Quarterly Holdings Report
for
Fidelity ZERO® Total Market Index Fund
July 31, 2026
TMX-NPRT3-0926
1.9891459.107
Common Stocks - 99.8%
 
 
Shares
Value ($)
 
AUSTRALIA - 0.0%
 
 
 
Health Care - 0.0%
 
 
 
Biotechnology - 0.0%
 
 
 
Benitec Biopharma Inc (b)
 
13,000
152,230
Materials - 0.0%
 
 
 
Metals & Mining - 0.0%
 
 
 
Anglogold Ashanti Plc
 
231,065
18,328,076
TOTAL AUSTRALIA
 
 
18,480,306
BAHAMAS (NASSAU) - 0.0%
 
 
 
Consumer Discretionary - 0.0%
 
 
 
Diversified Consumer Services - 0.0%
 
 
 
OneSpaWorld Holdings Ltd
 
55,161
1,420,947
BELGIUM - 0.0%
 
 
 
Communication Services - 0.0%
 
 
 
Diversified Telecommunication Services - 0.0%
 
 
 
Liberty Global Ltd Class A (b)
 
93,028
987,027
Liberty Global Ltd Class C (b)
 
72,334
749,380
 
 
 
 
TOTAL BELGIUM
 
 
1,736,407
BERMUDA - 0.0%
 
 
 
Energy - 0.0%
 
 
 
Oil, Gas & Consumable Fuels - 0.0%
 
 
 
Teekay Corp Ltd
 
29,450
343,093
Financials - 0.0%
 
 
 
Insurance - 0.0%
 
 
 
RenaissanceRe Holdings Ltd
 
23,149
7,407,217
TOTAL BERMUDA
 
 
7,750,310
CANADA - 0.0%
 
 
 
Energy - 0.0%
 
 
 
Oil, Gas & Consumable Fuels - 0.0%
 
 
 
Teekay Tankers Ltd Class A
 
13,006
1,032,286
Industrials - 0.0%
 
 
 
Commercial Services & Supplies - 0.0%
 
 
 
RB Global Inc (United States)
 
101,324
11,119,296
Information Technology - 0.0%
 
 
 
Software - 0.0%
 
 
 
D-Wave Quantum Inc (b)(c)
 
199,150
3,600,632
Materials - 0.0%
 
 
 
Metals & Mining - 0.0%
 
 
 
McEwen Inc (b)(c)
 
26,879
464,738
TOTAL CANADA
 
 
16,216,952
CHINA - 0.0%
 
 
 
Information Technology - 0.0%
 
 
 
Semiconductors & Semiconductor Equipment - 0.0%
 
 
 
ACM Research Inc Class A (b)
 
30,986
2,431,472
indie Semiconductor Inc Class A (b)(c)
 
116,101
375,006
 
 
 
 
TOTAL CHINA
 
 
2,806,478
GERMANY - 0.0%
 
 
 
Materials - 0.0%
 
 
 
Chemicals - 0.0%
 
 
 
Orion SA
 
30,629
206,745
GHANA - 0.0%
 
 
 
Energy - 0.0%
 
 
 
Oil, Gas & Consumable Fuels - 0.0%
 
 
 
Kosmos Energy Ltd (b)
 
323,201
869,411
GRAND CAYMAN (UK OVERSEAS TER) - 0.0%
 
 
 
Health Care - 0.0%
 
 
 
Biotechnology - 0.0%
 
 
 
BridgeBio Oncology Therapeutics Inc (b)
 
24,941
201,772
IRELAND - 0.0%
 
 
 
Energy - 0.0%
 
 
 
Oil, Gas & Consumable Fuels - 0.0%
 
 
 
Ardmore Shipping Corp
 
19,860
345,365
Health Care - 0.0%
 
 
 
Biotechnology - 0.0%
 
 
 
Prothena Corp PLC (b)
 
21,232
172,404
Industrials - 0.0%
 
 
 
Commercial Services & Supplies - 0.0%
 
 
 
Cimpress PLC (b)
 
7,869
776,671
TOTAL IRELAND
 
 
1,294,440
ISRAEL - 0.0%
 
 
 
Consumer Discretionary - 0.0%
 
 
 
Automobile Components - 0.0%
 
 
 
Mobileye Global Inc Class A (b)
 
90,105
715,434
JAPAN - 0.0%
 
 
 
Information Technology - 0.0%
 
 
 
Semiconductors & Semiconductor Equipment - 0.0%
 
 
 
Allegro MicroSystems Inc (b)
 
67,297
2,792,826
KOREA (SOUTH) - 0.0%
 
 
 
Consumer Discretionary - 0.0%
 
 
 
Broadline Retail - 0.0%
 
 
 
Coupang Inc Class A (b)
 
722,981
11,820,739
MONACO - 0.0%
 
 
 
Energy - 0.0%
 
 
 
Oil, Gas & Consumable Fuels - 0.0%
 
 
 
Scorpio Tankers Inc
 
19,902
1,549,570
NETHERLANDS - 0.2%
 
 
 
Health Care - 0.0%
 
 
 
Biotechnology - 0.0%
 
 
 
uniQure NV (b)
 
36,815
1,606,238
Information Technology - 0.2%
 
 
 
Semiconductors & Semiconductor Equipment - 0.2%
 
 
 
NXP Semiconductors NV
 
137,466
31,501,709
TOTAL NETHERLANDS
 
 
33,107,947
NORWAY - 0.0%
 
 
 
Energy - 0.0%
 
 
 
Energy Equipment & Services - 0.0%
 
 
 
Seadrill Ltd (b)
 
34,150
1,531,286
Information Technology - 0.0%
 
 
 
Semiconductors & Semiconductor Equipment - 0.0%
 
 
 
T1 Energy Inc (b)(c)
 
113,575
473,608
TOTAL NORWAY
 
 
2,004,894
PHILIPPINES - 0.0%
 
 
 
Industrials - 0.0%
 
 
 
Professional Services - 0.0%
 
 
 
TaskUS Inc Class A (c)
 
7,882
47,843
PUERTO RICO - 0.0%
 
 
 
Communication Services - 0.0%
 
 
 
Diversified Telecommunication Services - 0.0%
 
 
 
Liberty Latin America Ltd Class A (b)
 
31,050
253,057
Liberty Latin America Ltd Class C (b)
 
55,553
448,313
TOTAL COMMUNICATION SERVICES
 
 
701,370
Financials - 0.0%
 
 
 
Banks - 0.0%
 
 
 
First BanCorp/Puerto Rico
 
83,406
2,412,936
Ofg Bancorp
 
22,960
1,213,665
Popular Inc
 
35,366
6,196,477
 
 
 
9,823,078
Financial Services - 0.0%
 
 
 
EVERTEC Inc
 
33,369
1,015,752
TOTAL FINANCIALS
 
 
10,838,830
Information Technology - 0.0%
 
 
 
Electronic Equipment, Instruments & Components - 0.0%
 
 
 
Unusual Machines Inc /US (b)(c)
 
23,810
503,820
TOTAL PUERTO RICO
 
 
12,044,020
SINGAPORE - 0.0%
 
 
 
Communication Services - 0.0%
 
 
 
Interactive Media & Services - 0.0%
 
 
 
Grindr Inc Class A (b)(c)
 
24,242
420,356
Information Technology - 0.0%
 
 
 
Semiconductors & Semiconductor Equipment - 0.0%
 
 
 
Kulicke & Soffa Industries Inc
 
28,358
2,529,534
TOTAL SINGAPORE
 
 
2,949,890
SWEDEN - 0.0%
 
 
 
Consumer Discretionary - 0.0%
 
 
 
Automobile Components - 0.0%
 
 
 
Autoliv Inc
 
37,557
4,625,896
SWITZERLAND - 0.2%
 
 
 
Consumer Discretionary - 0.0%
 
 
 
Automobile Components - 0.0%
 
 
 
Garrett Motion Inc
 
69,161
2,154,365
Health Care - 0.0%
 
 
 
Biotechnology - 0.0%
 
 
 
CRISPR Therapeutics AG (b)(c)
 
52,225
2,506,278
Information Technology - 0.2%
 
 
 
Electronic Equipment, Instruments & Components - 0.2%
 
 
 
TE Connectivity PLC
 
158,961
32,696,688
TOTAL SWITZERLAND
 
 
37,357,331
THAILAND - 0.0%
 
 
 
Energy - 0.0%
 
 
 
Oil, Gas & Consumable Fuels - 0.0%
 
 
 
BKV Corp (b)
 
20,717
506,738
Information Technology - 0.0%
 
 
 
Electronic Equipment, Instruments & Components - 0.0%
 
 
 
Fabrinet (b)
 
19,546
8,510,524
TOTAL THAILAND
 
 
9,017,262
UNITED KINGDOM - 0.0%
 
 
 
Energy - 0.0%
 
 
 
Energy Equipment & Services - 0.0%
 
 
 
TechnipFMC PLC
 
216,943
15,546,135
Industrials - 0.0%
 
 
 
Machinery - 0.0%
 
 
 
Luxfer Holdings PLC
 
14,994
255,348
TOTAL UNITED KINGDOM
 
 
15,801,483
UNITED STATES - 99.4%
 
 
 
Communication Services - 9.0%
 
 
 
Diversified Telecommunication Services - 0.7%
 
 
 
Anterix Inc (b)
 
10,150
944,153
AST SpaceMobile Inc Class A (b)(c)
 
141,633
8,353,514
AT&T Inc
 
3,781,098
87,910,529
Atn International Inc
 
5,224
124,382
Bandwidth Inc Class A (b)
 
16,307
638,256
Cogent Communications Holdings Inc
 
25,906
349,731
Comcast Corp Class A
 
1,939,304
46,465,724
GCI LLC Class A (b)
 
1,403
33,167
GCI LLC Class C (b)
 
19,183
444,470
Globalstar Inc (b)
 
27,925
2,328,387
IDT Corp Class B
 
10,962
721,957
Iridium Communications Inc
 
57,290
2,712,109
Lumen Technologies Inc (b)
 
513,992
3,279,269
Shenandoah Telecommunications Co
 
24,518
293,971
Uniti Group Inc (b)
 
98,917
961,473
Verizon Communications Inc
 
2,272,270
106,364,959
 
 
 
261,926,051
Entertainment - 1.0%
 
 
 
AMC Entertainment Holdings Inc Class A (b)
 
412,307
1,162,706
Angel Studios Inc Class A (b)
 
53,355
216,621
Atlanta Braves Holdings Inc Class A (b)
 
5,325
289,733
Atlanta Braves Holdings Inc Class C (b)
 
26,188
1,331,136
Cinemark Holdings Inc
 
55,972
2,048,015
CuriosityStream Inc Class A
 
18,987
46,328
Electronic Arts Inc
 
122,431
25,693,370
Liberty Media Corp-Liberty Formula One Class A (b)
 
16,964
1,523,536
Liberty Media Corp-Liberty Formula One Class C (b)
 
118,166
11,595,630
Lionsgate Studios Corp (b)
 
124,284
1,650,492
Live Nation Entertainment Inc (b)
 
86,165
15,003,911
Madison Square Garden Entertainment Corp Class A (b)
 
21,860
1,688,904
Madison Square Garden Sports Corp Class A (b)
 
9,822
3,866,725
Marcus Corp/The
 
12,113
352,488
Netflix Inc (b)
 
2,291,438
164,319,020
Playtika Holding Corp
 
32,970
131,550
ROBLOX Corp Class A (b)
 
365,298
13,004,609
Roku Inc Class A (b)
 
71,326
10,342,983
Sphere Entertainment Co Class A (b)(c)
 
14,599
2,091,307
Starz Entertainment Corp (b)
 
6,854
178,341
Take-Two Interactive Software Inc (b)
 
94,677
22,998,937
TKO Group Holdings Inc Class A
 
34,340
6,243,355
Walt Disney Co/The
 
944,832
90,883,391
Warner Bros Discovery Inc (b)
 
1,348,500
35,465,550
Warner Music Group Corp Class A
 
79,174
2,055,357
 
 
 
414,183,995
Interactive Media & Services - 7.0%
 
 
 
Alphabet Inc Class A
 
3,193,789
1,137,404,077
Alphabet Inc Class C
 
2,569,475
916,403,258
Angi Inc Class A (b)
 
18,123
102,756
Bumble Inc Class A (b)
 
46,198
131,664
Cargurus Inc Class A (b)
 
41,182
1,492,436
Cars.com Inc (b)
 
28,203
334,206
EverQuote Inc Class A (b)
 
14,507
365,867
fuboTV Inc Class A (b)(c)
 
14,943
132,246
Match Group Inc
 
128,043
5,046,175
MediaAlpha Inc Class A (b)
 
17,032
210,856
Meta Platforms Inc Class A
 
1,195,136
665,344,163
Nextdoor Holdings Inc Class A (b)
 
124,426
276,226
People Inc Class A (b)
 
33,746
1,402,821
Pinterest Inc Class A (b)
 
262,687
6,307,115
QuinStreet Inc (b)
 
30,527
473,169
Reddit Inc Class A (b)
 
71,172
10,011,765
RUM Group Inc Class A (b)(c)
 
61,566
359,545
Shutterstock Inc
 
13,244
71,517
Snap Inc Class A (b)
 
586,434
2,750,375
TripAdvisor Inc Class A (b)(c)
 
64,000
906,560
Trump Media & Technology Group Corp (b)(c)
 
86,659
854,458
Yelp Inc Class A (b)
 
28,914
764,197
Ziff Davis Inc (b)(c)
 
19,947
1,058,787
ZipRecruiter Inc Class A (b)
 
33,020
130,099
ZoomInfo Technologies Inc (b)
 
142,044
468,745
 
 
 
2,752,803,083
Media - 0.2%
 
 
 
AMC Global Media Inc Class A (b)
 
17,232
192,998
Boston Omaha Corp (b)
 
13,141
186,339
Cable One Inc (b)
 
2,330
93,176
Charter Communications Inc Class A (b)(c)
 
45,524
6,600,070
Clear Channel Outdoor Holdings Inc (b)
 
172,739
418,028
DoubleVerify Holdings Inc (b)
 
70,382
791,798
EchoStar Corp Class A (b)
 
74,062
6,227,874
EW Scripps Co/The Class A (b)
 
36,172
101,643
Fox Corp Class A
 
118,370
6,892,685
Fox Corp Class B
 
64,674
3,359,168
Gray Media Inc
 
45,196
182,592
Ibotta Inc Class A (b)
 
6,968
167,232
iHeartMedia Inc Class A (b)
 
66,079
237,224
John Wiley & Sons Inc Class A
 
21,262
1,109,876
Liberty Broadband Corp Class A (b)
 
9,820
334,469
Liberty Broadband Corp Class C (b)
 
63,223
2,152,111
Magnite Inc (b)
 
77,661
1,498,857
MNTN Inc Class A (b)
 
11,321
104,380
National CineMedia Inc
 
48,907
196,117
New York Times Co/The Class A
 
87,868
6,580,435
News Corp Class A
 
204,135
5,625,961
News Corp Class B
 
60,949
1,905,875
Nexstar Media Group Inc
 
15,734
2,997,799
NIQ Global Intelligence Plc (b)
 
27,050
302,149
Omnicom Group Inc
 
155,246
12,217,860
Optimum Communications Inc Class A (b)
 
151,618
115,563
Paramount Skydance Corp Class B (c)
 
171,731
1,366,979
PubMatic Inc Class A (b)
 
19,360
243,936
Scholastic Corp
 
8,963
364,346
Sinclair Inc Class A
 
22,350
307,089
Sirius XM Holdings Inc
 
103,003
3,050,949
Stagwell Inc Class A (b)(c)
 
57,893
489,196
TechTarget Inc (b)(c)
 
13,980
62,769
Trade Desk Inc (The) Class A (b)
 
232,870
4,200,975
USA TODAY Co Inc (b)
 
70,174
609,812
Versant Media Group Inc Class A
 
77,077
2,774,001
 
 
 
74,062,331
Wireless Telecommunication Services - 0.1%
 
 
 
Array Digital Infrastructure Inc (c)
 
7,714
268,756
Gogo Inc (b)
 
42,014
175,619
Spok Holdings Inc
 
14,676
159,968
T-Mobile US Inc
 
253,246
43,738,117
Telephone and Data Systems Inc
 
52,473
1,762,043
 
 
 
46,104,503
TOTAL COMMUNICATION SERVICES
 
 
3,549,079,963
Consumer Discretionary - 9.4%
 
 
 
Automobile Components - 0.1%
 
 
 
Adient PLC (b)
 
42,553
895,315
Aptiv PLC (b)
 
115,537
6,524,374
BorgWarner Inc
 
112,025
7,140,474
Cooper-Standard Holdings Inc (b)
 
9,397
276,930
Dana Inc
 
58,947
1,587,443
Dauch Corp (b)
 
130,949
739,862
Dorman Products Inc (b)
 
14,714
1,959,316
Fox Factory Holding Corp (b)
 
22,278
401,004
Gentex Corp
 
115,742
2,703,733
Gentherm Inc (b)
 
16,633
674,967
Goodyear Tire & Rubber Co/The (b)
 
158,337
1,100,442
Holley Inc Class A (b)
 
29,266
78,139
Kodiak AI Inc (b)(c)
 
56,208
244,505
LCI Industries
 
13,213
1,352,483
Lear Corp
 
27,237
3,558,242
Motorcar Parts of America Inc (b)
 
10,129
135,729
Patrick Industries Inc (c)
 
17,814
1,470,546
Phinia Inc
 
20,059
1,476,142
QuantumScape Corp Class A (b)(c)
 
261,129
1,363,093
Solid Power Inc (b)(c)
 
103,786
213,799
Standard Motor Products Inc
 
11,360
434,293
Stoneridge Inc (b)
 
15,209
105,094
Strattec Security Corp (b)
 
2,264
198,983
Versigent PLC
 
38,490
1,591,562
Visteon Corp
 
14,460
1,511,648
XPEL Inc (b)(e)
 
13,633
604,896
 
 
 
38,343,014
Automobiles - 1.4%
 
 
 
Ford Motor Co
 
2,129,085
31,254,968
General Motors Co
 
490,885
43,620,041
Harley-Davidson Inc (c)
 
57,053
1,400,081
Lucid Group Inc (b)(c)
 
103,799
766,037
Rivian Automotive Inc Class A (b)(c)
 
459,299
6,990,531
Tesla Inc (b)
 
1,532,123
476,811,999
Thor Industries Inc
 
28,495
2,136,270
Winnebago Industries Inc
 
15,185
459,801
 
 
 
563,439,728
Broadline Retail - 3.9%
 
 
 
Amazon.com Inc (b)
 
5,327,279
1,446,782,432
Dillard's Inc Class A
 
1,630
958,994
eBay Inc
 
241,604
27,545,272
Etsy Inc (b)
 
51,515
4,207,745
Groupon Inc (b)(c)
 
14,611
402,971
Kohl's Corp
 
60,966
1,166,889
Macy's Inc
 
144,642
3,590,014
Ollie's Bargain Outlet Holdings Inc (b)
 
32,837
2,412,534
Savers Value Village Inc (b)(c)
 
19,772
202,861
 
 
 
1,487,269,712
Distributors - 0.0%
 
 
 
Genuine Parts Co
 
75,168
9,348,645
GigaCloud Technology Inc Class A (b)
 
14,418
630,643
Gold.com Inc
 
11,187
462,694
LKQ Corp
 
140,197
3,147,423
Pool Corp
 
17,379
3,227,454
 
 
 
16,816,859
Diversified Consumer Services - 0.1%
 
 
 
ADT Inc
 
306,839
2,344,250
American Public Education Inc (b)
 
10,114
490,630
Bright Horizons Family Solutions Inc (b)
 
28,492
2,123,794
Carriage Services Inc
 
8,601
347,222
Chegg Inc (b)
 
59,671
58,657
Coursera Inc (b)
 
121,652
645,972
Covista Inc (b)
 
18,423
2,300,112
Driven Brands Holdings Inc (b)
 
32,000
456,640
Duolingo Inc Class A (b)
 
21,827
2,942,498
Frontdoor Inc (b)
 
38,058
2,764,153
Graham Holdings Co Class B
 
1,812
2,180,814
Grand Canyon Education Inc (b)
 
14,213
2,065,717
H&R Block Inc
 
68,912
3,034,195
KinderCare Learning Cos Inc (b)(c)
 
16,121
86,247
Laureate Education Inc (b)
 
68,966
2,642,087
Liberty Live Holdings Inc Class A
 
9,602
909,501
Liberty Live Holdings Inc Class C
 
28,663
2,826,172
Lincoln Educational Services Corp (b)
 
16,245
679,366
Matthews International Corp Class A
 
17,155
476,051
Perdoceo Education Corp
 
31,992
1,017,666
Service Corp International/US
 
74,913
6,456,752
Strategic Education Inc
 
12,161
997,202
Stride Inc (b)
 
22,744
1,826,116
Universal Technical Institute Inc (b)(c)
 
27,467
1,079,728
WW International Inc (b)(c)
 
5,393
77,443
 
 
 
40,828,985
Hotels, Restaurants & Leisure - 1.7%
 
 
 
Accel Entertainment Inc Class A (b)
 
32,847
394,821
Airbnb Inc Class A (b)
 
227,617
34,488,528
Aramark
 
143,185
8,157,249
Biglari Holdings Inc Class B (b)(c)
 
363
144,289
BJ's Restaurants Inc (b)
 
11,402
770,889
Black Rock Coffee Bar Inc Class A
 
12,145
97,889
Bloomin' Brands Inc
 
40,990
354,973
Booking Holdings Inc
 
421,733
81,352,296
Boyd Gaming Corp
 
29,907
2,543,889
Brinker International Inc (b)
 
23,293
4,977,714
Caesars Entertainment Inc (b)
 
111,111
3,305,552
Carnival Corp Ltd
 
700,893
19,491,834
Cava Group Inc (b)(c)
 
54,666
3,565,863
Cheesecake Factory Inc/The
 
24,956
2,531,038
Chipotle Mexican Grill Inc (b)
 
697,901
25,975,875
Choice Hotels International Inc
 
10,984
1,224,606
Churchill Downs Inc
 
35,932
3,029,068
Cracker Barrel Old Country Store Inc
 
12,122
683,560
Darden Restaurants Inc
 
62,392
12,701,763
Dave & Buster's Entertainment Inc (b)
 
14,654
158,849
Dine Brands Global Inc
 
6,921
248,741
Domino's Pizza Inc
 
16,627
5,776,885
DoorDash Inc Class A (b)
 
206,026
40,414,060
DraftKings Inc Class A (b)
 
270,399
6,348,969
Dutch Bros Inc Class A (b)
 
69,447
4,571,696
El Pollo Loco Holdings Inc (b)
 
