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
· 6 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
AXON ENTERPRISE INC
0
132,116
132,116
0.99%
$56.11M
PALO ALTO NETWORKS INC
0
167,629
167,629
0.48%
$26.87M
RENESAS ELECTRON
0
1,732,400
1,732,400
0.44%
$24.77M
UNIMICRON TECH
0
1,001,000
1,001,000
0.26%
$14.65M
SAMBANOVA SYSTEMS SER E-1 CVT PFD PP
0
178,970
178,970
0.10%
$5.55M
NASDAQ 100 E-MINI JUN26
0
107
107
-0.03%
-$1.79M
▶
Exited
· 4 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
CYBER-ARK SOFTWARE LTD
77,163
0
-77,163
0.00%
-$34.42M
FIRST SOLAR INC
97,186
0
-97,186
0.00%
-$25.39M
CREDO TECHNOLOGY GROUP HOLDING LTD
157,159
0
-157,159
0.00%
-$22.61M
HON HAI
2,889,000
0
-2,889,000
0.00%
-$21.18M
▶
Increased
· 12 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
NVIDIA CORP
5,889,172
6,149,588
260,416
18.98%
-$25.84M
TSMC
6,858,300
6,878,300
20,000
7.04%
$60.67M
BROADCOM INC
1,115,201
1,117,117
1,916
6.12%
-$40.21M
ADV MICRO DEVICE
908,122
1,001,890
93,768
3.61%
$9.33M
INTEL CORP
2,774,887
3,478,230
703,343
2.72%
$51.10M
T Rowe Price Government Reserve Investment Fund
423,492
89,085,503
88,662,011
1.58%
$88.66M
ORACLE CORP
442,392
604,913
162,521
1.57%
$2.76M
LAM RESEARCH CORP
84,500
353,353
268,853
1.34%
$61.03M
SAMSARA INC-CL A
348,853
1,328,880
980,027
0.75%
$29.75M
NINTENDO CO LTD
386,000
462,000
76,000
0.47%
$312.94K
PERPLEXITY AI SER D-1 CVT PFD PP
19,395
193,950
174,555
0.24%
$0
PERPLEXITY AI SER E-1 CVT PFD PP
10,496
104,960
94,464
0.13%
$0
▶
Decreased
· 49 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
APPLE INC
1,744,751
1,427,806
-316,945
6.41%
-$111.97M
ASML Holding NV
177,565
174,969
-2,596
4.12%
$41.34M
MICROSOFT CORP
705,423
564,519
-140,904
3.70%
-$132.19M
SAMSUNG ELECTRONICS CO LTD
1,804,192
1,691,199
-112,993
3.50%
$46.59M
SK HYNIX INC
237,487
218,888
-18,599
2.20%
$16.64M
INFINEON TECH
1,819,435
1,792,691
-26,744
1.44%
$1.94M
CIENA CORP
202,000
194,186
-7,814
1.33%
$28.15M
APPLOVIN CORP
184,780
183,638
-1,142
1.29%
-$51.42M
LATTICE SEMICONDUCTOR CORP
774,812
763,427
-11,385
1.25%
$13.80M
BE SEMICONDUCTOR
293,192
288,893
-4,299
1.10%
$16.04M
ENTEGRIS INC
477,614
470,603
-7,011
0.98%
$14.93M
ANALOG DEVICES INC
175,142
172,580
-2,562
0.97%
$7.41M
SAP SE
332,104
321,992
-10,112
0.97%
-$25.80M
ARISTA NETWORKS INC
440,082
423,041
-17,041
0.92%
-$5.72M
SHOPIFY INC CL A
430,962
414,272
-16,690
0.87%
-$20.23M
TOWER SEMICONDCT
288,000
276,852
-11,148
0.86%
$14.77M
ASM INTL NV
64,291
63,361
-930
0.85%
$9.10M
SYNOPSYS INC
122,073
118,365
-3,708
0.83%
-$10.41M
ADYEN NV
45,582
43,832
-1,750
0.78%
-$29.64M
ARM HOLDINGS LTD
248,240
238,631
-9,609
0.64%
$8.96M
TERADYNE INC
123,400
121,599
-1,801
0.64%
$12.16M
CADENCE DESIGN SYSTEMS INC
133,056
129,012
-4,044
0.63%
-$5.74M
TESLA INC
97,921
94,141
-3,780
0.62%
-$9.04M
COGNEX CORP
691,704
664,911
-26,793
0.58%
$7.69M
