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.
Dec 31, 2025 → Mar 31, 2026
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 6 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
SAMSARA INC-CL A
0
5,459,271
5,459,271
0.92%
$173.00M
ROBLOX CORP - A
0
2,908,016
2,908,016
0.88%
$164.48M
SEA LTD ADR
0
1,635,140
1,635,140
0.72%
$135.41M
STANDARDAERO INC
0
3,534,005
3,534,005
0.49%
$91.28M
FIGMA INC-CL A
0
2,688,039
2,688,039
0.30%
$56.83M
T-MOBILE US INC
0
232,384
232,384
0.26%
$48.81M
▶
Exited
· 5 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
COUPANG INC A
5,289,763
0
-5,289,763
0.00%
-$124.79M
THE CIGNA GROUP
371,924
0
-371,924
0.00%
-$102.36M
EQUIFAX INC
273,449
0
-273,449
0.00%
-$59.33M
ARES MANAGEMENT CORP CL A
284,652
0
-284,652
0.00%
-$46.01M
ADV MICRO DEVICE
91,048
0
-91,048
0.00%
-$19.50M
▶
Increased
· 9 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
NETFLIX INC
2,649,587
2,823,482
173,895
1.44%
$23.05M
SERVICENOW INC
1,893,850
1,929,647
35,797
1.07%
-$88.37M
DOORDASH INC-A
758,675
1,195,465
436,790
0.96%
$7.67M
DANAHER CORP
573,879
754,194
180,315
0.76%
$11.62M
Adyen NV
9,102,140
14,226,406
5,124,266
0.75%
-$3.52M
INGERSOLL RAND INC
1,410,960
1,499,888
88,928
0.64%
$8.39M
MONGODB INC CL A
419,231
475,229
55,998
0.62%
-$59.63M
ICAPITAL INC COMMON STOCK PP
3,833,913
5,036,379
1,202,466
0.46%
$31.94M
ROCKET COS INC-A
2,934,263
5,941,310
3,007,047
0.45%
$27.86M
▶
Decreased
· 36 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
NVIDIA CORP
13,728,547
13,206,253
-522,294
12.26%
-$257.20M
APPLE INC
7,610,291
7,244,756
-365,535
9.79%
-$230.29M
MICROSOFT CORP
5,315,680
4,565,480
-750,200
8.99%
-$880.77M
ALPHABET INC CL A
5,308,479
4,732,205
-576,274
7.24%
-$300.76M
BROADCOM INC
3,353,410
3,293,210
-60,200
5.42%
-$141.33M
AMAZON.COM INC
4,110,104
3,552,556
-557,548
3.94%
-$208.80M
META PLATFORMS INC CL A
1,264,658
1,038,379
-226,279
3.16%
-$240.70M
MASTERCARD INC CL A
1,221,410
1,139,980
-81,430
3.03%
-$127.68M
VISA INC-CLASS A
1,667,370
1,637,595
-29,775
2.63%
-$89.82M
BLOCK INC CL A
8,457,158
8,052,667
-404,491
2.58%
-$65.87M
LILLY ELI and CO
471,701
463,235
-8,466
2.27%
-$80.86M
INTUITIVE SURGICAL INC
859,106
843,683
-15,423
2.07%
-$97.63M
INTUIT INC
849,701
771,554
-78,147
1.78%
-$229.25M
ARISTA NETWORKS INC
2,705,518
2,574,505
-131,013
1.68%
-$38.41M
HOWMET AEROSPACE INC
1,590,186
1,363,596
-226,590
1.67%
-$11.77M
AMPHENOL CORPORATION CL A
4,161,135
2,382,759
-1,778,376
1.60%
-$261.27M
UNITEDHEALTH GRP
941,935
925,026
-16,909
1.33%
-$60.64M
STRYKER CORP
762,974
749,276
-13,698
1.31%
-$21.96M
THE BOOKING HOLDINGS INC
50,070
49,174
-896
1.10%
-$61.10M
LATTICE SEMICONDUCTOR CORP
2,371,275
2,202,419
-168,856
1.09%
$29.82M
MERCADOLIBRE INC
116,214
114,129
-2,085
1.05%
-$36.75M
NATERA INC
960,961
943,709
-17,252
