Security NameShares Market Value ($) Weight (%)
NVIDIA CORP567,18089,608,7688.1
MICROSOFT CORP179,86189,464,6608.1
APPLE INC353,89672,608,8426.5
AMAZON.COM INC231,58050,806,3364.6
ALPHABET INC CL A254,80044,903,4044
JPMORGAN CHASE + CO93,30027,048,6032.4
VISA INC CLASS A SHARES57,60020,450,8801.8
NETFLIX INC14,33819,200,4461.7
MASTERCARD INC A27,55215,482,5711.4
COSTCO WHOLESALE CORP15,00314,852,0701.3
PROCTER + GAMBLE CO/THE79,72512,701,7871.1
HOME DEPOT INC33,75112,374,4671.1
ABBVIE INC60,05211,146,8521
BANK OF AMERICA CORP233,95411,070,7031
INTL BUSINESS MACHINES CORP31,1669,187,1130.8
SALESFORCE INC31,5348,599,0060.8
CISCO SYSTEMS INC122,1918,477,6120.8
NOVO NORDISK A/S SPONS ADR114,6567,913,5570.7
ADVANCED MICRO DEVICES54,4507,726,4550.7
WALT DISNEY CO/THE60,8937,551,3410.7
LINDE PLC15,9307,474,0370.7
INTUIT INC9,2227,263,5240.7
SERVICENOW INC7,0587,256,1890.7
ASTRAZENECA PLC SPONS ADR101,6007,099,8080.6
AT+T INC242,6857,023,3040.6
SIEMENS AG SPONS ADR53,9366,950,7320.6
SHOPIFY INC CLASS A60,1006,932,5350.6
MERCK + CO. INC.84,6356,699,7070.6
MERCADOLIBRE INC2,5236,594,1880.6
INTUITIVE SURGICAL INC12,0006,520,9200.6
TEXAS INSTRUMENTS INC30,8526,405,4920.6
AUTOMATIC DATA PROCESSING20,6686,374,0110.6
BOOKING HOLDINGS INC1,1006,368,1640.6
ACCENTURE PLC CL A21,2006,336,4680.6
CATERPILLAR INC16,0006,211,3600.6
PEPSICO INC46,3316,117,5450.6
TOYOTA MOTOR CORP SPON ADR34,3005,908,5180.5
QUALCOMM INC36,8005,860,7680.5
MORGAN STANLEY41,0595,783,5710.5
VERIZON COMMUNICATIONS INC131,8955,707,0970.5
S+P GLOBAL INC10,6585,619,8570.5
ADOBE INC14,4245,580,3570.5
AMERICAN EXPRESS CO17,0485,437,9710.5
PROGRESSIVE CORP19,9585,325,9920.5
CITIGROUP INC62,4085,312,1690.5
SCHWAB (CHARLES) CORP57,2785,226,0450.5
THERMO FISHER SCIENTIFIC INC12,5885,103,9300.5
AMGEN INC18,1195,059,0060.5
SCHNEIDER ELECT SE UNSP ADR94,6005,049,7480.5
BLACKROCK INC4,7865,021,7110.5
UNILEVER PLC SPONSORED ADR81,6854,996,6710.5
APPLIED MATERIALS INC27,0024,943,2560.4
MICRON TECHNOLOGY INC37,9004,671,1750.4
GILEAD SCIENCES INC42,0464,661,6400.4
TJX COMPANIES INC37,6004,643,2240.4
STRYKER CORP11,7284,639,9490.4
PFIZER INC190,8704,626,6890.4
CAPITAL ONE FINANCIAL CORP21,4814,570,2980.4
BYD CO LTD UNSPONSORED ADR48,5004,549,3000.4
COMCAST CORP CLASS A124,9214,458,4300.4
DANAHER CORP22,0154,348,8430.4
DEERE + CO8,4454,294,1980.4
LOWE S COS INC19,0414,224,6270.4
DEUTSCHE TELEKOM AG SPON ADR114,2004,178,5780.4
CROWDSTRIKE HOLDINGS INC A8,0804,115,2250.4
