FORSTA AP-FONDEN - Stock Holdings in 13F Filings (SEC)

Updated on March 15, 2026.

Based on 13F Filings filed with the SEC on February 10, 2026, for the 2025 Q4 period, FORSTA AP-FONDEN held in its portfolio 500 assets valued at $16,776,577,346 (i.e. $16.78B).

The most valuable assets in the portfolio included: NVIDIA Corp ($1.25B), Apple Inc ($1.10B), and Microsoft Corp ($924.15M).

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 FORSTA AP-FONDEN Portfolio
NVIDIA Corp
Apple Inc
Microsoft Corp
Spotify Technology SA
Amazon.com Inc
Alphabet Inc
Broadcom Inc
Alphabet Inc
Meta Platforms Inc
Tesla Inc
FORSTA AP-FONDEN - Stock Holdings in 13F Filings (SEC)
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Name of Issuer No. of Shares Value ($) Class
NVIDIA Corp 6718300 1252962950 COM
Apple Inc 4030000 1095595800 COM
Microsoft Corp 1910900 924149458 COM
Spotify Technology SA 1474412 856205793 SHS
Amazon.com Inc 2652600 612273132 COM
Alphabet Inc 1605900 502646700 CAP STK CL A
Broadcom Inc 1197360 414406296 COM
Alphabet Inc 1316400 413086320 CAP STK CL C
Meta Platforms Inc 596760 393915308 CL A
Tesla Inc 735080 330580178 COM
Eli Lilly & Co 230571 247790042 COM
JPMorgan Chase & Co 714040 230077969 COM
Berkshire Hathaway Inc 350360 176108454 CL B NEW
Visa Inc 496546 174143648 COM CL A
Mastercard Inc 252923 144388682 CL A
Walmart Inc 1233300 137401953 COM
Johnson & Johnson 594938 123122419 COM
Netflix Inc 1263310 118447946 COM
Palantir Technologies Inc 616500 109582875 CL A
Costco Wholesale Corp 121100 104429374 COM
AbbVie Inc 447362 102217743 COM
Home Depot Inc/The 279020 96010782 COM
Oracle Corp 476660 92905801 COM
Bank of America Corp 1687100 92790500 COM
General Electric Co 294685 90771821 COM NEW
Procter & Gamble Co/The 631700 90528927 COM
Goldman Sachs Group Inc/The 99800 87724200 COM
Micron Technology Inc 301200 85965492 COM
Advanced Micro Devices Inc 398461 85334408 COM
Merck & Co Inc 792700 83439602 COM
Salesforce Inc 307247 81392803 COM
Lam Research Corp 424900 72734382 COM NEW
UnitedHealth Group Inc 218460 72115831 COM
Cisco Systems Inc 926400 71360592 COM
Abbott Laboratories 557100 69799059 COM
Wells Fargo & Co 741100 69070520 COM
Walt Disney Co/The 591600 67306332 COM
Coca-Cola Co/The 961500 67218465 COM
IBM 220400 65284684 COM
American Express Co 169580 62736121 COM
Intuit Inc 93720 62082002 COM
Booking Holdings Inc 10830 57998224 COM
AppLovin Corp 83040 55954013 COM CL A
PepsiCo Inc 388100 55700112 COM
GE Vernova Inc 83251 54410356 COM
Applied Materials Inc 209800 53916502 COM
KLA Corp 43920 53366314 COM NEW
Royal Bank of Canada 312200 53293218 COM
Uber Technologies Inc 650300 53136013 COM
Arista Networks Inc 379700 49752091 COM SHS
Lowe's Cos Inc 202600 48859016 COM
Verizon Communications Inc 1194750 48662168 COM
McDonald's Corp 158780 48527931 COM
Intuitive Surgical Inc 85680 48525725 COM NEW
