C000072678 Holdings — SFT Index 400 Mid-Cap Fund

All 404 reported holdings of SFT Index 400 Mid-Cap Fund (C000072678) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
State Street Institutional US Government Money Market Fund1.77%$4.27M
TechnipFMC PLC0.85%$2.06M
Casey's General Stores Inc0.82%$1.99M
United Therapeutics Corp0.78%$1.88M
Curtiss-Wright Corp0.77%$1.85M
Flex Ltd0.74%$1.77M
XPO Inc0.70%$1.68M
Woodward Inc0.65%$1.58M
Royal Gold Inc0.63%$1.51M
US Foods Holding Corp0.62%$1.50M
Burlington Stores Inc0.62%$1.49M
ATI Inc0.60%$1.46M
MasTec Inc0.60%$1.45M
Carpenter Technology Corp0.60%$1.45M
nVent Electric PLC0.58%$1.41M
Twilio Inc0.58%$1.41M
Illumina Inc0.58%$1.39M
BWX Technologies Inc0.57%$1.38M
Fabrinet0.57%$1.38M
Everpure Inc0.57%$1.37M
Nextpower Inc0.55%$1.32M
Entegris Inc0.54%$1.31M
RB Global Inc0.54%$1.31M
Alcoa Corp0.52%$1.27M
RBC Bearings Inc0.52%$1.27M
Tenet Healthcare Corp0.51%$1.23M
Ovintiv Inc0.50%$1.21M
ITT Inc0.50%$1.21M
Reliance Inc0.49%$1.19M
Permian Resources Corp0.48%$1.16M
MKS Inc0.48%$1.15M
API Group Corp0.47%$1.15M
Somnigroup International Inc0.47%$1.14M
Annaly Capital Management Inc0.46%$1.12M
WP Carey Inc0.46%$1.10M
East West Bancorp Inc0.45%$1.08M
Jones Lang LaSalle Inc0.45%$1.08M
Talen Energy Corp0.45%$1.07M
MACOM Technology Solutions Holdings Inc0.44%$1.07M
Clean Harbors Inc0.44%$1.05M
Graco Inc0.43%$1.03M
Carlisle Cos Inc0.42%$1.01M
DT Midstream Inc0.42%$1.01M
Lincoln Electric Holdings Inc0.42%$1.00M
United States Treasury0.41%$999.99K
WESCO International Inc0.41%$997.34K
New York Times Co/The0.41%$997.14K
Performance Food Group Co0.41%$991.86K
Reinsurance Group of America Inc0.41%$990.18K
Okta Inc0.41%$983.09K
TransUnion0.41%$979.18K
Dick's Sporting Goods Inc0.40%$975.19K
Neurocrine Biosciences Inc0.40%$974.61K
Kratos Defense & Security Solutions Inc0.40%$959.50K
Toll Brothers Inc0.40%$958.57K
Pinnacle Financial Partners Inc0.40%$955.81K
Omega Healthcare Investors Inc0.40%$954.66K
RenaissanceRe Holdings Ltd0.40%$952.92K
Penumbra Inc0.39%$952.60K
BJ's Wholesale Club Holdings Inc0.39%$944.93K
Guidewire Software Inc0.39%$942.08K
RPM International Inc0.39%$938.73K
Watsco Inc0.39%$936.40K
Lattice Semiconductor Corp0.39%$935.21K
TD SYNNEX Corp0.39%$931.11K
Sterling Infrastructure Inc0.38%$928.58K
Five Below Inc0.38%$926.26K
Carlyle Group Inc/The0.38%$925.56K
Gaming and Leisure Properties Inc0.38%$925.56K
Regal Rexnord Corp0.38%$923.57K
Roivant Sciences Ltd0.38%$920.61K
Hecla Mining Co0.38%$920.19K
Antero Resources Corp0.38%$916.87K
Mueller Industries Inc0.38%$906.68K
Advanced Energy Industries Inc0.37%$897.78K
Equity LifeStyle Properties Inc0.37%$891.79K
Solstice Advanced Materials Inc0.37%$891.15K
