C000237688 Holdings — BrandywineGLOBAL - Small Cap Value Fund

All 68 reported holdings of BrandywineGLOBAL - Small Cap Value Fund (C000237688) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Western Asset Premier Institutional US Treasury Reserves3.14%$678.35K
PetIQ Inc2.68%$579.09K
First Advantage Corp2.51%$542.80K
Signet Jewelers Ltd2.40%$519.83K
Polaris Inc2.40%$519.42K
Alaska Air Group Inc2.36%$510.42K
Atlas Energy Solutions Inc2.21%$477.64K
WaFd Inc2.13%$460.37K
Texas Capital Bancshares Inc2.11%$456.63K
NerdWallet Inc2.05%$443.76K
Banc of California Inc1.99%$429.97K
JELD-WEN Holding Inc1.97%$425.45K
Cactus Inc1.93%$416.50K
Sunstone Hotel Investors Inc1.88%$407.23K
Hope Bancorp Inc1.87%$405.06K
TFS Financial Corp1.84%$397.12K
Allegiant Travel Co1.83%$396.10K
Sealed Air Corp1.83%$396.03K
Catalyst Pharmaceuticals Inc1.74%$377.12K
Sezzle Inc1.74%$377.00K
Black Hills Corp1.72%$371.00K
Methode Electronics Inc1.70%$366.90K
Mercury Systems Inc1.66%$358.16K
Xenia Hotels & Resorts Inc1.60%$345.47K
Knowles Corp1.58%$341.85K
ConnectOne Bancorp Inc1.54%$332.41K
ACV Auctions Inc1.52%$329.75K
FMC Corp1.51%$326.40K
Northwestern Energy Group Inc1.50%$323.87K
Ichor Holdings Ltd1.50%$323.51K
Manitowoc Co Inc/The1.47%$317.36K
SLM Corp1.46%$315.83K
Mohawk Industries Inc1.40%$303.69K
Rogers Corp1.39%$300.38K
Portland General Electric Co1.39%$300.33K
RPC Inc1.38%$298.35K
Associated Banc-Corp1.38%$297.90K
loanDepot Inc1.37%$295.39K
Two Harbors Investment Corp1.35%$291.76K
Air Lease Corp1.30%$281.70K
ANI Pharmaceuticals Inc1.30%$280.40K
Cohu Inc1.30%$280.13K
Vivid Seats Inc1.25%$271.10K
New York Mortgage Trust Inc1.25%$269.66K
Five Below Inc1.21%$260.63K
CNX Resources Corp1.17%$252.74K
Upwork Inc1.15%$248.29K
Collegium Pharmaceutical Inc1.14%$245.71K
Amphastar Pharmaceuticals Inc1.13%$245.08K
Wayfair Inc1.10%$238.20K
New Mountain Finance Corp1.08%$234.21K
Oddity Tech Ltd1.05%$226.94K
Academy Sports & Outdoors Inc1.02%$221.18K
Valley National Bancorp1.01%$219.52K
M/I Homes Inc1.01%$219.34K
Howard Hughes Holdings Inc0.99%$214.48K
Live Oak Bancshares Inc0.99%$213.64K
Cushman & Wakefield PLC0.98%$211.54K
Tri Pointe Homes Inc0.96%$206.61K
Encore Capital Group Inc0.93%$200.42K
Sally Beauty Holdings Inc0.92%$200.02K
Invesco Ltd0.91%$196.85K
Brookline Bancorp Inc0.91%$195.75K
Weatherford International PLC0.85%$183.43K
Designer Brands Inc0.68%$146.79K
Vital Energy Inc0.57%$122.66K
Pacira BioSciences Inc0.46%$99.03K
SolarEdge Technologies Inc0.14%$30.47K

C000237688 overview: performance, fees, allocation and SEC filings