THE ALGER FUNDS |
ALGER CAPITAL APPRECIATION FUND |
Schedule of Investments July 31, 2021 (Unaudited)
|
COMMON STOCKS—98.8% | SHARES | VALUE |
||||||
AEROSPACE & DEFENSE—1.2%
|
||||||||
TransDigm Group, Inc.*
|
61,968
|
$
|
39,727,065
|
|||||
AIR FREIGHT & LOGISTICS—0.6%
|
||||||||
XPO Logistics, Inc.*
|
134,738
|
18,686,813
|
||||||
APPAREL ACCESSORIES & LUXURY GOODS—1.9%
|
||||||||
Capri Holdings Ltd.*
|
247,958
|
13,962,515
|
||||||
Lululemon Athletica, Inc.*
|
47,253
|
18,909,233
|
||||||
LVMH Moet Hennessy Louis Vuitton SE
|
38,613
|
30,914,865
|
||||||
63,786,613
|
||||||||
APPLICATION SOFTWARE—10.4%
|
||||||||
Adobe, Inc.*
|
215,961
|
134,247,836
|
||||||
Autodesk, Inc.*
|
39,488
|
12,680,781
|
||||||
Cadence Design Systems, Inc.*
|
163,614
|
24,157,607
|
||||||
Coupa Software, Inc.*
|
51,185
|
11,107,145
|
||||||
Five9, Inc.*
|
155,090
|
31,218,066
|
||||||
Intuit, Inc.
|
92,982
|
49,277,671
|
||||||
RingCentral, Inc., Cl. A*
|
53,188
|
14,215,557
|
||||||
salesforce.com, Inc.*
|
264,101
|
63,893,955
|
||||||
The Trade Desk, Inc., Cl. A*
|
25,996
|
2,129,332
|
||||||
Unity Software, Inc.*
|
24,704
|
2,646,293
|
||||||
345,574,243
|
||||||||
AUTOMOBILE MANUFACTURERS—1.6%
|
||||||||
General Motors Co.*
|
405,758
|
23,063,285
|
||||||
Tesla, Inc.*
|
44,119
|
30,318,577
|
||||||
53,381,862
|
||||||||
AUTOMOTIVE RETAIL—1.7%
|
||||||||
Carvana Co., Cl. A*
|
46,611
|
15,734,009
|
||||||
Lithia Motors, Inc., Cl. A
|
109,801
|
41,419,133
|
||||||
57,153,142
|
||||||||
BIOTECHNOLOGY—0.9%
|
||||||||
Horizon Therapeutics PLC*
|
146,852
|
14,688,137
|
||||||
Natera, Inc.*
|
125,393
|
14,360,006
|
||||||
29,048,143
|
||||||||
CASINOS & GAMING—1.4%
|
||||||||
DraftKings, Inc., Cl. A*
|
311,564
|
15,110,854
|
||||||
Flutter Entertainment PLC*
|
36,892
|
6,288,859
|
||||||
MGM Resorts International
|
717,084
|
26,912,163
|
||||||
48,311,876
|
||||||||
CONSUMER FINANCE—0.1%
|
||||||||
Upstart Holdings, Inc.*
|
27,218
|
3,286,846
|
||||||
DATA PROCESSING & OUTSOURCED SERVICES—8.9%
|
||||||||
Fiserv, Inc.*
|
109,812
|
12,640,459
|
||||||
PayPal Holdings, Inc.*
|
316,118
|
87,099,993
|
||||||
Square, Inc., Cl. A*
|
132,239
|
32,697,415
|
||||||
Visa, Inc., Cl. A
|
659,718
|
162,547,918
|
||||||
294,985,785
|
||||||||
DIVERSIFIED SUPPORT SERVICES—0.6%
|
||||||||
Cintas Corp.
|
50,985
|
20,097,267
|
THE ALGER FUNDS |
ALGER CAPITAL APPRECIATION FUND |
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued) |
COMMON STOCKS-98.8% (CONT.)
|
SHARES |
VALUE |
||||||
ELECTRICAL COMPONENTS & EQUIPMENT—1.1%
|
||||||||
AMETEK, Inc.
|
82,122
|
$
|
11,419,064
|
|||||
Eaton Corp. PLC
|
161,451
|
25,517,331
|
||||||
36,936,395
|
||||||||
FINANCIAL EXCHANGES & DATA—1.2%
|
||||||||
CME Group, Inc., Cl. A
|
31,644
|
6,712,642
|
||||||
S&P Global, Inc.
|
75,139
|
32,213,592
|
||||||
38,926,234
|
||||||||
FOOD DISTRIBUTORS—0.1%
|
||||||||
Sysco Corp.
|
58,293
|
4,325,341
|
||||||
FOOTWEAR—1.3%
|
||||||||
NIKE, Inc., Cl. B
|
254,875
|
42,694,111
|
||||||
GENERAL MERCHANDISE STORES—0.6%
|
||||||||
Target Corp.
|
75,298
|
19,656,543
|
||||||
HEALTHCARE EQUIPMENT—4.9%
|
||||||||
Danaher Corp.
|
271,007
|
80,621,872
|
||||||
Dexcom, Inc.*
|
23,887
|
12,313,987
|
||||||
Intuitive Surgical, Inc.*
|
47,407
|
47,002,144
|
||||||
Medtronic PLC
|
176,695
|
23,201,821
|
||||||
163,139,824
|
||||||||
HEALTHCARE SERVICES—0.2%
|
||||||||
Guardant Health, Inc.*
|
74,356
|
8,164,289
|
||||||
HEALTHCARE SUPPLIES—0.8%
|
||||||||
Align Technology, Inc.*
|
36,793
|
25,600,569
|
||||||
HEALTHCARE TECHNOLOGY—0.1%
|
||||||||
Veeva Systems, Inc., Cl. A*
|
14,947
|
4,973,016
|
||||||
HOME IMPROVEMENT RETAIL—0.7%
|
||||||||
Lowe's Cos., Inc.
|
113,371
|
21,845,458
|
||||||
HOTELS RESORTS & CRUISE LINES—1.1%
|
||||||||
Expedia Group, Inc.*
|
229,161
|
36,865,130
|
||||||
INDUSTRIAL GASES—0.2%
|
||||||||
Air Products & Chemicals, Inc.
|
27,895
|
8,118,282
|
||||||
INTERACTIVE HOME ENTERTAINMENT—0.4%
|
||||||||
Sea Ltd.#,*
|
43,021
|
11,880,679
|
||||||
INTERACTIVE MEDIA & SERVICES—10.1%
|
||||||||
Alphabet, Inc., Cl. C*
|
62,659
|
169,456,253
|
||||||
Facebook, Inc., Cl. A*
|
307,922
|
109,712,608
|
||||||
Pinterest, Inc., Cl. A*
|
197,472
|
11,631,101
|
||||||
Snap, Inc., Cl. A*
|
611,167
|
45,483,048
|
||||||
336,283,010
|
||||||||
INTERNET & DIRECT MARKETING RETAIL—7.1%
|
||||||||
Altaba, Inc.*,@,(a)
|
259,825
|
3,058,140
|
||||||
Amazon.com, Inc.*
|
70,314
|
233,976,163
|
||||||
237,034,303
|
||||||||
INTERNET SERVICES & INFRASTRUCTURE—2.9%
|
||||||||
Shopify, Inc., Cl. A*
|
33,213
|
49,817,175
|
||||||
Snowflake, Inc., Cl. A*
|
39,447
|
10,481,857
|
||||||
Twilio, Inc., Cl. A*
|
93,995
|
35,115,592
|
||||||
95,414,624
|
THE ALGER FUNDS |
ALGER CAPITAL APPRECIATION FUND |
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued) |
COMMON STOCKS—98.8% (CONT.)
|
SHARES
|
VALUE
|
||||||
INVESTMENT BANKING & BROKERAGE—0.7%
|
||||||||
Morgan Stanley
|
247,042
|
$
|
23,711,091
|
|||||
MANAGED HEALTHCARE—0.8%
|
||||||||
UnitedHealth Group, Inc.
|
63,108
|
26,014,380
|
||||||
MOVIES & ENTERTAINMENT—2.3%
|
||||||||
Live Nation Entertainment, Inc.*
|
264,611
|
20,875,162
|
||||||
Netflix, Inc.*
|
26,187
|
13,553,605
|
||||||
Roku, Inc., Cl. A*
|
96,252
|
41,225,694
|
||||||
75,654,461
|
||||||||
OIL & GAS EQUIPMENT & SERVICES—0.1%
|
||||||||
Schlumberger NV
|
77,765
|
2,241,965
|
||||||
OIL & GAS EXPLORATION & PRODUCTION—0.1%
|
||||||||
Pioneer Natural Resources Co.
|
15,126
|
2,198,867
|
||||||
PERSONAL PRODUCTS—0.5%
|
||||||||
The Estee Lauder Cos., Inc., Cl. A
|
50,730
|
16,935,196
|
||||||
PHARMACEUTICALS—1.0%
|
||||||||
Eli Lilly & Co.
|
37,352
|
9,095,212
|
||||||
Zoetis, Inc., Cl. A
|
120,434
|
24,411,972
|
||||||
33,507,184
|
||||||||
RAILROADS—0.7%
|
||||||||
Union Pacific Corp.
|
99,956
|
21,866,375
|
||||||
REGIONAL BANKS—0.5%
|
||||||||
Signature Bank
|
80,394
|
18,247,026
|
||||||
RESEARCH & CONSULTING SERVICES—0.3%
|
||||||||
CoStar Group, Inc.*
|
108,533
|
9,643,157
|
||||||
RESTAURANTS—2.0%
|
||||||||
Chipotle Mexican Grill, Inc., Cl. A*
|
19,912
|
37,104,817
|
||||||
Starbucks Corp.
|
231,576
|
28,120,274
|
||||||
65,225,091
|
||||||||
SEMICONDUCTOR EQUIPMENT—2.5%
|
||||||||
Applied Materials, Inc.
|
115,081
|
16,103,284
|
||||||
Enphase Energy, Inc.*
|
73,186
|
13,876,066
|
||||||
Lam Research Corp.
|
71,637
|
45,662,140
|
||||||
SolarEdge Technologies, Inc.*
|
35,048
|
9,094,255
|
||||||
84,735,745
|
||||||||
SEMICONDUCTORS—7.2%
|
||||||||
Advanced Micro Devices, Inc.*
|
401,607
|
42,646,647
|
||||||
Micron Technology, Inc.*
|
247,635
|
19,211,523
|
||||||
NVIDIA Corp.
|
358,732
|
69,949,153
|
||||||
NXP Semiconductors NV
|
164,339
|
33,917,926
|
||||||
QUALCOMM, Inc.
|
266,356
|
39,900,129
|
||||||
Taiwan Semiconductor Manufacturing Co., Ltd.#
|
293,492
|
34,232,907
|
||||||
239,858,285
|
||||||||
SPECIALTY CHEMICALS—0.5%
|
||||||||
The Sherwin-Williams Co.
|
60,610
|
17,639,328
|
||||||
SYSTEMS SOFTWARE—11.3%
|
||||||||
Crowdstrike Holdings, Inc., Cl. A*
|
119,371
|
30,273,679
|
||||||
Microsoft Corp.
|
1,123,973
|
320,231,147
|
||||||
SentinelOne, Inc., Cl. A*
|
45,602
|
2,248,635
|
THE ALGER FUNDS |
ALGER CAPITAL APPRECIATION FUND |
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued) | ||
COMMON STOCKS—98.8% (CONT.)
|
SHARES |
VALUE |
||||||
SYSTEMS SOFTWARE—11.3% (CONT.)
|
||||||||
ServiceNow, Inc.*
|
37,849
|
$
|
22,251,049
|
|||||
375,004,510
|
||||||||
TECHNOLOGY HARDWARE STORAGE & PERIPHERALS—5.0%
|
||||||||
Apple, Inc.
|
1,140,653
|
166,375,647
|
||||||
TRUCKING—0.5%
|
||||||||
Lyft, Inc., Cl. A*
|
42,074
|
2,327,534
|
||||||
Uber Technologies, Inc.*
|
316,009
|
13,733,751
|
||||||
16,061,285
|
||||||||
WIRELESS TELECOMMUNICATION SERVICES—0.7%
|
||||||||
T-Mobile US, Inc.*
|
172,280
|
24,811,766
|
||||||
TOTAL COMMON STOCKS
|
||||||||
(Cost $1,696,115,429)
|
3,285,628,822
|
REAL ESTATE INVESTMENT TRUST—0.2%
|
SHARES
|
VALUE
|
||||||
RETAIL—0.2%
|
||||||||
Simon Property Group, Inc.
|
57,970
|
7,334,365
|
||||||
(Cost $5,217,588)
|
7,334,365
|
SPECIAL PURPOSE VEHICLE—0.1%
|
SHARES
|
VALUE
|
||||||
DATA PROCESSING & OUTSOURCED SERVICES—0.1%
|
||||||||
Crosslink Ventures Capital LLC, Cl. A*,@,(a),(b)
|
111
|
4,351,644
|
||||||
(Cost $2,775,000)
|
4,351,644
|
|||||||
Total Investments
|
||||||||
(Cost $1,704,108,017)
|
99.1
|
%
|
$
|
3,297,314,831
|
||||
Affiliated Securities (Cost $2,775,000)
|
4,351,644
|
|||||||
Unaffiliated Securities (Cost $1,701,333,017)
|
3,292,963,187
|
|||||||
Other Assets in Excess of Liabilities
|
0.9
|
%
|
30,489,810
|
|||||
NET ASSETS
|
100.0
|
%
|
$
|
3,327,804,641
|
#
|
American Depositary Receipts.
|
(a)
|
Security is valued in good faith at fair value determined using significant
unobservable inputs pursuant to procedures established by the Board.
|
(b)
|
Deemed an affiliate of the Fund in accordance with Section 2(a)(3) of the Investment Company Act
of 1940. See Note 5 - Affiliated Securities.
|
*
|
Non-income producing security.
|
@
|
Restricted security - Investment in security not
registered under the Securities Act of 1933. Sales or transfers of the investment may be restricted only to qualified buyers.
|
Security
|
Acquisition
Date(s)
|
Acquisition
Cost
|
% of net assets
(Acquisition
Date)
|
Market
Value
|
% of net assets
as of
7/31/2021
|
||||||||||||
Altaba, Inc.
|
10/24/18
|
$
|
805,470
|
0.03
|
%
|
$
|
539,278
|
0.02
|
%
|
||||||||
Altaba, Inc.
|
10/25/18
|
1,188,343
|
0.04
|
%
|
791,850
|
0.02
|
%
|
||||||||||
Altaba, Inc.
|
10/29/18
|
1,156,773
|
0.04
|
%
|
802,643
|
0.02
|
%
|
||||||||||
Altaba, Inc.
|
10/30/18
|
751,641
|
0.03
|
%
|
531,357
|
0.02
|
%
|
||||||||||
Altaba, Inc.
|
10/31/18
|
271,272
|
0.01
|
%
|
182,553
|
0.00
|
%
|
||||||||||
Altaba, Inc.
|
11/6/18
|
321,297
|
0.01
|
%
|
210,459
|
0.01
|
%
|
||||||||||
Crosslink Ventures Capital LLC, Cl. A | 10/2/20 | 2,775,000 |
0.08 |
% |
4,351,644 |
0.13 |
% |
||||||||||
Total |
$ |
7,409,784 | 0.22 |
% |
THE ALGER FUNDS |
ALGER 35 FUND |
|
Schedule of Investments July 31, 2021 (Unaudited)
|
COMMON STOCKS-97.0% |
SHARES |
VALUE |
||||||
AEROSPACE & DEFENSE—3.9%
|
||||||||
HEICO Corp.
|
12,009
|
$
|
1,624,217
|
|||||
APPLICATION SOFTWARE—7.5%
|
||||||||
Adobe, Inc.*
|
2,043
|
1,269,990
|
||||||
Datadog, Inc., Cl. A*
|
7,331
|
811,542
|
||||||
Paycom Software, Inc.*
|
1,681
|
672,400
|
||||||
The Trade Desk, Inc., Cl. A*
|
4,715
|
386,205
|
||||||
3,140,137
|
||||||||
BIOTECHNOLOGY—2.2%
|
||||||||
Natera, Inc.*
|
7,926
|
907,686
|
||||||
DATA PROCESSING & OUTSOURCED SERVICES—11.7%
|
||||||||
Marqeta, Inc., Cl. A*
|
41,153
|
1,104,135
|
||||||
PayPal Holdings, Inc.*
|
5,920
|
1,631,138
|
||||||
Square, Inc., Cl. A*
|
2,289
|
565,978
|
||||||
Visa, Inc., Cl. A
|
6,349
|
1,564,330
|
||||||
4,865,581
|
||||||||
FINANCIAL EXCHANGES & DATA—2.9%
|
||||||||
S&P Global, Inc.
|
2,836
|
1,215,850
|
||||||
HEALTHCARE EQUIPMENT—7.0%
|
||||||||
Dexcom, Inc.*
|
1,885
|
971,736
|
||||||
Intuitive Surgical, Inc.*
|
1,958
|
1,941,279
|
||||||
2,913,015
|
||||||||
HEALTHCARE TECHNOLOGY—2.7%
|
||||||||
Veeva Systems, Inc., Cl. A*
|
3,379
|
1,124,227
|
||||||
INTERACTIVE MEDIA & SERVICES—10.1%
|
||||||||
Alphabet, Inc., Cl. C*
|
464
|
1,254,851
|
||||||
Genius Sports Ltd.*
|
54,324
|
930,027
|
||||||
Pinterest, Inc., Cl. A*
|
20,520
|
1,208,628
|
||||||
Snap, Inc., Cl. A*
|
11,098
|
825,913
|
||||||
4,219,419
|
||||||||
INTERNET & DIRECT MARKETING RETAIL—9.7%
|
||||||||
Amazon.com, Inc.*
|
1,046
|
3,480,659
|
||||||
MercadoLibre, Inc.*
|
367
|
575,713
|
||||||
4,056,372
|
||||||||
INTERNET SERVICES & INFRASTRUCTURE—1.5%
|
||||||||
Shopify, Inc., Cl. A*
|
409
|
613,471
|
||||||
LIFE SCIENCES TOOLS & SERVICES—2.6%
|
||||||||
Bio-Techne Corp.
