TNRAX
1290 Avantis U.S. Large Cap Growth Fund
1290 Funds

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 31, 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
GE VERNOVA LLC 0 1,644 1,644 0.59% $1.19M
GILEAD SCIENCES INC 0 4,934 4,934 0.34% $700.38K
AUTODESK INC 0 1,424 1,424 0.18% $360.09K
TAPESTRY INC 0 2,525 2,525 0.16% $320.45K
LIVE NATION ENTERTAINMENT INC 0 1,717 1,717 0.12% $249.74K
AMPHENOL CORPORATION CL A 0 1,640 1,640 0.12% $236.29K
MONOLITHIC POWER SYS INC 0 201 201 0.11% $225.95K
VIKING HOLDINGS LTD 0 2,136 2,136 0.08% $154.11K
CARNIVAL CORP 0 5,098 5,098 0.08% $153.04K
SPROUTS FMRS MKT INC 0 1,996 1,996 0.07% $141.54K
MEDPACE HOLDINGS INC 0 221 221 0.06% $128.73K
TAKE-TWO INTERACTV SOFTWR INC 0 492 492 0.05% $108.39K
BLOCK INC CL A 0 1,625 1,625 0.05% $98.20K
SUPER MICRO COMPUTER INC 0 2,632 2,632 0.04% $76.62K
JONES LANG LASALLE INC 0 209 209 0.04% $74.80K
ROBINHOOD MARKETS INC 0 718 718 0.04% $71.43K
ARMSTRONG WORLD INDUSTRIES INC 0 333 333 0.03% $61.19K
TRADE DESK INC-A 0 1,862 1,862 0.03% $56.47K
MARRIOTT INTL-A 0 179 179 0.03% $56.44K
PEGASYSTEMS INC 0 1,058 1,058 0.02% $46.22K
INSULET CORP 0 180 180 0.02% $46.05K
PHILLIPS 66 0 308 308 0.02% $44.22K
GRAND CANYON EDUCATION INC 0 243 243 0.02% $42.24K
COCA COLA CONSOLIDATED INC 0 269 269 0.02% $40.90K
PINTEREST INC CL A 0 1,804 1,804 0.02% $39.92K
WESTERN ALLIANCE BANCORP 0 443 443 0.02% $39.49K
CITIGROUP INC 0 321 321 0.02% $37.14K
BJS WHSL CLUB HLDGS INC 0 397 397 0.02% $36.70K
SOFI TECHNOLOGIES INC A 0 1,606 1,606 0.02% $36.63K
BROADRIDGE FINL 0 174 174 0.02% $34.30K
LYFT INC-A 0 2,004 2,004 0.02% $33.81K
CARPENTER TECHNOLOGY CORP 0 98 98 0.02% $31.15K
BRISTOL-MYERS SQUIBB CO 0 542 542 0.01% $29.84K
ALASKA AIR GROUP INC 0 492 492 0.01% $25.01K
RALPH LAUREN CORP 0 60 60 0.01% $21.20K
POPULAR INC 0 148 148 0.01% $19.76K
SLM CORP 0 719 719 0.01% $19.52K
SOUTHWEST AIRLINES CO 0 389 389 0.01% $18.49K
WALMART INC 0 145 145 0.01% $17.28K
LAZARD INC CL A 0 288 288 0.01% $15.47K
CARLISLE COS INC 0 45 45 0.01% $15.34K
SIMPSON MFG 0 74 74 0.01% $13.08K
GCI LIBERTY INC. - CL C 0 323 323 0.01% $11.95K
CHEWY INC- CL A 0 408 408 0.01% $11.88K
HF SINCLAIR CORP 0 222 222 0.01% $11.54K
TWILIO INC CLASS A 0 73 73 0.00% $8.79K
KYNDRYL HOLDINGS INC 0 378 378 0.00% $8.69K
CREDIT ACCEPTANCE CORP 0 15 15 0.00% $7.47K
TRAVEL+LEISURE CO 0 65 65 0.00% $4.52K
