SCSMX
ClearBridge Small Cap Growth Fund
Legg Mason Partners Investment Trust

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.

Jan 30, 2026 → Apr 30, 2026

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

Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
SOLARIS OIL IN-A 0 256,100 256,100 0.94% $18.91M
ENSIGN GROUP INC 0 57,700 57,700 0.54% $10.77M
GLAUKOS CORP 0 70,400 70,400 0.50% $10.11M
CHARLES RIVER LABS INTL INC 0 59,400 59,400 0.49% $9.92M
SCHOLAR ROCK HOLDING CORP 0 160,900 160,900 0.37% $7.50M
LEGENCE CORP-A 0 64,700 64,700 0.28% $5.63M
AXSOME THERAPEUTICS INC 0 23,400 23,400 0.24% $4.86M
VAXCYTE INC 0 84,600 84,600 0.24% $4.84M
CFD LATTICE SEMICONDUCTOR CORP 0 54 54 -0.01% -$166.16K
BLOOM ENERGY CORP- A COMMON STOCK 0 88 88 -0.04% -$715.28K
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
PENUMBRA INC 129,988 0 -129,988 0.00% -$46.56M
Icon Public Limited Company 106,326 0 -106,326 0.00% -$19.17M
CLEARWATER ANALYTICS HOLDINGS INC 525,497 0 -525,497 0.00% -$12.66M
HIMS & HERS HEAL 182,442 0 -182,442 0.00% -$4.94M
ZOOM COMMUNICATIONS INC 68 0 -68 0.00% -$2.38K
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
PJT PARTNERS INC 251,994 264,294 12,300 2.01% -$3.23M
ST STR SPDR S P BIOTECH E 235,015 277,215 42,200 1.82% $7.09M
MODINE MFG CO 113,388 123,388 10,000 1.57% $10.48M
XOMETRY INC-A 475,716 522,216 46,500 1.33% -$403.64K
BRIDGEBIO PHARMA INC 335,357 359,557 24,200 1.27% -$344.94K
MEDPACE HOLDINGS INC 44,547 49,947 5,400 1.04% -$5.04M
TARSUS PHARMACEUTICALS INC 277,389 309,489 32,100 0.98% $1.78M
RAMBUS INC 110,700 169,900 59,200 0.98% $6.96M
BOOT BARN HOLDINGS INC 101,324 113,324 12,000 0.97% $1.35M
PROTAGONIST THERAPEUTICS INC 152,916 193,516 40,600 0.95% $6.64M
RHYTHM PHARMACEUTICALS INC 206,493 226,393 19,900 0.92% -$2.75M
UNIVERSAL TECHNI 375,965 401,665 25,700 0.75% $4.61M
NCINO INC 755,327 807,027 51,700 0.70% -$2.02M
UMB FINANCIAL CORP 88,081 110,881 22,800 0.70% $2.79M
MADRIGAL PHARMACEUTICALS INC 11,454 25,554 14,100 0.66% $7.62M
PATHWARD FINANCIAL INC 106,326 137,826 31,500 0.60% $2.37M
GERON CORP 5,295,910 6,316,110 1,020,200 0.48% $2.47M
BETA TECHNOLOGIES INC 159,188 218,488 59,300 0.17% $57.97K
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
BLOOM ENERGY CORP CL A 584,653 387,008 -197,645 5.47% $21.16M
LATTICE SEMICONDUCTOR CORP 707,089 644,589 -62,500 3.93% $21.89M
RBC BEARINGS INC 130,068 105,998 -24,070 3.17% -$1.49M
FABRINET 90,480 88,680 -1,800 3.02% $16.33M
XPO LOGISTICS INC 306,843 234,043 -72,800 2.57% $6.07M
ALLEGRO MICROSYSTEMS INC 1,059,578 1,033,878 -25,700 2.50% $11.03M
ELEMENT SOLUTIONS INC 1,165,929 1,151,329 -14,600 2.44% $15.11M
BWX TECHNOLOGIES INC 261,054 211,884 -49,170 2.29% -$7.78M
CASEY'S GENERAL 72,788 55,282 -17,506 2.27% $1.30M
CONSTRUCTION PARTNERS INC CL A 370,011 348,311 -21,700 2.15% $2.42M
CREDO TECHNOLOGY GROUP HOLDING LTD 225,000 219,400 -5,600 1.90% $9.99M
OSI SYSTEMS INC 116,276 106,500 -9,776 1.52% $1.47M