CACI International Inc0.37%$887.05K
Elanco Animal Health Inc0.36%$876.41K
Fidelity National Financial Inc0.36%$871.94K
Evercore Inc0.36%$862.99K
Ensign Group Inc/The0.35%$849.52K
Service Corp International/US0.35%$842.92K
Jazz Pharmaceuticals PLC0.35%$839.95K
Essential Utilities Inc0.35%$839.95K
Stifel Financial Corp0.34%$830.86K
BorgWarner Inc0.34%$828.06K
Webster Financial Corp0.34%$824.99K
Crown Holdings Inc0.34%$822.95K
Exelixis Inc0.34%$821.04K
Unum Group0.34%$819.32K
First Horizon Corp0.34%$813.65K
Dynatrace Inc0.34%$812.49K
Ally Financial Inc0.34%$811.75K
Lamar Advertising Co0.34%$811.00K
Coca-Cola Consolidated Inc0.34%$809.53K
Aecom0.34%$808.33K
BioMarin Pharmaceutical Inc0.33%$799.90K
Texas Roadhouse Inc0.33%$799.77K
Medpace Holdings Inc0.33%$793.75K
Pinterest Inc0.33%$791.44K
Range Resources Corp0.33%$789.02K
State Street SPDR Portfolio S&P 400 Mid Cap ETF0.33%$787.63K
Aramark0.33%$785.38K
Equitable Holdings Inc0.32%$774.89K
Nutanix Inc0.31%$757.58K
Onto Innovation Inc0.31%$750.56K
Dycom Industries Inc0.31%$748.79K
SPX Technologies Inc0.31%$746.18K
Applied Industrial Technologies Inc0.31%$737.32K
TTM Technologies Inc0.31%$736.88K
EastGroup Properties Inc0.30%$730.18K
OGE Energy Corp0.30%$726.35K
Advanced Drainage Systems Inc0.30%$724.32K
Darling Ingredients Inc0.30%$721.17K
HF Sinclair Corp0.30%$719.04K
CNH Industrial NV0.30%$717.53K
Encompass Health Corp0.30%$717.35K
Donaldson Co Inc0.30%$716.39K
TopBuild Corp0.30%$714.54K
Docusign Inc0.29%$699.87K
GameStop Corp0.29%$699.98K
Globus Medical Inc0.29%$699.53K
Saia Inc0.29%$690.97K
Oshkosh Corp0.29%$690.86K
Booz Allen Hamilton Holding Corp0.29%$689.79K
Knight-Swift Transportation Holdings Inc0.29%$689.00K
Flowserve Corp0.29%$688.27K
Chart Industries Inc0.28%$685.17K
Core & Main Inc0.28%$684.83K
Rambus Inc0.28%$682.65K
Wintrust Financial Corp0.28%$680.53K
American Homes 4 Rent0.28%$670.92K
Old Republic International Corp0.28%$669.52K
Southstate Bank Corp.0.28%$667.72K
Toro Co/The0.28%$666.32K
Agree Realty Corp0.28%$665.83K
National Fuel Gas Co0.27%$658.10K
American Financial Group Inc/OH0.27%$651.70K
Brixmor Property Group Inc0.27%$650.85K
Owens Corning0.27%$648.24K
Acuity Inc0.27%$647.59K
Arrowhead Pharmaceuticals Inc0.27%$647.13K
Viper Energy Inc0.27%$643.62K
Cullen/Frost Bankers Inc0.27%$640.71K
Littelfuse Inc0.26%$636.62K
Zions Bancorp NA0.26%$627.08K
American Healthcare REIT Inc0.26%$616.71K
CubeSmart0.26%$616.01K
Murphy USA Inc0.25%$614.00K
Moog Inc0.25%$613.37K
Crane Co0.25%$609.27K
CareTrust REIT Inc0.25%$603.52K
Ryder System Inc0.25%$602.46K
Cognex Corp0.25%$598.36K
AptarGroup Inc0.25%$596.07K
Chord Energy Corp0.25%$595.88K
