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.
May 31, 2021 → Aug 31, 2021
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 60 positions
Security
Shares May 2021
Shares Aug 2021
Δ shares
End %
Δ value
ORGANON & CO
0
1,786
1,786
0.41%
$60.53K
ULTA BEAUTY INC
0
154
154
0.40%
$59.65K
NETAPP INC
0
667
667
0.40%
$59.32K
ALIGN TECHNOLOGY INC
0
83
83
0.40%
$58.85K
NRG ENERGY INC
0
1,264
1,264
0.39%
$57.73K
ROCKWELL AUTOMATION INC
0
177
177
0.39%
$57.60K
NXP SEMICONDUCTO
0
267
267
0.39%
$57.44K
BAKER HUGHES CO
0
2,517
2,517
0.39%
$57.34K
FRANKLIN RESOURCES INC
0
1,767
1,767
0.39%
$57.32K
INGERSOLL RAND INC
0
1,079
1,079
0.38%
$57.21K
XYLEM INC
0
419
419
0.38%
$57.11K
KLA CORP
0
168
168
0.38%
$57.11K
NVR INC
0
11
11
0.38%
$56.98K
NETFLIX INC
0
100
100
0.38%
$56.92K
HARTFORD INSURANCE GROUP INC/THE
0
840
840
0.38%
$56.46K
EVEREST RE GROUP
0
212
212
0.38%
$56.16K
FORTIVE CORP
0
756
756
0.38%
$55.85K
PRINCIPAL FINL GROUP INC
0
831
831
0.37%
$55.52K
TJX COS INC
0
760
760
0.37%
$55.27K
SBA COMMUNICATIONS CORP
0
153
153
0.37%
$54.92K
CBRE GROUP INC - CL A
0
569
569
0.37%
$54.79K
EQUIFAX INC
0
201
201
0.37%
$54.72K
ALLEGION PLC
0
380
380
0.37%
$54.72K
VULCAN MATERIALS CO
0
294
294
0.37%
$54.66K
REGENCY CENTERS CORP REIT
0
796
796
0.37%
$54.62K
ENTERGY CORP
0
493
493
0.37%
$54.53K
BROADCOM INC
0
109
109
0.36%
$54.20K
QUALCOMM INC
0
369
369
0.36%
$54.13K
APPLE INC
0
354
354
0.36%
$53.75K
GLOBE LIFE INC
0
556
556
0.36%
$53.41K
PVH CORP
0
508
508
0.36%
$53.23K
AMERICAN TOWER CORP
0
181
181
0.36%
$52.88K
DOW INC
0
839
839
0.36%
$52.77K
WR BERKLEY CORP
0
700
700
0.35%
$52.72K
ANSYS INC
0
144
144
0.35%
$52.61K
AVALONBAY COMMUNITIES INC REIT
0
228
228
0.35%
$52.34K
Discovery INC COM USD0.01 SERIES C
0
1,895
1,895
0.35%
$52.28K
QORVO INC
0
277
277
0.35%
$52.08K
JACK HENRY
0
295
295
0.35%
$52.03K
FIRSTENERGY CORP
0
1,338
1,338
0.35%
$52.01K
ANALOG DEVICES INC
0
319
319
0.35%
$51.98K
ESSEX PROPERTY TRUST INC
0
157
157
0.35%
$51.93K
CONSOLIDATED EDISON INC
0
688
688
0.35%
$51.91K
EQUITY RESIDENTIAL REIT
0
613
613
0.35%
$51.53K
KELLOGG CO
0
816
816
0.35%
$51.52K
VERISIGN INC
0
237
237
0.34%
$51.25K
ROPER TECHNOLOGIES INC
0
106
106
