ZSCCX Mutual Fund

ZSCCX Mutual Fund

NAV$41.84
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Showing top 50 of 101 holdings · as of May 31, 2026
ZSCCX holdings, by weight
#TickerNameWeightCumulativeSharesMkt valueSectorIndustry
1Credo Technologynology Group Holdi
2.21%
2.2%3,199$755.1K--
2
REZI
Resideo Technologies IncIndustrials · Electrical Equipment
2.06%
4.3%22,436$701.6KIndustrialsElectrical Equipment
Share changes, sector and industry · Pro
3
ALNT
Allient Inc
2.05%
6.3%8,840$699.8K
4
FIX
Comfort Systems USA Inc.
2.00%
8.3%373$681.9K
5
MOG.A
Moog Inccommon Stock
1.97%
10.3%1,863$670.6K
6
NWPX
Northwest Pipe Co
1.96%
12.3%5,679$669.9K
7
ELA
Envela Corp
1.94%
14.2%26,018$662.4K
8
UFCS
United Fire Group Inc
1.94%
16.1%14,953$662.9K
9Ponce De Leon Federal Bank
1.93%
18.1%34,839$657.8K
10Spx Corp
1.89%
19.9%2,972$643.9K
11Ttm Techologies
1.89%
21.8%3,705$643.6K
12
SMBK
Smartfinancial Inc
1.83%
23.7%14,995$625.3K
13
HBT
Hbt Financial Inc
1.82%
25.5%21,646$619.7K
14Community West
1.78%
27.3%25,300$607.5K
15
KLIC
Kulicke & Soffa Industries
1.69%
29.0%5,645$575.2K
16
AZZ
Azz Inc
1.67%
30.6%4,207$570.1K
17
ESE
Esco Technologies Inc
1.66%
32.3%1,936$565.1K
18
CTOS
Custom Truck One Source
1.64%
33.9%58,249$558.0K
19DebtFederated Treasury Obligations Money Market Fund, Institutional Shares, 1.50% (b)
1.64%
35.6%-$560.2K
20
FSTR
L.b. Foster Co.
1.58%
37.1%13,084$538.3K
21
FORM
Formfactor, Inc.
1.57%
38.7%4,293$534.9K
22
SHBI
Shore Bancshares Inc
1.55%
40.3%25,613$529.2K
23
FSS
Federal Signal Corp
1.47%
41.7%4,706$502.1K
24
MTRN
Materion Corp
1.45%
43.2%2,244$493.8K
25
PRLB
Proto Labs Inc
1.42%
44.6%6,400$484.9K
26
PRVA
Privia Health Group Inc
1.40%
46.0%22,217$477.9K
27
SITM
Sitime Corp
1.40%
47.4%673$478.0K
28
OLP
One Liberty Properties, Inc.
1.38%
48.8%19,958$470.0K
29
BLZE
Backblaze Inc
1.37%
50.2%56,388$466.9K
30
CCBG
Capital City Bank Group Inc
1.33%
51.5%9,943$453.8K
31
FTDR
Frontdoor Inc
1.33%
52.8%7,330$455.0K
32
WTS
Watts Water Technologies Inc
1.33%
54.1%1,471$454.5K
33
BCPC
Balchem Corp
1.30%
55.4%2,826$442.9K
34
GRDN
Guardian Pharmacy Services Inc
1.29%
56.7%11,348$439.6K
35
NMRK
Newmark Group Inc
1.29%
58.0%31,394$438.6K
36
VICR
Vicor Corp
1.28%
59.3%1,306$437.3K
37
EVCM
Evercommerce Inc
1.24%
60.5%37,570$422.7K
38Roche Holding Ag- Genusschein
1.23%
61.8%2,965$419.6K
39
SMBC
Southern Missouri Bancorp Inc
1.22%
63.0%6,020$415.7K
40
HL
Hecla Mining Co
1.20%
64.2%22,969$408.2K
41
MH
Mcgraw Hill Inc
1.17%
65.4%32,994$397.2K
42
DIOD
Diodes Inc 0.00000000
1.15%
66.5%3,729$392.7K
43
GHM
Graham Corp
1.15%
67.7%3,923$392.8K
44
ENS
Enersys
1.08%
68.8%1,610$367.0K
45
HURN
Huron Consulting Group Inc
1.08%
69.8%3,435$368.9K
46
BAND
Bandwidth Inc.
1.06%
70.9%5,585$362.9K
47
VVX
V2X Inc
1.03%
71.9%4,220$350.8K
48
LFST
Lifestance Health Group Inc
1.02%
72.9%45,289$349.2K
49
PAHC
Phibro Animal Health Corp
0.98%
73.9%10,892$335.4K
50
HTB
Hometrust Bancshares, Inc.
0.97%
74.9%7,139$331.7K
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ZSCCX Mutual Fund All Holdings

ZSCCX holdings total 101 positions. The top 10 holdings account for 19.9% of the fund, led by Credo Technologynology Group Holdi at 2.2%, Resideo Technologies Inc at 2.1%, Allient Inc at 2.0%.

ZSCCX portfolio concentration is well-diversified, with the top 10 representing 19.9% of total assets. The largest sector exposure is Financials at 26.8%.

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