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
2,301Commercial Bancgroup Inc 4,202109.3K $
2,302Sprout Social Inc 19,136109.1K $
2,303Simulations Plus Inc 9,214108.9K $
2,304Anavex Life Sciences Corp 35,430108.8K $
2,305Sonida Senior Living Inc 3,371108.7K $
2,306Seven Hills Realty Trust 13,190108.4K $
2,307Outdoor Holding Co. 53,870108.3K $
2,308NexPoint Diversified Real Estate Trust 23,178108.2K $
2,309Eagle Financial Services Inc 3,083107.8K $
2,310Aeluma Inc 8,227107.7K $
2,311Core Molding Technologies Inc 4,772106.9K $
2,312Ategrity Specialty Holdings LLC 5,402106.8K $
2,313Strata Critical Medical Inc 25,493106.6K $
2,314Abeona Therapeutics Inc 23,772106.5K $
2,315Seaport Entertainment Group Inc 4,956106.5K $
2,316Qorvo Inc 1,375106.4K $
2,317Service Properties Trust 78,537106.4K $
2,318M-Tron Industries Inc 1,591106.4K $
2,319Meridian Corp 5,580105.8K $
2,320Inhibikase Therapeutics Inc 62,913105.7K $
2,321NET Lease Office Properties 9,108104.9K $
2,322ProFrac Holding Corp 16,918104.9K $
2,323KORU Medical Systems Inc 24,276104.9K $
2,324Editas Medicine Inc 42,433104.8K $
2,325Gogo Inc 26,048104.7K $
2,326Highwoods Properties Inc 4,881104.5K $
2,327908 Devices Inc 17,022104.2K $
2,328Designer Brands Inc 18,306104.2K $
2,329Xperi Inc 18,477103.5K $
2,330Escalade Inc 6,018103.3K $
2,331Anika Therapeutics Inc 7,122103.3K $
2,332OneMain Holdings Inc 1,930103.2K $
2,333Princeton Bancorp Inc 3,050103K $
2,334Medical Properties Trust Inc 22,131102.5K $
2,335Corsair Gaming Inc 18,441102.3K $
2,336Bright Horizons Family Solutions Inc 1,245102.3K $
2,337European Wax Center Inc 17,646102K $
2,338USANA Health Sciences Inc 5,819101.7K $
2,339Puma Biotechnology Inc 15,842101.2K $
2,340Voyager Therapeutics Inc 26,113100.8K $
2,341LCNB Corp 6,451100.6K $
2,342Kelly Services Inc 11,358100.5K $
2,343Sealed Air Corp 2,390100.5K $
2,344CB Financial Services Inc 2,933100.3K $
2,345Electromed Inc 4,279100.2K $
2,346Powerfleet Inc NJ 32,496100.1K $
2,347Benitec Biopharma Inc 9,397100.1K $
2,348Viant Technology Inc 8,90099.7K $
2,349American Coastal Insurance Corp 8,77998.8K $
2,3508x8 Inc 59,47498.7K $
2,351MarketAxess Holdings Inc 59798.5K $
2,352Bumble Inc 30,21298.5K $
2,353Everus Construction Group Inc 83398.3K $
2,354Ohio Valley Banc Corp 2,23698.1K $
2,355Webtoon Entertainment Inc 10,65197.9K $
2,356First Capital Inc 1,97297.9K $
2,357Innovage Holding Corp 12,18997.8K $
2,358Methode Electronics Inc 17,63597.3K $
2,359Accendra Health Inc 42,48396.9K $
2,360RGC Resources Inc 4,39296.8K $
2,361EVgo Inc 56,21596.7K $
2,362Citizens Inc/TX 19,19896.6K $
2,363CarMax Inc 2,32096.5K $
2,364Byrna Technologies Inc 10,49096.3K $
2,365Kingstone Cos Inc 6,52895.1K $
2,366Protalix BioTherapeutics Inc 43,69794.8K $
2,367Pioneer Bancorp Inc/NY 6,81194.8K $
2,368Flexsteel Industries Inc 2,10894.7K $
2,369Peoples Bancorp of North Carolina Inc 2,41294.5K $
2,370Energy Services of America Corp 7,15593.9K $
2,371Acacia Research Corp 19,44893.5K $
2,372Lamb Weston Holdings Inc 2,20493.1K $
2,373BRT Apartments Corp 6,97993.1K $
2,374HighPeak Energy Inc 13,34092K $
2,375Bank7 Corp 2,30692K $
2,376Greenwich Lifesciences Inc 3,81491.6K $
2,377AIRO Group Holdings Inc 12,01891.4K $
2,378Inspire Medical Systems Inc 1,76290.9K $
2,379Lineage Inc 2,77190.8K $
2,380Shoulder Innovations Inc 6,22490.4K $
2,381National CineMedia Inc 29,51790K $
2,382Via Transportation Inc 5,97789.7K $
2,383LENZ Therapeutics Inc 9,78789.6K $
2,384Blend Labs Inc 52,65289.5K $
2,385SEACOR Marine Holdings Inc 12,47289.3K $
2,386Angi Inc 12,92288.5K $
2,387First Internet Bancorp 4,32388.1K $
2,388Greene County Bancorp Inc 3,92387.9K $
2,389Caesars Entertainment Inc 3,32087.7K $
2,390Versant Media Group Inc 2,37087.7K $
2,391Eagle Bancorp Montana Inc 4,25687.6K $
2,392Xponential Fitness Inc 14,54087.5K $
2,393Western New England Bancorp Inc 6,71586.8K $
2,394Teleflex Inc 72386.5K $
2,395WillScot Holdings Corp 4,95986.1K $
2,396OP Bancorp 6,47186.1K $
2,397Rithm Capital Corp 9,06385.9K $
2,398LifeMD Inc 23,77385.8K $
2,399Oncology Institute Inc/The 27,79085.3K $
2,400Claritev Corp 5,21185.1K $