UANQX
Victory Nasdaq-100 Index Fund
Victory Portfolios III
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.

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
WALMART INC 0 2,132,244 2,132,244 3.09% $254.04M
SEAGATE TECHNOLO 0 92,769 92,769 0.46% $37.82M
WESTERN DIGITAL CORP 0 148,518 148,518 0.45% $37.16M
MONOLITHIC POWER SYS INC 0 20,711 20,711 0.28% $23.28M
Ferrovial SE EUR0.01 0 316,479 316,479 0.26% $21.52M
ALNYLAM PHARMACEUTICALS INC 0 56,986 56,986 0.23% $19.26M
INSMED INC 0 91,520 91,520 0.17% $14.36M
NASDAQ 100 E MINI FUTURE MAR26 0 80 80 0.00% $26.49K
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
ASTRAZENECA PLC SPONS ADR 250,394 0 -250,394 0.00% -$20.63M
BIOGEN INC 61,018 0 -61,018 0.00% -$9.41M
TRADE DESK INC-A 186,119 0 -186,119 0.00% -$9.36M
CDW CORPORATION 54,327 0 -54,327 0.00% -$8.66M
ON SEMICONDUCTOR CORP 169,447 0 -169,447 0.00% -$8.49M
Globalfoundries Inc ORDINARY SHARES 229,620 0 -229,620 0.00% -$8.17M
LULULEMON ATHLETICA INC 47,481 0 -47,481 0.00% -$8.10M
SOLSTICE ADV MAT 68,449 0 -68,449 0.00% -$3.09M
NASDAQ 100 E MINI FUTURE DEC25 32 0 -32 0.00% -$1.06M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
META PLATFORMS INC CL A 382,320 462,751 80,431 4.03% $83.68M
TESLA INC 642,502 700,166 57,664 3.66% $8.02M
MICRON TECHNOLOGY INC 483,905 491,541 7,636 2.48% $95.65M
COSTCO WHOLESALE CORP 192,161 192,365 204 2.20% $5.73M
ADV MICRO DEVICE 702,923 710,918 7,995 2.04% -$11.74M
NETFLIX INC 184,209 1,847,427 1,663,218 1.87% -$51.86M
PALANTIR TECHNOLOGIES INC 985,543 997,216 11,673 1.78% -$51.39M
CISCO SYSTEMS INC 1,713,973 1,717,643 3,670 1.63% $9.22M
LAM RESEARCH CORP 546,876 548,189 1,313 1.55% $41.87M
APPLIED MATERIALS INC 344,141 347,594 3,453 1.36% $31.82M
INTEL CORP 1,890,207 2,080,443 190,236 1.17% $21.09M
T-MOBILE US INC 486,992 487,728 736 1.17% -$6.11M
PEPSICO INC 591,715 596,181 4,466 1.11% $5.15M
KLA CORP 56,948 57,296 348 0.99% $12.98M
QUALCOMM INC 466,222 466,580 358 0.86% -$13.61M
ANALOG DEVICES INC 211,972 213,271 1,299 0.81% $16.67M
APPLOVIN CORP 132,972 134,029 1,057 0.77% -$21.34M
HONEYWELL INTL INC 273,797 274,505 708 0.76% $7.33M
ASML Holding NV - NY Reg Shares 36,404 38,176 1,772 0.66% $15.76M
PALO ALTO NETWORKS INC 288,597 298,990 10,393 0.64% -$10.65M
MERCADOLIBRE INC 21,830 22,050 220 0.58% -$3.45M
STARBUCKS CORP 488,717 492,386 3,669 0.55% $5.75M
CONSTELLATION ENERGY CORP 134,570 158,483 23,913 0.54% -$6.25M
AUTOMATIC DATA PROCESSING INC 174,521 174,884 363 0.52% -$2.26M
SYNOPSYS INC 79,516 80,429 913 0.45% $1.32M
MARRIOTT INTL-A 116,399 116,488 89 0.45% $6.40M
DOORDASH INC-A 173,292 176,375 3,083 0.44% -$7.99M
CADENCE DESIGN SYSTEMS INC 117,185 118,117 932 0.43% -$4.68M
MONSTER BEVERAGE CORP 418,063 423,881 5,818 0.42% $6.29M
CINTAS CORP 172,961 174,302 1,341 0.41% $1.66M
REGENERON PHARMACEUTICALS INC 44,543 44,802 259 0.40% $4.19M
CSX CORP 798,511 807,054 8,543 0.37% $1.71M
WARNER BROS DISCOVERY INC 1,053,683 1,073,833 20,150 0.36% $5.92M
MARVELL TECHNOLOGY INC 369,839 373,571 3,732 0.36% -$5.19M
PDD HOLDINGS INC ADR 287,052 289,403 2,351 0.36% -$9.47M
PACCAR INC 223,868 227,448 3,580 0.34% $5.93M
AMERICAN ELECTRIC POWER CO INC 228,806 231,285 2,479 0.34% $185.95K
ROSS STORES INC 139,355 140,751 1,396 0.32% $4.41M
NXP SEMICONDUCTO 107,710 108,865 1,155 0.30% $2.09M
BAKER HUGHES CO 419,837 426,713 6,876 0.29% $3.59M
