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
601Ligand Pharmaceuticals Inc 5,1501M $
602Radian Group Inc 30,8541M $
603Vicor Corp 6,3361M $
604Nuvalent Inc 9,9391M $
605Cloudflare Inc 4,9301M $
606Verisk Analytics Inc 5,3381M $
607Hallador Energy Co 62,1501M $
608Everus Construction Group Inc 8,5421M $
609TKO Group Holdings Inc 4,9821M $
610Hubbell Inc 2,031996.7K $
611Ares Management Corp 9,130996.1K $
612EverQuote Inc 64,581995.8K $
613Zymeworks Inc 39,750995.3K $
614Guardant Health Inc 10,766994.5K $
615Perdoceo Education Corp 26,673992.5K $
616Stoke Therapeutics Inc 30,479992.4K $
617Forum Energy Technologies Inc 16,830987.2K $
618Citi Trends Inc 22,720984.2K $
619Enova International Inc 7,239983.3K $
620Thor Industries Inc 12,140969.9K $
621Movado Group Inc 39,585966.7K $
622T Rowe Price Group Inc 10,711965.5K $
623AeroVironment Inc 5,273965.2K $
624ThredUp Inc 294,183964.9K $
625PACCAR Inc 8,332962.3K $
626Xcel Energy Inc 12,092960.6K $
627Core Natural Resources Inc 9,143957.5K $
628Bank7 Corp 23,990956.7K $
629Enphase Energy Inc 25,123949.9K $
630Orchid Island Capital Inc 132,639932.5K $
631Richardson Electronics Ltd/United States 84,924929.9K $
632StepStone Group Inc 19,403925.9K $
633Guardian Pharmacy Services Inc 24,478921.8K $
634Karat Packaging Inc 32,865917.6K $
635BK Technologies Corp 12,267915.5K $
636Entergy Corp 8,048904.3K $
637Dutch Bros Inc 17,691896.2K $
638Unity Bancorp Inc 17,071884.8K $
639Gevo Inc 321,525877.8K $
640Veralto Corp 9,867872.4K $
641AnaptysBio Inc 15,664868.7K $
642Camden Property Trust 8,892868.4K $
643Bumble Inc 262,939857.2K $
644Collegium Pharmaceutical Inc 25,841854.6K $
645Markel Group Inc 446853.7K $
646Argan Inc 1,566852.9K $
647Seneca Foods Corp 5,620849.3K $
648Global Industrial Co 26,893847.7K $
649Century Aluminum Co 14,367843.2K $
650Graham Corp 10,675842.5K $
651Photronics Inc 20,833841.9K $
652Esquire Financial Holdings Inc 7,787837.1K $
653Akebia Therapeutics Inc 601,308835.8K $
654GXO Logistics Inc 16,010830.1K $
655ConocoPhillips 6,264826.8K $
656Braze Inc 34,921824.5K $
657MSC Industrial Direct Co Inc 8,890820.3K $
658TG Therapeutics Inc 24,371809.6K $
659Vornado Realty Trust 31,045806.9K $
660Flexsteel Industries Inc 17,922805.4K $
661Rhythm Pharmaceuticals Inc 9,219801.8K $
662Thermo Fisher Scientific Inc 1,631801.7K $
663Ryerson Holding Corp 35,403795.9K $
664Liquidia Corp 21,031793.7K $
665Northwest Natural Holding Co 14,853790.5K $
666Deere & Co 1,403790.3K $
667Estee Lauder Cos Inc/The 10,997789.3K $
668Red River Bancshares Inc 8,712787.9K $
669Dominion Energy Inc 12,605779.2K $
670Phillips Edison & Co Inc 20,684774K $
671Q2 Holdings Inc 16,269769.5K $
672CTS Corp 16,106769.2K $
673Central Pacific Financial Corp 24,025767.8K $
674PACS Group Inc 23,703761.3K $
675Bowman Consulting Group Ltd 26,755760.9K $
676Village Super Market Inc 17,760750K $
677Travere Therapeutics Inc 25,218749.2K $
678Equinix Inc 762746.9K $
679SITE Centers Corp 136,941739.5K $
680Medical Properties Trust Inc 159,557738.7K $
681Modine Manufacturing Co 3,403737.5K $
682Hancock Whitney Corp 11,586736.8K $
683Bridgewater Bancshares Inc 41,615736.6K $
684American States Water Co 9,740736.5K $
685Chipotle Mexican Grill Inc 22,854731.6K $
686Healthcare Services Group Inc 38,985723.2K $
687Berkshire Hathaway Inc 1718.1K $
688Parke Bancorp Inc 25,070712K $
689Universal Health Realty Income Trust 17,576711.3K $
690Globalstar Inc 10,696710.4K $
691Centuri Holdings Inc 24,205707K $
692Smith & Wesson Brands Inc 49,320706.8K $
693First United Corp 19,277706.3K $
694Westinghouse Air Brake Technologies Corp 2,806701.2K $
695Tenable Holdings Inc 41,256697.8K $
696Universal Display Corp 7,591695.8K $
697Delta Air Lines Inc 10,434693.7K $
698Commerce.com Inc 254,479679.5K $
699Bel Fuse Inc 3,420677.1K $
700American Financial Group Inc/OH 5,294676.1K $