IRIDIUM COMMUNICATIONS INC 0 201 201 0.00% $4.00K
PINNACLE FINANCIAL PARTNERS INC 0 41 41 0.00% $3.90K
STRATEGY INC CL A 0 26 26 0.00% $3.89K
DELL TECHNOLOGIES INC CL C 0 29 29 0.00% $3.32K
CIRCLE INTERNET GROUP INC A 0 45 45 0.00% $2.88K
AVIS BUDGET GROUP 0 19 19 0.00% $2.18K
DAVITA INC 0 19 19 0.00% $2.08K
Invesco Government & Agency Portfolio, Institutional Class 0 2,006 2,006 0.00% $2.01K
RUBRIK INC-A 0 34 34 0.00% $1.90K
GCI LIBERTY INC. A 0 47 47 0.00% $1.76K
H&R BLOCK INC 0 39 39 0.00% $1.54K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
AUTOMATIC DATA PROCESSING INC 4,566 0 -4,566 0.00% -$1.19M
CROWDSTRIKE HOLDINGS INC 943 0 -943 0.00% -$512.06K
MERCK & CO 5,885 0 -5,885 0.00% -$505.99K
CELSIUS HOLDINGS INC 7,385 0 -7,385 0.00% -$444.80K
TERADYNE INC 2,097 0 -2,097 0.00% -$381.15K
POOL CORP 1,166 0 -1,166 0.00% -$311.39K
EDWARDS LIFESCIENCES CORP 3,762 0 -3,762 0.00% -$310.18K
ADVANCED DRAINAGE SYSTEMS INC 2,211 0 -2,211 0.00% -$309.65K
LINCOLN ELECTRIC HLDGS INC 1,302 0 -1,302 0.00% -$305.25K
JPMorgan Prime Money Market Fund, IM Shares 298,579 0 -298,579 0.00% -$298.70K
PALO ALTO NETWORKS INC 1,317 0 -1,317 0.00% -$290.06K
GODADDY INC CL A 1,952 0 -1,952 0.00% -$259.87K
UNITED RENTALS INC 283 0 -283 0.00% -$246.54K
NIKE INC CL B 3,616 0 -3,616 0.00% -$233.56K
CLOROX CO 2,026 0 -2,026 0.00% -$227.84K
FLOOR & DECOR-A 2,436 0 -2,436 0.00% -$152.20K
WEATHERFORD INTERNATIONAL PLC 2,064 0 -2,064 0.00% -$152.10K
CROCS INC 1,798 0 -1,798 0.00% -$146.88K
LOUISIANA PACIFIC CORP 1,657 0 -1,657 0.00% -$144.34K
ALIGN TECHNOLOGY INC 931 0 -931 0.00% -$128.37K
RPM INTL INC 1,043 0 -1,043 0.00% -$113.98K
CHEVRON CORP 600 0 -600 0.00% -$94.63K
MOLINA HEALTHCARE INC 588 0 -588 0.00% -$90.00K
ANTERO MIDSTREAM CORP 3,947 0 -3,947 0.00% -$68.09K
LAMB WESTON HOLDINGS INC 1,043 0 -1,043 0.00% -$64.38K
EVEREST REINSURANCE GROUP LTD 193 0 -193 0.00% -$60.70K
STRYKER CORP 170 0 -170 0.00% -$60.56K
ALLSTATE CORPORATION 311 0 -311 0.00% -$59.56K
ELEVANCE HEALTH INC 180 0 -180 0.00% -$57.10K
CONSTELLATION ENERGY CORP 142 0 -142 0.00% -$53.53K
ESTEE LAUDER COS INC CL A 527 0 -527 0.00% -$50.96K
EXPEDITORS INTL OF WASH INC 414 0 -414 0.00% -$50.47K
PERMIAN RESOURCES CORP CL A 3,356 0 -3,356 0.00% -$42.15K
REGENERON PHARMACEUTICALS INC 57 0 -57 0.00% -$37.15K
DICKS SPORTING GOODS INC 162 0 -162 0.00% -$35.87K
SAIA INC 67 0 -67 0.00% -$19.60K