14,319
235,691
Expedia Group Inc Class A
 
62,285
18,357,881
First Watch Restaurant Group Inc (b)
 
24,805
318,744
Flutter Entertainment PLC (b)
 
94,572
9,879,937
Global Business Travel Group I Class A (b)
 
64,409
608,021
Hilton Grand Vacations Inc (b)
 
32,446
1,497,058
Hilton Worldwide Holdings Inc
 
123,865
39,697,494
Hyatt Hotels Corp Class A (c)
 
22,508
3,917,742
Jack in the Box Inc (b)(c)
 
10,348
169,397
Krispy Kreme Inc (b)
 
50,090
159,286
Kura Sushi USA Inc Class A (b)
 
3,398
156,546
Las Vegas Sands Corp
 
162,335
7,936,558
Life Time Group Holdings Inc (b)
 
83,409
3,761,746
Lindblad Expeditions Holdings Inc (b)
 
24,896
736,424
Lucky Strike Entertainment Corp Class A (c)
 
8,191
54,880
Marriott International Inc/MD Class A1
 
119,122
44,412,255
Marriott Vacations Worldwide Corp
 
14,901
1,452,997
McDonald's Corp
 
386,506
104,603,984
MGM Resorts International (b)
 
104,123
4,640,762
Monarch Casino & Resort Inc
 
6,755
829,176
Nathan's Famous Inc
 
1,408
138,139
Navan Inc Class A (b)
 
20,782
553,217
Norwegian Cruise Line Holdings Ltd (b)
 
250,057
4,633,556
Papa John's International Inc
 
17,916
535,688
Penn Entertainment Inc (b)
 
68,781
1,412,074
Planet Fitness Inc Class A (b)
 
42,891
2,398,036
Portillo's Inc Class A (b)(c)
 
38,280
174,940
Pursuit Attractions and Hospitality Inc (b)
 
11,256
568,766
Rci Hospitality Holdings Inc
 
3,746
93,987
Red Rock Resorts Inc Class A
 
25,667
1,653,981
Royal Caribbean Cruises Ltd
 
135,781
43,219,092
Rush Street Interactive Inc Class A (b)
 
56,594
1,522,945
Sabre Corp (b)
 
210,261
388,983
Serve Robotics Inc (b)(c)
 
32,678
156,201
Shake Shack Inc Class A (b)
 
21,888
1,373,472
Six Flags Entertainment Corp (b)(c)
 
55,403
960,134
Starbucks Corp
 
620,224
65,278,576
Sweetgreen Inc Class A (b)(c)
 
56,830
366,554
Target Hospitality Corp (b)
 
17,146
260,619
Texas Roadhouse Inc
 
35,804
7,355,574
Travel + Leisure Co
 
33,870
2,574,797
United Parks & Resorts Inc (b)(c)
 
12,778
570,282
Vail Resorts Inc (c)
 
19,324
2,886,619
Viking Holdings Ltd (b)
 
100,834
10,522,028
Wendy's Co/The (c)
 
85,363
628,272
Wingstop Inc
 
14,749
1,909,848
Wyndham Hotels & Resorts Inc
 
40,536
3,034,525
Wynn Resorts Ltd
 
45,519
4,520,492
Xponential Fitness Inc Class A (b)(c)
 
19,014
123,971
Yum! Brands Inc
 
149,966
22,986,788
 
 
 
689,539,631
Household Durables - 0.3%
 
 
 
Beazer Homes USA Inc (b)
 
13,420
430,782
Cavco Industries Inc (b)
 
4,205
2,300,261
Century Communities Inc
 
13,413
900,817
Champion Homes Inc (b)
 
29,994
2,387,822
Cricut Inc Class A
 
27,254
127,821
DR Horton Inc
 
143,662
20,552,286
Dream Finders Homes Inc Class A (b)(c)
 
15,023
192,144
Ethan Allen Interiors Inc
 
12,311
275,766
Flexsteel Industries Inc
 
1,983
146,801
Garmin Ltd
 
89,171
26,196,657
Gopro Inc Class A (b)(c)
 
69,500
52,056
Green Brick Partners Inc (b)
 
16,387
1,159,053
Helen of Troy Ltd (b)
 
12,567
347,226
Hovnanian Enterprises Inc Class A (b)
 
2,491
308,635
Installed Building Products Inc
 
12,189
2,717,416
KB Home
 
33,933
1,865,297
La-Z-Boy Inc
 
22,185
873,645
Legacy Housing Corp (b)(c)
 
5,009
131,536
Leggett & Platt Inc
 
74,870
733,726
Lennar Corp Class A
 
116,693
9,609,669
Lennar Corp Class B
 
5,881
474,596
LGI Homes Inc (b)
 
11,110
606,273
Lovesac Co/The (b)(c)
 
7,468
120,160
M/I Homes Inc (b)
 
13,852
2,024,193
Meritage Homes Corp
 
36,173
2,539,345
Mohawk Industries Inc (b)
 
27,720
3,412,332
Newell Brands Inc (c)
 
231,594
1,296,926
NVR Inc (b)
 
1,466
9,011,575
PulteGroup Inc
 
104,313
13,192,465
SharkNinja Inc (b)(c)
 
38,583
6,241,572
Smith Douglas Homes Corp Class A (b)
 
4,050
60,062
Somnigroup International Inc
 
114,995
7,512,623
Sonos Inc (b)
 
64,585
946,816
Toll Brothers Inc
 
51,583
7,525,444
Whirlpool Corp (c)
 
35,329
1,324,838
 
 
 
127,598,636
Leisure Products - 0.1%
 
 
 
Acushnet Holdings Corp
 
15,094
1,528,569
Brunswick Corp/DE
 
35,301
2,788,779
Callaway Golf Co (b)
 
73,993
1,365,911
Funko Inc Class A (b)
 
21,481
125,233
Hasbro Inc
 
73,291
6,884,957
JAKKS Pacific Inc
 
4,944
130,176
Johnson Outdoors Inc Class A
 
3,248
152,364
Latham Group Inc (b)
 
24,611
131,915
Malibu Boats Inc Class A (b)
 
10,395
286,590
MasterCraft Boat Holdings Inc (b)
 
9,622
230,158
Mattel Inc (b)
 
157,200
2,372,148
Peloton Interactive Inc Class A (b)
 
226,660
1,448,357
Polaris Inc
 
29,497
1,978,659
Smith & Wesson Brands Inc
 
23,610
343,526
Sturm Ruger & Co Inc
 
8,515
316,503
YETI Holdings Inc (b)
 
41,043
2,008,644
 
 
 
22,092,489
Specialty Retail - 1.6%
 
 
 
1-800-Flowers.com Inc Class A (b)
 
13,975
54,502
Abercrombie & Fitch Co Class A (b)
 
24,228
2,411,655
Academy Sports & Outdoors Inc
 
34,936
1,657,713
Advance Auto Parts Inc
 
32,781
1,820,657
America's Car-Mart Inc/TX (b)(c)
 
3,537
11,282
American Eagle Outfitters Inc
 
84,341
1,448,978
Arhaus Inc Class A
 
28,239
209,251
Arko Corp
 
42,644
340,726
Asbury Automotive Group Inc (b)
 
10,071
2,333,451
AutoNation Inc (b)
 
13,790
2,928,996
AutoZone Inc (b)
 
8,963
27,034,649
Barnes & Noble Education Inc
 
12,124
150,823
Bath & Body Works Inc
 
109,151
2,196,118
Bed Bath & Beyond Inc (b)(c)
 
38,609
194,975
Best Buy Co Inc
 
106,578
9,193,418
Boot Barn Holdings Inc (b)
 
16,430
2,447,906
Buckle Inc/The
 
16,895
739,494
Build-A-Bear Workshop Inc
 
6,323
214,476
Burlington Stores Inc (b)
 
34,230
12,613,070
Caleres Inc
 
18,121
232,674
Camping World Holdings Inc Class A
 
34,000
210,460
CarMax Inc (b)
 
77,023
4,410,337
Carvana Co Class A (b)
 
390,070
24,324,765
Chewy Inc Class A (b)
 
130,439
2,947,921
Citi Trends Inc (b)
 
4,029
268,613
Designer Brands Inc Class A
 
20,063
121,180
Dick's Sporting Goods Inc
 
35,961
7,045,120
EVgo Inc Class A (b)(c)
 
71,489
112,952
Five Below Inc (b)
 
30,182
6,553,418
Floor & Decor Holdings Inc Class A (b)
 
58,552
3,370,839
GameStop Corp Class A (b)(c)
 
223,832
4,861,631
Gap Inc/The
 
120,768
2,426,229
Genesco Inc (b)
 
5,375
205,433
Group 1 Automotive Inc
 
6,371
1,827,012
Haverty Furniture Cos Inc
 
7,224
177,999
Home Depot Inc/The
 
542,057
179,941,242
Lands' End Inc (b)
 
6,325
76,026
Lithia Motors Inc
 
12,472
4,806,958
Lowe's Cos Inc
 
304,925
63,366,464
MarineMax Inc (b)
 
10,521
362,659
Monro Inc
 
16,325
199,981
Murphy USA Inc
 
9,128
5,547,633
National Vision Holdings Inc (b)
 
43,845
966,344
O'Reilly Automotive Inc (b)
 
451,077
40,303,730
OneWater Marine Inc Class A (b)(c)
 
8,952
109,661
Penske Automotive Group Inc
 
10,005
2,174,187
Petco Health & Wellness Co Inc Class A (b)
 
47,816
133,407
RealReal Inc/The (b)
 
55,307
668,662
Revolve Group Inc Class A (b)
 
22,479
564,448
RH (b)
 
8,423
1,394,175
Ross Stores Inc
 
175,382
44,033,159
Sally Beauty Holdings Inc (b)
 
51,627
772,856
Shoe Station Group Inc (c)
 
9,664
146,893
Signet Jewelers Ltd
 
21,733
2,018,996
Sonic Automotive Inc Class A
 
7,113
651,409
Stitch Fix Inc Class A (b)
 
63,889
256,834
ThredUp Inc Class A (b)
 
56,808
328,350
TJX Cos Inc/The
 
601,713
94,673,523
Tractor Supply Co
 
285,908
8,797,389
Ulta Beauty Inc (b)
 
23,681
12,144,327
Upbound Group Inc
 
28,671
555,931
Urban Outfitters Inc (b)
 
27,803
2,062,427
Valvoline Inc (b)
 
68,948
2,648,293
Victoria's Secret & Co (b)
 
43,126
3,824,414
Warby Parker Inc Class A (b)(c)
 
54,656
1,458,769
Wayfair Inc Class A (b)
 
60,572
5,142,563
Williams-Sonoma Inc
 
64,099
14,656,877
Winmark Corp
 
1,661
553,944
Zumiez Inc (b)
 
6,881
135,349
 
 
 
622,576,603
Textiles, Apparel & Luxury Goods - 0.2%
 
 
 
Capri Holdings Ltd (b)
 
64,545
1,028,202
Carter's Inc
 
19,762
762,220
Columbia Sportswear Co
 
13,212
784,529
Crocs Inc (b)
 
27,230
3,485,712
Deckers Outdoor Corp (b)
 
77,172
7,476,423
Figs Inc Class A (b)
 
86,363
924,084
G-III Apparel Group Ltd
 
20,061
730,421
Kontoor Brands Inc
 
27,589
2,310,303
Lakeland Industries Inc
 
5,279
60,180
Levi Strauss & Co Class A
 
50,124
1,229,040
Lululemon Athletica Inc (b)
 
56,913
6,765,248
Movado Group Inc
 
8,595
328,157
NIKE Inc Class B
 
653,159
27,243,262
Oxford Industries Inc
 
7,631
289,368
PVH Corp
 
24,946
2,161,820
Ralph Lauren Corp Class A
 
21,038
8,001,593
Rocky Brands Inc
 
3,940
192,430
Steven Madden Ltd
 
39,619
1,825,644
Tapestry Inc
 
109,927
16,749,577
Under Armour Inc Class A (b)(c)
 
102,296
680,269
Under Armour Inc Class C (b)(c)
 
66,784
433,428
VF Corp
 
177,988
2,548,788
Wolverine World Wide Inc
 
44,542
876,587
 
 
 
86,887,285
TOTAL CONSUMER DISCRETIONARY
 
 
3,695,392,942
Consumer Staples - 4.4%
 
 
 
Beverages - 1.0%
 
 
 
Boston Beer Co Inc/The Class A (b)
 
4,099
750,937
Brown-Forman Corp Class A
 
30,652
895,651
Brown-Forman Corp Class B
 
90,937
2,612,620
Celsius Holdings Inc (b)(c)
 
85,853
2,507,766
Coca-Cola Co/The
 
2,106,745
184,529,795
Coca-Cola Consolidated Inc
 
30,746
5,777,173
Constellation Brands Inc Class A
 
76,101
9,910,633
Keurig Dr Pepper Inc
 
740,317
23,038,665
MGP Ingredients Inc
 
7,377
130,573
Molson Coors Beverage Co Class B
 
87,141
3,621,580
Monster Beverage Corp (b)
 
388,794
37,471,966
National Beverage Corp
 
12,737
402,999
PepsiCo Inc
 
743,686
103,788,818
Primo Brands Corp Class A
 
133,987
3,041,505
Vita Coco Co Inc/The (b)
 
23,826
1,571,086
 
 
 
380,051,767
Consumer Staples Distribution & Retail - 1.7%
 
 
 
Albertsons Cos Inc Class A
 
194,018
2,246,728
Andersons Inc/The
 
18,285
1,294,212
BJ's Wholesale Club Holdings Inc (b)
 
69,720
6,817,222
Casey's General Stores Inc
 
20,141
17,542,811
Chefs' Warehouse Inc/The (b)
 
19,664
2,268,242
Costco Wholesale Corp
 
241,380
229,767,208
Dollar General Corp
 
120,074
15,255,402
Dollar Tree Inc (b)
 
98,663
12,550,920
Grocery Outlet Holding Corp (b)(c)
 
54,355
499,522
Ingles Markets Inc Class A
 
7,339
660,583
Kroger Co/The
 
309,031
17,843,450
Maplebear Inc (b)
 
89,282
3,981,977
Natural Grocers by Vitamin Cottage Inc (c)
 
5,587
179,119
Performance Food Group Co (b)
 
85,648
9,797,275
PriceSmart Inc
 
13,858
2,687,205
Sprouts Farmers Market Inc (b)
 
51,030
4,447,775
Sysco Corp
 
260,317
22,189,421
Target Corp
 
247,114
35,705,502
United Natural Foods Inc (b)
 
33,173
1,686,184
US Foods Holding Corp (b)
 
119,949
12,065,670
Village Super Market Inc Class A
 
5,179
227,565
Walmart Inc
 
2,385,514
265,269,158
Weis Markets Inc
 
5,147
396,576
 
 
 
665,379,727
Food Products - 0.4%
 
 
 
Archer-Daniels-Midland Co
 
262,185
20,783,405
B&G Foods Inc
 
45,969
162,271
Beyond Meat Inc (b)(c)
 
280,604
158,822
Bunge Global SA
 
74,005
7,861,551
Cal-Maine Foods Inc
 
24,143
2,119,273
Campbell's Company/The (c)
 
107,024
2,352,388
Conagra Brands Inc
 
261,773
3,798,326
Darling Ingredients Inc (b)
 
86,240
5,229,594
Del Monte Corp
 
17,720
526,461
Flowers Foods Inc (c)
 
115,803
812,937
Freshpet Inc (b)
 
26,602
1,583,883
General Mills Inc
 
290,392
10,381,514
Hershey Co/The
 
80,754
14,135,988
Hormel Foods Corp
 
158,307
3,959,258
Ingredion Inc
 
34,312
3,412,672
J & J Snack Foods Corp
 
8,098
619,497
JM Smucker Co
 
58,146
6,934,492
John B Sanfilippo & Son Inc
 
4,924
407,510
Kraft Heinz Co/The
 
466,164
12,050,339
Lamb Weston Holdings Inc
 
75,138
3,948,502
Lifeway Foods Inc (b)
 
3,341
99,494
Mama's Creations Inc (b)
 
20,658
380,727
Marzetti Company/The
 
11,007
1,176,318
McCormick & Co Inc/MD
 
138,172
7,032,955
Mission Produce Inc (b)(c)
 
33,129
417,757
Mondelez International Inc
 
698,728
43,537,742
Pilgrim's Pride Corp
 
23,089
631,715
Post Holdings Inc (b)
 
21,523
1,967,417
Seaboard Corp
 
142
626,683
Seneca Foods Corp Class A (b)
 
2,590
428,619
Simply Good Foods Co/The (b)
 
45,033
458,436
Tootsie Roll Industries Inc Class A
 
11,018
429,922
Tyson Foods Inc Class A
 
153,745
8,911,060
Utz Brands Inc Class A
 
43,121
608,869
Vital Farms Inc (b)(c)
 
19,940
253,836
Westrock Coffee Co (b)
 
21,093
171,275
 
 
 
168,371,508
Household Products - 0.7%
 
 
 
Central Garden & Pet Co (b)
 
6,202
266,996
Central Garden & Pet Co Class A (b)
 
26,672
1,011,136
Church & Dwight Co Inc
 
129,063
12,752,715
Clorox Co/The
 
65,865
6,292,083
Colgate-Palmolive Co
 
435,595
39,769,824
Energizer Holdings Inc
 
32,962
691,213
Kimberly-Clark Corp
 
181,027
19,788,061
Oil-Dri Corp of America
 
5,592
554,782
Procter & Gamble Co/The
 
1,266,992
183,067,675
Reynolds Consumer Products Inc
 
29,456
734,633
Spectrum Brands Holdings Inc
 
12,451
1,105,275
WD-40 Co
 
7,280
1,653,579
 
 
 
267,687,972
Personal Care Products - 0.0%
 
 
 
BellRing Brands Inc (b)
 
63,045
781,128
Coty Inc Class A (b)
 
198,537
545,977
Edgewell Personal Care Co
 
25,019
680,267
elf Beauty Inc (b)(c)
 
32,134
2,663,587
Estee Lauder Cos Inc/The Class A
 
134,882
11,316,600
Herbalife Ltd (b)
 
56,177
697,718
Honest Co Inc/The (b)(c)
 
53,394
194,888
Interparfums Inc
 
9,852
1,227,067
Kenvue Inc
 
1,044,495
20,096,084
Medifast Inc (b)
 
4,771
46,898
Nature's Sunshine Products Inc (b)
 
7,480
150,722
Niagen Bioscience Inc (b)
 
29,352
99,797
Nu Skin Enterprises Inc Class A
 
26,565
137,872
USANA Health Sciences Inc (b)
 
7,586
167,726
 
 
 
38,806,331
Tobacco - 0.6%
 
 
 
Altria Group Inc
 
908,760
62,095,571
Philip Morris International Inc
 
848,208
161,855,051
Turning Point Brands Inc
 
10,557
787,658
Universal Corp/VA
 
14,124
744,193
 
 
 
225,482,473
TOTAL CONSUMER STAPLES
 
 
1,745,779,778
Energy - 3.5%
 
 
 
Energy Equipment & Services - 0.3%
 
 
 
Archrock Inc
 
95,105
3,400,955
Atlas Energy Solutions Inc (c)
 
42,310
456,525
Baker Hughes Co Class A
 
540,354
32,686,013
Bristow Group Inc
 
14,137
640,689
Cactus Inc Class A
 
37,748
2,453,997
Core Laboratories Inc
 
24,806
263,936
DMC Global Inc (b)
 
10,437
70,345
Energy Services of America Corp
 
8,200
117,916
Expro Ltd
 
54,807
874,172
Flowco Holdings Inc Class A
 
19,849
405,912
Forum Energy Technologies Inc (b)
 
6,342
397,453
Geospace Technologies Corp (b)
 
6,641
48,546
Halliburton Co
 
455,784
14,699,034
Helix Energy Solutions Group Inc (b)
 
73,471
698,709
Helmerich & Payne Inc
 
54,203
1,873,798
Innovex International Inc (b)
 
20,885
586,451
Kodiak Gas Services Inc
 
53,256
3,126,660
Liberty Energy Inc Class A
 
88,558
1,656,920
Nabors Industries Ltd (b)
 
8,034
688,273
National Energy Services Reunited Corp (b)
 
32,268
869,945
Natural Gas Services Group Inc
 
5,910
216,542
Noble Corp PLC
 
68,471
2,903,170
NOV Inc
 
194,626
3,781,583
Oceaneering International Inc (b)
 
54,069
2,637,486
Oil States International Inc (b)
 
29,794
241,629
Patterson-UTI Energy Inc
 
187,101
1,960,818
ProPetro Holding Corp (b)
 
53,716
596,248
Ranger Energy Services Inc Class A
 
8,310
133,376
RPC Inc
 
47,160
264,568
Select Water Solutions Inc Class A
 
65,007
1,203,930
SLB Ltd
 
814,175
40,374,938
Solaris Energy Infrastructure Inc Class A
 
29,793
1,531,658
TETRA Technologies Inc (b)
 
73,800
568,260
Tidewater Inc (b)(c)
 
25,110
1,884,757
Transocean Ltd (b)(c)
 
546,110
2,905,305
Valaris Ltd (b)
 
34,882
2,762,306
Weatherford International PLC
 
39,032
3,426,619
 
 
 
133,409,442
Oil, Gas & Consumable Fuels - 3.2%
 
 
 
Aemetis Inc (b)
 
31,477
47,530
Amplify Energy Corp (b)
 
18,581
72,652
Antero Midstream Corp
 
181,018
3,976,965
Antero Resources Corp (b)
 
159,856
5,777,196
APA Corp
 
193,027
7,203,768
California Resources Corp
 
42,508
2,236,771
Calumet Inc (b)
 
35,017
1,547,401
Centrus Energy Corp Class A (b)(c)
 
10,296
1,821,671
Cheniere Energy Inc
 
113,994
30,045,399
Chevron Corp
 
1,018,725
200,515,643
Chord Energy Corp
 
31,036
4,356,834
Clean Energy Fuels Corp (b)
 
95,088
184,471
CNX Resources Corp (b)
 
76,773
2,748,473
Comstock Inc (b)(c)
 
43,485
119,149
Comstock Resources Inc (b)(c)
 
43,830
581,186
ConocoPhillips
 
663,258
79,909,324
Core Natural Resources Inc
 
27,332
2,182,187
Crescent Energy Co Class A
 
133,798
1,534,663
CVR Energy Inc
 
16,442
585,664
Delek US Holdings Inc
 
33,258
2,257,220
Devon Energy Corp
 
627,473
28,317,856
Diamondback Energy Inc
 
105,817
21,475,560
Diversified Energy Co (c)
 
