CX Institutional - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 2, 2026, for the 2025 Q4 period, CX Institutional held in its portfolio 500 assets valued at $3,352,873 (i.e. $3.35M).

The most valuable assets in the portfolio included: iShares ETFs/USA ($700.62K), State Street ETF/USA ($430.30K), and Vanguard ETF/USA ($410.86K).

The chart below shows the top 10 valuable assets, and the table below shows the top 500 valuable assets.

You can see similar for other investment managers.

Related Topics: SEC Topic List.
Data Source: SEC.
Top Valuable Stocks in CX Institutional Portfolio
iShares ETFs/USA
State Street ETF/USA
Vanguard ETF/USA
Schwab Strategic Trust
Invesco ETFs/USA
APPLE INC
NVIDIA CORP
MICROSOFT CORP
VanEck ETFs/USA
ALPHABET INC-A
CX Institutional - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
iShares ETFs/USA 5773209 700620 ETP
State Street ETF/USA 10696261 430295 ETP
Vanguard ETF/USA 3124266 410857 ETP
Schwab Strategic Trust 2902184 84309 ETP
Invesco ETFs/USA 1153964 71538 ETP
APPLE INC 236446 64280 COM
NVIDIA CORP 300575 56057 COM
MICROSOFT CORP 109200 52811 COM
VanEck ETFs/USA 1276443 50538 ETP
ALPHABET INC-A 131168 41055 COM
First Trust ETFs/USA 404602 39263 ETP
AMAZON.COM INC 161506 37279 COM
Janus Detroit Street Trust 649847 32869 ETP
ELI LILLY & CO 29275 31461 COM
TESLA INC 58401 26264 COM
BROADCOM INC 75050 25975 COM
META PLATFORMS-A 36690 24218 COM
VISA INC-CLASS A 68284 23948 COM
WisdomTree ETFs/USA 332531 20637 ETP
American Century ETF Trust 401628 20264 ETP
ABBVIE INC 85883 19623 COM
PROCTER & GAMBLE 115677 16578 COM
Fidelity Covington Trust 157234 16476 ETP
UNION PAC CORP 68064 15745 COM
SCHWAB (CHARLES) 154857 15472 COM
CATERPILLAR INC 26202 15010 COM
Global X ETFs/USA 288078 13545 ETP
JOHNSON&JOHNSON 65435 13542 COM
AMERICAN EXPRESS 35565 13157 COM
MASTERCARD INC-A 22796 13014 COM
AMGEN INC 39195 12829 COM
JPMORGAN CHASE 39606 12762 COM
PEPSICO INC 86024 12346 COM
HOME DEPOT INC 35753 12303 COM
SALESFORCE INC 46434 12301 COM
MCKESSON CORP 14278 11712 COM
STEVEN MADDEN 280304 11672 COM
AUTOMATIC DATA 45064 11592 COM
CISCO SYSTEMS 150142 11565 COM
ENOVA INTERNATIO 72224 11354 COM
FlexShares ETFs/USA 189732 11250 ETP
MERCK & CO 106569 11217 COM
MCDONALDS CORP 36475 11148 COM
ALPHABET INC-C 35496 11139 COM
CHUBB LTD 33941 10594 COM
ADOBE INC 30208 10572 COM
TJX COS INC 67280 10335 COM
HARMONY BIOSCIE 275809 10321 COM
BRISTOL-MYER SQB 188739 10181 COM
MILLICOM INTL 178235 9881 COM
HCA HEALTHCARE I 21039 9822 COM
GILEAD SCIENCES 79686 9781 COM
THERMO FISHER 16643 9644 COM
GENERAL MOTORS C 118161 9609 COM