AIRBNB INC CLASS A 182,956 183,875 919 0.29% $636.66K
IDEXX LABS INC 34,100 34,517 417 0.28% $1.68M
ELECTRONIC ARTS INC 106,643 108,026 1,383 0.27% $693.66K
FASTENAL CO 489,916 495,786 5,870 0.26% $1.34M
DIAMONDBACK ENERGY INC 122,966 123,637 671 0.25% $2.66M
EXELON CORP 429,897 435,697 5,800 0.24% -$316.34K
XCEL ENERGY INC 251,880 255,104 3,224 0.24% -$1.04M
DATADOG INC CL A 137,801 140,205 2,404 0.22% -$4.30M
COCA COLA EUROPEAN PARTNERS PLC 194,342 197,359 3,017 0.22% $834.42K
MICROCHIP TECHNOLOGY 228,281 232,787 4,506 0.21% $3.42M
TAKE-TWO INTERACTV SOFTWR INC 78,559 79,653 1,094 0.21% -$2.59M
STRATEGY INC CL A 113,436 115,043 1,607 0.21% -$13.35M
ROPER TECHNOLOGIES INC 45,933 46,105 172 0.21% -$3.38M
COGNIZANT TECH SOLUTIONS CL A 206,133 207,749 1,616 0.21% $2.02M
COPART INC 410,784 416,472 5,688 0.21% -$767.39K
AXON ENTERPRISE INC 33,534 33,974 440 0.20% -$8.13M
KEURIG DR PEPPER INC 573,808 583,907 10,099 0.19% $437.78K
PAYCHEX INC 152,938 154,707 1,769 0.19% -$1.94M
OLD DOMINION FRT 88,420 89,859 1,439 0.19% $3.15M
GE HEALTHCARE TECHNOLOGIES INC WI 192,891 195,683 2,792 0.19% $995.91K
ZSCALER INC 66,265 68,010 1,745 0.17% -$8.34M
VERISK ANALYTICS INC 59,012 59,680 668 0.16% $68.55K
DEXCOM INC 164,228 166,754 2,526 0.15% $2.62M
KRAFT HEINZ CO/T 497,841 505,785 7,944 0.15% -$304.27K
COSTAR GROUP INC 178,964 180,635 1,671 0.13% -$1.21M
ATLASSIAN CORP PLC CLS A 69,471 71,180 1,709 0.10% -$3.36M
ARM HOLDINGS LTD 56,755 57,888 1,133 0.07% -$3.54M
Security Shares Oct 2025 Shares Jan 2026 Δ shares End % Δ value
NVIDIA CORP 4,287,548 3,848,297 -439,251 8.93% -$132.66M
APPLE INC 2,618,208 2,339,887 -278,321 7.37% -$100.73M
MICROSOFT CORP 1,311,416 1,176,837 -134,579 6.15% -$172.68M
AMAZON.COM INC 1,880,862 1,692,451 -188,411 4.92% -$54.34M
ALPHABET INC CL A 1,025,245 920,880 -104,365 3.78% $22.97M
ALPHABET INC CL C 956,936 855,767 -101,169 3.52% $20.02M
BROADCOM INC 1,372,042 747,295 -624,747 3.01% -$259.57M
LINDE PLC 202,783 202,400 -383 1.12% $7.67M
TEXAS INSTRUMENTS INC 392,595 392,269 -326 1.03% $21.17M
AMGEN INC 232,426 232,001 -425 0.96% $9.95M
INTUITIVE SURGICAL INC 154,770 154,497 -273 0.95% -$4.79M
GILEAD SCIENCES INC 535,323 531,650 -3,673 0.92% $11.34M
THE BOOKING HOLDINGS INC 13,998 13,948 -50 0.85% -$1.31M
SHOPIFY INC CL A 527,595 526,169 -1,426 0.84% -$22.68M
INTUIT INC 120,535 119,165 -1,370 0.72% -$21.01M
ADOBE INC 183,068 181,671 -1,397 0.65% -$9.02M
VERTEX PHARMACEUTICALS INC 110,360 109,688 -672 0.63% $4.58M
CROWDSTRIKE HOLDINGS INC 108,164 106,972 -1,192 0.57% -$11.52M
COMCAST CORP CL A 1,586,366 1,580,358 -6,008 0.57% $2.86M
O'REILLY AUTOMOTIVE INC 364,502 364,361 -141 0.44% $1.43M
MONDELEZ INTL INC 555,438 554,881 -557 0.39% $528.42K
FORTINET INC 328,071 321,782 -6,289 0.32% -$2.21M
AUTODESK INC 91,652 91,423 -229 0.28% -$4.50M
PAYPAL HOLDINGS 409,497 403,981 -5,516 0.26% -$7.08M
THOMSON REUTERS CORP 193,067 192,151 -916 0.26% -$8.29M
WORKDAY INC CL A 92,496 91,539 -957 0.20% -$6.11M
CHARTER COMMUNICATIONS INC A 57,872 55,123 -2,749 0.14% -$2.17M
MONEYMKT 2,945,179 2,666,728 -278,451 0.03% -$278.45K
Invesco Government & Agency Portfolio, Institutional Class 2,945,179 2,666,728 -278,451 0.03% -$278.45K
HSBC US GOVT MMKT-I 2,945,179 2,666,728 -278,451 0.03% -$278.45K
MSILF-GOVT-INS 2,945,179 2,666,728 -278,451 0.03% -$278.45K

No positions in this category.

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