RYCNX Mutual Fund

RYCNX Mutual Fund

NAV$48.18
See how much of RYCNX you already own
Just $25 once·$99/mo·Download sample
X-ray my portfolio free
Showing top 50 of 79 holdings · as of Jun 30, 2026
RYCNX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1
TSLA
Tesla IncConsumer Disc. · Automobiles
12.17%
12.2%1,766$742.8KConsumer Disc.Automobiles
2
UNP
Union Pacific CorpIndustrials · Road & Rail
4.09%
16.3%918$249.7KIndustrialsRoad & Rail
Sector and industry · Pro
3
UBER
Uber Technologies Inc
3.93%
20.2%3,323$239.8K
4
UPS
United Parcel Service, Inc
2.99%
23.2%1,697$182.4K
5
CSX
Csx Corp.
2.97%
26.1%3,809$181.0K
6
NSC
Norfolk Southern Corp
2.69%
28.8%521$163.9K
7
GM
General Motors Co
2.58%
31.4%2,045$157.6K
8Dl Co., Ltd.
2.56%
34.0%1,665$155.9K
9
FDX
Fedex Corp
2.49%
36.5%485$151.9K
10Ford Motor Credit
2.30%
38.8%10,094$140.3K
11
UAL
United Airlines Holdings Inc.
2.29%
41.1%1,027$139.7K
12
ODFL
Old Dominion Freig
1.89%
43.0%531$115.0K
13
LUV
Southwest Airlines Co.
1.71%
44.7%2,023$104.0K
14
JBHT
Jb Hunt Transport Services Inc.
1.47%
46.1%309$89.4K
15
CHRW
CH Robinson Worldwide
1.45%
47.6%471$88.7K
16Xpo Logistics Inc.
1.45%
49.0%432$88.7K
17
EXPD
Expeditors International Of Washington Inc
1.43%
50.5%537$87.5K
18Grab Holdings Limited Class A Ordinary Share
1.42%
51.9%23,039$86.9K
19
RYAAY
Ryanair Holdings Plc
1.32%
53.2%1,241$80.4K
20
RIVN
Rivian Automotive
1.31%
54.5%4,595$79.7K
21
GTX
Garrett Motion Inc
1.29%
55.8%2,175$78.8K
22
FDXF
Fedex Freight Holding Company Inc
1.26%
57.1%511$77.2K
23
APLE
Apple Hospitality Reit Inc Com New Com New
1.24%
58.3%203$75.6K
24
MBLY
Mobileye global inc-a
1.22%
59.5%7,712$74.7K
25Canadian National Railway Co
1.21%
60.7%621$74.0K
26
AAL
American Airlines Group Inc.
1.20%
61.9%4,065$73.5K
27Canadian Pac Kans City Ltd Npv
1.19%
63.1%837$72.5K
28Magna International Inc
1.18%
64.3%1,092$71.7K
29Nio, Inc.
1.17%
65.5%14,077$71.2K
30
HMC
Honda Motor Co. Ltd. Adr
1.15%
66.6%2,598$70.4K
31Zto Express (Cayman) Inc.
1.15%
67.8%3,123$69.9K
32Zim Integrated Shipping Services Ltd. Shs
1.15%
68.9%2,704$70.3K
33Toyota Motor Corp
1.12%
70.0%404$68.0K
34Copa Holdings, S.A. Class A
1.11%
71.2%435$67.7K
35
APTV
Aptiv Plc Ordinary Shares
1.10%
72.3%1,092$67.0K
36
BWA
BorgWarner Inc
1.09%
73.3%1,001$66.5K
37
KNX
Knight-Swift Transportation Holdings Inc
1.08%
74.4%845$65.8K
38Allianz Ag
1.06%
75.5%555$64.5K
39Star Bulk Carriers Corp. Common Shares
1.06%
76.5%2,588$64.6K
40Tfi International, Inc.
1.05%
77.6%448$64.3K
41
VGNT
Versigent Plc
1.02%
78.6%1,484$62.3K
42Li Auto Class A
1.01%
79.6%5,237$61.5K
43
STLA
Stellantis Nv
1.00%
80.6%10,585$60.8K
44
SAIA
Saia Inc
0.97%
81.6%141$59.4K
45
KEX
Kirby Corp
0.84%
82.4%376$51.1K
46
LSTR
Landstar System Inc
0.81%
83.2%238$49.2K
47
ALK
Alaska Air Group Inc.
0.80%
84.0%930$48.5K
48
LEA
Lear Corp.
0.78%
84.8%356$47.7K
49
R
Ryder System Inc
0.77%
85.6%178$47.0K
50
GXO
GXO Logistics, Inc.
0.76%
86.4%919$46.6K
More holdings · Pro
Not reported for this fund: share changes.
FundXLS Pro
See the other 29 holdings of RYCNX
X-ray every fund you own at once, ETFs and mutual funds that hold stocks directly, and see how much of your money lands on the same stocks twice.
Unlock FundXLS Pro$45/quarter Pro · Cancel anytime

RYCNX Mutual Fund All Holdings

RYCNX holdings total 78 positions. The top 10 holdings account for 38.8% of the fund, led by Tesla Inc at 12.2%, Union Pacific Corp at 4.1%, Uber Technologies Inc at 3.9%.

RYCNX portfolio concentration is moderate, with the top 10 representing 38.8% of total assets. The largest sector exposure is Industrials at 51.8%.

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