WSGRX
Nomura Small Cap Growth Fund
IVY FUNDS

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
CAVA GROUP INC 0 224,521 224,521 1.84% $18.16M
ATMUS FILTRATION TECHNOLOGIES INC 0 193,569 193,569 1.11% $10.99M
DIGITALOCEAN HOLDINGS INC 0 123,237 123,237 1.07% $10.57M
AAON INC 0 111,775 111,775 0.94% $9.25M
PATRICK INDUSTRIES INC 0 82,312 82,312 0.93% $9.14M
PHATHOM PHARMACEUTICALS INC 0 819,324 819,324 0.92% $9.10M
XOMETRY INC-A 0 191,898 191,898 0.79% $7.84M
INTERDIGITAL INC 0 24,085 24,085 0.74% $7.27M
KALVISTA PHARMACEUTICALS INC 0 353,284 353,284 0.72% $7.11M
MAGNOLIA OIL and GAS CORPO CL A 0 201,531 201,531 0.65% $6.36M
KULICKE and SOFFA INDUSTRIES INC 0 85,732 85,732 0.57% $5.63M
YORK SPACE SYSTE 0 231,387 231,387 0.52% $5.13M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ADMA BIOLOGICS INC 945,690 0 -945,690 0.00% -$17.25M
SILICON LABS 118,758 0 -118,758 0.00% -$15.52M
EXLSERVICE HOLDINGS INC 290,858 0 -290,858 0.00% -$12.34M
Sportradar Holding AG 449,883 0 -449,883 0.00% -$10.69M
CBIZ INC 152,539 0 -152,539 0.00% -$7.70M
CLEAN HARBORS INC 21,626 0 -21,626 0.00% -$5.07M
LENZ THERAPEUTICS INC 265,588 0 -265,588 0.00% -$4.25M
HAMILTON LANE INC - A 31,284 0 -31,284 0.00% -$4.20M
UNIVERSAL TECHNI 144,943 0 -144,943 0.00% -$3.79M
PROCEPT BIOROBOTICS CORP 95,329 0 -95,329 0.00% -$3.00M
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ENCOMPASS HEALTH CORP 191,793 197,291 5,498 1.94% -$1.27M
MKS INSTRUMENTS INC 66,770 78,351 11,581 1.83% $7.34M
Silicon Motion Technology Corp. SPONSORED ADR 71,294 118,538 47,244 1.35% $6.70M
STANDEX INTL CORP 39,033 46,559 7,526 1.20% $3.38M
ARTIVION INC 264,726 321,317 56,591 1.19% -$307.52K
ALPHATEC HOLDINGS INC 593,131 878,341 285,210 0.97% -$2.92M
AXOS FINANCIAL INC 78,250 95,068 16,818 0.82% $1.35M
Q2 HOLDINGS INC 146,740 157,862 11,122 0.76% -$3.12M
BEL FUSE INC NV CL B 24,551 34,714 10,163 0.70% $2.71M
RUBRIK INC-A 83,707 125,314 41,607 0.62% -$265.28K
TRANSMEDICS GROUP INC 46,985 57,598 10,613 0.58% $10.09K
LOAR HOLDINGS INC 62,415 92,377 29,962 0.54% $1.05M
FED SIGNAL CORP 34,066 41,325 7,259 0.45% $769.66K
MSILF-GOVT-INS 2,159,985 4,184,956 2,024,971 0.42% $2.02M
MONEYMKT 2,159,985 4,184,956 2,024,971 0.42% $2.02M
MONEYMKT 2,159,985 4,184,956 2,024,971 0.42% $2.02M
BlackRock Liquidity FedFund - Institutional Class 2,159,984 4,184,955 2,024,971 0.42% $2.02M
KRATOS DEFENSE and SEC SOLTN INC 49,499 54,159 4,660 0.39% $61.28K
Security Shares Dec 2025 Shares Mar 2026 Δ shares End % Δ value
ADV ENERGY INDS 104,596 96,104 -8,492 3.15% $9.11M
OSI SYSTEMS INC 125,903 110,285 -15,618 2.97% -$2.83M
MIRUM PHARMACEUTICALS INC 281,119 277,335 -3,784 2.60% $3.41M
IMAX Corporation COM NPV 788,055 648,961 -139,094 2.50% -$4.46M
EVERUS CONSTRUCTION GROUP INC 225,065 202,840 -22,225 2.43% $4.69M
FIRSTCASH HOLDINGS INC 117,609 116,026 -1,583 2.21% $3.07M
PRICESMART INC 136,833 134,991 -1,842 2.06% $3.53M
AAR CORP 221,317 180,880 -40,437 2.01% $1.48M
TARSUS PHARMACEUTICALS INC 323,000 273,131 -49,869 1.94% -$7.29M
