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 31, 2026 → Apr 30, 2026
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 41 positions
Security
Shares Jan 2026
Shares Apr 2026
Δ shares
End %
Δ value
AMERICAN WATER WRKS COMPANY
0
6,078
6,078
0.52%
$780.54K
CAPITAL ONE FINANCIAL CORP
0
3,517
3,517
0.45%
$672.80K
APPLIED MATERIALS INC
0
1,588
1,588
0.42%
$626.45K
ZOETIS INC CL A
0
4,773
4,773
0.37%
$548.75K
CIENA CORP
0
979
979
0.35%
$516.50K
GODADDY INC CL A
0
5,371
5,371
0.31%
$466.15K
CLOROX CO
0
4,826
4,826
0.31%
$465.42K
AMRIZE LTD
0
7,479
7,479
0.27%
$402.22K
ROSS STORES INC
0
1,758
1,758
0.27%
$400.45K
FORD MOTOR CO
0
30,560
30,560
0.25%
$369.16K
TRUIST FINL CORP
0
6,524
6,524
0.22%
$335.99K
FIFTH THIRD BANCORP
0
6,520
6,520
0.22%
$330.96K
KEYSIGHT TECHNOLOGIES INC
0
850
850
0.20%
$297.42K
SANDISK CORPORATION
0
268
268
0.20%
$293.86K
TARGET CORP
0
1,941
1,941
0.17%
$251.84K
US BANCORP DEL
0
4,381
4,381
0.17%
$248.23K
NEXTERA ENERGY INC
0
2,327
2,327
0.15%
$227.77K
CITIZENS FINANCIAL GROUP INC
0
3,310
3,310
0.14%
$215.32K
LUMENTUM HOLDINGS INC
0
231
231
0.14%
$208.44K
NVENT ELECTRIC PLC
0
1,386
1,386
0.13%
$198.06K
STANLEY BLACK and DECKER INC
0
2,511
2,511
0.13%
$196.26K
KEYCORP
0
8,221
8,221
0.12%
$181.77K
QUALCOMM INC
0
1,003
1,003
0.12%
$180.12K
HERSHEY CO/THE
0
920
920
0.11%
$170.88K
AMCOR PLC
0
4,007
4,007
0.10%
$152.43K
CARPENTER TECHNOLOGY CORP
0
345
345
0.10%
$147.73K
UNITED AIRLINES HOLDINGS INC
0
1,572
1,572
0.09%
$141.48K
RAYONIER INC REIT
0
6,603
6,603
0.09%
$140.05K
RITHM CAPITAL CORP
0
13,734
13,734
0.09%
$134.32K
MUELLER INDUSTRIES INC
0
943
943
0.09%
$127.71K
MONGODB INC CL A
0
488
488
0.08%
$122.41K
OMEGA HEALTHCARE INVESTORS INC
0
2,566
2,566
0.08%
$120.53K
FIVE BELOW INC
0
468
468
0.07%
$110.29K
FMC CORP NEW
0
7,060
7,060
0.07%
$108.58K
SKYWORKS SOLUTIONS INC
0
1,440
1,440
0.07%
$101.04K
BWX TECHNOLOGIES INC
0
427
427
0.06%
$92.40K
DILLARDS INC CL A
0
158
158
0.06%
$89.94K
PILGRIM'S PRIDE CORP NEW
0
2,582
2,582
0.06%
$85.46K
TECHNIPFMC PLC
0
1,094
1,094
0.06%
$82.67K
COGNEX CORP
0
1,461
1,461
0.05%
$81.10K
WESTERN UNION CO
0
6,862
6,862
0.04%
$62.38K
▶
Exited
· 40 positions
Security
Shares Jan 2026
Shares Apr 2026
Δ shares
End %
Δ value
QNITY ELECTRONICS INC
6,969
0
-6,969
0.00%
-$670.28K
MOLSON COORS BEVERAGE CO B
13,202
0
-13,202
0.00%
