RYTAX
Technology Fund
Rydex Series Funds

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.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ONDAS INC 0 7,865 7,865 0.16% $71.10K
ZAR/USD FORWARD 0 42,699 42,699 0.10% $42.70K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
CYBER-ARK SOFTWARE LTD 915 0 -915 0.00% -$408.14K
CONFLUENT INC-A 7,438 0 -7,438 0.00% -$224.93K
U.S. Secured Overnight Financing Rate 130,144 0 -130,144 0.00% -$130.14K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ATLASSIAN CORP PLC CLS A 3,102 3,410 308 0.52% -$270.23K
MONDAY.COM LTD 1,857 2,522 665 0.39% -$99.72K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
NVIDIA CORP 26,590 14,037 -12,553 5.48% -$2.51M
APPLE INC 16,761 9,375 -7,386 5.33% -$2.18M
ALPHABET INC CL A 14,503 7,838 -6,665 5.05% -$2.29M
MICROSOFT CORP 8,985 5,330 -3,655 4.42% -$2.37M
BROADCOM INC 7,874 4,630 -3,244 3.21% -$1.29M
META PLATFORMS INC CL A 4,541 2,490 -2,051 3.19% -$1.57M
ADV MICRO DEVICE 6,292 3,604 -2,688 1.64% -$614.33K
MICRON TECHNOLOGY INC 4,879 2,089 -2,790 1.58% -$686.77K
PALANTIR TECHNOLOGIES INC 8,105 4,754 -3,351 1.56% -$745.25K
APPLIED MATERIALS INC 4,035 1,928 -2,107 1.48% -$377.98K
LAM RESEARCH CORP 6,372 3,079 -3,293 1.47% -$432.90K
CISCO SYSTEMS INC 15,534 8,390 -7,144 1.46% -$545.60K
ORACLE CORP 7,136 4,101 -3,035 1.35% -$787.58K
INTL BUS MACH CORP 4,035 2,407 -1,628 1.31% -$611.77K
KLA CORP 764 382 -382 1.26% -$365.86K
TEXAS INSTRUMENTS INC 5,217 2,761 -2,456 1.20% -$369.08K
INTEL CORP 23,977 12,077 -11,900 1.19% -$351.79K
ANALOG DEVICES INC 3,057 1,583 -1,474 1.13% -$325.44K
SALESFORCE INC 4,310 2,582 -1,728 1.08% -$659.78K
AMPHENOL CORPORATION CL A 6,870 3,811 -3,059 1.08% -$446.89K
QUALCOMM INC 5,714 3,562 -2,152 1.03% -$518.67K
PALO ALTO NETWORKS INC 4,417 2,688 -1,729 0.97% -$382.67K
ARISTA NETWORKS INC 6,390 3,493 -2,897 0.96% -$408.41K
INTUIT INC 1,449 980 -469 0.95% -$536.11K
CORNING INC 6,541 3,065 -3,476 0.93% -$155.98K
DELL TECHNOLOGIES INC CL C 4,950 2,485 -2,465 0.91% -$215.24K
SERVICENOW INC 5,599 3,802 -1,797 0.89% -$460.21K
SANDISK CORPORATION 1,715 617 -1,098 0.88% -$15.10K
MARVELL TECHNOLOGY INC 7,296 3,953 -3,343 0.88% -$228.47K
APPLOVIN CORP 1,422 980 -442 0.87% -$568.13K
WESTERN DIGITAL CORP 3,066 1,422 -1,644 0.86% -$143.54K
SEAGATE TECHNOLOGY HOLDINGS PLC 1,893 957 -936 0.84% -$146.40K
ADOBE INC 2,471 1,533 -938 0.83% -$492.18K
CROWDSTRIKE HOLDINGS INC 1,582 920 -662 0.80% -$382.40K
ASML HOLDING-NY 560 262 -298 0.77% -$253.06K
TAIWAN SEMIC MFG CO LTD SP ADR 2,133 1,013 -1,120 0.77% -$305.85K
CADENCE DESIGN SYSTEMS INC 2,088 1,210 -878 0.75% -$316.44K
SYNOPSYS INC 1,431 847 -584 0.75% -$336.35K
