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.
Dec 31, 2025 → Mar 31, 2026
Expand a category to
see the positions behind it, ranked by weight.
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
SHELL PLC
0
9,201,794
9,201,794
0.28%
$429.69M
ADYEN NV
0
361,996
361,996
0.24%
$362.23M
LENNOX INTL INC
0
746,402
746,402
0.23%
$346.43M
DIGITAL REALTY TRUST INC
0
1,673,553
1,673,553
0.20%
$301.59M
PUBLIC STORAGE
0
1,067,551
1,067,551
0.19%
$289.18M
S&P GLOBAL INC
0
606,333
606,333
0.17%
$257.90M
VERISK ANALYTICS INC
0
1,160,686
1,160,686
0.14%
$220.24M
BAE SYSTEMS PLC
0
7,551,501
7,551,501
0.14%
$219.82M
SAP SE
0
1,145,502
1,145,502
0.13%
$193.86M
COMMSTCK
0
3,976,053
3,976,053
0.12%
$186.87M
AMPHENOL CORPORATION CL A
0
1,465,936
1,465,936
0.12%
$185.22M
CORTEVA INC
0
2,028,962
2,028,962
0.11%
$169.84M
SSE PLC
0
4,491,372
4,491,372
0.10%
$155.06M
MEDIATEK
0
3,069,000
3,069,000
0.10%
$148.60M
BOSTON SCIENTIFIC CORP
0
2,300,000
2,300,000
0.09%
$144.32M
CHEVRON CORP
0
636,238
636,238
0.09%
$131.64M
BLOCK INC CL A
0
2,000,000
2,000,000
0.08%
$120.36M
HEWLETT PACKARD ENTERPRISE CO
0
5,000,000
5,000,000
0.08%
$119.05M
WASTE MANAGEMENT INC
0
455,495
455,495
0.07%
$104.67M
B M EUROPEAN VALUE RETAIL SA
0
40,039,390
40,039,390
0.06%
$90.18M
CME GROUP INC CL A
0
298,324
298,324
0.06%
$88.11M
BERKSHIRE HATH-B
0
175,071
175,071
0.05%
$83.89M
TRANSUNION
0
1,193,714
1,193,714
0.05%
$82.59M
AKAMAI TECHNOLOGIES INC
0
600,000
600,000
0.05%
$68.91M
COMPASS INC - A
0
8,410,521
8,410,521
0.04%
$61.48M
MARRIOTT INTL-A
0
171,000
171,000
0.04%
$55.93M
ROCKET COS INC-A
0
3,530,894
3,530,894
0.03%
$50.32M
TESLA INC
0
125,000
125,000
0.03%
$46.47M
UBER TECHNOLOGIES INC
0
423,900
423,900
0.02%
$30.49M
SIFIVE INC PFD SER F PP (DRS)(NOT LISTED OR TRADING)
0
3,105,500
3,105,500
0.02%
$27.09M
KKR & Company, Inc., Convertible, 6.250%
0
202,050
202,050
0.01%
$8.13M
CREDICORP LTD
0
6,689
6,689
0.00%
$2.27M
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
BLUE OWL CAPITAL INC A
31,697,716
0
-31,697,716
0.00%
-$473.56M
INTL BUS MACH CORP
1,300,000
0
-1,300,000
0.00%
-$385.07M
REGAL REXNORD CORP
2,473,475
0
-2,473,475
0.00%
-$347.08M
ACCENTURE PLC CL A
841,684
0
-841,684
0.00%
-$225.82M
HDFC BANK LTD
16,600,000
0
-16,600,000
0.00%
-$183.43M
XP, Inc., Class A