33,752
454,302
Dorian LPG Ltd
 
19,979
947,404
DT Midstream Inc
 
55,544
7,665,072
EOG Resources Inc
 
290,209
43,151,176
EQT Corp
 
340,329
18,136,132
Evolution Petroleum Corp (c)
 
19,600
72,128
Excelerate Energy Inc Class A
 
13,090
514,044
Expand Energy Corp
 
130,285
12,250,699
ExxonMobil Holdings Corp
 
2,255,596
350,609,843
Gevo Inc (b)
 
129,874
192,214
Granite Ridge Resources Inc
 
36,880
175,180
Green Plains Inc (b)
 
38,022
640,671
Gulfport Energy Corp (b)
 
7,921
1,278,212
HF Sinclair Corp
 
83,630
7,649,636
HighPeak Energy Inc Class A (c)
 
13,090
93,594
Infinity Natural Resources Inc Class A (b)(c)
 
11,257
148,142
International Seaways Inc
 
22,057
2,121,442
Kinder Morgan Inc
 
1,066,080
34,306,454
Kinetik Holdings Inc Class A
 
28,651
1,448,881
Lightbridge Corp (b)(c)
 
17,892
147,430
Magnolia Oil & Gas Corp Class A
 
100,715
2,589,383
Marathon Petroleum Corp
 
158,943
50,300,691
Matador Resources Co
 
63,327
3,159,384
Murphy Oil Corp
 
73,166
2,907,617
NextDecade Corp (b)(c)
 
76,362
513,153
Northern Oil & Gas Inc
 
56,814
1,201,616
Occidental Petroleum Corp
 
395,915
22,594,869
ONEOK Inc
 
343,254
31,170,896
Ovintiv Inc
 
150,563
9,404,165
Par Pacific Holdings Inc (b)
 
27,292
2,347,931
PBF Energy Inc Class A
 
45,558
3,292,932
Peabody Energy Corp
 
66,064
1,408,484
Permian Resources Holdings Inc/DE Class A
 
428,945
9,140,818
Phillips 66
 
218,316
46,213,131
PrimeEnergy Resources Corp (b)(c)
 
347
63,883
Range Resources Corp
 
128,084
5,141,292
REX American Resources Corp (b)
 
15,456
665,226
Riley Exploration Permian Inc
 
5,575
191,055
Ring Energy Inc (b)
 
87,716
108,768
Sable Offshore Corp (b)(c)
 
71,480
378,129
SandRidge Energy Inc
 
17,783
247,539
SM Energy Co
 
123,705
4,022,887
Summit Midstream Corp Class A (b)
 
6,009
185,197
Talos Energy Inc (b)
 
66,909
1,015,679
Targa Resources Corp
 
116,892
31,604,090
Texas Pacific Land Corp
 
31,526
12,691,737
Ur-Energy Inc (United States) (b)(c)
 
201,732
246,113
Uranium Energy Corp (b)(c)
 
266,275
2,556,240
VAALCO Energy Inc
 
58,477
311,682
Valero Energy Corp
 
161,658
50,582,788
Venture Global Inc Class A
 
280,089
3,747,591
Viper Energy Inc Class A
 
105,827
4,720,942
Vitesse Energy Inc (c)
 
18,719
292,016
W&T Offshore Inc
 
53,575
192,334
Williams Cos Inc/The
 
665,772
47,629,329
World Kinect Corp
 
28,034
1,117,435
 
 
 
1,233,457,261
TOTAL ENERGY
 
 
1,366,866,703
Financials - 12.8%
 
 
 
Banks - 3.9%
 
 
 
1st Source Corp
 
10,423
935,360
ACNB Corp
 
5,681
366,311
Amalgamated Financial Corp
 
11,268
556,414
Amerant Bancorp Inc Class A
 
19,999
591,970
Ameris Bancorp
 
34,008
2,965,838
Arrow Financial Corp
 
7,679
305,931
Associated Banc-Corp
 
87,932
2,715,340
Atlantic Union Bankshares Corp
 
78,090
3,313,359
Avidbank Holdings Inc (b)
 
3,957
129,038
Axos Financial Inc (b)
 
31,180
3,161,964
Banc of California Inc
 
74,711
1,430,716
BancFirst Corp
 
11,141
1,256,928
Bancorp Inc/The (b)
 
22,537
1,511,557
Bank First Corp
 
5,389
823,116
Bank of America Corp
 
3,551,838
220,036,364
Bank of Hawaii Corp
 
21,542
1,721,206
Bank of Marin Bancorp
 
8,775
255,879
Bank OZK
 
55,622
2,853,409
BankUnited Inc
 
39,359
1,836,097
Bankwell Financial Group Inc
 
3,699
252,087
Banner Corp
 
18,433
1,297,868
Bar Harbor Bankshares
 
9,013
357,906
Beacon Financial Corp
 
44,952
1,416,438
BOK Financial Corp
 
11,433
1,615,369
Bridgewater Bancshares Inc (b)
 
11,852
242,729
Burke & Herbert Financial Services Corp
 
9,620
704,665
Business First Bancshares Inc
 
17,228
548,195
Byline Bancorp Inc
 
18,935
743,577
California BanCorp
 
11,943
254,386
Camden National Corp
 
8,844
511,979
Capital Bancorp Inc
 
5,363
200,201
Capital City Bank Group Inc
 
7,278
377,510
Capitol Federal Financial Inc
 
62,497
552,473
Carter Bankshares Inc
 
11,660
403,203
Cathay General Bancorp
 
36,352
2,297,083
Central Pacific Financial Corp
 
13,541
533,515
ChoiceOne Financial Services Inc
 
7,547
256,824
Citigroup Inc
 
928,152
122,933,732
Citizens Financial Group Inc
 
229,902
16,472,478
City Holding Co
 
7,655
1,110,817
Civista Bancshares Inc
 
11,154
324,135
CNB Financial Corp/PA
 
18,018
632,432
Coastal Financial Corp/WA Class A (b)
 
7,072
289,881
CoastalSouth Bancshares Inc
 
3,909
106,598
Colony Bankcorp Inc
 
10,946
239,936
Columbia Banking System Inc
 
156,972
4,908,514
Columbia Financial Inc (c)
 
41,033
443,567
Commerce Bancshares Inc/MO
 
73,253
4,341,705
Commercial Bancgroup Inc
 
3,749
128,366
Community Financial System Inc
 
28,587
1,852,723
Community Trust Bancorp Inc
 
9,220
723,309
Community West Bancshares
 
12,045
301,486
Connectone Bancorp  Inc
 
27,154
894,453
Cullen/Frost Bankers Inc
 
34,251
5,697,311
Customers Bancorp Inc (b)
 
16,985
1,336,380
CVB Financial Corp
 
92,296
2,064,662
Dime Commercial Bancshares Inc
 
21,745
886,326
Eagle Bancorp Inc
 
14,322
397,436
East West Bancorp Inc
 
74,616
9,774,696
Eastern Bankshares Inc
 
115,150
2,643,844
Enterprise Financial Services Corp
 
19,486
1,292,117
Equity Bancshares Inc Class A
 
9,933
503,404
Esquire Financial Holdings Inc
 
3,562
460,282
Farmers National Banc Corp
 
29,479
467,537
FB Bancorp Inc (b)
 
8,520
131,677
FB Financial Corp
 
21,577
1,302,819
Fifth Third Bancorp
 
494,100
27,916,650
Financial Institutions Inc
 
10,949
453,946
First Bancorp/Southern Pines NC
 
22,416
1,409,294
First Busey Corp
 
45,989
1,419,221
First Business Financial Services Inc
 
4,411
309,696
First Citizens BancShares Inc/NC Class A
 
5,076
11,099,435
First Commonwealth Financial Corp
 
55,004
1,184,236
First Community Bankshares Inc
 
9,798
467,561
First Community Corp/SC
 
4,837
165,232
First Financial Bancorp
 
56,927
1,925,840
First Financial Bankshares Inc
 
70,342
2,471,818
First Financial Corp
 
6,213
500,457
First Hawaiian Inc
 
66,067
1,836,002
First Horizon Corp
 
259,037
6,641,709
First Internet Bancorp
 
4,503
132,658
First Interstate BancSystem Inc Class A
 
46,136
1,754,091
First Merchants Corp
 
35,055
1,512,273
First Mid Bancshares Inc
 
14,725
767,025
Firstsun Capital Bancorp (b)
 
15,171
586,814
Five Star Bancorp
 
10,363
489,030
Flagstar Financial Inc
 
164,110
2,333,644
FNB Corp/PA
 
192,334
3,635,113
Franklin Financial Services Corp
 
2,209
139,520
Fulton Financial Corp
 
102,671
2,497,985
GBank Financial Holdings Inc (b)
 
4,850
100,977
German American Bancorp Inc
 
19,819
1,008,391
Glacier Bancorp Inc
 
69,795
3,440,196
Great Southern Bancorp Inc
 
4,370
350,955
Hancock Whitney Corp
 
43,928
3,382,456
Hanmi Financial Corp
 
16,055
511,833
Heritage Financial Corp Wash
 
21,568
641,217
Hilltop Holdings Inc
 
21,702
855,927
Hingham Institution For Savings The
 
1,022
291,454
Home Bancorp Inc
 
3,540
252,544
Home BancShares Inc/AR
 
104,289
3,240,259
HomeTrust Bancshares Inc
 
6,981
357,357
Hope Bancorp Inc
 
68,272
956,491
Horizon Bancorp Inc/IN
 
26,838
548,837
Huntington Bancshares Inc/OH
 
1,104,998
18,829,166
Independent Bank Corp
 
26,190
2,195,508
Independent Bank Corp/MI
 
10,985
419,627
International Bancshares Corp
 
29,255
2,239,178
Investar Holding Corp
 
6,037
181,834
JPMorgan Chase & Co
 
1,457,986
512,904,895
Kearny Financial Corp/MD
 
31,875
305,681
KeyCorp
 
501,520
11,329,337
Lakeland Financial Corp
 
13,214
827,857
Live Oak Bancshares Inc
 
21,670
927,476
M&T Bank Corp
 
79,927
19,685,221
Mechanics Bancorp Class A
 
26,489
444,750
Mercantile Bank Corp
 
9,018
541,801
Meridian Corp
 
5,056
99,300
Metrocity Bankshares Inc
 
11,460
405,455
Metropolitan Bank Holding Corp
 
5,914
546,927
Mid Penn Bancorp Inc
 
14,111
541,016
Midland States Bancorp Inc
 
10,937
368,249
MVB Financial Corp
 
6,449
197,662
National Bank Holdings Corp Class A
 
24,313
1,050,078
NB Bancorp Inc
 
19,599
450,973
Nbt Bancorp Inc
 
28,272
1,488,521
Nicolet Bankshares Inc (c)
 
10,994
1,879,094
Northeast Bank
 
3,886
482,525
Northpointe Bancshares Inc
 
5,288
92,540
Northrim BanCorp Inc
 
12,096
320,665
Northwest Bancshares Inc
 
80,090
1,260,617
OceanFirst Financial Corp
 
48,016
927,189
Old National Bancorp/IN
 
185,920
4,952,909
Old Second Bancorp Inc
 
27,342
691,479
Origin Bancorp Inc
 
15,217
832,826
Orrstown Financial Services Inc
 
10,003
427,428
Park National Corp
 
9,162
1,907,070
Parke Bancorp Inc
 
4,983
170,169
Pathward Financial Inc
 
11,430
1,008,583
Peapack-Gladstone Financial Corp
 
8,584
394,692
Peoples Bancorp Inc/OH
 
21,231
884,483
Peoples Financial Services Corp
 
5,065
356,373
Pinnacle Financial Partners Inc
 
81,924
8,620,863
PNC Financial Services Group Inc/The
 
218,450
54,584,102
Preferred Bank/Los Angeles CA
 
5,976
624,133
Prosperity Bancshares Inc
 
54,554
4,084,458
Provident Financial Services Inc
 
75,781
1,870,275
QCR Holdings Inc
 
8,807
906,681
Red River Bancshares Inc
 
2,440
245,342
Regions Financial Corp
 
464,086
14,363,462
Renasant Corp
 
49,914
2,174,753
Republic Bancorp Inc/KY Class A
 
5,250
522,585
S&T Bancorp Inc
 
19,619
1,023,131
Seacoast Banking Corp of Florida
 
52,096
1,809,815
ServisFirst Bancshares Inc
 
27,247
2,438,607
Shore Bancshares Inc
 
16,501
404,275
Sierra Bancorp
 
6,313
257,318
Simmons First National Corp Class A
 
78,698
1,856,486
SmartFinancial Inc
 
7,758
406,519
South Plains Financial Inc
 
8,873
397,865
Southern Financial Capital Trust III (b)
 
5,312
331,469
Southern Missouri Bancorp Inc
 
5,029
389,295
Southside Bancshares Inc
 
17,995
585,017
SOUTHSTATE BANK CORP
 
52,855
5,554,532
Stock Yards Bancorp Inc
 
14,891
1,267,224
Texas Capital Bancshares Inc
 
23,583
2,331,180
TFS Financial Corp (c)
 
27,162
500,052
Third Coast Bancshares Inc (b)
 
9,394
411,833
Tompkins Financial Corp
 
6,896
688,497
Towne Bank/Portsmouth VA
 
46,519
1,763,535
TriCo Bancshares
 
17,336
997,513
Triumph Financial Inc (b)
 
12,543
952,390
Truist Financial Corp
 
678,548
35,175,928
TrustCo Bank Corp NY
 
9,530
543,019
Trustmark Corp
 
31,754
1,506,727
UMB Financial Corp
 
39,100
5,698,043
United Bankshares Inc/WV
 
74,557
3,612,287
United Community Banks Inc/GA
 
64,898
2,299,985
Unity Bancorp Inc
 
3,567
210,061
Univest Financial Corp
 
14,915
659,840
US Bancorp
 
844,896
53,236,897
Valley National Bancorp
 
258,135
3,688,749
WaFd Inc
 
40,026
1,471,756
Washington Trust Bancorp Inc
 
10,754
419,191
Webster Financial Corp
 
88,421
6,827,870
Wells Fargo & Co
 
1,665,202
143,956,713
WesBanco Inc
 
52,209
2,160,408
Westamerica BanCorp
 
12,802
770,040
Western Alliance Bancorp
 
55,446
4,462,849
Wintrust Financial Corp
 
36,481
5,820,179
WSFS Financial Corp
 
28,117
2,254,983
Zions Bancorp NA
 
80,719
5,626,114
 
 
 
1,514,917,572
Capital Markets - 3.1%
 
 
 
Acadian Asset Management Inc
 
14,290
1,235,942
Affiliated Managers Group Inc
 
14,333
5,256,341
AI Financial Corp (b)
 
65,825
27,106
Ameriprise Financial Inc
 
48,943
26,715,047
Ares Management Corp Class A
 
114,996
14,729,838
Artisan Partners Asset Management Inc Class A
 
39,353
1,544,212
Bakkt Inc Class A (b)(c)
 
18,265
130,959
Bank of New York Mellon Corp/The
 
373,443
58,380,344
BGC Group Inc Class A
 
199,977
2,303,735
Blackrock Inc
 
78,572
85,674,123
Blackstone Inc
 
404,442
51,667,466
Blue Owl Capital Inc Class A
 
349,151
3,596,255
BRC Group Holdings Inc (b)(c)
 
13,453
96,322
Carlyle Group Inc/The
 
140,660
6,473,173
Cboe Global Markets Inc
 
56,914
17,656,430
Charles Schwab Corp/The
 
889,465
93,607,297
CME Group Inc Class A
 
197,181
52,803,100
Cohen & Steers Inc
 
15,251
1,254,700
Coinbase Global Inc Class A (b)
 
121,015
17,699,654
DigitalBridge Group Inc Class A
 
89,980
1,427,983
Donnelley Financial Solutions Inc (b)
 
13,537
640,300
Evercore Inc Class A
 
21,138
6,775,997
FactSet Research Systems Inc
 
19,777
5,205,306
Federated Hermes Inc Class B
 
39,262
2,354,150
Franklin Resources Inc
 
166,496
5,637,555
Galaxy Digital Inc Class A (b)(c)
 
104,206
2,189,368
GCM Grosvenor Inc Class A
 
32,916
410,792
Goldman Sachs Group Inc/The
 
160,528
163,478,505
Hamilton Lane Inc Class A
 
22,343
1,986,516
Houlihan Lokey Inc Class A
 
29,427
3,692,794
Innventure Inc (b)(c)
 
26,505
85,345
Interactive Brokers Group Inc Class A
 
242,410
21,329,656
Intercontinental Exchange Inc
 
307,712
46,919,926
Invesco Ltd
 
242,515
7,178,444
Jefferies Financial Group Inc
 
88,769
4,846,787
KKR & Co Inc Class A
 
376,453
38,183,628
Lazard Inc
 
60,605
2,568,440
LPL Financial Holdings Inc
 
43,565
15,408,941
MarketAxess Holdings Inc
 
19,286
3,130,118
Miami International Holdings Inc
 
17,593
827,575
Moelis & Co Class A
 
40,474
2,714,996
Moody's Corp
 
81,767
39,115,697
Morgan Stanley
 
652,204
137,236,766
Morningstar Inc
 
11,936
2,298,516
MSCI Inc
 
39,614
22,668,715
Nasdaq Inc
 
242,968
22,885,156
Northern Trust Corp
 
100,881
18,379,509
Oppenheimer Holdings Inc Class A
 
3,309
352,872
Perella Weinberg Partners Class A
 
39,567
698,358
Piper Sandler Cos
 
36,617
2,775,569
PJT Partners Inc Class A (c)
 
14,076
2,369,132
Raymond James Financial Inc
 
94,489
16,628,174
Ridgepost Capital Inc Class A
 
34,003
293,106
Robinhood Markets Inc Class A (b)
 
430,744
37,285,201
S&P Global Inc
 
164,988
67,963,507
SEI Investments Co
 
49,634
5,111,309
State Street Corp
 
150,711
27,754,938
StepStone Group Inc Class A
 
40,386
1,771,330
Stifel Financial Corp
 
83,717
6,940,976
StoneX Group Inc (b)
 
57,464
4,400,018
T Rowe Price Group Inc
 
116,625
13,032,844
TPG Inc Class A
 
73,557
3,211,499
Tradeweb Markets Inc Class A
 
63,059
6,337,430
Victory Capital Holdings Inc Class A
 
25,069
2,482,583
Virtu Financial Inc Class A
 
44,349
2,604,617
Virtus Invt Partners Inc
 
3,418
544,658
WisdomTree Inc
 
68,901
1,334,612
 
 
 
1,224,322,258
Consumer Finance - 0.6%
 
 
 
Ally Financial Inc
 
153,408
6,647,169
American Express Co
 
289,677
97,403,891
Atlanticus Holdings Corp (b)
 
2,946
310,774
Bread Financial Holdings Inc
 
21,885
2,365,112
Capital One Financial Corp
 
338,851
70,823,248
Credit Acceptance Corp (b)
 
3,172
1,804,583
Dave Inc Class A (b)(c)
 
5,622
2,095,263
DeFi Development Corp (b)(c)
 
12,593
32,237
Encore Capital Group Inc (b)
 
11,577
1,089,164
Enova International Inc (b)
 
13,562
3,446,647
EZCORP Inc Class A (b)
 
31,418
935,314
Figure Technology Solutions Inc Class A
 
17,797
443,323
FirstCash Holdings Inc
 
20,932
4,270,337
Green Dot Corp Class A (b)
 
27,807
364,550
Happen Inc (b)
 
62,385
1,194,049
Jefferson Capital Inc
 
9,102
183,041
Lendingtree Inc (b)
 
6,066
193,263
Navient Corp
 
34,334
288,062
Nelnet Inc Class A
 
7,531
1,023,237
NerdWallet Inc Class A (b)
 
16,051
144,459
OneMain Holdings Inc
 
62,731
3,925,706
Oportun Financial Corp (b)
 
25,509
141,320
OppFi Inc Class A (b)(c)
 
21,560
202,017
PRA Group Inc (b)
 
20,531
356,623
PROG Holdings Inc
 
21,933
965,491
Regional Management Corp
 
4,796
154,767
SLM Corp
 
102,137
2,655,051
SoFi Technologies Inc Class A (b)(c)
 
697,126
11,370,125
Synchrony Financial
 
183,067
13,874,648
Upstart Holdings Inc (b)(c)
 
45,604
1,251,374
World Acceptance Corp (b)
 
1,477
265,579
 
 
 
230,220,424
Financial Services - 3.3%
 
 
 
Affirm Holdings Inc Class A (b)
 
160,030
11,443,745
Alerus Financial Corp
 
13,438
447,082
Apollo Global Management Inc
 
250,887
31,508,898
Berkshire Hathaway Inc Class B (b)
 
997,569
510,296,446
Better Home & Finance Holding Co Class A (b)(c)
 
5,997
140,930
Block Inc Class A (b)
 
291,740
23,700,958
Cannae Holdings Inc
 
26,253
381,981
Cass Information Systems Inc
 
6,315
353,135
Corebridge Financial Inc
 
131,269
4,094,280
Corpay Inc (b)
 
35,542
13,580,954
Enact Holdings Inc
 
15,185
718,554
Equitable Holdings Inc
 
154,169
7,346,153
Essent Group Ltd
 
49,924
3,292,987
Euronet Worldwide Inc (b)
 
19,408
1,384,373
Federal Agricultural Mortgage Corp Class C
 
5,054
1,150,290
Fidelity National Information Services Inc
 
281,317
12,594,562
Finance of America Cos Inc Class A (b)(c)
 
2,701
61,447
Fiserv Inc (b)
 
290,052
15,645,405
Flywire Corp (b)
 
60,055
961,481
Global Payments Inc
 
126,913
10,670,845
HA Sustainable Infrastructure Capital Inc
 
69,300
2,624,391
International Money Express Inc (b)
 
15,349
182,039
Jack Henry & Associates Inc
 
38,541
5,936,856
Jackson Financial Inc
 
38,386
4,693,840
loanDepot Inc Class A (b)(c)
 
103,245
101,304
Marqeta Inc Class A (b)
 
51,382
891,992
Mastercard Inc Class A
 
439,082
251,637,894
Merchants Bancorp/IN
 
15,633
862,629
MGIC Investment Corp
 
114,586
3,442,163
NCR Atleos Corp (b)
 
39,879
1,875,509
NewtekOne Inc
 
13,478
199,879
NMI Holdings Inc (b)
 
40,854
1,809,832
Onity Group Inc (b)
 
3,491
127,980
Paymentus Holdings Inc Class A (b)
 
31,705
1,081,141
Payoneer Global Inc (b)
 
146,827
1,052,750
PayPal Holdings Inc
 
479,911
27,455,708
Paysign Inc (b)
 
19,344
173,322
PennyMac Financial Services Inc
 
15,688
1,183,032
Priority Technology Holdings Inc (b)(c)
 
