Titelia

Portefeuille d’American Funds U.S. Small & Mid Cap Equity Fund

American Funds U.S. Small & Mid Cap Equity Fund · 175 positions déclarées · au 28 févr. 2026

Document d’origine · Actif net 387,7 M $ · Dix premières lignes : 18.1 % de la poche actions

Répartition par pays

Parts calculées sur la poche actions, seule partie couverte par ce site.

PaysLignesValeur (USD)Part
US 168364,3 M $95,02 %
BM 28,9 M $2,31 %
KY 36,1 M $1,59 %
SG 12,9 M $0,76 %
NL 11,2 M $0,32 %

La répartition sectorielle n’est publiée dans aucun document réglementaire : ni les formulaires N-PORT ni le référentiel LEI ne portent de code d’activité. Elle est absente plutôt qu’estimée.

Positions

SociétéTitresValeur (USD)Poids
US Foods Holding Corp 105 10610,2 M $2,62 %
Vail Resorts Inc 54 2247,4 M $1,90 %
Exelon Corp 148 2707,3 M $1,89 %
Brown & Brown Inc 99 0237,1 M $1,83 %
RenaissanceRe Holdings Ltd 23 2347 M $1,81 %
Comfort Systems USA Inc 4 8276,9 M $1,78 %
LKQ Corp 199 2036,6 M $1,70 %
Yum! Brands Inc 34 5535,8 M $1,50 %
Capital One Financial Corp 28 3925,6 M $1,43 %
Keysight Technologies Inc 17 5895,4 M $1,39 %
Bloom Energy Corp 32 5335,1 M $1,31 %
Monster Beverage Corp 58 1815 M $1,28 %
Align Technology Inc 25 5584,9 M $1,25 %
Ciena Corp 13 8004,8 M $1,24 %
elf Beauty Inc 52 1264,8 M $1,24 %
Simon Property Group Inc 23 3424,8 M $1,23 %
Ingram Micro Holding Corp 225 1044,7 M $1,20 %
Fabrinet 8 4104,6 M $1,18 %
Ionis Pharmaceuticals Inc 56 3704,6 M $1,18 %
XPO Inc 20 7494,4 M $1,13 %
Lumentum Holdings Inc 5 8264,1 M $1,05 %
AGCO Corp 29 6064 M $1,04 %
Karman Holdings Inc 45 4564 M $1,03 %
Core & Main Inc 70 8323,8 M $0,99 %
Victory Capital Holdings Inc 53 7523,7 M $0,96 %
Crane Co 18 3653,7 M $0,95 %
WEX Inc 23 6943,5 M $0,91 %
ATI Inc 21 5033,5 M $0,91 %
Diamondback Energy Inc 20 0373,5 M $0,90 %
Aptiv PLC 47 4173,5 M $0,90 %
ROBLOX Corp 50 3563,5 M $0,89 %
Procore Technologies Inc 62 7843,5 M $0,89 %
KeyCorp 166 3923,5 M $0,89 %
Texas Roadhouse Inc 18 5003,4 M $0,87 %
SLB Ltd 65 5283,4 M $0,87 %
Five Below Inc 15 0173,4 M $0,87 %
FTAI Aviation Ltd 10 7563,3 M $0,85 %
Fifth Third Bancorp 65 3243,2 M $0,83 %
Baker Hughes Co 47 4293,1 M $0,80 %
United Rentals Inc 3 6183 M $0,78 %
General Motors Co 38 4123 M $0,78 %
Perpetua Resources Corp 81 3093 M $0,77 %
Tradeweb Markets Inc 23 9142,9 M $0,76 %
Flex Ltd 46 1382,9 M $0,75 %
Expand Energy Corp 26 6322,9 M $0,74 %
Hilton Worldwide Holdings Inc 9 0732,8 M $0,73 %
API Group Corp 63 5392,8 M $0,73 %
Ingersoll Rand Inc 29 7792,8 M $0,72 %
Casey's General Stores Inc 3 9732,7 M $0,70 %
StepStone Group Inc 61 8312,7 M $0,69 %
