Titelia

Holdings of MIRABELLA FINANCIAL SERVICES LLP

791 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 17.9 % of the equity sleeve

Sector breakdown

  • Industrials 9.0 %
  • Technology 7.5 %
  • Financials 3.2 %
  • Utilities 3.2 %
  • Materials 2.5 %
  • Consumer discretionary 2.0 %
  • Communication 1.9 %
  • Health care 1.5 %
  • Funds 0.8 %
  • Consumer staples 0.8 %
  • Energy 0.8 %
  • Unattributed 66.9 %

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 97.1 %
  • MX 1.7 %
  • BR 0.6 %
  • PE 0.4 %
  • CL 0.1 %
  • AR 0.1 %
  • FR 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US780589.6M $97.08 %
2MX410.3M $1.69 %
3BR33.7M $0.62 %
4PE12.1M $0.35 %
5CL1568.6K $0.09 %
6AR1537.4K $0.09 %
7FR1473.9K $0.08 %

Positions

RankCompanySharesValueWeight
701OPENLANE Inc 6,971203.2K $
702Wynn Resorts Ltd 1,995202.6K $
703ZoomInfo Technologies Inc 33,864202.5K $
704Equity Bancshares Inc 4,521200.8K $
705New Jersey Resources Corp 3,650200.5K $
706Group 1 Automotive Inc 605200K $
707Kearny Financial Corp/MD 26,159197.5K $
708Banc of California Inc 11,191196.7K $
709California BanCorp 11,058195.9K $
710Harmonic Inc 21,476192.9K $
711Sunrun Inc 14,208192.7K $
712Stagwell Inc 30,236190.2K $
713Niagen Bioscience Inc 43,074190K $
714Alphatec Holdings Inc 17,316188.4K $
715Target Hospitality Corp 19,948185.1K $
716Hawaiian Electric Industries Inc 12,458184.9K $
717Weave Communications Inc 37,300172.3K $
718RPC Inc 23,731168K $
719NeoGenomics Inc 22,524167.1K $
720NPK International Inc 11,446165.9K $
721NewtekOne Inc 14,936163.5K $
722Annexon Inc 28,739159.2K $
723ADMA Biologics Inc 17,644159K $
724Ooma Inc 10,881158.3K $
725Adaptive Biotechnologies Corp 11,368157.8K $
726HighPeak Energy Inc 22,752157K $
727Cars.com Inc 19,292156.7K $
728MBIA Inc 26,437156.2K $
729Rigetti Computing Inc 11,097155.8K $
730ProFrac Holding Corp 25,128155.8K $
731Huntsman Corp 11,487152.9K $
732TETRA Technologies Inc 17,934152.8K $
733Vir Biotechnology Inc 16,856151K $
734ImmunityBio Inc 19,641150.6K $
735Relay Therapeutics Inc 15,121150.5K $
736Oaktree Specialty Lending Corp 13,304150.3K $
737Avantor Inc 18,791147.3K $
738DENTSPLY SIRONA Inc 12,600146.2K $
739Hudson Technologies Inc 24,735145.4K $
740RUNWAY GROWTH FINANCE CORP. 21,164145.4K $
741CCC Intelligent Solutions Holdings Inc 24,159145K $
742Energy Recovery Inc 14,362144.6K $
743Evolv Technologies Holdings Inc 23,814144.1K $
744First Watch Restaurant Group Inc 13,739144K $
745SIGA Technologies Inc 26,812143.4K $
746Solid Biosciences Inc 19,897143.3K $
747BioCryst Pharmaceuticals Inc 14,908141.9K $
748Immersion Corp 25,665140.1K $
749Oil States International Inc 12,038140.1K $
750EverCommerce Inc 12,231139.8K $
751Mativ Holdings Inc 15,865138K $
752DNOW Inc 11,048131.6K $
753Xeris Biopharma Holdings Inc 22,483130.4K $
754Design Therapeutics Inc 11,814125.7K $
755Everspin Technologies Inc 13,432118.1K $
756PennantPark Floating Rate Capi 14,598117.4K $
757Navitas Semiconductor Corp 13,130115.2K $
758Cleanspark Inc 13,323113.4K $
759Flowers Foods Inc 13,858112.9K $
760Larimar Therapeutics Inc 24,565110.5K $
761Amplitude Inc 15,641106.7K $
762FS KKR Capital Corp 10,019102K $
763ASP Isotopes Inc 22,31198.6K $
764Redwire Corp 11,25795.7K $
765Quad/Graphics Inc 14,36194.9K $
766Lumen Technologies Inc 12,90989.7K $
767AerSale Corp 14,17888.2K $
768Stoneridge Inc 18,22088K $
769Atomera Inc 23,08287.9K $
770Vanda Pharmaceuticals Inc 12,61687.2K $
771Iovance Biotherapeutics Inc 24,77387K $
772Custom Truck One Source Inc 12,90584.8K $
773Barings BDC Inc 10,28184.6K $
774First Foundation Inc 13,95182.3K $
775SEACOR Marine Holdings Inc 11,25580.6K $
776Gogo Inc 19,86079.8K $
777Designer Brands Inc 13,21475.2K $
778Arhaus Inc 11,00974.6K $
779Crexendo Inc 11,33469.9K $
780Talkspace Inc 13,45369.6K $
781Methode Electronics Inc 12,42968.6K $
782JetBlue Airways Corp 15,00066.3K $
783Rocket Pharmaceuticals Inc 17,63963.1K $
784Candel Therapeutics Inc 12,48961.2K $
785Esperion Therapeutics Inc 18,85851.7K $
786MannKind Corp 14,61435.8K $
787OPKO Health, Inc. 24,90628.4K $
788Olaplex Holdings Inc 11,73023.8K $
789OPENDOOR TECHNOLOGIES INC 55,1703.4K $
790OPENDOOR TECHNOLOGIES INC 55,1701.7K $
791OPENDOOR TECHNOLOGIES INC 55,1701.5K $