GSIOX
Goldman Sachs Small Cap Growth Insights Fund
Goldman Sachs Trust

Portfolio concentration

As of April 30, 2026 · N-PORT
Holdings
422
Top-10 weight
14.00%
Effective holdings ?
164
Crowding ?
354.9

Holdings

As of April 30, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 BLOOM ENERGY CORP CL A 38,234 $10.83M 3.77%
2 FABRINET 6,958 $4.76M 1.66%
3 CREDO TECHNOLOGY GROUP HOLDING LTD 24,244 $4.22M 1.47%
4 SITIME CORP 5,664 $3.18M 1.11%
5 MONEYMKT FGTXX 3,133,761 $3.13M 1.09%
6 IONQ INC 67,124 $3.03M 1.05%
7 MYR GROUP INC/DELAWARE 6,906 $2.80M 0.97%
8 VICOR CORPORATION 10,275 $2.77M 0.96%
9 FIRSTCASH HOLDINGS INC 12,366 $2.70M 0.94%
10 GUARDANT HEALTH INC 30,436 $2.65M 0.92%
11 ADV ENERGY INDS 6,734 $2.59M 0.90%
12 MOOG INC-CLASS A 8,567 $2.58M 0.90%
13 FRONTDOOR INC 35,840 $2.46M 0.86%
14 CONSTRUCTION PARTNERS INC CL A 19,809 $2.45M 0.85%
15 INTERDIGITAL INC 8,197 $2.43M 0.85%
16 ARGAN INC 3,480 $2.33M 0.81%
17 ESCO TECHNOLOGIES INC 6,927 $2.24M 0.78%
18 PRIMORIS SVCS CORP 12,187 $2.21M 0.77%
19 ARCHROCK INC 55,336 $2.14M 0.75%
20 PLANET LABS PBC A 56,827 $2.10M 0.73%
21 COEUR MINING INC 114,816 $2.06M 0.72%
22 BOOT BARN HOLDINGS INC 11,982 $2.05M 0.72%
23 HEALTHEQUITY INC 23,904 $1.96M 0.68%
24 SILICON LABS 8,903 $1.94M 0.68%
25 APPLIED OPTOELECTRONICS INC 11,756 $1.93M 0.67%
26 KADANT INC 6,407 $1.88M 0.65%
27 ATMUS FILTRATION TECHNOLOGIES INC 28,716 $1.82M 0.63%
28 COVISTA INC 15,791 $1.82M 0.63%
29 STERLING INFRASTRUCTURE INC 3,365 $1.74M 0.60%
30 VIAVI SOLUTIONS INC 32,758 $1.72M 0.60%
31 IMAX Corporation COM NPV IMAX US 44,335 $1.69M 0.59%
32 ATRICURE INC 59,926 $1.68M 0.59%
33 ZETA GLOBAL HOLDINGS CORP 91,183 $1.68M 0.58%
34 MODINE MFG CO 6,579 $1.68M 0.58%
35 TTM TECHNOLOGIES INC 10,554 $1.67M 0.58%
36 BRIDGEBIO PHARMA INC 23,206 $1.65M 0.57%
37 CINEMARK HOLDINGS INC 55,453 $1.64M 0.57%
38 RAMBUS INC 14,138 $1.63M 0.57%
39 POWELL INDUSTRIES INC 5,802 $1.61M 0.56%
40 FIRST FINL BANKSHARES INC 49,453 $1.60M 0.56%
41 SEMTECH CORP 14,986 $1.57M 0.55%
42 AMER SUPERCONDTR 29,287 $1.57M 0.55%
43 SERVISFIRST BANCSHARES INC 19,612 $1.56M 0.54%
44 PATTERSON-UTI ENERGY INC 127,309 $1.56M 0.54%
45 KNOWLES CORP 49,595 $1.55M 0.54%
46 UMH PROPERTIES INC 98,914 $1.54M 0.54%
47 ENERGIZER HOLDIN 77,894 $1.53M 0.53%
48 STANDEX INTL CORP 5,533 $1.51M 0.53%
49 INSTALLED BUILDING PRODUCTS INC 5,101 $1.47M 0.51%
50 ASTRONICS CORP 20,584 $1.47M 0.51%
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