CSMFX
Carillon Scout Mid Cap Fund
Carillon Series Trust

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
121
Top-10 weight
17.87%
Effective holdings ?
95
Crowding ?
717.3

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 VIPER ENERGY INC A 1,715,878 $80.63M 2.15%
2 CENOVUS ENERGY INC 2,703,199 $71.72M 1.91%
3 FTAI AVIATION LTD 284,524 $69.71M 1.86%
4 WEC ENERGY GROUP INC 576,897 $66.79M 1.78%
5 ATI INC 449,667 $65.41M 1.75%
6 CASEY'S GENERAL 89,141 $64.88M 1.73%
7 QUANTA SVCS INC 114,039 $62.61M 1.67%
8 CENTERPOINT ENERGY INC 1,420,273 $61.30M 1.64%
9 ATMOS ENERGY CORP 325,974 $60.21M 1.61%
10 AGREE REALTY CORP 785,995 $59.25M 1.58%
11 MARATHON PETROLEUM CORP 234,327 $57.22M 1.53%
12 AGILENT TECHNOLOGIES INC 495,284 $56.45M 1.51%
13 JBS NV, Class A JBS 3,048,310 $54.75M 1.46%
14 EQT CORPORATION 834,284 $53.09M 1.42%
15 MURPHY USA INC 106,711 $52.71M 1.41%
16 CITIZENS FINANCIAL GROUP INC 878,380 $52.68M 1.41%
17 HUNTINGTON BANCSHARES INC 3,287,387 $51.45M 1.37%
18 STAG INDUSTRIAL INC CL A 1,399,932 $50.48M 1.35%
19 EVERGY INC 578,641 $47.40M 1.27%
20 CLOUDFLARE INC-A 229,469 $47.35M 1.26%
21 QNITY ELECTRONICS INC 398,523 $45.98M 1.23%
22 BRUNSWICK CORP 627,900 $45.69M 1.22%
23 FIRST HORIZON CORP 1,918,991 $43.68M 1.17%
24 HERSHEY CO/THE 204,006 $42.41M 1.13%
25 CIENA CORP 108,558 $42.15M 1.12%
26 TERADYNE INC 141,605 $41.98M 1.12%
27 OSHKOSH CORP 280,214 $41.25M 1.10%
28 COUPANG INC A 2,139,920 $40.40M 1.08%
29 ROSS STORES INC 180,408 $39.08M 1.04%
30 GE HEALTHCARE TECHNOLOGIES INC WI 544,000 $38.72M 1.03%
31 CBOE GLOBAL MARKETS INC 135,793 $38.17M 1.02%
32 DELTA AIR LI 569,052 $37.83M 1.01%
33 CENCORA INC 118,448 $37.21M 0.99%
34 MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 161,549 $35.88M 0.96%
35 TEXTRON INC 402,886 $35.28M 0.94%
36 QUEST DIAGNOSTICS INC 178,464 $34.98M 0.93%
37 MARTIN MAR MTLS 57,761 $34.00M 0.91%
38 CUMMINS INC 62,299 $33.52M 0.89%
39 CELESTICA INC SUB VTG 118,980 $33.51M 0.89%
40 APTIV PLC 478,351 $33.22M 0.89%
41 MOSAIC CO/THE 1,292,882 $32.97M 0.88%
42 TKO GROUP HOLDINGS INC 162,911 $32.85M 0.88%
43 FRESHPET INC 552,971 $32.60M 0.87%
44 ZIMMER BIOMET HO 360,430 $32.59M 0.87%
45 HENRY SCHEIN INC 439,241 $32.37M 0.86%
46 L3HARRIS TECHNOLOGIES INC 93,656 $32.33M 0.86%
47 ENCOMPASS HEALTH CORP 325,849 $31.52M 0.84%
48 UNITED RENTALS INC 42,883 $31.24M 0.83%
49 LIVE NATION ENTERTAINMENT INC 198,545 $30.28M 0.81%
50 WILLIS TOWERS WATSON PLC 103,770 $30.17M 0.81%
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