AASRX
American Beacon Small Cap Value Fund
AMERICAN BEACON FUNDS

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
437
Top-10 weight
13.20%
Effective holdings ?
162
Crowding ?
379.9

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 American Beacon U.S. Government Money Market Fund 88,550,017 $88.55M 2.31%
2 AVNET INC 755,445 $47.13M 1.23%
3 STANDEX INTL CORP 188,927 $45.34M 1.18%
4 F5 INC 139,296 $38.39M 1.00%
5 COHERENT CORP 177,100 $37.58M 0.98%
6 AAR CORP 343,057 $36.33M 0.95%
7 SEACOAST BANKING CORP FLORIDA 1,064,195 $35.59M 0.93%
8 CIENA CORP 137,013 $34.50M 0.90%
9 FB FINANCIAL CORP 590,407 $33.97M 0.89%
10 LUMENTUM HOLDINGS INC 85,718 $33.59M 0.88%
11 TIMKEN CO 358,382 $33.40M 0.87%
12 STAGWELL INC 5,234,448 $31.46M 0.82%
13 ATI INC 259,521 $31.22M 0.82%
14 TEXAS CAPITAL BANCSHARES INC 304,300 $30.79M 0.80%
15 AVISTA CORP 730,332 $30.16M 0.79%
16 American Beacon U.S. Government Money Market Fund 30,148,850 $30.15M 0.79%
17 NOV INC 1,610,450 $29.55M 0.77%
18 WORKIVA INC 376,800 $29.02M 0.76%
19 RENASANT CORP 767,928 $28.96M 0.76%
20 NORTHERN OIL AND GAS INC 1,136,872 $28.42M 0.74%
21 MDU RESOURCES GROUP INC 1,366,185 $28.02M 0.73%
22 American Beacon U.S. Government Money Market Fund 27,209,323 $27.21M 0.71%
23 U-HAUL HOLDING CO 530,184 $27.20M 0.71%
24 OLIN CORP 1,285,722 $26.76M 0.70%
25 KNIFE RIVER HOLDING CO W/I 389,907 $26.19M 0.68%
26 SLM CORP 955,147 $25.93M 0.68%
27 BANNER CORPORATI 414,124 $25.61M 0.67%
28 FIRST HAWAIIAN INC 930,063 $24.69M 0.65%
29 TOWER SEMICONDCT 181,834 $24.50M 0.64%
30 ACADEMY SPORTS and OUTDOORS INC 444,017 $24.43M 0.64%
31 POTLATCHDELTIC CORP REIT 584,844 $24.41M 0.64%
32 ECOVYST INC 2,288,298 $24.28M 0.63%
33 BRUNSWICK CORP 302,495 $24.27M 0.63%
34 MATERION CORP 170,533 $23.58M 0.62%
35 INDEPENDENT BANK CORP MASS 290,934 $23.50M 0.61%
36 MARRIOTT VACATIONS WORLD 432,554 $23.49M 0.61%
37 LEAR CORP NEW 199,894 $23.41M 0.61%
38 KIRBY CORP 195,050 $22.95M 0.60%
39 KNOWLES CORP 943,907 $22.88M 0.60%
40 FLUOR CORP 493,874 $22.81M 0.60%
41 GLACIER BANCORP INC 447,509 $22.68M 0.59%
42 LITHIA MOTORS INC CL A 69,381 $22.44M 0.59%
43 WERNER ENTERPRISES INC 652,940 $22.36M 0.58%
44 INTERFACE INC 704,951 $22.18M 0.58%
45 NATIONAL-CL A 552,072 $22.18M 0.58%
46 MURPHY OIL CORP 722,600 $21.74M 0.57%
47 ROBERT HALF INTL 623,032 $21.56M 0.56%
48 CALIFORNIA RESOU 392,090 $20.98M 0.55%
49 KAISER ALUMINUM 170,874 $20.95M 0.55%
50 LIVE OAK BANCSHARES INC 519,893 $20.77M 0.54%
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