NNLEX
Nicholas Limited Edition, Inc.
Nicholas Limited Edition, Inc.

Portfolio concentration

As of April 30, 2026 · N-PORT
Holdings
60
Top-10 weight
24.81%
Effective holdings ?
54
Crowding ?
414.6

Holdings

As of April 30, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 MODINE MFG CO 39,705 $10.11M 3.07%
2 COHEN & STEERS 124,635 $8.76M 2.66%
3 LATTICE SEMICONDUCTOR CORP 71,430 $8.73M 2.65%
4 PRESTIGE CONSUMER HEALTHCARE INC 149,595 $8.43M 2.56%
5 DORMAN PRODUCTS INC 73,862 $8.31M 2.52%
6 ONTO INNOVATION INC 26,931 $7.95M 2.41%
7 ENCOMPASS HEALTH CORP 76,273 $7.63M 2.31%
8 APTARGROUP INC 59,500 $7.36M 2.23%
9 KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC 113,095 $7.34M 2.23%
10 DESCARTES SYS 100,050 $7.21M 2.19%
11 EXLSERVICE HOLDINGS INC 225,856 $7.20M 2.18%
12 EPLUS INC 82,705 $7.00M 2.12%
13 Q2 HOLDINGS INC 134,991 $6.85M 2.08%
14 LA-Z-BOY INC 196,866 $6.84M 2.07%
15 POWER INTEGRATIONS INC 92,695 $6.74M 2.04%
16 OPENLANE INC 210,651 $6.62M 2.01%
17 I3 VERTICALS INC CL A 291,085 $6.56M 1.99%
18 TETRA TECH INC 202,560 $6.55M 1.99%
19 RB GLOBAL INC 62,131 $6.48M 1.97%
20 CARRIAGE SERVICES INC 131,500 $6.46M 1.96%
21 GLOBUS MEDICAL INC 70,062 $6.32M 1.92%
22 EVERTEC INC 213,210 $6.30M 1.91%
23 CASELLA WASTE SYS INC CL A 78,333 $6.21M 1.88%
24 NOVANTA INC 47,590 $6.16M 1.87%
25 EXPONENT INC 90,010 $6.02M 1.83%
26 SITEONE LANDSCAPE SUPPLY INC 47,439 $5.98M 1.81%
27 ICF INTERNATIONAL INC 83,175 $5.96M 1.81%
28 MARTEN TRANSPORT LTD 393,631 $5.94M 1.80%
29 BIO-TECHNE CORP 103,485 $5.72M 1.74%
30 ATRICURE INC 202,765 $5.70M 1.73%
31 SMITH (AO) CORP 91,246 $5.64M 1.71%
32 MAMA'S CREATIONS INC 389,361 $5.53M 1.68%
33 ALKAMI TECHNOLOGY INC 343,407 $5.42M 1.64%
34 OLLIES BARGAIN OUTLET HOLDINGS INC 60,880 $5.27M 1.60%
35 NCINO INC 275,327 $4.81M 1.46%
36 SPX TECHNOLOGIES INC 21,145 $4.63M 1.40%
37 PAYLOCITY HOLDING CORP 42,923 $4.53M 1.37%
38 MORNINGSTAR INC 25,975 $4.38M 1.33%
39 BLACKLINE INC 139,960 $4.37M 1.33%
40 OPTION CARE HEALTH INC 211,310 $4.30M 1.30%
41 WORKIVA INC 79,815 $4.27M 1.29%
42 BRP GROUP INC-A 182,595 $4.15M 1.26%
43 SHIFT4 PAYMENTS INC 93,214 $4.13M 1.25%
44 Nomad Foods Ltd. USD ORD SHS NOMD US 421,967 $4.10M 1.24%
45 QUALYS INC 46,906 $4.08M 1.24%
46 VARONIS SYSTEMS INC 152,570 $4.01M 1.22%
47 MURPHY USA INC 6,795 $4.00M 1.21%
48 TENABLE HOLDINGS INC 189,897 $3.97M 1.20%
49 UFP TECHNOLOGIES INC 20,536 $3.94M 1.19%
50 Stevanato Group S.p.A. ORD SHS STVN 221,064 $3.76M 1.14%
1 / 2 Next ›

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