Thermo Fisher Scientific Inc 82610 47868365 COM
Progressive Corp/The 210000 47821200 COM
Citigroup Inc 406100 47387809 COM NEW
Blackrock Inc 42630 45628594 COM
Welltower Inc 242600 45028986 COM
Morgan Stanley 252763 44873015 COM NEW
Accenture PLC 163029 43740681 SHS CLASS A
S&P Global Inc 83625 43701589 COM
Shopify Inc 269100 43385811 CL A SUB VTG SHS
Linde PLC 100440 42826612 SHS
Amphenol Corp 316500 42771810 CL A
Charles Schwab Corp/The 413901 41352849 COM
Constellation Energy Corp 116780 41254871 COM
McKesson Corp 48447 39740590 COM
ServiceNow Inc 257600 39461744 COM
Adobe Inc 111740 39107883 COM
QUALCOMM Inc 224100 38332305 COM
AT&T Inc 1542100 38305764 COM
T-Mobile US Inc 187600 38090304 COM
Amgen Inc 113340 37097315 COM
Southern Co/The 415300 36214160 COM
MercadoLibre Inc 17900 36055254 COM
Automatic Data Processing Inc 139500 35883585 COM
TJX Cos Inc/The 233300 35837213 COM
Boston Scientific Corp 375200 35775320 COM
Toronto-Dominion Bank/The 376900 35568692 COM NEW
Intel Corp 954246 35211677 COM
Trane Technologies PLC 90260 35129192 SHS
Eaton Corp PLC 110000 35036100 SHS
Moody's Corp 67660 34564111 COM
NextEra Energy Inc 429400 34472232 COM
3M Co 213154 34125955 COM
Texas Instruments Inc 195600 33934644 COM
Howmet Aerospace Inc 164900 33807798 COM
Elevance Health Inc 95220 33379371 COM
Cummins Inc 65180 33271131 COM
Robinhood Markets Inc 286600 32414460 COM CL A
Gilead Sciences Inc 262000 32157880 COM
Parker-Hannifin Corp 36580 32152357 COM
Capital One Financial Corp 132394 32087010 COM
Stryker Corp 90393 31770428 COM
American Tower Corp 180700 31725499 COM
Sherwin-Williams Co/The 97380 31554041 COM
Pfizer Inc 1249000 31100100 COM
Danaher Corp 134522 30794776 COM
Ecolab Inc 116440 30567829 COM
Agnico Eagle Mines Ltd 173800 29512083 COM
Western Digital Corp 169300 29165311 COM
Illinois Tool Works Inc 117080 28836804 COM
Prologis Inc 224223 28624308 COM
Analog Devices Inc 104800 28421760 COM
Union Pacific Corp 122300 28290436 COM
Autodesk Inc 94800 28061748 COM
Cencora Inc 82110 27732653 COM
CRH PLC 221353 27624854 ORD
Colgate-Palmolive Co 348200 27514764 COM
Equinix Inc 35440 27152710 COM
Palo Alto Networks Inc 145900 26874780 COM
Zoetis Inc 213400 26849988 CL A
Medtronic PLC 271000 26032260 SHS
Allstate Corp/The 124900 25997935 COM
Deere & Co 53700 25001109 COM
Fortinet Inc 313900 24926799 COM
Crowdstrike Holdings Inc 53080 24881781 CL A
Blackstone Inc 160300 24708642 COM
Royal Caribbean Cruises Ltd 88080 24567274 COM
Marsh & McLennan Cos Inc 131700 24432984 COM
Bank of New York Mellon Corp/T 210400 24425336 COM
Aflac Inc 221500 24424805 COM
IDEXX Laboratories Inc 35920 24300958 COM
Vertex Pharmaceuticals Inc 53480 24245693 COM
MetLife Inc 301500 23800410 COM
Bristol-Myers Squibb Co 436400 23539416 COM
Bank of Montreal 180600 23484917 COM
Hartford Insurance Group Inc/T 170300 23467340 COM
