WGCVX
Wasatch Global Small Cap Value Fund
WASATCH FUNDS 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.

Dec 31, 2025 → Mar 31, 2026

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

Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
TASMEA LTD 0 65,833 65,833 3.09% $207.81K
SKYWARD SPECIALTY INSURANCE GROUP INC 0 2,525 2,525 1.64% $110.29K
PJT PARTNERS INC 0 783 783 1.63% $109.40K
PUBLIC POLICY HO 0 7,101 7,101 1.38% $92.88K
B M EUROPEAN VALUE RETAIL SA 0 40,375 40,375 1.35% $90.66K
MAAS GROUP HOLDI 0 25,714 25,714 1.15% $77.17K
ROSEBANK INDUSTRIES PLC 0 16,500 16,500 1.02% $68.79K
ASTA ENERGY SOLUTIONS AG 0 1,522 1,522 1.02% $68.61K
TOTECH CORP 0 2,800 2,800 0.98% $66.09K
SHAWBROOK GROUP PLC W/I 0 12,570 12,570 0.79% $53.24K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
Patria Investments Ltd., Class A 7,578 0 -7,578 0.00% -$120.41K
SKYLINE CHAMPION CORP 1,088 0 -1,088 0.00% -$91.94K
YETI HOLDINGS INC 2,081 0 -2,081 0.00% -$91.92K
B&M EUROPEAN 35,894 0 -35,894 0.00% -$81.37K
MA FINANCIAL GRO 11,183 0 -11,183 0.00% -$81.16K
Arizona Sonoran Copper Company, Inc. 21,514 0 -21,514 0.00% -$74.92K
INSOURCE CO LTD 13,300 0 -13,300 0.00% -$72.81K
RISE CONSULTING GROUP INC 12,500 0 -12,500 0.00% -$67.72K
CITY UNION BANK 18,120 0 -18,120 0.00% -$58.65K
LITTELFUSE INC 214 0 -214 0.00% -$54.12K
TBC BANK GROUP P 903 0 -903 0.00% -$49.35K
REGIONAL SAB DE 6,000 0 -6,000 0.00% -$47.53K
SMS 4,197 0 -4,197 0.00% -$36.14K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
PLOVER BAY TECHNOLOGIES LTD 236,000 300,000 64,000 4.10% $94.62K
ELMOS SEMICONDUC 861 967 106 2.48% $69.49K
RIVERSTONE HLDGS 274,300 308,600 34,300 2.45% -$20.53K
FRP Advisory Group PLC 30,183 101,324 71,141 2.18% $92.34K
SAIA INC 369 415 46 2.17% $25.30K
ULS GROUP INC 21,895 45,100 23,205 2.11% $47.01K
AXOGEN INC 2,656 4,288 1,632 2.11% $55.13K
HILL & SMITH PLC COMMON STOCK 4,080 4,967 887 2.07% $22.13K
BAYCURRENT INC 1,800 4,800 3,000 2.07% $64.31K
MILDEF GROUP AB 6,306 9,178 2,872 1.99% $52.62K
MAREX GROUP PLC 2,636 2,964 328 1.96% $31.02K
R&S GROUP HOLDING AG 4,525 5,088 563 1.96% $41.79K
ALAMO GROUP INC 662 744 82 1.82% $11.61K
MERCHANTS BANCORP 2,419 2,722 303 1.74% $34.41K
EMECO HOLDINGS L 114,457 128,737 14,280 1.61% $14.37K
Pollen Street Group Ltd. 5,540 9,554 4,014 1.58% $35.63K
MATADOR RESOURCES COMPANY 1,230 1,674 444 1.57% $53.56K
PLUMAS BANCORP 1,921 2,163 242 1.57% $19.75K
JEOL LTD 2,500 2,800 300 1.55% $23.94K
SYSTEM SUPPORT HOLDINGS INC COMMON STOCK 8,200 14,800 6,600 1.53% $27.37K
LIMBACH HOLDINGS INC 1,125 1,265 140 1.47% $11.15K
BURFORD CAPITAL LTD COMMON STOCK 9,069 21,704 12,635 1.46% $17.21K
MEDPACE HOLDINGS INC 93 200 107 1.43% $43.80K
GLOBAL INDUSTRIAL CO 2,652 2,981 329 1.40% $16.47K
IMCD NV 795 892 97 1.39% $21.19K
PERELLA WEINBERG PARTNERS 2,597 4,993 2,396 1.35% $45.74K
WESTERN ALLIANCE BANCORP 1,117 1,257 140 1.32% -$4.85K
GCC 7,200 8,100 900 1.28% $13.13K
HEALTHCARE SERVS 4,105 4,618 513 1.27% $7.18K
MELEXIS NV COMMON STOCK 1,222 1,374 152 1.26% $2.91K
ODFJELL DRILLING 7,106 7,993 887 1.24% $22.25K
BARRETT BUS SVCS 2,501 2,815 314 1.22% -$8.42K
ACER E ENABLING SERVICE BUSINESS INC 12,000 14,000 2,000 1.21% $1.05K
METSO OUTOTEC OY 4,027 4,529 502 1.17% $8.42K
WATCHES OF SWITZ 11,236 12,638 1,402 1.13% $4.55K
X-FAB SILICON FOUNDRIES SE COMMON STOCK 11,937 13,429 1,492 1.12% $3.02K
CACTUS INC CL A 1,401 1,576 175 1.11% $10.66K
LI NING CO LTD 24,000 27,000 3,000 1.11% $16.93K
AOTI INC 144,065 173,023 28,958 1.09% $19.81K
Integral Corporation 3,200 3,600 400 1.09% $5.43K
HALOWS CO LTD 2,400 2,700 300 1.09% $2.39K
INTER CARS SA 359 405 46 1.08% $16.42K
LGI HOMES INC 1,603 1,802 199 1.06% $2.37K
USER LOCAL INC 4,200 7,800 3,600 1.05% $18.63K
4IMPRINT GROUP PLC 1,326 1,491 165 1.00% -$895
Elixirr International PLC 7,510 8,446 936 1.00% -$16.54K
ALLIED SUPREME 6,500 9,500 3,000 1.00% $19.20K
HACKETT GROUP INC 4,531 5,094 563 0.99% -$22.67K
FLOW TRADERS LTD 1,843 2,075 232 0.98% $11.53K
BLACKLINE SAFETY CORP 10,520 11,830 1,310 0.90% $10.86K
Chaoju Eye Care Holdings Ltd. 163,000 183,000 20,000 0.90% $2.62K
ADENTRA INC COMMON STOCK 2,184 2,455 271 0.88% $5.32K
NUVAMA WEALTH MA 4,100 4,613 513 0.85% -$10.61K
KRONES AG COMMON STOCK 366 412 46 0.83% -$2.02K
SIGMAXYZ HOLDING 12,100 13,600 1,500 0.82% -$8.80K
GULF OIL LUBRICANTS INDIA LTD 5,095 5,728 633 0.80% -$14.41K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
DXP ENTERPRISES INC 1,306 910 -396 1.89% -$16.23K
CVS GROUP PLC COMMON STOCK GBP.002 5,196 5,171 -25 1.15% -$12.64K
VIRBAC SA 181 167 -14 1.03% -$6.92K
RIDGEPOST CAPITAL INC 15,247 8,770 -6,477 0.95% -$85.90K

No positions in this category.

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