VV
VANGUARD LARGE-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
SANDISK CORPORATION 0 170,849 170,849 0.17% $108.55M
CIENA CORP 0 82,938 82,938 0.05% $32.20M
SUNBELT RENTALS 0 487,841 487,841 0.05% $31.75M
LUMENTUM HOLDINGS INC 0 41,853 41,853 0.05% $29.41M
COMFORT SYSTEMS USA INC 0 20,606 20,606 0.04% $28.42M
COHERENT CORP 0 109,912 109,912 0.04% $26.18M
ROCKET LAB CORP 0 332,648 332,648 0.03% $21.36M
BLOOM ENERGY CORP CL A 0 156,242 156,242 0.03% $21.17M
TKO GROUP HOLDINGS INC 0 36,550 36,550 0.01% $7.37M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
GARTNER INC 40,080 0 -40,080 0.00% -$10.11M
TRANSUNION 113,661 0 -113,661 0.00% -$9.75M
MID AMERICA APT CMNTY INC 68,525 0 -68,525 0.00% -$9.52M
JACOBS SOLUTIONS INC 69,500 0 -69,500 0.00% -$9.21M
GEN DIGITAL INC 324,856 0 -324,856 0.00% -$8.83M
NEWS CORP NEW CL A 217,531 0 -217,531 0.00% -$5.68M
COREBRIDGE FINANCIAL INC 162,369 0 -162,369 0.00% -$4.90M
NEWS CORP NEW CL B 72,836 0 -72,836 0.00% -$2.16M
F&G ANNUITIES 5,467 0 -5,467 0.00% -$168.66K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
NVIDIA CORP 26,992,612 27,100,267 107,655 7.35% -$307.84M
MICROSOFT CORP 8,690,466 8,717,209 26,743 5.02% -$976.03M
AMAZON.COM INC 11,249,778 11,341,825 92,047 3.68% -$234.51M
ALPHABET INC CL A 6,755,699 6,821,973 66,274 3.05% -$152.81M
BROADCOM INC 5,521,718 5,565,930 44,212 2.68% -$188.36M
ALPHABET INC CL C 5,420,810 5,439,004 18,194 2.43% -$140.82M
META PLATFORMS INC CL A 2,546,542 2,567,582 21,040 2.29% -$211.96M
BERKSHIRE HATH-B 2,063,272 2,064,875 1,603 1.54% -$47.62M
LILLY ELI and CO 994,871 996,701 1,830 1.43% -$152.43M
JOHNSON&JOHNSON 2,817,118 2,829,067 11,949 1.08% $108.53M
WALMART INC 5,127,335 5,146,047 18,712 1.00% $68.31M
VISA INC-CLASS A 1,823,311 1,823,530 219 0.86% -$88.31M
COSTCO WHOLESALE CORP 518,199 521,080 2,881 0.81% $72.36M
NETFLIX INC 4,954,567 4,956,571 2,004 0.74% $12.03M
ABBVIE INC 2,066,543 2,075,726 9,183 0.70% -$20.73M
MICRON TECHNOLOGY INC 1,315,835 1,321,267 5,432 0.69% $70.82M
ADV MICRO DEVICE 1,903,617 1,914,002 10,385 0.61% -$18.31M
HOME DEPOT INC 1,164,019 1,168,675 4,656 0.60% -$16.17M
PALANTIR TECHNOLOGIES INC 2,537,457 2,555,520 18,063 0.58% -$77.21M
MERCK & CO 2,902,154 2,902,434 280 0.54% $43.65M
CISCO SYSTEMS INC 4,157,902 4,173,235 15,333 0.50% $3.52M
APPLIED MATERIALS INC 931,482 931,653 171 0.50% $79.05M
COCA-COLA CO/THE 4,023,841 4,039,030 15,189 0.48% $25.86M
RTX CORP 1,567,719 1,575,756 8,037 0.47% $16.44M
PHILIP MORRIS INTL INC 1,820,127 1,827,448 7,321 0.47% $10.20M
ORACLE CORP 2,000,010 2,023,703 23,693 0.46% -$92.12M
UNITEDHEALTH GRP 1,059,172 1,063,388 4,216 0.45% -$61.90M
Vanguard Market Liquidity Fund 25,840,683 278,355,310 252,514,627 0.44% $250.97M
INTL BUS MACH CORP 1,092,959 1,101,193 8,234 0.42% -$56.83M
MCDONALDS CORP 832,714 833,961 1,247 0.40% $4.68M
PEPSICO INC 1,598,806 1,604,366 5,560 0.39% $19.68M
MORGAN STANLEY 1,393,747 1,398,039 4,292 0.36% -$17.36M
NEXTERA ENERGY INC 2,435,139 2,445,914 10,775 0.35% $31.68M
KLA CORP 153,632 153,876 244 0.35% $39.89M
VERIZON COMMUNICATIONS INC 4,437,097 4,456,154 19,057 0.35% $42.98M
AMGEN INC 629,628 632,834 3,206 0.35% $16.58M
