1 —Limited Purpose Cash Investment Fund 36.31% 36.3% 176,300,116 $176.30M - - - 2 DebtU.S. Treasury Bills 0 04-28-2026 4.26% 40.6% - $20.68M - - - 3 B BKNG Booking Holdings, Inc. Consumer Disc. · Internet 1.27% 41.8% 1,469 $6.18M +559 Consumer Disc. Internet 4 E EXPE Expedia Group Inc (consumer Discretionary) Consumer Disc. · Internet 1.22% 43.1% 25,561 $5.90M +10.1K Consumer Disc. Internet 5 —Siemens Energy Ag 1.04% 44.1% 29,173 $5.03M - - - 6 —Adobe SystemsInfo Tech · Software 1.03% 45.1% 20,620 $5.01M +6.5K Info Tech Software 7 M MCK Mckesson Corp. Health Care · Healthcare Services 1.02% 46.2% 5,738 $4.97M +919 Health Care Healthcare Services 8 F FTIXX Goldman Finl Sq Trsry Inst 506 0.96% 47.1% 4,668,472 $4.67M - - - 9 M MEDP Medpace Holdings Inc Health Care · Life Sciences Tools 0.92% 48.0% 9,347 $4.49M +4.4K Health Care Life Sciences Tools 10 C CNC Centene Health Care · Healthcare Services 0.84% 48.9% 125,279 $4.10M +45.2K Health Care Healthcare Services 11 E ERIC Ericsson B 0.82% 49.7% 347,254 $3.96M +85.2K - - 12 A ANET Arista Networks Inc Info Tech · Communications Equipment 0.77% 50.5% 30,365 $3.73M +5.4K Info Tech Communications Equipment 13 B BMY Bristol-Myers Squibb Co. Health Care · Pharmaceuticals 0.73% 51.2% 58,135 $3.53M +7.8K Health Care Pharmaceuticals 14 T TAP Molson Coors Beverage Company Cons. Staples · Beverages 0.71% 51.9% 80,180 $3.45M +17.6K Cons. Staples Beverages 15 B BNP Bnp Paribas Sa 0.71% 52.6% 35,956 $3.43M - - - 16 R REP Repsol Sa Sp/Adr Ordinary Shares 0.69% 53.3% 119,812 $3.37M +3 - - 17 A AMP Ameriprise Financial Inc Financials · Capital Markets 0.69% 54.0% 7,548 $3.35M +4.3K Financials Capital Markets 18 C CRUS Cirrus Logic Inc Info Tech · Semiconductors 0.67% 54.7% 22,380 $3.24M +7.5K Info Tech Semiconductors 19 M MO Altria Group Inc Cons. Staples · Tobacco 0.67% 55.3% 49,431 $3.26M +3.8K Cons. Staples Tobacco 20 A ABNB Airbnb Inc Consumer Disc. · Internet 0.65% 56.0% 25,070 $3.17M +12.2K Consumer Disc. Internet 21 M MA Mastercard Inc Financials · Capital Markets 0.64% 56.6% 6,260 $3.13M +4.6K Financials Capital Markets 22 —Equinor Asa 0.64% 57.3% 73,190 $3.12M +35.0K - - 23 H HUBS Hubspot Inc Info Tech · Software 0.63% 57.9% 12,475 $3.05M +7.1K Info Tech Software 24 N NYT New York Times Co Comm. Services · Media 0.63% 58.5% 36,760 $3.08M +10.5K Comm. Services Media 25 V VEEV Veeva Systems Inc., Class A Info Tech · Software 0.62% 59.1% 17,038 $2.99M -253 Info Tech Software 26 V VRSN Verisign Inc. Info Tech · IT Services 0.62% 59.8% 12,149 $3.02M +5.0K Info Tech IT Services 27 D DECK Deckers Outdoor Corp Consumer Disc. · Apparel & Luxury 0.61% 60.4% 29,564 $2.96M +1.8K Consumer Disc. Apparel & Luxury 28 N NOW Servicenow, Inc Info Tech · Software 0.60% 61.0% 27,889 $2.92M - Info Tech Software 29 E EXEL Exelixis Inc Health Care · Biotechnology 0.59% 61.6% 67,061 $2.88M +18.1K Health Care Biotechnology 30 S SOGN Societe Generale S.A. 0.59% 62.2% 39,226 $2.86M - - - 31 —Inpex CorpEnergy · Oil & Gas 0.59% 62.7% 96,300 $2.85M -36.7K Energy Oil & Gas 32 M MU Micron Technology, Inc. Info Tech · Semiconductors 0.57% 63.3% 8,165 $2.76M +5.1K Info Tech Semiconductors 33 G GEV Ge Vernova, Inc. Industrials · Machinery 0.57% 63.9% 3,190 $2.78M +1.2K Industrials Machinery 34 C CIEN Ciena Corp Info Tech · Communications Equipment 0.56% 64.4% 7,048 $2.74M - Info Tech Communications Equipment 35 —Banco Santander S.a. 0.56% 65.0% 242,185 $2.72M -2 - - 36 —Lrcx Uw EquityInfo Tech · Semiconductors 0.55% 65.6% 12,489 $2.67M +988 Info Tech Semiconductors 37 —Advantest Corp 0.55% 66.1% 19,200 $2.65M +3.0K - - 38 F FTNT Fortinet Inc Info Tech · Communications Equipment 0.54% 66.6% 32,249 $2.64M +21.3K Info Tech Communications Equipment 39 D DB Deutsche Bank Ag - 0.54% 67.2% 88,755 $2.64M - - - 40 N NTAP Netapp Inc Info Tech · Tech Hardware 0.52% 67.7% 24,892 $2.55M +7.6K Info Tech Tech Hardware 41 Z ZM Zoom Communications Inc Info Tech · Software 0.52% 68.2% 31,408 $2.52M -766 Info Tech Software 42 P PEGA Pegasystems, Inc. Info Tech · Software 0.51% 68.7% 57,940 $2.47M +37.0K Info Tech Software 43 G GM General Motors Co Consumer Disc. · Automobiles 0.50% 69.2% 32,438 $2.42M +15.6K Consumer Disc. Automobiles 44 N NTNX Nutanix Inc - A Info Tech · Software 0.50% 69.7% 63,908 $2.43M +11.9K Info Tech Software 45 A ADSK Autodesk, Inc. Info Tech · Software 0.49% 70.2% 10,020 $2.40M +8.4K Info Tech Software 46 B BCS Barclays Plc 0.48% 70.7% 444,148 $2.32M - - - 47 F FTI Technipfmc Plc Ordinary Shares Energy · Energy Equipment 0.47% 71.2% 32,866 $2.27M +18.5K Energy Energy Equipment 48 A AVT Avnet Inc Info Tech · Electronic Equipment 0.47% 71.6% 37,250 $2.30M +4.7K Info Tech Electronic Equipment 49 —Comcast Corp-Class A CmcsaComm. Services · Media 0.47% 72.1% 78,685 $2.26M - Comm. Services Media 50 —Western Digital Corp Company Guar 11/28 3Info Tech · Tech Hardware 0.46% 72.6% 8,327 $2.25M -4.7K Info Tech Tech Hardware More holdings · Pro