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U.S. Small Cap Equity Fund (RSCRX) is an MF managed by Russell Investments. Its largest position is RUSSELL INVESTMENTS TRUST COMPANY COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST-U.S. CASH MANAGEMENT FUND (null), representing 4.34% of fund assets.

U.S. Small Cap Equity Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
RSCRX
Type:
MF
Manager:
Russell Investments
Total Assets:
—
Report Date:
Apr 30, 2026
Filing Date:
Jun 22, 2026
Showing 50 out of 1190 holdings
Holding Weight Market Value Shares
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RUSSELL INVESTMENTS TRUST COMPANY COMMINGLED EMPLOYEE BENEFIT FUNDS TRUST-U.S. CASH MANAGEMENT FUND
4.34% $41,482,007.29 41,490,305
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LIGAND PHARMACEUTICALS INC
0.77% $7,346,300.65 32,017
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WERNER ENTERPRISES INC
0.71% $6,765,718.74 183,502
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Select Water Solutions, Inc.
0.68% $6,513,106.11 389,307
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ARGAN INC
0.61% $5,808,726.60 8,670
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PDF SOLUTIONS INC
0.58% $5,584,897.60 130,336
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MARTEN TRANSPORT LTD
0.55% $5,231,025.80 346,885
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KFORCE INC
0.47% $4,478,366.97 99,057
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PHIBRO ANIMAL HEALTH CORP
0.46% $4,441,114.98 83,511
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Solaris Energy Infrastructure, Inc.
0.46% $4,437,340.96 60,094
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Quanex Building Products CORP
0.46% $4,356,670.66 218,489
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BridgeBio Pharma, Inc.
0.45% $4,336,998.90 60,990
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STERLING INFRASTRUCTURE, INC.
0.45% $4,327,598.66 8,393
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SAIA INC
0.45% $4,270,971.12 9,516
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STEPAN CO
0.43% $4,127,525.03 82,501
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PEGASYSTEMS INC
0.42% $4,025,763.20 110,144
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MILLERKNOLL, INC.
0.42% $4,003,920.00 249,000
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NPK International Inc.
0.42% $3,976,565.25 243,215
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Perella Weinberg Partners
0.41% $3,899,955.48 171,502
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MESA LABORATORIES INC /CO/
0.40% $3,831,400.00 38,314
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COVENANT LOGISTICS GROUP, INC.
0.40% $3,808,699.02 109,257
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DELUXE CORP
0.38% $3,614,988.65 116,051
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PTC THERAPEUTICS, INC.
0.37% $3,537,051.96 54,366
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Triumph Financial, Inc.
0.37% $3,503,928.96 51,772
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SITIME Corp
0.36% $3,435,298.65 6,111
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Lumentum Holdings Inc.
0.35% $3,352,118.80 3,715
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MADRIGAL PHARMACEUTICALS, INC.
0.35% $3,335,095.94 6,446
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National Bank Holdings Corp
0.35% $3,325,049.00 77,870
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ONTO INNOVATION INC.
0.35% $3,307,622.60 11,210
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VISHAY INTERTECHNOLOGY INC
0.34% $3,223,404.99 111,267
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Excelerate Energy, Inc.
0.34% $3,222,037.80 92,322
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Silicon Motion Technology CORP
0.33% $3,183,905.34 14,553
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ANI PHARMACEUTICALS INC
0.33% $3,165,446.90 39,842
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GERMAN AMERICAN BANCORP, INC.
0.33% $3,144,325.35 73,005
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LEMAITRE VASCULAR INC
0.33% $3,122,826.50 28,454
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Ultra Clean Holdings, Inc.
0.32% $3,051,366.75 39,045
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NETSTREIT Corp.
0.32% $3,045,799.90 148,070
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Fabrinet
0.32% $3,040,758.03 4,449
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DigitalOcean Holdings, Inc.
0.31% $2,984,412.07 30,949
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Metropolitan Bank Holding Corp.
0.31% $2,956,456.05 33,463
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SharkNinja, Inc.
0.31% $2,940,931.68 25,456
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NAPCO SECURITY TECHNOLOGIES, INC
0.30% $2,885,036.00 61,712
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IRADIMED CORP
0.30% $2,857,903.44 34,251
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COMMERCIAL METALS Co
0.30% $2,855,219.84 41,404
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Planet Labs PBC
0.30% $2,842,623.30 76,890
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NVE CORP /NEW/
0.29% $2,808,899.12 33,928
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ARCBEST CORP /TX/
0.29% $2,806,540.00 22,000
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BRUNSWICK CORP
0.29% $2,790,363.45 35,121
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Cogent Biosciences, Inc.
0.29% $2,779,415.61 77,659
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i3 Verticals, Inc.
0.29% $2,773,311.75 122,985
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