|
2,265
|
1,092,274
|
||||||
OIL & GAS EQUIPMENT & SERVICES—1.4%
|
||||||||
Core Laboratories NV
|
17,419
|
581,098
|
||||||
PHARMACEUTICALS—2.0%
|
||||||||
Catalent, Inc.*
|
7,047
|
844,301
|
||||||
RESEARCH & CONSULTING SERVICES—2.1%
|
||||||||
CoStar Group, Inc.*
|
9,890
|
878,726
|
||||||
RESTAURANTS—2.0%
|
||||||||
Shake Shack, Inc., Cl. A*
|
8,138
|
818,195
|
||||||
SEMICONDUCTOR EQUIPMENT—7.3%
|
||||||||
Applied Materials, Inc.
|
15,622
|
2,185,986
|
THE ALGER FUNDS |
ALGER 35 FUND |
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—97.0% (CONT.)
|
SHARES
|
VALUE
|
||||||
SEMICONDUCTOR EQUIPMENT—7.3% (CONT.)
|
||||||||
SolarEdge Technologies, Inc.*
|
3,239
|
$
|
840,456
|
|||||
3,026,442
|
||||||||
SEMICONDUCTORS—6.9%
|
||||||||
Advanced Micro Devices, Inc.*
|
8,017
|
851,325
|
||||||
QUALCOMM, Inc.
|
5,633
|
843,824
|
||||||
Taiwan Semiconductor Manufacturing Co., Ltd.#
|
10,141
|
1,182,846
|
||||||
2,877,995
|
||||||||
SYSTEMS SOFTWARE—10.4%
|
||||||||
Crowdstrike Holdings, Inc., Cl. A*
|
3,429
|
869,629
|
||||||
Microsoft Corp.
|
12,164
|
3,465,645
|
||||||
4,335,274
|
||||||||
TECHNOLOGY HARDWARE STORAGE & PERIPHERALS—3.1%
|
||||||||
Apple, Inc.
|
8,756
|
1,277,150
|
||||||
TOTAL COMMON STOCKS
|
||||||||
(Cost $32,220,727)
|
40,411,430
|
|||||||
REAL ESTATE INVESTMENT TRUST—1.4%
|
SHARES
|
VALUE
|
||||||
RETAIL—1.4%
|
||||||||
Simon Property Group, Inc.
|
4,455
|
563,647
|
||||||
(Cost $461,809)
|
563,647
|
|||||||
Total Investments
|
||||||||
(Cost $32,682,536)
|
98.4
|
%
|
$
|
40,975,077
|
||||
Unaffiliated Securities (Cost $32,682,536)
|
40,975,077
|
|||||||
Other Assets in Excess of Liabilities
|
1.6
|
%
|
684,788
|
|||||
NET ASSETS
|
100.0
|
%
|
$
|
41,659,865
|
*
|
Non-income producing security.
|
#
|
American Depositary Receipts.
|
THE ALGER FUNDS |
ALGER GROWTH & INCOME FUND |
|
Schedule of Investments July 31, 2021 (Unaudited)
|
COMMON STOCKS—91.5%
|
SHARES
|
VALUE
|
||||||
AEROSPACE & DEFENSE—1.5%
|
||||||||
General Dynamics Corp.
|
4,078
|
$
|
799,411
|
|||||
Raytheon Technologies Corp.
|
8,937
|
777,072
|
||||||
TransDigm Group, Inc.*
|
1,079
|
691,736
|
||||||
2,268,219
|
||||||||
ASSET MANAGEMENT & CUSTODY BANKS—4.4%
|
||||||||
BlackRock, Inc., Cl. A
|
3,473
|
3,011,681
|
||||||
The Blackstone Group, Inc.
|
21,938
|
2,528,793
|
||||||
The Carlyle Group, Inc.
|
22,818
|
1,151,625
|
||||||
6,692,099
|
||||||||
AUTOMOBILE MANUFACTURERS—0.2%
|
||||||||
General Motors Co.*
|
5,440
|
309,210
|
||||||
BIOTECHNOLOGY—2.3%
|
||||||||
AbbVie, Inc.
|
19,027
|
2,212,840
|
||||||
Amgen, Inc.
|
2,814
|
679,693
|
||||||
Gilead Sciences, Inc.
|
9,368
|
639,741
|
||||||
3,532,274
|
||||||||
BROADCASTING—0.2%
|
||||||||
ViacomCBS, Inc., Cl. B
|
6,820
|
279,143
|
||||||
BUILDING PRODUCTS—0.6%
|
||||||||
Johnson Controls International PLC
|
13,534
|
966,598
|
||||||
CABLE & SATELLITE—1.5%
|
||||||||
Comcast Corp., Cl. A
|
37,618
|
2,213,067
|
||||||
COMMODITY CHEMICALS—0.4%
|
||||||||
Dow, Inc.
|
8,651
|
537,746
|
||||||
COMMUNICATIONS EQUIPMENT—1.2%
|
||||||||
Cisco Systems, Inc.
|
32,297
|
1,788,285
|
||||||
CONSTRUCTION MACHINERY & HEAVY TRUCKS—0.2%
|
||||||||
PACCAR, Inc.
|
3,193
|
264,987
|
||||||
CONSUMER ELECTRONICS—0.7%
|
||||||||
Garmin Ltd.
|
6,386
|
1,003,879
|
||||||
COPPER—0.4%
|
||||||||
Southern Copper Corp.
|
10,006
|
656,794
|
||||||
DATA PROCESSING & OUTSOURCED SERVICES—1.3%
|
||||||||
Visa, Inc., Cl. A
|
8,062
|
1,986,396
|
||||||
DIVERSIFIED BANKS—5.2%
|
||||||||
Bank of America Corp.
|
53,089
|
2,036,494
|
||||||
JPMorgan Chase & Co.
|
38,426
|
5,832,298
|
||||||
7,868,792
|
||||||||
ELECTRIC UTILITIES—0.7%
|
||||||||
NextEra Energy, Inc.
|
13,080
|
1,018,932
|
||||||
ELECTRICAL COMPONENTS & EQUIPMENT—1.0%
|
||||||||
Eaton Corp. PLC
|
9,753
|
1,541,462
|
||||||
FINANCIAL EXCHANGES & DATA—1.2%
|
||||||||
CME Group, Inc., Cl. A
|
8,293
|
1,759,194
|
||||||
FOOD DISTRIBUTORS—0.5%
|
||||||||
Sysco Corp.
|
10,761
|
798,466
|
||||||
HEALTHCARE EQUIPMENT—0.9%
|
||||||||
Medtronic PLC
|
9,912
|
1,301,545
|
THE ALGER FUNDS |
ALGER GROWTH & INCOME FUND |
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—91.5% (CONT.)
|
SHARES
|
VALUE
|
||||||
HEALTHCARE SERVICES—1.1%
|
||||||||
CVS Health Corp.
|
20,050
|
$
|
1,651,318
|
|||||
HOME IMPROVEMENT RETAIL—2.8%
|
||||||||
The Home Depot, Inc.
|
13,121
|
4,306,181
|
||||||
HOUSEHOLD PRODUCTS—1.5%
|
||||||||
The Procter & Gamble Co.
|
16,518
|
2,349,355
|
||||||
HYPERMARKETS & SUPER CENTERS—0.8%
|
||||||||
Walmart, Inc.
|
8,590
|
1,224,504
|
||||||
INDUSTRIAL CONGLOMERATES—2.2%
|
||||||||
Honeywell International, Inc.
|
14,404
|
3,367,511
|
||||||
INDUSTRIAL GASES—1.1%
|
||||||||
Air Products & Chemicals, Inc.
|
5,816
|
1,692,630
|
||||||
INTEGRATED OIL & GAS—2.1%
|
||||||||
Chevron Corp.
|
15,195
|
1,547,003
|
||||||
Exxon Mobil Corp.
|
14,685
|
845,415
|
||||||
TotalEnergies SE#
|
18,551
|
809,380
|
||||||
3,201,798
|
||||||||
INTEGRATED TELECOMMUNICATION SERVICES—2.0%
|
||||||||
AT&T, Inc.
|
31,054
|
871,065
|
||||||
Verizon Communications, Inc.
|
37,786
|
2,107,703
|
||||||
2,978,768
|
||||||||
INTERACTIVE MEDIA & SERVICES—9.7%
|
||||||||
Alphabet, Inc., Cl. A*
|
2,072
|
5,583,066
|
||||||
Alphabet, Inc., Cl. C*
|
1,941
|
5,249,279
|
||||||
Facebook, Inc., Cl. A*
|
10,765
|
3,835,570
|
||||||
14,667,915
|
||||||||
INTERNET & DIRECT MARKETING RETAIL—2.2%
|
||||||||
Amazon.com, Inc.*
|
1,013
|
3,370,849
|
||||||
INVESTMENT BANKING & BROKERAGE—2.9%
|
||||||||
Morgan Stanley
|
45,840
|
4,399,723
|
||||||
MANAGED HEALTHCARE—2.2%
|
||||||||
UnitedHealth Group, Inc.
|
8,036
|
3,312,600
|
||||||
MULTI-LINE INSURANCE—0.4%
|
||||||||
The Hartford Financial Services Group, Inc.
|
9,936
|
632,128
|
||||||
MULTI-UTILITIES—0.5%
|
||||||||
Sempra Energy
|
5,566
|
727,198
|
||||||
OIL & GAS STORAGE & TRANSPORTATION—0.3%
|
||||||||
ONEOK, Inc.
|
10,099
|
524,845
|
||||||
PHARMACEUTICALS—6.0%
|
||||||||
AstraZeneca PLC#
|
14,699
|
841,371
|
||||||
Bristol-Myers Squibb Co.
|
13,462
|
913,666
|
||||||
Eli Lilly & Co.
|
4,391
|
1,069,209
|
||||||
GlaxoSmithKline PLC#,(a)
|
19,014
|
763,222
|
||||||
Johnson & Johnson
|
16,211
|
2,791,534
|
||||||
Merck & Co., Inc.
|
10,553
|
811,209
|
||||||
Novartis AG#
|
8,155
|
753,440
|
||||||
Pfizer, Inc.
|
28,623
|
1,225,351
|
||||||
9,169,002
|
THE ALGER FUNDS |
ALGER GROWTH & INCOME FUND |
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—91.5% (CONT.)
|
SHARES
|
VALUE
|
||||||
RAILROADS—0.7%
|
||||||||
Union Pacific Corp.
|
4,822
|
$
|
1,054,861
|
|||||
RESTAURANTS—1.3%
|
||||||||
McDonald's Corp.
|
4,437
|
1,076,904
|
||||||
Starbucks Corp.
|
7,343
|
891,661
|
||||||
1,968,565
|
||||||||
SEMICONDUCTOR EQUIPMENT—2.1%
|
||||||||
KLA Corp.
|
9,338
|
3,251,118
|
||||||
SEMICONDUCTORS—4.2%
|
||||||||
Broadcom, Inc.
|
6,013
|
2,918,710
|
||||||
QUALCOMM, Inc.
|
15,442
|
2,313,212
|
||||||
Taiwan Semiconductor Manufacturing Co., Ltd.#
|
10,109
|
1,179,114
|
||||||
6,411,036
|
||||||||
SOFT DRINKS—2.6%
|
||||||||
PepsiCo, Inc.
|
13,893
|
2,180,506
|
||||||
The Coca-Cola Co.
|
31,149
|
1,776,428
|
||||||
3,956,934
|
||||||||
SYSTEMS SOFTWARE—9.4%
|
||||||||
Microsoft Corp.
|
50,311
|
14,334,107
|
||||||
TECHNOLOGY HARDWARE STORAGE & PERIPHERALS—7.9%
|
||||||||
Apple, Inc.
|
82,465
|
12,028,345
|
||||||
TOBACCO—1.1%
|
||||||||
Altria Group, Inc.
|
21,102
|
1,013,740
|
||||||
Philip Morris International, Inc.
|
7,160
|
716,644
|
||||||
1,730,384
|
||||||||
TOTAL COMMON STOCKS
|
||||||||
(Cost $49,594,752)
|
139,098,763
|
|||||||
MASTER LIMITED PARTNERSHIP—0.5%
|
SHARES
|
VALUE
|
||||||
OIL & GAS STORAGE & TRANSPORTATION—0.5%
|
||||||||
Cheniere Energy Partners LP
|
17,250
|
729,158
|
||||||
(Cost $584,259)
|
729,158
|
|||||||
REAL ESTATE INVESTMENT TRUST—5.0%
|
SHARES
|
VALUE
|
||||||
HEALTHCARE—0.6%
|
||||||||
Welltower, Inc.
|
10,370
|
900,738
|
||||||
INDUSTRIAL—0.5%
|
||||||||
Americold Realty Trust
|
19,006
|
738,383
|
||||||
MORTGAGE—0.7%
|
||||||||
Blackstone Mortgage Trust, Inc., Cl. A
|
33,724
|
1,093,332
|
||||||
RETAIL—0.7%
|
||||||||
Simon Property Group, Inc.
|
8,560
|
1,083,011
|
||||||
SPECIALIZED—2.5%
|
||||||||
Crown Castle International Corp.
|
11,708
|
2,260,698
|
||||||
CyrusOne, Inc.
|
9,552
|
680,771
|
||||||
Lamar Advertising Co., Cl. A
|
7,743
|
825,404
|
||||||
3,766,873
|
||||||||
TOTAL REAL ESTATE INVESTMENT TRUST
|
||||||||
(Cost $4,842,224)
|
7,582,337
|
THE ALGER FUNDS |
ALGER GROWTH & INCOME FUND |
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
SHORT—TERM INVESTMENTS—0.2%
|
SHARES
|
VALUE
|
||||||
MONEY MARKET FUND—0.2%
|
||||||||
Invesco Government & Agency Portfolio, Cl. Institutional, 0.03%
|
246,483
|
$
|
246,483
|
|||||
(Cost $246,483)
|
246,483
|
|||||||
Total Investments
|
||||||||
(Cost $55,267,718)
|
97.2
|
%
|
$
|
147,656,741
|
||||
Unaffiliated Securities (Cost $55,267,718)
|
147,656,741
|
|||||||
Other Assets in Excess of Liabilities
|
2.8
|
%
|
4,261,486
|
|||||
NET ASSETS
|
100.0
|
%
|
$
|
151,918,227
|
#
|
American Depositary Receipts.
|
(a)
|
All or portion of the security is on loan.
|
*
|
Non-income producing security.
|
THE ALGER FUNDS
|
ALGER MID CAP GROWTH FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited)
|
COMMON STOCKS—95.9%
|
SHARES
|
VALUE
|
||||||
ADVERTISING—1.4%
|
||||||||
Magnite, Inc.*
|
142,557
|
$
|
4,319,477
|
|||||
AEROSPACE & DEFENSE—2.0%
|
||||||||
HEICO Corp.
|
32,776
|
4,432,954
|
||||||
Textron, Inc.
|
23,224
|
1,602,688
|
||||||
6,035,642
|
||||||||
AIR FREIGHT & LOGISTICS—0.7%
|
||||||||
XPO Logistics, Inc.*
|
16,367
|
2,269,939
|
||||||
APPAREL ACCESSORIES & LUXURY GOODS—3.0%
|
||||||||
Capri Holdings Ltd.*
|
31,216
|
1,757,773
|
||||||
Lululemon Athletica, Inc.*
|
11,217
|
4,488,707
|
||||||
Moncler SpA
|
42,736
|
2,935,101
|
||||||
9,181,581
|
||||||||
APPAREL RETAIL—0.4%
|
||||||||
Burlington Stores, Inc.*
|
3,360
|
1,124,928
|
||||||
APPLICATION SOFTWARE—18.6%
|
||||||||
ANSYS, Inc.*
|
7,297
|
2,688,652
|
||||||
Avalara, Inc.*
|
18,229
|
3,047,342
|
||||||
Bill.com Holdings, Inc.*
|
18,210
|
3,766,192
|
||||||
Cadence Design Systems, Inc.*
|
19,332
|
2,854,370
|
||||||
Coupa Software, Inc.*
|
8,309
|
1,803,053
|
||||||
Datadog, Inc., Cl. A*
|
28,124
|
3,113,327
|
||||||
DocuSign, Inc., Cl. A*
|
17,973
|
5,356,673
|
||||||
Dynatrace, Inc.*
|
49,475
|
3,159,968
|
||||||
Fair Isaac Corp.*
|
5,259
|
2,755,243
|
||||||
Five9, Inc.*
|
25,476
|
5,128,064
|
||||||
HubSpot, Inc.*
|
3,445
|
2,053,289
|
||||||
Manhattan Associates, Inc.*
|
29,091
|
4,643,796
|
||||||
Paycom Software, Inc.*
|
15,588
|
6,235,200
|
||||||
PTC, Inc.*
|
28,913
|
3,916,266
|
||||||
Sprout Social, Inc., Cl. A*
|
41,957
|
3,727,460
|
||||||
The Trade Desk, Inc., Cl. A*
|
36,742
|
3,009,537
|
||||||
57,258,432
|
||||||||
AUTOMOTIVE RETAIL—1.7%
|
||||||||
Advance Auto Parts, Inc.
