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Holdings (Monthly) Guide ↗

Empower T. Rowe Price Mid Cap Growth Fund

· Empower Funds, Inc.
Monthly Holdings $2.1B AUM 151 positions Period Jun 2026 Filed Aug 20, 2026 EDGAR ↗ ← All Funds
All 33 New 45 Added 41 Reduced 24 Exited · Jun 2026 vs Mar 2026
# Name Ticker Since Shares Shares Δ Value Val Δ% % Port Cat
1 AGILENT TECHNOLOGIES INC A Sep 2024 367,123 +6,028 $48.8M +18.5% 2.37% EC
2 KEYSIGHT TECHNOLOGIES INC KEYS Sep 2024 124,993 +1,493 $43.8M +25.5% 2.13% EC
3 METTLER-TOLEDO INTERNATIONAL INC MTD Sep 2024 33,143 +3,680 $42.3M +13.9% 2.06% EC
4 MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC MTSI Mar 2026 108,645 -10,759 $41.3M +55.9% 2.01% EC
5 TERADYNE INC TER Jun 2026 84,574 NEW $40.9M 1.99% EC
6 DATADOG INC DDOG Jun 2026 147,812 NEW $38.5M 1.87% EC
7 YUM! BRANDS INC YUM Sep 2024 233,887 +11,670 $37.4M +8.2% 1.82% EC
8 LATTICE SEMICONDUCTOR CORP LSCC Sep 2024 228,190 -201,700 $34.9M -12.5% 1.70% EC
9 BURLINGTON STORES INC BURL Sep 2024 109,751 +5,436 $34.8M +2.4% 1.69% EC
10 ALNYLAM PHARMACEUTICALS INC ALNY Sep 2024 105,590 +7,435 $31.8M -2.1% 1.55% EC
11 DREYFUS INSTITUTIONAL PREFERRED MONEY MARKET FUNDS DSVXX Mar 2026 31,785,579 -8,620,712 $31.8M -21.3% 1.55% STIV
12 ASSURANT INC AIZ Sep 2024 117,900 -13,400 $31.7M +10.7% 1.54% EC
13 WEST PHARMACEUTICAL SERVICES INC WST Sep 2024 82,153 -7,715 $29.5M +30.9% 1.44% EC
14 DOLLAR TREE INC DLTR Sep 2024 240,155 -7,600 $29.0M +7.1% 1.41% EC
15 MSCI INC MSCI Mar 2026 51,683 -6,617 $28.9M -7.9% 1.41% EC
16 VERALTO CORP VLTO Sep 2024 320,522 +18,922 $28.4M +6.6% 1.38% EC
17 VIKING HOLDINGS LTD VIK Sep 2024 269,759 -237,572 $28.2M -24.3% 1.37% EC
18 PTC INC PTC Sep 2024 248,224 +12,794 $28.2M -15.9% 1.37% EC
19 US FOODS HOLDING CORP USFD Mar 2026 273,533 +107,380 $28.0M +82.6% 1.36% EC
20 FERGUSON ENTERPRISES INC FERG Sep 2024 116,283 +7,692 $27.6M +9.0% 1.34% EC
21 VEEVA SYSTEMS INC VEEV Sep 2024 145,154 +6,502 $25.8M +5.8% 1.25% EC
22 TYLER TECHNOLOGIES INC TYL Sep 2024 87,710 +5,610 $25.7M -8.7% 1.25% EC
23 TECHNIPFMC PLC FTI Sep 2024 386,103 -89,100 $25.6M -22.1% 1.25% EC
24 UL SOLUTIONS INC ULS Sep 2024 244,882 +833 $24.9M +19.2% 1.21% EC
25 COOPER COMPANIES INC (THE) COO Sep 2024 346,375 -17,000 $24.8M -4.4% 1.21% EC
26 OLD DOMINION FREIGHT LINE INC ODFL Mar 2026 113,100 -30,100 $24.5M -12.5% 1.19% EC
27 INGERSOLL RAND INC IR Sep 2024 289,721 +18,221 $23.8M +9.2% 1.16% EC
28 SNOWFLAKE INC SNOW Jun 2026 89,400 NEW $22.8M 1.11% EC
29 MICROCHIP TECHNOLOGY INC MCHP Sep 2024 245,990 -155,031 $22.4M -13.4% 1.09% EC
30 ESAB CORP ESAB Sep 2024 225,651 +15,223 $22.3M +9.4% 1.08% EC
