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RBC SMID Cap Growth Fund (TMCIX) is an MF managed by Independent / Boutique. Its largest position is TechnipFMC plc (FTI), representing 3.46% of fund assets.

RBC SMID Cap Growth Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
TMCIX
Type:
MF
Manager:
Independent / Boutique
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 21, 2026
Showing 50 out of 77 holdings
Holding Weight Market Value Shares
-
TechnipFMC plc
3.46% $3,822,197.70 55,290
-
Woodward, Inc.
2.74% $3,027,645.28 8,459
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Burlington Stores, Inc.
2.70% $2,986,988.40 9,180
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RBC FUNDS TRUST
2.67% $2,954,891.55 2,954,892
-
RBC Bearings INC
2.63% $2,911,123.20 5,360
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ONTO INNOVATION INC.
2.61% $2,879,182.80 14,040
-
CACI INTERNATIONAL INC /DE/
2.22% $2,458,292.40 4,520
-
Ollie's Bargain Outlet Holdings, Inc.
2.15% $2,372,791.20 25,780
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SILICON LABORATORIES INC.
1.95% $2,152,271.00 10,340
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STIFEL FINANCIAL CORP
1.91% $2,111,155.20 28,560
-
MERCURY SYSTEMS INC
1.88% $2,076,039.34 28,474
-
Enpro Inc.
1.85% $2,045,304.00 8,160
-
MERIT MEDICAL SYSTEMS INC
1.84% $2,033,986.44 29,508
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FirstCash Holdings, Inc.
1.73% $1,907,448.00 10,146
-
Performance Food Group Co
1.69% $1,865,760.46 21,781
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DYCOM INDUSTRIES INC
1.60% $1,765,252.20 5,210
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HAEMONETICS CORP
1.58% $1,745,863.72 30,977
-
GXO Logistics, Inc.
1.58% $1,741,641.50 33,590
-
NEXSTAR MEDIA GROUP, INC.
1.56% $1,724,575.71 9,537
-
TETRA TECH INC
1.53% $1,689,430.80 56,090
-
JBT MAREL Corp
1.50% $1,655,916.50 12,950
-
Integer Holdings Corp
1.49% $1,646,480.00 18,710
-
Medpace Holdings, Inc.
1.46% $1,608,636.50 3,350
-
APPLIED INDUSTRIAL TECHNOLOGIES INC
1.46% $1,608,635.16 6,063
-
ExlService Holdings, Inc.
1.46% $1,607,912.25 52,805
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REPLIGEN CORP
1.45% $1,603,530.20 13,610
-
RadNet, Inc.
1.45% $1,600,689.60 28,640
-
Vericel Corp
1.42% $1,564,105.40 48,620
-
Installed Building Products, Inc.
1.39% $1,531,506.40 5,776
-
Alphatec Holdings, Inc.
1.34% $1,478,483.20 135,890
-
LITTELFUSE INC /DE
1.29% $1,424,591.30 4,198
-
BIO-TECHNE Corp
1.25% $1,383,844.80 26,480
-
WEX Inc.
1.23% $1,360,984.72 8,893
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DESCARTES SYSTEMS GROUP INC
1.21% $1,341,034.40 18,740
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Texas Roadhouse, Inc.
1.20% $1,327,725.60 8,040
-
LAMAR ADVERTISING CO/NEW
1.20% $1,322,837.04 10,444
-
EPLUS INC
1.18% $1,303,932.00 17,328
-
Life Time Group Holdings, Inc.
1.18% $1,303,626.60 48,390
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WINTRUST FINANCIAL CORP
1.13% $1,244,902.40 8,960
-
HAWKINS INC
1.11% $1,228,800.00 8,000
-
AAR CORP
1.08% $1,192,019.40 10,890
-
Planet Fitness, Inc.
1.07% $1,185,617.20 15,940
-
JACK HENRY & ASSOCIATES INC
1.07% $1,180,874.88 7,472
-
CAVA GROUP, INC.
1.05% $1,158,488.00 14,320
-
APTARGROUP, INC.
1.04% $1,147,412.10 9,105
-
MYR GROUP INC.
1.03% $1,143,396.00 4,050
-
HEALTHEQUITY, INC.
1.03% $1,140,229.08 13,644
-
BADGER METER INC
1.02% $1,126,323.55 7,393
-
CLEARWATER ANALYTICS HOLDINGS INC
1.02% $1,124,321.00 47,540
-
OSI SYSTEMS INC
0.99% $1,099,211.40 4,140
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