Chubb Ltd 74920 23384030 COM
Monolithic Power Systems Inc 25720 23311579 COM
Comcast Corp 777928 23252268 CL A
Newmont Corp 229800 22945530 COM
Ameriprise Financial Inc 46660 22879264 COM
Travelers Cos Inc/The 78620 22804517 COM
Bank of Nova Scotia/The 301500 22265800 COM
Cigna Group/The 80600 22183538 COM
Kinross Gold Corp 783400 22094652 COM
WW Grainger Inc 21540 21734937 COM
CVS Health Corp 270500 21466880 COM
Kimberly-Clark Corp 210400 21227256 COM
Cloudflare Inc 106100 20917615 CL A COM
Kroger Co/The 332900 20799592 COM
CBRE Group Inc 129200 20774068 CL A
Carnival Corp 676200 20651148 UNIT 99/99/9999
ResMed Inc 83920 20213810 COM
Starbucks Corp 239700 20185137 COM
Exelon Corp 456500 19898835 COM
CME Group Inc 72780 19874762 COM
Celestica Inc 67000 19845099 COM
Verisk Analytics Inc 88660 19832355 COM
Hilton Worldwide Holdings Inc 68800 19762800 COM
Duke Energy Corp 167300 19609233 COM NEW
Intercontinental Exchange Inc 120100 19451396 COM
Sysco Corp 262200 19321518 COM
Cardinal Health Inc 93000 19111500 COM
Synchrony Financial 228900 19097127 COM
Brookfield Corp 412350 18957722 CL A LTD VT SH
Synopsys Inc 40295 18927367 COM
Block Inc 290500 18908645 CL A
Cadence Design Systems Inc 60080 18779806 COM
Johnson Controls International 156500 18740875 SHS
CIBC 204600 18572590 COM
Sun Life Financial Inc 296300 18520506 COM
US Bancorp 346800 18505248 COM NEW
Alnylam Pharmaceuticals Inc 46420 18458913 COM
DoorDash Inc 81260 18403765 CL A
EMCOR Group Inc 30021 18366548 COM
PNC Financial Services Group I 85900 17929907 COM
Waste Management Inc 79700 17510887 COM
Broadridge Financial Solutions 78400 17496528 COM
Raymond James Financial Inc 106200 17054658 COM
Dexcom Inc 255300 16944261 COM
Aon PLC 47960 16924125 SHS CL A
United Parcel Service Inc 168700 16733353 CL B
Cintas Corp 88900 16719423 COM
Axon Enterprise Inc 29260 16617632 COM
KKR & Co Inc 129600 16521408 COM
Regeneron Pharmaceuticals Inc 21380 16502581 COM
Barrick Mining Corp 377544 16467887 COM SHS
Eversource Energy 243900 16421787 COM
AvalonBay Communities Inc 90300 16372293 COM
Edison International 271800 16313436 COM
O'Reilly Automotive Inc 177900 16226259 COM
Ferguson Enterprises Inc 71900 16007097 COMMON STOCK NEW
NIKE Inc 250500 15959355 CL B
Jabil Inc 69681 15888662 COM
General Motors Co 193100 15702892 COM
HCA Healthcare Inc 33420 15602461 COM
Marvell Technology Inc 181800 15449364 COM
Dollar Tree Inc 124900 15363949 COM
TransDigm Group Inc 11430 15200186 COM
Emerson Electric Co 112700 14957544 COM
Snowflake Inc 68000 14916480 COM SHS
Corning Inc 169600 14850176 COM
DTE Energy Co 115100 14845598 COM
Mondelez International Inc 274500 14776335 CL A
Manulife Financial Corp 405700 14751113 COM
NXP Semiconductors NV 67800 14716668 COM
Williams-Sonoma Inc 82200 14680098 COM
Seagate Technology Holdings PL 53000 14595670 ORD SHS
Marriott International Inc/MD 46300 14364112 CL A
