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
301Ethan Allen Interiors Inc 95,9772.1M $
302Rhythm Pharmaceuticals Inc 24,5352.1M $
303Affiliated Managers Group Inc 7,7022.1M $
304Lindblad Expeditions Holdings Inc 122,4462.1M $
305Metallus Inc 126,8192.1M $
306NETSTREIT Corp 109,6332.1M $
307HF Sinclair Corp 33,0352.1M $
308Belden Inc 17,9002.1M $
309Q2 Holdings Inc 43,0462M $
310LSI Industries Inc 109,3362M $
311Ennis Inc 94,6522M $
312Meritage Homes Corp 32,7132M $
313California Water Service Group 44,5652M $
314Boise Cascade Co 26,4872M $
315MGE Energy Inc 25,9032M $
316YETI Holdings Inc 54,6972M $
317Diageo PLC 26,8322M $
318Broadcom Inc 6,3682M $
319Dorman Products Inc 18,7642M $
320Cal-Maine Foods Inc 24,6452M $
321East West Bancorp Inc 18,1851.9M $
322Ironwood Pharmaceuticals Inc 540,4921.9M $
323IPG Photonics Corp 16,4561.9M $
324Cannae Holdings Inc 165,5111.9M $
325Northwest Natural Holding Co 35,2971.9M $
326Waste Management Inc 8,0991.9M $
327Diodes Inc 27,1841.9M $
328Ralliant Corp 44,6061.9M $
329Boston Beer Co Inc/The 8,0281.8M $
330Clearwater Paper Corp 128,1501.8M $
331Blackbaud Inc 46,9781.8M $
332Avient Corp 49,7161.8M $
333Jefferies Financial Group Inc 43,6421.8M $
334WSFS Financial Corp 27,3891.8M $
335Perdoceo Education Corp 47,4991.8M $
336Advance Auto Parts Inc 33,4171.8M $
337PBF Energy Inc 36,7411.7M $
338F&G Annuities & Life Inc 68,9451.7M $
339Nexstar Media Group Inc 9,5401.7M $
340Capital Bancorp Inc 57,3781.7M $
341ICF International Inc 26,1021.7M $
342Minerals Technologies Inc 23,9311.7M $
343Meta Platforms Inc 2,9441.7M $
344Savara Inc 307,9981.7M $
345Progress Software Corp 65,4411.7M $
346Greif Inc 24,8341.7M $
347ProPetro Holding Corp 113,2801.6M $
348EPR Properties 32,5321.6M $
349ABM Industries Inc 41,9621.6M $
350TriNet Group Inc 44,2041.6M $
351Sylvamo Corp 38,0201.6M $
352Credit Acceptance Corp 3,7911.6M $
353Strategic Education Inc 19,2481.6M $
354Home BancShares Inc/AR 58,9541.6M $
355Innospec Inc 21,4731.6M $
356ANI Pharmaceuticals Inc 20,2901.6M $
357Edgewell Personal Care Co 72,0151.5M $
358LSB Industries Inc 102,7761.5M $
359Enovis Corp 67,0911.5M $
360Ryerson Holding Corp 67,7801.5M $
361World Kinect Corp 65,9281.5M $
362Bread Financial Holdings Inc 19,6201.5M $
363Virtu Financial Inc 33,3151.5M $
364Iridium Communications Inc 52,8041.5M $
365Unitil Corp 27,7081.4M $
366Helix Energy Solutions Group Inc 146,1021.4M $
367Mission Produce Inc 104,8331.4M $
368Gibraltar Industries Inc 35,8621.4M $
369American Public Education Inc 24,9041.4M $
370Apogee Enterprises Inc 41,9481.4M $
371American Woodmark Corp 35,1431.4M $
372Tarsus Pharmaceuticals Inc 19,7041.4M $
373Columbia Sportswear Co 24,5321.3M $
374Exxon Mobil Corp 7,8281.3M $
375Tesla Inc 3,5511.3M $
376RPC Inc 185,2281.3M $
377Interface Inc 51,9361.3M $
378First Financial Bancorp 45,8521.3M $
379Federated Hermes Inc 22,2971.3M $
380Worthington Steel Inc 41,4201.3M $
381Donnelley Financial Solutions Inc 26,1591.2M $
382Victory Capital Holdings Inc 18,6821.2M $
383Nu Skin Enterprises Inc 166,5731.2M $
384Trustmark Corp 27,5001.2M $
385Nelnet Inc 8,9271.2M $
386First Merchants Corp 29,3231.1M $
387Alpha Metallurgical Resources Inc 5,4821.1M $
388Pathward Financial Inc 12,5941.1M $
389MasterCraft Boat Holdings Inc 54,3071.1M $
390Northern Oil & Gas Inc 37,9261.1M $
391Northwest Bancshares Inc 86,4821.1M $
392Walmart Inc 8,7701.1M $
393Oil States International Inc 90,5261.1M $
394Envista Holdings Corp 40,2511M $
395Delek US Holdings Inc 22,4881M $
396Peoples Bancorp Inc/OH 29,351964.8K $
397American Coastal Insurance Corp 83,776942.5K $
398Byline Bancorp Inc 29,499931.3K $
399Talos Energy Inc 59,076931K $
400QuidelOrtho Corp 56,182923.1K $