SGPSX
SMALL-CAP GROWTH PROFUND
ProFunds
Index fund

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 31, 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
ARGAN INC 0 75 75 1.11% $50.25K
LYFT INC-A 0 2,155 2,155 0.67% $30.49K
VSE CORP 0 156 156 0.59% $26.78K
LAUREATE EDUCATION INC CL A 0 726 726 0.48% $21.85K
SPHERE ENTERTAINMENT CO 0 144 144 0.45% $20.51K
ATMUS FILTRATION TECHNOLOGIES INC 0 304 304 0.43% $19.27K
LIFE360 INC 0 424 424 0.40% $18.27K
PIPER SANDLER CO 0 198 198 0.38% $17.27K
LIFE TIME GROUP HOLDINGS INC 0 593 593 0.35% $15.90K
VITA COCO CO INC/THE 0 237 237 0.35% $15.64K
OneSpaWorld Holdings Ltd. COM USD0.0001 0 552 552 0.30% $13.61K
RINGCENTRAL INC CL A 0 242 242 0.22% $9.73K
DIEBOLD NIXDORF INC 0 122 122 0.21% $9.37K
US ULTRA BOND CBT Sep25 0 7,000 7,000 0.15% $7.00K
ADT INC 0 908 908 0.15% $6.84K
NAPCO SECURITY TECHNOLOGIES INC 0 127 127 0.13% $5.94K
ZOOMINFO TECHNOLOGIES INC 0 843 843 0.12% $5.27K
BROADSTONE NET LEASE INC 0 266 266 0.12% $5.27K
LIFESTANCE HEALTH GROUP INC 0 599 599 0.10% $4.53K
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
ARROWHEAD PHARMACEUTICALS INC 662 0 -662 0.00% -$45.90K
MOOG INC-CLASS A 136 0 -136 0.00% -$41.53K
INTERDIGITAL INC 124 0 -124 0.00% -$40.48K
CARETRUST REIT INC 1,072 0 -1,072 0.00% -$40.03K
SITIME CORP 104 0 -104 0.00% -$37.76K
SOLSTICE ADV MAT 402 0 -402 0.00% -$24.83K
AIR LEASE CORP CL A 287 0 -287 0.00% -$18.55K
DIGITALOCEAN HOLDINGS INC 329 0 -329 0.00% -$18.18K
SEALED AIR CORP 425 0 -425 0.00% -$17.80K
VICOR CORPORATION 109 0 -109 0.00% -$17.19K
PIPER SANDLER COS 44 0 -44 0.00% -$15.24K
CLEARWAY ENERGY INC 166 0 -166 0.00% -$5.61K
ALEXANDER & BALD 169 0 -169 0.00% -$3.51K
MYRIAD GENETICS INC 193 0 -193 0.00% -$1.08K
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
VIAVI SOLUTIONS INC 1,072 1,252 180 1.45% $39.38K
SANMINA CORP 263 296 33 1.42% $27.21K
FORMFACTOR INC 374 420 46 1.26% $30.73K
PRIMORIS SVCS CORP 259 292 33 1.17% $14.50K
VIASAT INC 651 735 84 1.07% $19.04K
ESCO TECHNOLOGIES INC 125 140 15 1.00% $16.83K
POWELL INDUSTRIES INC 46 154 108 0.94% $22.29K
ZURN ELKAY WATER SOLUTIONS CORP 715 803 88 0.92% $8.76K
EVERUS CONSTRUCTION GROUP INC 243 276 33 0.90% $19.19K
FED SIGNAL CORP 291 329 38 0.89% $9.06K
STONEX GROUP INC 224 379 155 0.89% $15.04K
ARMSTRONG WORLD INDUSTRIES INC 207 233 26 0.88% $1.67K
SEMTECH CORP 291 351 60 0.81% $13.67K
ARCHROCK INC 844 949 105 0.81% $11.80K
KRYSTAL BIOTECH INC 125 140 15 0.81% $1.81K
BRINKER INTL 214 236 22 0.79% $2.18K