NetApp Inc 133400 14285806 COM
Warner Bros Discovery Inc 494369 14247715 COM SER A
Truist Financial Corp 288400 14192164 COM
TE Connectivity PLC 61700 14037367 ORD SHS
Principal Financial Group Inc 157900 13928359 COM
Arthur J Gallagher & Co 53760 13912550 COM
Tractor Supply Co 272600 13632726 COM
Darden Restaurants Inc 73900 13599078 COM
Quanta Services Inc 31840 13438390 COM
Electronic Arts Inc 65700 13424481 COM
Apollo Global Management Inc 92400 13375824 COM
Expeditors International of Wa 89600 13351296 COM
Las Vegas Sands Corp 203900 13271851 COM
CSX Corp 365800 13260250 COM
Insulet Corp 46220 13137573 COM
SBA Communications Corp 67300 13017839 CL A
Simon Property Group Inc 70300 13013233 COM
Mettler-Toledo International I 9260 12910199 COM
FedEx Corp 44500 12854270 COM
VICI Properties Inc 456700 12842404 COM
Norfolk Southern Corp 44160 12749875 COM
CH Robinson Worldwide Inc 78800 12667888 COM NEW
Canadian Pacific Kansas City L 171400 12635397 COM
STERIS PLC 49600 12574592 SHS USD
Vertiv Holdings Co 77411 12541356 COM CL A
American Electric Power Co Inc 108700 12534197 COM
Sempra 141300 12475377 COM
Cboe Global Markets Inc 49600 12449600 COM
Realty Income Corp 220600 12435222 COM
Humana Inc 48200 12345466 COM
Ross Stores Inc 68229 12290772 COM
Airbnb Inc 90300 12255516 COM CL A
Equity Residential 192500 12135200 SH BEN INT
Dover Corp 61800 12065832 COM
Dominion Energy Inc 205200 12022668 COM
AutoZone Inc 3490 11836335 COM
Carvana Co 27860 11757477 CL A
Wheaton Precious Metals Corp 98700 11618626 COM
Vistra Corp 71700 11567361 COM
PACCAR Inc 105400 11542354 COM
Air Products and Chemicals Inc 46660 11525953 COM
Ford Motor Co 868200 11390784 COM
United Rentals Inc 14040 11362853 COM
Trimble Inc 145000 11360750 COM
Pan American Silver Corp 217500 11291118 COM
Monster Beverage Corp 146900 11262823 COM
Digital Realty Trust Inc 72100 11154591 COM
Becton Dickinson & Co 56800 11023176 COM
Twilio Inc 77400 11009376 CL A
Hershey Co/The 60400 10991592 COM
PayPal Holdings Inc 186900 10911222 COM
Atmos Energy Corp 65000 10895950 COM
Edwards Lifesciences Corp 126200 10758550 COM
Westinghouse Air Brake Technol 49800 10629810 COM
Prudential Financial Inc 94000 10610720 COM
Chipotle Mexican Grill Inc 280300 10371100 COM
Deckers Outdoor Corp 99900 10356633 COM
Fastenal Co 257100 10317423 COM
Pinterest Inc 397400 10288686 CL A
Lennox International Inc 21180 10284584 COM
PPG Industries Inc 100100 10256246 COM
Essex Property Trust Inc 39020 10210754 COM
Canadian National Railway Co 103100 10210341 COM
ROBLOX Corp 123900 10039617 CL A
Zscaler Inc 44440 9995445 COM
Fox Corp 136700 9988669 CL A COM
Workday Inc 46400 9965792 CL A
WEC Energy Group Inc 94000 9913240 COM
Take-Two Interactive Software 38600 9882758 COM
Target Corp 101100 9882525 COM
HubSpot Inc 24620 9880006 COM
Live Nation Entertainment Inc 69200 9861000 COM
