VINIX
VANGUARD INSTITUTIONAL INDEX FUND
VANGUARD INSTITUTIONAL INDEX FUNDS
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.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
VERTIV HOLDINGS CO 0 2,156,981 2,156,981 0.17% $540.50M
CIENA CORP 0 794,202 794,202 0.10% $308.33M
LUMENTUM HOLDINGS INC 0 402,582 402,582 0.09% $282.92M
COHERENT CORP 0 1,057,101 1,057,101 0.08% $251.81M
ECHOSTAR CORP CL A 0 758,544 758,544 0.03% $88.80M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
DAYFORCE INC 917,139 0 -917,139 0.00% -$63.43M
MOLINA HEALTHCARE INC 294,038 0 -294,038 0.00% -$51.03M
PAYCOM SOFTWARE INC 281,358 0 -281,358 0.00% -$44.84M
MATCH GROUP INC 1,349,989 0 -1,349,989 0.00% -$43.59M
LAMB WESTON HOLDINGS INC 801,969 0 -801,969 0.00% -$33.59M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
INTEL CORP 25,732,063 26,473,893 741,830 0.37% $218.78M
PALO ALTO NETWORKS INC 3,925,354 4,556,275 630,921 0.23% $7.41M
Vanguard Market Liquidity Fund 390,851,822 691,140,505 300,288,683 0.22% $299.23M
SANDISK CORPORATION 798,957 832,231 33,274 0.17% $339.09M
PNC FINANCIAL SERVICES GRP INC 2,250,251 2,277,360 27,109 0.15% $4.20M
SYNOPSYS INC 1,066,026 1,078,734 12,708 0.14% -$73.04M
FIFTH THIRD BANCORP 3,792,997 5,074,761 1,281,764 0.07% $58.22M
DIAMONDBACK ENERGY INC 1,068,334 1,094,374 26,040 0.07% $55.85M
HUNTINGTON BANCSHARES INC 9,022,029 11,435,577 2,413,548 0.06% $22.43M
NRG ENERGY INC 1,099,517 1,197,486 97,969 0.06% -$86.48K
ATMOS ENERGY CORP 920,479 932,782 12,303 0.05% $18.00M
AMEREN CORP 1,551,403 1,557,912 6,509 0.05% $16.32M
CARNIVAL CORP 6,234,625 6,480,746 246,121 0.05% -$22.68M
WATERS CORP 341,966 552,608 210,642 0.05% $34.68M
US ULTRA BOND CBT Sep25 333,241 3,932,858 3,599,617 0.00% $4.70M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
NVIDIA CORP 139,454,480 137,012,483 -2,441,997 7.58% -$2.11B
APPLE INC 84,799,565 82,777,763 -2,021,802 6.66% -$2.05B
MICROSOFT CORP 42,653,431 41,868,492 -784,939 4.92% -$5.13B
AMAZON.COM INC 55,828,174 55,080,036 -748,138 3.64% -$1.41B
ALPHABET INC CL A 33,388,732 32,826,336 -562,396 2.99% -$1.01B
BROADCOM INC 27,101,038 26,733,082 -367,956 2.62% -$1.11B
ALPHABET INC CL C 26,685,903 26,369,129 -316,774 2.40% -$809.79M
META PLATFORMS INC CL A 12,498,637 12,332,130 -166,507 2.24% -$1.19B
TESLA INC 16,125,894 15,857,578 -268,316 1.87% -$1.36B
BERKSHIRE HATH-B 10,523,424 10,339,272 -184,152 1.57% -$335.02M
JPMORGAN CHASE and CO 15,622,600 14,334,973 -1,287,627 1.34% -$817.14M
