ARIBX
Aristotle Small Cap Equity Fund
Aristotle Fund Series Trust

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
100
Top-10 weight
21.09%
Effective holdings ?
79
Crowding ?
399.9

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 ADV ENERGY INDS 10,295 $3.32M 2.90%
2 MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 14,001 $3.11M 2.71%
3 HA SUSTAINABLE INFRASTRUCTURE CAPITAL INC 72,946 $2.68M 2.34%
4 AERCAP HOLDINGS NV AER US 18,527 $2.54M 2.22%
5 HEALTHEQUITY INC 27,672 $2.31M 2.02%
6 HURON CONSULTING GROUP INC 17,778 $2.27M 1.98%
7 ALAMOS GOLD INC A 48,086 $2.14M 1.86%
8 LITTELFUSE INC 6,005 $2.04M 1.78%
9 MERCURY SYSTEMS INC 26,637 $1.94M 1.70%
10 ACI WORLDWIDE INC 46,583 $1.91M 1.67%
11 KNOWLES CORP 71,466 $1.84M 1.60%
12 US BANK MMDA - USBGFS 9 1,823,697 $1.82M 1.59%
13 MERIT MEDICAL SYSTEMS INC 26,076 $1.80M 1.57%
14 BYLINE BANCORP INC 56,914 $1.80M 1.57%
15 ITRON INC 19,977 $1.79M 1.56%
16 Ardmore Shipping Services (Ireland) Limited ASC 115,475 $1.76M 1.54%
17 CUSTOMERS BANCORP INC 24,160 $1.68M 1.46%
18 STAG INDUSTRIAL INC CL A 45,110 $1.63M 1.42%
19 NATIONAL-CL A 40,689 $1.59M 1.39%
20 GUARDIAN PHARMACY SERVICES INC 41,904 $1.58M 1.38%
21 SCOTTS MIRACLE GRO CO 25,842 $1.57M 1.37%
22 UNITIL CORP 30,060 $1.57M 1.37%
23 PERELLA WEINBERG PARTNERS 84,189 $1.53M 1.33%
24 SILGAN HOLDINGS INC 39,003 $1.51M 1.32%
25 TKO GROUP HOLDINGS INC 7,416 $1.50M 1.31%
26 BELDEN INC 12,803 $1.47M 1.28%
27 ATLANTIC UNION B 40,313 $1.44M 1.26%
28 VIAD CORP 38,638 $1.42M 1.24%
29 HEXCEL CORPORATION 17,326 $1.40M 1.22%
30 LIQUIDITY SERVICES INC 45,601 $1.39M 1.22%
31 CHEMED CORP 3,641 $1.38M 1.20%
32 NOVANTA INC 11,484 $1.36M 1.18%
33 HAEMONETICS CORP MASS 23,452 $1.32M 1.15%
34 VALVOLINE INC 37,905 $1.28M 1.11%
35 BENCHMARK ELECTRONICS INC 22,418 $1.26M 1.10%
36 CHARLES RIVER LABS INTL INC 6,997 $1.21M 1.05%
37 VOYA FINANCIAL INC 17,147 $1.17M 1.02%
38 EURONET WORLDWIDE INC 17,583 $1.17M 1.02%
39 BOX INC- CLASS A 48,703 $1.15M 1.01%
40 KBR INC 29,958 $1.10M 0.96%
41 PRESTIGE CONSUMER HEALTHCARE INC 18,606 $1.10M 0.96%
42 RANGE RESOURCES CORP 24,359 $1.10M 0.96%
43 James Hardie Industries Public Limited Company JHX 57,828 $1.10M 0.96%
44 APTARGROUP INC 8,678 $1.09M 0.95%
45 BANKUNITED INC 23,767 $1.07M 0.94%
46 CASELLA WASTE SYS INC CL A 13,502 $1.07M 0.94%
47 KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC 17,957 $1.03M 0.90%
48 AGREE REALTY CORP 13,709 $1.03M 0.90%
49 BRP GROUP INC-A 46,536 $1.02M 0.89%
50 GXO LOGISTICS INC 19,532 $1.01M 0.88%
1 / 2 Next ›

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