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
· 94 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
EXXON MOBIL CORP
0
9,678
9,678
0.84%
$1.64M
VIKING HOLDINGS LTD
0
16,177
16,177
0.61%
$1.19M
GOLDMAN SACHS GROUP INC
0
1,375
1,375
0.59%
$1.16M
NORTHROP GRUMMAN CORP
0
1,303
1,303
0.45%
$888.96K
PHILLIPS 66
0
4,051
4,051
0.38%
$738.01K
ALCOA CORP
0
11,035
11,035
0.37%
$731.95K
TARGET CORP
0
5,432
5,432
0.34%
$658.36K
VERTEX PHARMACEUTICALS INC
0
1,453
1,453
0.33%
$648.82K
PORTLAND GENERAL ELECTRIC CO
0
11,767
11,767
0.32%
$620.94K
BIOGEN INC
0
3,254
3,254
0.30%
$596.56K
ABBOTT LABS
0
5,163
5,163
0.27%
$530.09K
LEIDOS HOLDINGS INC
0
2,732
2,732
0.22%
$424.88K
VULCAN MATERIALS CO
0
1,533
1,533
0.21%
$417.44K
CREDICORP LTD
0
1,215
1,215
0.21%
$412.10K
ECOLAB INC
0
1,538
1,538
0.21%
$409.14K
MARATHON PETROLEUM CORP
0
1,613
1,613
0.20%
$393.86K
SLB LTD
0
7,524
7,524
0.20%
$386.66K
FOX CORP CL A
0
6,239
6,239
0.19%
$364.36K
FEDEX CORP
0
1,005
1,005
0.18%
$357.96K
JACOBS SOLUTIONS INC
0
2,646
2,646
0.17%
$336.78K
LUMENTUM HOLDINGS INC
0
458
458
0.16%
$321.86K
DOLLAR GENERAL CORP
0
2,392
2,392
0.14%
$284.00K
SOLSTICE ADV MAT
0
3,704
3,704
0.14%
$282.10K
WASTE CONNECTIONS INC
0
1,733
1,733
0.14%
$281.51K
STEPSTONE GROUP INC CLASS A
0
5,461
5,461
0.13%
$260.60K
AMKOR TECHNOLOGY INC
0
5,556
5,556
0.13%
$250.19K
HOWMET AEROSPACE INC
0
1,017
1,017
0.12%
$234.38K
NEUROCRINE BIOSCIENCES INC
0
1,776
1,776
0.12%
$233.97K
INTL BUS MACH CORP
0
950
950
0.12%
$230.27K
TYSON FOODS INC CL A
0
3,530
3,530
0.12%
$226.17K
LENNAR CORP CL A
0
2,408
2,408
0.11%
$209.11K
SMITHFIELD FOODS
0
7,469
7,469
0.11%
$208.91K
COHERENT CORP
0
870
870
0.11%
$207.24K
CADENCE DESIGN SYSTEMS INC
0
731
731
0.10%
$203.12K
HALLIBURTON CO
0
5,172
5,172
0.10%
$201.66K
CROWN HOLDINGS INC
0
1,991
1,991
0.10%
$199.60K
SEMPRA ENERGY
0
2,017
2,017
0.10%
$195.99K
VERSANT MEDIA GROUP INC - A
0
5,080
5,080
0.10%
$188.06K
COUPANG INC A
0
9,609
9,609
0.09%
$181.42K
FIRST SOLAR INC
0
910
910
0.09%
$179.51K
AMERICAN FINL GROUP INC OHIO
0
1,400
1,400
0.09%
$178.79K
TERADYNE INC
0
596
596
0.09%
$176.69K
KBR INC
0
4,254
4,254
0.08%
$156.80K
ROCKET COS INC-A
0
10,985
10,985
0.08%
$156.54K
ALEXANDRIA REAL ES EQ INC REIT
