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
701Healthpeak Properties Inc 38,513632.8K $
702Cigna Group/The 2,363630.3K $
703Select Sector Spdr Trust 5,783630.2K $
704iShares MSCI EAFE ETF 6,488630.1K $
705Whirlpool Corp 11,681629.8K $
706Viavi Solutions Inc 18,881628.4K $
707Brighthouse Financial Inc 10,482627.7K $
708Hilton Grand Vacations Inc 16,016626.5K $
709Hilton Worldwide Holdings Inc 2,056625.2K $
710SPDR Gold Shares 1,452624.8K $
711FormFactor Inc 6,437624.3K $
712Olin Corp 20,915621.8K $
713BILL Holdings Inc 16,218621.1K $
714Planet Labs PBC 22,182620K $
715Simon Property Group Inc 3,322619.7K $
716Sotera Health Co 42,688612.1K $
717General Motors Co 8,107604K $
718Argan Inc 1,108603.5K $
719Moody's Corp 1,373599K $
720Vaxcyte Inc 10,284597.6K $
721iShares ESG Aware MSCI USA Small-Cap ETF 12,677596.1K $
722ESCO Technologies Inc 2,112594.3K $
723Kinder Morgan, Inc. 17,557588.7K $
724PVH Corp 8,438588.6K $
725Semtech Corp 7,626586.4K $
726Jackson Financial Inc 5,534585.1K $
727TransDigm Group Inc 504584.1K $
728Elevance Health Inc 1,989582.3K $
729Sempra 5,981581.2K $
730Fidelity Total Bond ETF 12,714580K $
731L3Harris Technologies Inc 1,674577.8K $
732First Trust Exchange-Traded Fund VIII 22,028576.5K $
733Norfolk Southern Corp 2,008576.3K $
734Doximity Inc 24,651574.4K $
735Sanmina Corp 4,412572K $
736Axsome Therapeutics Inc 3,381571.5K $
737Vanguard High Dividend Yield E 3,855570.9K $
738KKR & Co Inc 6,143568.2K $
739Kenvue Inc 32,898567.2K $
740iShares MSCI USA Min Vol Factor ETF 6,100565.7K $
741Travelers Cos Inc/The 1,939565.6K $
742Kilroy Realty Corp 19,947562.7K $
743Fidelity Covington Trust 14,730559.7K $
744Zurn Elkay Water Solutions Corp 12,459558.7K $
745JBT Marel Corp 4,316551.9K $
746Kyndryl Holdings Inc 41,888549.6K $
747Lumen Technologies Inc 78,806547.7K $
748Clearwater Analytics Holdings Inc 23,063545.4K $
749Shift4 Payments Inc 12,383541.5K $
750Federal Signal Corp 4,979538.4K $
751DigitalOcean Holdings Inc 6,274538.2K $
752Graphic Packaging Holding Co 54,087537.6K $
753Uranium Energy Corp 39,575534.3K $
754Corteva Inc 6,380534.1K $
755Global X Artificial Intelligence & Technology ETF 11,416532.8K $
756iShares MSCI Emerging Markets Min Vol Factor ETF 8,225532.4K $
757IPG Photonics Corp 4,634531K $
758Krystal Biotech Inc 2,055530.8K $
759Select Sector Spdr Trust 6,470530.4K $
760Parsons Corp 9,758528.6K $
761Etsy Inc 10,432521.4K $
762Terreno Realty Corp 8,477520.7K $
763Truist Financial Corp 11,321520.4K $
764MPLX LP 8,983512.7K $
765Installed Building Products Inc 1,923509.9K $
766Brinker International Inc 3,552507.1K $
767Entergy Corp 4,500505.7K $
768Penske Automotive Group Inc 3,380505.4K $
769Scotts Miracle-Gro Co/The 8,233500.6K $
770Essential Properties Realty Trust Inc 16,474500.2K $
771Glaukos Corp 4,634498.9K $
772Protagonist Therapeutics Inc 4,725498K $
773Arthur J Gallagher & Co 2,298497.7K $
774Archrock Inc 14,274496.7K $
775Oklo Inc 9,992495.5K $
776Goodyear Tire & Rubber Co/The 74,274492.4K $
777National Storage Affiliates Trust 12,974489.6K $
778Ciena Corp 1,260489.2K $
779Robinhood Markets Inc 7,055488.9K $
780Allstate Corp/The 2,342485.6K $
781StoneX Group Inc 5,968481.3K $
782JPMorgan Limited Duration Bond ETF 9,218481.1K $
783Phillips Edison & Co Inc 12,752477.2K $
784Euronet Worldwide Inc 7,166475.6K $
785Edwards Lifesciences Corp 5,924474.4K $
786Dominion Energy Inc 7,643472.5K $
787Ryman Hospitality Properties Inc 5,119472.3K $
788Viasat Inc 10,209467.6K $
789Applied Digital Corp 19,692467.5K $
790Apollo Global Management Inc 4,194467.3K $
791Vanguard Tax-Exempt Bond Index ETF 9,362467.1K $
792Magnolia Oil & Gas Corp 14,700464.1K $
793Applied Optoelectronics Inc 5,410457.6K $
794Yum! Brands Inc 2,919453.8K $
795Balchem Corp 2,667452K $
796Avis Budget Group Inc 3,097451.7K $
797BrightSpring Health Services Inc 10,593451.4K $
798Cogent Biosciences Inc 11,713450.8K $
799Calvert Ultra-Short Investment Grade Etf 8,868448.8K $
800Zoetis Inc 3,786447.5K $