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
· 26 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
DIAMONDBACK ENERGY INC
0
5,053,309
5,053,309
1.60%
$999.49M
MICROSOFT CORP
0
1,483,311
1,483,311
0.88%
$549.08M
ROCHE HOLDING AG
0
1,049,066
1,049,066
0.67%
$418.67M
ASTRAZENECA PLC
0
2,117,940
2,117,940
0.67%
$417.70M
VISA INC-CLASS A
0
1,379,045
1,379,045
0.67%
$416.80M
S&P GLOBAL INC
0
966,381
966,381
0.66%
$411.04M
CAPITAL ONE FINANCIAL CORP
0
2,216,308
2,216,308
0.65%
$404.32M
ROPER TECHNOLOGIES INC
0
1,107,461
1,107,461
0.63%
$391.89M
SUNBELT RENTALS
0
6,021,182
6,021,182
0.62%
$384.10M
LINDE PLC
0
231,576
231,576
0.18%
$114.81M
ORACLE CORP
0
777,526
777,526
0.18%
$114.38M
SCHWAB CHARLES CORP
0
1,163,842
1,163,842
0.18%
$109.38M
DOMINOS PIZZA INC
0
293,772
293,772
0.17%
$105.40M
PG&E CORP
0
5,906,260
5,906,260
0.17%
$103.77M
MAGNOLIA OIL and GAS CORPO CL A
0
1,392,973
1,392,973
0.07%
$43.98M
SS&C TECHNOLOGIE
0
626,294
626,294
0.07%
$42.32M
CRH PLC
0
294,793
294,793
0.05%
$30.99M
RPM INTL INC
0
269,047
269,047
0.04%
$26.74M
GENPACT LTD
0
530,914
530,914
0.03%
$19.78M
EAST WEST BNCRP
0
122,358
122,358
0.02%
$13.06M
TRUIST FINL CORP
0
267,146
267,146
0.02%
$12.28M
ILLINOIS TOOL WORKS INC
0
44,686
44,686
0.02%
$11.63M
PRIMERICA INC
0
43,636
43,636
0.02%
$10.93M
WESTERN ALLIANCE BANCORP
0
104,995
104,995
0.01%
$7.44M
MSCI INC
0
11,171
11,171
0.01%
$6.02M
GENTEX CORP
0
240,151
240,151
0.01%
$5.25M
▶
Exited
· 12 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
COTERRA ENERGY INC
22,954,636
0
-22,954,636
0.00%
-$604.17M
ROCHE HLDG-GENUS
1,067,807
0
-1,067,807
0.00%
-$440.97M
ASTRAZENECA-ADR
4,679,122
0
-4,679,122
0.00%
-$430.15M
IDEX CORPORATION
2,243,248
0
-2,243,248
0.00%
-$399.16M
WEC ENERGY GROUP INC
3,311,563
0
-3,311,563
0.00%
-$349.24M
TRACTOR SUPPLY CO.
6,762,276
0
-6,762,276
0.00%
-$338.18M
PNC FINANCIAL SERVICES GRP INC
1,134,181
0
-1,134,181
0.00%
-$236.74M
US BANCORP DEL
1,023,555
0
-1,023,555
0.00%
-$54.62M
OVINTIV INC
1,347,563
0
-1,347,563
0.00%
-$52.81M
WILLIAMS-SONOMA INC
121,601
0
-121,601
0.00%
-$21.72M
TORO CO
191,176
0
-191,176
0.00%
-$15.05M
OLD REPUBLIC INTL CORP
119,562
0
-119,562
0.00%
-$5.46M
▶
Increased
· 75 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
BROADCOM INC
10,998,622
11,231,188
232,566
5.57%
-$330.46M
CISCO SYSTEMS INC
14,101,059
14,531,373
430,314
1.81%
$41.28M
Vanguard Market Liquidity Fund
518,050,155
1,050,291,300
532,241,145
1.68%
$476.87M
M&T BANK CORP
3,808,621
3,880,060
71,439
1.29%
$34.73M
UNILEVER PLC-ADR
11,151,497
14,061,353
2,909,856
1.28%
$71.77M
T-MOBILE US INC
3,392,085
3,762,704
370,619
1.27%
$101.55M
HUNTINGTON BANCSHARES INC
28,443,241
47,196,827
18,753,586
1.18%
$245.14M
PHILIP MORRIS INTL INC
4,294,110
4,390,053
