BAUAX
Brown Advisory Small-Cap Fundamental Value Fund
Brown Advisory Funds

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
63
Top-10 weight
28.91%
Effective holdings ?
50
Crowding ?
325.1

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 FRST AM-GV OB-Z FGZXX 59,268,454 $59.27M 5.50%
2 OCEANEERING INTL 970,352 $34.42M 3.20%
3 INGEVITY CORP 467,069 $33.27M 3.09%
4 ECOVYST INC 2,214,489 $28.48M 2.64%
5 CUSHMAN and WAKEFIELD LTD 2,281,026 $27.97M 2.60%
6 GLOBAL NET LEASE INC 2,959,705 $27.70M 2.57%
7 NCR ATLEOS CORP 622,173 $27.11M 2.52%
8 BRISTOW GROUP INC 569,820 $26.72M 2.48%
9 TOWNE BANK 691,332 $23.28M 2.16%
10 DUCOMMUN INC 187,948 $22.93M 2.13%
11 BRIGHTSPRING HEALTH SERVICES INC 536,224 $22.85M 2.12%
12 CTS CORP 466,633 $22.29M 2.07%
13 OLD NATL BANCORP 993,040 $21.95M 2.04%
14 WSFS FINANCIAL CORP 333,777 $21.85M 2.03%
15 SENSATA TECHNOLOGIES HOLDING PLC 613,337 $21.60M 2.01%
16 TALEN ENERGY CORP 67,192 $21.45M 1.99%
17 International Game Technology PLC BRSL 1,668,447 $21.26M 1.97%
18 WILEY JOHN&SON-A 554,331 $21.12M 1.96%
19 TIMKEN CO 203,538 $20.47M 1.90%
20 SIGNET JEWELERS LTD 241,061 $20.40M 1.89%
21 GUARDIAN PHARMACY SERVICES INC 535,769 $20.18M 1.87%
22 VALVOLINE INC 577,674 $19.46M 1.81%
23 ENPRO INDUSTRIES INC 77,009 $19.30M 1.79%
24 BANCORP INC/THE 336,831 $18.10M 1.68%
25 WHITE MOUNTAINS INS GROUP LTD 8,072 $17.73M 1.65%
26 AVANOS MEDICAL INC 1,200,175 $16.81M 1.56%
27 ACADIA HEALTHCARE CO INC 718,541 $16.81M 1.56%
28 HORACE MANN EDUCATORS CORP 372,608 $15.90M 1.48%
29 HANOVER INSURANCE GROUP INC 91,189 $15.81M 1.47%
30 EASTERN BANKSHARES INC 804,555 $15.74M 1.46%
31 MURPHY USA INC 30,978 $15.30M 1.42%
32 ASSURED GUARANTY LTD 187,395 $15.27M 1.42%
33 PORTLAND GENERAL ELECTRIC CO 275,966 $14.56M 1.35%
34 ICU MEDICAL INC 111,115 $14.35M 1.33%
35 EURONET WORLDWIDE INC 214,882 $14.26M 1.32%
36 CADRE HOLDINGS I 460,253 $14.12M 1.31%
37 FIRST FIN BANCRP 503,099 $14.03M 1.30%
38 TENNANT CO 208,992 $13.88M 1.29%
39 MGIC INVT CORP 526,625 $13.82M 1.28%
40 CURBLINE PROPERTIES CORP 530,334 $13.68M 1.27%
41 DIME COMMUNITY BANCSHARES INC 399,005 $13.49M 1.25%
42 PEOPLES BANCORP INC 408,604 $13.43M 1.25%
43 BEL FUSE INC VTG CL A 71,555 $12.89M 1.20%
44 LANTHEUS HOLDING 165,090 $12.52M 1.16%
45 REX AMERICAN RESOURCES CORP 273,566 $12.47M 1.16%
46 SEACOAST BANKING CORP FLORIDA 408,822 $12.38M 1.15%
47 CASS INFORMATION SYSTEMS INC 277,711 $12.22M 1.13%
48 INNOSPEC INC 161,871 $11.82M 1.10%
49 EAGLE MATERIALS INC 60,647 $11.49M 1.07%
50 NOMAD FOODS LTD NOMD 1,167,782 $11.22M 1.04%
1 / 2 Next ›

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