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
· 19 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
WESTERN UNION CO
0
921,129
921,129
0.46%
$8.04M
ALLISON TRANSMISSION HLDGS INC
0
46,028
46,028
0.31%
$5.39M
AMERIPRISE FINANCIAL INC
0
8,988
8,988
0.23%
$3.99M
COSTCO WHOLESALE CORP
0
3,899
3,899
0.22%
$3.89M
INTEL CORP
0
80,075
80,075
0.20%
$3.53M
RINGCENTRAL INC CL A
0
67,680
67,680
0.14%
$2.52M
UBIQUITI INC
0
2,801
2,801
0.13%
$2.21M
TEXAS INSTRUMENTS INC
0
9,086
9,086
0.10%
$1.76M
SEAGATE TECHNOLOGY HOLDINGS PLC
0
4,400
4,400
0.10%
$1.72M
SANDISK CORPORATION
0
2,557
2,557
0.09%
$1.62M
MCDONALDS CORP
0
4,970
4,970
0.09%
$1.54M
ADVANCED DRAINAGE SYSTEMS INC
0
10,321
10,321
0.08%
$1.42M
CENTENE CORP
0
40,122
40,122
0.07%
$1.31M
COMFORT SYSTEMS USA INC
0
932
932
0.07%
$1.29M
BOSTON BEER COMPANY CL A
0
4,370
4,370
0.06%
$1.01M
LYFT INC-A
0
74,938
74,938
0.06%
$996.68K
TERADATA CORP
0
29,395
29,395
0.04%
$753.39K
VERSANT MEDIA GROUP INC - A
0
11,888
11,888
0.02%
$440.09K
SM ENERGY CO
0
86
86
0.00%
$2.68K
▶
Exited
· 22 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
GLOBAL PAYMENTS INC
38,089
0
-38,089
0.00%
-$2.95M
TORO CO
27,024
0
-27,024
0.00%
-$2.13M
TECHNIPFMC PLC
46,014
0
-46,014
0.00%
-$2.05M
CBRE GROUP INC - CL A
12,613
0
-12,613
0.00%
-$2.03M
LINCOLN ELECTRIC HLDGS INC
7,595
0
-7,595
0.00%
-$1.82M
DOMINION ENERGY INC
29,638
0
-29,638
0.00%
-$1.74M
SUN COMMUNITIES INC - REIT
13,955
0
-13,955
0.00%
-$1.73M
NATL FUEL GAS CO
21,300
0
-21,300
0.00%
-$1.71M
MILLICOM INTL CELL SA
25,013
0
-25,013
0.00%
-$1.39M
CURTISS WRIGHT CORPORATION
2,263
0
-2,263
0.00%
-$1.25M
NEWMARKET CORP
1,749
0
-1,749
0.00%
-$1.20M
VERISIGN INC
4,216
0
-4,216
0.00%
-$1.02M
EQUITY RESIDENTIAL REIT
15,202
0
-15,202
0.00%
-$958.33K
MATCH GROUP INC
29,027
0
-29,027
0.00%
-$937.28K
MANHATTAN ASSOCIATES INC
5,275
0
-5,275
0.00%
-$914.21K
REGIONS FINANCIAL CORP
33,685
0
-33,685
0.00%
-$912.86K
EVERGY INC
12,546
0
-12,546
0.00%
-$909.46K
O'REILLY AUTOMOTIVE INC
9,851
0
-9,851
0.00%
-$898.51K
STRATEGY INC CL A
5,808
0
-5,808
0.00%
-$882.53K
PAYPAL HOLDINGS
15,080
0
-15,080
0.00%
-$880.37K
AGILENT TECHNOLOGIES INC
6,429
0
-6,429
0.00%
-$874.79K
ROBINHOOD MARKETS INC
7,510
0
-7,510
0.00%
-$849.38K
▶
Increased
· 60 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
APPLE INC
459,296
466,017
6,721
6.72%
-$6.59M
AMAZON.COM INC
294,834
299,697
4,863
3.54%
-$5.64M
ALPHABET INC CL A
155,541
189,836
34,295
3.10%
$5.90M
BROADCOM INC
139,613
146,454
6,841
2.57%
-$2.99M
