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Name | Symbol | Market | Type |
---|---|---|---|
Capital One Financial Corporation | NYSE:COF-I | NYSE | Depository Receipt |
Price Change | % Change | Price | High Price | Low Price | Open Price | Traded | Last Trade | |
---|---|---|---|---|---|---|---|---|
-0.04 | -0.20% | 20.40 | 20.53 | 20.35 | 20.37 | 111,686 | 21:25:00 |
Page | ||||||||
Audited Financial Statements: | ||||||||
Supplemental Schedule: | ||||||||
Exhibit: | ||||||||
December 31, | December 31, | |||||||||||||
2022 | 2021 | |||||||||||||
Assets: | ||||||||||||||
Investments, at fair value | $ | 7,535,518,718 | $ | 8,787,813,990 | ||||||||||
Investments, at contract value | 595,204,203 | 542,647,650 | ||||||||||||
Total investments | 8,130,722,921 | 9,330,461,640 | ||||||||||||
Receivables: | ||||||||||||||
Notes receivable from participants, maturing through 2033, 3.25% - 9.0% interest rates | 146,889,737 | 138,935,267 | ||||||||||||
Other receivables | 5,248,424 | 7,115,086 | ||||||||||||
Total assets | 8,282,861,082 | 9,476,511,993 | ||||||||||||
Liabilities: | ||||||||||||||
Other liabilities | 4,961,441 | 5,354,442 | ||||||||||||
Total liabilities | 4,961,441 | 5,354,442 | ||||||||||||
Net assets available for benefits | $ | 8,277,899,641 | $ | 9,471,157,551 |
Year Ended December 31, | ||||||||||||||
2022 | 2021 | |||||||||||||
Additions: | ||||||||||||||
Investment income (loss): | ||||||||||||||
Net appreciation (depreciation) of investments | $ | (1,633,250,158) | $ | 1,389,936,934 | ||||||||||
Interest and dividends on investments | 11,231,549 | 10,472,170 | ||||||||||||
Net investment income (loss) | (1,622,018,609) | 1,400,409,104 | ||||||||||||
Interest income on notes receivable from participants | 7,938,358 | 7,797,511 | ||||||||||||
Contributions: | ||||||||||||||
Employer | 412,830,970 | 355,254,364 | ||||||||||||
Participants | 476,298,717 | 409,719,947 | ||||||||||||
Rollovers | 102,258,037 | 76,433,780 | ||||||||||||
Total contributions | 991,387,724 | 841,408,091 | ||||||||||||
Total additions | (622,692,527) | 2,249,614,706 | ||||||||||||
Deductions: | ||||||||||||||
Benefits paid to participants | 554,015,616 | 594,998,005 | ||||||||||||
Administrative expenses | 16,549,767 | 16,247,948 | ||||||||||||
Total deductions | 570,565,383 | 611,245,953 | ||||||||||||
Net increase (decrease) in net assets available for benefits | (1,193,257,910) | 1,638,368,753 | ||||||||||||
Net assets available for benefits: | ||||||||||||||
Beginning of year | 9,471,157,551 | 7,832,788,798 | ||||||||||||
End of year | $ | 8,277,899,641 | $ | 9,471,157,551 |
Level 1: | Valuation is based on quoted prices (unadjusted) in active markets for identical assets or liabilities. | |||||||
Level 2: | Valuation is based on observable market-based inputs other than Level 1 prices, such as quoted prices for similar assets or liabilities, quoted prices in markets that are not active, or other inputs that are observable or can be corroborated by observable market data for substantially the full term of the assets or liabilities. | |||||||
Level 3: | Valuation is generated from techniques that use significant assumptions not observable in the market. Valuation techniques include pricing models, discounted cash flow methodologies or similar techniques. |
December 31, 2022 | ||||||||||||||||||||
Level 1 | Level 2 | Total | ||||||||||||||||||
Investments, at fair value: | ||||||||||||||||||||
Registered investment companies | $ | 168,892,886 | $ | — | $ | 168,892,886 | ||||||||||||||
Collective investment trusts | — | 5,160,576,747 | 5,160,576,747 | |||||||||||||||||
Self-managed funds | 1,403,074,237 | 406,299,802 | 1,809,374,039 | |||||||||||||||||
Fidelity Brokerage Link | 102,897,990 | — | 102,897,990 | |||||||||||||||||
Capital One Stock Fund | 293,777,056 | — | 293,777,056 | |||||||||||||||||
Total plan assets, at fair value | $ | 7,535,518,718 |
December 31, 2021 | ||||||||||||||||||||
Level 1 | Level 2 | Total | ||||||||||||||||||
Investments, at fair value: | ||||||||||||||||||||
Registered investment companies | $ | 124,609,635 | $ | — | $ | 124,609,635 | ||||||||||||||
Collective investment trusts | — | 5,774,370,908 | 5,774,370,908 | |||||||||||||||||
Self-managed funds | 1,800,683,647 | 521,762,573 | 2,322,446,220 | |||||||||||||||||
Fidelity Brokerage Link | 135,849,714 | — | 135,849,714 | |||||||||||||||||
Capital One Stock Fund | 430,537,513 | — | 430,537,513 | |||||||||||||||||
Total plan assets, at fair value | $ | 8,787,813,990 |
December 31, | December 31, | |||||||||||||
2022 | 2021 | |||||||||||||
U.S. Large Cap Equity Fund | $ | 857,369,818 | $ | 1,108,895,465 | ||||||||||
U.S. Small/Mid Cap Equity Fund | 594,839,308 | 733,792,720 | ||||||||||||
Capital One Stock Fund | 293,777,056 | 430,537,513 | ||||||||||||
International Equity Fund | 357,164,913 | 479,758,035 | ||||||||||||
Fidelity Global ex U.S. Index Fund | 168,892,886 | 124,609,635 | ||||||||||||
Notes receivable from participants | 146,889,737 | 138,935,267 | ||||||||||||
Fidelity BrokerageLink | 102,897,990 | 135,849,714 | ||||||||||||
IGT Dodge & Cox Core Fixed Income Fund | 27,840,094 | 28,525,561 | ||||||||||||
December 31, | December 31, | |||||||||||||
2022 | 2021 | |||||||||||||
Net assets available for benefits: | ||||||||||||||
Net assets available for benefits, per the financial statements | $ | 8,277,899,641 | $ | 9,471,157,551 | ||||||||||
Adjustment from contract value to fair value for fully benefit-responsive investment contracts | (42,031,658) | 10,494,952 | ||||||||||||
Benefits payable to participants | (1,491,084) | (3,731,188) | ||||||||||||
Loans deemed distributed | (3,305,944) | (2,791,383) | ||||||||||||
Net assets available for benefits, per Form 5500 | $ | 8,231,070,955 | $ | 9,475,129,932 |
Year Ended December 31, | ||||||||||||||
2022 | 2021 | |||||||||||||
Net income (loss): | ||||||||||||||
Net increase (decrease) in net assets available for benefits, per the financial statements | $ | (1,193,257,910) | $ | 1,638,368,753 | ||||||||||
Reversal of prior year adjustment from contract value to fair value for fully benefit-responsive investment contracts | (10,494,952) | (26,428,471) | ||||||||||||
Adjustment from contract value to fair value for fully benefit-responsive investment contracts | (42,031,658) | 10,494,952 | ||||||||||||
Change in benefits payable to participants | 2,240,104 | 2,924,724 | ||||||||||||
Change in deemed loans distributions | (514,561) | (451,518) | ||||||||||||
Net income (loss), per Form 5500 | $ | (1,244,058,977) | $ | 1,624,908,440 |
(a) | (b) Identity of Issue, Borrower, Lessor or Similar Party | (c) Description of Investment Including Maturity Date, Rate of Interest, Collateral, Par or Maturity Value | |||||||||||||||||||||
Shares/Rate | (e) Current Value | ||||||||||||||||||||||
Registered investment companies (“RIC”): | |||||||||||||||||||||||
* | Fidelity Global ex U.S. Index Fund | 13,457,601 | shares | $ | 168,892,886 | ||||||||||||||||||
Collective investment trusts (“CIT”): | |||||||||||||||||||||||
State Street S&P 500 Index Fund | 18,265,915 | shares | 1,495,960,211 | ||||||||||||||||||||
BlackRock LifePath 2050 | 12,797,450 | shares | 524,339,692 | ||||||||||||||||||||
BlackRock LifePath 2045 | 12,901,090 | shares | 505,157,647 | ||||||||||||||||||||
BlackRock LifePath 2040 | 11,979,910 | shares | 439,950,202 | ||||||||||||||||||||
BlackRock LifePath 2055 | 14,640,951 | shares | 434,271,098 | ||||||||||||||||||||
BlackRock LifePath 2035 | 10,396,015 | shares | 354,056,032 | ||||||||||||||||||||
