AMGCX
ALGER MID CAP GROWTH FUND
ALGER FUNDS

Portfolio concentration

As of January 30, 2026 · N-PORT
Holdings
72
Top-10 weight
29.05%
Effective holdings ?
52
Crowding ?
672.7

Holdings

As of January 30, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 FTAI AVIATION LTD 41,045 $11.18M 4.03%
2 RBC BEARINGS INC 18,440 $9.21M 3.32%
3 CBRE GROUP INC - CL A 50,580 $8.62M 3.10%
4 HOWMET AEROSPACE INC 38,156 $7.94M 2.86%
5 GFL ENVIRONM-SUB 182,104 $7.82M 2.82%
6 REPLIGEN CORP 52,202 $7.80M 2.81%
7 TKO GROUP HOLDINGS INC 35,771 $7.25M 2.61%
8 NATERA INC 30,213 $6.98M 2.52%
9 CLOUDFLARE INC-A 38,266 $6.79M 2.45%
10 HILTON WORLDWIDE HOLDINGS INC 22,267 $6.65M 2.40%
11 CELSIUS HOLDINGS INC 124,614 $6.54M 2.36%
12 COMFORT SYSTEMS USA INC 5,714 $6.53M 2.35%
13 O'REILLY AUTOMOTIVE INC 63,588 $6.26M 2.25%
14 AMPHENOL CORPORATION CL A 42,815 $6.17M 2.22%
15 ELF BEAUTY INC 72,580 $6.17M 2.22%
16 CARVANA CO CL A 14,315 $5.74M 2.07%
17 VIKING HOLDINGS LTD 77,975 $5.63M 2.03%
18 VERTIV HOLDINGS CO 30,166 $5.62M 2.02%
19 QXO INC 245,676 $5.45M 1.96%
20 Short-Term Investment DTRXX 5,419,576 $5.42M 1.95%
21 MONOLITHIC POWER SYS INC 4,614 $5.19M 1.87%
22 VERISK ANALYTICS INC 22,685 $4.93M 1.78%
23 RYAN SPECIALTY HOLDINGS INC 100,612 $4.86M 1.75%
24 TALEN ENERGY CORP 13,877 $4.83M 1.74%
25 INTACT FINL CORP 26,013 $4.74M 1.71%
26 MONGODB INC CL A 12,665 $4.70M 1.69%
27 WEST PHARMACEUTICAL SVCS INC 19,821 $4.58M 1.65%
28 IDEXX LABS INC 6,830 $4.58M 1.65%
29 HEICO CORP 13,294 $4.40M 1.59%
30 MARTIN MAR MTLS 6,738 $4.39M 1.58%
31 AXON ENTERPRISE INC 7,951 $3.84M 1.39%
32 VISTRA CORP 23,313 $3.69M 1.33%
33 DESCARTES SYS 48,709 $3.64M 1.31%
34 TWILIO INC CLASS A 29,762 $3.59M 1.29%
35 GUARDANT HEALTH INC 31,412 $3.58M 1.29%
36 ROCKET COS INC-A 190,779 $3.42M 1.23%
37 BURLINGTON STORES INC 11,508 $3.40M 1.23%
38 CHIPOTLE MEXICAN GRILL INC 87,579 $3.40M 1.23%
39 UNITY SOFTWARE INC 107,378 $3.12M 1.13%
40 APPLOVIN CORP 6,599 $3.12M 1.13%
41 BLUE OWL CAPITAL INC A 224,706 $3.06M 1.10%
42 SPOTIFY TECHNOLOGY SA 6,072 $3.04M 1.09%
43 NVR INC 379 $2.89M 1.04%
44 ASTERA LABS INC 18,894 $2.85M 1.03%
45 UNITED RENTALS INC 3,408 $2.67M 0.96%
46 Nebius Group NV, Class A YNDX 31,169 $2.66M 0.96%
47 SAIA INC 7,865 $2.63M 0.95%
48 WAYFAIR INC- A 25,272 $2.62M 0.94%
49 Abivax SA SPONSORED ADS ABVX US 22,253 $2.47M 0.89%
50 FAIR ISAAC CORP 1,499 $2.19M 0.79%
1 / 2 Next ›

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