Titelia

Holdings of Buffalo Blue Chip Growth Fund

Buffalo Funds · 87 declared positions · as of Mar 31, 2026

Original filing · Net assets 159M $ · Ten largest lines: 57.1 % of the equity sleeve

Country breakdown

Shares computed on the equity sleeve, the only part this site carries.

CountryLinesValue (USD)Share
US 79144.2M $95.75 %
NL 32.3M $1.54 %
TW 11.5M $0.98 %
GB 1981.2K $0.65 %
CA 1676.1K $0.45 %
JE 1534.8K $0.36 %
AU 1416.4K $0.28 %

Sector breakdown is published in no regulatory filing: neither Form N-PORT nor the LEI reference data carries an activity code. It is absent rather than estimated.

Positions

CompanySharesValue (USD)Weight
NVIDIA Corp 115,47520.1M $12.66 %
Apple Inc 56,68014.4M $9.05 %
Microsoft Corp 34,12512.6M $7.94 %
Alphabet Inc 35,05010.1M $6.34 %
Amazon.com Inc 39,4008.2M $5.16 %
Broadcom Inc 20,6826.4M $4.03 %
Meta Platforms Inc 8,9755.1M $3.23 %
Eli Lilly & Co 4,2253.9M $2.44 %
Mastercard Inc 5,2252.6M $1.64 %
Visa Inc 8,2652.5M $1.57 %
Tesla Inc 6,6252.5M $1.55 %
Netflix Inc 21,8252.1M $1.32 %
General Electric Co 5,5951.6M $1.00 %
Exxon Mobil Corp 9,0251.5M $0.96 %
Taiwan Semiconductor Manufacturing Co Ltd 4,3501.5M $0.92 %
Johnson & Johnson 4,9251.2M $0.76 %
Costco Wholesale Corp 1,2001.2M $0.75 %
Linde PLC 2,3801.2M $0.74 %
AbbVie Inc 5,3751.2M $0.74 %
Hilton Worldwide Holdings Inc 3,7501.1M $0.72 %
GE Vernova Inc 1,3001.1M $0.71 %
Abbott Laboratories 11,0251.1M $0.71 %
Parker-Hannifin Corp 1,2501.1M $0.70 %
Honeywell International Inc 4,7251.1M $0.67 %
Corning Inc 7,8501.1M $0.67 %
iShares Biotechnology ETF 6,1251M $0.65 %
ASML Holding NV 7801M $0.65 %
Westinghouse Air Brake Technologies Corp 4,0501M $0.64 %
Home Depot Inc/The 2,985981.7K $0.62 %
Shell PLC 10,550981.2K $0.62 %
APA Corp 22,725964.4K $0.61 %
O'Reilly Automotive Inc 10,370957.3K $0.60 %
Walmart Inc 7,625947.6K $0.60 %
Goldman Sachs Group Inc/The 1,100930.6K $0.59 %
Eaton Corp PLC 2,550912.1K $0.57 %
Berkshire Hathaway Inc 1,900910.5K $0.57 %
Amphenol Corp 7,175906.6K $0.57 %
Yum! Brands Inc 5,775897.9K $0.56 %
TJX Cos Inc/The 5,520881.5K $0.55 %
ServiceNow Inc 8,325870.4K $0.55 %
Advanced Micro Devices Inc 4,250864.6K $0.54 %
Arthur J Gallagher & Co 3,950855.5K $0.54 %
Seagate Technology Holdings PLC 2,175852.1K $0.54 %
Trane Technologies PLC 2,025843.9K $0.53 %
Xylem Inc/NY 7,025839.5K $0.53 %
Applied Materials Inc 2,450837.4K $0.53 %
T-Mobile US Inc 3,950829.6K $0.52 %
CRH PLC 7,700809.4K $0.51 %
Intuit Inc 1,870808.6K $0.51 %
NXP Semiconductors NV 4,050797.3K $0.50 %
Vertex Pharmaceuticals Inc 1,725770.3K $0.48 %
Thermo Fisher Scientific Inc 1,495734.8K $0.46 %
Union Pacific Corp 3,025733.9K $0.46 %
Stryker Corp 2,175714.7K $0.45 %
Oracle Corp 4,800706.1K $0.44 %
Arista Networks Inc 5,675696.8K $0.44 %
Ecolab Inc 2,600691.7K $0.44 %
Uber Technologies Inc 9,475681.5K $0.43 %
Danaher Corp 3,575677.8K $0.43 %
Shopify Inc 5,700676.1K $0.43 %
Micron Technology Inc 1,925650.3K $0.41 %
Cadence Design Systems Inc 2,325646K $0.41 %
Ameriprise Financial Inc 1,450644.4K $0.41 %
Cisco Systems, Inc. 8,250640.1K $0.40 %
Gilead Sciences Inc 4,575637.6K $0.40 %
JPMorgan Chase & Co 2,150632.4K $0.40 %
Select Sector Spdr Trust 7,650627.1K $0.39 %
Boston Scientific Corp 9,610603K $0.38 %
Palo Alto Networks Inc 3,760602.8K $0.38 %
Western Digital Corp 2,175588.3K $0.37 %
SiTime Corp 1,675578.5K $0.36 %
Vistra Corp 3,800571.3K $0.36 %
Medtronic PLC 6,550567.6K $0.36 %
Cloudflare Inc 2,700557.1K $0.35 %
Birkenstock Holding Plc 14,925534.8K $0.34 %
Intuitive Surgical Inc 1,150530.1K $0.33 %
Spotify Technology SA 1,025497K $0.31 %
Argenx SE 675492.9K $0.31 %
Vertiv Holdings Co 1,925482.4K $0.30 %
Bloom Energy Corp 3,350453.9K $0.29 %
Interactive Brokers Group Inc 6,725451K $0.28 %
Freeport-McMoRan Inc 7,550443.8K $0.28 %
HubSpot Inc 1,775433.3K $0.27 %
Booking Holdings Inc 100421K $0.26 %
BHP Group Ltd 5,725416.4K $0.26 %
UnitedHealth Group Inc 1,500405.9K $0.26 %
Wayfair Inc 3,625272.6K $0.17 %