RYMAN HOSPITALITY PPTYS INC 303 341 38 0.79% $7.14K
INSTALLED BUILDING PRODUCTS INC 108 123 15 0.78% $4.37K
ETSY INC 472 534 62 0.76% $9.36K
BRIGHTSPRING HEALTH SERVICES INC 545 716 171 0.76% $12.94K
MYR GROUP INC/DELAWARE 75 84 9 0.75% $15.25K
ENPRO INDUSTRIES INC 100 114 14 0.73% $9.36K
MADISON SQUARE GARDEN SPORTS CORP 86 97 11 0.73% $8.83K
JOHN BEAN TECHNOLOGIES CORP 248 281 33 0.73% -$5.83K
GRANITE CONSTRUCTION INC 210 235 25 0.71% $6.86K
PROTAGONIST THERAPEUTICS INC 281 318 37 0.70% $8.49K
GLAUKOS CORP 191 214 23 0.68% $7.94K
KODIAK GAS SERVICES INC 398 450 52 0.67% $13.79K
ALKERMES PLC 792 894 102 0.67% $3.30K
AXOS FINANCIAL INC 273 307 34 0.65% $2.58K
PTC THERAPEUTICS INC 387 435 48 0.63% -$929
BOOT BARN HOLDINGS INC 145 165 20 0.62% $2.41K
QORVO INC 253 288 35 0.60% $7.37K
CASELLA WASTE SYS INC CL A 300 338 38 0.59% -$3.48K
FRONTDOOR INC 346 390 44 0.59% $6.31K
ELEMENT SOLUTIONS INC 546 616 70 0.58% $10.35K
MIRION TECHNOLOGIES INC-A 1,191 1,324 133 0.58% -$3.44K
SENSIENT TECHNOLOGIES CORP 205 230 25 0.58% $6.76K
CLEARWAY ENERGY INC CL C 406 647 241 0.58% $11.44K
TERRENO REALTY CORP 347 395 48 0.57% $4.40K
CLEAR SECURE INC 427 480 53 0.57% $11.70K
INDIVIOR PHARMACEUTICALS INC 599 676 77 0.55% $3.67K
TG THERAPEUTICS INC 654 736 82 0.55% $5.61K
LIGAND PHARMACEUTICALS 92 106 14 0.54% $6.65K
OSI SYSTEMS INC 77 84 7 0.53% $4.84K
ESSENTIAL PROPERTIES REALTY TRUST INC 638 761 123 0.53% $4.55K
CORCEPT THERAPEUTICS INC 450 507 57 0.52% $5.64K
AAR CORP 188 211 23 0.51% $3.38K
AZZ INC 144 162 18 0.51% $5.27K
APELLIS PHARMACEUTICALS INC 490 555 65 0.50% $11.66K
ENOVA INTL INC 120 134 14 0.50% $2.88K
MERCURY SYSTEMS INC 253 286 33 0.50% -$1.18K
SHAKE SHACK INC - CLASS A 195 218 23 0.49% $5.07K
TIDEWATER INC 223 249 26 0.49% $8.31K
COVISTA INC 174 187 13 0.48% $3.53K
ARCOSA INC 150 170 20 0.47% $4.33K
PRICESMART INC 121 137 16 0.47% $4.29K
VIRTU FINANCIAL INC- CL A 384 432 48 0.47% $5.51K
CAVCO INDUSTRIES INC 39 42 3 0.47% $2.11K
IMPINJ INC 129 146 17 0.47% $3.34K
STEPSTONE GROUP INC CLASS A 350 399 49 0.47% -$3.63K
URBAN OUTFITTERS 258 291 33 0.45% $2.19K
LUMEN TECHNOLOGIES INC 2,038 2,298 260 0.45% $2.34K
PJT PARTNERS INC 117 132 15 0.45% -$83
BADGER METER INC 142 160 18 0.43% -$1.47K
BRADY CORPORATION CL A 209 236 27 0.43% $1.24K
GATES INDUSTRIAL 668 742 74 0.42% $3.63K
ADEIA INC 525 593 68 0.42% $9.39K
CAL-MAINE FOODS INC 218 242 24 0.41% $487
TRANSMEDICS GROUP INC 164 185 21 0.41% -$3.33K
NOBLE CORP PLC 319 361 42 0.41% $7.06K
INTERNATIONAL SE 195 219 24 0.40% $6.53K
