BAFSX
Brown Advisory Small-Cap Growth Fund
Brown Advisory Funds

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
70
Top-10 weight
30.12%
Effective holdings ?
51
Crowding ?
440.5

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 OCEANEERING INTL 694,907 $24.65M 4.44%
2 WASTE CONNECTIONS INC 127,352 $20.69M 3.72%
3 HEALTHEQUITY INC 224,352 $18.75M 3.38%
4 PROSPERITY BNCSH 259,518 $17.43M 3.14%
5 DYNATRACE INC 442,137 $16.35M 2.94%
6 CCC INTELLIGENT SOLUTIONS HOLD CL A 2,717,439 $16.30M 2.94%
7 ESTABLISHMENT LABS HOLDINGS INC ESTA 270,318 $15.35M 2.76%
8 BIO-TECHNE CORP 261,219 $13.65M 2.46%
9 STANDARDAERO INC 517,699 $13.37M 2.41%
10 FRST AM-GV OB-Z FGZXX 13,047,286 $13.05M 2.35%
11 CURTISS WRIGHT CORPORATION 17,789 $12.12M 2.18%
12 ENTEGRIS INC 102,055 $11.96M 2.15%
13 ANDERSEN GROUP-A 421,666 $11.47M 2.07%
14 LATTICE SEMICONDUCTOR CORP 120,386 $11.17M 2.01%
15 MISTER CAR WASH INC 1,585,458 $11.05M 1.99%
16 ENPRO INDUSTRIES INC 43,089 $10.80M 1.94%
17 VALMONT INDUSTRIES INC 26,388 $10.54M 1.90%
18 BRUKER CORP 291,742 $10.54M 1.90%
19 ENCOMPASS HEALTH CORP 103,017 $9.96M 1.79%
20 AAON INC 117,530 $9.73M 1.75%
21 MSA SAFETY INC 59,279 $9.72M 1.75%
22 HB FULLER CO 154,155 $9.51M 1.71%
23 OPENLANE INC 322,840 $9.41M 1.69%
24 APPLIED INDU TEC 35,200 $9.34M 1.68%
25 NOVANTA INC 78,792 $9.31M 1.68%
26 SIMPSON MFG 53,624 $9.20M 1.66%
27 UNIVERSAL DISPLAY CORP 100,229 $9.19M 1.65%
28 CASELLA WASTE SYS INC CL A 115,284 $9.15M 1.65%
29 GUIDEWIRE SOFTWARE INC 60,584 $9.06M 1.63%
30 BRIGHT HORIZONS FAMILY SOLUTIONS INC 105,401 $8.66M 1.56%
31 KADANT INC 29,120 $8.51M 1.53%
32 FIRSTSERVICE-WI 61,036 $8.48M 1.53%
33 EAGLE MATERIALS INC 44,007 $8.34M 1.50%
34 CASEY'S GENERAL 11,304 $8.23M 1.48%
35 SITIME CORP 22,146 $7.65M 1.38%
36 EASTGROUP PROP 40,881 $7.57M 1.36%
37 BRIGHTSPRING HEALTH SERVICES INC 174,681 $7.44M 1.34%
38 PARSONS CORP 128,302 $6.95M 1.25%
39 SITEONE LANDSCAPE SUPPLY INC 51,673 $6.88M 1.24%
40 SPX TECHNOLOGIES INC 33,663 $6.73M 1.21%
41 KESTRA MEDICAL TECHNOLOGIES INC 289,408 $5.77M 1.04%
42 CYTOKINETICS INC 86,687 $5.71M 1.03%
43 POWER INTEGRATIONS INC 111,383 $5.70M 1.03%
44 DIGITALBRIDGE GROUP INC 361,390 $5.57M 1.00%
45 ORTHOPEDIATRICS CORP 351,132 $5.57M 1.00%
46 ZURN ELKAY WATER SOLUTIONS CORP 123,885 $5.56M 1.00%
47 FTI CONSULTING INC 31,324 $5.54M 1.00%
48 IDEX CORPORATION 26,575 $5.04M 0.91%
49 Imperative Care, Inc. Convertible Promissory Note 5,000,000 $5.00M 0.90%
50 VAXCYTE INC 82,849 $4.81M 0.87%
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