CWSCX
Carillon Chartwell Small Cap Value Fund
Carillon Series Trust

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
72
Top-10 weight
20.35%
Effective holdings ?
67
Crowding ?
376.2

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 IPG PHOTONICS CORP 8,171 $936.31K 2.27%
2 DIODES INC 13,178 $899.53K 2.18%
3 HELIOS TECHNOLOGIES INC 13,709 $887.11K 2.15%
4 ICHOR HOLDINGS LTD 18,348 $855.20K 2.07%
5 WEATHERFORD INTERNATIONAL PLC 8,966 $848.00K 2.06%
6 ELANCO ANIMAL HEALTH INC 32,325 $773.54K 1.88%
7 OLD NATL BANCORP 34,658 $765.94K 1.86%
8 RENASANT CORP 21,047 $760.43K 1.84%
9 FNB CORP PA 45,369 $758.57K 1.84%
10 NOMAD FOODS LTD NOMD 78,785 $757.12K 1.84%
11 ROGERS CORP 6,967 $747.77K 1.81%
12 INTEGER HOLDINGS CORP 8,420 $740.96K 1.80%
13 VALVOLINE INC 21,343 $718.83K 1.74%
14 UNITED BANKSHS 17,346 $718.47K 1.74%
15 COLUMBIA BANKING SYSTEMS INC 25,877 $709.81K 1.72%
16 BRUKER CORP 19,076 $689.03K 1.67%
17 TOWNE BANK 20,073 $675.86K 1.64%
18 NORTHWESTERN ENERGY GROUP INC 10,192 $672.06K 1.63%
19 AVIENT CORP 18,506 $671.77K 1.63%
20 AAR CORP 6,078 $665.30K 1.61%
21 CACTUS INC CL A 14,015 $663.89K 1.61%
22 ATLANTIC UNION B 18,543 $662.73K 1.61%
23 HUB GROUP INC CL A 17,705 $638.09K 1.55%
24 QUAKER HOUGHTON 5,106 $634.32K 1.54%
25 ENVISTA HOLDINGS CORP 24,933 $632.55K 1.53%
26 HB FULLER CO 10,142 $625.56K 1.52%
27 ONE GAS INC 7,070 $608.94K 1.48%
28 KONTOOR BRANDS INC 8,572 $602.53K 1.46%
29 WERNER ENTERPRISES INC 20,205 $594.23K 1.44%
30 CUSHMAN and WAKEFIELD LTD 47,842 $586.54K 1.42%
31 MALIBU BOATS INC CL A 22,391 $580.37K 1.41%
32 GATES INDUSTRIAL CORP PLC 24,613 $556.50K 1.35%
33 CENTURI HOLDINGS INC 18,884 $551.60K 1.34%
34 PROVIDENT FINANCIAL SVCS INC 25,912 $548.30K 1.33%
35 KENNAMETAL INC 15,041 $543.43K 1.32%
36 WYNDHAM HOTELS and RESORTS INC 6,658 $540.83K 1.31%
37 ASHLAND INC 9,723 $540.70K 1.31%
38 PRIMO BRANDS CORP A 28,631 $539.12K 1.31%
39 CVB FINANCIAL CORP 27,668 $536.48K 1.30%
40 JOHN BEAN TECHNOLOGIES CORP 4,185 $535.14K 1.30%
41 ICU MEDICAL INC 4,141 $534.81K 1.30%
42 UNITED COMMUNITY BANKS GA 16,941 $533.47K 1.29%
43 SELECTIVE INSURANCE GROUP INC 7,071 $533.08K 1.29%
44 CNX RESOURCES CORP 13,375 $515.61K 1.25%
45 FIRST FIN BANCRP 18,395 $512.85K 1.24%
46 MATADOR RESOURCES COMPANY 8,041 $508.03K 1.23%
47 KORN FERRY 8,054 $507.00K 1.23%
48 GENTHERM INC 17,929 $498.07K 1.21%
49 METHANEX CORP 8,274 $492.63K 1.19%
50 PRICESMART INC 3,154 $474.68K 1.15%
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