Titelia

Holdings of Man Group plc

1734 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 21 % of the equity sleeve

Sector breakdown

  • Technology 24.1 %
  • Financials 9.6 %
  • Health care 8.8 %
  • Consumer discretionary 8.6 %
  • Communication 7.3 %
  • Industrials 6.6 %
  • Consumer staples 3.7 %
  • Materials 2.7 %
  • Utilities 2.1 %
  • Energy 1.6 %
  • Real estate 1.5 %
  • Funds 0.7 %
  • Unattributed 22.9 %

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 95.7 %
  • IN 1.1 %
  • TW 1.0 %
  • KY 0.6 %
  • BR 0.5 %
  • ZA 0.5 %
  • CN 0.3 %
  • MX 0.1 %
  • LU 0.1 %
  • GB 0.0 %
  • IL 0.0 %
  • CL 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US1,68539.7B $95.70 %
2IN5460.3M $1.11 %
3TW3433.1M $1.05 %
4KY11269.3M $0.65 %
5BR7210.8M $0.51 %
6ZA4189.9M $0.46 %
7CN2107.4M $0.26 %
8MX340.7M $0.10 %
9LU130.1M $0.07 %
10GB215.3M $0.04 %
11IL38.4M $0.02 %
12CL25.1M $0.01 %

Positions

RankCompanySharesValueWeight
1,401Alliant Energy Corp 11,003789.6K $
1,402Mativ Holdings Inc 90,515787.5K $
1,403Jefferson Capital Inc 40,745783.5K $
1,404Grupo Aeroportuario del Sureste SAB de CV 2,327782.2K $
1,405Eastman Kodak Co 86,170779.8K $
1,406City Holding Co 6,523779.6K $
1,407Weave Communications Inc 168,408778K $
1,408Latham Group Inc 144,795777.5K $
1,409ThredUp Inc 236,387775.3K $
1,410RCI Hospitality Holdings Inc 33,910773.5K $
1,411Harmonic Inc 85,670769.3K $
1,412Sarepta Therapeutics Inc 35,239766.8K $
1,413World Acceptance Corp 5,663764.7K $
1,414Montrose Environmental Group Inc 34,801761.8K $
1,415Chime Financial Inc 40,164752.3K $
1,416Embecta Corp 84,208744.4K $
1,417Wynn Resorts Ltd 7,277739K $
1,418Northrim BanCorp Inc 32,251737.9K $
1,419Silgan Holdings Inc 18,848731.3K $
1,420Amphastar Pharmaceuticals Inc 37,274730.2K $
1,421Alarm.com Holdings Inc 16,879729K $
1,422Opendoor Technologies Inc 155,444727.5K $
1,423Moderna Inc 14,277725.3K $
1,424Glacier Bancorp Inc 16,227724.9K $
1,425Burke & Herbert Financial Services Corp 11,636724.8K $
1,426AAON Inc 8,727722.2K $
1,427Forum Energy Technologies Inc 12,275720.1K $
1,428Tactile Systems Technology Inc 27,269712.5K $
1,429Hain Celestial Group Inc/The 1,018,327710.6K $
1,430GLOBAL X FUNDS 17,936709.5K $
1,431UMB Financial Corp 6,189698.1K $
1,432Telos Corp 166,562697.9K $
1,433Wintrust Financial Corp 5,022697.8K $
1,434Third Coast Bancshares Inc 18,441697.6K $
1,435Array Technologies Inc 96,146695.1K $
1,436AVALO THERAPEUTICS INC 46,553695K $
1,437Columbus McKinnon Corp/NY 47,739693.6K $
1,438Soleno Therapeutics Inc 20,678692.3K $
1,439Intellia Therapeutics Inc 53,795689.7K $
1,440Cytokinetics Inc 10,463689.6K $
1,441AvePoint Inc 72,340688K $
1,442Blue Owl Technology Finance Corp 55,490687.5K $
1,443Teleflex Inc 5,746687.3K $
1,444Sprout Social Inc 120,514686.9K $
1,445ADTRAN Holdings Inc 54,171681.5K $
1,446Owlet Inc 132,054678.8K $
1,447PONY AI INC 71,877678.5K $
1,448Daktronics Inc 34,640677.2K $
1,449Fortrea Holdings Inc 71,839676.7K $
1,450C4 Therapeutics Inc 256,468674.5K $
1,451ICU Medical Inc 5,208672.6K $
1,452G-III Apparel Group Ltd 24,247671.6K $
1,453HB Fuller Co 10,850669.2K $
1,454Ginkgo Bioworks Holdings Inc 109,117668.9K $
1,455AvalonBay Communities, Inc. 4,078666.1K $
1,456Aveanna Healthcare Holdings Inc 102,569660.5K $
1,457Peloton Interactive Inc 152,629654.8K $
1,458Materion Corp 4,514653K $
1,459National Beverage Corp 19,208646.3K $
1,460Wolverine World Wide Inc 39,364642.4K $
1,461Disc Medicine Inc 10,006639.8K $
1,462Perma-Pipe International Holdings Inc 21,433638.9K $
1,463Diversified Healthcare Trust 95,985637.3K $
1,464Universal Electronics Inc 154,362636K $
1,465Shoals Technologies Group Inc 96,646635.9K $
1,466Genie Energy Ltd 44,873634.5K $
1,467John Wiley & Sons Inc 16,440626.4K $
1,468Contango Silver & Gold Inc 33,305624.5K $
1,469Watsco Inc 1,716624.3K $
1,470Heritage Insurance Holdings Inc 23,617619.9K $
1,471PDF Solutions Inc 18,777614.2K $
1,472Ethos Technologies Inc 54,805612.2K $
1,473Murphy Oil Corp 14,712606.9K $
1,474Certara Inc 106,342606.1K $
1,475Waste Management Inc 2,637606K $
1,476Hinge Health Inc 15,711605.8K $
1,477Helios Technologies Inc 9,359605.6K $
1,478Annexon Inc 109,222605.1K $
1,479Astronics Corp 9,017601.7K $
1,480Espey Mfg. & Electronics Corp 10,821599.7K $
1,481GXO Logistics Inc 11,526597.6K $
1,482LSI Industries Inc 32,111597.3K $
1,483Mitek Systems Inc 44,217596.9K $
1,484Movado Group Inc 24,439596.8K $
1,485Shore Bancshares Inc 31,709592.3K $
1,486Geron Corp 396,908591.4K $
1,487Innospec Inc 8,092590.9K $
1,488Occidental Petroleum Corp 8,970583.1K $
1,489NeuroPace Inc 43,897577.2K $
1,490Dutch Bros Inc 11,313573.1K $
1,491Ishares Inc 14,366571.2K $
1,492Bilibili Inc 25,183568.1K $
1,493Upbound Group Inc 31,469568K $
1,494Graham Holdings Co 535565.6K $
1,495Varex Imaging Corp 52,690559K $
1,496Wipro Ltd 263,300558.2K $
1,497AMC Networks Inc 81,721554.9K $
1,498D-Wave Quantum Inc 38,449554.8K $
1,499OppFi Inc 71,906554.4K $
1,500Vishay Intertechnology Inc 30,749553.5K $