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.
Nov 30, 2025 → Feb 28, 2026
Expand a category to
see the positions behind it, ranked by weight.
▶
Opened
· 5 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
MCDONALDS CORP
0
212,935
212,935
0.61%
$72.62M
T-MOBILE US INC
0
134,132
134,132
0.24%
$29.12M
AMERICAN TOWER CORP
0
139,983
139,983
0.22%
$26.86M
SHERWIN WILLIAMS CO
0
70,420
70,420
0.21%
$25.53M
STRATEGY INC CL A
0
40,072
40,072
0.04%
$5.19M
▶
Exited
· 4 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
ORACLE CORP
499,647
0
-499,647
0.00%
-$100.90M
BECTON DICKINSON and CO
84,984
0
-84,984
0.00%
-$16.49M
PUBLIC STORAGE
46,809
0
-46,809
0.00%
-$12.85M
CHARTER COMMUNICATIONS INC A
26,332
0
-26,332
0.00%
-$5.27M
▶
Increased
· 92 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
BERKSHIRE HATH-B
812,457
823,878
11,421
3.48%
-$1.43M
JOHNSON&JOHNSON
1,428,022
1,440,791
12,769
2.99%
$62.45M
WALMART INC
2,602,606
2,622,323
19,717
2.81%
$47.91M
MICRON TECHNOLOGY INC
663,595
672,973
9,378
2.32%
$120.59M
COSTCO WHOLESALE CORP
131,482
265,030
133,548
2.24%
$147.77M
ABBVIE INC
1,047,483
1,056,916
9,433
2.05%
$6.78M
PROCTER & GAMBLE
1,388,924
1,397,397
8,473
1.95%
$27.86M
HOME DEPOT INC
590,223
595,325
5,102
1.90%
$15.99M
GENERAL ELECTRIC CO
597,349
599,258
1,909
1.72%
$26.82M
CATERPILLAR INC
251,592
253,653
2,061
1.58%
$43.56M
MERCK & CO
1,481,074
1,484,269
3,195
1.54%
$28.52M
APPLIED MATERIALS INC
472,365
476,401
4,036
1.48%
$58.21M
PHILIP MORRIS INTL INC
922,985
930,896
7,911
1.45%
$28.57M
CISCO SYSTEMS INC
2,113,278
2,126,507
13,229
1.41%
$6.38M
COCA-COLA CO/THE
2,041,503
2,057,907
16,404
1.40%
$18.57M
RTX CORP
793,687
801,799
8,112
1.36%
$23.64M
UNITEDHEALTH GRP
537,013
541,698
4,685
1.33%
-$18.23M
LINDE PLC
278,046
279,233
1,187
1.19%
$27.78M
PEPSICO INC
811,795
817,666
5,871
1.16%
$18.04M
INTL BUS MACH CORP
552,338
558,990
6,652
1.12%
-$36.17M
AMGEN INC
319,217
322,016
2,799
1.05%
$14.72M
ABBOTT LABS
1,032,009
1,039,852
7,843
1.01%
-$12.04M
MORGAN STANLEY
709,917
712,821
2,904
0.99%
-$1.75M
THERMO FISHER SCIENTIFIC INC
223,903
224,683
780
0.98%
-$15.20M
NEXTERA ENERGY INC
1,234,589
1,245,422
10,833
0.98%
$10.25M
TEXAS INSTRUMENTS INC
269,537
543,373
273,836
0.96%
$69.90M
VERIZON COMMUNICATIONS INC
2,250,076
2,269,114
19,038
0.95%
$21.27M
WALT DISNEY CO/T
1,066,086
1,067,593
1,507
0.95%
$1.83M
INTEL CORP
2,344,451
2,424,646
80,195
0.93%
$15.50M
GILEAD SCIENCES INC
735,733
741,933
6,200
0.92%
$17.93M
ANALOG DEVICES INC
291,700
292,826
1,126
0.87%
$26.78M
DEERE & CO
152,562
