MSGRX
Meridian Small Cap Growth Fund
Meridian Fund Inc

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
98
Top-10 weight
27.88%
Effective holdings ?
61
Crowding ?
230.9

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 STIT GOVT AND AGENCY INST AGPXX 12,134,102 $12.13M 5.16%
2 MONEYMKT FGTXX 11,615,688 $11.62M 4.94%
3 AXOGEN INC 215,942 $7.15M 3.04%
4 EVOLVE VACATION RENTAL NETWORK INC. 470,013 $5.97M 2.54%
5 TURNING POINT BRANDS INC 63,558 $5.52M 2.34%
6 Apartment List Inc. Series D Preferred Stock 1,642,485 $5.44M 2.31%
7 FED SIGNAL CORP 49,514 $5.35M 2.28%
8 TANDEM DIABETES CARE INC 274,345 $5.26M 2.23%
9 HINGE HEALTH INC 135,099 $5.21M 2.21%
10 VIPER ENERGY INC A 110,211 $5.18M 2.20%
11 KADANT INC 17,107 $5.00M 2.13%
12 KIRBY CORP 35,291 $4.69M 1.99%
13 YAP Therapeutics, Inc. Series B Preferred Stock 64,544 $4.50M 1.91%
14 WAYSTAR HOLDING CORP 176,296 $4.25M 1.81%
15 Skyryse, Inc. Series B Preferred Stock 169,570 $4.21M 1.79%
16 ALKAMI TECHNOLOGY INC 248,209 $3.89M 1.65%
17 CIMPRESS PLC 52,850 $3.86M 1.64%
18 VERACYTE INC 117,978 $3.80M 1.61%
19 VIAD CORP 102,185 $3.74M 1.59%
20 RB GLOBAL INC 38,702 $3.71M 1.58%
21 AMPLITUDE INC 533,651 $3.64M 1.55%
22 CONSENSUS CLOUD SOLUTION 148,215 $3.52M 1.50%
23 CARGURUS INC CL A 102,882 $3.50M 1.49%
24 NPK INTERNATIONAL INC 229,340 $3.32M 1.41%
25 CAREDX INC 187,157 $3.25M 1.38%
26 NEPTUNE INSURANCE HOLDINGS INC 132,909 $3.22M 1.37%
27 PRAXIS PRECISION MEDICINES INC 9,199 $2.96M 1.26%
28 Quail Investment Holdings LLC 2,918 $2.88M 1.22%
29 CHURCHILL DOWNS INC 31,704 $2.85M 1.21%
30 ALMONTY INDUSTRI 187,966 $2.72M 1.16%
31 CG ONCOLOGY INC 39,213 $2.65M 1.13%
32 SPX TECHNOLOGIES INC 12,617 $2.52M 1.07%
33 PEDIATRIX MEDICAL GROUP INC 116,167 $2.48M 1.06%
34 WISDOMTREE INVESTMENTS INC 169,829 $2.47M 1.05%
35 PURE CYCLE CORP 239,595 $2.41M 1.02%
36 STEVANATO GROUP SPA STVN 174,142 $2.39M 1.02%
37 WEAVE COMMUNICATIONS INC 516,169 $2.38M 1.01%
38 Dataminr Inc. Series F Preferred Stock 128,530 $2.36M 1.00%
39 STERLING INFRASTRUCTURE INC 5,752 $2.34M 1.00%
40 FIGURE TECHNOLOGY SOLUTIONS INC A 67,806 $2.30M 0.98%
41 CERTARA INC 384,032 $2.19M 0.93%
42 DEFINIUM THERAPEUTICS INC 115,671 $2.19M 0.93%
43 STRUCTURE THERAPEUTICS INC ADR 42,027 $2.03M 0.86%
44 INDIE SEMICONDUCTOR INC 626,040 $2.02M 0.86%
45 NUVALENT INC-A 19,673 $2.02M 0.86%
46 TRINET GROUP INC 54,445 $1.98M 0.84%
47 ASURE SOFTWARE INC 227,146 $1.95M 0.83%
48 MERIT MEDICAL SYSTEMS INC 27,887 $1.92M 0.82%
49 ORIC PHARMACEUTICALS INC 150,199 $1.90M 0.81%
50 LEGENCE CORP-A 33,693 $1.90M 0.81%
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