Sphere 500 Climate Fund
Manager Directed Portfolios

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, 2023 → Mar 31, 2024

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2023 Shares Mar 2024 Δ shares End % Δ value
APOLLO GLOBAL MANAGEMENT INC 0 82 82 0.11% $9.22K
STRATEGY INC CL A 0 3 3 0.06% $5.11K
COOPER COS INC 0 40 40 0.05% $4.06K
CORPAY INC 0 13 13 0.05% $4.01K
OKTA INC CL A 0 32 32 0.04% $3.35K
PURE STORAGE INC CL A 0 61 61 0.04% $3.17K
EMCOR GROUP INC 0 9 9 0.04% $3.15K
NUTANIX INC CL A 0 50 50 0.04% $3.09K
SAIA INC 0 5 5 0.04% $2.92K
PENTAIR PLC 0 34 34 0.04% $2.90K
XPO LOGISTICS INC 0 23 23 0.03% $2.81K
CARMAX INC 0 32 32 0.03% $2.79K
HEALTHPEAK PROPERTIES INC 0 146 146 0.03% $2.74K
FLOOR & DECOR-A 0 21 21 0.03% $2.72K
CHARLES RIVER LABS INTL INC 0 10 10 0.03% $2.71K
US FOODS HOLDING CORP 0 50 50 0.03% $2.70K
CELSIUS HOLDINGS INC 0 32 32 0.03% $2.65K
TOPBUILD CORP 0 6 6 0.03% $2.64K
REVVITY INC 0 25 25 0.03% $2.62K
TRADEWEB MARKETS INC A 0 23 23 0.03% $2.40K
Security Shares Dec 2023 Shares Mar 2024 Δ shares End % Δ value
SPLUNK INC 26 0 -26 0.00% -$3.96K
FLEETCOR TECHNOLOGIES INC 11 0 -11 0.00% -$3.11K
COOPER COS INC 8 0 -8 0.00% -$3.03K
SNAP INC - A 175 0 -175 0.00% -$2.96K
RIVIAN AUTOMOTIVE INC 113 0 -113 0.00% -$2.65K
INSULET CORP 11 0 -11 0.00% -$2.39K
EXACT SCIENCES CORP 30 0 -30 0.00% -$2.22K
TWILIO INC CLASS A 29 0 -29 0.00% -$2.20K
GAMING AND LEISURE PROPRTI INC 43 0 -43 0.00% -$2.12K
EQUITY LIFESTYLE PPTYS INC 30 0 -30 0.00% -$2.12K
REGENCY CENTERS CORP REIT 31 0 -31 0.00% -$2.08K
MOSAIC CO/THE 55 0 -55 0.00% -$1.97K
MOLSON COORS BEVERAGE CO B 32 0 -32 0.00% -$1.96K
ROKU INC CLASS A 21 0 -21 0.00% -$1.92K
C N A FINANCIAL CORP 45 0 -45 0.00% -$1.90K
GLOBE LIFE INC 15 0 -15 0.00% -$1.83K
Security Shares Dec 2023 Shares Mar 2024 Δ shares End % Δ value
MICROSOFT CORP 1,242 1,516 274 7.74% $170.77K
APPLE INC 2,637 3,193 556 6.65% $39.83K
NVIDIA CORP 402 497 95 5.45% $249.99K
AMAZON.COM INC 1,538 1,901 363 4.16% $109.22K
META PLATFORMS INC CL A 375 454 79 2.68% $87.72K
ALPHABET INC CL A 1,000 1,216 216 2.23% $43.84K
ALPHABET INC CL C 904 1,093 189 2.02% $39.02K
LILLY ELI and CO 136 175 39 1.65% $56.87K
BROADCOM INC 68 94 26 1.51% $48.68K
JPMORGAN CHASE and CO 485 593 108 1.44% $36.28K
TESLA INC 469 573 104 1.22% -$15.81K
UNITEDHEALTH GRP 156 190 34 1.14% $11.86K
VISA INC-CLASS A 267 326 59 1.10% $21.47K
MASTERCARD INC CL A 140 171 31 1.00% $22.64K
