BSFIX
BARON SMALL CAP FUND
BARON INVESTMENT FUNDS TRUST (f/k/a BARON ASSET FUND)

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
53
Top-10 weight
42.09%
Effective holdings ?
34
Crowding ?
460.8

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 VERTIV HOLDINGS CO 850,000 $212.99M 7.89%
2 RED ROCK RESORTS INC 2,550,000 $136.07M 5.04%
3 SITEONE LANDSCAPE SUPPLY INC 975,000 $129.78M 4.81%
4 KINSALE CAPITAL GROUP INC 370,000 $126.41M 4.68%
5 GUIDEWIRE SOFTWARE INC 750,000 $112.17M 4.15%
6 PLANET FITNESS INC CL A 1,200,000 $89.26M 3.31%
7 COGNEX CORP 1,740,000 $85.24M 3.16%
8 JOHN BEAN TECHNOLOGIES CORP 660,000 $84.39M 3.13%
9 TRANSDIGM GROUP INC 70,000 $81.13M 3.00%
10 RBC BEARINGS INC 140,000 $76.04M 2.82%
11 HOULIHAN LOKEY I 490,000 $70.37M 2.61%
12 BRIGHT HORIZONS FAMILY SOLUTIONS INC 850,000 $69.81M 2.59%
13 LIBERTY MEDIA CORP LIBERTY FORMULA ONE CL C 800,000 $68.02M 2.52%
14 HEALTHEQUITY INC 750,000 $62.68M 2.32%
15 LEGENCE CORP-A 1,100,000 $62.11M 2.30%
16 GARTNER INC 375,000 $59.38M 2.20%
17 BRP GROUP INC-A 2,700,000 $59.24M 2.19%
18 DRIVEN BRANDS HOLDINGS INC 4,500,000 $56.74M 2.10%
19 LIBERTY LIVE HOLDINGS INC C 600,000 $56.47M 2.09%
20 CHEESECAKE FACTORY INC 1,000,000 $54.75M 2.03%
21 MADISON SQUARE GARDEN SPORTS CORP 165,000 $53.03M 1.96%
22 NOVANTA INC 400,000 $47.24M 1.75%
23 NEOGEN CORP 5,000,000 $46.45M 1.72%
24 INSTALLED BUILDING PRODUCTS INC 175,000 $46.40M 1.72%
25 ENPRO INDUSTRIES INC 180,000 $45.12M 1.67%
26 Icon Public Limited Company ICLR 400,000 $44.26M 1.64%
27 FIRST ADVANTAGE CORP 3,750,000 $44.10M 1.63%
28 INTAPP INC 1,675,000 $43.03M 1.59%
29 RADNET INC 750,000 $41.92M 1.55%
30 ASGN INC 1,000,000 $38.71M 1.43%
31 KARMAN HOLDINGS INC 445,000 $35.62M 1.32%
32 KRATOS DEFENSE and SEC SOLTN INC 475,000 $33.49M 1.24%
33 DRAFTKINGS INC 1,500,000 $32.43M 1.20%
34 WASTE CONNECTIONS INC 190,000 $30.86M 1.14%
35 AVIENT CORP 778,000 $28.24M 1.05%
36 HINGE HEALTH INC 700,000 $26.99M 1.00%
37 JFROG LTD 550,000 $25.81M 0.96%
38 ONCE UPON A FARM 1,500,000 $24.52M 0.91%
39 ANDERSEN GROUP-A 900,000 $24.48M 0.91%
40 NCINO INC 1,550,000 $23.22M 0.86%
41 GCM GROSVENOR INC - CLASS A 2,200,000 $21.56M 0.80%
42 EXPONENT INC 325,000 $21.21M 0.79%
43 FLOOR & DECOR-A 380,000 $19.30M 0.71%
44 INDIE SEMICONDUCTOR INC 5,500,000 $17.71M 0.66%
45 GRID DYNAMICS HOLDINGS INC 3,000,000 $17.10M 0.63%
46 NEPTUNE INSURANCE HOLDINGS INC 700,000 $16.93M 0.63%
47 Accelerant Holdings, Class A ARX 1,200,000 $16.03M 0.59%
48 DEXCOM INC 225,000 $14.13M 0.52%
49 MIRION TECHNOLOGIES INC-A 750,000 $13.94M 0.52%
50 VSE CORP 75,000 $13.83M 0.51%
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