Titelia

Portfolio von GAMMA Investing LLC

3607 gemeldete Positionen · zum 31.03.2026

Originalmeldung · Zehn größte Positionen: 25.9 % des Aktienteils

Aufteilung nach Branche

  • Technologie 23,7 %
  • Finanzen 10,3 %
  • Kommunikation 7,5 %
  • Industrie 7,5 %
  • Gesundheit 7,3 %
  • Zyklischer Konsum 7,0 %
  • Basiskonsum 4,4 %
  • Energie 2,9 %
  • Versorger 2,5 %
  • Rohstoffe 1,6 %
  • Fonds 1,2 %
  • Immobilien 0,9 %
  • Nicht zugeordnet 23,1 %

Einstufung von Titelia, Gesellschaft für Gesellschaft. Der nicht zugeordnete Anteil bleibt sichtbar.

Aufteilung nach Währung

  • USD 100,0 %

Die gemeldete Notierungswährung jeder Position.

Länderaufteilung

  • US 94,8 %
  • JP 1,0 %
  • GB 0,6 %
  • DE 0,5 %
  • NL 0,4 %
  • FR 0,4 %
  • CH 0,3 %
  • TW 0,3 %
  • AU 0,2 %
  • ES 0,2 %
  • IT 0,1 %
  • HK 0,1 %
  • Weitere Länder 1,1 %

Anteile berechnet auf den Aktienteil.

RangLandPositionenWertAnteil
1US3.0491,9 Mrd. $94,76 %
2JP10421,2 Mio. $1,03 %
3GB6211,5 Mio. $0,56 %
4DE419,9 Mio. $0,48 %
5NL228,3 Mio. $0,40 %
6FR438,2 Mio. $0,40 %
7CH266,4 Mio. $0,31 %
8TW56,3 Mio. $0,31 %
9AU284,6 Mio. $0,23 %
10ES153,7 Mio. $0,18 %
11IT102,9 Mio. $0,14 %
12HK132,7 Mio. $0,13 %