10,327,142
0
-10,327,142
0.00%
-$169.06M
GARTNER INC
648,066
0
-648,066
0.00%
-$163.49M
VISTRA CORP
1,000,000
0
-1,000,000
0.00%
-$161.33M
UNICREDIT SPA
1,889,414
0
-1,889,414
0.00%
-$156.85M
AXIS BK LTD
10,396,317
0
-10,396,317
0.00%
-$147.16M
HDFC BANK LTD SPON ADR
3,949,446
0
-3,949,446
0.00%
-$144.31M
MOTOROLA SOLUTIONS INC
374,736
0
-374,736
0.00%
-$143.64M
ILLUMINA INC
1,080,747
0
-1,080,747
0.00%
-$141.75M
SLB LTD
3,293,560
0
-3,293,560
0.00%
-$126.41M
NIKE INC CL B
1,663,633
0
-1,663,633
0.00%
-$105.99M
STRATEGY INC SER A 10% PERP PFD
1,034,447
0
-1,034,447
0.00%
-$104.53M
ECOLAB INC
393,012
0
-393,012
0.00%
-$103.17M
COOPER COS INC
1,246,218
0
-1,246,218
0.00%
-$102.14M
GUIDEWIRE SOFTWARE INC
490,378
0
-490,378
0.00%
-$98.57M
SS&C TECHNOLOGIE
1,086,752
0
-1,086,752
0.00%
-$95.00M
B&M EUROPEAN
40,039,390
0
-40,039,390
0.00%
-$91.10M
CAIXABANK SA
4,479,830
0
-4,479,830
0.00%
-$54.71M
FIDELITY NATL INFORM SVCS INC
575,155
0
-575,155
0.00%
-$38.22M
CRANE NXT CO
775,615
0
-775,615
0.00%
-$36.51M
SPONSORED ADR
548,806
0
-548,806
0.00%
-$31.07M
CRANE CO
129,452
0
-129,452
0.00%
-$23.87M
STRATEGY INC CL A PFD FRN PRP
192,471
0
-192,471
0.00%
-$19.02M
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
MICROSOFT CORP
18,308,855
18,767,372
458,517
4.54%
-$1.91B
CAPITAL GROUP CENTRAL CASH FUND
18,115,303
43,289,045
25,173,742
2.83%
$2.52B
AMAZON.COM INC
16,258,732
20,709,619
4,450,887
2.82%
$560.35M
META PLATFORMS INC CL A
5,256,289
6,227,733
971,444
2.33%
$93.45M
BRITISH AMERICAN TOBACCO PLC
51,349,819
60,627,103
9,277,284
2.31%
$621.18M
TRANSDIGM GROUP INC
2,775,111
2,881,772
106,661
2.18%
-$350.62M
ALPHABET INC CL A
5,338,248
8,549,116
3,210,868
1.61%
$787.51M
APPLE INC
8,269,238
9,223,585
954,347
1.53%
$92.78M
VISA INC-CLASS A
6,152,208
6,177,398
25,190
1.22%
-$290.58M
ROYAL CARIBBEAN CRUISES LTD
4,700,456
5,418,254
717,798
0.97%
$179.94M
STARBUCKS CORP
15,039,469
15,979,094
939,625
0.94%
$165.09M
MERCADOLIBRE INC
511,488
771,891
260,403
0.87%
$304.35M
STRATEGY INC CL A
6,010,112
10,332,940
4,322,828
0.84%
$376.31M
SHOPIFY INC CL A
7,360,227
10,643,246
3,283,019
0.83%
$77.73M
FTAI AVIATION LTD
2,595,772
5,090,913
2,495,141
0.82%
$736.30M
UNITEDHEALTH GRP
4,243,128
4,454,483
211,355
0.79%
-$195.36M
RYANAIR HOLDINGS PLC SPON ADR