AIR LIQUIDE UNSPONSORED ADR97,7414,036,7030.4
ANALOG DEVICES INC16,9114,025,1560.4
VERTEX PHARMACEUTICALS INC8,6433,847,8640.3
SANOFI ADR77,1163,725,4740.3
T MOBILE US INC15,4003,669,2040.3
CHUBB LTD12,5873,646,7060.3
MARSH + MCLENNAN COS16,6303,635,9830.3
L OREAL UNSPONSORED ADR41,6003,557,2160.3
INTERCONTINENTAL EXCHANGE IN19,1953,521,7070.3
AMERICAN TOWER CORP15,7093,472,0030.3
STARBUCKS CORP37,5673,442,2640.3
WELLTOWER INC22,3003,428,1790.3
FORTINET INC32,4003,425,3280.3
ARISTA NETWORKS INC33,1003,386,4610.3
RELX PLC SPON ADR62,3003,385,3820.3
CME GROUP INC12,0983,334,4510.3
SNOWFLAKE INC CLASS A14,9003,334,1730.3
PROLOGIS INC31,2223,282,0570.3
FISERV INC18,7003,224,0670.3
PALO ALTO NETWORKS INC14,9503,059,3680.3
INTEL CORP133,2792,985,4500.3
HERMES INTL UNSPONSORED ADR10,9602,971,3660.3
APPLOVIN CORP CLASS A8,4002,940,6720.3
MONDELEZ INTERNATIONAL INC A43,4472,930,0660.3
DOORDASH INC A11,8002,908,8180.3
CLOUDFLARE INC CLASS A14,8002,898,2840.3
CADENCE DESIGN SYS INC9,1842,830,0500.3
ARTHUR J GALLAGHER + CO8,7002,785,0440.3
NIKE INC CL B39,0492,774,0410.3
SHERWIN WILLIAMS CO/THE7,7922,675,4610.2
EQUINIX INC3,3312,649,7110.2
SYNOPSYS INC5,1432,636,7130.2
RECRUIT HOLDINGS CO LTD ADR223,7002,628,4750.2
CINTAS CORP11,5722,579,0520.2
CSL LTD SPONSORED ADR32,5002,574,0000.2
O REILLY AUTOMOTIVE INC28,5002,568,7050.2
MOODY S CORP5,0712,543,5630.2
GSK PLC SPON ADR65,9002,530,5600.2
CHIPOTLE MEXICAN GRILL INC44,9502,523,9430.2
AON PLC CLASS A7,0002,497,3200.2
COLGATE PALMOLIVE CO27,4252,492,9330.2
UNITED PARCEL SERVICE CL B24,6932,492,5110.2
PNC FINANCIAL SERVICES GROUP13,3492,488,5210.2
PAYCHEX INC16,4312,390,0530.2
NATIONAL GRID PLC SP ADR31,7192,360,2110.2
US BANCORP51,7162,340,1490.2
ILLINOIS TOOL WORKS9,3522,312,2820.2
ECOLAB INC8,5482,303,1730.2
MARVELL TECHNOLOGY INC29,2752,265,8850.2
AUTODESK INC7,2072,231,0710.2
TRANE TECHNOLOGIES PLC5,0072,190,1120.2
BANK OF NEW YORK MELLON CORP23,8002,168,4180.2
BRISTOL MYERS SQUIBB CO46,1012,134,0150.2
AIR PRODUCTS + CHEMICALS INC7,5592,132,0920.2
ATLAS COPCO AB SPONS ADR A129,6002,090,4480.2
ROPER TECHNOLOGIES INC3,6572,072,9340.2
MARRIOTT INTERNATIONAL CL A7,5002,049,0750.2
TRAVELERS COS INC/THE7,6162,037,5850.2
DIGITAL REALTY TRUST INC11,2921,968,5340.2
CARRIER GLOBAL CORP26,7001,954,1730.2
INDITEX UNSPON ADR148,6001,939,2300.2
AFLAC INC18,3151,931,5000.2
QUANTA SERVICES INC5,0001,890,4000.2
REGENERON PHARMACEUTICALS3,6001,890,0000.2
TRUIST FINANCIAL CORP43,6021,874,4500.2
