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.
Nov 30, 2025 → Feb 28, 2026
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 3 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
PRIMO BRANDS CORP A
0
361,490
361,490
2.05%
$8.20M
HNI CORP
0
81,483
81,483
0.92%
$3.66M
TRIUMPH FINANCIAL INC
0
30,548
30,548
0.43%
$1.71M
▶
Exited
· 1 position
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
APPLE HOSPITALITY REIT INC
483,223
0
-483,223
0.00%
-$5.75M
▶
Increased
· 1 position
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
COLUMBIA SHORT TERM CASH FUND
2,366,877
2,613,857
246,980
0.65%
$247.17K
▶
Decreased
· 15 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC
69,433
59,104
-10,329
3.67%
$2.51M
VIAVI SOLUTIONS INC
581,381
454,705
-126,676
3.38%
$3.08M
ATI INC
85,178
75,841
-9,337
3.10%
$3.82M
OUTFRONT MEDIA INC
437,686
388,898
-48,788
2.80%
$905.40K
AXOS FINANCIAL INC
133,760
121,316
-12,444
2.64%
-$459.74K
ATMUS FILTRATION TECHNOLOGIES INC
201,964
161,843
-40,121
2.61%
$222.33K
KRATOS DEFENSE and SEC SOLTN INC
135,897
118,808
-17,089
2.56%
-$102.89K
PRIMORIS SVCS CORP
78,615
59,949
-18,666
2.26%
-$914.00K
ZURN ELKAY WATER SOLUTIONS CORP
184,128
159,170
-24,958
2.03%
-$668.42K
CHEMOURS CO/ THE
455,159
396,370
-58,789
1.81%
$1.41M
TENET HEALTHCARE CORP
43,886
26,660
-17,226
1.60%
-$3.13M
O-I GLASS INC
471,360
411,360
-60,000
1.38%
-$841.71K
HANOVER INSURANCE GROUP INC
34,848
28,084
-6,764
1.27%
-$1.39M
MINERALS TECHNOLOGIES INC
99,569
63,154
-36,415
1.12%
-$1.38M
KEMPER CORP
94,505
64,496
-30,009
0.52%
-$1.76M
▶
Unchanged
· 39 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
PORTLAND GENERAL ELECTRIC CO
234,518
234,518
0
3.17%
$736.39K
POPULAR INC
83,784
83,784
0
2.84%
$1.73M
REGAL REXNORD CORP
47,879
47,879
0
2.65%
$3.59M
LIVANOVA PLC
145,285
145,285
0
2.57%
$986.49K
ATLANTIC UNION B
276,625
276,625
0
2.56%
$893.50K
KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC
158,535
158,535
0
2.50%
$2.71M
COLUMBIA BANKING SYSTEMS INC
344,573
344,573
0
2.45%
$251.54K
STOCK YARDS BANCORP INC
145,856
145,856
0
2.34%
-$296.09K
KB HOME
138,666
138,666
0
2.21%
-$104.00K
KULICKE and SOFFA INDUSTRIES INC
124,486
124,486
0
2.17%
$3.06M
KONTOOR BRANDS INC
132,684
132,684
0
2.16%
-$1.21M
CNO FINANCIAL GROUP INC
196,716
196,716
0
2.06%
$173.11K
SABRA HEALTHCARE REIT INC
389,954
389,954
0
2.00%
$405.55K
TEXAS ROADHOUSE INC
43,226
43,226
0
1.98%
$329.38K
PBF ENERGY INC CL A
219,647
219,647
0
1.96%
$246.00K
SEACOAST BANKING CORP FLORIDA
240,650
240,650
0
1.87%
-$105.89K
LAZARD INC CL A
146,648
146,648
0
1.86%
$14.66K
OCEANFIRST FINL
395,364
395,364
0
1.79%
-$312.34K
PATTERSON-UTI ENERGY INC
821,053
821,053
0
1.75%
$2.22M
VISTEON CORP
68,830
68,830
0
1.65%
-$521.73K
EXTREME NETWORKS INC
467,507
467,507
0
1.64%
-$1.65M
RADIAN GROUP INC
177,792
177,792
0
1.54%
-$183.13K
MURPHY OIL CORP
175,479
175,479
0
1.46%
$189.52K
SKYWARD SPECIALTY INSURANCE GROUP INC
124,203
124,203
0
1.44%
-$309.27K
NOMAD FOODS LTD
484,744
484,744
0
1.33%
-$610.78K
FIRST INDUSTRIAL REALTY TRUST
81,389
81,389
0
1.29%
$480.20K
CRANE NXT CO
96,031
96,031
0
1.16%
-$769.21K
CYTOKINETICS INC
74,187
74,187
0
1.15%
-$438.45K
GAMING AND LEISURE PROPRTI INC
93,785
93,785
0
1.15%
$504.56K
SM ENERGY CO
185,228
185,228
0
1.07%
$755.73K
SYNDAX PHARMACEUTICALS INC
196,238
196,238
0
1.07%
$370.89K
LIGAND PHARMACEUTICALS
21,363
21,363
0
1.06%
-$104.04K
CONMED CORP
88,851
88,851
0
1.02%
$229.24K
UTZ BRANDS INC A
378,446
378,446
0
0.88%
-$151.38K
INTEGER HOLDINGS CORP
35,095
35,095
0
0.76%
$508.88K
SIX FLAGS ENTERTAINMENT CORP
100,460
100,460
0
0.43%
$185.85K
ALIGHT INC-CL A
1,101,620
1,101,620
0
0.24%
-$1.58M
OMNIAB INC - 12.5 EARNOUT
9,220
9,220
0
0.00%
$0
OMNIAB INC - 15.00 EARNOUT
9,220
9,220
0
0.00%
$0
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