SPIDX
Invesco S&P 500 Index Fund
AIM Counselor Series Trust (Invesco Counselor Series Trust)
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.

Nov 30, 2025 → Feb 28, 2026

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

Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
CRH PLC 0 47,581 47,581 0.13% $5.71M
COMFORT SYSTEMS USA INC 0 2,498 2,498 0.08% $3.57M
CARVANA CO CL A 0 10,039 10,039 0.08% $3.35M
CIENA CORP 0 9,400 9,400 0.08% $3.28M
ARES MANAGEMENT CORP CL A 0 14,624 14,624 0.04% $1.64M
CFD_EQS BARCUS33 BV7DQ55 0 32,773 32,773 0.04% $1.59M
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
KELLOGG CO 18,577 0 -18,577 0.00% -$1.55M
AMCOR PLC 159,286 0 -159,286 0.00% -$1.36M
DAYFORCE INC 11,034 0 -11,034 0.00% -$762.45K
LKQ CORP 17,777 0 -17,777 0.00% -$527.80K
SOLSTICE ADV MAT 10,967 0 -10,967 0.00% -$522.91K
MOHAWK INDUSTRIES INC 3,606 0 -3,606 0.00% -$417.94K
Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
NVIDIA CORP 1,699,638 1,722,405 22,767 7.04% $4.36M
APPLE INC 1,033,833 1,048,025 14,192 6.39% -$11.42M
MICROSOFT CORP 517,856 527,052 9,196 4.78% -$47.80M
AMAZON.COM INC 677,234 689,685 12,451 3.34% -$13.11M
ALPHABET INC CL A 405,266 412,224 6,958 2.97% -$1.24M
BROADCOM INC 328,165 334,468 6,303 2.47% -$25.36M
ALPHABET INC CL C 325,478 329,314 3,836 2.37% -$1.63M
META PLATFORMS INC CL A 151,257 154,221 2,964 2.31% $1.96M
TESLA INC 195,822 198,860 3,038 1.85% -$4.19M
BERKSHIRE HATH-B 128,455 129,675 1,220 1.51% -$522.07K
LILLY ELI and CO 55,380 56,154 774 1.36% -$486.08K
JOHNSON&JOHNSON 168,308 171,030 2,722 0.98% $7.66M
WALMART INC 306,782 311,285 4,503 0.92% $5.93M
VISA INC-CLASS A 118,584 119,801 1,217 0.89% -$1.31M
Invesco Private Prime Fund 16,588,808 36,247,460 19,658,652 0.84% $19.66M
MICRON TECHNOLOGY INC 78,702 79,681 979 0.76% $14.25M
COSTCO WHOLESALE CORP 31,007 31,460 453 0.73% $3.47M
MASTERCARD INC CL A 57,714 58,207 493 0.69% -$1.67M
ABBVIE INC 123,540 125,462 1,922 0.67% $987.16K
NETFLIX INC 297,020 300,797 3,777 0.67% -$3.00M
PROCTER & GAMBLE 164,016 165,879 1,863 0.64% $3.43M
HOME DEPOT INC 69,624 70,660 1,036 0.62% $2.05M
GENERAL ELECTRIC CO 74,333 74,879 546 0.59% $3.44M
CATERPILLAR INC 32,894 33,221 327 0.57% $5.74M
BANK OF AMERICA CORPORATION 476,899 476,915 16 0.55% -$1.82M
ADV MICRO DEVICE 113,578 115,571 1,993 0.53% -$1.57M
COCA-COLA CO/THE 271,997 274,825 2,828 0.52% $2.53M
PALANTIR TECHNOLOGIES INC 158,989 162,159 3,170 0.51% -$4.54M
CISCO SYSTEMS INC 277,780 279,742 1,962 0.51% $855.91K
MERCK & CO 175,503 176,193 690 0.50% $3.42M
