WMIDX
WCM Mid Cap Quality Value Fund
INVESTMENT MANAGERS SERIES TRUST

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
37
Top-10 weight
41.98%
Effective holdings ?
32
Crowding ?
601.2

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 UMB Money Market Special II SMMFIDU 362,641 $362.64K 6.21%
2 ELEMENT SOLUTIONS INC 9,134 $311.83K 5.34%
3 MKS INSTRUMENTS INC 1,106 $254.17K 4.35%
4 API GROUP CORP 5,947 $240.97K 4.12%
5 ENTEGRIS INC 2,025 $237.41K 4.06%
6 JONES LANG LASALLE INC 770 $234.33K 4.01%
7 BROWN & BROWN 3,380 $220.41K 3.77%
8 TELEDYNE TECHNOLOGIES INC 336 $203.28K 3.48%
9 ENSIGN GROUP INC 996 $200.69K 3.43%
10 MARKEL GROUP INC 104 $199.06K 3.41%
11 MASCO CORPORATION 2,860 $172.66K 2.95%
12 IDEX CORPORATION 902 $170.97K 2.93%
13 GRACO INC 1,961 $166.00K 2.84%
14 LANDSTAR SYSTEM INC 964 $154.54K 2.64%
15 AVERY DENNISON CORP 875 $151.10K 2.59%
16 RLI CORP 2,628 $149.90K 2.57%
17 TETRA TECH INC 4,948 $149.03K 2.55%
18 GODADDY INC CL A 1,759 $145.42K 2.49%
19 WATSCO INC 391 $142.24K 2.43%
20 PTC INC 982 $139.93K 2.39%
21 CDW CORPORATION 1,105 $133.73K 2.29%
22 YETI HOLDINGS INC 3,627 $132.71K 2.27%
23 AXOS FINANCIAL INC 1,552 $132.06K 2.26%
24 SITEONE LANDSCAPE SUPPLY INC 929 $123.66K 2.12%
25 CBRE GROUP INC - CL A 905 $122.59K 2.10%
26 ACI WORLDWIDE INC 2,880 $118.11K 2.02%
27 CARLISLE COS INC 347 $115.77K 1.98%
28 MOLINA HEALTHCARE INC 858 $114.37K 1.96%
29 TYLER TECHNOLOGIES INC 333 $114.01K 1.95%
30 JACK HENRY 710 $112.21K 1.92%
31 MANHATTAN ASSOCIATES INC 836 $111.29K 1.90%
32 ZEBRA TECHNOLOGIES CORP CL A 531 $111.02K 1.90%
33 DOLBY LABORATORIES INC CL A 1,460 $87.69K 1.50%
34 JOHN BEAN TECHNOLOGIES CORP 673 $86.06K 1.47%
35 JACOBS SOLUTIONS INC 671 $85.40K 1.46%
36 AECOM 967 $82.02K 1.40%
37 ASSURANT INC 374 $81.46K 1.39%

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