IQVIA Holdings Inc 43700 9850417 COM
Paychex Inc 87400 9804532 COM
Coinbase Global Inc 43280 9787339 COM CL A
Nasdaq Inc 100500 9761565 COM
Carlyle Group Inc/The 164100 9699951 COM
Public Service Enterprise Grou 120700 9692210 COM
Ciena Corp 41300 9658831 COM NEW
American International Group I 112900 9658595 COM NEW
Equitable Holdings Inc 202000 9625300 COM
T Rowe Price Group Inc 93800 9603244 COM
MSCI Inc 16560 9500969 COM
Republic Services Inc 44400 9409692 COM
Rockwell Automation Inc 24160 9399931 COM
Xcel Energy Inc 127000 9380220 COM
Hewlett Packard Enterprise Co 390400 9377408 COM
AMETEK Inc 45200 9280012 COM
Corteva Inc 137900 9243437 COM
Docusign Inc 134900 9227160 COM
Agilent Technologies Inc 67500 9184725 COM
Clorox Co/The 90400 9115032 COM
Waste Connections Inc 51700 9066112 COM
Annaly Capital Management Inc 405000 9055800 COM NEW
Roper Technologies Inc 20220 9000529 COM
Avery Dennison Corp 49000 8912120 COM
Datadog Inc 65500 8907345 CL A COM
Nutanix Inc 171800 8880342 CL A
Crown Castle Inc 99000 8798130 COM
Gartner Inc 34700 8754116 COM
First Solar Inc 33400 8725082 COM
Dynatrace Inc 200400 8685336 COM NEW
Fair Isaac Corp 5080 8588350 COM
Carrier Global Corp 162300 8575932 COM
Dell Technologies Inc 67900 8547252 CL C
Domino's Pizza Inc 20440 8519801 COM
McCormick & Co Inc/MD 124900 8506939 COM NON VTG
State Street Corp 65900 8501759 COM
Yum! Brands Inc 56100 8486808 COM
Strategy Inc 55820 8481849 CL A NEW
eBay Inc 96700 8422570 COM
Public Storage 32000 8304000 COM
Fiserv Inc 123100 8268627 COM
Toast Inc 231800 8231218 CL A
Franco-Nevada Corp 38700 8032491 COM
Ares Management Corp 48800 7887544 CL A COM STK
Insmed Inc 45100 7849204 COM PAR $.01
Flutter Entertainment PLC 36460 7840358 SHS
Keurig Dr Pepper Inc 278100 7789581 COM
GE HealthCare Technologies Inc 94575 7757042 COMMON STOCK
Copart Inc 196600 7696890 COM
Martin Marietta Materials Inc 12320 7671171 COM
Vulcan Materials Co 26880 7666714 COM
Veeva Systems Inc 34280 7652324 CL A COM
Microchip Technology Inc 120000 7646400 COM
Flex Ltd 126400 7637088 ORD
Cognizant Technology Solutions 91958 7632514 CL A
Northern Trust Corp 55800 7621722 COM
DR Horton Inc 52900 7619187 COM
RPM International Inc 72900 7581600 COM
Zillow Group Inc 111000 7572420 CL C CAP STK
Entergy Corp 81700 7551531 COM
PTC Inc 43300 7543293 COM
Kenvue Inc 436875 7536094 COM
Consolidated Edison Inc 75000 7449000 COM
Comfort Systems USA Inc 7920 7391657 COM
MongoDB Inc 17520 7352969 CL A
AECOM 77100 7349943 COM
Xylem Inc/NY 53800 7326484 COM
Fortis Inc/Canada 139700 7272655 COM
Astera Labs Inc 43700 7269932 COM
Nucor Corp 43800 7144218 COM
Jack Henry & Associates Inc 38800 7080224 COM
Willis Towers Watson PLC 21540 7078044 SHS
Fifth Third Bancorp 151200 7077672 COM
Keysight Technologies Inc 34800 7071012 COM
Expedia Group Inc 24900 7054419 COM NEW
