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VANGUARD MID-CAP INDEX FUND
VANGUARD INDEX FUNDS
ETFIndex 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
CIENA CORP 0 1,527,546 1,527,546 0.30% $593.04M
SUNBELT RENTALS 0 8,986,102 8,986,102 0.29% $584.91M
AUTODESK INC 0 2,289,238 2,289,238 0.28% $548.04M
LUMENTUM HOLDINGS INC 0 770,992 770,992 0.27% $541.82M
COMFORT SYSTEMS USA INC 0 379,828 379,828 0.26% $523.78M
COHERENT CORP 0 2,024,469 2,024,469 0.24% $482.25M
ROCKET LAB CORP 0 6,127,409 6,127,409 0.20% $393.50M
BLOOM ENERGY CORP CL A 0 2,877,953 2,877,953 0.20% $389.93M
TKO GROUP HOLDINGS INC 0 674,193 674,193 0.07% $135.95M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
GARTNER INC 745,135 0 -745,135 0.00% -$187.98M
TRANSUNION 2,113,138 0 -2,113,138 0.00% -$181.20M
MID AMERICA APT CMNTY INC 1,273,924 0 -1,273,924 0.00% -$176.96M
JACOBS SOLUTIONS INC 1,292,051 0 -1,292,051 0.00% -$171.15M
GEN DIGITAL INC 6,038,969 0 -6,038,969 0.00% -$164.20M
NEWS CORP NEW CL A 5,528,710 0 -5,528,710 0.00% -$144.41M
F&G ANNUITIES 104,164 0 -104,164 0.00% -$3.21M
NEWS CORP NEW CL B 17,821 0 -17,821 0.00% -$528.04K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
SEAGATE TECHNOLO 4,648,191 4,709,560 61,369 0.93% $564.95M
REALTY INCOME CORP REIT 20,023,215 20,136,671 113,456 0.62% $103.25M
DOMINION ENERGY INC 18,585,408 18,978,515 393,107 0.59% $84.33M
DOORDASH INC-A 7,517,474 7,525,691 8,217 0.57% -$572.58M
ENTERGY CORP 9,720,089 9,782,821 62,732 0.55% $200.77M
MONOLITHIC POWER SYS INC 990,613 999,330 8,717 0.55% $194.77M
XCEL ENERGY INC 12,874,925 13,473,283 598,358 0.54% $119.38M
TERADYNE INC 1,703,946 3,381,016 1,677,070 0.51% $672.52M
ZOETIS INC CL A 4,315,606 8,204,685 3,889,079 0.49% $426.89M
MARVELL TECHNOLOGY INC 9,382,204 9,423,589 41,385 0.47% $136.11M
CARVANA CO CL A 2,924,229 2,928,451 4,222 0.46% -$313.44M
FIFTH THIRD BANCORP 14,387,535 19,430,105 5,042,570 0.46% $229.24M
CHIPOTLE MEXICAN GRILL INC 14,387,493 28,127,532 13,740,039 0.45% $368.03M
STRATEGY INC CL A 2,912,923 6,783,715 3,870,792 0.43% $403.99M
DIAMONDBACK ENERGY INC 4,053,670 4,264,568 210,898 0.43% $234.10M
Vanguard Market Liquidity Fund 6,897,690 8,415,555 1,517,866 0.42% $151.70M
VENTAS INC REIT 10,224,054 10,257,342 33,288 0.42% $47.71M
DATADOG INC CL A 7,083,603 7,089,567 5,964 0.42% -$126.38M
ROPER TECHNOLOGIES INC 1,171,204 2,222,860 1,051,656 0.40% $265.24M
ROBLOX CORP - A 13,540,762 13,574,526 33,764 0.39% -$329.43M
AXON ENTERPRISE INC 1,631,642 1,649,486 17,844 0.35% -$226.14M
HUNTINGTON BANCSHARES INC 34,077,878 43,841,157 9,763,279 0.35% $94.86M
AMEREN CORP 5,887,375 5,969,614 82,239 0.33% $68.27M
WATERS CORP 1,295,808 2,118,636 822,828 0.32% $138.74M