|
3,656
|
775,291
|
||||||
Carvana Co., Cl. A*
|
8,180
|
2,761,241
|
||||||
Lithia Motors, Inc., Cl. A
|
4,577
|
1,726,536
|
||||||
5,263,068
|
||||||||
BIOTECHNOLOGY—6.6%
|
||||||||
Alector, Inc.*
|
15,595
|
374,826
|
||||||
Celldex Therapeutics, Inc.*
|
34,085
|
1,491,219
|
||||||
DermTech, Inc.*
|
72,252
|
2,432,002
|
||||||
Forte Biosciences, Inc.*
|
159,745
|
4,785,960
|
||||||
Moderna, Inc.*
|
6,690
|
2,365,584
|
||||||
Morphic Holding, Inc.*
|
20,201
|
1,163,981
|
||||||
Natera, Inc.*
|
56,436
|
6,463,051
|
||||||
Novavax, Inc.*
|
7,412
|
1,329,194
|
||||||
20,405,817
|
THE ALGER FUNDS
|
ALGER MID CAP GROWTH FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—95.9% (CONT.)
|
SHARES
|
VALUE
|
||||||
BROADCASTING—0.8%
|
||||||||
Discovery, Inc., Cl. A*
|
88,296
|
$
|
2,561,467
|
|||||
CASINOS & GAMING—2.4%
|
||||||||
DraftKings, Inc., Cl. A*
|
30,664
|
1,487,204
|
||||||
Evolution AB
|
18,695
|
3,252,916
|
||||||
MGM Resorts International
|
69,309
|
2,601,167
|
||||||
7,341,287
|
||||||||
CONSUMER FINANCE—1.0%
|
||||||||
Upstart Holdings, Inc.*
|
25,928
|
3,131,065
|
||||||
DATA PROCESSING & OUTSOURCED SERVICES—1.9%
|
||||||||
Marqeta, Inc., Cl. A*
|
102,543
|
2,751,229
|
||||||
Square, Inc., Cl. A*
|
12,347
|
3,052,919
|
||||||
5,804,148
|
||||||||
DIVERSIFIED SUPPORT SERVICES—2.7%
|
||||||||
Cintas Corp.
|
7,869
|
3,101,802
|
||||||
Copart, Inc.*
|
27,372
|
4,023,684
|
||||||
IAA, Inc.*
|
18,235
|
1,102,853
|
||||||
8,228,339
|
||||||||
ELECTRICAL COMPONENTS & EQUIPMENT—1.8%
|
||||||||
AMETEK, Inc.
|
28,384
|
3,946,795
|
||||||
Generac Holdings, Inc.*
|
3,646
|
1,528,987
|
||||||
5,475,782
|
||||||||
ELECTRONIC EQUIPMENT & INSTRUMENTS—1.3%
|
||||||||
908 Devices, Inc.*
|
52,844
|
1,651,375
|
||||||
Trimble, Inc.*
|
27,208
|
2,326,284
|
||||||
3,977,659
|
||||||||
HEALTHCARE DISTRIBUTORS—1.2%
|
||||||||
McKesson Corp.
|
10,466
|
2,133,285
|
||||||
PetIQ, Inc., Cl. A*
|
41,431
|
1,465,000
|
||||||
3,598,285
|
||||||||
HEALTHCARE EQUIPMENT—5.3%
|
||||||||
CryoPort, Inc.*
|
38,528
|
2,377,948
|
||||||
Dexcom, Inc.*
|
6,787
|
3,498,767
|
||||||
IDEXX Laboratories, Inc.*
|
2,474
|
1,678,683
|
||||||
Inari Medical, Inc.*
|
13,730
|
1,232,817
|
||||||
Inmode Ltd.*
|
28,572
|
3,247,779
|
||||||
Insulet Corp.*
|
15,861
|
4,436,163
|
||||||
16,472,157
|
||||||||
HEALTHCARE FACILITIES—0.8%
|
||||||||
The Joint Corp.*
|
30,918
|
2,442,213
|
||||||
HEALTHCARE SERVICES—1.1%
|
||||||||
Guardant Health, Inc.*
|
31,727
|
3,483,625
|
||||||
HEALTHCARE SUPPLIES—1.2%
|
||||||||
Align Technology, Inc.*
|
3,779
|
2,629,428
|
||||||
SmileDirectClub, Inc., Cl. A*
|
129,054
|
911,121
|
||||||
3,540,549
|
||||||||
HEALTHCARE TECHNOLOGY—2.6%
|
||||||||
Doximity, Inc., Cl. A*
|
8,321
|
515,070
|
||||||
Inspire Medical Systems, Inc.*
|
6,835
|
1,251,899
|
THE ALGER FUNDS
|
ALGER MID CAP GROWTH FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—95.9% (CONT.)
|
SHARES
|
VALUE
|
||||||
HEALTHCARE TECHNOLOGY—2.6% (CONT.)
|
||||||||
Veeva Systems, Inc., Cl. A*
|
19,199
|
$
|
6,387,699
|
|||||
8,154,668
|
||||||||
HOMEFURNISHING RETAIL—0.7%
|
||||||||
Williams-Sonoma, Inc.
|
14,054
|
2,131,992
|
||||||
HOTELS RESORTS & CRUISE LINES—0.7%
|
||||||||
Expedia Group, Inc.*
|
14,014
|
2,254,432
|
||||||
HUMAN RESOURCE & EMPLOYMENT SERVICES—2.4%
|
||||||||
Legalzoom.com, Inc.*
|
65,822
|
2,420,933
|
||||||
Upwork, Inc.*
|
93,348
|
4,834,493
|
||||||
7,255,426
|
||||||||
INTERACTIVE HOME ENTERTAINMENT—0.9%
|
||||||||
Take-Two Interactive Software, Inc.*
|
16,543
|
2,868,887
|
||||||
INTERACTIVE MEDIA & SERVICES—2.7%
|
||||||||
Genius Sports Ltd.*
|
213,670
|
3,658,031
|
||||||
Pinterest, Inc., Cl. A*
|
81,538
|
4,802,588
|
||||||
8,460,619
|
||||||||
INTERNET & DIRECT MARKETING RETAIL—1.1%
|
||||||||
Etsy, Inc.*
|
18,545
|
3,403,193
|
||||||
INTERNET SERVICES & INFRASTRUCTURE—2.1%
|
||||||||
BigCommerce Holdings, Inc.*
|
48,049
|
3,111,653
|
||||||
Okta, Inc., Cl. A*
|
13,297
|
3,294,864
|
||||||
6,406,517
|
||||||||
LIFE SCIENCES TOOLS & SERVICES—4.4%
|
||||||||
10X Genomics, Inc., Cl. A*
|
12,251
|
2,244,751
|
||||||
Bio-Techne Corp.
|
12,265
|
5,914,674
|
||||||
Repligen Corp.*
|
22,105
|
5,431,198
|
||||||
13,590,623
|
||||||||
METAL & GLASS CONTAINERS—1.0%
|
||||||||
Ball Corp.
|
37,200
|
3,008,736
|
||||||
MOVIES & ENTERTAINMENT—2.6%
|
||||||||
Lions Gate Entertainment Corp., Cl. B*
|
44,376
|
592,863
|
||||||
Live Nation Entertainment, Inc.*
|
14,680
|
1,158,105
|
||||||
Roku, Inc., Cl. A*
|
14,524
|
6,220,775
|
||||||
7,971,743
|
||||||||
OIL & GAS EXPLORATION & PRODUCTION—0.5%
|
||||||||
Diamondback Energy, Inc.
|
18,779
|
1,448,424
|
||||||
PHARMACEUTICALS—3.2%
|
||||||||
Catalent, Inc.*
|
52,268
|
6,262,229
|
||||||
Green Thumb Industries, Inc.*
|
120,923
|
3,592,703
|
||||||
9,854,932
|
||||||||
REGIONAL BANKS—0.9%
|
||||||||
Signature Bank
|
6,664
|
1,512,528
|
||||||
SVB Financial Group*
|
2,206
|
1,213,212
|
||||||
2,725,740
|
||||||||
RESEARCH & CONSULTING SERVICES—1.3%
|
||||||||
CoStar Group, Inc.*
|
44,370
|
3,942,275
|
||||||
RESTAURANTS—3.2%
|
||||||||
Chipotle Mexican Grill, Inc., Cl. A*
|
1,567
|
2,920,010
|
THE ALGER FUNDS
|
ALGER MID CAP GROWTH FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—95.9% (CONT.)
|
SHARES
|
VALUE
|
||||||
RESTAURANTS—3.2% (CONT.)
|
||||||||
Shake Shack, Inc., Cl. A*
|
43,518
|
$
|
4,375,300
|
|||||
The Cheesecake Factory, Inc.*
|
56,214
|
2,544,246
|
||||||
9,839,556
|
||||||||
SEMICONDUCTOR EQUIPMENT—5.9%
|
||||||||
Enphase Energy, Inc.*
|
8,468
|
1,605,533
|
||||||
KLA Corp.
|
15,115
|
5,262,438
|
||||||
Lam Research Corp.
|
7,348
|
4,683,689
|
||||||
MKS Instruments, Inc.
|
14,807
|
2,316,407
|
||||||
SolarEdge Technologies, Inc.*
|
16,866
|
4,376,390
|
||||||
18,244,457
|
||||||||
SEMICONDUCTORS—0.8%
|
||||||||
Universal Display Corp.
|
10,806
|
2,533,899
|
||||||
SYSTEMS SOFTWARE—2.0%
|
||||||||
Crowdstrike Holdings, Inc., Cl. A*
|
24,456
|
6,202,286
|
||||||
TRUCKING—1.0%
|
||||||||
Old Dominion Freight Line, Inc.
|
11,856
|
3,191,042
|
||||||
TOTAL COMMON STOCKS
|
||||||||
(Cost $235,256,654)
|
295,404,907
|
|||||||
PREFERRED STOCKS—0.0%
|
SHARES
|
VALUE
|
||||||
BIOTECHNOLOGY—0.0%
|
||||||||
Prosetta Biosciences, Inc., Series D*,@,(a),(b)
|
219,610
|
32,942
|
||||||
(Cost $988,245)
|
32,942
|
|||||||
RIGHTS—0.2%
|
SHARES
|
VALUE
|
||||||
BIOTECHNOLOGY—0.2%
|
||||||||
Tolero CDR*,@,(a),(c)
|
590,059
|
454,345
|
||||||
(Cost $315,501)
|
454,345
|
|||||||
REAL ESTATE INVESTMENT TRUST—2.5%
|
SHARES
|
VALUE
|
||||||
RETAIL—0.7%
|
||||||||
Simon Property Group, Inc.
|
17,692
|
2,238,392
|
||||||
SPECIALIZED—1.8%
|
||||||||
Crown Castle International Corp.
|
28,157
|
5,436,835
|
||||||
TOTAL REAL ESTATE INVESTMENT TRUST
|
||||||||
(Cost $6,131,460)
|
7,675,227
|
|||||||
SPECIAL PURPOSE VEHICLE—0.9%
|
SHARES
|
VALUE
|
||||||
DATA PROCESSING & OUTSOURCED SERVICES—0.9%
|
||||||||
Crosslink Ventures Capital LLC, Cl. A*,@,(a),(b)
|
48
|
1,881,792
|
||||||
Crosslink Ventures Capital LLC, Cl. B*,@,(a),(b)
|
19
|
744,876
|
||||||
2,626,668
|
||||||||
TOTAL SPECIAL PURPOSE VEHICLE
|
||||||||
(Cost $1,675,000)
|
2,626,668
|
|||||||
Total Investments
|
||||||||
(Cost $244,366,860)
|
99.5
|
%
|
$
|
306,194,089
|
||||
Affiliated Securities (Cost $2,663,245)
|
2,659,610
|
|||||||
Unaffiliated Securities (Cost $241,703,615)
|
303,534,479
|
|||||||
Other Assets in Excess of Liabilities
|
0.5
|
%
|
1,490,455
|
|||||
NET ASSETS
|
100.0
|
%
|
$
|
307,684,544
|
(a)
|
Security is valued in good faith at fair value determined using significant unobservable inputs pursuant to procedures
established by the Board.
|
THE ALGER FUNDS
|
ALGER MID CAP GROWTH FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
(b)
|
Deemed an affiliate of the Fund in accordance with Section 2(a)(3) of the Investment Company Act of 1940. See Note
5 - Affiliated Securities.
|
(c)
|
Contingent Deferred Rights.
|
*
|
Non-income producing security.
|
@
|
Restricted security - Investment in security not registered under the Securities Act of 1933.
Sales or transfers of the investment may be restricted only to qualified buyers.
|
Security
|
Acquisition
Date(s)
|
Acquisition
Cost
|
% of net assets
(Acquisition
Date)
|
Market
Value
|
% of net assets
as of
7/31/2021
|
||||||||||||
Crosslink Ventures Capital LLC, Cl. A | 10/2/20 |
$
|
1,200,000 | 0.50 |
%
|
$
|
1,881,792 | 0.61 |
%
|
||||||||
Crosslink Ventures Capital LLC, Cl. B
|
12/16/20 | 475,000 | 0.19 |
%
|
744,876 |
0.24
|
%
|
||||||||||
Prosetta Biosciences, Inc., Series D |
2/6/15 |
988,245
|
0.50 |
%
|
32,942 |
0.01
|
%
|
||||||||||
Tolero CDR | 2/6/17 | 315,501 | 0.19 |
%
|
454,345 |
0.15
|
%
|
||||||||||
Total |
$ |
3,113,955 | 1.01 |
% |
THE ALGER FUNDS
|
ALGER MID CAP FOCUS FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited)
|
COMMON STOCKS—95.3%
|
SHARES |
VALUE |
||||||
AIR FREIGHT & LOGISTICS—3.0%
|
||||||||
XPO Logistics, Inc.*
|
165,257
|
$
|
22,919,493
|
|||||
APPAREL ACCESSORIES & LUXURY GOODS—2.0%
|
||||||||
Lululemon Athletica, Inc.*
|
39,004
|
15,608,231
|
||||||
APPLICATION SOFTWARE—19.7%
|
||||||||
Alteryx, Inc., Cl. A*
|
141,031
|
10,915,799
|
||||||
Anaplan, Inc.*
|
316,530
|
18,105,516
|
||||||
Bentley Systems, Inc., Cl. B
|
352,758
|
21,451,214
|
||||||
Blackbaud, Inc.*
|
155,097
|
11,063,069
|
||||||
Five9, Inc.*
|
94,716
|
19,065,384
|
||||||
HubSpot, Inc.*
|
44,429
|
26,480,573
|
||||||
Manhattan Associates, Inc.*
|
81,823
|
13,061,405
|
||||||
Splunk, Inc.*
|
102,845
|
14,601,933
|
||||||
The Trade Desk, Inc., Cl. A*
|
210,536
|
17,245,004
|
||||||
151,989,897
|
||||||||
AUTOMOTIVE RETAIL—1.9%
|
||||||||
Carvana Co., Cl. A*
|
43,283
|
14,610,610
|
||||||
BIOTECHNOLOGY—1.7%
|
||||||||
DermTech, Inc.*
|
138,482
|
4,661,304
|
||||||
Novavax, Inc.*
|
49,063
|
8,798,468
|
||||||
13,459,772
|
||||||||
CASINOS & GAMING—4.3%
|
||||||||
DraftKings, Inc., Cl. A*
|
341,341
|
16,555,038
|
||||||
MGM Resorts International
|
441,839
|
16,582,218
|
||||||
33,137,256
|
||||||||
DATA PROCESSING & OUTSOURCED SERVICES—2.0%
|
||||||||
Square, Inc., Cl. A*
|
61,033
|
15,091,020
|
||||||
DISTRIBUTORS—1.5%
|
||||||||
Pool Corp.
|
24,260
|
11,591,913
|
||||||
ELECTRICAL COMPONENTS & EQUIPMENT—2.5%
|
||||||||
Generac Holdings, Inc.*
|
45,093
|
18,910,200
|
||||||
HEALTHCARE EQUIPMENT—9.0%
|
||||||||
Danaher Corp.
|
28,426
|
8,456,451
|
||||||
Dexcom, Inc.*
|
24,874
|
12,822,796
|
||||||
IDEXX Laboratories, Inc.*
|
19,523
|
13,246,941
|
||||||
Inmode Ltd.*
|
202,356
|
23,001,806
|
||||||
Intuitive Surgical, Inc.*
|
12,174
|
12,070,034
|
||||||
69,598,028
|
||||||||
HEALTHCARE FACILITIES—2.5%
|
||||||||
The Joint Corp.*
|
248,675
|
19,642,838
|
||||||
HEALTHCARE TECHNOLOGY—5.6%
|
||||||||
Renalytix PLC#,*
|
356,245
|
10,705,162
|
||||||
Veeva Systems, Inc., Cl. A*
|
63,997
|
21,292,442
|
||||||
Vocera Communications, Inc.*
|
273,277
|
11,466,703
|
||||||
43,464,307
|
||||||||
HUMAN RESOURCE & EMPLOYMENT SERVICES—1.1%
|
||||||||
Legalzoom.com, Inc.*
|
223,278
|
8,212,165
|
||||||
INDUSTRIAL MACHINERY—4.7%
|
||||||||
Helios Technologies, Inc.
|
214,047
|
17,305,700
|
THE ALGER FUNDS
|
ALGER MID CAP FOCUS FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—95.3% (CONT.)
|
SHARES
|
VALUE
|
||||||
INDUSTRIAL MACHINERY—4.7% (CONT.)