INTERFACE INC 337592 9426 COM
LOCKHEED MARTIN 19460 9412 COM
CVS HEALTH CORP 118322 9390 COM
ANALOG DEVICES 34368 9321 COM
CHEVRON CORP 60901 9282 COM
APPLIED MATERIAL 36095 9276 COM
WASTE MANAGEMENT 41692 9160 COM
CONOCOPHILLIPS 96386 9023 COM
MONDELEZ INTER-A 166942 8986 COM
METLIFE INC 109480 8642 COM
BERKSHIRE HATH-B 16846 8468 COM
ALTRIA GROUP INC 143593 8280 COM
TIDEWATER INC 163223 8244 COM
DANAHER CORP 35585 8146 COM
EXXON MOBIL CORP 67629 8139 COM
T-MOBILE US INC 39646 8050 COM
REYNOLDS CONSUME 345578 7921 COM
COSTCO WHOLESALE 9071 7823 COM
MATTEL INC 393717 7811 COM
S&P GLOBAL INC 14913 7794 COM
HONEYWELL INTL 39837 7772 COM
ACCENTURE PLC-A 28948 7767 COM
TRAVELERS COS IN 26668 7735 COM
MEDTRONIC PLC 79788 7664 COM
MARSH & MCLENNAN 41078 7621 COM
GAP INC/THE 295969 7577 COM
LOWE'S COS INC 31380 7568 COM
INTUIT INC 11408 7557 COM
DEERE & CO 15921 7412 COM
HCI GROUP INC 38409 7363 COM
Nushares ETF Trust 146099 7305 ETP
COLGATE-PALMOLIV 92262 7291 COM
THE CIGNA GROUP 25582 7041 COM
COMCAST CORP-A 232096 6937 COM
GENPACT LTD 139920 6545 COM
NUCOR CORP 39745 6483 COM
FISERV INC 90739 6095 COM
FORTUNE BRANDS I 117700 5887 COM
WORLD ACCEPTANCE 41097 5770 COM
CROCS INC 66689 5703 COM
WALMART INC 48945 5453 COM
CAL-MAINE FOODS 67749 5391 COM
LAM RESEARCH 29893 5117 COM
EURONET WORLDWID 66960 5096 COM
INSIGHT ENTERPRI 60713 4946 COM
GENERAL DYNAMICS 14255 4799 COM
STRYKER CORP 13058 4590 COM
RTX CORP 24425 4479 COM
ONEOK INC 60639 4457 COM
ADV MICRO DEVICE 18465 3954 COM
PARKER HANNIFIN 4406 3873 COM
ABBOTT LABS 27509 3447 COM
IBM 11261 3336 COM
KLA CORP 2651 3221 COM
GOLDMAN SACHS GP 3585 3151 COM
ORACLE CORP 15713 3063 COM
ROCKET COS INC-A 155865 3018 COM
GENERAL ELECTRIC 9299 2864 COM
AT&T INC 114336 2840 COM
BOOKING HOLDINGS 523 2802 COM
COCA-COLA CO/THE 38573 2697 COM
KROGER CO 40707 2543 COM
MEDPACE HOLDINGS 4443 2495 COM
CUMMINS INC 4763 2431 COM
NETFLIX INC 25134 2357 COM
QUALCOMM INC 13440 2299 COM
MICRON TECH 8055 2299 COM
SYSCO CORP 30894 2277 COM
UNITEDHEALTH GRP 6545 2161 COM
JP Morgan ETFs/USA 42160 2150 ETP
HUNTINGTON INGAL 6204 2110 COM
STEEL DYNAMICS 12154 2059 COM
SOUTHERN CO 23453 2045 COM
TD SYNNEX CORP 13419 2016 COM
CORNING INC 22791 1996 COM
Dimensional ETF Trust 37854 1946 ETP
JOHNSON CONTROLS 15898 1904 COM
BANK OF AMERICA 34567 1901 COM
Amplify Investments LLC/ETF 33041 1880 ETP
Franklin LibertyShares ETFs/US 46677 1872 ETP
AMPHENOL CORP-A 13791 1864 COM
JAZZ PHARMACEUTI 10832 1841 COM
PERFORMANCE FOOD 20345 1829 COM
CACI INTL-A 3410 1817 COM
WELLS FARGO & CO 19445 1812 COM
MARATHON PETROLE 10900 1773 COM
