Titelia

Holdings of Tower Research Capital LLC (TRC)

4219 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 23.8 % of the equity sleeve

Sector breakdown

  • Technology 19.9 %
  • Financials 5.8 %
  • Consumer discretionary 5.6 %
  • Health care 5.2 %
  • Communication 5.0 %
  • Industrials 4.1 %
  • Consumer staples 3.7 %
  • Energy 3.0 %
  • Utilities 2.0 %
  • Funds 1.9 %
  • Real estate 1.6 %
  • Materials 1.3 %
  • Unattributed 40.9 %

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 95.1 %
  • GB 3.4 %
  • NL 0.6 %
  • BE 0.3 %
  • BM 0.2 %
  • KY 0.2 %
  • TW 0.2 %
  • LU 0.1 %
  • BR 0.0 %
  • DK 0.0 %
  • IN 0.0 %
  • IE 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US4,0733.3B $95.05 %
2GB23116.8M $3.35 %
3NL521.7M $0.62 %
4BE29M $0.26 %
5BM16.4M $0.18 %
6KY385.7M $0.16 %
7TW35.4M $0.16 %
8LU21.8M $0.05 %
9BR121.4M $0.04 %
10DK41.3M $0.04 %
11IN5802.4K $0.02 %
12IE1413.2K $0.01 %

Positions

RankCompanySharesValueWeight
3,601First Northwest Bancorp 4594K $
3,602Ishares Inc 224K $
3,603Passage Bio Inc 5023.9K $
3,604Rent the Runway Inc 8243.9K $
3,605LISATA THERAPEUTICS INC 7853.9K $
3,606CATHETER PRECISION INC 3,8943.9K $
3,607INCOME OPPORTUNITY REALTY INVESTORS INC 2143.9K $
3,608FUEL TECH INC 3,2113.9K $
3,609APREA THERAPEUTICS INC 5,1273.9K $
3,610Klaviyo Inc 2003.9K $
3,611OPENDOOR TECHNOLOGIES INC 15,7043.9K $
3,612MARYGOLD COMPANIES INC/THE 3,4043.9K $
3,613FG NEXUS INC 7743.9K $
3,614NUVVE HOLDING CORP 5,7913.8K $
3,615INTRUSION INC 4,6873.8K $
3,616Art's-Way Manufacturing Co Inc 1,8393.8K $
3,617iShares Russell 1000 Growth ETF 93.8K $
3,618VanEck Semiconductor ETF 103.8K $
3,619ACURX PHARMACEUTICALS INC 1,0313.8K $
3,620KARTOON STUDIOS INC 6,1023.8K $
3,621Mexco Energy Corp 3723.8K $
3,622Datavault AI Inc 6,1473.8K $
3,623LEGEND BIOTECH CORP 2103.8K $
3,624Grupo Cibest SA 523.8K $
3,625ELAUWIT CONNECTION INC 6373.8K $
3,626ENERGY FOCUS INC 1,9653.8K $
3,627ENVOY MEDICAL INC 5,6653.8K $
3,628Innovate Corporation 6633.8K $
3,629Arrive AI Inc 4,7183.8K $
3,630ATLASCLEAR HOLDINGS INC 18,9023.8K $
3,631AGRIFY CORP 2053.8K $
3,632TechPrecision Corp 1,2423.7K $
3,633Vanguard Russell 3000 133.7K $
3,634WINCHESTER BANCORP INC 2943.7K $
3,635SYNERGY CHC CORP 2,8923.7K $
3,636Power REIT 4,3723.7K $
3,637374WATER INC 1,3033.7K $
3,638Spruce Power Holding Corp 9013.7K $
3,639BONK INC 1,4133.7K $
3,640Crown Crafts Inc 1,4263.7K $
3,641Hennessy Advisors Inc 3763.7K $
3,642NUTRIBAND INC 1,0303.6K $
3,643Sky Quarry Inc 1,4093.6K $
3,644Haverty Furniture Cos Inc 1523.6K $
3,645NEXTTRIP INC 1,1093.6K $
3,646BIOCARDIA INC 2,9783.6K $
3,647BRIDGELINE DIGITAL INC 4,5163.6K $
3,648DarioHealth Corp 4483.6K $
3,649CANTERBURY PARK HOLDING CORP 2303.6K $
3,650FOCUS UNIVERSAL INC 9923.6K $
3,651Buda Juice, Inc. 3413.6K $
3,652IZEA Worldwide Inc 1,0203.6K $
3,653Beasley Broadcast Group Inc 1,0623.5K $
3,654AQUA BOUNTY TECHNOLOGIES INC 4,0893.5K $
3,655AZITRA INC 15,0853.5K $
3,656AETHLON MEDICAL INC 1,6113.5K $
3,657TEN HOLDINGS INC 2,9643.5K $
3,658Filana Therapeutics Inc 2,0763.5K $
3,659STRAN and CO INC 2,1003.5K $
3,660VEEA INC 6,5033.5K $
3,661Bridgford Foods Corp 4553.5K $
3,662iShares MSCI EAFE Growth ETF 313.5K $
3,663Precipio Inc 1383.5K $
3,664INDAPTUS THERAPEUTICS INC 1,8903.4K $
3,665MEDIACO HOLDING INC 5,1833.4K $
3,666LightPath Technologies Inc 3403.4K $
3,667Magyar Bancorp Inc 1973.4K $
3,668Key Tronic Corp 1,2423.4K $
3,669Ishares Inc 1223.4K $
3,670Star Equity Holdings Inc 3283.4K $
3,671WORKSPORT LTD 3,1853.3K $
3,672BT BRANDS INC 1,9083.3K $
3,673NEW CONCEPT ENERGY INC 4,0963.3K $
3,674VIOMI TECHNOLOGY CO LTD 2,9853.3K $
3,675Levi Strauss & Co 1793.3K $
3,676VIVOSIM LABS INC 2,3083.3K $
3,677Blackrock Income Trust Inc. 3123.3K $
3,678CINGULATE INC 5313.3K $
3,679DIGITAL BRANDS GROUP INC 1,8313.3K $
3,680ENSYSCE BIOSCIENCES INC 6,0943.3K $
3,681TRIO PETROLEUM CORP 4,7413.3K $
3,682CYCURION INC 3,2373.3K $
3,683Vanguard Charlotte Funds 683.3K $
3,684CLEANCORE SOLUTIONS INC 9,1643.3K $
3,685PHARMACYTE BIOTECH INC 4,8893.3K $
3,686EXPION360 INC 5,6953.2K $
3,687Marchex Inc 2,0913.2K $
3,688DOLPHIN ENTERTAINMENT INC 2,2023.2K $
3,689Context Therapeutics Inc 1,2323.2K $
3,690Amesite Inc 1,7513.2K $
3,691ODYSSEY MARINE EXPLORATION INC 3,8533.2K $
3,692NOVABAY PHARMACEUTICALS INC 2,1483.2K $
3,693BLUEJAY DIAGNOSTICS INC 1,7293.2K $
3,694Solitario Resources Corp 3,8773.2K $
3,695WisdomTree Trust 203.2K $
3,696BEYOND AIR INC 4,5833.2K $
3,697Modular Medical Inc 5973.2K $
3,698SHUTTLE PHARMACEUTICALS HOLDINGS INC 4,6413.2K $
3,699CNS PHARMACEUTICALS INC 1,3103.1K $
3,700Home Federal Bancorp Inc of Louisiana 1813.1K $