ARIHX
Aristotle Small/Mid Cap Equity Fund
Aristotle Fund Series Trust

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Dec 31, 2025 → Mar 31, 2026

Expand a category to see the positions behind it, ranked by weight.

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
CASELLA WASTE SYS INC CL A 0 2,590 2,590 0.94% $205.49K
ENVISTA HOLDINGS CORP 0 4,278 4,278 0.50% $108.53K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
CIENA CORP 2,744 0 -2,744 0.00% -$641.74K
ALIGHT INC-CL A 33,425 0 -33,425 0.00% -$65.18K
TREEHOUSE FOODS INC 1,279 0 -1,279 0.00% -$30.17K
NU SKIN ENTERPRISES INC CL A 2,384 0 -2,384 0.00% -$22.93K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
HEALTHEQUITY INC 4,637 4,684 47 1.79% -$33.35K
ITRON INC 3,403 3,829 426 1.57% $27.19K
US BANK MMDA - USBGFS 9 222,524 326,994 104,469 1.50% $104.47K
MERIT MEDICAL SYSTEMS INC 4,026 4,677 651 1.47% -$32.47K
PERELLA WEINBERG PARTNERS 4,657 16,196 11,539 1.35% $213.55K
HAEMONETICS CORP MASS 4,269 4,687 418 1.21% -$78.00K
NOVANTA INC 1,869 2,027 158 1.10% $17.02K
CHARLES RIVER LABS INTL INC 1,125 1,348 223 1.06% $8.12K
WOLVERINE WORLD WIDE INC 10,224 13,900 3,676 1.04% $41.28K
KBR INC 5,611 5,745 134 0.97% -$13.80K
James Hardie Industries Public Limited Company 10,051 11,131 1,080 0.96% $2.26K
GXO LOGISTICS INC 3,525 3,770 245 0.89% $9.92K
BRP GROUP INC-A 8,500 8,887 387 0.89% -$9.27K
SILGAN HOLDINGS INC 4,799 4,993 194 0.89% -$7
COHEN & STEERS 2,333 2,499 166 0.72% $9.85K
HILTON GRAND VACATIONS INC 3,271 3,852 581 0.69% $4.31K
VERRA MOBILITY CORP 7,637 8,513 876 0.56% -$49.49K
ROGERS CORP 942 1,101 159 0.54% $31.91K
WILLSCOT MOBILE MINI HOLDINGS CORP 5,842 6,689 847 0.53% $6.12K
PRIMO BRANDS CORP A 5,283 5,733 450 0.49% $21.58K
QUIDELORTHO CORP 4,635 5,502 867 0.41% -$41.98K
INSIGHT ENTERPRISES INC 722 1,000 278 0.31% $8.19K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ADV ENERGY INDS 2,180 1,975 -205 2.92% $180.93K
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 3,034 2,704 -330 2.75% $80.81K
ALAMOS GOLD INC A 15,091 13,157 -1,934 2.67% $2.35K
PERMIAN RESOURCES CORP CL A 24,871 24,251 -620 2.37% $168.09K
HA SUSTAINABLE INFRASTRUCTURE CAPITAL INC 14,088 13,737 -351 2.31% $62.05K
RANGE RESOURCES CORP 10,865 10,594 -271 2.19% $95.54K
AERCAP HOLDINGS NV 3,219 3,139 -80 1.97% -$32.16K
BANKUNITED INC 9,167 8,938 -229 1.85% -$4.93K
FTAI AVIATION LTD 1,648 1,629 -19 1.83% $74.70K
LITTELFUSE INC 1,150 1,137 -13 1.77% $94.98K
HURON CONSULTING GROUP INC 2,883 2,811 -72 1.64% -$140.13K
ENCOMPASS HEALTH CORP 3,599 3,510 -89 1.55% -$42.48K
TELEDYNE TECHNOLOGIES INC 546 541 -5 1.50% $48.45K
BELDEN INC 2,885 2,813 -72 1.48% -$13.23K
ACI WORLDWIDE INC 7,918 7,722 -196 1.45% -$61.88K
KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC 5,442 5,306 -136 1.40% $21.01K
SCOTTS MIRACLE GRO CO 4,944 4,888 -56 1.36% $8.76K
KNOWLES CORP 11,569 11,281 -288 1.33% $41.77K
TKO GROUP HOLDINGS INC 1,418 1,402 -16 1.29% -$13.65K
NATIONAL-CL A 7,221 7,041 -180 1.26% $1.26K