14,539
94,504
Radian Group Inc
 
72,056
2,809,463
Remitly Global Inc (b)
 
93,623
2,131,796
Repay Holdings Corp Class A (b)
 
36,716
146,864
Rocket Cos Inc Class A (b)
 
533,901
6,887,323
Sezzle Inc (b)(c)
 
9,116
1,410,701
Shift4 Payments Inc Class A (b)(c)
 
32,004
1,696,212
Toast Inc Class A (b)
 
256,325
8,271,608
UWM Holdings Corp Class A (c)
 
180,595
328,683
Velocity Financial Inc (b)
 
4,901
85,964
Visa Inc Class A
 
903,154
330,671,774
Voya Financial Inc
 
49,815
4,953,105
Walker & Dunlop Inc
 
18,651
926,768
Western Union Co/The (c)
 
172,784
1,098,906
WEX Inc (b)
 
18,773
3,509,800
 
 
 
1,320,130,238
Insurance - 1.8%
 
 
 
Abacus Global Management Inc Class A
 
17,166
176,981
AFLAC Inc
 
249,185
31,766,104
Allstate Corp/The
 
140,037
36,980,971
American Coastal Insurance Corp
 
16,213
172,182
American Financial Group Inc/OH
 
37,445
5,306,705
American Integrity Insurance Group Inc
 
3,413
69,249
American International Group Inc
 
288,751
22,690,054
Amerisafe Inc
 
10,771
312,790
Aon PLC
 
116,261
41,917,904
Arch Capital Group Ltd (b)
 
189,325
19,032,842
Arthur J Gallagher & Co
 
139,876
34,887,872
Assurant Inc
 
27,006
7,539,805
Assured Guaranty Ltd
 
22,495
1,860,786
Axis Capital Holdings Ltd
 
40,545
4,270,199
Baldwin Insurance Group Inc/The Class A (b)
 
43,419
1,204,443
Bowhead Specialty Holdings Inc (b)
 
9,084
277,880
Brighthouse Financial Inc (b)
 
31,036
1,921,439
Brown & Brown Inc
 
158,804
11,179,802
Chubb Ltd
 
196,082
68,762,036
Cincinnati Financial Corp
 
84,345
14,986,420
CNO Financial Group Inc
 
50,540
2,784,249
Donegal Group Inc Class A
 
12,982
256,265
Employers Holdings Inc
 
9,935
502,214
Erie Indemnity Co Class A
 
13,774
3,333,859
Everest Group Ltd
 
21,519
8,051,334
F&G Annuities & Life Inc
 
20,357
581,599
Fidelity National Financial Inc
 
137,562
7,096,824
First American Financial Corp
 
55,359
4,151,371
Genworth Financial Inc Class A (b)
 
206,717
2,032,028
Globe Life Inc
 
42,268
7,703,343
Goosehead Insurance Inc Class A (b)
 
12,791
793,042
Greenlight Capital Re Ltd Class A (b)
 
13,747
228,888
Hagerty Inc Class A (b)(c)
 
20,309
234,163
Hanover Insurance Group Inc/The
 
19,150
4,454,865
Hartford Insurance Group Inc/The
 
149,078
21,155,659
HCI Group Inc
 
5,723
1,001,582
Heritage Insurance Holdings Inc (b)
 
12,130
356,258
Hippo Holdings Inc (b)
 
11,644
366,204
Horace Mann Educators Corp
 
21,948
1,143,710
Investors Title Co
 
875
253,129
James River Group Holdings Inc
 
23,969
107,620
Kemper Corp
 
32,699
927,998
Kingstone Cos Inc
 
6,150
122,816
Kinsale Capital Group Inc
 
11,999
4,276,684
Lemonade Inc (b)
 
35,449
1,712,541
Lincoln National Corp
 
93,207
4,251,171
Loews Corp
 
91,754
10,644,382
Markel Group Inc (b)
 
6,799
12,798,030
Marsh & McLennan Cos Inc
 
262,268
49,749,617
MBIA Inc (b)
 
23,222
118,896
Mercury General Corp
 
14,633
1,567,487
MetLife Inc
 
294,410
28,301,633
Neptune Insurance Holdings Inc Class A
 
15,081
478,219
Octave Specialty Group Inc (b)
 
23,253
125,566
Old Republic International Corp
 
121,664
5,257,101
Oscar Health Inc Class A (b)
 
119,852
3,741,779
Palomar Hldgs Inc (b)
 
14,314
1,915,070
Primerica Inc
 
16,924
5,415,003
Principal Financial Group Inc
 
106,986
12,164,308
Progressive Corp/The
 
317,993
67,230,080
Prudential Financial Inc
 
189,068
23,081,421
Reinsurance Group of America Inc
 
35,689
8,452,940
RLI Corp
 
49,772
3,048,037
Root Inc/OH Class A (b)
 
7,605
411,811
Ryan Specialty Holdings Inc Class A
 
61,978
2,736,948
Safety Insurance Group Inc
 
8,149
842,525
Selective Insurance Group Inc
 
32,446
3,075,556
Selectquote Inc (b)
 
74,846
55,909
SiriusPoint Ltd (b)
 
56,130
1,327,475
Skyward Specialty Insurance Group Inc (b)
 
20,378
1,221,661
Slide Insurance Holdings Inc (b)
 
11,810
235,846
Stewart Information Services Corp
 
16,513
1,116,114
Tiptree Inc Class A
 
12,436
220,988
Travelers Companies Inc/The
 
115,609
43,279,385
Trupanion Inc (b)
 
18,228
446,404
TWFG Inc Class A (b)
 
7,124
190,923
United Fire Group Inc
 
11,951
613,803
Universal Insurance Holdings Inc
 
13,484
589,386
Unum Group
 
80,107
6,898,014
W R Berkley Corp
 
159,792
11,591,312
White Mountains Insurance Group Ltd
 
1,322
2,773,199
Willis Towers Watson PLC
 
51,496
17,298,536
 
 
 
712,211,244
Mortgage Real Estate Investment Trusts (REITs) - 0.1%
 
 
 
Adamas Trust Inc
 
45,324
411,089
AGNC Investment Corp
 
624,741
6,659,739
Annaly Capital Management Inc
 
398,523
9,054,444
Arbor Realty Trust Inc (c)
 
105,563
528,871
Ares Commercial Real Estate Corp
 
29,861
127,208
ARMOUR Residential REIT Inc
 
67,837
1,117,275
Blackstone Mortgage Trust Inc Class A
 
86,103
1,251,938
Brightspire Capital Inc Class A
 
67,658
338,967
Chimera Investment Corp
 
44,867
559,940
Claros Mortgage Trust Inc (b)
 
68,232
120,771
Dynex Capital Inc
 
117,716
1,496,170
Ellington Financial Inc
 
68,636
911,486
Franklin BSP Realty Trust Inc
 
48,380
367,204
Invesco Mortgage Capital Inc
 
52,796
391,218
KKR Real Estate Select Trust Inc (c)
 
28,453
198,033
Ladder Capital Corp Class A
 
60,461
578,007
MFA Financial Inc
 
55,251
503,337
Orchid Island Capital Inc
 
112,146
727,828
Pennymac Mortgage Investment Trust
 
45,768
431,592
Ready Capital Corp
 
77,315
110,560
Redwood Trust Inc
 
78,985
360,961
Rithm Capital Corp
 
302,224
2,985,973
Starwood Property Trust Inc
 
189,206
3,023,512
TPG Mortgage Investment Trust Inc
 
18,026
125,641
TPG RE Finance Trust Inc
 
41,553
331,177
Two Harbors Investment Corp
 
56,627
684,620
 
 
 
33,397,561
TOTAL FINANCIALS
 
 
5,035,199,297
Health Care - 9.6%
 
 
 
Biotechnology - 2.2%
 
 
 
4D Molecular Therapeutics Inc (b)
 
21,841
222,341
AbbVie Inc
 
961,501
241,279,061
Abeona Therapeutics Inc (b)(c)
 
26,610
170,836
Absci Corp (b)(c)
 
74,886
582,613
ACADIA Pharmaceuticals Inc (b)
 
68,489
1,771,810
Achieve Life Sciences Inc (b)(c)
 
46,642
299,442
ADMA Biologics Inc (b)
 
125,594
1,062,525
Agenus Inc (b)(c)
 
23,081
173,108
Agios Pharmaceuticals Inc (b)
 
32,038
961,781
Akebia Therapeutics Inc (b)
 
139,093
183,603
Aldeyra Therapeutics Inc (b)
 
27,322
42,076
Alector Inc (b)
 
46,002
69,463
Alkermes PLC (b)
 
90,871
4,451,770
Allogene Therapeutics Inc (b)
 
162,243
305,017
Alnylam Pharmaceuticals Inc (b)
 
72,629
14,926,712
Altimmune Inc (b)(c)
 
113,443
322,178
Amgen Inc
 
293,710
113,125,344
AnaptysBio Inc (b)
 
11,281
601,954
Anavex Life Sciences Corp (b)
 
49,361
135,743
Anika Therapeutics Inc (b)
 
7,602
146,567
Annexon Inc (b)
 
84,769
431,898
Apogee Therapeutics Inc (b)
 
30,325
4,066,279
Arbutus Biopharma Corp (b)(c)
 
87,294
378,856
Arcturus Therapeutics Holdings Inc (b)(c)
 
14,153
81,521
Arcus Biosciences Inc (b)
 
47,327
1,334,148
Arcutis Biotherapeutics Inc (b)
 
61,645
1,655,785
Ardelyx Inc (b)
 
134,863
667,572
ArriVent Biopharma Inc (b)
 
19,597
584,383
Arrowhead Pharmaceuticals Inc (b)
 
76,828
6,503,490
ARS Pharmaceuticals Inc (b)(c)
 
34,828
178,668
Assembly Biosciences Inc (b)
 
5,773
144,960
Atrium Therapeutics Inc
 
8,249
93,626
aTyr Pharma Inc (b)(c)
 
43,133
20,950
Aura Biosciences Inc (b)
 
57,210
401,042
Beam Therapeutics Inc (b)
 
53,907
1,375,707
Bicara Therapeutics Inc (b)
 
23,980
649,858
BioCryst Pharmaceuticals Inc (b)
 
134,245
1,205,520
Biogen Inc (b)
 
80,475
16,332,401
Biohaven Ltd (b)
 
71,060
959,310
BioMarin Pharmaceutical Inc (b)
 
105,575
6,336,612
Biomea Fusion Inc (b)
 
28,793
33,688
Black Diamond Therapeutics Inc (b)
 
23,643
39,957
Bridgebio Pharma Inc (b)
 
93,743
7,507,877
C4 Therapeutics Inc (b)
 
48,266
167,966
Cabaletta Bio Inc (b)
 
93,819
251,435
Candel Therapeutics Inc (b)
 
32,486
325,185
Capricor Therapeutics Inc (b)(c)
 
28,172
108,462
Cardiff Oncology Inc (b)(c)
 
30,591
26,168
CareDx Inc (b)
 
27,993
1,223,574
Caribou Biosciences Inc (b)
 
43,719
63,830
Carisma Therapeutics Inc rights (b)(d)
 
58,324
0
Cartesian Therapeutics Inc rights (b)(d)
 
43,098
12,498
Celcuity Inc (b)
 
20,572
1,777,009
Celldex Therapeutics Inc (b)
 
43,520
1,656,371
CG oncology Inc (b)
 
40,644
2,893,446
Cogent Biosciences Inc (b)
 
92,455
3,599,273
Coherus Oncology Inc (b)
 
83,840
118,214
Compass Therapeutics Inc (b)(c)
 
78,857
150,617
Corbus Pharmaceuticals Holdings Inc (b)
 
8,208
73,626
Corvus Pharmaceuticals Inc (b)
 
39,905
529,140
Cullinan Therapeutics Inc (b)
 
28,834
475,761
Cytokinetics Inc (b)
 
73,532
5,671,523
CytomX Therapeutics Inc (b)
 
95,714
296,713
Denali Therapeutics Inc (b)
 
82,232
1,892,981
Design Therapeutics Inc (b)
 
18,524
225,622
DiaMedica Therapeutics Inc (b)(c)
 
15,861
100,559
Dianthus Therapeutics Inc (b)
 
21,644
2,314,176
Disc Medicine Inc (b)
 
17,566
1,352,582
Dyne Therapeutics Inc (b)
 
80,473
2,026,310
Editas Medicine Inc (b)
 
53,033
136,825
Eledon Pharmaceuticals Inc (b)(c)
 
38,593
130,444
Emergent BioSolutions Inc (b)(c)
 
28,102
202,896
Enanta Pharmaceuticals Inc (b)
 
13,872
174,787
Entrada Therapeutics Inc (b)
 
11,691
79,382
Erasca Inc (b)
 
129,879
2,357,304
Evommune Inc
 
5,757
64,766
Exelixis Inc (b)
 
137,123
7,271,633
Fate Therapeutics Inc (b)
 
53,650
131,443
First Tracks Biotherapeutics Inc
 
14,640
644,746
Galectin Therapeutics Inc (b)
 
26,705
79,314
Geron Corp (b)
 
287,846
371,321
Gilead Sciences Inc
 
675,748
87,989,147
Gossamer Bio Inc (b)(c)
 
99,976
16,946
GRAIL Inc (b)
 
17,848
1,223,659
Halozyme Therapeutics Inc (b)
 
64,641
5,335,468
Heron Therapeutics Inc (b)(c)
 
88,576
43,951
Humacyte Inc Class A (b)(c)
 
91,962
60,088
Ideaya Biosciences Inc (b)
 
51,296
1,821,008
Immunic Inc (b)(c)
 
8,037
112,277
ImmunityBio Inc (b)(c)
 
175,955
1,261,597
Immunome Inc (b)
 
58,491
1,331,255
Immunovant Inc (b)
 
41,839
1,615,822
Incyte Corp (b)
 
91,453
10,930,463
Inhibrx Biosciences Inc (b)
 
5,146
422,229
Insmed Inc (b)
 
118,109
11,645,547
Intellia Therapeutics Inc (b)(c)
 
76,633
818,440
Ionis Pharmaceuticals Inc (b)
 
89,520
4,634,450
Iovance Biotherapeutics Inc (b)
 
204,521
832,400
Ironwood Pharmaceuticals Inc Class A (b)
 
79,755
337,364
Jade Biosciences Inc (b)
 
23,792
469,892
Janux Therapeutics Inc (b)
 
25,904
392,964
Keros Therapeutics Inc (b)
 
10,654
107,286
Kodiak Sciences Inc (b)
 
22,466
934,136
Korro Bio Inc (b)
 
7,460
77,360
Krystal Biotech Inc (b)
 
14,333
4,889,273
Kura Oncology Inc (b)
 
47,299
426,164
Kymera Therapeutics Inc (b)
 
34,321
3,548,791
Kyverna Therapeutics Inc (b)
 
20,135
146,986
Larimar Therapeutics Inc (b)
 
35,912
137,184
Lexeo Therapeutics Inc (b)
 
33,665
139,036
Lineage Cell Therapeutics Inc (b)
 
128,741
139,040
Lyell Immunopharma Inc (b)
 
7,428
96,118
MacroGenics Inc (b)
 
30,003
110,711
Madrigal Pharmaceuticals Inc (b)
 
10,290
4,808,723
MannKind Corp (b)
 
166,811
652,231
MapLight Therapeutics Inc
 
10,157
132,244
MiMedx Group Inc (b)
 
64,724
267,310
Mineralys Therapeutics Inc (b)
 
34,871
889,908
Mirum Pharmaceuticals Inc (b)
 
26,122
2,767,626
Moderna Inc (b)
 
192,513
10,553,563
Monopar Therapeutics Inc (b)
 
2,123
230,027
Monte Rosa Therapeutics Inc (b)
 
37,397
617,798
Myriad Genetics Inc (b)
 
49,732
142,234
Natera Inc (b)
 
78,046
20,897,597
Neurocrine Biosciences Inc (b)
 
54,791
9,139,139
Neurogene Inc (b)
 
5,853
192,505
Nkarta Inc (b)
 
28,950
60,506
Novavax Inc (b)(c)
 
89,983
658,676
Nurix Therapeutics Inc (b)
 
52,316
1,214,254
Ocugen Inc (b)(c)
 
175,442
215,794
Olema Pharmaceuticals Inc (b)
 
31,720
363,194
OmniAb Operations Inc $12.5 earnout shares (b)(d)
 
2,111
802
OmniAb Operations Inc $15 earnout shares (b)(d)
 
2,111
549
Organogenesis Holdings Inc Class A (b)
 
38,700
91,719
ORIC Pharmaceuticals Inc (b)
 
46,000
509,220
Oruka Therapeutics Inc (b)
 
27,467
2,650,840
Palvella Therapeutics Inc (b)
 
5,426
754,431
PDL BioPharma Inc (b)(d)
 
20,940
0
Perspective Therapeutics Inc (b)(c)
 
44,085
128,287
Praxis Precision Medicines Inc (b)
 
14,222
4,377,958
Precigen Inc (b)
 
96,158
602,911
Prime Medicine Inc (b)(c)
 
56,650
165,418
ProKidney Corp Class A (b)(c)
 
53,769
82,804
Protagonist Therapeutics Inc (b)
 
33,112
4,524,424
Protara Therapeutics Inc (b)
 
26,054
102,132
PTC Therapeutics Inc (b)
 
44,949
3,056,981
Puma Biotechnology Inc (b)
 
20,880
165,578
Recursion Pharmaceuticals Inc Class A (b)(c)
 
279,305
837,915
Regeneron Pharmaceuticals Inc
 
54,406
41,491,648
REGENXBIO Inc (b)
 
25,784
249,847
Relay Therapeutics Inc (b)
 
92,307
1,738,141
Replimune Group Inc (b)(c)
 
40,679
455,605
Revolution Medicines Inc (b)
 
108,686
20,381,886
Rezolute Inc (b)
 
46,922
221,472
Rhythm Pharmaceuticals Inc (b)
 
33,834
3,358,025
Rigel Pharmaceuticals Inc (b)
 
10,030
369,204
Rocket Pharmaceuticals Inc (b)
 
45,953
142,914
Roivant Sciences Ltd (b)
 
245,460
8,323,549
Sagimet Biosciences Inc Class A (b)
 
32,776
233,037
Sana Biotechnology Inc (b)
 
91,087
285,102
Sarepta Therapeutics Inc (b)
 
57,482
854,183
Savara Inc (b)
 
72,886
397,958
Scholar Rock Holding Corp (b)
 
53,914
2,549,863
SELLAS Life Sciences Group Inc (b)(c)
 
100,879
1,009,799
Sionna Therapeutics Inc (b)
 
7,675
361,723
Solid Biosciences Inc (b)
 
38,419
309,657
Spyre Therapeutics Inc (b)
 
41,946
4,124,550
Stoke Therapeutics Inc (b)
 
30,924
892,467
Summit Therapeutics Inc (b)(c)
 
84,610
1,101,622
Syndax Pharmaceuticals Inc (b)
 
48,248
919,124
Tango Therapeutics Inc (b)
 
66,969
1,820,217
Taysha Gene Therapies Inc (b)
 
146,036
855,771
Tectonic Therapeutic Inc (b)(c)
 
5,330
149,400
TG Therapeutics Inc (b)
 
72,000
3,746,160
Tonix Pharmaceuticals Holding Corp (b)
 
9,314
93,233
Travere Therapeutics Inc (b)
 
50,357
2,814,453
Twist Bioscience Corp (b)
 
33,784
3,092,925
Tyra Biosciences Inc (b)
 
16,597
529,112
Ultragenyx Pharmaceutical Inc (b)
 
54,176
1,349,524
United Therapeutics Corp (b)
 
23,134
11,976,703
Upstream Bio Inc (b)
 
17,310
109,226
Vanda Pharmaceuticals Inc (b)
 
31,092
158,569
Vaxcyte Inc (b)
 
71,406
3,861,636
Vera Therapeutics Inc Class A (b)
 
35,648
1,144,301
Veracyte Inc (b)
 
43,353
2,008,111
Verastem Inc (b)
 
45,927
266,377
Vericel Corp (b)
 
27,682
1,272,265
Vertex Pharmaceuticals Inc (b)
 
138,165
65,918,522
Viking Therapeutics Inc (b)
 
63,115
2,003,270
Vir Biotechnology Inc (b)
 
67,746
586,680
Viridian Therapeutics Inc (b)
 
54,402
1,029,286
Voyager Therapeutics Inc (b)
 
26,647
80,740
Xencor Inc (b)
 
40,047
809,350
Zenas Biopharma Inc (b)
 
20,849
655,493
 
 
 
880,801,004
Health Care Equipment & Supplies - 1.5%
 
 
 
Abbott Laboratories
 
947,735
100,175,590
Align Technology Inc (b)
 
36,363
6,151,165
Alphatec Holdings Inc (b)
 
64,523
614,259
AngioDynamics Inc (b)
 
22,195
328,264
Anteris Technologies Global Corp (b)
 
40,964
321,158
Artivion Inc (b)
 
23,094
619,612
AtriCure Inc (b)
 
27,457
1,036,776
Axogen Inc (b)
 
28,899
1,219,827
Baxter International Inc
 
282,023
7,377,722
Becton Dickinson & Co
 
149,979
24,839,522
Beta Bionics Inc (b)(c)
 
22,074
283,209
Bioventus Inc (b)(c)
 
25,313
333,372
Boston Scientific Corp (b)
 
808,847
37,797,420
Butterfly Network Inc Class A (b)
 
116,550
828,671
Ceribell Inc (b)
 
11,385
201,401
Cerus Corp (b)
 
108,601
233,492
ClearPoint Neuro Inc (b)(c)
 
16,408
245,136
CONMED Corp
 
16,318
755,523
Cooper Cos Inc/The (b)
 
106,240
7,683,277
CVRx Inc (b)(c)
 
8,243
42,657
Delcath Systems Inc (b)
 
14,284
174,550
DENTSPLY SIRONA Inc
 
108,616
1,452,196
Dexcom Inc (b)
 
209,921
17,517,907
Edwards Lifesciences Corp (b)
 
313,390
26,973,477
Electromed Inc (b)
 
3,785
154,163
Embecta Corp (c)
 
34,051
123,946
Enovis Corp (b)
 
31,173
908,693
Envista Holdings Corp (b)
 
88,143
2,407,185
GE HealthCare Technologies Inc
 
247,725
16,850,255
Glaukos Corp (b)
 
31,944
5,325,704
Globus Medical Inc Class A (b)
 
61,519
4,847,082
Haemonetics Corp (b)
 
25,152
2,151,502
ICU Medical Inc (b)
 
13,675
2,304,374
IDEXX Laboratories Inc (b)
 
42,953
24,013,734
Inogen Inc (b)
 