16,803,289
19,135,081
2,331,792
0.72%
-$107.02M
UNION PACIFIC CORP
3,778,506
3,920,506
142,000
0.62%
$77.15M
SALESFORCE INC
2,912,996
4,506,607
1,593,611
0.55%
$69.57M
WESTERN DIGITAL CORP
1,030,633
3,091,300
2,060,667
0.55%
$658.62M
PAYCHEX INC
5,184,915
8,758,985
3,574,070
0.53%
$225.23M
MASTERCARD INC CL A
1,353,323
1,459,326
106,003
0.48%
-$43.42M
COUPANG INC A
35,999,802
38,394,153
2,394,351
0.47%
-$124.35M
TRUIST FINL CORP
11,553,682
15,652,229
4,098,547
0.47%
$150.98M
KKR & CO INC
3,669,757
7,604,746
3,934,989
0.46%
$235.62M
PROGRESSIVE CORP OHIO
2,214,395
3,474,000
1,259,605
0.45%
$184.42M
ABBOTT LABS
4,621,148
6,243,359
1,622,211
0.42%
$62.02M
ROBLOX CORP - A
8,455,224
11,106,015
2,650,791
0.41%
-$56.97M
MARSH & MCLENNAN
2,792,282
3,548,388
756,106
0.40%
$97.44M
CVS HEALTH CORP
7,612,425
8,500,940
888,515
0.40%
$6.42M
TOTALENERGIES SE
4,840,563
6,598,620
1,758,057
0.40%
$293.77M
CENTERPOINT ENERGY INC
12,226,700
13,311,249
1,084,549
0.38%
$105.74M
ATMOS ENERGY CORP
200,766
3,052,381
2,851,615
0.37%
$530.18M
CONSTELLATION ENERGY CORP
1,501,302
2,009,129
507,827
0.37%
$30.68M
BURLINGTON STORES INC
1,337,941
1,689,913
351,972
0.36%
$163.40M
CARVANA CO CL A
743,815
1,606,160
862,345
0.33%
$191.04M
DEERE & CO
398,581
879,866
481,285
0.32%
$310.06M
ONEOK INC
3,868,031
5,209,644
1,341,613
0.31%
$186.60M
EXXON MOBIL CORP
910,522
2,613,360
1,702,838
0.29%
$333.81M
STRATEGY INC PREFERRED STOCK 10
4,970,961
5,673,972
703,011
0.28%
$54.62M
CONSTELLATION SOFTWARE INC
163,353
242,706
79,353
0.28%
$33.14M
WASTE CONNECTIONS INC
1,806,463
2,590,991
784,528
0.28%
$104.10M
MONDELEZ INTL INC
4,878,015
7,225,736
2,347,721
0.27%
$153.91M
BLACKROCK INC
229,774
430,381
200,607
0.27%
$167.97M
LYONDELLBASELL INDS CLASS A
4,020,959
4,842,423
821,464
0.26%
$216.00M
T-MOBILE US INC
1,594,063
1,854,213
260,150
0.25%
$65.78M
DANAHER CORP
1,106,415
1,985,550
879,135
0.25%
$123.18M
SIEMENS AG-REG
960,105
1,491,862
531,757
0.23%
$84.22M
INTEL CORP
5,624,344
7,763,344
2,139,000
0.22%
$135.06M
WELLS FARGO & CO
2,339,191
3,979,191
1,640,000
0.21%
$98.77M
LINDE PLC
299,996
613,974
313,978
0.20%
$176.47M
SCHNEIDER ELECTR
998,223
1,060,631
62,408
0.19%
$17.71M
INTL PAPER CO
3,974,852
7,637,611
3,662,759
0.18%
$116.09M
Boeing Co. (The), Conv. Pfd.
