SFMRX Holdings — American Beacon Stephens Mid-Cap Growth Fund

All 95 reported holdings of American Beacon Stephens Mid-Cap Growth Fund (SFMRX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
American Beacon U.S. Government Money Market4.00%$30.89M
Coherent Corp1.89%$14.60M
Vertiv Holdings Co1.85%$14.33M
RBC Bearings Inc1.84%$14.22M
Teradyne Inc1.83%$14.14M
Astera Labs Inc1.83%$14.12M
Ross Stores Inc1.81%$13.96M
Axon Enterprise Inc1.79%$13.84M
FirstCash Holdings Inc1.78%$13.77M
TechnipFMC PLC1.65%$12.75M
Exelixis Inc1.63%$12.62M
Live Nation Entertainment Inc1.60%$12.37M
Dutch Bros Inc1.58%$12.22M
Rockwell Automation Inc1.58%$12.22M
Fastenal Co1.55%$11.95M
Burlington Stores Inc1.55%$11.93M
Take-Two Interactive Software Inc1.51%$11.69M
Cadence Design Systems Inc1.45%$11.21M
Lattice Semiconductor Corp1.44%$11.13M
Evercore Inc1.41%$10.87M
Viking Holdings Ltd1.39%$10.74M
Okta Inc1.39%$10.72M
Illumina Inc1.33%$10.28M
HEICO Corp1.32%$10.22M
Icon PLC1.31%$10.10M
Leonardo DRS Inc1.30%$10.00M
Robinhood Markets Inc1.26%$9.77M
BWX Technologies Inc1.26%$9.73M
Forgent Power Solutions Inc1.25%$9.69M
Generac Holdings Inc1.23%$9.51M
Texas Roadhouse Inc1.22%$9.41M
Keysight Technologies Inc1.21%$9.32M
Baker Hughes Co1.19%$9.23M
JB Hunt Transport Services Inc1.19%$9.21M
Repligen Corp1.18%$9.13M
Five Below Inc1.15%$8.87M
L3Harris Technologies Inc1.15%$8.87M
Verisk Analytics Inc1.15%$8.86M
Microchip Technology Inc1.14%$8.83M
Vistra Corp1.12%$8.65M
Hubbell Inc1.10%$8.49M
Dexcom Inc1.08%$8.31M
Expand Energy Corp1.07%$8.29M
MongoDB Inc1.07%$8.29M
Medpace Holdings Inc1.07%$8.25M
Monolithic Power Systems Inc1.05%$8.08M
Ollie's Bargain Outlet Holdings Inc1.03%$7.99M
Everpure Inc1.03%$7.98M
Fortinet Inc1.03%$7.98M
Palo Alto Networks Inc1.03%$7.97M
Ryan Specialty Holdings Inc1.02%$7.90M
Tradeweb Markets Inc0.99%$7.64M
AeroVironment Inc0.99%$7.61M
Tractor Supply Co0.98%$7.55M
IDEXX Laboratories Inc0.97%$7.52M
Bio-Techne Corp0.97%$7.48M
Spotify Technology SA0.97%$7.45M
Onto Innovation Inc0.94%$7.22M
Saia Inc0.92%$7.11M
Cognex Corp0.91%$7.01M
Credo Technology Group Holding Ltd0.87%$6.71M
Manhattan Associates Inc0.85%$6.60M
Toast Inc0.84%$6.49M
Guidewire Software Inc0.84%$6.47M
Diamondback Energy Inc0.81%$6.28M
Kratos Defense & Security Solutions Inc0.78%$6.03M
Dynatrace Inc0.75%$5.79M
Copart Inc0.71%$5.47M
HealthEquity Inc0.68%$5.22M
Insulet Corp0.67%$5.14M
Tyler Technologies Inc0.66%$5.13M
Veeva Systems Inc0.66%$5.07M
Henry Schein Inc0.65%$5.04M
United Rentals Inc0.65%$5.01M
Crowdstrike Holdings Inc0.64%$4.96M
SailPoint Inc0.64%$4.92M
Nutanix Inc0.63%$4.83M
Bloom Energy Corp0.59%$4.58M
Halozyme Therapeutics Inc0.55%$4.24M
Antero Resources Corp0.55%$4.22M
Twilio Inc0.54%$4.19M
Sportradar Group AG0.54%$4.17M
James Hardie Industries PLC0.51%$3.96M
Guardant Health Inc0.51%$3.95M
Bright Horizons Family Solutions Inc0.48%$3.68M
Procore Technologies Inc0.46%$3.59M
Wingstop Inc0.42%$3.27M
PTC Inc0.41%$3.17M
ResMed Inc0.41%$3.16M
Autodesk Inc0.38%$2.90M
Ciena Corp0.33%$2.54M
SiTime Corp0.25%$1.95M
SiteOne Landscape Supply Inc0.24%$1.88M
Marvell Technology Inc0.20%$1.56M
Zscaler Inc0.18%$1.38M

SFMRX overview: performance, fees, allocation and SEC filings