APPLIED MATERIALS INC 56,178 56,552 374 0.49% $6.88M
PHILIP MORRIS INTL INC 109,297 110,502 1,205 0.48% $3.43M
RTX CORP 93,997 95,178 1,181 0.45% $2.84M
UNITEDHEALTH GRP 63,429 64,303 874 0.44% -$2.06M
GOLDMAN SACHS GROUP INC 21,240 21,291 51 0.42% $756.02K
ORACLE CORP 115,912 119,399 3,487 0.40% -$6.05M
MCDONALDS CORP 50,169 50,554 385 0.40% $1.60M
LINDE PLC 32,942 33,148 206 0.39% $3.33M
GE VERNOVA LLC 19,181 19,260 79 0.39% $5.32M
PEPSICO INC 96,412 97,064 652 0.38% $2.14M
INTL BUS MACH CORP 65,343 66,355 1,012 0.37% -$4.22M
VERIZON COMMUNICATIONS INC 297,503 299,314 1,811 0.35% $2.78M
AMGEN INC 37,927 38,225 298 0.34% $1.74M
INTEL CORP 307,952 318,294 10,342 0.34% $2.03M
MORGAN STANLEY 85,466 85,744 278 0.33% -$222.93K
KLA CORP 9,274 9,327 53 0.33% $3.32M
Invesco Private Government Fund 6,457,147 13,994,538 7,537,391 0.32% $7.54M
THERMO FISHER SCIENTIFIC INC 26,565 26,671 106 0.32% -$1.80M
NEXTERA ENERGY INC 145,359 147,839 2,480 0.32% $1.32M
TEXAS INSTRUMENTS INC 64,252 64,501 249 0.32% $2.87M
WALT DISNEY CO/T 126,500 126,733 233 0.31% $223.31K
SALESFORCE INC 67,135 67,580 445 0.30% -$2.31M
GILEAD SCIENCES INC 87,697 88,073 376 0.30% $2.08M
TJX COS INC 78,621 79,005 384 0.29% $827.85K
AMPHENOL CORPORATION CL A 85,882 86,893 1,011 0.29% $590.82K
BOEING CO/THE 53,301 55,587 2,286 0.29% $2.57M
PFIZER INC 401,634 403,614 1,980 0.26% $821.87K
UNION PACIFIC CORP 42,099 42,107 8 0.26% $1.40M
UBER TECHNOLOGIES INC 146,707 147,500 793 0.26% -$1.72M
BLACKROCK INC 10,152 10,243 91 0.25% $258.48K
EATON CORP PLC 27,526 27,572 46 0.24% $843.90K
WELLTOWER INC 47,528 48,721 1,193 0.23% $194.81K
ARISTA NETWORKS INC 72,524 73,303 779 0.23% $308.51K
THE BOOKING HOLDINGS INC 2,287 2,288 1 0.22% -$1.54M
STRYKER CORP 24,429 24,433 4 0.22% $399.25K
ACCENTURE PLC-A 43,634 44,022 388 0.21% -$1.72M
MEDTRONIC PLC 90,992 91,050 58 0.21% -$692.24K
PALO ALTO NETWORKS INC 47,185 56,125 8,940 0.19% -$613.15K
APPLOVIN CORP 19,109 19,215 106 0.19% -$3.10M
CORNING INC 53,861 55,384 1,523 0.19% $3.79M
INTUIT INC 19,662 19,792 130 0.19% -$4.37M
BOSTON SCIENTIFIC CORP 104,751 105,235 484 0.19% -$2.55M
SERVICENOW INC 14,654 73,643 58,989 0.18% -$3.95M
HOWMET AEROSPACE INC 27,854 28,541 687 0.17% $1.79M
FREEPORT MCMORAN INC 99,204 101,933 2,729 0.16% $2.68M
NORTHROP GRUMMAN CORP 9,300 9,523 223 0.16% $1.58M
EQUINIX INC 6,762 6,970 208 0.16% $1.70M
WESTERN DIGITAL CORP 23,970 24,271 301 0.16% $2.87M
CROWDSTRIKE HOLDINGS INC 17,721 17,815 94 0.15% -$2.40M
WILLIAMS COS INC 84,376 86,691 2,315 0.15% $1.34M