SIMON PROPERTY GROUP INC10,9001,752,2840.2
ALLSTATE CORP8,7001,751,3970.2
LONZA GROUP AG UNSPON ADR24,5001,748,3200.2
GARMIN LTD8,3461,741,9770.2
AIRBNB INC CLASS A13,1001,733,6540.2
UNITED RENTALS INC2,2591,701,9310.2
EMERSON ELECTRIC CO12,7261,696,7580.2
PACCAR INC17,5001,663,5500.1
BECTON DICKINSON AND CO9,5511,645,1600.1
FASTENAL CO38,9161,634,4720.1
WW GRAINGER INC1,5701,633,1770.1
PAYPAL HOLDINGS INC21,9001,627,6080.1
VERTIV HOLDINGS CO A12,6001,617,9660.1
HALEON PLC ADR153,1251,587,9060.1
PUBLIC STORAGE5,3771,577,7190.1
METLIFE INC19,2001,544,0640.1
EDWARDS LIFESCIENCES CORP19,6721,538,5470.1
TARGET CORP15,5511,534,1060.1
ALCON INC17,3621,532,7170.1
TAKEDA PHARMACEUTIC SP ADR98,4001,521,2640.1
CROWN CASTLE INC14,7221,512,3910.1
KROGER CO20,7111,485,6000.1
MSCI INC2,5681,481,0680.1
MERCEDES BENZ GROUP UNSP ADR101,9001,474,4930.1
COPART INC29,9001,467,1930.1
FAIR ISAAC CORP8001,462,3680.1
KIMBERLY CLARK CORP11,3181,459,1170.1
IDEXX LABORATORIES INC2,7191,458,3080.1
TAKE TWO INTERACTIVE SOFTWRE6,0001,457,1000.1
DHL GROUP ADR30,9001,435,3050.1
FORD MOTOR CO132,2001,434,3700.1
NASDAQ INC15,9001,421,7780.1
VEEVA SYSTEMS INC CLASS A4,9061,412,8300.1
ALNYLAM PHARMACEUTICALS INC4,3001,402,1870.1
KEURIG DR PEPPER INC42,4001,401,7440.1
DATADOG INC CLASS A10,2001,370,1660.1
CBRE GROUP INC A9,7221,362,2470.1
ADIDAS AG SPONSORED ADR11,6381,361,8790.1
OTIS WORLDWIDE CORP13,5001,336,7700.1
WOLTERS KLUWER NV SPONS ADR8,0001,334,8800.1
ELECTRONIC ARTS INC8,3001,325,5100.1
PRUDENTIAL FINANCIAL INC12,0611,295,8340.1
ROCKWELL AUTOMATION INC3,8721,286,1620.1
HARTFORD INSURANCE GROUP INC9,9931,267,8120.1
RESMED INC4,8461,250,2680.1
CHARTER COMMUNICATIONS INC A3,0581,250,1410.1
SYSCO CORP16,1031,219,6410.1
WABTEC CORP5,7911,212,3460.1
CONSOLIDATED EDISON INC11,7611,180,2160.1
ATLASSIAN CORP CL A5,7001,157,6130.1
EBAY INC15,4001,146,6840.1
INGERSOLL RAND INC13,6691,136,9870.1
VULCAN MATERIALS CO4,3441,133,0020.1
AGILENT TECHNOLOGIES INC9,6001,132,8960.1
DEXCOM INC12,9731,132,4130.1
COSTAR GROUP INC13,8101,110,3240.1
GE HEALTHCARE TECHNOLOGY14,8001,096,2360.1
OLD DOMINION FREIGHT LINE6,6001,071,1800.1
EQUIFAX INC4,1001,063,4170.1
XYLEM INC8,2001,060,7520.1
ORANGE SPON ADR67,4001,023,8060.1
NUCOR CORP7,7921,009,3760.1
ASSA ABLOY AB UNSP ADR64,042995,8530.1
GENERAL MILLS INC18,699968,7950.1
VENTAS INC15,263963,8580.1
SSE PLC SPN ADR37,400959,6840.1
BROADRIDGE FINANCIAL SOLUTIO3,900947,8170.1
RAYMOND JAMES FINANCIAL INC6,050927,8890.1
