CSPAX
SMALLCAP World Fund Inc
SMALLCAP World Fund Inc

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
821
Top-10 weight
12.11%
Effective holdings ?
239
Crowding ?
282.5

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 CAPITAL GROUP CENTRAL CASH FUND CMQXX 31,693,690 $3.17B 3.91%
2 COMFORT SYSTEMS USA INC 861,675 $1.19B 1.47%
3 LUMENTUM HOLDINGS INC 1,469,014 $1.03B 1.27%
4 DIPLOMA PLC COMMON STOCK DPLM 10,369,406 $827.41M 1.02%
5 TOPBUILD CORP 2,024,568 $711.23M 0.88%
6 KOKUSAI ELECTRIC 19,049,173 $631.21M 0.78%
7 ATI INC 4,289,204 $623.91M 0.77%
8 MKS INSTRUMENTS INC 2,559,003 $588.08M 0.73%
9 BOMBARDIER INC-B 3,198,237 $565.62M 0.70%
10 LUNDIN MINING CORP 20,306,175 $506.38M 0.62%
11 MODINE MFG CO 2,203,225 $477.46M 0.59%
12 CAVA GROUP INC 5,808,148 $469.88M 0.58%
13 CELANESE CORP 6,811,396 $447.99M 0.55%
14 CRANE CO 2,611,339 $446.54M 0.55%
15 DOLLARAMA INC 3,596,930 $441.45M 0.54%
16 FABRINET 800,153 $417.30M 0.51%
17 ARCOSA INC 3,923,602 $416.45M 0.51%
18 INTL CONTAINER TERM SVCS INC COMMON STOCK ICT 34,119,756 $391.29M 0.48%
19 VIAVI SOLUTIONS INC 11,570,319 $385.06M 0.48%
20 NIPPON TV HDS 18,928,615 $380.90M 0.47%
21 RESONAC HOLDINGS 5,531,696 $361.43M 0.45%
22 FTAI AVIATION LTD 1,468,474 $359.78M 0.44%
23 NATL BANK GREECE 23,035,318 $357.03M 0.44%
24 EMEMORY TECH 4,073,497 $354.41M 0.44%
25 LOTTOMATICA GROU 11,904,805 $343.62M 0.42%
26 JENTECH 2,754,467 $341.08M 0.42%
27 KNIFE RIVER HOLDING CO W/I 4,141,839 $338.18M 0.42%
28 GLOBAL UNICHIP 4,823,403 $336.70M 0.42%
29 IONIS PHARMACEUTICALS INC 4,458,145 $334.76M 0.41%
30 SEMTECH CORP 4,337,655 $333.52M 0.41%
31 SPX TECHNOLOGIES INC 1,655,663 $331.03M 0.41%
32 IMI PLC ORD IMI 9,508,385 $324.16M 0.40%
33 RAIADROGASIL 70,653,545 $320.95M 0.40%
34 CAVCO INDUSTRIES INC 660,036 $319.65M 0.39%
35 ROYAL GOLD INC 1,236,535 $314.69M 0.39%
36 ENPRO INDUSTRIES INC 1,254,043 $314.33M 0.39%
37 BABCOCK INTL GRP 20,032,933 $308.58M 0.38%
38 MARUWA CO LTD 875,936 $306.69M 0.38%
39 ESSENT GROUP LTD 5,196,102 $303.66M 0.37%
40 WEATHERFORD INTERNATIONAL PLC 3,195,289 $302.21M 0.37%
41 SAIA INC 845,308 $296.94M 0.37%
42 VSE CORP 1,594,772 $294.08M 0.36%
43 APL APOLLO TUBES 13,953,008 $293.64M 0.36%
44 360 ONE WAM LTD 28,444,417 $287.77M 0.36%
45 WAYFAIR INC- A 3,824,194 $287.62M 0.35%
46 GAMES WORKSHOP GROUP CO PLC 1,212,576 $285.83M 0.35%
47 ASMPT LTD 21,782,315 $284.10M 0.35%
48 FED SIGNAL CORP 2,625,238 $283.89M 0.35%
49 RENAISSANCERE HLDGS LTD 952,200 $283.02M 0.35%
50 PATRICK INDUSTRIES INC 2,525,383 $280.49M 0.35%
1 / 18 Next ›

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