RYPCX
Royce Small-Cap Fund
ROYCE FUND

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
261
Top-10 weight
16.09%
Effective holdings ?
130
Crowding ?
363.2

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 FIXED INC CLEARING CORP.REPO 78,712,652 $78.71M 4.33%
2 ARCOSA INC 388,457 $41.23M 2.27%
3 ELEMENT SOLUTIONS INC 961,548 $32.83M 1.81%
4 ASSURED GUARANTY LTD 291,135 $23.72M 1.30%
5 SEI INVESTMENTS 274,408 $21.53M 1.18%
6 RBC BEARINGS INC 37,789 $20.52M 1.13%
7 ENPRO INDUSTRIES INC 77,069 $19.32M 1.06%
8 JOHN BEAN TECHNOLOGIES CORP 150,262 $19.21M 1.06%
9 QUAKER HOUGHTON 148,396 $18.44M 1.01%
10 ESAB CORP 180,384 $17.44M 0.96%
11 CIRRUS LOGIC INC 119,454 $17.28M 0.95%
12 INTERNATIONAL GENERAL INSURANCE HOLDINGS LTD BERMUDA IGIC 712,155 $17.25M 0.95%
13 ATMUS FILTRATION TECHNOLOGIES INC 303,418 $17.23M 0.95%
14 ONTO INNOVATION INC 83,779 $17.18M 0.95%
15 KADANT INC 58,210 $17.02M 0.94%
16 ESCO TECHNOLOGIES INC 57,704 $16.24M 0.89%
17 VONTIER CORP W/I 453,073 $16.07M 0.88%
18 ALAMOS GOLD INC A 354,328 $15.76M 0.87%
19 TMX GROUP LTD 444,202 $15.75M 0.87%
20 DORMAN PRODUCTS INC 148,063 $15.45M 0.85%
21 IMAX Corporation COM NPV IMAX US 406,039 $15.43M 0.85%
22 SPROTT INC 104,337 $14.89M 0.82%
23 INTERPARFUMS INC 159,645 $14.50M 0.80%
24 POPULAR INC 107,297 $14.40M 0.79%
25 CATALYST PHARMACEUTICALS INC 581,227 $14.39M 0.79%
26 ARTISAN PARTNERS ASSET MANAGEMENT INC A 383,134 $13.94M 0.77%
27 LINCOLN ELECTRIC HLDGS INC 54,999 $13.70M 0.75%
28 M/I HOMES INC 111,659 $13.67M 0.75%
29 EXPONENT INC 207,263 $13.52M 0.74%
30 KORN FERRY 212,881 $13.40M 0.74%
31 NOVA LTD 30,750 $13.35M 0.73%
32 ACADEMY SPORTS and OUTDOORS INC 229,698 $12.97M 0.71%
33 COGNEX CORP 261,995 $12.84M 0.71%
34 LCI INDUSTRIES 104,229 $12.82M 0.71%
35 STELLA-JONES INC 190,714 $12.80M 0.70%
36 VALMONT INDUSTRIES INC 31,872 $12.74M 0.70%
37 KBR INC 343,396 $12.66M 0.70%
38 DIGI INTL INC 258,206 $12.45M 0.68%
39 MAREX GROUP PLC MRX 278,421 $12.41M 0.68%
40 E-L FINANCIAL CORP LTD COMMON STOCK ELF CN 1,072,700 $12.21M 0.67%
41 NLIGHT INC 213,564 $12.18M 0.67%
42 LITTELFUSE INC 35,608 $12.08M 0.66%
43 GRAHAM CORPORATION 151,141 $11.93M 0.66%
44 INGEVITY CORP 166,447 $11.86M 0.65%
45 CONSTRUCTION PARTNERS INC CL A 106,429 $11.83M 0.65%
46 IES HOLDINGS INC 24,754 $11.79M 0.65%
47 APPLIED INDU TEC 43,882 $11.64M 0.64%
48 VALVOLINE INC 338,719 $11.41M 0.63%
49 ONEX CORP 155,417 $11.34M 0.62%
50 VISTEON CORP 120,899 $11.02M 0.61%
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