NPORT-EX 4 AFUL020ALGER073124.htm EDGAR HTML
THE ALGER FUNDS
QUARTERLY REPORT
July 31, 2024 (UNAUDITED)

THE ALGER FUNDS | ALGER CAPITAL APPRECIATION FUND
Schedule of Investments July 31, 2024 (Unaudited)

 
SHARES
VALUE
COMMON STOCKS—98.7%
AEROSPACE & DEFENSE—3.2%
HEICO Corp.
   80,648
$   19,463,588
HEICO Corp., Cl. A
   60,818
   11,562,110
TransDigm Group, Inc.
   20,537
   26,579,396
 
 
 
 
   57,605,094
APPAREL RETAIL—0.3%
Burlington Stores, Inc.*
   20,672
    5,381,335
APPLICATION SOFTWARE—4.0%
Adobe, Inc.*
   40,920
   22,573,518
AppLovin Corp., Cl. A*
  448,270
   34,561,617
Cadence Design Systems, Inc.*
   35,465
    9,492,562
Intuit, Inc., Cl. A
    9,094
    5,887,001
 
 
 
 
   72,514,698
AUTOMOBILE MANUFACTURERS—0.3%
Tesla, Inc.*
   19,133
    4,440,195
BIOTECHNOLOGY—4.4%
Amgen, Inc.
   27,800
    9,242,666
Ascendis Pharma A/S ADR*
   27,067
    3,613,444
Madrigal Pharmaceuticals, Inc.*
   17,483
    4,976,711
Natera, Inc.*
  412,948
   42,281,746
Nuvalent, Inc., Cl. A*
   16,750
    1,338,995
Sarepta Therapeutics, Inc.*
   40,267
    5,727,578
Vaxcyte, Inc.*
  149,369
   11,783,720
Vertex Pharmaceuticals, Inc.*
    3,525
    1,747,413
 
 
 
 
   80,712,273
BROADLINE RETAIL—10.0%
Amazon.com, Inc.*
  850,895
  159,100,347
MercadoLibre, Inc.*
   13,986
   23,341,235
 
 
 
 
  182,441,582
BUILDING PRODUCTS—0.1%
Builders FirstSource, Inc.*
   10,586
    1,771,779
CARGO GROUND TRANSPORTATION—0.1%
Old Dominion Freight Line, Inc.
   12,193
    2,562,725
CASINOS & GAMING—1.0%
DraftKings, Inc., Cl. A*
  458,027
   16,924,098
Flutter Entertainment PLC*
    7,785
    1,539,918
 
 
 
 
   18,464,016
COAL & CONSUMABLE FUELS—0.0%
Cameco Corp.
    8,090
      368,014
CONSTRUCTION & ENGINEERING—0.4%
Quanta Services, Inc.
   28,673
    7,609,241
See Notes to Financial Statements.
- 2 -

THE ALGER FUNDS | ALGER CAPITAL APPRECIATION FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—98.7% (CONT.)
CONSTRUCTION MACHINERY & HEAVY TRANSPORTATION EQUIPMENT—0.3%
Wabtec Corp.
   37,781
$    6,088,408
CONSTRUCTION MATERIALS—0.6%
Martin Marietta Materials, Inc.
   17,293
   10,260,802
CONSUMER STAPLES MERCHANDISE RETAIL—0.2%
Walmart, Inc.
   43,388
    2,978,152
DIVERSIFIED BANKS—0.3%
Citigroup, Inc.
   80,571
    5,227,446
ELECTRIC UTILITIES—1.2%
Constellation Energy Corp.
   70,139
   13,312,382
NRG Energy, Inc.
  113,820
    8,555,850
 
 
 
 
   21,868,232
ELECTRICAL COMPONENTS & EQUIPMENT—1.6%
Eaton Corp. PLC
   17,732
    5,404,536
Vertiv Holdings Co., Cl. A
  305,865
   24,071,576
 
 
 
 
   29,476,112
ENVIRONMENTAL & FACILITIES SERVICES—1.3%
GFL Environmental, Inc.
  624,821
   24,255,551
FINANCIAL EXCHANGES & DATA—1.5%
S&P Global, Inc.
   57,617
   27,928,688
FOOTWEAR—0.6%
Deckers Outdoor Corp.*
    3,252
    3,000,393
On Holding AG, Cl. A*
  168,037
    6,960,092
 
 
 
 
    9,960,485
HEALTHCARE DISTRIBUTORS—1.0%
McKesson Corp.
   30,473
   18,802,450
HEALTHCARE EQUIPMENT—2.8%
Boston Scientific Corp.*
  348,147
   25,721,101
Intuitive Surgical, Inc.*
   57,584
   25,602,422
 
 
 
 
   51,323,523
INTERACTIVE HOME ENTERTAINMENT—0.1%
Take-Two Interactive Software, Inc.*
   11,845
    1,783,028
INTERACTIVE MEDIA & SERVICES—10.7%
Alphabet, Inc., Cl. C
  357,721
   61,939,391
Meta Platforms, Inc., Cl. A
  244,187
  115,947,313
Pinterest, Inc., Cl. A*
  522,878
   16,705,952
 
 
 
 
  194,592,656
INTERNET SERVICES & INFRASTRUCTURE—0.3%
Shopify, Inc., Cl. A*
   86,002
    5,263,322
LIFE SCIENCES TOOLS & SERVICES—0.9%
Danaher Corp.
   61,974
   17,171,756
See Notes to Financial Statements.
- 3 -

THE ALGER FUNDS | ALGER CAPITAL APPRECIATION FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—98.7% (CONT.)
MANAGED HEALTHCARE—0.7%
UnitedHealth Group, Inc.
   21,317
$   12,282,003
MOVIES & ENTERTAINMENT—3.2%
Liberty Media Corp. Series C Liberty Formula One*
  140,979
   11,400,972
Netflix, Inc.*
   52,081
   32,725,096
Spotify Technology SA*
   41,112
   14,140,061
 
 
 
 
   58,266,129
PASSENGER GROUND TRANSPORTATION—0.4%
Uber Technologies, Inc.*
  106,365
    6,857,352
PHARMACEUTICALS—1.4%
AstraZeneca PLC ADR
   53,320
    4,220,278
Eli Lilly & Co.
   27,029
   21,738,614
 
 
 
 
   25,958,892
SEMICONDUCTOR MATERIALS & EQUIPMENT—0.2%
ASML Holding NV ADR
    2,875
    2,693,013
SEMICONDUCTORS—20.1%
Advanced Micro Devices, Inc.*
   95,793
   13,840,173
Broadcom, Inc.
  276,325
   44,399,901
Marvell Technology, Inc.
  177,086
   11,861,220
Micron Technology, Inc.
  164,255
   18,038,484
NVIDIA Corp.
2,059,873
  241,046,339
Taiwan Semiconductor Manufacturing Co., Ltd. ADR
  227,423
   37,706,733
 
 
 
 
  366,892,850
SPECIALTY CHEMICALS—0.1%
Ecolab, Inc.
    7,372
    1,700,647
SYSTEMS SOFTWARE—16.2%
Microsoft Corp.
  676,781
  283,131,332
ServiceNow, Inc.*
   15,775
   12,847,002
 
 
 
 
  295,978,334
TECHNOLOGY HARDWARE STORAGE & PERIPHERALS—6.9%
Apple, Inc.
  544,371
  120,893,911
Dell Technologies, Inc., Cl. C
   39,104
    4,445,343
 
 
 
 
  125,339,254
TRADING COMPANIES & DISTRIBUTORS—0.1%
Ferguson Enterprises Inc.
   11,157
    2,484,106
TRANSACTION & PAYMENT PROCESSING SERVICES—2.2%
Visa, Inc., Cl. A
  150,086
   39,873,348
TOTAL COMMON STOCKS
(Cost $692,439,673)
 
1,799,177,491
See Notes to Financial Statements.
- 4 -

THE ALGER FUNDS | ALGER CAPITAL APPRECIATION FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
PREFERRED STOCKS—0.0%
DIVERSIFIED FINANCIAL SERVICES—0.0%
Chime Financial, Inc.,Series G(a),*,@
   27,841
$      991,140
(Cost $1,922,972)
 
      991,140
REAL ESTATE INVESTMENT TRUST—1.0%
DATA CENTER—1.0%
Equinix, Inc.
   22,475
   17,760,644
(Cost $18,500,742)
 
   17,760,644
SPECIAL PURPOSE VEHICLE—0.1%
DATA PROCESSING & OUTSOURCED SERVICES—0.1%
Crosslink Ventures C, LLC, Cl. A(a),(b),*,@
 
    2,412,030
(Cost $2,775,000)
 
    2,412,030
SHORT-TERM SECURITIES—0.0%
MONEY MARKET FUNDS—0.0%
Dreyfus Treasury Obligations Cash Management Fund,
Institutional Shares, 5.19%(c)
  235,111
      235,111
(Cost $235,111)
 
      235,111
 
 
Total Investments
(Cost $715,873,498)
    99.8%
$1,820,576,416
Affiliated Securities (Cost $2,775,000)
 
    2,412,030
Unaffiliated Securities (Cost $713,098,498)
 
1,818,164,386
Other Assets in Excess of Liabilities
     0.2%
    2,897,103
NET ASSETS
   100.0%
$1,823,473,519
ADR
American Depositary Receipts
(a)
Security is valued in good faith at fair value determined using significant unobservable inputs pursuant to procedures
approved by the Board of Trustees.
(b)
Deemed an affiliate of the Fund in accordance with Section 2(a)(3) of the Investment Company Act of 1940. See Note
4 - Affiliated Securities.
(c)
Rate shown reflects 7-day effective yield as of July 31, 2024.
*
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
Market
Value
% of net assets
as of
7/31/2024
Chime Financial, Inc.,Series G
8/24/21
$1,922,972
$991,140
0.0%
Crosslink Ventures C, LLC, Cl. A
10/2/20
2,775,000
2,412,030
0.1%
Total
 
$3,403,170
0.1%
See Notes to Financial Statements.
- 5 -

THE ALGER FUNDS | ALGER CONCENTRATED EQUITY FUND
Schedule of Investments July 31, 2024 (Unaudited)

 
SHARES
VALUE
COMMON STOCKS—99.6%
AEROSPACE & DEFENSE—3.7%
HEICO Corp., Cl. A
   867
$  164,825
APPLICATION SOFTWARE—4.4%
AppLovin Corp., Cl. A*
1,400
  107,940
Cadence Design Systems, Inc.*
   318
   85,116
 
 
 
 
  193,056
AUTOMOBILE MANUFACTURERS—1.7%
Ferrari NV
   110
   45,431
Tesla, Inc.*
   131
   30,401
 
 
 
 
   75,832
BIOTECHNOLOGY—1.7%
Natera, Inc.*
   719
   73,618
BROADLINE RETAIL—10.3%
Amazon.com, Inc.*
2,116
  395,650
MercadoLibre, Inc.*
    34
   56,742
 
 
 
 
  452,392
COAL & CONSUMABLE FUELS—0.9%
Cameco Corp.
   847
   38,530
CONSTRUCTION & ENGINEERING—1.4%
Quanta Services, Inc.
   236
   62,630
ELECTRIC UTILITIES—1.6%
Constellation Energy Corp.
   367
   69,657
ELECTRICAL COMPONENTS & EQUIPMENT—2.0%
Vertiv Holdings Co., Cl. A
1,121
   88,223
ENVIRONMENTAL & FACILITIES SERVICES—2.3%
GFL Environmental, Inc.
2,664
  103,417
FINANCIAL EXCHANGES & DATA—2.1%
S&P Global, Inc.
   192
   93,068
HEALTHCARE EQUIPMENT—2.1%
Intuitive Surgical, Inc.*
   204
   90,700
INTERACTIVE MEDIA & SERVICES—9.8%
Alphabet, Inc., Cl. C
   722
  125,014
Meta Platforms, Inc., Cl. A
   561
  266,380
Pinterest, Inc., Cl. A*
1,214
   38,787
 
 
 
 
  430,181
LIFE SCIENCES TOOLS & SERVICES—2.5%
Danaher Corp.
   398
  110,278
MOVIES & ENTERTAINMENT—3.9%
Liberty Media Corp. Series C Liberty Formula One*
1,096
   88,634
Netflix, Inc.*
   132
   82,942
 
 
 
 
  171,576
See Notes to Financial Statements.
- 6 -

THE ALGER FUNDS | ALGER CONCENTRATED EQUITY FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—99.6% (CONT.)
PHARMACEUTICALS—2.1%
Eli Lilly & Co.
   113
$   90,883
SEMICONDUCTOR MATERIALS & EQUIPMENT—1.3%
ASML Holding NV ADR
    60
   56,202
SEMICONDUCTORS—21.5%
Broadcom, Inc.
   764
  122,759
Micron Technology, Inc.
   885
   97,191
NVIDIA Corp.
4,880
  571,058
Taiwan Semiconductor Manufacturing Co., Ltd. ADR
   943
  156,349
 
 
 
 
  947,357
SYSTEMS SOFTWARE—13.5%
Microsoft Corp.
1,423
  595,312
TECHNOLOGY HARDWARE STORAGE & PERIPHERALS—8.6%
Apple, Inc.
1,697
  376,870
TRANSACTION & PAYMENT PROCESSING SERVICES—2.2%
Visa, Inc., Cl. A
   357
   94,844
TOTAL COMMON STOCKS
(Cost $4,051,265)
 
4,379,451
SHORT-TERM SECURITIES—1.9%
MONEY MARKET FUNDS—1.9%
Dreyfus Treasury Obligations Cash Management Fund,
Institutional Shares, 5.19%(a)
80,777
   80,777
(Cost $80,777)
 
   80,777
 
 
Total Investments
(Cost $4,132,042)
101.5%
$4,460,228
Unaffiliated Securities (Cost $4,132,042)
 
4,460,228
Liabilities in Excess of Other Assets
(1.5)%
  (64,380)
NET ASSETS
100.0%
$4,395,848
ADR
American Depositary Receipts
(a)
Rate shown reflects 7-day effective yield as of July 31, 2024.
*
Non-income producing security.
See Notes to Financial Statements.
- 7 -

THE ALGER FUNDS | ALGER GROWTH & INCOME FUND
Schedule of Investments July 31, 2024 (Unaudited)

 
SHARES
VALUE
COMMON STOCKS—90.9%
AEROSPACE & DEFENSE—1.1%
General Dynamics Corp.
     7,163
$  2,139,660
TransDigm Group, Inc.
     3,654
  4,729,080
 
 
 
 
  6,868,740
APPLICATION SOFTWARE—0.9%
Adobe, Inc.*
     9,684
  5,342,179
ASSET MANAGEMENT & CUSTODY BANKS—3.4%
BlackRock, Inc.
     9,821
  8,608,107
Blackstone, Inc.
    51,076
  7,260,453
Blue Owl Capital, Inc., Cl. A
   139,902
  2,667,931
The Carlyle Group, Inc.
    38,256
  1,902,853
 
 
 
 
20,439,344
BIOTECHNOLOGY—2.9%
AbbVie, Inc.
    65,789
12,192,017
Amgen, Inc.
    10,732
  3,568,068
Gilead Sciences, Inc.
    23,644
  1,798,363
 
 
 