LILLY ELI and CO 4,557,368 4,467,968 -89,400 1.30% -$788.21M
EXXON MOBIL CORP 24,202,170 23,562,712 -639,458 1.27% $1.09B
JOHNSON&JOHNSON 13,826,425 13,587,935 -238,490 1.05% $460.06M
WALMART INC 25,165,087 24,716,389 -448,698 0.97% $268.11M
VISA INC-CLASS A 9,384,991 9,178,637 -206,354 0.88% -$517.26M
COSTCO WHOLESALE CORP 2,543,291 2,502,703 -40,588 0.79% $300.59M
MASTERCARD INC CL A 4,705,608 4,591,900 -113,708 0.73% -$391.95M
NETFLIX INC 24,317,488 23,806,080 -511,408 0.73% $8.95M
CHEVRON CORP 10,862,455 10,569,164 -293,291 0.69% $531.21M
ABBVIE INC 10,142,758 9,965,284 -177,474 0.69% -$150.17M
MICRON TECHNOLOGY INC 6,441,699 6,346,043 -95,656 0.68% $305.42M
PROCTER & GAMBLE 13,409,985 13,103,260 -306,725 0.60% -$29.15M
PALANTIR TECHNOLOGIES INC 13,109,543 12,879,945 -229,598 0.60% -$446.14M
ADV MICRO DEVICE 9,343,126 9,192,874 -150,252 0.59% -$130.82M
CATERPILLAR INC 2,685,755 2,623,484 -62,271 0.59% $320.05M
HOME DEPOT INC 5,712,503 5,613,001 -99,502 0.59% -$119.61M
BANK OF AMERICA CORPORATION 38,554,766 36,033,874 -2,520,892 0.56% -$363.86M
CISCO SYSTEMS INC 22,615,679 22,277,885 -337,794 0.55% -$13.54M
MERCK & CO 14,243,980 13,994,665 -249,315 0.53% $184.10M
GENERAL ELECTRIC CO 6,053,510 5,913,619 -139,891 0.53% -$186.56M
COCA-COLA CO/THE 22,217,450 21,827,969 -389,481 0.53% $106.80M
APPLIED MATERIALS INC 4,571,808 4,475,315 -96,493 0.49% $354.71M
LAM RESEARCH CORP 7,208,200 7,041,064 -167,136 0.48% $270.49M
RTX CORP 7,694,662 7,568,345 -126,317 0.46% $48.73M
PHILIP MORRIS INTL INC 8,933,551 8,777,207 -156,344 0.46% $18.28M
ORACLE CORP 9,652,671 9,561,108 -91,563 0.45% -$474.87M
WELLS FARGO & CO 18,014,641 17,437,298 -577,343 0.44% -$290.78M
UNITEDHEALTH GRP 5,198,576 5,107,433 -91,143 0.44% -$334.08M
GOLDMAN SACHS GROUP INC 1,721,296 1,604,216 -117,080 0.43% -$155.87M
GE VERNOVA LLC 1,557,109 1,519,709 -37,400 0.42% $308.87M
LINDE PLC 2,680,148 2,632,869 -47,279 0.41% $162.48M
INTL BUS MACH CORP 5,364,349 5,270,567 -93,782 0.41% -$311.44M
MCDONALDS CORP 4,086,812 4,015,388 -71,424 0.40% -$1.11M
PEPSICO INC 7,847,190 7,705,437 -141,753 0.38% $70.35M
VERIZON COMMUNICATIONS INC 24,198,094 23,777,349 -420,745 0.38% $208.03M
AT&T INC 40,685,685 39,472,551 -1,213,134 0.36% $133.68M
MORGAN STANLEY 6,931,985 6,783,199 -148,786 0.35% -$114.32M
NEXTERA ENERGY INC 11,952,163 11,742,619 -209,544 0.35% $131.13M
KLA CORP 754,038 739,067 -14,971 0.35% $171.99M
CITIGROUP INC 10,268,580 9,510,430 -758,150 0.34% -$119.66M
AMGEN INC 3,090,237 3,036,218 -54,019 0.34% $56.83M
