Was steckt im Fonds BBH Select Series Mid Cap Fund?

Welche Aktien und Anleihen hält dieser ETF/Fonds? Alle gemeldeten Bestände der Gesellschaft BBH Trust zum Stichtag 2025-10-31, jeweils mit Wert und Anteil am Portfolio. Datenquelle ist SEC Form N-PORT — der Bericht, mit dem US-Fonds ihre Portfolios gegenüber der US-Börsenaufsicht offenlegen. Erfasst sind Wertpapiere der Klassen Aktie und Anleihe — nicht Derivate, Repos oder Cash. Keine Anlageberatung.
Fonds-Verzeichnis
EmittentGattungTypCUSIP/ISINRichtungBestand ($)% NAVStück / Nennwert
493.227.548 $95,194.867.191
GUIDEWIRE SOFTWARE INCGUIDEWIRE SOFTWARE INC 0.00000000EC40171V100Long32.352.832 $6,24138.473
ARISTA NETWORKS INCARISTA NETWORKS INC 0.00000000EC040413205Long27.924.061 $5,39177.082
CBRE GROUP INC - ACBRE GROUP INC - A 0.00000000EC12504L109Long27.899.720 $5,38183.033
TAKE-TWO INTERACTIVE SOFTWRETAKE-TWO INTERACTIVE SOFTWRE 0.00000000EC874054109Long26.439.182 $5,10103.129
GFL ENVIRONMENTAL INC-SUB VTGFL ENVIRONMENTAL INC-SUB VT 0.00000000EC36168Q104Long24.982.466 $4,82571.812
GXO LOGISTICS INCGXO LOGISTICS INC 0.00000000EC36262G101Long24.418.804 $4,71434.421
WATSCO INCWATSCO INC 0.00000000EC942622200Long23.508.111 $4,5463.879
LPL FINANCIAL HOLDINGS INCLPL FINANCIAL HOLDINGS INC 0.00000000EC50212V100Long21.959.819 $4,2458.201
ADVANCED DRAINAGE SYSTEMS INADVANCED DRAINAGE SYSTEMS IN 0.00000000EC00790R104Long21.092.790 $4,07150.609
WEST PHARMACEUTICAL SERVICESWEST PHARMACEUTICAL SERVICES 0.00000000EC955306105Long21.054.833 $4,0674.644
ENTEGRIS INCENTEGRIS INC 0.00000000EC29362U104Long21.032.347 $4,06229.686
SHIFT4 PAYMENTS INC-CLASS ASHIFT4 PAYMENTS INC-CLASS A 0.00000000EC82452J109Long20.846.986 $4,02301.693
VULCAN MATERIALS COVULCAN MATERIALS CO 0.00000000EC929160109Long18.596.612 $3,5964.237
WYNDHAM HOTELS & RESORTS INCWYNDHAM HOTELS & RESORTS INC 0.00000000EC98311A105Long18.468.379 $3,56251.510
HEICO CORP-CLASS AHEICO CORP-CLASS A 0.00000000EC422806208Long17.972.564 $3,4772.549
BROWN & BROWN INCBROWN & BROWN INC 0.00000000EC115236101Long17.687.209 $3,41221.811
UL SOLUTIONS INC - CLASS AUL SOLUTIONS INC - CLASS A 0.00000000EC903731107Long17.015.218 $3,28218.508
ICON PLCICON PLC 0.00000000ECG4705A100Long16.038.194 $3,1093.343
KEYSIGHT TECHNOLOGIES INKEYSIGHT TECHNOLOGIES IN 0.00000000EC49338L103Long15.307.348 $2,9583.665
DARLING INGREDIENTS INCDARLING INGREDIENTS INC 0.00000000EC237266101Long15.255.447 $2,94475.989
APTARGROUP INCAPTARGROUP INC 0.00000000EC038336103Long15.102.762 $2,91130.185
ITT INCITT INC 0.00000000EC45073V108Long14.431.388 $2,7977.978
BJ'S WHOLESALE CLUB HOLDINGSBJ'S WHOLESALE CLUB HOLDINGS 0.00000000EC05550J101Long12.185.529 $2,35138.064
WILLSCOT HOLDINGS CORPWILLSCOT HOLDINGS CORP 0.00000000EC971378104Long11.174.389 $2,16513.765
ZEBRA TECHNOLOGIES CORP-CL AZEBRA TECHNOLOGIES CORP-CL A 0.00000000EC989207105Long10.480.556 $2,0238.925
493.227.548 $95,194.867.191
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