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
701Magnolia Oil & Gas Corp 21,323673.2K $
702PCB Bancorp 29,832670.9K $
703RBB Bancorp 31,289668.6K $
704Rocky Brands Inc 17,259668.3K $
705Syndax Pharmaceuticals Inc 28,538666.6K $
706Daktronics Inc 33,704658.9K $
707Business First Bancshares Inc 24,368658.9K $
708St Joe Co/The 10,418654.3K $
709GeneDx Holdings Corp 10,103648.8K $
710LPL Financial Holdings Inc 2,150646.8K $
711Toll Brothers Inc 4,728645.2K $
712Fiserv Inc 11,528643.3K $
713Electromed Inc 27,349640.2K $
714Camden National Corp 13,480639.6K $
715Republic Bancorp Inc/KY 9,056638.9K $
716Orrstown Financial Services Inc 17,494631.2K $
717Liquidity Services Inc 20,628630.6K $
718Arteris Inc 38,335630.2K $
719Petco Health & Wellness Co Inc 226,389629.4K $
720Iovance Biotherapeutics Inc 179,159628.8K $
721D-Wave Quantum Inc 43,449627K $
722PROG Holdings Inc 21,596619.6K $
723Oceaneering International Inc 17,446618.8K $
724NNN REIT Inc 14,696617.7K $
725Archer-Daniels-Midland Co 8,472615.8K $
726Hershey Co/The 2,960615.4K $
727Corning Inc 4,462606.7K $
728Materion Corp 4,180604.6K $
729South Plains Financial Inc 14,385602.7K $
730Excelerate Energy Inc 18,013602K $
731GoDaddy Inc 7,258600K $
732Northrim BanCorp Inc 26,082596.8K $
733BioAge Labs Inc 33,899592.9K $
734Arko Corp 105,816588.3K $
735John Wiley & Sons Inc 15,346584.7K $
736AMN Healthcare Services Inc 31,793583.1K $
737Itron Inc 6,498582.4K $
738Oscar Health Inc 50,707581.6K $
739Penguin Solutions Inc 32,939579.7K $
740Primis Financial Corp. 43,465577.2K $
741Emergent BioSolutions Inc 69,489576.8K $
742Telos Corp 137,277575.2K $
743Colony Bankcorp Inc 28,753574.2K $
744LeMaitre Vascular Inc 5,255573.7K $
745Commerce Bancshares Inc/MO 11,569569.2K $
746Western Alliance Bancorp 8,031569K $
747First Financial Corp 8,989568.1K $
748Glacier Bancorp Inc 12,716568K $
749Univest Financial Corp 16,573567.8K $
750Shoe Carnival Inc 36,315566.2K $
751Quanta Services Inc 1,027563.8K $
752Navitas Semiconductor Corp 64,249563.5K $
753WM Technology Inc 854,401562.5K $
754Home Bancorp Inc 9,262561.1K $
755Krystal Biotech Inc 2,171560.8K $
756Eagle Bancorp Inc 22,224552.7K $
757Danaher Corp 2,915552.7K $
758HomeTrust Bancshares Inc 12,887549.6K $
759loanDepot Inc 386,128548.3K $
760Workiva Inc 9,186547.8K $
761Dorman Products Inc 5,243547.2K $
762ORIC Pharmaceuticals Inc 43,137546.5K $
763Prologis Inc 4,129545.8K $
764Madrigal Pharmaceuticals Inc 1,042545.5K $
765Palo Alto Networks Inc 3,398544.8K $
766Axsome Therapeutics Inc 3,178537.1K $
767Trade Desk Inc/The 23,655536.7K $
768NB Bancorp Inc 25,375534.7K $
769Bridgebio Pharma Inc 7,142530.4K $
770Crown Holdings Inc 5,278529.1K $
771Cadiz Inc 107,585528.2K $
772Stryker Corp 1,601526.1K $
773US Gold Corp 34,630526K $
774Mirum Pharmaceuticals Inc 5,672524K $
775Fulton Financial Corp 25,663522K $
776WesBanco Inc 15,076520K $
777Archer Aviation Inc 100,394519K $
778Axos Financial Inc 6,090518.2K $
779Meridian Corp 27,298517.6K $
780Midland States Bancorp Inc 23,155516.6K $
781Build-A-Bear Workshop Inc 13,737514.5K $
782Legence Corp 9,101513.8K $
783ResMed Inc 2,280511.8K $
784La-Z-Boy Inc 15,825508.6K $
785Compass Inc 69,558508.5K $
786Redwire Corp 59,205503.2K $
787Ready Capital Corp 310,465503K $
788LifeStance Health Group Inc 78,606500.7K $
789Protagonist Therapeutics Inc 4,727498.2K $
790Commercial Metals Co 8,006491.8K $
791Sezzle Inc 7,666485.2K $
792Chatham Lodging Trust 60,722477.9K $
793American Eagle Outfitters Inc 28,588477.4K $
794Orion Group Holdings Inc 43,731476.7K $
795Celcuity Inc 4,169475.9K $
796Kaiser Aluminum Corp 3,945475.4K $
797Stride Inc 5,388475.1K $
798Atlanticus Holdings Corp 9,048474.8K $
799MSCI Inc 879473.8K $
800NMI Holdings Inc 12,605472.8K $