 
17,558,448
BROADLINE RETAIL—2.7%
Amazon.com, Inc.*
    87,569
16,373,652
BUILDING PRODUCTS—0.4%
Johnson Controls International PLC
    34,841
  2,492,525
CABLE & SATELLITE—0.8%
Comcast Corp., Cl. A
   116,010
  4,787,733
COMMODITY CHEMICALS—0.2%
Dow, Inc.
    21,142
  1,151,605
COMMUNICATIONS EQUIPMENT—0.7%
Cisco Systems, Inc.
    91,780
  4,446,741
COMPUTER & ELECTRONICS RETAIL—0.5%
Best Buy Co., Inc.
    33,005
  2,855,593
CONSUMER ELECTRONICS—0.6%
Garmin, Ltd.
    19,558
  3,349,307
CONSUMER STAPLES MERCHANDISE RETAIL—0.8%
Walmart, Inc.
    72,929
  5,005,846
COPPER—0.6%
Southern Copper Corp.
    33,629
  3,585,188
DIVERSIFIED BANKS—4.7%
Bank of America Corp.
   166,690
  6,719,274
Fifth Third Bancorp
    44,080
  1,866,347
JPMorgan Chase & Co.
    94,375
20,083,000
 
 
 
 
28,668,621
See Notes to Financial Statements.
- 8 -

THE ALGER FUNDS | ALGER GROWTH & INCOME FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—90.9% (CONT.)
ELECTRIC UTILITIES—0.5%
NextEra Energy, Inc.
    38,002
$  2,902,973
ELECTRICAL COMPONENTS & EQUIPMENT—1.9%
Eaton Corp. PLC
    38,606
11,766,723
FINANCIAL EXCHANGES & DATA—0.7%
CME Group, Inc., Cl. A
    22,887
  4,433,441
FOOD DISTRIBUTORS—0.4%
Sysco Corp.
    28,631
  2,194,566
HEALTHCARE DISTRIBUTORS—0.5%
Cardinal Health, Inc.
    27,013
  2,723,721
HEALTHCARE EQUIPMENT—0.4%
Medtronic PLC
    31,752
  2,550,321
HOME IMPROVEMENT RETAIL—1.9%
The Home Depot, Inc.
    31,547
11,614,343
HOUSEHOLD PRODUCTS—1.3%
The Procter & Gamble Co.
    48,932
  7,866,308
INDUSTRIAL CONGLOMERATES—1.1%
Honeywell International, Inc.
    32,937
  6,743,851
INDUSTRIAL GASES—0.9%
Air Products & Chemicals, Inc.
    20,190
  5,327,131
INTEGRATED OIL & GAS—4.0%
Chevron Corp.
    57,085
  9,160,430
Exxon Mobil Corp.
    90,348
10,714,369
TotalEnergies SE ADR
    64,786
  4,391,195
 
 
 
 
24,265,994
INTEGRATED TELECOMMUNICATION SERVICES—0.7%
Verizon Communications, Inc.
   108,307
  4,388,600
INTERACTIVE MEDIA & SERVICES—8.2%
Alphabet, Inc., Cl. A
   119,935
20,573,650
Alphabet, Inc., Cl. C
    95,157
16,476,435
Meta Platforms, Inc., Cl. A
    25,805
12,252,988
 
 
 
 
49,303,073
INVESTMENT BANKING & BROKERAGE—2.1%
Morgan Stanley
   122,375
12,630,324
IT CONSULTING & OTHER SERVICES—0.3%
International Business Machines Corp.
     9,528
  1,830,710
LEISURE FACILITIES—0.2%
Vail Resorts, Inc.
     7,733
  1,407,483
MANAGED HEALTHCARE—2.5%
UnitedHealth Group, Inc.
    25,842
14,889,127
See Notes to Financial Statements.
- 9 -

THE ALGER FUNDS | ALGER GROWTH & INCOME FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—90.9% (CONT.)
MULTI-UTILITIES—1.0%
Consolidated Edison, Inc.
    28,859
$  2,814,330
Sempra
    41,370
  3,312,082
 
 
 
 
  6,126,412
OIL & GAS STORAGE & TRANSPORTATION—0.5%
ONEOK, Inc.
    35,330
  2,944,049
PHARMACEUTICALS—5.4%
AstraZeneca PLC ADR
    58,154
  4,602,889
Bristol-Myers Squibb Co.
    35,723
  1,698,986
Eli Lilly & Co.
    12,259
  9,859,546
GSK PLC ADR
    35,726
  1,385,097
Johnson & Johnson
    39,372
  6,214,870
Merck & Co., Inc.
    29,343
  3,319,573
Novartis AG ADR
    22,783
  2,539,849
Pfizer, Inc.
    89,283
  2,726,703
 
 
 
 
32,347,513
PROPERTY & CASUALTY INSURANCE—0.5%
The Hartford Financial Services Group, Inc.
    26,311
  2,918,416
RAIL TRANSPORTATION—0.6%
Union Pacific Corp.
    14,314
  3,531,693
RESTAURANTS—1.1%
McDonald's Corp.
    16,038
  4,256,485
Starbucks Corp.
    31,618
  2,464,623
 
 
 
 
  6,721,108
SEMICONDUCTOR MATERIALS & EQUIPMENT—3.6%
KLA Corp.
    26,220
21,580,895
SEMICONDUCTORS—7.1%
Broadcom, Inc.
   181,483
29,160,689
QUALCOMM, Inc.
    50,292
  9,100,337
Taiwan Semiconductor Manufacturing Co., Ltd. ADR
    28,911
  4,793,444
 
 
 
 
43,054,470
SOFT DRINKS & NON-ALCOHOLIC BEVERAGES—2.1%
PepsiCo, Inc.
    38,861
  6,710,129
The Coca-Cola Co.
    90,981
  6,072,072
 
 
 
 
12,782,201
SYSTEMS SOFTWARE—9.7%
Microsoft Corp.
   133,624
55,901,600
Oracle Corp.
    19,967
  2,784,398
 
 
 
 
58,685,998
TECHNOLOGY HARDWARE STORAGE & PERIPHERALS—8.4%
Apple, Inc.
   209,453
46,515,322
See Notes to Financial Statements.
- 10 -

THE ALGER FUNDS | ALGER GROWTH & INCOME FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—90.9% (CONT.)
TECHNOLOGY HARDWARE STORAGE & PERIPHERALS—8.4% (CONT.)
Dell Technologies, Inc., Cl. C
    35,203
$  4,001,877
 
 
 
 
50,517,199
TOBACCO—1.1%
Altria Group, Inc.
    74,131
  3,633,160
Philip Morris International, Inc.
    26,954
  3,104,023
 
 
 
 
  6,737,183
TRADING COMPANIES & DISTRIBUTORS—0.7%
Ferguson Enterprises Inc.
    19,503
  4,342,343
TRANSACTION & PAYMENT PROCESSING SERVICES—1.2%
Visa, Inc., Cl. A
    28,101
  7,465,593
TOTAL COMMON STOCKS
(Cost $348,057,514)
 
549,519,284
MASTER LIMITED PARTNERSHIP—0.4%
OIL & GAS STORAGE & TRANSPORTATION—0.4%
Cheniere Energy Partners LP
    44,473
  2,341,948
(Cost $1,916,731)
 
  2,341,948
REAL ESTATE INVESTMENT TRUST—2.9%
HEALTHCARE—0.7%
Welltower, Inc.
    37,912
  4,217,710
INDUSTRIAL—0.3%
Prologis, Inc.
    15,627
  1,969,783
RETAIL—0.7%
Simon Property Group, Inc.
    26,865
  4,122,166
SPECIALIZED—0.5%
Lamar Advertising Co., Cl. A
    26,903
  3,224,594
TELECOM TOWER—0.7%
Crown Castle, Inc.
    35,615
  3,920,499
TOTAL REAL ESTATE INVESTMENT TRUST
(Cost $14,743,935)
 
17,454,752
See Notes to Financial Statements.
- 11 -

THE ALGER FUNDS | ALGER GROWTH & INCOME FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
SHORT-TERM SECURITIES—4.0%
MONEY MARKET FUNDS—4.0%
Dreyfus Treasury Obligations Cash Management Fund,
Institutional Shares, 5.19%(a)
24,193,304
$24,193,304
(Cost $24,193,304)
 
24,193,304
 
 
Total Investments
(Cost $388,911,484)
     98.2%
$593,509,288
Unaffiliated Securities (Cost $388,911,484)
 
593,509,288
Other Assets in Excess of Liabilities
      1.8%
10,963,448
NET ASSETS
    100.0%
$604,472,736
ADR
American Depositary Receipts
(a)
Rate shown reflects 7-day effective yield as of July 31, 2024.
*
Non-income producing security.
See Notes to Financial Statements.
- 12 -

THE ALGER FUNDS | ALGER 35 FUND
Schedule of Investments July 31, 2024 (Unaudited)

 
SHARES
VALUE
COMMON STOCKS—99.3%
AEROSPACE & DEFENSE—3.6%
HEICO Corp., Cl. A
  5,384
$1,023,552
APPLICATION SOFTWARE—2.4%
AppFolio, Inc., Cl. A*
    533
   118,049
AppLovin Corp., Cl. A*
  7,169
   552,730
 
 
 
 
   670,779
BIOTECHNOLOGY—4.1%
Natera, Inc.*
11,163
1,142,980
BROADLINE RETAIL—12.2%
Amazon.com, Inc.*
14,941
2,793,668
MercadoLibre, Inc.*
    382
   637,520
 
 
 
 
3,431,188
COAL & CONSUMABLE FUELS—1.0%
Cameco Corp.
  6,251
   284,358
ELECTRIC UTILITIES—3.4%
Constellation Energy Corp.
  5,085
   965,133
ELECTRICAL COMPONENTS & EQUIPMENT—4.0%
Enovix Corp.*
18,925
   272,709
Vertiv Holdings Co., Cl. A
10,888
   856,886
 
 
 
 
1,129,595
ELECTRONIC EQUIPMENT & INSTRUMENTS—1.0%
908 Devices, Inc.*
50,447
   287,043
FOOTWEAR—2.8%
Deckers Outdoor Corp.*
    611
   563,727
On Holding AG, Cl. A*
  5,327
   220,644
 
 
 
 
   784,371
HEALTHCARE EQUIPMENT—4.4%
Impulse Dynamics PLC, Series F-1(a),*,@
545,772
   551,230
Intuitive Surgical, Inc.*
  1,558
   692,702
 
 
 
 
1,243,932
HEALTHCARE TECHNOLOGY—0.9%
Health Catalyst, Inc.*
35,774
   263,654
HOTELS RESORTS & CRUISE LINES—1.5%
Trip.com Group Ltd. ADR *
  9,753
   414,795
INTERACTIVE MEDIA & SERVICES—4.9%
Meta Platforms, Inc., Cl. A
  2,931
1,391,727
MOVIES & ENTERTAINMENT—10.6%
Netflix, Inc.*
  2,507
1,575,273
Spotify Technology SA*
  4,109
1,413,250
 
 
 
 
2,988,523
See Notes to Financial Statements.
- 13 -

THE ALGER FUNDS | ALGER 35 FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—99.3% (CONT.)
PASSENGER GROUND TRANSPORTATION—1.0%
Uber Technologies, Inc.*
  4,201
$   270,839
PHARMACEUTICALS—1.5%
Eli Lilly & Co.
    511
   410,982
RESTAURANTS—0.8%
The Cheesecake Factory, Inc.
  6,036
   234,740
SEMICONDUCTOR MATERIALS & EQUIPMENT—3.7%
ASML Holding NV ADR
  1,117
1,046,294
SEMICONDUCTORS—19.0%
Astera Labs, Inc.*
  6,221
   272,729
Broadcom, Inc.
  4,620
   742,342
Micron Technology, Inc.
  2,661
   292,231
NVIDIA Corp.
27,193
3,182,125
Taiwan Semiconductor Manufacturing Co., Ltd. ADR
  5,227
   866,636
 
 
 
 
5,356,063
SPECIALTY CHEMICALS—0.7%
Ecolab, Inc.
    909
   209,697
SYSTEMS SOFTWARE—7.7%
Microsoft Corp.
  5,197
2,174,165
TECHNOLOGY HARDWARE STORAGE & PERIPHERALS—8.1%
Apple, Inc.
10,314
2,290,533
TOTAL COMMON STOCKS
(Cost $21,168,096)
 
28,014,943
 
 
Total Investments
(Cost $21,168,096)
  99.3%
$28,014,943
Unaffiliated Securities (Cost $21,168,096)
 
28,014,943
Other Assets in Excess of Liabilities
   0.7%
   192,921
NET ASSETS
100.0%
$28,207,864
ADR
American Depositary Receipts
(a)
Security is valued in good faith at fair value determined using significant unobservable inputs pursuant to procedures
approved by the Board of Trustees.
*
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
Market
Value
% of net assets
as of
7/31/2024
Impulse Dynamics PLC, Series F-1
2/5/2024
$544,299
$551,230
1.9%
Total
 
$551,230
1.9%
See Notes to Financial Statements.
- 14 -

THE ALGER FUNDS | ALGER MID CAP FOCUS FUND
Schedule of Investments July 31, 2024 (Unaudited)

 
SHARES
VALUE
COMMON STOCKS—97.0%
ADVERTISING—1.4%
The Trade Desk, Inc., Cl. A*
   40,090
$  3,603,289
AEROSPACE & DEFENSE—10.1%
Axon Enterprise, Inc.*
   29,484
  8,845,495
HEICO Corp.
   45,840
11,063,025
TransDigm Group, Inc.
    4,249
  5,499,141
 
 
 
 
25,407,661
APPAREL RETAIL—2.3%
Burlington Stores, Inc.*
   21,907
  5,702,830
APPLICATION SOFTWARE—22.0%
Agilysys, Inc.*
   35,087
  3,932,902
AppFolio, Inc., Cl. A*
   21,117
  4,676,993
AppLovin Corp., Cl. A*
   79,738
  6,147,800
Cadence Design Systems, Inc.*
   19,442
  5,203,846
Constellation Software, Inc.
    2,031
  6,408,304
Datadog, Inc., Cl. A*
   29,751
  3,464,206
Fair Isaac Corp.*
    2,845
  4,552,000
Manhattan Associates, Inc.*
   18,704
  4,776,627
Palantir Technologies, Inc., Cl. A*
  184,817
  4,969,729
Procore Technologies, Inc.*
   34,120
  2,423,544
Tyler Technologies, Inc.*
   15,764
  8,955,686
 
 
 
 
55,511,637
ASSET MANAGEMENT & CUSTODY BANKS—1.8%
Ares Management Corp., Cl. A
   29,695
  4,549,274
AUTOMOTIVE RETAIL—1.1%
O'Reilly Automotive, Inc.*
    2,368
  2,667,173
BIOTECHNOLOGY—7.7%
Natera, Inc.*
   77,885
  7,974,645
Sarepta Therapeutics, Inc.*
   26,956
  3,834,221
Twist Bioscience Corp.*
   72,039
  4,020,497
Viking Therapeutics, Inc.*
   60,360
  3,440,520
 
 
 
 
19,269,883
BUILDING PRODUCTS—1.0%
Trex Co., Inc.*
   30,761
  2,572,543
CARGO GROUND TRANSPORTATION—2.3%
Old Dominion Freight Line, Inc.
   27,409
  5,760,824
COAL & CONSUMABLE FUELS—1.4%
Cameco Corp.
   77,305
  3,516,605
CONSTRUCTION & ENGINEERING—1.3%
Comfort Systems USA, Inc.
   10,027
  3,333,175
CONSTRUCTION MATERIALS—2.3%
Martin Marietta Materials, Inc.
    9,914
  5,882,472
See Notes to Financial Statements.
- 15 -