-$634.22K
BOSTON SCIENTIFIC CORP
4,235
0
-4,235
0.00%
-$396.10K
DOW INC
9,421
0
-9,421
0.00%
-$259.55K
S&P GLOBAL INC
421
0
-421
0.00%
-$222.20K
HONEYWELL INTL INC
933
0
-933
0.00%
-$212.28K
CRH PLC
1,592
0
-1,592
0.00%
-$194.88K
ONEOK INC
2,061
0
-2,061
0.00%
-$163.21K
Bath & Body Works Inc
7,462
0
-7,462
0.00%
-$162.67K
EXTRA SPACE STORAGE INC
1,179
0
-1,179
0.00%
-$162.67K
ANTERO MIDSTREAM CORP
7,719
0
-7,719
0.00%
-$145.27K
AMER SPORTS INC
3,781
0
-3,781
0.00%
-$138.50K
HANOVER INSURANCE GROUP INC
778
0
-778
0.00%
-$135.48K
BROOKFIELD RENEW
3,233
0
-3,233
0.00%
-$134.62K
ARMSTRONG WORLD INDUSTRIES INC
728
0
-728
0.00%
-$133.76K
AVALONBAY COMMUNITIES INC REIT
750
0
-750
0.00%
-$133.25K
Americold Realty Trust Inc
10,493
0
-10,493
0.00%
-$130.22K
EPR PROPERTIES
2,264
0
-2,264
0.00%
-$122.80K
MANPOWERGROUP INC
3,321
0
-3,321
0.00%
-$120.65K
SIRIUS XM HOLDINGS INC
5,735
0
-5,735
0.00%
-$116.71K
ELEVANCE HEALTH INC
320
0
-320
0.00%
-$110.64K
PERRIGO CO PLC
7,701
0
-7,701
0.00%
-$109.43K
BROWN & BROWN
1,507
0
-1,507
0.00%
-$108.65K
CHORD ENERGY CORP
1,081
0
-1,081
0.00%
-$108.36K
PENSKE AUTOMOTIVE GROUP INC
677
0
-677
0.00%
-$106.15K
ADT INC
12,253
0
-12,253
0.00%
-$98.02K
RLI CORP
1,596
0
-1,596
0.00%
-$93.25K
PULTEGROUP INC
708
0
-708
0.00%
-$88.56K
BANK OZK
1,846
0
-1,846
0.00%
-$87.80K
VAIL RESORTS INC
653
0
-653
0.00%
-$86.89K
UWM HOLDINGS CORP CL A
17,076
0
-17,076
0.00%
-$83.84K
VALMONT INDUSTRIES INC
186
0
-186
0.00%
-$82.87K
INVITATION HOMES INC
3,013
0
-3,013
0.00%
-$80.54K
BOEING CO/THE
301
0
-301
0.00%
-$70.35K
LEAR CORP NEW
520
0
-520
0.00%
-$60.89K
JACK HENRY
330
0
-330
0.00%
-$59.14K
AMERICAN ELECTRIC POWER CO INC
448
0
-448
0.00%
-$53.66K
EXELON CORP
1,183
0
-1,183
0.00%
-$52.97K
CONSTELLATION ENERGY CORP
160
0
-160
0.00%
-$44.91K
ENCOMPASS HEALTH CORP
473
0
-473
0.00%
-$44.71K
▶
Increased
· 40 positions
Security
Shares Jan 2026
Shares Apr 2026
Δ shares
End %
Δ value
ALPHABET INC CL A
9,993
10,698
705
2.75%
$738.96K
COMCAST CORP CL A
69,926
73,471
3,545
1.33%
-$93.64K
CVS HEALTH CORP
18,874
19,839
965
1.11%
$245.90K
EXXON MOBIL CORP
9,362
10,615
1,253
1.10%
$314.43K
HUMANA INC
6,128
6,462
334
1.02%
$331.69K
GLOBAL PAYMENTS INC
16,748
18,411
1,663
0.89%
$123.35K
SALESFORCE INC
6,243
7,419
1,176
0.88%
-$15.65K
SCHWAB CHARLES CORP
2,332
12,238
9,906
0.75%
