Mid Cap Growth
Mid CapMid Cap
Alger Mid Cap Growth FundAMGCX

as of 7/7/2025
Fund Snapshot

  • Share ClassC
  • CUSIP015565815
  • Net Asset Value$9.53
  • Offering Price-
  • Daily Change (NAV)-0.63%
  • Minimum Investment$1,000
  • Annual Fund Operating Expenses
    (as of: 2/28/2025)
    2.01%

Investment Strategy

Primarily invests in growth equity securities of U.S. mid cap companies identified through our fundamental research as demonstrating promising growth potential. Seeks long-term capital appreciation.



Highlights

Asset Class:
U.S. Mid Cap Growth Equities

​Benchmark:
Russell Midcap Growth Index

Driver of Expected Return:
Stock select​io​n



​​​A Closer Look: Portfolio Manager Brandon Geisler explains the process behind the Alger Mid Cap Growth strategy.​

Management

Dan Chung, CFA
Chief Executive Officer, Chief Investment Officer,
Portfolio Manager
Brandon Geisler
Senior Vice President,
Portfolio Manager

Morningstar

(as of 4/30/2025)

Performance

 
YTD
as of (7/7/2025)
Effective date (3/31/2025) 
 1 Year1y3 Years3y5 Years5y10 Years10ySince Inception
(7/31/1997)
Without Sales Charge7.68%-3.74%-0.37%11.39%7.41%7.97%
With Sales Charge6.68%-4.71%-0.37%11.39%7.41%7.97%
Russell Midcap Growth10.52%3.57%6.16%14.86%10.14%8.82%
(Prospectus Dated February 28, 2025, unless otherwise amended)
Shareholder Fees (fees paid directly from your investment)
Maximum Sales Charge (load) Imposed on Purchases as a Percentage of Offering Price-
Maximum Deferred Sales Charge (load) as a Percentage of Purchase Price or Redemption Proceeds, Whichever is Lower1.00%
Annual Fund Operating Expenses (expenses that you pay each year as a percentage of the value of your investment)
Management Fees0.76%
Distribution and/or Service (12b-1) Fees1.00%
Other Expenses0.25%
Total Annual Fund Operating Expenses2.01%

Composition

Characteristics

(as of 3/31/2025)
Alger Mid Cap Growth FundRussell Midcap Growth Index
Number of Equity Holdings58288
Active Share73.79%-
Average Market Cap$33.11 bil$18.39 bil
Median Market Cap$28.46 bil$11.98 bil
Weighted Average Market Cap$40.44 bil$40.63 bil
P/E Ratio32.65x25.41x
Price/Book Ratio8.82x11.29x
Sales Growth (Next 12 Months)13.17%9.55%
EPS Growth (3-5 YR) Forecasted13.71%11.93%
Characteristics are sourced from FactSet, an independent source, using all available data. Fred Alger Management, LLC, makes no representation that FactSet is complete, reliable, or accurate. With the exception of active share, the calculation excludes cash.

Holdings

(as of 5/31/2025)
Name
Alger Mid Cap Growth Fund
Russell Midcap Growth Index
Active
Weight
GFL Environmental Inc4.82%0.00%4.82%
Palantir Technologies Inc. Class A4.57%8.57%-4.00%
Talen Energy Corp3.93%0.00%3.93%
AppLovin Corp. Class A3.77%3.25%0.52%
Constellation Software Inc.3.74%0.00%3.74%
Cloudflare Inc Class A3.55%1.60%1.95%
Vertiv Holdings Co. Class A2.91%1.22%1.69%
CBRE Group, Inc. Class A2.76%0.00%2.76%
Descartes Systems Group Inc.2.64%0.00%2.64%
Blue Owl Capital, Inc. Class A2.60%0.31%2.29%
(as of 4/30/2025)
Name
Alger Mid Cap Growth Fund
Russell Midcap Growth Index
Active
Weight
GFL Environmental Inc5.54%0.00%5.54%
Constellation Software Inc.4.16%0.00%4.16%
Talen Energy Corp3.08%0.00%3.08%
CBRE Group, Inc. Class A2.67%0.00%2.67%
TKO Group Holdings, Inc. Class A2.58%0.06%2.52%
Descartes Systems Group Inc.2.49%0.00%2.49%
Blue Owl Capital, Inc. Class A2.81%0.34%2.47%
Amphenol Corporation Class A2.21%0.00%2.21%
Spotify Technology SA2.19%0.00%2.19%
Intact Financial Corporation2.03%0.00%2.03%
(as of 4/30/2025)
Name
Alger Mid Cap Growth Fund
Russell Midcap Growth Index
Active
Weight
GFL Environmental Inc5.54%0.00%5.54%
Palantir Technologies Inc. Class A4.60%8.44%-3.84%
Constellation Software Inc.4.16%0.00%4.16%
Talen Energy Corp3.08%0.00%3.08%
Blue Owl Capital, Inc. Class A2.81%0.34%2.47%
CBRE Group, Inc. Class A2.67%0.00%2.67%
TKO Group Holdings, Inc. Class A2.58%0.06%2.52%
Verisk Analytics, Inc.2.57%1.45%1.12%
Cloudflare Inc Class A2.54%1.27%1.27%
Descartes Systems Group Inc.2.49%0.00%2.49%
Vertiv Holdings Co. Class A2.48%1.06%1.42%
Natera, Inc.2.43%0.60%1.83%
Axon Enterprise Inc2.28%1.54%0.74%
Amphenol Corporation Class A2.21%0.00%2.21%
Spotify Technology SA2.19%0.00%2.19%
AppLovin Corp. Class A2.14%2.44%-0.31%
Guidewire Software, Inc.2.13%0.26%1.86%
HEICO Corporation2.12%0.38%1.74%
Intact Financial Corporation2.03%0.00%2.03%
FTAI Aviation Ltd.2.02%0.00%2.02%
NVR, Inc.1.90%0.00%1.90%
Comfort Systems USA, Inc.1.77%0.48%1.29%
Hilton Worldwide Holdings Inc.1.76%0.96%0.80%
Ryan Specialty Holdings, Inc. Class A1.69%0.23%1.46%
Clearwater Analytics Holdings, Inc. Class A1.64%0.00%1.64%
CoStar Group, Inc.1.61%0.00%1.61%
Robinhood Markets, Inc. Class A1.51%0.00%1.51%
Repligen Corporation1.46%0.04%1.42%
Chipotle Mexican Grill, Inc.1.44%0.00%1.44%
O'Reilly Automotive, Inc.1.41%0.00%1.41%
Roblox Corp. Class A1.37%1.22%0.16%
Martin Marietta Materials, Inc.1.36%0.06%1.30%
Carvana Co. Class A1.35%0.32%1.03%
Globant SA1.33%0.13%1.20%
IDEXX Laboratories, Inc.1.22%1.22%0.00%
Fair Isaac Corporation1.21%1.38%-0.17%
Veeva Systems Inc Class A1.20%1.19%0.01%
Monolithic Power Systems, Inc.1.18%0.96%0.22%
Builders FirstSource, Inc.1.17%0.04%1.12%
Nu Holdings Ltd. Class A1.15%1.40%-0.24%
Ares Management Corporation1.04%0.98%0.07%
MSCI Inc. Class A0.84%0.83%0.01%
Paylocity Holding Corp.0.82%0.29%0.53%
West Pharmaceutical Services, Inc.0.82%0.32%0.49%
Marvell Technology, Inc.0.77%0.00%0.77%
United Rentals, Inc.0.74%0.35%0.39%
Pinterest, Inc. Class A0.68%0.52%0.16%
Astera Labs, Inc.0.54%0.01%0.53%
Procore Technologies Inc0.52%0.24%0.28%
e.l.f. Beauty, Inc.0.52%0.12%0.40%
Floor & Decor Holdings, Inc. Class A0.50%0.09%0.41%
Old Dominion Freight Line, Inc.0.50%1.03%-0.53%
SB TECHNOLOGY INC. SERIES E0.45%0.00%0.45%
Onto Innovation, Inc.0.37%0.05%0.31%
CROSSLINK VENTURES C LLC CLASS A SHARES0.35%0.00%0.35%
Wayfair, Inc. Class A0.27%0.00%0.27%
Global-e Online Ltd.0.26%0.00%0.26%
Vaxcyte, Inc.0.16%0.00%0.16%
CROSSLINK VENTURES C LLC CLASS B SHARES0.14%0.00%0.14%