ALPHABET INC CL C
123,552
154,661
31,109
2.52%
$5.60M
State Street Navigator Securities Lending Portfolio II
21,578,200
31,156,236
9,578,035
1.77%
$9.58M
TESLA INC
78,797
81,036
2,239
1.71%
-$5.31M
EXXON MOBIL CORP
108,336
160,808
52,472
1.55%
$14.25M
BERKSHIRE HATH-B
48,857
50,016
1,159
1.36%
-$590.30K
LILLY ELI and CO
20,518
23,658
3,140
1.24%
-$290.37K
VICI PROPERTIES
330,479
656,870
326,391
1.02%
$8.65M
JOHNSON&JOHNSON
42,997
60,252
17,255
0.84%
$5.83M
GENERAL MOTORS CO
170,046
185,538
15,492
0.78%
-$5.56K
GOLDMAN SACHS GROUP INC
12,152
14,098
1,946
0.68%
$1.25M
CATERPILLAR INC
11,363
14,803
3,440
0.60%
$3.98M
PALANTIR TECHNOLOGIES INC
64,406
71,451
7,045
0.59%
-$996.31K
MORGAN STANLEY
50,393
63,089
12,696
0.59%
$1.44M
SALESFORCE INC
38,065
54,239
16,174
0.57%
$40.99K
ADV MICRO DEVICE
42,140
45,367
3,227
0.52%
$204.31K
ALBERTSONS COS INC CL A
119,047
539,943
420,896
0.52%
$7.16M
CONSOLIDATED EDISON INC
17,051
81,170
64,119
0.52%
$7.49M
FIRSTENERGY CORP
153,974
177,217
23,243
0.51%
$2.08M
PROCTER & GAMBLE
34,349
61,897
27,548
0.51%
$4.02M
RYDER SYSTEM INC
11,731
42,941
31,210
0.50%
$6.55M
EDISON INTL
109,347
119,854
10,507
0.50%
$2.21M
LOCKHEED MARTIN CORP
1,971
14,157
12,186
0.49%
$7.60M
APPLIED MATERIALS INC
16,493
22,420
5,927
0.44%
$3.42M
CF INDUSTRIES HOLDINGS INC
51,487
54,507
3,020
0.40%
$3.10M
APA CORP
113,730
154,018
40,288
0.37%
$3.75M
UNITEDHEALTH GRP
18,814
21,272
2,458
0.33%
-$454.70K
RTX CORP
16,233
29,438
13,205
0.32%
$2.70M
OMEGA HEALTHCARE INVESTORS INC
83,709
122,159
38,450
0.30%
$1.64M
MEDPACE HOLDINGS INC
6,599
11,035
4,436
0.30%
$1.59M
AMERICAN ELECTRIC POWER CO INC
26,658
39,869
13,211
0.30%
$2.15M
SCHWAB CHARLES CORP
34,941
51,140
16,199
0.27%
$1.32M
UGI CORP NEW
52,731
126,647
73,916
0.26%
$2.64M
GAMING AND LEISURE PROPRTI INC
80,262
100,338
20,076
0.25%
$865.09K
PHILIP MORRIS INTL INC
6,158
26,623
20,465
0.25%
$3.41M
MUELLER INDUSTRIES INC
31,930
39,385
7,455
0.25%
$698.29K
PG&E CORP
98,930
237,253
138,323
0.24%
$2.58M
ARISTA NETWORKS INC
18,095
33,599
15,504
0.23%
$1.75M
AFFIL MANAGERS
7,644
14,898
7,254
0.23%
$1.92M
CUMMINS INC
5,024
7,455
2,431
0.23%
$1.45M
CRH PLC
23,119
36,288
13,169
0.22%
$929.34K
Southern Copper Corporation COM USD0.01
12,884
22,065
9,181
0.22%
$1.95M
RENAISSANCERE HLDGS LTD
3,495
12,650
9,155
0.21%
$2.78M
MGIC INVT CORP
68,963
143,104
74,141
0.21%
$1.74M
WW GRAINGER INC
1,773
3,422
1,649
0.21%
$1.94M
BIOGEN INC
14,939
20,233
5,294
0.21%
$1.08M
CHUBB LTD
6,984
10,765
3,781
0.20%
$1.33M
INTUITIVE SURGICAL INC
