Titelia

Holdings of LOS ANGELES CAPITAL MANAGEMENT LLC

2199 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 38.1 % of the equity sleeve

Sector breakdown

  • Technology 35.0 %
  • Communication 9.3 %
  • Financials 8.8 %
  • Health care 7.3 %
  • Consumer discretionary 6.7 %
  • Industrials 5.7 %
  • Energy 4.9 %
  • Materials 3.1 %
  • Utilities 2.6 %
  • Real estate 1.4 %
  • Consumer staples 1.3 %
  • Unattributed 14.0 %

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 %
  • KY 0.0 %
  • PE 0.0 %
  • CA 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2,19623.9B $99.98 %
2KY12.6M $0.01 %
3PE11.9M $0.01 %
4CA19.1K $0.00 %

Positions

RankCompanySharesValueWeight
2,001Transcat Inc 594.3K $
2,002LGI Homes Inc 1094.3K $
2,003First Advantage Corp 3664.3K $
2,004Stagwell Inc 6834.3K $
2,005Northeast Bank 384.3K $
2,006Amphastar Pharmaceuticals Inc 2174.3K $
2,007Myers Industries Inc 2004.2K $
2,008CECO Environmental Corp 714.2K $
2,009American Assets Trust Inc 2284.2K $
2,010Under Armour Inc 7064.2K $
2,011CareDx Inc 2404.2K $
2,012Farmers National Banc Corp 3154.1K $
2,013Figure Technology Solutions Inc 1214.1K $
2,014Enviri Corp 2094.1K $
2,015Molson Coors Beverage Co 954.1K $
2,016NCR Voyix Corp 6404.1K $
2,017American Woodmark Corp 1014K $
2,018QCR Holdings Inc 474K $
2,019NANO Nuclear Energy Inc 1964K $
2,020AvePoint Inc 4194K $
2,021CorMedix Inc 5813.9K $
2,022Piedmont Realty Trust Inc 5973.9K $
2,023Rumble Inc 7683.9K $
2,024Turning Point Brands Inc 453.9K $
2,025York Water Co/The 1283.9K $
2,026XPEL Inc 883.9K $
2,027Empire State Realty Trust Inc 7453.9K $
2,028Beazer Homes USA Inc 2003.8K $
2,029Flushing Financial Corp 2493.8K $
2,030Certara Inc 6683.8K $
2,031NexPoint Residential Trust Inc 1523.8K $
2,032Sturm Ruger & Co Inc 933.7K $
2,033Dauch Corporation 6263.7K $
2,034UMH Properties Inc 2563.7K $
2,035Atlas Energy Solutions Inc 2803.7K $
2,036Pursuit Attractions and Hospitality Inc 1003.7K $
2,037Ocular Therapeutix Inc 4263.6K $
2,038Gorman-Rupp Co/The 583.6K $
2,039Franklin BSP Realty Trust Inc 4223.6K $
2,040BrightSpire Capital Inc 6373.6K $
2,041Gladstone Commercial Corp 3123.6K $
2,042Integra LifeSciences Holdings Corp 3783.6K $
2,043SI-BONE Inc 2813.5K $
2,044Heartland Express Inc 3403.5K $
2,045Clearway Energy Inc 903.5K $
2,046CryoPort Inc 4203.5K $
2,047Fluence Energy Inc 2513.5K $
2,048Under Armour Inc 5953.4K $
2,049Middlesex Water Co 663.4K $
2,050Orthofix Medical Inc 2983.4K $
2,051Apartment Investment and Management Co 8263.4K $
2,052Six Flags Entertainment Corp 1893.4K $
2,053Enhabit Inc 2363.3K $
2,054CEVA Inc 1763.3K $
2,055Vertex Inc 2763.3K $
2,056International Money Express Inc 2063.3K $
2,057Two Harbors Investment Corp 2823.2K $
2,058Insteel Industries Inc 953.2K $
2,059NextNav Inc 1993.2K $
2,060Newsmax Inc 6053.2K $
2,061Ramaco Resources Inc 2033.1K $
2,062Manitowoc Co Inc/The 2683.1K $
2,063PAR Technology Corp 2333.1K $
2,064National Beverage Corp 923.1K $
2,065Tompkins Financial Corp 393.1K $
2,066Phreesia Inc 3603K $
2,067Mesa Laboratories Inc 343K $
2,068Capitol Federal Financial Inc 4203K $
2,069Bank First Corp 223K $
2,070German American Bancorp Inc 702.9K $
2,071Sprinklr Inc 4872.9K $
2,072ACV Auctions Inc 6842.9K $
2,073Grocery Outlet Holding Corp 4072.9K $
2,074Trupanion Inc 1122.9K $
2,075Energy Recovery Inc 2812.8K $
2,076Fulgent Genetics Inc 1782.8K $
2,077TriCo Bancshares 592.8K $
2,078Barrett Business Services Inc 962.8K $
2,079Titan Machinery Inc 1672.8K $
2,080Hovnanian Enterprises Inc 252.8K $
2,081Janus International Group Inc 5332.7K $
2,082Gladstone Land Corp 2692.7K $
2,083Monro Inc 1672.7K $
2,084PagerDuty Inc 4302.7K $
2,085Compass Diversified Holdings 3372.6K $
2,086AngioDynamics Inc 2312.6K $
2,087Cracker Barrel Old Country Store Inc 932.6K $
2,088Titan International Inc 3752.6K $
2,089Matthews International Corp 1002.6K $
2,090AH Realty Trust Inc 4672.6K $
2,091Consensus Cloud Solutions Inc 1082.6K $
2,092ACCO Brands Corp 8252.5K $
2,093Community Healthcare Trust Inc 1542.4K $
2,094Mechanics Bancorp 1652.4K $
2,095Boston Omaha Corp 2062.4K $
2,096BrightView Holdings Inc 2042.4K $
2,097TPG RE Finance Trust Inc 3062.4K $
2,098SailPoint Inc 1762.3K $
2,099World Acceptance Corp 172.3K $
2,100Fulcrum Therapeutics Inc 2952.3K $