AFMCX Mutual Fund

AFMCX Mutual Fund

NAV$19.56
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Showing top 50 of 279 holdings · as of Jun 30, 2026
AFMCX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1
DCO
Ducommun IncIndustrials · Aerospace & Defense
2.78%
2.8%17,745$3.29MIndustrialsAerospace & Defense
2
FGUXX
First American Government Obligations Fund
2.25%
5.0%2,662,140$2.66M--
Sector and industry · Pro
3—Select Energy Services Inc
1.82%
6.8%107,627$2.15M
4
IIIN
Insteel Inds
1.24%
8.1%48,484$1.46M
5
VPG
Vishay Precision Group Inc
1.18%
9.3%9,255$1.39M
6
MGNI
Magnite
1.16%
10.4%72,453$1.38M
7—Cme E-Mini Russell 2000 Index Future
1.16%
11.6%9$1.37M
8
MMMB
Mamamancini's Holdings Inc
1.14%
12.7%75,629$1.35M
9
MLAB
Mesa Labs Inc
1.09%
13.8%12,920$1.29M
10
CYRX
Cryoport Inc
1.09%
14.9%82,167$1.29M
11
ENVA
Enova International Inc. (usd)
1.06%
16.0%5,205$1.25M
12
KRUS
Kura Sushi Usa, Inc. - Class A
1.05%
17.0%21,524$1.24M
13
IRMD
Iradimed Corp
1.04%
18.1%12,792$1.22M
14
PESI
Perma-fix Environmental Services
1.01%
19.1%83,337$1.19M
15
CMT
Core Molding Technologies Inc
1.01%
20.1%50,387$1.19M
16—Adtran Inc
0.98%
21.1%83,640$1.16M
17
NPKI
Npk International Inc
0.94%
22.0%69,979$1.11M
18
MYFW
First Western Financial Inc
0.93%
22.9%34,051$1.09M
19
ARHS
Arhaus Inc
0.88%
23.8%122,861$1.03M
20
COHU
Cohu Inc
0.87%
24.7%13,935$1.03M
21
CUBI
Customers Bancorp Inc
0.84%
25.5%12,470$986.4K
22
TRNS
Transcat Inc
0.84%
26.4%10,647$987.7K
23
MYE
Myers Industries Inc
0.83%
27.2%27,652$976.4K
24
ALGT
Allegiant Travel Co
0.82%
28.0%8,276$973.3K
25
BBSI
Barrett Business Services Inc
0.82%
28.8%27,205$966.3K
26
INFU
Infusystem Holdings Inc
0.78%
29.6%95,254$919.2K
27
WERN
Werner Enterprises Inc
0.76%
30.4%20,448$891.7K
28
PKE
Park Aerospace Corp
0.75%
31.1%23,153$883.5K
29
WSTG
Wayside Technology Group Inc
0.75%
31.9%38,230$887.3K
30
BLFS
Biolife Solutions Com New
0.75%
32.6%31,345$885.2K
31
ALNT
Allient Inc
0.74%
33.4%8,503$875.2K
32
LOCO
El Pollo Loco Holdings Inc
0.74%
34.1%51,390$871.6K
33
MASS
908 Devices Inc
0.74%
34.8%100,953$878.3K
34
INTT
Intest Corp
0.73%
35.6%47,172$857.1K
35
FIP
FTAI Infrastructure LLC
0.72%
36.3%182,292$845.8K
36
GHM
Graham Corp
0.63%
36.9%5,997$742.4K
37
AVNW
Aviat Networks Inc Com New
0.63%
37.6%33,400$741.5K
38
ELMD
Electromed Inc
0.62%
38.2%17,376$735.0K
39
ATEN
A10 Networks Inc
0.61%
38.8%19,217$717.9K
40
HCSG
Healthcare Services Group Inc
0.61%
39.4%29,453$723.4K
41
TILE
Interface Inc
0.61%
40.0%20,071$719.3K
42
MBUU
Malibu Boats Inc Com Cl A
0.61%
40.6%26,284$721.0K
43
SOI
Solaris Oilfield Infrastructure Inc Com Cl A
0.59%
41.2%8,685$698.8K
44
KOPN
Kopin Corp
0.58%
41.8%152,670$684.0K
45
PAL
Proficient Auto Logistics Inc
0.58%
42.4%101,207$689.2K
46
UIHC
United Insurance Holdings Corp Common Stock Usd
0.58%
42.9%61,910$687.2K
47—Xeris Pharmaceuticals Inc
0.57%
43.5%84,471$669.0K
48
NVEC
Nve Corp
0.55%
44.1%6,157$643.7K
49
RM
Regional Management Corp
0.55%
44.6%15,675$645.8K
50
BJRI
Bj's Restaurants Inc
0.55%
45.2%10,624$645.2K
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Not reported for this fund: share changes.
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AFMCX Mutual Fund All Holdings

AFMCX holdings total 279 positions. The top 10 holdings account for 14.9% of the fund, led by Ducommun Incorporated Com at 2.8%, First American Government Obligations Fund at 2.3%, Select Energy Services Inc at 1.8%.

AFMCX portfolio concentration is well-diversified, with the top 10 representing 14.9% of total assets. The largest sector exposure is Industrials at 25.4%.

AFMCX sectors provide a detailed breakdown. AFMCX overlap shows how holdings compare to other funds in your portfolio.