|
||||||||
The Middleby Corp.*
|
100,261
|
$
|
19,198,979
|
|||||
36,504,679
|
||||||||
INTERACTIVE HOME ENTERTAINMENT—1.6%
|
||||||||
Sea Ltd.#,*
|
44,728
|
12,352,084
|
||||||
INTERACTIVE MEDIA & SERVICES—2.0%
|
||||||||
Pinterest, Inc., Cl. A*
|
98,836
|
5,821,440
|
||||||
ZoomInfo Technologies, Inc., Cl. A*
|
171,356
|
9,210,385
|
||||||
15,031,825
|
||||||||
INTERNET & DIRECT MARKETING RETAIL—1.3%
|
||||||||
Overstock.com, Inc.*
|
143,167
|
9,970,150
|
||||||
INTERNET SERVICES & INFRASTRUCTURE—3.6%
|
||||||||
MongoDB, Inc., Cl. A*
|
32,327
|
11,602,807
|
||||||
Twilio, Inc., Cl. A*
|
42,208
|
15,768,487
|
||||||
27,371,294
|
||||||||
LIFE SCIENCES TOOLS & SERVICES—1.9%
|
||||||||
Avantor, Inc.*
|
384,314
|
14,442,520
|
||||||
MANAGED HEALTHCARE—1.4%
|
||||||||
Progyny, Inc.*
|
199,295
|
11,098,739
|
||||||
REGIONAL BANKS—2.8%
|
||||||||
Signature Bank
|
94,286
|
21,400,093
|
||||||
SEMICONDUCTOR EQUIPMENT—1.9%
|
||||||||
SolarEdge Technologies, Inc.*
|
55,138
|
14,307,208
|
||||||
SEMICONDUCTORS—4.3%
|
||||||||
Advanced Micro Devices, Inc.*
|
126,001
|
13,380,046
|
||||||
Universal Display Corp.
|
84,462
|
19,805,495
|
||||||
33,185,541
|
||||||||
SPECIALTY CHEMICALS—0.9%
|
||||||||
Amyris, Inc.*
|
450,112
|
6,562,633
|
||||||
SYSTEMS SOFTWARE—6.8%
|
||||||||
Cloudflare, Inc., Cl. A*
|
178,984
|
21,232,872
|
||||||
Crowdstrike Holdings, Inc., Cl. A*
|
89,470
|
22,690,487
|
||||||
Telos Corp.*
|
296,126
|
8,297,450
|
||||||
52,220,809
|
||||||||
TRADING COMPANIES & DISTRIBUTORS—5.3%
|
||||||||
Herc Holdings, Inc.*
|
206,394
|
25,601,112
|
||||||
SiteOne Landscape Supply, Inc.*
|
87,605
|
15,311,602
|
||||||
40,912,714
|
||||||||
TOTAL COMMON STOCKS
|
||||||||
(Cost $623,578,792)
|
733,596,019
|
|||||||
Total Investments
|
||||||||
(Cost $623,578,792)
|
95.3
|
%
|
$
|
733,596,019
|
||||
Unaffiliated Securities (Cost $623,578,792)
|
733,596,019
|
|||||||
Other Assets in Excess of Liabilities
|
4.7
|
%
|
36,085,831
|
|||||
NET ASSETS
|
100.0
|
%
|
$
|
769,681,850
|
*
|
Non-income producing security.
|
#
|
American Depositary Receipts.
|
THE ALGER FUNDS
|
ALGER WEATHERBIE SPECIALIZED GROWTH FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited)
|
COMMON STOCKS—97.6%
|
SHARES
|
VALUE
|
||||||
AEROSPACE & DEFENSE—0.4%
|
||||||||
Kratos Defense & Security Solutions, Inc.*
|
247,020
|
$
|
6,718,944
|
|||||
APPAREL ACCESSORIES & LUXURY GOODS—0.6%
|
||||||||
Canada Goose Holdings, Inc.*
|
213,759
|
9,069,794
|
||||||
APPAREL RETAIL—2.2%
|
||||||||
MYT Netherlands Parent BV#,*
|
1,222,289
|
35,250,815
|
||||||
APPLICATION SOFTWARE—13.1%
|
||||||||
Altair Engineering, Inc., Cl. A*
|
18,348
|
1,279,957
|
||||||
BTRS Holdings, Inc.*
|
625,162
|
7,320,647
|
||||||
Cerence, Inc.*
|
425,369
|
45,731,421
|
||||||
Ebix, Inc.
|
125,736
|
3,799,742
|
||||||
Everbridge, Inc.*
|
179,217
|
25,309,025
|
||||||
LivePerson, Inc.*
|
220,254
|
14,027,977
|
||||||
Paylocity Holding Corp.*
|
377,042
|
78,221,133
|
||||||
SEMrush Holdings, Inc., Cl. A*
|
244,157
|
4,880,698
|
||||||
SPS Commerce, Inc.*
|
98,501
|
10,731,684
|
||||||
Vertex, Inc., Cl. A*
|
788,162
|
14,896,262
|
||||||
206,198,546
|
||||||||
ASSET MANAGEMENT & CUSTODY BANKS—5.8%
|
||||||||
Hamilton Lane, Inc., Cl. A
|
421,561
|
39,205,173
|
||||||
StepStone Group, Inc., Cl. A
|
1,135,296
|
51,667,321
|
||||||
90,872,494
|
||||||||
BIOTECHNOLOGY—8.2%
|
||||||||
ACADIA Pharmaceuticals, Inc.*
|
1,058,455
|
22,894,382
|
||||||
Natera, Inc.*
|
809,477
|
92,701,306
|
||||||
Puma Biotechnology, Inc.*
|
1,007,534
|
7,576,656
|
||||||
Ultragenyx Pharmaceutical, Inc.*
|
75,275
|
6,009,203
|
||||||
129,181,547
|
||||||||
CONSTRUCTION & ENGINEERING—0.9%
|
||||||||
Ameresco, Inc., Cl. A*
|
214,082
|
14,671,039
|
||||||
CONSUMER FINANCE—6.5%
|
||||||||
LendingTree, Inc.*
|
70,337
|
13,731,189
|
||||||
Upstart Holdings, Inc.*
|
731,188
|
88,298,263
|
||||||
102,029,452
|
||||||||
EDUCATION SERVICES—5.8%
|
||||||||
Chegg, Inc.*
|
1,026,955
|
91,019,022
|
||||||
ELECTRONIC EQUIPMENT & INSTRUMENTS—0.3%
|
||||||||
Novanta, Inc.*
|
31,239
|
4,386,268
|
||||||
ENVIRONMENTAL & FACILITIES SERVICES—4.7%
|
||||||||
Casella Waste Systems, Inc., Cl. A*
|
467,538
|
32,157,264
|
||||||
Montrose Environmental Group, Inc.*
|
764,480
|
41,044,931
|
||||||
73,202,195
|
||||||||
GENERAL MERCHANDISE STORES—4.7%
|
||||||||
Ollie's Bargain Outlet Holdings, Inc.*
|
789,857
|
73,535,687
|
||||||
HEALTHCARE DISTRIBUTORS—3.1%
|
||||||||
Apria, Inc.*
|
995,557
|
31,389,912
|
||||||
PetIQ, Inc., Cl. A*
|
506,677
|
17,916,099
|
||||||
49,306,011
|
THE ALGER FUNDS
|
ALGER WEATHERBIE SPECIALIZED GROWTH FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—97.6% (CONT.)
|
SHARES
|
VALUE
|
||||||
HEALTHCARE EQUIPMENT—6.5%
|
||||||||
Eargo, Inc.*
|
397,705
|
$
|
14,317,380
|
|||||
Glaukos Corp.*
|
258,269
|
13,171,719
|
||||||
Nevro Corp.*
|
485,410
|
75,238,550
|
||||||
102,727,649
|
||||||||
HEALTHCARE TECHNOLOGY—2.0%
|
||||||||
Inspire Medical Systems, Inc.*
|
67,424
|
12,349,380
|
||||||
Tabula Rasa HealthCare, Inc.*
|
451,973
|
19,416,760
|
||||||
31,766,140
|
||||||||
INSURANCE BROKERS—0.9%
|
||||||||
Goosehead Insurance, Inc., Cl. A
|
120,008
|
14,423,761
|
||||||
IT CONSULTING & OTHER SERVICES—2.8%
|
||||||||
Globant SA*
|
182,918
|
43,746,669
|
||||||
LEISURE FACILITIES—1.3%
|
||||||||
Planet Fitness, Inc., Cl. A*
|
272,633
|
20,510,181
|
||||||
LEISURE PRODUCTS—1.3%
|
||||||||
Latham Group, Inc.*
|
735,754
|
20,071,369
|
||||||
LIFE SCIENCES TOOLS & SERVICES—1.4%
|
||||||||
NeoGenomics, Inc.*
|
471,583
|
21,739,976
|
||||||
MANAGED HEALTHCARE—4.8%
|
||||||||
Progyny, Inc.*
|
1,368,352
|
76,203,523
|
||||||
OIL & GAS EQUIPMENT & SERVICES—2.8%
|
||||||||
Core Laboratories NV
|
1,309,483
|
43,684,353
|
||||||
PAPER PACKAGING—0.3%
|
||||||||
Ranpak Holdings Corp., Cl. A*
|
160,728
|
4,117,851
|
||||||
PHARMACEUTICALS—0.3%
|
||||||||
Aerie Pharmaceuticals, Inc.*
|
330,818
|
5,220,308
|
||||||
REAL ESTATE SERVICES—5.9%
|
||||||||
FirstService Corp.
|
497,249
|
92,468,424
|
||||||
REGIONAL BANKS—4.1%
|
||||||||
Signature Bank
|
287,651
|
65,288,147
|
||||||
RESTAURANTS—0.7%
|
||||||||
Wingstop, Inc.
|
61,576
|
10,548,585
|
||||||
SEMICONDUCTORS—1.2%
|
||||||||
Impinj, Inc.*
|
413,787
|
19,034,202
|
||||||
SYSTEMS SOFTWARE—0.8%
|
||||||||
Rapid7, Inc.*
|
107,495
|
12,227,556
|
||||||
THRIFTS & MORTGAGE FINANCE—1.3%
|
||||||||
Axos Financial, Inc.*
|
428,139
|
20,486,451
|
||||||
TRADING COMPANIES & DISTRIBUTORS—2.9%
|
||||||||
SiteOne Landscape Supply, Inc.*
|
265,433
|
46,392,380
|
||||||
TOTAL COMMON STOCKS
|
||||||||
(Cost $1,115,883,594)
|
1,536,099,339
|
|||||||
PREFERRED STOCKS—0.0%
|
SHARES
|
VALUE
|
||||||
BIOTECHNOLOGY—0.0%
|
||||||||
Prosetta Biosciences, Inc., Series D*,@,(a),(b)
|
231,474
|
34,721
|
||||||
(Cost $1,041,633)
|
34,721
|
THE ALGER FUNDS |
ALGER WEATHERBIE SPECIALIZED GROWTH FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
VALUE |
||||||||
Total Investments
|
||||||||
(Cost $1,116,925,227)
|
97.6
|
%
|
$
|
1,536,134,060
|
||||
Affiliated Securities (Cost $1,041,633)
|
34,721
|
|||||||
Unaffiliated Securities (Cost $1,115,883,594)
|
1,536,099,339
|
|||||||
Other Assets in Excess of Liabilities
|
2.4
|
%
|
38,562,662
|
|||||
NET ASSETS
|
100.0
|
%
|
$
|
1,574,696,722
|
#
|
American Depositary Receipts.
|
(a)
|
Deemed an affiliate of the Fund in accordance with Section 2(a)(3) of the Investment Company Act of 1940. See Note 5 - Affiliated
Securities.
|
(b)
|
Security is valued in good faith at fair value determined using significant unobservable inputs pursuant to procedures established by the Board.
|
*
|
Non-income producing security.
|
@
|
Restricted security - Investment in security not registered under the Securities Act of 1933.
Sales or transfers of the investment may be restricted only to qualified buyers.
|
Security
|
Acquisition
Date(s)
|
Acquisition
Cost
|
% of net assets
(Acquisition
Date)
|
Market
Value
|
% of net assets
as of
7/31/2021
|
||||||||||||
Prosetta Biosciences, Inc., Series D |
2/6/15 | $ |
1,041,633 | 0.10 |
%
|
$ |
34,721 | 0.00 |
%
|
||||||||
Total |
$ |
34,721 | 0.00 | % |
THE ALGER FUNDS
|
ALGER SMALL CAP GROWTH FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited)
|
COMMON STOCKS—96.0%
|
SHARES
|
VALUE
|
||||||
ADVERTISING—2.9%
|
||||||||
Cardlytics, Inc.*
|
52,307
|
$
|
6,588,590
|
|||||
Magnite, Inc.*
|
414,015
|
12,544,654
|
||||||
19,133,244
|
||||||||
AEROSPACE & DEFENSE—1.6%
|
||||||||
HEICO Corp.
|
39,011
|
5,276,238
|
||||||
Hexcel Corp.*
|
34,217
|
1,862,089
|
||||||
Mercury Systems, Inc.*
|
54,017
|
3,565,122
|
||||||
10,703,449
|
||||||||
AGRICULTURAL & FARM MACHINERY—0.6%
|
||||||||
Hydrofarm Holdings Group, Inc.*
|
86,644
|
4,275,015
|
||||||
ALTERNATIVE CARRIERS—1.4%
|
||||||||
Bandwidth, Inc., Cl. A*
|
73,963
|
9,590,043
|
||||||
APPAREL ACCESSORIES & LUXURY GOODS—0.8%
|
||||||||
Capri Holdings Ltd.*
|
98,662
|
5,555,657
|
||||||
APPLICATION SOFTWARE—21.3%
|
||||||||
ACI Worldwide, Inc.*
|
403,866
|
13,852,604
|
||||||
Avalara, Inc.*
|
75,095
|
12,553,631
|
||||||
Bill.com Holdings, Inc.*
|
51,055
|
10,559,195
|
||||||
Blackbaud, Inc.*
|
77,836
|
5,552,042
|
||||||
Blackline, Inc.*
|
54,765
|
6,264,568
|
||||||
Digital Turbine, Inc.*
|
37,106
|
2,335,823
|
||||||
Everbridge, Inc.*
|
67,146
|
9,482,358
|
||||||
Guidewire Software, Inc.*
|
36,254
|
4,176,461
|
||||||
HubSpot, Inc.*
|
25,020
|
14,912,420
|
||||||
Manhattan Associates, Inc.*
|
69,357
|
11,071,458
|
||||||
Medallia, Inc.*
|
95,176
|
3,223,611
|
||||||
Paycom Software, Inc.*
|
20,907
|
8,362,800
|
||||||
Paycor HCM, Inc.*
|
9,606
|
264,165
|
||||||
Q2 Holdings, Inc.*
|
107,031
|
11,057,372
|
||||||
SEMrush Holdings, Inc., Cl. A*
|
92,706
|
1,853,193
|
||||||
Smartsheet, Inc., Cl. A*
|
80,094
|
5,810,820
|
||||||
Sophia Genetics SA*
|
78,274
|
1,224,988
|
||||||
Sprout Social, Inc., Cl. A*
|
72,233
|
6,417,180
|
||||||
SPS Commerce, Inc.*
|
70,859
|
7,720,088
|
||||||
Vertex, Inc., Cl. A*
|
255,743
|
4,833,543
|
||||||
Viant Technology, Inc., Cl. A*
|
53,392
|
923,148
|
||||||
142,451,468
|
||||||||
ASSET MANAGEMENT & CUSTODY BANKS—1.2%
|
||||||||
Affiliated Managers Group, Inc.
|
49,942
|
7,912,810
|
||||||
BIOTECHNOLOGY—4.1%
|
||||||||
CareDx, Inc.*
|
237,249
|
19,938,406
|
||||||
Cytek Biosciences, Inc.*
|
54,819
|
1,215,885
|
||||||
Forte Biosciences, Inc.*
|
90,936
|
2,724,443
|
||||||
Karuna Therapeutics, Inc.*
|
12,541
|
1,432,433
|
||||||
MaxCyte, Inc.*
|
47,277
|
803,709
|
||||||
Turning Point Therapeutics, Inc.*
|
19,032
|
1,214,622
|
||||||
27,329,498
|
THE ALGER FUNDS
|
ALGER SMALL CAP GROWTH FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—96.0% (CONT.)
|
SHARES
|
VALUE
|
||||||
CASINOS & GAMING—2.1%
|
||||||||
DraftKings, Inc., Cl. A*
|
143,576
|
$
|
6,963,436
|
|||||
Penn National Gaming, Inc.*
|
103,307
|
7,064,133
|
||||||
14,027,569
|
||||||||
DIVERSIFIED SUPPORT SERVICES—0.4%
|
||||||||
IAA, Inc.*
|
41,858
|
2,531,572
|
||||||
ELECTRICAL COMPONENTS & EQUIPMENT—0.8%
|
||||||||
Sunrun, Inc.*
|
104,635
|
5,542,516
|
||||||
ELECTRONIC EQUIPMENT & INSTRUMENTS—1.0%
|
||||||||
Cognex Corp.
|
75,217
|
6,800,369
|
||||||
FOOD DISTRIBUTORS—1.3%
|
||||||||
The Chefs' Warehouse, Inc.*
|
92,890
|
2,686,379
|
||||||
US Foods Holding Corp.*
|
167,896
|
5,765,548
|
||||||
8,451,927
|
||||||||
HEALTHCARE DISTRIBUTORS—0.3%
|
||||||||
PetIQ, Inc., Cl. A*
|
60,960
|
2,155,546
|
||||||
HEALTHCARE EQUIPMENT—8.4%
|
||||||||
CryoPort, Inc.*
|
113,772
|
7,022,008
|
||||||
Inmode Ltd.*
|
93,780
|
10,659,973
|
||||||
Inogen, Inc.*
|
111,357
|
8,882,948
|
||||||
Insulet Corp.*
|
45,582
|
12,748,829
|
||||||
Mesa Laboratories, Inc.