WASTE MANAGEMENT INC 25,607 26,311 704 0.15% $757.74K
SEAGATE TECHNOLO 14,695 15,466 771 0.15% $2.24M
SANDISK CORPORATION 9,335 9,883 548 0.14% $4.19M
UNITED PARCEL SERVICE INC CL B 50,856 52,459 1,603 0.14% $1.21M
US BANCORP DEL 107,524 110,345 2,821 0.14% $757.41K
EMERSON ELECTRIC CO 38,886 39,881 995 0.14% $825.45K
HCA HEALTHCARE INC 11,317 11,339 22 0.14% $253.95K
FEDEX CORP 14,995 15,410 415 0.14% $1.83M
QUANTA SVCS INC 10,295 10,585 290 0.14% $1.17M
SHERWIN WILLIAMS CO 16,022 16,366 344 0.14% $427.55K
PNC FINANCIAL SERVICES GRP INC 27,210 27,838 628 0.14% $721.91K
BANK OF NEW YORK MELLON CORP 48,728 49,503 775 0.14% $433.40K
CUMMINS INC 9,520 9,799 279 0.13% $980.57K
MOTOROLA SOLUTIONS INC 11,511 11,823 312 0.13% $1.45M
COLGATE-PALMOLIVE CO 55,843 57,221 1,378 0.13% $1.18M
CSX CORP 128,811 132,189 3,378 0.13% $1.09M
MONDELEZ INTL INC 89,404 91,599 2,195 0.13% $493.68K
ROYAL CARIBBEAN 17,454 18,004 550 0.13% $951.40K
REGENERON PHARMACEUTICALS INC 7,039 7,154 115 0.13% $100.31K
ECOLAB INC 17,637 18,096 459 0.13% $726.90K
THE CIGNA GROUP 18,443 18,963 520 0.13% $381.98K
SYNOPSYS INC 12,785 13,186 401 0.13% $114.75K
ILLINOIS TOOL WORKS INC 18,328 18,740 412 0.13% $877.60K
SLB LTD 103,086 106,050 2,964 0.13% $1.71M
MARRIOTT INTL-A 15,568 15,811 243 0.12% $658.12K
NIKE INC CL B 82,085 84,426 2,341 0.12% -$55.54K
GENERAL MOTORS CO 65,783 66,221 438 0.12% $375.89K
TRANSDIGM GROUP INC 3,893 3,998 105 0.12% -$86.59K
MOODYS CORP 10,660 10,891 231 0.12% -$30.28K
HILTON WORLDWIDE HOLDINGS INC 16,251 16,500 249 0.12% $512.35K
CENCORA INC 13,396 13,763 367 0.12% $179.58K
AON PLC-CLASS A 14,899 15,258 359 0.12% -$154.45K
AMERICAN ELECTRIC POWER CO INC 36,951 37,997 1,046 0.12% $511.33K
ELEVANCE HEALTH INC 15,559 15,776 217 0.12% -$214.67K
NORFOLK SOUTHERN CORP 15,502 15,929 427 0.12% $485.51K
WARNER BROS DISCOVERY INC 171,062 175,905 4,843 0.11% $849.76K
TRAVELERS COS IN 15,555 15,835 280 0.11% $331.88K
CINTAS CORP 23,667 24,248 581 0.11% $474.46K
L3HARRIS TECHNOLOGIES INC 12,927 13,278 351 0.11% $1.24M
TE CONNECTIVITY 20,416 20,884 468 0.11% $189.37K
EOG RESOURCES INC 37,725 38,518 793 0.11% $710.67K
ROSS STORES INC 22,599 23,087 488 0.11% $762.05K
SIMON PROPERTY 22,558 23,175 617 0.11% $521.22K
PACCAR INC 36,282 37,283 1,001 0.11% $876.17K
DOORDASH INC-A 25,577 26,537 960 0.11% -$390.73K
KINDER MORGAN INC 135,109 138,979 3,870 0.11% $932.65K
BAKER HUGHES CO 68,119 70,049 1,930 0.11% $1.15M
TRUIST FINL CORP 89,093 90,811 1,718 0.10% $335.07K
SEMPRA ENERGY 45,082 46,332 1,250 0.10% $190.21K
AUTOZONE INC 1,156 1,181 25 0.10% -$135.87K