BlackRock LifePath 2030 | 8,729,672 | shares | 272,391,069 | ||||||||||||||||||||
BlackRock LifePath 2060 | 14,809,190 | shares | 249,970,246 | ||||||||||||||||||||
BlackRock U.S. Debt Index | 16,290,147 | shares | 231,955,409 | ||||||||||||||||||||
BlackRock LifePath 2025 | 5,811,616 | shares | 165,177,163 | ||||||||||||||||||||
Prudential Core Plus Bond Fund | 935,860 | shares | 156,260,581 | ||||||||||||||||||||
BlackRock Russell 2500 Index Fund | 4,483,198 | shares | 171,207,158 | ||||||||||||||||||||
BlackRock LifePath Retirement | 4,157,113 | shares | 92,670,361 | ||||||||||||||||||||
BlackRock LifePath 2065 | 3,824,337 | shares | 46,000,267 | ||||||||||||||||||||
BlackRock Strategic Completion | 1,646,798 | shares | 21,209,611 | ||||||||||||||||||||
Self-managed funds: | |||||||||||||||||||||||
* ** | U.S. Large Cap Equity Fund | Various RIC, CIT, and common stocks | 857,369,818 | ||||||||||||||||||||
* ** | U.S. Small/Mid Cap Equity Fund | Various RIC, CIT, and common stocks | 594,839,308 | ||||||||||||||||||||
* ** | International Equity Fund | Various RIC and CIT | 357,164,913 | ||||||||||||||||||||
* | Participant-directed brokerage accounts: | ||||||||||||||||||||||
Fidelity BrokerageLink | Various mutual funds and common stocks | 102,897,990 | |||||||||||||||||||||
Fully benefit-responsive investment contracts (synthetic): | |||||||||||||||||||||||
IGT Invesco Short Term Bond Fund | 256,789,150 | ||||||||||||||||||||||
IGT Jennison Intermediate Fund | 55,362,030 | ||||||||||||||||||||||
IGT Invesco Intermediate Fund | 55,203,058 | ||||||||||||||||||||||
* | IGT Dodge & Cox Core Fixed Income Fund | 27,840,094 | |||||||||||||||||||||
IGT Invesco Core Fixed Income Fund | 27,621,986 | ||||||||||||||||||||||
IGT Pimco Core Fixed Income Fund | 27,739,824 | ||||||||||||||||||||||
IGT Loomis Sayles Core Fixed Income Fund | 27,598,157 | ||||||||||||||||||||||
IGT Loomis Sayles Intermediate Fund | 27,978,132 | ||||||||||||||||||||||
IGT Pimco Intermediate Fund | 27,418,887 | ||||||||||||||||||||||
Wrapped holdings | 575,582,976 | shares | 533,551,318 | ||||||||||||||||||||
Cash & equivalents | 19,621,228 | par | 19,621,228 | ||||||||||||||||||||
Capital One Stable Value Fund (Invesco) | 553,172,546 | ||||||||||||||||||||||
* | Capital One Stock Fund: | ||||||||||||||||||||||
Corporate common stock | 3,064,154 | shares | 284,843,755 | ||||||||||||||||||||
Cash & equivalents | 8,933,301 | par | 8,933,301 | ||||||||||||||||||||
Capital One Stock Fund | 293,777,056 | ||||||||||||||||||||||
Total investments | 8,088,691,264 | ||||||||||||||||||||||
* | Notes receivable from participants, maturing through 2033 | 3.25% - 9.0% interest rates | 143,583,793 | ||||||||||||||||||||
Total as of December 31, 2022 | $ | 8,232,275,057 |
Account Name | Total Value of Holdings | Security Identifier | Security Description | Shares/Par | Total Value | ||||||||||||
U.S. Large Cap Equity Fund | $ | 856,516,641.0 | 21M99A952 | SSGA S&P 500 NL SER A (CMM3) | $ | 443,895.2 | $ | 36,354,574.0 | |||||||||
FGD194000 | Capital One LSV LCV SMA | $ | 13,498,588.7 | $ | 215,208,000.2 | ||||||||||||
FGD196000 | Capital One Macquarie LCV | $ | 16,070,016.9 | $ | 240,311,032.0 | ||||||||||||
FGD200000 | Capital One Polen LCG SMA | $ | 14,979,344.9 | $ | 171,932,920.5 | ||||||||||||
FGD205000 | Capital One T Rowe LC Gr | $ | 15,876,755.5 | $ | 192,712,057.7 | ||||||||||||
U.S. Large Cap Equity Fund Total | $ | 856,518,584.5 | |||||||||||||||
CAPITAL ONE JACKSON SMID | $ | 107,857,735.9 | CASH | (CASH) | $ | 5.7 | $ | 5.7 | |||||||||
$ | 5.7 | ||||||||||||||||
09073M104 | BIO TECHNE CORP | $ | 64,044.0 | $ | 5,307,966.7 | ||||||||||||
114340102 | AZENTA INC | $ | 70,408.0 | $ | 4,099,153.8 | ||||||||||||
159864107 | CHARLES RIVER LABS INTL INC | $ | 28,588.0 | $ | 6,229,325.2 | ||||||||||||
22266L106 | COUPA SOFTWARE INC | $ | 50,557.0 | $ | 4,002,597.7 | ||||||||||||
25659T107 | DOLBY LABORATORIES INC CL A | $ | 38,047.0 | $ | 2,683,835.4 | ||||||||||||
29109X106 | ASPEN TECHNOLOGY INC | $ | 21,683.0 | $ | 4,453,688.2 | ||||||||||||
302491303 | FMC CORP NEW | $ | 30,570.0 | $ | 3,832,866.6 | ||||||||||||
384109104 | GRACO INC | $ | 76,906.0 | $ | 5,172,697.6 | ||||||||||||
39874R101 | GROCERY OUTLET HOLDING CORP | $ | 168,466.0 | $ | 4,917,522.5 | ||||||||||||
443201108 | HOWMET AEROSPACE INC | $ | 103,180.0 | $ | 4,066,323.8 | ||||||||||||
50212V100 | LPL FINL HLDGS INC | $ | 18,020.0 | $ | 3,895,383.4 | ||||||||||||
518415104 | LATTICE SEMICONDUCTOR CORP | $ | 35,848.0 | $ | 2,325,818.2 | ||||||||||||
52603A208 | LENDINGCLUB CORP | $ | 246,792.0 | $ | 2,171,769.6 | ||||||||||||
55087P104 | LYFT INC | $ | 125,802.0 | $ | 1,386,338.0 | ||||||||||||
57060D108 | MARKETAXESS HLDGS INC | $ | 14,050.0 | $ | 3,918,404.5 | ||||||||||||
650111107 | NEW YORK TIMES CO CL A | $ | 256,544.0 | $ | 8,327,418.2 | ||||||||||||
679295105 | OKTA INC CL A | $ | 28,270.0 | $ | 1,931,689.1 | ||||||||||||
69404D108 | PACIFIC BIOSCIENES OF CALI INC | $ | 415,196.0 | $ | 3,396,303.3 | ||||||||||||
698813102 | PAPA JOHNS INTL INC | $ | 51,504.0 | $ | 4,239,294.2 | ||||||||||||
70614W100 | PELOTON INTERACTIVE INC CL A | $ | 163,226.0 | $ | 1,296,014.4 | ||||||||||||
82982L103 | SITEONE LANDSCAPE SUPPLY INC | $ | 29,835.0 | $ | 3,500,242.2 | ||||||||||||
90184D100 | TWIST BIOSCIENCE CORP | $ | 44,233.0 | $ | 1,053,187.7 | ||||||||||||
92719V100 | VIMEO INC | $ | 322,720.0 | $ | 1,106,929.6 | ||||||||||||
929740108 | WESTINGHOUSE AIR BRAKE TECH CORP | $ | 69,344.0 | $ | 6,921,224.6 | ||||||||||||
934550203 | WARNER MUSIC GRP CORP CL A | $ | 126,628.0 | $ | 4,434,512.6 | ||||||||||||
98311A105 | WYNDHAM HOTELS & RESORTS INC | $ | 44,791.0 | $ | 3,194,046.2 |
BFXCLC6 | ELASTIC NV | $ | 57,192.0 | $ | 2,945,388.0 | ||||||||||||
BFZCHN7 | WIX.COM LTD | $ | 62,650.0 | $ | 4,813,399.5 | ||||||||||||
$ | 105,623,341.0 | ||||||||||||||||
262006208 | Dreyfus Government Cash Mgmt Instl | $ | 2,355,536.0 | $ | 2,366,884.8 | ||||||||||||
$ | 2,366,884.8 | ||||||||||||||||
$ | 107,990,231.5 | ||||||||||||||||
CAPITAL ONE LSV LCV SMA | $ | 215,199,223.7 | CASH | (CASH) | $ | 78,166.7 | $ | 78,166.7 | |||||||||
$ | 78,166.7 | ||||||||||||||||
001055102 | AFLAC INC | $ | 35,700.0 | $ | 2,568,258.0 | ||||||||||||
001084102 | AGCO CORP | $ | 14,900.0 | $ | 2,066,481.0 | ||||||||||||
00206R102 | AT&T INC | $ | 165,600.0 | $ | 3,048,696.0 | ||||||||||||
00287Y109 | ABBVIE INC | $ | 11,500.0 | $ | 1,858,515.0 | ||||||||||||
011659109 | ALASKA AIR GROUP INC | $ | 14,080.0 | $ | 604,595.2 | ||||||||||||
01973R101 | ALLISON TRANSMISSION HLDGS INC | $ | 18,800.0 | $ | 782,080.0 | ||||||||||||
020002101 | ALLSTATE CORPORATION | $ | 8,300.0 | $ | 1,132,535.0 | ||||||||||||
025932104 | AMERICAN FINL GROUP INC OHIO | $ | 6,500.0 | $ | 892,320.0 | ||||||||||||
026874784 | AMERICAN INTERNATIONAL GROUP | $ | 30,400.0 | $ | 1,922,496.0 | ||||||||||||
03076C106 | AMERIPRISE FINANCIAL INC | $ | 8,800.0 | $ | 2,740,056.0 | ||||||||||||
031162100 | AMGEN INC | $ | 10,500.0 | $ | 2,757,720.0 | ||||||||||||
031652100 | AMKOR TECHNOLOGY INC | $ | 67,100.0 | $ | 1,609,058.0 | ||||||||||||
035710839 | ANNALY CAPITAL MGMT INC REIT | $ | 26,600.0 | $ | 584,136.0 | ||||||||||||
03743Q108 | APA CORP | $ | 23,400.0 | $ | 1,092,312.0 | ||||||||||||
038222105 | APPLIED MATERIALS INC | $ | 8,900.0 | $ | 866,682.0 | ||||||||||||
042735100 | ARROW ELECTRONICS INC | $ | 10,900.0 | $ | 1,139,813.0 | ||||||||||||
045487105 | ASSOCIATED BANC CORP | $ | 55,300.0 | $ | 1,276,877.0 | ||||||||||||
047649108 | ATKORE INC | $ | 9,300.0 | $ | 1,054,806.0 | ||||||||||||
