
-41,265
0.75%
-$2.59M
BIO RAD LABS CL A
83,466
77,178
-6,288
0.66%
-$3.78M
VIAVI SOLUTIONS INC
997,768
594,688
-403,080
0.61%
$2.01M
MEDICAL PROPERTI
4,824,142
4,200,543
-623,599
0.60%
-$4.67M
SKYWEST INC
209,809
184,823
-24,986
0.52%
-$4.09M
TRI POINTE HOMES INC
438,414
358,281
-80,133
0.51%
$2.95M
BENCHMARK ELECTRONICS INC
303,696
290,393
-13,303
0.50%
$3.29M
VIRTU FINANCIAL INC- CL A
468,078
369,396
-98,682
0.50%
$649.68K
BOYD GAMING CORP
233,840
146,778
-87,062
0.37%
-$7.87M
COLUMBIA SPORTSWEAR CO
268,763
215,416
-53,347
0.36%
-$3.00M
SYLVAMO CORP
296,661
274,684
-21,977
0.36%
-$2.68M
WEIS MARKETS INC
174,241
165,026
-9,215
0.35%
$119.02K
OGE ENERGY CORP
382,259
231,643
-150,616
0.34%
-$5.21M
NOVAVAX INC
1,767,354
1,297,646
-469,708
0.32%
-$1.31M
ENERSYS INC
104,002
57,834
-46,168
0.31%
-$5.22M
MGIC INVT CORP
584,021
356,756
-227,265
0.29%
-$7.70M
BRADY CORPORATION CL A
127,201
113,923
-13,278
0.28%
-$713.64K
EPR PROPERTIES
264,372
183,900
-80,472
0.28%
-$4.00M
UNITED NATURAL FOODS INC
292,388
201,401
-90,987
0.28%
-$769.57K
GEO GROUP INC/TH
711,838
513,193
-198,645
0.26%
-$2.85M
FRESH DEL MONTE
225,105
210,576
-14,529
0.26%
$457.30K
JACKSON FINANCIAL INC
130,287
77,079
-53,208
0.25%
-$5.75M
COVISTA INC
112,008
61,936
-50,072
0.22%
-$4.45M
RADIAN GROUP INC
303,932
210,161
-93,771
0.21%
-$3.99M
TELEPHONE & DATA
252,502
149,281
-103,221
0.19%
-$4.07M
DIODES INC
117,253
83,111
-34,142
0.17%
-$112.11K
GENPACT LTD
336,388
145,193
-191,195
0.17%
-$10.33M
MAXLINEAR INC
435,571
302,046
-133,525
0.16%
-$2.34M
NOW INC
633,608
437,079
-196,529
0.16%
-$3.19M
CHORD ENERGY CORP
38,252
34,652
-3,600
0.15%
$1.38M
CROCS INC
232,985
58,912
-174,073
0.15%
-$15.03M
GRAIL INC
200,389
94,544
-105,845
0.15%
-$12.27M
INTERDIGITAL INC
46,178
14,467
-31,711
0.13%
-$10.33M
BANKUNITED INC
197,158
90,495
-106,663
0.13%
-$4.70M
CIENA CORP
18,474
10,406
-8,068
0.12%
-$280.59K
HASBRO INC
51,067
35,997
-15,070
0.10%
-$818.17K
MFA FINANCIAL INC
513,773
349,891
-163,882
0.10%
-$1.43M
EXELIXIS INC
309,792
74,956
-234,836
0.10%
-$10.36M
F5 INC
111,122
10,724
-100,398
0.10%
-$25.26M
CREDIT ACCEPTANCE CORP
24,655
7,286
-17,369
0.09%
-$7.85M
MATSON INC
20,309
18,322
-1,987
0.09%
$494.53K
HAWAIIAN ELECTRIC INDS INC
632,158
200,886
-431,272
0.09%
-$4.79M
HEALTHCARE REALTY TRUST INC
168,612
162,621
-5,991
0.08%
-$95.04K
UNIVERSAL CORP
61,933
50,145
-11,788
0.08%
-$624.32K
CALIFORNIA RESOU
62,412
37,256
-25,156
0.08%
-$211.58K
APOLLO COMMERCIA
335,703
241,088
-94,615
0.08%
-$703.72K
CORPORATE OFFICE PROPERTIES TR
198,598
82,467
-116,131
0.08%
-$3.00M
ENVISTA HOLDINGS CORP
257,918
97,802
-160,116
0.08%
-$3.12M
TORO CO
28,609
25,914
-2,695
0.07%
$169.30K
SEI INVESTMENTS
57,470
30,555
-26,915
0.07%
-$2.32M
CUSHMAN & WAKEFI
381,862
192,360
-189,502
0.07%
-$3.82M
ONE GAS INC
38,415
25,469
-12,946
0.07%
-$773.91K
ADAPTHEALTH CORP
273,142
176,601
-96,541
0.06%
-$618.94K
GRAND CANYON EDUCATION INC
46,964
12,175
-34,789
0.06%
-$5.74M
SILICON LABS
47,147
9,280
-37,867
0.06%
-$4.23M
WILLSCOT MOBILE MINI HOLDINGS CORP
121,676
109,092
-12,584
0.06%
-$397.32K
GREIF INC-CL A
58,569
26,648
-31,921
0.05%
-$2.18M
SALLY BEAUTY HOL
341,536
128,929
-212,607
0.05%
-$3.08M
FORWARD AIR CORP
186,925
106,477
-80,448
0.05%
-$2.89M
LAUREATE EDUCATION INC CL A
181,471
50,922
-130,549
0.05%
-$4.34M
KORN FERRY
30,582
27,032
-3,550
0.05%
-$317.36K
PC CONNECTION INC
38,544
28,744
-9,800
0.05%
-$545.93K
VALMONT INDUSTRIES INC
8,981
4,186
-4,795
0.05%
-$1.94M
IHS HOLDING LTD COMMON STOCK USD.3
188,086
133,715
-54,371
0.03%
-$302.65K
THE BUCKLE INC
24,953
19,486
-5,467
0.03%
-$351.67K
VESTIS CORP
381,617
61,948
-319,669
0.01%
-$2.06M
▶
Unchanged
· 6 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
VONTIER CORP W/I
45,711
45,711
0
0.05%
-$78.17K
OIL-DRI CORP OF AMERICA
14,633
14,633
0
0.03%
$236.32K
CRICUT INC- A
118,026
118,026
0
0.01%
-$142.81K
MEDIFAST INC
40,825
40,825
0
0.01%
-$20.00K
CHEGG INC
541,491
541,491
0
0.01%
-$102.18K
NEW YORK REIT IN
4,082
4,082
0
0.00%
$0
Machine-readable:
JSON ·
Markdown .
Programmatic access via the agent surface .