FIFTH THIRD BANCORP22,500925,4250.1
THOMSON REUTERS CORP4,600925,1980.1
LULULEMON ATHLETICA INC3,800902,8040.1
HEWLETT PACKARD ENTERPRISE43,900897,7550.1
PPG INDUSTRIES INC7,642869,2780.1
FANUC CORP UNSP ADR61,700838,5030.1
INTERNATIONAL PAPER CO17,700828,8910.1
KONE OYJ B UNSPONSORED ADR25,100823,7820.1
SBA COMMUNICATIONS CORP3,507823,5840.1
SPROUTS FARMERS MARKET INC5,000823,2000.1
FORTIS INC17,000811,4100.1
METTLER TOLEDO INTERNATIONAL690810,5570.1
TELUS CORP50,094804,5100.1
STERIS PLC3,300792,7260.1
VERALTO CORP7,838791,2460.1
HUNTINGTON BANCSHARES INC46,600781,0160.1
EVERSOURCE ENERGY12,158773,4920.1
NORTHERN TRUST CORP6,100773,4190.1
CHURCH + DWIGHT CO INC8,012770,0330.1
SMURFIT WESTROCK PLC17,585758,7930.1
ULTA BEAUTY INC1,598747,5760.1
NETAPP INC7,008746,7020.1
HUBBELL INC1,800735,1380.1
REGIONS FINANCIAL CORP31,028729,7790.1
SMC CORP SPONSORED ADR40,500726,1650.1
INSULET CORP2,300722,6140.1
KRAFT HEINZ CO/THE27,923720,9720.1
BRAMBLES LTD SPONSORED ADR23,100715,6150.1
T ROWE PRICE GROUP INC7,311705,5120.1
M + T BANK CORP3,600698,3640.1
WILLIAMS SONOMA INC4,200686,1540.1
WATERS CORP1,963685,1660.1
QUEST DIAGNOSTICS INC3,715667,3250.1
MCCORMICK + CO NON VTG SHRS8,800667,2160.1
COMFORT SYSTEMS USA INC1,227657,9300.1
NIDEC CORPORATION SPON ADR134,712657,1250.1
CENTRAL JAPAN RAI UNSPON ADR57,800642,3890.1
WEYERHAEUSER CO24,600631,9740.1
LENNOX INTERNATIONAL INC1,100630,5640.1
BIOGEN INC4,967623,8060.1
ESSEX PROPERTY TRUST INC2,200623,4800.1
STEEL DYNAMICS INC4,800614,4480.1
PRINCIPAL FINANCIAL GROUP7,700611,6110.1
INTL FLAVORS + FRAGRANCES8,300610,4650.1
ZOOM COMMUNICATIONS INC7,731602,8630.1
TYLER TECHNOLOGIES INC1,000592,8400.1
FACTSET RESEARCH SYSTEMS INC1,300581,4640.1
PENTAIR PLC5,500564,6300.1
FIRST SOLAR INC3,400562,8360.1
MID AMERICA APARTMENT COMM3,800562,4380.1
CARLISLE COS INC1,500560,1000.1
MERCK KGAA SPONSORED ADR20,700536,9580
BALL CORP9,500532,8550
WATSCO INC1,200529,9440
SNAP ON INC1,700529,0060
ALLIANT ENERGY CORP8,500513,9950
ILLUMINA INC5,349510,3480
MONGODB INC2,400503,9760
HOLOGIC INC7,452485,5720
CLOROX COMPANY4,000480,2800
IDEX CORP2,600456,4820
AVERY DENNISON CORP2,600456,2220
ALIGN TECHNOLOGY INC2,400454,3920
BEST BUY CO INC6,749453,0600
OMNICOM GROUP6,200446,0280
BUILDERS FIRSTSOURCE INC3,800443,4220
ALEXANDRIA REAL ESTATE EQUIT5,800421,2540
OWENS CORNING2,933403,3460
KEYCORP18,800327,4960
Holdings as of 6/30/2025

The composition of the Fund’s portfolio is subject to change.