C000228503 Holdings — BlackRock SMID-Cap Growth Equity Fund
All 91 reported holdings of BlackRock SMID-Cap Growth Equity Fund (C000228503) by percentage of net assets, from the fund's latest SEC N-PORT filing.
| Holding | % of net assets | Value (USD) |
|---|---|---|
| Axon Enterprise Inc | 3.93% | $405.94K |
| Comfort Systems USA Inc | 3.43% | $354.37K |
| Duolingo Inc | 3.09% | $318.52K |
| Tradeweb Markets Inc | 2.67% | $276.04K |
| Vertiv Holdings Co | 2.47% | $254.61K |
| Carvana Co | 2.45% | $252.57K |
| Galderma Group AG | 2.38% | $245.82K |
| Live Nation Entertainment Inc | 2.37% | $244.75K |
| Liberty Media Corp-Liberty For | 2.32% | $239.39K |
| Planet Fitness Inc | 2.23% | $230.44K |
| Loar Holdings Inc | 2.17% | $223.72K |
| HEICO Corp | 2.15% | $221.43K |
| Masimo Corp | 2.01% | $207.68K |
| TPG Inc | 1.96% | $202.05K |
| Bentley Systems Inc | 1.91% | $197.55K |
| Morningstar Inc | 1.88% | $194.00K |
| Brunello Cucinelli SpA | 1.82% | $187.57K |
| DraftKings Inc | 1.78% | $184.10K |
| Texas Pacific Land Corp | 1.78% | $183.81K |
| AZEK Co Inc/The | 1.78% | $183.39K |
| Casella Waste Systems Inc | 1.78% | $183.32K |
| ASM International NV | 1.73% | $179.06K |
| Credo Technology Group Holding | 1.73% | $178.43K |
| On Holding AG | 1.64% | $169.56K |
| Pure Storage Inc | 1.60% | $165.16K |
| Bright Horizons Family Solutio | 1.59% | $164.34K |
| Guidewire Software Inc | 1.52% | $157.39K |
| BE Semiconductor Industries NV | 1.44% | $148.52K |
| Confluent Inc | 1.41% | $145.48K |
| Saia Inc | 1.39% | $143.05K |
| BlackRock Liquidity Funds T-Fund | 1.38% | $142.08K |
| Graco Inc | 1.37% | $141.38K |
| Entegris Inc | 1.30% | $133.77K |
| CyberArk Software Ltd | 1.23% | $127.08K |
| Churchill Downs Inc | 1.22% | $126.21K |
| Reddit Inc | 1.18% | $122.24K |
| Booz Allen Hamilton Holding Co | 1.16% | $120.06K |
| Align Technology Inc | 1.16% | $119.96K |
| QXO Inc | 1.12% | $116.08K |
| Astera Labs Inc | 1.12% | $115.49K |
| Gitlab Inc | 1.09% | $112.27K |
| Repligen Corp | 1.08% | $111.58K |
| Affirm Holdings Inc | 1.08% | $111.27K |
| Natera Inc | 1.04% | $107.10K |
| Core & Main Inc | 1.00% | $103.43K |
| Coherent Corp | 0.97% | $99.68K |
| Onto Innovation Inc | 0.86% | $89.18K |
| Floor & Decor Holdings Inc | 0.84% | $86.82K |
| IDEX Corp | 0.79% | $81.23K |
| West Pharmaceutical Services I | 0.77% | $79.49K |
| MongoDB Inc | 0.76% | $78.55K |
| JFrog Ltd | 0.74% | $76.26K |
| ANSYS Inc | 0.73% | $75.76K |
| Freshpet Inc | 0.73% | $75.59K |
| Manhattan Associates Inc | 0.72% | $74.00K |
| Monday.com Ltd | 0.70% | $71.99K |
| Halozyme Therapeutics Inc | 0.69% | $70.70K |
| Surgery Partners Inc | 0.67% | $69.27K |
| Permian Resources Corp | 0.67% | $68.71K |
| Landbridge Co LLC | 0.64% | $66.31K |
| SiteOne Landscape Supply Inc | 0.61% | $63.08K |
| GFL Environmental Inc | 0.58% | $59.56K |
| Globant SA | 0.56% | $57.78K |
| Medpace Holdings Inc | 0.55% | $56.33K |
| Energy Recovery Inc | 0.50% | $51.47K |
| Fox Factory Holding Corp | 0.48% | $49.25K |
| Lattice Semiconductor Corp | 0.46% | $47.64K |
| Mister Car Wash Inc | 0.46% | $47.51K |
| WillScot Holdings Corp | 0.42% | $43.77K |
| GXO Logistics Inc | 0.38% | $39.00K |
| Vail Resorts Inc | 0.36% | $37.00K |
| Bio-Techne Corp | 0.35% | $35.67K |
| Northern Oil & Gas Inc | 0.34% | $35.17K |
| Zscaler Inc | 0.33% | $33.91K |
| Carlyle Group Inc/The | 0.30% | $30.78K |
| AutoStore Holdings Ltd | 0.30% | $30.69K |
| Pool Corp | 0.27% | $28.26K |
| Paylocity Holding Corp | 0.27% | $28.25K |
| Pinterest Inc | 0.26% | $26.35K |
| PTC Inc | 0.21% | $21.88K |
| Phreesia Inc | 0.21% | $21.53K |
| Monolithic Power Systems Inc | 0.19% | $19.86K |
| Rexford Industrial Realty Inc | 0.19% | $19.66K |
| Jack Henry & Associates Inc | 0.17% | $17.21K |
| Inspire Medical Systems Inc | 0.17% | $17.14K |
| MarketAxess Holdings Inc | 0.15% | $15.37K |
| Match Group Inc | 0.12% | $12.87K |
| European Wax Center Inc | 0.09% | $9.14K |
| Etsy Inc | 0.08% | $7.80K |
| Teleflex Inc | 0.03% | $3.55K |
| Inmode Ltd | 0.03% | $3.40K |
C000228503 overview: performance, fees, allocation and SEC filings