Titelia

Holdings of MetLife Investment Management, LLC

2546 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 28.9 % of the equity sleeve

Sector breakdown

  • Technology 25.7 %
  • Financials 8.7 %
  • Communication 7.9 %
  • Consumer discretionary 7.6 %
  • Health care 6.9 %
  • Industrials 6.6 %
  • Consumer staples 3.7 %
  • Energy 2.2 %
  • Utilities 1.9 %
  • Materials 1.4 %
  • Real estate 1.2 %
  • Funds 0.4 %
  • Unattributed 25.9 %

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 %
  • HK 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2,54418.8B $99.98 %
2IL13.3M $0.02 %
3HK1752.2K $0.00 %

Positions

RankCompanySharesValueWeight
1,701Amphastar Pharmaceuticals Inc 20,761406.7K $
1,702First Community Bankshares Inc 9,771405.7K $
1,703Legalzoom.com Inc 71,296404.2K $
1,704Liquidity Services Inc 13,202403.6K $
1,705PureCycle Technologies Inc 77,442401.9K $
1,706AMN Healthcare Services Inc 21,914401.9K $
1,707Carriage Services Inc 8,797401.7K $
1,708Annexon Inc 72,444401.3K $
1,709Enhabit Inc 28,474401.2K $
1,710BJ's Restaurants Inc 11,429401.2K $
1,711Vestis Corp 50,903400.1K $
1,712MongoDB Inc 1,633399.7K $
1,713ArriVent Biopharma Inc 17,324399.7K $
1,714Janus International Group Inc 77,429398.8K $
1,715SELLAS Life Sciences Group Inc 94,255398.7K $
1,716National Presto Industries Inc 2,900397.5K $
1,717Apogee Enterprises Inc 11,810396.1K $
1,718Preformed Line Products Co 1,461395.6K $
1,719Transcat Inc 5,347392.7K $
1,720Independent Bank Corp/MI 11,790392.6K $
1,721Mechanics Bancorp 26,577392K $
1,722Franklin BSP Realty Trust Inc 46,160391.9K $
1,723Eagle Bancorp Inc 15,720391K $
1,724CBL & Associates Properties Inc 10,171390.9K $
1,725Fox Factory Holding Corp 23,635389K $
1,726HomeTrust Bancshares Inc 9,114388.7K $
1,727Resolute Holdings Management Inc 2,395388.7K $
1,728Rayonier Advanced Materials Inc 35,019387.7K $
1,729Barrett Business Services Inc 13,259386.9K $
1,730Seneca Foods Corp 2,555386.1K $
1,731Redwood Trust Inc 68,747385.7K $
1,732BrightSpire Capital Inc 68,563384K $
1,733Eton Pharmaceuticals Inc 15,537383.5K $
1,734AMERISAFE Inc 11,464382.1K $
1,735Mid Penn Bancorp Inc 11,856381.3K $
1,736BKV Corp 13,353380.8K $
1,737Stagwell Inc 60,302379.3K $
1,738Savara Inc 69,449379.2K $
1,739Shenandoah Telecommunications Co 24,584379.1K $
1,740Marten Transport Ltd 28,806378.2K $
1,741AdvanSix Inc 15,457377.2K $
1,742Insteel Industries Inc 11,216377K $
1,743Porch Group Inc 52,463376.2K $
1,744Orrstown Financial Services Inc 10,403375.3K $
1,745Marcus & Millichap Inc 14,061373.9K $
1,746Geron Corp 250,662373.5K $
1,747Lindblad Expeditions Holdings Inc 21,449371.1K $
1,748Cracker Barrel Old Country Store Inc 13,188370.7K $
1,749Schrodinger Inc/United States 32,611370.5K $
1,750Farmers National Banc Corp 28,109369.9K $
1,751PRA Group Inc 21,051368.4K $
1,752Heritage Commerce Corp 29,398366.9K $
1,753Sprinklr Inc 61,011366.1K $
1,754Oil-Dri Corp of America 5,621365.9K $
1,755SmartFinancial Inc 9,359365.8K $
1,756Bicara Therapeutics Inc 18,360365.2K $
1,757Coty Inc 181,418364.7K $
1,758Avanos Medical Inc 26,010364.4K $
1,759Blue Owl Capital Inc 39,882364.1K $
1,760Southern Missouri Bancorp Inc 5,694364.1K $
1,761Janux Therapeutics Inc 26,031361.8K $
1,762Clover Health Investments Corp 205,352361.4K $
1,763Amplitude Inc 52,663359.2K $
1,764Global Business Travel Group I 64,197358.2K $
1,765Oil States International Inc 30,731357.7K $
1,766PC Connection Inc 6,069354.8K $
1,767Smith & Wesson Brands Inc 24,689353.8K $
1,768VAALCO Energy Inc 55,701353.1K $
1,769STAAR Surgical Co 18,879353K $
1,770Washington Trust Bancorp Inc 10,542352.7K $
1,771Inhibrx Biosciences Inc 5,240352.3K $
1,772Peapack-Gladstone Financial Corp 9,998352K $
1,773Ramaco Resources Inc 22,732351.4K $
1,774Firefly Aerospace Inc 12,334351.1K $
1,775Zoom Communications Inc 4,367351.1K $
1,776ACV Auctions Inc 82,787351K $
1,777MannKind Corp 143,240350.9K $
1,778Arvinas Inc 33,035350.2K $
1,779Financial Institutions Inc 11,027349.7K $
1,780Utz Brands Inc 43,916347.8K $
1,781NETGEAR Inc 15,879346.8K $
1,782Tactile Systems Technology Inc 13,253346.3K $
1,783Empire State Realty Trust Inc 66,518345.9K $
1,784Mister Car Wash Inc 49,573345.5K $
1,785Rush Enterprises Inc 5,368345.4K $
1,786Heritage Insurance Holdings Inc 13,098343.8K $
1,787Sionna Therapeutics Inc 8,565343.4K $
1,788SEMrush Holdings Inc 28,511340.4K $
1,789Oxford Industries Inc 8,839340.4K $
1,790Republic Bancorp Inc/KY 4,822340.2K $
1,791Adamas Trust Inc 46,218340.2K $
1,792Compass Therapeutics Inc 64,205339.6K $
1,793John B Sanfilippo & Son Inc 4,275339.1K $
1,794First Watch Restaurant Group Inc 32,203337.5K $
1,795Integra LifeSciences Holdings Corp 35,778337K $
1,796Kimball Electronics Inc 14,205336.5K $
1,797Capital City Bank Group Inc 7,740336.4K $
1,798Green Dot Corp 29,939335.9K $
1,799Daily Journal Corp 696335.7K $
1,800Mission Produce Inc 24,355335.1K $