Credo Technology Group Holding 48900 7036221 ORDINARY SHARES
Fidelity National Information 105800 7031468 COM
Booz Allen Hamilton Holding Co 81600 6883776 CL A
PG&E Corp 422400 6787968 COM
Ventas Inc 86500 6693370 COM
TELUS Corp 508200 6692994 COM
Otis Worldwide Corp 76200 6656070 COM
Garmin Ltd 32800 6653480 SHS
SoFi Technologies Inc 254100 6652338 COM
Arch Capital Group Ltd 68700 6589704 ORD
Ingersoll Rand Inc 82600 6543572 COM
Rocket Lab Corp 93632 6531768 COM
Nutrien Ltd 105100 6495767 COM
Teradyne Inc 33000 6387480 COM
Natera Inc 27700 6345793 COM
Huntington Bancshares Inc/OH 362100 6282435 COM
M&T Bank Corp 31000 6245880 COM
Okta Inc 71700 6199899 CL A
General Mills Inc 132600 6165900 COM
W R Berkley Corp 87650 6146018 COM
LyondellBasell Industries NV 140800 6096640 SHS - A -
Fox Corp 93800 6090434 CL B COM
F5 Inc 23600 6024136 COM
Interactive Brokers Group Inc 93600 6019416 COM CL A
Regions Financial Corp 221400 5999940 COM
CAE Inc 196200 5974385 COM
LPL Financial Holdings Inc 16520 5900448 COM
Dollar General Corp 44300 5881711 COM
Iron Mountain Inc 70900 5881155 COM
Ulta Beauty Inc 9720 5880697 COM
Tapestry Inc 45800 5851866 COM
Atlassian Corp 36000 5837040 CL A
Archer-Daniels-Midland Co 101300 5823737 COM
Universal Health Services Inc 26700 5821134 CL B
Old Dominion Freight Line Inc 37100 5817280 COM
Extra Space Storage Inc 43400 5651548 COM
Citizens Financial Group Inc 96000 5607360 COM
Emera Inc 113400 5595751 COM
Veralto Corp 55808 5568522 COM SHS
CoStar Group Inc 82400 5540576 COM
Equifax Inc 25320 5493934 COM
IonQ Inc 122312 5488139 COM
Gaming and Leisure Properties 120800 5398552 COM
International Paper Co 135950 5355071 COM
Kraft Heinz Co/The 219700 5327725 COM
Hubbell Inc 11980 5320438 COM
NiSource Inc 126100 5265936 COM
Waters Corp 13820 5249251 COM
Paycom Software Inc 32900 5242944 COM
Smurfit WestRock PLC 135400 5235918 SHS
Affirm Holdings Inc 70300 5232429 COM CL A
KeyCorp 250800 5176512 COM
American Water Works Co Inc 39600 5167800 COM
Hormel Foods Corp 216600 5133420 COM
Brookfield Asset Management Lt 96800 5077454 CL A LMT VTG SHS
Reddit Inc 21774 5005189 CL A
Fidelity National Financial In 90500 4940395 COM SHS
Restaurant Brands Internationa 71600 4892253 COM
FirstEnergy Corp 108200 4844114 COM
Biogen Inc 27300 4804527 COM
Thomson Reuters Corp 35988 4755431 COM
Estee Lauder Cos Inc/The 45190 4732297 CL A
AerCap Holdings NV 32800 4715328 SHS
CenterPoint Energy Inc 122900 4711986 COM
HP Inc 210800 4696624 COM
Cincinnati Financial Corp 28700 4687284 COM
Dow Inc 196600 4596508 COM
Aptiv PLC 60100 4573009 COM SHS
Ameren Corp 45700 4563602 COM
Lululemon Athletica Inc 21800 4530258 COM
Steel Dynamics Inc 26600 4507370 COM
Labcorp Holdings Inc 17740 4450611 COM SHS
Healthpeak Properties Inc 275200 4425216 COM
Teledyne Technologies Inc 8660 4422922 COM
Pure Storage Inc 66000 4422660 CL A