0
3,314
3,314
0.08%
$153.84K
ARCH CAPITAL GROUP LTD
0
1,515
1,515
0.07%
$145.42K
ZSCALER INC
0
1,035
1,035
0.07%
$145.20K
PAYPAL HOLDINGS
0
3,047
3,047
0.07%
$137.82K
ULTRAGENYX PHARMA INC
0
6,398
6,398
0.07%
$134.04K
TPG INC
0
3,266
3,266
0.07%
$132.31K
MOLSON COORS BEVERAGE CO B
0
3,053
3,053
0.07%
$131.46K
JEFFERIES FINANCIAL GROUP INC
0
3,077
3,077
0.06%
$126.99K
INSTALLED BUILDING PRODUCTS INC
0
476
476
0.06%
$126.21K
GENERAL MILLS INC
0
3,298
3,298
0.06%
$122.75K
MUELLER INDUSTRIES INC
0
1,068
1,068
0.06%
$118.33K
CARIS LIFE SCIENCES INC
0
6,520
6,520
0.06%
$116.58K
POPULAR INC
0
850
850
0.06%
$114.04K
ARCHER DANIELS MIDLAND CO
0
1,545
1,545
0.06%
$112.31K
GRAPHIC PACKAGING HOLDING CO
0
10,385
10,385
0.05%
$103.23K
CONAGRA BRANDS INC
0
5,814
5,814
0.05%
$91.40K
UNITED RENTALS INC
0
121
121
0.04%
$88.16K
TTM TECHNOLOGIES INC
0
882
882
0.04%
$85.92K
WR BERKLEY CORP
0
1,296
1,296
0.04%
$85.90K
BIOMARIN PHARMACEUTICAL INC
0
1,333
1,333
0.04%
$75.30K
MANHATTAN ASSOCIATES INC
0
521
521
0.04%
$69.36K
ALBEMARLE CORP
0
374
374
0.03%
$67.14K
DYNATRACE INC
0
1,756
1,756
0.03%
$64.94K
BELLRING BRANDS INC
0
3,950
3,950
0.03%
$63.56K
REINSURANCE GROUP OF AMERICA
0
302
302
0.03%
$61.66K
CHECK POINT SOFTWARE TECHS LTD
0
418
418
0.03%
$59.71K
CBRE GROUP INC - CL A
0
416
416
0.03%
$56.35K
PTC THERAPEUTICS INC
0
809
809
0.03%
$55.12K
EQUINIX INC
0
53
53
0.03%
$51.95K
DROPBOX INC CL A
0
2,278
2,278
0.03%
$51.76K
CLEVELAND-CLIFFS INC
0
6,096
6,096
0.03%
$51.51K
RINGCENTRAL INC CL A
0
1,314
1,314
0.02%
$48.87K
CRH PLC
0
457
457
0.02%
$48.04K
REVOLUTION MEDICINES INC
0
493
493
0.02%
$47.94K
WEATHERFORD INTERNATIONAL PLC
0
458
458
0.02%
$43.32K
CHIME FINANCIAL INC
0
2,159
2,159
0.02%
$40.44K
JABIL INC
0
152
152
0.02%
$40.38K
CASEY'S GENERAL
0
55
55
0.02%
$40.03K
MURPHY USA INC
0
72
72
0.02%
$35.57K
FIRSTENERGY CORP
0
691
691
0.02%
$35.01K
AES CORP
0
2,314
2,314
0.02%
$32.60K
CROWDSTRIKE HOLDINGS INC
0
67
67
0.01%
$26.16K
AIRBNB INC CLASS A
0
207
207
0.01%
$26.14K
KLA CORP
0
17
17
0.01%
$25.03K
UNITY SOFTWARE INC
0
1,120
1,120
0.01%
$24.57K
COLGATE-PALMOLIVE CO
0
245
245
0.01%
$20.88K
BOOZ ALLEN HAMILTON HLDG CL A
0
255
255
0.01%
$19.90K
SYSCO CORP
0
250
250
0.01%
$17.83K