PROCTER & GAMBLE 399 486 87 0.96% $20.38K
JOHNSON&JOHNSON 407 498 91 0.96% $14.99K
HOME DEPOT INC 168 205 37 0.95% $20.42K
MERCK & CO 429 523 94 0.84% $22.24K
COSTCO WHOLESALE CORP 74 91 17 0.81% $17.82K
ABBVIE INC 299 365 66 0.81% $20.13K
BANK OF AMERICA CORPORATION 1,341 1,628 287 0.75% $16.58K
ADV MICRO DEVICE 271 331 60 0.73% $19.79K
SALESFORCE INC 158 194 36 0.71% $16.85K
COCA-COLA CO/THE 729 887 158 0.66% $11.31K
NETFLIX INC 73 88 15 0.65% $17.90K
PEPSICO INC 235 283 48 0.60% $9.62K
ADOBE INC 76 92 16 0.56% $1.08K
WALT DISNEY CO/T 310 379 69 0.56% $18.38K
THERMO FISHER SCIENTIFIC INC 65 78 13 0.55% $10.83K
WELLS FARGO & CO 615 740 125 0.52% $12.62K
MCDONALDS CORP 122 149 27 0.51% $5.84K
CISCO SYSTEMS INC 688 837 149 0.51% $7.02K
ORACLE CORP 269 330 61 0.50% $13.09K
ABBOTT LABS 292 357 65 0.49% $8.44K
QUALCOMM INC 188 230 42 0.47% $11.75K
INTEL CORP 715 874 159 0.47% $2.68K
CATERPILLAR INC 86 103 17 0.46% $12.31K
VERIZON COMMUNICATIONS INC 713 870 157 0.44% $9.63K
INTUIT INC 46 56 10 0.44% $7.65K
INTL BUS MACH CORP 154 189 35 0.44% $10.90K
COMCAST CORP CL A 676 814 138 0.43% $5.64K
APPLIED MATERIALS INC 141 171 30 0.43% $12.41K
DANAHER CORP 114 139 25 0.42% $8.34K
AMERICAN EXPRESS CO 123 149 26 0.41% $10.88K
TEXAS INSTRUMENTS INC 153 187 34 0.40% $6.50K
PFIZER INC 957 1,167 210 0.39% $4.83K
SERVICENOW INC 34 42 8 0.39% $8.00K
UBER TECHNOLOGIES INC 335 413 78 0.39% $11.17K
AMGEN INC 90 110 20 0.38% $5.35K
UNION PACIFIC CORP 103 125 22 0.37% $5.44K
LOWES COS INC 97 119 22 0.37% $8.73K
INTUITIVE SURGICAL INC 59 72 13 0.35% $8.83K
GOLDMAN SACHS GROUP INC 57 67 10 0.34% $6.00K
S&P GLOBAL INC 53 64 11 0.33% $3.88K
MICRON TECHNOLOGY INC 186 227 41 0.32% $10.89K
LAM RESEARCH CORP 22 27 5 0.32% $9.00K
STRYKER CORP 60 73 13 0.32% $8.16K
AT&T INC 1,212 1,480 268 0.32% $5.71K
EATON CORP PLC 67 82 15 0.31% $9.50K
THE BOOKING HOLDINGS INC 5 7 2 0.31% $7.66K
BLACKROCK INC 24 30 6 0.30% $5.53K
SCHWAB CHARLES CORP 281 344 63 0.30% $5.55K
PROGRESSIVE CORP OHIO 99 120 21 0.30% $9.05K
PROLOGIS INC REIT 156 190 34 0.30% $3.95K
MORGAN STANLEY 214 259 45 0.30% $4.43K
ELEVANCE HEALTH INC 39 47 8 0.30% $5.98K
CITIGROUP INC 323 383 60 0.29% $7.61K
MEDTRONIC PLC 225 274 49 0.29% $5.34K
TJX COS INC 193 235 42 0.29% $5.73K
NIKE INC CL B 200 243 43 0.28% $1.12K
BRISTOL-MYERS SQUIBB CO 345 418 73 0.28% $4.97K
UNITED PARCEL SERVICE INC CL B 122 150 28 0.27% $3.11K
