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
2,201Digital Turbine Inc 48,327139.2K $
2,202Monopar Therapeutics Inc 2,538139.1K $
2,203ClearPoint Neuro Inc 15,260138.9K $
2,204Evommune Inc 6,031138.7K $
2,205Newsmax Inc 26,465138.1K $
2,206Perspective Therapeutics Inc 33,079137.9K $
2,207C&F Financial Corp 1,889137.8K $
2,208Velocity Financial Inc 7,564136.8K $
2,209First United Corp 3,733136.8K $
2,210Utah Medical Products Inc 2,202136.5K $
2,211Legacy Housing Corp 6,674136.4K $
2,212Summit Therapeutics Inc 7,186136.2K $
2,213Unity Software Inc 6,204136.1K $
2,214Aviat Networks Inc 6,005135.8K $
2,215Bed Bath & Beyond Inc 29,221135.6K $
2,216Hyliion Holdings Corp 76,977135.5K $
2,217OppFi Inc 17,541135.2K $
2,218Dave & Buster's Entertainment Inc 12,426134.6K $
2,219First Community Corp/SC 4,587134.1K $
2,220Franklin Financial Services Corp 2,621133.9K $
2,221Clearwater Paper Corp 9,309133.9K $
2,222Petco Health & Wellness Co Inc 48,133133.8K $
2,223Niagen Bioscience Inc 30,139132.9K $
2,224RxSight Inc 21,555132.8K $
2,225Granite Ridge Resources Inc 22,609132.7K $
2,226Sky Harbour Group Corp 13,741132.3K $
2,227Industrial Logistics Properties Trust 23,233132K $
2,228CoastalSouth Bancshares Inc 5,356131.7K $
2,229First National Corp/VA 4,872131.2K $
2,230Limoneira Co 9,765131K $
2,231FVCBankcorp Inc 8,617130.9K $
2,232Latham Group Inc 24,366130.8K $
2,233Oak Valley Bancorp 4,021130.4K $
2,234Eledon Pharmaceuticals Inc 42,105129.7K $
2,235ThredUp Inc 39,412129.3K $
2,236James River Group Holdings Inc 20,468128.9K $
2,237Paymentus Holdings Inc 5,055128.4K $
2,238Rezolute Inc 42,094128.4K $
2,239Akebia Therapeutics Inc 92,270128.3K $
2,240RMR Group Inc/The 8,290128.2K $
2,241NACCO Industries Inc 2,449127.3K $
2,242BK Technologies Corp 1,693126.3K $
2,243AerSale Corp 20,264126K $
2,244Element Solutions Inc 3,691126K $
2,245Olaplex Holdings Inc 61,939125.7K $
2,246National Bankshares Inc 3,441125.3K $
2,247Reservoir Media Inc 12,727124.6K $
2,248Lumexa Imaging Holdings Inc 14,441124.2K $
2,249LKQ Corp 4,210123.6K $
2,250USCB Financial Holdings Inc 6,656123.4K $
2,251Honest Co Inc/The 41,881123.1K $
2,252Matrix Service Co 10,687122.7K $
2,253Black Rock Coffee Bar Inc 9,469122.3K $
2,254Hawthorn Bancshares Inc 3,620122K $
2,255CapsoVision Inc 16,706121.8K $
2,256Citi Trends Inc 2,807121.6K $
2,257Target Hospitality Corp 13,050121.1K $
2,258Lyft Inc 9,079120.8K $
2,259Better Home & Finance Holding Co 3,380120.4K $
2,260Ardent Health Inc 14,030120.1K $
2,261Larimar Therapeutics Inc 26,668120K $
2,262Cadiz Inc 24,415119.9K $
2,263ACCO Brands Corp 39,944119.8K $
2,264Fidelity D&D Bancorp Inc 2,766119.7K $
2,265Neurogene Inc 5,932119.6K $
2,2663D Systems Corp 63,429119.2K $
2,267Innventure Inc 30,421118.9K $
2,268Ultragenyx Pharmaceutical Inc 5,672118.8K $
2,269Match Group Inc 3,857118.4K $
2,270Park-Ohio Holdings Corp 4,927118.4K $
2,271Atrium Therapeutics Inc 8,845118.3K $
2,272Tonix Pharmaceuticals Holding Corp 8,590118.1K $
2,273Celanese Corp 1,792117.9K $
2,274Hudson Pacific Properties Inc 19,925117.8K $
2,275Stratus Properties Inc 3,840117.2K $
2,276LINKBANCORP Inc 14,038117.1K $
2,277Weave Communications Inc 25,166116.3K $
2,278US Gold Corp 7,651116.2K $
2,279TPG Mortgage Investment Trust Inc 15,896116.2K $
2,280Richtech Robotics Inc 55,567116.1K $
2,281Sarepta Therapeutics Inc 5,335116.1K $
2,282Cerus Corp 63,517115.6K $
2,283Leonardo DRS Inc 2,581114.9K $
2,284OraSure Technologies Inc 38,239114.7K $
2,285SITE Centers Corp 21,196114.5K $
2,286American Integrity Insurance Group Inc 5,919114.1K $
2,287Virginia National Bankshares Corp 2,975113.6K $
2,288First Western Financial Inc 4,620113.6K $
2,289Cross Country Healthcare Inc 12,079113.5K $
2,290Chemung Financial Corp 2,107113.4K $
2,291National Research Corp 6,673113.3K $
2,292Ares Commercial Real Estate Corp 23,516112.9K $
2,293Chicago Atlantic Real Estate Finance Inc 9,960112.7K $
2,294Zillow Group Inc 2,705111.9K $
2,295RCI Hospitality Holdings Inc 4,895111.7K $
2,296Citizens Community Bancorp Inc/WI 5,605111K $
2,297Air Lease Corp 1,707110.9K $
2,298Groupon Inc 9,264110.2K $
2,299Palladyne AI Corp 18,068109.7K $
2,300Weyco Group Inc 3,414109.4K $