ACRNX Holdings — Columbia Acorn Fund

All 96 reported holdings of Columbia Acorn Fund (ACRNX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
SPX Technologies Inc2.49%$55.93M
Insmed Inc2.45%$55.01M
Celestica Inc2.16%$48.53M
Churchill Downs Inc2.16%$48.42M
Carlyle Group Inc/The2.05%$46.01M
Curtiss-Wright Corp2.00%$44.83M
Viavi Solutions Inc1.98%$44.36M
Sterling Infrastructure Inc1.96%$43.93M
GCM Grosvenor Inc1.93%$43.40M
InterDigital Inc1.90%$42.58M
MasTec Inc1.88%$42.21M
VSE Corp1.84%$41.29M
Coherent Corp1.83%$41.18M
Modine Manufacturing Co1.83%$41.07M
Cavco Industries Inc1.80%$40.38M
Bloom Energy Corp1.74%$39.14M
Wingstop Inc1.67%$37.52M
Esab Corp1.60%$36.04M
Dorman Products Inc1.60%$35.97M
State Street SPDR S&P Biotech ETF1.58%$35.51M
HealthEquity Inc1.57%$35.29M
BJ's Wholesale Club Holdings Inc1.54%$34.51M
Glaukos Corp1.49%$33.53M
StoneX Group Inc1.48%$33.34M
TopBuild Corp1.45%$32.47M
Semtech Corp1.44%$32.39M
WD-40 Co1.33%$29.85M
Western Alliance Bancorp1.32%$29.75M
Marvell Technology Inc1.32%$29.56M
Alignment Healthcare Inc1.27%$28.51M
AeroVironment Inc1.25%$28.11M
Guardant Health Inc1.25%$28.06M
elf Beauty Inc1.20%$26.94M
FTAI Aviation Ltd1.20%$26.92M
Parsons Corp1.17%$26.37M
Axon Enterprise Inc1.16%$26.10M
Dynatrace Inc1.15%$25.72M
SharkNinja Inc1.13%$25.27M
Knight-Swift Transportation Holdings Inc1.12%$25.20M
Bridgebio Pharma Inc1.05%$23.50M
Astronics Corp1.01%$22.70M
Applied Industrial Technologies Inc1.00%$22.52M
Encompass Health Corp0.99%$22.27M
Ryan Specialty Holdings Inc0.97%$21.84M
Pennant Group Inc/The0.95%$21.31M
Devon Energy Corp0.94%$21.21M
IRhythm Holdings Inc0.89%$20.04M
Columbia Short Term Cash Fund0.89%$19.97M
EQT Corp0.88%$19.82M
Sprouts Farmers Market Inc0.85%$19.14M
Repligen Corp0.84%$18.81M
Paylocity Holding Corp0.80%$18.05M
Nuvalent Inc0.80%$17.89M
Karman Holdings Inc0.78%$17.62M
Janus International Group Inc0.77%$17.23M
Lattice Semiconductor Corp0.76%$17.15M
SiTime Corp0.75%$16.87M
Hamilton Lane Inc0.75%$16.84M
Miami International Holdings Inc0.74%$16.60M
Kratos Defense & Security Solutions Inc0.73%$16.45M
Adaptive Biotechnologies Corp0.71%$15.94M
Willdan Group Inc0.70%$15.78M
Neurocrine Biosciences Inc0.68%$15.31M
Antero Resources Corp0.67%$15.11M
McGrath RentCorp0.67%$15.07M
Healthcare Services Group Inc0.65%$14.56M
Zeta Global Holdings Corp0.64%$14.26M
NIQ Global Intelligence Plc0.62%$14.02M
Credo Technology Group Holding Ltd0.62%$13.85M
Madrigal Pharmaceuticals Inc0.62%$13.85M
Rush Street Interactive Inc0.61%$13.74M
BioLife Solutions Inc0.59%$13.29M
Mueller Water Products Inc0.59%$13.28M
Revolution Medicines Inc0.59%$13.18M
Billiontoone Inc0.58%$13.12M
Blue Owl Capital Inc0.57%$12.70M
SailPoint Inc0.56%$12.50M
Lakeland Financial Corp0.55%$12.29M
Charles River Laboratories International Inc0.54%$12.17M
Zscaler Inc0.52%$11.72M
Newamsterdam Pharma Co NV0.52%$11.63M
Hut 8 Corp0.50%$11.29M
Ionis Pharmaceuticals Inc0.50%$11.16M
Fortrea Holdings Inc0.49%$11.05M
Workiva Inc0.49%$11.03M
Rhythm Pharmaceuticals Inc0.48%$10.86M
Applied Digital Corp0.47%$10.44M
Doximity Inc0.45%$10.07M
Definium Therapeutics Inc0.43%$9.68M
Advanced Energy Industries Inc0.41%$9.29M
Crinetics Pharmaceuticals Inc0.41%$9.17M
Nextpower Inc0.38%$8.64M
Absci Corp0.34%$7.70M
Monday.com Ltd0.33%$7.35M
Annexon Inc0.24%$5.41M
Dna Script Sas0.00%$94.71K

ACRNX overview: performance, fees, allocation and SEC filings