VERTEX PHARMACEUTICALS INC 43 53 10 0.27% $4.66K
DEERE & CO 45 53 8 0.26% $3.78K
CHUBB LTD 68 83 15 0.26% $6.14K
THE CIGNA GROUP 48 59 11 0.26% $7.05K
AUTOMATIC DATA PROCESSING INC 69 84 15 0.25% $4.90K
STARBUCKS CORP 187 229 42 0.25% $2.97K
MARSH & MCLENNAN 83 101 18 0.25% $5.08K
CVS HEALTH CORP 218 260 42 0.25% $3.52K
BOSTON SCIENTIFIC CORP 247 302 55 0.25% $6.40K
REGENERON PHARMACEUTICALS INC 17 21 4 0.25% $5.28K
ANALOG DEVICES INC 83 102 19 0.24% $3.69K
MONDELEZ INTL INC 230 278 48 0.24% $2.80K
FISERV INC 101 121 20 0.23% $5.92K
BLACKSTONE INC 119 146 27 0.23% $3.60K
AMERICAN TOWER CORP 78 96 18 0.23% $2.13K
KLA CORP 23 27 4 0.23% $5.49K
GILEAD SCIENCES INC 211 257 46 0.23% $1.73K
PALO ALTO NETWORKS INC 52 66 14 0.23% $3.42K
SYNOPSYS INC 25 31 6 0.22% $4.84K
WASTE MANAGEMENT INC 68 83 15 0.21% $5.51K
CADENCE DESIGN SYSTEMS INC 45 55 10 0.21% $4.86K
TARGET CORP 78 95 17 0.20% $5.73K
SHERWIN WILLIAMS CO 39 48 9 0.20% $4.51K
ILLINOIS TOOL WORKS INC 50 61 11 0.20% $3.27K
INTERCONTINENTAL EXCHANGE INC 96 117 21 0.20% $3.75K
CME GROUP INC CL A 60 74 14 0.19% $3.30K
ZOETIS INC CL A 77 94 17 0.19% $708
T-MOBILE US INC 77 97 20 0.19% $3.49K
EQUINIX INC 15 19 4 0.19% $3.60K
COLGATE-PALMOLIVE CO 139 170 31 0.19% $4.23K
ARISTA NETWORKS INC 42 52 10 0.18% $5.19K
CSX CORP 334 404 70 0.18% $3.40K
CROWDSTRIKE HOLDINGS INC 37 46 9 0.18% $5.30K
PAYPAL HOLDINGS 181 220 39 0.18% $3.62K
BECTON DICKINSON and CO 48 59 11 0.18% $2.90K
MOODYS CORP 30 37 7 0.18% $2.83K
CHIPOTLE MEXICAN GRILL INC 4 5 1 0.18% $5.39K
MCKESSON CORP 22 27 5 0.18% $4.31K
PARKER HANNIFIN CORP 21 26 5 0.18% $4.78K
US BANCORP DEL 263 322 59 0.17% $3.01K
AIRBNB INC CLASS A 69 85 16 0.17% $4.63K
TRANE TECHNOLOGIES PLC 38 46 8 0.17% $4.54K
FREEPORT MCMORAN INC 239 292 53 0.17% $3.56K
FEDEX CORP 39 47 8 0.17% $3.75K
O'REILLY AUTOMOTIVE INC 9 12 3 0.16% $5.00K
EMERSON ELECTRIC CO 96 117 21 0.16% $3.93K
PNC FINANCIAL SERVICES GRP INC 67 82 15 0.16% $2.88K
PACCAR INC 87 106 19 0.16% $4.64K
HCA HEALTHCARE INC 33 39 6 0.16% $4.08K
MARRIOTT INTL-A 42 50 8 0.15% $3.14K
MARVELL TECHNOLOGY INC 145 176 31 0.15% $3.73K
REPUBLIC SVCS 53 65 12 0.15% $3.70K
ROPER TECHNOLOGIES INC 18 22 4 0.15% $2.53K
3M CO 93 114 21 0.15% $1.93K
ECOLAB INC 43 52 9 0.15% $3.48K
NORFOLK SOUTHERN CORP 38 46 8 0.14% $2.74K
CINTAS CORP 14 17 3 0.14% $3.24K
EDWARDS LIFESCIENCES CORP 101 122 21 0.14% $3.96K
CAPITAL ONE FINANCIAL CORP 63 77 14 0.14% $3.20K
