Titelia

Holdings of WEDGE CAPITAL MANAGEMENT L L P/NC

482 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 12.6 % of the equity sleeve

Sector breakdown

  • Technology 18.4 %
  • Financials 7.9 %
  • Health care 7.6 %
  • Industrials 7.5 %
  • Consumer discretionary 5.6 %
  • Communication 2.6 %
  • Energy 2.4 %
  • Utilities 2.0 %
  • Materials 1.3 %
  • Consumer staples 0.9 %
  • Real estate 0.1 %
  • Unattributed 43.6 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • US 99.4 %
  • GB 0.6 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US4794.8B $99.38 %
2GB329.8M $0.62 %

Positions

RankCompanySharesValueWeight
201CONMED Corp 114,4214M $
202Molson Coors Beverage Co 93,6814M $
203Conagra Brands Inc 255,7744M $
204UnitedHealth Group Inc 14,8284M $
205CNX Resources Corp 103,8824M $
206Republic Services Inc 17,4603.8M $
207SOUTHSTATE BANK CORP 40,2353.7M $
208Community Trust Bancorp Inc 60,3923.7M $
209LKQ Corp 124,5533.7M $
210Supernus Pharmaceuticals Inc 69,6433.6M $
211Corebridge Financial Inc 149,0243.6M $
212Matador Resources Co 55,4263.5M $
213Equitable Holdings Inc 94,2973.5M $
214Amazon.com Inc 16,7803.5M $
215Bath & Body Works Inc 186,1223.5M $
216Global Payments Inc 51,2153.4M $
217Reinsurance Group of America Inc 16,8463.4M $
218Southwest Gas Holdings Inc 39,5073.4M $
219Air Products and Chemicals Inc 11,8183.4M $
220Helmerich & Payne Inc 95,2503.4M $
221Zimmer Biomet Holdings Inc 37,6633.4M $
222FNB Corp/PA 203,5283.4M $
223Ecovyst Inc 256,5833.3M $
224SM Energy Co 103,5783.2M $
225OSI Systems Inc 12,0943.2M $
226Prestige Consumer Healthcare Inc 54,0343.2M $
227Valmont Industries Inc 8,0013.2M $
228Moog Inc 10,7153.1M $
229RingCentral Inc 84,2763.1M $
230Lowe's Cos Inc 13,2343.1M $
231Alamo Group Inc 18,9273.1M $
232QCR Holdings Inc 36,4443.1M $
233Photronics Inc 76,0833.1M $
234Blue Bird Corp 54,0933.1M $
235Cathay General Bancorp 61,5183.1M $
236Dolby Laboratories Inc 50,5203M $
237Mohawk Industries Inc 29,8942.9M $
238H&R Block Inc 92,3042.9M $
239EnerSys 16,6262.9M $
240Diamondback Energy Inc 14,4002.8M $
241Quanex Building Products Corp 157,2822.8M $
242AdaptHealth Corp 236,6892.8M $
243Benchmark Electronics Inc 50,0812.8M $
244United Natural Foods Inc 62,2392.8M $
245Hancock Whitney Corp 44,0462.8M $
246Pediatrix Medical Group Inc 130,8602.8M $
247ServisFirst Bancshares Inc 37,5162.7M $
248COPT Defense Properties 89,1902.7M $
249Magnolia Oil & Gas Corp 85,9252.7M $
250Spectrum Brands Holdings Inc 36,6492.7M $
251Marriott Vacations Worldwide Corp 40,1272.6M $
252Wintrust Financial Corp 18,8002.6M $
253Olin Corp 87,7472.6M $
254ScanSource Inc 71,2222.6M $
255German American Bancorp Inc 61,8522.6M $
256Adeia Inc 107,0512.6M $
257Deluxe Corp 93,0632.6M $
258Janus International Group Inc 490,8482.5M $
259Northern Trust Corp 18,0332.5M $
260Euronet Worldwide Inc 37,7092.5M $
261Teradata Corp 97,4302.5M $
262Harmony Biosciences Holdings Inc 88,9992.5M $
263Penguin Solutions Inc 140,8782.5M $
264CSG Systems International Inc 30,8222.5M $
265First Interstate BancSystem Inc 73,2812.4M $
266National Vision Holdings Inc 94,4322.4M $
267MGIC Investment Corp 92,9762.4M $
268DXC Technology Co 193,9222.4M $
269Ziff Davis Inc 58,0592.4M $
270UMH Properties Inc 167,4102.4M $
271Sanmina Corp 18,5202.4M $
272G-III Apparel Group Ltd 86,0072.4M $
273NetScout Systems Inc 74,2432.4M $
274Collegium Pharmaceutical Inc 71,3532.4M $
275Greenbrier Cos Inc/The 44,7952.4M $
276Stifel Financial Corp 31,6072.3M $
277Cboe Global Markets Inc 8,3052.3M $
278AZZ Inc 18,6032.3M $
279ACI Worldwide Inc 56,6932.3M $
280OceanFirst Financial Corp 128,4512.3M $
281Kimball Electronics Inc 97,2392.3M $
282Cracker Barrel Old Country Store Inc 81,7222.3M $
283Customers Bancorp Inc 33,0342.3M $
284Highwoods Properties Inc 106,8792.3M $
285Herc Holdings Inc 22,9072.3M $
286First Mid Bancshares Inc 55,0302.3M $
287Scotts Miracle-Gro Co/The 37,1092.3M $
288Magnite Inc 189,7672.3M $
289Pitney Bowes Inc 203,3322.2M $
290ICU Medical Inc 17,3272.2M $
291Tompkins Financial Corp 28,3342.2M $
292Core Natural Resources Inc 21,2602.2M $
293Commerce Bancshares Inc/MO 45,2202.2M $
294Andersons Inc/The 30,7842.2M $
295Bioventus Inc 241,8262.2M $
296EOG Resources Inc 15,1992.2M $
297Union Pacific Corp 9,0112.2M $
298Douglas Dynamics Inc 51,3962.2M $
299Texas Capital Bancshares Inc 22,7142.2M $
300Tennant Co 32,3102.1M $