053807103 | AVNET INC | $ | 14,600.0 | $ | 607,068.0 | ||||||||||||
060505104 | BANK OF AMERICA CORPORATION | $ | 40,800.0 | $ | 1,351,296.0 | ||||||||||||
08579W103 | BERRY GLOBAL GROUP INC | $ | 20,900.0 | $ | 1,262,987.0 | ||||||||||||
086516101 | BEST BUY CO INC | $ | 13,000.0 | $ | 1,054,170.0 | ||||||||||||
09062X103 | BIOGEN INC | $ | 2,120.0 | $ | 587,070.4 | ||||||||||||
09739D100 | BOISE CASCADE CO | $ | 9,000.0 | $ | 618,030.0 | ||||||||||||
099724106 | BORGWARNER INC | $ | 31,000.0 | $ | 1,247,750.0 | ||||||||||||
105368203 | BRANDYWINE REALTY TRUST | $ | 81,200.0 | $ | 499,380.0 | ||||||||||||
110122108 | BRISTOL-MYERS SQUIBB CO | $ | 53,700.0 | $ | 3,863,715.0 | ||||||||||||
125523100 | CIGNA GROUP (THE) | $ | 7,600.0 | $ | 2,518,184.0 | ||||||||||||
126117100 | C N A FINANCIAL CORP | $ | 28,900.0 | $ | 1,221,892.0 | ||||||||||||
126650100 | CVS HEALTH CORP | $ | 34,600.0 | $ | 3,224,374.0 | ||||||||||||
14040H105 | CAPITAL ONE FINANCIAL CORP | $ | 14,300.0 | $ | 1,329,328.0 | ||||||||||||
14149Y108 | CARDINAL HEALTH INC | $ | 19,800.0 | $ | 1,531,840.9 | ||||||||||||
146229109 | CARTERS INC | $ | 8,500.0 | $ | 634,185.0 | ||||||||||||
150870103 | CELANESE CORP | $ | 5,900.0 | $ | 603,216.0 |
165167735 | CHESAPEAKE ENERGY CORP | $ | 10,700.0 | $ | 1,009,759.0 | ||||||||||||
17275R102 | CISCO SYSTEMS INC | $ | 58,000.0 | $ | 2,763,120.0 | ||||||||||||
172967424 | CITIGROUP INC | $ | 53,100.0 | $ | 2,401,713.0 | ||||||||||||
174610105 | CITIZENS FINANCIAL GROUP INC | $ | 41,000.0 | $ | 1,614,170.0 | ||||||||||||
20030N101 | COMCAST CORP CL A | $ | 74,500.0 | $ | 2,605,265.0 | ||||||||||||
205887102 | CONAGRA BRANDS INC | $ | 49,900.0 | $ | 1,931,130.0 | ||||||||||||
224441105 | CRANE NXT CO | $ | 7,100.0 | $ | 713,195.0 | ||||||||||||
2256908 | AMDOCS LTD | $ | 14,800.0 | $ | 1,351,166.0 | ||||||||||||
231021106 | CUMMINS INC | $ | 10,000.0 | $ | 2,422,900.0 | ||||||||||||
231561101 | CURTISS WRIGHT CORPORATION | $ | 5,000.0 | $ | 834,950.0 | ||||||||||||
23918K108 | DAVITA INC | $ | 15,000.0 | $ | 1,120,050.0 | ||||||||||||
24703L202 | DELL TECHNOLOGIES INC CL C | $ | 30,100.0 | $ | 1,210,622.0 | ||||||||||||
247361702 | DELTA AIR INC | $ | 18,900.0 | $ | 621,054.0 | ||||||||||||
253393102 | DICKS SPORTING GOODS INC | $ | 14,000.0 | $ | 1,684,060.0 | ||||||||||||
254543101 | DIODES INC | $ | 8,500.0 | $ | 647,190.0 | ||||||||||||
254709108 | DISCOVER FIN SVCS | $ | 16,000.0 | $ | 1,565,280.0 | ||||||||||||
2556868 | EVEREST REINSURANCE GROUP LTD | $ | 4,600.0 | $ | 1,523,842.0 | ||||||||||||
277432100 | EASTMAN CHEMICAL CO | $ | 11,600.0 | $ | 953,868.0 | ||||||||||||
278642103 | EBAY INC | $ | 41,500.0 | $ | 1,721,005.0 | ||||||||||||
2788713 | BUNGE LIMITED | $ | 9,300.0 | $ | 927,861.0 | ||||||||||||
29272W109 | ENERGIZER HLDGS INC | $ | 17,900.0 | $ | 600,545.0 | ||||||||||||
30231G102 | EXXON MOBIL CORP | $ | 47,500.0 | $ | 5,239,250.0 | ||||||||||||
302520101 | FNB CORP PA | $ | 71,400.0 | $ | 931,770.0 | ||||||||||||
30303M102 | META PLATFORMS INC CL A | $ | 8,700.0 | $ | 1,046,958.0 | ||||||||||||
31428X106 | FEDEX CORP | $ | 9,000.0 | $ | 1,569,150.0 | ||||||||||||
31847R102 | FIRST AMERICAN FINANCIAL CORP | $ | 22,400.0 | $ | 1,172,416.0 | ||||||||||||
320517105 | FIRST HORIZON CORP | $ | 36,500.0 | $ | 899,725.0 | ||||||||||||
345370860 | FORD MOTOR CO | $ | 82,700.0 | $ | 961,801.0 | ||||||||||||
35137L105 | FOX CORP CL A | $ | 47,900.0 | $ | 1,454,723.0 | ||||||||||||
36162J106 | GEO GROUP INC | $ | 56,600.0 | $ | 619,770.0 | ||||||||||||
37045V100 | GENERAL MOTORS CO | $ | 55,600.0 | $ | 1,870,384.0 | ||||||||||||
375558103 | GILEAD SCIENCES INC | $ | 34,100.0 | $ | 2,927,485.0 | ||||||||||||
38141G104 | GOLDMAN SACHS GROUP INC | $ | 8,000.0 | $ | 2,747,040.0 | ||||||||||||
397624107 | GREIF INC CL A | $ | 21,400.0 | $ | 1,445,784.0 | ||||||||||||
403949100 | HF SINCLAIR CORP | $ | 19,200.0 | $ | 996,288.0 | ||||||||||||
40412C101 | HCA HEALTHCARE INC | $ | 6,700.0 | $ | 1,607,732.0 | ||||||||||||
40434L105 | HP INC | $ | 90,700.0 | $ | 2,460,917.8 | ||||||||||||
42824C109 | HEWLETT PACKARD ENTERPRISE CO | $ | 82,600.0 | $ | 1,328,208.0 | ||||||||||||
431571108 | HILLENBRAND INC | $ | 21,200.0 | $ | 904,604.0 | ||||||||||||
44107P104 | HOST HOTELS & RESORTS INC | $ | 30,100.0 | $ | 492,737.0 |
446413106 | HUNTINGTON INGALLS INDUSTRIES INC | $ | 3,400.0 | $ | 784,312.0 | ||||||||||||
456237106 | INDUSTRIAL LOGISTICS PROPERTIES TR | $ | 36,300.0 | $ | 118,701.0 | ||||||||||||
45688C107 | INGEVITY CORP | $ | 12,020.0 | $ | 846,688.8 | ||||||||||||
457187102 | INGREDION INC | $ | 13,500.0 | $ | 1,331,640.0 | ||||||||||||
458140100 | INTEL CORP | $ | 115,300.0 | $ | 3,047,379.0 | ||||||||||||
459200101 | INTL BUS MACH CORP | $ | 10,700.0 | $ | 1,507,523.0 | ||||||||||||
46625H100 | JPMORGAN CHASE & CO | $ | 11,300.0 | $ | 1,515,330.0 | ||||||||||||
493267108 | KEYCORP | $ | 54,900.0 | $ | 956,358.0 | ||||||||||||
500754106 | KRAFT HEINZ CO | $ | 43,000.0 | $ | 1,750,530.0 | ||||||||||||
501044101 | KROGER CO | $ | 63,200.0 | $ | 2,817,456.0 | ||||||||||||
505336107 | LA Z BOY INC | $ | 21,400.0 | $ | 488,348.0 | ||||||||||||
526057104 | LENNAR CORP CL A | $ | 22,500.0 | $ | 2,036,250.0 | ||||||||||||
534187109 | LINCOLN NATIONAL CORP | $ | 24,200.0 | $ | 743,424.0 | ||||||||||||
539830109 | LOCKHEED MARTIN CORP | $ | 4,200.0 | $ | 2,043,258.0 | ||||||||||||
546347105 | LOUISIANA PACIFIC CORP | $ | 15,600.0 | $ | 923,520.0 | ||||||||||||
56418H100 | MANPOWERGROUP INC | $ | 8,800.0 | $ | 732,248.0 | ||||||||||||
56585A102 | MARATHON PETROLEUM CORP | $ | 17,200.0 | $ | 2,001,908.0 | ||||||||||||
58155Q103 | MCKESSON CORP | $ | 8,100.0 | $ | 3,042,846.0 | ||||||||||||
58463J304 | MEDICAL PPTY TR INC | $ | 36,100.0 | $ | 412,623.0 | ||||||||||||
58933Y105 | MERCK & CO INC NEW | $ | 54,600.0 | $ | 6,097,728.0 | ||||||||||||
59156R108 | METLIFE INC | $ | 30,400.0 | $ | 2,200,048.0 | ||||||||||||
60871R209 | MOLSON COORS BEVERAGE CO B | $ | 48,400.0 | $ | 2,493,568.0 | ||||||||||||
615394202 | MOOG INC CL A | $ | 11,300.0 | $ | 991,688.0 | ||||||||||||
617446448 | MORGAN STANLEY | $ | 29,200.0 | $ | 2,482,584.0 | ||||||||||||
62886E108 | NCR CORP | $ | 15,000.0 | $ | 351,150.0 | ||||||||||||
629377508 | NRG ENERGY INC | $ | 47,400.0 | $ | 1,508,268.0 | ||||||||||||
63938C108 | NAVIENT CORP | $ | 68,400.0 | $ | 1,125,180.0 | ||||||||||||
64110D104 | NETAPP INC | $ | 8,900.0 | $ | 534,534.0 | ||||||||||||
65336K103 | NEXSTAR MEDIA GROUP INC | $ | 9,411.0 | $ | 1,647,207.3 | ||||||||||||
666807102 | NORTHROP GRUMMAN CORP | $ | 2,200.0 | $ | 1,200,342.0 | ||||||||||||
67623C109 | OFFICE PROPERTIES INCOME TRUST | $ | 21,100.0 | $ | 281,685.0 | ||||||||||||
68389X105 | ORACLE CORP | $ | 16,600.0 | $ | 1,356,884.0 | ||||||||||||
68622V106 | ORGANON & CO | $ | 4,550.0 | $ | 127,081.5 | ||||||||||||
690742101 | OWENS CORNING INC | $ | 17,700.0 | $ | 1,509,810.0 | ||||||||||||
70959W103 | PENSKE AUTOMOTIVE GROUP INC | $ | 15,000.0 | $ | 1,723,950.0 | ||||||||||||
717081103 | PFIZER INC | $ | 129,000.0 | $ | 6,609,960.0 | ||||||||||||
718546104 | PHILLIPS 66 | $ | 15,900.0 | $ | 1,654,872.0 | ||||||||||||
72147K108 | PILGRIM'S PRIDE CORP NEW | $ | 2,000.0 | $ | 47,460.0 | ||||||||||||
744320102 | PRUDENTIAL FINANCIAL INC | $ | 5,100.0 | $ | 507,246.0 | ||||||||||||
74736K101 | QORVO INC | $ | 8,700.0 | $ | 788,568.0 | ||||||||||||
747525103 | QUALCOMM INC | $ | 12,200.0 | $ | 1,341,268.0 |
750236101 | RADIAN GROUP INC | $ | 35,200.0 | $ | 671,264.0 | ||||||||||||
7591EP100 | REGIONS FINANCIAL CORP | $ | 88,700.0 | $ | 1,930,112.0 | ||||||||||||