ALASKA AIR GROUP INC
0
478
478
0.01%
$17.58K
AMERICAN AIRLINES GROUP INC
0
1,586
1,586
0.01%
$17.03K
▶
Exited
· 54 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
CORTEVA INC
28,582
0
-28,582
0.00%
-$1.92M
HONEYWELL INTL INC
8,622
0
-8,622
0.00%
-$1.68M
MARSH & MCLENNAN
8,105
0
-8,105
0.00%
-$1.50M
AMETEK INC NEW
6,605
0
-6,605
0.00%
-$1.36M
CINTAS CORP
5,213
0
-5,213
0.00%
-$980.41K
S&P GLOBAL INC
1,692
0
-1,692
0.00%
-$884.22K
EOG RESOURCES INC
7,050
0
-7,050
0.00%
-$740.32K
KINDER MORGAN INC
24,182
0
-24,182
0.00%
-$664.76K
UBER TECHNOLOGIES INC
7,135
0
-7,135
0.00%
-$583.00K
PINTEREST INC CL A
19,761
0
-19,761
0.00%
-$511.61K
CENTENE CORP
11,451
0
-11,451
0.00%
-$471.21K
KIMCO REALTY CORPORATION
22,797
0
-22,797
0.00%
-$462.10K
SMURFIT WESTROCK PLC
11,349
0
-11,349
0.00%
-$438.87K
PHILIP MORRIS INTL INC
2,601
0
-2,601
0.00%
-$417.20K
ROBLOX CORP - A
4,942
0
-4,942
0.00%
-$400.45K
EQUIFAX INC
1,845
0
-1,845
0.00%
-$400.33K
NASDAQ INC
3,841
0
-3,841
0.00%
-$373.08K
MONSTER BEVERAGE CORP
4,654
0
-4,654
0.00%
-$356.82K
US BANCORP DEL
6,281
0
-6,281
0.00%
-$335.15K
KIRBY CORP
2,747
0
-2,747
0.00%
-$302.66K
SKYWORKS SOLUTIONS INC
4,678
0
-4,678
0.00%
-$296.63K
BLOCK INC CL A
4,460
0
-4,460
0.00%
-$290.30K
CHUBB LTD
870
0
-870
0.00%
-$271.54K
BEST BUY CO INC
3,771
0
-3,771
0.00%
-$252.39K
OVINTIV INC
6,377
0
-6,377
0.00%
-$249.91K
AUTOZONE INC
72
0
-72
0.00%
-$244.19K
DOVER CORP
1,216
0
-1,216
0.00%
-$237.41K
WEC ENERGY GROUP INC
2,229
0
-2,229
0.00%
-$235.07K
QUEST DIAGNOSTICS INC
1,267
0
-1,267
0.00%
-$219.86K
FLEX LTD
3,490
0
-3,490
0.00%
-$210.87K
FISERV INC
2,929
0
-2,929
0.00%
-$196.74K
MODERNA INC
6,582
0
-6,582
0.00%
-$194.10K
KEYCORP
8,780
0
-8,780
0.00%
-$181.22K
NRG ENERGY INC
1,076
0
-1,076
0.00%
-$171.34K
HEWLETT PACKARD ENTERPRISE CO
6,985
0
-6,985
0.00%
-$167.78K
THE CIGNA GROUP
572
0
-572
0.00%
-$157.43K
LYONDELLBASELL INDS CLASS A
3,536
0
-3,536
0.00%
-$153.11K
CIENA CORP
615
0
-615
0.00%
-$143.83K
PUBLIC STORAGE
515
0
-515
0.00%
-$133.64K
GODADDY INC CL A
945
0
-945
0.00%
-$117.26K
HP INC
5,140
0
-5,140
0.00%
-$114.52K
MOODYS CORP
201
0
-201
0.00%
-$102.68K
BRIGHT HORIZONS FAMILY SOLUTIONS INC
968
0
-968
0.00%
-$98.16K
SPROUTS FMRS MKT INC
1,138
0
-1,138