31 CLOUDFLARE INC NET Jun 2026 90,200 NEW $22.1M 1.08% EC
32 TRANSUNION TRU Sep 2024 304,937 +18,860 $22.0M +11.1% 1.07% EC
33 NEW YORK TIMES COMPANY (THE) NYT Sep 2024 313,873 +2,052 $22.0M -15.9% 1.07% EC
34 MANHATTAN ASSOCIATES INC MANH Mar 2026 153,341 +16,941 $21.4M +17.6% 1.04% EC
35 REDDIT INC RDDT Sep 2024 122,888 +39,306 $21.3M +89.5% 1.04% EC
36 ELANCO ANIMAL HEALTH INC ELAN Mar 2026 861,104 +99,904 $21.2M +16.3% 1.03% EC
37 HILTON WORLDWIDE HOLDINGS INC HLT Sep 2024 62,997 -107,803 $20.8M -59.9% 1.01% EC
38 RAYMOND JAMES FINANCIAL INC RJF Sep 2024 136,801 -1,547 $20.8M +3.8% 1.01% EC
39 DOMINO'S PIZZA INC DPZ Sep 2024 68,991 -6,667 $20.4M -24.8% 0.99% EC
40 LIBERTY LIVE HOLDINGS INC LLYVK Mar 2026 192,273 +10,654 $20.3M +18.8% 0.99% EC
41 XPO INC XPO Mar 2026 98,800 -9,500 $20.3M -3.7% 0.99% EC
42 MARTIN MARIETTA MATERIALS INC MLM Sep 2024 34,839 -3,478 $20.1M -10.9% 0.98% EC
43 EVERPURE INC P Sep 2024 250,758 +16,258 $19.8M +42.7% 0.96% EC
44 LUMENTUM HOLDINGS INC LITE Jun 2026 22,966 NEW $19.7M 0.96% EC
45 FABRINET FN Jun 2026 34,760 NEW $19.5M 0.95% EC
46 POOL CORP POOL Mar 2026 90,600 +4,300 $19.5M +11.5% 0.95% EC
47 ASTERA LABS INC ALAB Jun 2026 39,562 NEW $19.1M 0.93% EC
48 TEXTRON INC TXT Sep 2024 206,264 -4,200 $18.9M +2.7% 0.92% EC
49 TELEFLEX INC TFX Sep 2024 146,728 -10,025 $18.6M -0.8% 0.91% EC
50 ULTA BEAUTY INC ULTA Sep 2024 41,043 +2,248 $18.5M -8.7% 0.90% EC
51 RB GLOBAL INC RBA Mar 2026 157,454 +10,354 $18.3M +30.0% 0.89% EC
52 NRG ENERGY INC NRG Jun 2026 114,793 NEW $16.8M 0.82% EC
53 BIRKENSTOCK HOLDING PLC BIRK Sep 2024 374,971 -3,900 $16.1M +18.9% 0.79% EC
54 SERVICE CORPORATION INTERNATIONAL SCI Mar 2026 209,423 -21,043 $15.9M -16.3% 0.77% EC
55 TRADEWEB MARKETS INC TW Sep 2024 158,980 +21,372 $15.8M -2.1% 0.77% EC
56 EQT CORP EQT Sep 2024 291,324 -84,576 $15.5M -35.2% 0.75% EC
57 ITT INC ITT Sep 2024 78,002 +3,723 $15.4M +9.0% 0.75% EC
58 ROBINHOOD MARKETS INC HOOD Jun 2026 153,300 NEW $15.4M 0.75% EC
59 ASCENDIS PHARMA A/S ASND Jun 2026 57,310 NEW $15.3M 0.74% EC
60 WOODWARD INC WWD Jun 2026 35,713 NEW $15.2M 0.74% EC
61 ZOOM COMMUNICATIONS INC ZM Sep 2024 175,450 +5,499 $15.1M +10.8% 0.74% EC
62 LIBERTY MEDIA CORP FWONK Sep 2024 157,616 -167,800 $15.0M -45.8% 0.73% EC
63 CYTOKINETICS INC CYTK Sep 2024 175,402 +29,402 $14.9M +55.3% 0.73% EC
64 PAYLOCITY HOLDING CORP PCTY Sep 2024 142,348 -15,700 $14.9M -12.9% 0.72% EC
65 TD SYNNEX CORP SNX Jun 2026 55,550 NEW $14.9M 0.72% EC
66 DT MIDSTREAM INC DTM Mar 2026 100,297 +18,784 $14.7M +34.1% 0.72% EC
67 NATERA INC NTRA Mar 2026 52,959 +7,488 $14.4M +58.1% 0.70% EC