HP INC 670 0 -670 0.00% -$18.54K
WYNN RESORTS LTD 130 0 -130 0.00% -$15.47K
CARMAX INC 321 0 -321 0.00% -$13.45K
BOSTON BEER COMPANY CL A 42 0 -42 0.00% -$8.69K
VERISIGN INC 12 0 -12 0.00% -$2.88K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
APPLE INC 81,350 84,166 2,816 10.73% -$155.21K
MICROSOFT CORP 40,331 42,394 2,063 8.96% -$2.64M
META PLATFORMS INC CL A 13,054 14,106 1,052 4.97% $1.64M
LAM RESEARCH CORP 20,460 22,345 1,885 2.56% $2.00M
VISA INC-CLASS A 7,289 11,179 3,890 1.77% $1.11M
COSTCO WHOLESALE CORP 2,113 3,605 1,492 1.67% $1.46M
KLA CORP 1,698 2,184 486 1.53% $1.07M
TESLA INC 4,904 5,635 731 1.19% $186.39K
NETFLIX INC 1,922 21,540 19,618 0.88% -$352.07K
ORACLE CORP 6,696 8,390 1,694 0.68% -$377.61K
ROYAL CARIBBEAN CRUISES LTD 1,928 4,131 2,203 0.66% $788.12K
ARISTA NETWORKS INC 8,520 9,010 490 0.63% -$66.44K
COMFORT SYSTEMS USA INC 818 955 137 0.54% $300.86K
TRACTOR SUPPLY CO. 20,365 20,502 137 0.51% -$58.81K
VERTEX PHARMACEUTICALS INC 2,016 2,111 95 0.49% $134.01K
AMERICAN EXPRESS CO 2,507 2,700 193 0.47% $46.51K
GENERAL ELECTRIC CO 747 2,882 2,135 0.43% $653.38K
UBER TECHNOLOGIES INC 1,999 10,945 8,946 0.43% $683.24K
VERTIV HOLDINGS CO 3,558 4,605 1,047 0.42% $171.16K
BURLINGTON STORES INC 2,488 2,756 268 0.40% $134.70K
FORTINET INC 8,787 9,246 459 0.37% -$8.13K
LPL FINL HLDGS INC 1,933 2,046 113 0.37% $16.43K
INTUITIVE SURGICAL INC 880 1,436 556 0.36% $253.89K
CENCORA INC 1,690 1,908 218 0.34% $114.49K
AMGEN INC 1,588 2,003 415 0.34% $210.88K
JABIL INC 1,529 2,650 1,121 0.31% $290.81K
SERVICENOW INC 993 4,965 3,972 0.29% -$331.89K
MOODYS CORP 804 1,116 312 0.28% $189.20K
ADOBE INC 1,230 1,888 658 0.27% $135.07K
MONSTER BEVERAGE CORP 3,180 6,748 3,568 0.27% $332.45K
LAS VEGAS SANDS CORP 9,740 10,243 503 0.27% -$37.96K
ZOETIS INC CL A 2,732 4,235 1,503 0.26% $134.96K
TEXAS PACIFIC LAND CORP 469 1,407 938 0.24% $47.70K
TEXAS INSTRUMENTS INC 1,506 1,688 182 0.18% $120.69K
BLACKSTONE INC 1,949 2,528 579 0.18% $74.24K
AIRBNB INC CLASS A 2,379 2,546 167 0.16% $28.34K
NORWEGIAN CRUISE LINE HLDGS LTD 3,780 14,801 11,021 0.16% $240.28K
EXPEDIA INC 867 1,171 304 0.15% $119.39K
DARDEN RESTAURANTS INC 1,320 1,432 112 0.14% $47.67K
TRANE TECHNOLOGIES PLC 498 627 129 0.13% $40.28K
MCKESSON CORP 118 281 163 0.11% $137.83K
MASIMO CORP 1,186 1,422 236 0.10% $28.47K
KINSALE CAPITAL GROUP INC 299 464 165 0.09% $64.25K
NRG ENERGY INC 584 905 321 0.07% $37.76K