ABBOTT LABS 2,033,223 2,039,923 6,700 0.33% -$45.30M
TJX COS INC 1,301,339 1,303,621 2,282 0.32% $8.29M
TEXAS INSTRUMENTS INC 1,062,417 1,065,417 3,000 0.32% $22.52M
GILEAD SCIENCES INC 1,450,684 1,457,337 6,653 0.32% $25.05M
INTUITIVE SURGICAL INC 414,505 416,911 2,406 0.30% -$42.57M
PFIZER INC 6,648,155 6,675,327 27,172 0.29% $21.90M
BOEING CO/THE 915,678 921,946 6,268 0.29% -$15.32M
ANALOG DEVICES INC 572,529 573,122 593 0.28% $27.06M
AMPHENOL CORPORATION CL A 1,431,256 1,442,998 11,742 0.28% -$11.10M
AMERICAN EXPRESS CO 563,821 564,237 416 0.27% -$37.92M
DEERE & CO 300,284 301,226 942 0.26% $29.88M
UNION PACIFIC CORP 693,574 696,596 3,022 0.26% $8.57M
HONEYWELL INTL INC 742,359 746,236 3,877 0.26% $23.84M
EATON CORP PLC 454,132 455,946 1,814 0.25% $18.43M
WELLTOWER INC 802,500 819,089 16,589 0.25% $12.99M
QUALCOMM INC 1,252,280 1,252,593 313 0.25% -$52.89M
BLACKROCK INC 163,273 164,329 1,056 0.25% -$16.72M
LOWES COS INC 655,913 658,572 2,659 0.24% -$2.57M
ARISTA NETWORKS INC 1,177,951 1,253,736 75,785 0.24% -$413.21K
PALO ALTO NETWORKS INC 814,992 957,758 142,766 0.24% $3.43M
BRISTOL-MYERS SQUIBB CO 2,380,346 2,390,685 10,339 0.23% $16.60M
PROLOGIS INC REIT 1,082,948 1,087,265 4,317 0.22% $5.47M
DANAHER CORP 743,349 747,111 3,762 0.22% -$28.52M
INTUIT INC 325,379 326,669 1,290 0.22% -$74.29M
NEWMONT CORP 1,275,969 1,277,087 1,118 0.22% $10.84M
PROGRESSIVE CORP OHIO 685,672 688,039 2,367 0.21% -$19.74M
VERTEX PHARMACEUTICALS INC 296,665 298,227 1,562 0.21% -$1.33M
STRYKER CORP 402,445 404,362 1,917 0.21% -$8.58M
PARKER HANNIFIN CORP 147,546 148,155 609 0.21% $2.95M
MEDTRONIC PLC 1,499,046 1,507,188 8,142 0.20% -$13.40M
SERVICENOW INC 1,213,013 1,227,924 14,911 0.20% -$57.44M
SOUTHERN CO 1,286,479 1,291,561 5,082 0.19% $12.48M
CORNING INC 902,249 906,459 4,210 0.19% $44.25M
STARBUCKS CORP 1,329,594 1,337,456 7,862 0.19% $7.86M
DUKE ENERGY CORP NEW 909,735 913,326 3,591 0.19% $12.96M
APPLOVIN CORP 287,734 288,397 663 0.18% -$79.10M
EQUINIX INC 114,803 115,324 521 0.18% $25.09M
VERTIV HOLDINGS CO 447,046 449,131 2,085 0.18% $40.12M
CROWDSTRIKE HOLDINGS INC 278,767 281,156 2,389 0.17% -$20.91M
BOSTON SCIENTIFIC CORP 1,733,382 1,741,987 8,605 0.17% -$55.97M
WASTE MANAGEMENT INC 471,083 473,478 2,395 0.17% $5.30M
HOWMET AEROSPACE INC 470,122 470,676 554 0.17% $12.09M
TRANE TECHNOLOGI 259,267 259,823 556 0.17% $7.37M
CVS HEALTH CORP 1,484,333 1,493,481 9,148 0.17% -$10.53M
WILLIAMS COS INC 1,427,917 1,434,039 6,122 0.16% $18.54M
MARVELL TECHNOLOGY INC 1,008,013 1,024,472 16,459 0.16% $15.81M
SEAGATE TECHNOLO 249,709 255,999 6,290 0.16% $31.52M
BLACKSTONE INC 863,446 866,888 3,442 0.16% -$33.41M
FREEPORT MCMORAN INC 1,678,944 1,687,174 8,230 0.15% $13.90M
PNC FINANCIAL SERVICES GRP INC 458,589 473,509 14,920 0.15% $2.81M
GENERAL DYNAMICS CORPORATION 284,263 285,662 1,399 0.15% $2.34M
QUANTA SVCS INC 174,352 175,648 1,296 0.15% $22.85M
US BANCORP DEL 1,817,748 1,823,944 6,196 0.15% -$2.13M
REGENERON PHARMACEUTICALS INC 114,723 121,963 7,240 0.15% $5.68M
JOHNSON CONTROLS 714,579 718,532 3,953 0.15% $8.52M
O'REILLY AUTOMOTIVE INC 987,000 988,360 1,360 0.14% $1.21M
SLB LTD 1,746,859 1,755,424 8,565 0.14% $23.17M
