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Columbia Select Small Cap Value Fund (SSCVX) is an MF managed by Columbia Threadneedle. Its largest position is MACOM Technology Solutions Holdings, Inc. (MTSI), representing 3.67% of fund assets.

Columbia Select Small Cap Value Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
SSCVX
Type:
MF
Manager:
Columbia Threadneedle
Total Assets:
—
Report Date:
Feb 28, 2026
Filing Date:
Apr 27, 2026
Showing 50 out of 58 holdings
Holding Weight Market Value Shares
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MACOM Technology Solutions Holdings, Inc.
3.67% $14,664,884.48 59,104
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VIAVI SOLUTIONS INC.
3.38% $13,509,285.55 454,705
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PORTLAND GENERAL ELECTRIC CO /OR/
3.16% $12,654,591.28 234,518
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ATI INC
3.10% $12,406,829.19 75,841
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POPULAR, INC.
2.84% $11,341,002.24 83,784
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OUTFRONT Media Inc.
2.80% $11,204,151.38 388,898
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REGAL REXNORD CORP
2.65% $10,580,301.42 47,879
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Axos Financial, Inc.
2.63% $10,532,655.12 121,316
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Atmus Filtration Technologies Inc.
2.61% $10,443,728.79 161,843
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LivaNova PLC
2.57% $10,257,121.00 145,285
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Atlantic Union Bankshares Corp
2.56% $10,251,722.50 276,625
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KRATOS DEFENSE & SECURITY SOLUTIONS, INC.
2.56% $10,238,873.44 118,808
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Knight-Swift Transportation Holdings Inc.
2.49% $9,975,022.20 158,535
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COLUMBIA BANKING SYSTEM, INC.
2.45% $9,803,101.85 344,573
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Stock Yards Bancorp, Inc.
2.34% $9,355,203.84 145,856
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Primoris Services Corp
2.26% $9,035,513.28 59,949
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KB HOME
2.20% $8,816,384.28 138,666
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KULICKE & SOFFA INDUSTRIES INC
2.17% $8,679,163.92 124,486
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Kontoor Brands, Inc.
2.16% $8,652,323.64 132,684
-
CNO Financial Group, Inc.
2.06% $8,224,695.96 196,716
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Primo Brands Corp
2.05% $8,198,593.20 361,490
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Zurn Elkay Water Solutions Corp
2.03% $8,114,486.60 159,170
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Sabra Health Care REIT, Inc.
2.00% $8,013,554.70 389,954
-
Texas Roadhouse, Inc.
1.98% $7,904,738.62 43,226
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PBF Energy Inc.
1.96% $7,819,433.20 219,647
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SEACOAST BANKING CORP OF FLORIDA
1.87% $7,489,028.00 240,650
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Lazard, Inc.
1.86% $7,420,388.80 146,648
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Chemours Co
1.81% $7,229,788.80 396,370
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OCEANFIRST FINANCIAL CORP
1.79% $7,140,273.84 395,364
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PATTERSON UTI ENERGY INC
1.75% $6,987,161.03 821,053
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VISTEON CORP
1.65% $6,584,966.10 68,830
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EXTREME NETWORKS INC
1.63% $6,535,747.86 467,507
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TENET HEALTHCARE CORP
1.60% $6,382,137.40 26,660
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RADIAN GROUP INC
1.53% $6,137,379.84 177,792
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MURPHY OIL CORP
1.45% $5,817,128.85 175,479
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Skyward Specialty Insurance Group, Inc.
1.44% $5,771,713.41 124,203
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O-I Glass, Inc. /DE/
1.38% $5,512,224.00 411,360
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Nomad Foods Ltd
1.33% $5,317,641.68 484,744
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FIRST INDUSTRIAL REALTY TRUST INC
1.29% $5,138,901.46 81,389
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HANOVER INSURANCE GROUP, INC.
1.27% $5,072,812.92 28,084
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Crane NXT, Co.
1.16% $4,637,336.99 96,031
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CYTOKINETICS INC
1.15% $4,615,915.14 74,187
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Gaming & Leisure Properties, Inc.
1.15% $4,587,024.35 93,785
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MINERALS TECHNOLOGIES INC
1.12% $4,459,935.48 63,154
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SM Energy Co
1.07% $4,284,323.64 185,228
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Syndax Pharmaceuticals Inc
1.07% $4,260,326.98 196,238
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LIGAND PHARMACEUTICALS INC
1.06% $4,236,496.53 21,363
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CONMED Corp
1.02% $4,087,146.00 88,851
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HNI CORP
0.92% $3,663,475.68 81,483
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Utz Brands, Inc.
0.88% $3,515,763.34 378,446
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