0.00%
-$90.66K
MOSAIC CO/THE
2,546
0
-2,546
0.00%
-$61.33K
KIMBERLY CLARK CORP
605
0
-605
0.00%
-$61.04K
EXLSERVICE HOLDINGS INC
1,010
0
-1,010
0.00%
-$42.86K
DOXIMITY INC-A
912
0
-912
0.00%
-$40.38K
AUTODESK INC
121
0
-121
0.00%
-$35.82K
LAS VEGAS SANDS CORP
535
0
-535
0.00%
-$34.82K
DARDEN RESTAURANTS INC
178
0
-178
0.00%
-$32.76K
FACTSET RESEARCH SYSTEMS INC
101
0
-101
0.00%
-$29.31K
ALLSTATE CORPORATION
134
0
-134
0.00%
-$27.89K
MOLINA HEALTHCARE INC
147
0
-147
0.00%
-$25.51K
▶
Increased
· 60 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
BROADCOM INC
15,666
15,928
262
2.51%
-$492.13K
JPMORGAN CHASE and CO
7,318
8,347
1,029
1.25%
$97.35K
3M CO
8,449
16,879
8,430
1.25%
$1.10M
BERKSHIRE HATH-B
3,568
4,988
1,420
1.22%
$596.79K
MORGAN STANLEY
9,451
13,845
4,394
1.16%
$600.64K
CHEVRON CORP
5,423
11,010
5,587
1.16%
$1.45M
LILLY ELI and CO
2,206
2,344
138
1.10%
-$214.80K
PROCTER & GAMBLE
5,334
14,106
8,772
1.04%
$1.27M
APPLIED MATERIALS INC
781
5,574
4,793
0.97%
$1.70M
CATERPILLAR INC
427
2,512
2,085
0.91%
$1.54M
RTX CORP
8,246
9,167
921
0.90%
$256.00K
COCA-COLA CO/THE
5,067
22,705
17,638
0.88%
$1.37M
ILLINOIS TOOL WORKS INC
3,111
4,728
1,617
0.63%
$464.41K
WELLS FARGO & CO
1,146
15,019
13,873
0.61%
$1.09M
O'REILLY AUTOMOTIVE INC
442
12,484
12,042
0.59%
$1.11M
MASTERCARD INC CL A
2,214
2,285
71
0.58%
-$122.21K
FREEPORT MCMORAN INC
15,694
19,308
3,614
0.58%
$337.83K
UNITEDHEALTH GRP
3,054
4,176
1,122
0.58%
$121.83K
LOCKHEED MARTIN CORP
1,474
1,858
384
0.57%
$410.03K
GENERAL ELECTRIC CO
3,419
3,884
465
0.56%
$49.01K
CARDINAL HEALTH INC
4,635
4,813
178
0.52%
$64.54K
PFIZER INC
23,334
35,341
12,007
0.51%
$411.36K
GENERAL DYNAMICS CORPORATION
1,947
2,443
496
0.43%
$183.01K
MCKESSON CORP
891
920
29
0.41%
$65.25K
QUALCOMM INC
4,044
6,120
2,076
0.40%
$96.41K
AMGEN INC
1,957
2,228
271
0.40%
$143.38K
CHIPOTLE MEXICAN GRILL INC
1,371
23,827
22,456
0.39%
$711.98K
ROCKWELL AUTOMATION INC
1,539
2,040
501
0.37%
$133.34K
NEWMONT CORP
6,026
6,718
692
0.37%
$125.53K
MCDONALDS CORP
490
1,889
1,399
0.30%
$437.32K
SERVICENOW INC
4,015
5,143
1,128
0.27%
-$77.36K
VALERO ENERGY CORP
536
1,932
1,396
0.24%
$390.10K
JOHNSON&JOHNSON
1,553
1,950
397
0.24%
$155.26K
VENTAS INC REIT
3,687