CADENCE DESIGN SYSTEMS INC 318,279 323,858 5,579 0.14% -$9.50M
CSX CORP 2,177,396 2,182,987 5,591 0.14% $10.68M
SYNOPSYS INC 217,188 224,870 7,682 0.14% -$12.86M
SHERWIN WILLIAMS CO 275,359 276,317 958 0.14% -$651.16K
FEDEX CORP 248,317 248,414 97 0.14% $16.75M
CUMMINS INC 161,403 162,198 795 0.14% $4.88M
EMERSON ELECTRIC CO 656,876 659,749 2,873 0.13% -$740.27K
UNITED PARCEL SERVICE INC CL B 864,115 873,237 9,122 0.13% $197.49K
AMERICAN ELECTRIC POWER CO INC 624,536 634,925 10,389 0.13% $11.21M
CRH PLC 783,391 784,487 1,096 0.13% -$15.30M
AON PLC-CLASS A 238,767 238,950 183 0.12% -$7.13M
TRANSDIGM GROUP INC 65,854 66,308 454 0.12% -$10.73M
WARNER BROS DISCOVERY INC 2,752,550 2,765,643 13,093 0.12% -$3.38M
AIR PRODUCTS and CHEMICALS INC 260,269 261,391 1,122 0.12% $11.64M
L3HARRIS TECHNOLOGIES INC 218,723 219,279 556 0.12% $11.47M
NORFOLK SOUTHERN CORP 262,382 263,641 1,259 0.12% -$89.96K
SEMPRA ENERGY 763,208 766,208 3,000 0.12% $7.07M
KINDER MORGAN INC 2,211,105 2,220,002 8,897 0.12% $13.65M
NIKE INC CL B 1,390,703 1,398,735 8,032 0.11% -$14.72M
CLOUDFLARE INC-A 350,182 354,156 3,974 0.11% $4.04M
DIGITAL REALTY TRUST INC 401,646 403,376 1,730 0.11% $10.55M
KKR & CO INC 781,677 784,888 3,211 0.11% -$27.05M
TE CONNECTIVITY 343,994 344,459 465 0.11% -$6.26M
PACCAR INC 614,105 617,356 3,251 0.11% $4.05M
BAKER HUGHES CO 1,153,835 1,160,127 6,292 0.11% $18.28M
CENCORA INC 215,498 216,932 1,434 0.11% -$4.64M
CORTEVA INC 798,622 801,813 3,191 0.10% $13.59M
REALTY INCOME CORP REIT 1,075,633 1,094,628 18,995 0.10% $6.34M
ONEOK INC 735,697 739,309 3,612 0.10% $12.75M
ARTHUR J GALLAGHAR AND CO 300,277 301,810 1,533 0.10% -$12.34M
TARGET CORP 529,474 531,562 2,088 0.10% $12.67M
ROBINHOOD MARKETS INC 919,468 927,342 7,874 0.10% -$39.73M
DOMINION ENERGY INC 998,541 1,031,601 33,060 0.10% $5.27M
TARGA RESOURCES CORP 250,987 252,317 1,330 0.10% $16.96M
FASTENAL CO 1,342,408 1,348,083 5,675 0.10% $8.68M
DOORDASH INC-A 403,847 409,091 5,244 0.10% -$30.04M
ELECTRONIC ARTS INC 292,450 293,769 1,319 0.09% $134.38K
VISTRA CORP 396,166 397,747 1,581 0.09% -$4.12M
ENTERGY CORP 522,234 531,758 9,524 0.09% $11.48M
AUTODESK INC 247,895 248,870 975 0.09% -$13.80M
MONOLITHIC POWER SYS INC 53,213 54,307 1,094 0.09% $11.15M
XCEL ENERGY INC 691,709 732,344 40,635 0.09% $7.09M
MONSTER BEVERAGE CORP 799,736 802,875 3,139 0.09% -$3.14M
EXELON CORP 1,180,549 1,185,140 4,591 0.09% $6.64M
WW GRAINGER INC 52,818 52,825 7 0.09% $4.33M
SNOWFLAKE INC CL A 376,341 381,623 5,282 0.09% -$25.00M
KEYSIGHT TECHNOLOGIES INC 200,183 201,699 1,516 0.09% $16.28M
OCCIDENTAL PETROLEUM CORP 863,876 868,351 4,475 0.09% $20.92M
EDWARDS LIFESCIENCES CORP 678,549 681,811 3,262 0.08% -$3.25M
TERADYNE INC 91,644 183,657 92,013 0.08% $36.71M
FERGUSON ENTERPRISES INC 229,156 229,567 411 0.08% $2.53M
FORD MOTOR CO 4,576,228 4,600,240 24,012 0.08% -$6.95M
APOLLO GLOBAL MANAGEMENT INC 475,082 475,201 119 0.08% -$15.83M
BECTON DICKINSON and CO 333,739 334,263 524 0.08% -$12.21M
IDEXX LABS INC 93,371 93,475 104 0.08% -$10.65M
REPUBLIC SVCS 235,309 235,643 334 0.08% $1.74M
ALNYLAM PHARMACEUTICALS INC 154,476 155,683 1,207 0.08% -$9.92M
DELTA AIR LI 763,570 766,742 3,172 0.08% -$2.02M