0.34%
$51.23K
AES CORP
0
2,139
2,139
0.34%
$51.06K
CENTERPOINT ENERGY INC
0
2,025
2,025
0.34%
$50.81K
HEALTHPEAK PROPERTIES INC
0
1,407
1,407
0.34%
$50.65K
GENERAL MILLS INC
0
873
873
0.34%
$50.47K
AMERICAN EXPRESS CO
0
300
300
0.34%
$49.79K
MOLSON COORS BEVERAGE CO B
0
1,040
1,040
0.33%
$49.43K
ILLUMINA INC
0
107
107
0.33%
$48.92K
VENTAS INC REIT
0
866
866
0.33%
$48.44K
ZIMMER BIOMET HO
0
319
319
0.32%
$47.99K
LEIDOS HOLDINGS INC
0
487
487
0.32%
$47.78K
VF CORP
0
624
624
0.32%
$47.72K
BORGWARNER INC
0
1,098
1,098
0.32%
$46.86K
FIDELITY NATL INFORM SVCS INC
0
344
344
0.30%
$43.95K
▶
Exited
· 62 positions
Security
Shares May 2021
Shares Aug 2021
Δ shares
End %
Δ value
PRUDENTIAL INVESTMENT PORTFOLIOS 2 PRUDENTIAL INSTITUTIONA 0.00000000
255,597
0
-255,597
0.00%
-$255.51K
GARTNER INC
268
0
-268
0.00%
-$62.13K
UNITED PARCEL SERVICE INC CL B
278
0
-278
0.00%
-$59.66K
EXPEDITORS INTL OF WASH INC
460
0
-460
0.00%
-$57.82K
MARATHON OIL CORP
4,666
0
-4,666
0.00%
-$56.51K
NORTHERN TRUST CORP
466
0
-466
0.00%
-$56.47K
CINCINNATI FINANCIAL CORP
462
0
-462
0.00%
-$56.23K
AFLAC INC
985
0
-985
0.00%
-$55.83K
AMERICAN INTERNATIONAL GROUP
1,053
0
-1,053
0.00%
-$55.64K
PNC FINANCIAL SERVICES GRP INC
279
0
-279
0.00%
-$54.32K
MARSH & MCLENNAN
390
0
-390
0.00%
-$53.96K
GOLDMAN SACHS GROUP INC
145
0
-145
0.00%
-$53.94K
BANK OF AMERICA CORPORATION
1,266
0
-1,266
0.00%
-$53.67K
ARISTA NETWORKS INC
158
0
-158
0.00%
-$53.62K
PPG INDUSTRIES INC
296
0
-296
0.00%
-$53.20K
WASTE MANAGEMENT INC
377
0
-377
0.00%
-$53.04K
AUTOMATIC DATA PROCESSING INC
269
0
-269
0.00%
-$52.73K
CME GROUP INC CL A
241
0
-241
0.00%
-$52.72K
JPMORGAN CHASE and CO
321
0
-321
0.00%
-$52.72K
EXXON MOBIL CORP
899
0
-899
0.00%
-$52.47K
FORTINET INC
240
0
-240
0.00%
-$52.45K
MID AMERICA APT CMNTY INC
326
0
-326
0.00%
-$52.39K
SMITH (AO) CORP
737
0
-737
0.00%
-$52.38K
COLGATE-PALMOLIVE CO
617
0
-617
0.00%
-$51.69K
TE CONNECTIVITY
380
0
-380
0.00%
-$51.56K
M&T BANK CORP
320
0
-320
0.00%
-$51.42K
LINDE PLC
171
0
-171
0.00%
-$51.40K
OMNICOM GROUP INC
625
0
-625
0.00%
-$51.40K
NEWMONT CORP
694
0
-694
0.00%
-$51.00K
EQUINIX INC
69
0
-69
0.00%
-$50.83K
RAYMOND JAMES FINANCIAL INC.