4,137
7,387
3,250
0.19%
$1.06M
UNITED RENTALS INC
1,894
4,438
2,544
0.18%
$1.70M
GE VERNOVA LLC
1,515
3,663
2,148
0.18%
$2.21M
GENPACT LTD
46,914
74,749
27,835
0.16%
$589.76K
THE CIGNA GROUP
5,282
10,067
4,785
0.15%
$1.23M
SERVICENOW INC
16,430
22,617
6,187
0.13%
-$152.30K
VALERO ENERGY CORP
5,241
9,480
4,239
0.13%
$1.49M
ACUITY INC
2,477
6,013
3,536
0.10%
$793.14K
DROPBOX INC CL A
54,859
61,800
6,941
0.08%
-$120.98K
ZCS BRL 14.0087 05/12/25-01/04/27 CME
54
94
40
-0.03%
-$561.41K
▶
Decreased
· 111 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
NVIDIA CORP
809,103
785,939
-23,164
7.78%
-$13.83M
MICROSOFT CORP
254,452
222,143
-32,309
4.67%
-$40.83M
META PLATFORMS INC CL A
82,374
76,473
-5,901
2.48%
-$10.62M
VISA INC-CLASS A
89,545
86,191
-3,354
1.48%
-$5.35M
JPMORGAN CHASE and CO
90,886
83,934
-6,952
1.40%
-$4.60M
MASTERCARD INC CL A
51,054
49,141
-1,913
1.39%
-$4.59M
LAM RESEARCH CORP
89,228
81,653
-7,575
0.99%
$2.17M
WALMART INC
140,046
134,800
-5,246
0.95%
$1.15M
ABBVIE INC
79,297
76,326
-2,971
0.94%
-$1.52M
MICRON TECHNOLOGY INC
60,659
48,356
-12,303
0.93%
-$976.09K
ADOBE INC
60,297
58,037
-2,260
0.80%
-$7.00M
BANK OF NEW YORK MELLON CORP
158,590
116,209
-42,381
0.78%
-$4.62M
ALTRIA GROUP INC
270,239
198,852
-71,387
0.75%
-$2.46M
NETFLIX INC
144,708
133,536
-11,172
0.73%
-$728.34K
THE BOOKING HOLDINGS INC
3,098
2,982
-116
0.71%
-$4.04M
WALT DISNEY CO/T
122,064
117,491
-4,573
0.64%
-$2.56M
GILEAD SCIENCES INC
118,310
79,057
-39,253
0.63%
-$3.50M
CISCO SYSTEMS INC
146,524
141,035
-5,489
0.62%
-$343.84K
VERIZON COMMUNICATIONS INC
224,174
215,776
-8,398
0.62%
$1.70M
TJX COS INC
70,447
67,809
-2,638
0.61%
$7.73K
GENERAL DYNAMICS CORPORATION
35,125
30,202
-4,923
0.59%
-$1.46M
KROGER CO
165,533
139,024
-26,509
0.57%
-$282.73K
AMGEN INC
29,099
28,010
-1,089
0.56%
$330.92K
EOG RESOURCES INC
94,758
67,726
-27,032
0.56%
-$159.39K
COLGATE-PALMOLIVE CO
108,375
104,316
-4,059
0.50%
$327.06K
DEVON ENERGY CORP
196,731
171,825
-24,906
0.49%
$1.44M
BANK OF AMERICA CORPORATION
182,179
175,355
-6,824
0.49%
-$1.47M
PROLOGIS INC REIT
66,320
63,837
-2,483
0.48%
-$28.44K
IDEXX LABS INC
17,970
14,926
-3,044
0.48%
-$3.77M
STATE STREET CORP
68,327
65,768
-2,559
0.47%
-$491.27K
QUALCOMM INC
93,218
63,189
-30,029
0.46%
-$7.81M
CINTAS CORP
52,585
46,005
-6,580
0.44%
-$2.11M
MOODYS CORP
18,572
17,720
-852
0.44%
-$1.76M
HOME DEPOT INC
24,212
23,304
-908
0.44%
-$666.90K
AT&T INC
419,118
262,971
-156,147
0.43%
-$2.79M
NEWMONT CORP
80,812
70,225
-10,587
0.43%
-$467.22K
CITIGROUP INC
