BARON ASSET FUND

BARON INVESTMENT FUNDS TRUST (f/k/a BARON ASSET FUND) · 3 share classes

Actively managed U.S. equity fund
One fund, 3 share classes:BARAXBARIXBARUX
$4.02B NAV
52 positions · as of 2026-06-30 · filed 2026-08-28

Fund classification

Classified from what the fund holds · as of 2026 Q2

BARON ASSET FUND is an actively managed U.S. equity fund.

Asset class
Equity
Region
United States
Management
Actively managed
Fund type
Open-end fund

Fund profile

As filed in the prospectus · 2026 Q1

The investment goal of Baron Asset Fund (the Fund) is capital appreciation through long-term investments primarily in securities of mid-sized companies with undervalued assets or favorable growth prospects.

Strategy · summarised

The fund invests in equity securities of U.S. mid-sized companies, defined as those with market capitalizations between $2.5 billion and the largest constituent of the Russell Midcap Growth Index at reconstitution. The adviser selects securities based on its assessment of significant growth opportunities, sustainable competitive advantages, exceptional management, and attractive valuation. Because the fund pursues a long-term approach, a substantial portion of its assets may be invested in securities that have appreciated well beyond their original market capitalizations at purchase.

Expenses
1.05% 1.31%across 3 share classes
Share classExpense ratio
BARAX1.31%
BARIX1.05%
BARUX1.05%

Portfolio turnover 6.00% · as of 2026 Q1

Allocation

Asset groups · long / short shown separately, never netted · 2026 Q2

99.94%
of net assets
Stocks99.87%
Cash & short-term0.07%

Sector allocation

The same holdings as Allocation above, grouped by market sector instead of asset type · as of 2026 Q2

100%
of net assets
Information Technology50.5%
Industrials15.3%
Health Care9.4%
Financials8.9%
7 smaller15.9%

Government, Securitized and Cash are non-corporate buckets; International is foreign holdings we don’t sector-classify, and Other is the residual (held funds, unresolved names).

Latest quarter

What changed since the fund's previous filing

2026Q2 vs 2026Q1: 4 new3 exited

New: SPCX, CBRS, EW, State Street Global Advisors

Exited: SPACE EXPLORATION TECH CORP, Space Exploration Technologies, FND

Return profile

Chart:

Total return as filed — price change plus distributions reinvested · trailing figures to Apr 2026

Share class1-year3-year5-yearVolWorst fall
+5.13%+26.85%+5.26%12.44%-11.82%
+5.37%+27.85%+6.62%12.45%-11.77%
+5.36%+27.80%+6.58%12.44%-11.76%

These classes hold the same portfolio, so the 1.36pp spread over 5 years is the cost difference between them — roughly 0.27pp a year — not a difference in what they own.

Cumulative return· Jul 2023 – Apr 2026

May 2026 and Jun 2026 have been filed since the trailing figures were struck, so they are not in the table above or the curve — every figure here shares one cut-off, which is what makes them comparable with other funds.

Holdings

By % of NAV · equity positions carry filed share counts · every resolvable issuer links to its company page

Issuer%NAVValue
Space Exploration Technologies CorpSPCX34.06%$1.37B
Amphenol CorpAPH5.86%$235.96M
Quanta Services IncPWR4.50%$181.15M
Arch Capital Group Ltd3.62%$145.44M
IDEXX Laboratories IncIDXX3.39%$136.44M
Mettler-Toledo International IncMTD3.00%$120.91M
Verisk Analytics IncVRSK3.00%$120.73M
Guidewire Software IncGWRE2.64%$106.13M
Vertiv Holdings CoVRT2.41%$97.10M
Hyatt Hotels CorpH2.29%$92.12M
Showing 10 of 52Sign in to see more

Reported price is the fund's own reported value divided by its own reported shares at 2026-06-30 — not a live quote, and not what the fund paid.

Top 10 positions are 64.78% of net assets, top 25 84.11%, across 52 issuers.

See more of this fund's book

More positions with filed share counts, and the quarter-over-quarter change list rather than the largest few — free with an account, no card required.

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