THERMO FISHER SCIENTIFIC INC 2,156,252 2,118,498 -37,754 0.33% -$208.13M
ABBOTT LABS 9,978,844 9,804,473 -174,371 0.32% -$243.62M
TJX COS INC 6,386,896 6,260,962 -125,934 0.32% $18.78M
TEXAS INSTRUMENTS INC 5,214,408 5,117,145 -97,263 0.32% $88.79M
SALESFORCE INC 5,463,476 5,283,225 -180,251 0.31% -$461.11M
GILEAD SCIENCES INC 7,119,951 6,995,572 -124,379 0.31% $101.07M
WALT DISNEY CO/T 10,245,499 9,988,363 -257,136 0.31% -$202.95M
INTUITIVE SURGICAL INC 2,034,379 2,002,366 -32,013 0.29% -$229.12M
AMERICAN EXPRESS CO 3,083,495 3,019,538 -63,957 0.29% -$227.39M
CONOCOPHILLIPS 7,092,389 6,907,925 -184,464 0.29% $247.93M
PFIZER INC 32,629,910 32,058,525 -571,385 0.29% $87.72M
SCHWAB CHARLES CORP 9,585,557 9,417,501 -168,056 0.28% -$72.64M
BOEING CO/THE 4,493,884 4,428,087 -65,797 0.28% -$94.39M
ANALOG DEVICES INC 2,823,189 2,755,091 -68,098 0.28% $110.86M
AMPHENOL CORPORATION CL A 7,024,853 6,930,853 -94,000 0.28% -$73.63M
UBER TECHNOLOGIES INC 11,924,381 11,604,525 -319,856 0.26% -$139.63M
UNION PACIFIC CORP 3,403,955 3,345,828 -58,127 0.26% $24.36M
HONEYWELL INTL INC 3,643,765 3,579,736 -64,029 0.26% $98.27M
DEERE & CO 1,442,877 1,421,454 -21,423 0.25% $128.94M
EATON CORP PLC 2,229,178 2,189,985 -39,193 0.25% $73.28M
BLACKROCK INC 828,068 813,538 -14,530 0.25% -$103.93M
WELLTOWER INC 3,938,882 3,934,211 -4,671 0.25% $46.74M
QUALCOMM INC 6,146,244 6,016,198 -130,046 0.25% -$276.55M
THE BOOKING HOLDINGS INC 184,982 181,748 -3,234 0.24% -$225.42M
LOWES COS INC 3,218,687 3,162,758 -55,929 0.24% -$28.92M
S&P GLOBAL INC 1,779,014 1,725,302 -53,712 0.23% -$195.85M
ARISTA NETWORKS INC 5,926,189 5,822,321 -103,868 0.23% -$61.64M
BRISTOL-MYERS SQUIBB CO 11,683,024 11,482,539 -200,485 0.22% $66.23M
PROLOGIS INC REIT 5,331,067 5,241,247 -89,820 0.22% $12.22M
LOCKHEED MARTIN CORP 1,168,673 1,141,616 -27,057 0.22% $124.73M
ACCENTURE PLC-A 3,558,938 3,469,664 -89,274 0.22% -$266.86M
INTUIT INC 1,600,036 1,569,031 -31,005 0.22% -$381.48M
DANAHER CORP 3,608,014 3,547,618 -60,396 0.21% -$153.32M
CHUBB LTD 2,100,266 2,050,807 -49,459 0.21% $12.88M
NEWMONT CORP 6,262,459 6,153,232 -109,227 0.21% $40.78M
PROGRESSIVE CORP OHIO 3,365,244 3,304,708 -60,536 0.21% -$111.21M
CAPITAL ONE FINANCIAL CORP 3,648,469 3,524,364 -124,105 0.20% -$241.29M
VERTEX PHARMACEUTICALS INC 1,455,994 1,432,189 -23,805 0.20% -$20.56M
STRYKER CORP 1,975,046 1,941,990 -33,056 0.20% -$56.05M
PARKER HANNIFIN CORP 724,224 711,683 -12,541 0.20% $563.16K
MEDTRONIC PLC 7,360,453 7,228,510 -131,943 0.20% -$80.69M
