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M3Sixty Small Cap Growth Fund (MCSCX) is an MF managed by Independent / Boutique. Its largest position is ENSIGN GROUP, INC (ENSG), representing 2.90% of fund assets.

M3Sixty Small Cap Growth Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
MCSCX
Type:
MF
Manager:
Independent / Boutique
Total Assets:
—
Report Date:
Feb 28, 2026
Filing Date:
Apr 24, 2026
Showing 50 out of 91 holdings
Holding Weight Market Value Shares
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ENSIGN GROUP, INC
2.90% $287,416.14 1,342
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STERLING INFRASTRUCTURE, INC.
2.59% $257,306.13 601
-
RBC Bearings INC
2.29% $227,488.40 395
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ONTO INNOVATION INC.
2.15% $213,299.32 988
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DIODES INC /DEL/
1.84% $182,447.02 2,674
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Pacira BioSciences, Inc.
1.77% $175,104.72 7,992
-
MODINE MANUFACTURING CO
1.68% $167,028.75 735
-
GLACIER BANCORP, INC.
1.63% $161,489.50 3,550
-
Addus HomeCare Corp
1.59% $157,986.78 1,526
-
LEMAITRE VASCULAR INC
1.57% $156,103.74 1,443
-
A10 Networks, Inc.
1.57% $155,370.42 8,067
-
MACOM Technology Solutions Holdings, Inc.
1.57% $155,323.12 626
-
LANDSTAR SYSTEM INC
1.49% $147,795.65 907
-
KULICKE & SOFFA INDUSTRIES INC
1.49% $147,527.52 2,116
-
Century Communities, Inc.
1.45% $143,468.82 2,134
-
IRADIMED CORP
1.43% $141,421.98 1,366
-
OSI SYSTEMS INC
1.41% $139,748.00 490
-
Ultra Clean Holdings, Inc.
1.39% $138,229.04 2,278
-
GLOBUS MEDICAL INC
1.38% $136,698.72 1,432
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BADGER METER INC
1.31% $129,565.50 850
-
U S PHYSICAL THERAPY INC /NV
1.28% $126,762.88 1,528
-
Innovex International, Inc.
1.27% $125,900.30 4,778
-
ALBANY INTERNATIONAL CORP /DE/
1.26% $125,158.15 2,171
-
Select Water Solutions, Inc.
1.25% $123,973.23 9,069
-
SiteOne Landscape Supply, Inc.
1.24% $123,171.18 862
-
LITHIA MOTORS INC
1.23% $121,617.30 435
-
Dorman Products, Inc.
1.21% $119,863.62 1,017
-
Cactus, Inc.
1.21% $119,772.00 2,218
-
Fabrinet
1.20% $118,947.34 218
-
UFP INDUSTRIES INC
1.20% $118,758.14 1,154
-
ACI WORLDWIDE, INC.
1.20% $118,603.52 2,989
-
EPLUS INC
1.18% $116,957.00 1,450
-
CATALYST PHARMACEUTICALS INC
1.17% $116,484.76 5,047
-
UFP TECHNOLOGIES INC
1.17% $115,608.42 549
-
CRA INTERNATIONAL, INC.
1.12% $111,020.38 643
-
Amphastar Pharmaceuticals, Inc.
1.10% $109,181.31 5,397
-
Evercore Inc.
1.10% $108,711.68 352
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Krystal Biotech, Inc.
1.09% $108,050.88 392
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Ollie's Bargain Outlet Holdings, Inc.
1.07% $106,564.50 995
-
Credo Technology Group Holding Ltd
1.07% $105,870.61 943
-
ExlService Holdings, Inc.
1.06% $105,562.50 3,378
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HEALTHCARE SERVICES GROUP INC
1.02% $101,295.81 4,653
-
YETI Holdings, Inc.
1.00% $98,872.02 2,262
-
FIRST FINANCIAL BANKSHARES INC
1.00% $98,821.35 3,195
-
SUPERNUS PHARMACEUTICALS, INC.
0.99% $98,678.19 1,803
-
EPAM Systems, Inc.
0.99% $98,418.00 698
-
INSTEEL INDUSTRIES INC
0.99% $97,860.00 2,625
-
PDF SOLUTIONS INC
0.98% $97,624.20 2,890
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EXPONENT INC
0.98% $97,452.42 1,339
-
Pediatrix Medical Group, Inc.
0.97% $96,411.45 4,857
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