BCMIX
Brown Capital Management Mid Company Fund
Brown Capital Management Mutual Funds

Portfolio concentration

As of June 30, 2024 · N-PORT
Holdings
41
Top-10 weight
42.46%
Effective holdings ?
30
Crowding ?
708.1

Holdings

As of June 30, 2024 · N-PORT
#SecurityTickerSharesValue% of fund
1 TYLER TECHNOLOGIES INC 7,261 $3.65M 5.27%
2 MANHATTAN ASSOCIATES INC 14,400 $3.55M 5.13%
3 CORPAY INC 11,915 $3.17M 4.58%
4 AUTODESK INC 12,060 $2.98M 4.31%
5 HUBSPOT INC 4,892 $2.89M 4.17%
6 SHOPIFY INC CL A 40,881 $2.70M 3.90%
7 BENTLEY SYSTEM-B 53,577 $2.64M 3.82%
8 CHARLES RIVER LABS INTL INC 12,698 $2.62M 3.79%
9 BROADRIDGE FINL 13,151 $2.59M 3.74%
10 RBC BEARINGS INC 9,591 $2.59M 3.74%
11 GUIDEWIRE SOFTWARE INC 18,678 $2.58M 3.72%
12 CHIPOTLE MEXICAN GRILL INC 41,082 $2.57M 3.72%
13 VEEVA SYSTEMS-A 12,994 $2.38M 3.43%
14 ALIGN TECHNOLOGY INC 9,670 $2.33M 3.37%
15 EQUIFAX INC 9,601 $2.33M 3.36%
16 ENTEGRIS INC 16,722 $2.26M 3.27%
17 DEXCOM INC 19,145 $2.17M 3.13%
18 INSULET CORP 10,340 $2.09M 3.01%
19 SIMPSON MFG 12,141 $2.05M 2.96%
20 ANSYS INC 5,942 $1.91M 2.76%
21 JACK HENRY 9,576 $1.59M 2.30%
22 EDWARDS LIFESCIENCES CORP 16,591 $1.53M 2.21%
23 PAYCOM SOFTWARE INC 10,385 $1.49M 2.15%
24 COGNEX CORP 29,321 $1.37M 1.98%
25 FAIR ISAAC CORP 910 $1.35M 1.96%
26 FIVE9 INC 26,084 $1.15M 1.66%
27 SITEONE LANDSCAPE SUPPLY INC 8,980 $1.09M 1.57%
28 MARKETAXESS HLDGS INC 4,900 $982.60K 1.42%
29 OMNICELL INC 34,738 $940.36K 1.36%
30 NATERA INC 7,373 $798.42K 1.15%
31 BRIGHT HORIZONS FAMILY SOLUTIONS INC 6,645 $731.48K 1.06%
32 ULTA BEAUTY INC 1,840 $710.00K 1.03%
33 FIRST AM-TR OB-X TMPXX 703,547 $703.55K 1.02%
34 ENVESTNET INC 11,239 $703.45K 1.02%
35 TRACTOR SUPPLY CO. 1,522 $410.94K 0.59%
36 MASIMO CORP 3,242 $408.30K 0.59%
37 T ROWE PRICE GRP 2,941 $339.13K 0.49%
38 O'REILLY AUTOMOTIVE INC 268 $283.02K 0.41%
39 FASTENAL CO 3,982 $250.23K 0.36%
40 ZOETIS INC CL A 1,236 $214.27K 0.31%
41 JAZZ PHARMACEUTI 1,059 $113.03K 0.16%

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