2,265,217
3,921,989
1,656,772
0.17%
$98.02M
ABBVIE INC
186,739
1,148,249
961,510
0.16%
$207.06M
SPX TECHNOLOGIES INC
1,120,799
1,219,505
98,706
0.16%
$19.60M
METTLER-TOLEDO INTL INC
164,015
190,769
26,754
0.16%
$11.93M
BRISTOL-MYERS SQUIBB CO
3,438,434
3,897,734
459,300
0.15%
$50.93M
NOVO NORDISK-B
3,439,493
6,303,729
2,864,236
0.15%
$56.97M
CATERPILLAR INC
122,000
312,300
190,300
0.14%
$151.36M
COSTAR GROUP INC
1,119,553
5,477,089
4,357,536
0.14%
$145.67M
ENGIE
5,861,597
6,706,139
844,542
0.14%
$62.08M
SCHWAB CHARLES CORP
611,905
2,299,425
1,687,520
0.14%
$154.96M
EVOLUTION AB
2,326,396
3,271,496
945,100
0.13%
$45.71M
3M CO
1,214,368
1,376,081
161,713
0.13%
$5.43M
ALIGN TECHNOLOGY INC
375,344
1,127,144
751,800
0.13%
$134.62M
VIPER ENERGY INC A
2,961,672
3,916,672
955,000
0.12%
$69.64M
MCKESSON CORP
80,706
211,706
131,000
0.12%
$117.00M
HUMANA INC
943,173
1,043,538
100,365
0.12%
-$60.64M
VAIL RESORTS INC
851,717
1,335,902
484,185
0.11%
$58.31M
WATSCO INC
220,139
466,541
246,402
0.11%
$95.55M
PROCTER & GAMBLE
775,823
1,100,000
324,177
0.10%
$47.70M
PROCORE TECHNOLOGIES INC
2,300,000
2,600,000
300,000
0.10%
-$19.10M
COMCAST CORP CL A
4,194,853
5,134,953
940,100
0.10%
$22.04M
YUM! BRANDS INC
857,282
942,882
85,600
0.10%
$16.91M
WALMART INC
1,052,624
1,145,970
93,346
0.09%
$25.15M
COSTCO WHOLESALE CORP
83,000
136,000
53,000
0.09%
$63.94M
SPOTIFY TECHNOLOGY SA
164,440
258,440
94,000
0.08%
$29.83M
EQUITABLE HOLDINGS INC
391,980
3,158,180
2,766,200
0.08%
$98.52M
BUILDERS FIRSTSOURCE
1,177,908
1,298,908
121,000
0.07%
-$14.26M
FAIR ISAAC CORP
70,000
90,000
20,000
0.06%
-$22.26M
Invesco Government & Agency Portfolio, Institutional Class
55,498,839
78,373,640
22,874,801
0.05%
$22.87M
NINTENDO CO LTD
675,300
1,311,300
636,000
0.05%
$29.21M
DANONE SA
696,676
855,881
159,205
0.04%
$5.88M
TOAST INC-A
545,000
1,586,201
1,041,201
0.03%
$22.70M
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
BROADCOM INC
33,832,452
29,536,763
-4,295,689
5.98%
-$2.57B
PHILIP MORRIS INTL INC
37,517,416
37,157,388
-360,028
4.02%
$125.81M
ALPHABET INC CL C
20,036,843
19,545,233
-491,610
3.67%
-$680.82M
NVIDIA CORP
33,508,322
31,890,368
-1,617,954
3.64%
-$687.62M
TSMC
66,801,000
59,019,000
-7,782,000
2.18%
$63.77M
MICRON TECHNOLOGY INC
18,179,074
9,686,722
-8,492,352
2.14%
-$1.92B
SK HYNIX INC
7,446,405
4,690,817
-2,755,588
1.67%
-$820.62M
KLA CORP
1,561,339
1,262,193
-299,146
1.22%
-$38.69M
TAIWAN SEMIC MFG CO LTD SP ADR
5,483,654
5,208,165
-275,489
1.15%
$93.67M
LILLY ELI and CO
2,479,028
1,591,292
-887,736
0.96%
-$1.20B