AUTODESK INC 36 44 8 0.14% $2.69K
WORKDAY INC CL A 34 42 8 0.14% $2.07K
ARTHUR J GALLAGHAR AND CO 36 44 8 0.13% $2.91K
AMERICAN INTERNATIONAL GROUP 118 140 22 0.13% $2.95K
WELLTOWER INC 93 117 24 0.13% $2.55K
HILTON WORLDWIDE HOLDINGS INC 42 51 9 0.13% $3.23K
DEXCOM INC 64 78 14 0.13% $2.88K
TRAVELERS COS IN 38 47 9 0.13% $3.58K
GENERAL MOTORS CO 231 238 7 0.13% $2.50K
TRUIST FINL CORP 225 275 50 0.13% $2.41K
FORD MOTOR CO 666 807 141 0.13% $2.60K
COPART INC 148 180 32 0.13% $3.17K
SIMON PROPERTY 54 66 12 0.13% $2.63K
SNOWFLAKE INC CL A 51 62 11 0.12% -$130
CARRIER GLOBAL CORP 141 172 31 0.12% $1.90K
ROSS STORES INC 56 68 12 0.12% $2.23K
DR HORTON INC 49 60 11 0.12% $2.43K
MICROCHIP TECHNOLOGY 89 109 20 0.12% $1.75K
NUCOR CORP 41 49 8 0.12% $2.56K
REALTY INCOME CORP REIT 122 178 56 0.12% $2.62K
BLOCK INC CL A 91 112 21 0.11% $2.43K
AUTOZONE INC 2 3 1 0.11% $4.28K
CROWN CASTLE INC 73 89 16 0.11% $1.01K
UNITED RENTALS INC 11 13 2 0.11% $3.07K
IQVIA HOLDINGS INC 30 37 7 0.11% $2.42K
ALLSTATE CORPORATION 44 54 10 0.11% $3.18K
PUBLIC STORAGE 26 32 6 0.11% $1.35K
METLIFE INC 105 125 20 0.11% $2.32K
CONSTELLATION BRANDS INC CL A 28 34 6 0.11% $2.47K
KRAFT HEINZ CO/T 188 250 62 0.11% $2.27K
DIGITAL REALTY TRUST INC 51 64 13 0.11% $2.35K
MONSTER BEVERAGE CORP 126 155 29 0.11% $1.93K
AFLAC INC 89 107 18 0.11% $1.84K
IDEXX LABS INC 13 17 4 0.11% $1.96K
WW GRAINGER INC 7 9 2 0.11% $3.35K
FASTENAL CO 96 118 22 0.11% $2.88K
SUPER MICRO COMPUTER INC 8 9 1 0.11% $6.82K
JOHNSON CONTROLS INTERNATIONAL PLC 114 139 25 0.11% $2.51K
COINBASE GLOBAL INC 28 34 6 0.11% $4.14K
BANK OF NEW YORK MELLON CORP 130 155 25 0.11% $2.16K
KIMBERLY CLARK CORP 57 69 12 0.11% $2.00K
FORTINET INC 108 130 22 0.11% $2.56K
FIDELITY NATL INFORM SVCS INC 100 119 19 0.11% $2.82K
AMERIPRISE FINANCIAL INC 17 20 3 0.11% $2.31K
AGILENT TECHNOLOGIES INC 49 60 11 0.11% $1.92K
PRUDENTL FINL 61 74 13 0.11% $2.36K
AMETEK INC NEW 38 47 9 0.10% $2.33K
LULULEMON ATHLETICA INC 18 22 4 0.10% -$609
CENTENE CORP 89 109 20 0.10% $1.95K
NEWMONT CORP 195 238 43 0.10% $459
LENNAR CORP CL A 41 49 8 0.10% $2.32K
MSCI INC 13 15 2 0.10% $1.05K
DOW INC 118 145 27 0.10% $1.93K
KROGER CO 121 147 26 0.10% $2.87K
CORTEVA INC 119 145 26 0.10% $2.66K
OLD DOMINION FRT 15 38 23 0.10% $2.25K
HUMANA INC 20 24 4 0.10% -$835
SYSCO CORP 85 102 17 0.10% $2.06K
CENCORA INC 28 34 6 0.10% $2.51K
CUMMINS INC 23 28 5 0.10% $2.74K