Columbia Banking System Inc0.25%$595.20K
Cava Group Inc0.25%$594.78K
Cytokinetics Inc0.25%$593.98K
UMB Financial Corp0.25%$593.61K
Masimo Corp0.25%$592.84K
NNN REIT Inc0.24%$588.42K
Manhattan Associates Inc0.24%$587.99K
Watts Water Technologies Inc0.24%$586.10K
Affiliated Managers Group Inc0.24%$586.05K
Primerica Inc0.24%$581.87K
Tetra Tech Inc0.24%$579.03K
UGI Corp0.24%$576.20K
Valmont Industries Inc0.24%$573.78K
InterDigital Inc0.24%$571.99K
Houlihan Lokey Inc0.24%$567.44K
First Industrial Realty Trust Inc0.23%$565.08K
Old National Bancorp/IN0.23%$564.92K
SiTime Corp0.23%$562.58K
IDACORP Inc0.23%$561.44K
Halozyme Therapeutics Inc0.23%$560.21K
Antero Midstream Corp0.23%$556.53K
Rexford Industrial Realty Inc0.23%$554.09K
Fluor Corp0.23%$554.20K
Kinsale Capital Group Inc0.23%$550.07K
Sprouts Farmers Market Inc0.23%$547.24K
Cirrus Logic Inc0.23%$543.77K
Arrow Electronics Inc0.22%$538.79K
Matador Resources Co0.22%$537.85K
Western Alliance Bancorp0.22%$532.86K
FirstCash Holdings Inc0.22%$532.42K
SEI Investments Co0.22%$532.11K
Simpson Manufacturing Co Inc0.22%$525.50K
Autoliv Inc0.22%$524.96K
HealthEquity Inc0.22%$523.65K
Kirby Corp0.22%$523.55K
American Airlines Group Inc0.22%$522.73K
Ingredion Inc0.22%$518.91K
AGCO Corp0.21%$508.55K
STAG Industrial Inc0.21%$507.76K
Maplebear Inc0.21%$507.43K
Jefferies Financial Group Inc0.21%$503.00K
Ormat Technologies Inc0.21%$501.40K
Prosperity Bancshares Inc0.21%$500.29K
Weatherford International PLC0.21%$499.95K
Silicon Laboratories Inc0.21%$499.14K
NOV Inc0.21%$498.13K
Commerce Bancshares Inc/MO0.21%$496.97K
Commercial Metals Co0.21%$496.78K
Terex Corp0.21%$495.26K
UL Solutions Inc0.20%$488.03K
MP Materials Corp0.20%$479.13K
Chewy Inc0.20%$474.69K
Dutch Bros Inc0.20%$474.33K
EnerSys0.19%$470.09K
Timken Co/The0.19%$469.86K
Voya Financial Inc0.19%$466.97K
Albertsons Cos Inc0.19%$464.75K
Janus Henderson Group PLC0.19%$462.64K
Valaris Ltd0.19%$462.26K
Hanover Insurance Group Inc/The0.19%$455.56K
First American Financial Corp0.19%$452.84K
Hexcel Corp0.19%$452.56K
Repligen Corp0.19%$452.66K
Lear Corp0.19%$452.35K
Middleby Corp/The0.19%$449.71K
Planet Fitness Inc0.19%$449.78K
Corebridge Financial Inc0.19%$448.97K
Wyndham Hotels & Resorts Inc0.19%$447.25K
GATX Corp0.18%$443.58K
Starwood Property Trust Inc0.18%$441.85K
Lithia Motors Inc0.18%$441.50K
FNB Corp/PA0.18%$440.35K
Churchill Downs Inc0.18%$439.18K
Eagle Materials Inc0.18%$438.39K
GXO Logistics Inc0.18%$437.61K
Axalta Coating Systems Ltd0.18%$435.69K
Healthcare Realty Trust Inc0.18%$435.39K
MSA Safety Inc0.18%$435.45K
Valley National Bancorp0.18%$433.29K
Portland General Electric Co0.18%$432.56K
Genpact Ltd0.18%$431.54K