383
0
-383
0.00%
-$50.78K
COSTCO WHOLESALE CORP
134
0
-134
0.00%
-$50.69K
SHERWIN WILLIAMS CO
177
0
-177
0.00%
-$50.18K
ALEXANDRIA REAL ES EQ INC REIT
281
0
-281
0.00%
-$50.09K
AMEREN CORP
591
0
-591
0.00%
-$49.76K
RESMED INC
241
0
-241
0.00%
-$49.61K
HOME DEPOT INC
155
0
-155
0.00%
-$49.43K
TRACTOR SUPPLY CO.
270
0
-270
0.00%
-$49.06K
ADV MICRO DEVICE
611
0
-611
0.00%
-$48.93K
LOWES COS INC
251
0
-251
0.00%
-$48.90K
ADVANCE AUTO PARTS INC
257
0
-257
0.00%
-$48.76K
CH ROBINSON WORLDWIDE INC
502
0
-502
0.00%
-$48.70K
DOMINOS PIZZA INC
114
0
-114
0.00%
-$48.66K
MERCK & CO
638
0
-638
0.00%
-$48.42K
ECOLAB INC
225
0
-225
0.00%
-$48.39K
HUNT J B TRANSPORT SERVICES IN
278
0
-278
0.00%
-$47.69K
PTC INC
354
0
-354
0.00%
-$47.49K
CORTEVA INC
1,038
0
-1,038
0.00%
-$47.23K
COMCAST CORP CL A
817
0
-817
0.00%
-$46.85K
IPG PHOTONICS CORP
223
0
-223
0.00%
-$46.66K
HORMEL FOODS CRP
956
0
-956
0.00%
-$46.40K
TELEFLEX INC
115
0
-115
0.00%
-$46.25K
PROGRESSIVE CORP OHIO
459
0
-459
0.00%
-$45.48K
AMCOR PLC
3,845
0
-3,845
0.00%
-$45.37K
CONSTELLATION BRANDS INC CL A
189
0
-189
0.00%
-$45.31K
MASCO CORPORATION
745
0
-745
0.00%
-$44.93K
PROCTER & GAMBLE
330
0
-330
0.00%
-$44.50K
DTE ENERGY CO
320
0
-320
0.00%
-$44.16K
CARMAX INC
381
0
-381
0.00%
-$43.89K
EBAY INC
703
0
-703
0.00%
-$42.80K
ETSY INC
233
0
-233
0.00%
-$38.38K
DOLLAR TREE INC
384
0
-384
0.00%
-$37.44K
▶
Increased
· 44 positions
Security
Shares May 2021
Shares Aug 2021
Δ shares
End %
Δ value
CADENCE DESIGN SYSTEMS INC
312
363
51
0.40%
$19.72K
COGNIZANT TECH SOLUTIONS CL A
581
752
171
0.39%
$15.81K
HEWLETT PACKARD ENTERPRISE CO
3,107
3,627
520
0.38%
$6.49K
METLIFE INC
786
900
114
0.38%
$4.43K
TRAVELERS COS IN
291
348
57
0.37%
$9.11K
ABBOTT LABS
383
434
51
0.37%
$10.17K
ALTRIA GROUP INC
929
1,088
159
0.37%
$8.92K
KEYCORP
2,383
2,687
304
0.37%
-$304
WESTROCK CO
928
1,046
118
0.37%
$313
INVESCO LTD
1,873
2,144
271
0.37%
$849
WEYERHAEUSER CO
1,293
1,492
199
0.36%
$4.63K
FISERV INC
396
453
57
0.36%
$7.74K
MONSTER BEVERAGE CORP
452
546
94
0.36%
$10.66K
FLEETCOR TECHNOLOGIES INC
171
202
31
0.36%
$6.25K
PPL CORPORATION
1,558
1,810
252
0.36%
$7.77K
ILLINOIS TOOL WORKS INC
203
228
25
0.36%
$6.04K
SNAP-ON INCORPORATED