11,633
75,033
Inspire Medical Systems Inc (b)
 
14,356
720,815
Insulet Corp (b)
 
37,729
6,238,490
Integer Holdings Corp (b)
 
18,371
2,226,749
Integra LifeSciences Holdings Corp (b)
 
36,244
603,463
Intuitive Surgical Inc (b)
 
192,719
68,093,404
iRadimed Corp
 
4,379
397,876
iRhythm Technologies Inc (b)
 
17,921
2,099,804
Kestra Medical Technologies Ltd (b)
 
10,410
237,660
Lantheus Holdings Inc (b)
 
35,356
3,522,872
LeMaitre Vascular Inc
 
11,390
1,154,035
LivaNova PLC (b)
 
29,856
2,392,660
Medline Inc Class A (c)
 
219,351
8,616,107
Medtronic PLC
 
698,472
59,642,524
Merit Medical Systems Inc (b)
 
32,272
2,743,443
Microbot Medical Inc (b)(c)
 
34,564
59,450
Neogen Corp (b)
 
119,124
1,434,253
NeuroPace Inc (b)
 
13,049
168,202
Novocure Ltd (b)
 
57,905
859,310
Omnicell Inc (b)
 
24,826
878,096
OraSure Technologies Inc (b)
 
37,455
151,693
Orthofix Medical Inc (b)
 
21,334
251,741
OrthoPediatrics Corp (b)
 
9,035
182,417
Penumbra Inc (b)
 
21,382
6,867,685
Procept Biorobotics Corp (b)(c)
 
31,266
582,173
Pulse Biosciences Inc (b)(c)
 
10,108
355,094
QuidelOrtho Corp (b)
 
36,819
617,455
ResMed Inc
 
78,996
16,666,576
RxSight Inc (b)
 
17,900
107,579
SANUWAVE Health Inc (b)(c)
 
3,564
21,989
Senseonics Holdings Inc (b)(c)
 
27,775
139,708
SI-BONE Inc (b)
 
21,998
390,684
Sight Sciences Inc (b)
 
17,823
93,749
Solventum Corp (b)
 
80,178
6,850,408
STAAR Surgical Co (b)
 
27,009
657,939
Stereotaxis Inc (b)
 
43,108
54,315
STERIS PLC
 
53,444
12,206,610
Streamex Corp (b)(c)
 
46,296
32,865
Stryker Corp
 
187,733
61,144,638
Tactile Systems Technology Inc (b)
 
12,334
347,449
Tandem Diabetes Care Inc (b)
 
37,313
727,604
Teleflex Inc
 
24,050
3,287,876
TransMedics Group Inc (b)
 
18,764
1,435,634
UFP Technologies Inc (b)(c)
 
4,216
1,074,152
Varex Imaging Corp (b)
 
22,659
253,554
Zimmer Biomet Holdings Inc
 
105,180
9,879,557
 
 
 
582,838,211
Health Care Providers & Services - 1.7%
 
 
 
Acadia Healthcare Co Inc (b)
 
50,039
1,482,155
Accendra Health Inc (b)
 
39,851
123,139
AdaptHealth Corp (b)
 
59,176
639,101
Addus HomeCare Corp (b)
 
9,874
1,140,250
agilon health Inc (b)
 
6,796
622,582
Alignment Healthcare Inc (b)
 
89,599
1,330,545
AMN Healthcare Services Inc (b)
 
21,007
706,465
Ardent Health Inc (b)
 
12,819
136,778
Astrana Health Inc (b)
 
23,003
817,987
Aveanna Healthcare Holdings Inc (b)
 
40,461
379,929
BrightSpring Health Services Inc (b)
 
86,006
5,135,418
Brookdale Senior Living Inc (b)
 
129,434
1,889,736
Cardinal Health Inc
 
127,458
29,319,164
Castle Biosciences Inc (b)
 
16,773
469,644
Cencora Inc
 
105,889
32,967,481
Centene Corp (b)
 
255,216
15,879,564
Chemed Corp
 
7,254
3,860,942
Cigna Group/The
 
144,018
40,188,223
Clover Health Investments Corp Class A (b)
 
220,363
918,914
Community Health Systems Inc (b)
 
60,886
169,872
Concentra Group Holdings Parent Inc
 
64,424
2,039,020
CorVel Corp (b)
 
16,928
1,016,696
CVS Health Corp
 
694,505
72,527,157
DaVita Inc (b)
 
17,411
4,180,207
Elevance Health Inc
 
118,221
44,432,181
Encompass Health Corp
 
54,155
6,014,996
Ensign Group Inc/The
 
31,604
5,630,569
Fulgent Genetics Inc (b)
 
10,503
173,825
GeneDx Holdings Corp Class A (b)
 
12,035
783,599
Guardant Health Inc (b)
 
72,228
11,700,214
Guardian Pharmacy Services Inc Class A (b)
 
15,564
615,245
HCA Healthcare Inc
 
84,525
34,028,920
HealthEquity Inc (b)
 
45,826
4,610,554
Henry Schein Inc (b)
 
52,519
4,503,504
Hims & Hers Health Inc Class A (b)(c)
 
115,061
3,195,244
Hinge Health Inc Class A (b)
 
17,274
1,290,541
Humana Inc
 
65,379
23,788,803
Infusystem Holdings Inc (b)
 
10,323
94,351
Labcorp Holdings Inc
 
44,657
13,807,944
LifeStance Health Group Inc (b)
 
125,693
1,317,263
McKesson Corp
 
65,408
56,001,676
Molina Healthcare Inc (b)
 
28,286
5,533,307
National HealthCare Corp
 
6,805
1,538,134
NeoGenomics Inc (b)
 
70,919
1,084,352
NRC Health Class A
 
7,042
137,389
Nutex Health Inc (b)
 
2,754
406,022
Oncology Institute Inc/The (b)
 
37,338
181,463
OPKO Health Inc (b)
 
222,565
293,786
Option Care Health Inc (b)
 
85,043
1,958,540
PACS Group Inc (b)
 
24,030
1,105,620
Pediatrix Medical Group Inc (b)
 
43,490
1,152,920
Pennant Group Inc/The (b)
 
18,790
757,613
Privia Health Group Inc (b)
 
65,572
1,552,089
Progyny Inc (b)
 
39,491
1,229,355
Quest Diagnostics Inc
 
60,254
14,039,785
RadNet Inc (b)
 
38,594
2,461,525
Sonida Senior Living Inc (b)
 
17,231
695,443
Strata Critical Medical Inc (b)
 
10,503
52,724
Surgery Partners Inc (b)
 
41,210
634,634
Talkspace Inc Class A (b)
 
76,473
399,189
Tenet Healthcare Corp (b)
 
46,914
11,952,749
UnitedHealth Group Inc
 
494,240
204,813,056
Universal Health Services Inc Class B
 
28,907
4,869,095
US Physical Therapy Inc
 
8,172
646,078
Viemed Healthcare Inc (b)
 
17,967
209,675
 
 
 
687,634,941
Health Care Technology - 0.1%
 
 
 
Certara Inc (b)(c)
 
63,215
512,042
Claritev Corp Class A (b)
 
4,083
92,725
Doximity Inc Class A (b)
 
73,112
1,528,772
Evolent Health Inc Class A (b)
 
59,199
182,925
GoodRx Holdings Inc Class A (b)(c)
 
50,755
155,818
Health Catalyst Inc (b)
 
37,546
78,471
HealthStream Inc
 
12,649
354,678
HeartFlow Inc (b)
 
9,740
245,740
LifeMD Inc (b)(c)
 
22,372
78,302
OptimizeRx Corp (b)
 
7,973
48,236
Phreesia Inc (b)
 
30,138
323,381
Schrodinger Inc/United States (b)
 
33,541
507,811
Simulations Plus Inc (b)(c)
 
8,665
157,963
Teladoc Health Inc (b)(c)
 
99,799
669,651
Veeva Systems Inc Class A (b)
 
81,860
16,681,431
Waystar Holding Corp (b)
 
62,627
1,322,056
 
 
 
22,940,002
Life Sciences Tools & Services - 0.9%
 
 
 
10X Genomics Inc Class A (b)
 
63,341
2,994,129
Adaptive Biotechnologies Corp (b)
 
67,116
1,514,808
Agilent Technologies Inc
 
153,857
21,289,193
Avantor Inc (b)
 
373,034
5,140,409
Azenta Inc (b)
 
22,309
627,552
Bio-Rad Laboratories Inc Class A (b)
 
9,843
3,203,700
Bio-Techne Corp
 
85,267
6,146,898
BioLife Solutions Inc (b)
 
21,170
662,198
Bruker Corp
 
60,683
3,813,320
Charles River Laboratories International Inc (b)
 
26,148
6,079,671
Codexis Inc (b)
 
45,287
63,402
CryoPort Inc (b)
 
27,248
411,172
Cytek Biosciences Inc (b)
 
59,852
252,575
Danaher Corp
 
342,777
66,834,660
Fortrea Holdings Inc (b)
 
51,587
988,923
Ginkgo Bioworks Holdings Inc Class A (b)(c)
 
26,894
217,572
Illumina Inc (b)
 
82,334
16,886,703
IQVIA Holdings Inc (b)
 
90,887
21,360,263
Lifecore Biomedical Inc (b)
 
20,078
88,745
Maravai LifeSciences Holdings Inc Class A (b)
 
67,668
444,579
MaxCyte Inc (b)
 
56,050
58,853
Medpace Holdings Inc (b)
 
12,270
7,081,140
Mesa Laboratories Inc
 
3,003
302,732
Mettler-Toledo International Inc (b)
 
11,011
15,594,879
Pacific Biosciences of California Inc (b)
 
161,348
225,887
Personalis Inc (b)
 
38,166
483,182
Quanterix Corp (b)
 
21,733
75,631
Quantum-Si Inc Class A (b)(c)
 
106,167
75,633
Repligen Corp (b)
 
28,809
4,062,357
Revvity Inc
 
60,991
6,862,707
Sotera Health Co (b)
 
144,051
2,572,751
Standard BioTools Inc (b)
 
164,179
142,507
Tempus AI Inc Class A (b)(c)
 
55,868
2,450,929
Thermo Fisher Scientific Inc
 
202,211
116,129,778
Waters Corp (b)
 
53,440
20,163,446
West Pharmaceutical Services Inc
 
38,463
13,114,344
 
 
 
348,417,228
Pharmaceuticals - 3.2%
 
 
 
Aclaris Therapeutics Inc (b)
 
71,414
371,353
Alumis Inc (b)
 
46,441
1,311,958
Amneal Intermediate Inc Class A (b)
 
94,028
1,722,593
Amphastar Pharmaceuticals Inc (b)
 
19,453
387,893
Amylyx Pharmaceuticals Inc (b)
 
45,584
925,811
ANI Pharmaceuticals Inc (b)
 
9,880
782,891
Aquestive Therapeutics Inc (b)(c)
 
47,989
177,319
Arvinas Inc (b)
 
33,500
269,005
AtaiBeckley Inc (b)
 
106,309
763,299
Atea Pharmaceuticals Inc (b)
 
36,692
172,452
Axsome Therapeutics Inc (b)
 
23,620
5,148,924
BioAge Labs Inc (b)
 
17,658
159,628
Bristol-Myers Squibb Co
 
1,111,592
72,598,074
Collegium Pharmaceutical Inc (b)
 
17,358
614,300
Contineum Therapeutics Inc Class A (b)
 
14,700
227,703
Corcept Therapeutics Inc (b)
 
51,880
5,939,741
CorMedix Inc (b)(c)
 
39,401
296,690
Crinetics Pharmaceuticals Inc (b)
 
57,620
4,812,422
Definium Therapeutics Inc (b)
 
70,287
3,058,890
Edgewise Therapeutics Inc (b)
 
40,935
1,573,132
Elanco Animal Health Inc (b)
 
272,840
7,194,791
Eli Lilly & Co
 
430,508
494,584,811
Enliven Therapeutics Inc (b)
 
29,627
1,623,856
Eton Pharmaceuticals Inc (b)
 
12,876
597,704
Evolus Inc (b)
 
35,311
206,216
EyePoint Inc (b)
 
42,430
519,768
Filana Therapeutics Inc (b)
 
31,056
31,366
Fulcrum Therapeutics Inc (b)
 
24,832
88,899
Harmony Biosciences Holdings Inc (b)
 
21,455
756,074
Harrow Inc (b)(c)
 
17,944
695,689
Indivior Pharmaceuticals Inc
 
66,020
2,641,460
Innoviva Inc (b)
 
38,005
796,965
Jazz Pharmaceuticals PLC (b)
 
34,110
8,625,055
Johnson & Johnson
 
1,309,943
335,803,888
LB Pharmaceuticals Inc
 
13,015
521,641
LENZ Therapeutics Inc (b)(c)
 
11,664
61,819
Lexicon Pharmaceuticals Inc (b)
 
119,718
276,549
Ligand Pharmaceuticals Inc (b)
 
10,885
3,129,873
Liquidia Corp (b)
 
38,130
3,207,114
Maze Therapeutics Inc (b)
 
16,092
433,197
MBX Biosciences Inc (b)
 
14,531
958,029
Merck & Co Inc
 
1,344,182
175,012,496
Nektar Therapeutics (b)
 
18,379
1,298,844
Neumora Therapeutics Inc (b)
 
51,761
83,335
Nuvation Bio Inc Class A (b)
 
132,801
840,630
Ocular Therapeutix Inc (b)
 
94,792
774,451
Omeros Corp (b)(c)
 
39,738
470,498
Organon & Co
 
142,191
1,926,688
Pacira BioSciences Inc (b)
 
22,248
587,570
Perrigo Co PLC
 
75,600
764,316
Pfizer Inc
 
3,102,267
77,587,698
Phathom Pharmaceuticals Inc (b)(c)
 
26,874
235,148
Phibro Animal Health Corp Class A
 
11,389
413,762
Prestige Consumer Healthcare Inc (b)
 
25,542
1,282,719
Rapport Therapeutics Inc (b)
 
15,516
635,846
Royalty Pharma PLC Class A
 
212,140
12,395,340
Septerna Inc (b)
 
12,454
429,040
SIGA Technologies Inc
 
20,366
66,597
Supernus Pharmaceuticals Inc (b)
 
31,723
1,415,797
Tarsus Pharmaceuticals Inc (b)
 
21,557
1,272,725
Theravance Biopharma Inc (b)
 
20,195
340,488
Third Harmonic Bio Inc (b)(d)
 
9,227
0
Trevi Therapeutics Inc (b)
 
64,697
1,180,720
Viatris Inc
 
635,364
11,156,992
WaVe Life Sciences Ltd (b)
 
83,643
460,873
Xeris Biopharma Holdings Inc (b)
 
95,784
773,935
Zevra Therapeutics Inc (b)
 
32,340
307,553
Zoetis Inc Class A
 
228,386
17,651,954
 
 
 
1,273,434,857
TOTAL HEALTH CARE
 
 
3,796,066,243
Industrials - 9.9%
 
 
 
Aerospace & Defense - 2.5%
 
 
 
AAR Corp (b)
 
21,318
2,985,373
AeroVironment Inc (b)(c)
 
17,486
2,611,884
AerSale Corp (b)
 
16,775
104,004
AIRO Group Holdings Inc (b)(c)
 
5,784
38,983
Archer Aviation Inc Class A (b)(c)
 
351,412
1,630,552
Astronics Corp (b)
 
20,910
1,453,036
ATI Inc (b)
 
74,264
13,920,044
Axon Enterprise Inc (b)
 
43,883
23,159,692
Boeing Co (b)
 
428,993
92,722,547
BWX Technologies Inc
 
50,007
8,436,181
Byrna Technologies Inc (b)
 
9,441
42,956
Cadre Holdings Inc
 
17,384
535,949
Carpenter Technology Corp
 
27,023
14,042,772
Curtiss-Wright Corp
 
20,090
14,545,160
Ducommun Inc (b)
 
7,516
1,345,514
Eve Holding Inc Class A (b)(c)
 
52,554
121,925
FTAI Aviation Ltd
 
55,796
11,493,976
GE Aerospace
 
567,809
204,450,987
General Dynamics Corp
 
138,133
52,962,955
HEICO Corp
 
23,159
8,252,941
HEICO Corp Class A
 
40,537
10,429,360
Hexcel Corp
 
40,947
4,215,494
Honeywell Aerospace Inc
 
172,470
35,656,448
Howmet Aerospace Inc
 
217,776
61,469,454
Huntington Ingalls Industries Inc
 
21,400
6,986,030
Innovative Solutions And Support Inc (b)
 
6,379
116,672
Intuitive Machines Inc Class A (b)(c)
 
68,670
847,388
Karman Holdings Inc (b)
 
49,513
2,384,051
Kratos Defense & Security Solutions Inc (b)
 
101,816
4,744,626
L3Harris Technologies Inc
 
101,459
28,110,231
Leonardo DRS Inc
 
42,386
1,951,875
Loar Holdings Inc (b)(c)
 
19,228
1,316,157
Lockheed Martin Corp
 
110,413
64,342,072
Mercury Systems Inc (b)
 
28,642
2,781,138
Moog Inc Class A
 
15,525
6,052,421
National Presto Industries Inc
 
2,853
346,411
Northrop Grumman Corp
 
72,666
39,419,852
Park Aerospace Corp
 
9,759
330,830
Red Cat Holdings Inc (b)(c)
 
72,333
544,667
Redwire Corp Class A (b)(c)
 
60,831
524,363
Rocket Lab Corp (b)
 
276,966
17,988,942
RTX Corp
 
732,780
157,708,912
StandardAero Inc (b)
 
102,766
3,012,071
Textron Inc
 
94,704
8,074,463
TransDigm Group Inc
 
30,438
38,180,818
V2X Inc (b)
 
10,986
991,377
Virgin Galactic Holdings Inc Class A (b)(c)
 
56,345
143,680
Voyager Technologies Inc Class A (b)(c)
 
6,831
167,564
VSE Corp
 
15,202
2,955,117
Woodward Inc
 
32,417
11,694,433
 
 
 
968,344,348
Air Freight & Logistics - 0.3%
 
 
 
CH Robinson Worldwide Inc
 
64,170
9,479,834
Expeditors International of Washington Inc
 
71,171
11,948,899
FedEx Corp
 
119,446
36,717,700
Forward Air Corp Class Common Stock (b)
 
11,847
166,450
GXO Logistics Inc (b)
 
62,479
3,133,947
Hub Group Inc Class A
 
32,864
1,529,162
United Parcel Service Inc Class B
 
406,401
42,355,113
 
 
 
105,331,105
Building Products - 0.6%
 
 
 
A O Smith Corp
 
60,776
3,654,461
AAON Inc
 
36,919
3,288,006
Advanced Drainage Systems Inc
 
38,922
5,389,919
Allegion plc
 
46,714
7,352,784
Apogee Enterprises Inc
 
11,572
458,251
Armstrong World Industries Inc
 
23,164
4,045,824
AZZ Inc
 
16,178
2,341,280
Builders FirstSource Inc (b)
 
58,398
3,879,963
Carlisle Cos Inc
 
22,025
7,927,238
Carrier Global Corp
 
424,746
26,253,550
CSW Industrials Inc
 
8,920
2,844,856
Fortune Brands Innovations Inc
 
65,527
3,227,860
Gibraltar Industries Inc (b)
 
16,092
680,048
Griffon Corp
 
20,823
1,794,318
Hayward Holdings Inc (b)
 
108,063
1,634,993
Insteel Industries Inc
 
10,485
321,365
Janus International Group Inc (b)
 
75,108
385,304
JELD-WEN Holding Inc (b)
 
46,425
65,924
Johnson Controls International plc
 
332,085
48,703,586
Lennox International Inc
 
17,274
7,183,911
Louisiana-Pacific Corp
 
34,584
2,504,919
Masco Corp
 
109,759
7,845,573
Masterbrand Inc (b)
 
111,141
916,913
Modine Manufacturing Co (b)
 
28,637
5,757,755
Owens Corning
 
43,753
6,077,292
Quanex Building Products Corp
 
24,700
440,648
Resideo Technologies Inc (b)
 
75,548
2,591,296
Simpson Manufacturing Co Inc
 
22,336
4,193,361
Tecnoglass Holdings Inc
 
13,466
584,963
Trane Technologies PLC
 
120,312
54,735,945
Trex Co Inc (b)
 
56,300
2,441,168
UFP Industries Inc
 
30,625
2,656,413
Zurn Elkay Water Solutions Corp
 
80,597
4,070,954
 
 
 
226,250,641
Commercial Services & Supplies - 0.5%
 
 
 
ABM Industries Inc
 
32,456
1,554,967
ACCO Brands Corp
 
55,393
233,758
ACV Auctions Inc Class A (b)
 
94,595
708,517
Brady Corp Class A
 
23,685
2,232,785
BrightView Holdings Inc (b)
 
37,418
487,931
Brink's Co/The
 
22,284
2,639,540
Casella Waste Systems Inc Class A (b)
 
33,918
3,042,784
Cintas Corp
 
185,187
37,894,816
Clean Harbors Inc (b)
 
27,058
8,465,907
Copart Inc (b)
 
483,033
14,065,921
CoreCivic Inc (b)
 
53,520
1,600,248
Deluxe Corp
 
25,274
653,838
Ennis Inc
 
15,715
342,587
GEO Group Inc/The (b)
 
70,998
2,193,128
Healthcare Services Group Inc (b)
 
37,253
867,995
HNI Corp
 
38,102
1,714,971
Interface Inc
 
31,212
1,069,323
Liquidity Services Inc (b)
 
12,731
496,254
MillerKnoll Inc
 
37,190
837,519
MSA Safety Inc
 
19,660
3,740,708
Onterris Inc (b)
 
18,125
380,444
OPENLANE Inc (b)
 
57,444
2,283,973
Perma-Fix Environmental Services Inc (b)(c)
 
9,135
151,641
Pitney Bowes Inc
 
67,513
1,183,503
Quad/Graphics Inc Class A
 
16,275
169,097
Republic Services Inc
 
108,839
22,916,051
Rollins Inc
 
159,455
6,054,506
Tetra Tech Inc
 
140,873
4,671,349
UniFirst Corp/MA
 
7,870
2,305,753
Veralto Corp
 
133,784
12,598,439
Vestis Corp (b)
 
61,098
883,477
Waste Management Inc
 
200,958
45,527,036
 
 
 
183,968,766
Construction & Engineering - 0.5%
 
 
 
AECOM
 
69,791
5,052,170
Ameresco Inc Class A (b)
 
16,411
345,780
API Group Corp (b)
 
209,699
8,320,856
Arcosa Inc
 
26,643
3,868,564
Argan Inc
 
7,582
4,325,000
Bowman Consulting Group Ltd (b)
 