AMGEN INC
3,868,125
3,785,891
-82,234
0.87%
$65.99M
WELLTOWER INC
7,201,836
6,612,573
-589,263
0.85%
-$29.36M
CAN NATURAL RES
36,631,893
25,180,176
-11,451,717
0.80%
-$12.44M
ROLLS-ROYCE HOLDINGS PLC
76,759,708
76,712,387
-47,321
0.77%
-$21.62M
CHIPOTLE MEXICAN GRILL INC
33,497,894
32,691,190
-806,704
0.68%
-$192.98M
GENERAL ELECTRIC CO
6,018,013
3,349,979
-2,668,034
0.62%
-$903.11M
NESTLE SA (REG)
9,949,951
9,433,683
-516,268
0.61%
-$53.24M
RTX CORP
5,247,151
4,789,934
-457,217
0.60%
-$38.35M
FIRSTENERGY CORP
20,878,882
17,339,509
-3,539,373
0.57%
-$56.33M
WHEATON PRECIOUS METALS CORP
6,573,724
6,279,779
-293,945
0.54%
$50.17M
JPMORGAN CHASE and CO
3,783,274
2,770,991
-1,012,283
0.53%
-$403.93M
ITT INC
4,510,885
4,019,789
-491,096
0.50%
-$16.79M
CONOCOPHILLIPS
6,787,687
5,748,125
-1,039,562
0.50%
$123.36M
RESTAURANT BRANDS INTERNATIONAL INC
11,377,278
9,809,955
-1,567,323
0.47%
-$51.32M
BOEING CO/THE
4,282,708
3,172,791
-1,109,917
0.41%
-$298.38M
GE VERNOVA LLC
937,317
720,757
-216,560
0.41%
$16.55M
THERMO FISHER SCIENTIFIC INC
1,625,236
1,234,103
-391,133
0.40%
-$335.14M
UNITED RENTALS INC
1,079,147
796,258
-282,889
0.38%
-$293.25M
DR HORTON INC
4,409,140
3,896,941
-512,199
0.35%
-$100.31M
VERTEX PHARMACEUTICALS INC
1,486,834
1,161,083
-325,751
0.34%
-$155.60M
CARRIER GLOBAL CORP
10,089,986
9,199,016
-890,970
0.34%
-$15.16M
BROOKFIELD CORP CL A
17,481,505
12,715,150
-4,766,355
0.34%
-$287.64M
INGERSOLL RAND INC
12,246,657
6,164,424
-6,082,233
0.32%
-$476.29M
PUBLICIS GROUPE
8,528,311
5,799,938
-2,728,373
0.31%
-$405.08M
APOLLO GLOBAL MANAGEMENT INC
8,572,850
3,970,794
-4,602,056
0.29%
-$798.58M
CAPITAL ONE FINANCIAL CORP
2,546,871
2,421,911
-124,960
0.29%
-$175.43M
GLENCORE PLC
75,573,864
57,003,954
-18,569,910
0.28%
$23.27M
EOG RESOURCES INC
3,856,115
2,997,267
-858,848
0.28%
$28.38M
XPO LOGISTICS INC
2,682,450
2,209,658
-472,792
0.28%
$65.32M
ASML HOLDING-NY
403,458
320,140
-83,318
0.28%
-$8.79M
ASTRAZENECA PLC
3,902,546
2,142,240
-1,760,306
0.27%
-$300.40M
KEYSIGHT TECHNOLOGIES INC
2,025,970
1,400,000
-625,970
0.26%
-$16.34M
CLOUDFLARE INC-A
2,636,830
1,900,000
-736,830
0.26%
-$127.81M
NORTHROP GRUMMAN CORP
968,049
539,829
-428,220
0.24%
-$183.70M
BANK OF AMERICA CORPORATION
8,976,046
6,867,396
-2,108,650
0.22%
-$158.90M
CENOVUS ENERGY INC
24,838,181
12,432,635
-12,405,546
0.22%
-$90.23M
AON PLC
1,710,242
950,464
-759,778
0.20%
-$296.72M
THE BOOKING HOLDINGS INC
110,872
71,325
-39,547
0.20%
-$293.46M
DSV PANALPINA A S
1,553,649
1,243,369
-310,280
0.19%
-$93.92M
UNITED AIRLINES HOLDINGS INC