210
236
26
0.36%
-$382
EASTMAN CHEMICAL CO
408
469
61
0.36%
$1.91K
ARCHER DANIELS MIDLAND CO
762
883
121
0.36%
$2.28K
BEST BUY CO INC
377
454
77
0.36%
$9.07K
INTEL CORP
717
978
261
0.36%
$11.92K
DOMINION ENERGY INC
602
677
75
0.35%
$6.86K
LYONDELLBASELL-A
462
525
63
0.35%
$653
EDISON INTL
811
910
99
0.35%
$7.32K
CUMMINS INC
175
222
47
0.35%
$7.36K
INCYTE CORP
599
681
82
0.35%
$1.91K
CATERPILLAR INC
213
247
34
0.35%
$735
F5 INC
215
254
39
0.35%
$11.84K
UNION PACIFIC CORP
208
238
30
0.35%
$4.86K
BRISTOL-MYERS SQUIBB CO
674
770
96
0.35%
$7.19K
CORNING INC
1,133
1,283
150
0.35%
$1.87K
VERTEX PHARMACEUTICALS INC
226
256
30
0.35%
$4.12K
TAPESTRY INC
1,096
1,268
172
0.34%
$1.93K
ACTIVISION BLIZZARD INC
516
618
102
0.34%
$724
AT&T INC
1,500
1,844
344
0.34%
$6.42K
CONAGRA BRANDS INC
1,270
1,520
250
0.34%
$1.96K
PACCAR INC
531
614
83
0.34%
$1.65K
NORFOLK SOUTHERN CORP
166
198
32
0.34%
$3.57K
STANLEY BLACK and DECKER INC
227
258
31
0.34%
$650
CSX CORP
504
1,512
1,008
0.33%
-$1.28K
BAXTER INTL INC
540
633
93
0.32%
$3.90K
THE CIGNA GROUP
196
227
31
0.32%
-$2.69K
NEWS CORP NEW CL A
1,855
2,104
249
0.32%
-$2.79K
Citrix Systems Inc. COM USD0.001
339
453
114
0.31%
$7.63K
▶
Decreased
· 34 positions
Security
Shares May 2021
Shares Aug 2021
Δ shares
End %
Δ value
NUCOR CORP
624
528
-96
0.42%
-$1.91K
REGENERON PHARMACEUTICALS INC
99
90
-9
0.41%
$10.87K
DANAHER CORP
205
179
-26
0.39%
$5.52K
ALPHABET INC CL A
22
20
-2
0.39%
$6.03K
CARRIER GLOBAL CORP
1,184
1,001
-183
0.39%
$3.28K
T ROWE PRICE GRP
296
255
-41
0.38%
$447
INTUITIVE SURGICAL INC
61
54
-7
0.38%
$5.52K
WATERS CORP
160
137
-23
0.38%
$5.16K
INTUIT INC
121
100
-21
0.38%
$3.48K
ROBERT HALF INTL
634
547
-87
0.38%
$267
EXTRA SPACE STORAGE INC
344
302
-42
0.38%
$4.91K
REVVITY INC
368
305
-63
0.38%
$2.98K
ADOBE INC
92
84
-8
0.38%
$9.33K
EDWARDS LIFESCIENCES CORP
560
473
-87
0.37%
$1.72K
ALPHABET INC CL C
22
19
-3
0.37%
$2.22K
DOVER CORP
365
317
-48
0.37%
$340
LILLY ELI and CO
261
213
-48
0.37%
$2.88K
TEXTRON INC
880
757
-123
0.37%
-$5.24K
JOHNSON CONTROLS
829
735
-94
0.37%
-$184
LKQ CORP
1,150
1,039
-111
0.37%
-$3.86K
OTIS WORLDWIDE CORP
698
589
-109
0.37%
-$357
PUBLIC STORAGE
195
166
-29
0.36%
-$1.36K
