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ACUITAS US MICROCAP FUND (AFMCX) is an MF managed by Independent / Boutique. Its largest position is DUCOMMUN INC /DE/ (DCO), representing 2.44% of fund assets.

ACUITAS US MICROCAP FUND Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
AFMCX
Type:
MF
Manager:
Independent / Boutique
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 28, 2026
Showing 50 out of 268 holdings
Holding Weight Market Value Shares
-
DUCOMMUN INC /DE/
2.44% $2,378,146.00 19,493
-
Select Water Solutions, Inc.
1.99% $1,947,690.00 127,300
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FIRST AMERICAN TREASURY OBLIGA
1.69% $1,647,890.11 1,647,890
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THERMON GROUP HOLDINGS INC
1.59% $1,550,656.80 30,767
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CHICAGO MERCANTILE EXCHANGE INC.
1.42% $1,381,710.00 11
-
ADTRAN Holdings, Inc.
1.34% $1,311,062.44 104,218
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IRADIMED CORP
1.24% $1,208,833.08 12,558
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CORE MOLDING TECHNOLOGIES INC
1.23% $1,201,244.80 53,627
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MESA LABORATORIES INC /CO/
1.18% $1,150,255.78 13,009
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GRAHAM CORP
1.10% $1,076,074.20 13,635
-
Vishay Precision Group, Inc.
1.06% $1,036,913.02 23,881
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Ultra Clean Holdings, Inc.
1.04% $1,012,850.02 16,289
-
Customers Bancorp, Inc.
0.98% $953,693.40 13,740
-
NPK International Inc.
0.97% $945,110.25 65,225
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PARK AEROSPACE CORP
0.97% $943,021.96 34,442
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Cryoport, Inc.
0.93% $912,439.44 110,198
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First Western Financial Inc
0.93% $911,770.52 37,094
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Enviri Corp
0.93% $908,857.26 46,323
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FTAI Infrastructure Inc.
0.90% $875,521.14 177,231
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MAGNITE, INC.
0.89% $872,811.72 73,469
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ALLIENT INC
0.87% $850,009.65 14,385
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AVIAT NETWORKS, INC.
0.85% $833,743.75 36,875
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COHU INC
0.85% $825,239.62 26,951
-
908 Devices Inc.
0.81% $794,779.92 129,866
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Enova International, Inc.
0.80% $783,739.10 5,770
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El Pollo Loco Holdings, Inc.
0.80% $782,535.60 56,460
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KURA SUSHI USA, INC.
0.80% $781,578.21 11,199
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AMERICAN COASTAL INSURANCE Corp
0.77% $750,993.75 66,755
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AVANOS MEDICAL INC
0.77% $750,823.92 53,592
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Mama's Creations, Inc.
0.76% $738,851.10 48,165
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TRANSCAT INC
0.74% $718,341.00 9,780
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Pacira BioSciences, Inc.
0.73% $713,459.40 31,569
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BARRETT BUSINESS SERVICES INC
0.73% $712,896.58 24,431
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INTEST CORP
0.73% $710,892.00 52,080
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Climb Global Solutions, Inc.
0.71% $688,923.38 34,759
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A10 Networks, Inc.
0.65% $636,193.04 27,517
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NB Bancorp, Inc.
0.64% $626,411.10 29,730
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VAALCO ENERGY INC /DE/
0.64% $626,201.80 98,770
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Proficient Auto Logistics, Inc
0.62% $603,352.20 88,990
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Solaris Energy Infrastructure, Inc.
0.62% $602,453.11 10,661
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Arhaus, Inc.
0.61% $600,335.10 88,545
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GEOSPACE TECHNOLOGIES CORP
0.61% $591,822.00 48,510
-
Amplitude, Inc.
0.60% $587,979.48 86,214
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CRA INTERNATIONAL, INC.
0.60% $584,224.92 3,609
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SI-BONE, Inc.
0.60% $582,546.12 46,124
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TEXAS CAPITAL BANCSHARES INC/TX
0.59% $578,293.60 6,095
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MATERION Corp
0.59% $577,732.10 3,994
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International General Insurance Holdings Ltd.
0.58% $563,958.00 23,280
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Niagen Bioscience, Inc.
0.57% $560,144.97 127,017
-
Regional Management Corp.
0.56% $547,605.00 16,980
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