68,048
65,499
-2,549
0.42%
-$512.28K
ALLSTATE CORPORATION
36,964
35,269
-1,695
0.42%
-$381.38K
ORACLE CORP
49,242
47,398
-1,844
0.40%
-$2.63M
COMCAST CORP CL A
248,140
238,844
-9,296
0.39%
-$559.69K
KLA CORP
4,761
4,544
-217
0.38%
$905.64K
UNITED THERAPEUTICS CORP DEL
12,805
10,182
-2,623
0.34%
-$201.51K
T ROWE PRICE GRP
68,092
64,970
-3,122
0.33%
-$1.11M
THERMO FISHER SCIENTIFIC INC
12,215
11,656
-559
0.33%
-$1.35M
MONSTER BEVERAGE CORP
147,517
76,211
-71,306
0.31%
-$5.79M
SYNCHRONY FINANCIAL
98,545
79,426
-19,119
0.31%
-$2.82M
PEPSICO INC
36,060
34,407
-1,653
0.30%
$167.73K
TRAVELERS COS IN
35,104
18,246
-16,858
0.30%
-$4.86M
WELLS FARGO & CO
69,978
66,770
-3,208
0.30%
-$1.21M
INTUIT INC
11,715
11,395
-320
0.28%
-$2.83M
APPLOVIN CORP
12,933
12,340
-593
0.28%
-$3.80M
MERCK & CO
58,643
39,872
-18,771
0.27%
-$1.38M
GENERAL ELECTRIC CO
17,357
16,560
-797
0.27%
-$647.25K
TEXTRON INC
55,226
52,694
-2,532
0.26%
-$200.16K
BRISTOL-MYERS SQUIBB CO
76,986
74,887
-2,099
0.26%
$389.27K
ABBOTT LABS
44,984
42,922
-2,062
0.25%
-$1.23M
HUNTINGTON INGALLS INDUSTRIES INC
11,590
11,274
-316
0.24%
$341.58K
FORTINET INC
53,306
51,852
-1,454
0.24%
$4.32K
UBER TECHNOLOGIES INC
73,614
58,207
-15,407
0.24%
-$1.83M
EXPEDIA INC
14,694
14,293
-401
0.19%
-$862.85K
INTL BUS MACH CORP
13,329
12,965
-364
0.18%
-$805.60K
WESTERN DIGITAL CORP
17,197
10,982
-6,215
0.17%
$7.99K
SIMON PROPERTY
35,611
13,986
-21,625
0.15%
-$3.98M
ANGLOGOLD ASHANTI PLC
34,912
24,567
-10,345
0.14%
-$585.45K
METTLER-TOLEDO INTL INC
2,544
1,852
-692
0.13%
-$1.21M
ZOOM VIDEO COMMUNICATIONS INC CL A
72,023
25,846
-46,177
0.12%
-$4.14M
BOSTON SCIENTIFIC CORP
46,080
31,306
-14,774
0.11%
-$2.43M
OSHKOSH CORP
18,904
13,322
-5,582
0.11%
-$413.78K
NRG ENERGY INC
59,947
12,747
-47,200
0.11%
-$7.68M
UNION PACIFIC CORP
11,628
6,958
-4,670
0.10%
-$1.00M
UNITED AIRLINES HOLDINGS INC
35,372
17,110
-18,262
0.09%
-$2.38M
COGNIZANT TECH SOLUTIONS CL A
54,140
24,751
-29,389
0.09%
-$2.98M
JONES LANG LASALLE INC
10,097
4,974
-5,123
0.09%
-$1.88M
L3HARRIS TECHNOLOGIES INC
6,369
3,608
-2,761
0.07%
-$624.45K
EMCOR GROUP INC
2,855
1,631
-1,224
0.07%
-$542.48K
INCYTE CORP
21,596
10,155
-11,441
0.05%
-$1.18M
FORD MOTOR CO
248,120
73,683
-174,437
0.05%
-$2.41M
MILLROSE PROPERTIES INC
35,412
27,387
-8,025
0.04%
-$290.92K
PFIZER INC
189,825
25,788
-164,037
0.04%
-$4.00M
KIMBERLY CLARK CORP
39,829
7,332
-32,497
0.04%
-$3.31M
DONALDSON CO INC
22,152
5,523
-16,629
0.03%
-$1.50M
S&P GLOBAL INC
3,300
1,025
-2,275
0.02%
-$1.29M
UNIVERSAL HLTH-B
