RMVIX
RBC Microcap Value Fund
RBC Funds Trust

Portfolio concentration

As of June 30, 2025 · N-PORT
Holdings
465
Top-10 weight
12.17%
Effective holdings ?
240
Crowding ?
167.1

Holdings

As of June 30, 2025 · N-PORT
#SecurityTickerSharesValue% of fund
1 DUCOMMUN INC 26,760 $2.21M 2.10%
2 ISHARES RUSSELL MICROCAP INDEX FUND IWC 16,220 $2.07M 1.96%
3 US GOVERNMENT MONEY MARKET FUND TUGXX 1,972,510 $1.97M 1.87%
4 WILLIS LEASE FINANCE CORP 10,118 $1.44M 1.37%
5 BEL FUSE INC NV CL B 11,560 $1.13M 1.07%
6 MILLER INDUSTRIES INC TENN 20,889 $928.72K 0.88%
7 OIL-DRI CORP OF AMERICA 14,660 $864.79K 0.82%
8 INGLES MARKETS INC-CL A 11,760 $745.35K 0.71%
9 NORTH AMERICAN CONSTRUCTION GROUP LTD NOA CN 46,340 $740.51K 0.70%
10 BEAZER HOMES USA INC 32,670 $730.83K 0.69%
11 COMPX INTL INC 27,344 $726.53K 0.69%
12 VILLAGE SUPER MKT INC CL A NEW 18,100 $696.85K 0.66%
13 SENECA FOODS CORP CL A 6,860 $695.81K 0.66%
14 ESPEY MFG & ELEC 14,690 $671.48K 0.64%
15 CONSUMER PORTFOLIO SVCS INC 67,371 $662.26K 0.63%
16 INVESTORS TITLE CO 3,073 $649.32K 0.62%
17 ONE LIBERTY PROPERTIES INC 26,652 $635.92K 0.60%
18 Mestek Inc MCCK 14,900 $596.00K 0.56%
19 PC CONNECTION INC 9,020 $593.34K 0.56%
20 UNITIL CORP 11,366 $592.74K 0.56%
21 SPARTANNASH CO 22,160 $587.02K 0.56%
22 WEYCO GROUP INC 17,640 $584.94K 0.55%
23 ROCKY BRANDS INC 26,330 $584.26K 0.55%
24 REX AMERICAN RESOURCES CORP 11,930 $581.11K 0.55%
25 WHITESTONE REIT 46,390 $578.95K 0.55%
26 COVENANT LOGISTICS GROUP INC 23,580 $568.51K 0.54%
27 VISHAY PRECISION GROUP INC 20,020 $562.56K 0.53%
28 OPPENHEIMER HO-A 8,470 $557.07K 0.53%
29 PREFORMED LINE PRODUCTS CO 3,320 $530.57K 0.50%
30 FLEXSTEEL INDS 14,620 $526.76K 0.50%
31 NATL PRESTO INDS 5,270 $516.25K 0.49%
32 ENNIS INC 27,960 $507.19K 0.48%
33 FEDERAL AGRI MTG NON VTG CL C 2,610 $507.07K 0.48%
34 EASTERN CO 21,655 $494.17K 0.47%
35 NWPX INFRASTRUCTURE INC 12,010 $492.53K 0.47%
36 KIMBALL ELECTRONICS INC 25,460 $489.60K 0.46%
37 NATHANS FAMOUS INC 4,320 $477.71K 0.45%
38 NORTHRIM BANCORP INC 5,100 $475.63K 0.45%
39 STANDARD MOTOR PRODUCTS INC 15,260 $468.79K 0.44%
40 ACME UNITED CORP 11,020 $456.78K 0.43%
41 MARINEMAX INC 17,880 $449.50K 0.43%
42 McRae Industries Inc MCRAA 9,250 $441.69K 0.42%
43 PHOTRONICS INC 23,430 $441.19K 0.42%
44 NORTHEAST BANK 4,940 $439.61K 0.42%
45 LSI INDUSTRIES INC 25,350 $431.20K 0.41%
46 SAFETY INSURANCE GROUP INC 5,420 $430.29K 0.41%
47 BLUELINX HOLDINGS INC 5,660 $420.99K 0.40%
48 NATURAL GROCERS VIT GROC INC 10,460 $410.56K 0.39%
49 GREENBRIER COS 8,810 $405.70K 0.38%
50 OLYMPIC STEEL INC 12,430 $405.09K 0.38%
1 / 10 Next ›

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