DCMDX Mutual Fund

DCMDX Mutual Fund

NAV$16.11
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Showing top 50 of 68 holdings · as of Jan 31, 2026
DCMDX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1
FIGXX
Fidelity Inv Mmkt Govt-I 12/31/2031
12.09%
12.1%-$32.79M--
2
CMA
Comerica Inc.Financials · Banks
4.87%
17.0%148,965$13.21MFinancialsBanks
Share changes, sector and industry · Pro
3
NVA
Nuvista Energy Ltd
4.24%
21.2%840,000$11.50M
4
NWE
Northwestern Ene
4.08%
25.3%163,051$11.06M
5—Janus Henderson Group Plc Ordinary Shares
4.03%
29.3%227,036$10.93M
6
TXNM
Txnm Energy Inc
3.94%
33.3%181,652$10.70M
7
JDEP
Jde Peets Nv
3.87%
37.1%280,057$10.50M
8
WBD
Warner Bros. Discovery, Inc
3.78%
40.9%372,805$10.27M
9
REVG
Rev Group, Inc.
3.57%
44.5%151,656$9.69M
10
HOLX
Hologic Inc Sedol 2433530
3.46%
47.9%125,394$9.40M
11
AL
Air Lease Corporation Class A
3.44%
51.4%144,219$9.32M
12
FOX
Fox Corp
3.44%
54.8%142,543$9.35M
13
CYBR
CyberArk Software Ltd. Shs
3.14%
57.9%19,749$8.51M
14
NGD
New Gold Inc
3.14%
61.1%850,148$8.53M
15
KVUE
Kenvue Inc
3.13%
64.2%487,729$8.49M
16
EXAS
Exact Sciences
2.99%
67.2%79,253$8.11M
17
GTLS
Chart Industries Inc
2.51%
69.7%32,785$6.80M
18
CDAY
Ceridian Hcm Holding Inc
2.49%
72.2%97,407$6.75M
19—Liberty Broadbd C
2.41%
74.6%136,069$6.55M
20
EA
Electronic Arts, Inc.
2.00%
76.6%26,621$5.43M
21
NWSA
News Corp A
1.67%
78.3%167,755$4.53M
22
WTRG
Essential Utilities Inc -
1.62%
79.9%113,044$4.38M
23
RNA
Avidity Biosciences Inc
1.50%
81.4%56,181$4.08M
24
CFLT
Confluent, Inc.
1.50%
82.9%133,546$4.08M
25
NSC
Norfolk Southern Corp
1.49%
84.4%13,890$4.05M
26
LDI
Loandepot Inc.
1.26%
85.7%144,526$3.41M
27
LBTA
Altaba Inc Escrow
1.18%
86.8%2,468,782$3.21M
28—Resolute Forest -Cvr
0.29%
87.1%532,221$798.3K
29—Currency Contract - CAD
0.04%
87.2%3,606,880$102.4K
30
NIHD
Esc Nii Holdings Inc Be
0.03%
87.2%205,893$72.1K
31—Currency Contract - Usd
0.03%
87.2%1,318,119,901$74.6K
32—Abiomed Inc -Cvr
0.02%
87.3%34,956$55.9K
33
AAL
American Airlines Group Inc.
0.01%
87.3%1,025$13.6K
34—Currency Contract - Usd
0.01%
87.3%22,673,865$15.4K
35—Currency Contract - Usd
0.01%
87.3%40,898,455$33.7K
36—Currency Contract - Jpy
0.01%
87.3%4,316,927$30.7K
37
NVO
Novo Nordisk A/S-Cvr
0.01%
87.3%47,455$23.7K
38—Pershing Sparc Holdings Rts
0.01%
87.3%117,447$35.2K
39
CPGX
Columbia Pipeline Group Inc
0.00%
87.3%84,102-
40—Currency Contract - Usd
0.00%
87.3%86,688,065$-3003
41—Currency Contract - Jpy
0.00%
87.3%191,707$460
42—Currency Contract - Jpy
0.00%
87.3%2,328,849$12.1K
43—Currency Contract - Jpy
0.00%
87.3%22,715$-94
44—Currency Contract - Usd
0.00%
87.3%159,786$-3195
45—Currency Contract - Usd
0.00%
87.3%574,722$-8510
46—Currency Contract - Usd
0.00%
87.3%791,802$-13070
47—Mount Vernon Liquid Assets Portfolio
0.00%
87.3%--
48—Currency Contract - Jpy
0.00%
87.3%2,173,934$10.0K
49—Currency Contract - Usd
-0.01%
87.3%931,671$-21362
50—Currency Contract - Usd
-0.01%
87.3%931,329$-21081
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DCMDX Mutual Fund All Holdings

DCMDX holdings total 69 positions. The top 10 holdings account for 47.9% of the fund, led by Fidelity Inv Mmkt Govt-I 12/31/2031 at 12.1%, Comerica Inc. at 4.9%, Nuvista Energy Ltd at 4.2%.

DCMDX portfolio concentration is moderate, with the top 10 representing 47.9% of total assets. The largest sector exposure is Financials at 8.1%.

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