IQVIA HOLDINGS INC 3,521,395 3,664,897 143,502 0.32% -$168.75M
CARNIVAL CORP 22,871,237 24,037,668 1,166,431 0.31% -$76.39M
WORKDAY INC CL A 2,317,612 4,600,111 2,282,499 0.30% $99.87M
PPL CORPORATION 15,295,651 15,414,147 118,496 0.30% $53.17M
VICI PROPERTIES 21,215,399 21,429,979 214,580 0.30% -$11.11M
FISERV INC 8,704,508 10,394,487 1,689,979 0.29% -$4.67M
PAYPAL HOLDINGS 9,230,617 12,792,906 3,562,289 0.29% $39.74M
SNOWFLAKE INC CL A 3,502,811 3,510,426 7,615 0.27% -$238.93M
ARES MANAGEMENT CORP CL A 4,483,920 4,532,215 48,295 0.25% -$230.27M
REDDIT INC-A 2,850,222 2,865,183 14,961 0.19% -$269.38M
ESTEE LAUDER COS INC CL A 4,599,905 5,339,000 739,095 0.19% -$98.52M
INSMED INC 2,320,569 2,327,576 7,007 0.19% -$23.27M
MEDLINE INC-A 4,484,756 7,253,782 2,769,026 0.16% $134.43M
ZSCALER INC 2,256,158 2,257,176 1,018 0.16% -$190.80M
GLOBAL PAYMENTS INC 3,927,539 4,573,234 645,695 0.16% $3.79M
ATLASSIAN CORP PLC CLS A 3,657,697 3,663,130 5,433 0.13% -$343.05M
US ULTRA BOND CBT Sep25 7,880,908 10,116,166 2,235,258 -0.01% $6.62M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
VERTIV HOLDINGS CO 8,176,753 8,117,697 -59,056 1.03% $709.42M
HOWMET AEROSPACE INC 8,750,996 8,658,764 -92,232 1.01% $201.37M
WESTERN DIGITAL CORP 7,441,605 7,321,947 -119,658 1.00% $698.55M
CONSTELLATION ENERGY CORP 6,799,614 6,651,725 -147,889 0.94% -$544.61M
QUANTA SVCS INC 3,245,407 3,231,229 -14,178 0.89% $404.25M
SLB LTD 32,515,747 32,293,738 -222,009 0.84% $411.62M
CUMMINS INC 3,004,404 2,983,846 -20,558 0.81% $71.77M
VALERO ENERGY CORP 6,638,655 6,457,918 -180,737 0.80% $514.92M
PHILLIPS 66 8,769,746 8,654,708 -115,038 0.79% $445.07M
MARATHON PETROLEUM CORP 6,542,731 6,365,396 -177,335 0.78% $490.26M
MOTOROLA SOLUTIONS INC 3,625,203 3,577,597 -47,606 0.78% $162.96M
CRH PLC 14,582,446 14,431,712 -150,734 0.76% -$302.83M
ROSS STORES INC 7,078,774 6,985,092 -93,682 0.76% $238.01M
GENERAL MOTORS CO 20,304,259 19,522,301 -781,958 0.73% -$196.73M
ROYAL CARIBBEAN 5,342,165 5,258,177 -83,988 0.73% -$43.09M
TRANSDIGM GROUP INC 1,225,805 1,219,619 -6,186 0.71% -$216.65M
WARNER BROS DISCOVERY INC 51,238,257 50,878,258 -359,999 0.70% -$79.57M
L3HARRIS TECHNOLOGIES INC 4,071,356 4,033,645 -37,711 0.70% $196.98M
CLOUDFLARE INC-A 6,518,557 6,515,570 -2,987 0.68% $59.29M
DIGITAL REALTY TRUST INC 7,476,579 7,420,812 -55,767 0.67% $180.60M
TE CONNECTIVITY 6,403,293 6,337,066 -66,227 0.67% -$132.24M
PACCAR INC 11,431,312 11,357,324 -73,988 0.66% $59.93M
BAKER HUGHES CO 21,477,310 21,342,306 -135,004 0.66% $324.87M
NEWMONT CORP 23,751,837 11,747,036 -12,004,801 0.64% -$1.10B
CENCORA INC 4,011,151 3,991,056 -20,095 0.63% -$101.02M
CORTEVA INC 14,866,383 14,750,488 -115,895 0.62% $238.27M