7,572
203,308
Centuri Holdings Inc (b)
 
46,278
1,288,380
Comfort Systems USA Inc
 
19,130
33,088,970
Construction Partners Inc Class A (b)
 
25,987
2,685,756
Dycom Industries Inc (b)
 
16,329
6,549,072
EMCOR Group Inc
 
24,193
19,292,224
Everus Construction Group Inc (b)
 
27,739
3,479,303
Fluor Corp (b)
 
75,825
3,804,140
Granite Construction Inc
 
23,730
2,870,618
IES Holdings Inc (b)
 
4,764
3,546,989
Legence Corp Class A
 
28,792
1,840,673
Limbach Holdings Inc (b)
 
6,218
445,831
MasTec Inc (b)
 
33,493
8,812,008
Matrix Service Co (b)
 
14,999
173,988
MYR Group Inc (b)
 
8,460
2,819,041
NWPX Infrastructure Inc (b)
 
5,223
642,847
Orion Group Holdings Inc (b)
 
21,071
206,074
Primoris Services Corp
 
29,392
2,480,979
Quanta Services Inc
 
81,787
54,581,373
Sterling Infrastructure Inc (b)
 
16,760
10,001,865
Terrestrial Energy Inc Class A (b)(c)
 
28,898
141,889
Tutor Perini Corp
 
23,987
2,008,911
Valmont Industries Inc
 
10,544
5,079,045
WillScot Holdings Corp
 
98,046
2,380,557
 
 
 
190,336,211
Electrical Equipment - 1.3%
 
 
 
Acuity Inc
 
16,351
5,369,505
Allient Inc
 
8,113
709,563
American Superconductor Corp (b)
 
25,823
758,422
AMETEK Inc
 
124,691
30,139,062
Amprius Technologies Inc (b)
 
77,029
739,478
Array Technologies Inc (b)(c)
 
84,623
441,732
Atkore Inc
 
18,377
1,340,786
Babcock & Wilcox Enterprises Inc (b)
 
63,770
594,336
Blink Charging Co (b)
 
61,181
31,631
Bloom Energy Corp Class A (b)
 
142,462
29,320,104
ChargePoint Holdings Inc Class A (b)(c)
 
14,292
78,034
Eaton Corp PLC
 
211,324
87,741,725
Emerson Electric Co
 
304,864
45,674,724
Energy Vault Holdings Inc Class A (b)(c)
 
63,849
181,970
EnerSys
 
20,001
3,721,186
Enovix Corp Class B (b)(c)
 
104,487
427,352
Eos Energy Enterprises Inc (b)(c)
 
185,314
626,361
Fluence Energy Inc Class A (b)(c)
 
46,051
641,490
FuelCell Energy Inc (b)
 
28,767
621,655
GE Vernova Inc
 
146,243
144,822,980
Generac Holdings Inc (b)
 
32,115
6,330,188
GrafTech International Ltd (b)
 
9,252
62,173
Hubbell Inc
 
28,784
13,601,879
Hyliion Holdings Corp Class A (b)
 
69,483
247,359
KULR Technology Group Inc (b)(c)
 
22,371
59,283
LSI Industries Inc
 
20,318
475,238
NANO Nuclear Energy Inc (b)(c)
 
21,492
341,938
NeoVolta Inc (b)(c)
 
16,578
34,980
Nextpower Inc Class A (b)
 
80,931
7,273,269
NuScale Power Corp Class A (b)(c)
 
117,722
991,219
nVent Electric PLC
 
87,931
13,526,426
Plug Power Inc (b)(c)
 
757,309
1,560,057
Powell Industries Inc
 
15,433
3,220,558
Power Solutions International Inc (b)
 
3,450
95,255
Preformed Line Products Co
 
1,395
497,987
Regal Rexnord Corp
 
36,213
7,431,994
Rockwell Automation Inc
 
60,586
29,086,127
Sensata Technologies Holding PLC
 
79,758
3,691,998
SES AI Corp Class A (b)
 
133,162
73,292
Shoals Technologies Group Inc (b)
 
91,059
795,856
Sunrun Inc (b)
 
129,075
1,266,226
Vertiv Holdings Co Class A
 
209,086
50,508,905
Vicor Corp (b)
 
12,692
2,631,940
 
 
 
497,786,243
Ground Transportation - 0.9%
 
 
 
ArcBest Corp
 
12,077
1,743,315
Avis Budget Group Inc (b)(c)
 
9,187
1,262,661
Covenant Logistics Group Inc Class A
 
8,239
292,649
CSX Corp
 
1,010,864
50,947,546
Fedex Freight Holding Co Inc
 
59,195
8,318,673
Ftai Infrastructure Inc
 
63,481
236,784
Heartland Express Inc
 
24,785
303,121
Hertz Global Holdings Inc (b)(c)
 
65,110
103,199
JB Hunt Transport Services Inc
 
40,542
11,017,289
Knight-Swift Transportation Holdings Inc
 
88,654
6,164,113
Landstar System Inc
 
18,625
3,255,091
Lyft Inc Class A (b)
 
206,149
3,269,523
Marten Transport Ltd
 
33,023
488,410
Norfolk Southern Corp
 
122,174
40,986,934
Old Dominion Freight Line Inc
 
99,751
21,161,177
Proficient Auto Logistics Inc (b)
 
12,544
85,800
RXO Inc (b)
 
89,477
1,811,909
Ryder System Inc
 
21,156
5,424,822
Saia Inc (b)
 
14,478
5,032,987
Schneider National Inc Class B
 
27,028
965,981
U-Haul Holding Co (b)(c)
 
5,045
357,741
U-Haul Holding Co Class N
 
54,146
3,388,457
Uber Technologies Inc (b)
 
1,107,768
77,942,556
Union Pacific Corp
 
322,988
94,354,484
Werner Enterprises Inc
 
32,866
1,229,846
XPO Inc (b)
 
64,010
12,864,090
 
 
 
353,009,158
Industrial Conglomerates - 0.2%
 
 
 
3M Co
 
283,938
50,052,591
Honeywell International Inc
 
172,500
41,926,125
 
 
 
91,978,716
Machinery - 2.0%
 
 
 
3D Systems Corp (b)(c)
 
79,485
209,840
AGCO Corp
 
32,655
3,336,035
AirJoule Technologies Corp Class A (b)(c)
 
17,515
74,088
Alamo Group Inc
 
6,018
957,343
Albany International Corp Class A
 
15,451
1,151,254
Alliance Laundry Holdings Inc
 
20,151
531,382
Allison Transmission Holdings Inc
 
45,004
5,154,758
Astec Industries Inc
 
12,500
633,250
Atmus Filtration Technologies Inc
 
44,601
2,302,750
Blue Bird Corp (b)
 
17,192
1,278,913
Caterpillar Inc
 
250,659
204,239,461
CECO Environmental Corp (b)
 
28,746
1,894,074
CNH Industrial NV Class A
 
478,000
4,899,500
Columbus McKinnon Corp/NY
 
15,270
292,726
Crane Co
 
26,683
5,695,753
Cummins Inc
 
75,135
47,650,617
Deere & Co
 
136,701
81,018,582
Donaldson Co Inc
 
62,976
5,934,858
Douglas Dynamics Inc
 
12,605
556,259
Dover Corp
 
73,421
15,023,405
Energy Recovery Inc (b)
 
28,323
244,994
Enerpac Tool Group Corp Class A
 
27,926
998,075
Enpro Inc
 
11,443
3,592,187
Esab Corp
 
31,010
2,683,295
ESCO Technologies Inc
 
14,061
4,433,293
Federal Signal Corp
 
33,168
4,144,342
Flowserve Corp
 
69,780
5,302,582
Fortive Corp
 
165,866
9,820,926
Franklin Electric Co Inc
 
20,626
2,159,955
FreightCar America Inc (b)
 
7,364
58,691
Gates Industrial Corp Ltd
 
138,632
3,878,923
Gorman-Rupp Co/The
 
11,321
919,152
Graco Inc
 
90,321
7,169,681
Graham Corp (b)
 
6,082
583,264
Greenbrier Cos Inc/The
 
17,014
837,940
Helios Technologies Inc
 
17,797
1,386,564
Hillman Solutions Corp (b)
 
104,942
825,894
Hyster-Yale Inc Class A
 
6,250
208,938
IDEX Corp
 
40,287
9,284,139
Illinois Tool Works Inc
 
142,366
40,851,924
Ingersoll Rand Inc
 
194,132
16,186,726
ITT Inc
 
48,736
9,551,281
JBT Marel Corp
 
28,440
3,938,087
Kadant Inc
 
6,443
1,981,223
Kennametal Inc
 
41,367
1,405,237
Lincoln Electric Holdings Inc
 
29,907
7,814,998
Lindsay Corp
 
5,629
623,806
Manitowoc Co Inc/The (b)
 
19,207
266,017
Mayville Engineering Co Inc (b)
 
7,887
202,459
Microvast Holdings Inc (b)(c)
 
103,997
83,936
Middleby Corp/The (b)
 
22,530
3,009,557
Miller Industries Inc/TN
 
6,473
325,592
Mueller Industries Inc
 
120,595
8,008,714
Mueller Water Products Inc Class A1
 
84,792
2,140,150
Nordson Corp
 
28,883
8,600,780
Oshkosh Corp
 
33,859
4,821,860
Otis Worldwide Corp
 
208,656
15,012,799
PACCAR Inc
 
286,474
38,009,370
Palladyne AI Corp Class A (b)(c)
 
18,702
97,811
Parker-Hannifin Corp
 
68,606
66,995,817
Pentair PLC
 
87,707
5,739,546
Perma-Pipe International Holdings Inc (b)
 
4,188
101,140
Proto Labs Inc (b)
 
12,886
967,094
RBC Bearings Inc (b)
 
17,158
9,459,377
Richtech Robotics Inc Class B (b)(c)
 
81,457
115,669
Snap-on Inc
 
28,189
11,569,047
SPX Technologies Inc (b)
 
27,373
6,011,658
Standex International Corp
 
6,623
1,963,720
Stanley Black & Decker Inc
 
85,011
8,040,340
Symbotic Inc Class A (b)(c)
 
32,557
1,401,579
Taylor Devices Inc (b)
 
1,632
83,771
Tennant CO
 
9,245
776,857
Terex Corp
 
62,154
3,905,757
Timken Co/The
 
34,788
4,785,089
Titan International Inc (b)
 
25,163
181,677
Toro Co/The
 
52,641
4,836,129
Trinity Industries Inc
 
43,134
1,347,506
Velo3D Inc Class A (b)(c)
 
9,765
98,919
Wabash National Corp
 
21,535
270,480
Watts Water Technologies Inc Class A
 
14,915
5,157,458
Westinghouse Air Brake Technologies Corp
 
92,400
26,875,464
Worthington Enterprises Inc
 
16,897
949,780
Xylem Inc/NY
 
129,463
15,143,287
 
 
 
781,077,171
Marine Transportation - 0.0%
 
 
 
Genco Shipping & Trading Ltd
 
20,935
534,680
Kirby Corp (b)
 
29,021
3,805,814
Matson Inc
 
16,432
3,328,959
Pangaea Logistics Solutions Ltd
 
18,522
140,951
 
 
 
7,810,404
Passenger Airlines - 0.1%
 
 
 
Alaska Air Group Inc (b)
 
60,402
2,866,075
Allegiant Travel Co (b)
 
12,330
1,209,326
American Airlines Group Inc (b)
 
360,774
5,509,019
Delta Air Lines Inc
 
355,732
31,105,206
Frontier Group Holdings Inc (b)
 
30,898
208,561
JetBlue Airways Corp (b)
 
160,549
968,110
Joby Aviation Inc Class A (b)(c)
 
133,704
955,984
SkyWest Inc (b)
 
21,480
2,297,716
Southwest Airlines Co
 
266,382
11,979,199
United Airlines Holdings Inc (b)
 
176,639
21,431,610
 
 
 
78,530,806
Professional Services - 0.5%
 
 
 
Alight Inc Class A
 
12,954
219,959
Amentum Holdings Inc (b)
 
83,467
1,852,967
Automatic Data Processing Inc
 
217,703
58,009,141
Barrett Business Services Inc
 
13,332
520,481
BlackSky Technology Inc Class A (b)
 
17,254
397,705
Booz Allen Hamilton Holding Corp Class A
 
65,577
4,572,028
Broadridge Financial Solutions Inc
 
62,872
9,679,144
CACI International Inc (b)
 
11,990
5,968,023
Cbiz Inc (b)
 
25,926
1,428,004
Clarivate PLC (b)(c)
 
236,786
468,836
Concentrix Corp (c)
 
23,095
568,137
Conduent Inc (b)
 
89,217
140,071
CRA International Inc
 
3,509
628,216
Equifax Inc
 
64,722
11,172,312
ExlService Holdings Inc (b)
 
82,706
2,806,215
Exponent Inc
 
26,321
1,759,559
First Advantage Corp (b)(c)
 
42,703
847,228
Franklin Covey Co (b)(c)
 
5,067
108,687
FTI Consulting Inc (b)
 
15,992
2,548,805
Genpact Ltd
 
85,509
3,007,352
Huron Consulting Group Inc (b)
 
8,217
1,247,094
ICF International Inc
 
9,797
792,773
Innodata Inc (b)
 
17,739
1,114,541
Insperity Inc
 
19,705
997,270
Jacobs Solutions Inc
 
64,228
8,666,284
KBR Inc
 
68,767
2,517,560
Kelly Services Inc Class A
 
16,243
241,046
Kforce Inc
 
8,591
487,711
Korn Ferry
 
28,165
2,317,135
Legalzoom.com Inc (b)
 
60,659
477,386
Leidos Holdings Inc
 
68,617
7,932,125
ManpowerGroup Inc
 
25,350
1,328,847
Maximus Inc
 
28,498
1,717,005
Mistras Group Inc (b)
 
9,679
147,218
Parsons Corp (b)
 
29,074
1,285,362
Paychex Inc
 
175,635
20,521,193
Paycom Software Inc
 
22,703
3,722,384
Paylocity Holding Corp (b)
 
23,464
3,235,568
Planet Labs PBC Class A (b)(c)
 
159,051
3,257,364
Resolute Holdings Management Inc (b)(c)
 
1,926
238,362
Resources Connection Inc
 
17,186
75,103
Robert Half Inc (c)
 
54,716
2,068,265
Science Applications International Corp
 
23,350
2,734,986
Spire Global Inc Class A (b)(c)
 
19,843
227,401
SS&C Technologies Holdings Inc
 
112,983
8,705,340
TIC Solutions Inc (b)
 
98,021
716,534
TransUnion
 
105,257
8,275,305
TriNet Group Inc
 
15,443
1,016,613
TrueBlue Inc (b)
 
16,066
113,747
UL Solutions Inc Class A
 
42,255
3,872,248
Upwork Inc (b)(c)
 
69,674
638,214
Verisk Analytics Inc
 
71,292
13,891,246
Verra Mobility Corp Class A (b)
 
86,049
455,199
Willdan Group Inc (b)
 
7,912
542,209
 
 
 
212,279,508
Trading Companies & Distributors - 0.5%
 
 
 
Alta Equipment Group Inc Class A (b)
 
10,959
72,109
Applied Industrial Technologies Inc
 
20,193
6,970,826
BlueLinx Holdings Inc (b)
 
4,224
229,025
Boise Cascade Co
 
19,094
1,458,400
Core & Main Inc Class A (b)
 
102,093
4,489,029
Custom Truck One Source Inc Class A (b)
 
32,860
333,529
DNOW Inc (b)
 
98,722
1,393,955
DXP Enterprises Inc/TX (b)
 
6,793
1,066,637
Fastenal Co
 
625,124
29,824,666
Ferguson Enterprises Inc
 
105,561
24,736,109
GATX Corp
 
19,431
3,475,623
Global Industrial Co
 
7,643
273,161
Herc Holdings Inc
 
16,690
2,505,837
Hudson Technologies Inc (b)
 
19,777
119,452
Karat Packaging Inc
 
4,796
192,991
McGrath RentCorp
 
13,244
1,525,047
MSC Industrial Direct Co Inc Class A
 
25,134
3,101,536
NPK International Inc (b)
 
45,122
563,574
QXO Inc (b)(c)
 
451,555
6,005,682
Rush Enterprises Inc Class A
 
34,836
2,779,564
Rush Enterprises Inc Class B
 
3,030
235,522
SiteOne Landscape Supply Inc (b)
 
23,994
2,265,993
Sunbelt Rentals Holdings Inc (c)
 
223,529
16,076,206
Titan Machinery Inc (b)
 
10,469
177,868
Transcat Inc (b)
 
5,047
430,862
United Rentals Inc
 
34,108
36,811,400
Watsco Inc
 
19,021
5,883,195
Wesco International Inc
 
26,591
9,133,743
Willis Lease Finance Corp
 
5,126
365,638
WW Grainger Inc
 
23,635
32,668,770
Xometry Inc Class A (b)
 
25,911
2,221,091
 
 
 
197,387,040
TOTAL INDUSTRIALS
 
 
3,894,090,117
Information Technology - 34.4%
 
 
 
Communications Equipment - 1.2%
 
 
 
ADTRAN Holdings Inc (b)
 
39,605
337,039
Applied Optoelectronics Inc (b)
 
40,962
3,863,536
Arista Networks Inc (b)
 
562,014
101,359,225
Aviat Networks Inc (b)
 
6,699
137,195
BK Technologies Corp (b)
 
2,045
163,599
Calix Inc (b)
 
31,425
1,128,158
Ciena Corp (b)
 
77,012
29,037,375
Cisco Systems Inc
 
2,149,521
249,322,941
Clearfield Inc (b)(c)
 
6,173
186,795
Digi International Inc (b)
 
20,632
1,438,463
Extreme Networks Inc (b)
 
70,811
2,134,244
F5 Inc (b)
 
30,695
12,356,886
Harmonic Inc (b)
 
58,827
679,452
Lantronix Inc (b)
 
17,211
92,594
Lumentum Holdings Inc (b)
 
42,357
30,240,357
Motorola Solutions Inc
 
90,305
39,350,404
Netgear Inc (b)
 
14,522
350,852
NetScout Systems Inc (b)
 
36,770
1,495,436
Ondas Inc (b)(c)
 
269,184
2,016,188
Ribbon Communications Inc (b)
 
55,191
118,108
Viasat Inc (b)
 
73,772
5,675,280
Viavi Solutions Inc (b)
 
127,906
4,726,127
Vistance Networks Inc
 
122,202
1,434,651
 
 
 
487,644,905
Electronic Equipment, Instruments & Components - 1.0%
 
 
 
908 Devices Inc (b)
 
15,441
123,682
Advanced Energy Industries Inc
 
20,792
6,019,700
Aeva Technologies Inc (b)(c)
 
16,004
280,710
Amphenol Corp Class A
 
669,590
107,603,114
Arlo Technologies Inc (b)
 
59,428
874,780
Arrow Electronics Inc (b)
 
27,947
6,052,482
Avnet Inc
 
44,553
3,958,089
Badger Meter Inc (c)
 
15,825
2,126,089
Bel Fuse Inc Class A
 
957
213,535
Bel Fuse Inc Class B
 
6,503
1,768,621
Belden Inc
 
21,083
2,615,346
Benchmark Electronics Inc
 
19,615
1,564,689
CDW Corp/DE
 
69,567
10,282,698
Climb Global Solutions Inc
 
8,933
239,494
Cognex Corp
 
90,384
5,896,652
Coherent Corp (b)
 
106,549
28,010,667
Corning Inc
 
426,348
58,942,612
Crane NXT Co
 
26,931
1,399,065
CTS Corp
 
15,498
993,732
Daktronics Inc (b)
 
22,338
441,622
ePlus Inc
 
14,174
1,309,819
Evolv Technologies Holdings Inc Class A (b)
 
79,206
438,009
Flex Ltd (b)
 
200,058
22,756,598
Frequency Electronics Inc (b)(c)
 
3,685
213,619
Insight Enterprises Inc (b)
 
16,360
2,109,295
IPG Photonics Corp (b)
 
13,802
1,173,998
Itron Inc (b)
 
23,999
2,391,740
Jabil Inc
 
57,569
18,137,113
Keysight Technologies Inc (b)
 
93,350
29,786,119
Kimball Electronics Inc (b)
 
13,085
323,592
Knowles Corp (b)
 
46,382
1,697,117
LightPath Technologies Inc Class A (b)(c)
 
31,187
323,409
Lightwave Logic Inc (b)(c)
 
81,849
528,745
Littelfuse Inc
 
13,745
6,077,077
M-Tron Industries Inc (b)
 
2,245
184,943
Methode Electronics Inc
 
19,219
268,874
MicroVision Inc (b)(c)
 
146,899
39,075
Mirion Technologies Inc Class A (b)
 
132,696
1,987,786
Napco Security Technologies Inc
 
19,416
719,945
nLight Inc (b)
 
30,628
2,107,206
Novanta Inc (b)(c)
 
19,331
2,755,634
OSI Systems Inc (b)
 
8,406
1,861,004
Ouster Inc Class A (b)(c)
 
34,614
1,350,292
PC Connection Inc
 
6,181
517,473
Plexus Corp (b)
 
14,528
3,651,468
Powerfleet Inc NJ (b)(c)
 
63,034
247,093
Ralliant Corp
 
60,737
3,970,378
Rogers Corp (b)
 
8,984
1,109,254
Sanmina Corp (b)
 
29,107
5,401,095
ScanSource Inc (b)
 
10,132
573,674
SmartRent Inc Class A (b)
 
89,879
90,778
TD SYNNEX Corp
 
40,733
10,415,428
Teledyne Technologies Inc (b)
 
25,248
16,551,831
TTM Technologies Inc (b)
 
56,434
6,514,741
Vishay Intertechnology Inc
 
67,197
2,299,481
Vishay Precision Group Inc (b)
 
6,663
613,329
Vontier Corp
 
76,351
2,453,158
Vuzix Corp (b)
 
34,972
81,485
Zebra Technologies Corp Class A (b)
 
25,965
7,629,036
 
 
 
400,068,090
IT Services - 1.0%
 
 
 
Accenture PLC Class A
 
334,147
55,441,670
Akamai Technologies Inc (b)
 
79,180
9,119,952
Amdocs Ltd
 
58,453
3,257,001
Applied Digital Corp (b)(c)
 
138,251
3,786,695
Backblaze Inc Class A (b)
 
32,514
446,092
BigBear.ai Holdings Inc (b)(c)
 
263,118
734,099
Cloudflare Inc Class A (b)
 
173,924
48,521,318
Cognizant Technology Solutions Corp Class A
 
258,010
14,280,854
Commerce.com Inc (b)
 
36,218
113,362
CoreWeave Inc Class A (b)
 
143,630
10,308,325
DigitalOcean Holdings Inc (b)
 