THE ALGER FUNDS | ALGER MID CAP FOCUS FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—97.0% (CONT.)
DIVERSIFIED BANKS—1.6%
NU Holdings, Ltd., Cl. A*
  330,491
$  4,008,856
ELECTRIC UTILITIES—3.0%
Constellation Energy Corp.
   40,268
  7,642,866
ELECTRICAL COMPONENTS & EQUIPMENT—4.0%
Vertiv Holdings Co., Cl. A
  127,794
10,057,388
ELECTRONIC COMPONENTS—2.0%
Amphenol Corp., Cl. A
   76,767
  4,933,047
FINANCIAL EXCHANGES & DATA—1.0%
Coinbase Global, Inc., Cl. A*
   11,797
  2,646,775
FOOTWEAR—2.5%
Deckers Outdoor Corp.*
    6,929
  6,392,903
HEALTHCARE EQUIPMENT—2.2%
Dexcom, Inc.*
   28,769
  1,951,114
Insulet Corp.*
   18,620
  3,618,797
 
 
 
 
  5,569,911
HEALTHCARE TECHNOLOGY—2.1%
Veeva Systems, Inc., Cl. A*
   27,552
  5,288,055
HOME IMPROVEMENT RETAIL—1.0%
Floor & Decor Holdings, Inc., Cl. A*
   24,939
  2,444,022
INDUSTRIAL MACHINERY & SUPPLIES & COMPONENTS—2.1%
Gates Industrial Corp. PLC*
  281,721
  5,237,193
INTERACTIVE HOME ENTERTAINMENT—0.7%
Roblox Corp., Cl. A*
   41,508
  1,723,412
INTERACTIVE MEDIA & SERVICES—1.6%
Pinterest, Inc., Cl. A*
  124,191
  3,967,903
INTERNET SERVICES & INFRASTRUCTURE—2.1%
Cloudflare, Inc., Cl. A*
   68,329
  5,295,498
MOVIES & ENTERTAINMENT—3.2%
Spotify Technology SA*
   23,113
  7,949,485
OIL & GAS EXPLORATION & PRODUCTION—2.3%
Diamondback Energy, Inc.
   29,116
  5,890,458
RESTAURANTS—2.0%
Chipotle Mexican Grill, Inc.*
   90,500
  4,915,960
SEMICONDUCTORS—5.6%
Marvell Technology, Inc.
   54,740
  3,666,485
Micron Technology, Inc.
   38,107
  4,184,911
Monolithic Power Systems, Inc.
    7,316
  6,314,366
 
 
 
 
14,165,762
SOFT DRINKS & NON-ALCOHOLIC BEVERAGES—0.9%
Celsius Holdings, Inc.*
   49,411
  2,313,917
See Notes to Financial Statements.
- 16 -

THE ALGER FUNDS | ALGER MID CAP FOCUS FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—97.0% (CONT.)
TECHNOLOGY HARDWARE STORAGE & PERIPHERALS—2.4%
Pure Storage, Inc., Cl. A*
   50,499
$  3,026,405
Super Micro Computer, Inc.*
    4,130
  2,897,815
 
 
 
 
  5,924,220
TOTAL COMMON STOCKS
(Cost $194,333,820)
 
244,144,997
SHORT-TERM SECURITIES—2.6%
MONEY MARKET FUNDS—2.6%
Dreyfus Treasury Obligations Cash Management Fund,
Institutional Shares, 5.19%(a)
6,565,255
  6,565,255
(Cost $6,565,255)
 
  6,565,255
 
 
Total Investments
(Cost $200,899,075)
    99.6%
$250,710,252
Unaffiliated Securities (Cost $200,899,075)
 
250,710,252
Other Assets in Excess of Liabilities
     0.4%
  1,018,944
NET ASSETS
   100.0%
$251,729,196
(a)
Rate shown reflects 7-day effective yield as of July 31, 2024.
*
Non-income producing security.
See Notes to Financial Statements.
- 17 -

THE ALGER FUNDS | ALGER MID CAP GROWTH FUND
Schedule of Investments July 31, 2024 (Unaudited)

 
SHARES
VALUE
COMMON STOCKS—96.7%
ADVERTISING—1.6%
The Trade Desk, Inc., Cl. A*
   41,492
$  3,729,301
AEROSPACE & DEFENSE—4.1%
HEICO Corp.
   28,534
  6,886,396
TransDigm Group, Inc.
    2,088
  2,702,331
 
 
 
 
  9,588,727
APPLICATION SOFTWARE—15.1%
Cadence Design Systems, Inc.*
   18,025
  4,824,571
Clearwater Analytics Holdings, Inc., Cl. A*
  178,370
  3,487,134
Constellation Software, Inc.
    2,560
  8,077,429
Datadog, Inc., Cl. A*
   32,756
  3,814,109
Guidewire Software, Inc.*
   27,385
  4,109,667
Manhattan Associates, Inc.*
   13,305
  3,397,831
Procore Technologies, Inc.*
   31,948
  2,269,266
The Descartes Systems Group, Inc.*
   53,405
  5,431,594
 
 
 
 
35,411,601
ASSET MANAGEMENT & CUSTODY BANKS—4.3%
Ares Management Corp., Cl. A
   27,304
  4,182,973
Blue Owl Capital, Inc., Cl. A
  312,336
  5,956,247
 
 
 
 
10,139,220
AUTOMOTIVE RETAIL—1.0%
AutoZone, Inc.*
      730
  2,287,594
BIOTECHNOLOGY—2.5%
Natera, Inc.*
   38,184
  3,909,660
Vaxcyte, Inc.*
   25,292
  1,995,286
 
 
 
 
  5,904,946
BUILDING PRODUCTS—0.6%
Trex Co., Inc.*
   16,271
  1,360,744
CARGO GROUND TRANSPORTATION—3.0%
Old Dominion Freight Line, Inc.
   33,100
  6,956,958
CONSTRUCTION & ENGINEERING—0.5%
WillScot Holdings Corp., Cl. A*
   29,121
  1,193,961
CONSTRUCTION MATERIALS—1.9%
Martin Marietta Materials, Inc.
    7,422
  4,403,844
ELECTRICAL COMPONENTS & EQUIPMENT—3.0%
Vertiv Holdings Co., Cl. A
   90,837
  7,148,872
ELECTRONIC COMPONENTS—2.4%
Amphenol Corp., Cl. A
   86,935
  5,586,443
ENVIRONMENTAL & FACILITIES SERVICES—3.6%
GFL Environmental, Inc.
  216,518
  8,405,229
See Notes to Financial Statements.
- 18 -

THE ALGER FUNDS | ALGER MID CAP GROWTH FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—96.7% (CONT.)
FINANCIAL EXCHANGES & DATA—1.3%
MSCI, Inc., Cl. A
    5,790
$  3,131,000
HEALTHCARE EQUIPMENT—2.8%
Dexcom, Inc.*
   28,252
  1,916,051
IDEXX Laboratories, Inc.*
    9,553
  4,548,374
 
 
 
 
  6,464,425
HEALTHCARE TECHNOLOGY—1.6%
Veeva Systems, Inc., Cl. A*
   19,890
  3,817,488
HOME IMPROVEMENT RETAIL—0.8%
Floor & Decor Holdings, Inc., Cl. A*
   18,141
  1,777,818
HOMEBUILDING—1.5%
NVR, Inc.*
      403
  3,468,815
HOMEFURNISHING RETAIL—1.1%
Wayfair, Inc., Cl. A*
   45,342
  2,467,965
HOTELS RESORTS & CRUISE LINES—2.0%
Hilton Worldwide Holdings, Inc.
   22,168
  4,758,805
HUMAN RESOURCE & EMPLOYMENT SERVICES—0.6%
Paylocity Holding Corp.*
    9,957
  1,494,247
INSURANCE BROKERS—0.7%
Ryan Specialty Holdings, Inc., Cl. A
   28,427
  1,750,819
INTERACTIVE HOME ENTERTAINMENT—0.5%
Roblox Corp., Cl. A*
   28,366
  1,177,756
INTERACTIVE MEDIA & SERVICES—2.3%
Pinterest, Inc., Cl. A*
  170,551
  5,449,105
INTERNET SERVICES & INFRASTRUCTURE—1.9%
Cloudflare, Inc., Cl. A*
   25,055
  1,941,762
MongoDB, Inc. *
   10,313
  2,602,589
 
 
 
 
  4,544,351
IT CONSULTING & OTHER SERVICES—1.7%
Globant SA*
   21,035
  4,095,725
LIFE SCIENCES TOOLS & SERVICES—5.0%
Mettler-Toledo International, Inc.*
    2,684
  4,082,445
Repligen Corp.*
   31,964
  5,349,175
West Pharmaceutical Services, Inc.
    7,736
  2,368,531
 
 
 
 
11,800,151
MOVIES & ENTERTAINMENT—3.1%
Liberty Media Corp. Series C Liberty Formula One*
   14,991
  1,212,322
Spotify Technology SA*
   17,807
  6,124,540
 
 
 
 
  7,336,862
OIL & GAS EXPLORATION & PRODUCTION—2.7%
Diamondback Energy, Inc.
   31,872
  6,448,024
See Notes to Financial Statements.
- 19 -

THE ALGER FUNDS | ALGER MID CAP GROWTH FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—96.7% (CONT.)
PROPERTY & CASUALTY INSURANCE—1.1%
Intact Financial Corp.
   14,013
$  2,546,526
REAL ESTATE SERVICES—4.5%
CoStar Group, Inc.*
   48,023
  3,746,754
FirstService Corp.
   38,521
  6,724,226
 
 
 
 
10,470,980
RESEARCH & CONSULTING SERVICES—3.1%
TransUnion
   31,251
  2,820,715
Verisk Analytics, Inc.
   17,213
  4,505,503
 
 
 
 
  7,326,218
RESTAURANTS—4.0%
Chipotle Mexican Grill, Inc.*
   68,789
  3,736,618
Domino's Pizza, Inc.
   13,088
  5,610,826
 
 
 
 
  9,347,444
SEMICONDUCTOR MATERIALS & EQUIPMENT—0.3%
Onto Innovation, Inc.*
    3,958
    757,165
SEMICONDUCTORS—5.7%
Lattice Semiconductor Corp.*
   61,545
  3,261,885
Marvell Technology, Inc.
  103,362
  6,923,187
Monolithic Power Systems, Inc.
    3,796
  3,276,289
 
 
 
 
13,461,361
SOFT DRINKS & NON-ALCOHOLIC BEVERAGES—0.9%
Celsius Holdings, Inc.*
   47,263
  2,213,326
TECHNOLOGY HARDWARE STORAGE & PERIPHERALS—0.8%
Super Micro Computer, Inc.*
    2,581
  1,810,959
TRADING COMPANIES & DISTRIBUTORS—3.1%
Ferguson Enterprises Inc.
   32,719
  7,284,885
TOTAL COMMON STOCKS
(Cost $176,299,159)
 
227,319,660
PREFERRED STOCKS—0.0%
BIOTECHNOLOGY—0.0%
Prosetta Biosciences, Inc., Series D(a),(b),*,@
  219,610
         
(Cost $988,245)
 
         
RIGHTS—0.1%
BIOTECHNOLOGY—0.1%
Tolero CDR(b),*,@
  590,059
    253,725
(Cost $315,502)
 
    253,725
SPECIAL PURPOSE VEHICLE—0.6%
DATA PROCESSING & OUTSOURCED SERVICES—0.6%
Crosslink Ventures C, LLC, Cl. A(a),(b),*,@
 
  1,043,040
See Notes to Financial Statements.
- 20 -

THE ALGER FUNDS | ALGER MID CAP GROWTH FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
SPECIAL PURPOSE VEHICLE—0.6% (CONT.)
DATA PROCESSING & OUTSOURCED SERVICES—0.6% (CONT.)
Crosslink Ventures C, LLC, Cl. B(a),(b),*,@
 
$    412,870
 
 
 
 
  1,455,910
TOTAL SPECIAL PURPOSE VEHICLE
(Cost $1,675,000)
 
  1,455,910
WARRANTS—0.0%
APPLICATION SOFTWARE—0.0%
Constellation Software, Inc., 3/31/40*
    2,045
         
(Cost $0)
 
         
SHORT-TERM SECURITIES—2.8%
MONEY MARKET FUNDS—2.8%
Dreyfus Treasury Obligations Cash Management Fund,
Institutional Shares, 5.19%(c)
6,594,803
  6,594,803
(Cost $6,594,803)
 
  6,594,803
 
 
Total Investments
(Cost $185,872,709)
   100.2%
$235,624,098
Affiliated Securities (Cost $2,663,245)
 
  1,455,910
Unaffiliated Securities (Cost $183,209,464)
 
234,168,188
Liabilities in Excess of Other Assets
    (0.2)%
   (371,980)
NET ASSETS
   100.0%
$235,252,118
CDR
Contingent Deferred Rights
(a)
Deemed an affiliate of the Fund in accordance with Section 2(a)(3) of the Investment Company Act of 1940. See Note
4 - Affiliated Securities.
(b)
Security is valued in good faith at fair value determined using significant unobservable inputs pursuant to procedures
approved by the Board of Trustees.
(c)
Rate shown reflects 7-day effective yield as of July 31, 2024.
*
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
Market
Value
% of net assets
as of
7/31/2024
Crosslink Ventures C, LLC, Cl. A
10/2/20
$1,200,000
$1,043,040
0.4%
Crosslink Ventures C, LLC, Cl. B
2/16/20
475,000
412,870
0.2%
Prosetta Biosciences, Inc., Series D
2/6/15
988,245
0.0%
Tolero CDR
2/6/17
315,502
253,725
0.1%
Total
 
$1,709,635
0.7%
See Notes to Financial Statements.
- 21 -

THE ALGER FUNDS | ALGER SMALL CAP GROWTH FUND
Schedule of Investments July 31, 2024 (Unaudited)

 
SHARES
VALUE
COMMON STOCKS—95.1%
AEROSPACE & DEFENSE—0.8%
Hexcel Corp.
    33,966
$  2,248,889
APPAREL ACCESSORIES & LUXURY GOODS—0.6%
Capri Holdings, Ltd.*
    49,285
  1,653,019
APPAREL RETAIL—1.9%
Aritzia, Inc.*
    83,698
  2,747,397
Victoria's Secret & Co.*
   150,507
  2,671,499
 
 
 
 
  5,418,896
APPLICATION SOFTWARE—22.3%
ACI Worldwide, Inc.*
   139,090
  6,012,861
AppFolio, Inc., Cl. A*
    25,978
  5,753,607
BILL Holdings, Inc.*
    15,072
    752,997
Blackbaud, Inc.*
    53,021
  4,208,807
BlackLine, Inc.*
    44,227
  2,101,667
Guidewire Software, Inc.*
    35,989
  5,400,869
InterDigital, Inc.
    16,625
  2,040,885
Manhattan Associates, Inc.*
    34,462
  8,800,906
nCino, Inc.*
    88,202
  2,889,498
Q2 Holdings, Inc.*
   101,235
  6,830,325
Smartsheet, Inc., Cl. A*
    53,945
  2,587,202
SPS Commerce, Inc.*
    32,685
  7,041,003
Vertex, Inc., Cl. A*
   253,872
10,066,025
 
 
 