95,943
1.16%
$37.08M
MARSH & MCLENNAN
3,256,068
4,087,471
831,403
1.14%
$104.91M
AMERICAN INTERNATIONAL GROUP
8,324,768
9,356,064
1,031,296
1.13%
-$8.14M
CROWN CASTLE INC
6,501,644
8,569,335
2,067,691
1.12%
$118.97M
AUTOMATIC DATA PROCESSING INC
2,252,732
3,383,209
1,130,477
1.10%
$107.93M
KEURIG DR PEPPER INC
24,700,428
25,846,090
1,145,662
1.09%
-$11.33M
DOMINION ENERGY INC
9,824,017
9,867,313
43,296
0.98%
$34.41M
WALT DISNEY CO/T
874,098
6,085,803
5,211,705
0.94%
$487.10M
DICKS SPORTING GOODS INC
2,319,507
2,844,826
525,319
0.90%
$104.91M
PROGRESSIVE CORP OHIO
2,757,129
2,835,404
78,275
0.90%
-$65.76M
TE CONNECTIVITY
2,179,332
2,684,927
505,595
0.90%
$65.38M
LILLY ELI and CO
295,995
602,371
306,376
0.89%
$235.94M
ZOETIS INC CL A
3,251,294
4,675,498
1,424,204
0.89%
$143.61M
ARES MANAGEMENT CORP CL A
2,221,656
5,004,375
2,782,719
0.88%
$186.89M
NXP SEMICONDUCTO
2,623,481
2,768,514
145,033
0.87%
-$24.44M
REGIONS FINANCIAL CORP
18,710,897
20,793,648
2,082,751
0.87%
$36.06M
NASDAQ INC
4,434,584
6,335,486
1,900,902
0.86%
$107.09M
AMERICAN WATER WRKS COMPANY
3,074,892
3,708,683
633,791
0.81%
$103.44M
EATON CORP PLC
1,076,815
1,373,713
296,898
0.79%
$148.36M
RAYMOND JAMES FINANCIAL INC.
2,797,902
3,372,198
574,296
0.78%
$38.95M
SUN COMMUNITIES INC - REIT
3,266,865
3,806,525
539,660
0.77%
$74.67M
KIMBERLY CLARK CORP
3,969,809
4,840,551
870,742
0.75%
$66.45M
BECTON DICKINSON and CO
2,180,550
2,966,005
785,455
0.75%
$43.17M
INTERCONTINENTAL EXCHANGE INC
2,667,271
2,936,554
269,283
0.74%
$29.87M
ATMOS ENERGY CORP
2,393,487
2,434,226
40,739
0.72%
$48.43M
CVS HEALTH CORP
4,590,502
5,824,240
1,233,738
0.67%
$53.99M
NUTRIEN LTD
3,448,550
4,470,639
1,022,089
0.54%
$124.51M
PERNOD RICARD SA
3,699,088
4,066,983
367,895
0.48%
-$14.31M
NIKE INC CL B
4,443,414
5,242,529
799,115
0.44%
-$6.18M
ABBOTT LABS
1,025,056
2,653,319
1,628,263
0.44%
$143.99M
QUALCOMM INC
1,824,979
1,914,920
89,941
0.40%
-$65.56M
PUB SERV ENTERP
1,863,927
1,902,359
38,432
0.25%
$4.32M
AMERIPRISE FINANCIAL INC
331,695
335,894
4,199
0.24%
-$13.37M
NORTHROP GRUMMAN CORP
203,712
210,774
7,062
0.23%
$27.64M
SYNCHRONY FINANCIAL
1,863,135
2,035,406
172,271
0.22%
-$16.99M
RBS TRIPARTY TREASUR
11,900,000
137,400,000
125,500,000
0.22%
$125.50M
RTX CORP
645,207
679,048
33,841
0.21%
$12.66M
OTIS WORLDWIDE CORP
1,653,708
1,677,892
24,184
0.21%
-$15.12M
HP INC
5,089,321
6,715,176
1,625,855
0.21%
$15.61M
LAS VEGAS SANDS CORP
1,408,113
2,376,945
968,832
0.21%
$36.42M
NOMURA TREAS TRIPARTY
17,600,000
123,600,000
106,000,000
0.20%
$106.00M
OWENS CORNING INC
1,113,171
1,128,227
15,056
0.20%
-$2.48M
MASCO CORPORATION
1,883,443
2,012,684
129,241
0.19%
$1.98M
INGREDION INC
632,743
981,047
348,304
0.18%
$40.76M
SMITH (AO) CORP
1,294,430
1,552,671
258,241
