TVOIX
Touchstone Funds Group Trust-Touchstone Small Cap Value Fund
Touchstone Funds Group Trust

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
87
Top-10 weight
21.70%
Effective holdings ?
70
Crowding ?
446.6

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 VIAVI SOLUTIONS INC 209,964 $6.99M 3.52%
2 DREY-GVT CSH-I MISXX 5,844,510 $5.84M 2.95%
3 PERMIAN RESOURCES CORP CL A 205,239 $4.38M 2.21%
4 STANDEX INTL CORP 15,748 $4.01M 2.02%
5 ENPRO INDUSTRIES INC 15,869 $3.98M 2.00%
6 NEWMARK GROUP INC CL A 256,650 $3.85M 1.94%
7 SILICON LABS 18,080 $3.76M 1.90%
8 GATES INDUSTRIAL 159,667 $3.61M 1.82%
9 COLUMBIA BANKING SYSTEMS INC 129,319 $3.55M 1.79%
10 WINTRUST FINL 24,915 $3.46M 1.74%
11 IDACORP INC 23,804 $3.40M 1.71%
12 VALMONT INDUSTRIES INC 8,391 $3.35M 1.69%
13 VALLEY NATL BANCORP 272,993 $3.35M 1.69%
14 CACI INTL-A 6,075 $3.30M 1.66%
15 PRESTIGE CONSUMER HEALTHCARE INC 55,225 $3.27M 1.65%
16 INSTALLED BUILDING PRODUCTS INC 12,251 $3.25M 1.64%
17 CLEAN HARBORS INC 11,204 $3.21M 1.62%
18 REGAL REXNORD CORP 16,821 $3.15M 1.59%
19 FIRST INTST BANCSYST INC CL A 92,755 $3.10M 1.56%
20 HURON CONSULTING GROUP INC 24,253 $3.09M 1.56%
21 ENCOMPASS HEALTH CORP 31,077 $3.01M 1.51%
22 NATIONAL-CL A 76,263 $2.99M 1.50%
23 ITT INC 15,584 $2.97M 1.50%
24 INDEPENDENT BANK CORP MASS 39,093 $2.94M 1.48%
25 OLD NATL BANCORP 133,007 $2.94M 1.48%
26 COHU INC 94,637 $2.90M 1.46%
27 VOYA FINANCIAL INC 42,385 $2.90M 1.46%
28 MURPHY USA INC 5,829 $2.88M 1.45%
29 AGREE REALTY CORP 37,155 $2.80M 1.41%
30 FB FINANCIAL CORP 52,770 $2.74M 1.38%
31 KORN FERRY 43,514 $2.74M 1.38%
32 ASSOCIATED BANC CORP 105,823 $2.74M 1.38%
33 GROUP 1 AUTOMOTIVE INC 7,945 $2.63M 1.32%
34 CORPORATE OFFICE PROPERTIES TR 84,748 $2.59M 1.31%
35 EXPRO GROUP HOLD 148,694 $2.59M 1.30%
36 CABOT CORP 32,943 $2.48M 1.25%
37 HEXCEL CORPORATION 29,705 $2.40M 1.21%
38 HANOVER INSURANCE GROUP INC 13,508 $2.34M 1.18%
39 STAG INDUSTRIAL INC CL A 64,169 $2.31M 1.17%
40 BELDEN INC 20,137 $2.31M 1.17%
41 SIMMONS FIRST -A 118,652 $2.31M 1.16%
42 DORMAN PRODUCTS INC 21,911 $2.29M 1.15%
43 HARMONIC INC 249,090 $2.24M 1.13%
44 PERFORMANCE FOOD GROUP CO 25,783 $2.21M 1.11%
45 MGIC INVT CORP 83,145 $2.18M 1.10%
46 NATIONAL STORAGE AFFILIATES TRUST 57,746 $2.18M 1.10%
47 ROGERS CORP 20,096 $2.16M 1.09%
48 HARSCO CORP 108,453 $2.13M 1.07%
49 GLOBUS MEDICAL INC 24,624 $2.12M 1.07%
50 SM ENERGY CO 65,112 $2.03M 1.02%
1 / 2 Next ›

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