MIRUM PHARMACEUTICALS INC 544,097 306,715 -237,382 1.49% -$26.32M
BJS WHSL CLUB HLDGS INC 353,568 312,461 -41,107 1.46% -$3.35M
TG THERAPEUTICS INC 966,347 857,247 -109,100 1.44% $518.21K
MOOG INC-CLASS A 117,336 95,836 -21,500 1.44% -$6.95M
BALCHEM CORP 181,692 170,392 -11,300 1.37% -$3.38M
VARONIS SYSTEMS INC 1,077,631 942,831 -134,800 1.24% -$7.36M
WINTRUST FINL 255,320 163,217 -92,103 1.23% -$13.08M
WINGSTOP INC 164,194 145,294 -18,900 1.19% -$19.75M
WIX.COM LTD 328,693 286,093 -42,600 1.07% -$7.18M
INSMED INC 196,752 147,163 -49,589 1.00% -$10.80M
SURGERY PARTNERS INC 1,450,508 1,404,408 -46,100 0.98% -$1.85M
ZETA GLOBAL HOLDINGS CORP 1,225,911 1,066,911 -159,000 0.98% -$3.12M
SHIFT4 PAYMENTS INC 470,580 437,780 -32,800 0.97% -$8.40M
KLAVIYO INC-A 1,110,828 948,228 -162,600 0.95% -$5.62M
FTAI AVIATION LTD 158,312 74,357 -83,955 0.93% -$24.55M
NMI HOLDINGS INC A 519,340 471,240 -48,100 0.91% -$1.87M
INTAPP INC 533,758 448,858 -84,900 0.50% -$8.04M
LIMBACH HOLDINGS INC 91,123 80,523 -10,600 0.40% $199.02K
JPMorgan 100% U.S. Treasury Securities Money Market Fund, Class L 9,483,428 6,797,367 -2,686,061 0.34% -$2.69M
Western Asset Premier Institutional US Treasury Reserves 9,483,428 6,797,367 -2,686,061 0.34% -$2.69M
GROCERY OUTLET HOLDING CORP 946,714 830,014 -116,700 0.33% -$2.46M
Security Shares Jan 2026 Shares Apr 2026 Δ shares End % Δ value
GXO LOGISTICS INC 629,783 629,783 0 1.79% $340.08K
CACTUS INC CL A 605,520 605,520 0 1.68% -$308.82K
PERFORMANCE FOOD GROUP CO 365,923 365,923 0 1.65% -$1.79M
DUTCH BROS INC-A 573,340 573,340 0 1.64% $1.79M
MATADOR RESOURCES COMPANY 484,520 484,520 0 1.53% $8.82M
HEALTHEQUITY INC 360,320 360,320 0 1.47% -$1.31M
HAMILTON LANE INC - A 295,007 295,007 0 1.35% -$14.53M
GLOBAL-E ONLINE LTD 854,136 854,136 0 1.34% -$4.42M
MCGRATH RENTCORP 232,333 232,333 0 1.28% -$264.86K
RADNET INC 453,995 453,995 0 1.28% -$6.15M
KRATOS DEFENSE and SEC SOLTN INC 340,361 340,361 0 1.07% -$13.60M
TREX CO INC 472,402 472,402 0 0.92% -$1.05M
CG ONCOLOGY INC 245,229 245,229 0 0.82% $3.60M
ARCHROCK INC 392,738 392,738 0 0.76% $3.60M
IONQ INC 314,858 314,858 0 0.71% $1.62M
CARIS LIFE SCIENCES INC 660,546 660,546 0 0.63% -$2.75M
SIMPSON MFG 63,266 63,266 0 0.60% $882.56K
KARMAN HOLDINGS INC 164,688 164,688 0 0.56% -$5.90M
YORK SPACE SYSTE 311,759 311,759 0 0.52% -$246.29K
ELF BEAUTY INC 159,086 159,086 0 0.51% -$3.34M
INSULET CORP 57,840 57,840 0 0.50% -$4.84M
RIGETTI COMPUTING INC A 457,672 457,672 0 0.40% -$329.52K
TRUPANION INC 301,796 301,796 0 0.36% -$2.41M
CELLEBRITE DI LTD 480,231 480,231 0 0.31% -$821.20K
FOX FACTORY HOLDING CORP 323,569 323,569 0 0.29% -$210.32K
BRAIN CORPORATION PRIVATE PLACEMENT 1,923,387 1,923,387 0 0.28% -$560.32K
DYNE THERAPEUTICS INC 276,016 276,016 0 0.24% -$93.85K
SPROUT SOCIAL INC 607,033 607,033 0 0.18% -$1.85M
BRAIN CORP COMMON STOCK PRIVATE PLCMT 598,883 598,883 0 0.09% -$174.47K

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