PUBLIC STORAGE 184,662 185,444 782 0.08% $2.31M
CARVANA CO CL A 157,091 159,194 2,103 0.08% -$16.25M
WESTINGHOUSE AIR BRAKE TECH CORP 199,901 200,161 260 0.08% $7.35M
FIFTH THIRD BANCORP 772,875 1,056,178 283,303 0.08% $12.89M
WASTE CONNECTIONS INC 299,396 300,151 755 0.08% -$3.75M
CONSOLIDATED EDISON INC 422,050 424,087 2,037 0.07% $6.08M
PUB SERV ENTERP 583,701 585,474 1,773 0.07% $522.93K
ROCKWELL AUTOMATION INC 131,273 131,882 609 0.07% -$3.74M
STRATEGY INC CL A 313,034 368,684 55,650 0.07% -$1.55M
DIAMONDBACK ENERGY INC 217,728 231,795 14,067 0.07% $13.12M
VENTAS INC REIT 549,268 557,568 8,300 0.07% $3.10M
DATADOG INC CL A 380,537 385,371 4,834 0.07% -$6.26M
GARMIN LTD 191,147 192,049 902 0.07% $5.78M
WEC ENERGY GROUP INC 380,363 382,173 1,810 0.07% $4.13M
PG&E CORP 2,502,889 2,512,891 10,002 0.07% $3.93M
OLD DOMINION FRT 220,023 220,220 197 0.07% $8.53M
ROBLOX CORP - A 727,421 737,871 10,450 0.06% -$17.21M
MARTIN MAR MTLS 70,516 70,800 284 0.06% -$2.23M
CROWN CASTLE INC 509,209 511,929 2,720 0.06% -$3.63M
ARCHER DANIELS MIDLAND CO 561,815 564,896 3,081 0.06% $8.76M
MICROCHIP TECHNOLOGY 631,919 635,251 3,332 0.06% $777.69K
TAKE-TWO INTERACTV SOFTWR INC 205,259 206,509 1,250 0.06% -$11.77M
SYSCO CORP 559,952 562,247 2,295 0.06% -$1.16M
KEURIG DR PEPPER INC 1,509,191 1,515,254 6,063 0.06% -$2.38M
STATE STREET CORP 310,269 310,845 576 0.06% -$687.26K
KENVUE INC 2,239,866 2,250,143 10,277 0.06% $154.78K
BLOCK INC CL A 640,389 642,937 2,548 0.06% -$2.99M
RESMED INC 170,683 171,014 331 0.06% -$2.72M
AXON ENTERPRISE INC 87,652 89,642 1,990 0.06% -$11.71M
AGILENT TECHNOLOGIES INC 331,011 332,042 1,031 0.06% -$7.19M
KIMBERLY CLARK CORP 388,029 389,669 1,640 0.06% -$1.56M
HUNTINGTON BANCSHARES INC 1,830,331 2,383,115 552,784 0.06% $5.54M
HEWLETT PACKARD ENTERPRISE CO 1,542,755 1,559,926 17,171 0.06% $84.86K
GE HEALTHCARE TECHNOLOGIES INC WI 506,017 508,242 2,225 0.06% -$5.33M
HERSHEY CO/THE 173,217 173,819 602 0.06% $4.61M
AMEREN CORP 316,218 324,498 8,280 0.06% $4.09M
UNITED AIRLINES HOLDINGS INC 383,207 384,707 1,500 0.06% -$7.43M
OTIS WORLDWIDE CORP 455,688 456,330 642 0.05% -$4.63M
PAYCHEX INC 378,753 379,227 474 0.05% -$7.55M
CBOE GLOBAL MARKETS INC 122,325 122,859 534 0.05% $3.83M
WATERS CORP 69,582 115,145 45,563 0.05% $7.86M
XYLEM INC 284,678 285,415 737 0.05% -$4.66M
IQVIA HOLDINGS INC 189,181 199,197 10,016 0.05% -$8.67M
COPART INC 1,018,702 1,022,769 4,067 0.05% -$5.93M
CARNIVAL CORP 1,228,657 1,306,526 77,869 0.05% -$3.71M
IRON MOUNTAIN INC 328,205 329,930 1,725 0.05% $6.47M
INTERACTIVE BROKERS GROUP INC 494,624 496,685 2,061 0.05% $1.50M
CENTERPOINT ENERGY INC 763,139 766,433 3,294 0.05% $3.82M
EDISON INTL 449,748 451,725 1,977 0.05% $6.06M
FIRSTENERGY CORP 640,861 643,622 2,761 0.05% $3.91M
WORKDAY INC CL A 249,058 250,039 981 0.05% -$21.01M
PPL CORPORATION 821,430 837,886 16,456 0.05% $3.24M
EXPEDIA INC 136,815 137,362 547 0.05% -$7.05M
BIOGEN INC 171,486 172,280 794 0.05% $1.40M
AMERICAN WATER WRKS COMPANY 228,095 229,175 1,080 0.05% $1.42M
DOLLAR GENERAL CORP 257,337 258,396 1,059 0.05% -$3.49M
EVERSOURCE ENERGY 438,556 440,811 2,255 0.05% $1.01M
VEEVA SYSTEMS-A 172,981 173,661 680 0.05% -$8.11M
