AATSX
Ancora/Thelen Small-Mid Cap Fund
ANCORA TRUST

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
102
Top-10 weight
26.43%
Effective holdings ?
63
Crowding ?
364.9

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 RAYONIER INC REIT 474,244 $9.78M 4.62%
2 APTIV PLC 92,950 $6.45M 3.05%
3 AMENTUM HOLDINGS INC 229,120 $5.98M 2.82%
4 MONEY MARKET FUND GOIXX 5,799,250 $5.80M 2.74%
5 MIDDLEBY CORP 41,021 $5.44M 2.57%
6 CRANE NXT CO 123,257 $5.00M 2.36%
7 UGI CORP NEW 130,459 $4.75M 2.24%
8 SOLSTICE ADV MAT 59,599 $4.54M 2.14%
9 Amrize Ltd. USD0.01 AMRZ US 79,080 $4.43M 2.09%
10 API GROUP CORP 99,615 $4.04M 1.91%
11 FORTIVE CORP 71,310 $3.94M 1.86%
12 PROG HOLDINGS INC 133,440 $3.83M 1.81%
13 GPGI INC 223,513 $3.82M 1.81%
14 ATMUS FILTRATION TECHNOLOGIES INC 66,816 $3.79M 1.79%
15 MILLROSE PROPERTIES INC 131,630 $3.69M 1.74%
16 GCI LIBERTY INC. - CL C 96,730 $3.60M 1.70%
17 EVERUS CONSTRUCTION GROUP INC 30,161 $3.56M 1.68%
18 VONTIER CORP W/I 99,610 $3.53M 1.67%
19 VIPER ENERGY INC A 72,115 $3.39M 1.60%
20 NPK INTERNATIONAL INC 229,200 $3.32M 1.57%
21 AEBI SCHMIDT HOLDING AG COMMON STOCK USD1.0 AEBI US 335,566 $3.26M 1.54%
22 PHINIA INC 47,520 $3.25M 1.54%
23 VERSANT MEDIA GROUP INC - A 86,440 $3.20M 1.51%
24 ENCOMPASS HEALTH CORP 32,830 $3.18M 1.50%
25 ARAMARK 75,610 $3.07M 1.45%
26 ENOVIS CORP 129,401 $2.94M 1.39%
27 CONCENTRA GROUP HOLDINGS PARENT INC 136,090 $2.92M 1.38%
28 DUPONT DE NEMOURS INC 62,497 $2.86M 1.35%
29 ARCOSA INC 26,949 $2.86M 1.35%
30 FORTUNE BRANDS INNOVATIONS INC 72,664 $2.83M 1.34%
31 ATLANTA BRAVES HOLDINGS INC 64,645 $2.76M 1.30%
32 HOULIHAN LOKEY I 18,846 $2.71M 1.28%
33 CRANE CO 15,787 $2.70M 1.28%
34 Nomad Foods Ltd. USD ORD SHS NOMD US 272,407 $2.62M 1.24%
35 MARRIOTT VACATIONS WORLD 40,140 $2.61M 1.23%
36 DT MIDSTREAM INC 18,746 $2.52M 1.19%
37 V2X INC 36,062 $2.47M 1.17%
38 DECKERS OUTDOOR CORP 24,630 $2.47M 1.16%
39 VIAD CORP 64,888 $2.38M 1.12%
40 CHURCHILL DOWNS INC 25,150 $2.26M 1.07%
41 MAGNERA CORP 232,419 $2.21M 1.04%
42 NORTHWESTERN ENERGY GROUP INC 33,070 $2.18M 1.03%
43 PUBLIC POLICY HO 158,673 $2.08M 0.98%
44 EZCORP INC CL A NON VTG 77,970 $1.98M 0.93%
45 DIAMONDROCK HOSPITALITY CO 206,010 $1.93M 0.91%
46 WILEY JOHN&SON-A 47,870 $1.82M 0.86%
47 QNITY ELECTRONICS INC 15,786 $1.82M 0.86%
48 BRIDGEWATER BANCSHARES INC 97,930 $1.73M 0.82%
49 RAYMOND JAMES FINANCIAL INC. 11,683 $1.69M 0.80%
50 FRONTDOOR INC 31,440 $1.66M 0.79%
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