SMAYX Holdings — SIMT Small Cap Growth Fund

All 224 reported holdings of SIMT Small Cap Growth Fund (SMAYX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
Bridgebio Pharma, Inc.2.43%$6.61M
Rbc Bearings Incorporated2.40%$6.51M
Viavi Solutions Inc.2.36%$6.40M
Firstcash Holdings, Inc.1.76%$4.78M
Ttm Technologies, Inc.1.70%$4.62M
Nextpower Inc.1.49%$4.04M
Sterling Infrastructure, Inc.1.45%$3.95M
Exlservice Holdings, Inc.1.45%$3.94M
Argan, Inc.1.33%$3.61M
Atmus Filtration Technologies Inc1.27%$3.46M
Keysight Technologies, Inc.1.27%$3.45M
Bloom Energy Corporation1.21%$3.29M
Umb Financial Corporation1.19%$3.23M
Fabrinet1.15%$3.11M
The Ensign Group, Inc.1.13%$3.06M
Guardant Health, Inc.1.10%$2.99M
Watts Water Technologies, Inc.1.10%$2.98M
Covista Inc.1.09%$2.97M
Clear Secure, Inc.1.08%$2.93M
Primoris Services Corporation1.08%$2.92M
Casey's General Stores, Inc.0.98%$2.66M
Urban Outfitters, Inc.0.95%$2.58M
Cno Financial Group, Inc.0.95%$2.57M
Advanced Energy Industries, Inc.0.89%$2.43M
Federal Signal Corporation0.88%$2.40M
Healthequity, Inc.0.87%$2.37M
Enova International, Inc.0.87%$2.36M
Monolithic Power Systems, Inc.0.86%$2.33M
Nova Ltd.0.83%$2.26M
Burlington Stores, Inc.0.82%$2.23M
Solaris Energy Infrastructure, Inc.0.80%$2.18M
Balchem Corporation0.78%$2.13M
Rollins, Inc.0.78%$2.11M
Spx Technologies, Inc.0.77%$2.10M
Novanta Inc.0.75%$2.04M
Modine Manufacturing Company0.74%$2.00M
Dycom Industries, Inc.0.74%$2.00M
Plexus Corp.0.71%$1.92M
Alignment Healthcare, Inc.0.71%$1.92M
Credo Technology Group Holding Ltd0.70%$1.90M
InterDigital, Inc.0.69%$1.88M
Sensient Technologies Corporation0.69%$1.88M
Vse Corporation0.68%$1.85M
Exponent, Inc.0.67%$1.82M
Aaon, Inc.0.67%$1.81M
Advanced Drainage Systems, Inc.0.66%$1.80M
Garrett Motion Inc.0.64%$1.74M
SiTime Corp0.64%$1.73M
Globus Medical, Inc.0.63%$1.72M
Repligen Corporation0.63%$1.71M
Terex Corporation0.63%$1.71M
Axon Enterprise, Inc.0.63%$1.70M
Littelfuse, Inc.0.62%$1.68M
Boot Barn Holdings, Inc.0.61%$1.65M
The Bank of N.T. Butterfield & Son Limited0.58%$1.58M
Amneal Pharmaceuticals, Inc.0.57%$1.56M
Aar Corp.0.57%$1.55M
Tyler Technologies, Inc.0.57%$1.54M
Church & Dwight Co., Inc.0.56%$1.52M
Ichor Holdings, Ltd.0.56%$1.52M
Rambus Inc.0.55%$1.50M
Mercury Systems, Inc.0.55%$1.49M
Eplus Inc.0.54%$1.47M
Stifel Financial Corp.0.54%$1.47M
Onto Innovation Inc.0.54%$1.46M
Nicolet Bankshares, Inc.0.52%$1.41M
Ssr Mining Inc.0.52%$1.40M
First Financial Bankshares, Inc.0.51%$1.38M
Wisdomtree, Inc.0.50%$1.35M
Construction Partners, Inc.0.48%$1.31M
Kinsale Capital Group, Inc.0.48%$1.30M
Archrock Inc.0.46%$1.26M
Ollie's Bargain Outlet Holdings, Inc.0.46%$1.24M
Bio-Techne Corporation0.45%$1.23M
Osi Systems, Inc.0.45%$1.23M