DTE ENERGY CO 206,322 207,230 908 0.05% $3.69M
COTERRA ENERGY INC 846,492 849,110 2,618 0.05% $7.56M
LIVE NATION ENTERTAINMENT INC 192,064 192,954 890 0.05% $2.06M
CINCINNATI FINANCIAL CORP 182,376 182,669 293 0.04% -$1.04M
LPL FINL HLDGS INC 93,575 94,011 436 0.04% -$5.14M
FAIR ISAAC CORP 26,336 26,452 116 0.04% -$16.29M
PPG INDUSTRIES INC 262,283 262,385 102 0.04% $1.17M
TRACTOR SUPPLY CO. 617,723 617,908 185 0.04% -$2.90M
CMS ENERGY CORP 355,652 359,737 4,085 0.04% $3.04M
AVALONBAY COMMUNITIES INC REIT 165,515 166,207 692 0.04% -$2.86M
ARES MANAGEMENT CORP CL A 240,883 246,366 5,483 0.04% -$12.06M
MARKEL GROUP INC 14,008 14,040 32 0.04% -$3.24M
KEYCORP 1,277,417 1,279,214 1,797 0.04% -$717.65K
STERIS PLC 114,721 115,110 389 0.04% -$3.63M
HUMANA INC 140,620 141,578 958 0.04% -$11.47M
VERALTO CORP 275,711 276,392 681 0.04% -$3.07M
ZOOM VIDEO COMMUNICATIONS INC CL A 294,872 296,189 1,317 0.04% -$1.63M
EQT CORPORATION 365,180 366,435 1,255 0.04% $3.75M
GENERAL MILLS INC 623,527 626,397 2,870 0.04% -$5.68M
T ROWE PRICE GRP 255,075 256,024 949 0.04% -$3.04M
CORPAY INC 77,666 78,020 354 0.04% -$668.99K
EXPEDITORS INTL OF WASH INC 156,615 156,710 95 0.03% -$891.63K
BROADRIDGE FINL 136,454 137,045 591 0.03% -$8.19M
MONGODB INC CL A 90,375 90,787 412 0.03% -$15.71M
WR BERKLEY CORP 333,059 334,583 1,524 0.03% -$1.18M
BROWN & BROWN 339,198 339,707 509 0.03% -$4.88M
SNAP-ON INCORPORATED 60,764 60,937 173 0.03% $1.19M
INTL PAPER CO 617,079 619,885 2,806 0.03% -$2.18M
KRAFT HEINZ CO/T 969,684 972,812 3,128 0.03% -$1.64M
ALLIANT ENERGY CORPORATION 300,832 301,866 1,034 0.03% $2.10M
SBA COMMUNICATIONS CORP 124,514 125,097 583 0.03% -$2.55M
WEST PHARMACEUTICAL SVCS INC 84,071 84,553 482 0.03% -$1.94M
LENNAR CORP CL A 239,813 241,772 1,959 0.03% -$3.66M
REDDIT INC-A 153,066 155,728 2,662 0.03% -$14.22M
ESTEE LAUDER COS INC CL A 247,018 290,169 43,151 0.03% -$5.04M
INTL FLVR & FRAG 284,728 285,594 866 0.03% $1.53M
INSMED INC 124,776 126,530 1,754 0.03% -$1.03M
LOEWS CORP 193,163 193,531 368 0.03% $315.50K
HEICO CORP CL A 88,408 88,964 556 0.03% -$3.54M
MEDLINE INC-A 241,127 394,285 153,158 0.03% $7.42M
DOW INC 413,072 414,254 1,182 0.03% $7.60M
ZSCALER INC 121,157 122,677 1,520 0.03% -$10.04M
TEXAS PACIFIC LAND CORP 34,294 34,395 101 0.03% $6.47M
ROCKET COS INC-A 1,073,303 1,078,485 5,182 0.02% -$5.41M
HUBBELL INC 31,102 31,219 117 0.02% $1.51M
MCCORMICK-N/V 296,375 297,659 1,284 0.02% -$5.17M
STEEL DYNAMICS INC 81,186 81,437 251 0.02% $901.69K
QNITY ELECTRONICS INC 122,592 123,046 454 0.02% $4.19M
SUPER MICRO COMPUTER INC 593,854 597,707 3,853 0.02% -$3.77M
ATLASSIAN CORP PLC CLS A 196,450 199,100 2,650 0.02% -$18.26M
HEICO CORP 48,315 48,602 287 0.02% -$2.31M
NISOURCE INC 279,237 280,897 1,660 0.02% $1.45M
LYONDELLBASELL-A 150,714 151,301 587 0.02% $5.66M
BURLINGTON STORES INC 36,828 36,923 95 0.02% $1.38M
FIRST SOLAR INC 59,653 59,839 186 0.02% -$3.78M
WEYERHAEUSER CO 421,903 423,017 1,114 0.02% $339.42K
CENTENE CORP 287,620 288,668 1,048 0.01% -$2.38M
ESSEX PROPERTY TRUST INC 37,691 37,829 138 0.01% -$708.36K
INSULET CORP 41,166 41,325 159 0.01% -$3.03M
SYMBOTIC INC 38,653 39,068 415 0.00% -$221.44K
VENTURE GLOBAL INC 70,152 70,816 664 0.00% $637.62K