|
27,255
|
8,026,870
|
||||||
Tandem Diabetes Care, Inc.*
|
78,172
|
8,494,951
|
||||||
55,835,579
|
||||||||
HEALTHCARE FACILITIES—1.8%
|
||||||||
The Joint Corp.*
|
153,432
|
12,119,594
|
||||||
HEALTHCARE SERVICES—1.6%
|
||||||||
1Life Healthcare, Inc.*
|
70,734
|
1,912,647
|
||||||
Biodesix, Inc.*
|
61,342
|
576,001
|
||||||
Guardant Health, Inc.*
|
53,968
|
5,925,687
|
||||||
Privia Health Group, Inc.*
|
47,492
|
1,970,918
|
||||||
10,385,253
|
||||||||
HEALTHCARE SUPPLIES—4.5%
|
||||||||
Neogen Corp.*
|
435,576
|
18,973,690
|
||||||
Quidel Corp.*
|
78,197
|
11,062,530
|
||||||
30,036,220
|
||||||||
HEALTHCARE TECHNOLOGY—4.8%
|
||||||||
Convey Holding Parent, Inc.*
|
132,872
|
1,193,190
|
||||||
Doximity, Inc., Cl. A*
|
17,954
|
1,111,353
|
||||||
Veeva Systems, Inc., Cl. A*
|
49,339
|
16,415,579
|
||||||
Vocera Communications, Inc.*
|
319,714
|
13,415,199
|
||||||
32,135,321
|
||||||||
HOMEFURNISHING RETAIL—0.7%
|
||||||||
Bed Bath & Beyond, Inc.*
|
171,248
|
4,887,418
|
||||||
HUMAN RESOURCE & EMPLOYMENT SERVICES—1.6%
|
||||||||
Legalzoom.com, Inc.*
|
141,628
|
5,209,078
|
||||||
Upwork, Inc.*
|
107,422
|
5,563,385
|
||||||
10,772,463
|
THE ALGER FUNDS
|
ALGER SMALL CAP GROWTH FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—96.0% (CONT.)
|
SHARES
|
VALUE
|
||||||
HYPERMARKETS & SUPER CENTERS—0.9%
|
||||||||
BJ's Wholesale Club Holdings, Inc.*
|
125,425
|
$
|
6,351,522
|
|||||
INTERACTIVE HOME ENTERTAINMENT—0.4%
|
||||||||
Take-Two Interactive Software, Inc.*
|
17,058
|
2,958,198
|
||||||
INTERACTIVE MEDIA & SERVICES—2.7%
|
||||||||
Bumble, Inc., Cl. A*
|
42,439
|
2,159,296
|
||||||
Eventbrite, Inc., Cl. A*
|
114,151
|
2,028,463
|
||||||
Genius Sports Ltd.*
|
522,614
|
8,947,152
|
||||||
TripAdvisor, Inc.*
|
125,598
|
4,766,444
|
||||||
VTEX, Cl. A*
|
5,514
|
135,093
|
||||||
18,036,448
|
||||||||
INTERNET & DIRECT MARKETING RETAIL—3.2%
|
||||||||
Farfetch Ltd., Cl. A*
|
134,610
|
6,746,653
|
||||||
Fiverr International Ltd.*
|
33,015
|
8,217,764
|
||||||
Quotient Technology, Inc.*
|
372,956
|
4,050,302
|
||||||
The RealReal, Inc.*
|
159,003
|
2,625,140
|
||||||
21,639,859
|
||||||||
INTERNET SERVICES & INFRASTRUCTURE—2.0%
|
||||||||
BigCommerce Holdings, Inc.*
|
207,489
|
13,436,988
|
||||||
LEISURE FACILITIES—0.5%
|
||||||||
Planet Fitness, Inc., Cl. A*
|
44,272
|
3,330,583
|
||||||
LIFE SCIENCES TOOLS & SERVICES—9.6%
|
||||||||
10X Genomics, Inc., Cl. A*
|
31,518
|
5,775,043
|
||||||
Akoya Biosciences, Inc.*
|
137,239
|
2,379,724
|
||||||
Alpha Teknova, Inc.*
|
31,386
|
697,397
|
||||||
Bio-Techne Corp.
|
37,030
|
17,857,347
|
||||||
Codex DNA, Inc.*
|
78,170
|
1,234,304
|
||||||
ICON PLC*
|
9,414
|
2,290,144
|
||||||
Maravai LifeSciences Holdings, Inc., Cl. A*
|
38,051
|
1,673,103
|
||||||
NanoString Technologies, Inc.*
|
228,233
|
14,136,752
|
||||||
NeoGenomics, Inc.*
|
172,147
|
7,935,977
|
||||||
Personalis, Inc.*
|
73,494
|
1,542,639
|
||||||
Rapid Micro Biosystems, Inc., Cl. A*
|
63,537
|
1,409,886
|
||||||
Repligen Corp.*
|
30,514
|
7,497,290
|
||||||
64,429,606
|
||||||||
MANAGED HEALTHCARE—1.0%
|
||||||||
HealthEquity, Inc.*
|
94,675
|
7,004,057
|
||||||
MOVIES & ENTERTAINMENT—0.8%
|
||||||||
Live Nation Entertainment, Inc.*
|
66,988
|
5,284,683
|
||||||
OIL & GAS EXPLORATION & PRODUCTION—1.3%
|
||||||||
Magnolia Oil & Gas Corp., Cl. A*
|
600,189
|
8,402,646
|
||||||
PHARMACEUTICALS—0.2%
|
||||||||
Aerie Pharmaceuticals, Inc.*
|
75,221
|
1,186,987
|
||||||
PRECIOUS METALS & MINERALS—0.0%
|
||||||||
Xometry, Inc., Cl. A*
|
3,143
|
248,831
|
||||||
REGIONAL BANKS—0.6%
|
||||||||
Webster Financial Corp.
|
78,373
|
3,769,741
|
||||||
RESTAURANTS—3.8%
|
||||||||
Shake Shack, Inc., Cl. A*
|
130,962
|
13,166,920
|
THE ALGER FUNDS
|
ALGER SMALL CAP GROWTH FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—96.0% (CONT.)
|
SHARES
|
VALUE
|
||||||
RESTAURANTS—3.8% (CONT.)
|
||||||||
The Cheesecake Factory, Inc.*
|
110,881
|
$
|
5,018,474
|
|||||
Wingstop, Inc.
|
43,100
|
7,383,461
|
||||||
25,568,855
|
||||||||
SEMICONDUCTOR EQUIPMENT—0.7%
|
||||||||
SolarEdge Technologies, Inc.*
|
17,162
|
4,453,196
|
||||||
SEMICONDUCTORS—0.8%
|
||||||||
Universal Display Corp.
|
22,106
|
5,183,636
|
||||||
SPECIALTY CHEMICALS—2.1%
|
||||||||
Balchem Corp.
|
102,381
|
13,810,173
|
||||||
SPECIALTY STORES—1.0%
|
||||||||
Five Below, Inc.*
|
33,617
|
6,535,817
|
||||||
SYSTEMS SOFTWARE—1.2%
|
||||||||
Proofpoint, Inc.*
|
46,305
|
8,087,631
|
||||||
TOTAL COMMON STOCKS
|
||||||||
(Cost $455,154,575)
|
642,351,988
|
|||||||
PREFERRED STOCKS—0.0%
|
SHARES
|
VALUE
|
||||||
BIOTECHNOLOGY—0.0%
|
||||||||
Prosetta Biosciences, Inc., Series D*,@,(a),(b)
|
50,688
|
7,603
|
||||||
(Cost $228,096)
|
7,603
|
|||||||
RIGHTS—0.0%
|
SHARES
|
VALUE
|
||||||
BIOTECHNOLOGY—0.0%
|
||||||||
Tolero CDR*,@,(a),(c)
|
174,782
|
134,582
|
||||||
(Cost $94,483)
|
134,582
|
|||||||
REAL ESTATE INVESTMENT TRUST—0.7%
|
SHARES
|
VALUE
|
||||||
RETAIL—0.7%
|
||||||||
Tanger Factory Outlet Centers, Inc.
|
281,592
|
4,834,935
|
||||||
(Cost $4,640,403)
|
4,834,935
|
|||||||
SPECIAL PURPOSE VEHICLE—0.5%
|
SHARES
|
VALUE
|
||||||
DATA PROCESSING & OUTSOURCED SERVICES—0.5%
|
||||||||
Crosslink Ventures Capital LLC, Cl. A*,@,(a),(b)
|
72
|
2,822,688
|
||||||
Crosslink Ventures Capital LLC, Cl. B*,@,(a),(b)
|
19
|
744,876
|
||||||
3,567,564
|
||||||||
TOTAL SPECIAL PURPOSE VEHICLE
|
||||||||
(Cost $2,275,000)
|
3,567,564
|
|||||||
Total Investments
|
||||||||
(Cost $462,392,557)
|
97.2
|
%
|
$
|
650,896,672
|
||||
Affiliated Securities (Cost $2,503,096)
|
3,575,167
|
|||||||
Unaffiliated Securities (Cost $459,889,461)
|
647,321,505
|
|||||||
Other Assets in Excess of Liabilities
|
2.8
|
%
|
18,885,583
|
|||||
NET ASSETS
|
100.0
|
%
|
$
|
669,782,255
|
(a)
|
Security is valued in good faith at fair value determined using significant unobservable inputs pursuant to procedures
established by the Board.
|
(b)
|
Deemed an affiliate of the Fund in accordance with Section 2(a)(3) of the Investment Company Act of 1940. See Note 5 -
Affiliated Securities.
|
(c)
|
Contingent Deferred Rights.
|
*
|
Non-income producing security.
|
@
|
Restricted security - Investment in security not registered under the Securities Act of 1933. Sales or transfers of the
investment may be restricted only to qualified buyers.
|
THE ALGER FUNDS
|
ALGER SMALL CAP GROWTH FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
Security
|
Acquisition
Date(s)
|
Acquisition
Cost
|
% of net assets
(Acquisition
Date)
|
Market
Value
|
% of net assets
as of
7/31/2021
|
||||||||||||
Crosslink Ventures Capital LLC, Cl. A
|
10/2/20 |
$
|
1,800,000
|
0.49
|
%
|
$
|
2,822,688
|
0.42 | % | ||||||||
Crosslink Ventures Capital LLC, Cl. B |
10/16/20
|
475,000 |
0.10
|
% |
744,876
|
0.11
|
%
|
||||||||||
Prosetta Biosciences, Inc., Series D
|
2/6/15
|
228,096
|
0.10
|
%
|
7,603
|
0.00
|
%
|
||||||||||
Tolero CDR
|
2/6/17 |
94,483
|
0.08
|
%
|
134,582
|
0.02
|
%
|
||||||||||
Total
|
|
|
$
|
3,709,749
|
0.55
|
%
|
THE ALGER FUNDS
|
ALGER SMALL CAP FOCUS FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited)
|
COMMON STOCKS—99.5%
|
SHARES
|
VALUE
|
||||||
ALTERNATIVE CARRIERS—1.6%
|
||||||||
Bandwidth, Inc., Cl. A*
|
1,018,554
|
$
|
132,065,712
|
|||||
APPAREL ACCESSORIES & LUXURY GOODS—2.1%
|
||||||||
Capri Holdings Ltd.*
|
2,961,028
|
166,735,487
|
||||||
APPLICATION SOFTWARE—17.7%
|
||||||||
Avalara, Inc.*
|
1,237,844
|
206,930,381
|
||||||
Blackline, Inc.*
|
1,497,380
|
171,285,298
|
||||||
Everbridge, Inc.*
|
1,103,830
|
155,882,873
|
||||||
Guidewire Software, Inc.*
|
1,268,316
|
146,110,003
|
||||||
Paycom Software, Inc.*
|
444,580
|
177,832,000
|
||||||
PROS Holdings, Inc.*
|
3,438,300
|
149,290,986
|
||||||
Q2 Holdings, Inc.*
|
1,219,341
|
125,970,119
|
||||||
Smartsheet, Inc., Cl. A*
|
2,170,437
|
157,465,204
|
||||||
Sprout Social, Inc., Cl. A*
|
1,163,037
|
103,324,207
|
||||||
WM Technology, Inc.*
|
3,580,684
|
48,876,337
|
||||||
1,442,967,408
|
||||||||
BIOTECHNOLOGY—7.7%
|
||||||||
CareDx, Inc.*
|
2,433,693
|
204,527,560
|
||||||
Natera, Inc.*
|
2,348,417
|
268,940,715
|
||||||
Vericel Corp.*
|
2,841,805
|
150,445,156
|
||||||
623,913,431
|
||||||||
BUILDING PRODUCTS—2.1%
|
||||||||
Trex Co., Inc.*
|
1,744,432
|
169,384,347
|
||||||
DIVERSIFIED SUPPORT SERVICES—1.1%
|
||||||||
IAA, Inc.*
|
1,410,359
|
85,298,512
|
||||||
EDUCATION SERVICES—2.1%
|
||||||||
Chegg, Inc.*
|
1,892,841
|
167,762,498
|
||||||
ELECTRONIC EQUIPMENT & INSTRUMENTS—2.7%
|
||||||||
Cognex Corp.
|
2,395,292
|
216,558,350
|
||||||
HEALTHCARE DISTRIBUTORS—0.9%
|
||||||||
PetIQ, Inc., Cl. A*
|
2,174,403
|
76,886,890
|
||||||
HEALTHCARE EQUIPMENT—17.2%
|
||||||||
AtriCure, Inc.*
|
2,839,044
|
239,785,656
|
||||||
CryoPort, Inc.*
|
4,395,628
|
271,298,160
|
||||||
Eargo, Inc.*
|
3,160,384
|
113,773,824
|
||||||
Heska Corp.*
|
987,040
|
237,580,528
|
||||||
Insulet Corp.*
|
412,670
|
115,419,672
|
||||||
Nevro Corp.*
|
954,833
|
147,999,115
|
||||||
Shockwave Medical, Inc.*
|
1,004,112
|
182,748,384
|
||||||
Tactile Systems Technology, Inc.*
|
1,903,368
|
93,226,965
|
||||||
1,401,832,304
|
||||||||
HEALTHCARE FACILITIES—1.1%
|
||||||||
The Joint Corp.*
|
1,161,928
|
91,780,693
|
||||||
HEALTHCARE SERVICES—2.7%
|
||||||||
Guardant Health, Inc.*
|
1,278,854
|
140,418,169
|
||||||
Signify Health, Inc., Cl. A*
|
2,916,480
|
76,761,754
|
||||||
217,179,923
|
||||||||
HEALTHCARE SUPPLIES—4.0%
|
||||||||
Neogen Corp.*
|
3,415,756
|
148,790,331
|
THE ALGER FUNDS
|
ALGER SMALL CAP FOCUS FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—99.5% (CONT.)
|
SHARES
|
VALUE
|
||||||
HEALTHCARE SUPPLIES—4.0% (CONT.)
|
||||||||
Quidel Corp.*
|
1,262,221
|
$
|
178,566,405
|
|||||
327,356,736
|
||||||||
HEALTHCARE TECHNOLOGY—4.7%
|
||||||||
Inspire Medical Systems, Inc.*
|
787,243
|
144,191,428
|
||||||
Veeva Systems, Inc., Cl. A*
|
722,212
|
240,287,154
|
||||||
384,478,582
|
||||||||
INDUSTRIAL MACHINERY—3.3%
|
||||||||
RBC Bearings, Inc.*
|
1,143,728
|
268,776,080
|
||||||
INTERACTIVE MEDIA & SERVICES—1.3%
|
||||||||
Genius Sports Ltd.*
|
6,187,857
|
105,936,112
|
||||||
INTERNET SERVICES & INFRASTRUCTURE—2.3%
|
||||||||
BigCommerce Holdings, Inc.*
|
2,941,260
|
190,475,997
|
||||||
LIFE SCIENCES TOOLS & SERVICES—9.3%
|
||||||||
Berkeley Lights, Inc.*
|
2,522,470
|
114,974,183
|
||||||
Bio-Techne Corp.
|
505,130
|
243,593,891
|
||||||
NanoString Technologies, Inc.*
|
2,308,526
|
142,990,100
|
||||||
Repligen Corp.*
|
1,042,321
|
256,098,270
|
||||||
757,656,444
|
||||||||
MANAGED HEALTHCARE—2.2%
|
||||||||
HealthEquity, Inc.*
|
2,377,364
|
175,877,389
|
||||||
OIL & GAS EQUIPMENT & SERVICES—2.4%
|
||||||||
ChampionX Corp.*
|
6,083,694
|
141,385,049
|
||||||
Core Laboratories NV
|
1,606,589
|
53,595,809
|
||||||
194,980,858
|
||||||||
PACKAGED FOODS & MEATS—1.2%
|
||||||||
Freshpet, Inc.*
|
669,806
|
98,093,089
|
||||||
RESTAURANTS—5.1%
|
||||||||
Shake Shack, Inc., Cl. A*
|
2,260,038
|
227,224,220
|
||||||
Wingstop, Inc.
|
1,114,199
|
190,873,431
|
||||||
418,097,651
|
||||||||
SEMICONDUCTORS—2.5%
|
||||||||
Monolithic Power Systems, Inc.
|
455,607
|
204,686,001
|
||||||
TRADING COMPANIES & DISTRIBUTORS—2.2%
|
||||||||
Herc Holdings, Inc.*
|
1,461,907
|
181,334,944
|
||||||
TOTAL COMMON STOCKS
|
||||||||
(Cost $5,748,898,840)
|
8,100,115,438
|
|||||||
RIGHTS—0.0%
|
SHARES
|
VALUE
|
||||||
BIOTECHNOLOGY—0.0%
|
||||||||
Tolero CDR*,@,(a),(b)
|
11,905
|
9,167
|
||||||
(Cost $6,436)
|
9,167
|
|||||||
Total Investments
|
||||||||
(Cost $5,748,905,276)
|
99.5
|
%
|
$
|
8,100,124,605
|
||||
Unaffiliated Securities (Cost $5,748,905,276)
|
8,100,124,605
|
|||||||
Other Assets in Excess of Liabilities
|
0.5
|
%
|
43,829,220
|
|||||
NET ASSETS
|
100.0
|
%
|
$
|
8,143,953,825
|
(a)
|
Security is valued in good faith at fair value determined using significant unobservable inputs pursuant to procedures
established by the Board.
