SAPCX
ClearBridge Appreciation Fund
Legg Mason Partners Investment Trust

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.

Jan 30, 2026 → Apr 30, 2026

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

Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
TEXAS INSTRUMENTS INC 0 302,653 302,653 0.88% $85.07M
ROBLOX CORP - A 0 419,733 419,733 0.24% $23.19M
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
AMPHENOL CORPORATION CL A 632,974 0 -632,974 0.00% -$91.20M
MCCORMICK-N/V 1,358,646 0 -1,358,646 0.00% -$84.01M
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
NVIDIA CORP 3,683,648 4,249,042 565,394 8.74% $143.93M
ALPHABET INC CL A 1,589,852 1,700,873 111,021 6.74% $117.13M
AMAZON.COM INC 1,267,571 1,362,387 94,816 3.72% $57.78M
NETFLIX INC 2,305,012 2,931,231 626,219 2.83% $81.95M
VISA INC-CLASS A 453,005 540,515 87,510 1.84% $32.49M
VULCAN MATERIALS CO 459,193 522,589 63,396 1.62% $19.68M
Western Asset Premier Institutional US Treasury Reserves 72,818,664 155,727,576 82,908,911 1.60% $82.91M
JPMorgan 100% U.S. Treasury Securities Money Market Fund, Class L 72,818,664 155,727,575 82,908,912 1.60% $82.91M
PROCTER & GAMBLE 998,183 1,051,119 52,936 1.59% $3.11M
BOEING CO/THE 560,250 626,028 65,778 1.48% $12.44M
HONEYWELL INTL INC 490,947 545,298 54,351 1.20% $5.17M
ARISTA NETWORKS INC 542,090 644,959 102,869 1.15% $34.56M
MARSH & MCLENNAN 353,018 474,837 121,819 0.82% $13.20M
L3HARRIS TECHNOLOGIES INC 160,627 207,305 46,678 0.68% $11.38M
FERGUSON ENTERPRISES INC 199,078 241,765 42,687 0.67% $14.46M
EQT CORPORATION 849,619 1,069,218 219,599 0.66% $15.19M
WEC ENERGY GROUP INC 399,598 485,214 85,616 0.59% $13.00M
BJS WHSL CLUB HLDGS INC 436,448 543,352 106,904 0.53% $10.67M
BOSTON SCIENTIFIC CORP 672,417 882,587 210,170 0.52% -$12.05M
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
APPLE INC 1,721,617 1,716,858 -4,759 4.80% $19.14M
MICROSOFT CORP 1,587,781 1,055,314 -532,467 4.43% -$252.87M
BROADCOM INC 945,122 830,867 -114,255 3.57% $33.71M
JPMORGAN CHASE and CO 825,271 822,973 -2,298 2.66% $5.34M
EATON CORP PLC 516,102 514,653 -1,449 2.30% $41.48M
LILLY ELI and CO 232,946 232,274 -672 2.24% -$24.52M
JOHNSON&JOHNSON 883,985 881,526 -2,459 2.09% $1.73M
WALMART INC 1,687,954 1,507,469 -180,485 2.05% -$2.22M
TJX COS INC 1,257,006 1,253,521 -3,485 2.02% $8.18M
ALPHABET INC CL C 494,241 493,529 -712 1.94% $21.18M
ASML HOLDING-NY 168,411 130,085 -38,326 1.93% -$52.46M
META PLATFORMS INC CL A 487,591 290,883 -196,708 1.83% -$171.36M
TRAVELERS COS IN 560,635 559,063 -1,572 1.76% $11.09M
EXXON MOBIL CORP 1,056,876 1,053,941 -2,935 1.68% $13.21M
LINDE PLC 319,431 318,522 -909 1.64% $13.65M
BANK OF AMERICA CORPORATION 4,091,797 2,880,536 -1,211,261 1.59% -$63.69M
WASTE MANAGEMENT INC 609,881 608,174 -1,707 1.46% $5.89M
RTX CORP 756,727 754,617 -2,110 1.37% -$19.18M
ENTERGY CORP 1,119,866 1,116,757 -3,109 1.36% $24.29M
THERMO FISHER SCIENTIFIC INC 261,140 260,391 -749 1.28% -$26.38M
EMERSON ELECTRIC CO 832,730 830,410 -2,320 1.20% -$5.76M
COCA-COLA CO/THE 1,462,022 1,457,974 -4,048 1.18% $5.46M
ASM INTERNATIONAL NV REG SHS ADR 103,684 103,367 -317 1.04% $14.04M
STRYKER CORP 281,548 280,742 -806 0.91% -$15.58M
WALT DISNEY CO/T 850,988 848,617 -2,371 0.91% -$7.95M
KINDER MORGAN INC 2,656,339 2,649,010 -7,329 0.90% $6.08M
CHEVRON CORP 410,769 409,609 -1,160 0.82% $6.52M
INTERCONTINENTAL EXCHANGE INC 627,470 486,709 -140,761 0.79% -$32.10M
AMERICAN TOWER CORP 404,736 403,593 -1,143 0.76% $1.18M
ECOLAB INC 261,507 260,757 -750 0.70% -$5.79M
TESLA INC 233,268 174,780 -58,488 0.69% -$33.70M
T-MOBILE US INC 341,163 340,194 -969 0.69% -$772.83K
UNION PACIFIC CORP 240,989 240,296 -693 0.67% $8.10M
PALO ALTO NETWORKS INC 484,686 350,556 -134,130 0.65% -$22.91M
SHERWIN WILLIAMS CO 194,958 194,390 -568 0.64% -$6.62M
AUTOMATIC DATA PROCESSING INC 295,376 294,533 -843 0.64% -$10.48M
CME GROUP INC CL A 162,043 161,566 -477 0.48% -$338.22K
ABBVIE INC 459,133 190,898 -268,235 0.42% -$62.05M
INTL PAPER CO 1,109,118 739,754 -369,364 0.23% -$22.22M
SOLSTICE ADV MAT 168,606 168,110 -496 0.14% $3.36M
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
BERKSHIRE HATHAWAY INC CL A 252 252 0 1.85% -$2.67M

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