VCRAX
NYLI CBRE Global Infrastructure Fund
NEW YORK LIFE INVESTMENTS FUNDS TRUST

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
51
Top-10 weight
41.26%
Effective holdings ?
35
Crowding ?
676.6

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 VINCI SA 485,735 $69.75M 4.58%
2 UNION PACIFIC CORP 293,898 $69.10M 4.54%
3 ENTERGY CORP 696,663 $66.80M 4.39%
4 PUB SERV ENTERP 768,084 $63.26M 4.16%
5 XCEL ENERGY INC 831,155 $63.22M 4.15%
6 WEC ENERGY GROUP INC 563,089 $62.32M 4.10%
7 CHENIERE ENERGY INC 294,296 $62.25M 4.09%
8 CAN NATL RAILWAY 630,003 $60.61M 3.98%
9 FERROVIAL SE 862,975 $58.33M 3.83%
10 PPL CORPORATION 1,451,487 $52.62M 3.46%
11 AENA SME SA 1,560,222 $48.51M 3.19%
12 E.ON SE 2,253,373 $47.72M 3.14%
13 TARGA RESOURCES CORP 221,329 $44.48M 2.92%
14 ATMOS ENERGY CORP 264,973 $44.08M 2.90%
15 EQUINIX INC 51,465 $42.25M 2.78%
16 CMS ENERGY CORP 590,164 $42.19M 2.77%
17 AES CORP 2,489,758 $36.47M 2.40%
18 PG&E CORP 2,339,808 $36.08M 2.37%
19 AERO DEL PACIF-B 1,313,996 $36.08M 2.37%
20 OGE ENERGY CORP 791,042 $34.55M 2.27%
21 CONSTELLATION ENERGY CORP 120,821 $33.91M 2.23%
22 CANADIAN PACIFIC KANSAS CITY LTD 388,572 $28.88M 1.90%
23 West Japan Railway Company 9021 1,319,826 $26.94M 1.77%
24 SEVERN TRENT 646,385 $25.90M 1.70%
25 GRUPO AEROPORTUA 1,657,239 $24.12M 1.58%
26 AMERICAN TOWER CORP 134,530 $24.12M 1.58%
27 NYLI U.S. Government Liquidity Fund 23,724,470 $23.72M 1.56%
28 FLUGHAFEN ZU-REG 75,846 $23.51M 1.54%
29 SOUTHERN CO 259,106 $23.14M 1.52%
30 SSE PLC 692,536 $22.95M 1.51%
31 CELLNEX TELECOM 705,289 $21.75M 1.43%
32 CENTERPOINT ENERGY INC 534,271 $21.21M 1.39%
33 KANSAI ELECTRIC POWER CO INC 1,007,400 $16.07M 1.06%
34 NATIONAL GRID PL 922,644 $15.59M 1.02%
35 ESSENTIAL UTILITIES INC 385,009 $14.93M 0.98%
36 ELIA GROUP SA/NV 96,262 $13.95M 0.92%
37 NEXTERA ENERGY INC 157,864 $13.88M 0.91%
38 KYUSHU ELEC PWR 1,129,700 $12.57M 0.83%
39 PENNON GRP PLC 1,629,305 $12.18M 0.80%
40 INFRASTRUTTURE W 1,329,417 $11.72M 0.77%
41 CHESAPEAKE UTILITIES CORP 79,590 $10.24M 0.67%
42 AUCKLAND AIRPORT 1,969,774 $9.80M 0.64%
43 CALIF WATER SRVC 209,869 $9.38M 0.62%
44 ATLAS ARTERIA 2,261,010 $7.83M 0.51%
45 CONSOLIDATED EDISON INC 71,898 $7.67M 0.50%
46 TC ENERGY CORP 130,589 $7.66M 0.50%
47 EAST JAPAN RAIL 261,800 $6.59M 0.43%
48 Invesco Government & Agency Portfolio, Institutional Class 3,945,453 $3.95M 0.26%
49 EIFFAGE 26,592 $3.94M 0.26%
50 TRANSURBAN GROUP 389,200 $3.78M 0.25%
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