US ULTRA BOND CBT Sep25 154,339 1,399,516 1,245,177 0.00% $904.11K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
APPLE INC 17,277,566 17,234,827 -42,739 6.81% -$323.05M
TESLA INC 3,305,468 3,304,111 -1,357 1.91% -$258.23M
JPMORGAN CHASE and CO 3,183,066 2,956,696 -226,370 1.35% -$155.91M
EXXON MOBIL CORP 4,930,961 4,891,588 -39,373 1.29% $236.51M
MASTERCARD INC CL A 937,923 935,284 -2,639 0.73% -$68.12M
CHEVRON CORP 2,236,594 2,225,353 -11,241 0.72% $119.55M
PROCTER & GAMBLE 2,732,294 2,728,246 -4,048 0.61% $2.50M
CATERPILLAR INC 547,194 546,224 -970 0.60% $73.51M
BANK OF AMERICA CORPORATION 7,684,766 7,224,015 -460,751 0.55% -$70.49M
GENERAL ELECTRIC CO 1,171,690 1,169,686 -2,004 0.52% -$28.99M
LAM RESEARCH CORP 1,468,630 1,465,989 -2,641 0.49% $61.82M
WELLS FARGO & CO 3,670,454 3,622,411 -48,043 0.45% -$53.71M
GOLDMAN SACHS GROUP INC 350,698 331,247 -19,451 0.44% -$28.03M
GE VERNOVA LLC 317,244 316,411 -833 0.43% $68.85M
LINDE PLC 545,982 544,002 -1,980 0.42% $36.89M
AT&T INC 8,289,434 8,218,354 -71,080 0.37% $32.34M
CITIGROUP INC 2,092,153 1,932,900 -159,253 0.34% -$24.92M
THERMO FISHER SCIENTIFIC INC 439,320 436,110 -3,210 0.33% -$40.20M
INTEL CORP 4,740,797 4,691,135 -49,662 0.32% $32.08M
WALT DISNEY CO/T 2,087,458 2,079,660 -7,798 0.31% -$37.05M
SALESFORCE INC 1,057,490 1,034,000 -23,490 0.30% -$87.12M
CONOCOPHILLIPS 1,444,846 1,434,955 -9,891 0.29% $54.16M
SCHWAB CHARLES CORP 1,973,854 1,954,185 -19,669 0.29% -$13.55M
UBER TECHNOLOGIES INC 2,429,555 2,416,124 -13,431 0.27% -$24.73M
LOCKHEED MARTIN CORP 270,570 270,105 -465 0.25% $32.38M
THE BOOKING HOLDINGS INC 37,687 37,168 -519 0.24% -$45.34M
S&P GLOBAL INC 362,477 341,295 -21,182 0.23% -$44.26M
ACCENTURE PLC-A 728,283 722,339 -5,944 0.22% -$52.17M
CHUBB LTD 414,178 413,213 -965 0.21% $5.41M
CAPITAL ONE FINANCIAL CORP 743,348 730,136 -13,212 0.21% -$46.96M
ALTRIA GROUP INC 1,962,843 1,962,714 -129 0.20% $16.34M
MCKESSON CORP 144,322 143,800 -522 0.19% $6.05M
CME GROUP INC CL A 421,639 420,996 -643 0.19% $9.20M
COMCAST CORP CL A 4,249,631 4,212,625 -37,006 0.19% -$6.08M
ADOBE INC 489,462 481,913 -7,549 0.18% -$54.16M
NORTHROP GRUMMAN CORP 166,884 166,602 -282 0.18% $18.50M
T-MOBILE US INC 523,138 517,414 -5,724 0.17% $2.45M
WESTERN DIGITAL CORP 399,779 398,015 -1,764 0.17% $38.79M
INTERCONTINENTAL EXCHANGE INC 666,714 666,688 -26 0.16% -$3.12M
CONSTELLATION ENERGY CORP 365,287 361,578 -3,709 0.16% -$28.07M
MARSH & MCLENNAN 572,874 568,342 -4,532 0.15% -$7.70M
AUTOMATIC DATA PROCESSING INC 472,918 472,756 -162 0.15% -$25.59M
BANK OF NEW YORK MELLON CORP 815,436 806,418 -9,018 0.15% $1.00M
AMERICAN TOWER CORP 547,401 547,160 -241 0.15% -$1.68M
EOG RESOURCES INC 634,425 629,812 -4,613 0.14% $24.43M
3M CO 621,159 618,317 -2,842 0.14% -$9.65M
HCA HEALTHCARE INC 186,781 183,765 -3,016 0.14% -$235.63K
MONDELEZ INTL INC 1,508,702 1,504,808 -3,894 0.13% $5.52M
VALERO ENERGY CORP 356,637 351,043 -5,594 0.13% $28.68M
PHILLIPS 66 471,115 470,448 -667 0.13% $24.91M
MARATHON PETROLEUM CORP 351,482 346,009 -5,473 0.13% $27.33M
MOTOROLA SOLUTIONS INC 194,750 194,486 -264 0.13% $9.75M
ILLINOIS TOOL WORKS INC 322,272 321,415 -857 0.13% $4.29M
