CPVCX
abrdn International Small Cap Fund
abrdn Funds

Portfolio concentration

As of July 31, 2025 · N-PORT
Holdings
42
Top-10 weight
40.09%
Effective holdings ?
34
Crowding ?
174.0

Holdings

As of July 31, 2025 · N-PORT
#SecurityTickerSharesValue% of fund
1 GAZTRANSPORT 29,985 $5.64M 4.82%
2 JAPAN ELEVATOR S 206,000 $5.50M 4.70%
3 CTS Eventim AG & Company KGaA EVD 46,923 $5.30M 4.53%
4 iShares MSCI India Small-Cap ETF 70,323 $5.15M 4.41%
5 DINO POLSKA SA 364,520 $4.81M 4.11%
6 DIPLOMA PLC COMMON STOCK DPLM 63,706 $4.51M 3.86%
7 ASICS CORP 177,800 $4.18M 3.58%
8 BAYCURRENT INC 66,900 $3.84M 3.29%
9 ALPHA GROUP INTE 68,856 $3.77M 3.23%
10 GAMES WORKSHOP GROUP CO PLC 17,309 $3.71M 3.17%
11 ICG PLC 120,583 $3.45M 2.95%
12 ELITE MATERIAL 86,000 $3.15M 2.70%
13 INTERPARFUMS SA 85,379 $3.14M 2.68%
14 JUNGHEINRICH-PFD JUN3 79,720 $3.06M 2.61%
15 GAMMA COMMUNICATIONS PLC COMMON STOCK GBP.0025 GAMA LN 203,594 $2.93M 2.50%
16 Sanwa Holdings Corporation 5929 103,700 $2.83M 2.42%
17 ALS LTD 241,970 $2.81M 2.41%
18 ADDTECH AB-B SH 82,582 $2.78M 2.37%
19 FABRINET 8,482 $2.75M 2.35%
20 ZENKOKU HOSHO 126,800 $2.71M 2.31%
21 FPT CORP FPT 659,706 $2.61M 2.23%
22 REGIONAL SAB DE 333,265 $2.58M 2.20%
23 SHO-BOND HOLDINGS CO LTD COMMON STOCK 1414 JP 79,400 $2.54M 2.17%
24 CIE AUTOMOTIVE 83,906 $2.52M 2.15%
25 State Street Navigator Securities Lending Portfolio II GVMXX 2,469,092 $2.47M 2.11%
26 STEADFAST GROUP 647,634 $2.46M 2.11%
27 NOVA LTD 8,922 $2.34M 2.00%
28 SINBON ELEC 253,000 $2.04M 1.75%
29 MAKALOT 226,720 $1.99M 1.71%
30 BORREGAARD ASA 96,921 $1.87M 1.60%
31 HILL & SMITH PLC COMMON STOCK HILS 66,702 $1.80M 1.54%
32 CYBER-ARK SOFTWARE LTD 4,104 $1.69M 1.44%
33 State Street Navigator Securities Lending Portfolio II GVMXX 1,623,952 $1.62M 1.39%
34 CHROMA ATE 110,000 $1.58M 1.35%
35 INTERPUMP SPA 34,844 $1.43M 1.22%
36 FINECOBANK SPA 63,383 $1.35M 1.15%
37 RATIONAL Aktiengesellschaft RTLLF 1,588 $1.23M 1.05%
38 BRUNELLO CUCINEL 10,645 $1.19M 1.02%
39 RENK GROUP AG 14,624 $1.14M 0.97%
40 CHEMRING GROUP 153,598 $1.11M 0.95%
41 JOHNS LYNG GROUP 443,013 $1.10M 0.94%
42 NIHON M and A CENTER HOLDINGS INC 2127 212,700 $1.06M 0.91%
43 SWECO AB-B 62,528 $986.35K 0.84%

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