PulteGroup Inc 37600 4408976 COM
West Pharmaceutical Services I 15980 4396737 COM
ON Semiconductor Corp 79600 4310340 COM
Liberty Media Corp-Liberty For 43600 4295036 COM LBTY ONE S C
Brown & Brown Inc 53700 4279890 COM
Zoom Communications Inc 49100 4236839 CL A
Genuine Parts Co 34400 4229824 COM
Pentair PLC 40500 4217670 SHS
RB Global Inc 40600 4185436 COM
Tyler Technologies Inc 9200 4176340 COM
WP Carey Inc 64500 4151220 COM
United Therapeutics Corp 8500 4141625 COM
Bloom Energy Corp 47600 4135964 COM CL A
Jacobs Solutions Inc 31200 4132752 COM
Illumina Inc 31000 4065960 COM
VeriSign Inc 16720 4062124 COM
Packaging Corp of America 19300 3980239 COM
Nebius Group NV 47500 3975988 SHS CLASS A
Centene Corp 96300 3962745 COM
Church & Dwight Co Inc 47100 3949335 COM
Burlington Stores Inc 13620 3934137 COM
Markel Group Inc 1830 3933860 COM
Lennar Corp 37747 3880392 CL A
Alexandria Real Estate Equitie 78800 3856472 COM
Teck Resources Ltd 80200 3844568 CL B
Snap-on Inc 10980 3783708 COM
Constellation Brands Inc 27200 3752512 CL A
TransUnion 43500 3730125 COM
Kimco Realty Corp 182100 3691167 COM
Quest Diagnostics Inc 21000 3644130 COM
Fortive Corp 65700 3627297 COM
Best Buy Co Inc 54100 3620913 COM
GoDaddy Inc 29000 3598320 CL A
Corpay Inc 11880 3575048 COM SHS
CMS Energy Corp 50800 3552444 COM
Trade Desk Inc/The 93000 3530280 COM CL A
Rivian Automotive Inc 177000 3488670 COM CL A
Omnicom Group Inc 43200 3488400 COM
HEICO Corp 13780 3478485 CL A
Rocket Cos Inc 178971 3464879 COM CL A
IFF 51200 3450368 COM
Cooper Cos Inc/The 42000 3442320 COM
Coca-Cola Europacific Partners 37900 3437530 SHS
Qnity Electronics Inc 41950 3425218 COMMON STOCK
Rollins Inc 57000 3421140 COM
Super Micro Computer Inc 114400 3348488 COM NEW
Regency Centers Corp 48500 3347955 COM
Alamos Gold Inc 85600 3309721 COM CL A
Magna International Inc 62000 3309531 COM
DraftKings Inc 95700 3297822 COM CL A
EchoStar Corp 30158 3278175 CL A
Charter Communications Inc 15680 3273200 CL A
Zimmer Biomet Holdings Inc 36400 3273088 COM
Incyte Corp 32900 3249533 COM
Weyerhaeuser Co 135600 3212364 COM NEW
CDW Corp/DE 23200 3159840 COM
Hologic Inc 42400 3158376 COM
Global Payments Inc 40800 3157920 COM
Alliant Energy Corp 48200 3133482 COM
Mid-America Apartment Communit 22500 3125475 COM
Everest Group Ltd 9100 3088085 COM
CGI Inc 33300 3079901 CL A SUB VTG
Allegion plc 19300 3072946 ORD SHS
NVR Inc 420 3062963 COM
SS&C Technologies Holdings Inc 34700 3033474 COM
Dick's Sporting Goods Inc 15300 3028941 COM
Tyson Foods Inc 51500 3018930 CL A
Hyatt Hotels Corp 18700 2997984 COM CL A
First Citizens BancShares Inc/ 1380 2961728 CL A
Watsco Inc 8600 2897770 COM
HEICO Corp 8840 2860536 COM
Neurocrine Biosciences Inc 19800 2808234 COM
DuPont de Nemours Inc 69300 2785860 COM
Samsara Inc 78200 2772190 COM CL A
Royalty Pharma PLC 71400 2758896 SHS CLASS A
Carlisle Cos Inc 8520 2725207 COM