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
1,201Oscar Health Inc 16,224186.1K $
1,202Dollar Tree Inc 1,698185.9K $
1,203NetScout Systems Inc 5,845185.8K $
1,204CSG Systems International Inc 2,323185.7K $
1,205Vita Coco Co Inc/The 3,870185.4K $
1,206Bancorp Inc/The 3,438184.7K $
1,207VanEck Gold Miners ETF/USA 2,010184.5K $
1,208BioCryst Pharmaceuticals Inc 19,309183.8K $
1,209VeriSign Inc 740183.8K $
1,210ImmunityBio Inc 23,957183.8K $
1,211Principal Financial Group Inc 2,039183.7K $
1,212Knowles Corp 7,141183.4K $
1,213Equity Residential 3,099183.3K $
1,214DNOW Inc 15,368183K $
1,215Immunome Inc 8,355182.7K $
1,216SPDR Series Trust 1,865182.6K $
1,217Vishay Intertechnology Inc 10,125182.3K $
1,218NBT Bancorp Inc 4,280182.2K $
1,219Corpay Inc 626182.2K $
1,220Leidos Holdings Inc 1,169181.8K $
1,221Huron Consulting Group Inc 1,425181.7K $
1,222General Mills, Inc. 4,875181.4K $
1,223CF Industries Holdings Inc 1,396181.3K $
1,224Chefs' Warehouse Inc/The 3,048181.2K $
1,225First Busey Corp 7,156180.8K $
1,226Upstart Holdings Inc 7,037180.5K $
1,227Customers Bancorp Inc 2,599180.4K $
1,228Newmark Group Inc 12,022180.2K $
1,229Northwest Natural Holding Co 3,383180K $
1,230Helios Technologies Inc 2,772179.4K $
1,231Kinetik Holdings Inc 3,703179.3K $
1,232Edgewise Therapeutics Inc 5,638177.6K $
1,233iShares Trust 3,376177.5K $
1,234SPS Commerce Inc 3,184177.3K $
1,235iShares Trust 4,045176.4K $
1,236Cleanspark Inc 20,692176.1K $
1,237Hub Group Inc 4,853174.9K $
1,238Celldex Therapeutics Inc 5,472173.6K $
1,239Adaptive Biotechnologies Corp 12,485173.3K $
1,240Warby Parker Inc 8,210173K $
1,241Packaging Corp of America 815173K $
1,242Banner Corp 2,848172.8K $
1,243Legence Corp 3,060172.8K $
1,244Snap-on Inc 475172.5K $
1,245Bel Fuse Inc 869172K $
1,246Alarm.com Holdings Inc 3,980171.9K $
1,247Baldwin Insurance Group Inc/The 7,834171.9K $
1,248International Paper Co 4,813171.8K $
1,249State Street Spdr Dow Jones Industrial Average Etf Trust 370171.2K $
1,250KeyCorp 8,496170.3K $
1,251Neogen Corp 18,273169.8K $
1,252Intuitive Machines Inc 9,143169.7K $
1,253ADMA Biologics Inc 18,820169.6K $
1,254International Flavors & Fragrances Inc 2,336169.5K $
1,255National HealthCare Corp 1,061169.4K $
1,256Atkore Inc 2,875169.4K $
1,257Astronics Corp 2,529168.8K $
1,258Evergy Inc 2,060168.8K $
1,259National Vision Holdings Inc 6,513168.7K $
1,260SBA Communications Corp 979168.5K $
1,261Green Brick Partners Inc 2,612168.3K $
1,262Sable Offshore Corp 10,190168.3K $
1,263DuPont de Nemours Inc 3,670168.1K $
1,264Lennar Corp 1,931167.7K $
1,265Benchmark Electronics Inc 2,987167.5K $
1,266Rogers Corp 1,554166.8K $
1,267Extreme Networks Inc 11,031166.3K $
1,268Syndax Pharmaceuticals Inc 7,119166.3K $
1,269ACM Research Inc 4,223166.2K $
1,270ePlus Inc 2,205165.9K $
1,271Enterprise Financial Services Corp 3,066165.9K $
1,272Immunovant Inc 6,671165.7K $
1,273Southwest Airlines Co 4,407165.6K $
1,274Loews Corp 1,550165.4K $
1,275Enerpac Tool Group Corp 4,532165.3K $
1,276Atlanta Braves Holdings Inc 3,858164.7K $
1,277Pathward Financial Inc 1,845164.6K $
1,278Tenable Holdings Inc 9,713164.3K $
1,279Braze Inc 6,929163.6K $
1,280Moderna Inc 3,212163.2K $
1,281Tyson Foods Inc 2,533162.3K $
1,282Kaiser Aluminum Corp 1,344162K $
1,283Insight Enterprises Inc 2,417162K $
1,284Veeco Instruments Inc 4,781161.9K $
1,285Strategic Education Inc 1,951161.9K $
1,286DiamondRock Hospitality Co 17,235161.5K $
1,287West Pharmaceutical Services Inc 644161.4K $
1,288Rush Street Interactive Inc 7,416161.3K $
1,289Estee Lauder Cos Inc/The 2,243161K $
1,290Weyerhaeuser Co 6,577160.7K $
1,291Zimmer Biomet Holdings Inc 1,774160.4K $
1,292CoreCivic Inc 8,449159.8K $
1,293Agios Pharmaceuticals Inc 4,719159.6K $
1,294DFA Dimensional National Municipal Bond ETF 3,326159.4K $
1,295Amprius Technologies Inc 9,425158.9K $
1,296Talos Energy Inc 10,061158.6K $
1,297Global Net Lease Inc 16,736156.6K $
1,298Amneal Pharmaceuticals Inc 12,572156.3K $
1,299H2O America 2,661156.1K $
1,300PTC Inc 1,092155.6K $