LPL Financial Holdings Inc 8 7692,6 M $0,68 %
New York Times Co/The 32 9802,6 M $0,68 %
Covista Inc 25 8012,5 M $0,65 %
Charter Communications, Inc. 10 6942,5 M $0,65 %
Illumina Inc 18 6222,5 M $0,65 %
Westlake Corp 23 5022,5 M $0,64 %
Cloudflare Inc 14 2112,4 M $0,63 %
Medline Inc 51 0752,4 M $0,63 %
Fiserv Inc 38 8412,4 M $0,62 %
Corteva Inc 30 1802,4 M $0,62 %
CSX Corp 55 0812,4 M $0,61 %
PG&E Corp 122 6812,3 M $0,60 %
GQG Partners Inc 1 759 9372,3 M $0,59 %
Humana Inc 12 0002,3 M $0,59 %
Kinsale Capital Group Inc 5 8232,3 M $0,59 %
Copart Inc 57 8372,2 M $0,57 %
Generac Holdings Inc 9 4342,1 M $0,55 %
INVESCO - SHORT-TERM INVESTMENTS TRUST - GOVERNMENT AND AGENCY PORTFOLIO 2 115 8812,1 M $0,55 %
Chipotle Mexican Grill Inc 56 3972,1 M $0,54 %
Live Nation Entertainment Inc 12 9012,1 M $0,54 %
Element Solutions Inc 59 4582,1 M $0,54 %
Principal Financial Group Inc 21 2812 M $0,52 %
MongoDB Inc 6 1492 M $0,52 %
PACCAR Inc 15 8932 M $0,52 %
Alaska Air Group Inc 38 8072 M $0,52 %
Cooper Cos Inc/The 23 8132 M $0,51 %
NRG Energy Inc 11 1042 M $0,51 %
Essex Property Trust Inc 7 7742 M $0,51 %
TopBuild Corp 4 3461,9 M $0,50 %
Cava Group Inc 22 8181,9 M $0,49 %
Affirm Holdings Inc 40 0291,9 M $0,49 %
Royal Gold Inc 6 2591,9 M $0,48 %
Toro Co/The 18 8551,9 M $0,48 %
Wingstop Inc 7 1711,9 M $0,48 %
Essent Group Ltd 30 0441,8 M $0,47 %
Applied Industrial Technologies Inc 6 4321,8 M $0,47 %
Veeva Systems Inc 9 9091,8 M $0,47 %
GPGI INC 79 8531,8 M $0,46 %
VSE Corp 7 4291,7 M $0,44 %
DR Horton Inc 10 4581,7 M $0,43 %
Halozyme Therapeutics Inc 23 8631,7 M $0,43 %
Louisiana-Pacific Corp 19 0001,6 M $0,42 %
Bio-Techne Corp 27 0001,6 M $0,41 %
Ameriprise Financial Inc 3 3321,6 M $0,40 %
Crown Castle Inc 17 4161,6 M $0,40 %
Fair Isaac Corp 1 0851,5 M $0,39 %
Capital Group Central Cash Fund 1 517 7681,5 M $0,39 %
L3Harris Technologies Inc 4 0331,5 M $0,38 %
CSW Industrials Inc 4 9771,5 M $0,38 %
TPG Inc 33 6651,5 M $0,38 %
Ally Financial Inc 36 8991,5 M $0,38 %
Arthur J Gallagher & Co 6 3151,4 M $0,37 %
Artisan Partners Asset Management Inc 35 4121,4 M $0,37 %
CENTESSA PHARMACEUTICALS PLC 52 3391,4 M $0,36 %
Penumbra Inc 4 0071,4 M $0,36 %
Toll Brothers Inc 8 5801,3 M $0,35 %
AMETEK Inc 5 6231,3 M $0,35 %
Zillow Group Inc 30 0001,3 M $0,35 %
Viper Energy Inc 28 5601,3 M $0,34 %
Darden Restaurants Inc 5 9911,3 M $0,33 %
Alignment Healthcare Inc 65 5511,3 M $0,32 %
TTM Technologies Inc 11 9691,2 M $0,32 %
Tenet Healthcare Corp 5 1581,2 M $0,32 %
Newamsterdam Pharma Co NV 34 4031,2 M $0,31 %
HEICO Corp 3 7881,2 M $0,31 %
Q2 Holdings Inc 25 0001,2 M $0,31 %
Natera Inc 5 7811,2 M $0,31 %