ALTRIA GROUP INC 9,634,132 9,464,964 -169,168 0.20% $69.09M
SERVICENOW INC 5,953,683 5,897,825 -55,858 0.20% -$295.43M
APPLOVIN CORP 1,553,445 1,528,009 -25,436 0.19% -$438.59M
CME GROUP INC CL A 2,069,391 2,033,111 -36,280 0.19% $35.37M
SOUTHERN CO 6,318,250 6,208,710 -109,540 0.19% $48.31M
CORNING INC 4,477,135 4,402,102 -75,033 0.19% $206.54M
MCKESSON CORP 708,364 690,605 -17,759 0.19% $16.56M
COMCAST CORP CL A 20,858,282 20,233,321 -624,961 0.18% -$42.56M
STARBUCKS CORP 6,524,473 6,423,809 -100,664 0.18% $26.08M
DUKE ENERGY CORP NEW 4,461,543 4,384,955 -76,588 0.18% $51.23M
ADOBE INC 2,402,325 2,314,604 -87,721 0.18% -$278.16M
T-MOBILE US INC 2,760,107 2,671,521 -88,586 0.18% $687.43K
CROWDSTRIKE HOLDINGS INC 1,440,233 1,421,435 -18,798 0.18% -$120.18M
EQUINIX INC 563,420 554,001 -9,419 0.17% $111.38M
BOSTON SCIENTIFIC CORP 8,507,141 8,361,895 -145,246 0.17% -$286.45M
HOWMET AEROSPACE INC 2,307,350 2,260,661 -46,689 0.17% $47.94M
TRANE TECHNOLOGI 1,272,566 1,247,850 -24,716 0.16% $24.75M
WESTERN DIGITAL CORP 1,961,485 1,911,634 -49,851 0.16% $179.17M
CVS HEALTH CORP 7,285,641 7,172,963 -112,678 0.16% -$63.03M
NORTHROP GRUMMAN CORP 769,850 752,211 -17,639 0.16% $74.21M
INTERCONTINENTAL EXCHANGE INC 3,272,036 3,201,853 -70,183 0.16% -$26.35M
WILLIAMS COS INC 7,008,068 6,885,618 -122,450 0.16% $79.88M
GENERAL DYNAMICS CORPORATION 1,454,965 1,430,955 -24,010 0.16% $1.30M
CONSTELLATION ENERGY CORP 1,792,242 1,757,077 -35,165 0.16% -$142.48M
BLACKSTONE INC 4,238,033 4,221,311 -16,722 0.15% -$167.84M
SEAGATE TECHNOLO 1,249,968 1,229,586 -20,382 0.15% $137.47M
WASTE MANAGEMENT INC 2,127,193 2,092,216 -34,977 0.15% $13.40M
FREEPORT MCMORAN INC 8,239,901 8,103,965 -135,936 0.15% $57.85M
MARSH & MCLENNAN 2,811,428 2,729,712 -81,716 0.15% -$48.11M
QUANTA SVCS INC 856,205 840,763 -15,442 0.15% $100.23M
AUTOMATIC DATA PROCESSING INC 2,321,389 2,270,615 -50,774 0.15% -$135.79M
BANK OF NEW YORK MELLON CORP 4,001,810 3,880,188 -121,622 0.15% -$4.26M
US BANCORP DEL 8,919,815 8,764,563 -155,252 0.14% -$20.12M
AMERICAN TOWER CORP 2,686,676 2,639,670 -47,006 0.14% -$16.15M
JOHNSON CONTROLS 3,506,833 3,450,715 -56,118 0.14% $31.93M
EOG RESOURCES INC 3,114,898 3,059,294 -55,604 0.14% $115.19M
REGENERON PHARMACEUTICALS INC 578,360 568,388 -9,972 0.14% -$7.26M
O'REILLY AUTOMOTIVE INC 4,844,200 4,746,784 -97,416 0.14% -$3.66M
FEDEX CORP 1,245,576 1,219,649 -25,927 0.14% $74.62M
SLB LTD 8,576,218 8,430,685 -145,533 0.14% $104.10M
3M CO 3,048,890 2,969,753 -79,137 0.14% -$56.83M
