C000155959 Holdings — Guggenheim StylePlus-Large Core Fund

All 85 reported holdings of Guggenheim StylePlus-Large Core Fund (C000155959) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Guggenheim Partners Investment Management LLC31.48%$83.16M
Guggenheim Partners Investment Management LLC27.32%$72.16M
Guggenheim Partners Investment Management LLC12.84%$33.93M
Wells Fargo Bank, N.A.12.82%$33.86M
Dreyfus Treasury Securities Ca4.99%$13.18M
Microsoft Corp1.60%$4.23M
Apple Inc1.40%$3.69M
NVIDIA Corp1.34%$3.54M
Amazon.com Inc0.79%$2.10M
Alphabet Inc0.73%$1.94M
Johnson & Johnson0.39%$1.04M
AbbVie Inc0.38%$1.01M
Broadcom Inc0.38%$1.01M
Caterpillar Inc0.35%$924.22K
Merck & Co Inc0.34%$900.30K
Bank of America Corp0.34%$893.36K
Meta Platforms Inc0.34%$893.01K
IBM0.33%$872.82K
QUALCOMM Inc0.32%$837.84K
Cisco Systems Inc0.31%$831.40K
American Express Co0.31%$811.97K
Wells Fargo & Co0.29%$773.01K
RTX Corp0.29%$770.82K
AT&T Inc0.29%$766.59K
Applied Materials Inc0.28%$748.39K
Lockheed Martin Corp0.28%$746.48K
Gilead Sciences Inc0.28%$745.51K
United Rentals Inc0.28%$744.95K
Bristol-Myers Squibb Co0.28%$729.59K
Chubb Ltd0.27%$721.26K
Amphenol Corp0.27%$709.46K
WW Grainger Inc0.26%$693.93K
HCA Healthcare Inc0.26%$692.96K
Motorola Solutions Inc0.26%$688.38K
Cummins Inc0.26%$685.46K
Westinghouse Air Brake Technol0.26%$682.91K
PACCAR Inc0.26%$679.71K
eBay Inc0.26%$674.08K
Ameriprise Financial Inc0.25%$673.24K
Regeneron Pharmaceuticals Inc0.25%$658.08K
NXP Semiconductors NV0.25%$657.87K
TE Connectivity PLC0.25%$648.20K
F5 Inc0.25%$647.83K
Masco Corp0.24%$646.67K
Hartford Financial Services Gr0.24%$634.39K
HP Inc0.24%$633.00K
Allegion plc0.24%$632.66K
Incyte Corp0.24%$631.65K
Arch Capital Group Ltd0.24%$627.31K
Fifth Third Bancorp0.24%$622.04K
Gen Digital Inc0.23%$619.51K
GoDaddy Inc0.23%$607.37K
Hologic Inc0.23%$607.12K
Dover Corp0.23%$605.32K
Eli Lilly & Co0.23%$602.44K
Everest Group Ltd0.23%$601.85K
Akamai Technologies Inc0.23%$601.36K
TransDigm Group Inc0.22%$590.83K
NetApp Inc0.22%$575.93K
Universal Health Services Inc0.22%$574.82K
Snap-on Inc0.21%$567.25K
Berkshire Hathaway Inc0.21%$560.60K
Amgen Inc0.21%$544.86K
PulteGroup Inc0.21%$543.40K
Garmin Ltd0.20%$537.07K
Fair Isaac Corp0.20%$518.92K
Skyworks Solutions Inc0.20%$516.37K
Synchrony Financial0.19%$490.12K
Qorvo Inc0.18%$468.36K
KLA Corp0.17%$439.09K
Duke Energy Corp0.15%$403.78K
Arista Networks Inc0.15%$385.36K
Honeywell International Inc0.14%$377.87K
Lennar Corp0.14%$361.46K
Citizens Financial Group Inc0.10%$275.09K
DaVita Inc0.10%$257.53K
Ralph Lauren Corp0.09%$245.83K
General Motors Co0.09%$230.66K
JPMorgan Chase & Co0.08%$199.68K
A O Smith Corp0.08%$199.42K
Tesla Inc0.07%$192.82K
Exxon Mobil Corp0.07%$177.82K
UnitedHealth Group Inc0.06%$169.56K
Chicago Mercantile Exchange0.02%$62.52K
Raymond James Financial Inc0.00%$61

C000155959 overview: performance, fees, allocation and SEC filings