HUSIX
Huber Small Cap Value Fund
Advisors Series Trust

Portfolio concentration

As of April 30, 2026 · N-PORT
Holdings
36
Top-10 weight
56.07%
Effective holdings ?
22
Crowding ?
272.3

Holdings

As of April 30, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 GOLAR LNG LTD GLNG 181,238 $9.97M 10.68%
2 TETRA TECHNOLOGIES INC 690,298 $6.57M 7.04%
3 UPBOUND GROUP INC 295,059 $5.83M 6.25%
4 ENOVA INTL INC 30,702 $5.20M 5.58%
5 KBR INC 131,375 $4.93M 5.28%
6 WEAVE COMMUNICATIONS INC 968,147 $4.75M 5.10%
7 HERBALIFE NUTRITION LTD 284,400 $4.72M 5.06%
8 O-I GLASS INC 412,150 $3.75M 4.02%
9 CARTER BANKSHARES INC 134,813 $3.45M 3.70%
10 NORTHRIM BANCORP INC 136,208 $3.34M 3.58%
11 COMMERCIAL VEHICLE GROUP INC 794,752 $3.32M 3.56%
12 FIRST HORIZON CORP 131,679 $3.29M 3.52%
13 W&T OFFSHORE INC 776,700 $3.27M 3.51%
14 CNO FINANCIAL GROUP INC 67,244 $2.99M 3.20%
15 C & F FINANCIAL 39,394 $2.94M 3.16%
16 CIPHER PHARMACEUTICALS INC CPH 224,700 $2.93M 3.14%
17 FIRST UTD CORP 78,008 $2.90M 3.11%
18 LIONSGATE STUDIOS CORP 211,106 $2.63M 2.82%
19 Boston Pizza Royalties Income Fund BPF-U 101,654 $1.85M 1.99%
20 LYFT INC-A 106,700 $1.51M 1.62%
21 SCIENCE APPLICATIONS INTERNATIONAL CORP 15,110 $1.46M 1.57%
22 STARZ ENTERTAINMENT CORP 74,609 $1.37M 1.47%
23 FIRST CITIZENS BANCSHARES INC CL A 683 $1.35M 1.45%
24 F5 INC 4,000 $1.30M 1.39%
25 GRANITE REAL EST 16,937 $1.15M 1.23%
26 TENET HEALTHCARE CORP 5,801 $1.03M 1.10%
27 UTAH MEDICAL PRODUCTS INC 15,044 $984.18K 1.06%
28 SOUTHSTATE BANK CORP 9,241 $902.57K 0.97%
29 INNOSPEC INC 9,440 $719.89K 0.77%
30 H&R BLOCK INC 20,100 $637.77K 0.68%
31 OLD NATL BANCORP 26,029 $623.92K 0.67%
32 VIRTUS INVESTMENT PARTNERS 4,081 $593.99K 0.64%
33 FIRST NORTHWEST BANCORP 49,199 $491.99K 0.53%
34 NEWTEKONE INC 35,001 $453.96K 0.49%
35 TAYLOR MORRISON HOME CORP 5,000 $303.70K 0.33%
36 GULFPORT ENERGY CORP 800 $154.03K 0.17%

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