ARM HOLDINGS LTD 3,733 2,214 -1,519 0.75% -$73.12K
NXP SEMICONDUCTORS NV 2,862 1,698 -1,164 0.75% -$286.96K
CLOUDFLARE INC-A 2,950 1,588 -1,362 0.73% -$253.92K
MOTOROLA SOLUTIONS INC 1,555 736 -819 0.72% -$276.66K
SHOPIFY INC CL A 3,795 2,573 -1,222 0.68% -$305.67K
LUMENTUM HOLDINGS INC 906 433 -473 0.68% -$29.65K
CIENA CORP 1,706 782 -924 0.68% -$95.39K
ELECTRONIC ARTS INC 2,559 1,469 -1,090 0.67% -$223.40K
TERADYNE INC 2,035 934 -1,101 0.62% -$117.00K
AUTODESK INC 1,928 1,137 -791 0.61% -$298.51K
FORTINET INC 6,239 3,304 -2,935 0.60% -$225.44K
Nebius Group NV, Class A 5,261 2,582 -2,679 0.60% -$172.46K
MONOLITHIC POWER SYS INC 409 244 -165 0.60% -$103.92K
COHERENT CORP 2,026 1,105 -921 0.59% -$110.72K
SNOWFLAKE INC CL A 2,746 1,661 -1,085 0.56% -$351.85K
ACCENTURE PLC CL A 1,831 1,261 -570 0.56% -$241.21K
ROBLOX CORP - A 6,096 4,409 -1,687 0.56% -$244.59K
DATADOG INC CL A 3,528 2,048 -1,480 0.54% -$238.01K
STRATEGY INC CL A 2,986 1,933 -1,053 0.54% -$212.48K
IREN LTD 11,553 7,032 -4,521 0.54% -$195.30K
ROPER TECHNOLOGIES INC 1,129 677 -452 0.54% -$262.99K
MICROCHIP TECHNOLOGY 6,470 3,677 -2,793 0.53% -$174.70K
HEWLETT PACKARD ENTERPRISE CO 17,187 9,633 -7,554 0.51% -$183.47K
TE CONNECTIVITY PLC 1,742 1,095 -647 0.51% -$167.45K
TAKE-TWO INTERACTV SOFTWR INC 1,982 1,151 -831 0.51% -$280.13K
WORKDAY INC CL A 2,471 1,717 -754 0.50% -$307.65K
COREWEAVE INC 5,101 2,872 -2,229 0.50% -$142.79K
WIX.COM LTD 2,586 2,458 -128 0.50% -$47.27K
COGNIZANT TECH SOLUTIONS CL A 5,510 3,484 -2,026 0.48% -$243.59K
Infosys Ltd. SPONSORED ADR 23,879 15,745 -8,134 0.48% -$212.81K
CELESTICA INC SUB VTG 1,066 741 -325 0.47% -$106.40K
BAIDU INC SPON ADR 3,404 1,850 -1,554 0.46% -$238.64K
ON SEMICONDUCTOR CORP 6,221 3,263 -2,958 0.45% -$134.82K
ZOOM VIDEO COMMUNICATIONS INC CL A 4,132 2,471 -1,661 0.44% -$157.91K
QNITY ELECTRONICS INC 3,688 1,717 -1,971 0.44% -$103.02K
REDDIT INC-A 2,008 1,464 -544 0.44% -$264.45K
FLEX LTD 5,234 2,964 -2,270 0.43% -$122.21K
SAP SE 1,697 1,128 -569 0.43% -$219.09K
JABIL INC 1,529 718 -811 0.43% -$157.92K
CHECK POINT SOFTWARE TECHS LTD 2,000 1,325 -675 0.42% -$181.84K
VERISIGN INC 1,342 732 -610 0.41% -$144.24K
NETAPP INC 2,986 1,763 -1,223 0.40% -$139.26K
FIRST SOLAR INC 1,404 893 -511 0.39% -$190.61K
ENTEGRIS INC 2,915 1,487 -1,428 0.39% -$71.25K
TWILIO INC CLASS A 2,417 1,348 -1,069 0.38% -$174.19K
MONGODB INC CL A 1,004 690 -314 0.38% -$252.48K
AKAMAI TECHNOLOGIES INC 2,977 1,441 -1,536 0.37% -$94.24K
CIRCLE INTERNET GROUP INC A 3,573 1,721 -1,852 0.37% -$119.14K
CDW CORPORATION 2,168 1,344 -824 0.36% -$132.63K
HP INC 13,988 8,459 -5,529 0.36% -$149.16K
F5 INC 1,084 557 -527 0.36% -$115.55K
