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.
Oct 31, 2025 → Jan 31, 2026
Expand a category to
see the positions behind it, ranked by weight.
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
MERCK & CO
0
3,356,879
3,356,879
1.51%
$370.16M
MICROSOFT CORP
0
812,199
812,199
1.43%
$349.48M
DEERE & CO
0
543,754
543,754
1.17%
$287.10M
KKR & CO INC
0
2,471,436
2,471,436
1.15%
$282.39M
NORTHROP GRUMMAN CORP
0
361,824
361,824
1.02%
$250.48M
PACCAR INC
0
1,856,569
1,856,569
0.93%
$228.19M
UNILEVER PLC
0
3,231,635
3,231,635
0.90%
$219.85M
NUTRIEN LTD
0
2,404,486
2,404,486
0.68%
$165.65M
ECHOSTAR CORP CL A
0
1,404,525
1,404,525
0.65%
$159.02M
MORNINGSTAR INC
0
711,303
711,303
0.59%
$143.75M
ROPER TECHNOLOGIES INC
0
358,462
358,462
0.54%
$133.07M
WILLIAMS COS INC
0
1,974,339
1,974,339
0.54%
$132.79M
ADV MICRO DEVICE
0
402,048
402,048
0.39%
$95.18M
LULULEMON ATHLETICA INC
0
426,782
426,782
0.30%
$74.47M
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC
0
328,642
328,642
0.29%
$71.99M
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
UNILEVER PLC
3,770,178
0
-3,770,178
0.00%
-$226.23M
IBERDROLA SA
8,592,154
0
-8,592,154
0.00%
-$174.13M
QUEST DIAGNOSTICS INC
980,600
0
-980,600
0.00%
-$172.54M
CRH PLC
1,402,621
0
-1,402,621
0.00%
-$165.71M
CME GROUP INC CL A
582,044
0
-582,044
0.00%
-$154.53M
STARBUCKS CORP
1,431,802
0
-1,431,802
0.00%
-$115.79M
COHERENT CORP
855,965
0
-855,965
0.00%
-$112.95M
CLEARWATER ANALYTICS HOLDINGS INC
5,607,705
0
-5,607,705
0.00%
-$103.24M
QUALCOMM INC
560,502
0
-560,502
0.00%
-$101.39M
GOLDMAN SACHS GROUP INC
110,281
0
-110,281
0.00%
-$87.05M
COTERRA ENERGY INC
1,555,377
0
-1,555,377
0.00%
-$36.80M
CARMAX INC
630,130
0
-630,130
0.00%
-$26.41M
AT&T INC
781,559
0
-781,559
0.00%
-$19.34M
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
AMAZON.COM INC
1,296,409
2,243,181
946,772
2.19%
$220.18M
TYSON FOODS INC CL A
6,870,500
7,390,300
519,800
1.97%
$129.60M
Vanguard Market Liquidity Fund
229,035,499
369,581,505
140,546,005
1.61%
$140.20M
PPG INDUSTRIES INC
2,527,652
2,879,305
351,653
1.36%
$85.86M
ACCENTURE PLC-A
1,221,693
1,261,066
39,373
1.36%
$26.92M
WALT DISNEY CO/T
2,408,154
2,661,360
253,206
1.23%
$29.00M
DICKS SPORTING GOODS INC
1,183,657
1,224,878
41,221
1.01%
-$14.70M
CONSTELLATION BRANDS INC CL A
660,275
1,445,455
785,180
0.93%
$139.76M
BAXTER INTL INC
8,572,145
10,439,598
1,867,453
0.86%
$51.20M
COREBRIDGE FINANCIAL INC
5,279,344
6,780,436
1,501,092
0.85%
$37.15M
SKYWORKS SOLUTIONS INC
2,443,447
3,531,364
1,087,917
0.80%
$7.00M
TRADEWEB MARKETS INC A
1,601,475
1,878,076
276,601
0.79%
$24.79M
KROGER CO
2,887,959
3,063,928
175,969
0.79%
$8.81M
HUMANA INC
833,896
965,101
131,205
0.77%
-$43.59M
ICON PLC
940,143
999,224
59,081
0.74%
$18.57M
CFD_EQS GOLDUS33 2256908
1,470,560
2,187,448
716,888
0.73%
$55.33M
DYNATRACE INC
3,907,519
4,218,213
310,694
0.66%
-$36.93M
BUILDERS FIRSTSOURCE
910,690
1,212,389
301,699
0.57%
$32.90M
US ULTRA BOND CBT Sep25
453
950
497
0.00%
-$2.67M
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
ALPHABET INC CL A
2,935,360
1,499,616
-1,435,744
2.07%
-$318.52M
WELLS FARGO & CO
7,824,691
4,578,536
-3,246,155
1.69%
-$266.20M
MORGAN STANLEY
2,424,025
2,094,849
-329,176
1.56%
-$14.60M
CHUBB LTD
1,186,811
1,144,919
-41,892
1.45%
$25.75M
ASML HOLDING-NY
289,065
248,722
-40,343
1.45%
$47.75M
METLIFE INC
4,403,775
4,341,813
-61,962
1.40%
-$9.03M
SLB LTD
8,407,565
6,647,502
-1,760,063
1.31%
$18.43M
RAYMOND JAMES FINANCIAL INC.