ONEOK INC 13,695,610 13,601,544 -94,066 0.62% $222.82M
CHENIERE ENERGY INC 4,684,791 4,312,703 -372,088 0.62% $313.10M
ARTHUR J GALLAGHAR AND CO 5,589,484 5,552,449 -37,035 0.61% -$243.95M
TARGET CORP 9,855,689 9,778,919 -76,770 0.60% $221.81M
ROBINHOOD MARKETS INC 17,115,307 17,062,263 -53,044 0.60% -$753.33M
TARGA RESOURCES CORP 4,672,147 4,642,316 -29,831 0.59% $301.96M
ALLSTATE CORPORATION 5,695,691 5,605,009 -90,682 0.59% -$23.42M
FASTENAL CO 24,987,757 24,799,299 -188,458 0.58% $147.93M
CORNING INC 16,794,863 8,337,821 -8,457,042 0.57% -$336.86M
ELECTRONIC ARTS INC 5,443,871 5,404,375 -39,496 0.56% -$10.56M
VISTRA CORP 7,374,659 7,317,533 -57,126 0.55% -$89.71M
CARDINAL HEALTH INC 5,171,256 5,081,904 -89,352 0.54% $11.16M
EXELON CORP 21,972,694 21,802,264 -170,430 0.54% $110.96M
WW GRAINGER INC 983,205 971,911 -11,294 0.53% $68.07M
AMETEK INC NEW 5,010,700 4,944,985 -65,715 0.53% $31.26M
KEYSIGHT TECHNOLOGIES INC 3,726,443 3,710,224 -16,219 0.53% $290.48M
OCCIDENTAL PETROLEUM CORP 16,083,275 15,975,326 -107,949 0.52% $377.05M
EDWARDS LIFESCIENCES CORP 12,630,516 12,543,138 -87,378 0.51% -$72.30M
UNITED RENTALS INC 1,384,940 1,360,529 -24,411 0.50% -$129.63M
FERGUSON ENTERPRISES INC 4,265,532 4,223,031 -42,501 0.50% $35.43M
FORD MOTOR CO 85,183,800 84,627,219 -556,581 0.49% -$141.01M
BECTON DICKINSON and CO 6,212,031 6,149,339 -62,692 0.49% -$238.71M
IDEXX LABS INC 1,737,974 1,719,572 -18,402 0.49% -$209.58M
CARRIER GLOBAL CORP 17,414,742 17,148,544 -266,198 0.49% $45.44M
WILLIAMS COS INC 13,290,290 13,190,917 -99,373 0.48% $161.16M
ALNYLAM PHARMACEUTICALS INC 2,875,535 2,864,161 -11,374 0.48% -$195.79M
NASDAQ INC 11,185,458 11,048,497 -136,961 0.47% -$148.54M
DELTA AIR LI 14,212,199 14,105,132 -107,067 0.47% -$48.62M
YUM! BRANDS INC 6,043,418 5,969,787 -73,631 0.47% $13.93M
PUBLIC STORAGE 3,436,737 3,411,277 -25,460 0.47% $32.21M
WESTINGHOUSE AIR BRAKE TECH CORP 3,721,041 3,682,450 -38,591 0.46% $126.02M
WASTE CONNECTIONS INC 5,572,532 5,521,770 -50,762 0.45% -$80.24M
KROGER CO 12,981,329 12,300,534 -680,795 0.45% $78.99M
CONSOLIDATED EDISON INC 7,855,878 7,801,749 -54,129 0.45% $102.76M
EBAY INC 9,838,203 9,675,091 -163,112 0.44% $23.72M
AMERIPRISE FINANCIAL INC 2,022,222 1,969,111 -53,111 0.44% -$116.50M
AMERICAN INTERNATIONAL GROUP 11,744,469 11,587,696 -156,773 0.44% -$132.77M
PUB SERV ENTERP 10,864,237 10,770,907 -93,330 0.44% -$493.31K
ROCKWELL AUTOMATION INC 2,443,732 2,426,494 -17,238 0.44% -$79.96M
JOHNSON CONTROLS 6,650,717 6,609,102 -41,615 0.44% $69.04M
CBRE GROUP INC - CL A 6,477,187 6,374,394 -102,793 0.44% -$177.99M
METLIFE INC 12,188,904 11,969,637 -219,267 0.43% -$115.70M