$879.15K
UNILEVER PLC-SPONSORED ADR DEPOSITARY RECEIPT
18,136
18,161
25
0.72%
-$168.64K
ALPHABET INC CL C
2,014
2,696
682
0.69%
$347.91K
HEWLETT PACKARD ENTERPRISE CO
29,585
32,956
3,371
0.63%
$311.47K
DELTA AIR LI
11,833
13,540
1,707
0.62%
$140.91K
KIMBERLY CLARK CORP
8,633
8,953
320
0.59%
$18.03K
MID AMERICA APT CMNTY INC
6,162
6,775
613
0.59%
$47.64K
PFIZER INC
21,822
29,993
8,171
0.54%
$223.84K
HOST HOTELS & RE
32,842
37,201
4,359
0.53%
$177.49K
GENERAL MOTORS CO
7,706
9,827
2,121
0.51%
$108.29K
GE HEALTHCARE TECHNOLOGIES INC WI
7,416
12,123
4,707
0.49%
$151.92K
EVEREST REINSURANCE GROUP LTD
1,963
1,979
16
0.47%
$55.73K
Icon Public Limited Company
4,177
5,876
1,699
0.47%
-$57.60K
ADOBE INC
2,162
2,805
643
0.46%
$56.30K
DIAGEO PLC-SPONSORED ADR DEPOSITARY RECEIPT
7,551
8,319
768
0.45%
-$29.81K
ACCENTURE PLC CL A
1,430
3,740
2,310
0.45%
$291.37K
COMMSTCK
13,527
14,016
489
0.44%
$151.68K
CATERPILLAR INC
456
695
239
0.41%
$318.87K
WILLIS TOWERS WATSON PLC
2,265
2,332
67
0.40%
-$121.61K
ALLSTATE CORPORATION
2,249
2,582
333
0.38%
$113.44K
ESTEE LAUDER COS INC CL A
5,342
7,169
1,827
0.37%
-$65.89K
ABERCROMBIE & FI
5,096
6,232
1,136
0.36%
$34.38K
WESTERN DIGITAL CORP
586
1,147
561
0.33%
$351.76K
INTEL CORP
2,484
5,172
2,688
0.33%
$373.22K
TJX COS INC
2,089
2,907
818
0.30%
$142.72K
ADV MICRO DEVICE
694
1,171
477
0.28%
$250.82K
UNITED PARCEL SERVICE INC CL B
2,933
3,663
730
0.27%
$86.99K
VERSANT MEDIA GROUP INC - A
9,212
9,488
276
0.26%
$81.20K
PROGRESSIVE CORP OHIO
1,093
1,765
672
0.24%
$127.92K
DOMINION ENERGY INC
2,119
5,348
3,229
0.23%
$217.45K
AMGEN INC
465
967
502
0.22%
$175.85K
GENMAB A/S -SP ADR DEPOSITARY RECEIPT
8,963
12,547
3,584
0.22%
$40.28K
CORNING INC
681
1,611
930
0.18%
$194.28K
▶
Decreased
· 136 positions
Security
Shares Jan 2026
Shares Apr 2026
Δ shares
End %
Δ value
U.S. Cash Management Fund
5,200,592
4,968,014
-232,578
3.32%
-$232.53K
JPMORGAN CHASE and CO
9,620
9,024
-596
1.89%
-$116.07K
BERKSHIRE HATH-B
5,878
5,712
-166
1.81%
-$119.35K
MERCK & CO
20,119
19,623
-496
1.43%
-$76.08K
XCEL ENERGY INC
26,164
25,265
-899
1.40%
$105.70K
CHEVRON CORP
13,427
10,542
-2,885
1.36%
-$337.36K
CITIGROUP INC
14,121
13,798
-323
1.18%
$131.93K
BANK OF AMERICA CORPORATION
32,100
31,368
-732
1.12%
-$30.79K
MEDTRONIC PLC
20,554
20,519
-35
1.11%
-$454.82K
JOHNSON&JOHNSON
8,448
