MECDX
NYLI Epoch Capital Growth Fund
NEW YORK LIFE INVESTMENTS FUNDS TRUST

Portfolio concentration

As of January 31, 2026 · N-PORT
Holdings
109
Top-10 weight
18.61%
Effective holdings ?
85
Crowding ?
1028.1

Holdings

As of January 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 NVIDIA CORP 22,854 $4.37M 3.14%
2 APPLE INC 10,943 $2.84M 2.04%
3 EMCOR GROUP INC 3,604 $2.60M 1.86%
4 ALPHABET INC CL A 7,498 $2.53M 1.82%
5 MONSTER BEVERAGE CORP 30,178 $2.44M 1.75%
6 HOYA CORP 14,200 $2.37M 1.70%
7 REGENERON PHARMACEUTICALS INC 3,176 $2.35M 1.69%
8 INDITEX SA 35,674 $2.33M 1.67%
9 FABRINET 4,515 $2.21M 1.59%
10 BROADCOM INC 6,656 $2.21M 1.58%
11 META PLATFORMS INC CL A 2,990 $2.14M 1.54%
12 DECKERS OUTDOOR CORP 17,806 $2.12M 1.53%
13 Invesco Government & Agency Portfolio, Institutional Class 2,041,728 $2.04M 1.47%
14 KLA CORP 1,408 $2.01M 1.44%
15 ACCENTURE PLC CL A 7,450 $1.96M 1.41%
16 LAM RESEARCH CORP 8,409 $1.96M 1.41%
17 ULTA BEAUTY INC 3,010 $1.95M 1.40%
18 PARTNERS GROUP HOLDING AG COMMON STOCK PGHN 1,422 $1.93M 1.39%
19 LPL FINL HLDGS INC 5,275 $1.92M 1.38%
20 APPLIED MATERIALS INC 5,855 $1.89M 1.35%
21 QUALCOMM INC 12,345 $1.87M 1.34%
22 FASTENAL CO 41,529 $1.80M 1.29%
23 YUM! BRANDS INC 11,516 $1.79M 1.29%
24 ARISTA NETWORKS INC 12,407 $1.76M 1.26%
25 WALMART DE MEXIC 553,322 $1.76M 1.26%
26 TSMC 31,000 $1.75M 1.25%
27 MASTERCARD INC CL A 3,190 $1.72M 1.23%
28 THE BOOKING HOLDINGS INC 331 $1.66M 1.19%
29 AMERIPRISE FINANCIAL INC 3,100 $1.63M 1.17%
30 FIRSTRAND LTD 281,090 $1.61M 1.16%
31 MICROSOFT CORP 3,735 $1.61M 1.15%
32 METTLER-TOLEDO INTL INC 1,167 $1.60M 1.15%
33 CHEMED CORP 3,673 $1.57M 1.13%
34 TEXAS PACIFIC LAND CORP 4,474 $1.56M 1.12%
35 ASTRAZENECA PLC 8,299 $1.54M 1.11%
36 ABBVIE INC 6,842 $1.53M 1.10%
37 COSTCO WHOLESALE CORP 1,609 $1.51M 1.09%
38 WEST PHARMACEUTICAL SVCS INC 6,538 $1.51M 1.08%
39 PACCAR INC 12,283 $1.51M 1.08%
40 MAGNOLIA OIL and GAS CORPO CL A 58,499 $1.49M 1.07%
41 TJX COS INC 9,825 $1.47M 1.06%
42 EXPEDITORS INTL OF WASH INC 9,120 $1.46M 1.05%
43 ZOETIS INC CL A 11,723 $1.46M 1.05%
44 RELX PLC 41,363 $1.46M 1.05%
45 EVOLUTION AB 21,948 $1.43M 1.02%
46 FORTUNE ELEC 46,000 $1.42M 1.02%
47 LILLY ELI and CO 1,353 $1.40M 1.01%
48 ASML Holding NV 967 $1.39M 1.00%
49 VISA INC-CLASS A 4,301 $1.38M 0.99%
50 IDEXX LABS INC 2,064 $1.38M 0.99%
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