759509102 | RELIANCE STEEL & ALUMINUM CO | $ | 9,300.0 | $ | 1,882,692.0 | ||||||||||||
76009N100 | UPBOUND GROUP INC | $ | 20,600.0 | $ | 471,534.0 | ||||||||||||
783549108 | RYDER SYSTEM INC | $ | 10,400.0 | $ | 869,128.0 | ||||||||||||
78573L106 | SABRA HEALTHCARE REIT INC | $ | 36,800.0 | $ | 457,424.0 | ||||||||||||
828806109 | SIMON PPTY GROUP INC - REIT | $ | 6,200.0 | $ | 728,376.0 | ||||||||||||
832696405 | JM SMUCKER CO/THE | $ | 7,900.0 | $ | 1,251,834.0 | ||||||||||||
833034101 | SNAP-ON INCORPORATED | $ | 4,500.0 | $ | 1,028,205.0 | ||||||||||||
85208M102 | SPROUTS FMRS MKT INC | $ | 43,500.0 | $ | 1,408,095.0 | ||||||||||||
857477103 | STATE STREET CORP | $ | 20,400.0 | $ | 1,595,280.0 | ||||||||||||
858119100 | STEEL DYNAMICS INC | $ | 16,400.0 | $ | 1,607,856.0 | ||||||||||||
87165B103 | SYNCHRONY FINANCIAL | $ | 22,100.0 | $ | 726,206.0 | ||||||||||||
87612E106 | TARGET CORP | $ | 6,800.0 | $ | 1,013,472.0 | ||||||||||||
883203101 | TEXTRON INC | $ | 6,600.0 | $ | 467,412.0 | ||||||||||||
885160101 | THOR INDUSTRIES INC | $ | 8,600.0 | $ | 653,084.0 | ||||||||||||
902494103 | TYSON FOODS INC CL A | $ | 21,100.0 | $ | 1,313,475.0 | ||||||||||||
902681105 | UGI CORP NEW | $ | 25,600.0 | $ | 958,208.0 | ||||||||||||
91325V108 | UNITI GROUP INC | $ | 41,580.0 | $ | 229,937.4 | ||||||||||||
913903100 | UNIVERSAL HEALTH SVCS INC CL B | $ | 5,700.0 | $ | 803,073.0 | ||||||||||||
91913Y100 | VALERO ENERGY CORP | $ | 10,100.0 | $ | 1,281,286.0 | ||||||||||||
92343V104 | VERIZON COMMUNICATIONS INC | $ | 85,100.0 | $ | 3,352,940.0 | ||||||||||||
92556H206 | PARAMOUNT GLOBAL CL B | $ | 36,500.0 | $ | 624,880.0 | ||||||||||||
92556V106 | VIATRIS INC | $ | 11,440.0 | $ | 127,327.2 | ||||||||||||
92840M102 | VISTRA CORP | $ | 60,000.0 | $ | 1,392,000.0 | ||||||||||||
928563402 | VMWARE INC CL A | $ | 5,700.0 | $ | 699,732.0 | ||||||||||||
931427108 | WALGREENS BOOTS ALLIANCE INC | $ | 23,000.0 | $ | 859,280.0 | ||||||||||||
934423104 | WARNER BROS DISCOVERY INC | $ | 40,061.0 | $ | 379,778.3 | ||||||||||||
949746101 | WELLS FARGO & CO | $ | 56,800.0 | $ | 2,345,272.0 | ||||||||||||
959802109 | WESTERN UNION CO | $ | 38,100.0 | $ | 524,637.0 | ||||||||||||
96145D105 | WESTROCK CO | $ | 25,800.0 | $ | 907,128.0 | ||||||||||||
963320106 | WHIRLPOOL CORP | $ | 10,900.0 | $ | 1,541,914.0 | ||||||||||||
989701107 | ZIONS BANCORP | $ | 25,100.0 | $ | 1,233,916.0 | ||||||||||||
B3SPXZ3 | LYONDELLBASELL INDS CLASS A | $ | 14,200.0 | $ | 1,179,026.0 | ||||||||||||
B4Q5ZN4 | JAZZ PHARMA PLC | $ | 9,900.0 | $ | 1,577,169.0 | ||||||||||||
BKVD2N4 | SEAGATE TECHNOLOGY HOLDINGS PLC | $ | 21,800.0 | $ | 1,162,158.0 | ||||||||||||
$ | 213,987,945.7 | ||||||||||||||||
262006208 | Dreyfus Government Cash Mgmt Instl | $ | 1,273,320.5 | $ | 1,276,763.8 |
$ | 1,276,763.8 | ||||||||||||||||
$ | 215,342,876.2 | ||||||||||||||||
CAPITAL ONE MACQUARIE LCV | $ | 240,303,716.9 | CASH | (CASH) | $ | 67,620.0 | $ | 67,620.0 | |||||||||
$ | 67,620.0 | ||||||||||||||||
026874784 | AMERICAN INTERNATIONAL GROUP | $ | 120,100.0 | $ | 7,595,124.0 | ||||||||||||
039483102 | ARCHER DANIELS MIDLAND CO | $ | 75,647.0 | $ | 7,023,824.0 | ||||||||||||
071813109 | BAXTER INTL INC | $ | 131,400.0 | $ | 6,735,564.0 | ||||||||||||
11135F101 | BROADCOM INC | $ | 14,700.0 | $ | 8,219,211.0 | ||||||||||||
125523100 | CIGNA GROUP (THE) | $ | 23,800.0 | $ | 7,885,892.0 | ||||||||||||
126650100 | CVS HEALTH CORP | $ | 74,800.0 | $ | 6,970,612.0 | ||||||||||||
17275R102 | CISCO SYSTEMS INC | $ | 162,500.0 | $ | 7,741,500.0 | ||||||||||||
192446102 | COGNIZANT TECH SOLUTIONS CL A | $ | 119,726.0 | $ | 6,847,129.9 | ||||||||||||
20030N101 | COMCAST CORP CL A | $ | 218,300.0 | $ | 7,633,951.0 | ||||||||||||
205887102 | CONAGRA BRANDS INC | $ | 204,200.0 | $ | 7,902,540.0 | ||||||||||||
20825C104 | CONOCOPHILLIPS | $ | 56,043.0 | $ | 6,652,304.1 | ||||||||||||
254687106 | DISNEY (WALT) CO | $ | 79,800.0 | $ | 6,933,024.0 | ||||||||||||
254709108 | DISCOVER FIN SVCS | $ | 68,699.0 | $ | 6,720,823.2 | ||||||||||||
256677105 | DOLLAR GENERAL CORP | $ | 27,972.0 | $ | 6,903,489.6 | ||||||||||||
256746108 | DOLLAR TREE INC | $ | 43,500.0 | $ | 6,152,640.0 | ||||||||||||
260003108 | DOVER CORP | $ | 51,694.0 | $ | 6,999,884.5 | ||||||||||||
26614N102 | DUPONT DE NEMOURS INC | $ | 103,600.0 | $ | 7,110,068.0 | ||||||||||||
281020107 | EDISON INTL | $ | 115,400.0 | $ | 7,426,855.5 | ||||||||||||
29476L107 | EQUITY RESIDENTIAL REIT | $ | 116,200.0 | $ | 6,928,425.0 | ||||||||||||
31620M106 | FIDELITY NATL INFORM SVCS INC | $ | 80,907.0 | $ | 5,489,540.0 | ||||||||||||
436440101 | HOLOGIC INC | $ | 97,065.0 | $ | 7,261,432.7 | ||||||||||||
438516106 | HONEYWELL INTL INC | $ | 33,323.0 | $ | 7,141,118.9 | ||||||||||||
478160104 | JOHNSON & JOHNSON | $ | 41,700.0 | $ | 7,366,305.0 | ||||||||||||
58933Y105 | MERCK & CO INC NEW | $ | 70,100.0 | $ | 7,828,768.0 | ||||||||||||
59156R108 | METLIFE INC | $ | 95,847.0 | $ | 6,936,447.4 | ||||||||||||
620076307 | MOTOROLA SOLUTIONS INC | $ | 27,800.0 | $ | 7,188,802.0 | ||||||||||||
666807102 | NORTHROP GRUMMAN CORP | $ | 14,000.0 | $ | 7,638,540.0 | ||||||||||||
68389X105 | ORACLE CORP | $ | 90,500.0 | $ | 7,397,470.0 | ||||||||||||
75513E101 | RAYTHEON TECHNOLOGIES CORP | $ | 81,700.0 | $ | 8,245,164.0 | ||||||||||||
872540109 | TJX COMPANIES INC NEW | $ | 92,400.0 | $ | 7,355,040.0 | ||||||||||||
89832Q109 | TRUIST FINL CORP | $ | 160,800.0 | $ | 6,919,224.0 | ||||||||||||
902973304 | US BANCORP DEL | $ | 157,900.0 | $ | 6,961,811.0 | ||||||||||||
92343V104 | VERIZON COMMUNICATIONS INC | $ | 188,900.0 | $ | 7,442,660.0 | ||||||||||||
$ | 237,555,184.7 | ||||||||||||||||
262006208 | Dreyfus Government Cash Mgmt Instl | $ | 2,804,788.8 | $ | 2,813,743.5 | ||||||||||||
$ | 2,813,743.5 | ||||||||||||||||
$ | 240,436,548.1 |
CAPITAL ONE POLEN LCG SMA | $ | 171,928,364.5 | CASH | (CASH) | $ | 0.2 | $ | 0.2 | |||||||||
$ | 0.2 | ||||||||||||||||
002824100 | ABBOTT LABORATORIES | $ | 72,462.0 | $ | 7,955,603.0 | ||||||||||||
00724F101 | ADOBE INC | $ | 33,046.0 | $ | 11,120,970.4 | ||||||||||||
009066101 | AIRBNB INC CLASS A | $ | 66,316.0 | $ | 5,670,018.0 | ||||||||||||
016255101 | ALIGN TECHNOLOGY INC | $ | 8,079.0 | $ | 1,703,861.1 | ||||||||||||
02079K107 | ALPHABET INC CL C | $ | 153,811.0 | $ | 13,647,650.0 | ||||||||||||
023135106 | AMAZON.COM INC | $ | 184,397.0 | $ | 15,489,348.0 | ||||||||||||
052769106 | AUTODESK INC | $ | 40,047.0 | $ | 7,483,582.9 | ||||||||||||
256163106 | DOCUSIGN INC | $ | 49,574.0 | $ | 2,747,391.1 | ||||||||||||
366651107 | GARTNER INC | $ | 16,311.0 | $ | 5,482,779.5 | ||||||||||||
452327109 | ILLUMINA INC | $ | 28,875.0 | $ | 5,838,525.0 | ||||||||||||
57636Q104 | MASTERCARD INC CL A | $ | 26,808.0 | $ | 9,321,945.8 | ||||||||||||
594918104 | MICROSOFT CORP | $ | 46,662.0 | $ | 11,190,480.8 | ||||||||||||
64110L106 | NETFLIX INC | $ | 39,124.0 | $ | 11,536,885.1 | ||||||||||||
654106103 | NIKE INC CL B | $ | 37,485.0 | $ | 4,386,119.9 | ||||||||||||
70450Y103 | PAYPAL HLDGS INC | $ | 68,043.0 | $ | 4,846,022.5 | ||||||||||||
79466L302 | SALESFORCE INC | $ | 60,178.0 | $ | 7,979,001.0 | ||||||||||||
81762P102 | SERVICENOW INC | $ | 23,388.0 | $ | 9,080,858.8 | ||||||||||||
883556102 | THERMO FISHER SCIENTIFIC INC | $ | 11,517.0 | $ | 6,345,751.8 | ||||||||||||
91324P102 | UNITEDHEALTH GROUP INC | $ | 15,006.0 | $ | 7,955,881.1 | ||||||||||||
92826C839 | VISA INC CL A | $ | 41,611.0 | $ | 8,645,101.4 | ||||||||||||
98978V103 | ZOETIS INC CL A | $ | 31,248.0 | $ | 4,579,394.4 | ||||||||||||
B4BNMY3 | ACCENTURE PLC CL A | $ | 26,584.0 | $ | 7,093,674.6 | ||||||||||||