GARMIN LTD 3,558,336 3,533,323 -25,013 0.41% $97.96M
FEDEX CORP 2,311,158 2,284,943 -26,215 0.41% $146.25M
WEC ENERGY GROUP INC 7,080,078 7,029,872 -50,206 0.41% $67.18M
MSCI INC 1,553,703 1,507,431 -46,272 0.41% -$78.89M
PG&E CORP 46,589,859 46,228,868 -360,991 0.41% $63.54M
HARTFORD INSURANCE GROUP INC/THE 6,065,359 5,957,367 -107,992 0.41% -$30.19M
OLD DOMINION FRT 4,096,329 4,051,116 -45,213 0.40% $149.28M
NUCOR CORP 4,732,253 4,673,115 -59,138 0.40% $18.35M
DR HORTON INC 5,721,356 5,630,918 -90,438 0.39% -$51.37M
VULCAN MATERIALS CO 2,875,986 2,820,059 -55,927 0.39% -$52.39M
MARTIN MAR MTLS 1,312,666 1,302,513 -10,153 0.39% -$50.58M
CROWN CASTLE INC 9,478,732 9,417,629 -61,103 0.39% -$76.63M
ARCHER DANIELS MIDLAND CO 10,460,149 10,392,098 -68,051 0.38% $154.05M
MICROCHIP TECHNOLOGY 11,763,466 11,686,447 -77,019 0.38% $5.49M
HILTON WORLDWIDE HOLDINGS INC 2,529,706 2,475,855 -53,851 0.38% $26.20M
TAKE-TWO INTERACTV SOFTWR INC 3,820,936 3,799,170 -21,766 0.38% -$227.94M
SYSCO CORP 10,422,632 10,342,882 -79,750 0.37% -$30.29M
PRUDENTL FINL 7,617,982 7,515,453 -102,529 0.37% -$125.73M
KEURIG DR PEPPER INC 28,092,653 27,874,737 -217,916 0.37% -$52.93M
COINBASE GLOBAL INC 4,317,770 4,176,040 -141,730 0.37% -$247.24M
STATE STREET CORP 5,775,553 5,718,425 -57,128 0.36% -$21.38M
KENVUE INC 41,699,104 41,393,868 -305,236 0.36% -$5.68M
BLOCK INC CL A 11,920,427 11,827,674 -92,753 0.36% -$64.11M
RESMED INC 3,177,054 3,146,090 -30,964 0.36% -$59.02M
ARCH CAPITAL GRP 7,498,559 7,299,807 -198,752 0.35% -$18.55M
AGILENT TECHNOLOGIES INC 6,160,979 6,108,195 -52,784 0.35% -$142.11M
KIMBERLY CLARK CORP 7,223,420 7,168,115 -55,305 0.35% -$37.26M
SEMPRA ENERGY 7,102,773 7,047,671 -55,102 0.35% $57.72M
KINDER MORGAN INC 20,580,211 20,420,883 -159,328 0.35% $118.96M
HEWLETT PACKARD ENTERPRISE CO 28,720,009 28,697,289 -22,720 0.34% -$6.57M
INGERSOLL RAND INC 8,600,057 8,457,522 -142,535 0.34% -$3.68M
DEVON ENERGY CORP 13,653,699 13,390,486 -263,213 0.34% $173.67M
GE HEALTHCARE TECHNOLOGIES INC WI 9,418,945 9,350,409 -68,536 0.34% -$106.98M
M&T BANK CORP 3,345,136 3,217,828 -127,308 0.34% -$8.79M
HERSHEY CO/THE 3,225,200 3,197,904 -27,296 0.34% $77.89M
UNITED AIRLINES HOLDINGS INC 7,132,708 7,077,302 -55,406 0.33% -$145.97M
OTIS WORLDWIDE CORP 8,482,614 8,394,815 -87,799 0.33% -$93.88M
PAYCHEX INC 7,051,137 6,977,125 -74,012 0.32% -$148.26M
CBOE GLOBAL MARKETS INC 2,277,724 2,260,399 -17,325 0.32% $63.62M
HALLIBURTON CO 16,486,230 16,279,491 -206,739 0.32% $168.84M
COGNIZANT TECH SOLUTIONS CL A 10,506,031 10,328,356 -177,675 0.32% -$238.36M
XYLEM INC 5,299,298 5,250,861 -48,437 0.32% -$94.18M
COPART INC 18,963,039 18,815,094 -147,945 0.31% -$117.74M