NEXTERA ENERGY 21961 1763 COM
CITIGROUP INC 15053 1756 COM
L3HARRIS TECHNOL 5899 1732 COM
AMPHASTAR PHARMA 64123 1717 COM
LINDE PLC 4015 1712 COM
PAYPAL HOLDINGS 29151 1702 COM
NEXSTAR MEDIA 8225 1670 COM
SYLVAMO CORP 32950 1587 COM
ILLINOIS TOOL WO 6398 1576 COM
BOEING CO/THE 7255 1575 COM
DARDEN RESTAURAN 8458 1556 COM
GEN DIGITAL INC 57181 1555 COM
FIDELITY NATIONA 26733 1543 COM
AON PLC-CLASS A 4337 1530 COM
NORFOLK SOUTHERN 5281 1525 COM
FEDEX CORP 5233 1512 COM
EMERSON ELEC CO 11383 1511 COM
PHILIP MORRIS IN 9348 1499 COM
MORGAN STANLEY 8307 1475 COM
DOLLAR GENERAL C 10769 1430 COM
AMERICAN ELECTRI 12324 1421 COM
ATMOS ENERGY 8438 1414 COM
CENCORA INC 4034 1362 COM
WALT DISNEY CO/T 11965 1361 COM
US BANCORP 25486 1360 COM
VERIZON COMMUNIC 33387 1360 COM
Bluerock Real Estate Funds/USA 90621 1359 ETP
GE VERNOVA INC 2068 1352 COM
VULCAN MATERIALS 4574 1305 COM
BLOOM ENERGY C-A 15000 1303 COM
STATE ST CORP 9763 1260 COM
UBER TECHNOLOGIE 15027 1228 COM
INTUITIVE SURGIC 2165 1226 COM
FORD MOTOR CO 91146 1196 COM
CBOE GLOBAL MARK 4743 1190 COM
HOWMET AEROSPACE 5793 1188 COM
PROGRESSIVE CORP 5190 1182 COM
WW GRAINGER INC 1171 1182 COM
First Trust Exchange-Traded Fu 34071 1168 ETP
QUEST DIAGNOSTIC 6700 1163 COM
ALLSTATE CORP 5471 1139 COM
STARBUCKS CORP 13295 1120 COM
DUKE ENERGY CORP 9506 1114 COM
SHERWIN-WILLIAMS 3431 1112 COM
BANK NY MELLON 9566 1111 COM
MARRIOTT INTL-A 3561 1105 COM
RB GLOBAL INC 10675 1098 COM
PALO ALTO NETWOR 5926 1092 COM
Legg Mason ETF Investment Trus 26258 1047 ETP
ARISTA NETWORKS 7914 1037 COM
CAPITAL ONE FINA 4256 1032 COM
AMERICAN TOWER CORP 5826 1023 REIT
TAPESTRY INC 7981 1020 COM
JACOBS SOLUTIONS 7582 1004 COM
FS Specialty Lending Fund/Fund 70109 991 ETP
ROPER TECHNOLOGI 2219 988 COM
WESTERN DIGITAL 5673 977 COM
WARNER BROS DISC 33907 977 COM
UNITED PARCEL-B 9799 972 COM
NOV INC 60958 953 COM
SERVICENOW INC 6186 948 COM
VALMONT INDS 2333 939 COM
BOYD GAMING CORP 10962 934 COM
SYNOPSYS INC 1984 932 COM
PFIZER INC 37291 929 COM
BOSTON SCIENTIFC 9674 922 COM
INTEL CORP 24200 893 COM
NORTHROP GRUMMAN 1553 886 COM
VERTEX PHARM 1938 879 COM
EATON CORP PLC 2674 852 COM
ProShares ETFs/USA 67518 821 ETP
SERVICE CORP INT 10528 821 COM
PALANTIR TECHN-A 4543 808 COM
TALEN ENERGY COR 2137 801 COM
AUTOZONE INC 236 800 COM
MICROCHIP TECH 12557 800 COM
AMDOCS LTD 9937 800 COM
CSX CORP 22064 800 COM
TE CONNECTIVITY 3453 786 COM
KINDER MORGAN IN 28221 776 COM
BROWN & BROWN 9676 771 COM
HILTON WORLDWIDE 2675 768 COM
TEXAS INSTRUMENT 4384 761 COM
DIAMONDBACK ENER 5031 756 COM
CONSTELLATION EN 2131 753 COM
