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 assetsValue (USD)
Axon Enterprise Inc3.93%$405.94K
Comfort Systems USA Inc3.43%$354.37K
Duolingo Inc3.09%$318.52K
Tradeweb Markets Inc2.67%$276.04K
Vertiv Holdings Co2.47%$254.61K
Carvana Co2.45%$252.57K
Galderma Group AG2.38%$245.82K
Live Nation Entertainment Inc2.37%$244.75K
Liberty Media Corp-Liberty For2.32%$239.39K
Planet Fitness Inc2.23%$230.44K
Loar Holdings Inc2.17%$223.72K
HEICO Corp2.15%$221.43K
Masimo Corp2.01%$207.68K
TPG Inc1.96%$202.05K
Bentley Systems Inc1.91%$197.55K
Morningstar Inc1.88%$194.00K
Brunello Cucinelli SpA1.82%$187.57K
DraftKings Inc1.78%$184.10K
Texas Pacific Land Corp1.78%$183.81K
AZEK Co Inc/The1.78%$183.39K
Casella Waste Systems Inc1.78%$183.32K
ASM International NV1.73%$179.06K
Credo Technology Group Holding1.73%$178.43K
On Holding AG1.64%$169.56K
Pure Storage Inc1.60%$165.16K
Bright Horizons Family Solutio1.59%$164.34K
Guidewire Software Inc1.52%$157.39K
BE Semiconductor Industries NV1.44%$148.52K
Confluent Inc1.41%$145.48K
Saia Inc1.39%$143.05K
BlackRock Liquidity Funds T-Fund1.38%$142.08K
Graco Inc1.37%$141.38K
Entegris Inc1.30%$133.77K
CyberArk Software Ltd1.23%$127.08K
Churchill Downs Inc1.22%$126.21K
Reddit Inc1.18%$122.24K
Booz Allen Hamilton Holding Co1.16%$120.06K
Align Technology Inc1.16%$119.96K
QXO Inc1.12%$116.08K
Astera Labs Inc1.12%$115.49K
Gitlab Inc1.09%$112.27K
Repligen Corp1.08%$111.58K
Affirm Holdings Inc1.08%$111.27K
Natera Inc1.04%$107.10K
Core & Main Inc1.00%$103.43K
Coherent Corp0.97%$99.68K
Onto Innovation Inc0.86%$89.18K
Floor & Decor Holdings Inc0.84%$86.82K
IDEX Corp0.79%$81.23K
West Pharmaceutical Services I0.77%$79.49K
MongoDB Inc0.76%$78.55K
JFrog Ltd0.74%$76.26K
ANSYS Inc0.73%$75.76K
Freshpet Inc0.73%$75.59K
Manhattan Associates Inc0.72%$74.00K
Monday.com Ltd0.70%$71.99K
Halozyme Therapeutics Inc0.69%$70.70K
Surgery Partners Inc0.67%$69.27K
Permian Resources Corp0.67%$68.71K
Landbridge Co LLC0.64%$66.31K
SiteOne Landscape Supply Inc0.61%$63.08K
GFL Environmental Inc0.58%$59.56K
Globant SA0.56%$57.78K
Medpace Holdings Inc0.55%$56.33K
Energy Recovery Inc0.50%$51.47K
Fox Factory Holding Corp0.48%$49.25K
Lattice Semiconductor Corp0.46%$47.64K
Mister Car Wash Inc0.46%$47.51K
WillScot Holdings Corp0.42%$43.77K
GXO Logistics Inc0.38%$39.00K
Vail Resorts Inc0.36%$37.00K
Bio-Techne Corp0.35%$35.67K
Northern Oil & Gas Inc0.34%$35.17K
Zscaler Inc0.33%$33.91K
Carlyle Group Inc/The0.30%$30.78K
AutoStore Holdings Ltd0.30%$30.69K
Pool Corp0.27%$28.26K
Paylocity Holding Corp0.27%$28.25K
Pinterest Inc0.26%$26.35K
PTC Inc0.21%$21.88K
Phreesia Inc0.21%$21.53K
Monolithic Power Systems Inc0.19%$19.86K
Rexford Industrial Realty Inc0.19%$19.66K
Jack Henry & Associates Inc0.17%$17.21K
Inspire Medical Systems Inc0.17%$17.14K
MarketAxess Holdings Inc0.15%$15.37K
Match Group Inc0.12%$12.87K
European Wax Center Inc0.09%$9.14K
Etsy Inc0.08%$7.80K
Teleflex Inc0.03%$3.55K
Inmode Ltd0.03%$3.40K

C000228503 overview: performance, fees, allocation and SEC filings