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
2,401JAKKS Pacific Inc 4,27285.1K $
2,402Madison Square Garden Sports Corp 26484.9K $
2,403Evolent Health Inc 36,78583.9K $
2,404Ribbon Communications Inc 39,46083.7K $
2,405Inseego Corp 7,48383.2K $
2,406Mohawk Industries Inc 83181.8K $
2,407Immersion Corp 14,93981.6K $
2,408Freshpet Inc 1,37481K $
2,409Telos Corp 19,19080.4K $
2,410Entravision Communications Corp 26,82579.7K $
2,411Open Lending Corp 63,61779.5K $
2,412Quanterix Corp 22,57679.5K $
2,413Candel Therapeutics Inc 16,19979.4K $
2,414Beyond Meat Inc 113,02179.3K $
2,415Standard BioTools Inc 86,22079.3K $
2,416Aurora Innovation Inc 19,11478.8K $
2,417Quantum-Si Inc 101,55578.6K $
2,418Alector Inc 36,20877.8K $
2,419Primo Brands Corp 4,13377.8K $
2,420SANUWAVE Health Inc 4,49077.6K $
2,421Ralliant Corp 1,85477.1K $
2,422Quad/Graphics Inc 11,43475.6K $
2,423OmniAb Inc 48,13275.6K $
2,424Evolus Inc 18,30775.2K $
2,425Kingsway Financial Services Inc 7,17574.8K $
2,426loanDepot Inc 52,51774.6K $
2,427Liberty Live Holdings Inc 78974.3K $
2,428Sirius XM Holdings Inc 3,11171.8K $
2,429Tredegar Corp 9,03171.8K $
2,430Alight Inc 122,99171.7K $
2,431Viking Therapeutics Inc 2,17470.7K $
2,432Spok Holdings Inc 6,47270.5K $
2,433AMC Networks Inc 10,36370.4K $
2,434Pure Cycle Corp 6,88569.3K $
2,435MDU Resources Group Inc 3,32468.9K $
2,436Amentum Holdings Inc 2,60968K $
2,437Oportun Financial Corp 14,73567.9K $
2,438Commerce.com Inc 24,94766.6K $
2,439Coherus Oncology Inc 39,01365.9K $
2,440Backblaze Inc 19,00665.6K $
2,441Ranpak Holdings Corp 18,30065.3K $
2,442Playtika Holding Corp 23,28564.7K $
2,443Sight Sciences Inc 17,16664.7K $
2,444AlTi Global Inc 17,79564.4K $
2,445Caris Life Sciences Inc 3,53663.2K $
2,446Teradata Corp 2,46363.1K $
2,447SIGA Technologies Inc 11,75762.9K $
2,448Jack in the Box Inc 6,40862K $
2,449Rimini Street Inc 18,86161.9K $
2,450Cricut Inc 16,39961.3K $
2,451New Fortress Energy Inc 103,18560.9K $
2,452Trump Media & Technology Group Corp 6,55560.8K $
2,453Asure Software Inc 6,97860K $
2,454CCC Intelligent Solutions Holdings Inc 9,89259.4K $
2,455Holley Inc 19,16558.8K $
2,456Journey Medical Corp 12,43158.3K $
2,457Virtu Financial Inc 1,30157.2K $
2,458EW Scripps Co/The 15,33757.1K $
2,459Mistras Group Inc 3,78656K $
2,460Xerox Holdings Corp 42,92855.4K $
2,461ADT Inc 8,36855K $
2,462Eve Holding Inc 21,88354.3K $
2,463Clearway Energy Inc 1,38054.2K $
2,464Unisys Corp 26,16954.2K $
2,465Liberty Media Corp-Liberty Formula One 68953.8K $
2,466Arcturus Therapeutics Holdings Inc 6,82552.7K $
2,467Perma-Fix Environmental Services Inc 4,92252.6K $
2,468DoubleVerify Holdings Inc 5,46551.9K $
2,469Aspen Aerogels Inc 15,11851.7K $
2,470SKYX Platforms Corp 46,03051.6K $
2,471Iridium Communications Inc 1,83450.9K $
2,472Inspired Entertainment Inc 7,07550.4K $
2,473Hudson Technologies Inc 8,55450.3K $
2,474First Hawaiian Inc 2,02049.8K $
2,475Westrock Coffee Co 11,69849.7K $
2,476Turtle Beach Corp 4,85649.2K $
2,477Frontier Group Holdings Inc 13,86448.9K $
2,478Claros Mortgage Trust Inc 20,18548K $
2,479QuantumScape Corp 7,36847K $
2,480Foghorn Therapeutics Inc 9,71046.4K $
2,481Western Union Co/The 5,20445.4K $
2,482Beasley Broadcast Group Inc 13,32044.5K $
2,483Security National Financial Corp 4,54143K $
2,484Humacyte Inc 70,10642.5K $
2,485IAC Inc 1,06142.5K $
2,486Robert Half Inc 1,62041.1K $
2,487Wendy's Co/The 5,77340.1K $
2,488Concrete Pumping Holdings Inc 5,61740.1K $
2,489BOK Financial Corp 30639.2K $
2,490Organogenesis Holdings Inc 15,48536.7K $
2,491Proficient Auto Logistics Inc 5,38436.5K $
2,492Huntsman Corp 2,69335.8K $
2,493Crawford & Co 3,54235.3K $
2,494FMC Corp 2,03335K $
2,495Acadia Healthcare Co Inc 1,49134.9K $
2,496DXC Technology Co 2,75734.7K $
2,497Octave Specialty Group Inc 7,41934.5K $
2,498Credit Acceptance Corp 8033.9K $
2,499MicroVision Inc 52,75633.8K $
2,500Inogen Inc 5,42333.5K $