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WCM International Small Cap Growth Fund (WCMSX) is an MF managed by Independent / Boutique. Its largest position is 5N PLUS INC (VNP), representing 3.05% of fund assets.

WCM International Small Cap Growth Fund Portfolio Holdings

Source: SEC Form N-PORT institutional portfolio disclosures

Ticker:
WCMSX
Type:
MF
Manager:
Independent / Boutique
Total Assets:
—
Report Date:
Mar 31, 2026
Filing Date:
May 22, 2026
Showing 50 out of 95 holdings
Holding Weight Market Value Shares
-
5N PLUS INC
3.05% $8,810,096.18 386,860
-
LOTTOMATICA GROUP SPA
2.90% $8,377,349.11 290,138
-
NORDEX SE
2.33% $6,740,074.30 124,378
-
AEM HOLDINGS LTD
2.26% $6,528,419.76 1,979,200
-
BABCOCK INTERNATIONAL GROUP PL
1.94% $5,599,523.57 360,679
-
AIXTRON SE
1.92% $5,550,312.87 142,247
-
DEFINITY FINANCIAL CORP
1.68% $4,861,023.61 103,255
-
SECURE WASTE INFRASTRUCTURE CORP
1.67% $4,813,992.84 306,768
-
EMBRAER SA
1.59% $4,597,776.98 309,500
-
KYOTO FINANCIAL GROUP INC.
1.57% $4,539,852.96 172,300
-
PRIO SA/BRAZIL
1.56% $4,513,589.60 353,118
-
GRENERGY RENOVABLES SA
1.55% $4,475,439.05 33,628
-
EXAIL TECHNOLOGIES SA
1.53% $4,422,886.92 31,937
-
Vista Energy, S.A.B. de C.V.
1.51% $4,362,316.94 57,802
-
CSG NV
1.46% $4,230,091.75 156,807
-
HARBIN ELECTRIC CO LTD
1.42% $4,112,996.67 1,522,889
-
SUPERLOOP LTD
1.40% $4,049,954.10 1,785,987
-
CRANSWICK PLC
1.35% $3,898,097.95 56,310
-
AVIO SPA
1.34% $3,873,090.16 99,768
-
MEIKO ELECTRONICS CO LTD
1.31% $3,784,146.90 23,500
-
LYNAS RARE EARTHS LIMITED
1.29% $3,730,586.67 274,767
-
PayPay Corp
1.29% $3,715,656.78 174,117
-
APPLIED MATERIALS INC /DE
1.27% $3,668,190.83 47,543
-
CEMENTIR HOLDING NV
1.25% $3,625,495.11 202,819
-
SPROTT INC.
1.24% $3,596,221.70 25,200
-
UNIVERSAL MICROWAVE TECHNOLOGY
1.24% $3,574,492.22 77,000
-
SINFONIA TECHNOLOGY CO LTD
1.21% $3,506,806.31 50,900
-
ATTENDO AB
1.21% $3,489,888.33 324,047
-
PROTECTOR FORSIKRING ASA
1.19% $3,448,407.55 70,958
-
FEDERAL BANK LTD.
1.17% $3,383,569.83 1,224,839
-
SHIBAURA MECHATRONICS CORP
1.17% $3,370,069.27 126,700
-
FUSO CHEMICAL CO LTD
1.16% $3,354,881.29 188,000
-
ST JAMES'S PLACE PLC
1.16% $3,349,509.09 212,277
-
MICRONICS JAPAN CO LTD
1.15% $3,332,004.54 53,500
-
RAKUTEN BANK LTD.
1.15% $3,330,588.22 91,100
-
77 BANK LTD/THE
1.15% $3,315,353.49 167,400
-
ALZCHEM GROUP AG
1.14% $3,307,654.03 16,527
-
BALTIC CLASSIFIEDS GROUP PLC
1.14% $3,303,153.63 1,363,679
-
MITSUI KINZOKU CO LTD.
1.14% $3,281,547.66 17,300
-
SOL SPA
1.11% $3,214,379.68 47,217
-
SHAWBROOK GROUP PLC
1.10% $3,187,462.61 752,540
-
Sportradar Group AG
1.09% $3,153,414.24 188,376
-
JENTECH PRECISION INDUSTRIAL C
1.09% $3,143,467.55 25,000
-
COPASA
1.08% $3,124,548.74 280,500
-
APR CORP/KOREA
1.08% $3,116,793.50 13,660
-
ELMOS SEMICONDUCTOR SE
1.05% $3,038,633.61 17,635
-
MONTANA AEROSPACE AG
1.05% $3,025,089.81 92,158
-
BNK FINANCIAL GROUP INC.
1.04% $3,011,284.74 248,297
-
TOYO TIRE CORP
1.03% $2,986,537.33 127,300
-
JAPAN STEEL WORKS LTD/THE
1.02% $2,944,783.12 53,460
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