BUFDX Holdings — Buffalo Growth & Income Fund

All 86 reported holdings of Buffalo Growth & Income Fund (BUFDX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Apple Inc4.73%$7.89M
Meta Platforms Inc4.56%$7.61M
Microsoft Corp4.14%$6.90M
Royal Caribbean Cruises Ltd2.83%$4.71M
Lumentum Holdings, Inc.2.76%$4.60M
Viper Energy Inc2.54%$4.23M
JPMorgan Chase & Co2.47%$4.12M
Visa Inc2.34%$3.91M
HCA Healthcare Inc2.30%$3.83M
Alphabet Inc2.24%$3.73M
Alphabet Inc2.17%$3.62M
Parker-Hannifin Corp2.12%$3.54M
Energy Transfer LP1.88%$3.14M
Bank of America Corp1.84%$3.07M
Fidelity Government Portfolio1.84%$3.06M
S&P Global Inc1.82%$3.04M
Marathon Petroleum Corp1.78%$2.96M
Vistra Corp1.74%$2.90M
Eli Lilly & Co1.74%$2.90M
Citigroup Inc1.66%$2.76M
Crh PLC1.61%$2.69M
Arthur J Gallagher & Co1.50%$2.51M
Citizens Financial Group Inc1.47%$2.44M
Amazon.com Inc1.37%$2.29M
Edison International1.34%$2.24M
Mastercard Inc1.32%$2.20M
McKesson Corp1.30%$2.16M
Chevron Corp1.26%$2.09M
American Electric Power Co Inc1.23%$2.06M
Crescent Energy Co1.21%$2.02M
Valero Energy Corp1.17%$1.95M
Cintas Corp1.14%$1.89M
IBM1.12%$1.87M
Northern Oil & Gas Inc1.11%$1.85M
SS&C Technologies Holdings Inc1.08%$1.80M
Enterprise Products Partners L1.06%$1.77M
Intercontinental Exchange Inc1.05%$1.75M
Johnson & Johnson1.04%$1.74M
Primo Brands Corp1.00%$1.67M
Welltower Inc0.94%$1.56M
UnitedHealth Group Inc0.91%$1.52M
PG&E Corp0.87%$1.45M
Home Depot Inc/The0.83%$1.39M
Cisco Systems Inc0.83%$1.38M
Public Storage0.81%$1.35M
Truist Financial Corp0.79%$1.31M
Boeing Co/the0.78%$1.30M
Walmart Inc0.77%$1.29M
Lamar Advertising Co0.76%$1.26M
NVIDIA Corp0.74%$1.24M
CME Group Inc0.71%$1.19M
Sempra0.71%$1.19M
Merck & Co Inc0.71%$1.18M
QUALCOMM Inc0.70%$1.17M
Pebblebrook Hotel Trust0.68%$1.14M
Equinix Inc0.65%$1.08M
Blackrock Inc0.63%$1.06M
Abbott Laboratories0.62%$1.03M
Postal Realty Trust Inc0.61%$1.02M
Marvell Technology Inc0.60%$1.00M
Elevance Health Inc0.59%$988.03K
Fastenal Co0.57%$955.84K
Macerich Co/The0.57%$945.00K
NETSTREIT Corp0.56%$941.50K
Realty Income Corp0.55%$917.70K
Digital Realty Trust Inc0.54%$901.05K
Martin Marietta Materials Inc0.53%$883.02K
PepsiCo Inc0.52%$861.86K
Starbucks Corp0.51%$851.11K
Procter & Gamble Co/The0.50%$826.92K
Burford Capital Ltd0.49%$817.22K
Honeywell International Inc0.47%$779.80K
Lamb Weston Holdings Inc0.47%$777.58K
Tyson Foods Inc0.46%$762.43K
Walt Disney Co/The0.44%$732.97K
Comcast Corp0.39%$645.98K
Pg&e Corp.0.39%$644.85K
Medtronic PLC0.38%$641.21K
Boeing Co/The0.36%$602.07K
Equifax Inc0.35%$576.22K
Texas Instruments Inc0.34%$572.71K
American Tower Corp0.33%$552.26K
AMETEK Inc0.32%$535.90K
Verizon Communications Inc0.32%$533.38K
Array Technologies, Inc.0.27%$454.00K
NET Lease Office Properties0.22%$361.73K

BUFDX overview: performance, fees, allocation and SEC filings