Titelia

Holdings of Ameritas Investment Partners, Inc.

2855 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 20.7 % of the equity sleeve

Sector breakdown

  • Technology 19.8 %
  • Communication 6.2 %
  • Consumer discretionary 5.9 %
  • Industrials 5.1 %
  • Health care 4.7 %
  • Funds 4.3 %
  • Financials 4.1 %
  • Consumer staples 3.7 %
  • Utilities 1.5 %
  • Energy 1.5 %
  • Materials 1.2 %
  • Real estate 0.4 %
  • Unattributed 41.8 %

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 99.8 %
  • NL 0.1 %
  • KY 0.1 %
  • GB 0.0 %
  • JP 0.0 %
  • TW 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2,8463B $99.76 %
2NL24.2M $0.14 %
3KY12.5M $0.08 %
4GB4776K $0.03 %
5JP1206 $0.00 %
6TW118 $0.00 %

Positions

RankCompanySharesValueWeight
1,101United Natural Foods Inc 5,010225.8K $
1,102LXP Industrial Trust 4,874225.5K $
1,103WD-40 Co 1,105225.4K $
1,104Delek US Holdings Inc 4,990224.9K $
1,105Denali Therapeutics Inc 11,654223.8K $
1,106Ideaya Biosciences Inc 6,710223.6K $
1,107nLight Inc 3,896222.2K $
1,108SL Green Realty Corp 6,007221.9K $
1,109SPDR Series Trust 4,589221.7K $
1,110Concentrix Corp 8,101221.6K $
1,111DigitalBridge Group Inc 14,321220.8K $
1,112Phinia Inc 3,220220.4K $
1,113Trinity Industries Inc 6,843220.2K $
1,114Cargurus Inc 6,467220.2K $
1,115California Water Service Group 4,856220.2K $
1,116Qnity Electronics Inc 1,908220.1K $
1,117Live Nation Entertainment Inc 1,438219.3K $
1,118ON Semiconductor Corp 3,533218.8K $
1,119Remitly Global Inc 13,956218.7K $
1,120Adeia Inc 9,086218.3K $
1,121Red Rock Resorts Inc 4,083217.9K $
1,122Dimensional International Value ETF 4,121217.5K $
1,123Fidelity National Information Services Inc 4,635217.4K $
1,124Ingevity Corp 3,048217.1K $
1,125Broadridge Financial Solutions Inc 1,334216.8K $
1,126American Eagle Outfitters Inc 12,954216.3K $
1,127Acushnet Holdings Corp 2,307215.7K $
1,128Apple Hospitality REIT Inc 18,721215.5K $
1,129Solaris Energy Infrastructure Inc 3,790214.2K $
1,130State Street SPDR Portfolio S& 4,694213.7K $
1,131Omnicom Group Inc 2,832213.3K $
1,132Urban Edge Properties 10,634212.5K $
1,133Synchrony Financial 3,117212K $
1,134AvalonBay Communities, Inc. 1,296211.7K $
1,135Cheesecake Factory Inc/The 3,866211.7K $
1,136CMS Energy Corp 2,728211.6K $
1,137Veracyte Inc 6,549210.9K $
1,138Acadia Realty Trust 11,032210.9K $
1,139Arcutis Biotherapeutics Inc 8,948210.8K $
1,140Centuri Holdings Inc 7,214210.7K $
1,141SoundHound AI Inc 30,613210.3K $
1,142Curbline Properties Corp 8,137209.9K $
1,143Beacon Financial Corp 6,966209K $
1,144Dynex Capital Inc 16,354208.7K $
1,145Ulta Beauty Inc 398208K $
1,146Four Corners Property Trust Inc 8,781207.7K $
1,147PennyMac Financial Services Inc 2,375207.6K $
1,148Calumet Inc 5,763206.9K $
1,149Varonis Systems Inc 9,605206.2K $
1,150CVB Financial Corp 10,549204.5K $
1,151Ares Management Corp 1,870204K $
1,152Vera Therapeutics Inc 5,061203.6K $
1,153Steven Madden Ltd 6,000203.5K $
1,154Concentra Group Holdings Parent Inc 9,487203.5K $
1,155Regions Financial Corp 7,784203.3K $
1,156Park National Corp 1,240202.7K $
1,157PulteGroup Inc 1,723202.6K $
1,158Darden Restaurants Inc 1,033202.5K $
1,159Liquidia Corp 5,365202.5K $
1,160Labcorp Holdings Inc 757202K $
1,161Alpha Metallurgical Resources Inc 978200.8K $
1,162First Merchants Corp 5,162199.9K $
1,163St Joe Co/The 3,183199.9K $
1,164Travere Therapeutics Inc 6,697199K $
1,165Hawaiian Electric Industries Inc 13,396198.8K $
1,166InvenTrust Properties Corp 6,522198.7K $
1,167Mercury General Corp 2,249198.2K $
1,168Church & Dwight Co Inc 2,123198.1K $
1,169Dyne Therapeutics Inc 10,907197.7K $
1,170Privia Health Group Inc 9,611197.7K $
1,171Photronics Inc 4,862196.5K $
1,172Andersons Inc/The 2,736196.4K $
1,173WaFd Inc 6,235195.8K $
1,174Madison Square Garden Entertainment Corp 3,314195.2K $
1,175Equifax Inc 1,080194.5K $
1,176RXO Inc 13,202193K $
1,177First Solar Inc 978192.9K $
1,178Albemarle Corp 1,073192.6K $
1,179HNI Corp 5,765192.5K $
1,180Perdoceo Education Corp 5,142191.3K $
1,181Verra Mobility Corp 13,351190.8K $
1,182ABM Industries Inc 4,948190.6K $
1,183iShares Trust 2,308190.6K $
1,184Artisan Partners Asset Management Inc 5,232190.4K $
1,185Beam Therapeutics Inc 7,988190.4K $
1,186LeMaitre Vascular Inc 1,743190.3K $
1,18710X Genomics Inc 8,961190.2K $
1,188Trustmark Corp 4,513190.2K $
1,189Tango Therapeutics Inc 9,089190.1K $
1,190First Bancorp/Southern Pines NC 3,374190.1K $
1,191GEO Group Inc/The 11,309190.1K $
1,192Humana Inc 1,096190K $
1,193FB Financial Corp 3,655189.8K $
1,194BancFirst Corp 1,745189.3K $
1,195Constellation Brands Inc 1,259188.9K $
1,196Banc of California Inc 10,730188.6K $
1,197ArcBest Corp 1,907187.6K $
1,198Minerals Technologies Inc 2,640187.2K $
1,199NetApp Inc 1,824186.8K $
1,200Vanguard Growth ETF 427186.3K $