153,577
1,015
0.81%
$25.85M
PFIZER INC
3,371,262
3,400,021
28,759
0.79%
$7.23M
UNION PACIFIC CORP
351,650
354,690
3,040
0.79%
$12.46M
HONEYWELL INTL INC
376,459
379,659
3,200
0.77%
$20.13M
QUALCOMM INC
639,797
640,474
677
0.76%
-$16.37M
BLACKROCK INC
82,639
83,508
869
0.74%
$2.24M
LOWES COS INC
332,324
335,453
3,129
0.74%
$8.17M
EATON CORP PLC
230,828
232,262
1,434
0.73%
$7.47M
STRYKER CORP
102,003
205,820
103,817
0.67%
$41.89M
PROLOGIS INC REIT
549,170
553,864
4,694
0.66%
$8.38M
ACCENTURE PLC-A
369,331
372,467
3,136
0.65%
-$14.59M
PARKER HANNIFIN CORP
75,127
75,460
333
0.64%
$11.42M
BRISTOL-MYERS SQUIBB CO
1,206,913
1,217,367
10,454
0.64%
$16.55M
PROGRESSIVE CORP OHIO
347,603
350,667
3,064
0.63%
-$4.60M
MEDTRONIC PLC
760,563
766,653
6,090
0.63%
-$5.24M
CAPITAL ONE FINANCIAL CORP
379,207
380,175
968
0.62%
-$8.70M
MCKESSON CORP
73,752
73,818
66
0.61%
$7.90M
ALTRIA GROUP INC
996,089
1,003,882
7,793
0.58%
$10.53M
CME GROUP INC CL A
213,691
215,643
1,952
0.58%
$8.75M
STARBUCKS CORP
674,006
679,977
5,971
0.56%
$7.94M
SOUTHERN CO
652,362
657,904
5,542
0.54%
$4.62M
NORTHROP GRUMMAN CORP
84,907
85,346
439
0.52%
$13.23M
TRANE TECHNOLOGI
131,939
132,595
656
0.51%
$5.69M
DUKE ENERGY CORP NEW
460,726
465,256
4,530
0.51%
$3.78M
CVS HEALTH CORP
752,066
759,139
7,073
0.51%
$219.18K
Vanguard Market Liquidity Fund
2,578,343
58,517,691
55,939,348
0.49%
$55.93M
FREEPORT MCMORAN INC
851,345
858,694
7,349
0.49%
$21.87M
WASTE MANAGEMENT INC
238,859
240,916
2,057
0.49%
$5.98M
INTERCONTINENTAL EXCHANGE INC
339,423
340,966
1,543
0.47%
$2.57M
MARSH & MCLENNAN
291,505
292,967
1,462
0.46%
$1.23M
3M CO
315,821
317,683
1,862
0.44%
-$1.82M
GENERAL DYNAMICS CORPORATION
143,553
145,378
1,825
0.43%
$2.87M
AUTOMATIC DATA PROCESSING INC
120,081
241,852
121,771
0.43%
$21.19M
UNITED PARCEL SERVICE INC CL B
436,449
441,768
5,319
0.43%
$9.42M
US BANCORP DEL
922,738
929,595
6,857
0.43%
$5.55M
EMERSON ELECTRIC CO
333,714
335,959
2,245
0.42%
$6.14M
BLACKSTONE INC
218,522
441,596
223,074
0.42%
$18.07M
PNC FINANCIAL SERVICES GRP INC
233,503
234,521
1,018
0.42%
$5.27M
ILLINOIS TOOL WORKS INC
164,212
164,823
611
0.40%
$6.97M
COLGATE-PALMOLIVE CO
479,245
482,032
2,787
0.40%
$9.26M
CSX CORP
1,105,427
1,113,499
8,072
0.40%
$8.45M
MONDELEZ INTL INC
767,258
771,653
4,395
0.40%
$3.35M
THE CIGNA GROUP
158,283
159,740
1,457
0.39%
$2.41M
REGENERON PHARMACEUTICALS INC
58,676
58,678
2
0.38%
$88.40K
NIKE INC CL B
704,436
711,196
6,760
0.37%
-$1.31M
AMERICAN ELECTRIC POWER CO INC
317,118
319,380
2,262
0.36%
$3.49M
NORFOLK SOUTHERN CORP
133,175