CORTEVA INC 11070 742 COM
3M CO 4591 735 COM
TARGA RESOURCES 3956 730 COM
GLACIER BANCORP 16561 730 COM
KIMBERLY-CLARK 7218 728 COM
BLACKROCK INC 668 715 COM
RBB ETFs/F/m Investments 14127 705 ETP
INTERCONT EXCH I 4330 701 COM
CME GROUP INC 2566 701 COM
DOVER CORP 3572 697 COM
FASTENAL CO 17331 695 COM
FAIR ISAAC CORP 407 688 COM
NEWMONT CORP 6864 685 COM
TRANE TECHNOLOGI 1752 682 COM
ROYAL CARIBBEAN 2424 676 COM
CARRIER GLOB 12757 674 COM
XYLEM INC 4941 673 COM
TERADYNE INC 3462 670 COM
TRUIST FINANCIAL 13502 664 COM
NOVARTIS AG-ADR 4812 663 COM
FIRST SOLAR INC 2533 662 COM
PPL CORP 18654 653 COM
WELLTOWER INC 3499 650 REIT
MOODY'S CORP 1247 637 COM
REPUBLIC SVCS 2973 630 COM
JABIL INC 2737 624 COM
BLACKSTONE INC 4022 620 COM
DUPONT DE NEMOUR 15316 616 COM
TRIMBLE INC 7841 614 COM
BUNGE GLOBAL SA 6872 612 COM
SEAGATE TECHNOLO 2212 609 COM
AMERICAN WATER W 4662 608 COM
FREEPORT-MCMORAN 11971 608 COM
AMERICAN INTERNA 7079 606 COM
Northern Lights Fund Trust IV/ 5870 603 ETP
HERSHEY CO/THE 3312 603 COM
WILLIAMS COS INC 9946 598 COM
ROSS STORES INC 3307 596 COM
FORTINET INC 7472 593 COM
DTE ENERGY CO 4595 593 COM
PNC FINANCIAL SE 2825 590 COM
DELTA AIR LI 8473 588 COM
WILLIAMS-SONOMA 3279 586 COM
VALERO ENERGY 3551 578 COM
PROLOGIS INC 4522 577 REIT
ELEVANCE HEALTH 1646 577 COM
CADENCE DESIGN 1845 577 COM
PRUDENTL FINL 5100 576 COM
ELECTRONIC ARTS 2791 570 COM
PAYCHEX INC 5040 565 COM
EQUIFAX INC 2605 565 COM
ECOLAB INC 2134 560 COM
DR HORTON INC 3882 559 COM
O'REILLY AUTOMOT 6066 553 COM
OMNICOM GROUP 6847 553 COM
ALPHATEC HOLDING 26080 549 COM
NIKE INC -CL B 8591 547 COM
CARDINAL HEALTH 2661 547 COM
IRON MOUNTAIN INC 6546 543 REIT
CARNIVAL CORP 17724 541 COM
MOTOROLA SOLUTIO 1410 541 COM
XCEL ENERGY INC 7306 540 COM
QNITY ELECTRONIC 6568 536 COM
COPART INC 13644 534 COM
MONSTER BEVERAGE 6961 534 COM
PACCAR INC 4856 532 COM
PHILLIPS 66 4107 530 COM
BEST BUY CO INC 7898 529 COM
NXP SEMICONDUCTO 2435 529 COM
DOMINION ENERGY 8988 527 COM
ZOETIS INC 4155 523 COM
ARTHUR J GALLAGH 1998 517 COM
SYNCHRONY FINANC 6058 505 COM
HARTFORD INSURAN 3660 504 COM
AFLAC INC 4562 503 COM
LAS VEGAS SANDS 7681 500 COM
LIVE NATION ENTE 3486 497 COM
YUM! BRANDS INC 3259 493 COM
AUTODESK INC 1661 492 COM
UNITED RENTALS 606 491 COM
AGILENT TECH INC 3595 489 COM
AIR PRODS & CHEM 1971 487 COM
SCHLUMBERGER LTD 12518 480 COM
EBAY INC 5482 477 COM
EOG RESOURCES 4537 476 COM
COGNIZANT TECH-A 5705 474 COM
DONALDSON CO INC 5330 473 COM
OCCIDENTAL PETE 11413 469 COM
CHARLES RIVER LA 2342 467 COM
MARTIN MAR MTLS 748 466 COM
REVVITY INC 4788 463 COM
UNITED AIRLINES 4112 460 COM
