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.
Jun 30, 2024 → Sep 30, 2024
Expand a category to
see the positions behind it, ranked by weight.
Security
Shares Jun 2024
Shares Sep 2024
Δ shares
End %
Δ value
EQUITABLE HOLDINGS INC
0
6,262
6,262
0.31%
$263.19K
ENCOMPASS HEALTH CORP
0
2,696
2,696
0.31%
$260.54K
AMERIPRISE FINANCIAL INC
0
445
445
0.25%
$209.07K
INSIGHT ENTERPRISES INC
0
942
942
0.24%
$202.90K
TE CONNECTIVITY PLC
0
1,327
1,327
0.24%
$200.36K
CURTISS WRIGHT CORPORATION
0
599
599
0.23%
$196.89K
MEDPACE HOLDINGS INC
0
519
519
0.20%
$173.24K
COLUMBIA SPORTSWEAR CO
0
1,907
1,907
0.19%
$158.64K
ACI WORLDWIDE INC
0
3,105
3,105
0.19%
$158.04K
DT MIDSTREAM INC
0
1,832
1,832
0.17%
$144.11K
GRAND CANYON EDUCATION INC
0
1,005
1,005
0.17%
$142.56K
AMPHENOL CORPORATION CL A
0
2,119
2,119
0.16%
$138.07K
AKAMAI TECHNOLOGIES INC
0
1,361
1,361
0.16%
$137.39K
ARCH CAPITAL GROUP LTD
0
1,102
1,102
0.15%
$123.29K
ABERCROMBIE & FI
0
878
878
0.15%
$122.83K
LOUISIANA PACIFIC CORP
0
1,064
1,064
0.14%
$114.34K
HCA HEALTHCARE INC
0
264
264
0.13%
$107.30K
RALPH LAUREN CORP
0
547
547
0.13%
$106.05K
SCOTTS MIRACLE GRO CO
0
1,206
1,206
0.12%
$104.56K
PAYCOM SOFTWARE INC
0
367
367
0.07%
$61.13K
RB GLOBAL INC
0
702
702
0.07%
$56.50K
AMERICAN HOMES-A
0
1,466
1,466
0.07%
$56.28K
Security
Shares Jun 2024
Shares Sep 2024
Δ shares
End %
Δ value
INTERACTIVE BROKERS GROUP INC
2,054
0
-2,054
0.00%
-$251.82K
TEREX CORP
3,948
0
-3,948
0.00%
-$216.51K
TIMKEN CO
2,636
0
-2,636
0.00%
-$211.22K
MSC INDUSTRIAL DIRECT CO CL A
2,590
0
-2,590
0.00%
-$205.41K
MURPHY USA INC
417
0
-417
0.00%
-$195.76K
DOMINOS PIZZA INC
370
0
-370
0.00%
-$191.04K
MARATHON PETROLEUM CORP
1,098
0
-1,098
0.00%
-$190.48K
MERITAGE HOMES CORP
1,101
0
-1,101
0.00%
-$178.20K
BUILDERS FIRSTSOURCE
1,170
0
-1,170
0.00%
-$161.94K
YUM! BRANDS INC
1,043
0
-1,043
0.00%
-$138.16K
CNX RESOURCES CORP
5,242
0
-5,242
0.00%
-$127.38K
ANTERO MIDSTREAM CORP
8,084
0
-8,084
0.00%
-$119.16K
TARGA RESOURCES CORP
924
0
-924
0.00%
-$118.99K
FORTUNE BRANDS INNOVATIONS INC
1,773
0
-1,773
0.00%
-$115.14K
METTLER-TOLEDO INTL INC
82
0
-82
0.00%
-$114.60K
MOLINA HEALTHCARE INC
379
0
-379
0.00%
-$112.68K
SM ENERGY CO
2,260
0
-2,260
0.00%
-$97.70K
OVINTIV INC
1,905
0
-1,905
0.00%
-$89.29K
APPFOLIO INC - A
362
0
-362
0.00%
-$88.53K
ILLINOIS TOOL WORKS INC
348
0
-348
0.00%
-$82.46K
CF INDUSTRIES HOLDINGS INC
1,089
0
-1,089
0.00%
-$80.72K
COCA COLA CONSOLIDATED INC
64
0
-64
0.00%
-$69.44K
AAON INC
783
0
-783
0.00%
-$68.31K
ARISTA NETWORKS INC
193
0
-193
0.00%
-$67.64K
AUTODESK INC
266
0
-266
0.00%
-$65.82K
ELF BEAUTY INC
312
0
-312
0.00%
-$65.74K
MONOLITHIC POWER SYS INC
78
0
-78
0.00%
-$64.09K
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC
573
0
-573
0.00%
-$63.87K
WEATHERFORD INTERNATIONAL PLC
517
0
-517
0.00%
-$63.31K
AUTOZONE INC
21
0
-21
0.00%
-$62.25K
RAMBUS INC
1,031
0
-1,031
0.00%
-$60.58K
LAS VEGAS SANDS CORP
1,324
0
-1,324
0.00%
-$58.59K
CARLYLE GROUP INC (THE)
1,457
0
-1,457
0.00%
-$58.50K
ONTO INNOVATION INC
265
0
-265
0.00%
-$58.18K
ERIE INDEMNITY CO CL A
160
0
-160
0.00%
-$57.98K
WW GRAINGER INC
64
0
-64
0.00%
-$57.74K
SMITH (AO) CORP
703
0
-703
0.00%
-$57.49K
CELSIUS HOLDINGS INC
996
0
-996
0.00%
-$56.86K
IPG PHOTONICS CORP
673
0
-673
0.00%
-$56.79K
VERISIGN INC
319
0
-319
0.00%
-$56.72K
CHART INDUSTRIES INC
391
0
-391
0.00%
-$56.44K
WEX INC
317
0
-317
0.00%
-$56.15K
DR HORTON INC
398
0
-398
0.00%
-$56.09K
MICROCHIP TECHNOLOGY
610
0
-610
0.00%
-$55.82K
WYNN RESORTS LTD
619
0
-619
0.00%
-$55.40K
JABIL INC
503
0
-503
0.00%
-$54.72K
ON SEMICONDUCTOR CORP
792
0
-792
0.00%
-$54.29K
BRUNSWICK CORP
741
0
-741
0.00%
-$53.92K
LATTICE SEMICONDUCTOR CORP
912
0
-912
0.00%
-$52.89K
ETSY INC
887
0
-887
0.00%
-$52.32K
CROWN HOLDINGS INC
700
0
-700
0.00%
-$52.07K
TREX CO INC
692
0
-692
0.00%
-$51.29K
YETI HOLDINGS INC
1,341
0
-1,341
0.00%
-$51.16K
CASEY'S GENERAL
132
0
-132
0.00%
-$50.37K
BIOMARIN PHARMACEUTICAL INC
462
0
-462
0.00%
-$38.04K
ZCS BRL 14.0087 05/12/25-01/04/27 CME
5
0
-5
0.00%
$6.22K
Security
Shares Jun 2024
Shares Sep 2024
Δ shares
End %
Δ value
Dreyfus Treasury Securities Cash Management Fund - Institutional Shares
907,088
4,904,107
3,997,019
5.80%
$4.00M
Guggenheim Ultra Short Duration Fund - Institutional Class