OPENLANE INC 511 575 64 0.40% $2.73K
STANDEX INTL CORP 58 66 8 0.40% $4.10K
CATALYST PHARMACEUTICALS INC 554 626 72 0.39% $4.15K
RESIDEO TECHNOLOGIES INC 369 417 48 0.38% $4.61K
PALOMAR HOLDINGS 127 143 16 0.38% $1.52K
MARKETAXESS HLDGS INC 93 109 16 0.38% $1.40K
DORMAN PRODUCTS INC 133 151 18 0.38% $470
AMERIS BANCORP 174 198 24 0.37% $2.85K
BALCHEM CORP 91 103 12 0.37% $1.16K
OUTFRONT MEDIA INC 474 535 61 0.36% $4.98K
PLEXUS CORP 56 64 8 0.35% $4.87K
SUNRUN INC 1,114 1,256 142 0.35% -$5.18K
NMI HOLDINGS INC A 368 412 44 0.35% $1.70K
ACI WORLDWIDE INC 326 368 42 0.35% $1.77K
PHILLIPS EDISON and CO INC 351 395 44 0.35% $3.15K
MACERICH COMPANY 640 721 81 0.35% $3.55K
PRIVIA HEALTH GROUP INC 555 626 71 0.34% $2.67K
MUELLER WATER PRODUCTS INC A 489 550 61 0.34% $2.10K
TANGER INC- REIT 365 411 46 0.34% $3.30K
ACADIA PHARMACEUTICALS INC 601 678 77 0.34% $118
CHEFS WAREHOUSE INC 173 196 23 0.34% $4.33K
CSW INDUSTRI INC 48 52 4 0.33% $2.18K
MILLROSE PROPERTIES INC 437 492 55 0.33% $2.07K
ACM RESEARCH INC-CLASS A 256 288 32 0.33% $8
MOELIS & CO-CL A 204 228 24 0.33% $227
AXCELIS TECHNOLOGIES INC 92 106 14 0.33% $6.64K
CURBLINE PROPERTIES CORP 467 525 58 0.32% $3.17K
ACUSHNET HOLDINGS CORP 132 149 17 0.32% $1.63K
RALLIANT CORP 281 317 36 0.32% -$480
CALIX NETWORKS INC 289 326 37 0.31% $1.29K
RED ROCK RESORTS INC 234 263 29 0.31% -$581
VERACYTE INC 381 428 47 0.31% -$419
MERCURY GENERAL CORP 128 144 16 0.31% $2.80K
ST JOE COMPANY 193 216 23 0.31% $1.17K
MERIT MEDICAL SYSTEMS INC 180 202 22 0.30% -$824
BANCORP INC/THE 211 229 18 0.30% $1.16K
RADNET INC 214 241 27 0.30% -$1.37K
IRIDIUM COMMUNICATIONS INC 305 347 42 0.30% $7.48K
MARATHON DIGITAL HOLDINGS INC 998 1,126 128 0.30% $4.02K
MAXLINEAR INC 170 189 19 0.30% $10.42K
ITRON INC 142 159 17 0.29% -$745
WAYSTAR HOLDING CORP 550 621 71 0.29% -$1.33K
ADMA BIOLOGICS INC 1,143 1,288 145 0.29% -$6.57K
SIRIUSPOINT LTD 499 563 64 0.29% $3.00K
RADIAN GROUP INC 324 367 43 0.29% $2.49K
VICTORY CAPITAL HOLDINGS INC CL A 150 167 17 0.29% $2.53K
CACTUS INC CL A 209 235 26 0.29% $1.34K
BGC GROUP INC-A 1,017 1,160 143 0.29% $3.76K
VERRA MOBILITY CORP 768 864 96 0.28% -$2.01K
HAWKINS INC 68 76 8 0.28% $3.87K
HA SUSTAINABLE INFRASTRUCTURE CAPITAL INC 260 297 37 0.28% $3.51K
LEMAITRE VASCULAR INC 98 113 15 0.27% $4.07K
BOX INC- CLASS A 453 504 51 0.27% $713
OCEANEERING INTL 281 319 38 0.26% $3.52K
FIRST BANCORP PUERTO RICO 436 488 52 0.26% $2.20K
DXP ENTERPRISES INC 62 69 7 0.26% $3.72K
CSG SYSTEMS INTL INC 131 146 15 0.26% $1.29K
NATL HEALTHCARE 60 67 7 0.26% $3.02K
