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GSXCX

abrdn U.S. Small Cap Equity Fund
1W: -0.9% 1M: -3.8% 3M: -8.7% YTD: +13.8% 1Y: +15.7% 3Y: +56.9% 5Y: +152.8%
$32.62
+0.42 (+1.30%)
 
Weekly Expected Move ±1.3%
$31 $32 $32 $33 $33
ETF NASDAQ · AUM $377.0M
ETF-Level Metrics
AUM$377M
Holdings57
Top 10 Wt26.7%
Beta1.03
% Profitable85%
Coverage96%
Portfolio Valuation
P/E24.4
P/B3.0
P/S0.9
EV/EBITDA14.0
P/FCF13.1
PEG1.10
Profitability & Returns
Gross Margin16.5%
Net Margin3.6%
ROE12.5%
ROA2.5%
ROIC11.6%
Div Yield0.75%
Leverage & Liquidity
Debt/Equity0.79
Debt/Assets0.16
Net Debt/EBITDA0.2x
Interest Cov2.1x
Current Ratio0.51
Quick Ratio0.45
Growth (YoY)
Revenue+19.3%
Net Income+53.3%
EPS+52.5%
FCF+59.8%
EBITDA+37.2%
Rev CAGR 3Y+18.4%
Quality Scores
Piotroski F6.7
Altman Z3.83
IS Quality68.3
IS Overall59.9
IS Value50.2
Median P/E15.6

Sector Breakdown

12 sectors
Sector # Holdings Total Weight % Avg P/E
Other 2 102.8% —
Financial Services 10 20.9% 12.9
Healthcare 8 16.2% -42.9
Consumer Cyclical 9 14.3% 16.8
Industrials 9 13.7% 153.6
Technology 8 11.1% -96.0
Basic Materials 4 5.2% 33.0
Real Estate 3 4.5% 80.2
Consumer Defensive 3 4.5% 36.3
Energy 1 3.0% 10.5
Communication Services 1 1.6% 16.1
Utilities 1 1.3% 15.6