SAMSARA INC-CL A 7,980 5,012 -2,968 0.36% -$124.06K
ASTERA LABS INC 2,035 1,404 -631 0.34% -$184.66K
PTC INC 1,866 1,077 -789 0.34% -$171.61K
TRIMBLE INC 3,901 2,343 -1,558 0.34% -$152.81K
LATTICE SEMICONDUCTOR CORP 3,004 1,583 -1,421 0.33% -$74.20K
OKTA INC CL A 3,190 1,864 -1,326 0.33% -$129.12K
ZSCALER INC 1,502 1,031 -471 0.32% -$193.19K
CREDO TECHNOLOGY GROUP HOLDING LTD 2,399 1,528 -871 0.32% -$201.76K
PINTEREST INC CL A 11,393 7,516 -3,877 0.31% -$157.12K
GODADDY INC CL A 2,391 1,638 -753 0.30% -$161.26K
HUBSPOT INC 835 548 -287 0.30% -$201.32K
ZEBRA TECHNOLOGIES CORP CL A 986 617 -369 0.29% -$110.42K
GARTNER INC 1,262 805 -457 0.29% -$190.91K
DOCUSIGN INC 3,812 2,591 -1,221 0.28% -$137.90K
UNITY SOFTWARE INC 6,025 5,560 -465 0.27% -$144.14K
TTM TECHNOLOGIES INC 2,577 1,238 -1,339 0.27% -$57.21K
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 1,111 538 -573 0.27% -$70.82K
GEN DIGITAL INC 10,353 6,342 -4,011 0.27% -$162.08K
NUTANIX INC CL A 5,474 3,139 -2,335 0.27% -$163.64K
SUPER MICRO COMPUTER INC 9,251 5,118 -4,133 0.26% -$154.24K
BITMINE IMMERSION TECHNOLOGIES INC 7,892 5,859 -2,033 0.26% -$98.38K
IONQ INC 5,803 4,009 -1,794 0.26% -$144.80K
RAMBUS INC 1,893 1,289 -604 0.25% -$63.06K
MKS INSTRUMENTS INC 1,173 479 -694 0.25% -$77.37K
SKYWORKS SOLUTIONS INC 3,448 2,039 -1,409 0.24% -$109.45K
MATCH GROUP INC 6,141 3,452 -2,689 0.24% -$92.28K
QORVO INC 2,355 1,275 -1,080 0.22% -$100.34K
SNAP INC - A 30,607 20,973 -9,634 0.22% -$150.52K
BENTLEY SYSTEM-B 4,675 2,600 -2,075 0.20% -$87.11K
GLOBALFOUNDRIES INC 3,804 2,025 -1,779 0.20% -$42.76K
TERAWULF INC 11,198 6,209 -4,989 0.20% -$39.07K
APPLIED DIGITAL CORP 6,772 3,746 -3,026 0.20% -$77.12K
CIPHER MINING INC 10,691 6,673 -4,018 0.19% -$71.92K
MANHATTAN ASSOCIATES INC 1,013 640 -373 0.19% -$90.37K
DROPBOX INC CL A 6,798 3,613 -3,185 0.18% -$106.90K
D-WAVE QUANTUM INC 7,892 5,656 -2,236 0.18% -$124.76K
ENPHASE ENERGY INC 4,550 2,149 -2,401 0.18% -$64.57K
SEMTECH CORP 2,248 1,045 -1,203 0.18% -$85.31K
CORE SCIENTIFIC INC 9,696 5,366 -4,330 0.18% -$60.90K
RIGETTI COMPUTING INC A 7,972 5,647 -2,325 0.18% -$97.30K
RIOT PLATFORMS INC 11,198 6,103 -5,095 0.17% -$66.45K
UNIVERSAL DISPLAY CORP 933 787 -146 0.16% -$36.82K
GITLAB INC-CL A 4,461 3,258 -1,203 0.16% -$96.92K
MARATHON DIGITAL HOLDINGS INC 13,224 7,930 -5,294 0.14% -$54.04K
SOUNDHOUND AI INC 13,864 9,389 -4,475 0.14% -$73.72K
CLEANSPARK INC 9,625 6,356 -3,269 0.12% -$43.32K
BIGBEAR AI HOLDINGS INC 18,387 13,503 -4,884 0.11% -$51.76K
ZAR/USD FORWARD 130,144 46,985 -83,158 0.11% -$83.16K
QUANTUM COMPUTING INC 9,171 6,462 -2,709 0.10% -$49.83K

No positions in this category.

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