68 IONIS PHARMACEUTICALS INC IONS Sep 2024 179,648 -60,200 $14.2M -20.9% 0.69% EC
69 PLANET FITNESS INC PLNT Sep 2024 251,503 -48,090 $13.1M -41.1% 0.64% EC
70 ROCKET LAB CORP RKLB Jun 2026 125,800 NEW $12.8M 0.62% EC
71 SITIME CORP SITM Jun 2026 17,138 NEW $12.8M 0.62% EC
72 CBOE GLOBAL MARKETS INC CBOE Sep 2024 52,445 -21,055 $12.7M -38.4% 0.62% EC
73 WYNDHAM HOTELS & RESORTS INC WH Mar 2026 151,046 +6,427 $12.7M +8.3% 0.62% EC
74 MODINE MANUFACTURING COMPANY MOD Jun 2026 46,600 NEW $12.4M 0.61% EC
75 CREDO TECHNOLOGY GROUP HOLDING LTD CRDO Jun 2026 45,400 NEW $12.3M 0.60% EC
76 BOOZ ALLEN HAMILTON HOLDING CORP BAH Mar 2026 200,303 -35,200 $12.2M -33.9% 0.59% EC
77 MASTEC INC MTZ Jun 2026 29,136 NEW $12.1M 0.59% EC
78 CASEY'S GENERAL STORES INC CASY Sep 2024 15,080 -2,600 $12.0M -6.9% 0.58% EC
79 INSULET CORP PODD Mar 2026 71,404 -1,496 $10.9M -28.9% 0.53% EC
80 BWX TECHNOLOGIES INC BWXT Sep 2024 54,900 $10.7M -4.8% 0.52% EC
81 AVERY DENNISON CORP AVY Sep 2024 64,600 -48,500 $10.5M -46.3% 0.51% EC
82 NVENT ELECTRIC PLC NVT Jun 2026 60,500 NEW $10.3M 0.50% EC
83 QUANTA SERVICES INC PWR Sep 2024 14,149 -11,451 $10.2M -27.5% 0.50% EC
84 API GROUP CORP APG Mar 2026 239,205 +15,688 $10.1M +11.9% 0.49% EC
85 NXP SEMICONDUCTORS NV NXPI Sep 2024 35,572 -21,500 $10.0M -11.0% 0.49% EC
86 PERMIAN RESOURCES CORP PR Jun 2026 540,400 NEW $9.9M 0.48% EC
87 MONGODB INC MDB Sep 2024 28,160 +1,360 $9.5M +44.2% 0.46% EC
88 MEDLINE INC MDLN Jun 2026 229,179 NEW $9.0M 0.44% EC
89 STANDARDAERO INC SARO Mar 2026 282,653 -188,898 $8.5M -30.6% 0.41% EC
90 BIONTECH SE BNTX Mar 2026 90,795 +3,525 $8.4M +8.9% 0.41% EC
91 INSMED INC INSM Jun 2026 77,851 NEW $8.3M 0.40% EC
92 DUTCH BROS INC BROS Mar 2026 115,566 +7,266 $8.3M +51.3% 0.40% EC
93 HEICO CORP HEI Jun 2026 21,749 NEW $7.7M 0.38% EC
94 CHENIERE ENERGY INC LNG Sep 2024 31,864 -21,900 $7.6M -50.1% 0.37% EC
95 LIVE NATION ENTERTAINMENT INC LYV Mar 2026 41,244 $7.6M +20.1% 0.37% EC
96 AURORA INNOVATION INC AUR Mar 2026 1,086,618 +270,014 $7.4M +120.3% 0.36% EC
97 CENOVUS ENERGY INC CVE Jun 2026 291,500 NEW $7.2M 0.35% EC
98 RALLIANT CORP RAL Mar 2026 97,937 +4,975 $7.2M +86.5% 0.35% EC
99 BLACKBERRY LTD BB Jun 2026 563,500 NEW $7.1M 0.35% EC
100 GUIDEWIRE SOFTWARE INC GWRE Mar 2026 57,760 +9,407 $7.1M -1.7% 0.35% EC
101 SPORTRADAR GROUP AG SRAD Mar 2026 468,314 -10,136 $7.0M -12.5% 0.34% EC
102 ATLASSIAN CORP TEAM Sep 2024 88,519 -10,000 $6.9M +2.4% 0.34% EC
103 VAXCYTE INC PCVX Sep 2024 117,437 -8,638 $6.8M -6.8% 0.33% EC
104 RYAN SPECIALTY HOLDINGS INC RYAN Mar 2026 168,516 +11,456 $6.4M +20.1% 0.31% EC
105 DESCARTES SYSTEMS GROUP INC (THE) DSGX Mar 2026 87,027 +6,627 $6.0M +4.7% 0.29% EC