Npk International Inc.0.45%$1.22M
United Natural Foods, Inc.0.43%$1.18M
Axsome Therapeutics, Inc.0.43%$1.17M
The Descartes Systems Group Inc.0.41%$1.11M
Valley National Bancorp0.40%$1.10M
Viridian Therapeutics Inc0.40%$1.10M
Lci Industries0.40%$1.09M
Acadian Asset Management Inc.0.40%$1.09M
Protagonist Therapeutics Inc0.40%$1.09M
Ani Pharmaceuticals, Inc.0.40%$1.09M
Piper Sandler Companies0.40%$1.08M
Newmark Group, Inc.0.39%$1.07M
Miami International Holdings, Inc.0.39%$1.07M
Crane Co0.39%$1.06M
Victoria's Secret & Co.0.39%$1.06M
Sanmina Corporation0.39%$1.06M
Mirion Technologies, Inc.0.39%$1.06M
Copart, Inc.0.38%$1.03M
Jbt Marel Corporation0.37%$1.01M
Lemonade, Inc.0.37%$1.01M
Pool Corporation0.37%$1.00M
Innoviva, Inc.0.37%$1.00M
Supernus Pharmaceuticals, Inc.0.37%$994.98K
Rhythm Pharmaceuticals Inc0.36%$989.46K
Tarsus Pharmaceuticals Inc0.36%$985.54K
Turning Point Brands, Inc.0.36%$985.50K
Brightspring Health Services, Inc.0.36%$977.26K
Par Pacific Holdings, Inc.0.36%$966.91K
Ryan Specialty Holdings, Inc.0.35%$961.22K
Nbt Bancorp Inc.0.35%$959.63K
Watsco, Inc.0.35%$952.40K
Interface, Inc.0.35%$947.93K
Costar Group, Inc.0.35%$945.65K
Aci Worldwide, Inc.0.34%$933.72K
Moelis & Company0.34%$927.90K
Celcuity Inc.0.34%$926.93K
Fair Isaac Corporation0.34%$925.56K
Dave Inc.0.34%$922.33K
Figs, Inc.0.33%$901.28K
Cimpress Public Limited Company0.33%$893.81K
Evertec, Inc.0.33%$885.68K
Openlane, Inc.0.32%$861.94K
Applied Optoelectronics, Inc.0.31%$855.46K
Calix, Inc.0.30%$825.43K
Insmed Incorporated0.30%$824.14K
Encore Capital Group, Inc.0.30%$815.92K
Imax Corporation0.29%$798.21K
Phibro Animal Health Corporation0.29%$789.66K
Kohl's Corporation0.29%$789.16K
Tutor Perini Corporation0.29%$787.57K
PROG Holdings, Inc0.29%$786.31K
Gigacloud Technology, Inc.0.29%$776.00K
Lemaitre Vascular, Inc.0.28%$770.74K
AxoGen, Inc.0.28%$754.60K
Frontdoor, Inc.0.27%$728.62K
Dana Incorporated0.27%$728.72K
Univest Financial Corporation0.27%$725.01K
Intellia Therapeutics, Inc.0.27%$721.86K
Syndax Pharmaceuticals Inc0.27%$720.45K
Casella Waste Systems, Inc.0.27%$720.65K
nLIGHT Inc0.26%$718.34K
Tompkins Financial Corporation0.26%$708.14K
Laureate Education, Inc.0.26%$699.73K
Willdan Group, Inc.0.26%$698.38K
IDEAYA Biosciences Inc0.25%$690.62K
Bentley Systems, Incorporated0.25%$688.35K
American Eagle Outfitters, Inc.0.25%$671.97K
Herbalife Ltd.0.24%$665.34K
Epam Systems, Inc.0.24%$647.48K
GeneDx Holdings Corp0.23%$635.59K
Central Pacific Financial Corp.0.23%$634.34K
The Pennant Group, Inc.0.23%$630.94K
American Superconductor Corporation0.23%$613.29K
Diebold Nixdorf, Incorporated0.22%$602.24K
Innovex International, Inc.0.22%$596.53K