VALERO ENERGY CORP 21,464 21,652 188 0.10% $636.89K
PHILLIPS 66 27,923 28,602 679 0.10% $589.81K
REALTY INCOME CORP REIT 63,173 65,302 2,129 0.10% $735.84K
AIR PRODUCTS and CHEMICALS INC 15,377 15,799 422 0.10% $341.14K
MONSTER BEVERAGE CORP 49,250 50,630 1,380 0.10% $625.48K
KKR & CO INC 47,401 48,722 1,321 0.10% -$1.53M
ROBINHOOD MARKETS INC 53,337 55,821 2,484 0.10% -$2.62M
MARATHON PETROLEUM CORP 21,006 21,339 333 0.10% $160.11K
ARTHUR J GALLAGHAR AND CO 17,713 18,230 517 0.10% -$226.01K
ZOETIS INC CL A 30,621 31,284 663 0.09% $176.33K
AIRBNB INC CLASS A 29,647 30,191 544 0.09% $610.70K
DIGITAL REALTY TRUST INC 22,151 22,921 770 0.09% $514.78K
NXP SEMICONDUCTO 17,420 17,866 446 0.09% $659.91K
ALLSTATE CORPORATION 18,207 18,576 369 0.09% $107.20K
VISTRA CORP 22,006 22,609 603 0.09% -$4.51K
FORD MOTOR CO 270,090 277,820 7,730 0.09% $327.69K
AMETEK INC NEW 15,958 16,342 384 0.09% $751.40K
MONOLITHIC POWER SYS INC 3,309 3,401 92 0.09% $815.14K
CARDINAL HEALTH INC 16,499 16,866 367 0.09% $364.12K
CORTEVA INC 46,922 47,969 1,047 0.09% $677.45K
DOMINION ENERGY INC 58,967 60,617 1,650 0.09% $126.00K
UNITED RENTALS INC 4,446 4,517 71 0.09% $169.99K
AFLAC INC 33,258 33,485 227 0.09% $112.77K
FASTENAL CO 79,295 81,496 2,201 0.09% $548.56K
KEYSIGHT TECHNOLOGIES INC 11,892 12,200 308 0.09% $1.40M
IDEXX LABS INC 5,528 5,668 140 0.09% -$439.58K
AUTODESK INC 14,786 15,120 334 0.09% -$767.63K
ONEOK INC 43,513 44,668 1,155 0.09% $528.55K
TARGET CORP 31,394 32,257 863 0.08% $825.60K
CARRIER GLOBAL CORP 55,273 56,199 926 0.08% $585.83K
TARGA RESOURCES CORP 14,869 15,238 369 0.08% $986.44K
BECTON DICKINSON and CO 19,804 20,347 543 0.08% -$251.53K
EDWARDS LIFESCIENCES CORP 40,565 41,194 629 0.08% $46.28K
TERADYNE INC 10,991 11,117 126 0.08% $1.56M
WW GRAINGER INC 3,041 3,105 64 0.08% $669.60K
EXELON CORP 69,784 71,718 1,934 0.08% $259.67K
XCEL ENERGY INC 40,864 41,992 1,128 0.08% $145.11K
CHIPOTLE MEXICAN GRILL INC 92,648 93,865 1,217 0.08% $295.45K
APOLLO GLOBAL MANAGEMENT INC 31,794 32,962 1,168 0.08% -$744.21K
PUBLIC STORAGE 10,911 11,210 299 0.08% $446.64K
ENTERGY CORP 30,844 31,703 859 0.08% $387.80K
YUM! BRANDS INC 19,176 19,710 534 0.08% $376.48K
REPUBLIC SVCS 14,022 14,284 262 0.08% $227.42K
ROCKWELL AUTOMATION INC 7,769 7,970 201 0.07% $171.94K
WESTINGHOUSE AIR BRAKE TECH CORP 11,812 12,136 324 0.07% $739.90K
ELECTRONIC ARTS INC 15,559 15,934 375 0.07% $52.50K
DELL TECHNOLOGIES INC CL C 20,949 21,395 446 0.07% $374.62K
DR HORTON INC 19,157 19,441 284 0.07% $71.99K