5,809
2,122
0.24%
$189.76K
REGENERON PHARMACEUTICALS INC
559
599
40
0.24%
$31.34K
MARVELL TECHNOLOGY INC
3,647
3,709
62
0.19%
$57.45K
CARNIVAL CORP
1,247
13,722
12,475
0.18%
$317.04K
VICI PROPERTIES
774
12,450
11,676
0.17%
$318.37K
SPOTIFY TECHNOLOGY SA
327
662
335
0.16%
$131.12K
EXELIXIS INC
3,983
7,351
3,368
0.16%
$140.71K
ROKU INC CLASS A
1,968
3,302
1,334
0.16%
$98.93K
ALLY FINANCIAL INC
6,140
7,376
1,236
0.15%
$11.28K
VEEVA SYSTEMS-A
1,374
1,594
220
0.14%
-$26.72K
AMEREN CORP
224
2,417
2,193
0.14%
$243.31K
OWENS CORNING INC
1,771
2,155
384
0.12%
$35.02K
HUBSPOT INC
833
890
57
0.11%
-$117.03K
TRADE DESK INC-A
3,762
8,946
5,184
0.10%
$60.18K
PURE STORAGE INC CL A
2,065
3,001
936
0.09%
$38.80K
TG THERAPEUTICS INC
774
5,267
4,493
0.09%
$151.90K
SEAGATE TECHNOLOGY HOLDINGS PLC
336
390
54
0.08%
$60.26K
ACCENTURE PLC CL A
342
653
311
0.07%
$37.72K
XP, Inc., Class A
1,613
6,170
4,557
0.06%
$91.07K
ALNYLAM PHARMACEUTICALS INC
104
336
232
0.06%
$69.82K
GENERAL MOTORS CO
363
1,351
988
0.05%
$71.13K
SNAP INC - A
14,514
20,083
5,569
0.05%
-$24.75K
FERGUSON ENTERPRISES INC
271
394
123
0.05%
$31.57K
ETSY INC
788
1,553
765
0.04%
$33.93K
EXPEDIA INC
114
268
154
0.03%
$29.58K
VIKING THERAPEUTICS INC
943
1,344
401
0.02%
$10.56K
FOX CORPORATION B
474
486
12
0.01%
-$4.97K
▶
Decreased
· 69 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
AMAZON.COM INC
39,716
38,712
-1,004
4.11%
-$1.10M
META PLATFORMS INC CL A
8,495
6,749
-1,746
1.97%
-$1.75M
TESLA INC
8,293
7,950
-343
1.51%
-$774.12K
COSTCO WHOLESALE CORP
2,879
2,680
-199
1.36%
$187.76K
BRISTOL-MYERS SQUIBB CO
51,198
34,987
-16,211
1.08%
-$639.66K
VISA INC-CLASS A
8,809
6,612
-2,197
1.02%
-$1.09M
TJX COS INC
12,196
11,457
-739
0.93%
-$43.74K
BLKR-LIQ T-INS
2,133,380
1,749,401
-383,979
0.89%
-$383.98K
MICRON TECHNOLOGY INC
6,354
5,150
-1,204
0.89%
-$73.62K
LAM RESEARCH CORP
11,344
6,667
-4,677
0.73%
-$517.39K
WALMART INC
32,255
10,346
-21,909
0.65%
-$2.31M
ADV MICRO DEVICE
6,092
5,933
-159
0.61%
-$97.71K
CITIGROUP INC
10,943
10,632
-311
0.61%
-$71.16K
MOTOROLA SOLUTIONS INC
3,877
2,777
-1,100
0.61%
-$281.00K
SCHWAB CHARLES CORP
28,984
12,281
-16,703
0.59%
-$1.74M
NETFLIX INC
17,442
11,078
-6,364
0.54%
-$570.21K
AT&T INC
59,461
