MERDX
Meridian Growth Fund
Meridian Fund Inc

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
86
Top-10 weight
23.14%
Effective holdings ?
65
Crowding ?
391.7

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 CURTISS WRIGHT CORPORATION 18,143 $12.36M 2.54%
2 TURNING POINT BRANDS INC 137,026 $11.89M 2.44%
3 RB GLOBAL INC 119,475 $11.45M 2.35%
4 CHURCHILL DOWNS INC 125,153 $11.24M 2.31%
5 TRIMBLE INC 171,315 $11.17M 2.29%
6 FED SIGNAL CORP 102,436 $11.08M 2.27%
7 COOPER COS INC 146,294 $10.46M 2.15%
8 AXOGEN INC 304,210 $10.08M 2.07%
9 KIRBY CORP 75,841 $10.08M 2.07%
10 Evolve Vacation Rental Network Inc Series 9 Preferred Stock 776,451 $9.86M 2.02%
11 TANDEM DIABETES CARE INC 496,572 $9.52M 1.95%
12 STANDARDAERO INC 366,705 $9.47M 1.94%
13 WAYSTAR HOLDING CORP 377,844 $9.11M 1.87%
14 HINGE HEALTH INC 236,113 $9.10M 1.87%
15 GLOBUS MEDICAL INC 105,287 $9.07M 1.86%
16 GLOBALFOUNDRIES INC GFS 190,535 $8.47M 1.74%
17 VIPER ENERGY INC A 179,766 $8.45M 1.73%
18 STERIS PLC 37,595 $8.31M 1.71%
19 APPLIED INDU TEC 31,320 $8.31M 1.71%
20 SENSATA TECHNOLOGIES HOLDING PLC 234,874 $8.27M 1.70%
21 HALOZYME THERAPEUTICS INC 127,018 $8.21M 1.69%
22 CIMPRESS PLC 112,080 $8.18M 1.68%
23 DYNATRACE INC 218,467 $8.08M 1.66%
24 Apartment List Inc. Series D Preferred Stock 2,299,479 $7.61M 1.56%
25 GENERAC HOLDINGS INC 38,742 $7.57M 1.55%
26 ON SEMICONDUCTOR CORP 121,730 $7.54M 1.55%
27 CARGURUS INC CL A 220,218 $7.50M 1.54%
28 Skyryse, Inc. Series B Preferred Stock 290,316 $7.21M 1.48%
29 MADRIGAL PHARMACEUTICALS INC 13,516 $7.08M 1.45%
30 VERACYTE INC 210,982 $6.80M 1.40%
31 LATTICE SEMICONDUCTOR CORP 72,963 $6.77M 1.39%
32 SPX TECHNOLOGIES INC 33,758 $6.75M 1.39%
33 KLAVIYO INC-A 339,579 $6.61M 1.36%
34 JOHN BEAN TECHNOLOGIES CORP 51,088 $6.53M 1.34%
35 EURONET WORLDWIDE INC 95,917 $6.37M 1.31%
36 STERLING INFRASTRUCTURE INC 15,050 $6.13M 1.26%
37 PRAXIS PRECISION MEDICINES INC 18,871 $6.08M 1.25%
38 ALKAMI TECHNOLOGY INC 360,760 $5.65M 1.16%
39 DRAFTKINGS INC 258,112 $5.58M 1.15%
40 WISDOMTREE INVESTMENTS INC 374,780 $5.46M 1.12%
41 TEMPUR SEALY INTERNATIONAL INC 70,577 $5.22M 1.07%
42 ENTEGRIS INC 42,167 $4.94M 1.01%
43 DEFINIUM THERAPEUTICS INC 261,246 $4.94M 1.01%
44 STIT GOVT AND AGENCY INST AGPXX 4,929,971 $4.93M 1.01%
45 FIRST AMERICAN FINANCIAL CORP 80,074 $4.83M 0.99%
46 LEGENCE CORP-A 81,342 $4.59M 0.94%
47 CERTARA INC 785,170 $4.48M 0.92%
48 AAON INC 53,484 $4.43M 0.91%
49 US LIME & MINERA 31,604 $4.13M 0.85%
50 DECKERS OUTDOOR CORP 40,883 $4.09M 0.84%
1 / 2 Next ›

Machine-readable: JSON · Markdown. Programmatic access via the agent surface.