0.16%
$15.81M
BLACKROCK INC
49,363
97,039
47,676
0.15%
$40.49M
ESSENT GROUP LTD
1,241,617
1,590,059
348,442
0.15%
$12.21M
ASSURED GUARANTY
1,069,055
1,108,283
39,228
0.14%
-$5.77M
LOCKHEED MARTIN CORP
16,634
146,367
129,733
0.14%
$80.42M
SOUTHSTATE BANK CORP
435,573
923,201
487,628
0.14%
$44.42M
ADT INC
11,283,696
12,484,049
1,200,353
0.13%
-$9.04M
EASTMAN CHEMICAL CO
236,682
978,247
741,565
0.12%
$59.55M
ASSURANT INC
312,605
334,505
21,900
0.12%
-$2.43M
GENERAL MILLS INC
1,454,118
1,767,825
313,707
0.11%
-$1.82M
COMMERCE BCSHS
711,871
1,168,329
456,458
0.09%
$20.22M
TEXAS INSTRUMENTS INC
256,841
293,392
36,551
0.09%
$12.40M
BLACKSTONE INC
485,488
490,552
5,064
0.09%
-$18.42M
MOLSON COORS BEVERAGE CO B
94,231
1,255,224
1,160,993
0.09%
$49.65M
SYSCO CORP
628,840
752,702
123,862
0.09%
$7.35M
NEWMARKET CORP
43,834
76,630
32,796
0.08%
$18.99M
BEST BUY CO INC
560,912
710,513
149,601
0.07%
$8.07M
H&R BLOCK INC
731,956
1,101,908
369,952
0.06%
$3.08M
NRG ENERGY INC
98,123
230,860
132,737
0.05%
$18.11M
UGI CORP NEW
400,274
761,415
361,141
0.04%
$12.75M
ANALOG DEVICES INC
40,525
76,602
36,077
0.04%
$13.38M
BANK OZK
113,698
340,608
226,910
0.03%
$10.40M
AMERICAN FINL GROUP INC OHIO
43,126
80,676
37,550
0.02%
$4.41M
US ULTRA BOND CBT Sep25
3,915,961
5,277,663
1,361,702
0.01%
$48.43M
▶
Decreased
· 94 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
MERCK & CO
15,952,264
13,145,851
-2,806,413
2.54%
-$97.82M
JOHNSON&JOHNSON
7,229,742
6,000,464
-1,229,278
2.35%
-$29.44M
BANK OF AMERICA CORPORATION
29,595,212
27,062,414
-2,532,798
2.11%
-$308.44M
HONEYWELL INTL INC
4,276,091
3,964,213
-311,878
1.44%
$61.81M
GILEAD SCIENCES INC
7,249,431
6,096,560
-1,152,871
1.36%
-$40.12M
EXXON MOBIL CORP
4,948,428
4,595,671
-352,757
1.25%
$184.21M
CONOCOPHILLIPS
10,930,375
5,694,032
-5,236,343
1.20%
-$271.58M
JPMORGAN CHASE and CO
5,128,102
2,275,933
-2,852,169
1.07%
-$982.89M
TARGA RESOURCES CORP
2,995,522
2,594,116
-401,406
1.04%
$97.75M
AMERICAN ELECTRIC POWER CO INC
5,310,450
4,662,253
-648,197
0.98%
-$1.22M
ELEVANCE HEALTH INC
2,132,750
2,085,163
-47,587
0.98%
-$137.20M
SEMPRA ENERGY
6,315,671
6,204,826
-110,845
0.97%
$45.31M
FERGUSON ENTERPRISES INC
2,903,542
2,532,321
-371,221
0.95%
-$55.73M
L3HARRIS TECHNOLOGIES INC
1,665,610
1,618,615
-46,995
0.90%
$69.69M
PPG INDUSTRIES INC
6,032,197
5,065,897
-966,300
0.87%
-$76.62M
PFIZER INC
19,840,451
19,175,311
-665,140
0.86%
$44.42M
AVERY DENNISON CORP
3,184,116
3,059,094
-125,022
0.85%
-$50.88M
MARATHON PETROLEUM CORP
2,273,944
2,124,211
-149,733
0.83%
$148.88M
ARCHER DANIELS MIDLAND CO
10,390,791
6,967,261
-3,423,530
0.81%
-$90.92M
PPL CORPORATION
17,797,185
12,328,591
-5,468,594
0.75%
-$152.31M
PACCAR INC
5,955,691
4,008,003
-1,947,688
0.74%
-$189.28M
