abrdn Focused U.S. Small Cap Equity Fund
abrdn Funds

Portfolio moves

Net position changes between two of this fund's N-PORT snapshots. These are differences between point-in-time reports — not a trade log — and share counts can be affected by splits and other corporate actions.

Oct 31, 2024 → Jan 31, 2025

Expand a category to see the positions behind it, ranked by weight.

Security Shares Oct 2024 Shares Jan 2025 Δ shares End % Δ value
ANI PHARMACEUTICALS INC 0 4,175 4,175 1.96% $244.82K
GRIFFON CORP 0 2,327 2,327 1.41% $176.32K
Security Shares Oct 2024 Shares Jan 2025 Δ shares End % Δ value
PARSONS CORP 2,689 0 -2,689 0.00% -$290.84K
H&E EQUIPMENT SE 5,187 0 -5,187 0.00% -$271.02K
Security Shares Oct 2024 Shares Jan 2025 Δ shares End % Δ value
BOOT BARN HOLDINGS INC 2,319 2,347 28 3.02% $88.68K
JFROG LTD 7,624 10,024 2,400 2.78% $125.97K
DONNELLEY FINANCIAL SOLUTIONS INC 4,493 5,091 598 2.70% $75.77K
KNIFE RIVER HOLDING CO W/I 2,765 2,923 158 2.42% $33.67K
State Street Navigator Securities Lending Portfolio II 136,748 290,363 153,614 2.32% $153.61K
Security Shares Oct 2024 Shares Jan 2025 Δ shares End % Δ value
CORCEPT THERAPEUTICS INC 8,950 7,944 -1,006 4.25% $93.33K
WINTRUST FINL 4,139 3,680 -459 3.85% $1.71K
WSFS FINANCIAL CORP 9,598 8,516 -1,082 3.81% $4.96K
STRIDE INC 3,892 3,457 -435 3.73% $103.30K
ARITZIA INC-SUB 10,900 9,674 -1,226 3.72% $114.33K
Q2 HOLDINGS INC 6,390 4,548 -1,842 3.46% -$108.14K
ENPRO INDUSTRIES INC 2,612 2,324 -288 3.45% $51.23K
BRINKER INTL 3,901 2,095 -1,806 3.05% -$19.44K
VERTEX INC - CLASS A 7,374 6,543 -831 3.02% $71.76K
MERIT MEDICAL SYSTEMS INC 3,852 3,417 -435 2.97% -$8.00K
VITA COCO CO INC/THE 11,052 9,808 -1,244 2.93% $39.96K
SEACOAST BANKING CORP FLORIDA 14,490 12,862 -1,628 2.92% -$20.96K
WORKIVA INC 4,040 3,585 -455 2.81% $29.89K
INTEGER HOLDINGS CORP 2,678 2,383 -295 2.71% $6.17K
TMX GROUP LTD 12,264 10,883 -1,381 2.69% -$46.25K
CASELLA WASTE SYS INC CL A 3,476 3,090 -386 2.65% -$7.93K
PJT PARTNERS INC 2,192 1,949 -243 2.57% $16.93K
AZEK CO INC/THE 7,016 6,225 -791 2.55% $10.20K
LIGAND PHARMACEUTICALS 3,024 2,690 -334 2.50% -$6.12K
TERRENO REALTY CORP 5,197 4,610 -587 2.41% -$9.97K
AMICUS THERAPEUTICS INC 34,534 30,659 -3,875 2.35% -$100.67K
MATERION CORP 3,216 2,853 -363 2.30% -$38.69K
GRAPHIC PACKAGING HOLDING CO 11,360 10,081 -1,279 2.21% -$44.51K
ATMUS FILTRATION TECHNOLOGIES INC 7,376 6,545 -831 2.19% -$13.51K
CAMTEK LTD 2,663 2,359 -304 1.78% $11.15K
STEVEN MADDEN LTD 5,922 5,254 -668 1.72% -$50.64K
INTEGRAL AD SCIENCE HOLDING CORP 22,772 20,218 -2,554 1.70% -$57.13K
LIVE OAK BANCSHARES INC 6,558 5,817 -741 1.65% -$53.97K
WNS Holdings Ltd. 5,470 3,078 -2,392 1.51% -$73.98K
SM ENERGY CO 5,579 4,950 -629 1.50% -$46.25K
MAGNOLIA OIL and GAS CORPO CL A 7,383 6,551 -832 1.24% -$31.38K
NORTHERN OIL AND GAS INC 4,744 4,208 -536 1.21% -$20.69K

No positions in this category.

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