 
64,486,652
ASSET MANAGEMENT & CUSTODY BANKS—0.5%
Affiliated Managers Group, Inc.
     7,214
  1,339,063
BIOTECHNOLOGY—16.1%
Absci Corp.*
   664,714
  2,924,742
Akero Therapeutics, Inc.*
   110,356
  2,949,816
Blueprint Medicines Corp.*
    13,868
  1,501,904
Cabaletta Bio, Inc.*
   383,266
  2,721,189
CareDx, Inc.*
   115,648
  2,311,803
Immunovant, Inc.*
    74,862
  2,176,238
Insmed, Inc.*
    39,017
  2,838,487
Keros Therapeutics, Inc.*
    26,208
  1,314,593
Larimar Therapeutics, Inc.*
   398,960
  3,347,274
Merus NV*
    25,594
  1,357,506
MoonLake Immunotherapeutics*
    65,039
  2,708,874
Natera, Inc.*
    15,382
  1,574,963
Nuvalent, Inc., Cl. A*
    55,332
  4,423,240
ORIC Pharmaceuticals, Inc.*
   140,278
  1,571,114
Revolution Medicines, Inc.*
    62,620
  2,857,977
Twist Bioscience Corp.*
    52,305
  2,919,142
Vaxcyte, Inc.*
    45,149
  3,561,805
See Notes to Financial Statements.
- 22 -

THE ALGER FUNDS | ALGER SMALL CAP GROWTH FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—95.1% (CONT.)
BIOTECHNOLOGY—16.1% (CONT.)
Viking Therapeutics, Inc.*
    59,354
$  3,383,178
 
 
 
 
46,443,845
BUILDING PRODUCTS—2.4%
CSW Industrials, Inc.
    11,922
  3,867,735
The AZEK Co., Inc., Cl. A*
    67,676
  3,037,976
 
 
 
 
  6,905,711
CONSUMER STAPLES MERCHANDISE RETAIL—1.0%
BJ's Wholesale Club Holdings, Inc.*
    32,615
  2,868,815
ELECTRONIC EQUIPMENT & INSTRUMENTS—0.9%
908 Devices, Inc.*
   444,981
  2,531,942
ELECTRONIC MANUFACTURING SERVICES—0.7%
Fabrinet*
     9,551
  2,106,569
FOOD RETAIL—0.5%
Grocery Outlet Holding Corp.*
    68,576
  1,341,347
FOOTWEAR—1.3%
On Holding AG, Cl. A*
    94,007
  3,893,770
HEALTHCARE DISTRIBUTORS—0.5%
PetIQ, Inc., Cl. A*
    60,513
  1,324,024
HEALTHCARE EQUIPMENT—3.0%
Glaukos Corp.*
    24,626
  2,885,428
Impulse Dynamics PLC, Series A(a),*,@
3,646,998
  2,334,079
Impulse Dynamics PLC, Series F-1(a),*,@
   391,753
    395,671
Inmode, Ltd.*
    61,333
  1,111,354
Tandem Diabetes Care, Inc.*
    55,349
  2,046,806
 
 
 
 
  8,773,338
HEALTHCARE SERVICES—1.3%
Guardant Health, Inc.*
   105,995
  3,723,604
HEALTHCARE SUPPLIES—1.6%
Neogen Corp.*
   265,370
  4,519,251
HEALTHCARE TECHNOLOGY—0.2%
Waystar Holding Corp.*
    26,751
    615,273
HOMEFURNISHING RETAIL—0.8%
RH*
     8,141
  2,361,541
HOTELS RESORTS & CRUISE LINES—1.3%
MakeMyTrip, Ltd.*
    40,072
  3,750,338
INDUSTRIAL MACHINERY & SUPPLIES & COMPONENTS—5.6%
Gates Industrial Corp. PLC*
   385,805
  7,172,115
RBC Bearings, Inc.*
    20,339
  5,915,395
The Middleby Corp.*
    21,806
  2,956,457
 
 
 
 
16,043,967
See Notes to Financial Statements.
- 23 -

THE ALGER FUNDS | ALGER SMALL CAP GROWTH FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—95.1% (CONT.)
INTERACTIVE MEDIA & SERVICES—0.2%
Reddit, Inc., Cl. A*
    10,583
$    643,976
INTERNET SERVICES & INFRASTRUCTURE—1.0%
Wix.com Ltd.*
    17,973
  2,802,440
LEISURE FACILITIES—1.0%
Planet Fitness, Inc., Cl. A*
    39,248
  2,892,578
LIFE SCIENCES TOOLS & SERVICES—6.5%
10X Genomics, Inc., Cl. A*
    38,365
    793,004
Bio-Techne Corp.
   112,235
  9,157,254
CryoPort, Inc.*
   278,774
  2,573,084
MaxCyte, Inc.*
   188,744
    905,971
Mesa Laboratories, Inc.
    13,916
  1,593,660
Quanterix Corp.*
    21,926
    323,628
Repligen Corp.*
    15,394
  2,576,186
Tempus AI, Inc.*
    21,161
    915,848
 
 
 
 
18,838,635
MANAGED HEALTHCARE—0.9%
HealthEquity, Inc.*
    34,304
  2,692,178
MOVIES & ENTERTAINMENT—1.6%
Live Nation Entertainment, Inc.*
    48,129
  4,629,528
OIL & GAS EQUIPMENT & SERVICES—2.0%
ChampionX Corp.
    94,643
  3,242,469
Weatherford International PLC*
    22,608
  2,664,579
 
 
 
 
  5,907,048
OIL & GAS EXPLORATION & PRODUCTION—1.2%
Magnolia Oil & Gas Corp., Cl. A
   130,260
  3,548,282
PERSONAL CARE PRODUCTS—0.6%
Oddity Tech, Ltd., Cl. A*
    46,378
  1,875,758
PHARMACEUTICALS—0.8%
Alto Neuroscience, Inc.*
    97,454
  1,050,554
Structure Therapeutics, Inc. ADR*
    36,635
  1,369,783
 
 
 
 
  2,420,337
RESTAURANTS—8.8%
Cava Group, Inc.*
    26,053
  2,194,184
Kura Sushi USA, Inc., Cl. A*
    53,905
  3,098,998
Shake Shack, Inc., Cl. A*
    76,739
  6,723,871
Wingstop, Inc.
    35,709
13,350,881
 
 
 
 
25,367,934
SEMICONDUCTORS—2.2%
Astera Labs, Inc.*
    16,065
    704,290
Rambus, Inc.*
    14,586
    750,304
See Notes to Financial Statements.
- 24 -

THE ALGER FUNDS | ALGER SMALL CAP GROWTH FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—95.1% (CONT.)
SEMICONDUCTORS—2.2% (CONT.)
Universal Display Corp.
    21,944
$  4,885,173
 
 
 
 
  6,339,767
SOFT DRINKS & NON-ALCOHOLIC BEVERAGES—0.4%
Celsius Holdings, Inc.*
    23,944
  1,121,297
SPECIALIZED CONSUMER SERVICES—0.4%
European Wax Center, Inc., Cl. A*
   108,774
  1,021,388
SPECIALTY CHEMICALS—0.1%
Balchem Corp.
     1,712
    303,812
SYSTEMS SOFTWARE—1.7%
CyberArk Software Ltd.*
     6,245
  1,601,093
Onestream, Inc., Cl. A*
     2,680
     74,638
Rapid7, Inc.*
    28,165
  1,108,011
Varonis Systems, Inc.*
    38,804
  2,139,265
 
 
 
 
  4,923,007
TRADING COMPANIES & DISTRIBUTORS—0.5%
Xometry, Inc., Cl. A*
   101,608
  1,486,525
TRANSACTION & PAYMENT PROCESSING SERVICES—1.9%
DLocal Ltd.*
   168,920
  1,297,306
Marqeta, Inc., Cl. A*
   281,640
  1,518,040
Shift4 Payments, Inc., Cl. A*
    39,531
  2,719,337
 
 
 
 
  5,534,683
TOTAL COMMON STOCKS
(Cost $227,079,984)
 
274,699,027
PREFERRED STOCKS—0.0%
BIOTECHNOLOGY—0.0%
Prosetta Biosciences, Inc., Series D(a),(b),*,@
    50,688
         
(Cost $228,096)
 
         
RIGHTS—0.1%
BIOTECHNOLOGY—0.0%
Mirati Therapeutics, Inc. CVR(a),*,@
    14,432
     15,875
Tolero CDR(a),*,@
   174,782
     75,156
 
 
 
 
     91,031
PHARMACEUTICALS—0.1%
Fusion Pharmaceuticals, Inc. CVR(a),*,@
    87,642
     93,777
TOTAL RIGHTS
(Cost $94,483)
 
    184,808
SPECIAL PURPOSE VEHICLE—0.7%
DATA PROCESSING & OUTSOURCED SERVICES—0.7%
Crosslink Ventures C, LLC, Cl. A(a),(b),*,@
 
  1,564,560
See Notes to Financial Statements.
- 25 -

THE ALGER FUNDS | ALGER SMALL CAP GROWTH FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
SPECIAL PURPOSE VEHICLE—0.7% (CONT.)
DATA PROCESSING & OUTSOURCED SERVICES—0.7% (CONT.)
Crosslink Ventures C, LLC, Cl. B(a),(b),*,@
 
$    412,870
 
 
 
 
  1,977,430
TOTAL SPECIAL PURPOSE VEHICLE
(Cost $2,275,000)
 
  1,977,430
SHORT-TERM SECURITIES—4.2%
MONEY MARKET FUNDS—4.2%
Dreyfus Treasury Obligations Cash Management Fund,
Institutional Shares, 5.19%(c)
12,216,024
12,216,024
(Cost $12,216,024)
 
12,216,024
 
 
Total Investments
(Cost $241,893,587)
    100.1%
$289,077,289
Affiliated Securities (Cost $2,503,096)
 
  1,977,430
Unaffiliated Securities (Cost $239,390,491)
 
287,099,859
Liabilities in Excess of Other Assets
     (0.1)%
   (347,059)
NET ASSETS
    100.0%
$288,730,230
ADR
American Depositary Receipts
CDR
Contingent Deferred Rights
CVR
Contingent Value Rights
(a)
Security is valued in good faith at fair value determined using significant unobservable inputs pursuant to procedures
approved by the Board of Trustees.
(b)
Deemed an affiliate of the Fund in accordance with Section 2(a)(3) of the Investment Company Act of 1940. See Note
4 - Affiliated Securities.
(c)
Rate shown reflects 7-day effective yield as of July 31, 2024.
*
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
Market
Value
% of net assets
as of
7/31/2024
Crosslink Ventures C, LLC, Cl. A
10/2/20
$1,800,000
$1,564,560
0.5%
Crosslink Ventures C, LLC, Cl. B
12/16/20
475,000
412,870
0.2%
Fusion Pharmaceuticals, Inc. CVR
6/5/24
93,777
0.1%
Impulse Dynamics PLC, Series A
2//11/22
3,646,998
2,334,079
0.8%
Impulse Dynamics PLC, Series F-1
2/5/24
390,695
395,671
0.1%
Mirati Therapeutics, Inc. CVR
1/24/24
15,875
0.0%
Prosetta Biosciences, Inc., Series D
2/16/15
228,096
0.0%
Tolero CDR
2/6/17
94,483
75,156
0.0%
Total
 
$4,891,988
1.7%
See Notes to Financial Statements.
- 26 -

THE ALGER FUNDS | ALGER SMALL CAP FOCUS FUND
Schedule of Investments July 31, 2024 (Unaudited)

 
SHARES
VALUE
COMMON STOCKS—98.7%
APPLICATION SOFTWARE—26.9%
Agilysys, Inc.*
   308,759
$   34,608,796
Altair Engineering, Inc., Cl. A*
   402,349
   35,551,558
AppFolio, Inc., Cl. A*
   168,306
   37,276,413
Clearwater Analytics Holdings, Inc., Cl. A*
1,959,638
   38,310,923
Guidewire Software, Inc.*
   339,684
   50,976,378
Intapp, Inc.*
   453,949
   16,264,993
nCino, Inc.*
   487,973
   15,985,996
PROS Holdings, Inc.*
1,971,534
   47,513,969
Q2 Holdings, Inc.*
   576,056
   38,866,498
SPS Commerce, Inc.*
    32,358
    6,970,560
Vertex, Inc., Cl. A*
   748,137
   29,663,632
 
 
 
 
  351,989,716
AUTOMOTIVE PARTS & EQUIPMENT—2.7%
Modine Manufacturing Co.*
   295,451
   34,762,765
BIOTECHNOLOGY—18.5%
Absci Corp.*
5,642,987
   24,829,143
Ascendis Pharma A/S ADR*
   147,597
   19,704,200
Cabaletta Bio, Inc.*
1,519,064
   10,785,354
CareDx, Inc.*
   922,116
   18,433,099
Insmed, Inc.*
   402,420
   29,276,055
MoonLake Immunotherapeutics*
   483,565
   20,140,482
Natera, Inc.*
   444,001
   45,461,262
Nuvalent, Inc., Cl. A*
   242,931
   19,419,904
Revolution Medicines, Inc.*
   276,595
   12,623,796
Twist Bioscience Corp.*
   511,702
   28,558,089
Viking Therapeutics, Inc.*
   235,987
   13,451,259
 
 
 
 
  242,682,643
BUILDING PRODUCTS—3.5%
AAON, Inc.
   158,481
   14,030,323
Trex Co., Inc.*
   387,496
   32,406,290
 
 
 
 
   46,436,613
CONSTRUCTION & ENGINEERING—1.3%
MYR Group, Inc.*
   120,018
   16,860,129
CONSTRUCTION MACHINERY & HEAVY TRANSPORTATION EQUIPMENT—2.3%
Federal Signal Corp.
   297,006
   29,691,690
ELECTRONIC MANUFACTURING SERVICES—0.5%
Fabrinet*
    29,961
    6,608,198
HEALTHCARE EQUIPMENT—8.9%
Alphatec Holdings, Inc.*
2,008,998
   20,290,880
Glaukos Corp.*
   245,061
   28,713,797
Impulse Dynamics PLC, Series F-1(a),(b),*,@
28,027,798
   28,308,076
Inari Medical, Inc.*
   417,357
   19,432,142
See Notes to Financial Statements.
- 27 -

THE ALGER FUNDS | ALGER SMALL CAP FOCUS FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—98.7% (CONT.)
HEALTHCARE EQUIPMENT—8.9% (CONT.)
Tandem Diabetes Care, Inc.*
   519,367
$   19,206,192
 
 
 
 
  115,951,087
INDUSTRIAL MACHINERY & SUPPLIES & COMPONENTS—8.5%
Gates Industrial Corp. PLC*
1,307,756
   24,311,184
RBC Bearings, Inc.*
   240,642
   69,988,319
SPX Technologies, Inc.*
   117,444
   17,327,688
 
 
 
 
  111,627,191
LIFE SCIENCES TOOLS & SERVICES—11.3%
BioLife Solutions, Inc.*
1,414,900
   33,985,898
Bio-Techne Corp.
   535,607
   43,700,175
CryoPort, Inc.*
1,942,883
   17,932,810
Repligen Corp.*
   209,384
   35,040,413
Stevanato Group SpA
   824,424
   17,049,088
 
 
 
 
  147,708,384
OIL & GAS EQUIPMENT & SERVICES—1.6%
Weatherford International PLC*
   180,498
   21,273,494
RESTAURANTS—4.8%
Kura Sushi USA, Inc., Cl. A*
   285,413
   16,408,393
Wingstop, Inc.
   125,117
   46,778,744
 
 
 