CSX CORP 10,685,095 10,485,025 -200,070 0.14% $43.08M
CADENCE DESIGN SYSTEMS INC 1,562,173 1,534,801 -27,372 0.14% -$61.83M
VALERO ENERGY CORP 1,750,600 1,719,740 -30,860 0.13% $139.93M
CUMMINS INC 792,143 779,054 -13,089 0.13% $14.80M
HCA HEALTHCARE INC 916,627 882,562 -34,065 0.13% -$10.27M
SHERWIN WILLIAMS CO 1,322,914 1,299,927 -22,987 0.13% -$11.97M
MONDELEZ INTL INC 7,404,093 7,227,828 -176,265 0.13% $18.05M
EMERSON ELECTRIC CO 3,224,002 3,168,832 -55,170 0.13% -$12.71M
PHILLIPS 66 2,312,892 2,271,782 -41,110 0.13% $115.42M
UNITED PARCEL SERVICE INC CL B 4,240,645 4,166,842 -73,803 0.13% -$10.70M
MARATHON PETROLEUM CORP 1,725,363 1,663,301 -62,062 0.13% $125.55M
MARRIOTT INTL-A 1,278,108 1,240,077 -38,031 0.13% $9.07M
MOTOROLA SOLUTIONS INC 955,456 934,070 -21,386 0.13% $39.11M
AMERICAN ELECTRIC POWER CO INC 3,070,594 3,049,677 -20,917 0.13% $45.68M
CRH PLC 3,846,632 3,779,287 -67,345 0.13% -$82.78M
THE CIGNA GROUP 1,532,862 1,485,461 -47,401 0.13% -$25.64M
ROSS STORES INC 1,865,658 1,823,579 -42,079 0.13% $58.96M
HILTON WORLDWIDE HOLDINGS INC 1,333,679 1,292,784 -40,895 0.12% $10.01M
AON PLC-CLASS A 1,233,459 1,209,445 -24,014 0.12% -$44.88M
ROYAL CARIBBEAN 1,455,410 1,418,569 -36,841 0.12% -$15.58M
COLGATE-PALMOLIVE CO 4,625,145 4,544,683 -80,462 0.12% $21.86M
ILLINOIS TOOL WORKS INC 1,514,747 1,478,933 -35,814 0.12% $11.87M
WARNER BROS DISCOVERY INC 14,219,816 13,973,916 -245,900 0.12% -$26.09M
ECOLAB INC 1,462,587 1,437,362 -25,225 0.12% -$1.59M
GENERAL MOTORS CO 5,353,490 5,096,936 -256,554 0.12% -$55.62M
MOODYS CORP 880,493 865,026 -15,467 0.12% -$72.43M
KINDER MORGAN INC 11,237,957 11,038,456 -199,501 0.12% $61.19M
TRANSDIGM GROUP INC 323,178 318,425 -4,753 0.12% -$60.74M
AIR PRODUCTS and CHEMICALS INC 1,277,572 1,255,470 -22,102 0.12% $49.12M
L3HARRIS TECHNOLOGIES INC 1,073,559 1,053,132 -20,427 0.12% $48.32M
NORFOLK SOUTHERN CORP 1,288,372 1,266,238 -22,134 0.12% -$8.57M
KKR & CO INC 3,938,953 3,870,182 -68,771 0.11% -$144.15M
SEMPRA ENERGY 3,747,097 3,679,972 -67,125 0.11% $26.75M
TRAVELERS COS IN 1,279,729 1,219,192 -60,537 0.11% -$15.58M
NIKE INC CL B 6,825,000 6,717,832 -107,168 0.11% -$79.98M
ELEVANCE HEALTH INC 1,275,307 1,206,454 -68,853 0.11% -$93.87M
TE CONNECTIVITY 1,688,009 1,654,507 -33,502 0.11% -$38.21M
CENCORA INC 1,112,354 1,096,773 -15,581 0.11% -$31.16M
PACCAR INC 3,012,833 2,962,568 -50,265 0.11% $12.24M
SIMON PROPERTY 1,874,285 1,833,693 -40,592 0.11% -$4.91M
BAKER HUGHES CO 5,659,219 5,571,662 -87,557 0.11% $82.43M