9,470
2,354
-7,116
0.02%
-$1.64M
CROCS INC
16,069
4,851
-11,218
0.02%
-$971.49K
CONOCOPHILLIPS
10,972
2,289
-8,683
0.02%
-$724.94K
HF SINCLAIR CORP
47,220
4,819
-42,401
0.02%
-$1.88M
ALCOA CORP
53,437
4,280
-49,157
0.02%
-$2.56M
ILLUMINA INC
19,841
1,607
-18,234
0.01%
-$2.40M
CROWN HOLDINGS INC
10,503
1,551
-8,952
0.01%
-$926.01K
UNITED PARCEL SERVICE INC CL B
9,255
1,405
-7,850
0.01%
-$779.78K
DR HORTON INC
6,565
829
-5,736
0.01%
-$831.80K
MOSAIC CO/THE
38,834
2,794
-36,040
0.00%
-$864.26K
DOLLAR TREE INC
18,460
548
-17,912
0.00%
-$2.21M
HUMANA INC
3,594
149
-3,445
0.00%
-$894.70K
COCA COLA CONSOLIDATED INC
5,683
108
-5,575
0.00%
-$850.50K
BOYD GAMING CORP
16,689
185
-16,504
0.00%
-$1.41M
ARCHER DANIELS MIDLAND CO
20,068
29
-20,039
0.00%
-$1.15M
HONEYWELL INTL INC
4,803
9
-4,794
0.00%
-$934.98K
CORTEVA INC
22,916
23
-22,893
0.00%
-$1.53M
ENTERGY CORP
20,523
17
-20,506
0.00%
-$1.90M
HARTFORD INSURANCE GROUP INC/THE
10,186
14
-10,172
0.00%
-$1.40M
TD SYNNEX CORP
5,904
11
-5,893
0.00%
-$885.10K
AXIS CAPITAL HOLDINGS LTD
22,110
18
-22,092
0.00%
-$2.37M
SNAP-ON INCORPORATED
2,647
5
-2,642
0.00%
-$910.34K
GLOBE LIFE INC
12,606
13
-12,593
0.00%
-$1.76M
DOMINOS PIZZA INC
3,612
5
-3,607
0.00%
-$1.50M
ROLLINS INC
76,288
32
-76,256
0.00%
-$4.58M
INVESCO LTD
141,759
67
-141,692
0.00%
-$3.72M
NASDAQ INC
10,034
19
-10,015
0.00%
-$972.99K
CHIPOTLE MEXICAN GRILL INC
27,173
47
-27,126
0.00%
-$1.00M
LEIDOS HOLDINGS INC
6,778
9
-6,769
0.00%
-$1.22M
▶
Unchanged
· 70 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
HOWMET AEROSPACE INC
17,075
17,075
0
0.22%
$434.39K
REGENERON PHARMACEUTICALS INC
4,767
4,767
0
0.21%
$3.67K
FERGUSON ENTERPRISES INC
15,673
15,673
0
0.21%
$166.60K
CVS HEALTH CORP
48,375
48,375
0
0.20%
-$364.75K
FASTENAL CO
74,317
74,317
0
0.20%
$465.97K
EXELIXIS INC
77,898
77,898
0
0.19%
-$73.22K
AES CORP
226,340
226,340
0
0.18%
-$56.58K
HCA HEALTHCARE INC
6,443
6,443
0
0.17%
$41.11K
RESMED INC
12,931
12,931
0
0.16%
-$211.94K
FEDEX CORP
7,955
7,955
0
0.16%
$535.53K
TAPESTRY INC
19,962
19,962
0
0.16%
$266.29K
TARGET CORP
20,274
20,274
0
0.14%
$475.43K
SEI INVESTMENTS
30,056
30,056
0
0.13%
-$106.70K
NORTHROP GRUMMAN CORP
3,362
3,362
0
0.13%
$376.64K
HALOZYME THERAPEUTICS INC
35,390
35,390
0
0.13%
-$94.49K
BEST BUY CO INC
35,531
35,531
0
0.13%
-$97.00K
ULTA BEAUTY INC
3,968
3,968
0
0.12%
-$326.57K
EXELON CORP
41,342
41,342
0
0.12%
$224.49K
MCKESSON CORP
2,339
2,339
0
0.11%
$105.42K
AMEREN CORP
17,591
17,591
0
0.11%
$176.97K
AMPHENOL CORPORATION CL A