OTIS WORLDWIDE CORP 69 83 14 0.10% $2.07K
GENERAL MILLS INC 98 117 19 0.10% $1.80K
DOORDASH INC-A 45 59 14 0.10% $3.68K
PAYCHEX INC 54 66 12 0.10% $1.67K
YUM! BRANDS INC 47 58 11 0.10% $1.90K
COSTAR GROUP INC 68 83 15 0.10% $2.08K
TRADE DESK INC-A 74 91 17 0.10% $2.63K
INGERSOLL RAND INC 68 83 15 0.10% $2.62K
QUANTA SVCS INC 24 29 5 0.09% $2.36K
COGNIZANT TECH SOLUTIONS CL A 84 102 18 0.09% $1.13K
ESTEE LAUDER COS INC CL A 39 48 9 0.09% $1.70K
VULCAN MATERIALS CO 22 27 5 0.09% $2.37K
MARTIN MAR MTLS 10 12 2 0.09% $2.38K
GE HEALTHCARE TECHNOLOGIES INC WI 66 81 15 0.09% $2.26K
MODERNA INC 56 69 13 0.09% $1.78K
GARTNER INC 12 15 3 0.09% $1.74K
DOLLAR GENERAL CORP 37 45 8 0.09% $1.99K
PPG INDUSTRIES INC 39 48 9 0.08% $1.12K
VEEVA SYSTEMS-A 22 30 8 0.08% $2.72K
GLOBAL PAYMENTS INC 43 52 9 0.08% $1.49K
DATADOG INC CL A 45 56 11 0.08% $1.46K
CDW CORPORATION 22 27 5 0.08% $1.91K
VERISK ANALYTICS INC 24 29 5 0.08% $1.10K
ROCKWELL AUTOMATION INC 19 23 4 0.08% $801
EQUIFAX INC 20 25 5 0.08% $1.74K
DISCOVER FIN SVCS 42 51 9 0.08% $1.96K
ROYAL CARIBBEAN CRUISES LTD 39 48 9 0.08% $1.62K
ELECTRONIC ARTS INC 41 50 9 0.08% $1.02K
DUPONT DE NEMOURS INC 72 86 14 0.08% $1.05K
VICI PROPERTIES 172 215 43 0.08% $921
ON SEMICONDUCTOR CORP 72 87 15 0.08% $385
XYLEM INC 40 49 9 0.08% $1.76K
EXTRA SPACE STORAGE INC 35 43 8 0.08% $709
DELTA AIR LI 108 132 24 0.08% $1.97K
HARTFORD INSURANCE GROUP INC/THE 50 61 11 0.08% $2.27K
HUBSPOT INC 8 10 2 0.08% $1.62K
KEURIG DR PEPPER INC 168 204 36 0.08% $659
BIOGEN INC 24 29 5 0.08% $43
FAIR ISAAC CORP 4 5 1 0.08% $1.59K
ATLASSIAN CORP PLC CLS A 26 32 6 0.08% $59
FORTIVE CORP 59 72 13 0.08% $1.85K
HP INC 167 202 35 0.07% $1.08K
MONOLITHIC POWER SYS INC 7 9 2 0.07% $1.68K
VERTIV HOLDINGS CO 59 74 15 0.07% $3.21K
CBRE GROUP INC - CL A 50 62 12 0.07% $1.37K
DOLLAR TREE INC 34 45 11 0.07% $1.16K
RESMED INC 24 30 6 0.07% $1.81K
WEST PHARMACEUTICAL SVCS INC 12 15 3 0.07% $1.71K
ANSYS INC 14 17 3 0.07% $821
HERSHEY CO/THE 25 30 5 0.07% $1.17K
CHARTER COMMUNICATIONS INC A 17 20 3 0.07% -$795
CLOUDFLARE INC-A 49 60 11 0.07% $1.73K
TRACTOR SUPPLY CO. 18 22 4 0.07% $1.89K
HOWMET AEROSPACE INC 69 84 15 0.07% $2.01K
CARDINAL HEALTH INC 41 50 9 0.07% $1.46K
EBAY INC 87 106 19 0.07% $1.80K
ZIMMER BIOMET HO 35 42 7 0.07% $1.28K
T ROWE PRICE GRP 37 45 8 0.07% $1.50K
DELL TECHNOLOGIES INC CL C 44 48 4 0.07% $2.11K
KEYSIGHT TECHNOLOGIES INC 29 35 6 0.07% $860
