MCFCX Mutual Fund

MCFCX Mutual Fund

NAV$13.67
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Showing top 50 of 50 holdings · as of Apr 30, 2026
MCFCX holdings, by weight
#TickerNameWeightCumulativeMkt valueSectorIndustry
1Avnet Inc 144A 1.75% Sep 01, 2030
3.47%
3.5%$13.10M--
2
VSH
Vishay Intertechnology, Inc., Convertible 2.25% 2030-09-15Info Tech · Semiconductors
3.23%
6.7%$12.19MInfo TechSemiconductors
Sector and industry · Pro
3
EEFT
Euronet Worldwide Inc. 144A 0.63% Oct 01, 2030
3.00%
9.7%$11.30M
4Nomura America Finance 0 2027-02-24
2.99%
12.7%$11.27M
5
AKAM
Akamai Technologies Inc 1.125 2029-02-15
2.96%
15.6%$11.14M
6DebtC
2.86%
18.5%$10.78M
7DebtWgo 3 1/
2.86%
21.4%$10.79M
8DebtGs
2.85%
24.2%$10.73M
9DebtBmo
2.80%
27.0%$10.56M
10
GPN
Global Payments Inc 1.5% Mar 01, 2031
2.77%
29.8%$10.43M
11DebtMs
2.74%
32.5%$10.33M
12Zoetis Inc 144A 0.25% Jun 15, 2029
2.73%
35.3%$10.29M
13DebtCm
2.69%
37.9%$10.15M
14
ON
On Semiconductor Corp Conv. Note
2.68%
40.6%$10.11M
15DebtJpm
2.67%
43.3%$10.05M
16Meritage Homes Corp Company Guar 05/28 1.75
2.60%
45.9%$9.82M
17DebtGs
2.52%
48.4%$9.50M
18Pg and E Corp Conv. Note
2.48%
50.9%$9.34M
19
CHKP
Check Point Software Technologies 144A 0% Dec 15, 2030
2.41%
53.3%$9.07M
20
CVLT
COMMVAULT SYSTEMS INC 144A 0% Sep 15, 2030
2.35%
55.7%$8.85M
21DebtRbc
2.31%
58.0%$8.69M
22DebtRy
2.30%
60.3%$8.65M
23BOX INC 1.5% Sep 15, 2029
2.08%
62.4%$7.82M
24DebtAlnylam Pharmaceuticals Sr Unsecured 144A 09/28 0.0000
2.04%
64.4%$7.69M
25Compass Inc 144A 0.25% Apr 15, 2031
1.95%
66.3%$7.33M
26DebtBac
1.93%
68.3%$7.27M
27DebtGamestop Corp Sr Unsecured 04/30 0.00000 0
1.91%
70.2%$7.21M
28Doordash Inc Convertible, 0%, Due 05/15/2030
1.90%
72.1%$7.17M
29DebtBa
1.67%
73.8%$6.28M
30Synaptics Inc 0.75% Dec 01, 2031
1.63%
75.4%$6.16M
31Lci Industries 3% Mar 01, 2030
1.58%
77.0%$5.94M
32Oddity Finance Llc Convertible, 0%, Due 06/15/2030
1.50%
78.5%$5.65M
33Haemonetics Corporation 2.5% Jun 01, 2029
1.49%
80.0%$5.61M
34Imax Corp 144A 0.75% Nov 15, 2030
1.49%
81.4%$5.60M
35Nvda Synth/Barc 011/29/27
1.42%
82.9%$5.37M
36
SPB
Spectrum Brands Inc Company Guar 06/29 3.375
1.36%
84.2%$5.12M
37Aerovironment Inc 0% Jul 15, 2030 0 2030-07-15
1.35%
85.6%$5.09M
38DebtItron Inc Cvt
1.32%
86.9%$4.96M
39DebtParsons Corp Sr Unsecured 03/29 2.625
1.30%
88.2%$4.91M
40
HALO
Halozyme Therapeutics Inc 144A 0% Feb 15, 2031
1.29%
89.5%$4.87M
41Fed Hm Ln Pc Pool Qb4127 Fr 10/50 Fixed 2.5
1.28%
90.8%$4.84M
42DebtThe Greenbrier Companies, Inc
1.26%
92.0%$4.75M
43
FOUR
Shift4 Payments Inc Conv. Note
1.25%
93.3%$4.72M
44Fed Hm Ln Pc Pool Sd8322 Fr 05/53 Fixed 4.5
1.21%
94.5%$4.58M
45DebtOmcl
1.13%
95.6%$4.27M
46DebtBlackline Inc Sr Unsecured 06/29 1
1.02%
96.6%$3.85M
47
AMPH
Amphastar Pharmaceuticals Inc 2% Mar 15, 2029
1.02%
97.6%$3.84M
48Duke Energy Corp 144A 3% Mar 15, 2029 3 2029-03-15
0.80%
98.4%$3.01M
49DebtMs
0.58%
99.0%$2.18M
50
BMRN
Biomarin Pharmaceutical Inc Conv. Note
0.26%
99.3%$968.7K
Not reported for this fund: shares, share changes.
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MCFCX Mutual Fund All Holdings

MCFCX holdings total 50 positions. The top 10 holdings account for 29.8% of the fund, led by Avnet Inc 144A 1.75% Sep 01, 2030 at 3.5%, Vishay Intertechnology, Inc., Convertible 2.25% 2030-09-15 at 3.2%, Euronet Worldwide Inc. 144A 0.63% Oct 01, 2030 at 3.0%.

MCFCX portfolio concentration is well-diversified, with the top 10 representing 29.8% of total assets. The largest sector exposure is Information Technology at 12.3%.

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