7,216
-1,232
1.11%
-$261.21K
SANOFI SPON ADR
36,987
35,195
-1,792
1.10%
-$100.49K
AT&T INC
66,247
61,188
-5,059
1.07%
-$137.49K
PROCTER & GAMBLE
11,935
10,342
-1,593
1.02%
-$290.17K
WELLS FARGO & CO
23,657
18,478
-5,179
1.02%
-$621.28K
Plains GP Holdings LP LTD PARTNER INT CL A NEW IN
63,273
60,848
-2,425
1.00%
$191.90K
PINNACLE WEST CAPITAL CORP
14,520
14,059
-461
0.98%
$99.71K
KROGER CO
24,823
21,298
-3,525
0.97%
-$110.37K
MICRON TECHNOLOGY INC
2,906
2,752
-154
0.95%
$217.58K
AIR PRODUCTS and CHEMICALS INC
4,711
4,588
-123
0.92%
$92.88K
PUBLIC STORAGE
5,065
4,515
-550
0.91%
-$33.34K
CHUBB LTD
4,383
4,151
-232
0.91%
$576
PHILIP MORRIS INTL INC
8,665
8,151
-514
0.90%
-$209.36K
MICROCHIP TECHNOLOGY
14,729
14,306
-423
0.89%
$210.94K
GENERAL DYNAMICS CORPORATION
4,065
3,764
-301
0.87%
-$131.24K
ENTERGY CORP
11,557
10,779
-778
0.85%
$162.75K
UNITEDHEALTH GRP
3,355
3,279
-76
0.81%
$252.15K
AMAZON.COM INC
6,922
4,536
-2,386
0.80%
-$454.12K
DUPONT DE NEMOURS INC
26,190
24,739
-1,451
0.76%
-$20.68K
PHILLIPS 66
7,805
6,242
-1,563
0.75%
-$2.23K
PROLOGIS INC REIT
9,749
7,812
-1,937
0.74%
-$163.37K
WALMART INC
8,382
7,931
-451
0.70%
$47.71K
ENBRIDGE INC
19,272
18,267
-1,005
0.68%
$71.11K
NORTHERN TRUST CORP
7,324
6,069
-1,255
0.68%
-$84.91K
CISCO SYSTEMS INC
11,081
10,762
-319
0.66%
$116.86K
EDISON INTL
14,193
12,770
-1,423
0.59%
$3.45K
M&T BANK CORP
4,064
3,928
-136
0.57%
-$41.68K
ON SEMICONDUCTOR CORP
13,543
8,307
-5,236
0.56%
$26.34K
CONOCOPHILLIPS
8,936
6,612
-2,324
0.56%
-$99.74K
FIRST AMERICAN FINANCIAL CORP
12,302
11,607
-695
0.54%
$36.76K
JOHNSON CONTROLS INTERNATIONAL PLC
5,909
5,556
-353
0.54%
$106.64K
FORTIVE CORP
14,018
13,500
-518
0.54%
$66.87K
HEALTHPEAK PROPERTIES INC
51,010
48,661
-2,349
0.53%
-$92.56K
EVERSOURCE ENERGY
11,969
11,120
-849
0.53%
-$41.23K
COCA-COLA EUROPA
8,509
8,188
-321
0.52%
-$5.94K
CAN NATURAL RES
18,595
15,604
-2,991
0.50%
$52.23K
ANNALY CAPITAL MGMT INC REIT
33,399
32,291
-1,108
0.49%
-$29.05K
SHELL PLC SPONS ADR
8,222
7,929
-293
0.48%
$85.58K
TYSON FOODS INC CL A
16,484
10,594
-5,890
0.45%
-$398.14K
AERCAP HOLDINGS NV
6,418
4,700
-1,718
0.45%
-$253.62K
DOLLAR GENERAL CORP
9,922
5,493
-4,429
0.43%
-$786.58K
SEMPRA ENERGY
9,083
6,627
-2,456
0.42%
-$159.95K
NEWMONT CORP
6,181
5,638
-543
0.42%
-$68.11K
FIDELITY NATL INFORM SVCS INC
13,678
13,028
