TSCHX Mutual Fund

TSCHX Mutual Fund

NAV$23.35
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Showing top 50 of 450 holdings · as of Jun 30, 2026
TSCHX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1
ESE
Esco Technologies IncIndustrials · Electrical Equipment
0.66%
0.7%79,950$27.99MIndustrialsElectrical Equipment
2
UMBF
Umb Financial Corp.Financials · Banks
0.63%
1.3%187,673$26.79MFinancialsBanks
Sector and industry · Pro
3
TGTX
Tg Therapeutics Inc
0.60%
1.9%463,010$25.44M
4
MTRN
Materion Corp
0.58%
2.5%83,250$24.76M
5
VSH
Vishay Intertechnology Inc
0.57%
3.0%452,210$24.32M
6—Cfd Bloom Energy Corp- A
0.56%
3.6%78,190$23.67M
7
CTRE
Caretrust Reit Inc Reit Usd.01
0.55%
4.2%575,220$23.21M
8
MXL
Maxlinear Inc
0.55%
4.7%181,610$23.25M
9
MOG.A
Moog Inccommon Stock
0.55%
5.3%55,590$23.56M
10
ONB
Old National Bancorp/In
0.55%
5.8%898,030$23.26M
11
SANM
Sanmina Corp
0.55%
6.3%93,151$23.57M
12
SMTC
Semtech Corp
0.55%
6.9%144,580$23.40M
13
FORM
Formfactor, Inc.
0.54%
7.4%143,370$22.93M
14
GTX
Garrett Motion Inc
0.54%
8.0%636,550$23.06M
15
AIP
Arteris Inc_None_None
0.53%
8.5%461,270$22.41M
16
GVA
Granite Construction Inc
0.52%
9.0%138,880$21.95M
17—Sterling Construction Company Inc
0.52%
9.5%26,170$21.97M
18
CSTM
Constellium Se
0.51%
10.1%674,970$21.51M
19
KLIC
Kulicke & Soffa Industries
0.50%
10.6%159,640$21.35M
20
ZWS
Zurn Elkay Water Solutions
0.50%
11.1%419,830$21.21M
21—Definium Therapeutics, Inc. Common Shares
0.49%
11.5%445,580$20.96M
22
DK
Delek Us Holdings Inc
0.48%
12.0%400,680$20.36M
23
SKYW
Skywest Inc
0.48%
12.5%204,940$20.36M
24
TWST
Twist Bioscience Corp.
0.48%
13.0%196,810$20.25M
25
JXN
Jackson Financial Inc USD
0.47%
13.5%195,030$19.97M
26—Spx Corp
0.47%
13.9%82,460$20.22M
27
VSXY
Victoria's Secret & Co
0.47%
14.4%239,440$19.99M
28—Credo Technology Group Holding Ltd
0.47%
14.9%73,460$19.98M
29
FSS
Federal Signal Corp
0.47%
15.3%154,610$19.87M
30
CUBI
Customers Bancorp Inc
0.46%
15.8%246,150$19.47M
31—Ryman Healthcare Limited
0.46%
16.3%153,370$19.72M
32—Alkermes Plc. Ordinary Shares
0.46%
16.7%377,490$19.78M
33
PL
Planet Labs Pbc
0.45%
17.2%571,810$18.94M
34
RMBS
Rambus Inc
0.45%
17.6%143,770$19.08M
35
RSI
Rush Street Interactive Inc
0.45%
18.1%648,170$19.28M
36
ENS
Enersys
0.45%
18.5%82,510$19.29M
37
BTSG
Brightspring Health
0.44%
19.0%266,850$18.61M
38
BFLY
Butterfly Network, Inc.
0.44%
19.4%2,210,730$18.61M
39
CDE
Coeur Mining Inc
0.44%
19.8%1,154,442$18.84M
40
EXTR
Extreme Networks, Inc.
0.44%
20.3%573,270$18.56M
41—E-Mini Russ 2000 Sep26 Xcme 20260918
0.43%
20.7%6,000$18.27M
42
KGS
Kodiak Gas Services Inccommon Stock
0.42%
21.1%238,280$17.90M
43
POR
Portland General
0.42%
21.6%341,350$17.69M
44
VSAT
Viasat Inc
0.42%
22.0%200,900$18.04M
45
ANAB
Anaptysbio Inc
0.42%
22.4%263,840$17.81M
46
BGC
Bgc Group Inc-A
0.42%
22.8%1,660,890$17.75M
47
ATRO
Astronics Corp
0.41%
23.2%215,960$17.55M
48
BCPC
Balchem Corp
0.41%
23.6%102,720$17.35M
49
BLBD
Blue Bird Corp
0.41%
24.0%220,620$17.42M
50—Ttm Techologies
0.41%
24.5%93,010$17.39M
More holdings · Pro
Not reported for this fund: share changes.
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TSCHX Mutual Fund All Holdings

TSCHX holdings total 387 positions. The top 10 holdings account for 5.8% of the fund, led by Esco Technologies Inc at 0.7%, Umb Financial Corp. at 0.6%, Tg Therapeutics Inc Common Stock at 0.6%.

TSCHX portfolio concentration is well-diversified, with the top 10 representing 5.8% of total assets. The largest sector exposure is Health Care at 18.0%.

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