C000010413 Holdings — S&P MidCap 400 Pure Growth Fund

All 97 reported holdings of S&P MidCap 400 Pure Growth Fund (C000010413) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
TechnipFMC PLC2.14%$297.40K
Valaris Ltd.2.14%$297.06K
Arrowhead Pharmaceuticals Inc1.90%$263.47K
Woodward Inc.1.86%$257.70K
Mastec, Inc.1.80%$249.03K
Five Below Inc1.76%$243.79K
Interdigital, Inc.1.76%$243.71K
Carpenter Technology Corporation1.74%$241.22K
Halozyme Therapeutics Inc1.67%$231.05K
Sterling Infrastructure Inc1.61%$223.59K
United Therapeutics Corporation1.54%$213.47K
Medpace Holdings Inc.1.53%$211.76K
Fabrinet1.52%$210.69K
Hecla Mining Company1.51%$209.25K
Curtiss-Wright Corp.1.43%$198.21K
Firstcash Holdings Inc1.37%$189.69K
ATI Inc1.36%$188.95K
Talen Energy Corp.1.35%$187.71K
Rambus Inc.1.32%$183.33K
Dycom Industries, Inc.1.31%$181.61K
Celsius Holdings, Inc.1.24%$171.47K
Ensign Group Inc1.23%$171.28K
Royal Gold, Inc.1.22%$169.49K
TTM Technologies Inc1.22%$169.22K
Advanced Energy Industries, Inc.1.19%$165.23K
AeroVironment, Inc.1.16%$160.35K
Vicor Corp1.14%$157.62K
Exelixis, Inc.1.11%$154.53K
UL Solutions Inc.1.09%$151.45K
BWX Technologies Inc.1.05%$145.60K
XPO Inc1.04%$144.55K
Twilio Inc1.02%$142.05K
Neurocrine Biosciences Inc1.01%$140.17K
Penumbra Inc.1.01%$139.89K
Tenet Healthcare Corporation1.00%$138.14K
Boyd Gaming Corporation0.99%$136.91K
Globus Med Inc0.97%$134.58K
Sabra Health Care REIT, Inc.0.95%$132.13K
Chart Industries Inc0.93%$129.63K
CACI International Inc.0.93%$128.35K
Kratos Defense & Security Solutions, Inc.0.92%$127.13K
Macom Technology Solutions Holdings, Inc.0.91%$126.36K
NVent Electric PLC0.90%$124.19K
Option Care Health Inc0.89%$123.99K
EnerSys0.86%$119.87K
Elanco Animal Health Inc0.83%$115.68K
Spx Technologies, Inc.0.83%$114.77K
Somnigroup International Inc.0.82%$113.98K
API Group Corp0.82%$113.62K
Federated Hermes Inc0.81%$112.63K
Jazz Pharmaceuticals PLC0.81%$111.73K
Travel Plus Leisure Co0.80%$111.60K
Everpure Inc.0.75%$104.32K
Hims & Hers Health Inc0.74%$102.93K
Hilton Grand Vacations Inc0.73%$101.83K
ITT Inc0.72%$99.84K
Flex Ltd.0.71%$98.19K
Ormat Technologies Inc.0.70%$96.59K
Casey'S General Stores Inc.0.69%$95.35K
Coca-Cola Consolidated Inc0.68%$94.72K
RB Global Inc0.68%$94.41K
RBC Bearings Inc0.65%$90.70K
Valvoline Inc0.64%$88.38K
Affiliated Managers Group, Inc.0.62%$86.61K
The New York Times Company0.61%$84.15K
Flowserve Corporation0.60%$83.21K
Ollies Bargain Outlet Holdings Inc.0.60%$83.11K
Hexcel Corporation0.60%$82.87K
Antero Midstream Corp.0.59%$81.28K
Watts Water Technologies Inc.0.58%$80.70K
Caretrust Reit Inc0.55%$76.67K
Okta Inc.0.54%$75.09K
Newmarket Corporation0.53%$73.71K
LivaNova PLC0.53%$73.28K
Planet Fitness Inc.0.53%$73.12K
AppFolio Inc.0.51%$71.02K
Healthequity Inc0.49%$68.53K
Kinsale Capital Group Inc0.49%$67.65K
Encompass Health Corporation0.49%$67.42K
Dropbox Inc0.49%$67.36K
Grand Canyon Education Inc0.48%$66.31K
Moog Inc.0.48%$66.14K
Sitime Corp.0.45%$62.51K
Dynatrace Inc0.45%$62.31K
Tetra Tech Inc0.44%$61.26K
Sotera Health Co.0.43%$60.03K
Pegasystems Inc0.43%$59.50K
Churchill Downs Inc0.42%$58.30K
First Industrial Realty Trust, Inc.0.41%$57.45K
Guidewire Software Inc0.40%$56.09K
Wingstop Inc0.37%$51.76K
Doximity Inc0.36%$49.72K
Paylocity Holding Corporation0.34%$46.67K
Topbuild Corporation0.32%$44.97K
ExlService Holdings Inc.0.32%$44.12K
J.p. Morgan Securities LLC0.24%$32.76K
Merrill Lynch, Pierce, Fenner & Smith Incorporated0.21%$29.77K

C000010413 overview: performance, fees, allocation and SEC filings