FIFTH THIRD BANCORP 45,733 62,767 17,034 0.07% $1.12M
AMERIPRISE FINANCIAL INC 6,514 6,595 81 0.07% $131.75K
SYSCO CORP 32,992 33,993 1,001 0.07% $584.81K
AMERICAN INTERNATIONAL GROUP 38,279 38,303 24 0.07% $167.68K
CBRE GROUP INC - CL A 20,251 20,809 558 0.07% -$204.56K
PAYPAL HOLDINGS 66,011 66,420 409 0.07% -$1.07M
PUB SERV ENTERP 34,484 35,434 950 0.07% $169.70K
AXON ENTERPRISE INC 5,424 5,602 178 0.07% $108.81K
DELTA AIR LI 44,816 46,045 1,229 0.07% $152.45K
PG&E CORP 151,858 156,024 4,166 0.07% $516.51K
KROGER CO 42,028 43,279 1,251 0.07% $125.72K
GARMIN LTD 11,305 11,605 300 0.07% $726.00K
KEURIG DR PEPPER INC 93,860 96,442 2,582 0.07% $301.57K
EBAY INC 31,576 32,086 510 0.07% $301.16K
VULCAN MATERIALS CO 9,129 9,380 251 0.07% $194.30K
MARTIN MAR MTLS 4,167 4,281 114 0.07% $299.36K
CONSOLIDATED EDISON INC 24,919 25,622 703 0.07% $382.12K
NUCOR CORP 15,860 16,246 386 0.07% $344.08K
VENTAS INC REIT 31,401 33,345 1,944 0.07% $341.14K
MICROCHIP TECHNOLOGY 37,289 38,365 1,076 0.07% $865.62K
COINBASE GLOBAL INC 15,626 16,197 571 0.07% -$1.41M
METLIFE INC 38,598 39,289 691 0.07% -$123.50K
NASDAQ INC 31,320 32,021 701 0.06% -$43.22K
HARTFORD INSURANCE GROUP INC/THE 19,427 19,781 354 0.06% $123.68K
CROWN CASTLE INC 30,088 30,914 826 0.06% $21.61K
GE HEALTHCARE TECHNOLOGIES INC WI 31,546 32,336 790 0.06% $201.59K
EQT CORPORATION 43,119 44,301 1,182 0.06% $96.75K
OCCIDENTAL PETROLEUM CORP 49,654 51,054 1,400 0.06% $624.48K
WEC ENERGY GROUP INC 22,239 23,092 853 0.06% $208.52K
ROPER TECHNOLOGIES INC 7,436 7,641 205 0.06% -$645.80K
RESMED INC 10,116 10,362 246 0.06% $67.39K
OLD DOMINION FRT 12,779 13,062 283 0.06% $923.37K
KIMBERLY CLARK CORP 22,924 23,558 634 0.06% $123.84K
TAKE-TWO INTERACTV SOFTWR INC 11,981 12,330 349 0.06% -$340.62K
KENVUE INC 132,597 135,998 3,401 0.06% $299.72K
DATADOG INC CL A 22,336 23,102 766 0.06% -$987.48K
OTIS WORLDWIDE CORP 27,118 27,665 547 0.06% $151.24K
STATE STREET CORP 19,602 19,828 226 0.06% $217.25K
HERSHEY CO/THE 10,234 10,518 284 0.06% $560.38K
BLOCK INC CL A 37,972 38,878 906 0.06% -$60.00K
PRUDENTL FINL 24,321 24,846 525 0.06% -$188.40K
UNITED AIRLINES HOLDINGS INC 22,368 22,981 613 0.06% $162.24K
AGILENT TECHNOLOGIES INC 19,627 20,125 498 0.06% -$569.97K
DOLLAR GENERAL CORP 15,206 15,625 419 0.06% $776.35K
NRG ENERGY INC 13,365 13,604 239 0.06% $169.34K
CARNIVAL CORP 75,015 77,079 2,064 0.06% $497.96K
HUNTINGTON BANCSHARES INC 116,354 144,112 27,758 0.06% $524.51K
COPART INC 61,465 63,208 1,743 0.06% $11.69K
INGERSOLL RAND INC 24,990 25,524 534 0.06% $395.13K
