C000010410 Holdings — S&P SmallCap 600 Pure Growth Fund

All 135 reported holdings of S&P SmallCap 600 Pure Growth Fund (C000010410) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
DigitalOcean Holdings Inc1.67%$100.88K
Argan Inc1.66%$100.22K
Protagonist Therapeutics Inc1.63%$98.65K
Clear Secure Inc1.60%$96.82K
Phibro Animal Health Corporation1.54%$93.25K
Powell Industries Inc.1.54%$93.07K
Uniti Group, Inc.1.44%$87.03K
Primoris Services Corp.1.41%$85.39K
PTC Therapeutics, Inc.1.41%$85.23K
Acm Research Inc1.40%$85.04K
Dxp Enterprises, Inc.1.39%$84.12K
StoneX Group Inc1.35%$81.54K
ARMOUR Residential REIT, Inc.1.31%$79.38K
Adamas Trust Inc.1.31%$79.20K
Tidewater Inc New1.31%$79.04K
Adeia, Inc.1.27%$77.18K
Sphere Entertainment Co.1.26%$76.19K
SiriusPoint Ltd1.26%$76.12K
Acadian Asset Management Inc1.25%$75.97K
EZCORP Inc.1.21%$73.55K
Laureate Education, Inc.1.18%$71.42K
ANI Pharmaceuticals Inc.1.17%$70.90K
Acadia Pharmaceuticals Inc1.16%$70.03K
OSI System Inc.1.14%$69.30K
Life360 Inc.1.13%$68.66K
TransMedics Group Inc.1.07%$64.52K
ESCO Technologies Inc.1.04%$63.03K
AAR Corp.1.03%$62.61K
National Presto Industries, Inc.1.00%$60.72K
Chefs Warehouse Inc.1.00%$60.70K
MYR Grp Inc0.99%$60.13K
Enova International Inc.0.99%$60.04K
Indivior Pharmaceuticals, Inc.0.98%$59.41K
Viavi Solutions Inc0.98%$59.30K
Krystal Biotech Inc0.97%$58.90K
St. Joe Co.0.95%$57.27K
Mercury General Corporation0.94%$57.21K
International Seaways, Inc.0.94%$57.14K
Progyny Inc0.94%$56.76K
Palomar Holdings Inc0.94%$56.64K
Ligand Pharmaceuticals Incorporated0.93%$56.10K
Everus Construction Group Inc.0.92%$55.96K
Catalyst Pharmaceuticals Inc.0.91%$55.07K
Collegium Pharmaceutical Inc.0.91%$54.86K
Liquidity Services Inc.0.89%$54.14K
TG Therapeutics Inc0.88%$53.12K
Covista Inc.0.88%$53.02K
Pricesmart Inc0.87%$52.37K
Enviri Corp.0.86%$52.31K
Ellington Financial Inc0.86%$52.07K
Apellis Pharmaceuticals Inc0.85%$51.29K
Brightspring Health Services, Inc.0.84%$50.58K
AZZ Inc0.83%$50.55K
ViaSat, Inc.0.83%$50.47K
Curbline Properties Corp.0.83%$50.26K
HCI Group, Inc.0.81%$49.32K
OneSpaWorld Holdings Ltd.0.81%$49.04K
CSG Systems International Inc.0.79%$48.12K
PennyMac Mortgage Investment Trust0.78%$46.93K
Urban Outfitters Inc.0.76%$45.87K
Archrock Inc0.76%$45.80K
Axos Financial Inc0.74%$44.84K
Artivion Inc0.73%$43.98K
The Vita Coco Company Inc0.72%$43.36K
Federal Signal Corp.0.70%$42.61K
Brinker International, Inc.0.70%$42.26K
Pathward Financial Inc0.69%$41.76K
Calix Inc.0.69%$41.49K
OPENLANE Inc0.68%$41.33K
Cal-Maine Foods Inc.0.68%$41.08K
Bancorp Inc0.68%$41.00K
Pediatrix Medical Group Inc0.67%$40.34K
Formfactor Inc0.65%$39.57K
Healthcare Services Group Inc.0.65%$39.25K
Virtu Financial Inc0.63%$38.17K
Sanmina Corp0.63%$37.98K
Sezzle Inc.0.63%$37.85K
National Healthcare Corporation0.62%$37.53K
Lyft Inc0.60%$36.52K
Acushnet Holdings Corp0.59%$35.90K
Armstrong World Industries, Inc.0.57%$34.44K
WisdomTree, Inc.0.57%$34.25K
VSE Corp.0.56%$33.93K
Veracyte Inc0.54%$32.63K
Harmony Biosciences Holdings Inc0.54%$32.41K
National Vision Holdings Inc0.53%$32.38K
Alkermes PLC0.53%$32.35K
Boot Barn Holdings Inc0.53%$32.20K
Corcept Therapeutics Inc.0.53%$32.01K
Mirion Technologies Inc0.52%$31.68K
Mercury Systems Inc0.52%$31.57K
Privia Health Group, Inc.0.51%$30.96K
Proto Labs Inc0.50%$30.28K
Pacira Biosciences Inc0.48%$29.29K
Xpel Inc.0.48%$29.08K
Granite Construction Inc0.48%$29.01K
Etsy Inc0.45%$27.44K
PJT Partners Inc.0.45%$26.97K
NMI Holdings Inc0.44%$26.67K
Installed Building Products Inc0.44%$26.52K
StepStone Group Inc0.44%$26.39K
Tootsie Roll Industries Inc.0.42%$25.59K
UFP Technologies Inc.0.42%$25.17K
Waystar Holding Corp0.40%$24.47K
Evertec Inc0.40%$24.02K
Red Rock Resorts Inc0.40%$24.01K
Badger Meter Inc0.39%$23.61K
JBT Marel Corp.0.38%$23.14K
Digi International Inc.0.38%$22.99K
Liveramp Holdings Inc0.38%$22.81K
Preferred Bank0.37%$22.67K
Zurn Elkay Water Solutions Corporation0.37%$22.64K
Sensient Technologies Corp0.37%$22.13K
Tripadvisor Inc0.36%$21.53K
Monarch Casino & Resort Inc0.35%$21.22K
PDF Solutions Inc0.34%$20.74K
Brady Corp0.34%$20.72K
Standex International Corp0.34%$20.64K
Frontdoor Inc0.34%$20.30K
Vital Farms Inc.0.33%$20.06K
Sunrun Inc.0.31%$18.97K
Adma Biologics Inc0.30%$18.41K
Upwork Inc0.30%$18.29K
Sprinklr Inc0.29%$17.47K
Gogo Inc0.29%$17.36K
Clearway Energy Inc0.28%$16.74K
Dorman Products Inc.0.27%$16.18K
Cavco Industries, Inc.0.26%$15.98K
Agilysys Inc0.22%$13.45K
J.p. Morgan Securities LLC0.22%$13.09K
Merrill Lynch, Pierce, Fenner & Smith Incorporated0.20%$11.89K
Inspire Medical Systems Inc0.15%$8.92K
Clearway Energy Inc0.11%$6.78K
Contra Ligand Pharmace- Npv0.00%$0
Contra Ligand Pharmace- Npv0.00%$0

C000010410 overview: performance, fees, allocation and SEC filings