Titelia

Holdings of CITADEL ADVISORS LLC

4034 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 13 % of the equity sleeve

Sector breakdown

  • Technology 14.8 %
  • Financials 8.2 %
  • Health care 7.2 %
  • Industrials 7.1 %
  • Consumer discretionary 6.7 %
  • Communication 4.5 %
  • Consumer staples 3.1 %
  • Utilities 2.7 %
  • Funds 2.5 %
  • Energy 2.3 %
  • Materials 1.6 %
  • Real estate 1.5 %
  • Unattributed 37.8 %

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 96.4 %
  • TW 1.1 %
  • GB 0.7 %
  • NL 0.6 %
  • KY 0.3 %
  • DE 0.1 %
  • BR 0.1 %
  • FR 0.1 %
  • CL 0.1 %
  • IN 0.1 %
  • DK 0.1 %
  • FI 0.1 %
  • Other countries 0.3 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US3,830121.8B $96.40 %
2TW41.4B $1.09 %
3GB24836.1M $0.66 %
4NL8709.5M $0.56 %
5KY53384.1M $0.30 %
6DE4143.7M $0.11 %
7BR16135.4M $0.11 %
8FR5133.5M $0.11 %
9CL6108.4M $0.09 %
10IN4106.2M $0.08 %
11DK3103.4M $0.08 %
12FI1101.3M $0.08 %