4,300,493
3,219,693
-1,080,800
0.19%
-$184.44M
CITIGROUP INC
4,773,087
2,500,000
-2,273,087
0.19%
-$273.45M
WYNN RESORTS LTD
3,934,505
2,644,227
-1,290,278
0.18%
-$204.92M
ONEMAIN HOLDINGS INC
7,759,550
4,952,741
-2,806,809
0.17%
-$259.24M
SOUTHERN CO
4,300,000
2,672,000
-1,628,000
0.17%
-$117.06M
APPLIED MATERIALS INC
1,125,403
749,161
-376,242
0.17%
-$33.16M
CITIZENS FINANCIAL GROUP INC
4,588,119
4,238,300
-349,819
0.17%
-$13.82M
ARTHUR J GALLAGHAR AND CO
1,234,218
1,160,747
-73,471
0.16%
-$68.01M
GOLDMAN SACHS GROUP INC
588,870
262,431
-326,439
0.15%
-$295.60M
INTERCONTINENTAL EXCHANGE INC
2,663,708
1,400,000
-1,263,708
0.14%
-$211.22M
COMFORT SYSTEMS USA INC
250,495
159,269
-91,226
0.14%
-$14.15M
CHURCH & DWIGHT
2,982,573
2,295,391
-687,182
0.14%
-$35.88M
ALNYLAM PHARMACEUTICALS INC
1,604,154
600,000
-1,004,154
0.13%
-$439.37M
CAESARS ENTERTAINMENT INC
8,000,000
7,500,000
-500,000
0.13%
$11.10M
APPLOVIN CORP
634,409
478,682
-155,727
0.12%
-$236.96M
REXFORD INDUSTRIAL REALTY INC
5,802,340
5,778,631
-23,709
0.12%
-$35.53M
ASML Holding NV
405,236
141,191
-264,045
0.12%
-$246.28M
BARRICK MINING CORP
14,360,810
4,320,897
-10,039,913
0.12%
-$449.16M
IMPERIAL BRANDS
5,867,288
4,141,964
-1,725,324
0.11%
-$78.10M
HILTON WORLDWIDE HOLDINGS INC
1,057,769
548,298
-509,471
0.11%
-$137.12M
NETFLIX INC
3,455,819
1,727,183
-1,728,636
0.11%
-$157.95M
QUANTA SVCS INC
1,106,882
297,342
-809,540
0.11%
-$303.92M
CHARTER COMMUNICATIONS INC A
897,574
717,253
-180,321
0.10%
-$32.53M
NUCOR CORP
1,321,823
908,000
-413,823
0.10%
-$62.06M
ESSILORLUXOTTICA
752,074
614,114
-137,960
0.09%
-$94.86M
Airbus SE
2,064,429
712,194
-1,352,235
0.09%
-$345.08M
ARES MANAGEMENT CORP CL A
3,668,676
1,151,904
-2,516,772
0.08%
-$467.30M
MORGAN STANLEY
739,797
733,729
-6,068
0.08%
-$10.59M
Strategy Inc PREFERRED STOCK
2,029,615
1,452,939
-576,676
0.07%
-$57.13M
SYNCHRONY FINANCIAL
5,348,696
1,504,169
-3,844,527
0.07%
-$343.93M
AIR PRODUCTS and CHEMICALS INC
728,998
351,679
-377,319
0.07%
-$77.92M
BLACKSTONE INC
1,366,434
859,212
-507,222
0.06%
-$111.82M
ELEVANCE HEALTH INC
391,000
292,365
-98,635
0.06%
-$51.48M
TRANE TECHNOLOGIES PLC
191,832
174,832
-17,000
0.05%
-$1.80M
FEDEX CORP
363,284
185,685
-177,599
0.04%
-$38.80M
HOME DEPOT INC
306,310
182,612
-123,698
0.04%
-$45.34M
DOLLAR TREE INC
1,450,125
476,696
-973,429
0.03%
-$126.18M
ARCH CAPITAL GROUP LTD
1,125,354
543,646
-581,708
0.03%
-$55.76M
EQT CORPORATION
5,701,653
819,735
-4,881,918
0.03%
-$253.44M
BAKER HUGHES CO
4,910,830
513,430
-4,397,400
0.02%
-$192.29M
TRACTOR SUPPLY CO.