-650
0.41%
-$149.52K
ANALOG DEVICES INC
1,551
1,455
-96
0.39%
$103.11K
WARNER MUSIC GRP CORP CL A
21,684
20,661
-1,023
0.39%
-$66.00K
L3HARRIS TECHNOLOGIES INC
2,715
1,821
-894
0.39%
-$347.12K
CELANESE CORP
11,342
8,368
-2,974
0.38%
$62.98K
GSK plc SPONSORED ADR
12,587
10,354
-2,233
0.36%
-$107.87K
ROYALTY PHARMA PLC
11,014
10,285
-729
0.34%
$56.11K
GILEAD SCIENCES INC
4,222
3,912
-310
0.34%
-$87.47K
VIATRIS INC
36,195
33,830
-2,365
0.34%
$31.63K
TEXAS INSTRUMENTS INC
1,887
1,730
-157
0.33%
$79.53K
INTL BUS MACH CORP
2,211
2,073
-138
0.32%
-$199.29K
MAGNA INTL
7,809
7,295
-514
0.31%
$65.12K
ARCHER DANIELS MIDLAND CO
12,042
6,114
-5,928
0.30%
-$354.81K
SMURFIT WESTROCK PLC
15,758
11,638
-4,120
0.30%
-$209.22K
REGAL REXNORD CORP
3,550
2,030
-1,520
0.29%
-$136.81K
ANGLOGOLD ASHANTI PLC
4,895
4,638
-257
0.29%
-$19.88K
ZCS BRL 14.0087 05/12/25-01/04/27 CME
15
14
-1
0.29%
$384.94K
VONTIER CORP W/I
12,915
12,003
-912
0.29%
-$53.64K
CNH INDUSTRIAL NV
41,847
40,102
-1,745
0.29%
-$20.78K
ROCKWELL AUTOMATION INC
1,137
1,041
-96
0.28%
-$53.74K
EBAY INC
4,354
3,978
-376
0.28%
$14.47K
WALT DISNEY CO/T
7,649
3,851
-3,798
0.27%
-$463.27K
BIOMARIN PHARMACEUTICAL INC
7,864
7,335
-529
0.26%
-$49.20K
CME GROUP INC CL A
2,471
1,372
-1,099
0.26%
-$319.38K
SLB LTD
10,022
6,854
-3,168
0.26%
-$95.01K
PARKER HANNIFIN CORP
455
426
-29
0.26%
-$38.39K
FEDEX CORP
2,258
906
-1,352
0.24%
-$362.24K
COCA-COLA CO/THE
4,936
4,569
-367
0.24%
-$9.41K
NRG ENERGY INC
2,464
2,285
-179
0.24%
-$20.58K
VERIZON COMMUNICATIONS INC
10,655
7,330
-3,325
0.24%
-$122.30K
BRISTOL-MYERS SQUIBB CO
8,587
5,603
-2,984
0.23%
-$133.23K
DEVON ENERGY CORP
6,643
6,146
-497
0.21%
$48.60K
ALTRIA GROUP INC
7,165
4,294
-2,871
0.21%
-$132.20K
FIRSTENERGY CORP
9,639
6,458
-3,181
0.21%
-$149.43K
BLACKROCK INC
303
278
-25
0.20%
-$42.80K
CBOE GLOBAL MARKETS INC
1,219
961
-258
0.19%
-$34.72K
TRANSDIGM GROUP INC
258
234
-24
0.18%
-$96.87K
EATON CORP PLC
1,037
596
-441
0.17%
-$106.35K
NIKE INC CL B
6,351
5,796
-555
0.17%
-$135.44K
CH ROBINSON WORLDWIDE INC
1,496
1,374
-122
0.17%
-$41.84K
EMCOR GROUP INC
375
270
-105
0.16%
-$29.52K
CINCINNATI FINANCIAL CORP
1,719
1,429
-290
0.16%
-$42.79K
WELLTOWER INC
1,180
1,075
-105
0.16%
$11.38K
CURTISS WRIGHT CORPORATION
352
320
-32
0.15%
-$691
3M CO
1,708
1,568
-140
0.15%
-$31.85K
HUNTINGTON BANCSHARES INC
