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T. Rowe Price New Horizons Fund, Inc. (PRJIX) is an MF managed by T. Rowe Price. Its largest position is T ROWE PRICE GOVERNMENT RESERVE INVESTMENT FUND (null), representing 5.48% of fund assets.

T. Rowe Price New Horizons Fund, Inc. Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
PRJIX
Type:
MF
Manager:
T. Rowe Price
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 28, 2026
Showing 50 out of 392 holdings
Holding Weight Market Value Shares
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T ROWE PRICE GOVERNMENT RESERVE INVESTMENT FUND
5.48% $700,233,535.91 700,233,536
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SiteOne Landscape Supply, Inc.
1.76% $224,639,763.75 1,687,625
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LATTICE SEMICONDUCTOR CORP
1.68% $214,047,688.68 2,307,543
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Dutch Bros Inc.
1.47% $187,462,415.98 3,700,403
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Natera, Inc.
1.43% $182,670,066.04 913,396
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TELEDYNE TECHNOLOGIES INC
1.39% $177,370,176.69 293,169
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TechnipFMC plc
1.32% $169,118,940.70 2,446,390
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Fabrinet
1.31% $167,539,343.04 321,252
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Kymera Therapeutics, Inc.
1.27% $162,163,964.20 1,946,980
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ARGENX SE
1.24% $157,940,660.75 216,283
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URANIUM ENERGY CORP
1.19% $152,255,119.50 11,278,157
-
MODINE MANUFACTURING CO
1.18% $150,543,235.96 694,676
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REPLIGEN CORP
1.11% $141,677,489.62 1,202,491
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Guardant Health, Inc.
1.10% $140,114,482.71 1,516,883
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RBC Bearings INC
1.09% $139,240,760.64 256,372
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Permian Resources Corp
1.07% $136,015,566.44 6,379,717
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Installed Building Products, Inc.
1.00% $127,996,389.80 482,732
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Madison Square Garden Sports Corp.
0.90% $115,521,444.80 359,432
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GRS - SECURITY LENDING COLLATERAL
0.87% $110,813,602.75 110,813,603
-
SITIME Corp
0.76% $96,605,791.55 279,733
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INSMED Inc
0.76% $96,501,000.96 590,148
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FirstCash Holdings, Inc.
0.75% $95,332,920.00 507,090
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HUBBELL INC
0.74% $95,066,643.54 193,721
-
OLD DOMINION FREIGHT LINE, INC.
0.73% $93,770,896.80 479,892
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VIAVI SOLUTIONS INC.
0.73% $92,882,549.76 2,790,942
-
APi Group Corp
0.72% $91,785,539.32 2,265,191
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Scholar Rock Holding Corp
0.72% $91,599,090.60 1,863,285
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VSE CORP
0.70% $89,986,831.20 487,998
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WEATHERFORD INTERNATIONAL PL
0.70% $89,896,965.88 950,486
-
BrightSpring Health Services, Inc.
0.70% $89,586,331.92 2,102,472
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ENSIGN GROUP, INC
0.70% $89,367,063.50 443,509
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APPLIED OPTOELECTRONICS, INC.
0.69% $87,488,983.89 1,034,271
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Ingersoll Rand Inc.
0.67% $85,288,941.80 1,064,515
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DATABRICKS SER F CVT PFD STCK PP
0.65% $82,782,050.00 435,695
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DigitalOcean Holdings, Inc.
0.64% $81,392,353.00 948,850
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Atmus Filtration Technologies Inc.
0.64% $81,352,261.55 1,433,015
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Rocket Companies, Inc.
0.62% $79,353,604.50 5,568,674
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Zurn Elkay Water Solutions Corp
0.62% $78,602,188.32 1,752,948
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ESAB Corp
0.61% $77,552,347.86 802,321
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BIO-TECHNE Corp
0.57% $73,266,534.12 1,401,962
-
Bloom Energy Corp
0.56% $71,697,785.26 529,174
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WATTS WATER TECHNOLOGIES INC
0.56% $71,126,855.80 245,020
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ENTEGRIS INC
0.55% $70,303,786.68 599,657
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Leonardo DRS, Inc.
0.55% $70,102,305.00 1,574,625
-
CF Industries Holdings, Inc.
0.54% $69,074,880.00 532,000
-
Axsome Therapeutics, Inc.
0.54% $68,939,201.52 407,876
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Ascendis Pharma A/S
0.53% $68,000,514.08 297,296
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Nextpower Inc.
0.53% $67,431,691.85 559,367
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CAVA GROUP, INC.
0.53% $67,259,451.00 831,390
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TORO CO
0.51% $65,756,531.20 703,730
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