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
2,4018x8 Inc 11,16718.5K $
2,402Oncology Institute Inc/The 6,02618.5K $
2,403CoastalSouth Bancshares Inc 75218.5K $
2,404Biglari Holdings Inc 5618.5K $
2,405Eledon Pharmaceuticals Inc 5,98418.4K $
2,406EVgo Inc 10,71018.4K $
2,407Ribbon Communications Inc 8,66318.4K $
2,408Utah Medical Products Inc 29618.3K $
2,409RxSight Inc 2,93618.1K $
2,410LINKBANCORP Inc 2,16818.1K $
2,411Oak Valley Bancorp 55618K $
2,412Viant Technology Inc 1,60217.9K $
2,413Norwood Financial Corp 60917.9K $
2,414Arcturus Therapeutics Holdings Inc 2,31717.9K $
2,415Better Home & Finance Holding Co 50117.8K $
2,416Commerce.com Inc 6,67917.8K $
2,417Lumexa Imaging Holdings Inc 2,07217.8K $
2,418iShares ESG Aware MSCI EAFE ETF 18517.7K $
2,419Cricut Inc 4,71817.6K $
2,420Alector Inc 8,17517.6K $
2,421Meridian Corp 92617.6K $
2,422Service Properties Trust 12,91717.5K $
2,423Peoples Bancorp of North Carolina Inc 44617.5K $
2,424iShares iBoxx USD Investment Grade Corporate Bond ETF 16017.4K $
2,425Anika Therapeutics Inc 1,20217.4K $
2,426Invesco S&P 500 BuyWrite ETF 79217.4K $
2,427National Bankshares Inc 47717.4K $
2,428Quad/Graphics Inc 2,61217.3K $
2,429Black Rock Coffee Bar Inc 1,33017.2K $
2,430Protara Therapeutics Inc 3,29817.2K $
2,431EverCommerce Inc 1,50017.1K $
2,432908 Devices Inc 2,79517.1K $
2,433US Gold Corp 1,12417.1K $
2,434Tredegar Corp 2,14517.1K $
2,435Ohio Valley Banc Corp 38817K $
2,436FVCBankcorp Inc 1,12017K $
2,437Octave Specialty Group Inc 3,64817K $
2,438BV Financial Inc 88416.9K $
2,439Accendra Health Inc 7,38116.8K $
2,440M-Tron Industries Inc 25116.8K $
2,441NET Lease Office Properties 1,45516.8K $
2,442Frontier Group Holdings Inc 4,74316.7K $
2,443Legacy Housing Corp 81916.7K $
2,444Entravision Communications Corp 5,61816.7K $
2,445Falcon's Beyond Global Inc 1,18316.7K $
2,446National Research Corp 98216.7K $
2,447Fidelity D&D Bancorp Inc 38516.7K $
2,448Park-Ohio Holdings Corp 69316.7K $
2,449CapsoVision Inc 2,27916.6K $
2,450Coherus Oncology Inc 9,81916.6K $
2,451Innventure Inc 4,23816.6K $
2,452First Capital Inc 33316.5K $
2,453Electromed Inc 70416.5K $
2,454Cadiz Inc 3,34916.4K $
2,455Monopar Therapeutics Inc 30016.4K $
2,456Kingstone Cos Inc 1,12816.4K $
2,457Eagle Financial Services Inc 46916.4K $
2,458Seaport Entertainment Group Inc 76216.4K $
2,459CB Financial Services Inc 47616.3K $
2,460First Internet Bancorp 79516.2K $
2,461First Trust Exchange-Traded Fund VIII 29516.1K $
2,462MicroVision Inc 25,04716.1K $
2,463OP Bancorp 1,20316K $
2,464Foghorn Therapeutics Inc 3,34316K $
2,465Playtika Holding Corp 5,74316K $
2,466AerSale Corp 2,56616K $
2,467Conduent Inc 12,45815.9K $
2,468MainStreet Bancshares Inc 71815.9K $
2,469FIDELITY COVINGTON TRUST 7715.9K $
2,470Paysign Inc 2,69615.9K $
2,471Holley Inc 5,17715.9K $
2,472Energy Services of America Corp 1,20715.8K $
2,473Palladyne AI Corp 2,60715.8K $
2,474Hamilton Beach Brands Holding Co 83515.8K $
2,475NACCO Industries Inc 30415.8K $
2,476Designer Brands Inc 2,77115.8K $
2,477Oportun Financial Corp 3,41815.8K $
2,478Benitec Biopharma Inc 1,47715.7K $
2,479AlTi Global Inc 4,34515.7K $
2,480Medallion Financial Corp. 1,83515.7K $
2,481BRT Apartments Corp 1,17615.7K $
2,482BLACKROCK MUNIHOLDINGS CALIF QUALITY FD INC 1,50115.6K $
2,483Eagle Bancorp Montana Inc 75615.6K $
2,484Chemung Financial Corp 28915.6K $
2,485Byrna Technologies Inc 1,69415.6K $
2,486Protalix BioTherapeutics Inc 7,11915.4K $
2,487Backblaze Inc 4,47515.4K $
2,488Concrete Pumping Holdings Inc 2,14515.3K $
2,489Chicago Atlantic Real Estate Finance Inc 1,35215.3K $
2,490Acme United Corp 33915.2K $
2,491OmniAb Inc 9,65215.2K $
2,492Vuzix Corp 6,55715.1K $
2,493Jack in the Box Inc 1,56615.1K $
2,494Voyager Therapeutics Inc 3,92315.1K $
2,495Ranpak Holdings Corp 4,23315.1K $
2,496Pure Cycle Corp 1,50215.1K $
2,497Acacia Research Corp 3,13915.1K $
2,498Reservoir Media Inc 1,53415K $
2,499USCB Financial Holdings Inc 80815K $
2,500Security National Financial Corp 1,57815K $