OTIS WORLDWI 5248 458 COM
AMER FINL GROUP 3336 456 COM
IDEXX LABS 670 453 COM
FIFTH THIRD BANC 9652 452 COM
GRAB HOLDINGS LT 89995 449 COM
DOMINO'S PIZZA 1077 449 COM
RESMED INC 1861 448 COM
INVESCO LTD 17049 448 COM
HALLIBURTON CO 15641 442 COM
SOUTHWEST AIR 10675 441 COM
CINTAS CORP 2343 441 COM
ON SEMICONDUCTOR 8111 439 COM
WORKDAY INC-A 2038 438 COM
PPG INDS INC 4260 436 COM
HEWLETT PACKA 18166 436 COM
AMETEK INC 2099 431 COM
CROWDSTRIKE HO-A 916 429 COM
DT MIDSTREAM 3584 429 COM
BAKER HUGHES CO 9418 429 COM
POWELL INDS INC 1334 425 COM
INCYTE CORP 4254 420 COM
TOPBUILD COR 997 416 COM
PUBLIC STORAGE 1592 413 REIT
REALTY INCOME CORP 7268 410 REIT
TAKE-TWO INTERAC 1599 409 COM
CENTENE CORP 9933 409 COM
CITIZENS FINANCI 6937 405 COM
KKR & CO INC 3146 401 COM
Unified Series Trust/Oneascent 10044 399 ETP
VISTRA CORP 2476 399 COM
IQVIA HOLDINGS I 1763 397 COM
AMERIPRISE FINAN 806 395 COM
GE HEALTHCARE TE 4816 395 COM
GARMIN LTD 1942 394 COM
CONS EDISON INC 3952 392 COM
HASBRO INC 4780 392 COM
REGIONS FINANCIA 14413 391 COM
WYNN RESORTS LTD 3234 389 COM
QUANTA SERVICES 920 388 COM
ARCH CAPITAL GRP 4048 388 COM
KEURIG DR PEPPER 13837 388 COM
EXPEDIA GROUP IN 1366 387 COM
EDWARDS LIFE 4538 387 COM
ARK ETF Trust 5617 385 ETP
WILLIS TOWERS WA 1171 385 COM
PENTAIR PLC 3670 382 COM
BECTON DICKINSON 1969 382 COM
DIGITAL REALTY TRUST INC 2459 380 REIT
DELL TECHN-C 2988 376 COM
MASCO CORP 5808 369 COM
BlackRock Funds/Closed-End/USA 33683 368 ETP
SKYWORKS SOLUTIO 5792 367 COM
SIMON PROPERTY GROUP INC 1982 367 REIT
ENTERGY CORP 3968 367 COM
ALBEMARLE CORP 2574 364 COM
ESTEE LAUDER 3463 363 COM
CINCINNATI FIN 2216 362 COM
FORMULA SYS-ADR 2159 361 COM
BROADRIDGE FINL 1618 361 COM
GENUINE PARTS CO 2909 358 COM
APTIV PLC 4648 354 COM
AKAMAI TECHNOLOG 4037 352 COM
COMERICA INC 4050 352 COM
APA CORP 14382 352 COM
NRG ENERGY 2189 349 COM
WABTEC CORP 1620 346 COM
LAKELAND FINL 6052 345 COM
FOX CORP - A 4716 345 COM
DEVON ENERGY CO 9390 344 COM
VERISIGN INC 1403 341 COM
ESSENTIAL UTILIT 8864 340 COM
PULTEGROUP INC 2897 340 COM
DOLLAR TREE INC 2756 339 COM
CBRE GROUP INC-A 2102 338 COM
VENTAS INC 4346 336 REIT
KEYSIGHT TEC 1649 335 COM
INGERSOLL-RAND I 4195 332 COM
HEALTHCARE REALTY TRUST INC 19471 330 REIT
RAYMOND JAMES 2050 329 COM
TAIWAN SEMIC-ADR 1080 328 COM
M&T BANK CORP 1622 327 COM
HUNTINGTON BANC 18679 324 COM
ROCKWELL AUTOMAT 830 323 COM
NASDAQ INC 3311 322 COM
VIPER ENERGY INC 8261 319 COM
SEMPRA 3605 318 COM
HF SINCLAIR CORP 6894 318 COM
CHIPOTLE MEXICAN 8586 318 COM
TYSON FOODS-A 5397 316 COM
CHARTER COMMUN-A 1515 316 COM
INSULET CORP 1111 316 COM