SERVICENOW INC
310,805
301,339
-9,466
0.56%
-$16.11M
KEYENCE CORP
87,000
83,700
-3,300
0.53%
-$1.68M
NU HOLDINGS LTD/CAYMAN ISLANDS
2,147,133
2,063,938
-83,195
0.52%
-$6.28M
BLOCK INC CL A
491,648
472,609
-19,039
0.50%
-$3.56M
DATADOG INC CL A
246,000
238,508
-7,492
0.50%
-$5.30M
TENCENT HOLDINGS LTD
454,500
445,400
-9,100
0.50%
-$6.79M
LUMENTUM HOLDINGS INC
41,400
39,812
-1,588
0.50%
$12.72M
NETFLIX INC
274,290
263,673
-10,617
0.45%
-$365.27K
ALIBABA GROUP HOLDING LTD SPON ADR
201,623
193,823
-7,800
0.43%
-$5.24M
WISE PLC - A
1,935,621
1,860,628
-74,993
0.40%
-$782.77K
SNOWFLAKE INC CL A
150,442
145,868
-4,574
0.39%
-$11.00M
BYTEDANCE LTD CVT PFD SR E PP
106,272
64,291
-41,981
0.38%
-$13.34M
SEA LTD ADR
254,372
244,528
-9,844
0.36%
-$12.20M
ROBINHOOD MARKETS INC
296,367
284,895
-11,472
0.35%
-$13.78M
CROWDSTRIKE HOLDINGS INC
51,984
50,413
-1,571
0.35%
-$4.69M
MERCADOLIBRE INC
10,242
9,864
-378
0.30%
-$3.57M
ZSCALER INC
124,992
121,194
-3,798
0.30%
-$11.11M
COINBASE GLOBAL INC
97,110
93,363
-3,747
0.29%
-$5.66M
PDD HOLDINGS INC ADR
165,601
159,196
-6,405
0.29%
-$2.51M
CIRCLE INTERNET GROUP INC A
148,876
144,348
-4,528
0.24%
$1.97M
HUBSPOT INC
56,875
55,155
-1,720
0.24%
-$9.36M
DOORDASH INC-A
89,097
85,659
-3,438
0.23%
-$7.32M
GLOBANT SA
199,768
192,043
-7,725
0.16%
-$4.20M
STRATEGY INC CL A
66,033
64,031
-2,002
0.14%
-$2.04M
TREASURY RESERVE FUND - Collateral
44,631,877
4,857,394
-39,774,483
0.09%
-$39.77M
▶
Unchanged
· 22 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
ANTHROPIC PBC SER F-1 CVT PFD PP
274,498
274,498
0
1.26%
$1.29M
DATABRICKS INC PP
342,512
342,512
0
1.15%
$0
CANVA COMMON STOCK PP
43,481
43,481
0
1.15%
-$6.51M
AESTAS LLC dba OPENAI LLC EV UNITS Class A
89,982
89,982
0
1.10%
$18.41M
DATABRICKS SER H CVT PFD STOCK PP
174,786
174,786
0
0.59%
$0
EPIC GAMES INC PP
55,593
55,593
0
0.46%
-$2.89M
WAYMO LLC SER A-2 CVT PFD UNITS PP
85,888
85,888
0
0.26%
$1.17M
DATABRICKS SER I CVT PFD STOCK PP
72,147
72,147
0
0.24%
$0
PATREON SERIES D CVT PFD STOCK PP
425,114
425,114
0
0.12%
$0
COALITION SER E CVT PFD STOCK PP
882,194
882,194
0
0.11%
$0
OPENAI LLV CVT INT Series A-3 CVT
8,184
8,184
0
0.10%
$1.67M
FORMAGRID INC SER F CVT PFD STOCK PP
103,534
103,534
0
0.07%
-$1.34M
NURO SERIES D CVT PFD STOCK PP
218,364
218,364
0
0.06%
$0
PATREON INC PP
160,478
160,478
0
0.04%
$0
DATAROBOT SER F CVT PFD STOCK PP
1,205,132
1,205,132
0
0.02%
-$578.46K
FLEXE SERIES C CVT PFD STOCK
427,147
427,147
0
0.02%
$0
PAX LABS CLASS A COMMON PP
2,456,552
2,456,552
0
0.01%
$0
DATABRICKS SER G CVY PFD STCK PP
2,784
2,784
0
0.01%
$0
DATAROBOT SERIES G CVT PFD STOCK PP
441,318
441,318
0
0.01%
-$211.83K
CAPSULE CORP SERIES 1-D CVT PFD STOCK
209,351
209,351
0
0.00%
-$169.57K
CAPSULE CORP PP
209,351
209,351
0
0.00%
-$303.56K
CANVA SERIES A-3 CVT PFD STOCK PP
50
50
0
0.00%
-$7.49K
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