|
(b)
|
Contingent Deferred Rights.
|
*
|
Non-income producing security.
|
@
|
Restricted security - Investment in security not registered under the Securities Act of 1933. Sales or transfers of the
investment may be restricted only to qualified buyers.
|
THE ALGER FUNDS
|
ALGER SMALL CAP FOCUS FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
Security
|
Acquisition
Date(s)
|
Acquisition
Cost
|
% of net assets
(Acquisition
Date)
|
Market
Value
|
% of net assets
as of
7/31/2021
|
||||||||||||
Tolero CDR
|
2/6/17 |
$
|
6,436
|
0.00
|
%
|
$
|
9,167
|
0.00 | % | ||||||||
Total
|
$
|
9,167
|
0.00 | % |
THE ALGER FUNDS
|
ALGER INTERNATIONAL FOCUS FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited)
|
COMMON STOCKS—98.2%
|
SHARES
|
VALUE
|
||||||
ARGENTINA—1.5%
|
||||||||
INTERNET & DIRECT MARKETING RETAIL—1.5%
|
||||||||
MercadoLibre, Inc.*
|
1,950
|
$
|
3,058,965
|
|||||
(Cost $3,144,025)
|
||||||||
AUSTRALIA—5.4%
|
||||||||
APPLICATION SOFTWARE—2.4%
|
||||||||
Xero Ltd.*
|
46,600
|
4,834,859
|
||||||
HEALTHCARE SUPPLIES—1.3%
|
||||||||
Nanosonics Ltd.*
|
694,062
|
2,716,756
|
||||||
HEALTHCARE TECHNOLOGY—1.7%
|
||||||||
Pro Medicus Ltd.
|
81,000
|
3,462,526
|
||||||
TOTAL AUSTRALIA
|
||||||||
(Cost $7,093,135)
|
11,014,141
|
|||||||
BELGIUM—1.1%
|
||||||||
APPLICATION SOFTWARE—1.1%
|
||||||||
Unifiedpost Group SA*
|
112,287
|
2,218,938
|
||||||
(Cost $2,879,104)
|
||||||||
BRAZIL—1.5%
|
||||||||
DATA PROCESSING & OUTSOURCED SERVICES—1.5%
|
||||||||
StoneCo., Ltd., Cl. A*
|
50,800
|
2,989,072
|
||||||
(Cost $3,381,784)
|
||||||||
CHINA—2.5%
|
||||||||
AUTOMOBILE MANUFACTURERS—2.5%
|
||||||||
BYD Co., Ltd., Cl. H
|
169,000
|
5,223,629
|
||||||
(Cost $3,942,643)
|
||||||||
FRANCE—10.8%
|
||||||||
APPAREL ACCESSORIES & LUXURY GOODS—3.1%
|
||||||||
LVMH Moet Hennessy Louis Vuitton SE
|
8,000
|
6,405,069
|
||||||
ELECTRICAL COMPONENTS & EQUIPMENT—2.2%
|
||||||||
Schneider Electric SE
|
27,500
|
4,605,740
|
||||||
LIFE SCIENCES TOOLS & SERVICES—2.9%
|
||||||||
Eurofins Scientific SE
|
49,300
|
5,896,646
|
||||||
RESEARCH & CONSULTING SERVICES—2.6%
|
||||||||
Teleperformance
|
12,557
|
5,296,280
|
||||||
TOTAL FRANCE
|
||||||||
(Cost $11,692,437)
|
22,203,735
|
|||||||
GERMANY—4.7%
|
||||||||
FOOTWEAR—2.4%
|
||||||||
Puma SE
|
40,600
|
4,980,170
|
||||||
OIL & GAS REFINING & MARKETING—2.3%
|
||||||||
VERBIO Vereinigte BioEnergie AG
|
86,508
|
4,685,962
|
||||||
TOTAL GERMANY
|
||||||||
(Cost $6,600,027)
|
|
9,666,132
|
||||||
HONG KONG—4.4%
|
||||||||
APPAREL ACCESSORIES & LUXURY GOODS—2.4%
|
||||||||
Samsonite International SA*
|
2,640,157
|
4,914,216
|
THE ALGER FUNDS
|
ALGER INTERNATIONAL FOCUS FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—98.2%(CONT.)
|
SHARES
|
VALUE
|
||||||
HONG KONG—4.4% (CONT.)
|
||||||||
INDUSTRIAL MACHINERY—2.0%
|
||||||||
Techtronic Industries Co., Ltd.
|
237,000
|
$
|
4,226,336
|
|||||
TOTAL HONG KONG
|
||||||||
(Cost $4,616,687)
|
9,140,552
|
|||||||
HUNGARY—2.1%
|
||||||||
AIRLINES—2.1% | ||||||||
Wizz Air Holdings PLC*
|
61,900
|
4,254,219
|
||||||
(Cost $3,931,643)
|
||||||||
INDIA—5.9%
|
||||||||
DIVERSIFIED BANKS—2.3%
|
||||||||
HDFC Bank Ltd.#
|
66,800
|
4,714,076
|
||||||
DIVERSIFIED SUPPORT SERVICES—2.7%
|
||||||||
Indian Railway Catering & Tourism Corp., Ltd.
|
177,000
|
5,561,795
|
||||||
THRIFTS & MORTGAGE FINANCE—0.9%
|
||||||||
Indiabulls Housing Finance Ltd.
|
500,000
|
1,855,789
|
||||||
TOTAL INDIA
|
||||||||
(Cost $8,883,096)
|
|
12,131,660
|
||||||
IRELAND—2.4%
|
||||||||
PACKAGED FOODS & MEATS—2.4%
|
||||||||
Kerry Group PLC, Cl. A
|
33,741
|
4,999,283
|
||||||
(Cost $3,756,243)
|
||||||||
ITALY—10.5%
|
||||||||
APPAREL ACCESSORIES & LUXURY GOODS—5.8%
|
||||||||
Moncler SpA
|
102,586
|
7,045,589
|
||||||
PRADA SpA
|
630,000
|
4,936,608
|
||||||
|
11,982,197
|
|||||||
AUTOMOBILE MANUFACTURERS—2.7%
|
||||||||
Ferrari NV
|
25,662
|
5,601,758
|
||||||
DATA PROCESSING & OUTSOURCED SERVICES—2.0%
|
||||||||
Nexi SpA*
|
188,000
|
4,027,786
|
||||||
TOTAL ITALY
|
||||||||
(Cost $16,700,721)
|
21,611,741
|
|||||||
JAPAN—12.1%
|
||||||||
ELECTRONIC COMPONENTS—2.1%
|
||||||||
Murata Manufacturing Co., Ltd.
|
52,200
|
4,331,855
|
||||||
HEALTHCARE SUPPLIES—2.2%
|
||||||||
Hoya Corp.
|
31,600
|
4,460,960
|
||||||
INDUSTRIAL MACHINERY—5.2%
|
||||||||
Ebara Corp.
|
111,000
|
5,490,618
|
||||||
FANUC Corp.
|
23,500
|
5,263,242
|
||||||
|
10,753,860
|
|||||||
PERSONAL PRODUCTS—1.6%
|
||||||||
Shiseido Co., Ltd.
|
48,000
|
3,208,115
|
THE ALGER FUNDS
|
ALGER INTERNATIONAL FOCUS FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—98.2% (CONT.)
|
SHARES
|
VALUE
|
||||||
JAPAN—12.1% (CONT.)
|
||||||||
SEMICONDUCTOR EQUIPMENT—1.0%
|
||||||||
Lasertec Corp.
|
10,799
|
$
|
2,027,315
|
|||||
TOTAL JAPAN
|
||||||||
(Cost $20,505,352)
|
24,782,105
|
|||||||
NETHERLANDS—10.2%
|
||||||||
DATA PROCESSING & OUTSOURCED SERVICES—2.5%
|
||||||||
Adyen NV*
|
1,875
|
5,081,132
|
||||||
HEAVY ELECTRICAL EQUIPMENT—2.4%
|
||||||||
Alfen Beheer BV*
|
48,600
|
4,901,280
|
||||||
OIL & GAS EQUIPMENT & SERVICES—1.4%
|
||||||||
Core Laboratories NV
|
86,000
|
2,868,960
|
||||||
SEMICONDUCTOR EQUIPMENT—3.9%
|
||||||||
ASML Holding NV
|
10,500
|
8,025,701
|
||||||
TOTAL NETHERLANDS
|
||||||||
(Cost $8,057,393)
|
20,877,073
|
|||||||
NORWAY—1.7%
|
||||||||
ENVIRONMENTAL & FACILITIES SERVICES—1.7%
|
||||||||
Aker Carbon Capture ASA*
|
1,560,510
|
3,455,860
|
||||||
(Cost $3,626,911)
|
||||||||
SINGAPORE—1.2%
|
||||||||
INTERACTIVE HOME ENTERTAINMENT—1.2%
|
||||||||
Sea Ltd.#,*
|
9,300
|
2,568,288
|
||||||
(Cost $2,401,700)
|
||||||||
SOUTH KOREA—2.2%
|
||||||||
SPECIALTY CHEMICALS—2.2%
|
||||||||
Chunbo Co., Ltd.
|
22,800
|
4,473,605
|
||||||
(Cost $3,840,265)
|
||||||||
SPAIN—1.6%
|
||||||||
BIOTECHNOLOGY—1.6%
|
||||||||
Grifols SA#
|
221,941
|
3,375,723
|
||||||
(Cost $4,393,108)
|
||||||||
SWEDEN—2.6%
|
||||||||
ASSET MANAGEMENT & CUSTODY BANKS—2.6%
|
||||||||
EQT AB
|
110,298
|
5,316,570
|
||||||
(Cost $1,135,925)
|
||||||||
SWITZERLAND—7.0%
|
||||||||
ASSET MANAGEMENT & CUSTODY BANKS—2.1%
|
||||||||
Partners Group Holding AG
|
2,584
|
4,414,169
|
||||||
LIFE SCIENCES TOOLS & SERVICES—2.0%
|
||||||||
PolyPeptide Group AG*
|
36,906
|
4,022,829
|
||||||
SPECIALTY CHEMICALS—2.9%
|
||||||||
Sika AG
|
16,700
|
5,882,593
|
||||||
TOTAL SWITZERLAND
|
||||||||
(Cost $7,389,882)
|
14,319,591
|
THE ALGER FUNDS
|
ALGER INTERNATIONAL FOCUS FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—98.2% (CONT.) |
SHARES
|
VALUE
|
||||||
TAIWAN—2.6%
|
||||||||
SEMICONDUCTORS—2.6%
|
||||||||
Taiwan Semiconductor Manufacturing Co., Ltd.#
|
46,700
|
$ | 5,447,088 | |||||
(Cost $4,053,866)
|
||||||||
UNITED KINGDOM—2.3%
|
||||||||
FINANCIAL EXCHANGES & DATA—2.3%
|
||||||||
London Stock Exchange Group PLC
|
45,200
|
4,712,552
|
||||||
(Cost $3,713,750)
|
||||||||
UNITED STATES—1.9%
|
||||||||
OIL & GAS EQUIPMENT & SERVICES—1.9%
|
||||||||
Schlumberger NV
|
136,500
|
3,935,295
|
||||||
(Cost $4,331,321)
|
||||||||
TOTAL COMMON STOCKS
|
||||||||
(Cost $140,071,018)
|
201,775,817 | |||||||
Total Investments
|
||||||||
(Cost $140,071,018)
|
98.2
|
%
|
$
|
201,775,817
|
||||
Unaffiliated Securities (Cost $140,071,018)
|
201,775,817
|
|||||||
Other Assets in Excess of Liabilities
|
1.8
|
%
|
3,785,463
|
|||||
NET ASSETS
|
100.0
|
%
|
$
|
205,561,280
|
#
|
American Depositary Receipts.
|
*
|
Non-income producing security.
|
THE ALGER FUNDS
|
ALGER HEALTH SCIENCES FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited)
|
COMMON STOCKS—96.4%
|
SHARES
|
VALUE
|
||||||
BIOTECHNOLOGY—27.3%
|
||||||||
AbbVie, Inc.
|
91,233
|
$
|
10,610,398
|
|||||
Alector, Inc.*
|
79,186
|
1,903,235
|
||||||
Arrowhead Pharmaceuticals, Inc.*
|
26,554
|
1,839,927
|
||||||
CareDx, Inc.*
|
35,139
|
2,953,082
|
||||||
Celldex Therapeutics, Inc.*
|
327,829
|
14,342,519
|
||||||
Denali Therapeutics, Inc.*
|
74,209
|
3,786,885
|
||||||
DermTech, Inc.*
|
18,526
|
623,585
|
||||||
Forte Biosciences, Inc.*
|
352,236
|
10,552,991
|
||||||
Horizon Therapeutics PLC*
|
28,316
|
2,832,166
|
||||||
Intellia Therapeutics, Inc.*
|
20,015
|
2,839,128
|
||||||
Kadmon Holdings, Inc.*
|
799,110
|
3,004,654
|
||||||
Kymera Therapeutics, Inc.*
|
44,275
|
2,664,469
|
||||||
Moderna, Inc.*
|
48,068
|
16,996,845
|
||||||
Morphic Holding, Inc.*
|
65,881
|
3,796,063
|
||||||
Natera, Inc.*
|
66,837
|
7,654,173
|
||||||
PMV Pharmaceuticals, Inc.*
|
63,704
|
2,166,573
|
||||||
88,566,693
|
||||||||
ELECTRONIC EQUIPMENT & INSTRUMENTS—0.7%
|
||||||||
908 Devices, Inc.*
|
71,903
|
2,246,969
|
||||||
HEALTHCARE DISTRIBUTORS—1.7%
|
||||||||
McKesson Corp.
|
11,906
|
2,426,800
|
||||||
PetIQ, Inc., Cl. A*
|
91,116
|
3,221,862
|
||||||
5,648,662
|
||||||||
HEALTHCARE EQUIPMENT—31.6%
|
||||||||
Abbott Laboratories
|
36,771
|
4,448,556
|
||||||
ABIOMED, Inc.*
|
7,200
|
2,355,408
|
||||||
Boston Scientific Corp.*
|
122,606
|
5,590,834
|
||||||
ClearPoint Neuro, Inc.*
|
110,743
|
2,461,817
|
||||||
Danaher Corp.
|
35,714
|
10,624,558
|
||||||
Dexcom, Inc.*
|
22,042
|
11,362,871
|
||||||
Edwards Lifesciences Corp.*
|
61,150
|
6,865,310
|
||||||
IDEXX Laboratories, Inc.*
|
15,881
|
10,775,735
|
||||||
Inari Medical, Inc.*
|
25,123
|
2,255,794
|
||||||
Inmode Ltd.*
|
92,458
|
10,509,701
|
||||||
Insulet Corp.*
|
28,495
|
7,969,767
|
||||||
Intuitive Surgical, Inc.*
|
10,291
|
10,203,115
|
||||||
Masimo Corp.*
|
16,572
|
4,514,047
|
||||||
Nevro Corp.*
|
35,340
|
5,477,700
|
||||||
Sartorius AG
|
11,671
|
7,059,642
|
||||||
102,474,855
|
||||||||
HEALTHCARE FACILITIES—4.4%
|
||||||||
Encompass Health Corp.
|
39,645
|
3,300,446
|
||||||
HCA Healthcare, Inc.
|
10,206
|
2,533,129
|
||||||
Tenet Healthcare Corp.*
|
115,157
|
8,272,879
|
||||||
14,106,454
|
||||||||
HEALTHCARE SERVICES—2.7%
|
||||||||
Castle Biosciences, Inc.*
|
48,014
|
3,353,778
|
THE ALGER FUNDS
|
ALGER HEALTH SCIENCES FUND
|
|
Schedule of Investments July 31, 2021 (Unaudited) (Continued)
|
COMMON STOCKS—96.4% (CONT.)
|
SHARES
|
VALUE
|
||||||
HEALTHCARE SERVICES—2.7% (CONT.)
|
||||||||
Guardant Health, Inc.*
|
50,267
|
$
|
5,519,316
|
|||||
8,873,094
|
||||||||
HEALTHCARE SUPPLIES—3.7%
|
||||||||
Align Technology, Inc.*
|
7,547
|
5,251,203
|
||||||
Quidel Corp.*
|
21,304
|
3,013,877
|
||||||
West Pharmaceutical Services, Inc.
|
9,161
|
3,771,858
|
||||||
12,036,938
|
||||||||
HEALTHCARE TECHNOLOGY—4.4%
|
||||||||
Inspire Medical Systems, Inc.*
|
11,918
|
2,182,901
|
||||||
Phreesia, Inc.*
|
29,849
|
2,040,179
|
||||||
Veeva Systems, Inc., Cl. A*
|
29,744
|
9,896,126
|
||||||
14,119,206
|
||||||||
LIFE SCIENCES TOOLS & SERVICES—10.7%
|
||||||||
10X Genomics, Inc., Cl. A*
|
25,464
|
4,665,769
|
||||||
Avantor, Inc.*
|
86,829
|
3,263,034
|
||||||
Bio-Techne Corp.
|
22,276
|
10,742,378
|
||||||
Bruker Corp.
|
39,470
|
3,246,407
|
||||||
NanoString Technologies, Inc.*
|
31,267
|
1,936,678
|
||||||
Quanterix Corp.*
|
24,261
|
1,289,472
|
||||||
Repligen Corp.*
|
31,386
|
7,711,540
|
||||||
Thermo Fisher Scientific, Inc.
|
3,293
|
1,778,253
|
||||||
34,633,531
|
||||||||
MANAGED HEALTHCARE—5.6%
UnitedHealth Group, Inc.
