ALMAX
ALGER WEATHERBIE SPECIALIZED GROWTH FUND
ALGER FUNDS

Portfolio concentration

As of January 30, 2026 · N-PORT
Holdings
52
Top-10 weight
41.33%
Effective holdings ?
35
Crowding ?
356.1

Holdings

As of January 30, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 AAR CORP 167,582 $17.75M 5.70%
2 FIRSTSERVICE-WI 110,374 $17.14M 5.51%
3 STEPSTONE GROUP INC CLASS A 205,930 $14.56M 4.68%
4 ARTIVION INC 320,203 $13.05M 4.20%
5 CASELLA WASTE SYS INC CL A 121,710 $12.28M 3.95%
6 SEMTECH CORP 151,982 $12.12M 3.90%
7 VSE CORP 53,281 $11.65M 3.74%
8 ACADIA PHARMACEUTICALS INC 408,015 $10.25M 3.30%
9 RADNET INC 144,564 $10.13M 3.26%
10 TUTOR PERINI CORP 128,042 $10.10M 3.25%
11 PROGYNY INC 373,409 $8.91M 2.86%
12 HAMILTON LANE INC - A 58,584 $8.27M 2.66%
13 PLANET FITNESS INC CL A 89,233 $8.12M 2.61%
14 SITEONE LANDSCAPE SUPPLY INC 54,778 $7.86M 2.53%
15 VERACYTE INC 192,836 $7.34M 2.36%
16 UPSTART HOLDINGS INC 180,714 $7.09M 2.28%
17 OLLIES BARGAIN OUTLET HOLDINGS INC 62,224 $6.86M 2.21%
18 LOAR HOLDINGS INC 92,501 $6.34M 2.04%
19 NOVANTA INC 45,428 $6.11M 1.96%
20 CADRE HOLDINGS I 147,083 $5.88M 1.89%
21 PALOMAR HOLDINGS 47,592 $5.88M 1.89%
22 MONTROSE ENVIRONMENTAL GROUP INC 262,641 $5.85M 1.88%
23 Short-Term Investment DTRXX 5,823,387 $5.82M 1.87%
24 FIRST ADVANTAGE CORP 416,875 $5.63M 1.81%
25 FIRST WATCH RESTAURANT GROUP INC 349,141 $5.58M 1.79%
26 KRATOS DEFENSE and SEC SOLTN INC 53,806 $5.54M 1.78%
27 NCINO INC 258,497 $5.52M 1.77%
28 LEGENCE CORP-A 115,472 $5.42M 1.74%
29 STERLING INFRASTRUCTURE INC 15,024 $5.38M 1.73%
30 IRHYTHM TECHNOLOGIES INC 34,034 $5.26M 1.69%
31 WINGSTOP INC 19,289 $5.12M 1.65%
32 IMPINJ INC 33,280 $4.60M 1.48%
33 PIPER SANDLER COS 12,715 $4.40M 1.42%
34 GLAUKOS CORP 36,611 $4.37M 1.40%
35 COMPASS INC - A 336,811 $4.22M 1.36%
36 RXO INC 233,583 $3.41M 1.09%
37 AGILYSYS INC 35,541 $3.08M 0.99%
38 XOMETRY INC-A 51,794 $2.96M 0.95%
39 NEOGEN CORP 267,526 $2.73M 0.88%
40 ULTRAGENYX PHARMA INC 113,227 $2.73M 0.88%
41 VERRA MOBILITY CORP 115,091 $2.22M 0.71%
42 EVERUS CONSTRUCTION GROUP INC 24,002 $2.12M 0.68%
43 STRIDE INC 22,696 $1.92M 0.62%
44 DIGITALOCEAN HOLDINGS INC 32,895 $1.82M 0.58%
45 VERTEX INC - CLASS A 91,786 $1.70M 0.55%
46 CARDINAL INFRA-A 67,041 $1.69M 0.54%
47 Accelerant Holdings, Class A ARX 120,852 $1.65M 0.53%
48 INMODE LTD INMD 102,920 $1.62M 0.52%
49 SITIME CORP 3,956 $1.44M 0.46%
50 YORK SPACE SYSTE 9,993 $339.26K 0.11%
1 / 2 Next ›

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.