LMBCX Mutual Fund

LMBCX Mutual Fund

NAV$14.90
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Showing top 50 of 259 holdings · as of Mar 31, 2026
LMBCX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1
BE
Bloom Energy Corporation Com Cl AIndustrials · Electrical Equipment
1.57%
1.6%13,750$1.86MIndustrialsElectrical Equipment
2Nextpower Inc Class AIndustrials · Machinery
1.32%
2.9%13,046$1.57MIndustrialsMachinery
Share changes, sector and industry · Pro
3DebtInvesco Short-term Investments Trust, Treasury Portfolio, Institutional Class 0.0102% 2021-01-07
1.12%
4.0%1,336,109$1.34M
4
SSRM
Ssr Mining Inc
1.09%
5.1%43,905$1.29M
5
POWL
Powell Industries Inc
1.00%
6.1%2,200$1.19M
6
AGX
Argan Inc
0.99%
7.1%2,157$1.17M
7
ENSG
The Ensign Group Inc
0.94%
8.0%5,528$1.11M
8
PARR
Par Pacific Holdings Inc
0.94%
9.0%17,756$1.11M
9
CRDO
Credo Technology Group Holding Ltd Ordinary Shares
0.92%
9.9%11,593$1.09M
10
CRC
California Resources Corp
0.90%
10.8%15,478$1.07M
11
TALO
Talos Energy Inc
0.89%
11.7%67,113$1.06M
12
LUMN
Lumen Technologies Inc
0.88%
12.6%151,288$1.05M
13
FN
Fabrinet (Fn)
0.88%
13.4%2,003$1.04M
14
TPC
Tutor Perini Corp
0.87%
14.3%13,439$1.04M
15
IDCC
Interdigital Inc
0.87%
15.2%3,422$1.03M
16
PRIM
Primoris Services Corp.
0.86%
16.0%7,130$1.02M
17
JXN
Jackson Financial Inc USD
0.85%
16.9%9,508$1.01M
18
RMBS
Rambus Inc
0.82%
17.7%11,289$971.2K
19
MOG.A
Moog Inccommon Stock
0.81%
18.5%3,285$961.3K
20
UNFI
United Natural Foods Inc
0.74%
19.3%19,539$880.4K
21
BSIG
Brightsphere Investment Group Plc
0.73%
20.0%15,847$862.4K
22
ENS
Enersys
0.73%
20.7%4,970$863.4K
23
HL
Hecla Mining Co
0.72%
21.4%45,736$852.1K
24
APEI
American Public Education Inc
0.68%
22.1%14,118$803.0K
25
SENEA
Seneca Foods Corp
0.68%
22.8%5,329$805.3K
26
BELFB
Bel Fuse Inc., Class B
0.67%
23.5%4,052$802.2K
27
SKYW
Skywest Inc
0.66%
24.1%8,518$782.2K
28
KTOS
Kratos Defense Security Solutions Inc
0.66%
24.8%11,142$785.6K
29
SKYT
Skywater Technology Inc
0.65%
25.4%28,183$772.5K
30
TBPH
Theravance Biopharma Inc
0.65%
26.1%47,355$768.6K
31Constellium Se Class A
0.65%
26.7%31,659$778.2K
32
RDN
Radian Group Inc
0.64%
27.4%23,088$763.8K
33
PLAB
Photronics Inc
0.63%
28.0%18,532$748.9K
34
LIVN
Livanova Plc Ordinary Shares
0.63%
28.6%11,790$749.4K
35Pg Photonics Corp.
0.62%
29.3%9,708$743.1K
36Scorpio Tankers Inc.
0.62%
29.9%9,900$739.1K
37
AX
Axos Financial Inc_None_0
0.62%
30.5%8,682$738.8K
38
EAT
Brinker International, Inc.
0.62%
31.1%5,164$737.3K
39
KSS
Kohl's Corp.
0.62%
31.7%57,325$739.5K
40
DOCN
Digitalocean Holdings Inc
0.61%
32.4%8,457$725.4K
41
SANM
Sanmina Corp
0.61%
33.0%5,559$720.7K
42
VAL
Valaris Plc
0.60%
33.6%7,317$717.4K
43
ATRO
Astronics Corp
0.60%
34.2%10,714$714.9K
44
ARWR
Arrowhead Pharmaceuticals Inc
0.59%
34.8%11,168$700.2K
45
SEM
Select Medical Holdings
0.59%
35.3%42,907$699.0K
46
TCBI
Texas Capital Bancshares Inc
0.59%
35.9%7,364$698.7K
47
VLY
Valley National Bancorp
0.59%
36.5%57,597$707.3K
48Bank of Nt Butterfield & Son L
0.58%
37.1%13,135$689.3K
49Costamare Inc.
0.58%
37.7%40,662$687.2K
50
ENVA
Enova International Inc
0.58%
38.3%5,086$690.8K
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LMBCX Mutual Fund All Holdings

LMBCX holdings total 259 positions. The top 10 holdings account for 10.8% of the fund, led by Bloom Energy Corporation Com Cl A at 1.6%, Nextpower Inc Class A Common Stock at 1.3%, Invesco Short-term Investments Trust, Treasury Portfolio, Institutional Class 0.0102% 2021-01-07 at 1.1%.

LMBCX portfolio concentration is well-diversified, with the top 10 representing 10.8% of total assets. The largest sector exposure is Health Care at 17.5%.

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