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.
Jan 30, 2026 → Apr 30, 2026
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 18 positions
Security
Shares Jan 2026
Shares Apr 2026
Δ shares
End %
Δ value
APPLE INC
0
49,000
49,000
1.26%
$13.30M
PNC FINANCIAL SERVICES GRP INC
0
47,000
47,000
0.99%
$10.48M
LILLY ELI and CO
0
10,900
10,900
0.96%
$10.19M
TARGET CORP
0
63,700
63,700
0.78%
$8.27M
THERMO FISHER SCIENTIFIC INC
0
15,600
15,600
0.71%
$7.47M
NEWMONT CORP
0
65,800
65,800
0.69%
$7.31M
PROCTER & GAMBLE
0
49,400
49,400
0.69%
$7.27M
HILTON WORLDWIDE HOLDINGS INC
0
16,700
16,700
0.51%
$5.41M
COMMSTCK
0
274,500
274,500
0.50%
$5.26M
CAPITAL ONE FINANCIAL CORP
0
26,100
26,100
0.47%
$4.99M
SCHWAB CHARLES CORP
0
53,200
53,200
0.46%
$4.88M
ZCS BRL 14.0087 05/12/25-01/04/27 CME
0
-271
-271
0.21%
$2.26M
BROADCOM INC. BROADCOM INC.
0
-126
-126
-0.04%
-$376.87K
Texas Instruments, Inc.
0
-217
-217
-0.04%
-$438.56K
Common Stock
0
-315
-315
-0.05%
-$563.85K
CALL NUE US Equity 11/07/25 C152.5
0
-456
-456
-0.07%
-$706.80K
ZAR/USD FORWARD
0
2
2
-0.07%
-$733.86K
MS US EQUITY TR
0
-717
-717
-0.08%
-$817.38K
▶
Exited
· 10 positions
Security
Shares Jan 2026
Shares Apr 2026
Δ shares
End %
Δ value
WELLS FARGO & CO
299,300
0
-299,300
0.00%
-$27.08M
UNITED RENTALS INC
13,700
0
-13,700
0.00%
-$10.71M
DANAHER CORP
42,900
0
-42,900
0.00%
-$9.39M
S&P GLOBAL INC
15,200
0
-15,200
0.00%
-$8.02M
MONDELEZ INTL INC
135,600
0
-135,600
0.00%
-$7.93M
WALT DISNEY CO/T
67,000
0
-67,000
0.00%
-$7.56M
THE CIGNA GROUP
27,400
0
-27,400
0.00%
-$7.51M
DR HORTON INC
48,300
0
-48,300
0.00%
-$7.19M
ACCENTURE PLC CL A
27,100
0
-27,100
0.00%
-$7.14M
UNITEDHEALTH GRP
14,900
0
-14,900
0.00%
-$4.28M
▶
Increased
· 14 positions
Security
Shares Jan 2026
Shares Apr 2026
Δ shares
End %
Δ value
MICROSOFT CORP
29,200
56,900
27,700
2.19%
$10.64M
MLP
617,900
991,500
373,600
1.89%
$8.62M
CHEVRON CORP
92,300
103,100
10,800
1.88%
$3.60M
RTX CORP
74,000
111,300
37,300
1.85%
$4.73M
INTL BUS MACH CORP
58,400
79,900
21,500
1.74%
$544.02K
NVIDIA CORP
28,300
78,900
50,600
1.49%
$10.34M
ABBVIE INC
54,700
68,600
13,900
1.37%
$2.30M
HASBRO INC
89,000
140,800
51,800
1.27%
$5.55M
JOHNSON CONTROLS INTERNATIONAL PLC
84,500
89,400
4,900
1.23%
$2.98M
NASDAQ INC
87,400
127,100
39,700
1.10%
$3.21M
AMERICAN EXPRESS CO
25,500
31,900
6,400
0.97%
$1.32M
STRYKER CORP
26,700
30,100
3,400
0.90%
-$381.84K
Payden Cash Reserves Money Market Fund
9,019,707
9,163,497
143,791
0.87%
$143.79K
PFIZER INC
194,500
294,500
100,000
0.74%
$2.72M
▶
Decreased
· 16 positions
Security
Shares Jan 2026
Shares Apr 2026
Δ shares
End %
Δ value
JPMORGAN CHASE and CO
134,100
104,100
-30,000
3.08%
-$8.41M
MORGAN STANLEY
153,500
143,500
-10,000
2.58%
-$710.14K
WALMART INC
167,400
126,400
-41,000