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 78,293 77,239 -1,054 1.74% $3.74M
SEACOAST BANKING CORP FLORIDA 563,195 555,615 -7,580 1.71% -$866.01K
WISDOMTREE INVESTMENTS INC 1,130,136 1,114,925 -15,211 1.65% $2.46M
CHEFS WAREHOUSE INC 271,536 267,881 -3,655 1.62% -$999.31K
CONSTRUCTION PARTNERS INC CL A 143,280 141,352 -1,928 1.59% $153.99K
ANI PHARMACEUTICALS INC 199,442 196,758 -2,684 1.53% -$613.26K
SPX TECHNOLOGIES INC 75,385 74,370 -1,015 1.51% -$211.99K
AXSOME THERAPEUTICS INC 107,582 85,681 -21,901 1.47% -$5.17M
SYNAPTICS INC 208,515 205,709 -2,806 1.46% -$1.03M
OLLIES BARGAIN OUTLET HOLDINGS INC 170,137 154,719 -15,418 1.44% -$4.41M
LEONARDO DRS INC 320,683 316,367 -4,316 1.43% $3.15M
ADAPTIVE BIOTECHNOLOGIES CORP 1,022,356 1,008,596 -13,760 1.42% -$2.60M
APA CORP 433,474 326,050 -107,424 1.40% $3.23M
MODINE MFG CO 75,498 59,324 -16,174 1.30% $2.78M
CATALYST PHARMACEUTICALS INC 518,821 511,838 -6,983 1.29% $563.83K
ONESPAWORLD HOLDINGS LTD 557,818 550,310 -7,508 1.28% $1.06M
TRAVERE THERAPEUTICS INC 553,720 421,116 -132,604 1.27% -$8.65M
VERICEL CORP 420,253 385,196 -35,057 1.26% -$2.74M
FTAI AVIATION LTD 87,626 49,251 -38,375 1.22% -$5.18M
GUARDANT HEALTH INC 141,911 129,464 -12,447 1.21% -$2.54M
FLOWSERVE CORP 232,960 161,728 -71,232 1.21% -$4.27M
ATI INC 159,676 75,261 -84,415 1.11% -$7.38M
LEGENCE CORP-A 229,596 193,700 -35,896 1.11% $1.05M
KNIFE RIVER HOLDING CO W/I 132,620 130,835 -1,785 1.08% $1.35M
HURON CONSULTING GROUP INC 96,381 83,212 -13,169 1.08% -$6.06M
SHAKE SHACK INC - CLASS A 119,000 117,398 -1,602 1.05% $726.97K
HEALTHEQUITY INC 121,467 119,832 -1,635 1.02% -$1.11M
HOULIHAN LOKEY I 70,112 69,168 -944 1.01% -$2.28M
AGILYSYS INC 140,182 138,295 -1,887 1.00% -$6.82M
SOLARIS OIL IN-A 166,515 164,274 -2,241 0.94% $1.63M
BOOT BARN HOLDINGS INC 64,014 63,152 -862 0.94% -$2.05M
SAILPOINT INC 846,944 690,841 -156,103 0.93% -$7.99M
AMER SUPERCONDTR 306,390 259,087 -47,303 0.89% -$47.81K
GROUP 1 AUTOMOTIVE INC 26,413 26,058 -355 0.87% -$1.77M
DORMAN PRODUCTS INC 132,683 75,239 -57,444 0.80% -$8.49M
MIRION TECHNOLOGIES INC-A 400,007 394,623 -5,384 0.74% -$2.03M
GENEDX HOLDINGS CORP-A 115,578 114,022 -1,556 0.74% -$7.71M
MERCURY SYSTEMS INC 92,614 82,614 -10,000 0.61% -$738.36K
PAYMENTUS HOLDINGS INC CL A 237,456 234,260 -3,196 0.60% -$1.55M
DESCARTES SYS 111,198 80,684 -30,514 0.59% -$3.97M
LUMENTUM HOLDINGS INC 62,643 7,883 -54,760 0.56% -$17.55M
AFFIL MANAGERS 24,026 18,264 -5,762 0.51% -$1.87M
AVEPOINT INC 1,097,639 502,918 -594,721 0.49% -$10.46M
RAMBUS INC 105,598 52,548 -53,050 0.46% -$5.18M
AEROVIRONMENT INC 24,896 24,561 -335 0.46% -$1.53M
PHREESIA INC 541,874 534,581 -7,293 0.45% -$4.69M
REPLIGEN CORP 36,391 35,901 -490 0.43% -$1.73M
SERVICETITAN INC-A 94,115 63,448 -30,667 0.41% -$6.00M
FABRINET 7,418 7,318 -100 0.39% $439.22K
BLOOM ENERGY CORP CL A 33,154 26,094 -7,060 0.36% $654.72K
SKYWEST INC 82,202 36,677 -45,525 0.34% -$4.89M
WILLDAN GROUP IN 72,235 43,005 -29,230 0.33% -$4.20M

No positions in this category.

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