36,317
-23,144
0.54%
-$424.18K
SALESFORCE INC
6,455
4,957
-1,498
0.47%
-$784.67K
T-MOBILE US INC
5,218
4,379
-839
0.47%
-$139.74K
AMPHENOL CORPORATION CL A
13,142
7,011
-6,131
0.45%
-$890.17K
PALANTIR TECHNOLOGIES INC
6,868
5,506
-1,362
0.41%
-$415.37K
COMFORT SYSTEMS USA INC
664
576
-88
0.40%
$174.59K
MASTEC INC
2,519
2,236
-283
0.37%
$171.86K
ADOBE INC
2,836
2,834
-2
0.35%
-$303.68K
HUNTINGTON BANCSHARES INC
51,613
38,689
-12,924
0.31%
-$290.00K
PROGRESSIVE CORP OHIO
3,049
3,048
-1
0.31%
-$90.08K
INTEL CORP
15,314
12,900
-2,414
0.29%
$4.19K
UNION PACIFIC CORP
5,664
2,237
-3,427
0.28%
-$767.46K
WESTERN DIGITAL CORP
2,760
1,827
-933
0.25%
$18.72K
ORACLE CORP
5,093
3,308
-1,785
0.25%
-$506.04K
GARMIN LTD
2,445
2,081
-364
0.25%
-$13.16K
EATON CORP PLC
1,681
1,292
-389
0.24%
-$73.31K
CME GROUP INC CL A
1,778
1,537
-241
0.23%
-$31.58K
TRANE TECHNOLOGIES PLC
1,445
1,067
-378
0.23%
-$117.73K
TEXAS INSTRUMENTS INC
3,531
2,284
-1,247
0.23%
-$169.18K
ARISTA NETWORKS INC
6,928
3,554
-3,374
0.22%
-$471.42K
DEVON ENERGY CORP
40,086
8,476
-31,610
0.22%
-$1.04M
APPLIED INDU TEC
2,386
1,431
-955
0.19%
-$232.98K
SANDISK CORPORATION
655
551
-104
0.18%
$194.59K
COMCAST CORP CL A
37,955
11,634
-26,321
0.17%
-$800.46K
SYNOPSYS INC
958
793
-165
0.16%
-$135.58K
MERCADOLIBRE INC
277
179
-98
0.16%
-$248.46K
NATERA INC
2,817
1,511
-1,306
0.15%
-$343.16K
INTUITIVE SURGICAL INC
1,005
614
-391
0.14%
-$286.14K
INTUIT INC
878
625
-253
0.14%
-$311.37K
PINNACLE WEST CAPITAL CORP
3,988
2,585
-1,403
0.13%
-$93.30K
BORGWARNER INC
22,174
4,636
-17,538
0.13%
-$747.61K
DELL TECHNOLOGIES INC CL C
2,277
1,477
-800
0.12%
-$44.21K
CAPITAL ONE FINANCIAL CORP
5,284
1,322
-3,962
0.12%
-$1.04M
EDISON INTL
4,039
2,918
-1,121
0.11%
-$28.88K
VERTIV HOLDINGS CO
3,910
806
-3,104
0.10%
-$431.49K
TAKE-TWO INTERACTV SOFTWR INC
1,593
1,010
-583
0.10%
-$208.38K
COPART INC
14,666
5,886
-8,780
0.10%
-$378.76K
ATLASSIAN CORP PLC CLS A
2,953
2,447
-506
0.09%
-$311.79K
BlackRock Cash Funds: Institutional, SL Agency Shares
2,416,490
156,416
-2,260,074
0.08%
-$2.26M
REPUBLIC SVCS
901
673
-228
0.08%
-$43.55K
AMERIPRISE FINANCIAL INC
314
312
-2
0.07%
-$15.31K
DR HORTON INC
2,159
853
-1,306
0.06%
-$193.91K
ALTRIA GROUP INC