Exposures

GICS Sector Allocations (%)Active Weight
Information Technology
2.20%
Industrials
5.05%
Financials
-0.87%
Consumer Discretionary
-5.12%
Communication Services
2.66%
Health Care
-6.66%
Real Estate
3.09%
Utilities
1.80%
Consumer Staples
-0.69%
Materials
0.31%
Energy
-3.73%
0102030
Alger Mid Cap Growth FundRussell Midcap Growth Index
(as of 5/31/2025)
Region (%)Active Weight
North America
-5.03%
Latin America
0.92%
Europe
2.18%
0102030405060708090
Alger Mid Cap Growth FundRussell Midcap Growth Index
(as of 5/31/2025)
Country (%)Active Weight
United States
-18.32%
Canada
13.29%
Sweden
2.18%
Brazil
-0.01%
Argentina
0.92%
0102030405060708090
Alger Mid Cap Growth FundRussell Midcap Growth Index
(as of 5/31/2025)
Market Capitalization (%)
> $50B
$15B - $50B
$7.5B - $15B
$1.5B - $7.5B
$750M - $1.5B
< $750M
01020304050
Alger Mid Cap Growth FundRussell Midcap Growth Index
(as of 3/31/2025)
Alger Mid Cap Growth Fund
Equity Holdings93.91%
Cash6.08%

Attribution (Gross)

(for 1-Year Period ended x/x/xx)
(for 1-Year Period ended 3/31/2025)
Alger Mid Cap Growth FundRussell Midcap GrowthAttribution
Analysis
Average
Weight (%)
Contribution to
Return (%)
Average
Weight (%)
Contribution to
Return (%)
Total
Effect (%)
Communication Services7.501.994.420.341.85
Information Technology29.602.8025.332.890.17
Materials1.56-0.321.27-0.25-0.13
Financials9.210.3712.400.79-0.30
Utilities0.77-0.151.410.59-0.32
Real Estate4.13-0.321.400.05-0.42
Industrials21.780.5018.240.67-0.62
Consumer Staples0.82-1.592.44-0.66-0.86
Health Care11.05-2.4714.42-1.79-1.06
Energy1.73-0.234.131.35-1.80
Consumer Discretionary10.50-2.5614.54-0.43-1.96
(for 1-Year Period ended x/x/xx)
(for 1-Year Period ended x/x/xx)
(for the quarter ended 3/31/2025)
ContributorsDetractors
Spotify Technology SAVertiv Holdings Co. Class A
GFL Environmental IncMarvell Technology, Inc.
HEICO CorporationGlobant SA
Guidewire Software, Inc.AppLovin Corp. Class A
Ryan Specialty Holdings, Inc. Class AAstera Labs, Inc.

Risk Metrics

(as of 3/31/2025)
Alger Mid Cap Growth FundRussell Midcap Growth Index
Alpha (5 Year)-3.010.00
Beta (5 Year)1.011.00
R-Squared0.931.00
Sharpe Ratio0.470.62
Information Ratio-0.49-
Capture Ratio0.911.00