$ | 170,100,846.1 | ||||||||||||||||
262006208 | Dreyfus Government Cash Mgmt Instl | $ | 1,933,893.9 | $ | 1,945,591.3 | ||||||||||||
$ | 1,945,591.3 | ||||||||||||||||
$ | 172,046,437.6 | ||||||||||||||||
CAPITAL ONE RIVER RD SMID | $ | 87,848,051.2 | CASH | (CASH) | $ | 135,939.5 | $ | 135,939.5 | |||||||||
$ | 135,939.5 | ||||||||||||||||
004498101 | ACI WORLDWIDE INC | $ | 70,728.0 | $ | 1,626,744.0 | ||||||||||||
00751Y106 | ADVANCE AUTO PARTS INC | $ | 15,223.0 | $ | 2,261,072.2 | ||||||||||||
00922R105 | AIR TRANSPORT SERVICES GROUP | $ | 146,092.0 | $ | 3,795,470.2 | ||||||||||||
01626W101 | ALIGHT INC CL A | $ | 185,616.0 | $ | 1,551,749.8 | ||||||||||||
025676206 | AMERICAN EQY INVT LIFE HLD CO | $ | 37,787.0 | $ | 1,723,842.9 | ||||||||||||
04010E109 | ARGAN INC | $ | 33,851.0 | $ | 1,248,424.9 | ||||||||||||
04247X102 | ARMSTRONG WORLD INDUSTRIES INC | $ | 26,113.0 | $ | 1,791,090.7 | ||||||||||||
043436104 | ASBURY AUTOMOTIVE GROUP INC | $ | 7,025.0 | $ | 1,259,231.3 | ||||||||||||
047649108 | ATKORE INC | $ | 21,645.0 | $ | 2,454,975.9 | ||||||||||||
05550J101 | BJS WHSL CLUB HLDGS INC | $ | 31,503.0 | $ | 2,084,238.5 | ||||||||||||
071705107 | BAUSCH+LOMB CORP | $ | 45,350.0 | $ | 703,378.5 | ||||||||||||
126117100 | C N A FINANCIAL CORP | $ | 20,774.0 | $ | 878,324.7 | ||||||||||||
12685J105 | CABLE ONE INC | $ | 636.0 | $ | 452,743.0 |
13765N107 | CANNAE HOLDINGS INC | $ | 112,086.0 | $ | 2,314,575.9 | ||||||||||||
165167735 | CHESAPEAKE ENERGY CORP | $ | 5,303.0 | $ | 500,444.1 | ||||||||||||
199908104 | COMFORT SYSTEMS USA INC | $ | 10,953.0 | $ | 1,260,471.2 | ||||||||||||
21871N101 | CORECIVIC INC | $ | 147,174.0 | $ | 1,701,331.4 | ||||||||||||
23355L106 | DXC TECHNOLOGY CO | $ | 25,898.0 | $ | 686,297.0 | ||||||||||||
2339252 | WHITE MOUNTAINS INS GROUP LTD | $ | 2,506.0 | $ | 3,544,311.0 | ||||||||||||
26484T106 | DUN & BRADSTREET HOLDINGS IN | $ | 116,991.0 | $ | 1,434,309.7 | ||||||||||||
2677606 | AXIS CAPITAL HOLDINGS LTD | $ | 25,203.0 | $ | 1,376,335.8 | ||||||||||||
294268107 | EPLUS INC | $ | 37,258.0 | $ | 1,649,784.2 | ||||||||||||
29605J106 | ESAB CORP | $ | 11,441.0 | $ | 537,383.8 | ||||||||||||
29977A105 | EVERCORE INC A | $ | 2,680.0 | $ | 292,334.4 | ||||||||||||
30040P103 | EVERTEC INC | $ | 35,261.0 | $ | 1,141,751.2 | ||||||||||||
302635206 | FS KKR CAP CORP | $ | 49,880.0 | $ | 906,818.4 | ||||||||||||
37247D106 | GENWORTH FINANCIAL INC A | $ | 336,408.0 | $ | 1,779,598.3 | ||||||||||||
403949100 | HF SINCLAIR CORP | $ | 14,001.0 | $ | 726,511.9 | ||||||||||||
449253103 | IAA INC | $ | 31,001.0 | $ | 1,240,040.0 | ||||||||||||
44930G107 | ICU MEDICAL INC | $ | 5,712.0 | $ | 899,525.8 | ||||||||||||
457030104 | INGLES MARKETS INC-CL A | $ | 11,772.0 | $ | 1,135,527.1 | ||||||||||||
501889208 | LKQ CORP | $ | 65,960.0 | $ | 3,522,923.6 | ||||||||||||
527064109 | LESLIE'S INC | $ | 89,521.0 | $ | 1,093,051.4 | ||||||||||||
552690109 | MDU RESOURCES GROUP INC | $ | 53,756.0 | $ | 1,642,917.8 | ||||||||||||
58502B106 | PEDIATRIX MEDICAL GROUP INC | $ | 42,024.0 | $ | 624,476.6 | ||||||||||||
60871R209 | MOLSON COORS BEVERAGE CO B | $ | 31,450.0 | $ | 1,620,304.0 | ||||||||||||
626755102 | MURPHY USA INC | $ | 5,250.0 | $ | 1,467,585.0 | ||||||||||||
62886E108 | NCR CORP | $ | 64,998.0 | $ | 1,521,603.2 | ||||||||||||
629209305 | NMI HOLDINGS INC A | $ | 37,680.0 | $ | 787,512.0 | ||||||||||||
65158N102 | NEWMARK GROUP INC CL A | $ | 91,887.0 | $ | 732,339.4 | ||||||||||||
69047Q102 | OVINTIV INC | $ | 9,705.0 | $ | 492,140.6 | ||||||||||||
703395103 | PATTERSON COMPANIES INC | $ | 31,849.0 | $ | 892,727.5 | ||||||||||||
71424F105 | PERMIAN RESOURCES CORP CL A | $ | 161,998.0 | $ | 1,522,781.2 | ||||||||||||
731068102 | POLARIS INC | $ | 12,497.0 | $ | 1,262,197.0 | ||||||||||||
74051N102 | PREMIER INC | $ | 76,808.0 | $ | 2,686,743.8 | ||||||||||||
750236101 | RADIAN GROUP INC | $ | 43,602.0 | $ | 831,490.1 | ||||||||||||
78454L100 | SM ENERGY CO | $ | 29,958.0 | $ | 1,043,437.1 | ||||||||||||
83125X103 | SLEEP NUMBER CORP | $ | 9,911.0 | $ | 257,487.8 | ||||||||||||
844895102 | SOUTHWEST GAS HOLDINGS INC | $ | 14,451.0 | $ | 894,227.9 | ||||||||||||
87162W100 | TD SYNNEX CORP | $ | 27,929.0 | $ | 2,645,155.6 | ||||||||||||
896215209 | TRIMAS CORP | $ | 22,379.0 | $ | 620,793.5 | ||||||||||||
904708104 | UNIFIRST CORP | $ | 14,057.0 | $ | 2,717,218.1 | ||||||||||||
91336L107 | UNIVAR INC | $ | 51,539.0 | $ | 1,638,940.2 | ||||||||||||
92511U102 | VERRA MOBILITY CORP | $ | 12,037.0 | $ | 166,471.7 | ||||||||||||
92552R406 | VIAD CORP | $ | 14,133.0 | $ | 344,703.9 | ||||||||||||
92840M102 | VISTRA CORP | $ | 67,508.0 | $ | 1,566,185.6 |
928881101 | VONTIER CORP W/I | $ | 69,328.0 | $ | 1,340,110.2 | ||||||||||||
96208T104 | WEX INC | $ | 11,072.0 | $ | 1,811,932.8 | ||||||||||||
981475106 | WORLD KINECT CORP | $ | 25,306.0 | $ | 695,155.8 | ||||||||||||
985817105 | YELP INC | $ | 37,884.0 | $ | 1,035,748.6 | ||||||||||||
BD9Q3P5 | LIBERTY LATIN AMERICA LTD CL A | $ | 48,927.0 | $ | 368,420.3 | ||||||||||||
BD9Q3Q6 | LIBERTY LATIN AMERICA LTD CL C | $ | 27,006.0 | $ | 205,245.6 | ||||||||||||
BSFWCF5 | AXALTA COATING SYSTEMS LTD | $ | 36,256.0 | $ | 923,440.3 | ||||||||||||
$ | 83,934,105.8 | ||||||||||||||||
262006208 | Dreyfus Government Cash Mgmt Instl | $ | 3,855,229.7 | $ | 3,866,893.4 | ||||||||||||
$ | 3,866,893.4 | ||||||||||||||||
$ | 87,936,938.7 | ||||||||||||||||
CAPITAL ONE T ROWE LC GR | $ | 193,746,063.6 | CASH | (CASH) | $ | 94,641.2 | $ | 94,641.2 | |||||||||
$ | 94,641.2 | ||||||||||||||||
007903107 | ADVANCED MICRO DEVICES INC | $ | 18,229.0 | $ | 1,180,692.3 | ||||||||||||
00827B106 | AFFIRM HOLDINGS INC | $ | 16,891.0 | $ | 163,336.0 | ||||||||||||
02079K305 | ALPHABET INC CL A | $ | 153,692.0 | $ | 13,560,245.2 | ||||||||||||
023135106 | AMAZON.COM INC | $ | 141,750.0 | $ | 11,907,000.0 | ||||||||||||
032095101 | AMPHENOL CORPORATION CL A | $ | 40,753.0 | $ | 3,111,491.6 | ||||||||||||
037833100 | APPLE INC | $ | 106,467.0 | $ | 13,833,257.3 | ||||||||||||
040413106 | ARISTA NETWORKS INC | $ | 19,803.0 | $ | 2,403,094.1 | ||||||||||||
049468101 | ATLASSIAN CORP PLC CLS A | $ | 10,700.0 | $ | 1,376,876.0 | ||||||||||||
05352A100 | AVANTOR INC | $ | 61,195.0 | $ | 1,290,602.6 | ||||||||||||
075887109 | BECTON DICKINSON & CO | $ | 11,564.0 | $ | 2,940,725.2 | ||||||||||||
09857L108 | THE BOOKING HOLDINGS INC | $ | 1,195.0 | $ | 2,408,259.6 | ||||||||||||
125523100 | CIGNA GROUP (THE) | $ | 23,386.0 | $ | 7,748,717.2 | ||||||||||||
127387108 | CADENCE DESIGN SYSTEMS INC | $ | 13,332.0 | $ | 2,141,652.5 | ||||||||||||
169656105 | CHIPOTLE MEXICAN GRILL INC | $ | 1,058.0 | $ | 1,467,964.4 | ||||||||||||
22266T109 | COUPANG INC A | $ | 65,678.0 | $ | 966,123.4 | ||||||||||||
23381D102 | DAIICHI SANKYO CO-SPON ADR | $ | 31,567.0 | $ | 1,016,141.7 | ||||||||||||
256677105 | DOLLAR GENERAL CORP | $ | 12,110.0 | $ | 2,988,748.0 | ||||||||||||
30303M102 | META PLATFORMS INC CL A | $ | 19,604.0 | $ | 2,359,145.4 | ||||||||||||
337738108 | FISERV INC | $ | 61,807.0 | $ | 6,246,833.5 | ||||||||||||
34959E109 | FORTINET INC | $ | 15,184.0 | $ | 742,345.8 | ||||||||||||
37940X102 | GLOBAL PAYMENTS INC | $ | 22,058.0 | $ | 2,190,800.6 | ||||||||||||
418100103 | HASHICORP INC | $ | 6,585.0 | $ | 180,033.9 | ||||||||||||
444859102 | HUMANA INC | $ | 4,997.0 | $ | 2,563,348.6 | ||||||||||||
44891N208 | IAC INC | $ | 10,644.0 | $ | 472,593.6 | ||||||||||||
452327109 | ILLUMINA INC | $ | 1,872.0 | $ | 378,518.4 | ||||||||||||
45687V106 | INGERSOLL RAND INC | $ | 47,905.0 | $ | 2,503,036.3 | ||||||||||||
