AFNAX
Bahl and Gaynor Income Growth Fund
INVESTMENT MANAGERS SERIES TRUST

Portfolio concentration

As of December 31, 2025 · N-PORT
Holdings
50
Top-10 weight
40.62%
Effective holdings ?
36
Crowding ?
1462.4

Holdings

As of December 31, 2025 · N-PORT
#SecurityTickerSharesValue% of fund
1 LILLY ELI and CO 90,445 $97.20M 5.66%
2 JOHNSON&JOHNSON 437,518 $90.54M 5.28%
3 BROADCOM INC 253,687 $87.80M 5.12%
4 ABBVIE INC 347,808 $79.47M 4.63%
5 MICROSOFT CORP 162,139 $78.41M 4.57%
6 TRAVELERS COS IN 211,773 $61.43M 3.58%
7 JPMORGAN CHASE and CO 171,330 $55.21M 3.22%
8 WILLIAMS COS INC 839,372 $50.45M 2.94%
9 PROCTER & GAMBLE 350,014 $50.16M 2.92%
10 NEXTERA ENERGY INC 595,245 $47.79M 2.78%
11 MCDONALDS CORP 150,374 $45.96M 2.68%
12 MONDELEZ INTL INC 807,018 $43.44M 2.53%
13 TAIWAN SEMIC MFG CO LTD SP ADR 136,770 $41.56M 2.42%
14 HOME DEPOT INC 107,725 $37.07M 2.16%
15 CHEVRON CORP 243,024 $37.04M 2.16%
16 EXXON MOBIL CORP 296,335 $35.66M 2.08%
17 PNC FINANCIAL SERVICES GRP INC 168,389 $35.15M 2.05%
18 GENERAL DYNAMICS CORPORATION 103,681 $34.91M 2.03%
19 MONEYMKT FISXX 34,789,055 $34.79M 2.03%
20 AUTOMATIC DATA PROCESSING INC 125,373 $32.25M 1.88%
21 TE CONNECTIVITY 138,609 $31.53M 1.84%
22 ACCENTURE PLC-A 116,916 $31.37M 1.83%
23 VICI PROPERTIES 1,109,971 $31.21M 1.82%
24 EATON CORP PLC 97,063 $30.92M 1.80%
25 CISCO SYSTEMS INC 391,560 $30.16M 1.76%
26 HARTFORD INSURANCE GROUP INC/THE 218,391 $30.09M 1.75%
27 PPL CORPORATION 834,593 $29.23M 1.70%
28 UNITEDHEALTH GRP 87,504 $28.89M 1.68%
29 SEMPRA ENERGY 326,484 $28.83M 1.68%
30 AVALONBAY COMMUNITIES INC REIT 147,432 $26.73M 1.56%
31 LOCKHEED MARTIN CORP 55,149 $26.67M 1.55%
32 CME GROUP INC CL A 95,960 $26.20M 1.53%
33 PEPSICO INC 164,345 $23.59M 1.37%
34 WEC ENERGY GROUP INC 220,597 $23.26M 1.36%
35 PAYCHEX INC 195,964 $21.98M 1.28%
36 CORNING INC 250,745 $21.96M 1.28%
37 MARSH & MCLENNAN 118,019 $21.89M 1.28%
38 TARGA RESOURCES CORP 111,034 $20.49M 1.19%
39 ILLINOIS TOOL WORKS INC 78,680 $19.38M 1.13%
40 RTX CORP 99,636 $18.27M 1.06%
41 APOLLO GLOBAL MANAGEMENT INC 125,373 $18.15M 1.06%
42 KINDER MORGAN INC 576,860 $15.86M 0.92%
43 DARDEN RESTAURANTS INC 70,223 $12.92M 0.75%
44 ONEOK INC 174,639 $12.84M 0.75%
45 PHILIP MORRIS INTL INC 72,429 $11.62M 0.68%
46 UNION PACIFIC CORP 48,164 $11.14M 0.65%
47 FASTENAL CO 262,510 $10.53M 0.61%
48 TEXAS INSTRUMENTS INC 59,193 $10.27M 0.60%
49 LINDE PLC 20,589 $8.78M 0.51%
50 GARMIN LTD 41,178 $8.35M 0.49%

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