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
601ExlService Holdings Inc 29,085885.6K $
602Williams Cos Inc/The 12,062877.9K $
603UiPath Inc 78,886875.6K $
604Paylocity Holding Corp 8,073872.2K $
605Avantis Emerging Markets Equity ETF 10,809871K $
606Exponent Inc 13,233863.5K $
607iShares ESG Optimized MSCI USA ETF 6,534863.1K $
608Buckle Inc/The 17,117862K $
609Equinix Inc 879861.6K $
610Grand Canyon Education Inc 5,064861K $
611Vertiv Holdings Co 3,431859.7K $
612Fortune Brands Innovations Inc 22,017858K $
613KBR Inc 23,273857.8K $
614Vanguard Russell 1000 2,876848.7K $
615Huntington Ingalls Industries, Inc. 2,232847.9K $
616Vail Resorts Inc 6,589845.5K $
617Sandisk Corp/DE 1,330845K $
618Blackstone Inc 7,314841K $
619Jabil Inc 3,162839.9K $
620Qualys Inc 9,540838.1K $
621Boston Scientific Corp 13,268832.6K $
622GoDaddy Inc 10,049830.8K $
623Howmet Aerospace Inc 3,599829.4K $
624CH Robinson Worldwide Inc 4,991828.9K $
625Mattel Inc 56,960827.6K $
626Marsh & McLennan Cos Inc 4,711817.2K $
627CVS Health Corp 11,366816.3K $
628Travel + Leisure Co 11,789815.7K $
629Zscaler Inc 5,810815.1K $
630IonQ Inc 28,254814.6K $
631iShares 5-10 Year Investment Grade Corporate Bond ETF 15,021799.4K $
632Wingstop Inc 5,119793.3K $
633Valvoline Inc 23,454789.9K $
634Science Applications International Corp 8,313789.1K $
635Motorola Solutions Inc 1,813786.8K $
636SLM Corp 36,697785.7K $
637Bank of New York Mellon Corp/The 6,602783.2K $
638Thor Industries Inc 9,734777.6K $
639Alaska Air Group Inc 21,119776.8K $
640Waste Management Inc 3,380776.7K $
641Polaris Inc 14,250776.6K $
642MSC Industrial Direct Co Inc 8,384773.6K $
643Select Sector Spdr Trust 4,777772.5K $
644Vornado Realty Trust 29,596769.2K $
645Post Holdings Inc 7,776768.7K $
646Crocs Inc 9,254768.3K $
647Federated Hermes Inc 13,544768.1K $
648CoStar Group Inc 19,030767.7K $
649Envista Holdings Corp 30,134764.5K $
650ARM Holdings PLC 5,046763.4K $
651Waystar Holding Corp 31,607762K $
652Schwab Emerging Markets Equity ETF 23,119761.8K $
653State Street SPDR Portfolio S& 9,630761.3K $
654Nordson Corp 2,843756.4K $
655Freeport-McMoRan Inc 12,852755.4K $
656ONEOK Inc 8,322752.2K $
657Hamilton Lane Inc 7,494744.9K $
658Universal Display Corp 8,103742.7K $
659H&R Block Inc 23,352741.2K $
660Bruker Corp 20,328734.2K $
661Madrigal Pharmaceuticals Inc 1,400732.9K $
662First Trust Exchange-Traded Fund VIII 28,360730.1K $
663Charles River Laboratories International Inc 4,219727.8K $
664Dropbox Inc 31,966726.3K $
665Assurant Inc 3,331725.5K $
666Duolingo Inc 7,334722.9K $
667Allegro MicroSystems Inc 22,731716.7K $
668Morningstar Inc 4,229714.9K $
669Pegasystems Inc 16,797714.9K $
670Ryan Specialty Holdings Inc 21,011708.9K $
671Appfolio Inc 4,483707.5K $
672Sysco Corp 9,899706.1K $
673iShares ESG Aware U.S. Aggregate Bond ETF 14,841705.7K $
674Haemonetics Corp 12,493704.1K $
675Cummins Inc 1,306702.6K $
676VanEck ETF Trust 15,119702K $
677EPR Properties 13,954697.1K $
678Brady Corp 8,575696.6K $
679A O Smith Corp 10,558696.2K $
680Expand Energy Corp 6,311692.8K $
681Warner Music Group Corp 27,074691.5K $
682VANGUARD ADMIRAL FDS INC 6,038690.3K $
683Veralto Corp 7,727683.2K $
684Praxis Precision Medicines Inc 2,113680.8K $
685Globe Life Inc 4,888680.3K $
686Genuine Parts Co 6,428679.8K $
687HCA Healthcare Inc 1,435679.1K $
688Dolby Laboratories Inc 11,213673.5K $
689United Parcel Service Inc 6,826671.6K $
690Camden Property Trust 6,812665.3K $
691Visteon Corp 7,297664.8K $
692Marathon Petroleum Corp 2,695658.1K $
693Air Products and Chemicals Inc 2,250653.7K $
694Select Sector Spdr Trust 13,187651K $
695SPDR Series Trust 2,548647.1K $
696Vanguard Value ETF 3,291645.8K $
697iShares Trust 12,837642.4K $
698State Street Utilities Select Sector SPDR ETF 13,962640.7K $
699SM Energy Co 20,412636.4K $
700Primoris Services Corp 4,431633.8K $