VMACX
Virtus KAR Mid-Cap Core Fund
Virtus Equity Trust

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
30
Top-10 weight
47.37%
Effective holdings ?
26
Crowding ?
785.6

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 AMETEK INC NEW 575,341 $123.33M 6.33%
2 WESTINGHOUSE AIR BRAKE TECH CORP 448,969 $112.20M 5.76%
3 TELEDYNE TECHNOLOGIES INC 185,000 $111.93M 5.75%
4 MONOLITHIC POWER SYS INC 94,758 $103.60M 5.32%
5 HOULIHAN LOKEY I 608,178 $87.35M 4.48%
6 ROSS STORES INC 388,206 $84.10M 4.32%
7 WEST PHARMACEUTICAL SVCS INC 304,317 $76.27M 3.92%
8 EMCOR GROUP INC 98,549 $72.76M 3.74%
9 OLD DOMINION FRT 370,398 $72.38M 3.72%
10 HEICO CORP CL A 333,049 $70.30M 3.61%
11 VERISK ANALYTICS INC 350,044 $66.42M 3.41%
12 ADVANCED DRAINAGE SYSTEMS INC 469,389 $64.37M 3.30%
13 COOPER COS INC 890,921 $63.70M 3.27%
14 PENTAIR PLC 718,012 $62.55M 3.21%
15 MSCI INC 111,756 $60.24M 3.09%
16 EQUIFAX INC 319,475 $57.53M 2.95%
17 HAMILTON LANE INC - A 567,684 $56.43M 2.90%
18 ALIGN TECHNOLOGY INC 326,597 $55.99M 2.87%
19 LPL FINL HLDGS INC 181,961 $54.74M 2.81%
20 NORDSON CORP 193,087 $51.37M 2.64%
21 CH ROBINSON WORLDWIDE INC 300,320 $49.87M 2.56%
22 ROLLINS INC 920,248 $49.15M 2.52%
23 JACK HENRY 299,332 $47.31M 2.43%
24 LENNOX INTL INC 98,197 $45.58M 2.34%
25 POOL CORP 210,892 $42.67M 2.19%
26 ALLEGION PLC 289,026 $41.99M 2.16%
27 EXPONENT INC 625,965 $40.84M 2.10%
28 BROADRIDGE FINL 249,160 $40.48M 2.08%
29 UNIVERSAL DISPLAY CORP 356,905 $32.71M 1.68%
30 BROWN & BROWN 488,590 $31.86M 1.64%

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