DIGITAL REALTY TRUST INC 1,853,013 1,820,902 -32,111 0.10% $41.47M
TRUIST FINL CORP 7,339,093 7,118,391 -220,702 0.10% -$33.92M
CINTAS CORP 1,959,901 1,916,511 -43,390 0.10% -$44.44M
ONEOK INC 3,610,503 3,547,742 -62,761 0.10% $55.31M
CORTEVA INC 3,877,055 3,792,111 -84,944 0.10% $57.56M
REALTY INCOME CORP REIT 5,280,152 5,186,864 -93,288 0.10% $19.69M
DOORDASH INC-A 2,145,335 2,107,796 -37,539 0.10% -$169.39M
AUTOZONE INC 95,491 93,413 -2,078 0.10% -$8.33M
ARTHUR J GALLAGHAR AND CO 1,473,512 1,448,948 -24,564 0.10% -$67.52M
TARGET CORP 2,606,281 2,553,101 -53,180 0.10% $54.67M
ROBINHOOD MARKETS INC 4,512,879 4,456,142 -56,737 0.10% -$201.60M
ALLSTATE CORPORATION 1,502,015 1,465,993 -36,022 0.10% -$8.69M
TARGA RESOURCES CORP 1,230,966 1,210,315 -20,651 0.10% $76.35M
AIRBNB INC CLASS A 2,441,697 2,388,239 -53,458 0.10% -$29.80M
FASTENAL CO 6,588,027 6,473,784 -114,243 0.10% $36.01M
MONOLITHIC POWER SYS INC 274,865 274,646 -219 0.10% $51.16M
DOMINION ENERGY INC 4,900,928 4,814,599 -86,329 0.09% $10.49M
APOLLO GLOBAL MANAGEMENT INC 2,664,475 2,618,117 -46,358 0.09% -$94.00M
MONSTER BEVERAGE CORP 4,093,007 4,021,053 -71,954 0.09% -$22.45M
FORTINET INC 3,628,044 3,564,129 -63,915 0.09% $3.16M
AFLAC INC 2,706,825 2,632,062 -74,763 0.09% -$9.72M
ENTERGY CORP 2,564,180 2,550,626 -13,554 0.09% $49.58M
AUTODESK INC 1,222,021 1,195,379 -26,642 0.09% -$75.56M
EXELON CORP 5,799,719 5,767,802 -31,917 0.09% $29.93M
ZOETIS INC CL A 2,529,687 2,380,185 -149,502 0.09% -$36.92M
CARDINAL HEALTH INC 1,363,481 1,326,693 -36,788 0.09% $148.15K
NXP SEMICONDUCTO 1,444,845 1,419,077 -25,768 0.09% -$34.26M
AMETEK INC NEW 1,320,768 1,298,006 -22,762 0.09% $7.07M
DELL TECHNOLOGIES INC CL C 1,730,507 1,675,674 -54,833 0.09% $57.19M
COMFORT SYSTEMS USA INC 201,949 198,425 -3,524 0.09% $85.15M
KEYSIGHT TECHNOLOGIES INC 986,409 967,134 -19,275 0.09% $72.66M
VISTRA CORP 1,827,992 1,795,889 -32,103 0.09% -$24.93M
WW GRAINGER INC 250,985 246,645 -4,340 0.09% $15.79M
XCEL ENERGY INC 3,395,885 3,335,375 -60,510 0.08% $14.14M
OCCIDENTAL PETROLEUM CORP 4,130,679 4,053,337 -77,342 0.08% $93.61M
EDWARDS LIFESCIENCES CORP 3,329,913 3,271,973 -57,940 0.08% -$21.86M
TERADYNE INC 898,575 883,016 -15,559 0.08% $87.85M
ELECTRONIC ARTS INC 1,287,922 1,269,882 -18,040 0.08% -$4.27M
UNITED RENTALS INC 365,220 355,202 -10,018 0.08% -$36.79M
FORD MOTOR CO 22,464,979 22,094,773 -370,206 0.08% -$39.77M
IDEXX LABS INC 458,420 450,237 -8,183 0.08% -$57.15M
BECTON DICKINSON and CO 1,645,478 1,605,493 -39,985 0.08% -$66.91M