|
43,724
|
18,023,907
|
||||||
PHARMACEUTICALS—3.6%
|
||||||||
Catalent, Inc.*
|
41,401
|
4,960,254
|
||||||
Dechra Pharmaceuticals PLC
|
96,165
|
6,640,155
|
||||||
11,600,409
|
||||||||
TOTAL COMMON STOCKS
|
||||||||
(Cost $228,435,182)
|
312,330,718
|
|||||||
PREFERRED STOCKS—0.0%
|
SHARES
|
VALUE
|
||||||
BIOTECHNOLOGY—0.0%
|
||||||||
Prosetta Biosciences, Inc., Series D*,@,(a),(b)
|
897,366
|
134,605
|
||||||
(Cost $4,038,147)
|
134,605
|
|||||||
RIGHTS—0.5%
|
SHARES
|
VALUE
|
||||||
BIOTECHNOLOGY—0.5%
|
||||||||
Tolero CDR*,@,(a),(c)
|
1,956,996
|
1,506,887
|
||||||
(Cost $1,044,370)
|
1,506,887
|
|||||||
Total Investments
|
||||||||
(Cost $233,517,699)
|
96.9
|
%
|
$
|
313,972,210
|
||||
Affiliated Securities (Cost $4,038,147)
|
134,605
|
|||||||
Unaffiliated Securities (Cost $229,479,552)
|
313,837,605
|
|||||||
Other Assets in Excess of Liabilities
|
3.1
|
%
|
10,060,912
|
|||||
NET ASSETS
|
100.0
|
%
|
$
|
324,033,122
|
(a)
|
Security is valued in good faith at fair value determined using significant unobservable inputs pursuant to procedures
established by the Board.
|
(b)
|
Deemed an affiliate of the Fund in accordance with Section 2(a)(3) of the Investment Company Act of 1940. See Note 5 -
Affiliated Securities.
|
(c)
|
Contingent Deferred Rights.
|
*
|
Non-income producing security.
|
@
|
Restricted security - Investment in security not registered under the Securities Act of 1933. Sales or transfers of the
investment may be restricted only to qualified buyers.
|
Acquisition
Date(s)
|
Acquisition
Cost
|
% of net assets
(Acquisition
Date)
|
Market
Value
|
% of net assets
as of
7/31/2021 |
|||||||||||||
Security
|
|||||||||||||||||
Prosetta Biosciences, Inc., Series D
|
2/6/15
|
$
|
4,038,147
|
2.00
|
%
|
$
|
134,605
|
0.04
|
%
|
||||||||
Tolero CDR
|
2/6/17
|
1,044,370
|
0.90
|
%
|
1,506,887
|
0.47
|
%
|
||||||||||
Total
|
$
|
1,641,492
|
0.51
|
%
|
• |
Level 1 – quoted prices in active markets for identical investments
|
• |
Level 2 – significant other observable inputs (including quoted prices for similar investments, interest rates, prepayment speeds, credit risk, etc.)
|
• |
Level 3 – significant unobservable inputs (including the Funds’ own assumptions in determining the fair value of investments)
|
Alger Capital Appreciation Fund |
TOTAL
|
LEVEL 1
|
LEVEL 2
|
LEVEL 3
|
||||||||||||
COMMON STOCKS
|
|
|||||||||||||||
Communication Services
|
$
|
448,629,916
|
$
|
448,629,916
|
$
|
—
|
$
|
—
|
||||||||
Consumer Discretionary
|
645,954,129
|
605,692,265
|
37,203,724
|
3,058,140
|
||||||||||||
Consumer Staples
|
21,260,537
|
21,260,537
|
—
|
—
|
||||||||||||
Energy
|
4,440,832
|
4,440,832
|
—
|
—
|
||||||||||||
Financials
|
84,171,197
|
84,171,197
|
—
|
—
|
||||||||||||
Healthcare
|
290,447,405
|
290,447,405
|
—
|
—
|
||||||||||||
Industrials
|
163,018,357
|
163,018,357
|
—
|
—
|
||||||||||||
Information Technology
|
1,601,948,839
|
1,601,948,839
|
—
|
—
|
||||||||||||
Materials
|
25,757,610
|
25,757,610
|
—
|
—
|
||||||||||||
TOTAL COMMON STOCKS
|
$
|
3,285,628,822
|
$
|
3,245,366,958
|
$
|
37,203,724
|
$
|
3,058,140
|
||||||||
REAL ESTATE INVESTMENT TRUST
|
||||||||||||||||
Real Estate
|
7,334,365
|
7,334,365
|
—
|
—
|
||||||||||||
SPECIAL PURPOSE VEHICLE
|
||||||||||||||||
Information Technology
|
4,351,644
|
—
|
—
|
4,351,644
|
||||||||||||
TOTAL INVESTMENTS IN SECURITIES
|
$
|
3,297,314,831
|
$
|
3,252,701,323
|
$
|
37,203,724
|
$
|
7,409,784
|
Alger 35 Fund |
TOTAL
|
LEVEL 1
|
LEVEL 2
|
LEVEL 3
|
||||||||||||
COMMON STOCKS
|
|
|||||||||||||||
Communication Services
|
$
|
4,219,419
|
$
|
4,219,419
|
$
|
—
|
$ | — | ||||||||
Consumer Discretionary
|
4,874,567
|
4,874,567
|
—
|
—
|
||||||||||||
Energy
|
581,098
|
581,098
|
—
|
—
|
||||||||||||
Financials
|
1,215,850
|
1,215,850
|
—
|
—
|
||||||||||||
Healthcare
|
6,881,503
|
6,881,503
|
—
|
—
|
||||||||||||
Industrials
|
2,502,943
|
2,502,943
|
—
|
—
|
||||||||||||
Information Technology
|
20,136,050
|
20,136,050
|
—
|
— | ||||||||||||
TOTAL COMMON STOCKS
|
$
|
40,411,430
|
$
|
40,411,430
|
$
|
—
|
$
|
—
|
||||||||
REAL ESTATE INVESTMENT TRUST
|
||||||||||||||||
Real Estate
|
563,647
|
563,647
|
—
|
—
|
||||||||||||
TOTAL INVESTMENTS IN SECURITIES
|
$
|
40,975,077
|
$
|
40,975,077
|
$
|
—
|
$
|
—
|
Alger Growth & Income Fund
|
TOTAL
|
LEVEL 1
|
LEVEL 2
|
LEVEL 3
|
||||||||||||
COMMON STOCKS
|
||||||||||||||||
Communication Services
|
$
|
20,138,893
|
$
|
20,138,893
|
$
|
—
|
$ | — | ||||||||
Consumer Discretionary
|
10,958,684
|
10,958,684
|
—
|
— | ||||||||||||
Consumer Staples
|
10,059,643
|
10,059,643
|
—
|
— | ||||||||||||
Energy
|
3,726,643
|
3,726,643
|
—
|
— | ||||||||||||
Financials
|
21,351,936
|
21,351,936
|
—
|
— | ||||||||||||
Healthcare
|
18,966,739
|
18,966,739
|
—
|
— | ||||||||||||
Industrials
|
9,463,638
|
9,463,638
|
—
|
— | ||||||||||||
Information Technology
|
39,799,287
|
39,799,287
|
—
|
— | ||||||||||||
Materials
|
2,887,170
|
2,887,170
|
—
|
— | ||||||||||||
Utilities
|
1,746,130
|
1,746,130
|
—
|
— | ||||||||||||
TOTAL COMMON STOCKS
|
$
|
139,098,763
|
$
|
139,098,763
|
$
|
—
|
$ | — | ||||||||
MASTER LIMITED PARTNERSHIP
|
||||||||||||||||
Energy
|
$ | 729,158 |
$
|
729,158
|
$
|
—
|
$ | — | ||||||||
REAL ESTATE INVESTMENT TRUST
|
||||||||||||||||
Financials
|
1,093,332 |
1,093,332
|
—
|
— | ||||||||||||
Real Estate
|
6,489,005 |
6,489,005
|
—
|
— | ||||||||||||
TOTAL REAL ESTATE INVESTMENT TRUST
|
$ | 7,582,337 |
$
|
7,582,337
|
$
|
—
|
$ | — | ||||||||
SHORT—TERM INVESTMENTS
|
||||||||||||||||
Money Market Fund
|
246,483 |
246,483
|
—
|
— | ||||||||||||
TOTAL INVESTMENTS IN SECURITIES
|
$ | 147,656,741 |
$
|
147,656,741
|
$
|
—
|
$ | — |
Alger Mid Cap Growth Fund
|
TOTAL |
LEVEL 1
|
LEVEL 2
|
LEVEL 3
|
||||||||||||
COMMON STOCKS
|
||||||||||||||||
Communication Services
|
$ | 26,182,193 |
$
|
26,182,193
|
$
|
—
|
$
|
—
|
||||||||
Consumer Discretionary
|
40,540,037 |
34,352,020
|
6,188,017
|
—
|
||||||||||||
Energy
|
1,448,424 |
1,448,424
|
—
|
—
|
||||||||||||
Financials
|
5,856,805 |
5,856,805
|
—
|
—
|
||||||||||||
Healthcare
|
81,542,869 |
81,542,869
|
—
|
—
|
||||||||||||
Industrials
|
36,398,445 |
36,398,445
|
—
|
—
|
||||||||||||
Information Technology
|
100,427,398 |
100,427,398
|
—
|
—
|
||||||||||||
Materials
|
3,008,736 |
3,008,736
|
—
|
—
|
||||||||||||
TOTAL COMMON STOCKS
|
$ | 295,404,907 |
$
|
289,216,890
|
$
|
6,188,017
|
$
|
—
|
||||||||
PREFERRED STOCKS
|
||||||||||||||||
Healthcare
|
32,942 |
—
|
—
|
32,942
|
||||||||||||
RIGHTS
|
||||||||||||||||
Healthcare
|
454,345 |
—
|
—
|
454,345
|
||||||||||||
REAL ESTATE INVESTMENT TRUST
|
||||||||||||||||
Real Estate
|
7,675,227 |
7,675,227
|
—
|
—
|
||||||||||||
SPECIAL PURPOSE VEHICLE
|
||||||||||||||||
Information Technology
|
2,626,668 |
—
|
—
|
2,626,668
|
||||||||||||
TOTAL INVESTMENTS IN SECURITIES
|
$ | 306,194,089 |
$
|
296,892,117
|
$
|
6,188,017
|
$
|
3,113,955
|
Alger Mid Cap Focus Fund
|
TOTAL
|
LEVEL 1
|
LEVEL 2
|
LEVEL 3 | ||||||||||||
COMMON STOCKS
|
||||||||||||||||
Communication Services
|
$
|
27,383,909
|
$
|
27,383,909
|
$
|
—
|
$ | — | ||||||||
Consumer Discretionary
|
84,918,160
|
84,918,160
|
—
|
— | ||||||||||||
Financials
|
21,400,093
|
21,400,093
|
—
|
— | ||||||||||||
Healthcare
|
171,706,204
|
171,706,204
|
—
|
— | ||||||||||||
Industrials
|
127,459,251
|
127,459,251
|
—
|
— | ||||||||||||
Information Technology
|
294,165,769
|
294,165,769
|
—
|
— | ||||||||||||
Materials
|
6,562,633
|
6,562,633
|
—
|
— | ||||||||||||
TOTAL COMMON STOCKS
|
$
|
733,596,019
|
$
|
733,596,019
|
$
|
—
|
$ | — | ||||||||
TOTAL INVESTMENTS IN SECURITIES
|
$
|
733,596,019
|
$
|
733,596,019
|
$
|
—
|
$ | — |
Alger Weatherbie Specialized Growth Fund
|
TOTAL
|
LEVEL 1
|
LEVEL 2
|
LEVEL 3 | ||||||||||||
COMMON STOCKS
|
||||||||||||||||
Consumer Discretionary
|
$
|
260,005,453
|
$
|
260,005,453
|
$
|
—
|
$ | — | ||||||||
Energy
|
43,684,353
|
43,684,353
|
—
|
—
|
||||||||||||
Financials
|
293,100,305
|
293,100,305
|
—
|
—
|
||||||||||||
Healthcare
|
416,145,154
|
416,145,154
|
—
|
—
|
||||||||||||
Industrials
|
140,984,558
|
140,984,558
|
—
|
—
|
||||||||||||
Information Technology
|
285,593,241
|
285,593,241
|
—
|
—
|
||||||||||||
Materials
|
4,117,851
|
4,117,851
|
—
|
—
|
||||||||||||
Real Estate
|
92,468,424
|
92,468,424
|
—
|
—
|
||||||||||||
TOTAL COMMON STOCKS
|
$
|
1,536,099,339
|
$
|
1,536,099,339
|
$
|
—
|
$ | — | ||||||||
PREFERRED STOCKS
|
||||||||||||||||
Healthcare
|
$
|
34,721
|
$
|
—
|
$
|
—
|
$ | 34,721 | ||||||||
TOTAL INVESTMENTS IN SECURITIES
|
$
|
1,536,134,060
|
$
|
1,536,099,339
|
$
|
—
|
$ | 34,721 |
Alger Small Cap Growth Fund
|
TOTAL |
LEVEL 1
|
LEVEL 2
|
LEVEL 3
|
||||||||||||
COMMON STOCKS
|
||||||||||||||||
Communication Services
|
$ | 55,002,616 |
$
|
55,002,616
|
$
|
—
|
$
|
—
|
||||||||
Consumer Discretionary
|
81,545,758 |
81,545,758
|
—
|
—
|
||||||||||||
Consumer Staples
|
14,803,449 |
14,803,449
|
—
|
—
|
||||||||||||
Energy
|
8,402,646 |
8,402,646
|
—
|
—
|
||||||||||||
Financials
|
11,682,551 |
11,682,551
|
—
|
—
|
||||||||||||
Healthcare
|
242,617,661 |
241,813,952
|
803,709
|
—
|
||||||||||||
Industrials
|
33,825,015 |
33,825,015
|
—
|
—
|
||||||||||||
Information Technology
|
180,413,288 |
180,413,288
|
—
|
—
|
||||||||||||
Materials
|
14,059,004 |
14,059,004
|
—
|
—
|
||||||||||||
TOTAL COMMON STOCKS
|
$ | 642,351,988 |
$
|
641,548,279
|
$
|
803,709
|
$
|
—
|
||||||||
PREFERRED STOCKS
|
||||||||||||||||
Healthcare
|
7,603 |
—
|
—
|
7,603
|
||||||||||||
RIGHTS
|
||||||||||||||||
Healthcare
|
134,582 |
—
|
—
|
134,582
|
||||||||||||
REAL ESTATE INVESTMENT TRUST
|
||||||||||||||||
Real Estate
|
4,834,935 |
4,834,935
|
—
|
—
|
||||||||||||
SPECIAL PURPOSE VEHICLE
|
||||||||||||||||
Information Technology
|
3,567,564 |
—
|
—
|
3,567,564
|
||||||||||||
TOTAL INVESTMENTS IN SECURITIES
|
$ | 650,896,672 |
$
|
646,383,214
|
$
|
803,709
|
$
|
3,709,749
|
Alger Small Cap Focus Fund
|
TOTAL
|
LEVEL 1
|
LEVEL 2
|
LEVEL 3
|
||||||||||||
COMMON STOCKS
|
||||||||||||||||
Communication Services
|
$
|
238,001,824
|
$
|
238,001,824
|
$
|
—
|
$ |
—
|
||||||||
Consumer Discretionary
|
752,595,636
|
752,595,636
|
—
|
—
|
||||||||||||
Consumer Staples
|
98,093,089
|
98,093,089
|
—
|
—
|
||||||||||||
Energy
|
194,980,858
|
194,980,858
|
—
|
—
|
||||||||||||
Healthcare
|
4,056,962,392
|
4,056,962,392
|
—
|
—
|
||||||||||||
Industrials
|
704,793,883
|
704,793,883
|
—
|
—
|
||||||||||||
Information Technology
|
2,054,687,756
|
2,054,687,756
|
—
|
—
|
||||||||||||
TOTAL COMMON STOCKS
|
$
|
8,100,115,438
|
$
|
8,100,115,438
|
$
|
—
|
$ |
—
|
||||||||
RIGHTS
|
||||||||||||||||
Healthcare
|
$
|
9,167
|
$
|
—
|
$
|
—
|
$ |
9,167
|
||||||||
TOTAL INVESTMENTS IN SECURITIES
|
$
|
8,100,124,605
|
$
|
8,100,115,438
|
$
|
—
|
$ |
9,167
|
Alger International Focus Fund
|
TOTAL
|
LEVEL 1
|
LEVEL 2
|
LEVEL 3
|
||||||||||||
COMMON STOCKS
|
||||||||||||||||
Communication Services
|
$
|
2,568,288
|
$
|
2,568,288
|
$
|
—
|
$
|
—
|
||||||||
Consumer Discretionary
|
42,166,004
|
8,660,723
|
33,505,281
|
—
|
||||||||||||
Consumer Staples
|
8,207,398
|
—
|
8,207,398
|
—
|
||||||||||||
Energy
|
11,490,217
|
6,804,255
|
4,685,962
|
—
|
||||||||||||
Financials
|
21,013,156
|
4,714,076
|
16,299,080
|
—
|
||||||||||||
Healthcare
|
23,935,440
|
3,375,723
|
20,559,717
|
—
|
||||||||||||
Industrials
|
43,055,370
|
—
|
43,055,370
|
—
|
||||||||||||
Information Technology
|
38,983,746
|
8,436,160
|
30,547,586
|
—
|
||||||||||||
Materials
|
10,356,198
|
—
|
10,356,198
|
—
|
||||||||||||
TOTAL COMMON STOCKS
|
$
|
201,775,817
|
$
|
34,559,225
|
$
|
167,216,592
|
$
|
—
|
||||||||
TOTAL INVESTMENTS IN SECURITIES
|
$
|
201,775,817
|
$
|
34,559,225
|
$
|
167,216,592
|
$
|
—
|
Alger Health Sciences Fund
|
TOTAL
|
LEVEL 1
|
LEVEL 2
|
LEVEL 3
|
||||||||||||
COMMON STOCKS
|
||||||||||||||||
Healthcare
|
$
|
310,083,749
|
$
|
296,383,952
|
$
|
13,699,797
|
$
|
—
|
||||||||
Information Technology
|
2,246,969
|
2,246,969
|
—
|
—
|
||||||||||||
TOTAL COMMON STOCKS
|
$
|
312,330,718
|
$
|
298,630,921
|
$
|
13,699,797
|
$
|
—
|
||||||||
PREFERRED STOCKS
|
||||||||||||||||
Healthcare
|
134,605
|
—
|
—
|
134,605
|
||||||||||||
RIGHTS
|
||||||||||||||||
Healthcare
|
1,506,887
|
—
|
—
|
1,506,887
|
||||||||||||
TOTAL INVESTMENTS IN SECURITIES
|
$
|
313,972,210
|
$
|
298,630,921
|
$
|
13,699,797
|
$
|
1,641,492
|
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
|
||||
Alger Capital Appreciation Fund
|
Common Stocks
|
|||
Opening balance at November 1, 2020
|
$ | 5,734,338 | ||
Transfers into Level 3
|
—
|
|||
Transfers out of Level 3
|
—
|
|||
Total gains or losses
|
||||
Included in net realized gain (loss) on investments
|
—
|
|||
Included in net change in unrealized appreciation (depreciation) on investments
|
(2,676,198
|
)
|
||
Purchases and sales
|
||||
Purchases
|
—
|
|||
Sales
|
—
|
|||
Closing balance at July 31, 2021
|
3,058,140
|
|||
Net change in unrealized appreciation (depreciation) attributable to investments still held at July 31, 2021
|
$
|
(2,676,198
|
)
|
Alger Capital Appreciation Fund
|
Special Purpose
Vehicle
|
|||
Opening balance at November 1, 2020
|