Builders FirstSource Inc 11 4941,2 M $0,31 %
Permian Resources Corp 65 2641,2 M $0,31 %
Royal Caribbean Cruises Ltd 3 8011,2 M $0,30 %
Hamilton Lane Inc 11 1141,2 M $0,30 %
Estee Lauder Cos Inc/The 10 3751,1 M $0,29 %
Elanco Animal Health Inc 42 6051,1 M $0,29 %
Cavco Industries Inc 1 8781,1 M $0,28 %
Hewlett Packard Enterprise Co 50 0741,1 M $0,28 %
AutoZone Inc 2781 M $0,27 %
Figma Inc 35 4221 M $0,27 %
SharkNinja Inc 8 3901 M $0,27 %
Regeneron Pharmaceuticals, Inc. 1 2991 M $0,26 %
Alnylam Pharmaceuticals Inc 2 961985,8 k $0,25 %
Constellation Brands Inc 6 086960,7 k $0,25 %
Aon PLC 2 755924,2 k $0,24 %
Polaris Inc 15 065915 k $0,24 %
IQVIA Holdings Inc 5 103912,5 k $0,24 %
Brinker International Inc 6 157912,5 k $0,24 %
Flutter Entertainment PLC 8 415893,2 k $0,23 %
Maplebear Inc 23 727890 k $0,23 %
CoreWeave Inc 10 926869,3 k $0,22 %
Fluor Corp 16 296852,4 k $0,22 %
Datadog Inc 7 606851,6 k $0,22 %
Krystal Biotech Inc 3 087850,9 k $0,22 %
SiteOne Landscape Supply Inc 5 891841,8 k $0,22 %
Chewy Inc 30 320831,4 k $0,21 %
IDEXX Laboratories Inc 1 239813,7 k $0,21 %
Impinj Inc 6 600809,6 k $0,21 %
BLACKROCK FEDFUND 800 000800 k $0,21 %
DREYFUS CASH MANAGEMENT FUNDS - DREYFUS TREASURY AND AGENCY CASH MANAGEMENT 800 000800 k $0,21 %
FIDELITY INSTITUTIONAL MONEY MARKET FUNDS - GOVERNMENT PORTFOLIO 800 000800 k $0,21 %
Goldman Sachs Financial Square Government Fund 800 000800 k $0,21 %
MORGAN STANLEY INVST MGT INC - MORGAN STANLEY INSTL LIQUIDITY FUND - GOVT PRTFLO 800 000800 k $0,21 %
US GOVERNMENT MONEY MARKET FUND 800 000800 k $0,21 %
State Street Institutional US Government Money Market Fund 800 000800 k $0,21 %
Doximity Inc 30 866757,1 k $0,20 %
EOG Resources Inc 5 846725,4 k $0,19 %
United Parcel Service Inc 5 949689,8 k $0,18 %
Snowflake Inc 4 053682,6 k $0,18 %
Zimmer Biomet Holdings Inc 6 900679,2 k $0,18 %
EPAM Systems Inc 4 662657,3 k $0,17 %
Sunrun Inc 47 904634,7 k $0,16 %
Bright Horizons Family Solutions Inc 8 210611,8 k $0,16 %
Robert Half Inc 24 153589,8 k $0,15 %
Alexandria Real Estate Equities, Inc. 10 463565,4 k $0,15 %
EquipmentShare.com Inc 19 200557,2 k $0,14 %
Citizens Financial Group Inc 8 788528,9 k $0,14 %
USA Rare Earth Inc 27 692523,4 k $0,14 %
Accelerant Holdings 41 726492,4 k $0,13 %
Figure Technology Solutions Inc 18 440466,2 k $0,12 %
Matador Resources Co 8 905457,7 k $0,12 %
Northern Oil & Gas Inc 16 251448,4 k $0,12 %
Campbell's Company/The 14 967403,4 k $0,10 %
RingCentral Inc 11 063403,2 k $0,10 %
FirstEnergy Corp 7 303373,6 k $0,10 %
Blue Owl Capital Inc 21 067222,3 k $0,06 %
Via Transportation Inc 8 012137,6 k $0,04 %
STUBHUB HOLDINGS INC 4 42342,3 k $0,01 %