CSSCX Mutual Fund

NAV$18.60
Showing top 50 of 234 holdings · as of Jan 31, 2026
CSSCX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1
JBTM
Jbt MarelIndustrials · Machinery
1.29%
1.3%166,440$26.18MIndustrialsMachinery
2
MOG.A
Moog Inccommon StockIndustrials · Aerospace & Defense
1.27%
2.6%84,632$25.84MIndustrialsAerospace & Defense
Share changes, sector and industry · Pro
3
NFG
National Fuel Gas Co
1.27%
3.8%308,620$25.85M
4Universal Forest Products
1.19%
5.0%234,475$24.22M
5Meritage Corp
1.16%
6.2%338,270$23.51M
6
KEX
Kirby Corp
1.04%
7.2%178,851$21.04M
7Essent Group Ltd.
1.04%
8.3%337,490$21.23M
8
CWK
Cushman & Wakefield Ltd.
1.03%
9.3%1,271,107$20.90M
9
LFUS
Littelfuse Inc
1.02%
10.3%64,130$20.76M
10
KNX
Knight-Swift Transportation Holdings Inc
1.00%
11.3%369,590$20.36M
11
BKU
Bankunited Inc
0.95%
12.3%407,926$19.36M
12
KRG
Kite Realty Group Trust Reit Usd.01
0.95%
13.2%823,900$19.35M
13
VSH
Vishay Intertechnology, Inc.
0.90%
14.1%910,190$18.34M
14Gates Indl Corp Plc
0.89%
15.0%782,660$18.02M
15Scorpio Tankers Inc.
0.89%
15.9%283,690$18.05M
16
PACS
Pacs Group Inc
0.88%
16.8%528,918$17.86M
17
BANC
Banc Of California Inc
0.87%
17.6%883,510$17.65M
18
VNT
Vontier Corp (Information Technology)
0.86%
18.5%464,670$17.43M
19
COLD
Americold Realty Trust
0.83%
19.3%1,362,944$16.91M
20Fg 7.3
0.83%
20.2%573,910$16.92M
21
AAP
Advance Auto Parts Inc.
0.82%
21.0%345,909$16.61M
22
OFC
Corporate Office Properties Trust
0.82%
21.8%538,530$16.59M
23
KFY
Korn Ferry
0.78%
22.6%227,425$15.80M
24
PII
Polaris Inc
0.78%
23.4%248,428$15.86M
25
ANDE
Andersons Inc
0.76%
24.1%250,726$15.54M
26Torex Gold Resources, Inc.
0.76%
24.9%322,562$15.53M
27
ARCB
Arcbest Corp
0.75%
25.6%168,920$15.24M
28
NMRK
Newmark Group Inc
0.75%
26.4%852,242$15.20M
29
PBF
-
0.74%
27.1%449,800$15.05M
30Washingtonfederalinc.
0.74%
27.9%458,899$14.97M
31
EYE
National Vision Holdings. In
0.73%
28.6%560,432$14.77M
32
HIW
Highwoods Properties Inc
0.71%
29.3%561,550$14.52M
33Minerals Technologies Inc
0.71%
30.0%219,740$14.45M
34
ASGN
Asgn Inc (fka On Assignment Inc) Tl-b3
0.71%
30.7%276,129$14.38M
35
TFX
Teleflex Inc.
0.70%
31.4%136,640$14.26M
36Visteon Corp Common Stock 01/00/1900
0.70%
32.1%157,532$14.31M
37Werner Finco Lp/ Werner Finco Inc
0.70%
32.8%417,120$14.29M
38
KNTK
Kinetik Holdings Inc
0.69%
33.5%343,026$14.03M
39
PFSI
Pennymac Financial Services, Inc
0.69%
34.2%139,570$13.95M
40
SNEX
Stonex Group Inc
0.68%
34.9%123,257$13.84M
41
HTH
Hilltop Holdings Inc
0.67%
35.6%364,458$13.65M
42
MAC
Macerich Co.
0.67%
36.2%723,800$13.70M
43Western Union Co Sedol B1f76f9
0.67%
36.9%1,461,790$13.70M
44
ARR
Armour Resid
0.66%
37.6%770,590$13.41M
45
ALK
Alaska Air Group Inc.
0.65%
38.2%258,300$13.13M
46
KRC
Kilroy Realty Corp
0.65%
38.9%383,980$13.24M
47Rlj Lodging Trust
0.65%
39.5%1,788,290$13.29M
48
CCS
Century Communities Inc
0.64%
40.1%205,929$12.97M
49
EEFT
Euronet Worldwide, Inc.
0.64%
40.8%179,396$13.00M
50
HNI
Hni Corp
0.64%
41.4%270,522$12.93M
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CSSCX Mutual Fund All Holdings

CSSCX holdings total 234 positions. The top 10 holdings account for 11.3% of the fund, led by Jbt Marel at 1.3%, Moog Inccommon Stock at 1.3%, National Fuel Gas Co at 1.3%.

CSSCX portfolio concentration is well-diversified, with the top 10 representing 11.3% of total assets. The largest sector exposure is Industrials at 15.8%.

CSSCX sector allocation provides a detailed breakdown. CSSCX overlap tool shows how holdings compare to other funds in your portfolio.