44,204
5,193,970
DXC Technology Co (b)
 
90,776
1,020,322
EPAM Systems Inc (b)
 
28,419
2,999,910
Everforth Inc (b)
 
22,446
638,364
Fastly Inc Class A (b)
 
79,643
1,804,710
Gartner Inc (b)
 
36,475
5,508,455
GoDaddy Inc Class A (b)
 
72,072
5,963,237
Grid Dynamics Holdings Inc (b)
 
34,895
240,427
Hackett Group Inc/The
 
12,614
135,222
IBM Corporation
 
511,507
114,398,541
Information Services Group Inc
 
19,577
81,440
Kyndryl Holdings Inc (b)
 
122,363
1,658,019
MongoDB Inc Class A (b)
 
43,729
14,757,663
Okta Inc Class A (b)
 
91,325
12,961,757
Rackspace Technology Inc (b)(c)
 
56,751
234,382
Snowflake Inc (b)
 
188,162
55,184,151
TSS Inc/MD (b)
 
12,985
128,811
Twilio Inc Class A (b)
 
82,535
16,288,282
Unisys Corp (b)
 
34,983
100,401
VeriSign Inc
 
44,556
12,922,131
Whitefiber Inc (b)(c)
 
5,447
129,094
 
 
 
398,358,657
Semiconductors & Semiconductor Equipment - 15.5%
 
 
 
Advanced Micro Devices Inc (b)
 
887,421
422,545,509
Aehr Test Systems (b)
 
16,052
1,283,839
Aeluma Inc (b)(c)
 
5,822
94,316
Alpha & Omega Semiconductor Ltd (b)
 
13,260
420,872
Ambarella Inc (b)
 
22,662
1,948,932
Ambiq Micro Inc (b)
 
5,051
321,193
Amkor Technology Inc
 
61,830
3,083,462
Analog Devices Inc
 
265,702
97,621,572
Applied Materials Inc
 
431,925
219,275,365
Astera Labs Inc (b)
 
72,792
22,655,054
Atomera Inc (b)(c)
 
21,506
110,971
Axcelis Technologies Inc (b)
 
16,870
2,199,511
AXT Inc (b)
 
32,493
1,963,552
Blaize Holdings Inc Class A (b)(c)
 
40,969
32,377
Broadcom Inc
 
2,576,694
1,003,055,440
Cerebras Systems Inc Class A (b)
 
18,729
3,721,640
CEVA Inc (b)
 
15,100
493,015
Cirrus Logic Inc (b)
 
27,689
3,581,572
Cohu Inc (b)
 
25,582
1,227,680
Credo Technology Group Holding Ltd (b)
 
88,385
18,294,811
Diodes Inc (b)
 
25,046
2,061,787
Enphase Energy Inc (b)
 
71,561
2,686,400
Entegris Inc
 
83,238
9,909,484
Everspin Technologies Inc (b)
 
10,150
147,480
First Solar Inc (b)
 
58,514
12,348,209
FormFactor Inc (b)
 
42,334
4,495,871
GlobalFoundries Inc
 
56,595
2,829,184
GSI Technology Inc (b)(c)
 
15,267
85,648
Ichor Holdings Ltd (b)
 
18,885
1,421,474
Impinj Inc (b)
 
14,706
2,225,900
Intel Corp (b)
 
2,571,206
231,922,781
KLA Corp
 
710,975
129,980,450
Kopin Corp (b)(c)
 
95,712
336,906
Lam Research Corp
 
680,686
199,454,612
Lattice Semiconductor Corp (b)
 
74,812
9,296,887
MACOM Technology Solutions Holdings Inc (b)
 
35,786
8,998,032
Marvell Technology Inc
 
476,537
89,379,280
MaxLinear Inc (b)
 
45,765
3,058,017
Microchip Technology Inc
 
294,372
21,868,896
Micron Technology Inc
 
613,741
505,127,255
MKS Inc
 
36,722
10,922,959
Monolithic Power Systems Inc
 
26,763
38,164,841
Navitas Semiconductor Corp Class A (b)
 
109,060
1,184,392
NVE Corp
 
2,675
311,022
NVIDIA Corp
 
13,181,178
2,646,121,484
ON Semiconductor Corp (b)
 
213,197
17,399,007
Onto Innovation Inc (b)
 
27,014
6,985,280
PDF Solutions Inc (b)
 
20,618
950,284
Penguin Solutions Inc (b)
 
25,021
1,316,855
Photronics Inc (b)
 
31,994
969,098
Power Integrations Inc
 
30,286
1,838,663
Qnity Electronics Inc
 
114,151
14,974,328
Qorvo Inc (b)
 
43,469
3,936,987
QUALCOMM Inc
 
573,650
84,676,477
QuickLogic Corp (b)
 
8,890
116,548
Rambus Inc (b)
 
58,727
5,345,919
Rigetti Computing Inc Class A (b)(c)
 
180,384
2,696,741
Semtech Corp (b)
 
50,560
5,956,979
Silicon Laboratories Inc (b)
 
17,891
3,891,293
SiTime Corp (b)
 
12,041
6,444,343
SkyWater Technology Inc (b)
 
15,564
510,400
Skyworks Solutions Inc (c)
 
81,647
5,084,975
SolarEdge Technologies Inc (b)(c)
 
32,938
1,357,046
Synaptics Inc (b)
 
20,969
2,250,393
Teradyne Inc
 
85,265
31,351,088
Texas Instruments Inc
 
495,293
136,572,092
Ultra Clean Holdings Inc (b)
 
24,289
2,023,517
Universal Display Corp
 
23,815
1,909,010
Veeco Instruments Inc (b)
 
33,096
1,654,800
Wolfspeed Inc (c)
 
16,570
391,383
 
 
 
6,078,873,440
Software - 8.3%
 
 
 
8x8 Inc (b)
 
75,404
143,268
A10 Networks Inc
 
39,190
1,158,848
ACI Worldwide Inc (b)
 
55,963
3,208,359
Adeia Inc
 
59,871
1,595,562
Adobe Inc (b)
 
220,001
55,090,450
Agilysys Inc (b)
 
13,860
1,457,518
Alarm.com Holdings Inc (b)
 
26,846
1,469,819
Alkami Technology Inc (b)(c)
 
43,943
798,444
Amplitude Inc Class A (b)
 
50,276
446,451
Appfolio Inc Class A (b)
 
13,025
2,346,975
Appian Corp Class A (b)
 
22,102
595,870
AppLovin Corp Class A (b)
 
146,441
57,975,992
Arteris Inc (b)
 
18,151
542,352
Asana Inc Class A (b)(c)
 
53,848
448,015
Atlassian Corp Class A (b)
 
87,014
8,789,719
Aurora Innovation Inc Class A (b)(c)
 
681,548
4,395,985
Autodesk Inc (b)
 
114,896
26,908,643
AvePoint Inc Class A (b)
 
74,873
975,595
Bentley Systems Inc Class B
 
80,900
2,867,096
BILL Holdings Inc (b)
 
48,079
2,169,805
Bit Digital Inc (b)(c)
 
174,559
228,672
BitMine Immersion Technologies Inc (c)
 
309,256
5,343,944
Blackbaud Inc (b)
 
19,040
814,912
BlackLine Inc (b)
 
26,563
834,078
Blend Labs Inc Class A (b)
 
113,053
201,234
Box Inc Class A (b)
 
74,943
2,364,452
Braze Inc Class A (b)
 
53,448
1,331,924
C3.ai Inc Class A (b)(c)
 
69,536
638,340
Cadence Design Systems Inc (b)
 
150,153
51,055,023
Ccc Intelligent Solutions Holdings Inc Class A (b)
 
289,909
1,765,546
Cerence Inc (b)
 
24,647
209,992
Cipher Digital Inc (b)(c)
 
164,373
3,668,805
Circle Internet Group Inc Class A (b)(c)
 
31,201
1,953,495
Cleanspark Inc (b)(c)
 
139,601
1,920,910
Clear Secure Inc Class A
 
49,728
2,746,975
Commvault Systems Inc (b)
 
22,400
2,638,720
Consensus Cloud Solutions Inc (b)
 
9,965
362,726
Core Scientific Inc (b)
 
172,574
3,575,733
Crowdstrike Holdings Inc Class A (b)
 
554,151
105,765,260
CS Disco Inc (b)
 
13,720
53,508
Daily Journal Corp (b)(c)
 
492
288,853
Datadog Inc Class A (b)
 
180,081
48,256,306
Digimarc Corp (c)
 
10,396
68,198
Digital Turbine Inc (b)
 
58,720
473,283
Docusign Inc (b)
 
105,520
5,785,662
Dolby Laboratories Inc Class A
 
32,831
1,930,791
Domo Inc Class B (b)(c)
 
20,373
75,176
Dropbox Inc Class A (b)
 
82,180
2,675,781
Dynatrace Inc (b)
 
160,902
7,131,177
eGain Corp (b)
 
9,276
63,262
Elastic NV (b)
 
49,903
3,283,118
Fair Isaac Corp (b)
 
12,615
14,166,267
Five9 Inc (b)
 
41,508
1,141,885
Fortinet Inc (b)
 
338,974
54,896,839
Freshworks Inc Class A (b)
 
115,098
1,306,938
Gen Digital Inc
 
300,727
8,254,956
Gitlab Inc Class A (b)
 
78,527
2,709,967
Guidewire Software Inc (b)
 
46,170
7,015,070
HubSpot Inc (b)
 
27,916
6,626,142
Hut 8 Corp (United States) (b)
 
54,425
5,857,763
I3 Verticals Inc Class A (b)(c)
 
10,329
217,529
Intapp Inc (b)
 
28,807
941,701
InterDigital Inc
 
14,024
4,274,866
Intuit Inc
 
150,538
47,580,546
Klaviyo Inc Class A (b)
 
76,436
1,363,618
Life360 Inc (b)(c)
 
44,038
2,380,254
LiveRamp Holdings Inc (b)
 
34,222
1,295,987
Manhattan Associates Inc (b)
 
32,175
6,157,008
MARA Holdings Inc (b)(c)
 
207,133
2,344,746
Microsoft Corp
 
4,042,592
1,878,673,354
Mitek Systems Inc (b)
 
24,662
411,855
N-able Inc/US (b)(c)
 
40,213
188,197
nCino Inc (b)(c)
 
54,365
1,003,578
NCR Voyix Corp (b)(c)
 
74,747
618,158
Netskope Inc Class A (b)(c)
 
102,414
1,289,392
NextNav Inc Class A (b)
 
49,079
643,426
Nutanix Inc Class A (b)
 
144,245
8,511,897
OneSpan Inc
 
20,600
318,888
Ooma Inc (b)
 
13,472
293,016
Oracle Corp
 
923,511
119,936,374
PagerDuty Inc (b)
 
42,182
446,286
Palantir Technologies Inc Class A (b)
 
1,249,603
153,776,145
Palo Alto Networks Inc (b)
 
441,391
146,466,776
PAR Technology Corp (b)(c)
 
22,216
376,561
Pegasystems Inc
 
49,020
1,497,561
Pivotal Software Inc rights (b)(d)
 
5,752
0
Porch Group Inc (b)(c)
 
55,756
805,674
Procore Technologies Inc (b)
 
63,071
3,454,399
Progress Software Corp (b)
 
22,631
918,592
PTC Inc (b)
 
62,898
8,629,606
Q2 Holdings Inc (b)
 
34,089
2,074,997
Qualys Inc (b)
 
19,079
2,761,685
Rapid7 Inc (b)
 
32,229
311,010
Red Violet Inc (b)
 
7,225
501,271
Rekor Systems Inc (b)(c)
 
61,149
38,144
RingCentral Inc Class A
 
40,138
2,232,476
Riot Platforms Inc (b)
 
175,170
3,533,179
Roper Technologies Inc
 
54,889
21,514,841
Rubrik Inc Class A (b)
 
87,811
6,354,004
Salesforce Inc
 
445,205
81,926,624
Samsara Inc Class A (b)
 
202,271
7,538,640
SentinelOne Inc Class A (b)
 
180,879
3,447,554
ServiceNow Inc (b)
 
561,351
62,439,072
ServiceTitan Inc Class A (b)
 
31,865
2,646,707
SoundHound AI Inc Class A (b)(c)
 
218,058
1,336,696
Sprinklr Inc Class A (b)
 
63,789
405,698
Sprout Social Inc Class A (b)
 
31,012
266,083
SPS Commerce Inc (b)
 
19,894
1,460,021
Strategy Inc Class A (b)
 
180,226
16,811,481
Synopsys Inc (b)
 
104,276
40,538,338
Telos Corp (b)
 
28,418
126,176
Tenable Holdings Inc (b)
 
59,730
1,949,587
Teradata Corp (b)(c)
 
51,156
1,585,324
Terawulf Inc (b)(c)
 
218,292
3,855,037
Thryv Holdings Inc (b)
 
22,578
91,441
Trimble Inc (b)
 
127,168
7,195,165
Tyler Technologies Inc (b)
 
22,994
7,118,942
UiPath Inc Class A (b)(c)
 
231,768
2,957,360
Unity Software Inc (b)
 
189,652
6,013,865
Varonis Systems Inc (b)
 
62,195
2,484,690
Veritone Inc (b)(c)
 
41,759
45,517
Vertex Inc Class A (b)
 
39,928
515,470
Viant Technology Inc Class A (b)
 
11,531
135,720
Weave Communications Inc (b)
 
35,883
234,675
Workday Inc Class A (b)
 
110,970
17,792,930
Workiva Inc Class A (b)
 
29,063
1,737,967
Xperi Inc (b)
 
26,240
202,310
Yext Inc (b)(c)
 
46,447
253,601
Zeta Global Holdings Corp Class A (b)(c)
 
111,274
2,403,518
Zoom Communications Inc Class A (b)
 
145,000
13,930,150
Zscaler Inc (b)
 
56,108
8,483,530
 
 
 
3,264,933,935
Technology Hardware, Storage & Peripherals - 7.4%
 
 
 
Apple Inc
 
7,993,057
2,469,135,238
Corsair Gaming Inc (b)(c)
 
24,877
263,945
Dell Technologies Inc Class C
 
157,443
63,822,669
Diebold Nixdorf Inc (b)
 
18,766
1,380,990
Eastman Kodak Co (b)
 
38,667
324,803
Everpure Inc Class A (b)
 
171,984
13,272,005
GPGI Inc Class A
 
97,765
1,290,498
Hewlett Packard Enterprise Co
 
722,253
34,595,919
HP Inc
 
497,569
13,568,707
Immersion Corp
 
15,581
117,792
IonQ Inc (b)(c)
 
203,382
7,411,240
NetApp Inc
 
107,409
19,172,507
One Stop Systems Inc (b)
 
11,766
143,898
Quantum Computing Inc (b)(c)
 
103,773
840,561
Sandisk Corp (b)
 
80,598
97,912,868
Seagate Technology Holdings PLC
 
122,042
104,483,817
Super Micro Computer Inc (b)(c)
 
306,444
8,703,010
Turtle Beach Corp (b)(c)
 
6,906
84,599
Western Digital Corp
 
187,606
102,215,253
Xerox Holdings Corp
 
63,835
188,313
Xerox Holdings Corp warrants 2/14/2028 (b)
 
350
107
 
 
 
2,938,928,739
TOTAL INFORMATION TECHNOLOGY
 
 
13,568,807,766
Materials - 2.0%
 
 
 
Chemicals - 1.0%
 
 
 
AdvanSix Inc
 
14,333
287,520
Air Products and Chemicals Inc
 
121,196
35,739,488
Albemarle Corp
 
64,314
7,565,899
Alto Ingredients Inc (b)(c)
 
41,961
199,734
Arq Inc (b)
 
14,648
28,857
Ashland Inc
 
24,716
1,794,629
ASP Isotopes Inc (b)(c)
 
59,477
237,908
Aspen Aerogels Inc (b)
 
38,222
176,968
Avient Corp
 
50,397
1,830,419
Axalta Coating Systems Ltd (b)
 
116,509
4,172,187
Balchem Corp
 
17,421
2,918,976
Cabot Corp
 
27,994
2,464,032
Celanese Corp
 
59,377
2,655,339
CF Industries Holdings Inc
 
83,643
10,471,267
Chemours Co/The
 
81,940
1,361,023
Corteva Inc
 
364,076
28,656,422
Dow Inc
 
392,854
11,899,548
DuPont de Nemours Inc
 
74,497
10,206,089
Eastman Chemical Co
 
62,115
4,344,944
Ecolab Inc
 
137,872
38,277,403
Ecovyst Inc (b)
 
59,104
712,794
Element Solutions Inc
 
125,156
4,596,980
Flotek Industries Inc (b)(c)
 
7,628
179,563
FMC Corp
 
67,833
726,491
Hawkins Inc
 
11,311
1,448,147
HB Fuller Co
 
29,543
1,633,728
Huntsman Corp
 
89,444
872,973
Ingevity Corp (b)
 
18,734
1,369,643
Innospec Inc
 
13,414
1,153,336
International Flavors & Fragrances Inc
 
139,217
11,028,771
Intrepid Potash Inc (b)
 
5,580
189,497
Koppers Holdings Inc
 
10,420
510,788
Kronos Worldwide Inc
 
10,509
63,264
Linde PLC
 
251,531
120,327,401
LSB Industries Inc (b)
 
29,251
318,251
LyondellBasell Industries NV Class A1
 
140,757
8,738,195
Mativ Holdings Inc
 
29,621
258,591
Minerals Technologies Inc
 
16,784
1,279,612
Mosaic Co/The
 
173,649
3,841,116
NewMarket Corp
 
4,145
3,523,913
Olin Corp
 
61,790
1,143,733
Perimeter Solutions Inc (b)
 
83,930
2,569,097
PPG Industries Inc
 
121,691
13,449,289
PureCycle Technologies Inc (b)(c)
 
76,656
488,299
Quaker Chemical Corp
 
7,445
1,195,071
Rayonier Advanced Materials Inc (b)
 
36,010
322,290
RPM International Inc
 
69,718
7,464,706
Scotts Miracle-Gro Co/The
 
24,449
1,605,810
Sensient Technologies Corp
 
23,193
2,868,278
Sherwin-Williams Co/The
 
124,836
42,550,351
Solstice Advanced Materials Inc
 
86,229
5,188,399
Stepan Co
 
11,762
754,415
Tronox Holdings PLC
 
63,969
373,579
Westlake Corp
 
18,259
1,287,260
 
 
 
409,322,283
Construction Materials - 0.2%
 
 
 
Amrize Ltd (United States)
 
280,713
13,729,673
CRH PLC
 
363,791
34,563,783
Eagle Materials Inc
 
17,019
3,487,874
Knife River Corp (b)
 
30,729
2,248,441
Martin Marietta Materials Inc
 
32,712
17,178,380
United States Lime & Minerals Inc
 
5,772
636,651
Vulcan Materials Co
 
70,674
18,980,916
 
 
 
90,825,718
Containers & Packaging - 0.2%
 
 
 
Amcor PLC
 
251,436
11,284,448
AptarGroup Inc
 
34,565
4,630,327
Ardagh Metal Packaging SA
 
80,492
380,727
Avery Dennison Corp
 
41,654
7,069,933
Ball Corp
 
144,731
9,393,042
Crown Holdings Inc
 
60,171
7,091,152
Graphic Packaging Holding CO
 
161,336
1,731,135
Greif Inc Class A
 
14,492
1,254,283
Greif Inc Class B
 
2,073
224,879
International Paper Co
 
288,043
11,760,796
Myers Industries Inc
 
20,410
697,206
O-I Glass Inc (b)
 
82,523
590,039
Packaging Corp of America
 
48,159
11,839,409
Ranpak Holdings Corp Class A (b)
 
23,180
118,682
Silgan Holdings Inc
 
47,489
1,898,610
Smurfit Westrock PLC
 
285,870
13,141,444
Sonoco Products Co
 
54,097
3,048,907
TriMas Corp
 
15,344
612,686
 
 
 
86,767,705
Metals & Mining - 0.6%
 
 
 
Alcoa Corp
 
143,318
6,486,573
Alpha Metallurgical Resources Inc (b)
 
5,779
792,648
American Battery Technology Co (b)(c)
 
73,296
153,189
Century Aluminum Co (b)
 
30,497
1,365,351
Cleveland-Cliffs Inc (b)
 
309,236
3,562,399
Coeur Mining Inc
 
563,941
8,408,360
Commercial Metals Co
 
60,241
4,139,762
Compass Minerals International Inc (b)
 
18,860
553,352
Contango Silver & Gold Inc (b)(c)
 
13,925
214,445
Dakota Gold Corp (b)
 
61,117
277,471
Freeport-McMoRan Inc
 
782,733
49,022,568
Hecla Mining Co
 
365,806
5,165,181
Idaho Strategic Resources Inc (b)
 
7,987
224,195
Ivanhoe Electric Inc / US (b)
 
66,937
612,474
Kaiser Aluminum Corp
 
8,759
1,398,637
Materion Corp
 
11,264
2,374,902
Mesabi Trust
 
7,121
156,591
Metallus Inc (b)
 
19,563
393,608
MP Materials Corp (b)(c)
 
73,298
3,032,338
Newmont Corp
 
581,153
54,459,848
Nucor Corp
 
123,945
31,889,809
Ramaco Resources Inc Class A (b)(c)
 
21,014
192,698
Reliance Inc
 
27,757
11,272,118
Royal Gold Inc
 
44,432
8,813,087
Ryerson Holding Corp
 
24,265
674,324
Steel Dynamics Inc
 
73,717
18,522,133
SunCoke Energy Inc
 
46,220
391,946
Tredegar Corp (b)
 
16,091
122,130
United States Antimony Corp (b)(c)
 
68,800
348,816
US Gold Corp (b)(c)
 
7,428
96,414
USA Rare Earth Inc Class A (b)(c)
 
95,623
1,429,564
Warrior Met Coal Inc
 
28,585
2,269,935
Worthington Steel Inc
 
17,724
638,241
 
 
 
219,455,107
Paper & Forest Products - 0.0%
 
 
 
Clearwater Paper Corp (b)
 
8,416
176,987
Magnera Corp (b)
 
17,730
234,923
Sylvamo Corp
 
18,632
697,023
 
 
 
1,108,933
TOTAL MATERIALS
 
 
807,479,746
Real Estate - 2.3%
 
 
 
Diversified REITs - 0.0%
 
 
 
AH Realty Trust Inc Class A
 
44,406
309,066
Alpine Income Property Trust Inc
 
7,702
155,425
American Assets Trust Inc
 
25,823
609,165
Broadstone Net Lease Inc Class A
 
105,269
2,253,809
CTO Realty Growth Inc
 
17,210
378,104
Essential Properties Realty Trust Inc
 
117,267
3,669,284
Gladstone Commercial Corp
 
26,799
334,988
Global Net Lease Inc
 
104,575
911,894
WP Carey Inc
 
121,711
8,957,930
 
 
 
