VSCNX
Vaughan Nelson Small Cap Fund
Natixis Funds Trust I

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
69
Top-10 weight
27.02%
Effective holdings ?
56
Crowding ?
455.3

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 iShares Trust RUSSELL 2000 VALUE ETF IWN 358,165 $67.90M 4.94%
2 FIXED INC CLEARING CORP.REPO 43,950,625 $43.95M 3.20%
3 ELEMENT SOLUTIONS INC 1,103,301 $37.67M 2.74%
4 CLEAN HARBORS INC 117,920 $33.81M 2.46%
5 VALVOLINE INC 967,463 $32.58M 2.37%
6 ARTISAN PARTNERS ASSET MANAGEMENT INC A 869,460 $31.64M 2.30%
7 SANMINA CORP 244,000 $31.63M 2.30%
8 GATX CORP 183,319 $31.30M 2.28%
9 CUSHMAN and WAKEFIELD LTD 2,495,665 $30.60M 2.23%
10 FIRSTCASH HOLDINGS INC 160,797 $30.23M 2.20%
11 CARLISLE COS INC 89,575 $29.88M 2.17%
12 ARCHROCK INC 840,110 $29.24M 2.13%
13 WESCO INTL 106,680 $29.19M 2.12%
14 COCA COLA CONSOLIDATED INC 142,530 $27.33M 1.99%
15 MUELLER INDUSTRIES INC 235,590 $26.10M 1.90%
16 VALMONT INDUSTRIES INC 65,205 $26.05M 1.89%
17 JOHN BEAN TECHNOLOGIES CORP 202,100 $25.84M 1.88%
18 FTI CONSULTING INC 143,920 $25.44M 1.85%
19 HUNTINGTON INGALLS INDUSTRIES INC 65,360 $24.83M 1.81%
20 SENSIENT TECHNOLOGIES CORP 283,235 $24.48M 1.78%
21 SPIRE INC 252,035 $22.82M 1.66%
22 MURPHY OIL CORP 530,302 $21.87M 1.59%
23 MATADOR RESOURCES COMPANY 340,000 $21.48M 1.56%
24 NATL FUEL GAS CO 227,775 $21.40M 1.56%
25 PERMIAN RESOURCES CORP CL A 1,001,260 $21.35M 1.55%
26 NORTHWEST NATURAL HOLDING CO 399,006 $21.24M 1.54%
27 ANTERO RESOURCES 483,450 $20.52M 1.49%
28 ALAMO GROUP INC 120,225 $19.83M 1.44%
29 WARBY PARKER INC 930,130 $19.60M 1.43%
30 LINCOLN ELECTRIC HLDGS INC 78,279 $19.50M 1.42%
31 FED SIGNAL CORP 178,750 $19.33M 1.41%
32 INTL FLVR & FRAG 262,995 $19.08M 1.39%
33 NOBLE CORP PLC 387,970 $19.04M 1.38%
34 EAGLE MATERIALS INC 94,605 $17.92M 1.30%
35 Bath & Body Works Inc 957,775 $17.88M 1.30%
36 MDU RESOURCES GROUP INC 848,335 $17.58M 1.28%
37 ATI INC 112,130 $16.31M 1.19%
38 PHOTRONICS INC 397,710 $16.07M 1.17%
39 OWENS CORNING INC 142,380 $15.41M 1.12%
40 ACADIA HEALTHCARE CO INC 633,945 $14.83M 1.08%
41 NORWEGIAN CRUISE LINE HLDGS LTD 774,250 $14.48M 1.05%
42 HAWKINS INC 92,977 $14.28M 1.04%
43 CULLEN FROST BANKERS INC 104,002 $14.26M 1.04%
44 REVVITY INC 162,045 $14.20M 1.03%
45 AMERIS BANCORP 181,845 $14.18M 1.03%
46 MERITAGE HOMES CORP 227,040 $14.04M 1.02%
47 TAYLOR MORRISON HOME CORP 240,575 $14.01M 1.02%
48 PROSPERITY BNCSH 208,379 $14.00M 1.02%
49 SOUTHSTATE BANK CORP 148,933 $13.78M 1.00%
50 COMMERCIAL METALS CO 220,955 $13.57M 0.99%
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