 
   63,187,137
SEMICONDUCTOR MATERIALS & EQUIPMENT—1.2%
Camtek Ltd.
   144,729
   15,196,545
SEMICONDUCTORS—0.7%
indie Semiconductor, Inc., Cl. A*
1,464,856
    8,759,839
SYSTEMS SOFTWARE—2.7%
Rapid7, Inc.*
   397,809
   15,649,806
Tenable Holdings, Inc.*
   428,568
   19,679,842
 
 
 
 
   35,329,648
TRADING COMPANIES & DISTRIBUTORS—3.3%
FTAI Aviation, Ltd.
   223,708
   24,932,257
Xometry, Inc., Cl. A*
1,244,285
   18,203,889
 
 
 
 
   43,136,146
TOTAL COMMON STOCKS
(Cost $1,060,965,748)
 
1,291,201,225
RIGHTS—0.0%
BIOTECHNOLOGY—0.0%
Tolero CDR(b),*,@
    11,905
        5,119
(Cost $6,435)
 
        5,119
See Notes to Financial Statements.
- 28 -

THE ALGER FUNDS | ALGER SMALL CAP FOCUS FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
SHORT-TERM SECURITIES—1.5%
MONEY MARKET FUNDS—1.5%
Dreyfus Treasury Obligations Cash Management Fund,
Institutional Shares, 5.19%(c)
18,752,718
$   18,752,718
(Cost $18,752,718)
 
   18,752,718
 
 
Total Investments
(Cost $1,079,724,901)
    100.2%
$1,309,959,062
Affiliated Securities (Cost $27,952,123)
 
   28,308,076
Unaffiliated Securities (Cost $1,051,772,778)
 
1,281,650,986
Liabilities in Excess of Other Assets
     (0.2)%
   (2,008,718)
NET ASSETS
    100.0%
$1,307,950,344
ADR
American Depositary Receipts
CDR
Contingent Deferred Rights
(a)
Deemed an affiliate of the Fund in accordance with Section 2(a)(3) of the Investment Company Act of 1940. See Note
4 - Affiliated Securities.
(b)
Security is valued in good faith at fair value determined using significant unobservable inputs pursuant to procedures
approved by the Board of Trustees.
(c)
Rate shown reflects 7-day effective yield as of July 31, 2024.
*
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
Market
Value
% of net assets
as of
7/31/2024
Impulse Dynamics PLC, Series F-1
11/28/23-2/5/24
$27,952,123
$28,308,076
2.2%
Tolero CDR
2/6/17
6,435
5,119
0.0%
Total
 
$28,313,195
2.2%
See Notes to Financial Statements.
- 29 -

THE ALGER FUNDS | ALGER WEATHERBIE SPECIALIZED GROWTH FUND
Schedule of Investments July 31, 2024 (Unaudited)

 
SHARES
VALUE
COMMON STOCKS—98.0%
AEROSPACE & DEFENSE—4.8%
AAR Corp.*
   136,432
$  8,813,507
Cadre Holdings, Inc.
   108,223
  3,971,784
Kratos Defense & Security Solutions, Inc.*
   306,896
  6,917,436
Loar Holdings, Inc.*
    71,611
  4,475,688
 
 
 
 
24,178,415
APPLICATION SOFTWARE—14.6%
Agilysys, Inc.*
    90,415
10,134,617
nCino, Inc.*
   211,223
  6,919,666
PROS Holdings, Inc.*
   223,952
  5,397,243
Sprout Social, Inc., Cl. A*
   141,865
  5,542,666
SPS Commerce, Inc.*
    93,903
20,228,584
Vertex, Inc., Cl. A*
   652,065
25,854,377
 
 
 
 
74,077,153
ASSET MANAGEMENT & CUSTODY BANKS—9.8%
Hamilton Lane, Inc., Cl. A
   169,549
24,477,789
StepStone Group, Inc., Cl. A
   502,342
25,247,709
 
 
 
 
49,725,498
BIOTECHNOLOGY—9.4%
ACADIA Pharmaceuticals, Inc.*
   809,035
15,387,846
Natera, Inc.*
   249,205
25,516,100
Ultragenyx Pharmaceutical, Inc.*
   150,923
  6,794,553
 
 
 
 
47,698,499
BROADLINE RETAIL—3.3%
Ollie's Bargain Outlet Holdings, Inc.*
   163,030
15,918,249
Savers Value Village, Inc.*
    92,960
    947,263
 
 
 
 
16,865,512
CARGO GROUND TRANSPORTATION—2.2%
RXO, Inc.*
   350,122
11,102,369
CONSTRUCTION & ENGINEERING—0.1%
MYR Group, Inc.*
     5,258
    738,644
CONSUMER FINANCE—0.7%
Upstart Holdings, Inc.*
   126,624
  3,536,608
ELECTRONIC EQUIPMENT & INSTRUMENTS—1.9%
Novanta, Inc.*
    48,907
  8,860,970
PAR Technology Corp.*
    10,391
    526,200
 
 
 
 
  9,387,170
ENVIRONMENTAL & FACILITIES SERVICES—8.3%
Casella Waste Systems, Inc., Cl. A*
   272,047
28,173,187
CECO Environmental Corp.*
    67,354
  1,966,737
Montrose Environmental Group, Inc.*
   373,853
11,922,172
 
 
 
 
42,062,096
See Notes to Financial Statements.
- 30 -

THE ALGER FUNDS | ALGER WEATHERBIE SPECIALIZED GROWTH FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—98.0% (CONT.)
HEALTHCARE EQUIPMENT—13.4%
Glaukos Corp.*
   232,719
$27,267,685
Impulse Dynamics PLC, Series A(a),*,@
2,986,209
  1,911,174
Inmode, Ltd.*
   106,682
  1,933,078
Inogen, Inc.*
   207,823
  1,922,363
Inspire Medical Systems, Inc.*
    37,698
  5,317,303
iRhythm Technologies, Inc.*
    90,081
  7,769,486
Nevro Corp.*
   552,610
  5,487,417
Tandem Diabetes Care, Inc.*
   440,129
16,275,970
 
 
 
 
67,884,476
HEALTHCARE FACILITIES—1.0%
US Physical Therapy, Inc.
    54,427
  5,306,632
HEALTHCARE SERVICES—1.8%
NeoGenomics, Inc.*
   502,308
  8,905,921
HEALTHCARE SUPPLIES—2.8%
Neogen Corp.*
   827,980
14,100,499
HEALTHCARE TECHNOLOGY—0.3%
Definitive Healthcare Corp.*
   385,787
  1,504,569
HUMAN RESOURCE & EMPLOYMENT SERVICES—0.7%
First Advantage Corp.
   212,005
  3,650,726
LEISURE FACILITIES—1.1%
Planet Fitness, Inc., Cl. A*
    76,334
  5,625,816
MANAGED HEALTHCARE—3.2%
Progyny, Inc.*
   578,941
16,326,136
OIL & GAS EQUIPMENT & SERVICES—0.7%
Core Laboratories, Inc.
   138,671
  3,396,053
PROPERTY & CASUALTY INSURANCE—1.5%
Palomar Holdings, Inc.*
    80,098
  7,369,817
REAL ESTATE SERVICES—5.8%
FirstService Corp.
   168,992
29,499,244
RESTAURANTS—1.1%
Wingstop, Inc.
    14,601
  5,459,022
SEMICONDUCTORS—2.4%
Impinj, Inc.*
    19,283
  3,071,589
Semtech Corp.*
   153,962
  4,883,675
SiTime Corp.*
    28,944
  4,108,601
 
 
 
 
12,063,865
TRADING COMPANIES & DISTRIBUTORS—6.1%
SiteOne Landscape Supply, Inc.*
   109,265
16,026,990
Transcat, Inc.*
   117,952
13,592,789
Xometry, Inc., Cl. A*
    73,924
  1,081,508
 
 
 
 
30,701,287
See Notes to Financial Statements.
- 31 -

THE ALGER FUNDS | ALGER WEATHERBIE SPECIALIZED GROWTH FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—98.0% (CONT.)
TRANSACTION & PAYMENT PROCESSING SERVICES—1.0%
Flywire Corp.*
   274,219
$  5,020,950
TOTAL COMMON STOCKS
(Cost $373,452,967)
 
496,186,977
PREFERRED STOCKS—0.0%
BIOTECHNOLOGY—0.0%
Prosetta Biosciences, Inc., Series D(a),(b),*,@
   231,474
         
(Cost $1,041,633)
 
         
SHORT-TERM SECURITIES—2.2%
MONEY MARKET FUNDS—2.2%
Dreyfus Treasury Obligations Cash Management Fund,
Institutional Shares, 5.19%(c)
11,457,792
11,457,792
(Cost $11,457,792)
 
11,457,792
 
 
Total Investments
(Cost $385,952,392)
    100.2%
$507,644,769
Affiliated Securities (Cost $1,041,633)
 
          0
Unaffiliated Securities (Cost $384,910,759)
 
507,644,769
Liabilities in Excess of Other Assets
     (0.2)%
(1,208,292)
NET ASSETS
    100.0%
$506,436,477
(a)
Security is valued in good faith at fair value determined using significant unobservable inputs pursuant to procedures
approved by the Board of Trustees.
(b)
Deemed an affiliate of the Fund in accordance with Section 2(a)(3) of the Investment Company Act of 1940. See Note
4 - Affiliated Securities.
(c)
Rate shown reflects 7-day effective yield as of July 31, 2024.
*
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
Market
Value
% of net assets
as of
7/31/2024
Impulse Dynamics PLC, Series A
2/11/22
$2,986,210
$1,911,174
0.4%
Prosetta Biosciences, Inc., Series D
2/6/15
1,041,633
0.0%
Total
 
$1,911,174
0.4%
See Notes to Financial Statements.
- 32 -

THE ALGER FUNDS | ALGER INTERNATIONAL OPPORTUNITIES FUND
Schedule of Investments July 31, 2024 (Unaudited)

 
SHARES
VALUE
COMMON STOCKS—99.6%
BRAZIL—4.9%
BROADLINE RETAIL—2.3%
MercadoLibre, Inc.*
    2,081
$  3,472,981
DIVERSIFIED BANKS—2.6%
NU Holdings, Ltd., Cl. A*
  331,988
  4,027,014
 
 
TOTAL BRAZIL
(Cost $4,084,287)
 
  7,499,995
CANADA—10.7%
APPLICATION SOFTWARE—2.6%
Constellation Software, Inc.
    1,266
  3,994,541
GENERAL MERCHANDISE STORES—3.1%
Dollarama, Inc.
   49,928
  4,680,535
RAIL TRANSPORTATION—2.4%
Canadian Pacific Kansas City, Ltd.
   43,595
  3,655,835
SPECIALIZED FINANCE—2.6%
Element Fleet Management Corp.
  204,589
  3,913,516
 
 
TOTAL CANADA
(Cost $14,260,731)
 
16,244,427
CHINA—4.1%
DISTILLERS & VINTNERS—1.5%
Kweichow Moutai Co., Ltd., Cl. A
   11,799
  2,319,658
HOTELS RESORTS & CRUISE LINES—2.6%
Trip.com Group Ltd. ADR*
   91,867
  3,907,103
 
 
TOTAL CHINA
(Cost $6,141,039)
 
  6,226,761
DENMARK—3.8%
PHARMACEUTICALS—3.8%
Novo Nordisk A/S, Cl. B
   43,828
  5,806,899
(Cost $3,212,423)
 
 
FRANCE—11.1%
APPAREL ACCESSORIES & LUXURY GOODS—1.8%
LVMH Moet Hennessy Louis Vuitton SE
    3,771
  2,659,922
HEALTHCARE SUPPLIES—2.3%
EssilorLuxottica SA
   15,519
  3,551,365
INDUSTRIAL GASES—1.9%
Air Liquide SA
   15,915
  2,903,828
OIL & GAS STORAGE & TRANSPORTATION—2.5%
Gaztransport Et Technigaz SA
   26,291
  3,873,852
PERSONAL CARE PRODUCTS—1.6%
L'Oreal SA
    5,591
  2,417,816
See Notes to Financial Statements.
- 33 -

THE ALGER FUNDS | ALGER INTERNATIONAL OPPORTUNITIES FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—99.6% (CONT.)
FRANCE—11.1% (CONT.)
TRANSACTION & PAYMENT PROCESSING SERVICES—1.0%
Edenred SE
   37,549
$  1,563,495
 
 
TOTAL FRANCE
(Cost $14,959,778)
 
16,970,278
GERMANY—2.7%
MOVIES & ENTERTAINMENT—2.7%
CTS Eventim AG & Co. KGaA
   46,960
  4,136,416
(Cost $3,331,692)
 
 
HUNGARY—2.1%
PHARMACEUTICALS—2.1%
Richter Gedeon Nyrt
  110,619
  3,153,576
(Cost $3,055,013)
 
 
INDIA—8.9%
AEROSPACE & DEFENSE—2.8%
Bharat Electronics, Ltd.
1,142,004
  4,321,217
DIVERSIFIED BANKS—3.4%
ICICI Bank, Ltd. ADR
  176,308
  5,132,326
HOTELS RESORTS & CRUISE LINES—2.7%
MakeMyTrip, Ltd.*
   43,377
  4,059,654
 
 
TOTAL INDIA
(Cost $8,459,435)
 
13,513,197
INDONESIA—2.6%
DIVERSIFIED BANKS—2.6%
PT Bank Central Asia Tbk
6,284,077
  3,979,146
(Cost $3,905,510)
 
 
ITALY—2.2%
AUTOMOBILE MANUFACTURERS—2.2%
Ferrari NV
    8,263
  3,412,702
(Cost $968,108)
 
 
JAPAN—17.7%
BROADLINE RETAIL—2.6%
Pan Pacific International Holdings Corp.
  154,422
  4,028,751
HUMAN RESOURCE & EMPLOYMENT SERVICES—2.9%
Recruit Holdings Co., Ltd.
   76,273
  4,373,745
INDUSTRIAL CONGLOMERATES—2.7%
Hitachi, Ltd.
  190,515
  4,116,397
INDUSTRIAL GASES—3.1%
Nippon Sanso Holdings Corp.
  145,221
  4,746,078
INTERACTIVE HOME ENTERTAINMENT—2.7%
Nintendo Co., Ltd.
   74,822
  4,134,544
See Notes to Financial Statements.
- 34 -

THE ALGER FUNDS | ALGER INTERNATIONAL OPPORTUNITIES FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—99.6% (CONT.)
JAPAN—17.7% (CONT.)
PACKAGED FOODS & MEATS—2.7%
Toyo Suisan Kaisha, Ltd.
   61,528
$  4,131,358
SEMICONDUCTOR MATERIALS & EQUIPMENT—1.0%
Lasertec Corp.
    8,138
  1,443,952
 
 
TOTAL JAPAN
(Cost $21,698,501)
 
26,974,825
MEXICO—1.8%
SOFT DRINKS & NON-ALCOHOLIC BEVERAGES—1.8%
Arca Continental SAB de CV
  274,897
  2,708,542
(Cost $3,209,319)
 
 
NETHERLANDS—2.3%
SEMICONDUCTOR MATERIALS & EQUIPMENT—2.3%
ASML Holding NV
    3,751
  3,492,824
(Cost $650,487)
 
 
SAUDI ARABIA—1.6%
IT CONSULTING & OTHER SERVICES—1.6%
Elm Co.
   10,292
  2,509,963
(Cost $1,211,522)
 
 
SOUTH KOREA—2.7%
TECHNOLOGY HARDWARE STORAGE & PERIPHERALS—2.7%
Samsung Electronics Co., Ltd.
   66,171
  4,080,254
(Cost $3,942,445)
 
