HAGAX Holdings — Carillon Eagle Mid Cap Growth Fund

All 97 reported holdings of Carillon Eagle Mid Cap Growth Fund (HAGAX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Datadog Inc3.04%$158.85M
Viking Holdings Ltd2.20%$115.09M
RB Global Inc2.07%$107.99M
Lumentum Holdings Inc2.04%$106.57M
Teradyne Inc2.02%$105.64M
Casey's General Stores Inc1.97%$102.86M
Cloudflare Inc1.94%$101.36M
Axon Enterprise Inc1.82%$95.00M
Cencora Inc1.81%$94.77M
MACOM Technology Solutions Hol1.78%$92.88M
Natera Inc1.75%$91.60M
Westinghouse Air Brake Technol1.71%$89.54M
LPL Financial Holdings Inc1.60%$83.55M
Royal Caribbean Cruises Ltd1.60%$83.46M
Comfort Systems USA Inc1.57%$82.21M
Qnity Electronics Inc1.55%$80.95M
CH Robinson Worldwide Inc1.53%$80.04M
Quanta Services Inc1.50%$78.46M
Vertiv Holdings Co1.50%$78.29M
Burlington Stores Inc1.49%$77.99M
Carpenter Technology Corp1.44%$75.20M
Dycom Industries Inc1.43%$74.90M
Corpay Inc1.40%$73.02M
Robinhood Markets Inc1.40%$72.89M
Alnylam Pharmaceuticals Inc1.39%$72.54M
IDEXX Laboratories Inc1.36%$70.99M
SiTime Corp1.34%$69.91M
ITT Inc1.31%$68.33M
Monolithic Power Systems Inc1.27%$66.24M
Ares Management Corp1.10%$57.30M
Cardinal Health Inc1.08%$56.23M
Baker Hughes Co1.06%$55.29M
Take-Two Interactive Software1.05%$55.07M
Snowflake Inc1.05%$54.79M
SPX Technologies Inc1.04%$54.34M
Permian Resources Corp1.04%$54.24M
Okta Inc1.04%$54.22M
TKO Group Holdings Inc1.03%$54.04M
Marvell Technology Inc1.02%$53.27M
Ferguson Enterprises Inc0.99%$51.54M
Reddit Inc0.98%$51.07M
Modine Manufacturing Co0.94%$49.26M
Waste Connections Inc0.94%$49.19M
Jones Lang LaSalle Inc0.90%$47.04M
Tyler Technologies Inc0.87%$45.40M
Wynn Resorts Ltd0.86%$45.02M
Rockwell Automation Inc0.86%$44.90M
Hilton Worldwide Holdings Inc0.85%$44.58M
Dexcom Inc0.85%$44.45M
Dynatrace Inc0.84%$43.70M
Entegris Inc0.83%$43.41M
Arxis Inc0.82%$42.97M
Akamai Technologies Inc0.80%$41.89M
Antero Resources Corp0.80%$41.85M
DraftKings Inc0.79%$41.04M
Wingstop Inc0.78%$40.91M
Ross Stores Inc0.77%$40.40M
EastGroup Properties Inc0.77%$40.19M
Twilio Inc0.77%$40.16M
Martin Marietta Materials Inc0.77%$39.97M
Insmed Inc0.76%$39.92M
Dutch Bros Inc0.76%$39.83M
Solstice Advanced Materials In0.76%$39.61M
Karman Holdings Inc0.76%$39.56M
Zoom Communications Inc0.75%$39.11M
Advanced Energy Industries Inc0.75%$39.12M
Neurocrine Biosciences Inc0.75%$39.09M
Woodward Inc0.74%$38.85M
MongoDB Inc0.73%$38.34M
First American Government Obli0.73%$38.10M
XPO Inc0.70%$36.45M
StandardAero Inc0.69%$36.19M
Floor & Decor Holdings Inc0.69%$35.89M
FTAI Aviation Ltd0.68%$35.53M
Ralph Lauren Corp0.67%$35.13M
PTC Inc0.67%$34.97M
Samsara Inc0.64%$33.58M
ROBLOX Corp0.61%$31.84M
Cava Group Inc0.60%$31.19M
Rocket Lab Corp0.57%$30.02M
Tower Semiconductor Ltd0.57%$29.61M
Vistra Corp0.55%$28.61M
Texas Pacific Land Corp0.51%$26.53M
Cummins Inc0.51%$26.43M
Carvana Co0.51%$26.41M
Houlihan Lokey Inc0.47%$24.64M
Chewy Inc0.47%$24.63M
Iron Mountain Inc0.46%$24.26M
IQVIA Holdings Inc0.46%$24.00M
Encompass Health Corp0.45%$23.65M
CACI International Inc0.44%$22.89M
Tradeweb Markets Inc0.42%$22.18M
Everpure Inc0.42%$22.13M
Insulet Corp0.40%$20.94M
Veeva Systems Inc0.32%$16.63M
Medpace Holdings Inc0.31%$15.95M
Medline Inc0.27%$14.28M

HAGAX overview: performance, fees, allocation and SEC filings