EMERSON ELECTRIC CO
4,115,686
3,467,973
-647,713
0.73%
-$91.86M
PROCTER & GAMBLE
3,145,080
3,114,410
-30,670
0.72%
-$876.03K
INDUSTRIA DE DISENO TEXTIL
7,887,398
7,680,885
-206,513
0.72%
-$73.19M
CONSTELLATION BRANDS INC CL A
3,475,684
2,933,924
-541,760
0.71%
-$39.42M
EQT CORPORATION
9,542,171
6,455,136
-3,087,035
0.66%
-$100.66M
WEYERHAEUSER CO
17,675,597
16,592,178
-1,083,419
0.65%
-$13.39M
ANGLO AMER PLC
13,062,457
9,287,265
-3,775,192
0.64%
-$141.54M
WELLS FARGO & CO
4,703,501
4,600,536
-102,965
0.59%
-$72.12M
CATERPILLAR INC
523,721
503,495
-20,226
0.57%
$56.68M
JOHNSON CONTROLS
3,354,828
2,423,420
-931,408
0.51%
-$84.39M
DARDEN RESTAURANTS INC
2,438,765
1,564,591
-874,174
0.49%
-$142.06M
PEPSICO INC
2,016,673
1,961,244
-55,429
0.49%
$15.13M
ABBVIE INC
1,328,216
1,273,766
-54,450
0.44%
-$26.45M
BRISTOL-MYERS SQUIBB CO
4,476,568
4,146,327
-330,241
0.40%
$10.01M
HOME DEPOT INC
752,012
692,946
-59,066
0.37%
-$30.86M
ACCENTURE PLC-A
2,947,457
1,137,371
-1,810,086
0.36%
-$565.27M
EOG RESOURCES INC
1,621,478
1,488,222
-133,256
0.34%
$44.88M
CUMMINS INC
392,967
372,047
-20,920
0.32%
-$421.28K
BANK OF NEW YORK MELLON CORP
1,667,194
1,560,658
-106,536
0.30%
-$8.40M
COCA-COLA CO/THE
2,398,141
2,332,850
-65,291
0.28%
$9.76M
LOWES COS INC
1,012,024
725,368
-286,656
0.27%
-$72.67M
DEVON ENERGY CORP
3,718,925
3,369,506
-349,419
0.27%
$33.33M
KROGER CO
2,361,986
2,312,883
-49,103
0.27%
$19.78M
STATE STREET CORP
1,310,376
1,259,281
-51,095
0.26%
-$9.68M
EDISON INTL
2,483,135
2,157,894
-325,241
0.25%
$8.88M
ALTRIA GROUP INC
3,237,921
2,326,196
-911,725
0.25%
-$33.19M
MATADOR RESOURCES COMPANY
2,837,711
2,413,464
-424,247
0.24%
$32.05M
EBAY INC
1,795,467
1,646,811
-148,656
0.24%
-$6.49M
BORGWARNER INC
2,885,924
2,705,628
-180,296
0.24%
$16.77M
NATL FUEL GAS CO
1,505,526
1,472,420
-33,106
0.22%
$17.82M
VERIZON COMMUNICATIONS INC
4,856,070
2,732,959
-2,123,111
0.22%
-$60.59M
UNION PACIFIC CORP
1,045,838
563,930
-481,908
0.22%
-$105.10M
EXELON CORP
3,571,889
2,743,735
-828,154
0.22%
-$21.20M
KLA CORP
106,136
89,662
-16,474
0.21%
$3.06M
WALMART INC
5,466,951
1,037,897
-4,429,054
0.21%
-$480.08M
LEAR CORP NEW
1,178,596
1,049,770
-128,826
0.20%
-$7.96M
UNITEDHEALTH GRP
2,960,475
467,924
-2,492,551
0.20%
-$850.67M
OSHKOSH CORP
993,480
852,910
-140,570
0.20%
$745.99K
TRAVEL+LEISURE CO
1,985,440
1,811,552
-173,888
0.20%
-$14.69M
POPULAR INC
1,057,635
888,602
-169,033
0.19%
-$12.47M
JACKSON FINANCIAL INC
1,251,910
1,117,205
-134,705
0.19%
-$15.41M
INTL BUS MACH CORP
536,799
452,796
-84,003
0.18%
-$49.25M
ZIONS BANCORP NA
1,887,142
1,826,796
-60,346
0.17%
-$5.21M
MCDONALDS CORP
378,381
332,768
-45,613
0.17%
-$12.22M
GOLDMAN SACHS GROUP INC
122,342
119,464
-2,878
0.16%
-$6.47M
VOYA FINANCIAL INC
1,565,582
1,312,072
