Titelia

Holdings of MassMutual Private Wealth & Trust, FSB

2101 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 31.4 % of the equity sleeve

Sector breakdown

  • Technology 19.5 %
  • Financials 9.9 %
  • Consumer discretionary 7.2 %
  • Health care 7.0 %
  • Communication 6.9 %
  • Industrials 6.8 %
  • Consumer staples 4.3 %
  • Funds 3.4 %
  • Utilities 1.6 %
  • Energy 1.6 %
  • Materials 1.2 %
  • Real estate 0.5 %
  • Unattributed 30.1 %

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 100.0 %
  • IL 0.0 %
  • BM 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2,0993.5B $100.00 %
2IL153.1K $0.00 %
3BM124.3K $0.00 %

Positions

RankCompanySharesValueWeight
1,201Gentex Corp 47210.3K $
1,202Recursion Pharmaceuticals Inc 3,35910.3K $
1,203EZCORP Inc 40610.3K $
1,204Group 1 Automotive Inc 3110.3K $
1,205Brighthouse Financial Inc 17110.2K $
1,206ANI Pharmaceuticals Inc 13310.2K $
1,207Cactus Inc 21510.2K $
1,208VF Corp 59910.2K $
1,209Casella Waste Systems Inc 12810.2K $
1,210Alico Inc 24610.2K $
1,211Itron Inc 11310.1K $
1,212Sanmina Corp 7810.1K $
1,213American Homes 4 Rent 36110.1K $
1,214Heritage Financial Corp/WA 38310K $
1,215Douglas Emmett Inc 1,0539.9K $
1,216Brady Corp 1229.9K $
1,217TransUnion 1439.9K $
1,218Celanese Corp 1509.9K $
1,219DiamondRock Hospitality Co 1,0499.8K $
1,220Ideaya Biosciences Inc 2959.8K $
1,221Reddit Inc 739.8K $
1,222Heartland Express Inc 9459.8K $
1,223Eastern Bankshares Inc 5009.8K $
1,224First Financial Bankshares Inc 3319.7K $
1,225Northwest Natural Holding Co 1829.7K $
1,226CNA Financial Corp 2109.6K $
1,227Grid Dynamics Holdings Inc 1,6789.6K $
1,228Dolby Laboratories Inc 1599.6K $
1,229Axos Financial Inc 1129.5K $
1,230Liquidia Corp 2529.5K $
1,231Riot Platforms Inc 7689.5K $
1,232Glaukos Corp 889.5K $
1,233Eagle Materials Inc 509.5K $
1,234Hims & Hers Health Inc 4569.5K $
1,235AMERISAFE Inc 2849.5K $
1,236Collegium Pharmaceutical Inc 2859.4K $
1,237Fluor Corp 2029.4K $
1,238Darling Ingredients Inc 1529.4K $
1,239Getty Realty Corp 2929.3K $
1,240Navient Corp 1,1349.3K $
1,241MaxLinear Inc 5339.3K $
1,242Edgewise Therapeutics Inc 2949.3K $
1,243TALEN ENERGY CORP 299.3K $
1,244Shutterstock Inc 5579.3K $
1,245LGI Homes Inc 2349.3K $
1,246TXNM Energy Inc 1589.2K $
1,247Six Flags Entertainment Corp 5189.2K $
1,248EPR Properties 1849.2K $
1,249Zillow Group Inc 2229.2K $
1,250Dillard's Inc 169.2K $
1,251Shift4 Payments Inc 2099.1K $
1,252Axsome Therapeutics Inc 549.1K $
1,253Apple Hospitality REIT Inc 7929.1K $
1,254Pegasystems Inc 2149.1K $
1,255Franklin Resources Inc 3859.1K $
1,256Waterstone Financial Inc 5049.1K $
1,257Bitwise XRP ETF 6029K $
1,258ARMOUR Residential REIT Inc 5419K $
1,259S&T Bancorp Inc 2159K $
1,260First American Financial Corp 1488.9K $
1,261LXP Industrial Trust 1928.9K $
1,262Planet Fitness Inc 1188.8K $
1,263Impinj Inc 858.7K $
1,26410X Genomics Inc 4108.7K $
1,265Choice Hotels International Inc 848.7K $
1,266Mineralys Therapeutics Inc 3198.6K $
1,267Shoe Carnival Inc 5548.6K $
1,268Saul Centers Inc 2638.6K $
1,269WillScot Holdings Corp 4938.6K $
1,270Roku Inc 908.5K $
1,271Terex Corp 1438.5K $
1,272Lumen Technologies Inc 1,2138.4K $
1,273CTO Realty Growth Inc 4558.4K $
1,274First Financial Corp 1328.3K $
1,275Mirum Pharmaceuticals Inc 908.3K $
1,276FTI Consulting Inc 478.3K $
1,277Crocs Inc 1008.3K $
1,278American Eagle Outfitters Inc 4968.3K $
1,279Alarm.com Holdings Inc 1918.2K $
1,280GameStop Corp 3578.2K $
1,281HCI Group Inc 538.2K $
1,282Energizer Holdings Inc 4988.2K $
1,283Argan Inc 158.2K $
1,284SPDR Gold MiniShares Trust 888.2K $
1,285Enliven Therapeutics Inc 2088.2K $
1,286Donegal Group Inc 4748.1K $
1,287Crinetics Pharmaceuticals Inc 2248.1K $
1,288Bank OZK 1778.1K $
1,289Enovis Corp 3578.1K $
1,290New Era Energy & Digital Inc 2,0008.1K $
1,291Amneal Pharmaceuticals Inc 6528.1K $
1,292Middleby Corp/The 618.1K $
1,293ServisFirst Bancshares Inc 1118.1K $
1,294Medical Properties Trust Inc 1,7458.1K $
1,295OneMain Holdings Inc 1518.1K $
1,296Ormat Technologies Inc 728.1K $
1,297Red Cat Holdings Inc 6138K $
1,298Beacon Financial Corp 2658K $
1,299TripAdvisor Inc 7427.9K $
1,300Booz Allen Hamilton Holding Corp 1017.9K $