RCMSX
Royce Capital Fund - Micro-Cap Portfolio
ROYCE CAPITAL FUND

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
157
Top-10 weight
16.75%
Effective holdings ?
105
Crowding ?
192.7

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 FIXED INC CLEARING CORP.REPO 4,177,263 $4.18M 4.06%
2 LINCOLN EDUCATIONAL SERVICES 41,816 $1.70M 1.65%
3 ULTRA CLEAN HOLDINGS INC 25,163 $1.56M 1.52%
4 5N PLUS INC COMMON STOCK VNP CN 67,867 $1.55M 1.50%
5 ICHOR HOLDINGS LTD 30,765 $1.43M 1.39%
6 SPROTT INC 9,877 $1.41M 1.37%
7 COHU INC 44,807 $1.37M 1.33%
8 NWPX INFRASTRUCTURE INC 17,507 $1.36M 1.32%
9 NATURAL GAS SERVICES GROUP 35,835 $1.35M 1.31%
10 EZCORP INC CL A NON VTG 52,910 $1.34M 1.30%
11 ADTRAN HOLDINGS INC 106,158 $1.34M 1.30%
12 BEL FUSE INC NV CL B 6,553 $1.30M 1.26%
13 GRAHAM CORPORATION 16,135 $1.27M 1.24%
14 PARK AEROSPACE CORP 44,473 $1.22M 1.18%
15 DIGI INTL INC 24,735 $1.19M 1.16%
16 INVESTAR HOLDING CORP 43,335 $1.18M 1.15%
17 MAJOR DRILLING GROUP INTL INC MDI CN 102,097 $1.18M 1.14%
18 NPK INTERNATIONAL INC 80,760 $1.17M 1.14%
19 NLIGHT INC 20,341 $1.16M 1.13%
20 ALTIUS MINERALS CORP COMMON STOCK ALS CN 31,762 $1.12M 1.08%
21 TRANSCAT INC 15,122 $1.11M 1.08%
22 LINDBLAD EXPEDITIONS HOLDINGS 64,030 $1.11M 1.08%
23 WESTERN NEW ENGLAND BANCORP INC 81,137 $1.05M 1.02%
24 LEGACY EDUCATION INC 81,917 $1.03M 1.00%
25 CAMTEK LTD 6,715 $1.02M 0.99%
26 OPPENHEIMER HO-A 11,406 $1.02M 0.99%
27 ESTABLISHMENT LABS HOLDINGS INC ESTA 17,645 $1.00M 0.97%
28 NOVA LTD 2,305 $1.00M 0.97%
29 VISHAY PRECISION GROUP INC 22,813 $990.54K 0.96%
30 CECO ENVIRONMNTL 16,412 $977.83K 0.95%
31 RICHARDSON ELECTRONICS LTD 88,649 $970.71K 0.94%
32 CITI TRENDS INC 22,369 $969.03K 0.94%
33 IMAX Corporation COM NPV IMAX US 25,265 $960.32K 0.93%
34 INTEST CORP 70,260 $959.05K 0.93%
35 CUSTOMERS BANCORP INC 13,361 $927.39K 0.90%
36 LIGHTPATH TECHNOLOGIES CL A 91,536 $918.11K 0.89%
37 LIQUIDITY SERVICES INC 29,489 $901.48K 0.88%
38 INTERNATIONAL GENERAL INSURANCE HOLDINGS LTD BERMUDA IGIC 37,036 $897.20K 0.87%
39 MESA LABS 10,017 $885.70K 0.86%
40 ACME UNITED CORP 19,360 $869.46K 0.84%
41 APPLIED OPTOELECTRONICS INC 10,266 $868.40K 0.84%
42 LIMBACH HOLDINGS INC 11,013 $859.56K 0.83%
43 COVENANT LOGISTICS GROUP INC 31,525 $855.90K 0.83%
44 LUXFER HOLDINGS PLC 70,109 $853.93K 0.83%
45 ASTRONICS CORP 12,787 $853.28K 0.83%
46 KOPIN CORP 374,129 $841.79K 0.82%
47 CANACCORD GENUITY GROUP INC COMMON STOCK CF CN 94,613 $810.04K 0.79%
48 SELECT WATER SOLUTIONS INC CL A 52,727 $806.72K 0.78%
49 APYX MEDICAL CORP 215,125 $793.81K 0.77%
50 LSI INDUSTRIES INC 42,670 $793.66K 0.77%
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