106 UNITY SOFTWARE INC U Mar 2026 199,496 +10,882 $5.7M +37.8% 0.28% EC
107 WINGSTOP INC WING Mar 2026 32,857 +1,874 $5.7M +18.7% 0.28% EC
108 REVOLUTION MEDICINES INC RVMD Mar 2026 29,300 $5.5M +92.6% 0.27% EC
109 QNITY ELECTRONICS INC Q Jun 2026 32,700 NEW $5.3M 0.26% EC
110 WASTE CONNECTIONS INC WCN Jun 2026 31,400 NEW $5.2M 0.25% EC
111 TENET HEALTHCARE CORP THC Jun 2026 27,700 NEW $5.2M 0.25% EC
112 CRISPR THERAPEUTICS AG CRSP Sep 2024 93,400 +7,162 $5.1M +24.2% 0.25% EC
113 KYMERA THERAPEUTICS INC KYMR Mar 2026 43,549 -1,400 $5.0M +33.4% 0.24% EC
114 ARXIS INC ARXS Jun 2026 108,192 NEW $5.0M 0.24% EC
115 DIANTHUS THERAPEUTICS INC DNTH Jun 2026 46,500 NEW $4.5M 0.22% EC
116 CG ONCOLOGY INC CGON Mar 2026 62,839 $4.5M +5.0% 0.22% EC
117 ROCKET COMPANIES INC RKT Jun 2026 273,800 NEW $4.3M 0.21% EC
118 MADISON AIR SOLUTIONS CORP MAIR Jun 2026 110,364 NEW $4.3M 0.21% EC
119 CARIS LIFE SCIENCES INC CAI Mar 2026 240,341 +25,945 $4.3M +11.7% 0.21% EC
120 TPG INC TPG Sep 2024 55,293 -71,412 $2.2M -56.3% 0.11% EC
121 CEREBRAS SYSTEMS INC CBRS Jun 2026 10,059 NEW $2.2M 0.11% EC
122 ESAB CORP ESAB US Mar 2026 17,698 $1.7M +13.4% 0.08% EC
123 FERVO ENERGY COMPANY FRVO Jun 2026 57,870 NEW $1.7M 0.08% EC
124 DATABRICKS INC TC6XLXUH0 Sep 2024 5,763 $1.3M +17.2% 0.06% EP
125 BULLISH BLSH Mar 2026 51,716 $1.2M -34.4% 0.06% EC
126 SILA NANOTECHNOLOGIES INC TC5S9AX42 Sep 2024 47,688 $719K +38.8% 0.03% EP
127 MCGRAW HILL INC MH Mar 2026 72,371 -191,463 $685K -81.0% 0.03% EC
Monolithic Power Systems Inc. 609839105 28,859 SOLD $31.6M
Cencora Inc 03073E105 81,229 SOLD $25.5M
Ross Stores Inc 778296103 85,521 SOLD $18.5M
Ball Corporation 058498106 253,550 SOLD $15.0M
Ascendis Pharma A/S 04351P101 65,010 SOLD $14.9M
Markel Group Inc 570535104 6,297 SOLD $12.1M
Encompass Health Corporation 29261A100 123,368 SOLD $11.9M
Equifax Inc. 294429105 63,700 SOLD $11.5M
McCormick & Company, Incorporated 579780206 226,891 SOLD $11.4M
Zscaler Inc 98980G102 67,189 SOLD $9.4M
Texas Roadhouse Inc 882681109 48,548 SOLD $8.0M
Biogen Inc 09062X103 42,309 SOLD $7.8M
Topbuild Corporation 89055F103 21,500 SOLD $7.6M
Corpay Inc 219948106 22,336 SOLD $6.5M
Fortive Corporation 34959J108 109,145 SOLD $6.0M
Acuity Inc. 00508Y102 20,500 SOLD $5.7M
Apogee Therapeutics Inc. 03770N101 67,396 SOLD $5.7M
Rambus Inc. 750917106 64,256 SOLD $5.5M
Broadridge Financial Solutions Inc. 11133T103 31,100 SOLD $5.1M
Avantor Inc 05352A100 575,795 SOLD $4.5M
Amphenol Corporation 032095101 27,966 SOLD $3.5M
DraftKings Inc. 26142V105 161,882 SOLD $3.5M
QuidelOrtho Corp 219798105 125,683 SOLD $2.1M
Nuvalent Inc 670703107 19,546 SOLD $2.0M