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
UNILEVER PLC
0
7,830,446
7,830,446
2.08%
$532.70M
Airbus SE
0
872,975
872,975
0.78%
$199.87M
TREASURY RESERVE FUND - Collateral
0
151,173,394
151,173,394
0.59%
$151.17M
MITSUBISHI ESTAT
0
5,454,900
5,454,900
0.54%
$139.02M
PHILIP MORRIS INTL INC
0
671,352
671,352
0.47%
$120.47M
3I GROUP PLC
0
2,498,396
2,498,396
0.45%
$114.77M
INFINEON TECH
0
2,131,769
2,131,769
0.41%
$104.21M
ORSTED A/S
0
3,343,704
3,343,704
0.29%
$75.22M
MAGNUM ICE CREAM
0
3,215,910
3,215,910
0.22%
$57.10M
CSG NV
0
655,391
655,391
0.09%
$23.74M
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
T. Rowe Price Government Reserve Fund - Collateral
618,655,435
0
-618,655,435
0.00%
-$618.66M
UNILEVER PLC
8,829,456
0
-8,829,456
0.00%
-$529.81M
HEINEKEN NV
1,492,576
0
-1,492,576
0.00%
-$115.57M
MITSUBISHI CORP
4,691,200
0
-4,691,200
0.00%
-$112.65M
NXP SEMICONDUCTORS NV
528,036
0
-528,036
0.00%
-$110.42M
STOREBRAND ASA
5,259,736
0
-5,259,736
0.00%
-$81.51M
ALCON INC
993,870
0
-993,870
0.00%
-$74.08M
BASF SE COMMON STOCK
1,458,915
0
-1,458,915
0.00%
-$71.99M
COVESTRO-TEND
865,470
0
-865,470
0.00%
-$60.45M
HAMAMATSU PHOTON
5,123,900
0
-5,123,900
0.00%
-$57.35M
AKZO NOBEL
860,884
0
-860,884
0.00%
-$56.89M
THALES SA
190,242
0
-190,242
0.00%
-$54.25M
Ashtead Group PLC
673,673
0
-673,673
0.00%
-$45.00M
EDENRED
1,557,072
0
-1,557,072
0.00%
-$44.76M
TELEPERFORMANCE SE
502,822
0
-502,822
0.00%
-$35.91M
SYSMEX CORPORATION
307,900
0
-307,900
0.00%
-$3.43M
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
ASTRAZENECA PLC SPONS ADR
5,403,290
5,529,535
126,245
2.00%
$67.74M
SONY GROUP CORP
12,094,600
13,947,800
1,853,200
1.20%
-$29.31M
HITACHI LTD
7,866,000
8,230,400
364,400
1.11%
$16.90M
NOVO NORDISK-B
3,194,937
4,526,363
1,331,426
1.05%
$111.48M
SANDVIK AB
6,316,784
6,512,034
195,250
1.00%
$66.12M
UNICREDIT SPA
2,840,085
2,928,242
88,157
1.00%
$44.89M
ROLLS-ROYCE HOLDINGS PLC
12,385,337
13,985,893
1,600,556
0.91%
$43.21M
BBVA
8,616,727
9,189,047
572,320
0.91%
$59.66M
CHUGAI PHARMA CO
3,692,200
3,825,300
133,100
0.85%
$49.52M
UBS GROUP AG
4,045,158
4,203,022
157,864
0.78%
$44.08M
ANZ GROUP HOLDIN
7,406,781
7,688,518
281,737
0.76%
$18.19M
AIA Group Ltd
15,559,200
16,222,200
663,000
0.73%
$35.76M
ASICS CORP
7,099,100
7,567,700
468,600
0.71%
$1.40M
RHEINMETALL AG
79,072
85,859
6,787
0.71%
$26.48M
BT GROUP PLC
66,160,539
69,021,845
2,861,306
0.71%
$19.96M
SUMITOMO MITSUI
4,296,134
5,052,834
756,700
0.66%
$50.76M
ARGENX SE SPONSORED ADR
183,526
191,189
7,663
0.63%
