SGISX
Steward Global Equity Income Fund
Steward Funds Inc

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.

Oct 31, 2025 → Jan 30, 2026

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

Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
DELL TECHNOLOGIES INC CL C 0 41,022 41,022 1.03% $4.69M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
AVNET INC 102,961 0 -102,961 0.00% -$4.99M
INTERPUBLIC GRP 155,276 0 -155,276 0.00% -$3.98M
NT-INST TRSR-PRM 831,738 0 -831,738 0.00% -$831.74K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
OMNICOM GROUP INC 50,906 102,580 51,674 1.73% $4.08M
RAYONIER INC REIT 170,111 175,468 5,357 0.87% $235.79K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
TAIWAN SEMIC MFG CO LTD SP ADR 63,280 62,224 -1,056 4.49% $1.56M
BROADCOM INC 43,778 43,047 -731 3.11% -$1.92M
Lloyds Banking Group plc Sponsored ADR 1,980,584 1,954,799 -25,785 2.55% $2.34M
COMMSTCK 464,174 456,429 -7,745 2.53% $2.26M
GAP INC/THE 410,271 403,426 -6,845 2.46% $1.91M
SIGNET JEWELERS 122,382 120,341 -2,041 2.42% -$993.60K
INTL BUS MACH CORP 36,281 35,675 -606 2.39% -$211.62K
MCDONALDS CORP 33,358 32,801 -557 2.26% $377.29K
GILEAD SCIENCES INC 71,063 69,877 -1,186 2.17% $1.41M
HSBC HOLDINGS PLC SPONS ADR 113,565 111,670 -1,895 2.15% $1.87M
ANALOG DEVICES INC 31,198 30,677 -521 2.08% $2.23M
THE CIGNA GROUP 32,585 32,041 -544 1.92% $818.66K
COCA COLA FEMSA S A B SPON ADR REP L 83,066 81,681 -1,385 1.86% $1.38M
SUNCOR ENERGY INC 157,462 154,835 -2,627 1.79% $1.93M
ZTO Express (Cayman) Inc. SPONSORED ADS A 378,672 373,742 -4,930 1.79% $1.16M
CISCO SYSTEMS INC 105,424 103,666 -1,758 1.77% $411.57K
TE CONNECTIVITY 36,255 35,650 -605 1.73% -$1.01M
JOHNSON CONTROLS 66,616 65,505 -1,111 1.71% $191.92K
Tim S A SPONSORED ADR 336,059 330,452 -5,607 1.68% $107.96K
TORONTO-DOMINION BANK 83,664 82,268 -1,396 1.68% $819.91K
CAN IMPL BK COMM 84,078 82,675 -1,403 1.67% $670.80K
Infosys Ltd. SPONSORED ADR 429,561 423,969 -5,592 1.63% $335.55K
SYSCO CORP 89,993 88,492 -1,501 1.62% $735.37K
CAN NATURAL RES 201,369 198,009 -3,360 1.61% $920.08K
COCA-COLA CO/THE 98,582 96,937 -1,645 1.58% $459.56K
US BANCORP DEL 128,947 126,795 -2,152 1.55% $1.10M
ROYAL BANK OF CANADA 43,326 42,603 -723 1.55% $734.64K
TANGER INC- REIT 213,328 209,769 -3,559 1.50% -$82.32K
REGIONS FINANCIAL CORP 242,829 238,777 -4,052 1.49% $928.68K
FORTIS INC 129,073 126,920 -2,153 1.48% $285.31K
ABBOTT LABS 62,468 61,426 -1,042 1.47% -$1.01M
MINISO Group Holding Ltd. SPONSORED ADS 365,512 359,414 -6,098 1.45% -$1.15M
SNAP-ON INCORPORATED 18,427 18,120 -307 1.45% $450.73K
HEWLETT PACKARD ENTERPRISE CO 313,319 308,092 -5,227 1.45% -$1.02M
NetEase Inc. SPON ADS EACH REP 25 ORD SH 51,777 50,913 -864 1.43% -$694.84K
QUALCOMM INC 42,528 41,818 -710 1.38% -$1.35M
LOGITECH INTL. SA 73,101 71,882 -1,219 1.35% -$2.64M
NXP SEMICONDUCTO 27,536 27,077 -459 1.34% $364.86K
CFD_EQS GOLDUS33 2256908 75,252 73,997 -1,255 1.32% -$277.42K
SUN LIFE FINANCI 94,864 93,282 -1,582 1.28% $107.07K
CAN NATL RAILWAY 60,686 59,674 -1,012 1.25% -$78.56K
PLDT Inc. ADR EACH REP 1 ORD SHS 255,645 252,317 -3,328 1.24% $737.87K
ACCENTURE PLC-A 21,710 21,347 -363 1.23% $198.25K
PAYCHEX INC 55,297 54,375 -922 1.22% -$863.71K
HOME DEPOT INC 15,031 14,780 -251 1.21% -$169.18K
ELEVANCE HEALTH INC 16,215 15,945 -270 1.20% $369.43K
SHELL PLC SPONS ADR 71,988 70,787 -1,201 1.19% $59.38K
BROADRIDGE FINL 27,823 27,359 -464 1.18% -$739.46K
CDW CORPORATION 43,243 42,521 -722 1.17% -$1.52M
NETAPP INC 55,791 54,860 -931 1.15% -$1.29M
GENERAL DYNAMICS CORPORATION 14,489 14,247 -242 1.09% $4.72K
WARNER MUSIC GRP CORP CL A 165,558 162,796 -2,762 1.07% -$410.61K
MEDTRONIC PLC 47,363 46,573 -790 1.05% $499.33K
Companhia Energetica De Minas Gerais SA SPN ADR REP 1 PRF (LVL 2) 2,187,541 2,159,061 -28,480 1.01% $70.02K
BANK OF NOVA SCO 63,084 62,032 -1,052 1.01% $496.72K
COGNIZANT TECH SOLUTIONS CL A 57,290 56,334 -956 1.01% $447.47K
OPEN TEXT CORP 181,599 178,570 -3,029 1.00% -$2.41M
HP INC 206,901 203,449 -3,452 0.86% -$1.77M
AIR PRODUCTS and CHEMICALS INC 13,226 13,005 -221 0.77% $335.37K
COMCAST CORP CL A 110,877 109,027 -1,850 0.71% $157.29K
GENERAL MILLS INC 59,788 58,791 -997 0.59% -$67.05K

No positions in this category.

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