Positionen

RangGesellschaftStückeWertGewicht
2.101Intapp Inc 1.57940.565 $
2.102Red Rock Resorts Inc 76040.554 $
2.103Alignment Healthcare Inc 2.29840.491 $
2.104Ashland Inc 72840.484 $
2.105nCino Inc 2.69740.401 $
2.106Sika AG 2.45040.327 $
2.107Vishay Precision Group Inc 92740.250 $
2.108WisdomTree Trust 81040.249 $
2.109Apollo Commercial Real Estate Finance, Inc. 3.80840.212 $
2.110Simply Good Foods Co/The 2.80140.194 $
2.111First Trust Exchange-Traded Fund VI 27240.112 $
2.112iShares Trust 41939.989 $
2.113Universal Insurance Holdings Inc 1.17039.967 $
2.114Innovex International Inc 1.63539.878 $
2.115Vistance Networks Inc 2.18939.840 $
2.116State Street SPDR Portfolio S& 50239.688 $
2.117Turning Point Brands Inc 45739.663 $
2.118Magnera Corp 4.15639.524 $
2.119Nelnet Inc 30639.462 $
2.120WISDOMTREE TRUST WISDOMTREE CHINA EX-STATE-OWNED ENTERPRISES FUND 75339.382 $
2.121Curbline Properties Corp 1.52639.356 $
2.122Materialise NV 7.96539.347 $
2.123eXp World Holdings Inc 6.55639.270 $
2.124Insteel Industries Inc 1.16739.223 $
2.125iShares International Equity Factor ETF 1.00639.194 $
2.126Nuvalent Inc 38239.136 $
2.127Terawulf Inc 2.70639.048 $
2.128SPDR Series Trust 51039.035 $
2.129Pernod Ricard SA 2.61238.971 $
2.130Deluxe Corp 1.40838.776 $
2.131Karman Holdings Inc 48338.664 $
2.132Applied Digital Corp 1.62838.649 $
2.133First Internet Bancorp 1.89638.640 $
2.134Hilton Grand Vacations Inc 98638.572 $
2.135Criteo SA 2.15138.567 $
2.136CTS Corp 80738.542 $
2.137Makita Corp 1.17638.538 $
2.138American Superconductor Corp 1.12838.183 $
2.139Sabre Corp 26.32038.164 $
2.140Schwab U.S. Large-Cap ETF 1.48137.964 $
2.141Blackbaud Inc 97837.761 $
2.142Innospec Inc 51737.751 $
2.143Vanguard Real Estate ETF 42537.697 $
2.144Embraer SA 63337.562 $
2.145Banco Santander Chile 1.12437.542 $
2.146WisdomTree International SmallCap Dividend Fund 46037.490 $
2.147Hackett Group Inc/The 2.87937.456 $
2.148Alibaba Group Holding Ltd 29837.387 $
2.149Ryan Specialty Holdings Inc 1.10837.384 $
2.150Gitlab Inc 1.72637.351 $
2.151H&R Block Inc 1.17637.326 $
2.152Koppers Holdings Inc 96537.326 $
2.153Kingfisher PLC 4.88637.280 $
2.154Avient Corp 1.02537.208 $
2.155Ralliant Corp 89237.098 $
2.156Bel Fuse Inc 18737.022 $
2.157Grifols SA 4.61036.972 $
2.158Allogene Therapeutics Inc 15.13136.920 $
2.159Sysmex Corp 4.23836.828 $
2.160Eaton Vance Tax-Advantaged Divid Income Fd 1.50036.825 $
2.161Hut 8 Corp 78336.731 $
2.162Santos Ltd 6.63736.703 $
2.163Fox Factory Holding Corp 2.22436.607 $
2.164SentinelOne Inc 2.84236.605 $
2.165Pacer Funds Trust 58536.598 $
2.166Ameresco Inc 1.43436.567 $
2.167American Woodmark Corp 91736.524 $
2.168Riverfront Strategic Income Fund 1.59136.366 $
2.169TruBridge Inc 2.47736.263 $
2.170NextDecade Corp 4.73236.247 $
2.171Diversified Healthcare Trust 5.44836.175 $
2.172Brookdale Senior Living Inc 2.63636.060 $
2.173PubMatic Inc 4.40636.041 $
2.174Twist Bioscience Corp 75836.020 $
2.175Masterbrand Inc 4.32835.966 $
2.176Standard Motor Products Inc 1.03235.852 $
2.177Bandai Namco Holdings Inc 2.92535.831 $
2.178ARMOUR Residential REIT Inc 2.14535.779 $
2.179SkyWater Technology Inc 1.30335.715 $
2.180BJ's Restaurants Inc 1.01235.521 $
2.181Cochlear Ltd 60235.518 $
2.182Pennant Group Inc/The 1.16535.509 $
2.183Postal Realty Trust Inc 1.91335.505 $
2.184Diebold Nixdorf Inc 46935.381 $
2.185Shift4 Payments Inc 80835.334 $
2.186Progyny Inc 2.07935.301 $
2.187Amicus Therapeutics Inc 2.43235.167 $
2.188Cipher Digital Inc 2.73035.135 $
2.189Vestis Corp 4.46835.118 $
2.190Helix Energy Solutions Group Inc 3.54435.050 $
2.191D-Wave Quantum Inc 2.42835.036 $
2.192Upwork Inc 3.18334.886 $
2.193York Water Co/The 1.14534.865 $
2.194Immunome Inc 1.59034.773 $
2.195Zeta Global Holdings Corp 2.18034.706 $
2.196Cracker Barrel Old Country Store Inc 1.23334.660 $
2.197Kerry Group PLC 43634.649 $
2.198Stewart Information Services Corp 56234.608 $
2.199Valvoline Inc 1.02634.556 $
2.200B&G Foods Inc 7.18434.555 $