$10.48M
DEFINITY FINANCI
3,041,559
3,135,535
93,976
0.60%
$11.95M
KT Corporation
3,546,964
3,630,737
83,773
0.59%
$23.52M
ISETAN MITSUKOSH
8,857,900
9,254,700
396,800
0.58%
$9.51M
AVIVA PLC
14,718,819
16,890,243
2,171,424
0.57%
$17.88M
RECRUIT HOLDINGS
2,509,000
2,740,600
231,600
0.56%
$19.94M
RENESAS ELECTRON
7,259,900
8,636,600
1,376,700
0.56%
$53.93M
SEVEN I HOLDINGS COMPANY
8,855,200
9,682,600
827,400
0.54%
$26.02M
DIAGEO PLC
4,182,812
5,551,589
1,368,777
0.50%
$31.53M
NINTENDO CO LTD
858,400
2,007,100
1,148,700
0.49%
$51.08M
HOYA CORP
567,000
712,200
145,200
0.47%
$27.38M
STORA ENSO OYJ-R
7,087,501
9,333,978
2,246,477
0.42%
$24.92M
ORIX CORP
2,953,000
3,433,900
480,900
0.41%
$32.41M
INDRA SISTEMAS
863,182
1,602,882
739,700
0.40%
$55.85M
BAWAG GROUP AG
281,243
430,555
149,312
0.27%
$33.70M
TSURUHA HOLDINGS INC COMMON STOCK
1,620,300
3,584,000
1,963,700
0.22%
$28.98M
KLARNA GROUP PLC
696,885
950,815
253,930
0.09%
-$4.25M
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
ASML Holding NV
517,714
516,047
-1,667
2.89%
$192.58M
SIEMENS AG-REG
2,421,803
2,328,389
-93,414
2.75%
$17.61M
TSMC
9,549,089
8,841,089
-708,000
1.91%
$27.09M
ROCHE HOLDINGS AG (GENUSSCHEINE)
989,488
968,076
-21,412
1.72%
$119.71M
NESTLE SA (REG)
4,327,315
4,313,387
-13,928
1.61%
-$1.86M
TOTALENERGIES SE
5,348,218
5,331,004
-17,214
1.51%
$53.80M
MITSUBISHI UFJ F
20,071,600
20,007,000
-64,600
1.41%
$59.15M
Novartis AG (Registered)
2,498,317
2,436,738
-61,579
1.41%
$52.34M
SHELL PLC SPONS ADR
4,214,087
4,200,523
-13,564
1.26%
$7.85M
BANCO SANTANDER SA
25,164,650
25,083,655
-80,995
1.25%
$63.84M
TOYOTA MOTOR CORP
14,012,700
13,967,500
-45,200
1.24%
$30.90M
MITSUB ELEC CORP
10,568,300
9,746,500
-821,800
1.19%
$4.63M
PRYSMIAN SPA
2,971,500
2,515,299
-456,201
1.16%
-$11.90M
ABB Ltd. (Registered)
3,781,307
3,444,917
-336,390
1.16%
$15.47M
NATIONAL GRID PL
16,634,340
16,580,801
-53,539
1.10%
$32.28M
SAP SE
1,461,950
1,407,510
-54,440
1.10%
-$99.04M
SUMITOMO CORP
6,884,300
6,862,200
-22,100
1.09%
$78.40M
STANDARD CHARTER
10,843,581
10,480,308
-363,273
1.05%
$45.56M
SOC GENERALE SA
3,206,597
2,940,679
-265,918
1.01%
$54.33M
Compass Group PLC
8,607,987
8,580,282
-27,705
1.00%
-$27.64M
LLOYDS BANKING
171,960,432
171,406,962
-553,470
1.00%
$54.32M
ENGIE
8,145,703
7,839,148
-306,555
0.91%
$43.33M
DBS GROUP HLDGS
5,014,940
4,998,840
-16,100
0.91%
$24.73M
DNB BANK ASA
8,708,563
7,859,797
-848,766
0.88%
$3.08M
SAMSUNG ELECTRONICS CO LTD
2,583,486
2,007,508
-575,978
0.87%
$27.30M
ING GROEP NV
8,880,617
7,441,573
-1,439,044
