TWCCX Mutual Fund

TWCCX Mutual Fund

NAV$60.88
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Showing top 50 of 70 holdings · as of Jun 30, 2026
TWCCX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1
NVDA
Nvidia Corp.Info Tech · Semiconductors
15.32%
15.3%20,619,000$4.13BInfo TechSemiconductors
2Alphabet A Usd 0.001Comm. Services · Interactive Media
6.12%
21.4%4,613,455$1.65BComm. ServicesInteractive Media
Sector and industry · Pro
3
AMZN
Amazon.com Inc
5.70%
27.1%6,435,000$1.53B
4
AAPL
Apple, Inc
5.30%
32.4%4,932,754$1.43B
5
GOOG
Alphabet Inc
5.26%
37.7%4,009,000$1.42B
6DebtMicrosoft Corp
4.82%
42.5%3,476,000$1.30B
7
TSLA
Tesla Inc
4.36%
46.9%2,792,000$1.17B
8
LLY
Eli Lilly & Co.
3.46%
50.3%776,000$930.76M
9
AMAT
Applied Materials, Inc.
3.35%
53.7%1,246,000$900.86M
10
MA
Mastercard Inc
2.85%
56.5%1,491,889$766.23M
11
META
Meta Platforms, Inc.
2.74%
59.3%1,308,000$736.78M
12
MU
Micron Technology, Inc.
2.17%
61.5%507,000$585.23M
13
APH
Amphenol Corp. Class A
2.06%
63.5%3,152,000$555.76M
14
CIEN
Ciena Corp
1.96%
65.5%1,077,000$528.33M
15
AVGO
Broadcom Inc
1.95%
67.4%1,388,000$524.32M
16Vertiv Group Corp
1.90%
69.3%1,526,000$510.94M
17
NFLX
Netflix, Inc.
1.86%
71.2%7,010,000$500.51M
18Cloudflare Inc (180 Day Lockup)
1.78%
73.0%1,957,000$480.01M
19Asml Holding N.V.
1.67%
74.6%227,000$449.50M
20
DDOG
Datadog Inc. Class A
1.59%
76.2%1,647,000$428.81M
21
GLW
Corning Inc.
1.50%
77.7%1,583,000$404.35M
22
SNPS
Synopsys Inc.
1.43%
79.2%864,000$385.40M
23
ISRG
Intuitive Surgical Inc
1.24%
80.4%842,564$335.07M
24
PL
Planet Labs Pbc
1.24%
81.6%10,058,000$333.22M
25
IBKR
Interactive Brokers Group Inc
1.21%
82.8%3,740,000$325.53M
26
COST
Costco Wholesale Corp.
1.18%
84.0%339,000$317.12M
27
HWM
Howmet Aerospace Inc.
1.10%
85.1%1,104,000$296.82M
28
SNOW
Snowflake Inc
0.92%
86.0%971,000$247.12M
29
ALNY
Alnylam Pharmaceuticals Inc.
0.84%
86.9%747,000$224.87M
30
PLTR
Palantir Technologies Inc
0.80%
87.7%1,837,000$214.32M
31
ORCL
Oracle Corp.
0.76%
88.4%1,404,000$205.76M
32
AYI
Acuity Brands Inc
0.69%
89.1%492,000$185.32M
33Samsung Electronics Ltd.
0.69%
89.8%838,000$185.95M
34
AMD
Advanced Micro Devices Inc.
0.67%
90.5%310,000$180.08M
35Ascendis Pharma A/S Sponsored Adr[Asnd]
0.66%
91.2%664,000$177.10M
36
WAB
Westinghouse Air Brake Technologies Corp.
0.65%
91.8%652,000$175.78M
37
VIK
Viking Holdings Ltd
0.62%
92.4%1,601,000$167.58M
38
FICO
Fair Isaac Corp.
0.59%
93.0%133,000$158.91M
39Advanced Drainag Tm B 1ln 7/26
0.57%
93.6%977,000$153.35M
40
ECL
Ecolab, Inc.
0.52%
94.1%506,000$140.98M
41
JCI
Johnson Controls International Plc
0.51%
94.6%940,000$137.34M
42
IDXX
Idexx Laboratories Inc.
0.50%
95.1%257,000$135.30M
43
VRTX
Vertex Pharmaceuticals Inc
0.40%
95.5%216,000$107.29M
44
CMG
Chipotle Mexican Grill Inc. Class A
0.28%
95.8%2,204,000$74.94M
45
HEI
Heico Corp.
0.28%
96.1%209,000$74.44M
46
OKTA
Okta Inc.
0.28%
96.4%559,000$76.28M
47
DCI
Donaldson Co Inc
0.26%
96.6%779,000$69.93M
48
DT
Dynatrace Llc
0.26%
96.9%1,608,000$70.61M
49
LRCX
Lam Research Corpcommon Stock
0.26%
97.1%163,000$70.63M
50
NDSN
Nordson Corp
0.26%
97.4%228,000$68.79M
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Not reported for this fund: share changes.
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TWCCX Mutual Fund All Holdings

TWCCX holdings total 66 positions. The top 10 holdings account for 56.5% of the fund, led by Nvidia Corp. at 15.3%, Alphabet A Usd 0.001 at 6.1%, Amazon.Com Inc at 5.7%.

TWCCX portfolio concentration is relatively high, with the top 10 representing 56.5% of total assets. The largest sector exposure is Information Technology at 48.2%.

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