HILTON WORLDWIDE HOLDINGS INC 292 421 129 0.06% $50.64K
NETAPP INC 932 1,222 290 0.06% $7.97K
BWX TECHNOLOGIES INC 513 540 27 0.05% $1.35K
CARDINAL HEALTH INC 306 425 119 0.04% $32.95K
UBIQUITI INC 128 163 35 0.04% -$10.88K
MSCI INC 91 125 34 0.04% $22.59K
ALLY FINANCIAL INC 843 1,338 495 0.03% $23.72K
BOEING CO/THE 154 203 49 0.02% $16.49K
TRANSDIGM GROUP INC 20 24 4 0.02% $8.09K
RINGCENTRAL INC CL A 470 519 49 0.01% -$725
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
NVIDIA CORP 124,809 120,323 -4,486 11.30% -$2.28M
AMAZON.COM INC 51,542 46,184 -5,358 5.43% -$1.54M
ALPHABET INC CL A 32,436 26,071 -6,365 4.33% -$308.68K
BROADCOM INC 26,227 24,495 -1,732 3.99% -$1.58M
ALPHABET INC CL C 26,381 20,964 -5,417 3.49% -$337.75K
LILLY ELI and CO 2,806 2,517 -289 1.28% $189.32K
HOME DEPOT INC 5,467 5,114 -353 0.94% -$159.57K
APPLIED MATERIALS INC 7,258 5,285 -1,973 0.84% $11.62K
TJX COS INC 11,198 11,061 -137 0.81% $87.76K
ABBVIE INC 6,851 6,126 -725 0.67% -$127.63K
ADV MICRO DEVICE 5,610 5,573 -37 0.65% -$117.54K
IDEXX LABS INC 1,750 1,724 -26 0.57% $54.23K
CATERPILLAR INC 2,676 1,669 -1,007 0.54% -$447.61K
VISTRA CORP 7,013 6,741 -272 0.52% -$253.11K
FASTENAL CO 22,838 21,791 -1,047 0.46% $5.07K
QUALCOMM INC 11,105 5,470 -5,635 0.41% -$1.18M
INTUIT INC 1,609 1,601 -8 0.39% -$275.32K
APOLLO GLOBAL MANAGEMENT INC 5,617 5,138 -479 0.34% -$6.98K
ROSS STORES INC 5,194 3,618 -1,576 0.34% -$142.89K
LOCKHEED MARTIN CORP 1,443 1,027 -416 0.32% -$58.44K
ULTA BEAUTY INC 1,175 932 -243 0.30% -$7.52K
MOTOROLA SOLUTIONS INC 1,643 1,414 -229 0.28% -$99.03K
UNION PACIFIC CORP 3,816 2,396 -1,420 0.28% -$277.63K
COCA-COLA CO/THE 8,261 6,873 -1,388 0.25% -$55.01K
COUPANG INC A 26,592 25,360 -1,232 0.25% -$338.89K
PEPSICO INC 4,776 3,183 -1,593 0.24% -$208.72K
KIMBERLY CLARK CORP 4,725 4,029 -696 0.20% -$162.77K
WILLIAMS-SONOMA INC 2,450 1,877 -573 0.19% -$92.00K
GOLDMAN SACHS GROUP INC 542 369 -173 0.17% -$82.67K
PAYCHEX INC 3,227 2,979 -248 0.15% -$70.43K
PROGRESSIVE CORP OHIO 6,907 1,456 -5,451 0.15% -$1.12M
SALESFORCE INC 4,232 1,383 -2,849 0.14% -$808.46K
OLD DOMINION FRT 2,648 1,640 -1,008 0.14% -$87.78K
EAGLE MATERIALS INC 1,181 1,054 -127 0.11% -$35.93K
GARTNER INC 765 382 -383 0.04% -$109.91K
FACTSET RESEARCH SYSTEMS INC 468 117 -351 0.01% -$95.10K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