923,150
623,150
-300,000
0.02%
-$17.94M
EXELON CORP
2,508,361
228,538
-2,279,823
0.01%
-$98.14M
NISOURCE INC
4,709,008
225,423
-4,483,585
0.01%
-$186.13M
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
GRUPO MEXICO-B
106,915,100
106,915,100
0
0.75%
$135.34M
PERFORMANCE FOOD GROUP CO
10,014,566
10,014,566
0
0.56%
-$42.66M
BUNGE GLOBAL SA
4,549,819
4,549,819
0
0.38%
$173.44M
LUNDIN MINING CORP
19,727,301
19,727,301
0
0.32%
$67.95M
RENAISSANCERE HLDGS LTD
1,446,042
1,446,042
0
0.28%
$23.24M
ROYAL GOLD INC
1,633,190
1,633,190
0
0.27%
$52.59M
JAZZ PHARMA PLC
2,100,000
2,100,000
0
0.26%
$40.00M
EXTRA SPACE STORAGE INC
2,453,180
2,453,180
0
0.21%
$2.23M
NORWEGIAN CRUISE LINE HLDGS LTD
15,409,313
15,409,313
0
0.19%
-$55.78M
LIFCO AB-B
8,968,067
8,968,067
0
0.18%
-$69.10M
FIRST QUANTUM
11,000,000
11,000,000
0
0.17%
-$31.93M
BROOKFIELD INFRASTRUCTURE PARTNERS LP (CAD)
6,980,868
6,980,868
0
0.16%
$9.16M
KEURIG DR PEPPER INC
8,268,704
8,268,704
0
0.14%
-$13.89M
STRATEGY INC CL A PFD 10.00% PRP (PHYSICAL)
2,176,200
2,176,200
0
0.14%
-$5.42M
Amadeus IT Holding, S.A.
3,095,735
3,095,735
0
0.12%
-$51.09M
ZIMMER BIOMET HO
1,853,722
1,853,722
0
0.11%
$926.86K
CH ROBINSON WORLDWIDE INC
1,000,000
1,000,000
0
0.11%
$5.31M
US FOODS HOLDING CORP
1,800,000
1,800,000
0
0.11%
$30.40M
LOAR HOLDINGS INC
2,870,001
2,870,001
0
0.11%
-$30.74M
CIE FINANCI-REG
882,993
882,993
0
0.10%
-$33.22M
LVMH MOET HENNESSY LOUIS VUITTON SE
281,193
281,193
0
0.10%
-$55.69M
SAMPO OYJ-A SHS
14,385,337
14,385,337
0
0.10%
-$20.23M
BENDING SPOONS SPA CLASS C PP
1,311,947
1,311,947
0
0.08%
-$1.94M
BROWN & BROWN
1,745,217
1,745,217
0
0.07%
-$25.29M
REDE D'OR SAO LU
13,701,880
13,701,880
0
0.07%
$1.62M
FHU US HOLDINGS LLC PP (DRS) (NOT LISTED OR TRADING)
22,440
22,440
0
0.07%
-$79
ALEXANDRIA REAL ES EQ INC REIT
1,980,929
1,980,929
0
0.06%
-$4.99M
MICROCHIP TECHNOLOGY INC SER A 7.5% PC 03/15/2028
1,600,000
1,600,000
0
0.06%
-$2.10M
ZIPLINE INTERNATIONAL INC SER H PC PP
518,960
518,960
0
0.02%
-$2.21K
CHECKOUT PAYMENTS GROUP LTD B PP (PHYSICAL) (NOT LISTED OR TRADING)