SIMON PROPERTY 3,375,123 3,333,344 -41,779 0.31% -$3.00M
CINTAS CORP 3,717,459 3,670,263 -47,196 0.31% -$78.35M
IRON MOUNTAIN INC 6,112,064 6,069,577 -42,487 0.31% $112.95M
CENTERPOINT ENERGY INC 14,209,592 14,099,453 -110,139 0.31% $63.74M
EDISON INTL 8,375,098 8,310,152 -64,946 0.31% $105.46M
DOVER CORP 2,985,385 2,912,533 -72,852 0.31% $24.25M
TELEDYNE TECHNOLOGIES INC 1,021,956 1,000,021 -21,935 0.30% $83.08M
AUTOZONE INC 181,021 178,904 -2,117 0.30% -$9.63M
FIRSTENERGY CORP 11,933,207 11,839,982 -93,225 0.30% $65.56M
EXTRA SPACE STORAGE INC 4,619,952 4,559,835 -60,117 0.30% -$3.68M
WILLIS TOWERS WA 2,084,137 2,041,842 -42,295 0.30% -$91.28M
EXPEDIA INC 2,546,778 2,527,025 -19,753 0.29% -$138.06M
BIOGEN INC 3,193,254 3,169,409 -23,845 0.29% $19.07M
AMERICAN WATER WRKS COMPANY 4,246,968 4,215,793 -31,175 0.29% $19.50M
VERISK ANALYTICS INC 3,033,625 2,979,071 -54,554 0.28% -$113.31M
DOLLAR GENERAL CORP 4,790,758 4,753,735 -37,023 0.28% -$71.66M
EVERSOURCE ENERGY 8,165,933 8,109,348 -56,585 0.28% $12.00M
VEEVA SYSTEMS-A 3,220,101 3,195,065 -25,036 0.28% -$157.58M
DTE ENERGY CO 3,842,151 3,812,302 -29,849 0.28% $61.87M
METTLER-TOLEDO INTL INC 444,638 438,946 -5,692 0.28% -$66.31M
AFLAC INC 5,702,799 5,017,942 -684,857 0.28% -$78.33M
COTERRA ENERGY INC 15,741,521 15,621,885 -119,636 0.28% $134.64M
LIVE NATION ENTERTAINMENT INC 3,576,818 3,549,629 -27,189 0.27% $31.66M
RAYMOND JAMES FINANCIAL INC. 3,852,824 3,712,235 -140,589 0.27% -$81.23M
NORTHERN TRUST CORP 3,910,490 3,812,409 -98,081 0.27% -$2.04M
CINCINNATI FINANCIAL CORP 3,395,866 3,360,726 -35,140 0.27% -$25.80M
ON SEMICONDUCTOR CORP 8,758,104 8,509,384 -248,720 0.27% $52.65M
CITIZENS FINANCIAL GROUP INC 8,880,356 8,719,149 -161,207 0.26% $4.19M
FORTINET INC 6,879,615 6,391,876 -487,739 0.26% -$23.97M
DEXCOM INC 8,488,951 8,311,673 -177,278 0.26% -$41.44M
FIDELITY NATL INFORM SVCS INC 11,271,694 11,109,186 -162,508 0.26% -$227.98M
LPL FINL HLDGS INC 1,742,067 1,729,462 -12,605 0.26% -$101.94M
FAIR ISAAC CORP 490,248 486,701 -3,547 0.26% -$309.25M
PPG INDUSTRIES INC 4,884,277 4,826,611 -57,666 0.26% $15.43M
TRACTOR SUPPLY CO. 11,501,276 11,367,189 -134,087 0.26% -$60.25M
CMS ENERGY CORP 6,623,422 6,617,644 -5,778 0.26% $50.22M
SYNCHRONY FINANCIAL 7,839,399 7,506,840 -332,559 0.26% -$143.43M
ULTA BEAUTY INC 975,949 958,052 -17,897 0.25% -$89.68M
AVALONBAY COMMUNITIES INC REIT 3,082,159 3,057,928 -24,231 0.25% -$59.31M
MARKEL GROUP INC 260,763 258,001 -2,762 0.25% -$66.72M
PULTEGROUP INC 4,242,549 4,153,582 -88,967 0.25% -$8.98M
DARDEN RESTAURANTS INC 2,531,631 2,486,575 -45,056 0.25% $21.60M
REGIONS FINANCIAL CORP 19,086,584 18,648,030 -438,554 0.25% -$30.16M