META PLATFORMS INC CL A
159
141
-18
0.36%
$1.22K
CAPITAL ONE FINANCIAL CORP
398
320
-78
0.36%
-$10.88K
BIOGEN INC
184
156
-28
0.36%
$3.65K
PAYCHEX INC
514
459
-55
0.35%
$556
MOODYS CORP
155
137
-18
0.35%
$186
NIKE INC CL B
374
316
-58
0.35%
$1.02K
WELLTOWER INC
662
589
-73
0.35%
$2.06K
TRANE TECHNOLOGI
288
259
-29
0.35%
-$2.27K
COPART INC
407
356
-51
0.35%
-$1.13K
IDEXX LABS INC
87
76
-11
0.34%
$2.65K
TARGET CORP
232
201
-31
0.33%
-$3.00K
AUTOZONE INC
35
32
-3
0.33%
$342
▶
Unchanged
· 142 positions
Security
Shares May 2021
Shares Aug 2021
Δ shares
End %
Δ value
MONOLITHIC POWER SYS INC
134
134
0
0.45%
$20.34K
SYNOPSYS INC
198
198
0
0.44%
$15.42K
WEST PHARMACEUTICAL SVCS INC
145
145
0
0.44%
$15.10K
AGILENT TECHNOLOGIES INC
363
363
0
0.43%
$13.55K
KEYSIGHT TECHNOLOGIES INC
345
345
0
0.42%
$12.76K
OLD DOMINION FRT
214
214
0
0.42%
$4.98K
MOTOROLA SOLUTIONS INC
251
251
0
0.41%
$9.77K
AVERY DENNISON CORP
271
271
0
0.41%
$1.32K
PENTAIR PLC
789
789
0
0.41%
$6.46K
KROGER CO
1,302
1,302
0
0.40%
$11.78K
BIO RAD LABS CL A
74
74
0
0.40%
$14.98K
BANK OF NEW YORK MELLON CORP
1,070
1,070
0
0.40%
$3.36K
LABORATORY CP
194
194
0
0.40%
$5.61K
POOL CORP
118
118
0
0.39%
$6.81K
ACCENTURE PLC-A
173
173
0
0.39%
$9.41K
SEALED AIR CORP
954
954
0
0.39%
$3.98K
EATON CORP PLC
345
345
0
0.39%
$7.97K
DUKE REALTY CORP REIT
1,106
1,106
0
0.39%
$6.69K
MICROSOFT CORP
192
192
0
0.39%
$10.02K
EMERSON ELECTRIC CO
549
549
0
0.39%
$5.39K
PROLOGIS INC REIT
430
430
0
0.39%
$7.23K
ESTEE LAUDER COS INC CL A
170
170
0
0.39%
$5.77K
QUEST DIAGNOSTICS INC
378
378
0
0.39%
$8.00K
TRIMBLE INC
612
612
0
0.39%
$10.06K
ZEBRA TECHNOLOGIES CORP CL A
98
98
0
0.39%
$8.83K
METTLER-TOLEDO INTL INC
37
37
0
0.39%
$9.32K
GENERAL DYNAMICS CORPORATION
286
286
0
0.39%
$2.97K
REPUBLIC SVCS
460
460
0
0.38%
$6.88K
AMERICAN WATER WRKS COMPANY
312
312
0
0.38%
$8.50K
QUANTA SVCS INC
556
556
0
0.38%
$3.75K
THERMO FISHER SCIENTIFIC INC
102
102
0
0.38%
$8.72K
STATE STREET CORP
608
608
0
0.38%
$3.61K
CHUBB LTD
307
307
0
0.38%
$4.28K
COOPER COS INC
124
124
0
0.38%
$7.10K
LENNAR CORP CL A
517
517
0
0.37%
$4.29K
JUNIPER NETWORKS INC
1,913
1,913
0
0.37%
$5.07K
ROLLINS INC
1,424
1,424
0
0.37%
$6.88K
ABBVIE INC
456
456
0
0.37%