134,173
998
0.35%
$3.33M
AON PLC-CLASS A
121,471
122,101
630
0.34%
-$2.03M
EOG RESOURCES INC
323,754
324,478
724
0.34%
$5.34M
TRUIST FINL CORP
764,581
765,025
444
0.32%
$2.17M
AIR PRODUCTS and CHEMICALS INC
131,962
133,113
1,151
0.31%
$2.25M
KKR & CO INC
396,209
399,764
3,555
0.29%
-$13.41M
DELL TECHNOLOGIES INC CL C
181,289
191,385
10,096
0.24%
$4.17M
WILLIAMS COS INC
362,045
365,153
3,108
0.23%
$5.22M
FEDEX CORP
62,968
63,631
663
0.21%
$7.27M
SIMON PROPERTY
91,955
92,743
788
0.16%
$1.77M
KINDER MORGAN INC
559,977
565,431
5,454
0.16%
$3.51M
SEMPRA ENERGY
193,438
195,128
1,690
0.16%
$462.53K
ZOETIS INC CL A
118,263
118,718
455
0.13%
$404.98K
APOLLO GLOBAL MANAGEMENT INC
119,411
121,475
2,064
0.11%
-$3.04M
US ULTRA BOND CBT Sep25
26,218
399,580
373,362
-0.02%
-$2.68M
▶
Decreased
· 27 positions
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
JPMORGAN CHASE and CO
1,630,462
1,528,183
-102,279
3.84%
-$51.55M
EXXON MOBIL CORP
2,527,910
2,521,929
-5,981
3.22%
$91.56M
CHEVRON CORP
1,153,315
1,143,914
-9,401
1.79%
$39.34M
BANK OF AMERICA CORPORATION
3,952,774
3,747,463
-205,311
1.56%
-$25.33M
WELLS FARGO & CO
1,899,481
1,877,214
-22,267
1.28%
-$10.17M
GOLDMAN SACHS GROUP INC
179,508
170,619
-8,889
1.23%
-$1.62M
AT&T INC
4,239,844
4,239,205
-639
0.99%
$8.42M
CITIGROUP INC
1,091,554
1,008,483
-83,071
0.93%
-$1.96M
SCHWAB CHARLES CORP
1,022,523
1,009,499
-13,024
0.80%
$1.29M
LOCKHEED MARTIN CORP
138,429
138,376
-53
0.76%
$27.68M
AMERICAN EXPRESS CO
288,830
288,355
-475
0.75%
-$16.43M
CONOCOPHILLIPS
740,567
738,964
-1,603
0.70%
$18.16M
DANAHER CORP
382,131
380,175
-1,956
0.67%
-$6.58M
CHUBB LTD
224,576
211,821
-12,755
0.60%
$5.69M
COMCAST CORP CL A
2,183,700
2,173,163
-10,537
0.56%
$9.00M
HCA HEALTHCARE INC
97,129
95,529
-1,600
0.42%
$1.23M
BANK OF NEW YORK MELLON CORP
418,184
417,019
-1,165
0.42%
$2.79M
ELEVANCE HEALTH INC
133,529
130,707
-2,822
0.35%
-$3.34M
TRAVELERS COS IN
133,503
133,396
-107
0.34%
$2.07M
REPUBLIC SVCS
120,327
120,313
-14
0.23%
$1.43M
JOHNSON CONTROLS
194,001
182,724
-11,277
0.22%
$3.80M
AFLAC INC
317,140
156,721
-160,419
0.15%
-$17.29M
PAYPAL HOLDINGS
566,494
261,392
-305,102
0.10%
-$23.43M
ROPER TECHNOLOGIES INC
63,814
32,169
-31,645
0.09%
-$17.22M
PAYCHEX INC
96,114
1
-96,113
0.00%
-$10.73M
METLIFE INC
167,596
1
-167,595
0.00%
-$12.83M
FISERV INC
322,319
1
-322,318
0.00%
-$19.81M
▶
Unchanged
· 1 position
Security
Shares Nov 2025
Shares Feb 2026
Δ shares
End %
Δ value
BERKSHIRE HATHAWAY INC CL A
188
188
0
1.19%
-$2.46M
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