EISIX
Carillon ClariVest International Stock Fund
Carillon Series Trust

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
151
Top-10 weight
18.04%
Effective holdings ?
101
Crowding ?
454.8

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 TAIWAN SEMIC MFG CO LTD SP ADR 131,206 $44.34M 4.38%
2 SAMSUNG ELECTRONICS CO LTD 185,101 $21.65M 2.14%
3 SK HYNIX INC 37,219 $21.12M 2.08%
4 ASML Holding NV 12,104 $16.10M 1.59%
5 NN GROUP 167,455 $13.08M 1.29%
6 OTSUKA HOLDINGS 182,300 $12.94M 1.28%
7 JAPAN TOBACCO 336,500 $12.91M 1.27%
8 Novartis AG (Registered) NVSEF 83,678 $12.84M 1.27%
9 HSBC HOLDINGS PL 702,476 $11.54M 1.14%
10 FRST AM-GV OB-X TMPXX 11,434,500 $11.43M 1.13%
11 Xtrackers Harvest CSI 300 China A-Shares ETF ETF ASHR 350,104 $11.43M 1.13%
12 ROYAL BANK OF CANADA 69,722 $11.27M 1.11%
13 ASTELLAS PHARMA 678,200 $11.06M 1.09%
14 SUMITOMO CORP 292,200 $10.93M 1.08%
15 SUMITOMO ELEC IN 189,300 $10.76M 1.06%
16 BARCLAYS PLC 2,016,454 $10.55M 1.04%
17 CAN IMPL BK COMM 111,021 $10.52M 1.04%
18 ISHARES MSCI INDIA ETF MUTUAL FUND INDA 222,144 $10.41M 1.03%
19 HYUNDAI MOTOR CO 32,865 $10.12M 1.00%
20 TENCENT HOLDINGS LTD 158,800 $10.02M 0.99%
21 BRITISH AMERICAN TOBACCO PLC 171,750 $9.97M 0.98%
22 IBERDROLA SA 430,777 $9.86M 0.97%
23 ROCHE HOLDING AG 24,562 $9.80M 0.97%
24 BANCO SANTANDER SA 872,945 $9.79M 0.97%
25 GSK PLC 353,671 $9.74M 0.96%
26 TEVA PHARMACEUTICAL IND ADR 316,922 $9.55M 0.94%
27 ENGIE 292,372 $9.42M 0.93%
28 SOC GENERALE SA 128,555 $9.39M 0.93%
29 BABA-W 598,400 $9.38M 0.93%
30 KDDI Corporation 9433 545,800 $9.29M 0.92%
31 HON HAI 1,496,000 $9.14M 0.90%
32 CENTRAL JAPAN RL 347,600 $9.04M 0.89%
33 REPSOL SA 319,643 $9.00M 0.89%
34 UBS GROUP AG 223,550 $8.72M 0.86%
35 PRYSMIAN SPA 72,992 $8.62M 0.85%
36 SCHNEIDER ELECTR 30,718 $8.37M 0.83%
37 Bayer Aktiengesellschaft BAYN 178,182 $8.25M 0.81%
38 KINROSS GOLD CORP 267,659 $8.18M 0.81%
39 ITOCHU CORP 612,500 $7.79M 0.77%
40 SUMITOMO MITSUI FINL GROUP INC 232,200 $7.63M 0.75%
41 TAKEDA PHARMACEU 206,300 $7.60M 0.75%
42 GREAT-WEST LIFEC 159,817 $7.48M 0.74%
43 E.ON SE 335,296 $7.34M 0.72%
44 INTESA SANPAOLO 1,206,385 $7.30M 0.72%
45 ROLLS-ROYCE HOLDINGS PLC 478,226 $7.27M 0.72%
46 RELX PLC 220,130 $7.21M 0.71%
47 SHELL PLC 155,400 $7.20M 0.71%
48 DEUTSCHE TELEKOM 192,630 $7.19M 0.71%
49 MARUBENI CORP 196,300 $7.18M 0.71%
50 PROSUS NV 150,965 $6.99M 0.69%
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