WILLSCOT MOBILE MINI HOLDINGS CORP 456 512 56 0.26% $2.46K
UNITI GROUP INC 862 970 108 0.25% $4.30K
DIGI INTL INC 178 204 26 0.25% $3.77K
FRANKLIN ELECTRIC CO. INC. 100 114 14 0.25% $1.46K
GRIFFON CORP 110 125 15 0.25% $2.44K
MATERION CORP 55 62 7 0.25% $3.79K
FRESHPET INC 148 166 18 0.25% $869
SKYWEST INC 120 135 15 0.24% -$496
WSFS FINANCIAL CORP 139 153 14 0.24% $2.01K
NCR ATLEOS CORP 220 248 28 0.24% $2.80K
WARRIOR MET COAL INC 108 122 14 0.24% $1.32K
KONTOOR BRANDS INC 132 149 17 0.24% $3.05K
DANA INC 274 298 24 0.24% $2.94K
SERVISFIRST BANCSHARES INC 121 136 15 0.24% $924
Q2 HOLDINGS INC 190 213 23 0.24% -$828
HELMERICH & PAYN 236 265 29 0.24% $2.71K
ARMOUR RESIDENTIAL REIT INC 537 606 69 0.23% $1.29K
WISDOMTREE INVESTMENTS INC 552 622 70 0.23% $1.63K
SKYLINE CHAMPION CORP 124 138 14 0.23% $801
CENTURY ALUMINUM COMPANY 154 176 22 0.23% $3.48K
EXTREME NETWORKS INC 417 472 55 0.23% $4.35K
EZCORP INC CL A NON VTG 279 318 39 0.23% $4.44K
SUPERNUS PHARMACEUTICALS INC 191 214 23 0.23% $1.07K
PEDIATRIX MEDICAL GROUP INC 404 456 52 0.23% $1.63K
PATHWARD FINANCIAL INC 109 118 9 0.23% $406
AMER STATES WATE 121 136 15 0.23% $1.41K
EVERTEC INC 308 346 38 0.23% $974
CINEMARK HOLDINGS INC 303 341 38 0.22% $2.89K
CLEANSPARK INC 783 803 20 0.22% $791
LIVERAMP HOLDINGS INC 306 342 36 0.22% $2.55K
ASSURED GUARANTY 107 122 15 0.22% $913
NATIONAL VISION HOLDINGS INC 381 429 48 0.22% -$78
CHESAPEAKE UTILITIES CORP 69 77 8 0.21% $832
SONOS INC 580 654 74 0.21% $1.38K
KADANT INC 29 33 4 0.21% $363
BRIGHTSPHERE INVESTMENT GROUP INC 127 143 16 0.21% $2.59K
VERICEL CORP 242 274 32 0.21% $809
COMMUNITY FINANCIAL SYSTEM INC 129 145 16 0.20% $1.12K
OTTER TAIL CORPORATION 90 102 12 0.20% $1.08K
WD-40 CO 40 43 3 0.20% -$221
INDEPENDENT BANK CORP MASS 102 115 13 0.20% $729
ELLINGTON FINANCIAL INC 515 675 160 0.20% $2.33K
HCI GROUP INC 52 58 6 0.20% $656
AGILYSYS INC 121 138 17 0.20% -$1.66K
BANKUNITED INC 169 189 20 0.19% $762
LXP INDUSTRIAL TRUST REIT 150 169 19 0.19% $1.17K
HARSCO CORP 386 437 51 0.19% $1.30K
PAR PACIFIC HOLDINGS INC 115 131 16 0.19% $4.26K
AVISTA CORP 184 207 23 0.19% $910
INGEVITY CORP 96 111 15 0.19% $2.14K
BLACKLINE INC 241 270 29 0.19% -$2.76K
CHEESECAKE FACTORY INC 117 132 15 0.18% $1.52K
PROTO LABS INC 114 128 14 0.18% $2.29K
VEECO INSTRUMENT 147 166 19 0.18% $3.68K
STEVEN MADDEN LTD 197 220 23 0.18% -$381
SOLAREDGE TECHNOLOGIES INC 169 191 22 0.18% $2.96K
UNIFIRST CORP/MA 29 32 3 0.18% $1.94K
KNOWLES CORP 232 262 30 0.18% $2.55K
ARTIVION INC 201 228 27 0.18% -$26