$3.46K
L3HARRIS TECHNOLOGIES INC
236
236
0
0.37%
$3.53K
ABIOMED INC
151
151
0
0.37%
$11.99K
FIFTH THIRD BANCORP
1,410
1,410
0
0.37%
-$4.62K
WESTINGHOUSE AIR BRAKE TECH CORP
610
610
0
0.37%
$4.29K
BROADRIDGE FINL
318
318
0
0.37%
$4.05K
HERSHEY CO/THE
308
308
0
0.37%
$1.43K
GILEAD SCIENCES INC
752
752
0
0.37%
$5.02K
O'REILLY AUTOMOTIVE INC
92
92
0
0.37%
$5.42K
PFIZER INC
1,185
1,185
0
0.37%
$8.70K
CDW CORPORATION
272
272
0
0.37%
$9.57K
APPLIED MATERIALS INC
400
400
0
0.36%
-$1.20K
ZOETIS INC CL A
263
263
0
0.36%
$7.33K
CISCO SYSTEMS INC
911
911
0
0.36%
$5.58K
NORTHROP GRUMMAN CORP
146
146
0
0.36%
$267
EVERGY INC
784
784
0
0.36%
$5.06K
PARAMOUNT GLOB-B
1,291
1,291
0
0.36%
-$1.25K
EXELON CORP
1,090
1,090
0
0.36%
$4.25K
MARTIN MAR MTLS
140
140
0
0.36%
$2.46K
PACKAGING CORP OF AMERICA
351
351
0
0.36%
$1.07K
CVS HEALTH CORP
616
616
0
0.36%
-$31
INTL PAPER CO
884
884
0
0.36%
-$2.66K
AKAMAI TECHNOLOGIES INC
469
469
0
0.36%
-$450
HENRY SCHEIN INC
702
702
0
0.36%
-$316
AUTODESK INC
171
171
0
0.36%
$4.14K
ZIONS BANCORP NA
912
912
0
0.36%
$18
JOHNSON&JOHNSON
305
305
0
0.36%
$1.18K
COMERICA INC
714
714
0
0.36%
-$3.27K
CROWN CASTLE INC
271
271
0
0.36%
$1.41K
BERKSHIRE HATH-B
184
184
0
0.35%
-$675
WALMART INC
355
355
0
0.35%
$2.15K
MEDTRONIC PLC
393
393
0
0.35%
$2.71K
AMPHENOL CORPORATION CL A
684
684
0
0.35%
$6.41K
UNIVERSAL HLTH-B
336
336
0
0.35%
-$1.30K
INTL BUS MACH CORP
372
372
0
0.35%
-$1.26K
FOX CORP CL A
1,393
1,393
0
0.35%
$125
YUM! BRANDS INC
398
398
0
0.35%
$4.40K
AMAZON.COM INC
15
15
0
0.35%
$3.72K
BOSTON SCIENTIFIC CORP
1,153
1,153
0
0.35%
$3.00K
CELANESE CORP
328
328
0
0.35%
-$2.25K
CINTAS CORP
131
131
0
0.35%
$5.53K
SALESFORCE INC
195
195
0
0.35%
$5.30K
GENUINE PARTS CO
423
423
0
0.35%
-$3.78K
WELLS FARGO & CO
1,130
1,130
0
0.35%
-$1.15K
ELECTRONIC ARTS INC
355
355
0
0.35%
$809
TYSON FOODS INC CL A
656
656
0
0.35%
-$643
TELEDYNE TECHNOLOGIES INC
111
111
0
0.35%
$4.87K
HOLOGIC INC
646
646
0
0.34%
$10.39K
LOEWS CORP
914
914
0
0.34%
-$2.29K
WALGREENS BOOTS ALLIANCE INC
1,003
1,003
0
0.34%
-$1.92K
HUNTINGTON INGALLS INDUSTRIES INC
249
249
0
0.34%
-$3.00K
RTX CORP
599
599
0
0.34%
-$2.37K
Cerner Corp COM USD0.01
664
664
0
0.34%
-$1.26K
IDEX CORPORATION