LYONDELLBASELL INDS CLASS A 43 53 10 0.07% $1.33K
WEYERHAEUSER CO 123 150 27 0.07% $1.11K
AVALONBAY COMMUNITIES INC REIT 23 29 6 0.07% $1.08K
METTLER-TOLEDO INTL INC 3 4 1 0.06% $1.69K
WESTINGHOUSE AIR BRAKE TECH CORP 30 36 6 0.06% $1.44K
CORNING INC 130 159 29 0.06% $1.28K
ULTA BEAUTY INC 8 10 2 0.06% $1.31K
CHURCH & DWIGHT 41 50 9 0.06% $1.34K
FIFTH THIRD BANCORP 114 140 26 0.06% $1.28K
PULTEGROUP INC 36 43 7 0.06% $1.47K
MONGODB INC CL A 11 14 3 0.06% $524
RAYMOND JAMES FINANCIAL INC. 31 39 8 0.06% $1.55K
BUILDERS FIRSTSOURCE 20 24 4 0.06% $1.67K
DOVER CORP 23 28 5 0.06% $1.42K
M&T BANK CORP 28 34 6 0.06% $1.11K
BROADRIDGE FINL 19 24 5 0.06% $1.01K
AMERICAN WATER WRKS COMPANY 32 40 8 0.06% $665
EQUITY RESIDENTIAL REIT 63 77 14 0.06% $1.01K
IRON MOUNTAIN INC 49 60 11 0.06% $1.38K
STATE STREET CORP 52 62 10 0.06% $766
SBA COMMUNICATIONS CORP 18 22 4 0.06% $201
TAKE-TWO INTERACTV SOFTWR INC 26 32 6 0.06% $567
HEWLETT PACKARD ENTERPRISE CO 216 268 52 0.06% $1.08K
DECKERS OUTDOOR CORP 4 5 1 0.06% $2.03K
NASDAQ INC 67 73 6 0.06% $711
ALIGN TECHNOLOGY INC 12 14 2 0.06% $1.30K
HUBBELL INC 9 11 2 0.06% $1.61K
PTC INC 20 24 4 0.06% $1.04K
MOLINA HEALTHCARE INC 9 11 2 0.05% $1.27K
ALEXANDRIA REAL ES EQ INC REIT 29 35 6 0.05% $836
WESTERN DIGITAL CORP 54 66 12 0.05% $1.68K
STERIS PLC 16 20 4 0.05% $979
INVITATION HOMES INC 103 126 23 0.05% $974
STEEL DYNAMICS INC 25 30 5 0.05% $1.49K
BAXTER INTL INC 85 104 19 0.05% $1.16K
NETAPP INC 34 42 8 0.05% $1.41K
ILLUMINA INC 26 32 6 0.05% $774
LAS VEGAS SANDS CORP 55 84 29 0.05% $1.64K
GENUINE PARTS CO 23 28 5 0.05% $1.15K
BROWN & BROWN 40 49 9 0.05% $1.45K
ARES MANAGEMENT CORP CL A 26 32 6 0.05% $1.16K
DRAFTKINGS INC 75 93 18 0.05% $1.58K
ENTEGRIS INC 25 30 5 0.05% $1.22K
PINTEREST INC CL A 97 121 24 0.05% $602
PRINCIPAL FINL GROUP INC 40 48 8 0.05% $996
WATERS CORP 10 12 2 0.05% $838
HUNTINGTON BANCSHARES INC 242 296 54 0.05% $1.05K
INTL FLVR & FRAG 38 47 9 0.05% $965
DARDEN RESTAURANTS INC 20 24 4 0.05% $726

Top 300 of 396, by weight.

Security Shares Dec 2023 Shares Mar 2024 Δ shares End % Δ value
U.S. Bank Money Market Deposit Account 421,688 182,531 -239,157 2.22% -$239.16K
WR BERKLEY CORP 107 41 -66 0.04% -$3.94K
Security Shares Dec 2023 Shares Mar 2024 Δ shares End % Δ value
MARKEL GROUP INC 2 2 0 0.04% $203
FIRST REPUBLIC BANK 26 26 0 0.00% -$0
SVB FINL GROUP 7 7 0 0.00% $0

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