C000010393 Holdings — Transportation Fund

All 80 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, Inc.12.22%$348.26K
Union Pacific Corp.4.10%$116.96K
Uber Technologies, Inc.3.94%$112.43K
United Parcel Service, Inc.3.00%$85.57K
Csx Corp.2.98%$84.89K
Norfolk Southern Corp.2.69%$76.76K
General Motors Company2.59%$73.92K
Delta Air Lines, Inc.2.57%$73.15K
Fedex Corp.2.49%$71.08K
Ford Motor Co.2.31%$65.83K
United Airlines Holdings, Inc.2.30%$65.55K
Old Dominion Freight Line, Inc.1.89%$53.93K
Southwest Airlines Company1.71%$48.80K
J.b. Hunt Transport Services, Inc.1.47%$41.97K
Ch Robinson Worldwide, Inc.1.46%$41.62K
Xpo, Inc.1.45%$41.47K
Expeditors International Of Washington, Inc.1.44%$41.07K
Grab Holdings Ltd.1.43%$40.74K
Ryanair Holdings PLC1.32%$37.68K
Rivian Automotive, Inc.1.31%$37.39K
Garrett Motion, Inc.1.30%$36.95K
Fedex Freight Holding Company, Inc.1.27%$36.09K
Ferrari NV1.24%$35.37K
Mobileye Global, Inc.1.23%$35.02K
Canadian National Railway Company1.22%$34.70K
American Airlines Group, Inc.1.21%$34.44K
Canadian Pacific Kansas City Ltd.1.19%$34.05K
Magna International, Inc.1.18%$33.62K
Nio, Inc.1.17%$33.41K
Honda Motor Co. Ltd.1.16%$33.05K
Zim Integrated Shipping Services Ltd.1.16%$32.97K
Zto Express (cayman), Inc.1.15%$32.79K
Toyota Motor Corp.1.12%$31.83K
Copa Holdings SA1.11%$31.74K
Aptiv PLC1.10%$31.43K
Borgwarner, Inc.1.09%$31.14K
Knight-Swift Transportation Holdings, Inc.1.08%$30.84K
Star Bulk Carriers Corp.1.06%$30.31K
Autoliv, Inc.1.06%$30.20K
Tfi International, Inc.1.06%$30.15K
Versigent PLC1.03%$29.24K
Li Auto, Inc.1.01%$28.85K
Stellantis NV1.00%$28.50K
Saia, Inc.0.98%$27.80K
Kirby Corp.0.84%$24.07K
Landstar System, Inc.0.81%$23.16K
Alaska Air Group, Inc.0.80%$22.76K
Lear Corp.0.79%$22.39K
Ryder System, Inc.0.77%$21.89K
Lyft, Inc.0.77%$21.86K
Gxo Logistics, Inc.0.77%$21.85K
Joby Aviation, Inc.0.72%$20.61K
Gentex Corp.0.72%$20.57K
Rxo, Inc.0.67%$19.18K
Skywest, Inc.0.66%$18.77K
Quantumscape Corp.0.63%$17.93K
Allegiant Travel Company0.62%$17.76K
Thor Industries, Inc.0.60%$17.21K
Dana, Inc.0.57%$16.14K
Matson, Inc.0.55%$15.76K
Patrick Industries, Inc.0.55%$15.62K
Werner Enterprises, Inc.0.51%$14.52K
Harley-Davidson, Inc.0.48%$13.82K
Hub Group, Inc.0.48%$13.79K
Arcbest Corp.0.47%$13.35K
J.p. Morgan Securities LLC0.47%$13.34K
Merrill Lynch, Pierce, Fenner & Smith Incorporated0.47%$13.34K
Visteon Corp.0.46%$13.00K
Jetblue Airways Corp.0.45%$12.95K
Goodyear Tire & Rubber Company0.45%$12.71K
Lucid Group, Inc.0.39%$11.08K
Dreyfus Treasury Obligations Cash Management0.39%$11.02K
Dorman Products, Inc.0.36%$10.23K
Avis Budget Group, Inc.0.35%$10.05K
Adient PLC0.34%$9.70K
Frontier Group Holdings, Inc.0.30%$8.46K
Fox Factory Holding Corp.0.26%$7.34K
Forward Air Corp.0.23%$6.54K
Solid Power, Inc.0.22%$6.17K
Hertz Global Holdings, Inc.0.11%$3.18K

C000010393 overview: performance, fees, allocation and SEC filings