LCBSX
ClearBridge Select Fund
Legg Mason Partners Investment Trust

Portfolio concentration

As of April 30, 2026 · N-PORT
Holdings
89
Top-10 weight
33.92%
Effective holdings ?
48
Crowding ?
1087.8

Holdings

As of April 30, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 1,133,992 $226.31M 7.05%
2 APPLE INC 542,697 $147.26M 4.59%
3 MICROSOFT CORP 266,366 $108.62M 3.38%
4 CASEY'S GENERAL 118,705 $97.59M 3.04%
5 COMFORT SYSTEMS USA INC 50,400 $92.75M 2.89%
6 BAKER HUGHES CO 1,300,994 $90.64M 2.82%
7 VERTIV HOLDINGS CO 265,583 $87.24M 2.72%
8 L3HARRIS TECHNOLOGIES INC 266,303 $85.36M 2.66%
9 LAM RESEARCH CORP 311,700 $80.37M 2.50%
10 PERFORMANCE FOOD GROUP CO 828,287 $75.01M 2.34%
11 MERCADOLIBRE INC 36,722 $65.83M 2.05%
12 APPLOVIN CORP 139,200 $62.13M 1.94%
13 CBRE GROUP INC - CL A 402,571 $57.46M 1.79%
14 SCHWAB CHARLES CORP 621,900 $56.99M 1.78%
15 LOWES COS INC 238,597 $56.97M 1.77%
16 MONSTER BEVERAGE CORP 712,120 $54.88M 1.71%
17 JPMorgan 100% U.S. Treasury Securities Money Market Fund, Class L JTSXX 52,359,576 $52.36M 1.63%
18 Western Asset Premier Institutional US Treasury Reserves WAEXX 52,359,575 $52.36M 1.63%
19 BURLINGTON STORES INC 157,069 $50.26M 1.57%
20 INTERCONTINENTAL EXCHANGE INC 316,800 $50.08M 1.56%
21 SHOPIFY INC CL A 406,175 $49.20M 1.53%
22 VULCAN MATERIALS CO 159,400 $48.10M 1.50%
23 ARGENX SE SPONSORED ADR 58,000 $45.34M 1.41%
24 EXPAND ENERGY CORP 442,390 $45.19M 1.41%
25 UNITED RENTALS INC 46,600 $44.73M 1.39%
26 HEALTHEQUITY INC 522,686 $42.88M 1.34%
27 REGENERON PHARMACEUTICALS INC 59,900 $42.35M 1.32%
28 DATABRICKS INC PRIVATE PLACEMENT SER H 217,734 $41.59M 1.30%
29 COHERENT CORP 127,000 $40.60M 1.26%
30 GXO LOGISTICS INC 673,725 $38.49M 1.20%
31 DATABRICKS SERIES J Private Placement 200,724 $38.35M 1.19%
32 DIAMONDBACK ENERGY INC 185,300 $38.10M 1.19%
33 SERVICENOW INC 423,840 $37.43M 1.17%
34 VERTEX PHARMACEUTICALS INC 87,000 $37.18M 1.16%
35 WINTRUST FINL 230,900 $34.77M 1.08%
36 LIVE NATION ENTERTAINMENT INC 212,059 $33.49M 1.04%
37 GLOBAL-E ONLINE LTD GLBE 1,017,624 $31.92M 0.99%
38 COPART INC 958,940 $31.75M 0.99%
39 FORTINET INC 373,475 $31.49M 0.98%
40 INSULET CORP 180,513 $31.07M 0.97%
41 ASM INTL NV 30,600 $29.94M 0.93%
42 ALPHABET INC CL A 77,700 $29.90M 0.93%
43 CHARLES RIVER LABS INTL INC 178,848 $29.86M 0.93%
44 LYV 3.125 01/15/29 LYV 18,356,000 $28.81M 0.90%
45 CASELLA WASTE SYS INC CL A 357,500 $28.33M 0.88%
46 DOCUSIGN INC 604,660 $27.81M 0.87%
47 LATTICE SEMICONDUCTOR CORP 227,000 $27.76M 0.86%
48 REDDIT INC-A 176,900 $26.04M 0.81%
49 CLEAN HARBORS INC 81,600 $25.51M 0.79%
50 ANTHROPIC PRIVATE PLACEMENT 96,474 $25.00M 0.78%
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