MASTERCARD INC CL A 5,400 5,400 0 1.43% -$71.28K
PALANTIR TECHNOLOGIES INC 11,588 11,588 0 0.83% -$624.36K
TARGA RESOURCES CORP 8,116 8,116 0 0.80% $380.97K
AMERIPRISE FINANCIAL INC 2,751 2,751 0 0.71% $204.73K
APPLOVIN CORP 2,746 2,746 0 0.64% -$450.95K
WW GRAINGER INC 1,101 1,101 0 0.58% $111.13K
CHIPOTLE MEXICAN GRILL INC 24,500 24,500 0 0.47% $175.91K
CHENIERE ENERGY INC 4,268 4,268 0 0.44% -$2.05K
DECKERS OUTDOOR CORP 5,694 5,694 0 0.33% $215.46K
DEXCOM INC 7,849 7,849 0 0.28% $116.32K
WASTE MANAGEMENT INC 2,566 2,566 0 0.28% $57.66K
TEXAS ROADHOUSE INC 2,941 2,941 0 0.26% $47.88K
LULULEMON ATHLETICA INC 2,871 2,871 0 0.25% $11.37K
SHERWIN WILLIAMS CO 1,340 1,340 0 0.23% $13.00K
LENNOX INTL INC 952 952 0 0.23% -$9.44K
VERISK ANALYTICS INC 2,160 2,160 0 0.23% -$2.81K
ILLINOIS TOOL WORKS INC 1,690 1,690 0 0.22% $29.30K
EXELIXIS INC 9,528 9,528 0 0.19% $25.63K
CINTAS CORP 2,048 2,048 0 0.19% $16.63K
EMCOR GROUP INC 528 528 0 0.19% $23.73K
SYSCO CORP 4,415 4,415 0 0.18% $42.25K
THE BOOKING HOLDINGS INC 69 69 0 0.17% -$5.24K
MURPHY USA INC 770 770 0 0.16% $49.52K
COPART INC 7,396 7,396 0 0.15% -$17.97K
HERSHEY CO/THE 1,346 1,346 0 0.13% $33.81K
VEEVA SYSTEMS-A 1,241 1,241 0 0.12% -$108.31K
RESMED INC 974 974 0 0.12% $11.13K
WATERS CORP 645 645 0 0.12% $13.62K
PAYCOM SOFTWARE INC 1,606 1,606 0 0.11% -$84.06K
COLGATE-PALMOLIVE CO 2,284 2,284 0 0.10% $30.24K
O'REILLY AUTOMOTIVE INC 2,040 2,040 0 0.10% $8.10K
FAIR ISAAC CORP 128 128 0 0.09% -$25.13K
ROLLINS INC 2,737 2,737 0 0.09% $15.68K
CDW CORPORATION 1,289 1,289 0 0.08% -$42.51K
AUTOZONE INC 42 42 0 0.08% $1.25K
KKR & CO INC 1,243 1,243 0 0.07% -$5.06K
YUM! BRANDS INC 812 812 0 0.06% $14.04K
STARBUCKS CORP 1,335 1,335 0 0.06% $14.79K
MARKEL GROUP INC 59 59 0 0.06% $3.90K
MCDONALDS CORP 334 334 0 0.05% $5.53K
CASEY'S GENERAL 169 169 0 0.05% $15.77K
SCHWAB CHARLES CORP 930 930 0 0.05% $8.74K
CHOICE HOTELS INTL INC 896 896 0 0.05% $8.82K
DOMINOS PIZZA INC 159 159 0 0.03% $1.89K
U-HAUL HOLDING CO 1,153 1,153 0 0.03% $3.25K
HCA HEALTHCARE INC 104 104 0 0.02% $2.97K
WINGSTOP INC 143 143 0 0.02% $6.98K
DROPBOX INC CL A 875 875 0 0.01% -$3.08K
AMERICAN AIRLINES GROUP INC 1,490 1,490 0 0.01% $253
NUTANIX INC CL A 445 445 0 0.01% -$14.20K
ETSY INC 328 328 0 0.01% -$2.97K
PLANET FITNESS INC CL A 114 114 0 0.01% $40
U-HAUL HOLDING CO 89 89 0 0.00% $302

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