17,243
13,165
-4,078
0.15%
-$80.76K
UNITED RENTALS INC
406
229
-177
0.15%
-$97.71K
ELECTRONIC ARTS INC
1,600
1,071
-529
0.15%
-$109.53K
EOG RESOURCES INC
2,090
1,528
-562
0.14%
-$19.56K
RTX CORP
1,684
1,205
-479
0.14%
-$126.20K
ITT INC
1,181
965
-216
0.14%
-$8.46K
HARTFORD INSURANCE GROUP INC/THE
1,696
1,489
-207
0.14%
-$25.35K
SOUTHWEST AIRLINES CO
5,871
5,356
-515
0.14%
-$75.89K
LYONDELLBASELL INDS CLASS A
4,211
2,409
-1,802
0.12%
-$26.63K
GAMING AND LEISURE PROPRTI INC
4,429
3,696
-733
0.12%
-$19.09K
VALERO ENERGY CORP
817
707
-110
0.12%
$30.35K
RALPH LAUREN CORP
568
492
-76
0.12%
-$24.29K
EQT CORPORATION
3,378
2,930
-448
0.12%
-$18.98K
WOODWARD INC
555
482
-73
0.12%
-$1.44K
FIRST HORIZON CORP
8,446
6,944
-1,502
0.12%
-$33.52K
STRYKER CORP
596
516
-80
0.11%
-$57.65K
EXPAND ENERGY CORP
2,057
1,572
-485
0.11%
-$70.65K
PNC FINANCIAL SERVICES GRP INC
847
720
-127
0.11%
-$28.58K
FRANKLIN RESOURCES INC
6,624
5,342
-1,282
0.11%
-$16.23K
ROYAL GOLD INC
767
665
-102
0.10%
-$46.76K
WP CAREY INC
3,239
2,094
-1,145
0.10%
-$73.20K
MILLICOM INTL CELL SA
2,056
1,787
-269
0.10%
$26.20K
META PLATFORMS INC CL A
524
246
-278
0.10%
-$224.92K
INTL PAPER CO
6,481
4,942
-1,539
0.10%
-$110.98K
XYLEM INC
1,433
1,263
-170
0.10%
-$48.33K
AES CORP
12,553
10,313
-2,240
0.10%
-$34.88K
PERMIAN RESOURCES CORP CL A
12,151
6,859
-5,292
0.10%
-$47.70K
RB GLOBAL INC
1,709
1,386
-323
0.10%
-$49.53K
WATSCO INC
379
323
-56
0.09%
-$5.04K
ABBOTT LABS
4,782
1,438
-3,344
0.09%
-$392.12K
JANUS HENDERSON GROUP PLC
3,055
2,460
-595
0.08%
-$20.08K
AFLAC INC
1,910
1,097
-813
0.08%
-$87.22K
SUN COMMUNITIES INC - REIT
1,590
972
-618
0.08%
-$78.35K
AMERICAN FINL GROUP INC OHIO
1,091
928
-163
0.08%
-$18.45K
NNN REIT INC
3,734
2,798
-936
0.08%
-$33.07K
Southern Copper Corporation COM USD0.01
1,213
671
-542
0.08%
-$115.65K
COTERRA ENERGY INC
6,874
3,126
-3,748
0.08%
-$86.06K
EQUIFAX INC
770
639
-131
0.07%
-$43.93K
STERIS PLC
822
383
-439
0.06%
-$132.79K
▶
Unchanged
· 56 positions
Security
Shares Jan 2026
Shares Apr 2026
Δ shares
End %
Δ value
BANK OF NOVA SCO
11,357
11,357
0
0.59%
$34.98K
INTL FLVR & FRAG
8,717
8,717
0
0.41%
$3.40K
TERADYNE INC
1,388
1,388
0
0.32%
$142.16K
CUMMINS INC
657
657
0
0.29%
$60.57K
ORACLE CORP
2,720
2,720
0
0.29%
-$8.68K
MIDDLEBY CORP
2,689
2,689
0
0.25%
-$18.31K
GARMIN LTD
1,422
1,422
0