1,982,350
1,916,928
-65,422
1.30%
$3.40M
CITIGROUP INC
2,929,089
2,486,884
-442,205
1.18%
-$8.75M
M&T BANK CORP
1,297,221
1,251,415
-45,806
1.13%
$38.76M
EMERSON ELECTRIC CO
2,000,545
1,872,352
-128,193
1.12%
-$4.06M
MAGNA INTL
5,289,102
5,176,871
-112,231
1.08%
$15.05M
GENERAL DYNAMICS CORPORATION
764,931
747,319
-17,612
1.07%
-$1.45M
VALERO ENERGY CORP
1,627,819
1,428,850
-198,969
1.06%
-$16.78M
RELIANCE STEEL and ALUMINUM CO
807,278
778,600
-28,678
1.05%
$28.55M
PROLOGIS INC REIT
2,027,821
1,956,127
-71,694
1.04%
$3.76M
James Hardie Industries Public Limited Company
11,312,184
10,911,678
-400,506
1.02%
$14.10M
DOVER CORP
1,399,875
1,210,308
-189,567
1.00%
-$10.16M
EQUINIX INC
305,559
294,685
-10,874
0.99%
-$16.59M
SEMPRA ENERGY
2,875,508
2,773,753
-101,755
0.99%
-$23.03M
VOYA FINANCIAL INC
3,160,885
3,115,916
-44,969
0.98%
$3.51M
CVS HEALTH CORP
3,283,742
3,183,743
-99,999
0.97%
-$19.37M
EXXON MOBIL CORP
2,203,068
1,670,569
-532,499
0.96%
-$15.72M
T-MOBILE US INC
1,914,660
1,157,233
-757,427
0.93%
-$173.96M
NXP SEMICONDUCTO
1,007,396
971,646
-35,750
0.90%
$9.06M
CAPITAL ONE FINANCIAL CORP
1,086,334
999,687
-86,647
0.89%
-$20.12M
DOLLAR GENERAL CORP
2,152,456
1,512,114
-640,342
0.89%
$4.52M
UNITEDHEALTH GRP
736,413
715,343
-21,070
0.84%
-$46.28M
ASTRAZENECA-ADR
2,704,971
2,129,747
-575,224
0.81%
-$25.31M
ALLY FINANCIAL INC
4,833,206
4,662,062
-171,144
0.81%
$8.76M
AIRBNB INC CLASS A
1,540,426
1,485,914
-54,512
0.79%
-$2.69M
CONOCOPHILLIPS
2,435,932
1,839,918
-596,014
0.78%
-$24.68M
ARCHER DANIELS MIDLAND CO
2,893,009
2,790,750
-102,259
0.77%
$12.73M
TPG INC
3,300,514
3,183,780
-116,734
0.77%
$5.90M
TRANSUNION
2,450,500
2,363,726
-86,774
0.76%
-$12.15M
HALEON PLC
37,025,618
35,620,313
-1,405,305
0.76%
$14.11M
AGILENT TECHNOLOGIES INC
1,427,370
1,376,816
-50,554
0.75%
-$24.62M
CAN NATURAL RES
5,026,098
4,848,170
-177,928
0.74%
$19.46M
BECTON DICKINSON and CO
906,771
874,690
-32,081
0.73%
$15.93M
COOPER COS INC
3,234,423
2,167,211
-1,067,212
0.72%
-$49.75M
CACI INTL-A
335,270
283,289
-51,981
0.72%
-$12.70M
TECHTRONIC IND
12,910,622
12,397,622
-513,000
0.69%
$18.66M
EXELON CORP
3,872,238
3,735,165
-137,073
0.68%
-$11.33M
HYATT HOTELS CORP CL A
1,091,945
1,053,339
-38,606
0.67%