APOLLO GLOBAL MANAGEMENT INC 4,421,701 4,370,842 -50,859 0.25% -$153.09M
COREWEAVE INC 6,727,454 6,258,642 -468,812 0.24% $3.10M
CHURCH & DWIGHT 5,226,338 5,111,616 -114,722 0.24% $38.79M
LABCORP HOLDINGS INC 1,804,313 1,779,527 -24,786 0.24% $22.13M
KEYCORP 23,788,836 23,532,083 -256,753 0.24% -$19.18M
STERIS PLC 2,136,239 2,118,015 -18,224 0.24% -$73.22M
EQUIFAX INC 2,664,068 2,597,397 -66,671 0.24% -$110.34M
QUEST DIAGNOSTICS INC 2,421,085 2,372,698 -48,387 0.23% $44.87M
EQUITY RESIDENTIAL REIT 7,867,194 7,746,022 -121,172 0.23% -$37.77M
HUMANA INC 2,617,797 2,604,446 -13,351 0.23% -$218.91M
VERALTO CORP 5,134,240 5,084,772 -49,468 0.23% -$62.70M
CONSTELLATION BRANDS INC CL A 3,047,190 2,995,558 -51,632 0.23% $28.94M
DOLLAR TREE INC 4,217,517 4,079,818 -137,699 0.23% -$72.02M
VERISIGN INC 1,815,820 1,782,351 -33,469 0.22% $1.51M
ZOOM VIDEO COMMUNICATIONS INC CL A 5,491,132 5,448,614 -42,518 0.22% -$35.82M
EQT CORPORATION 6,790,322 6,741,357 -48,965 0.22% $65.06M
GENERAL MILLS INC 11,610,767 11,523,378 -87,389 0.22% -$111.00M
T ROWE PRICE GRP 4,750,117 4,709,385 -40,732 0.21% -$61.81M
NETAPP INC 4,230,525 4,144,092 -86,433 0.21% -$28.73M
PRINCIPAL FINL GROUP INC 4,781,481 4,682,831 -98,650 0.21% $195.46K
CORPAY INC 1,446,502 1,435,322 -11,180 0.21% -$17.63M
EXPEDITORS INTL OF WASH INC 2,916,971 2,883,160 -33,811 0.21% -$21.70M
BROADRIDGE FINL 2,540,794 2,521,334 -19,460 0.21% -$157.36M
PACKAGING CORP OF AMERICA 1,958,175 1,926,674 -31,501 0.21% $5.04M
MONGODB INC CL A 1,682,256 1,669,889 -12,367 0.21% -$297.29M
WR BERKLEY CORP 6,203,073 6,155,334 -47,739 0.21% -$26.98M
BROWN & BROWN 6,316,461 6,249,264 -67,197 0.21% -$95.91M
SNAP-ON INCORPORATED 1,131,851 1,121,078 -10,773 0.21% $17.16M
INTL PAPER CO 11,492,497 11,403,900 -88,597 0.21% -$45.57M
KRAFT HEINZ CO/T 18,033,080 17,894,858 -138,222 0.20% -$34.85M
SOUTHWEST AIRLINES CO 11,256,125 10,610,563 -645,562 0.20% -$66.58M
ALLIANT ENERGY CORPORATION 5,594,003 5,553,220 -40,783 0.20% $34.83M
SBA COMMUNICATIONS CORP 2,318,925 2,301,125 -17,800 0.20% -$52.50M
TYSON FOODS INC CL A 6,159,662 6,091,647 -68,015 0.20% $29.21M
WEST PHARMACEUTICAL SVCS INC 1,565,772 1,555,414 -10,358 0.20% -$40.96M
LENNAR CORP CL A 4,452,598 4,431,332 -21,266 0.19% -$72.91M
CHARTER COMMUNICATIONS INC A 1,831,325 1,777,635 -53,690 0.19% $1.47M
ZIMMER BIOMET HO 4,312,968 4,225,430 -87,538 0.19% -$5.76M
INTL FLVR & FRAG 5,294,535 5,254,313 -40,222 0.19% $24.40M
LOEWS CORP 3,598,133 3,559,824 -38,309 0.19% $1.06M
HP INC 20,343,936 19,750,968 -592,968 0.19% -$73.85M
NVR INC 58,701 57,318 -1,383 0.19% -$50.38M
FORTIVE CORP 6,912,479 6,648,638 -263,841 0.19% -$14.10M
COSTAR GROUP INC 9,224,925 9,066,164 -158,761 0.18% -$254.55M