THE CIGNA GROUP 312,352 309,367 -2,985 0.13% -$3.44M
ROSS STORES INC 380,289 379,695 -594 0.13% $13.75M
HILTON WORLDWIDE HOLDINGS INC 271,793 269,177 -2,616 0.13% $3.78M
MARRIOTT INTL-A 251,024 248,863 -2,161 0.13% $3.52M
COLGATE-PALMOLIVE CO 942,624 940,979 -1,645 0.12% $5.71M
ECOLAB INC 298,059 297,920 -139 0.12% $1.01M
GENERAL MOTORS CO 1,090,777 1,061,248 -29,529 0.12% -$9.64M
ROYAL CARIBBEAN 286,991 285,822 -1,169 0.12% -$1.40M
MOODYS CORP 177,318 176,934 -384 0.12% -$13.40M
ELEVANCE HEALTH INC 259,858 259,083 -775 0.12% -$15.25M
TRAVELERS COS IN 260,855 253,868 -6,987 0.12% -$1.62M
SIMON PROPERTY 362,646 362,385 -261 0.11% $466.27K
CINTAS CORP 399,439 399,030 -409 0.11% -$7.63M
TRUIST FINL CORP 1,495,975 1,466,501 -29,474 0.10% -$6.20M
CHENIERE ENERGY INC 251,671 234,441 -17,230 0.10% $17.60M
AUTOZONE INC 19,447 19,438 -9 0.10% -$297.21K
ALLSTATE CORPORATION 306,006 304,697 -1,309 0.10% -$519.27K
AFLAC INC 612,920 545,662 -67,258 0.09% -$7.72M
CARDINAL HEALTH INC 277,828 276,239 -1,589 0.09% $1.28M
DELL TECHNOLOGIES INC CL C 374,244 352,819 -21,425 0.09% $10.80M
AMETEK INC NEW 269,161 268,795 -366 0.09% $2.36M
FORTINET INC 739,121 694,948 -44,173 0.09% -$1.90M
AIRBNB INC CLASS A 447,565 447,519 -46 0.09% -$4.23M
UNITED RENTALS INC 74,404 73,972 -432 0.08% -$6.32M
ZOETIS INC CL A 463,767 446,025 -17,742 0.08% -$5.63M
CARRIER GLOBAL CORP 935,523 932,191 -3,332 0.08% $3.06M
NASDAQ INC 600,925 600,600 -325 0.08% -$7.38M
YUM! BRANDS INC 324,675 324,517 -158 0.08% $1.34M
CHIPOTLE MEXICAN GRILL INC 1,546,124 1,528,990 -17,134 0.08% -$8.26M
KROGER CO 697,423 668,673 -28,750 0.08% $4.81M
EBAY INC 528,528 525,922 -2,606 0.07% $1.83M
AMERIPRISE FINANCIAL INC 108,643 107,047 -1,596 0.07% -$5.70M
AMERICAN INTERNATIONAL GROUP 630,960 629,903 -1,057 0.07% -$6.58M
CBRE GROUP INC - CL A 347,981 346,495 -1,486 0.07% -$9.02M
METLIFE INC 654,917 650,661 -4,256 0.07% -$5.68M
MSCI INC 83,472 81,961 -1,511 0.07% -$3.71M
HARTFORD INSURANCE GROUP INC/THE 325,854 323,854 -2,000 0.07% -$1.11M
COINBASE GLOBAL INC 253,448 248,751 -4,697 0.07% -$13.88M
NUCOR CORP 254,201 254,036 -165 0.07% $1.49M
ROPER TECHNOLOGIES INC 125,867 120,833 -5,034 0.07% -$13.27M
DR HORTON INC 307,320 306,108 -1,212 0.07% -$2.26M
VULCAN MATERIALS CO 154,498 153,297 -1,201 0.06% -$2.32M
PRUDENTL FINL 409,289 408,549 -740 0.06% -$6.29M
ARCH CAPITAL GRP 402,807 396,814 -5,993 0.06% -$547.07K
INGERSOLL RAND INC 461,969 459,742 -2,227 0.06% $237.34K
DEVON ENERGY CORP 733,180 727,845 -5,335 0.06% $9.77M
M&T BANK CORP 179,696 174,919 -4,777 0.06% -$45.89K
HALLIBURTON CO 885,235 884,911 -324 0.05% $9.49M
COGNIZANT TECH SOLUTIONS CL A 564,374 561,438 -2,936 0.05% -$12.40M
DOVER CORP 160,339 158,330 -2,009 0.05% $1.70M
TELEDYNE TECHNOLOGIES INC 54,875 54,344 -531 0.05% $4.85M
EXTRA SPACE STORAGE INC 248,128 247,862 -266 0.05% $190.92K
WILLIS TOWERS WA 111,949 110,993 -956 0.05% -$4.52M
VICI PROPERTIES 1,249,594 1,166,357 -83,237 0.05% -$3.27M
FISERV INC 628,941 565,141 -63,800 0.05% -$10.71M
VERISK ANALYTICS INC 162,950 161,935 -1,015 0.05% -$5.72M
PAYPAL HOLDINGS 1,094,085 679,143 -414,942 0.05% -$33.16M
METTLER-TOLEDO INTL INC 23,885 23,869 -16 0.05% -$3.20M