 
SWITZERLAND—2.2%
ASSET MANAGEMENT & CUSTODY BANKS—2.2%
Partners Group Holding AG
    2,519
  3,390,685
(Cost $1,971,525)
 
 
TAIWAN—5.5%
SEMICONDUCTORS—5.5%
Taiwan Semiconductor Manufacturing Co., Ltd. ADR
   50,609
  8,390,972
(Cost $5,707,624)
 
 
UNITED KINGDOM—11.1%
ASSET MANAGEMENT & CUSTODY BANKS—1.7%
3i Group PLC
   65,259
  2,625,417
INTEGRATED OIL & GAS—1.8%
Shell PLC
   73,384
  2,675,866
PHARMACEUTICALS—3.5%
AstraZeneca PLC
   33,332
  5,295,484
RESEARCH & CONSULTING SERVICES—1.9%
RELX PLC
   61,729
  2,913,455
See Notes to Financial Statements.
- 35 -

THE ALGER FUNDS | ALGER INTERNATIONAL OPPORTUNITIES FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—99.6% (CONT.)
UNITED KINGDOM—11.1% (CONT.)
SOFT DRINKS & NON-ALCOHOLIC BEVERAGES—2.2%
Coca-Cola HBC AG*
   93,665
$  3,417,828
 
 
TOTAL UNITED KINGDOM
(Cost $14,905,912)
 
16,928,050
UNITED STATES—1.6%
OIL & GAS EQUIPMENT & SERVICES—1.6%
Schlumberger Ltd.
   50,561
  2,441,591
(Cost $1,588,939)
 
 
TOTAL COMMON STOCKS
(Cost $117,264,290)
 
151,861,103
 
 
 
MONEY MARKET FUNDS—0.6%
UNITED STATES—0.6%
Dreyfus Treasury Obligations Cash Management Fund,
Institutional Shares, 5.19%(a)
  876,251
    876,251
(Cost $876,251)
 
 
 
 
Total Investments
(Cost $118,140,541)
   100.2%
$152,737,354
Unaffiliated Securities (Cost $118,140,541)
 
152,737,354
Liabilities in Excess of Other Assets
    (0.2)%
   (262,774)
NET ASSETS
   100.0%
$152,474,580
ADR
American Depositary Receipts
(a)
Rate shown reflects 7-day effective yield as of July 31, 2024.
*
Non-income producing security.
See Notes to Financial Statements.
- 36 -

THE ALGER FUNDS | ALGER HEALTH SCIENCES FUND
Schedule of Investments July 31, 2024 (Unaudited)

 
SHARES
VALUE
COMMON STOCKS—96.0%
BIOTECHNOLOGY—31.1%
AbbVie, Inc.
   27,608
$  5,116,315
Amgen, Inc.
   20,169
  6,705,587
Ascendis Pharma A/S ADR*
   12,888
  1,720,548
Biohaven, Ltd.*
   16,510
    649,338
Blueprint Medicines Corp.*
   12,272
  1,329,058
Cabaletta Bio, Inc.*
   49,604
    352,188
Forte Biosciences, Inc.*
1,192,842
    656,421
Insmed, Inc.*
   23,153
  1,684,381
Larimar Therapeutics, Inc.*
   75,747
    635,517
Madrigal Pharmaceuticals, Inc.*
    2,201
    626,537
Natera, Inc.*
    4,869
    498,537
Nuvalent, Inc., Cl. A*
   14,905
  1,191,506
Regeneron Pharmaceuticals, Inc.*
    4,576
  4,938,373
Vaxcyte, Inc.*
   13,347
  1,052,945
Vertex Pharmaceuticals, Inc.*
    9,174
  4,547,735
Viking Therapeutics, Inc.*
   20,814
  1,186,398
 
 
 
 
32,891,384
HEALTHCARE DISTRIBUTORS—4.8%
McKesson Corp.
    8,160
  5,034,883
HEALTHCARE EQUIPMENT—13.1%
Boston Scientific Corp.*
   45,286
  3,345,730
Edwards Lifesciences Corp.*
   12,177
    767,760
Impulse Dynamics PLC, Series A(a),*,@
5,000,001
  3,200,001
Impulse Dynamics PLC, Series F-1(a),*,@
2,557,038
  2,582,608
Insulet Corp.*
    3,213
    624,446
Intuitive Surgical, Inc.*
    7,479
  3,325,238
 
 
 
 
13,845,783
HEALTHCARE FACILITIES—8.0%
Concentra Group Holdings Parent, Inc.*
   40,000
    932,400
Encompass Health Corp.
   37,188
  3,456,253
Tenet Healthcare Corp.*
   15,336
  2,295,799
The Ensign Group, Inc.*
   12,710
  1,788,933
 
 
 
 
  8,473,385
LIFE & HEALTH INSURANCE—3.2%
Oscar Health, Inc., Cl. A*
  194,146
  3,432,501
LIFE SCIENCES TOOLS & SERVICES—7.9%
Codexis, Inc.*
  306,492
  1,097,241
Danaher Corp.
    4,397
  1,218,321
ICON PLC*
   11,947
  3,923,873
Medpace Holdings, Inc.*
    5,561
  2,127,194
 
 
 
 
  8,366,629
See Notes to Financial Statements.
- 37 -

THE ALGER FUNDS | ALGER HEALTH SCIENCES FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—96.0% (CONT.)
MANAGED HEALTHCARE—9.7%
Elevance Health, Inc.
    6,249
$  3,324,656
UnitedHealth Group, Inc.
   12,021
  6,926,019
 
 
 
 
10,250,675
PHARMACEUTICALS—18.2%
AstraZeneca PLC ADR
   68,203
  5,398,268
Eli Lilly & Co.
    6,089
  4,897,200
Intra-Cellular Therapies, Inc.*
   16,564
  1,303,918
Merck & Co., Inc.
   40,512
  4,583,123
Novo Nordisk A/S ADR
    4,245
    563,014
Sandoz Group Ltd.
   58,293
  2,528,357
 
 
 
 
19,273,880
TOTAL COMMON STOCKS
(Cost $87,053,607)
 
101,569,120
PREFERRED STOCKS—0.0%
BIOTECHNOLOGY—0.0%
Prosetta Biosciences, Inc., Series D(a),(b),*,@
  897,366
         
(Cost $4,038,147)
 
         
RIGHTS—0.8%
BIOTECHNOLOGY—0.8%
Tolero CDR(a),*,@
1,956,996
    841,508
(Cost $1,044,373)
 
    841,508
SHORT-TERM SECURITIES—3.2%
MONEY MARKET FUNDS—3.2%
Dreyfus Treasury Obligations Cash Management Fund,
Institutional Shares, 5.19%(c)
3,419,496
  3,419,496
(Cost $3,419,496)
 
  3,419,496
 
 
Total Investments
(Cost $95,555,623)
   100.0%
$105,830,124
Affiliated Securities (Cost $4,038,147)
 
          0
Unaffiliated Securities (Cost $91,517,476)
 
105,830,124
Liabilities in Excess of Other Assets
    (0.0)%
    (37,973)
NET ASSETS
   100.0%
$105,792,151
ADR
American Depositary Receipts
CDR
Contingent Deferred Rights
(a)
Security is valued in good faith at fair value determined using significant unobservable inputs pursuant to procedures
approved by the Board of Trustees.
(b)
Deemed an affiliate of the Fund in accordance with Section 2(a)(3) of the Investment Company Act of 1940. See Note
4 - Affiliated Securities.
(c)
Rate shown reflects 7-day effective yield as of July 31, 2024.
*
Non-income producing security.
See Notes to Financial Statements.
- 38 -

THE ALGER FUNDS | ALGER HEALTH SCIENCES FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

@
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
Market
Value
% of net assets
as of
7/31/2024
Impulse Dynamics PLC, Series A
2/11/22-6/2/23
$5,000,002
$3,200,001
3.0%
Impulse Dynamics PLC, Series F-1
11/28/23-2/5/24
2,550,135
2,582,608
2.4%
Prosetta Biosciences, Inc., Series D
2/6/15
4,038,147
0.0%
Tolero CDR
2/6/17
1,044,373
841,508
0.8%
Total
 
$6,624,117
6.2%
See Notes to Financial Statements.
- 39 -

THE ALGER FUNDS | ALGER AI ENABLERS & ADOPTERS FUND
Schedule of Investments July 31, 2024 (Unaudited)

 
SHARES
VALUE
COMMON STOCKS—94.5%
ADVERTISING—0.4%
The Trade Desk, Inc., Cl. A*
    163
$   14,650
APPLICATION SOFTWARE—6.2%
Adobe, Inc.*
     83
   45,787
AppLovin Corp., Cl. A*
  2,069
  159,520
Cadence Design Systems, Inc.*
     89
   23,822
HubSpot, Inc.*
     16
    7,952
 
 
 
 
  237,081
AUTOMOBILE MANUFACTURERS—0.7%
Tesla, Inc.*
    107
   24,832
BIOTECHNOLOGY—1.7%
Natera, Inc.*
    642
   65,734
BROADLINE RETAIL—12.5%
Amazon.com, Inc.*
  2,267
  423,884
MercadoLibre, Inc.*
     31
   51,736
 
 
 
 
  475,620
CASINOS & GAMING—1.4%
DraftKings, Inc., Cl. A*
  1,387
   51,250
COMPUTER & ELECTRONICS RETAIL—0.4%
Best Buy Co., Inc.
    189
   16,352
CONSTRUCTION & ENGINEERING—0.3%
Quanta Services, Inc.
     47
   12,473
CONSUMER STAPLES MERCHANDISE RETAIL—0.5%
Walmart, Inc.
    286
   19,631
DIVERSIFIED BANKS—0.9%
Citigroup, Inc.
    365
   23,681
JPMorgan Chase & Co.
     50
   10,640
 
 
 
 
   34,321
ELECTRIC UTILITIES—2.7%
Constellation Energy Corp.
    309
   58,648
NextEra Energy, Inc.
    143
   10,924
NRG Energy, Inc.
    447
   33,601
 
 
 
 
  103,173
ELECTRICAL COMPONENTS & EQUIPMENT—2.0%
Vertiv Holdings Co., Cl. A
    938
   73,821
FINANCIAL EXCHANGES & DATA—2.9%
S&P Global, Inc.
    223
  108,095
HEALTHCARE EQUIPMENT—1.3%
Intuitive Surgical, Inc.*
    113
   50,241
INTERACTIVE MEDIA & SERVICES—9.4%
Alphabet, Inc., Cl. C
    719
  124,495
See Notes to Financial Statements.
- 40 -

THE ALGER FUNDS | ALGER AI ENABLERS & ADOPTERS FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
COMMON STOCKS—94.5% (CONT.)
INTERACTIVE MEDIA & SERVICES—9.4% (CONT.)
Meta Platforms, Inc., Cl. A
    421
$  199,903
Pinterest, Inc., Cl. A*
  1,017
   32,493
 
 
 
 
  356,891
INTERNET SERVICES & INFRASTRUCTURE—0.6%
Shopify, Inc., Cl. A*
    390
   23,868
MANAGED HEALTHCARE—1.4%
UnitedHealth Group, Inc.
     95
   54,735
MOVIES & ENTERTAINMENT—2.7%
Netflix, Inc.*
    100
   62,835
Spotify Technology SA*
    110
   37,833
 
 
 
 
  100,668
PASSENGER GROUND TRANSPORTATION—0.6%
Uber Technologies, Inc.*
    342
   22,049
SEMICONDUCTOR MATERIALS & EQUIPMENT—2.1%
Applied Materials, Inc.
     41
    8,700
ASML Holding NV ADR
     77
   72,126
 
 
 
 
   80,826
SEMICONDUCTORS—19.6%
Advanced Micro Devices, Inc.*
    229
   33,086
Broadcom, Inc.
    967
  155,378
Marvell Technology, Inc.
    278
   18,620
Micron Technology, Inc.
    376
   41,292
NVIDIA Corp.
  3,513
  411,091
Taiwan Semiconductor Manufacturing Co., Ltd. ADR
    511
   84,724
 
 
 
 
  744,191
SYSTEMS SOFTWARE—13.0%
Microsoft Corp.
  1,108
  463,532
ServiceNow, Inc.*
     36
   29,318
 
 
 
 
  492,850
TECHNOLOGY HARDWARE STORAGE & PERIPHERALS—11.2%
Apple, Inc.
  1,816
  403,297
Dell Technologies, Inc., Cl. C
    211
   23,987
 
 
 
 
  427,284
TOTAL COMMON STOCKS
(Cost $3,318,596)
 
3,590,636
REAL ESTATE INVESTMENT TRUST—2.1%
DATA CENTER—2.1%
Digital Realty Trust, Inc.
    169
   25,264
See Notes to Financial Statements.
- 41 -

THE ALGER FUNDS | ALGER AI ENABLERS & ADOPTERS FUND
Schedule of Investments July 31, 2024 (Unaudited) (Continued)

 
SHARES
VALUE
REAL ESTATE INVESTMENT TRUST—2.1% (CONT.)
DATA CENTER—2.1% (CONT.)
Equinix, Inc.
     71
$   56,107
TOTAL REAL ESTATE INVESTMENT TRUST
(Cost $81,586)
 
   81,371
SHORT-TERM SECURITIES—4.5%
MONEY MARKET FUNDS—4.5%
Dreyfus Treasury Obligations Cash Management Fund,
Institutional Shares, 5.19%(a)
169,552
  169,552
(Cost $169,552)
 
  169,552
 
 
Total Investments
(Cost $3,569,734)
101.1%
$3,841,559
Unaffiliated Securities (Cost $3,569,734)
 
3,841,559
Liabilities in Excess of Other Assets
  (1.1)%
  (40,224)
NET ASSETS
100.0%
$3,801,335
ADR
American Depositary Receipts
(a)
Rate shown reflects 7-day effective yield as of July 31, 2024.
*
Non-income producing security.
See Notes to Financial Statements.
- 42 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited)

NOTE 1 — General:
The Alger Funds (the “Trust”) is an open-end registered investment company organized as a business trust under the laws of  the Commonwealth of  Massachusetts. The Trust qualifies as an investment company as defined in Financial Accounting Standards Board (“FASB”) Accounting Standards Codification 946 – Financial Services – Investment Companies. The Trust operates as a series company currently offering an unlimited number of  shares of  beneficial interest in twelve series — Alger Capital Appreciation Fund, Alger Concentrated Equity Fund, Alger Growth & Income Fund, Alger 35 Fund, Alger Mid Cap Focus Fund, Alger Mid Cap Growth Fund, Alger Small Cap Growth Fund, Alger Small Cap Focus Fund, Alger Weatherbie Specialized Growth Fund, Alger International Opportunities Fund, Alger Health Sciences Fund and Alger AI Enablers & Adopters Fund (collectively, the “Funds” or individually, each a “Fund”). Alger Capital Appreciation Fund, Alger Concentrated Equity Fund, Alger 35 Fund, Alger Mid Cap Focus Fund, Alger Mid Cap Growth Fund, Alger Small Cap Growth Fund, Alger Small Cap Focus Fund, Alger Weatherbie Specialized Growth Fund, Alger International Focus Fund, Alger Health Sciences Fund and Alger AI Enablers & Adopters Fund normally invest primarily in equity securities and each has an investment objective of  long-term capital appreciation. Alger Growth & Income Fund also normally invests primarily in equity securities and has an investment objective of  both capital appreciation and current income.
Each Fund offers one or more of  the following share classes: Class A, B, C, I, Y and Z. Class A shares are generally subject to an initial sales charge while Class B and C shares are generally subject to a deferred sales charge. Class B shares will automatically convert to Class A shares eight years after the end of  the calendar month in which the order to purchase was accepted. The conversion is completed without the imposition of  any sales charges or other fees. Class C shares will automatically convert to Class A shares on the fifth business day of the month following the eighth anniversary of the purchase date of  a shareholder’s Class C shares, without the imposition of  any sales load, fee or other charge. Class B and C shares held at certain dealers may not convert to Class A shares or may be converted on a different schedule. At conversion, a proportionate amount of shares representing reinvested dividends and distributions will also be converted into Class A shares. Effective August 27, 2019, Class C shares were closed to direct shareholders and are only available for purchase through certain financial intermediaries and group retirement plan recordkeeping platforms. Class I, Y and Z shares are generally sold to institutional investors and are sold without an initial or deferred sales charge. Class Y and Z shares are generally subject to a minimum initial investment of $500,000. Each class has identical rights to assets and earnings, except that each share class bears the pro rata allocation of  the Fund’s expenses other than a class expense (not including advisory or custodial fees or other expenses related to the management of  the Fund’s assets).
- 43 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