FISERV INC 37,559 38,181 622 0.05% $69.54K
FAIR ISAAC CORP 1,659 1,683 24 0.05% -$623.92K
M&T BANK CORP 10,797 10,910 113 0.05% $313.45K
ARCHER DANIELS MIDLAND CO 33,197 34,114 917 0.05% $338.84K
EMCOR GROUP INC 3,093 3,178 85 0.05% $400.43K
DIAMONDBACK ENERGY INC 13,001 13,221 220 0.05% $317.69K
VICI PROPERTIES 73,680 75,872 2,192 0.05% $168.64K
EXTRA SPACE STORAGE INC 14,666 15,067 401 0.05% $322.50K
IRON MOUNTAIN INC 20,407 20,983 576 0.05% $510.94K
TELEDYNE TECHNOLOGIES INC 3,240 3,333 93 0.05% $651.66K
TAPESTRY INC 14,380 14,528 148 0.05% $687.22K
INTERACTIVE BROKERS GROUP INC 30,764 31,615 851 0.05% $250.40K
XYLEM INC 16,818 17,283 465 0.05% -$126.60K
WATERS CORP 4,113 6,979 2,866 0.05% $569.69K
CBOE GLOBAL MARKETS INC 7,227 7,428 201 0.05% $360.53K
COGNIZANT TECH SOLUTIONS CL A 33,745 34,262 517 0.05% -$414.82K
DOVER CORP 9,475 9,736 261 0.05% $439.94K
DTE ENERGY CO 14,343 14,743 400 0.05% $220.08K
ULTA BEAUTY INC 3,106 3,183 77 0.05% $506.08K
AMEREN CORP 18,684 19,202 518 0.05% $188.16K
IQVIA HOLDINGS INC 11,746 12,089 343 0.05% -$540.06K
TEXAS PACIFIC LAND CORP 1,334 4,110 2,776 0.05% $1.00M
PAYCHEX INC 22,402 22,993 591 0.05% -$348.78K
HALLIBURTON CO 58,910 59,745 835 0.05% $606.20K
ATMOS ENERGY CORP 11,091 11,395 304 0.05% $172.35K
WILLIS TOWERS WA 6,740 6,797 57 0.05% -$89.30K
WORKDAY INC CL A 14,924 15,404 480 0.05% -$1.16M
VERISK ANALYTICS INC 9,654 9,894 240 0.05% -$119.13K
PPL CORPORATION 51,096 52,512 1,416 0.05% $161.48K
EDISON INTL 26,590 27,315 725 0.05% $475.64K
DEXCOM INC 27,096 27,686 590 0.05% $313.20K
EVERSOURCE ENERGY 25,642 26,634 992 0.05% $307.15K
CENTERPOINT ENERGY INC 45,109 46,345 1,236 0.05% $212.55K
HEWLETT PACKARD ENTERPRISE CO 90,667 93,664 2,997 0.05% $28.08K
JABIL INC 7,415 7,584 169 0.05% $447.27K
BIOGEN INC 10,130 10,414 284 0.05% $153.04K
METTLER-TOLEDO INTL INC 1,423 1,450 27 0.05% -$119.67K
PPG INDUSTRIES INC 15,595 15,930 335 0.05% $403.57K
TRACTOR SUPPLY CO. 36,617 37,510 893 0.04% -$61.36K
DEVON ENERGY CORP 43,861 44,530 669 0.04% $312.90K
OMNICOM GROUP INC 22,207 22,644 437 0.04% $340.84K
HUBBELL INC 3,672 3,773 101 0.04% $346.17K
NORTHERN TRUST CORP 13,213 13,425 212 0.04% $185.59K
RAYMOND JAMES FINANCIAL INC. 12,261 12,516 255 0.04% -$3.39K
ON SEMICONDUCTOR CORP 28,258 28,564 306 0.04% $479.25K
PULTEGROUP INC 13,632 13,837 205 0.04% $164.58K
FIRSTENERGY CORP 35,906 36,906 1,000 0.04% $174.68K
QNITY ELECTRONICS INC 14,465 14,867 402 0.04% $711.57K
AMERICAN WATER WRKS COMPANY 13,480 13,851 371 0.04% $130.81K
STEEL DYNAMICS INC 9,561 9,745 184 0.04% $277.43K