$14.67M
KEYCORP
7,694,716
7,422,286
-272,430
0.65%
$24.38M
EVERSOURCE ENERGY
2,221,439
2,142,755
-78,684
0.61%
-$15.84M
UBS GROUP AG USD0.10 (REG S)
4,040,843
3,058,542
-982,301
0.59%
-$10.80M
CHARLES RIVER LABS INTL INC
947,954
683,031
-264,923
0.59%
-$26.93M
CARDINAL HEALTH INC
1,481,496
663,779
-817,717
0.58%
-$139.99M
NIKE INC CL B
2,825,796
2,279,951
-545,845
0.58%
-$41.59M
MEDTRONIC PLC
1,519,308
1,335,228
-184,080
0.56%
-$326.16K
KEURIG DR PEPPER INC
5,130,412
4,948,769
-181,643
0.55%
-$3.55M
BOA-MTG TRIPARTY REPO
208,100,000
135,500,000
-72,600,000
0.55%
-$72.60M
EVEREST RE GROUP
448,530
404,477
-44,053
0.55%
-$7.08M
FREEPORT MCMORAN INC
6,602,315
2,224,055
-4,378,260
0.55%
-$141.36M
UDR INC
3,694,884
3,563,800
-131,084
0.54%
$7.91M
NEUROCRINE BIOSCIENCES INC
959,773
925,683
-34,090
0.51%
-$11.50M
SANOFI-ADR
3,751,411
2,625,109
-1,126,302
0.50%
-$66.26M
HALLIBURTON CO
4,722,982
3,571,487
-1,151,495
0.49%
-$7.05M
PFIZER INC
4,577,151
4,330,005
-247,146
0.47%
$1.66M
SYNOPSYS INC
264,199
211,604
-52,595
0.40%
-$21.48M
AVALONBAY COMMUNITIES INC REIT
572,033
551,733
-20,300
0.40%
-$1.46M
FLUTTER ENTER-DI
728,165
558,670
-169,495
0.38%
-$77.10M
WILLIS TOWERS WA
489,129
279,422
-209,707
0.36%
-$64.44M
BOOZ ALLEN HAMILTON HLDG CL A
949,373
934,528
-14,845
0.34%
-$116.38K
LIVE NATION ENTERTAINMENT INC
560,016
551,275
-8,741
0.33%
-$3.56M
TE CONNECTIVITY
633,539
314,580
-318,959
0.29%
-$86.41M
CENTENE CORP
1,481,347
1,440,088
-41,259
0.25%
$9.99M
NUTANIX INC CL A
1,530,134
1,506,096
-24,038
0.24%
-$49.77M
KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC
2,628,381
1,030,730
-1,597,651
0.23%
-$61.80M
AIRBUS SE
253,502
241,043
-12,459
0.23%
-$7.32M
NOMURA TREAS TRIPARTY
90,000,000
45,000,000
-45,000,000
0.18%
-$45.00M
JPM TRIPARTY TREAS FICC
85,000,000
45,000,000
-40,000,000
0.18%
-$40.00M
JOHNSON&JOHNSON
220,926
179,228
-41,698
0.17%
-$996.73K
BROADCOM INC
103,510
97,130
-6,380
0.13%
-$6.08M
Security
Shares Oct 2025
Shares Jan 2026
Δ shares
End %
Δ value
BANK OF AMERICA CORPORATION
4,046,219
4,046,219
0
0.88%
-$1.01M
COGNIZANT TECH SOLUTIONS CL A
2,620,169
2,620,169
0
0.88%
$24.05M
SHELL PLC-ADR
2,441,558
2,441,558
0
0.77%
$5.15M
Fresenius Medical Care AG SPON ADR-EACH REP 0.5 NPV