45784P101 | INSULET CORP | $ | 5,073.0 | $ | 1,493,440.5 | ||||||||||||
461202103 | INTUIT INC | $ | 17,919.0 | $ | 6,974,433.2 |
46120E602 | INTUITIVE SURGICAL INC | $ | 17,266.0 | $ | 4,581,533.1 | ||||||||||||
532457108 | LILLY ELI & CO | $ | 9,889.0 | $ | 3,617,791.8 | ||||||||||||
538034109 | LIVE NATION ENTERTAINMENT INC | $ | 14,286.0 | $ | 996,305.6 | ||||||||||||
550021109 | LULULEMON ATHLETICA INC | $ | 2,684.0 | $ | 859,899.9 | ||||||||||||
57636Q104 | MASTERCARD INC CL A | $ | 15,698.0 | $ | 5,458,665.5 | ||||||||||||
57667L107 | MATCH GROUP INC | $ | 12,758.0 | $ | 529,329.4 | ||||||||||||
594918104 | MICROSOFT CORP | $ | 97,330.0 | $ | 23,341,680.6 | ||||||||||||
60937P106 | MONGODB INC CL A | $ | 4,725.0 | $ | 930,069.0 | ||||||||||||
61174X109 | MONSTER BEVERAGE CORP | $ | 21,745.0 | $ | 2,207,769.9 | ||||||||||||
64110L106 | NETFLIX INC | $ | 8,411.0 | $ | 2,480,235.7 | ||||||||||||
654106103 | NIKE INC CL B | $ | 11,635.0 | $ | 1,361,411.4 | ||||||||||||
67066G104 | NVIDIA CORP | $ | 25,740.0 | $ | 3,761,643.6 | ||||||||||||
679580100 | OLD DOMINION FREIGHT LINES INC | $ | 2,446.0 | $ | 694,125.9 | ||||||||||||
70614W100 | PELOTON INTERACTIVE INC CL A | $ | 87,538.0 | $ | 695,051.7 | ||||||||||||
76954A103 | RIVIAN AUTOMOTIVE INC | $ | 145,660.0 | $ | 2,684,513.8 | ||||||||||||
778296103 | ROSS STORES INC | $ | 39,403.0 | $ | 4,573,506.2 | ||||||||||||
79466L302 | SALESFORCE INC | $ | 20,755.0 | $ | 2,751,905.5 | ||||||||||||
81762P102 | SERVICENOW INC | $ | 7,677.0 | $ | 2,980,748.8 | ||||||||||||
863667101 | STRYKER CORP | $ | 19,450.0 | $ | 4,769,719.3 | ||||||||||||
88339J105 | TRADE DESK INC | $ | 13,524.0 | $ | 606,280.9 | ||||||||||||
91324P102 | UNITEDHEALTH GROUP INC | $ | 18,499.0 | $ | 9,807,799.8 | ||||||||||||
92532F100 | VERTEX PHARMACEUTICALS INC | $ | 6,663.0 | $ | 1,924,141.1 | ||||||||||||
92826C839 | VISA INC CL A | $ | 23,602.0 | $ | 4,903,551.5 | ||||||||||||
B4BNMY3 | ACCENTURE PLC CL A | $ | 4,110.0 | $ | 1,096,712.4 | ||||||||||||
B908F01 | ASML HLDG NV (NY REG SHS) NEW YORK REGISTERED SHAR | $ | 7,371.0 | $ | 4,027,514.4 | ||||||||||||
BFZ1K46 | SPOTIFY TECHNOLOGY SA | $ | 13,232.0 | $ | 1,044,666.4 | ||||||||||||
$ | 189,296,029.7 | ||||||||||||||||
262006208 | Dreyfus Government Cash Mgmt Instl | $ | 529,086.1 | $ | 530,902.4 | ||||||||||||
76105Y109 | T ROWE PRICE GOVERNMENT RESERVE INVESTMENT FUND | $ | 3,986,445.4 | $ | 3,998,552.0 | ||||||||||||
$ | 4,529,454.3 | ||||||||||||||||
$ | 193,920,125.2 | ||||||||||||||||
CAPITAL ONE VIC CAP SMID | $ | 207,404,450.1 | CASH | (CASH) | $ | (406,665.1) | $ | (406,665.1) | |||||||||
$ | (406,665.1) | ||||||||||||||||
00766T100 | AECOM | $ | 21,540.0 | $ | 1,829,392.2 | ||||||||||||
011659109 | ALASKA AIR GROUP INC | $ | 31,325.0 | $ | 1,345,095.5 | ||||||||||||
018522300 | ALLETE INC | $ | 27,957.0 | $ | 1,803,506.1 | ||||||||||||
025932104 | AMERICAN FINL GROUP INC OHIO | $ | 13,788.0 | $ | 1,892,816.6 | ||||||||||||
03674X106 | ANTERO RES CORP | $ | 42,952.0 | $ | 1,331,082.5 |
03750L109 | APARTMENT INCOME REIT CORP CL A | $ | 62,331.0 | $ | 2,138,576.6 | ||||||||||||
03852U106 | ARAMARK | $ | 46,320.0 | $ | 1,914,868.8 | ||||||||||||
04316A108 | ARTISAN PARTNERS ASSET MANAGEMENT INC A | $ | 46,256.0 | $ | 1,373,803.2 | ||||||||||||
043436104 | ASBURY AUTOMOTIVE GROUP INC | $ | 8,642.0 | $ | 1,549,078.5 | ||||||||||||
047649108 | ATKORE INC | $ | 8,642.0 | $ | 980,175.6 | ||||||||||||
04911A107 | ATLANTIC UN BANKSHARES CORP | $ | 52,356.0 | $ | 1,839,789.8 | ||||||||||||
054540208 | AXCELIS TECHNOLOGIES INC | $ | 15,377.0 | $ | 1,220,318.7 | ||||||||||||
05550J101 | BJS WHSL CLUB HLDGS INC | $ | 19,126.0 | $ | 1,265,376.2 | ||||||||||||
05605H100 | BWX TECHNOLOGIES INC | $ | 30,181.0 | $ | 1,752,912.5 | ||||||||||||
062540109 | BANK HAWAII CORP | $ | 25,861.0 | $ | 2,005,779.2 | ||||||||||||
077454106 | BELDEN INC | $ | 20,650.0 | $ | 1,485,767.5 | ||||||||||||
084423102 | BERKLEY (WR) CORP | $ | 16,902.0 | $ | 1,226,578.1 | ||||||||||||
08579W103 | BERRY GLOBAL GROUP INC | $ | 30,562.0 | $ | 1,846,861.7 | ||||||||||||
092113109 | BLACK HILLS CORP | $ | 21,985.0 | $ | 1,546,424.9 | ||||||||||||
09257W100 | BLACKSTONE MORTGAGE TR CL A | $ | 71,135.0 | $ | 1,550,031.7 | ||||||||||||
094235108 | BLOOMIN BRANDS INC | $ | 80,567.0 | $ | 1,621,008.0 | ||||||||||||
117043109 | BRUNSWICK CORP | $ | 17,855.0 | $ | 1,286,988.4 | ||||||||||||
12008R107 | BUILDERS FIRSTSOURCE | $ | 20,051.0 | $ | 1,300,908.9 | ||||||||||||
127190304 | CACI INTERNATIONAL INC | $ | 5,465.0 | $ | 1,642,724.4 | ||||||||||||
127203107 | CACTUS INC CL A | $ | 30,944.0 | $ | 1,555,245.4 | ||||||||||||
12769G100 | CAESARS ENTERTAINMENT INC | $ | 24,272.0 | $ | 1,009,715.2 | ||||||||||||
171779309 | CIENA CORP | $ | 37,933.0 | $ | 1,933,824.3 | ||||||||||||
17243V102 | CINEMARK HOLDINGS INC | $ | 76,945.0 | $ | 666,343.7 | ||||||||||||
17888H103 | CIVITAS RESOURCES INC | $ | 22,493.0 | $ | 1,303,019.5 | ||||||||||||
184496107 | CLEAN HARBORS INC | $ | 14,551.0 | $ | 1,660,560.1 | ||||||||||||
20854L108 | CONSOL ENERGY INC - W/I | $ | 24,463.0 | $ | 1,590,095.0 | ||||||||||||
222070203 | COTY INC CL A | $ | 231,534.0 | $ | 1,981,931.0 | ||||||||||||
224441105 | CRANE NXT CO | $ | 16,076.0 | $ | 1,614,834.2 | ||||||||||||
231561101 | CURTISS WRIGHT CORPORATION | $ | 11,692.0 | $ | 1,952,447.1 | ||||||||||||
23355L106 | DXC TECHNOLOGY CO | $ | 69,892.0 | $ | 1,852,138.0 | ||||||||||||
2353058 | FLEX LTD | $ | 103,059.0 | $ | 2,211,646.1 | ||||||||||||
254543101 | DIODES INC | $ | 16,775.0 | $ | 1,277,248.5 | ||||||||||||
27579R104 | EAST WEST BANCORP INC | $ | 25,098.0 | $ | 1,653,958.2 | ||||||||||||
29084Q100 | EMCOR GROUP INC | $ | 9,976.0 | $ | 1,477,545.4 | ||||||||||||
29261A100 | ENCOMPASS HEALTH CORP | $ | 28,974.0 | $ | 1,737,281.0 |
29355X107 | ENPRO INDUSTRIES INC | $ | 13,409.0 | $ | 1,457,424.2 | ||||||||||||
298736109 | EURONET WORLDWIDE INC | $ | 18,490.0 | $ | 1,745,086.2 | ||||||||||||
302941109 | FTI CONSULTING INC | $ | 10,683.0 | $ | 1,696,460.4 | ||||||||||||
313745101 | FEDERAL REALTY INVESTMENT TR | $ | 21,349.0 | $ | 2,180,159.9 | ||||||||||||
314211103 | FEDERATED HERMES INC | $ | 29,830.0 | $ | 1,083,127.3 | ||||||||||||
31847R102 | FIRST AMERICAN FINANCIAL CORP | $ | 24,526.0 | $ | 1,283,690.8 | ||||||||||||
32054K103 | FIRST INDUSTRIAL REALTY TRUST | $ | 49,800.0 | $ | 2,418,039.0 | ||||||||||||
344849104 | FOOT LOCKER INC | $ | 38,697.0 | $ | 1,462,359.6 | ||||||||||||
346375108 | FORMFACTOR INC | $ | 52,801.0 | $ | 1,173,766.2 | ||||||||||||
349853101 | FORWARD AIR CORP | $ | 10,795.0 | $ | 1,132,287.6 | ||||||||||||
36467J108 | GAMING AND LEISURE PROPRTI INC | $ | 38,734.0 | $ | 2,017,654.1 | ||||||||||||
393222104 | GREEN PLAINS INC | $ | 40,982.0 | $ | 1,249,951.0 | ||||||||||||
393657101 | GREENBRIER COMPANIES INC | $ | 39,647.0 | $ | 1,329,363.9 | ||||||||||||
410867105 | HANOVER INSURANCE GROUP INC | $ | 9,911.0 | $ | 1,339,273.4 | ||||||||||||
431284108 | HIGHWOODS PROPERTIES INC | $ | 60,221.0 | $ | 1,684,983.6 | ||||||||||||
44107P104 | HOST HOTELS & RESORTS INC | $ | 111,000.0 | $ | 1,817,070.0 | ||||||||||||
443201108 | HOWMET AEROSPACE INC | $ | 51,847.0 | $ | 2,043,290.3 | ||||||||||||
444097109 | HUDSON PACIFIC PROPERTIES INC | $ | 88,890.0 | $ | 864,899.7 | ||||||||||||
446413106 | HUNTINGTON INGALLS INDUSTRIES INC | $ | 5,405.0 | $ | 1,246,825.4 | ||||||||||||
449253103 | IAA INC | $ | 33,103.0 | $ | 1,324,120.0 | ||||||||||||
45073V108 | ITT INC | $ | 23,572.0 | $ | 1,911,689.2 | ||||||||||||
46333X108 | IRONWOOD PHARMA CL A (PEND) | $ | 129,427.0 | $ | 1,603,600.5 | ||||||||||||
