YAFFX
AMG Yacktman Focused Fund
AMG Funds

Portfolio concentration

As of March 31, 2026 · N-PORT
Holdings
52
Top-10 weight
55.11%
Effective holdings ?
20
Crowding ?
606.7

Holdings

As of March 31, 2026 · N-PORT
#SecurityTickerSharesValue% of fund
1 SAMSUNG ELE-PREF 4,900,000 $395.55M 13.76%
2 CAN NATURAL RES 5,700,000 $277.76M 9.66%
3 BOLLORE SE 41,000,000 $234.44M 8.15%
4 JPMORGAN US GOVERNMENT MONEY MARKET FUND OPEN-END FUND USD MGMXX 124,518,331 $124.52M 4.33%
5 HYUNDAI MOBIS 420,000 $108.37M 3.77%
6 FIXED INC CLEARING CORP.REPO 95,999,000 $96.00M 3.34%
7 HYUNDAI MOTOR-PF 600,000 $93.88M 3.27%
8 MICROSOFT CORP 220,000 $81.44M 2.83%
9 SCHWAB CHARLES CORP 820,000 $77.06M 2.68%
10 FOX CORPORATION B 1,400,000 $74.34M 2.59%
11 U-HAUL HOLDING CO 1,640,000 $73.26M 2.55%
12 PEPSICO INC 460,000 $71.43M 2.48%
13 JOHNSON&JOHNSON 270,000 $66.00M 2.30%
14 ASSOCIATED BRITISH FOODS PLC COMMON STOCK ABF 2,500,000 $62.58M 2.18%
15 HYUNDAI MOTOR-2 350,000 $55.41M 1.93%
16 PROCTER & GAMBLE 380,000 $54.89M 1.91%
17 ALPHABET INC CL C 150,000 $43.03M 1.50%
18 SAMSUNG C&T CORP 230,000 $40.31M 1.40%
19 KT&G CORP 360,000 $38.71M 1.35%
20 TYSON FOODS INC CL A 590,000 $37.80M 1.31%
21 BRENNTAG SE COMMON STOCK BNR 550,000 $37.26M 1.30%
22 INGREDION INC 300,000 $33.80M 1.18%
23 COGNIZANT TECH SOLUTIONS CL A 550,000 $33.74M 1.17%
24 KENVUE INC 1,850,000 $31.89M 1.11%
25 NEWS CORP NEW CL A 1,250,000 $31.16M 1.08%
26 CONOCOPHILLIPS 230,000 $30.36M 1.06%
27 YUASA TRADING 800,000 $30.34M 1.06%
28 DIAMONDBACK ENERGY INC 150,000 $29.67M 1.03%
29 OLIN CORP 995,000 $29.58M 1.03%
30 COCA-COLA CO/THE 380,000 $28.90M 1.01%
31 RELIANCE STEEL and ALUMINUM CO 95,000 $28.87M 1.00%
32 U.S. Treasury Bills 29,000,000 $28.17M 0.98%
33 U.S. Treasury Bills 29,000,000 $28.00M 0.97%
34 LOCKHEED MARTIN CORP 45,000 $27.20M 0.95%
35 L3HARRIS TECHNOLOGIES INC 75,000 $25.89M 0.90%
36 U.S. Treasury Bills B 26,000,000 $25.82M 0.90%
37 U.S. Treasury Bills 26,000,000 $25.53M 0.89%
38 PAYPAL HOLDINGS 545,000 $24.65M 0.86%
39 EOG RESOURCES INC 170,000 $24.58M 0.85%
40 EBAY INC 270,000 $24.58M 0.85%
41 NORTHROP GRUMMAN CORP 35,000 $23.88M 0.83%
42 WALT DISNEY CO/T 240,000 $23.13M 0.80%
43 HYUNDAI HOME SHO 420,000 $22.12M 0.77%
44 COMPAGNIE DE L'O 12,846 $19.36M 0.67%
45 NIHON PARKER CO 1,868,100 $17.30M 0.60%
46 GRAFTECH FINANCE INC REGD 144A P/P 4.62500000 EAF 17,800,000 $9.87M 0.34%
47 GRAFTECH GLOBAL ENTERPRISES IN SECURED 144A 12/29 9.875 EAF 15,200,000 $9.71M 0.34%
48 LEGACY HOUSING CORP 445,000 $9.09M 0.32%
49 LG H&H-PRF 118,000 $8.21M 0.29%
50 AMOREPACIFIC-PRE 250,000 $7.57M 0.26%
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