Alger Group Holdings, LLC the parent company of Fred Alger Management, LLC (“Alger Management” or the “Investment Manager”) acquired Redwood Investments, LLC (“Redwood”) effective January 31, 2024. Redwood became the sub-advisor to the Alger International Opportunities Fund effective February 1, 2024. No changes were made to the investment objective, principal investment strategies, principal risks or investment restrictions as a result of this change
On May 29, 2024, the Board approved a change in the Fund's name from Alger International Focus Fund to Alger International Opportunities Fund effective on or about August 6, 2024.
Alger Concentrated Equity Fund and Alger AI Enablers & Adopters Fund each launched on April 4, 2024.
On May 23, 2023, the Board of Trustees of the Trust (the "Board") approved the transition of the Funds' custodian and administrator from Brown Brothers Harriman & Company to The Bank of New York (collectively, the "Custodian"). This change became effective on January 29, 2024.
NOTE 2 — Significant Accounting Policies:
(a) Investment Valuation: The Funds value their financial instruments at fair value using independent dealers or pricing services under policies approved by the Board. Investments held by the Funds are valued on each day the New York Stock Exchange (the “NYSE”) is open, as of the close of the NYSE (normally 4:00 p.m. Eastern Time).
The Board has designated, pursuant to Rule 2a-5 under the Investment Company Act of 1940, as amended (the “1940 Act”), the Funds' investment adviser, Fred Alger Management, LLC (“Alger Management” or the “Investment Manager”) as its valuation designee (the “Valuation Designee”) to make fair value determinations subject to the Board’s review and oversight. The Valuation Designee has established a Valuation Committee (“Committee”) comprised of representatives of the Investment Manager and officers of the Funds to assist in performing the duties and responsibilities of the Valuation Designee.
The Valuation Designee has established valuation processes including but not limited to: (i) making fair value determinations when market quotations for financial instruments are not readily available in accordance with valuation policies and procedures adopted by the Board; (ii) assessing and managing material risks associated with fair valuation determinations; (iii) selecting, applying and testing fair valuation methodologies; and (iv) overseeing and evaluating pricing services used by the Funds. The Valuation Designee regularly reports its fair valuation determinations and related valuation information to the Board. The Committee generally meets quarterly and on an as-needed basis to
- 44 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

review and evaluate the effectiveness of  the valuation policies and procedures in accordance with the requirements of  Rule 2a-5.
Investments in short-term securities held by the Funds having a remaining maturity of sixty days or less are valued at amortized cost which approximates market value. Investments in other open-end investment companies registered under the 1940 Act are valued at such investment companies' net asset value per share.
Equity securities, including traded rights, warrants and option contracts for which valuation information is readily available, are valued at the last quoted sales price or official closing price on the primary market or exchange on which they are traded as reported by an independent pricing service. In the absence of quoted sales, such securities are generally valued at the bid price or, in the absence of a recent bid price, the equivalent as obtained from one or more of the major market makers for the securities to be valued.
Securities in which the Funds invest may be traded in foreign markets that close before the close of the NYSE. Developments that occur between the close of the foreign markets and the close of the NYSE may result in adjustments to the closing foreign prices to reflect what the Valuation Designee, through its Committee, believes to be the fair value of these securities as of the close of the NYSE. The Funds may also fair value securities in other situations, for example, when a particular foreign market is closed but the NYSE is open.
FASB Accounting Standards Codification 820 – Fair Value Measurements and Disclosures (“ASC 820”) defines fair value as the price that the Funds would receive upon selling an investment in a timely transaction to an independent buyer in the principal or most advantageous market of the investment. ASC 820 established a three-tier hierarchy to maximize the use of observable market data and minimize the use of unobservable inputs and to establish classification of fair value measurements for disclosure purposes. Inputs refer broadly to the assumptions that market participants would use in pricing the asset or liability and may be observable or unobservable. Observable inputs are based on market data obtained from sources independent of the Funds. Unobservable inputs are inputs that reflect the Funds' own assumptions based on the best information available in the circumstances. The three-tier hierarchy of inputs is summarized in the three broad Levels listed below.
Level 1 – quoted prices in active markets for identical investments
Level 2 – significant other observable inputs (including quoted prices for similar investments, amortized cost, interest rates, prepayment speeds, credit risk, etc.)
Level 3 – significant unobservable inputs (including the Funds' own assumptions in determining the fair value of investments)
- 45 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

The Funds' valuation techniques are generally consistent with either the market or the income approach to fair value. The market approach considers prices and other relevant information generated by market transactions involving identical or comparable assets to measure fair value. The income approach converts future amounts to a current, or discounted, single amount. These fair value measurements are determined on the basis of the value indicated by current market expectations about such future events. Inputs for Level 1 include exchange-listed prices and broker quotes in an active market. Inputs for Level 2 include the last trade price in the case of a halted security, an exchange-listed price which has been adjusted for fair value factors, and prices of closely related securities. Additional Level 2 inputs include an evaluated price which is based upon a compilation of observable market information such as spreads for fixed income and preferred securities. Inputs for Level 3 include, but are not limited to, revenue multiples, earnings before interest, taxes, depreciation and amortization (“EBITDA”) multiples, discount rates, time to exit and the probabilities of success of certain outcomes. Such unobservable market information may be obtained from a company’s financial statements and from industry studies, market data, and market indicators such as benchmarks and indexes. Because of the inherent uncertainty and often limited markets for restricted securities, the valuations assigned to such securities by the Funds may significantly differ from the valuations that would have been assigned by the Funds had there been an active market for such securities.
NOTE 3 — Fair Value Measurements:
The following is a summary of the inputs used as of July 31, 2024 in valuing the Funds' investments carried at fair value on a recurring basis. Based upon the nature, characteristics, and risks associated with their investments, the Funds have determined that presenting them by security type and sector is appropriate.
Alger Capital Appreciation Fund
TOTAL
LEVEL 1
LEVEL 2
LEVEL 3
COMMON STOCKS
Communication Services
$254,641,813
$254,641,813
$
$
Consumer Discretionary
220,687,613
219,147,695
1,539,918
Consumer Staples
2,978,152
2,978,152
Energy
368,014
368,014
Financials
73,029,482
73,029,482
Healthcare
206,250,897
206,250,897
Industrials
138,710,368
138,710,368
Information Technology
868,681,471
868,681,471
Materials
11,961,449
11,961,449
Utilities
21,868,232
21,868,232
TOTAL COMMON STOCKS
$1,799,177,491
$1,797,637,573
$1,539,918
$
PREFERRED STOCKS
Financials
991,140
991,140
- 46 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

Alger Capital Appreciation Fund
TOTAL
LEVEL 1
LEVEL 2
LEVEL 3
REAL ESTATE INVESTMENT
TRUST
Real Estate
$17,760,644
$17,760,644
$
$
SPECIAL PURPOSE VEHICLE
Information Technology
2,412,030
2,412,030
SHORT-TERM INVESTMENTS
Money Market Funds
235,111
235,111
TOTAL INVESTMENTS IN
SECURITIES
$1,820,576,416
$1,815,633,328
$1,539,918
$3,403,170
Alger Concentrated Equity Fund
TOTAL
LEVEL 1
LEVEL 2
LEVEL 3
COMMON STOCKS
Communication Services
$601,757
$601,757
$
$
Consumer Discretionary
528,224
528,224
Energy
38,530
38,530
Financials
187,912
187,912
Healthcare
365,479
365,479
Industrials
419,095
419,095
Information Technology
2,168,797
2,168,797
Utilities
69,657
69,657
TOTAL COMMON STOCKS
$4,379,451
$4,379,451
$
$
SHORT-TERM INVESTMENTS
Money Market Funds
80,777
80,777
TOTAL INVESTMENTS IN
SECURITIES
$4,460,228
$4,460,228
$
$
Alger Growth & Income Fund
TOTAL
LEVEL 1
LEVEL 2
LEVEL 3
COMMON STOCKS
Communication Services
$58,479,406
$58,479,406
$
$
Consumer Discretionary
42,321,486
42,321,486
Consumer Staples
34,586,104
34,586,104
Energy
27,210,043
27,210,043
Financials
76,555,739
76,555,739
Healthcare
70,069,130
70,069,130
Industrials
35,745,875
35,745,875
Information Technology
185,458,192
185,458,192
Materials
10,063,924
10,063,924
Utilities
9,029,385
9,029,385
TOTAL COMMON STOCKS
$549,519,284
$549,519,284
$
$
MASTER LIMITED
PARTNERSHIP
Energy
2,341,948
2,341,948
REAL ESTATE INVESTMENT
TRUST
Real Estate
17,454,752
17,454,752
- 47 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

Alger Growth & Income Fund
TOTAL
LEVEL 1
LEVEL 2
LEVEL 3
SHORT-TERM INVESTMENTS
Money Market Funds
$24,193,304
$24,193,304
$
$
TOTAL INVESTMENTS IN
SECURITIES
$593,509,288
$593,509,288
$
$
Alger 35 Fund
TOTAL
LEVEL 1
LEVEL 2
LEVEL 3
COMMON STOCKS
Communication Services
$4,380,250
$4,380,250
$
$
Consumer Discretionary
4,865,094
4,865,094
Energy
284,358
284,358
Healthcare
3,061,548
2,510,318
551,230
Industrials
2,423,986
2,423,986
Information Technology
11,824,877
11,824,877
Materials
209,697
209,697
Utilities
965,133
965,133
TOTAL COMMON STOCKS
$28,014,943
$27,463,713
$
$551,230
TOTAL INVESTMENTS IN
SECURITIES
$28,014,943
$27,463,713
$
$551,230
Alger Mid Cap Focus Fund
TOTAL
LEVEL 1
LEVEL 2
LEVEL 3
COMMON STOCKS
Communication Services
$17,244,089
$17,244,089
$
$
Consumer Discretionary
22,122,888
22,122,888
Consumer Staples
2,313,917
2,313,917
Energy
9,407,063
9,407,063
Financials
11,204,905
11,204,905
Healthcare
30,127,849
30,127,849
Industrials
52,368,784
52,368,784
Information Technology
85,830,164
85,830,164
Materials
5,882,472
5,882,472
Utilities
7,642,866
7,642,866
TOTAL COMMON STOCKS
$244,144,997
$244,144,997
$
$
SHORT-TERM INVESTMENTS
Money Market Funds
6,565,255
6,565,255
TOTAL INVESTMENTS IN
SECURITIES
$250,710,252
$250,710,252
$
$
- 48 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

Alger Mid Cap Growth Fund
TOTAL
LEVEL 1
LEVEL 2
LEVEL 3
COMMON STOCKS
Communication Services
$17,693,024
$17,693,024
$
$
Consumer Discretionary
24,108,441
24,108,441
Consumer Staples
2,213,326
2,213,326
Energy
6,448,024
6,448,024
Financials
17,567,565
17,567,565
Healthcare
27,987,010
27,987,010
Industrials
50,759,841
50,759,841
Information Technology
65,667,605
65,667,605
Materials
4,403,844
4,403,844
Real Estate
10,470,980
10,470,980
TOTAL COMMON STOCKS
$227,319,660
$227,319,660
$
$
PREFERRED STOCKS
Healthcare
1
1
RIGHTS
Healthcare
253,725
253,725
SPECIAL PURPOSE VEHICLE
Information Technology
1,455,910
1,455,910
WARRANTS
Information Technology
2
2
SHORT-TERM INVESTMENTS
Money Market Funds
6,594,803
6,594,803
TOTAL INVESTMENTS IN
SECURITIES
$235,624,098
$233,914,463
$
$1,709,635
Alger Small Cap Growth Fund
TOTAL
LEVEL 1
LEVEL 2
LEVEL 3
COMMON STOCKS
Communication Services
$5,273,504
$5,273,504
$
$
Consumer Discretionary
46,359,464
46,359,464
Consumer Staples
7,207,217
7,207,217
Energy
9,455,330
9,455,330
Financials
6,873,746
6,873,746
Healthcare
89,350,485
86,620,735
2,729,750
Industrials
26,685,092
26,685,092
Information Technology
83,190,377
83,190,377
Materials
303,812
303,812
TOTAL COMMON STOCKS
$274,699,027
$271,969,277
$
$2,729,750
PREFERRED STOCKS
Healthcare
1
1
RIGHTS
Healthcare
184,808
184,808
SPECIAL PURPOSE VEHICLE
Information Technology
1,977,430
1,977,430
SHORT-TERM INVESTMENTS
Money Market Funds
12,216,024
12,216,024
TOTAL INVESTMENTS IN
SECURITIES
$289,077,289
$284,185,301
$
$4,891,988
- 49 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

Alger Small Cap Focus Fund
TOTAL
LEVEL 1
LEVEL 2
LEVEL 3
COMMON STOCKS
Consumer Discretionary
$97,949,902
$97,949,902
$
$
Energy
21,273,494
21,273,494
Healthcare
506,342,114
478,034,038
28,308,076
Industrials
247,751,769
247,751,769
Information Technology
417,883,946
417,883,946
TOTAL COMMON STOCKS
$1,291,201,225
$1,262,893,149
$
$28,308,076
RIGHTS
Healthcare
5,119
5,119
SHORT-TERM INVESTMENTS
Money Market Funds
18,752,718
18,752,718
TOTAL INVESTMENTS IN
SECURITIES
$1,309,959,062
$1,281,645,867
$
$28,313,195
Alger Weatherbie Specialized Growth
Fund
TOTAL
LEVEL 1
LEVEL 2
LEVEL 3
COMMON STOCKS
Consumer Discretionary
$27,950,350
$27,950,350
$
$
Energy
3,396,053
3,396,053
Financials
65,652,873
65,652,873
Healthcare
161,726,732
159,815,558
1,911,174
Industrials
112,433,537
112,433,537
Information Technology
95,528,188
95,528,188
Real Estate
29,499,244
29,499,244
TOTAL COMMON STOCKS
$496,186,977
$494,275,803
$
$1,911,174
PREFERRED STOCKS
Healthcare
1
1
SHORT-TERM INVESTMENTS
Money Market Funds
11,457,792
11,457,792
TOTAL INVESTMENTS IN
SECURITIES
$507,644,769
$505,733,595
$
$1,911,174
Alger International Opportunities
Fund
TOTAL
LEVEL 1
LEVEL 2
LEVEL 3
COMMON STOCKS
Communication Services
$8,270,960
$
$8,270,960
$
Consumer Discretionary
26,221,648
19,532,975
6,688,673
Consumer Staples
14,995,202
2,708,542
12,286,660
Energy
8,991,309
2,441,591
6,549,718
Financials
24,631,599
13,072,856
11,558,743
Healthcare
17,807,324
3,153,576
14,653,748
Industrials
19,380,649
3,655,835
15,724,814
Information Technology
23,912,506
12,385,513
11,526,993
Materials
7,649,906
7,649,906
TOTAL COMMON STOCKS
$151,861,103
$56,950,888
$94,910,215
$
- 50 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