1.00%
-$31.41M
ENTEGRIS INC
2,486,427
1,608,929
-877,498
1.00%
-$20.85M
TRADEWEB MARKETS INC A
1,647,873
1,507,691
-140,182
0.94%
$182.66K
HUBSPOT INC
777,303
723,386
-53,917
0.94%
-$135.35M
CIENA CORP
523,658
426,765
-96,893
0.88%
$43.22M
ARGENX SE SPONSORED ADR
216,173
212,294
-3,879
0.83%
-$26.76M
BOEING CO/THE
870,137
766,232
-103,905
0.81%
-$36.42M
TOWER SEMICONDCT
877,575
861,818
-15,757
0.80%
$48.19M
DATADOG INC CL A
1,235,362
1,213,183
-22,179
0.76%
-$24.78M
FABRINET
303,898
272,591
-31,307
0.76%
$3.80M
CHIPOTLE MEXICAN GRILL INC
3,802,529
3,734,267
-68,262
0.64%
-$21.16M
SHOPIFY INC CL A
943,864
926,918
-16,946
0.59%
-$41.98M
APPLOVIN CORP
327,509
231,321
-96,188
0.49%
-$128.62M
T Rowe Price Government Reserve Investment Fund
404,191,912
45,136,441
-359,055,471
0.24%
-$359.06M
TREASURY RESERVE FUND - Collateral
24,996,470
22,931,122
-2,065,348
0.12%
-$2.07M
▶
Unchanged
· 30 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
KOBOLD METALS SER C-1 CVT PFD STOCK PP
610,955
610,955
0
0.37%
$0
DATABRICKS SER H CVT PFD STOCK PP
304,686
304,686
0
0.31%
$0
FHU US HLDGS UNITS DBA CHOBANI LLC PP
11,291
11,291
0
0.27%
$0
STRIPE INC CL B COMMON PP
696,358
696,358
0
0.23%
$15.03M
NURO SERIES C CVT PFD STOCK
2,118,369
2,118,369
0
0.17%
$0
WAYMO LLC SER A-2 CVT PFD UNITS PP
188,785
188,785
0
0.17%
$2.56M
CANVA COMMON STOCK PP
20,080
20,080
0
0.16%
-$3.01M
REDWOOD MATERIALS SER C CVT STOCK PP
492,252
492,252
0
0.12%
$0
CANVA CLASS A COMMON STOCK PP
14,739
14,739
0
0.12%
-$2.21M
OPENAI LLV CVT INT Series A-3 CVT
26,272
26,272
0
0.10%
$5.37M
CELONIS SERIES D CVT PFD STOCK PP
106,424
106,424
0
0.07%
-$6.26M
SILA NANO SER G CVT PFD PP
1,066,996
1,066,996
0
0.05%
-$6.84M
RAPPI INC SER F CVT PFD PP
544,536
544,536
0
0.05%
$0
NURO SERIES D CVT PFD STOCK PP
535,481
535,481
0
0.04%
$0
REDWOOD MATERIALS SER D CVT PFD STOCK PP
171,891
171,891
0
0.04%
$0
SOCURE SERIES E CVT PFD STOCK PP
742,561
742,561
0
0.04%
$1.81M
RAPPI INC SER E CVT PFD PP
401,388
401,388
0
0.04%
$0
SILA NANO SER F CVT PFD STOCK PP
410,238
410,238
0
0.02%
-$3.02M
SOCURE SERIES A CVT PFD STOCK PP
390,346
390,346
0
0.02%
$952.44K
SOCURE INC PP
321,182
321,182
0
0.02%
$783.68K
SOCURE SERIES A-1 CVT PFD STOCK PP
320,373
320,373
0
0.02%
$781.71K
CELONIS SE PP
25,851
25,851
0
0.02%
-$1.52M
WAYMO LLC SER B-2 CVT PFD UNITS PP
14,135
14,135
0
0.01%
$193.51K
CANVA SERIES A CVT PFD STOCK PP
1,362
1,362
0
0.01%
-$203.92K
CANVA SERIES A-3 CVT PFD STOCK PP
324
324
0
0.00%
-$48.51K
ABL SPACE SYSTEMS SER A-9 CVT PFD STK PP
630,376
630,376
0
0.00%
$0
SOCURE SERIES B CVT PFD STOCK PP
5,796
5,796
0
0.00%
$14.14K
CANVA SERIES A-4 CVT PFD STOCK PP
33
33
0
0.00%
-$4.94K
CANVA SERIES A-5 CVT PFD STOCK PP
1
1
0
0.00%
-$150
MAGIC LEAP
46,476
46,476
0
0.00%
$0
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