RPFFX
Royce Premier Fund
ROYCE FUND

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
52
Top-10 weight
35.30%
Effective holdings ?
41
Crowding ?
453.4

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 FIXED INC CLEARING CORP.REPO 49,364,297 $49.36M 4.94%
2 MKS INSTRUMENTS INC 170,729 $39.24M 3.92%
3 ARCOSA INC 338,163 $35.89M 3.59%
4 LITTELFUSE INC 103,394 $35.09M 3.51%
5 RBC BEARINGS INC 64,013 $34.77M 3.48%
6 JOHN BEAN TECHNOLOGIES CORP 270,744 $34.62M 3.46%
7 ESCO TECHNOLOGIES INC 122,373 $34.43M 3.44%
8 FIRSTSERVICE-WI 225,537 $31.34M 3.13%
9 QUAKER HOUGHTON 237,294 $29.48M 2.95%
10 RB GLOBAL INC 301,625 $28.91M 2.89%
11 STELLA-JONES INC 422,741 $28.37M 2.84%
12 CIRRUS LOGIC INC 194,084 $28.07M 2.81%
13 TMX GROUP LTD 779,000 $27.62M 2.76%
14 RELIANCE STEEL and ALUMINUM CO 90,183 $27.41M 2.74%
15 LCI INDUSTRIES 197,721 $24.32M 2.43%
16 COLLIERS-SUBORD 227,143 $24.28M 2.43%
17 ESAB CORP 241,126 $23.31M 2.33%
18 SEI INVESTMENTS 284,894 $22.36M 2.24%
19 LINCOLN ELECTRIC HLDGS INC 85,626 $21.33M 2.13%
20 EXPONENT INC 323,961 $21.14M 2.11%
21 DORMAN PRODUCTS INC 193,651 $20.21M 2.02%
22 WOODWARD INC 55,799 $19.97M 2.00%
23 SIMPSON MFG 110,897 $19.03M 1.90%
24 COGNEX CORP 376,700 $18.45M 1.85%
25 LANDSTAR SYSTEM INC 106,988 $17.15M 1.72%
26 VALMONT INDUSTRIES INC 42,529 $16.99M 1.70%
27 VALVOLINE INC 504,048 $16.98M 1.70%
28 INTERPARFUMS INC 183,780 $16.69M 1.67%
29 LAZARD INC CL A 391,377 $16.63M 1.66%
30 KADANT INC 52,125 $15.24M 1.52%
31 ONTO INNOVATION INC 73,939 $15.16M 1.52%
32 RALPH LAUREN CORP 42,589 $14.65M 1.46%
33 BIO-TECHNE CORP 268,407 $14.03M 1.40%
34 ENPRO INDUSTRIES INC 51,738 $12.97M 1.30%
35 BRUNSWICK CORP 173,350 $12.61M 1.26%
36 RLI CORP 210,910 $12.03M 1.20%
37 MORNINGSTAR INC 70,944 $11.99M 1.20%
38 BRADY CORPORATION CL A 147,000 $11.94M 1.19%
39 AAON INC 134,083 $11.10M 1.11%
40 KNOWLES CORP 409,807 $10.52M 1.05%
41 UFP INDUSTRIES INC 109,932 $10.13M 1.01%
42 EVERCORE INC A 33,733 $10.07M 1.01%
43 VICTORY CAPITAL HOLDINGS INC CL A 150,000 $9.82M 0.98%
44 INSTALLED BUILDING PRODUCTS INC 34,827 $9.23M 0.92%
45 WD-40 CO 42,937 $8.76M 0.88%
46 MSA SAFETY INC 53,401 $8.76M 0.88%
47 KORN FERRY 128,020 $8.06M 0.81%
48 POOL CORP 36,921 $7.47M 0.75%
49 FORMFACTOR INC 69,637 $6.75M 0.68%
50 FACTSET RESEARCH SYSTEMS INC 25,600 $5.55M 0.56%
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