226
226
0
0.34%
$303
VISA INC-CLASS A
220
220
0
0.34%
$396
CITIGROUP INC
699
699
0
0.34%
-$4.75K
ONEOK INC
957
957
0
0.34%
-$211
SOUTHERN CO
764
764
0
0.34%
$1.38K
AMETEK INC NEW
368
368
0
0.34%
$320
SKYWORKS SOLUTIONS INC
272
272
0
0.34%
$3.66K
COCA-COLA CO/THE
883
883
0
0.33%
$901
REGIONS FINANCIAL CORP
2,431
2,431
0
0.33%
-$7.24K
ALLSTATE CORPORATION
367
367
0
0.33%
-$488
DENTSPLY SIRONA INC
803
803
0
0.33%
-$4.19K
DR HORTON INC
518
518
0
0.33%
$171
WW GRAINGER INC
114
114
0
0.33%
-$3.24K
STRYKER CORP
178
178
0
0.33%
$3.89K
US BANCORP DEL
859
859
0
0.33%
-$2.91K
3M CO
253
253
0
0.33%
-$2.10K
TEXAS INSTRUMENTS INC
258
258
0
0.33%
$281
WHIRLPOOL CORP
222
222
0
0.33%
-$3.45K
ELEVANCE HEALTH INC
131
131
0
0.33%
-$3.02K
UNITEDHEALTH GRP
118
118
0
0.33%
$513
MOHAWK INDUSTRIES INC
248
248
0
0.33%
-$3.20K
PULTEGROUP INC
909
909
0
0.33%
-$3.57K
HONEYWELL INTL INC
211
211
0
0.33%
$211
CITIZENS FINANCIAL GROUP INC
1,111
1,111
0
0.33%
-$6.79K
STERIS PLC
226
226
0
0.33%
$5.46K
PEPSICO INC
310
310
0
0.33%
$2.62K
XCEL ENERGY INC
703
703
0
0.33%
-$1.50K
TRUIST FINL CORP
847
847
0
0.33%
-$4.00K
BECTON DICKINSON and CO
192
192
0
0.33%
$1.88K
MCDONALDS CORP
203
203
0
0.32%
$725
LUMEN TECHNOLOGIES INC
3,901
3,901
0
0.32%
-$6.01K
MONDELEZ INTL INC
770
770
0
0.32%
-$1.12K
CENTENE CORP
758
758
0
0.32%
-$8.05K
DUPONT DE NEMOURS INC
644
644
0
0.32%
-$6.81K
TERADYNE INC
392
392
0
0.32%
-$4.28K
PUB SERV ENTERP
741
741
0
0.32%
$1.35K
JM SMUCKER CO/THE
381
381
0
0.32%
-$3.67K
ATMOS ENERGY CORP
483
483
0
0.32%
-$802
FORTUNE BRANDS INNOVATIONS INC
483
483
0
0.32%
-$2.80K
EOG RESOURCES INC
695
695
0
0.32%
-$8.91K
SEMPRA ENERGY
353
353
0
0.31%
-$1.10K
VERIZON COMMUNICATIONS INC
849
849
0
0.31%
-$1.27K
WEC ENERGY GROUP INC
492
492
0
0.31%
$280
CHEVRON CORP
480
480
0
0.31%
-$3.37K
LOCKHEED MARTIN CORP
128
128
0
0.31%
-$2.87K
PARKER HANNIFIN CORP
155
155
0
0.31%
-$1.78K
KINDER MORGAN INC
2,799
2,799
0
0.31%
-$5.79K
FEDEX CORP
170
170
0
0.30%
-$8.35K
TAKE-TWO INTERACTV SOFTWR INC
279
279
0
0.30%
-$6.79K
KRAFT HEINZ CO/T
1,226
1,226
0
0.30%
-$9.32K
AMGEN INC
194
194
0
0.29%
-$2.41K
HUMANA INC
105
105
0
0.29%
-$3.39K
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