HEXCEL CORPORATION 3,373 3,288 -85 1.22% $16.83K
CHEMED CORP 697 689 -8 1.19% -$37.96K
APTARGROUP INC 2,025 1,975 -50 1.14% $1.92K
VALVOLINE INC 7,253 7,211 -42 1.11% $32.09K
SERVICE CORP INTERNATIONAL INC 2,849 2,846 -3 1.07% $12.69K
BJS WHSL CLUB HLDGS INC 2,395 2,367 -28 1.07% $17.34K
IDEX CORPORATION 1,147 1,124 -23 0.97% $8.96K
FLOWSERVE CORP 2,863 2,807 -56 0.94% $7.71K
VOYA FINANCIAL INC 2,990 2,932 -58 0.92% -$22.41K
BOX INC- CLASS A 8,607 8,441 -166 0.91% -$57.89K
FTI CONSULTING INC 1,131 1,124 -7 0.91% $5.48K
INTERPARFUMS INC 2,207 2,152 -55 0.89% $8.27K
JACOBS SOLUTIONS INC 1,561 1,531 -30 0.89% -$11.90K
AGREE REALTY CORP 2,619 2,554 -65 0.88% $3.87K
IDACORP INC 1,331 1,309 -22 0.86% $18.70K
EURONET WORLDWIDE INC 2,875 2,819 -56 0.86% -$31.72K
LKQ CORP 6,397 6,360 -37 0.85% -$6.40K
FIRST INTST BANCSYST INC CL A 5,591 5,483 -108 0.84% -$10.32K
MERCURY SYSTEMS INC 2,544 2,481 -63 0.83% -$4.85K
ASGN INC 4,596 4,568 -28 0.81% -$44.56K
KB HOME 3,380 3,315 -65 0.78% -$19.11K
COLUMBIA BANKING SYSTEMS INC 6,372 6,213 -159 0.78% -$7.67K
ALBANY INTL CORP 3,329 3,246 -83 0.78% $693
HEALTHPEAK PROPERTIES INC 10,502 10,240 -262 0.77% -$629
MATTHEWS INTL CORP CL A 6,503 6,428 -75 0.76% -$3.89K
ATLANTIC UNION B 4,629 4,575 -54 0.75% $107
OCEANEERING INTL 8,149 4,528 -3,621 0.73% -$35.21K
UNITED COMMUNITY BANKS GA 5,179 5,050 -129 0.73% -$2.66K
SLR Investment Corp. 11,385 11,101 -284 0.73% -$17.16K
STAG INDUSTRIAL INC CL A 4,450 4,339 -111 0.72% -$7.12K
AMENTUM HOLDINGS INC 6,078 5,960 -118 0.71% -$20.83K
PINNACLE WEST CAPITAL CORP 1,535 1,518 -17 0.70% $16.78K
OLD NATL BANCORP 6,818 6,740 -78 0.68% -$3.16K
DYCOM INDUSTRIES INC 1,421 425 -996 0.66% -$336.16K
ACADIA HEALTHCARE CO INC 6,093 5,976 -117 0.64% $53.32K
AXALTA COATING SYSTEMS LTD 5,144 5,015 -129 0.64% -$27.29K
BANNER CORPORATI 2,327 2,269 -58 0.63% -$8.13K
SUPERNUS PHARMACEUTICALS INC 2,727 2,659 -68 0.63% $1.91K
PRESTIGE CONSUMER HEALTHCARE INC 2,375 2,316 -59 0.63% -$9.24K
DOLBY LABORATORIES INC CL A 2,216 2,190 -26 0.60% -$10.78K
WSFS FINANCIAL CORP 2,053 2,002 -51 0.60% $17.64K
IPG PHOTONICS CORP 1,122 1,100 -22 0.58% $45.71K
TEXAS CAPITAL BANCSHARES INC 1,340 1,307 -33 0.57% $2.68K
HERBALIFE NUTRITION LTD 8,382 8,172 -210 0.55% $12.25K
HEICO CORP CL A 577 565 -12 0.55% -$26.39K
UGI CORP NEW 2,940 2,893 -47 0.48% -$4.68K
PEDIATRIX MEDICAL GROUP INC 4,977 4,911 -66 0.48% -$1.41K
J & J SNACK FOOD 1,358 1,324 -34 0.48% -$17.77K
NORTHERN OIL AND GAS INC 3,483 3,416 -67 0.46% $25.07K
Americold Realty Trust Inc 8,641 8,527 -114 0.45% -$13.40K
POOL CORP 425 417 -8 0.39% -$12.85K
TELEFLEX INC 715 701 -14 0.38% -$3.41K
GARTNER INC 521 508 -13 0.37% -$51.00K
SONOS INC 5,522 5,415 -107 0.33% -$24.41K
BXP INC 1,257 1,233 -24 0.29% -$20.83K
PERRIGO CO PLC 5,630 5,522 -108 0.27% -$19.06K
ESSENTIAL UTILITIES INC 1,388 1,353 -35 0.25% $1.24K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
SAFEHOLD INC 1,454 1,454 0 0.09% -$233

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