WIMVX Holdings — Segall Bryant & hamill Global Large Cap Fund

All 50 reported holdings of Segall Bryant & hamill Global Large Cap Fund (WIMVX) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp.3.95%$1.49M
Alphabet, Inc.3.64%$1.37M
Palo Alto Networks, Inc.3.59%$1.35M
Microsoft Corp.3.15%$1.19M
Marvell Technology, Inc.3.02%$1.14M
Flex Ltd.2.99%$1.13M
Jp Morgan Chase & Company2.97%$1.12M
Ati, Inc.2.91%$1.10M
Globe Life, Inc.2.74%$1.03M
Infineon Technologies AG2.73%$1.03M
D'ieteren Group Nv/sa2.60%$981.15K
Amazon.com, Inc.2.56%$968.14K
Safran SA2.53%$955.10K
Apple, Inc.2.51%$946.50K
Monolithic Power Systems, Inc.2.49%$940.00K
Quanta Services, Inc.2.47%$931.73K
Lotus Bakeries NV2.35%$888.13K
Visa, Inc.2.32%$876.59K
Intesa Sanpaolo Spa2.20%$830.22K
Intercontinental Hotels Group PLC2.19%$826.58K
Suncor Energy, Inc.2.18%$821.25K
Arista Networks, Inc.2.06%$776.69K
Schneider Electric SE2.04%$769.85K
Siemens Energy AG2.04%$768.99K
Reinsurance Group Of America, Inc.1.85%$699.41K
Eli Lilly & Company1.76%$665.68K
Amphenol Corp.1.65%$624.53K
Ferrari NV1.52%$572.58K
Chevron Corp.1.43%$539.88K
Linde PLC1.43%$538.66K
Brunello Cucinelli Spa1.42%$536.63K
Dollarama, Inc.1.41%$533.90K
Astrazeneca PLC1.33%$500.92K
Cadence Design Systems, Inc.1.30%$489.42K
Fifth Third Bancorp1.29%$487.15K
Fluidra SA1.29%$486.49K
Lonza Group AG1.27%$478.99K
Compass Group PLC1.25%$471.97K
Spotify Technology SA1.25%$471.53K
Motorola Solutions, Inc.1.25%$470.94K
Costco Wholesale Corp.1.19%$449.03K
Viking Holdings Ltd.1.18%$444.43K
Meta Platforms, Inc.1.17%$442.18K
Cbre Group, Inc.1.16%$437.88K
Parker-Hannifin Corp.1.12%$423.53K
Thermo Fisher Scientific, Inc.1.10%$415.63K
Taiwan Semiconductor Manufacturing Company Ltd.1.06%$401.64K
Waste Connections, Inc.1.06%$401.22K
Trane Technologies PLC1.05%$395.38K
Idexx Laboratories, Inc.0.94%$356.40K

WIMVX overview: performance, fees, allocation and SEC filings