15,057
15,057
0
0.11%
-$132.35K
VALMONT INDUSTRIES INC
4,751
4,751
0
0.11%
-$13.07K
ELECTRONIC ARTS INC
9,306
9,306
0
0.11%
-$4.28K
GLOBUS MEDICAL INC
21,928
21,928
0
0.11%
-$25.22K
JANUS HENDERSON GROUP PLC
36,730
36,730
0
0.11%
$139.57K
CARNIVAL CORP
69,433
69,433
0
0.10%
-$323.56K
ILLINOIS TOOL WORKS INC
6,755
6,755
0
0.10%
$94.50K
LULULEMON ATHLETICA INC
11,223
11,223
0
0.10%
-$614.01K
MEDTRONIC PLC
19,317
19,317
0
0.10%
-$181.77K
MARATHON PETROLEUM CORP
6,428
6,428
0
0.09%
$524.20K
BLACKROCK INC
1,610
1,610
0
0.09%
-$174.89K
SHERWIN WILLIAMS CO
4,799
4,799
0
0.09%
-$16.70K
VISTRA CORP
10,171
10,171
0
0.09%
-$111.88K
LINDE PLC
3,050
3,050
0
0.09%
$211.58K
SENSATA TECHNOLOGIES HOLDING PLC
42,878
42,878
0
0.09%
$82.75K
CADENCE DESIGN SYSTEMS INC
5,340
5,340
0
0.08%
-$185.35K
MASCO CORPORATION
24,441
24,441
0
0.08%
-$75.52K
VERALTO CORP
16,655
16,655
0
0.08%
-$189.20K
DECKERS OUTDOOR CORP
14,487
14,487
0
0.08%
-$51.86K
MACYS INC
79,840
79,840
0
0.08%
-$316.17K
ACCENTURE PLC CL A
6,901
6,901
0
0.08%
-$483.14K
TRANE TECHNOLOGIES PLC
3,211
3,211
0
0.08%
$88.43K
OWENS CORNING INC
12,268
12,268
0
0.08%
-$45.27K
AUTODESK INC
5,430
5,430
0
0.07%
-$307.39K
CHEVRON CORP
6,091
6,091
0
0.07%
$331.90K
DANAHER CORP
6,373
6,373
0
0.07%
-$250.59K
MSC INDUSTRIAL DIRECT CO CL A
12,992
12,992
0
0.07%
$106.14K
HUNT J B TRANSPORT SERVICES IN
5,642
5,642
0
0.07%
$99.07K
WILLIAMS-SONOMA INC
6,257
6,257
0
0.06%
$23.40K
PEGASYSTEMS INC
25,701
25,701
0
0.06%
-$441.03K
WARNER BROS DISCOVERY INC
39,769
39,769
0
0.06%
-$54.09K
JOHNSON CONTROLS INTERNATIONAL PLC
7,954
7,954
0
0.06%
$89.08K
VEEVA SYSTEMS-A
5,713
5,713
0
0.06%
-$271.77K
SMURFIT WESTROCK PLC
24,800
24,800
0
0.06%
$29.26K
DOCUSIGN INC
20,817
20,817
0
0.06%
-$436.95K
CARDINAL HEALTH INC
4,654
4,654
0
0.06%
$27.04K
XP, Inc., Class A
51,641
51,641
0
0.06%
$137.88K
NUCOR CORP
5,613
5,613
0
0.05%
$33.62K
NORTHERN TRUST CORP
6,704
6,704
0
0.05%
$19.98K
CHARTER COMMUNICATIONS INC A
4,324
4,324
0
0.05%
$30.83K
SMITH (AO) CORP
13,579
13,579
0
0.05%
-$12.76K
LOWES COS INC
3,746
3,746
0
0.05%
-$18.28K
DOLLAR GENERAL CORP
7,327
7,327
0
0.05%
-$102.87K
STRYKER CORP
2,607
2,607
0
0.05%
-$59.65K
CENCORA INC
2,706
2,706
0
0.05%
-$63.89K
SKYWORKS SOLUTIONS INC
15,726
15,726
0
0.05%
-$155.06K
FAIR ISAAC CORP
766
766
0
0.05%
-$477.28K
TE CONNECTIVITY PLC
3,800
3,800
0
0.05%
-$70.26K
LAS VEGAS SANDS CORP
13,875
13,875
0
0.04%
-$155.54K
BUILDERS FIRSTSOURCE
8,417
8,417
0
0.04%
-$173.05K
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