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
2,001SandRidge Energy Inc 2,58242.1K $
2,002Udemy Inc 9,10342.1K $
2,003Hingham Institution For Savings The 14742K $
2,004Bandwidth Inc 2,35542K $
2,005Postal Realty Trust Inc 2,25841.9K $
2,006Bloomin' Brands Inc 7,73741.8K $
2,007Sinclair Inc 3,22841.8K $
2,008Cardinal Infrastructure Group Inc 1,04941.6K $
2,009Northrim BanCorp Inc 1,81641.6K $
2,010Clean Energy Fuels Corp 16,73541.5K $
2,011ACNB Corp 86641.5K $
2,012LSI Industries Inc 2,22441.4K $
2,013AMC Entertainment Holdings Inc 41,96441.1K $
2,014ASP Isotopes Inc 9,30341.1K $
2,015Rumble Inc 8,04441K $
2,016Northfield Bancorp Inc 3,02641K $
2,017Flowco Holdings Inc 1,98640.9K $
2,018Park Aerospace Corp 1,49440.9K $
2,019Varex Imaging Corp 3,85540.9K $
2,020Vital Farms Inc 2,89440.9K $
2,021Third Coast Bancshares Inc 1,07540.7K $
2,022Willis Lease Finance Corp 23840.5K $
2,023Global Industrial Co 1,28540.5K $
2,024Community Healthcare Trust Inc 2,53840.3K $
2,025Ridgepost Capital Inc 5,55440.3K $
2,026Navan Inc 3,03640.2K $
2,027Kura Sushi USA Inc 57540.1K $
2,028Chiron Real Estate Inc 1,21240.1K $
2,029Orthofix Medical Inc 3,49440.1K $
2,030SI-BONE Inc 3,17340.1K $
2,031Phreesia Inc 4,78240.1K $
2,032Monro Inc 2,49740.1K $
2,033LendingTree Inc 93440.1K $
2,034Malibu Boats Inc 1,54440K $
2,035BETA TECHNOLOGIES INC 2,72240K $
2,036Nutex Health Inc 42140K $
2,037Rigel Pharmaceuticals Inc 1,47239.8K $
2,038Columbia Financial Inc 2,27339.8K $
2,039Kearny Financial Corp/MD 5,24439.6K $
2,040First Trust Exchange-Traded Fund VIII 70039.6K $
2,041Anterix Inc 1,03339.5K $
2,042Saul Centers Inc 1,20739.3K $
2,043Cable One Inc 43139.3K $
2,044Mativ Holdings Inc 4,51539.3K $
2,045ARS Pharmaceuticals Inc 4,88839.3K $
2,046Phathom Pharmaceuticals Inc 3,52739.2K $
2,047El Pollo Loco Holdings Inc 2,82339.1K $
2,048Tiptree Inc 2,31139.1K $
2,049Cars.com Inc 4,81039.1K $
2,050MiMedx Group Inc 9,88739.1K $
2,051Greif Inc 44639K $
2,052Brandywine Realty Trust 14,39239K $
2,053Hippo Holdings Inc 1,49639K $
2,054Tejon Ranch Co 2,06638.9K $
2,055Build-A-Bear Workshop Inc 1,03938.9K $
2,056Cooper-Standard Holdings Inc 1,39638.9K $
2,057Unity Bancorp Inc 74838.8K $
2,058First Trust Exchange-Traded Fund VIII 92538.8K $
2,059Home Bancorp Inc 63838.7K $
2,060Sana Biotechnology Inc 13,41138.6K $
2,061Ceribell Inc 2,10438.6K $
2,062LB Pharmaceuticals Inc 1,56238.5K $
2,063Consensus Cloud Solutions Inc 1,62238.5K $
2,064Firstsun Capital Bancorp 1,05338.4K $
2,065HeartFlow Inc 1,57638.3K $
2,066Satellogic Inc 7,03838.3K $
2,067Intrepid Potash Inc 89538.3K $
2,068Solid Power Inc 12,74838.2K $
2,069Summit Hotel Properties Inc 8,64338.2K $
2,070Covenant Logistics Group Inc 1,40638.2K $
2,071Red River Bancshares Inc 42238.2K $
2,072Emergent BioSolutions Inc 4,56037.8K $
2,073Ambiq Micro Inc 1,48237.7K $
2,074ZENAS BIOPHARMA INC 1,92437.6K $
2,075Fulcrum Therapeutics Inc 4,89837.6K $
2,076Chatham Lodging Trust 4,75637.4K $
2,077Midland States Bancorp Inc 1,67437.3K $
2,078Dakota Gold Corp 7,39337.3K $
2,079Heartland Express Inc 3,55937K $
2,080CEVA Inc 1,97836.9K $
2,081AH Realty Trust Inc 6,68636.8K $
2,082iShares Trust 31036.8K $
2,083iShares Trust 31036.7K $
2,084JADE BIOSCIENCES INC 2,60836.6K $
2,085Community Health Systems Inc 12,40036.5K $
2,086Aveanna Healthcare Holdings Inc 5,64936.4K $
2,087OPKO Health, Inc. 31,88936.4K $
2,088NerdWallet Inc 3,49936.3K $
2,089International Money Express Inc 2,29236.2K $
2,090Calavo Growers Inc 1,39736K $
2,091Anteris Technologies Global Corp 6,49136K $
2,092Bowhead Specialty Holdings Inc 1,60235.9K $
2,093EverQuote Inc 2,31935.8K $
2,094Capital Bancorp Inc 1,19535.5K $
2,095Grid Dynamics Holdings Inc 6,22935.5K $
2,096Solid Biosciences Inc 4,92635.5K $
2,097Gray Media Inc 8,17035.5K $
2,098Farmland Partners Inc 3,15635.4K $
2,099CryoPort Inc 4,25935.3K $
2,100Dream Finders Homes Inc 2,52335.1K $