Hyatt Hotels Corp0.18%$430.94K
AeroVironment Inc0.18%$425.59K
MGIC Investment Corp0.18%$424.44K
Glacier Bancorp Inc0.18%$423.65K
United Bankshares Inc/WV0.18%$422.86K
Rayonier Inc0.18%$422.73K
Celsius Holdings Inc0.17%$417.95K
TXNM Energy Inc0.17%$417.64K
Taylor Morrison Home Corp0.17%$414.79K
VF Corp0.17%$411.58K
Southwest Gas Holdings Inc0.17%$411.47K
Ollie's Bargain Outlet Holdings Inc0.17%$409.67K
New Jersey Resources Corp0.17%$408.22K
Murphy Oil Corp0.17%$407.96K
Landstar System Inc0.17%$407.83K
AAON Inc0.17%$407.54K
Esab Corp0.17%$406.84K
Essent Group Ltd0.17%$405.81K
Chemed Corp0.17%$404.56K
CNX Resources Corp0.17%$404.54K
Gap Inc/The0.17%$404.67K
Floor & Decor Holdings Inc0.17%$403.45K
UFP Industries Inc0.16%$395.56K
Spire Inc0.16%$395.30K
Avantor Inc0.16%$394.15K
Sonoco Products Co0.16%$393.23K
Kite Realty Group Trust0.16%$391.77K
WEX Inc0.16%$391.32K
FTI Consulting Inc0.16%$389.95K
RLI Corp0.16%$386.10K
Bentley Systems Inc0.16%$385.51K
Black Hills Corp0.16%$381.75K
Hancock Whitney Corp0.16%$381.09K
Nexstar Media Group Inc0.16%$380.47K
Sensata Technologies Holding PLC0.16%$378.19K
Amkor Technology Inc0.16%$377.58K
ONE Gas Inc0.16%$375.87K
NewMarket Corp0.16%$374.31K
Avnet Inc0.15%$371.82K
Vontier Corp0.15%$370.20K
AutoNation Inc0.15%$369.82K
Bio-Rad Laboratories Inc0.15%$369.06K
Lantheus Holdings Inc0.15%$366.51K
Home BancShares Inc/AR0.15%$363.12K
StandardAero Inc0.15%$361.08K
Sabra Health Care REIT Inc0.15%$357.39K
Cleveland-Cliffs Inc0.15%$355.26K
Macy's Inc0.15%$353.99K
Gentex Corp0.15%$352.62K
ExlService Holdings Inc0.15%$352.15K
UiPath Inc0.15%$350.35K
Brunswick Corp/DE0.14%$348.74K
Bank OZK0.14%$348.49K
Boyd Gaming Corp0.14%$346.22K
Fortune Brands Innovations Inc0.14%$345.08K
KBR Inc0.14%$345.01K
Grand Canyon Education Inc0.14%$344.31K
Paylocity Holding Corp0.14%$340.87K
Louisiana-Pacific Corp0.14%$339.82K
Vail Resorts Inc0.14%$336.20K
Knife River Corp0.14%$333.38K
Mattel Inc0.14%$332.87K
Selective Insurance Group Inc0.14%$331.87K
Belden Inc0.14%$327.95K
Travel + Leisure Co0.13%$322.56K
Hims & Hers Health Inc0.13%$318.75K
Valvoline Inc0.13%$316.05K
Option Care Health Inc0.13%$314.96K
SLM Corp0.13%$314.36K
Science Applications International Corp0.13%$312.48K
Associated Banc-Corp0.13%$311.85K
Novanta Inc0.13%$311.46K
Wingstop Inc0.13%$311.18K
Brink's Co/The0.13%$310.68K
Federated Hermes Inc0.13%$308.90K
Alaska Air Group Inc0.13%$308.55K
Post Holdings Inc0.13%$307.45K
Crocs Inc0.13%$305.76K
Vornado Realty Trust0.13%$305.56K
Thor Industries Inc0.13%$304.86K
Abercrombie & Fitch Co0.13%$304.08K
Envista Holdings Corp0.13%$304.01K
MSC Industrial Direct Co Inc0.13%$302.74K
Texas Capital Bancshares Inc0.13%$302.86K