1.57%
-$3.27M
CVS HEALTH CORP
248,700
195,000
-53,700
1.53%
-$2.29M
CRH PLC
156,300
136,200
-20,100
1.52%
-$3.00M
GENERAL ELECTRIC CO
68,700
53,700
-15,000
1.47%
-$5.51M
ITT INC
103,000
71,700
-31,300
1.45%
-$3.41M
BANK OF AMERICA CORPORATION
481,600
286,000
-195,600
1.44%
-$10.33M
CUMMINS INC
29,700
22,000
-7,700
1.39%
-$2.43M
AMETEK INC NEW
72,200
61,200
-11,000
1.36%
-$1.76M
QUEST DIAGNOSTICS INC
85,900
69,600
-16,300
1.28%
-$2.55M
MCKESSON CORP
18,500
14,200
-4,300
1.09%
-$3.80M
BLACKROCK INC
20,500
10,000
-10,500
1.01%
-$12.28M
FIFTH THIRD BANCORP
234,800
209,800
-25,000
1.01%
-$1.14M
NATWEST GROUP PLC
1,973,500
1,288,100
-685,400
0.97%
-$7.71M
ZURICH INSURANCE GROUP AG TRS 0.0000% 05-15-2033
6
2
-4
0.00%
$187.83K
▶
Unchanged
· 37 positions
Security
Shares Jan 2026
Shares Apr 2026
Δ shares
End %
Δ value
ALPHABET INC CL A
128,700
128,700
0
4.68%
$6.02M
AMAZON.COM INC
114,900
114,900
0
2.88%
$2.96M
ANALOG DEVICES INC
63,000
63,000
0
2.39%
$5.76M
CISCO SYSTEMS INC
253,900
253,900
0
2.19%
$3.35M
DUKE ENERGY CORP NEW
171,500
171,500
0
2.10%
$1.41M
MERCK & CO
188,500
188,500
0
1.94%
-$205.46K
CORNING INC
120,900
120,900
0
1.87%
$7.37M
DOMINION ENERGY INC
299,800
299,800
0
1.83%
$1.30M
TJX COS INC
122,000
122,000
0
1.81%
$846.68K
SSE PLC
470,900
470,900
0
1.59%
$1.21M
Enterprise Products Partners LP
408,900
408,900
0
1.49%
$2.25M
VALERO ENERGY CORP
62,500
62,500
0
1.49%
$4.45M
SIMON PROPERTY
71,400
71,400
0
1.37%
$885.36K
CORTEVA INC
178,900
178,900
0
1.37%
$1.47M
JOHNSON&JOHNSON
61,400
61,400
0
1.33%
$159.64K
PROLOGIS INC REIT
93,500
93,500
0
1.25%
$1.07M
EATON CORP PLC
30,200
30,200
0
1.23%
$2.46M
VERIZON COMMUNICATIONS INC
265,400
265,400
0
1.20%
$931.55K
TEXAS INSTRUMENTS INC
43,500
43,500
0
1.15%
$2.85M
AVIVA PLC
1,434,000
1,434,000
0
1.15%
-$339.27K
GILEAD SCIENCES INC
90,200
90,200
0
1.11%
-$1.00M
PEPSICO INC
70,300
70,300
0
1.05%
$341.66K
EXELON CORP
231,700
231,700
0
1.01%
$280.36K
BROADCOM INC
25,300
25,300
0
1.00%
$2.18M
C V6.95 PERP FF
10,300,000
10,300,000
0
0.99%
-$127.10K
VISA INC-CLASS A
31,500
31,500
0
0.98%
$252.32K
META PLATFORMS INC CL A
16,900
16,900
0
0.98%
-$1.77M
NUCOR CORP
45,600
45,600
0
0.97%
$2.17M
MCDONALDS CORP
33,800
33,800
0
0.94%
-$723.66K
ANNALY CAPITAL MGMT INC REIT
344,500
344,500
0
0.74%
-$37.90K
METLIFE INC
95,700
95,700
0
0.72%
$116.75K
HONEYWELL INTL INC
35,300
35,300
0
0.71%
-$465.61K
WESTINGHOUSE AIR BRAKE TECH CORP
22,100
22,100
0
0.56%
$878.48K
CRBG V6.875 PERP
5,700,000
5,700,000
0
0.55%
-$60.01K
HUNTINGTON BANCSHARES JR SUBORDINA 12/99 VAR
5,700,000
5,700,000
0
0.54%
$8.83K
VISTRA CORP
29,300
29,300
0
0.44%
-$14.94K
LAND O LAKES INC JR SUBORDINA 144A 12/99 7
2,800,000
2,800,000
0
0.23%
-$28.97K
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