466313103 | JABIL INC | $ | 25,830.0 | $ | 1,761,606.0 | ||||||||||||
48203R104 | JUNIPER NETWORKS INC | $ | 65,380.0 | $ | 2,089,544.8 | ||||||||||||
48242W106 | KBR INC | $ | 29,990.0 | $ | 1,587,070.8 | ||||||||||||
49714P108 | KINSALE CAPITAL GROUP INC | $ | 5,146.0 | $ | 1,345,781.9 | ||||||||||||
497266106 | KIRBY CORP | $ | 23,826.0 | $ | 1,533,203.1 | ||||||||||||
499049104 | KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC | $ | 31,625.0 | $ | 1,657,466.3 | ||||||||||||
531229854 | LIBERTY FORMULA ONE-C | $ | 23,000.0 | $ | 1,374,940.0 | ||||||||||||
535919500 | LIONS GATE ENTERTAINMENT CORP B | $ | 100,454.0 | $ | 545,465.2 | ||||||||||||
552848103 | MGIC INVESTMENT CORP | $ | 98,801.0 | $ | 1,284,413.0 | ||||||||||||
55303J106 | MGP INGREDIENTS INC | $ | 12,580.0 | $ | 1,338,260.4 | ||||||||||||
55306N104 | MKS INSTRUMENTS INC | $ | 19,506.0 | $ | 1,652,743.4 | ||||||||||||
554489104 | VERIS RESIDENTIAL INC | $ | 59,816.0 | $ | 952,868.9 | ||||||||||||
55616P104 | MACYS INC | $ | 61,759.0 | $ | 1,285,050.4 | ||||||||||||
556269108 | STEVEN MADDEN LTD | $ | 42,072.0 | $ | 1,344,621.1 |
58463J304 | MEDICAL PPTY TR INC | $ | 130,316.0 | $ | 1,489,511.9 | ||||||||||||
60871R209 | MOLSON COORS BEVERAGE CO B | $ | 30,879.0 | $ | 1,590,886.1 | ||||||||||||
65336K103 | NEXSTAR MEDIA GROUP INC | $ | 8,514.0 | $ | 1,490,205.4 | ||||||||||||
670704105 | NUVASIVE INC | $ | 28,528.0 | $ | 1,176,494.7 | ||||||||||||
67098H104 | O-I GLASS INC | $ | 104,710.0 | $ | 1,735,044.7 | ||||||||||||
674215207 | CHORD ENERGY CORP | $ | 9,277.0 | $ | 1,269,186.4 | ||||||||||||
680665205 | OLIN CORP | $ | 38,186.0 | $ | 2,021,566.8 | ||||||||||||
68622V106 | ORGANON & CO | $ | 67,668.0 | $ | 1,889,967.2 | ||||||||||||
688239201 | OSHKOSH CORP | $ | 15,630.0 | $ | 1,378,409.7 | ||||||||||||
69327R101 | PDC ENERGY INC | $ | 19,506.0 | $ | 1,238,240.9 | ||||||||||||
693656100 | PVH CORP | $ | 22,810.0 | $ | 1,610,157.9 | ||||||||||||
695156109 | PACKAGING CORP OF AMERICA | $ | 14,169.0 | $ | 1,830,068.0 | ||||||||||||
71377A103 | PERFORMANCE FOOD GROUP CO | $ | 28,846.0 | $ | 1,684,317.9 | ||||||||||||
74112D101 | PRESTIGE CONSUMER HEALTHCARE INC | $ | 17,282.0 | $ | 1,081,853.2 | ||||||||||||
743312100 | PROGRESS SOFTWARE CORP | $ | 29,418.0 | $ | 1,484,138.1 | ||||||||||||
743606105 | PROSPERITY BANCSHARES INC | $ | 32,849.0 | $ | 2,405,532.3 | ||||||||||||
745867101 | PULTEGROUP INC | $ | 45,135.0 | $ | 2,060,963.9 | ||||||||||||
751212101 | RALPH LAUREN CORP | $ | 19,569.0 | $ | 2,082,533.0 | ||||||||||||
759351604 | REINSURANCE GROUP OF AMERICA | $ | 10,737.0 | $ | 1,525,620.3 | ||||||||||||
759509102 | RELIANCE STEEL & ALUMINUM CO | $ | 7,433.0 | $ | 1,504,736.5 | ||||||||||||
78709Y105 | SAIA INC | $ | 8,001.0 | $ | 1,677,649.7 | ||||||||||||
81619Q105 | SELECT MEDICAL HLDGS CORP | $ | 42,507.0 | $ | 1,055,448.8 | ||||||||||||
82981J109 | SITE CENTERS CORP | $ | 123,266.0 | $ | 1,698,260.2 | ||||||||||||
840441109 | SOUTHSTATE CORP | $ | 27,678.0 | $ | 2,113,492.1 | ||||||||||||
858119100 | STEEL DYNAMICS INC | $ | 20,268.0 | $ | 1,987,074.7 | ||||||||||||
860630102 | STIFEL FINANCIAL CORP | $ | 23,000.0 | $ | 1,342,510.0 | ||||||||||||
87161C501 | SYNOVUS FINANCIAL CORP. | $ | 73,704.0 | $ | 2,792,644.6 | ||||||||||||
876030107 | TAPESTRY INC | $ | 50,131.0 | $ | 1,908,988.5 | ||||||||||||
88033G407 | TENET HEALTHCARE CORP | $ | 29,672.0 | $ | 1,447,696.9 | ||||||||||||
887389104 | TIMKEN CO | $ | 21,158.0 | $ | 1,495,235.9 | ||||||||||||
894164102 | TRAVEL+LEISURE CO | $ | 30,498.0 | $ | 1,110,127.2 | ||||||||||||
902681105 | UGI CORP NEW | $ | 47,399.0 | $ | 1,774,144.6 | ||||||||||||
91336L107 | UNIVAR INC | $ | 50,392.0 | $ | 1,602,465.6 | ||||||||||||
91529Y106 | UNUM GROUP | $ | 50,385.0 | $ | 2,067,296.6 | ||||||||||||
919794107 | VALLEY NATL BANCORP | $ | 153,065.0 | $ | 1,748,002.3 | ||||||||||||
92343X100 | VERINT SYSTEMS INC | $ | 44,985.0 | $ | 1,632,055.8 | ||||||||||||
926400102 | VICTORIA'S SECRET & CO | $ | 31,133.0 | $ | 1,113,938.7 | ||||||||||||
92839U206 | VISTEON CORP | $ | 13,533.0 | $ | 1,770,522.4 | ||||||||||||
92840M102 | VISTRA CORP | $ | 65,063.0 | $ | 1,509,461.6 | ||||||||||||
929089100 | VOYA FINANCIAL INC | $ | 25,987.0 | $ | 1,597,940.6 |
929740108 | WESTINGHOUSE AIR BRAKE TECH CORP | $ | 13,470.0 | $ | 1,344,440.7 | ||||||||||||
95082P105 | WESCO INTERNATIONAL INC | $ | 12,008.0 | $ | 1,503,401.6 | ||||||||||||
957638109 | WESTERN ALLIANCE BANCORP | $ | 34,119.0 | $ | 2,032,127.6 | ||||||||||||
960413102 | WESTLAKE CORP | $ | 17,600.0 | $ | 1,804,704.0 | ||||||||||||
97650W108 | WINTRUST FINANCIAL CORP | $ | 20,713.0 | $ | 1,750,662.8 | ||||||||||||
B3CTNK6 | SIGNET JEWELERS LTD | $ | 24,843.0 | $ | 1,689,324.0 | ||||||||||||
B4Q5ZN4 | JAZZ PHARMA PLC | $ | 10,865.0 | $ | 1,730,903.2 | ||||||||||||
B9CGTC3 | NORWEGIAN CRUISE LINE HLDGS LTD | $ | 96,641.0 | $ | 1,182,885.8 | ||||||||||||
BGH1M56 | PERRIGO CO PLC | $ | 56,739.0 | $ | 1,934,232.5 | ||||||||||||
BLS09M3 | PENTAIR PLC | $ | 34,119.0 | $ | 1,534,672.6 | ||||||||||||
BYMT0J1 | LIVANOVA PLC | $ | 29,418.0 | $ | 1,633,875.7 | ||||||||||||
$ | 201,181,478.2 | ||||||||||||||||
HHD822000 | BNY COLLECTIVE US GOVT STIF 15 BPS | $ | 6,814,117.6 | $ | 6,836,191.6 | ||||||||||||
$ | 6,836,191.6 | ||||||||||||||||
$ | 207,611,004.8 | ||||||||||||||||
CAPITAL ONE WILLIAM SMID | $ | 161,907,416.0 | CASH | (CASH) | $ | (10,786.1) | $ | (10,786.1) | |||||||||
$ | (10,786.1) | ||||||||||||||||
00404A109 | ACADIA HEALTHCARE CO INC | $ | 33,754.0 | $ | 2,778,629.3 | ||||||||||||
00790R104 | ADVANCED DRAINAGE SYSTEMS INC | $ | 20,030.0 | $ | 1,641,859.1 | ||||||||||||
011642105 | ALARM.COM HOLDINGS INC | $ | 31,408.0 | $ | 1,554,067.8 | ||||||||||||
03990B101 | ARES MANAGEMENT CORP CL A | $ | 25,863.0 | $ | 1,770,063.7 | ||||||||||||
05464C101 | AXON ENTERPRISE INC | $ | 23,903.0 | $ | 3,966,224.8 | ||||||||||||
05605H100 | BWX TECHNOLOGIES INC | $ | 80,633.0 | $ | 4,683,164.6 | ||||||||||||
09627Y109 | BLUEPRINT MEDICINES CORP | $ | 14,236.0 | $ | 623,679.2 | ||||||||||||
109696104 | BRINKS CO | $ | 52,395.0 | $ | 2,814,135.5 | ||||||||||||
114340102 | AZENTA INC | $ | 20,401.0 | $ | 1,187,746.2 | ||||||||||||
12008R107 | BUILDERS FIRSTSOURCE | $ | 59,218.0 | $ | 3,842,063.8 | ||||||||||||
122017106 | BURLINGTON STORES INC | $ | 9,686.0 | $ | 1,963,933.4 | ||||||||||||
125269100 | CF INDUSTRIES HOLDINGS INC | $ | 21,713.0 | $ | 1,849,947.6 | ||||||||||||
14316J108 | CARLYLE GROUP INC (THE) | $ | 41,836.0 | $ | 1,248,386.2 | ||||||||||||
147448104 | CASELLA WASTE SYS INC CL A | $ | 24,112.0 | $ | 1,912,322.7 | ||||||||||||
15687V109 | CERTARA INC | $ | 74,268.0 | $ | 1,193,486.8 | ||||||||||||
159864107 | CHARLES RIVER LABS INTL INC | $ | 9,130.0 | $ | 1,989,427.0 | ||||||||||||
16115Q308 | CHART INDUSTRIES INC | $ | 20,893.0 | $ | 2,407,500.4 | ||||||||||||
16359R103 | CHEMED CORP | $ | 7,306.0 | $ | 3,729,201.6 | ||||||||||||
192422103 | COGNEX CORP | $ | 32,501.0 | $ | 1,531,122.1 | ||||||||||||
2158684 | CAMECO CORP | $ | 132,828.0 | $ | 3,011,210.8 |
228368106 | CROWN HOLDINGS INC | $ | 38,866.0 | $ | 3,195,173.9 | ||||||||||||
24790A101 | DENBURY INC | $ | 19,279.0 | $ | 1,677,658.6 | ||||||||||||
268150109 | DYNATRACE INC | $ | 66,231.0 | $ | 2,536,647.3 | ||||||||||||
29261A100 | ENCOMPASS HEALTH CORP | $ | 57,130.0 | $ | 3,425,514.8 | ||||||||||||
29362U104 | ENTEGRIS INC | $ | 23,239.0 | $ | 1,524,246.0 | ||||||||||||
298736109 | EURONET WORLDWIDE INC | $ | 33,296.0 | $ | 3,142,476.5 | ||||||||||||
35138V102 | FOX FACTORY HOLDING CORP | $ | 21,176.0 | $ | 1,931,886.5 | ||||||||||||