HEALTHCARE SERVS 337 381 44 0.18% $1.81K
ARLO TECHNOLOGIES INC 507 574 67 0.18% $1.63K
PROGYNY INC 386 434 48 0.18% -$1.15K
UFP TECHNOLOGIES INC 39 42 3 0.18% -$1.75K
CARGURUS INC CL A 196 220 24 0.18% $1.67K
MGE ENERGY INC 88 99 11 0.18% $912
BANCFIRST CORP 63 71 8 0.18% $997
INSPIRE MEDICAL SYSTEMS INC 127 141 14 0.17% -$1.71K
MONARCH CASINO and RESORT INC 60 66 6 0.17% $2.34K
HAYWARD HOLDINGS INC 460 518 58 0.17% $351
SEACOAST BANKING CORP FLORIDA 219 246 27 0.17% $418
ARTISAN PARTNERS ASSET MANAGEMENT INC A 182 206 24 0.17% -$390
ANI PHARMACEUTICALS INC 86 97 11 0.17% $668
ICU MEDICAL INC 56 64 8 0.17% -$766
TERADATA CORP 255 288 33 0.17% $316
EPLUS INC 79 89 10 0.17% $758
PATRICK INDUSTRIES INC 73 81 8 0.17% -$1.68K
PDF SOLUTIONS INC 153 173 20 0.16% $2.54K
TOPGOLF CALLAWAY BRANDS CORP 428 484 56 0.16% $1.26K
PARK NATL CORP 34 43 9 0.16% $1.86K
ARCUS BIOSCIENCES INC 258 289 31 0.16% $1.94K
SEZZLE INC 82 92 10 0.16% $2.14K
UPWORK INC 627 707 80 0.16% -$5.24K
CONCENTRA GROUP HOLDINGS PARENT INC 286 323 37 0.16% $914
PERDOCEO EDUCATION CORP 189 213 24 0.16% $1.18K
SAREPTA THERAPEUTICS INC 307 346 39 0.16% $980
URBAN EDGE PROPERTIES 290 327 37 0.16% $1.53K
FOUR CORNERS PRO 238 279 41 0.16% $1.27K
AMNEAL PHARM INC 489 551 62 0.16% $402
ALARM.COM HOLDINGS INC 139 157 18 0.15% $192
TRUSTMARK CORP 142 157 15 0.15% $928
TRIPADVISOR INC 560 620 60 0.15% -$542
SPS COMMERCE INC 108 122 14 0.15% -$2.79K
A10 NETWORKS INC 226 255 29 0.15% $2.86K
HARMONY BIOSCIENCES HOLDINGS INC 191 215 24 0.15% -$254
CITY HOLDING CO 48 54 6 0.15% $732
NETSCOUT SYSTEMS INC 175 197 22 0.15% $1.77K
CALIF WATER SRVC 137 155 18 0.14% $423
XPEL INC 121 136 15 0.14% $244
CUSTOMERS BANCORP INC 76 84 8 0.14% $401
GREEN BRICK PARTNERS INC 83 94 11 0.14% $580
NORTHWEST NATURAL HOLDING CO 105 119 14 0.14% $1.42K
ADDUS HOMECARE CORP 57 65 8 0.14% $399
AMERICAN EAGLE OUTFITTERS INC 317 358 41 0.14% -$1.15K
CORVEL CORP 92 105 13 0.13% -$373
ENERPAC TOOL GROUP CORP CL A 153 171 18 0.13% -$173
KINETIK HOLDINGS INC 104 118 14 0.13% $1.71K
PHIBRO ANIMAL HEALTH CORP CL A 96 112 16 0.13% $2.10K
LTC PROPERTIES INC REIT 137 155 18 0.13% $928
PITNEY-BOWES INC 332 377 45 0.13% $2.37K
PREFERRED BANK LOS ANGELES 55 61 6 0.13% $1.06K
COLLEGIUM PHARMACEUTICAL INC 151 171 20 0.13% -$1.17K
PENNYMAC MORTGAGE INV TRUST 419 471 52 0.13% $780
FIRST BANCORP/NC 88 99 11 0.13% $618
PACIRA BIOSCIENCES INC 206 222 16 0.13% $1.43K
DIAMONDROCK HOSPITALITY CO 478 540 62 0.12% $1.12K
THE BUCKLE INC 87 98 11 0.12% $1.33K
