Titelia

Holdings of Aristotle Capital Boston, LLC

112 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 22.9 % of the equity sleeve

Sector breakdown

  • Technology 3.4 %
  • Funds 0.9 %
  • Energy 0.5 %
  • Industrials 0.4 %
  • Health care 0.2 %
  • Unattributed 94.6 %

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 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US1121.5B $100.00 %

Positions

RankCompanySharesValueWeight
1Advanced Energy Industries Inc 151,39148.9M $
2MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 206,11645.8M $
3HA Sustainable Infrastructure Capital Inc 1,026,24537.7M $
4HealthEquity Inc 397,22933.2M $
5Huron Consulting Group Inc 249,91231.9M $
6Littelfuse Inc 86,99329.5M $
7ACI Worldwide Inc 660,81927.1M $
8Itron Inc 292,84426.3M $
9Merit Medical Systems Inc 377,58026.1M $
10Knowles Corp 1,004,20525.8M $
11Scotts Miracle-Gro Co/The 374,42822.8M $
12National Bank Holdings Corp 581,19122.8M $
13Perella Weinberg Partners 1,233,45822.4M $
14Belden Inc 191,03822M $
15TKO Group Holdings Inc 107,47021.7M $
16Byline Bancorp Inc 674,78421.3M $
17Silgan Holdings Inc 536,97720.9M $
18STAG Industrial Inc 577,70620.8M $
19Hexcel Corp 251,15920.4M $
20Chemed Corp 52,81120M $
21Customers Bancorp Inc 284,40719.7M $
22Haemonetics Corp 346,38619.5M $
23Mercury Systems Inc 266,41719.5M $
24Atlantic Union Bankshares Corp 541,90019.4M $
25Guardian Pharmacy Services Inc 495,85618.7M $
26Valvoline Inc 548,98318.5M $
27BankUnited Inc 407,41418.4M $
28Charles River Laboratories International Inc 97,43416.8M $
29Pursuit Attractions and Hospitality Inc 457,17016.7M $
30Voya Financial Inc 244,21916.7M $
31Liquidity Services Inc 539,53916.5M $
32AptarGroup Inc 130,50816.5M $
33Knight-Swift Transportation Holdings Inc 285,52516.5M $
34Box Inc 695,54916.4M $
35Euronet Worldwide Inc 247,23016.4M $
36Range Resources Corp 358,28116.2M $
37KBR Inc 424,48315.7M $
38Casella Waste Systems Inc 195,95415.5M $
39Prestige Consumer Healthcare Inc 253,11915M $
40Baldwin Insurance Group Inc/The 682,06015M $
41GXO Logistics Inc 287,01814.9M $
42Benchmark Electronics Inc 265,41714.9M $
43Wolverine World Wide Inc 888,62614.5M $
44Agree Realty Corp 191,35714.4M $
45LKQ Corp 484,99314.3M $
46First Interstate BancSystem Inc 418,25614M $
47Columbia Banking System Inc 504,48113.8M $
48Albany International Corp 264,45813.8M $
49KB Home 265,07013.8M $
50Interparfums Inc 150,29213.7M $
51Unitil Corp 260,52313.6M $
52ASGN Inc 349,41813.5M $
53Matthews International Corp 519,71013.4M $
54United Community Banks Inc/GA 407,92212.8M $
55FTI Consulting Inc 70,19412.4M $
56Acadia Healthcare Co Inc 521,66712.2M $
57Cohen & Steers Inc 191,16212M $
58Hilton Grand Vacations Inc 294,32811.5M $
59Banner Corp 188,45711.4M $
60Old National Bancorp/IN 516,58311.4M $
61Texas Capital Bancshares Inc 119,02211.3M $
62Dycom Industries Inc 33,00911.3M $
63SLR Investment Corp 755,17210.8M $
64Supernus Pharmaceuticals Inc 203,09410.5M $
65IDACORP Inc 72,95610.4M $
66Dolby Laboratories Inc 168,00210.1M $
67Sonos Inc 741,1279.9M $
68WesBanco Inc 285,7469.9M $
69Rogers Corp 91,0489.8M $
70Oceaneering International Inc 271,4909.6M $
71Verra Mobility Corp 650,2669.3M $
72Amentum Holdings Inc 344,9769M $
73WillScot Holdings Corp 507,8178.8M $
74Northern Oil & Gas Inc 301,1458.8M $
75ONE Gas Inc 98,0358.4M $
76Pediatrix Medical Group Inc 387,7648.3M $
77Envista Holdings Corp 325,0218.2M $
78J & J Snack Foods Corp 103,3698.2M $
79Primo Brands Corp 405,5747.7M $
80Flowserve Corp 103,2847.6M $
81iShares Core S&P Small-Cap ETF 60,5527.5M $
82Americold Realty Trust Inc 633,7927.3M $
83Permian Resources Corp 340,5527.2M $
84QuidelOrtho Corp 420,4026.9M $
85Insight Enterprises Inc 103,1296.9M $
86Community Healthcare Trust Inc 425,5726.8M $
87iShares Russell 2000 ETF 21,3705.3M $
88iShares Russell 2000 Value ETF 27,1555.1M $
89Cross Country Healthcare Inc 529,0365M $
90Encompass Health Corp 49,2524.8M $
91Teledyne Technologies Inc 7,5734.6M $
92AH Realty Trust Inc 825,4844.5M $
93Chefs' Warehouse Inc/The 65,0183.9M $
94Service Corp International/US 40,1873.3M $
95BJ's Wholesale Club Holdings Inc 33,1453.3M $
96IDEX Corp 15,7013M $
97Safehold Inc 211,8152.9M $
98Jacobs Solutions Inc 21,3972.7M $
99Healthpeak Properties Inc 143,6102.4M $
100Pinnacle West Capital Corp. 21,3792.2M $