Positions

RankCompanySharesValueWeight
3,901SINGULARITY FUTURE TECHNOLOGY LTD 131,23754.6K $
3,902Cumberland Pharmaceuticals Inc 16,64354.1K $
3,903Farmer Bros Co 42,36953.8K $
3,904HUIZE HOLDING LTD 43,47653.5K $
3,905HEALTH IN TECH INC 36,63253.1K $
3,906Tilly's Inc 13,10053.1K $
3,907Siebert Financial Corp 27,34552.5K $
3,908ATA CREATIVITY GLOBAL 59,96552.2K $
3,909NIP GROUP INC 79,86352.1K $
3,910AMAZE HOLDINGS INC 269,86050.3K $
3,911Waterdrop Inc 30,46749.4K $
3,912Lotus Technology inc 42,88749.3K $
3,913KALA BIO INC 281,65048.8K $
3,914GAIN THERAPEUTICS INC 24,90048.3K $
3,915BRANCHOUT FOOD INC 14,60048.2K $
3,916Milestone Scientific Inc 167,13548.1K $
3,917AMBER INTERNATIONAL HOLDING LTD 19,49046K $
3,918BRIDGELINE DIGITAL INC 56,08544.7K $
3,919Laird Superfood Inc 20,37343.8K $
3,920MARYGOLD COMPANIES INC/THE 37,79543.1K $
3,921PURPLE INNOVATION INC 64,82242.9K $
3,922iHuman Inc 25,02842.7K $
3,923Invesco Senior Income Trust 12,96041.7K $
3,924American Shared Hospital Services 28,55841.4K $
3,925Empire Petroleum Corp 13,88641.1K $
3,926BOLT BIOTHERAPEUTICS INC 10,10940.8K $
3,927ONE Group Hospitality Inc/The 22,84240.7K $
3,928IVEDA SOLUTIONS INC 157,16140.4K $
3,929Rackspace Technology Inc 40,40639.6K $
3,930BNB PLUS CORP 61,84039.6K $
3,931AmpliTech Group Inc 20,46038.9K $
3,932MUSTANG BIO INC 53,20038.7K $
3,933T Stamp Inc 16,20038.7K $
3,934CISO GLOBAL INC 111,48138.5K $
3,935Zevia PBC 32,87438.5K $
3,936Beauty Health Co/The 42,98038.3K $
3,937JUPITER NEUROSCIENCES INC 101,66138.2K $
3,938Mobile Infrastructure Corp. 17,05938.2K $
3,939SPAR GROUP INC 60,04637.6K $
3,940aTyr Pharma Inc 47,37237K $
3,941CURIS INC 67,01836.7K $
3,942Getty Images Holdings Inc 44,38335.2K $
3,943NAAS TECHNOLOGY INC 14,43135.1K $
3,944SOCKET MOBILE INC 39,43934.3K $
3,945LIVEPERSON INC 12,83432.7K $
3,946ROCKY MOUNTAIN CHOCOLATE FACT 14,53132.7K $
3,947CHEETAH NET SUPPLY CHAIN SERVICE INC 21,59432.2K $
3,948SMART SHARE GLOBAL LTD 28,36732.1K $
3,949Prospect Capital Corp 12,20431.9K $
3,950MFS Government Markets Income Trust 10,74831.6K $
3,951REKOR SYSTEMS INC 38,19031.3K $
3,952ENSYSCE BIOSCIENCES INC 57,36330.9K $
3,953ALAUNOS THERAPEUTICS INC 10,51930.1K $
3,954AVALON GLOBOCARE CORP 56,18429.8K $
3,955Origin Materials Inc 13,05529.8K $
3,956AQUA BOUNTY TECHNOLOGIES INC 34,02829.4K $
3,957CYCLERION THERAPEUTICS INC 18,26128K $
3,958TRIVAGO NV 10,14527.5K $
3,959SEMILEDS CORP 21,96927.5K $
3,960Immutep Ltd 78,17427.4K $
3,961Nakamoto Inc 123,42027.3K $
3,962GT BIOPHARMA INC 66,16527K $
3,963UCLOUDLINK GROUP INC 18,75726.4K $
3,964VEEA INC 49,56626.4K $
3,965Art's-Way Manufacturing Co Inc 12,54526.2K $
3,966CURANEX PHARMACEUTICALS INC 50,55925.9K $
3,967MATINAS BIOPHARMA HOLDINGS INC 51,69825.8K $
3,968Marchex Inc 16,62925.8K $
3,969Wheels Up Experience Inc 49,56425.6K $
3,970Palisade Bio Inc 14,27225K $
3,971CALIBERCOS INC 21,25424.4K $
3,972BRC Inc 31,47324.4K $
3,973Offerpad Solutions Inc 34,75922.8K $
3,974METAGENOMI THERAPEUTICS INC 16,99322.8K $
3,975Marti Technologies Inc 11,28822.6K $
3,976SOLARMAX TECHNOLOGY INC 32,01522.4K $
3,977Fractyl Health Inc 48,19622.1K $
3,978BIO GREEN MED SOLUTION INC 22,05122.1K $
3,979Selectquote Inc 34,30221.6K $
3,980MFS Intermediate High Income Fund 13,04321.1K $
3,981LOCAL BOUNTI CORP 18,01120.9K $
3,982Greenlane Holdings Inc 55,22620.4K $
3,983BTCS Inc 14,67720.4K $
3,984PRESURANCE HOLDINGS INC 39,44420.1K $
3,985Cognition Therapeutics Inc 25,90519.7K $
3,986SOCIETY PASS INC 45,23119.5K $
3,987OPENDOOR TECHNOLOGIES INC 31,65019.2K $
3,988Grove Collaborative Holdings 14,82219K $
3,989GrowGeneration Corp 17,22819K $
3,990FATHOM HOLDINGS INC 35,47718.8K $
3,99117 EDUCATION and TECHNOLOGY GROUP INC 10,43618.8K $
3,992TOPPOINT HOLDINGS INC 26,36818.6K $
3,993SENESTECH INC 11,31918.6K $
3,994Streamex Corp 16,19618.3K $
3,995LAKESIDE HOLDING LTD 26,04918.2K $
3,996Westwater Resources Inc 27,75918.2K $
3,997MOVING IMAGE TECHNOLOGIES INC 33,65717.4K $
3,998WM Technology Inc 26,41817.4K $
3,999DSS INC 19,44316.1K $
4,000PROFUSA INC 30,84415.6K $