ROLLINS INC 6,855,685 6,753,317 -102,368 0.18% -$50.78M
LULULEMON ATHLETICA INC 2,346,257 2,301,768 -44,489 0.18% -$135.17M
LAS VEGAS SANDS CORP 6,622,095 6,529,829 -92,266 0.18% -$79.20M
HEICO CORP CL A 1,645,881 1,638,221 -7,660 0.17% -$69.66M
DOW INC 7,679,289 7,621,220 -58,069 0.16% $137.88M
FLUTTER ENTER-DI 3,427,431 3,028,751 -398,680 0.16% -$428.25M
INTERACTIVE BROKERS GROUP INC 9,208,865 4,568,593 -4,640,272 0.15% -$285.81M
TEXAS PACIFIC LAND CORP 638,034 632,806 -5,228 0.15% $117.05M
SS&C TECHNOLOGIE 4,514,190 4,433,355 -80,835 0.15% -$95.07M
TRADEWEB MARKETS INC A 2,534,339 2,497,786 -36,553 0.15% $21.35M
ROCKET COS INC-A 19,992,193 19,839,909 -152,284 0.14% -$104.33M
HUBBELL INC 578,097 574,043 -4,054 0.14% $24.97M
MCCORMICK-N/V 5,511,148 5,476,774 -34,374 0.14% -$99.12M
STEEL DYNAMICS INC 1,509,151 1,498,074 -11,077 0.14% $13.93M
QNITY ELECTRONICS INC 2,279,222 2,263,957 -15,265 0.13% $75.12M
SUPER MICRO COMPUTER INC 11,042,002 10,995,710 -46,292 0.13% -$72.83M
HEICO CORP 899,227 892,891 -6,336 0.12% -$46.15M
NISOURCE INC 5,195,893 5,167,547 -28,346 0.12% $24.14M
FOX CORP CL A 4,064,292 3,902,234 -162,058 0.11% -$69.09M
LYONDELLBASELL-A 2,805,633 2,783,192 -22,441 0.11% $102.73M
BURLINGTON STORES INC 684,753 679,530 -5,223 0.11% $23.31M
FIRST SOLAR INC 1,109,089 1,100,737 -8,352 0.11% -$72.60M
LEIDOS HOLDINGS INC 1,390,789 1,364,810 -25,979 0.11% -$38.64M
EVERGY INC 2,501,651 2,356,601 -145,050 0.10% $11.71M
WEYERHAEUSER CO 7,844,112 7,781,151 -62,961 0.10% $4.27M
CENTENE CORP 5,351,814 5,309,562 -42,252 0.09% -$46.39M
CDW CORPORATION 2,833,403 1,392,956 -1,440,447 0.08% -$217.33M
ESSEX PROPERTY TRUST INC 700,794 696,089 -4,705 0.08% -$14.93M
TRIMBLE INC 5,178,169 2,526,131 -2,652,038 0.08% -$240.93M
INSULET CORP 765,954 759,976 -5,978 0.08% -$58.24M
TYLER TECHNOLOGIES INC 936,476 464,148 -472,328 0.08% -$266.20M
GENUINE PARTS CO 3,027,385 1,485,983 -1,541,402 0.08% -$215.10M
INVITATION HOMES INC 12,672,952 6,250,954 -6,421,998 0.08% -$196.85M
FOX CORPORATION B 3,096,991 2,667,307 -429,684 0.07% -$59.45M
HUBSPOT INC 1,083,116 540,839 -542,277 0.07% -$302.64M
GODADDY INC CL A 2,941,021 1,439,182 -1,501,839 0.06% -$245.94M
PINTEREST INC CL A 12,317,310 6,001,268 -6,316,042 0.06% -$208.83M
TRADE DESK INC-A 9,582,356 4,750,500 -4,831,856 0.05% -$255.96M
BLUE OWL CAPITAL INC A 7,238,194 7,197,011 -41,183 0.03% -$42.43M
SYMBOTIC INC 718,796 714,335 -4,461 0.02% -$4.77M
VENTURE GLOBAL INC 1,305,700 1,262,916 -42,784 0.01% $11.00M
COREBRIDGE FINANCIAL INC 3,022,932 792 -3,022,140 0.00% -$91.18M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
LENNAR CORP CL B 212,879 212,879 0 0.01% -$2.34M

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