CARVANA CO CL A 811,368 797,264 -14,104 0.08% -$91.77M
CARRIER GLOBAL CORP 4,540,847 4,429,437 -111,410 0.08% $9.48M
REPUBLIC SVCS 1,154,373 1,134,221 -20,152 0.08% $3.77M
DELTA AIR LI 3,720,648 3,661,919 -58,729 0.08% -$14.77M
YUM! BRANDS INC 1,592,457 1,565,179 -27,278 0.08% $2.45M
PUBLIC STORAGE 906,613 890,140 -16,473 0.08% $5.86M
WESTINGHOUSE AIR BRAKE TECH CORP 981,730 961,541 -20,189 0.08% $30.75M
KROGER CO 3,500,285 3,282,862 -217,423 0.08% $18.85M
CHIPOTLE MEXICAN GRILL INC 7,588,158 7,343,628 -244,530 0.07% -$45.69M
EBAY INC 2,595,107 2,548,570 -46,537 0.07% $5.94M
CONSOLIDATED EDISON INC 2,071,195 2,036,448 -34,747 0.07% $24.77M
AMERIPRISE FINANCIAL INC 533,069 514,736 -18,333 0.07% -$32.64M
PUB SERV ENTERP 2,863,276 2,814,384 -48,892 0.07% -$2.10M
AMERICAN INTERNATIONAL GROUP 3,096,164 3,025,351 -70,813 0.07% -$37.22M
ROCKWELL AUTOMATION INC 644,042 633,529 -10,513 0.07% -$23.22M
EQT CORPORATION 3,583,147 3,516,969 -66,178 0.07% $31.76M
MSCI INC 431,036 414,251 -16,785 0.07% -$24.01M
CBRE GROUP INC - CL A 1,682,322 1,638,272 -44,050 0.07% -$48.58M
PAYPAL HOLDINGS 5,371,597 4,856,301 -515,296 0.07% -$93.94M
COINBASE GLOBAL INC 1,309,902 1,257,580 -52,322 0.07% -$76.64M
METLIFE INC 3,175,536 3,103,691 -71,845 0.07% -$31.18M
VENTAS INC REIT 2,696,982 2,678,051 -18,931 0.07% $10.32M
DATADOG INC CL A 1,867,220 1,850,972 -16,248 0.07% -$35.42M
NUCOR CORP 1,313,805 1,290,551 -23,254 0.07% $3.94M
PG&E CORP 12,619,523 12,393,353 -226,170 0.07% $14.96M
NASDAQ INC 2,587,770 2,531,679 -56,091 0.07% -$36.44M
GARMIN LTD 938,105 922,388 -15,717 0.07% $23.71M
ROPER TECHNOLOGIES INC 617,671 601,033 -16,638 0.07% -$62.26M
HARTFORD INSURANCE GROUP INC/THE 1,599,793 1,572,489 -27,304 0.07% -$7.80M
WEC ENERGY GROUP INC 1,866,917 1,834,823 -32,094 0.07% $15.53M
DR HORTON INC 1,572,620 1,518,581 -54,039 0.07% -$18.12M
VULCAN MATERIALS CO 758,665 744,686 -13,979 0.06% -$13.61M
OLD DOMINION FRT 1,055,417 1,037,567 -17,850 0.06% $37.25M
KEURIG DR PEPPER INC 7,801,313 7,659,445 -141,868 0.06% -$16.84M
MARTIN MAR MTLS 346,077 340,032 -6,045 0.06% -$15.32M
CROWN CASTLE INC 2,497,577 2,454,475 -43,102 0.06% -$22.39M
STATE STREET CORP 1,603,406 1,572,767 -30,639 0.06% -$7.81M
MICROCHIP TECHNOLOGY 3,102,638 3,050,471 -52,167 0.06% -$609.16K
ARCHER DANIELS MIDLAND CO 2,756,257 2,709,705 -46,552 0.06% $38.51M
TAKE-TWO INTERACTV SOFTWR INC 996,285 981,375 -14,910 0.06% -$61.26M
ARCH CAPITAL GRP 2,072,775 2,015,081 -57,694 0.06% -$5.39M
SYSCO CORP 2,748,820 2,700,411 -48,409 0.06% -$9.94M