17,579,665
Health Care REITs - 0.4%
 
 
 
Alexandria Real Estate Equities Inc
 
85,215
4,384,312
American Healthcare REIT Inc
 
104,866
5,830,550
CareTrust REIT Inc
 
128,251
5,378,847
Chiron Real Estate Inc
 
7,463
264,936
Community Healthcare Trust Inc
 
18,530
339,284
Diversified Healthcare Trust
 
117,888
1,049,203
Healthcare Realty Trust Inc
 
187,963
3,949,103
Healthpeak Properties Inc
 
376,247
8,213,472
LTC Properties Inc
 
28,862
1,161,407
Medical Properties Trust Inc (c)
 
264,827
1,226,149
National Health Investors Inc
 
26,484
2,029,999
Omega Healthcare Investors Inc
 
162,045
8,204,338
Sabra Health Care REIT Inc
 
136,921
2,898,618
Universal Health Realty Income Trust
 
7,205
312,840
Ventas Inc
 
264,560
24,739,006
Welltower Inc
 
384,116
90,052,155
 
 
 
160,034,219
Hotel & Resort REITs - 0.1%
 
 
 
Apple Hospitality REIT Inc
 
124,311
2,052,375
Chatham Lodging Trust
 
25,673
342,220
DiamondRock Hospitality Co
 
111,545
1,476,856
Host Hotels & Resorts Inc
 
347,075
8,721,995
Park Hotels & Resorts Inc
 
110,344
1,661,781
Pebblebrook Hotel Trust
 
61,108
1,167,163
RLJ Lodging Trust
 
81,701
1,000,837
Ryman Hospitality Properties Inc
 
34,559
4,618,810
Service Properties Trust
 
71,099
570,925
Summit Hotel Properties Inc
 
57,486
395,504
Sunstone Hotel Investors Inc
 
101,694
1,196,938
Xenia Hotels & Resorts Inc
 
50,179
1,032,684
 
 
 
24,238,088
Industrial REITs - 0.3%
 
 
 
Americold Realty Trust Inc
 
154,809
2,181,259
EastGroup Properties Inc
 
29,358
6,136,116
First Industrial Realty Trust Inc
 
71,931
4,735,937
Industrial Logistics Properties Trust
 
31,424
270,561
Lineage Inc
 
31,059
1,315,970
LXP Industrial Trust
 
32,080
1,941,802
One Liberty Properties Inc
 
9,196
223,555
Prologis Inc
 
507,422
73,378,295
Rexford Industrial Realty Inc
 
121,678
4,595,778
STAG Industrial Inc Class A
 
103,843
3,973,033
Terreno Realty Corp
 
57,736
4,136,784
 
 
 
102,889,090
Office REITs - 0.1%
 
 
 
Brandywine Realty Trust
 
99,893
303,675
BXP Inc
 
81,148
5,690,098
COPT Defense Properties
 
61,157
2,321,520
Cousins Properties Inc
 
89,448
2,822,084
Douglas Emmett Inc
 
90,800
1,073,256
Easterly Government Properties Inc
 
25,959
632,361
Empire State Realty Trust Inc Class A
 
78,350
396,451
Highwoods Properties Inc
 
61,608
2,041,073
Hudson Pacific Properties Inc (b)
 
29,334
403,929
JBG SMITH Properties
 
31,623
444,303
Kilroy Realty Corp
 
58,099
2,255,403
NET Lease Office Properties
 
8,623
100,889
Piedmont Realty Trust Inc Class A1 (b)
 
67,500
654,075
Postal Realty Trust Inc Class A
 
14,343
330,463
SL Green Realty Corp
 
38,602
2,043,204
Vornado Realty Trust
 
85,638
3,373,281
 
 
 
24,886,065
Real Estate Management & Development - 0.1%
 
 
 
AGNT Inc
 
50,935
206,287
CBRE Group Inc Class A (b)
 
159,272
23,382,723
Compass Inc Class A (b)
 
347,455
3,957,512
CoStar Group Inc (b)
 
223,133
6,417,305
Cushman & Wakefield Ltd
 
126,777
1,701,347
Douglas Elliman Inc (b)
 
40,034
67,657
Forestar Group Inc (b)
 
10,556
297,151
FRP Holdings Inc (b)
 
6,797
151,709
Howard Hughes Holdings Inc (b)
 
16,462
1,052,251
Jones Lang LaSalle Inc (b)
 
25,352
9,000,722
Marcus & Millichap Inc
 
12,750
392,063
Newmark Group Inc Class A
 
84,709
1,270,211
Opendoor Technologies Inc Class A (b)(c)
 
439,364
1,656,403
Opendoor Technologies Inc warrants 11/20/2026 (b)
 
10,795
3,454
Opendoor Technologies Inc warrants 11/20/2026 (b)
 
10,795
1,943
Opendoor Technologies Inc warrants 11/20/2026 (b)
 
10,795
1,740
RE/MAX Holdings Inc Class A (b)
 
12,310
111,529
RMR Group Inc/The Class A (c)
 
8,881
169,094
Seaport Entertainment Group Inc (b)(c)
 
3,853
101,064
St Joe Co/The
 
21,396
1,331,687
Tejon Ranch Co (b)
 
14,189
240,220
Zillow Group Inc Class A (b)
 
25,376
880,293
Zillow Group Inc Class C (b)
 
89,167
3,037,028
 
 
 
55,431,393
Residential REITs - 0.2%
 
 
 
American Homes 4 Rent Class A
 
173,713
5,805,488
AvalonBay Communities Inc
 
75,779
14,065,341
Camden Property Trust
 
54,835
6,076,266
Centerspace
 
9,075
497,673
Equity LifeStyle Properties Inc
 
105,898
6,890,783
Equity Residential
 
185,573
12,331,326
Essex Property Trust Inc
 
35,007
9,946,889
Independence Realty Trust Inc
 
127,968
2,128,108
Invitation Homes Inc
 
297,685
8,847,198
Mid-America Apartment Communities Inc
 
63,416
8,392,473
NexPoint Residential Trust Inc
 
12,531
327,184
Sun Communities Inc
 
63,088
7,790,106
UDR Inc
 
161,604
6,166,809
UMH Properties Inc
 
48,353
730,614
 
 
 
89,996,258
Retail REITs - 0.3%
 
 
 
Acadia Realty Trust
 
72,349
1,625,682
Agree Realty Corp
 
65,828
5,121,418
Alexander's Inc
 
1,180
300,900
Brixmor Property Group Inc
 
167,825
5,288,166
CBL & Associates Properties Inc
 
8,563
502,734
Curbline Properties Corp
 
52,840
1,619,018
Federal Realty Investment Trust
 
42,712
5,300,132
FrontView REIT Inc
 
12,157
247,273
Getty Realty Corp
 
31,582
1,078,209
InvenTrust Properties Corp
 
42,284
1,497,276
Kimco Realty Corp
 
367,172
9,355,543
Kite Realty Group Trust
 
110,239
3,155,040
Macerich Co/The
 
153,650
3,970,316
NETSTREIT Corp (c)
 
52,481
1,125,717
NNN REIT Inc
 
104,494
4,965,555
Phillips Edison & Co Inc
 
68,405
2,906,528
Realty Income Corp
 
507,240
32,397,419
Regency Centers Corp
 
89,972
7,223,852
Saul Centers Inc
 
6,827
232,596
Simon Property Group Inc
 
176,370
40,453,988
SITE Centers Corp
 
30,501
130,544
Tanger Inc
 
62,345
2,534,948
Urban Edge Properties
 
68,588
1,554,204
 
 
 
132,587,058
Specialized REITs - 0.8%
 
 
 
American Tower Corp
 
253,549
43,955,255
Crown Castle Inc
 
237,829
18,146,353
CubeSmart
 
123,033
5,100,948
Digital Realty Trust Inc
 
179,817
33,899,101
EPR Properties
 
41,659
2,585,774
Equinix Inc
 
53,665
54,699,661
Extra Space Storage Inc
 
115,012
17,026,376
Farmland Partners Inc
 
21,464
200,688
Four Corners Property Trust Inc
 
59,751
1,529,626
Gaming and Leisure Properties Inc
 
154,960
6,940,658
Gladstone Land Corp
 
27,511
223,114
Iron Mountain Inc
 
162,083
19,825,993
Lamar Advertising Co Class A
 
47,358
7,575,386
Millrose Properties Inc Class A
 
84,191
2,355,664
Outfront Media Inc
 
83,121
2,649,066
Public Storage
 
86,078
27,903,905
Rayonier Inc
 
150,943
3,287,539
Safehold Inc
 
24,831
401,766
SBA Communications Corp Class A
 
57,652
10,433,859
Smartstop Self Storage REIT Inc
 
29,837
1,000,733
VICI Properties Inc
 
595,320
15,686,682
Weyerhaeuser Co
 
392,750
9,830,533
 
 
 
285,258,680
TOTAL REAL ESTATE
 
 
892,900,516
Utilities - 2.1%
 
 
 
Electric Utilities - 1.3%
 
 
 
Alliant Energy Corp
 
140,553
9,948,341
American Electric Power Co Inc
 
295,808
37,819,053
Constellation Energy Corp
 
174,031
45,726,645
Duke Energy Corp
 
423,551
53,126,003
Edison International
 
209,754
15,389,651
Entergy Corp
 
249,250
26,824,285
Evergy Inc
 
125,634
10,428,878
Eversource Energy
 
204,533
14,642,517
Exelon Corp
 
556,887
25,516,562
FirstEnergy Corp
 
283,801
13,710,426
Genie Energy Ltd Class B
 
11,894
165,446
Hawaiian Electric Industries Inc (b)
 
93,410
1,206,857
IDACORP Inc
 
30,040
4,293,016
MGE Energy Inc
 
21,060
1,674,902
NextEra Energy Inc
 
1,134,497
98,610,480
NRG Energy Inc
 
115,002
15,443,619
OGE Energy Corp
 
113,873
5,391,887
Oklo Inc Class A (b)(c)
 
74,486
2,892,291
Otter Tail Corp
 
22,797
2,015,711
PG&E Corp
 
1,198,824
20,835,561
Pinnacle West Capital Corp
 
66,059
6,671,298
Portland General Electric Co
 
62,970
3,106,310
PPL Corp
 
409,677
14,424,727
Southern Co/The
 
612,771
57,931,371
TXNM Energy Inc
 
53,960
3,125,363
Xcel Energy Inc
 
339,713
26,565,557
 
 
 
517,486,757
Gas Utilities - 0.1%
 
 
 
Atmos Energy Corp
 
90,901
15,705,875
Chesapeake Utilities Corp
 
12,947
1,719,102
MDU Resources Group Inc
 
115,208
2,298,400
National Fuel Gas Co
 
51,573
4,244,974
New Jersey Resources Corp
 
54,611
3,161,431
Northwest Natural Holding Co
 
22,888
1,119,680
ONE Gas Inc
 
34,263
2,660,522
Southwest Gas Holdings Inc
 
35,047
3,133,202
Spire Inc
 
31,988
2,554,562
UGI Corp
 
116,420
4,205,090
 
 
 
40,802,838
Independent Power and Renewable Electricity Producers - 0.1%
 
 
 
AES Corp/The
 
387,502
5,688,529
Clearway Energy Inc Class C
 
65,733
2,085,708
Fervo Energy Co Class A (b)
 
38,642
870,991
Hallador Energy Co (b)
 
20,800
295,776
Ormat Technologies Inc
 
33,356
3,254,878
Talen Energy Corp (b)
 
24,734
8,263,629
Vistra Corp
 
172,560
25,571,667
 
 
 
46,031,178
Multi-Utilities - 0.5%
 
 
 
Ameren Corp
 
151,145
16,567,003
Avista Corp
 
44,895
1,816,003
Black Hills Corp
 
42,081
2,996,588
CenterPoint Energy Inc
 
356,322
14,979,777
CMS Energy Corp
 
167,806
12,080,354
Consolidated Edison Inc
 
200,522
21,826,820
Dominion Energy Inc
 
478,232
33,079,308
DTE Energy Co
 
113,226
16,063,373
NiSource Inc
 
260,635
11,580,013
Northwestern Energy Group Inc
 
33,406
2,296,328
Public Service Enterprise Group Inc
 
271,233
20,798,146
Sempra
 
355,802
31,506,267
Unitil Corp
 
9,772
527,102
WEC Energy Group Inc
 
177,520
19,424,238
 
 
 
205,541,320
Water Utilities - 0.1%
 
 
 
American States Water Co
 
21,159
1,812,057
American Water Works Co Inc
 
106,219
14,251,403
Artesian Resources Corp Class A
 
5,351
183,807
Cadiz Inc (b)(c)
 
29,077
86,939
California Water Service Group
 
32,269
1,617,000
Consolidated Water Co Ltd
 
8,174
238,681
Essential Utilities Inc
 
154,036
6,138,335
H2O America
 
21,891
1,342,575
Middlesex Water Co
 
10,465
599,645
York Water Co/The
 
8,587
265,939
 
 
 
26,536,381
TOTAL UTILITIES
 
 
836,398,474
TOTAL UNITED STATES
 
 
39,188,061,545
 
TOTAL COMMON STOCKS
 (Cost $23,212,383,889)
 
 
 
39,372,880,448
 
 
 
 
U.S. Treasury Obligations - 0.0%
 
 
Yield (%) (g)
Principal
Amount (a)
 
Value ($)
 
US Treasury Bills 0% 8/13/2026 (h)
 (Cost $4,710,324)
 
3.64
4,716,000
4,711,277
 
 
 
 
 
Money Market Funds - 0.5%
 
 
Yield (%)
Shares
Value ($)
 
Fidelity Cash Central Fund (i)
 
3.69
55,083,707
55,094,724
Fidelity Securities Lending Cash Central Fund (i)(j)
 
3.72
159,102,251
159,118,161
 
TOTAL MONEY MARKET FUNDS
 (Cost $214,208,420)
 
 
 
214,212,885
 
 
 
 
 
 
TOTAL INVESTMENT IN SECURITIES - 100.3%
 (Cost $23,431,302,633)
 
 
 
39,591,804,610
NET OTHER ASSETS (LIABILITIES) - (0.3)% (f)
(122,036,898)
NET ASSETS - 100.0%
39,469,767,712
 
 
 
 
Futures Contracts 
 
Number
of contracts
Expiration
Date
Notional
Amount ($)
 
Value and Unrealized
Appreciation/
(Depreciation) ($)
 
LONG
 
 
 
 
CME E-Mini Russell 2000 Index Contracts (United States)
55
9/2026
8,079,500
(14,139)
CME E-Mini S&P 500 Index Contracts (United States)
224
9/2026
84,215,600
754,236
CME E-Mini S&P MidCap 400 Index Contracts (United States)
11
9/2026
4,150,190
(14,854)
TOTAL LONG
 
 
 
725,243

Legend
 
(a)
Amount is stated in United States dollars unless otherwise noted.
 
(b)
Non-income producing.
 
(c)
Security or a portion of the security is on loan at period end.
 
(d)
Level 3 security.
 
(e)
Security exempt from registration under Regulation S of the Securities Act of 1933 and may be resold to qualified foreign investors outside of the United States. At the end of the period, the value of securities amounted to $604,896 or 0.0% of net assets.
 
(f)
Includes $1,009,069 of cash collateral to cover margin requirements for futures contracts.
 
(g)
Yield represents either the annualized yield at the date of purchase, or the stated coupon rate, or, for floating and adjustable rate securities, the rate at period end.
 
(h)
Security or a portion of the security was pledged to cover margin requirements for futures contracts. At period end, the value of securities pledged amounted to $4,711,277.
 
(i)
Affiliated fund that is generally available only to investment companies and other accounts managed by Fidelity Investments. The rate quoted is the annualized seven-day yield of the fund at period end. A complete unaudited listing of the fund's holdings as of its most recent quarter end is available upon request. In addition, each Fidelity Central Fund's financial statements are available on the SEC's website or upon request.
 
(j)
Investment made with cash collateral received from securities on loan.
 
At period end, the value of non-cash collateral for securities on loan amounted to $97,260,878.
 
Affiliated Underlying Funds
Fiscal year to date information regarding the Fund's investments in affiliated underlying funds is presented below. Exchanges between classes of the same affiliated underlying funds may occur. If an underlying fund changes its name, the name presented below is the name in effect at period end.
Affiliate
Value,
beginning
of period ($)
Purchases ($)
Sales
Proceeds ($)
Dividend
Income ($)
Realized
Gain (loss) ($)
Change in
Unrealized
appreciation
(depreciation) ($)
Value,
end
of period ($)
 
 
Shares,
end
of period
Fidelity Cash Central Fund
103,075,810
1,290,536,550
1,338,513,915
1,684,314
(8,186)
4,465
55,094,724
55,083,707
Fidelity Securities Lending Cash Central Fund
134,662,075
689,253,663
664,797,838
790,050
261
-
159,118,161
159,102,251
 
237,737,885
1,979,790,213
2,003,311,753
2,474,364
(7,925)
4,465
214,212,885
 
 
Amounts in the dividend income column in the above table include any capital gain distributions from underlying funds.
Amounts in the dividend income column for Fidelity Securities Lending Cash Central Fund represents the income earned on investing cash collateral, less rebates paid to borrowers and any lending agent fees associated with the loan, plus any premium income received for lending certain types of securities.
 
Investment Valuation
Investments are valued as of 4:00 p.m. Eastern time on the last calendar day of the period. Securities transactions are accounted for as of trade date. The Board of Trustees (the Board) has designated the Fund's investment adviser as the valuation designee responsible for the fair valuation function and performing fair value determinations as needed. The investment adviser has established a Fair Value Committee (the Committee) to carry out the day-to-day fair valuation responsibilities and has adopted policies and procedures to govern the fair valuation process and the activities of the Committee. In accordance with these fair valuation policies and procedures, which have been approved by the Board, the Fund attempts to obtain prices from one or more third party pricing services or brokers to value its investments. When current market prices, quotations or currency exchange rates are not readily available or reliable, investments will be fair valued in good faith by the Committee, in accordance with the policies and procedures. Factors used in determining fair value vary by investment type and may include market or investment specific events, transaction data, estimated cash flows, and market observations of comparable investments. The frequency that the fair valuation procedures are used cannot be predicted and they may be utilized to a significant extent. The Committee manages the Fund's fair valuation practices and maintains the fair valuation policies and procedures. The Fund's investment adviser reports to the Board information regarding the fair valuation process and related material matters.   
 
The inputs to valuation techniques used to value investments are categorized into a disclosure hierarchy consisting of three levels as shown below:
 
Level 1 - Unadjusted quoted prices in active markets for identical investments
Level 2 - other significant observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, etc.)
Level 3 - unobservable inputs (including the Fund's own assumptions based on the best information available)
 
Valuation techniques used to value investments by major category are as follows:
Equity securities, including restricted securities, for which market quotations are readily available, are valued at the last reported sale price or official closing price as reported by a third party pricing service on the primary market or exchange on which they are traded and are categorized as Level 1 in the hierarchy. In the event there were no sales during the day or closing prices are not available, securities are valued at the last quoted bid price or may be valued using the last available price and are generally categorized as Level 2 in the hierarchy. For any foreign equity securities, when market or security specific events arise, comparisons to the valuation of American Depositary Receipts (ADRs), futures contracts, Exchange-Traded Funds (ETFs) and certain indexes as well as quoted prices for similar securities may be used and would be categorized as Level 2 in the hierarchy. For equity securities, including restricted securities, where observable inputs are limited, assumptions about market activity and risk are used and these securities may be categorized as Level 3 in the hierarchy.
 
Debt securities, including restricted securities, are valued based on evaluated prices received from third party pricing services or from brokers who make markets in such securities. U.S. Treasury Obligations are valued by pricing services who utilize matrix pricing which considers yield or price of bonds of comparable quality, coupon, maturity and type or by broker-supplied prices. When independent prices are unavailable or unreliable, debt securities may be valued utilizing pricing methodologies which consider similar factors that would be used by third party pricing services. Debt securities are generally categorized as Level 2 in the hierarchy but may be Level 3 depending on the circumstances.
 
Futures contracts are valued at the settlement price established each day by the board of trade or exchange on which they are traded and are categorized as Level 1 in the hierarchy.
 
Investments in any open-end mutual funds are valued at their closing net asset value (NAV) each business day and are categorized as Level 1 in the hierarchy.
 
Changes in valuation techniques may result in transfers in or out of an assigned level within the disclosure hierarchy.
 
Derivative Instruments
Risk Exposures and the Use of Derivative Instruments: The Fund's investment objectives allow the Fund to enter into various types of derivative contracts. Derivatives are investments whose value is primarily derived from underlying assets, indices or reference rates and may be transacted on an exchange or over-the-counter (OTC). Derivatives may involve a future commitment to buy or sell a specified asset based on specified terms, to exchange future cash flows at periodic intervals based on a notional principal amount, or for one party to make one or more payments upon the occurrence of specified events in exchange for periodic payments from the other party.
 
The Fund used derivatives to increase returns, to gain exposure to certain types of assets and/or to manage exposure to certain risks as defined below. The success of any strategy involving derivatives depends on analysis of numerous economic factors, and if the strategies for investment do not work as intended, the Fund may not achieve its objectives.  
 
The Fund's use of derivatives increased or decreased its exposure to the following risk(s):
 
Equity Risk - Equity risk relates to the fluctuations in the value of financial instruments as a result of changes in market prices (other than those arising from interest rate risk or foreign exchange risk), whether caused by factors specific to an individual investment, its issuer, or all factors affecting all instruments traded in a market or market segment.
 
Investing in derivatives may involve greater risks than investing in the underlying assets directly and, to varying degrees, may involve risk of loss in excess of any initial investment and collateral received. In addition, there may be the risk that the change in value of the derivative contract does not correspond to the change in value of the underlying instrument.  
 
Futures Contracts: A futures contract is an agreement between two parties to buy or sell a specified underlying instrument for a specified price at a specified future date.
 
The Fund used futures contracts to manage its exposure to the stock market.
 
Open futures contracts at period end are presented in the Schedule of Investments under the caption "Futures Contracts". The underlying face amount at value reflects each contract's exposure to the underlying instrument or index at period end. Any securities and/or cash deposited to meet initial margin requirements are identified in the Schedule of Investments.
 
For additional information on the Fund's significant accounting policies, please refer to the Fund's most recent semiannual or annual shareholder report.
 
 
 
The fund's schedule of investments as of the date on the cover of this report has not been audited. This report is provided for the general information of the fund's shareholders. For more information regarding the fund and its holdings, please see the fund's most recent prospectus and annual report.
 
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