HORACE MANN EDUCATORS CORP 101 115 14 0.12% $700
INNOVIVA INC 201 227 26 0.12% $1.20K
FB FINANCIAL CORP 86 96 10 0.11% $243
REX AMERICAN RESOURCES CORP 92 106 14 0.11% $2.03K
PAYONEER GLOBAL INC 914 1,030 116 0.11% -$711
INTERPARFUMS INC 50 56 6 0.11% $230
YELP INC 163 183 20 0.11% $588
GETTY REALTY CORP 126 149 23 0.11% $1.17K
INTERFACE INC 156 177 21 0.11% $25
COHEN & STEERS 62 69 7 0.11% $866
OFG BANCORP 92 103 11 0.10% $1.03K
DOUBLEVERIFY HOLDINGS INC 380 427 47 0.10% $594
TOOTSIE ROLL INDUSTRIES INC 92 110 18 0.10% $1.16K
SIX FLAGS ENTERTAINMENT CORP 219 247 28 0.10% $694
LIQUIDITY SERVICES INC 114 128 14 0.10% $915
COMSTOCK RESOURCES INC 220 248 28 0.10% -$1.04K
PROGRESS SOFTWARE CORP 141 155 14 0.10% -$1.45K
WORTHINGTON INDUSTRIES INC 70 78 8 0.09% $343
GOOSEHEAD INSURANCE 81 92 11 0.09% -$888
STELLAR BANCORP INC 96 109 13 0.09% $529
NEW YORK MTGE 401 455 54 0.09% $878
NATL PRESTO INDS 26 29 3 0.09% $743
TANDEM DIABETES CARE INC 183 206 23 0.09% $382
LAKELAND FINL 60 66 6 0.09% $418
CTS CORP 62 69 7 0.09% $752
PENGUIN SOLUTIONS INC 111 127 16 0.09% $1.73K
XENIA HOTELS & R 209 236 27 0.08% $757
ASTEC INDUSTRIES INC 53 59 6 0.08% $1.25K
NEOGENOMICS INC 359 406 47 0.08% -$570
VERIS RESIDENTIAL INC 174 198 24 0.08% $1.11K
STAAR SURGICAL CO NEW 123 140 17 0.08% $1.36K
ENACT HOLDINGS INC 77 86 9 0.08% $612
SCHRODINGER INC 270 304 34 0.08% -$136
PROASSURANCE CORPORATION 125 142 17 0.08% $480
TENNANT CO 39 42 3 0.08% $520
WINMARK CORP 8 9 1 0.08% -$181
SPRINKLR INC-A 581 669 88 0.07% -$415
DONNELLEY FINANCIAL SOLUTIONS INC 57 65 8 0.07% $320
AZENTA INC 117 133 16 0.07% -$1.28K
COGENT COMMUNICATIONS HOLDINGS INC 121 139 18 0.07% $208
LEGALZOOMCOM INC 435 486 51 0.07% -$732
WESTAMERICA BANCORPORATION 52 57 5 0.07% $495
SAFETY INSURANCE GROUP INC 37 41 4 0.07% $170
PAPA JOHNS INTL INC 73 83 10 0.07% $436
HERTZ GLOBAL HOLDINGS INC 413 465 52 0.07% $934
CENTERSPACE 40 43 3 0.06% $365
TRUPANION INC 106 121 15 0.06% -$488
JBG SMITH PROPERTIES 171 192 21 0.06% $0
REYNOLDS CONSUMER PRODUCTS INC 117 133 16 0.06% $78
US PHYSICAL THERAPY INC 35 39 4 0.06% -$158
UNITED PARKS & R 70 78 8 0.06% $114
MIDDLESEX WATER CO 48 54 6 0.06% $233
VITAL FARMS INC 177 201 24 0.06% -$2.29K
CVR ENERGY INC 70 78 8 0.06% $993

Top 300 of 321, by weight.

Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
Invesco Government & Agency Portfolio, Institutional Class 15,840 14,533 -1,307 0.32% -$1.31K

No positions in this category.

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.