PRUDENTL FINL 2,009,928 1,961,360 -48,568 0.06% -$35.28M
AXON ENTERPRISE INC 452,762 444,828 -7,934 0.06% -$68.22M
EMCOR GROUP INC 256,816 252,407 -4,409 0.06% $29.24M
KENVUE INC 10,994,660 10,801,373 -193,287 0.06% -$3.44M
BLOCK INC CL A 3,143,793 3,086,622 -57,171 0.06% -$18.88M
RESMED INC 837,823 821,347 -16,476 0.06% -$17.43M
HALLIBURTON CO 4,824,956 4,726,084 -98,872 0.06% $47.92M
GE HEALTHCARE TECHNOLOGIES INC WI 2,615,133 2,569,743 -45,390 0.06% -$31.58M
AGILENT TECHNOLOGIES INC 1,627,984 1,594,143 -33,841 0.06% -$39.82M
KIMBERLY CLARK CORP 1,904,806 1,871,284 -33,522 0.06% -$11.65M
HEWLETT PACKARD ENTERPRISE CO 7,572,247 7,488,268 -83,979 0.06% -$3.59M
M&T BANK CORP 881,898 855,761 -26,137 0.06% -$781.90K
DEVON ENERGY CORP 3,603,668 3,496,051 -107,617 0.06% $43.92M
HERSHEY CO/THE 849,525 835,402 -14,123 0.06% $19.08M
DTE ENERGY CO 1,192,620 1,170,697 -21,923 0.05% $17.36M
IRON MOUNTAIN INC 1,695,100 1,667,662 -27,438 0.05% $29.73M
FISERV INC 3,087,750 3,032,552 -55,198 0.05% -$38.19M
OTIS WORLDWIDE CORP 2,236,711 2,190,405 -46,306 0.05% -$26.54M
DOW INC 4,074,147 4,048,633 -25,514 0.05% $73.37M
INTERACTIVE BROKERS GROUP INC 2,555,503 2,510,980 -44,523 0.05% $4.07M
UNITED AIRLINES HOLDINGS INC 1,859,169 1,823,290 -35,879 0.05% -$40.02M
PAYCHEX INC 1,859,701 1,820,384 -39,317 0.05% -$40.93M
COPART INC 5,108,233 5,021,259 -86,974 0.05% -$33.28M
CBOE GLOBAL MARKETS INC 601,131 590,398 -10,733 0.05% $15.06M
COGNIZANT TECH SOLUTIONS CL A 2,771,583 2,694,285 -77,298 0.05% -$64.75M
XYLEM INC 1,398,051 1,373,299 -24,752 0.05% -$26.28M
IQVIA HOLDINGS INC 976,701 955,485 -21,216 0.05% -$57.21M
TAPESTRY INC 1,173,623 1,141,072 -32,551 0.05% $11.06M
INGERSOLL RAND INC 2,062,405 2,005,520 -56,885 0.05% -$2.70M
TELEDYNE TECHNOLOGIES INC 269,320 264,924 -4,396 0.05% $22.73M
PPL CORPORATION 4,242,317 4,171,022 -71,295 0.05% $10.77M
CENTERPOINT ENERGY INC 3,744,094 3,681,976 -62,118 0.05% $15.37M
EDISON INTL 2,211,012 2,169,496 -41,516 0.05% $26.06M
DOVER CORP 786,649 759,959 -26,690 0.05% $4.83M
JABIL INC 613,758 594,904 -18,854 0.05% $18.08M
EXTRA SPACE STORAGE INC 1,217,410 1,196,690 -20,720 0.05% -$1.61M
WILLIS TOWERS WA 549,463 536,597 -12,866 0.05% -$24.56M
WORKDAY INC CL A 1,245,208 1,199,833 -45,375 0.05% -$111.56M
TEXAS PACIFIC LAND CORP 332,183 326,708 -5,475 0.05% $59.63M
EXPEDIA INC 671,583 659,741 -11,842 0.05% -$37.94M
VICI PROPERTIES 6,132,132 5,554,261 -577,871 0.05% -$20.69M

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