-253,510
0.14%
-$26.98M
UNUM GROUP
1,661,985
1,116,428
-545,557
0.13%
-$47.27M
WASTE MANAGEMENT INC
465,148
352,799
-112,349
0.13%
-$21.13M
Bath & Body Works Inc
4,525,310
4,131,426
-393,884
0.12%
-$13.73M
AT&T INC
3,272,909
2,627,659
-645,250
0.12%
-$5.12M
CFD_EQS GOLDUS33 2256908
1,299,314
1,144,453
-154,861
0.12%
-$29.92M
CITIGROUP INC
797,166
648,735
-148,431
0.12%
-$19.45M
NEXTERA ENERGY INC
776,444
772,387
-4,057
0.12%
$9.41M
MORGAN STANLEY
4,384,616
428,040
-3,956,576
0.11%
-$707.96M
SKYWORKS SOLUTIONS INC
1,475,861
1,237,720
-238,141
0.11%
-$27.30M
FEDEX CORP
356,761
183,146
-173,615
0.10%
-$37.82M
RALPH LAUREN CORP
197,084
183,465
-13,619
0.10%
-$6.58M
SLB LTD
2,690,252
1,168,649
-1,521,603
0.10%
-$43.19M
EVERGY INC
1,048,071
619,418
-428,653
0.08%
-$25.23M
SCORPIO TANKERS INC SHS
1,001,308
450,109
-551,199
0.05%
-$17.29M
HALLIBURTON CO
2,990,242
808,512
-2,181,730
0.05%
-$52.98M
EQUITABLE HOLDINGS INC
1,269,428
823,940
-445,488
0.05%
-$29.91M
UNITED STATES DOLLAR
208,000,000
28,600,000
-179,400,000
0.05%
-$179.40M
PROSPERITY BNCSH
548,626
424,498
-124,128
0.05%
-$9.40M
ORGANON & CO
5,039,177
3,844,558
-1,194,619
0.04%
-$13.10M
SLM CORP
2,473,251
982,024
-1,491,227
0.03%
-$45.90M
EVERSOURCE ENERGY
345,837
253,592
-92,245
0.03%
-$5.72M
SIGNET JEWELERS
174,491
147,140
-27,351
0.02%
-$2.01M
MANPOWERGROUP INC
900,947
381,591
-519,356
0.02%
-$15.54M
HANCOCK WHITNEY CORP
340,655
148,608
-192,047
0.02%
-$12.24M
AFLAC INC
386,783
70,388
-316,395
0.01%
-$34.93M
CHUBB LTD
29,494
17,656
-11,838
0.01%
-$3.45M
QUEST DIAGNOSTICS INC
83,406
27,192
-56,214
0.01%
-$9.14M
▶
Unchanged
· 19 positions
Security
Shares Dec 2025
Shares Mar 2026
Δ shares
End %
Δ value
CHEVRON CORP
1,185,462
1,185,462
0
0.39%
$64.60M
NETAPP INC
2,185,069
2,185,069
0
0.36%
-$10.27M
COMCAST CORP CL A
7,687,539
7,687,539
0
0.35%
-$9.07M
DUKE ENERGY CORP NEW
1,659,502
1,659,502
0
0.35%
$22.78M
THE CIGNA GROUP
697,243
697,243
0
0.30%
-$5.91M
COLGATE-PALMOLIVE CO
2,165,072
2,165,072
0
0.30%
$13.45M
CARDINAL HEALTH INC
790,593
790,593
0
0.27%
$4.59M
HARTFORD INSURANCE GROUP INC/THE
1,205,766
1,205,766
0
0.26%
-$3.10M
DTE ENERGY CO
1,052,699
1,052,699
0
0.25%
$18.15M
RYDER SYSTEM INC
662,678
662,678
0
0.22%
$8.83M
RELIANCE STEEL and ALUMINUM CO
426,524
426,524
0
0.21%
$6.42M
GENERAL DYNAMICS CORPORATION
367,472
367,472
0
0.20%
$2.41M
METLIFE INC
1,778,832
1,778,832
0
0.20%
-$14.62M
MGIC INVT CORP
4,701,747
4,701,747
0
0.20%
-$13.96M
EVEREST RE GROUP
324,222
324,222
0
0.17%
-$4.05M
BOOZ ALLEN HAMILTON HLDG CL A
1,340,286
1,340,286
0
0.17%
-$8.48M
AMGEN INC
168,909
168,909
0
0.10%
$4.15M
CMS ENERGY CORP
343,235
343,235
0
0.04%
$2.63M
MEDTRONIC PLC
176,320
176,320
0
0.02%
-$1.66M
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