APHQX
Artisan Mid Cap Value Fund
Artisan Partners Funds Inc.

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
52
Top-10 weight
28.50%
Effective holdings ?
47
Crowding ?
644.5

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ANALOG DEVICES INC 50,854 $16.18M 3.30%
2 LAMAR ADVERTISING CO CL A 125,627 $15.91M 3.24%
3 PERMIAN RESOURCES CORP CL A 703,986 $15.01M 3.06%
4 OGE ENERGY CORP 300,675 $14.42M 2.94%
5 FIRST CITIZENS BANCSHARES INC CL A 7,352 $13.86M 2.82%
6 NVENT ELECTRIC PLC 111,833 $13.23M 2.69%
7 VONTIER CORP W/I 365,568 $12.97M 2.64%
8 NOV INC 648,357 $12.20M 2.48%
9 GENPACT LTD 322,875 $12.03M 2.45%
10 TYSON FOODS INC CL A 187,251 $12.00M 2.44%
11 ALLIANT ENERGY CORPORATION 162,858 $11.69M 2.38%
12 AMRIZE LTD 206,318 $11.56M 2.35%
13 PROSPERITY BNCSH 171,299 $11.51M 2.34%
14 UGI CORP NEW 304,030 $11.07M 2.26%
15 U-HAUL HOLDING CO 246,892 $11.03M 2.25%
16 GARTNER INC 69,127 $10.95M 2.23%
17 ASBURY AUTOMOTIVE GROUP INC 54,219 $10.59M 2.16%
18 GLOBE LIFE INC 75,095 $10.45M 2.13%
19 EXPEDIA INC 43,907 $10.14M 2.07%
20 NNN REIT INC 232,465 $9.77M 1.99%
21 WARNER MUSIC GRP CORP CL A 376,056 $9.60M 1.96%
22 ELEVANCE HEALTH INC 32,607 $9.55M 1.94%
23 ALIGN TECHNOLOGY INC 55,250 $9.47M 1.93%
24 OMNICOM GROUP INC 120,731 $9.09M 1.85%
25 GENUINE PARTS CO 84,082 $8.89M 1.81%
26 VAIL RESORTS INC 68,467 $8.79M 1.79%
27 CONSTELLATION BRANDS INC CL A 58,264 $8.74M 1.78%
28 CDW CORPORATION 72,065 $8.72M 1.78%
29 FIFTH THIRD BANCORP 187,189 $8.70M 1.77%
30 NEWS CORP NEW CL A 343,129 $8.55M 1.74%
31 BROWN & BROWN 128,487 $8.38M 1.71%
32 POLARIS INC 147,841 $8.06M 1.64%
33 SILGAN HOLDINGS INC 207,143 $8.04M 1.64%
34 OTIS WORLDWIDE CORP 103,397 $7.97M 1.62%
35 BLKR-LIQ T-INS TSTXX 7,851,030 $7.85M 1.60%
36 SYSCO CORP 107,964 $7.70M 1.57%
37 FERGUSON ENTERPRISES INC 32,992 $7.70M 1.57%
38 MGM RESORTS INTERNATIONAL 205,875 $7.62M 1.55%
39 PUBLIC STORAGE 27,960 $7.57M 1.54%
40 IQVIA HOLDINGS INC 44,407 $7.57M 1.54%
41 VERALTO CORP 83,522 $7.39M 1.50%
42 RALLIANT CORP 176,026 $7.32M 1.49%
43 ARCH CAPITAL GROUP LTD 75,647 $7.26M 1.48%
44 Icon Public Limited Company ICLR 63,092 $6.98M 1.42%
45 REVVITY INC 79,251 $6.94M 1.41%
46 WATERS CORP 21,517 $6.41M 1.31%
47 CHECK POINT SOFTWARE TECHS LTD 38,691 $5.53M 1.13%
48 EXPEDITORS INTL OF WASH INC 34,507 $4.94M 1.01%
49 BAXTER INTL INC 291,022 $4.89M 1.00%
50 MOELIS & CO-CL A 72,747 $4.15M 0.84%
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