Hamilton Lane Inc0.12%$301.18K
H&R Block Inc0.12%$296.55K
Bruker Corp0.12%$295.28K
Northwestern Energy Group Inc0.12%$293.37K
Morningstar Inc0.12%$292.79K
Dropbox Inc0.12%$292.09K
PBF Energy Inc0.12%$291.39K
Universal Display Corp0.12%$291.57K
Flagstar Bank NA0.12%$290.74K
Duolingo Inc0.12%$290.19K
Allegro MicroSystems Inc0.12%$288.50K
Trex Co Inc0.12%$287.90K
CNO Financial Group Inc0.12%$285.33K
Pegasystems Inc0.12%$284.26K
Ryan Specialty Holdings Inc0.12%$283.62K
First Financial Bankshares Inc0.12%$282.90K
Appfolio Inc0.12%$283.13K
Cabot Corp0.12%$282.86K
Bath & Body Works Inc0.12%$280.54K
Westlake Corp0.12%$280.72K
EPR Properties0.12%$280.38K
Cousins Properties Inc0.12%$279.46K
Warner Music Group Corp0.11%$276.65K
Vicor Corp0.11%$269.68K
Dolby Laboratories Inc0.11%$267.33K
International Bancshares Corp0.11%$264.79K
elf Beauty Inc0.11%$263.17K
Graham Holdings Co0.11%$262.20K
Independence Realty Trust Inc0.11%$259.06K
LivaNova PLC0.11%$255.83K
COPT Defense Properties0.11%$254.81K
Maximus Inc0.11%$253.77K
Commvault Systems Inc0.10%$249.64K
Silgan Holdings Inc0.10%$247.97K
Brighthouse Financial Inc0.10%$247.96K
Whirlpool Corp0.10%$247.76K
Olin Corp0.10%$247.23K
Sotera Health Co0.10%$246.23K
BILL Holdings Inc0.10%$244.97K
Avient Corp0.10%$244.99K
KB Home0.10%$239.03K
Exponent Inc0.10%$236.60K
PVH Corp0.10%$233.98K
Qualys Inc0.10%$229.20K
Doximity Inc0.10%$229.32K
Kilroy Realty Corp0.09%$226.70K
Kyndryl Holdings Inc0.09%$221.03K
Graphic Packaging Holding Co0.09%$216.23K
Shift4 Payments Inc0.09%$215.15K
Polaris Inc0.09%$211.84K
Parsons Corp0.09%$211.26K
IPG Photonics Corp0.09%$210.85K
YETI Holdings Inc0.09%$207.47K
Marzetti Company/The0.09%$207.08K
Penske Automotive Group Inc0.08%$201.40K
Scotts Miracle-Gro Co/The0.08%$200.31K
Synaptics Inc0.08%$194.85K
National Storage Affiliates Trust0.08%$194.10K
Haemonetics Corp0.08%$192.07K
Euronet Worldwide Inc0.08%$187.63K
Avis Budget Group Inc0.08%$183.63K
Visteon Corp0.08%$183.22K
Ashland Inc0.08%$182.35K
Harley-Davidson Inc0.07%$174.07K
Hilton Grand Vacations Inc0.07%$170.68K
DENTSPLY SIRONA Inc0.07%$170.62K
Park Hotels & Resorts Inc0.06%$155.15K
Rh0.06%$155.06K
Capri Holdings Ltd0.06%$154.76K
Choice Hotels International Inc0.06%$149.76K
Crane NXT Co0.06%$147.75K
Goodyear Tire & Rubber Co/The0.06%$139.89K
BellRing Brands Inc0.06%$139.08K
Boston Beer Co Inc/The0.06%$134.78K
Flowers Foods Inc0.05%$126.86K
Pilgrim's Pride Corp0.05%$117.13K
Greif Inc0.05%$115.70K
Columbia Sportswear Co0.04%$100.14K
Blackbaud Inc0.04%$98.96K
Concentrix Corp0.04%$86.21K
Chicago Mercantile Exchange0.03%$79.66K
Coty Inc0.02%$54.76K

C000072678 overview: performance, fees, allocation and SEC filings