C000010393 Holdings — Transportation Fund

All 78 reported holdings of Transportation Fund (C000010393) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Tesla Inc11.80%$604.84K
Uber Technologies Inc4.15%$212.55K
Union Pacific Corporation4.12%$211.08K
United Parcel Service, Inc.3.16%$161.93K
CSX Corporation3.07%$157.55K
FedEx Corporation3.02%$154.94K
General Motors Company2.83%$145.05K
Norfolk Southern Corporation2.74%$140.34K
Delta Air Lines Inc.2.42%$123.85K
Old Dominion Freight Line Inc.2.26%$116.07K
Ford Motor Company2.26%$115.82K
United Airlines Holdings Inc1.97%$100.72K
XPO Inc1.68%$86.19K
Southwest Airlines Co.1.49%$76.30K
C.H. Robinson Worldwide Inc1.48%$75.89K
Expeditors International Of Washington Inc.1.48%$75.77K
J. B. Hunt Transport Services, Inc.1.42%$72.89K
Nio, Inc.1.34%$68.80K
Rivian Automotive Inc1.31%$66.94K
Zto Express (cayman), Inc.1.25%$64.01K
Grab Holdings Ltd.1.25%$63.81K
Ferrari NV1.24%$63.29K
Stellantis N.V1.23%$63.29K
TFI International Inc1.22%$62.46K
Garrett Motion Inc1.22%$62.40K
Star Bulk Carriers Corp.1.20%$61.67K
Canadian National Railway Company1.20%$61.56K
Li Auto, Inc.1.20%$61.35K
Canadian Pacific Kansas City Ltd.1.20%$61.28K
Aptiv PLC1.20%$61.25K
Autoliv, Inc.1.19%$60.78K
Magna International Inc1.17%$59.88K
BorgWarner Inc.1.16%$59.31K
Saia Inc1.14%$58.31K
ZIM Integrated Shipping Services Ltd1.14%$58.21K
Ryanair Holdings PLC1.12%$57.16K
Knight-Swift Transportation Holdings, Inc.1.11%$57.12K
Toyota Motor Corp.1.11%$56.67K
Mobileye Global Inc1.09%$55.74K
Honda Motor Co Ltd.1.08%$55.28K
Copa Holdings SA1.06%$54.08K
Kirby Corp0.94%$48.37K
American Airlines Group Inc0.93%$47.49K
Lear Corporation0.87%$44.44K
Landstar System Inc.0.84%$43.28K
GXO Logistics Inc.0.83%$42.62K
J.p. Morgan Securities LLC0.80%$41.15K
Lyft Inc0.79%$40.59K
Ryder System, Inc.0.79%$40.33K
Gentex Corp0.75%$38.48K
Merrill Lynch, Pierce, Fenner & Smith Incorporated0.73%$37.40K
Joby Aviation, Inc.0.72%$36.79K
Alaska Air Group Inc.0.70%$35.97K
Thor Industries Inc.0.68%$34.75K
Dana Inc.0.66%$33.99K
Matson Inc0.65%$33.12K
Patrick Industries Inc.0.64%$32.77K
Skywest Inc0.64%$32.69K
Avis Budget Group Inc.0.62%$31.65K
RXO Inc.0.59%$30.10K
Quantumscape Corp.0.59%$30.03K
Harley-Davidson, Inc.0.54%$27.84K
Visteon Corporation0.53%$27.24K
HUB Group Inc0.51%$26.02K
Dorman Products Inc.0.48%$24.84K
Werner Enterprises Inc.0.47%$23.85K
Goodyear Tire & Rubber Co. The0.45%$23.06K
Adient PLC0.44%$22.33K
JetBlue Airways Corporation0.42%$21.30K
Lucid Group Inc0.39%$20.08K
Allegiant Travel Company0.35%$17.99K
Arcbest Corporation0.34%$17.61K
Sun Country Airlines Holdings Inc.0.33%$16.97K
Fox Factory Holding Corporation0.29%$14.75K
Hertz Global Holdings Inc.0.28%$14.36K
Forward Air Corp.0.28%$14.27K
Solid Power Inc0.25%$12.84K
Frontier Group Holdings Inc0.19%$9.86K

C000010393 overview: performance, fees, allocation and SEC filings