RAYMOND JAMES FINANCIAL INC. 206,940 201,800 -5,140 0.05% -$4.01M
NORTHERN TRUST CORP 210,015 207,245 -2,770 0.05% $239.24K
ON SEMICONDUCTOR CORP 470,292 462,569 -7,723 0.04% $3.18M
CITIZENS FINANCIAL GROUP INC 476,920 473,960 -2,960 0.04% $566.48K
DEXCOM INC 455,923 451,811 -4,112 0.04% -$1.89M
FIDELITY NATL INFORM SVCS INC 605,522 603,935 -1,587 0.04% -$11.91M
SYNCHRONY FINANCIAL 421,106 408,098 -13,008 0.04% -$7.37M
ULTA BEAUTY INC 52,417 52,074 -343 0.04% -$4.49M
PULTEGROUP INC 227,823 225,797 -2,026 0.04% -$158.54K
DARDEN RESTAURANTS INC 135,940 135,176 -764 0.04% $1.48M
REGIONS FINANCIAL CORP 1,024,976 1,013,734 -11,242 0.04% -$1.30M
COREWEAVE INC 361,286 340,241 -21,045 0.04% $486.78K
CHURCH & DWIGHT 280,615 277,861 -2,754 0.04% $2.40M
LABCORP HOLDINGS INC 96,878 96,719 -159 0.04% $1.50M
EQUIFAX INC 143,083 141,192 -1,891 0.04% -$5.62M
QUEST DIAGNOSTICS INC 129,987 128,973 -1,014 0.04% $2.72M
EQUITY RESIDENTIAL REIT 422,456 421,059 -1,397 0.04% -$1.73M
CONSTELLATION BRANDS INC CL A 163,609 162,835 -774 0.04% $1.85M
DOLLAR TREE INC 226,491 221,772 -4,719 0.04% -$3.57M
VERISIGN INC 97,493 96,872 -621 0.04% $373.21K
NETAPP INC 227,189 225,310 -1,879 0.04% -$1.26M
PRINCIPAL FINL GROUP INC 256,718 254,567 -2,151 0.04% $293.94K
PACKAGING CORP OF AMERICA 105,129 104,724 -405 0.03% $543.77K
SOUTHWEST AIRLINES CO 604,409 576,809 -27,600 0.03% -$3.31M
TYSON FOODS INC CL A 331,255 331,147 -108 0.03% $1.80M
CHARTER COMMUNICATIONS INC A 98,278 96,623 -1,655 0.03% $343.44K
ZIMMER BIOMET HO 231,544 229,686 -1,858 0.03% -$52.23K
HP INC 1,092,393 1,073,662 -18,731 0.03% -$3.71M
NVR INC 3,153 3,100 -53 0.03% -$2.57M
FORTIVE CORP 371,716 361,416 -10,300 0.03% -$543.36K
COSTAR GROUP INC 495,479 492,816 -2,663 0.03% -$13.44M
ROLLINS INC 368,085 367,099 -986 0.03% -$2.49M
LULULEMON ATHLETICA INC 125,992 125,138 -854 0.03% -$7.02M
LAS VEGAS SANDS CORP 355,562 354,951 -611 0.03% -$4.02M
GLOBAL PAYMENTS INC 277,062 249,728 -27,334 0.03% -$4.64M
FLUTTER ENTER-DI 184,127 164,657 -19,470 0.03% -$22.81M
SS&C TECHNOLOGIE 242,352 240,950 -1,402 0.03% -$4.91M
TRADEWEB MARKETS INC A 136,328 135,783 -545 0.02% $1.32M
FOX CORP CL A 224,017 212,061 -11,956 0.02% -$3.98M
LEIDOS HOLDINGS INC 74,818 74,194 -624 0.02% -$1.96M
EVERGY INC 134,441 128,126 -6,315 0.02% $750.45K
CDW CORPORATION 152,370 75,817 -76,553 0.01% -$11.58M
TRIMBLE INC 278,020 137,478 -140,542 0.01% -$12.82M
TYLER TECHNOLOGIES INC 50,282 25,264 -25,018 0.01% -$14.18M
GENUINE PARTS CO 162,523 80,875 -81,648 0.01% -$11.43M
INVITATION HOMES INC 681,560 340,284 -341,276 0.01% -$10.48M
FOX CORPORATION B 160,062 145,106 -14,956 0.01% -$2.69M
HUBSPOT INC 58,157 29,437 -28,720 0.01% -$16.15M
GODADDY INC CL A 158,164 78,379 -79,785 0.01% -$13.15M
PINTEREST INC CL A 662,455 326,808 -335,647 0.01% -$11.16M
TRADE DESK INC-A 515,314 258,770 -256,544 0.01% -$13.69M
BLUE OWL CAPITAL INC A 389,019 388,841 -178 0.01% -$2.26M
LENNAR CORP CL B 11,023 10,471 -552 0.00% -$167.69K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
BERKSHIRE HATHAWAY INC CL A 66 66 0 0.07% -$2.42M
ABIOMED INC CVR RIGHTS (DEC 2022) 12 12 0 0.00% $0

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