NVENT ELECTRIC 3096 316 COM
GARTNER INC 1250 315 COM
EQUINIX INC 411 315 REIT
TELEDYNE TECH 615 314 COM
MGM RESORTS INTE 8527 311 COM
GLOBE LIFE INC 2222 311 COM
CMS ENERGY CORP 4425 309 COM
LEIDOS HOLDINGS 1715 309 COM
WR BERKLEY CORP 4403 309 COM
MSCI INC 537 308 COM
ENPHASE ENERGY 9609 308 COM
DAYFORCE INC 4449 308 COM
RALPH LAUREN COR 860 304 COM
Capital Research and Managemen 7843 304 ETP
ROYAL BANK OF CA 1778 303 COM
NORWEGIAN CRUISE 13573 303 COM
Cambria ETFs/USA 4357 303 ETP
LENNAR CORP-A 2943 303 COM
WEST PHARMACEUT 1094 301 COM
FIRSTENERGY CORP 6718 301 COM
AIRBNB INC-A 2216 301 COM
BIOGEN INC 1706 300 COM
ALIGN TECHNOLOGY 1919 300 COM
COTERRA ENERGY I 11358 299 COM
STERIS PLC 1177 298 COM
RLI CORP 4647 297 COM
KRAFT HEINZ CO/T 12183 295 COM
APPLIED INDU TEC 1133 291 COM
CARLISLE COS INC 909 291 COM
REGENERON PHARM 374 289 COM
FIRST BUSEY CORP 12113 288 COM
MCCORMICK-N/V 4220 287 COM
EXELON CORP 6580 287 COM
NORDSON CORP 1180 284 COM
PUB SERV ENTERP 3531 284 COM
TRANSDIGM GROUP 213 283 COM
VERISK ANALYTI 1265 283 COM
GLOBAL PAYMENTS 3635 281 COM
KEYCORP 13624 281 COM
MONOLITHIC POWER 309 280 COM
HORMEL FOODS CRP 11708 277 COM
METTLER-TOLEDO 197 275 COM
EQT CORP 5110 274 COM
RELIANCE INC 937 271 COM
VEEVA SYSTEMS-A 1210 270 COM
HOLOGIC INC 3616 269 COM
TEXTRON INC 3063 267 COM
PRINCIPAL FINL 3023 267 COM
T ROWE PRICE GRP 2582 264 COM
ULTA BEAUTY INC 435 263 COM
COOPER COS INC 3206 263 COM
HEICO CORP 808 261 COM
ZEBRA TECH CORP 1076 261 COM
CONSTELLATION-A 1890 261 COM
FORTIVE CORP 4710 260 COM
SUPER MICRO COMP 8871 260 COM
KENVUE INC 15016 259 COM
BORGWARNER INC 5718 258 COM
ASSURANT INC 1069 257 COM
NETAPP INC 2404 257 COM
LABCORP HOLDINGS 1017 255 COM
SMARTSTOP SELF S 8153 252 REIT
ALIBABA GRP-ADR 1717 252 COM
CORPAY INC 834 251 COM
Strategy Shares Inc/Eventide A 9398 249 ETP
MERCADOLIBRE INC 123 248 COM
SANMINA CORP 1648 247 COM
UNIVERSAL HLTH-B 1129 246 COM
CENTERPOINT ENER 6400 245 COM
DEXCOM 3697 245 COM
ARCHER-DANIELS 4224 243 COM
GENERAL MILLS IN 5206 242 COM
NISOURCE INC 5774 241 COM
STANLEY BLACK & 3243 241 COM
CDW CORP/DE 1762 240 COM
MODERNA INC 8121 239 COM
First Trust/Closed-End Funds/U 23649 238 ETP
VERALTO CORP 2383 238 COM
PG&E CORP 14725 237 COM
BIO-TECHNE CORP 3995 235 COM
EPAM SYSTEMS INC 1145 235 COM
TORONTO-DOM BANK 2483 234 COM
CHENIERE ENERGY 1203 234 COM
HUMANA INC 912 234 COM
CAN NATL RAILWAY 2357 233 COM
WP CAREY INC 3618 233 REIT
VIATRIS INC 18659 232 COM
Timothy Plan/The 5595 232 ETP
DAVITA INC 2039 232 COM
AMENTUM HOLDINGS 7940 230 COM
AMEREN CORP 2299 230 COM
HUNT (JB) TRANS 1179 229 COM