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Carillon Eagle Small Cap Growth Fund (HRSCX) is an MF managed by Independent / Boutique. Its largest position is Woodward, Inc. (WWD), representing 2.49% of fund assets.

Carillon Eagle Small Cap Growth Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
HRSCX
Type:
MF
Manager:
Independent / Boutique
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 26, 2026
Showing 50 out of 108 holdings
Holding Weight Market Value Shares
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Woodward, Inc.
2.49% $10,036,434.72 28,041
-
Archrock, Inc.
2.11% $8,503,623.60 244,357
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BrightSpring Health Services, Inc.
2.04% $8,226,371.82 193,062
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PJT Partners Inc.
1.98% $7,971,026.00 57,050
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DYCOM INDUSTRIES INC
1.94% $7,828,097.28 23,104
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Solstice Advanced Materials Inc.
1.92% $7,743,644.16 101,676
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RB GLOBAL INC.
1.77% $7,144,659.00 74,540
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SPX Technologies, Inc.
1.74% $7,018,893.70 35,105
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MODINE MANUFACTURING CO
1.73% $6,993,014.99 32,269
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EASTGROUP PROPERTIES INC
1.71% $6,916,813.30 37,370
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ENSIGN GROUP, INC
1.69% $6,833,671.00 33,914
-
SITIME Corp
1.62% $6,538,511.55 18,933
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Atmus Filtration Technologies Inc.
1.59% $6,414,839.69 112,997
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ONESPAWORLD HOLDINGS Ltd
1.58% $6,385,722.75 278,245
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LITTELFUSE INC /DE
1.52% $6,121,534.65 18,039
-
Viper Energy, Inc.
1.51% $6,083,419.38 129,462
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RAMBUS INC
1.45% $5,865,869.52 68,184
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Perella Weinberg Partners
1.45% $5,851,805.76 322,236
-
ESAB Corp
1.38% $5,562,783.00 57,550
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ASTRONICS CORP
1.36% $5,501,955.23 82,451
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Bloom Energy Corp
1.35% $5,444,801.14 40,186
-
MERCURY SYSTEMS INC
1.32% $5,328,627.35 73,085
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MADRIGAL PHARMACEUTICALS, INC.
1.29% $5,205,385.68 9,944
-
FirstCash Holdings, Inc.
1.27% $5,127,136.00 27,272
-
DigitalOcean Holdings, Inc.
1.26% $5,091,900.80 59,360
-
Boot Barn Holdings, Inc.
1.25% $5,047,370.96 34,486
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Karman Holdings Inc.
1.23% $4,955,895.50 61,910
-
Zurn Elkay Water Solutions Corp
1.20% $4,844,154.88 108,032
-
Guardant Health, Inc.
1.20% $4,842,866.73 52,429
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MSA Safety Inc
1.18% $4,753,894.20 28,996
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StepStone Group Inc.
1.18% $4,740,600.24 99,342
-
Cellebrite DI Ltd.
1.16% $4,681,658.54 339,743
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APPLIED INDUSTRIAL TECHNOLOGIES INC
1.15% $4,656,896.64 17,552
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Krystal Biotech, Inc.
1.15% $4,622,636.40 17,895
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Perimeter Solutions, Inc.
1.13% $4,545,880.68 186,154
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APPLIED OPTOELECTRONICS, INC.
1.11% $4,473,288.38 52,882
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Protagonist Therapeutics, Inc
1.11% $4,457,576.80 42,292
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BADGER METER INC
1.09% $4,378,691.35 28,741
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Shake Shack Inc.
1.04% $4,195,689.75 47,425
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Primoris Services Corp
1.03% $4,147,158.72 28,993
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POWELL INDUSTRIES INC
1.02% $4,131,145.80 7,635
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COGNEX CORP
0.99% $3,992,978.94 81,506
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Fabrinet
0.96% $3,860,291.04 7,402
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LANDSTAR SYSTEM INC
0.95% $3,848,241.55 24,005
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NUVALENT INC-A
0.94% $3,787,474.05 36,969
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MATERION Corp
0.93% $3,762,491.15 26,011
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SELECTIVE INSURANCE GROUP INC
0.92% $3,722,381.25 49,375
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APPFOLIO INC
0.91% $3,675,469.98 23,289
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iRhythm Holdings, Inc.
0.87% $3,525,021.36 29,868
-
ITRON, INC.
0.86% $3,457,925.40 38,580
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