0.24%
$70.39K
GOLDMAN SACHS GROUP INC
339
339
0
0.21%
-$3.95K
WHIRLPOOL CORP
5,467
5,467
0
0.21%
-$130.83K
CONAGRA BRANDS INC
20,386
20,386
0
0.20%
-$84.81K
MORGAN STANLEY
1,417
1,417
0
0.18%
$11.04K
HOWARD HUGHES HOLDINGS INC
4,008
4,008
0
0.17%
-$77.72K
PEPSICO INC
1,481
1,481
0
0.16%
$7.20K
HUBBELL INC
453
453
0
0.15%
$9.16K
TRAVELERS COS IN
754
754
0
0.15%
$15.56K
QUANTA SVCS INC
311
311
0
0.15%
$78.73K
REALTY INCOME CORP REIT
3,378
3,378
0
0.15%
$10.40K
EMERSON ELECTRIC CO
1,543
1,543
0
0.14%
-$10.06K
MCDONALDS CORP
738
738
0
0.14%
-$15.80K
T ROWE PRICE GRP
1,980
1,980
0
0.14%
-$5.54K
AGNC INVESTMENT CORP
17,637
17,637
0
0.13%
-$6.70K
RESMED INC
893
893
0
0.13%
-$39.74K
ECOLAB INC
714
714
0
0.12%
-$15.27K
SIMON PROPERTY
884
884
0
0.12%
$10.96K
PAYCHEX INC
1,928
1,928
0
0.12%
-$20.24K
WILLIAMS-SONOMA INC
943
943
0
0.11%
-$22.10K
FERGUSON ENTERPRISES INC
622
622
0
0.11%
$9.49K
SNAP-ON INCORPORATED
433
433
0
0.11%
$7.49K
API GROUP CORP
3,449
3,449
0
0.11%
$14.31K
VF CORP
8,298
8,298
0
0.11%
-$5.48K
BEST BUY CO INC
2,584
2,584
0
0.10%
-$11.91K
OLD REPUBLIC INTL CORP
3,911
3,911
0
0.10%
$3.05K
HUNT J B TRANSPORT SERVICES IN
607
607
0
0.10%
$29.63K
O-I GLASS INC
16,703
16,703
0
0.10%
-$103.06K
REGIONS FINANCIAL CORP
5,140
5,140
0
0.10%
$257
PRINCIPAL FINL GROUP INC
1,445
1,445
0
0.10%
$8.94K
RYDER SYSTEM INC
574
574
0
0.10%
$35.87K
LINCOLN ELECTRIC HLDGS INC
545
545
0
0.10%
-$191
EXPEDITORS INTL OF WASH INC
972
972
0
0.10%
-$12.30K
STARWOOD PROPERTY TRUST INC
7,784
7,784
0
0.10%
$3.35K
HEALTHCARE REALTY TRUST INC
7,619
7,619
0
0.10%
$14.55K
MSC INDUSTRIAL DIRECT CO CL A
1,333
1,333
0
0.09%
$23.90K
CROWN CASTLE INC
1,515
1,515
0
0.09%
$2.98K
GAP INC/THE
5,407
5,407
0
0.09%
-$18.33K
ALEXANDRIA REAL ES EQ INC REIT
3,202
3,202
0
0.09%
-$45.24K
MACYS INC
6,565
6,565
0
0.09%
-$3.09K
QIAGEN NV
3,542
3,542
0
0.08%
-$67.62K
CARNIVAL CORP
4,297
4,297
0
0.08%
-$15.08K
CASEY'S GENERAL
128
128
0
0.07%
$27.60K
ROBERT HALF INTL
3,904
3,904
0
0.07%
-$31.23K
NETAPP INC
929
929
0
0.07%
$13.40K
HIGHWOODS PROPERTIES INC
3,968
3,968
0
0.06%
-$6.11K
C N A FINANCIAL CORP
1,945
1,945
0
0.06%
$720
TFS FINANCIAL CORP
6,210
6,210
0
0.06%
$5.99K
FLOWERS FOODS INC
9,431
9,431
0
0.06%
-$22.35K
WALGREENS BOOTS COMMON STOCK
30,792
30,792
0
0.01%
$0
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