Banco Latinoamericano de Comercio Exterior, S.A.0.22%$589.05K
Marketaxess Holdings Inc.0.21%$574.46K
Marqeta Inc0.20%$550.18K
Graham Corporation0.20%$549.60K
Costamare Inc.0.20%$536.74K
Xenon Pharmaceuticals Inc0.20%$534.98K
Standard Motor Products, Inc.0.19%$519.85K
O-I Glass, Inc.0.19%$515.26K
National Vision Holdings, Inc.0.19%$512.17K
QuinStreet Inc0.19%$510.71K
CG Oncology Inc0.19%$509.43K
Adaptive Biotechnologies Corp0.19%$507.92K
Hubspot, Inc.0.19%$506.26K
Talos Energy Inc.0.18%$498.19K
Tactile Systems Technology Inc0.18%$496.13K
Nuvation Bio Inc0.17%$466.35K
Deluxe Corporation0.17%$465.73K
Merit Medical Systems, Inc.0.17%$453.15K
Mission Produce, Inc.0.17%$450.46K
Ptc Therapeutics, Inc.0.17%$448.64K
Forum Energy Technologies, Inc.0.16%$447.69K
Certara, Inc.0.16%$446.59K
Camden National Corporation0.16%$446.41K
Dauch Corporation0.16%$436.87K
Ardmore Shipping Corporation0.15%$408.70K
Cooper-Standard Holdings Inc.0.14%$382.18K
Southern Missouri Bancorp, Inc.0.14%$379.29K
Mama's Creations Inc0.14%$378.42K
Q2 Holdings, Inc.0.14%$375.09K
Solid Power Inc0.13%$360.19K
Viasat, Inc.0.13%$357.15K
Bel Fuse Inc.0.13%$351.81K
Radnet, Inc.0.13%$348.75K
Sally Beauty Holdings, Inc.0.13%$344.84K
Third Coast Bancshares Inc0.12%$321.48K
Palomar Holdings, Inc.0.12%$319.42K
Power Solutions International, Inc.0.12%$314.69K
Adient Public Limited Company0.11%$306.34K
Ironwood Pharmaceuticals, Inc.0.11%$303.84K
ACM Research Inc0.11%$303.86K
Monte Rosa Therapeutics Inc0.10%$270.60K
Kennametal Inc.0.10%$259.81K
Aveanna Healthcare Holdings Inc.0.10%$258.00K
Constellium SE0.09%$245.80K
Nature's Sunshine Products, Inc.0.09%$244.46K
Orange County Bancorp, Inc.0.09%$240.17K
BETA Technologies Inc0.09%$236.63K
Vor Biopharma Inc0.09%$235.77K
Postal Realty Trust Inc0.09%$232.59K
Brinker International, Inc.0.08%$224.43K
Zumiez Inc.0.08%$221.58K
Unity Bancorp, Inc.0.08%$216.44K
Veracyte Inc0.08%$216.16K
Intapp, Inc.0.08%$212.74K
Liveramp Holdings, Inc.0.07%$201.05K
Cvr Energy, Inc.0.07%$197.02K
G-Iii Apparel Group, Ltd.0.07%$194.84K
Indivior Pharmaceuticals, Inc.0.07%$191.93K
Kratos Defense & Security Solutions, Inc.0.07%$186.85K
Edgewise Therapeutics Inc0.07%$183.93K
Old National Bancorp0.06%$174.15K
Metropolitan Bank Holding Corp.0.06%$154.92K
BIOAGE Labs Inc0.06%$152.08K
Mediaalpha Inc0.05%$145.15K
Life360, Inc.0.05%$126.66K
Stoke Therapeutics Inc0.05%$123.17K
Caledonia Mining Corporation PLC0.04%$122.10K
Praxis Precision Medicines Inc0.04%$115.99K
Braze Inc0.04%$115.85K
OppFi Inc0.04%$109.49K
Callaway Golf Company0.04%$102.52K
Polaris Inc.0.03%$94.83K
Novocure Limited0.03%$86.11K
Xeris Biopharma Holdings, Inc.0.03%$76.88K

SMAYX overview: performance, fees, allocation and SEC filings