FIDELITY NATL INFORM SVCS INC 36,093 36,761 668 0.04% -$500.50K
CITIZENS FINANCIAL GROUP INC 29,804 30,488 684 0.04% $222.68K
EXPAND ENERGY CORP 16,455 16,907 452 0.04% -$181.75K
LIVE NATION ENTERTAINMENT INC 10,898 11,209 311 0.04% $384.89K
CINCINNATI FINANCIAL CORP 10,805 11,075 270 0.04% $5.27K
EQUIFAX INC 8,554 8,688 134 0.04% -$1.17K
SOUTHWEST AIRLINES CO 36,288 36,712 424 0.04% $545.25K
EXPEDIA INC 8,166 8,306 140 0.04% -$296.44K
CHURCH & DWIGHT 16,832 17,046 214 0.04% $354.03K
AVALONBAY COMMUNITIES INC REIT 9,826 10,039 213 0.04% -$8.53K
WILLIAMS-SONOMA INC 8,498 8,646 148 0.04% $248.32K
DARDEN RESTAURANTS INC 8,086 8,257 171 0.04% $313.68K
STERIS PLC 6,805 6,967 162 0.04% -$53.91K
SMURFIT WESTROCK 36,076 37,069 993 0.04% $455.06K
REGIONS FINANCIAL CORP 61,653 62,247 594 0.04% $163.27K
VERALTO CORP 17,147 17,626 479 0.04% -$18.32K
GENERAL MILLS INC 36,944 37,866 922 0.04% -$36.62K
DOLLAR TREE INC 13,410 13,466 56 0.04% $217.22K
LABCORP HOLDINGS INC 5,742 5,885 143 0.04% $158.14K
CMS ENERGY CORP 20,682 21,603 921 0.04% $126.30K
QUEST DIAGNOSTICS INC 7,726 7,897 171 0.04% $211.85K
COTERRA ENERGY INC 52,729 54,048 1,319 0.04% $238.08K
INTL PAPER CO 36,481 37,484 1,003 0.04% $192.16K

Top 300 of 432, by weight.

Security Shares Nov 2025 Shares Feb 2026 Δ shares End % Δ value
Invesco Treasury Portfolio, Institutional Class 79,518,192 74,282,658 -5,235,534 1.71% -$5.24M
JPMORGAN CHASE and CO 192,622 192,535 -87 1.33% -$2.49M
EXXON MOBIL CORP 298,114 297,825 -289 1.05% $10.86M
Invesco Government & Agency Portfolio, Institutional Class 43,853,937 41,034,803 -2,819,134 0.95% -$2.82M
CHEVRON CORP 135,017 134,359 -658 0.58% $4.69M
LAM RESEARCH CORP 89,269 89,162 -107 0.48% $6.93M
WELLS FARGO & CO 224,875 222,836 -2,039 0.42% -$1.16M
ABBOTT LABS 122,195 121,801 -394 0.33% -$1.58M
AT&T INC 503,831 503,262 -569 0.33% $986.69K
CITIGROUP INC 129,812 127,018 -2,794 0.32% $547.59K
INTUITIVE SURGICAL INC 25,194 25,165 -29 0.29% -$1.78M
ANALOG DEVICES INC 35,297 34,923 -374 0.29% $3.06M
AMERICAN EXPRESS CO 38,284 38,142 -142 0.27% -$2.20M
SCHWAB CHARLES CORP 120,074 118,572 -1,502 0.26% $153.59K
DEERE & CO 17,915 17,847 -68 0.26% $2.92M
HONEYWELL INTL INC 45,150 45,069 -81 0.25% $2.30M
QUALCOMM INC 76,066 76,028 -38 0.25% -$1.96M
LOWES COS INC 39,915 39,812 -103 0.24% $854.47K
NEWMONT CORP 78,668 77,466 -1,202 0.23% $2.93M
CONOCOPHILLIPS 88,892 87,721 -1,171 0.23% $2.07M
S&P GLOBAL INC 22,026 22,006 -20 0.22% -$1.26M
LOCKHEED MARTIN CORP 14,680 14,455 -225 0.22% $2.79M
PROLOGIS INC REIT 66,145 65,938 -207 0.22% $899.16K
