SEVPX
Guggenheim SMid Cap Value Fund
Guggenheim Funds Trust

Portfolio concentration

As of September 30, 2024 · N-PORT
Holdings
87
Top-10 weight
23.89%
Effective holdings ?
63
Crowding ?
527.8

Holdings

As of September 30, 2024 · N-PORT
#SecurityTickerSharesValue% of fund
1 Dreyfus Treasury Securities Cash Management Fund - Institutional Shares 14,502,863 $14.50M 3.90%
2 OGE ENERGY CORP 233,750 $9.59M 2.58%
3 INGREDION INC 66,822 $9.18M 2.47%
4 EVERGY INC 135,657 $8.41M 2.26%
5 UNUM GROUP 140,291 $8.34M 2.24%
6 TELEDYNE TECHNOLOGIES INC 18,440 $8.07M 2.17%
7 STIFEL FINANCIAL CORP 82,394 $7.74M 2.08%
8 CURTISS WRIGHT CORPORATION 23,413 $7.70M 2.07%
9 TERADYNE INC 57,150 $7.65M 2.06%
10 ENCOMPASS HEALTH CORP 78,117 $7.55M 2.03%
11 JEFFERIES FINANCIAL GROUP INC 122,576 $7.54M 2.03%
12 LEIDOS HOLDINGS INC 45,214 $7.37M 1.98%
13 OLD REPUBLIC INTL CORP 206,205 $7.30M 1.97%
14 PINNACLE WEST CAPITAL CORP 81,991 $7.26M 1.96%
15 KIRBY CORP 59,036 $7.23M 1.95%
16 MGP INGREDIENTS INC 85,998 $7.16M 1.93%
17 GRAPHIC PACKAGING HOLDING CO 240,516 $7.12M 1.92%
18 DIAMONDBACK ENERGY INC 40,485 $6.98M 1.88%
19 INTEGER HOLDINGS CORP 53,596 $6.97M 1.88%
20 EURONET WORLDWIDE INC 66,598 $6.61M 1.78%
21 SCIENCE APPLICATIONS INTERNATIONAL CORP 43,533 $6.06M 1.63%
22 RELIANCE STEEL and ALUMINUM CO 20,537 $5.94M 1.60%
23 COHERENT CORP 66,386 $5.90M 1.59%
24 FIRST HORIZON CORP 369,776 $5.74M 1.55%
25 JONES LANG LASALLE INC 21,074 $5.69M 1.53%
26 H&E EQUIPMENT SE 115,711 $5.63M 1.52%
27 MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 50,130 $5.58M 1.50%
28 SUMMIT MATERIALS INC CL A 141,380 $5.52M 1.49%
29 AVIENT CORP 109,330 $5.50M 1.48%
30 ALEXANDRIA REAL ES EQ INC REIT 45,826 $5.44M 1.46%
31 PROSPERITY BNCSH 74,846 $5.39M 1.45%
32 KNIGHT-SWIFT TRANSPORTATION HOLDINGS INC 99,408 $5.36M 1.44%
33 ARCOSA INC 55,422 $5.25M 1.41%
34 WESTLAKE CORP 30,968 $4.65M 1.25%
35 ENOVIS CORP 108,056 $4.65M 1.25%
36 RADNET INC 66,669 $4.63M 1.25%
37 MSC INDUSTRIAL DIRECT CO CL A 53,460 $4.60M 1.24%
38 ADV ENERGY INDS 42,919 $4.52M 1.22%
39 JOHNSON CONTROLS INTERNATIONAL PLC 56,979 $4.42M 1.19%
40 ESAB CORP 41,571 $4.42M 1.19%
41 MDU RESOURCES GROUP INC 160,895 $4.41M 1.19%
42 FIRST MERCHANTS CORP 114,112 $4.24M 1.14%
43 STEWART INFO SVC 49,893 $3.73M 1.00%
44 HUNTSMAN CORP 152,929 $3.70M 1.00%
45 AMKOR TECHNOLOGY INC 118,412 $3.62M 0.98%
46 ASHLAND INC 41,548 $3.61M 0.97%
47 CENTRAL GARDEN and PET CO CL A 110,835 $3.48M 0.94%
48 MURPHY OIL CORP 98,302 $3.32M 0.89%
49 SONIC AUTOMOTIVE INC CL A 56,308 $3.29M 0.89%
50 ICF INTERNATIONAL INC 19,374 $3.23M 0.87%
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