11,764
1,522
-10,242
0.05%
-$577.88K
INTERCONTINENTAL EXCHANGE INC
7,150
585
-6,565
0.05%
-$1.07M
TOLL BROTHERS INC
1,663
574
-1,089
0.04%
-$146.54K
MERITAGE HOMES CORP
4,125
1,230
-2,895
0.04%
-$195.36K
HOST HOTELS & RE
7,881
3,965
-3,916
0.04%
-$63.76K
INTERACTIVE BROKERS GROUP INC
3,376
878
-2,498
0.03%
-$158.22K
EVERSOURCE ENERGY
1,628
745
-883
0.03%
-$58.00K
LEVI STRAUSS and COMPANY CL A
7,351
1,572
-5,779
0.01%
-$123.39K
ELASTIC NV
1,027
555
-472
0.01%
-$49.73K
VERISIGN INC
267
102
-165
0.01%
-$39.53K
US ULTRA BOND CBT Sep25
6
5
-1
-0.01%
-$13.80K
▶
Unchanged
· 33 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
NVIDIA CORP
84,489
84,489
0
7.50%
-$1.02M
APPLE INC
53,238
53,238
0
6.88%
-$962.01K
MICROSOFT CORP
27,370
27,370
0
5.16%
-$3.11M
ALPHABET INC CL A
21,227
21,227
0
3.11%
-$540.01K
ALPHABET INC CL C
15,767
15,767
0
2.30%
-$424.76K
BANK OF AMERICA CORPORATION
50,326
50,326
0
1.25%
-$314.54K
TRAVELERS COS IN
5,216
5,216
0
0.77%
$8.45K
PARKER HANNIFIN CORP
1,660
1,660
0
0.76%
$27.02K
ABBVIE INC
6,278
6,278
0
0.70%
-$69.06K
BOSTON SCIENTIFIC CORP
16,604
16,604
0
0.53%
-$541.29K
STRYKER CORP
2,903
2,903
0
0.49%
-$66.42K
METLIFE INC
13,090
13,090
0
0.47%
-$107.60K
AMERICAN EXPRESS CO
2,779
2,779
0
0.43%
-$187.50K
GE VERNOVA LLC
925
925
0
0.41%
$202.88K
HCA HEALTHCARE INC
1,577
1,577
0
0.38%
$10.06K
THE BOOKING HOLDINGS INC
171
171
0
0.37%
-$195.80K
CUBESMART
19,218
19,218
0
0.36%
$11.53K
CHENIERE ENERGY INC
2,455
2,455
0
0.35%
$219.40K
VERALTO CORP
6,411
6,411
0
0.29%
-$72.83K
UNITED THERAPEUTICS CORP DEL
800
800
0
0.24%
$84.58K
HEICO CORP CL A
2,150
2,150
0
0.23%
-$88.88K
GILEAD SCIENCES INC
2,840
2,840
0
0.20%
$47.23K
NVR INC
60
60
0
0.20%
-$42.18K
PG&E CORP
20,557
20,557
0
0.18%
$30.84K
FIDELITY NATL INFORM SVCS INC
7,651
7,651
0
0.18%
-$149.58K
HOME DEPOT INC
1,044
1,044
0
0.17%
-$15.88K
HARTFORD INSURANCE GROUP INC/THE
2,518
2,518
0
0.17%
-$6.47K
OTIS WORLDWIDE CORP
2,417
2,417
0
0.09%
-$24.82K
AMERICAN TOWER CORP
1,037
1,037
0
0.09%
-$3.10K
ENCOMPASS HEALTH CORP
560
560
0
0.03%
-$5.27K
TAYLOR MORRISON HOME CORP
680
680
0
0.02%
-$428
HEICO CORP
96
96
0
0.01%
-$4.74K
CRANE CO
116
116
0
0.01%
-$1.56K
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