$ | 2,775,000 | ||
Transfers into Level 3
|
—
|
|||
Transfers out of Level 3
|
—
|
|||
Total gains or losses
|
||||
Included in net realized gain (loss) on investments
|
—
|
|||
Included in net change in unrealized appreciation (depreciation) on investments
|
1,576,644
|
|||
Purchases and sales
|
||||
Purchases
|
—
|
|||
Sales
|
—
|
|||
Closing balance at July 31, 2021
|
4,351,644
|
|||
Net change in unrealized appreciation (depreciation) attributable to investments still held at July 31, 2021
|
$
|
1,576,644
|
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
|
||||
Alger Mid Cap Growth Fund
|
Preferred Stocks
|
|||
Opening balance at November 1, 2020
|
$ | 32,942 | ||
Transfers into Level 3
|
— | |||
Transfers out of Level 3
|
—
|
|||
Total gains or losses
|
||||
Included in net realized gain (loss) on investments
|
—
|
|||
Included in net change in unrealized appreciation (depreciation) on investments
|
—
|
|||
Purchases and sales
|
||||
Purchases
|
—
|
|||
Sales
|
—
|
|||
Closing balance at July 31, 2021
|
32,942
|
|||
Net change in unrealized appreciation (depreciation) attributable to investments still held at July 31, 2021
|
$ | — |
Alger Mid Cap Growth Fund
|
Rights
|
|||
Opening balance at November 1, 2020
|
$
|
407,141
|
||
Transfers into Level 3
|
—
|
|||
Transfers out of Level 3
|
—
|
|||
Total gains or losses
|
||||
Included in net realized gain (loss) on investments
|
—
|
|||
Included in net change in unrealized appreciation (depreciation) on investments
|
47,204
|
|||
Purchases and sales
|
||||
Purchases
|
—
|
|||
Sales
|
—
|
|||
Closing balance at July 31, 2021
|
454,345
|
|||
Net change in unrealized appreciation (depreciation) attributable to investments still held at July 31, 2021
|
$
|
47,204
|
Alger Mid Cap Growth Fund
|
Special Purpose
Vehicle
|
|||
Opening balance at November 1, 2020
|
$
|
1,200,000
|
||
Transfers into Level 3
|
— | |||
Transfers out of Level 3
|
—
|
|||
Total gains or losses
|
||||
Included in net realized gain (loss) on investments
|
— | |||
Included in net change in unrealized appreciation (depreciation) on investments
|
951,668
|
|||
Purchases and sales
|
||||
Purchases
|
475,000
|
|||
Sales
|
—
|
|||
Closing balance at July 31, 2021
|
2,626,668
|
|||
Net change in unrealized appreciation (depreciation) attributable to investments still held at July 31, 2021
|
$
|
951,668
|
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
|
||||
Alger Weatherbie Specialized Growth Fund
|
Preferred Stocks
|
|||
Opening balance at November 1, 2020
|
$
|
34,721
|
||
Transfers into Level 3
|
—
|
|||
Transfers out of Level 3
|
—
|
|||
Total gains or losses
|
||||
Included in net realized gain (loss) on investments
|
—
|
|||
Included in net change in unrealized appreciation (depreciation) on investments
|
—
|
|||
Purchases and sales
|
||||
Purchases
|
—
|
|||
Sales
|
—
|
|||
Closing balance at July 31, 2021
|
34,721
|
|||
Net change in unrealized appreciation (depreciation) attributable to investments still held at July 31, 2021
|
$
|
—
|
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
|
||||
Alger Small Cap Growth Fund
|
Preferred Stocks
|
|||
Opening balance at November 1, 2020
|
$
|
7,603
|
||
Transfers into Level 3
|
—
|
|||
Transfers out of Level 3
|
—
|
|||
Total gains or losses
|
||||
Included in net realized gain (loss) on investments
|
—
|
|||
Included in net change in unrealized appreciation (depreciation) on investments
|
—
|
|||
Purchases and sales
|
||||
Purchases
|
—
|
|||
Sales
|
—
|
|||
Closing balance at July 31, 2021
|
7,603
|
|||
Net change in unrealized appreciation (depreciation) attributable to investments still held at July 31, 2021
|
$
|
—
|
|
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
|
|||
Alger Small Cap Growth Fund
|
Rights
|
|||
Opening balance at November 1, 2020
|
$
|
120,600
|
||
Transfers into Level 3
|
—
|
|||
Transfers out of Level 3
|
—
|
|||
Total gains or losses
|
||||
Included in net realized gain (loss) on investments
|
—
|
|||
Included in net change in unrealized appreciation (depreciation) on investments
|
13,982
|
|||
Purchases and sales
|
||||
Purchases
|
—
|
|||
Sales
|
—
|
|||
Closing balance at July 31, 2021
|
134,582
|
|||
Net change in unrealized appreciation (depreciation) attributable to investments still held at July 31, 2021
|
$
|
13,982
|
Alger Small Cap Growth Fund
|
Special Purpose
Vehicle
|
|||
Opening balance at November 1, 2020
|
$ | 1,800,000 | ||
Transfers into Level 3
|
—
|
|||
Transfers out of Level 3
|
—
|
|||
Total gains or losses
|
||||
Included in net realized gain (loss) on investments
|
—
|
|||
Included in net change in unrealized appreciation (depreciation) on investments
|
1,292,564
|
|||
Purchases and sales
|
||||
Purchases
|
475,000
|
|||
Sales
|
—
|
|||
Closing balance at July 31, 2021
|
3,567,564
|
|||
Net change in unrealized appreciation (depreciation) attributable to investments still held at July 31, 2021
|
$
|
1,292,564
|
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
|
||||
Alger Small Cap Focus Fund
|
Rights
|
|||
Opening balance at November 1, 2020
|
$
|
8,214
|
||
Transfers into Level 3
|
—
|
|||
Transfers out of Level 3
|
—
|
|||
Total gains or losses
|
||||
Included in net realized gain (loss) on investments
|
—
|
|||
Included in net change in unrealized appreciation (depreciation) on investments
|
953
|
|||
Purchases and sales
|
||||
Purchases
|
—
|
|||
Sales
|
—
|
|||
Closing balance at July 31, 2021
|
9,167
|
|||
Net change in unrealized appreciation (depreciation) attributable to investments still held at July 31, 2021
|
$
|
953
|
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
|
||||
Alger Health Sciences Fund
|
Preferred Stocks
|
|||
Opening balance at November 1, 2020
|
$ | 134,605 | ||
Transfers into Level 3
|
—
|
|||
Transfers out of Level 3
|
—
|
|||
Total gains or losses
|
||||
Included in net realized gain (loss) on investments
|
—
|
|||
Included in net change in unrealized appreciation (depreciation) on investments
|
—
|
|||
Purchases and sales
|
||||
Purchases
|
—
|
|||
Sales
|
—
|
|||
Closing balance at July 31, 2021
|
134,605
|
|||
Net change in unrealized appreciation (depreciation) attributable to investments still held at July 31, 2021
|
$
|
—
|
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3) |
||||
Alger Health Sciences Fund
|
Rights
|
|||
Opening balance at November 1, 2020
|
$ | 1,350,327 | ||
Transfers into Level 3
|
—
|
|||
Transfers out of Level 3
|
—
|
|||
Total gains or losses
|
||||
Included in net realized gain (loss) on investments
|
—
|
|||
Included in net change in unrealized appreciation (depreciation) on investments
|
156,560
|
|||
Purchases and sales
|
||||
Purchases
|
—
|
|||
Sales
|
—
|
|||
Closing balance at July 31, 2021
|
1,506,887
|
|||
Net change in unrealized appreciation (depreciation) attributable to investments still held at July 31, 2021
|
$
|
156,560
|
Fair Value
July 31, 2021
|
Valuation
Methodology
|
Unobservable
Input
|
Input/Range
|
Weighted
Average Inputs
|
||||||||||
Alger Capital Appreciation Fund
|
||||||||||||||
Common Stocks
|
3,058,140
|
Income Approach
|
Discount Rate
|
0.00%-3.04
|
%
|
N/A
|
||||||||
Special Purpose Vehicle
|
4,351,644
|
Income Approach
|
Revenue Multiple
|
27x – 28
|
x
|
N/A
|
||||||||
Alger Mid Cap Growth Fund
|
||||||||||||||
Preferred Stocks
|
32,942
|
Income Approach
|
Discount Rate
|
72.50%-77.50
|
%
|
N/A
|
||||||||
|
||||||||||||||
Rights
|
454,345
|
Income Approach
|
Discount Rate
|
3.26%-3.98
|
%
|
N/A
|
||||||||
|
||||||||||||||
Probability of Success
|
0.00%-100.00
|
%
|
N/A
|
|||||||||||
Special Purpose Vehicle
|
2,626,668
|
Income Approach
|
Revenue Multiple
|
27x – 28
|
x
|
N/A
|
||||||||
Alger Weatherbie Specialized Growth Fund
|
||||||||||||||
Preferred Stocks | $ | 34,721 | Income Approach | Discount Rate | 72.50%-77.50 | % | N/A |
Fair Value
July 31, 2021
|
Valuation
Methodology
|
Unobservable
Input
|
Input/Range
|
Weighted
Average Inputs
|
|||||||||||
Alger Small Cap Growth Fund
|
|||||||||||||||
Preferred Stocks
|
7,603
|
Income Approach
|
Discount Rate
|
72.50%-77.50
|
%
|
N/A
|
|||||||||
Rights
|
134,582
|
Income Approach
|
Discount Rate
|
3.26%-3.98
|
%
|
N/A
|
|||||||||
Probability of Success
|
0.00%-100.00
|
%
|
N/A
|
||||||||||||
Special Purpose Vehicle
|
3,567,564
|
Income Approach
|
Revenue Multiple
|
27x – 28
|
x |
|
N/A
|
||||||||
Alger Small Cap Focus Fund
|
|||||||||||||||
Rights
|
$
|
9,167
|
Income Approach
|
Discount Rate
|
3.26%-3.98
|
%
|
N/A
|
||||||||
|
Probability of Success
|
0.00%-100.00
|
%
|
N/A
|
|||||||||||
Alger Health Sciences Fund
|
|||||||||||||||
Preferred Stocks | 134,605 | Income Approach | Discount Rate | 72.50%-77.50 | % |
N/A | |||||||||
Discount Rate | 3.26%-3.98 | % |
N/A | ||||||||||||
Rights | 1,506,887 | Income Approach | Probability of Success | 0.00%-100.00 | % |
N/A |
Cash, Foreign Cash and Cash Equivalents:
|
TOTAL | LEVEL 1 | LEVEL 2 | LEVEL 3 | ||||||||||||
Alger Capital Appreciation Fund
|
$
|
9,156,860
|
$
|
(72,604
|
)
|
$
|
9,229,464
|
$
|
–
|
|||||||
Alger 35 Fund
|
185,329
|
–
|
185,329
|
–
|
||||||||||||
Alger Growth & Income Fund
|
4,386,560
|
–
|
4,386,560
|
–
|
||||||||||||
Alger Mid Cap Growth Fund
|
2,120,923
|
–
|
2,120,923
|
–
|
||||||||||||
Alger Mid Cap Focus Fund
|
34,216,345
|
–
|
34,216,345
|
–
|
||||||||||||
Alger Weatherbie Specialized Growth Fund
|
32,172,839
|
–
|
32,172,839
|
–
|
||||||||||||
Alger Small Cap Growth Fund
|
21,737,398
|
–
|
21,737,398
|
–
|
||||||||||||
Alger Small Cap Focus Fund
|
40,301,668
|
–
|
40,301,668
|
–
|
||||||||||||
Alger International Focus Fund
|
3,807,593
|
–
|
3,807,593
|
–
|
||||||||||||
Alger Health Sciences Fund
|
24,676,223
|
–
|
24,676,223
|
–
|
Security
|
Value at
October 31,
2020
|
Purchases/
Conversion
|
Sales/
Conversion
|
Dividend/
Interest
Income
|
Realized
Gain (Loss)
|
Net Change
in Unrealized
App(Dep)
|
Value at
July 31,
2021
|
|||||||||||||||||||||
Alger Capital Appreciation Fund | ||||||||||||||||||||||||||||
Special Purpose Vehicle | ||||||||||||||||||||||||||||
Crosslink Ventures Capital LLC, Cl. A
|
$
|
2,775,000
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
1,576,644 |
$
|
4,351,644
|
||||||||||||||
Total
|
$
|
2,775,000
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
1,576,644 |
$
|
4,351,644
|
Security
|
Value at
October 31,
2020
|
Purchases/
Conversion
|
Sales/
Conversion
|
Dividend/
Interest
Income
|
Realized
Gain (Loss)
|
Net Change
in
Unrealized
App(Dep)
|
Value at
July 31,
2021
|
|||||||||||||||||||||
Alger Mid Cap Growth Fund
|
||||||||||||||||||||||||||||
Preferred Stocks | ||||||||||||||||||||||||||||
Prosetta Biosciences, Inc., Series D
|
$
|
32,942
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
32,942
|
||||||||||||||
Special Purpose Vehicle
|
||||||||||||||||||||||||||||
Crosslink Ventures Capital LLC, Cl. A
|
1,200,000
|
–
|
–
|
–
|
–
|
681,792
|
1,881,792
|
|||||||||||||||||||||
Crosslink Ventures Capital LLC, Cl. B
|
–
|
475,000
|
–
|
–
|
–
|
269,876
|
744,876
|
|||||||||||||||||||||
Total
|
$
|
1,232,942
|
$
|
475,000
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
951,668
|
$
|
2,659,610
|
Security
|
Value at
October 31,
2020
|
Purchases/
Conversion
|
Sales/
Conversion
|
Dividend/
Interest
Income
|
Realized
Gain (Loss)
|
Net Change
in
Unrealized
App(Dep)
|
Value at
July 31,
2021
|
|||||||||||||||||||||
Alger Weatherbie Specialized Growth Fund
|
||||||||||||||||||||||||||||
Preferred Stocks | ||||||||||||||||||||||||||||
Prosetta Biosciences, Inc., Series D
|
$
|
34,721
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
34,721
|
||||||||||||||
Total
|
$
|
34,721
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
34,721
|
Security
|
Value at
October 31,
2020
|
Purchases/
Conversion
|
Sales/
Conversion
|
Dividend/
Interest
Income
|
Realized
Gain (Loss)
|
Net Change
in
Unrealized
App(Dep)
|
Value at
July 31,
2021
|
|||||||||||||||||||||
Alger Small Cap Growth Fund
|
||||||||||||||||||||||||||||
Preferred Stocks
|
||||||||||||||||||||||||||||
Prosetta Biosciences, Inc., Series D
|
$
|
7,603
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
7,603
|
||||||||||||||
Special Purpose Vehicle
|
||||||||||||||||||||||||||||
Crosslink Ventures Capital LLC, Cl. A
|
1,800,000
|
–
|
–
|
–
|
–
|
1,022,688
|
2,822,688
|
|||||||||||||||||||||
Crosslink Ventures Capital LLC, Cl. B
|
–
|
475,000 |
–
|
–
|
–
|
269,876
|
744,876
|
|||||||||||||||||||||
Total
|
$
|
1,807,603
|
$
|
475,000
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
1,292,564
|
$ | 3,575,167 |
Security
|
Value at
October 31,
2020
|
Purchases/
Conversion
|
Sales/
Conversion
|
Dividend/
Interest
Income
|
Realized
Gain (Loss)
|
Net Change
in Unrealized
App(Dep)
|
Value at
July 31,
2021
|
|||||||||||||||||||||
Alger Health Sciences Fund
|
||||||||||||||||||||||||||||
Preferred Stocks | ||||||||||||||||||||||||||||
Prosetta Biosciences, Inc., Series D
|
$
|
134,605
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
134,605
|
||||||||||||||
Total
|
$
|
134,605
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
–
|
$
|
134,605
|