Smart Money Overlap

1 holdings with signals
Symbol Company Weight % Signals Badge Insider Buys Congress Since Signal
SKWD Skyward Specialty Insurance Group, Inc. 1.82% 4 Bullish 3 4 -5.9%
Showing 50 of 59 holdings · Page 1 of 2
# Name Ticker Weight % ▼ Mkt Value Shares P/E Mkt Cap Sector
1 Total Private — 100.00% $100 — — — —
2 MAGNOLIA OIL & GAS CORP - A MGY 3.03% $11.5M — 10.5 $5.7B Energy
3 Q2 Holdings Inc QTWO 2.94% $11.2M — 38.1 $3.5B Technology
4 KINIKSA PHARMACEUTICALS INTE Private — 2.81% $10.7M — — — —
5 WSFS Financial Corp WSFS 2.75% $10.5M — 13.1 $4.1B Financial Services
6 SEACOAST BANKING CORP/FL SBCF 2.71% $10.3M — 19.7 $3.2B Financial Services
7 Wintrust Financial Corp WTFC 2.70% $10.3M — 11.5 $9.8B Financial Services
8 CASELLA WASTE SYSTEMS INC-A CWST 2.57% $9.8M — 888.1 $5.2B Industrials
9 ANI Pharmaceuticals Inc ANIP 2.57% $9.8M — 14.9 $1.6B Healthcare
10 Travere Therapeutics Inc TVTX 2.52% $9.6M — -126.5 $5.3B Healthcare
11 PJT PARTNERS INC - A PJT 2.49% $9.5M — 15.4 $3.5B Financial Services
12 SUPERNUS PHARMACEUTICALS INC SUPN 2.42% $9.2M — -22.1 $2.5B Healthcare
13 Ameris Bancorp ABCB 2.41% $9.2M — 14.7 $5.5B Financial Services
14 Merit Medical Systems Inc MMSI 2.37% $9.0M — 34.8 $5.1B Healthcare
15 Brinker International Inc EAT 2.30% $8.8M — 18.1 $8.7B Consumer Cyclical
16 OneSpaWorld Holdings Ltd OSW 2.27% $8.6M — 29.5 $2.4B Consumer Cyclical
17 QUAKER CHEMICAL CORPORATION KWR 2.17% $8.3M — 28.5 $2.8B Basic Materials
18 BANNER CORPORATION BANR 2.16% $8.2M — 11.1 $2.3B Financial Services
19 CHEFS' WAREHOUSE INC/THE CHEF 2.13% $8.1M — 48.9 $4.7B Consumer Defensive
20 American Healthcare REIT Inc AHR 2.11% $8.0M — 74.6 $10.5B Real Estate
21 IMPINJ INC PI 2.10% $8.0M — -209.0 $5.8B Technology
22 AZZ Inc AZZ 2.10% $8.0M — 21.1 $4.2B Industrials
23 LIGAND PHARMACEUTICALS LGND 2.01% $7.6M — 30.3 $6.1B Healthcare
24 StoneX Group Inc SNEX 1.85% $7.1M — 10.7 $7.8B Financial Services
25 Blue Bird Corp BLBD 1.85% $7.1M — 6.7 $1.8B Consumer Cyclical
26 STEVEN MADDEN LTD SHOO 1.84% $7.0M — 22.8 $3.4B Consumer Cyclical
27 Boot Barn Holdings Inc BOOT 1.82% $6.9M — 15.3 $3.7B Consumer Cyclical
28 SKYWARD SPECIALTY INSURANCE SKWD 1.82% $6.9M — 12.4 $2.2B Financial Services
29 ARCBEST CORP ARCB 1.81% $6.9M — 189.4 $3.0B Industrials
30 Helios Technologies Inc HLIO 1.80% $6.9M — 33.2 $2.4B Industrials
31 ATMUS FILTRATION TECHNOLOGIE ATMU 1.75% $6.7M — 17.4 $3.7B Consumer Cyclical
32 Alphatec Holdings Inc ATEC 1.66% $6.3M — -13.9 $1.5B Healthcare
33 Ducommun Inc DCO 1.65% $6.3M — -96.9 $2.6B Industrials
34 CARGURUS INC CARG 1.65% $6.3M — 16.1 $2.9B Communication Services
35 Everus Construction Group ECG 1.60% $6.1M — 24.8 $6.3B Industrials
36 ARCUTIS BIOTHERAPEUTICS INC ARQT 1.59% $6.1M — 113.9 $3.1B Healthcare
37 Vita Coco Co Inc/The COCO 1.56% $5.9M — 29.2 $3.2B Consumer Defensive
38 SMARTSTOP SELF STORAGE REIT SMA 1.37% $5.2M — 63.5 $1.8B Real Estate
39 ONE GAS INC OGS 1.32% $5.0M — 15.6 $4.6B Utilities
40 Viavi Solutions Inc VIAV 1.27% $4.8M — -366.8 $11.6B Technology
41 KNOWLES CORP KN 1.24% $4.7M — 50.7 $3.4B Technology
42 MIRION TECHNOLOGIES INC MIR 1.19% $4.5M — 147.5 $3.6B Industrials
43 Garrett Motion Inc GTX 1.18% $4.5M — 14.5 $5.0B Consumer Cyclical
44 KNIFE RIVER CORP KNF 1.17% $4.4M — 20.5 $2.9B Basic Materials
45 JFrog Ltd FROG 1.17% $4.4M — -258.9 $11.6B Technology
46 ARTIVION INC AORT 1.07% $4.1M — -374.3 $1.1B Healthcare
47 HAMILTON LANE INC-CLASS A HLNE 1.05% $4.0M — 13.1 $4.8B Financial Services
48 CURBLINE PROPERTIES CORP CURB 1.01% $3.8M — 102.5 $3.3B Real Estate
49 NMI HOLDINGS INC NMIH 1.00% $3.8M — 7.5 $2.9B Financial Services
50 Ultra Clean Holdings Inc UCTT 0.98% $3.7M — -139.8 $3.3B Technology

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For informational purposes only. Not investment advice. Data sourced from SEC filings. Privacy Terms