Alger International Opportunities
Fund
TOTAL
LEVEL 1
LEVEL 2
LEVEL 3
SHORT-TERM INVESTMENTS
Money Market Funds
$876,251
$876,251
$
$
TOTAL INVESTMENTS IN
SECURITIES
$152,737,354
$57,827,139
$94,910,215
$
Alger Health Sciences Fund
TOTAL
LEVEL 1
LEVEL 2
LEVEL 3
COMMON STOCKS
Financials
$3,432,501
$3,432,501
$
$
Healthcare
98,136,619
89,825,653
2,528,357
5,782,609
TOTAL COMMON STOCKS
$101,569,120
$93,258,154
$2,528,357
$5,782,609
PREFERRED STOCKS
Healthcare
1
1
RIGHTS
Healthcare
841,508
841,508
SHORT-TERM INVESTMENTS
Money Market Funds
3,419,496
3,419,496
TOTAL INVESTMENTS IN
SECURITIES
$105,830,124
$96,677,650
$2,528,357
$6,624,117
Alger AI Enablers & Adopters Fund
TOTAL
LEVEL 1
LEVEL 2
LEVEL 3
COMMON STOCKS
Communication Services
$472,209
$472,209
$
$
Consumer Discretionary
568,054
568,054
Consumer Staples
19,631
19,631
Financials
142,416
142,416
Healthcare
170,710
170,710
Industrials
108,343
108,343
Information Technology
2,006,100
2,006,100
Utilities
103,173
103,173
TOTAL COMMON STOCKS
$3,590,636
$3,590,636
$
$
REAL ESTATE INVESTMENT
TRUST
Real Estate
81,371
81,371
SHORT-TERM INVESTMENTS
Money Market Funds
169,552
169,552
TOTAL INVESTMENTS IN
SECURITIES
$3,841,559
$3,841,559
$
$
1
Alger Mid Cap Growth Fund's, Alger Weatherbie Specialized Growth Fund's, Alger Small Cap Growth Fund's and Alger
Health Sciences Fund's holdings of Prosetta Biosciences, Inc., Series D shares are classified as a Level 3 investment
and are fair valued at zero as of July 31, 2024.
2
Alger Mid Cap Growth Fund's holdings of Constellation Software, Inc. warrants expiring March 31, 2040, are classified
as a Level 2 investment and are fair valued at zero as of July 31, 2024. 
- 51 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Capital Appreciation Fund
Preferred Stocks
Opening balance at November 1, 2023
$1,049,884
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
(58,744
)
Purchases and sales
Purchases
Sales/Distributions
Closing balance at July 31, 2024
991,140
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$(58,744
)
 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Capital Appreciation Fund
Special Purpose
Vehicle
Opening balance at November 1, 2023
$2,555,109
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
(143,079
)
Purchases and sales
Purchases
Sales/Distributions
Closing balance at July 31, 2024
2,412,030
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$(143,079
)
- 52 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger 35 Fund
Common Stocks
Opening balance at November 1, 2023
$470,076
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
81,154
Purchases and sales
Purchases
Sales/Distributions
Closing balance at July 31, 2024
551,230
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$81,154
 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Mid Cap Growth Fund
Preferred Stocks
Opening balance at November 1, 2023
$—*
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/Distributions
Closing balance at July 31, 2024
—*
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$
- 53 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Mid Cap Growth Fund
Rights
Opening balance at November 1, 2023
$401,240
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
(147,515
)
Purchases and sales
Purchases
Sales/Distributions
Closing balance at July 31, 2024
253,725
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$(147,515
)
 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Mid Cap Growth Fund
Special Purpose
Vehicle
Opening balance at November 1, 2023
$1,542,273
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
(86,363
)
Purchases and sales
Purchases
Sales/Distributions
Closing balance at July 31, 2024
1,455,910
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$(86,363
)
- 54 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Small Cap Growth Fund
Common Stocks
Opening balance at November 1, 2023
$3,149,680
Transfers into Level 3
Transfers out of Level 3
Total gains or losses
Included in net change in unrealized appreciation (depreciation) on investments
(810,625
)
Included in net realized gain (loss) on investments
Purchases and sales
Purchases
390,695
Sales/Distributions
Closing balance at July 31, 2024
2,729,750
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$(810,625
)
 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Small Cap Growth Fund
Preferred Stocks
Opening balance at November 1, 2023
$—*
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/Distributions
Closing balance at July 31, 2024
—*
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$
- 55 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Small Cap Growth Fund
Rights
Opening balance at November 1, 2023
$118,852
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
65,956
Purchases and sales
Purchases
Sales/Distributions
Closing balance at July 31, 2024
184,808
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$65,956
 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Small Cap Growth Fund
Special Purpose
Vehicle
Opening balance at November 1, 2023
$2,094,729
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
(117,299
)
Purchases and sales
Purchases
Sales/Distributions
Closing balance at July 31, 2024
1,977,430
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$(117,299
)
- 56 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Small Cap Focus Fund
Common Stocks
Opening balance at November 1, 2023
$20,678,300
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
3,620,948
Purchases and sales
Purchases
4,008,828
Sales/Distributions
Closing balance at July 31, 2024
28,308,076
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$3,620,948
 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Small Cap Focus Fund
Rights
Opening balance at November 1, 2023
$8,095
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
(2,976
)
Purchases and sales
Purchases
Sales/Distributions
Closing balance at July 31, 2024
5,119
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$(2,976
)
- 57 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Weatherbie Specialized Growth Fund
Common Stocks
Opening balance at November 1, 2023
$2,578,999
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
(667,825
)
Purchases and sales
Purchases
Sales/Distributions
Closing balance at July 31, 2024
1,911,174
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$(667,825
)
 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Weatherbie Specialized Growth Fund
Preferred Stocks
Opening balance at November 1, 2023
$—*
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/Distributions
Closing balance at July 31, 2024
—*
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$
- 58 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Health Sciences Fund
Common Stocks
Opening balance at November 1, 2023
$6,616,482
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
(1,243,872
)
Purchases and sales
Purchases
409,999
Sales/Distributions
Closing balance at July 31, 2024
5,782,609
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$(1,243,872
)
 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Health Sciences Fund
Preferred Stocks
Opening balance at November 1, 2023
$—*
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/Distributions
Closing balance at July 31, 2024
—*
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$
- 59 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

 
FAIR VALUE
MEASUREMENTS
USING SIGNIFICANT
UNOBSERVABLE
INPUTS (LEVEL 3)
Alger Health Sciences Fund
Rights
Opening balance at November 1, 2023
$1,330,757
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
(489,249
)
Purchases and sales
Purchases
Sales/Distributions
Closing balance at July 31, 2024
841,508
Net change in unrealized appreciation (depreciation) attributable to investments
still held at July 31, 2024
$(489,249
)
*
Includes securities that are fair valued at zero.
The following table provides quantitative information about each Fund's Level 3 fair value measurements of its investments as of July 31, 2024. The table below is not intended to be all-inclusive, but rather provides information on the Level 3 inputs as they relate to each Fund's fair value measurements.
 
Fair Value
July 31,
2024
Valuation
Methodology
Unobservable
Input
Input/Range
Weighted
Average Inputs
Alger Capital Appreciation Fund
Preferred Stocks
$991,140
Market
Approach
Revenue Multiple
8.50x-10.50x
N/A
Special Purpose
Vehicle
2,412,030
Market
Approach
Revenue Multiple
8.50x-10.50x
N/A
Alger 35 Fund
Common Stocks
551,230
Income
Approach
Revenue Multiple
5.75x-6.75x
N/A
Alger Mid Cap Growth Fund
Preferred Stocks
—*
Income
Approach
Discount Rate
100%
N/A
Rights2
253,725
Income
Approach
Discount Rate
Probability of Success
6.74%-8.02%
0.00%-25.00%
N/A
N/A
Special Purpose
Vehicle
1,455,910
Market
Approach
Revenue Multiple
8.50x-10.50x
N/A
Alger Small Cap Growth Fund
Common Stocks
2,729,750
Market
Approach
Revenue Multiple
5.75x-6.75x
N/A
- 60 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

 
Fair Value
July 31,
2024
Valuation
Methodology
Unobservable
Input
Input/Range
Weighted
Average Inputs
Preferred Stocks
$—*
Income
Approach
Discount Rate
100%
N/A
Rights1
15,875
Income
Approach
Discount Rate
Probability of Success
4.79%
12.00%
N/A
N/A
Rights2
75,156
Income
Approach
Discount Rate
Probability of Success
6.74%-8.02%
0.00%-25.00%
N/A
N/A
Rights3
93,777
Income
Approach
Discount Rate
Probability of Success
4.79%
44.00%
N/A
N/A
Special Purpose Vehicle
1,977,430
Market
Approach
Revenue Multiple
8.50x-10.50x
N/A
Alger Small Cap Focus Fund
Common Stocks
28,308,076
Market
Approach
Revenue Multiple
5.75x-6.75x
N/A
Rights2
5,119
Income
Approach
Discount Rate
Probability of Success
6.74%-8.02%
0.00%-25.00%
N/A
N/A
Alger Weatherbie Specialized Growth Fund
Common Stock
1,911,174
Market
Approach
Revenue Multiple
5.75x-6.75x
N/A
Preferred Stock
—*
Income
Approach
Discount Rate
100%
N/A
Alger Health Sciences Fund
Common Stocks
5,782,609
Market
Approach
Revenue Multiple
5.75x-6.75x
N/A
Preferred Stocks
—*
Income
Approach
Discount Rate
100%
N/A
Rights2
841,508
Income
Approach
Discount Rate
Probability of Success
6.74%-8.02%
0.00%-25.00%
N/A
N/A
*
Prosetta Biosciences, Inc., Series D shares are classified as a Level 3 investment and are fair valued at zero as of
July 31, 2024.
1
Mirati Therapeutics, Inc. CVR
2
Tolero CDR
3
Fusion Pharmaceuticals, Inc. CVR
The significant unobservable inputs used in the fair value measurement of each Fund's securities are revenue and EBITDA multiples, discount rates, and the probability of success of certain outcomes. Significant increases and decreases in these inputs in isolation and interrelationships between these inputs would have resulted in significantly higher or lower fair value measurements than those noted in the table above. Generally, all other things being equal, increases in revenue and EBITDA multiples, decreases in discount rates, and increases in the probability of success result in higher fair value measurements, whereas decreases in revenues and EBITDA multiples, increases in discount rates, and decreases in the probability of success result in lower fair value measurements. 
- 61 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

For the period ended July 31, 2024, there were no changes in valuation methodology on Level 3 investments.
NOTE 4 — Affiliated Securities:
During the period ended July 31, 2024, as disclosed in the following table, certain Funds held 5% or more of the outstanding voting securities of the issuers listed below. As such, these issuers were “affiliated persons” of the applicable Fund(s) for purposes of the 1940 Act. Transactions during the period ended July 31, 2024 with such affiliated persons are summarized below. During this period, other Funds in the Trust may also have held voting shares of the issuers at levels below 5%.  
Security
Shares
Held at
October 31,
2023
Shares
Purchased
Shares
Sold
Shares
Held at
July 31,
2024
Dividend
Income
Realized
Gain (Loss)
Net Change
in
Unrealized
App(Dep)
Value at
July 31,
2024
Alger Capital Appreciation Fund
Special Purpose Vehicle
Crosslink Ventures C,
LLC, Cl. A1
$
$
$(143,079
)
$2,412,030
Total
$
$
$(143,079
)
$2,412,030
Security
Shares
Held at
October 31,
2023
Shares
Purchased
Shares
Sold
Shares
Held at
July 31,
2024
Dividend
Income
Realized
Gain (Loss)
Net Change
in
Unrealized
App(Dep)
Value at
July 31,
2024
Alger Mid Cap Growth Fund
Preferred Stocks
Prosetta Biosciences,
Inc., Series D2
219,610
219,610
$
$
$
$
3
Special Purpose Vehicle
Crosslink Ventures C,
LLC, Cl. A1
(61,872
)
1,043,040
Crosslink Ventures C,
LLC, Cl. B1
(24,491
)
412,870
Total
$
$
$(86,363
)
$1,455,910
Security
Shares
Held at
October 31,
2023
Shares
Purchased
Shares
Sold
Shares
Held at
July 31,
2024
Dividend
Income
Realized
Gain (Loss)
Net Change
in
Unrealized
App(Dep)
Value at
July 31,
2024
Alger Small Cap Growth Fund
Preferred Stocks
Prosetta Biosciences,
Inc., Series D2
50,688
50,688
$
$
$
$
3
Special Purpose Vehicle
Crosslink Ventures C,
LLC, Cl. A1
(92,808
)
1,564,560
Crosslink Ventures C,
LLC, Cl. B1
(24,491
)
412,870
Total
$
$
$(117,299
)
$1,977,430
- 62 -

THE ALGER FUNDS
NOTES TO FINANCIAL STATEMENTS (Unaudited) (Continued)

Security
Shares
Held at
October 31,
2023
Shares
Purchased
Shares
Sold
Shares
Held at
July 31,
2024
Dividend
Income
Realized
Gain (Loss)
Net Change
in
Unrealized
App(Dep)
Value at
July 31,
2024
Alger Small Cap Focus Fund
Common Stocks
Impulse Dynamics
PLC,
Series F-1
7,255,544
20,722,254
28,027,798
$
$
$3,620,948
$28,308,076
PROS Holdings,
Inc.4
2,701,224
(729,690
)
1,971,534
(9,076,992
)
(3,448,101
)
Total
$
$(9,076,992
)
$172,847
$28,308,076
Security
Shares
Held at
October 31,
2023
Shares
Purchased
Shares
Sold
Shares
Held at
July 31,
2024
Dividend
Income
Realized
Gain (Loss)
Net Change
in
Unrealized
App(Dep)
Value at
July 31,
2024
Alger Weatherbie Specialized Growth Fund
Preferred Stocks
Prosetta Biosciences, Inc.,
Series D2
213,474
231,474
$
$
$
$
3
Total
$
$
$
$
Security
Shares
Held at
October 31,
2023
Shares
Purchased
Shares
Sold
Shares
Held at
July 31,
2024
Dividend
Income
Realized
Gain (Loss)
Net Change
in
Unrealized
App(Dep)
Value at
July 31,
2024
Alger Health Sciences Fund
Preferred Stocks
Prosetta Biosciences, Inc.,
Series D2
867,366
897,366
$
$
$
$
3
Total
$
$
$
$
1
The Alger Fund Complex and other entities managed by Alger Management fully own Crosslink Ventures C, LLC,
Class A and Crosslink Ventures C, LLC, Class B. There were no capital increases or decreases for the period ended
July 31, 2024.
2
Prosetta Biosciences, Inc., Series D is deemed to be an affiliate of the Funds because the Funds and Prosetta
Biosciences, Inc., Series D are under common control. 
3
Prosetta Biosciences, Inc., Series D shares are classified as a Level 3 investment and are fair valued at zero as of
July 31, 2024.
4
Non-affiliated at July 31, 2024.
- 63 -