DANAHER CORP 45,247 44,626 -621 0.22% -$861.09K
PARKER HANNIFIN CORP 9,106 8,958 -148 0.21% $1.19M
BRISTOL-MYERS SQUIBB CO 145,583 144,513 -1,070 0.21% $1.85M
VERTEX PHARMACEUTICALS INC 18,253 18,011 -242 0.21% $1.03M
PROGRESSIVE CORP OHIO 41,724 41,627 -97 0.21% -$652.01K
CHUBB LTD 26,385 25,982 -403 0.20% $1.04M
CAPITAL ONE FINANCIAL CORP 45,137 45,129 -8 0.20% -$1.06M
MCKESSON CORP 8,861 8,762 -99 0.20% $843.73K
ALTRIA GROUP INC 119,976 119,165 -811 0.19% $1.15M
CME GROUP INC CL A 25,725 25,598 -127 0.19% $938.00K
COMCAST CORP CL A 262,990 258,001 -4,989 0.18% $968.51K
STARBUCKS CORP 81,289 80,706 -583 0.18% $829.72K
ADOBE INC 29,977 29,715 -262 0.18% -$1.80M
SOUTHERN CO 78,572 78,165 -407 0.18% $452.23K
T-MOBILE US INC 34,516 34,142 -374 0.17% $197.70K
CONSTELLATION ENERGY CORP 22,242 22,169 -73 0.17% -$790.99K
TRANE TECHNOLOGI 15,942 15,741 -201 0.17% $558.14K
DUKE ENERGY CORP NEW 55,583 55,204 -379 0.17% $334.49K
CVS HEALTH CORP 90,622 90,114 -508 0.17% -$82.28K
INTERCONTINENTAL EXCHANGE INC 41,049 40,476 -573 0.15% $186.32K
MARSH & MCLENNAN 35,237 34,778 -459 0.15% $30.22K
GENERAL DYNAMICS CORPORATION 18,113 17,998 -115 0.15% $238.24K
AMERICAN TOWER CORP 33,621 33,233 -388 0.15% $281.60K
JOHNSON CONTROLS 45,214 43,383 -1,831 0.14% $1.00M
AUTOMATIC DATA PROCESSING INC 28,898 28,711 -187 0.14% -$1.22M
3M CO 38,182 36,725 -1,457 0.14% -$497.84K
BLACKSTONE INC 52,570 52,421 -149 0.14% -$1.75M
CADENCE DESIGN SYSTEMS INC 19,580 19,323 -257 0.13% -$281.88K
O'REILLY AUTOMOTIVE INC 60,920 59,921 -999 0.13% -$570.18K
FORTINET INC 45,003 44,871 -132 0.08% -$104.94K
MSCI INC 5,345 5,334 -11 0.07% $37.06K
ARCH CAPITAL GRP 25,682 25,633 -49 0.06% $155.09K
ESTEE LAUDER COS INC CL A 18,673 17,452 -1,221 0.04% $153.90K
SYNCHRONY FINANCIAL 25,707 25,568 -139 0.04% -$221.69K
LENNAR CORP CL A 15,726 15,316 -410 0.04% -$313.29K
CHARTER COMMUNICATIONS INC A 6,418 6,247 -171 0.03% $181.36K
FORTIVE CORP 23,377 22,546 -831 0.03% $84.52K
ROLLINS INC 23,232 20,835 -2,397 0.03% -$159.66K
BUNGE GLOBAL SA 9,676 9,608 -68 0.03% $229.63K
CF INDUSTRIES HOLDINGS INC 11,191 11,072 -119 0.03% $221.38K
TKO GROUP HOLDINGS INC 4,767 4,706 -61 0.02% $129.26K
GARTNER INC 5,233 5,117 -116 0.02% -$413.54K
HENRY SCHEIN INC 7,122 7,103 -19 0.01% $54.13K
MOLINA HEALTHCARE INC 3,745 3,649 -96 0.01% $6.89K
FOX CORPORATION B 12,989 10,536 -2,453 0.01% -$211.71K
SMITH (AO) CORP 7,895 5,771 -2,124 0.01% -$70.77K
US ULTRA BOND CBT Sep25 372 346 -26 -0.03% -$4.75M

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