358039105 | FRESHPET INC | $ | 20,689.0 | $ | 1,091,758.5 | ||||||||||||
379577208 | GLOBUS MEDICAL INC | $ | 25,156.0 | $ | 1,868,336.1 | ||||||||||||
40171V100 | GUIDEWIRE SOFTWARE INC | $ | 23,654.0 | $ | 1,479,794.2 | ||||||||||||
40637H109 | HALOZYME THERAPEUTICS INC | $ | 46,737.0 | $ | 2,659,335.3 | ||||||||||||
42226A107 | HEALTHEQUITY INC | $ | 44,445.0 | $ | 2,739,589.8 | ||||||||||||
422806208 | HEICO CORP CL A | $ | 15,909.0 | $ | 1,906,693.7 | ||||||||||||
457669307 | INSMED INC | $ | 47,615.0 | $ | 951,347.7 | ||||||||||||
457730109 | INSPIRE MEDICAL SYSTEMS INC | $ | 11,622.0 | $ | 2,927,349.4 | ||||||||||||
45784P101 | INSULET CORP | $ | 4,999.0 | $ | 1,471,655.6 | ||||||||||||
513847103 | LANCASTER COLONY CORP | $ | 12,402.0 | $ | 2,446,914.6 | ||||||||||||
527064109 | LESLIE'S INC | $ | 148,761.0 | $ | 1,816,371.8 | ||||||||||||
533900106 | LINCOLN ELECTRIC HLDGS INC | $ | 9,301.0 | $ | 1,349,854.1 | ||||||||||||
538034109 | LIVE NATION ENTERTAINMENT INC | $ | 18,977.0 | $ | 1,323,456.0 | ||||||||||||
55306N104 | MKS INSTRUMENTS INC | $ | 12,710.0 | $ | 1,076,918.3 | ||||||||||||
573284106 | MARTIN MARIETTA MATERIALS INC | $ | 8,325.0 | $ | 2,813,600.3 | ||||||||||||
589378108 | MERCURY SYSTEMS INC | $ | 67,684.0 | $ | 3,028,182.2 | ||||||||||||
589889104 | MERIT MEDICAL SYSTEMS INC | $ | 44,021.0 | $ | 3,108,763.0 | ||||||||||||
60937P106 | MONGODB INC CL A | $ | 6,199.0 | $ | 1,220,211.2 | ||||||||||||
636518102 | NATIONAL INSTRUMENT CORP | $ | 63,046.0 | $ | 2,326,397.4 | ||||||||||||
63845R107 | NATIONAL VISION HOLDINGS INC | $ | 82,642.0 | $ | 3,203,203.9 | ||||||||||||
644393100 | NEW FORTRESS ENERGY INC | $ | 45,962.0 | $ | 1,949,708.0 | ||||||||||||
653656108 | NICE LTD SPON ADR | $ | 11,022.0 | $ | 2,119,530.6 | ||||||||||||
67000B104 | NOVANTA INC | $ | 15,104.0 | $ | 2,052,180.5 | ||||||||||||
69553P100 | PAGERDUTY INC | $ | 70,563.0 | $ | 1,874,153.3 | ||||||||||||
70975L107 | PENUMBRA INC | $ | 15,504.0 | $ | 3,449,019.8 | ||||||||||||
71377A103 | PERFORMANCE FOOD GROUP CO | $ | 60,632.0 | $ | 3,540,302.5 | ||||||||||||
72703H101 | PLANET FITNESS INC CL A | $ | 31,150.0 | $ | 2,454,620.0 | ||||||||||||
73278L105 | POOL CORP | $ | 8,437.0 | $ | 2,550,758.2 | ||||||||||||
74624M102 | PURE STORAGE INC CL A | $ | 58,198.0 | $ | 1,557,378.5 | ||||||||||||
759916109 | REPLIGEN | $ | 9,881.0 | $ | 1,672,952.1 | ||||||||||||
76156B107 | REVOLVE GROUP INC | $ | 64,326.0 | $ | 1,431,896.8 |
82489W107 | SHOALS TECHNOLOGIES GROUP INC | $ | 54,111.0 | $ | 1,334,918.4 | ||||||||||||
83417M104 | SOLAREDGE TECHNOLOGIES INC | $ | 9,720.0 | $ | 2,753,384.4 | ||||||||||||
89531P105 | TREX CO INC | $ | 41,987.0 | $ | 1,777,309.7 | ||||||||||||
90184D100 | TWIST BIOSCIENCE CORP | $ | 26,834.0 | $ | 638,917.5 | ||||||||||||
922280102 | VARONIS SYSTEMS INC | $ | 88,431.0 | $ | 2,117,038.1 | ||||||||||||
928254101 | VIRTU FINANCIAL INC- CL A | $ | 114,143.0 | $ | 2,329,658.6 | ||||||||||||
957638109 | WESTERN ALLIANCE BANCORP | $ | 34,525.0 | $ | 2,056,309.0 | ||||||||||||
971378104 | WILLSCOT MOBILE MINI HOLDINGS CORP | $ | 27,302.0 | $ | 1,233,231.3 | ||||||||||||
977852102 | WOLFSPEED INC | $ | 14,914.0 | $ | 1,029,662.6 | ||||||||||||
98311A105 | WYNDHAM HOTELS & RESORTS INC | $ | 43,426.0 | $ | 3,096,708.1 | ||||||||||||
B23DBK6 | GENPACT LTD | $ | 33,584.0 | $ | 1,555,610.9 | ||||||||||||
B44VQM0 | WHITECAP RESOURCES INC | $ | 297,127.0 | $ | 2,370,213.2 | ||||||||||||
B7KH3G6 | AMBARELLA INC | $ | 17,309.0 | $ | 1,423,319.1 | ||||||||||||
BDSFG98 | TECHNIPFMC PLC | $ | 252,321.0 | $ | 3,075,793.0 | ||||||||||||
BJQ0C55 | FIRSTSERVICE CORP | $ | 12,324.0 | $ | 1,512,801.8 | ||||||||||||
JPA153000 | ABIOMED INC CVR | $ | 6,249.0 | $ | 6,374.0 | ||||||||||||
$ | 156,905,259.1 | ||||||||||||||||
262006208 | Dreyfus Government Cash Mgmt Instl | $ | 5,196,942.7 | $ | 5,214,024.2 | ||||||||||||
$ | 5,214,024.2 | ||||||||||||||||
$ | 162,108,497.2 | ||||||||||||||||
CAD | CANADIAN DOLLAR | $ | — | $ | — | ||||||||||||
$ | — | ||||||||||||||||
$ | — | ||||||||||||||||
Capital One Stock Fund | $ | 293,801,427.8 | 14040H105 | CAPITAL ONE FINANCIAL CORP | $ | 3,064,154.0 | $ | 284,843,755.8 | |||||||||
$ | 284,843,755.8 | ||||||||||||||||
31607A703 | FIMM MM Government Portfolio - Instl Cl | $ | 8,933,300.6 | $ | 8,972,510.5 | ||||||||||||
$ | 8,972,510.5 | ||||||||||||||||
$ | 293,816,266.3 | ||||||||||||||||
International Equity Fund | $ | 357,063,923.7 | 02509D541 | AMERICAN CENTURY NON-U.S. CONCENTRATED GROWTH (EAF | $ | 4,944,604.3 | $ | 64,680,863.4 | |||||||||
04281W762 | ARROWSTREET INTERNATIONAL EQUITY EAFE CIT CLASS M | $ | 760,769.8 | $ | 115,960,711.2 | ||||||||||||
49N99X671 | INVESTEC EM LLC | $ | 517,300.3 | $ | 70,730,476.2 | ||||||||||||
80808J609 | SCHRODER INTERNATIONAL MULTI-CAP VALUE TRUST M | $ | 6,806,667.9 | $ | 89,303,483.2 | ||||||||||||
$ | 340,675,534.0 | ||||||||||||||||
316146315 | GLOBAL EX US INDEX | $ | 1,313,894.7 | $ | 16,489,378.6 | ||||||||||||
$ | 16,489,378.6 | ||||||||||||||||
$ | 357,164,912.6 | ||||||||||||||||
Stable Value Fund | $ | 596,403,107.1 | 31607A703 | FIMM MM Government Portfolio - Instl Cl | $ | 19,621,228.0 | $ | 19,679,130.7 |
$ | 19,679,130.7 | ||||||||||||||||
62454001 | PRUDENTIAL INS CO AMERICA ACT | $ | 100,281,427.5 | ||||||||||||||
30099 | MASSACHUSETTS MUTUAL WBS | $ | 93,665,986.1 | ||||||||||||||
38004 | METROPOLITAN LIFE INC CO SICN | $ | 101,383,037.1 | ||||||||||||||
60119-VOYA | VOYA ACT | $ | 91,570,753.3 | ||||||||||||||
G-027257.01 | PACIFIC LIFE INS CO ACT | $ | 90,747,476.0 | ||||||||||||||
MDA01269TR-00 | TRANSAMERICA PREMIER LIFE ACT | $ | 99,075,296.4 | ||||||||||||||
$ | 576,723,976.4 | ||||||||||||||||
$ | 596,403,107.1 | ||||||||||||||||
$ | 596,403,215.3 | 62454001 | PRUDENTIAL INS CO AMERICA ACT | $ | 100,281,427.5 | ||||||||||||
30099 | MASSACHUSETTS MUTUAL WBS | $ | 93,665,986.1 | ||||||||||||||
38004 | METROPOLITAN LIFE INC CO SICN | $ | 101,383,037.1 | ||||||||||||||
60119-VOYA | VOYA ACT | $ | 91,570,753.3 | ||||||||||||||
G-027257.01 | PACIFIC LIFE INS CO ACT | $ | 90,747,476.0 | ||||||||||||||
MDA01269TR-00 | TRANSAMERICA PREMIER LIFE ACT | $ | 99,075,296.4 | ||||||||||||||
$ | 576,723,976.4 | ||||||||||||||||
SHORT TERM INVESTMENT FUND | FIDELITY STF | $ | 19,679,238.9 | ||||||||||||||
$ | 19,679,238.9 | ||||||||||||||||
$ | 596,403,215.3 | ||||||||||||||||
State Street S&P 500® Index Non-Lending Series Fund | $ | 1,495,950,216.1 | 21M99A952 | SSGA S&P 500 NL SER A (CMM3) | $ | 18,265,915.5 | $ | 1,495,960,210.8 | |||||||||
$ | 1,495,960,210.8 | ||||||||||||||||
$ | 1,495,960,210.8 | ||||||||||||||||
U.S. Small / Mid Cap Equity Fund | $ | 594,034,461.0 | 64234933 | BLACKROCK RUSS 2500 INDEX FD | $ | 766,450.7 | $ | 29,269,694.1 | |||||||||
$ | 29,269,694.1 | ||||||||||||||||
FGD189000 | CAPITAL ONE JACKSON SMID | $ | 10,651,523.3 | $ | 107,857,325.4 | ||||||||||||
FGD190000 | CAPITAL ONE RIVER RD SMID | $ | 5,305,813.2 | $ | 87,795,291.0 | ||||||||||||
FGD192000 | CAPITAL ONE WILLIAM SMID | $ | 12,370,933.1 | $ | 161,923,143.2 | ||||||||||||
ICB482000 | VICTORY CAPITAL SMID | $ | 22,235,656.9 | $ | 207,191,851.2 | ||||||||||||
$ | 564,767,610.9 | ||||||||||||||||
$ | 594,037,305.0 |
CAPITAL ONE FINANCIAL CORPORATION | ||||||||||||||
ASSOCIATE SAVINGS PLAN | ||||||||||||||
Date: June 23, 2023 | By: | /s/ PAMELA VENTURA | ||||||||||||
Pamela Ventura | ||||||||||||||
on behalf of the Benefits Committee, as Plan Administrator |
1 Year Capital One Financial Chart |
1 Month Capital One Financial Chart |
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