0.86%
-$2.29M
ANTOFAGASTA PLC
4,780,375
4,330,539
-449,836
0.84%
$39.13M
SAFRAN SA
714,530
575,855
-138,675
0.80%
-$48.14M
SK SQUARE CO LTD
632,636
518,319
-114,317
0.79%
$88.06M
L'Air Liquide, societe anonyme pour l'Etude et l'Exploitation des procedes Georges Claude
1,085,774
1,082,280
-3,494
0.79%
-$7.47M
AXA
4,517,001
4,349,266
-167,735
0.77%
$2.34M
TOKYO ELECTRON
745,700
743,300
-2,400
0.77%
$33.65M
EQUINOR ASA
7,345,655
7,322,012
-23,643
0.77%
$20.87M
BARCLAYS PLC
28,918,338
28,825,262
-93,076
0.75%
$37.27M
KONINKLIJKE PHIL
6,631,781
6,610,437
-21,344
0.74%
$8.15M
SAMPO OYJ-A SHS
17,023,478
16,968,687
-54,791
0.74%
-$509.11K
SKANDINAVISK ENSKILDA BANKEN AB
8,612,928
8,585,206
-27,722
0.72%
$20.12M
L'OREAL SA ORD
393,936
392,669
-1,267
0.70%
$16.01M
KDDI Corporation
11,293,800
10,524,600
-769,200
0.69%
-$2.33M
BHP GROUP LTD
5,618,995
5,079,659
-539,336
0.68%
$15.04M
SIEMENS HEALTHINEERS AG COMMON STOCK
3,406,869
3,395,904
-10,965
0.66%
-$21.45M
INTESA SANPAOLO
23,812,686
23,736,043
-76,643
0.66%
$14.56M
ERSTE GROUP BANK
1,272,159
1,268,065
-4,094
0.64%
$33.08M
TOKIO MARINE HOLDINGS INC COMMON STOCK
4,431,200
4,417,000
-14,200
0.64%
-$620.77K
NEC CORP
5,209,400
4,841,600
-367,800
0.64%
-$25.08M
NEXT PLC
901,439
898,537
-2,902
0.64%
-$6.23M
SCENTRE GROUP
56,367,701
56,186,276
-181,425
0.62%
$9.08M
Sanofi SA
2,004,245
1,685,681
-318,564
0.62%
-$43.76M
ELEMENT FLEET MANAGEMENT CORP
6,743,051
6,189,166
-553,885
0.61%
-$25.06M
SHIN-ETSU CHEM
4,674,000
4,658,900
-15,100
0.60%
$12.71M
AERCAP HOLDINGS NV
1,101,207
1,063,541
-37,666
0.60%
$9.37M
VINCI SA
1,036,367
1,033,032
-3,335
0.58%
$9.96M
MITSUI FUDOSAN
15,074,100
12,908,600
-2,165,500
0.58%
-$8.94M
ESSILORLUXOTTICA
481,358
479,808
-1,550
0.57%
-$29.61M
MACQUARIE GROUP
980,098
976,943
-3,155
0.56%
$3.58M
Brookfield Corp
3,150,313
3,140,173
-10,140
0.56%
-$1.93M
RYANAIR HOLDINGS PLC SPON ADR
2,126,618
2,017,707
-108,911
0.56%
$9.58M
BROADCOM INC
502,173
426,274
-75,899
0.55%
-$44.39M
HOLCIM LTD
1,310,256
1,306,039
-4,217
0.53%
$18.13M
KERING
417,072
415,729
-1,343
0.51%
-$18.33M
LEGRAND SA COMMON STOCK
944,497
809,733
-134,764
0.50%
-$33.82M
Amadeus IT Holding, S.A.
1,880,753
1,874,699
-6,054
0.49%
-$18.07M
ERICSSON (LM) TELE CO CL B
15,276,649
11,199,535
-4,077,114
0.47%
-$33.70M
MONCLER SPA
2,056,411
2,049,792
-6,619
0.47%
-$3.93M
KINGFISHER PLC COMMON STOCK
30,278,405
25,481,883
-4,796,522
0.46%
-$5.37M
KION GROUP AG
1,712,681
1,643,575
-69,106
0.45%
-$5.60M
AUTOLIV INC SWED DEP RCPTS (SWEDISH DEPOSITORY RECEIPTS)