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
1,601Everspin Technologies Inc 39,012342.9K $
1,602Cooper Cos Inc/The 4,794342.8K $
1,603Bio-Techne Corp 6,540341.8K $
1,604Atlas Energy Solutions Inc 26,044341.7K $
1,605Piedmont Realty Trust Inc 51,659339.4K $
1,606PCB Bancorp 15,014337.7K $
1,607Phathom Pharmaceuticals Inc 30,352337.2K $
1,608Gray Media Inc 77,463336.2K $
1,609CECO Environmental Corp 5,628335.3K $
1,610Vital Farms Inc 23,701334.7K $
1,611Novavax Inc 40,166327K $
1,612Stitch Fix Inc 97,586323K $
1,613Nkarta Inc 152,622322K $
1,614Pursuit Attractions and Hospitality Inc 8,758320.8K $
1,615Rexford Industrial Realty Inc 9,796320.6K $
1,616Enerpac Tool Group Corp 8,640315.1K $
1,617Chord Energy Corp 2,202313.1K $
1,618Palomar Holdings Inc 2,595310.1K $
1,619Editas Medicine Inc 125,511310K $
1,620Par Pacific Holdings Inc 4,898306.8K $
1,621Century Communities Inc 5,321305.3K $
1,622Infinity Natural Resources Inc 17,317305K $
1,623Archer Aviation Inc 58,635303.1K $
1,624Puma Biotechnology Inc 47,375302.7K $
1,625Hilltop Holdings Inc 8,449302.6K $
1,626Ooma Inc 20,691301.1K $
1,627iShares 5-10 Year Investment Grade Corporate Bond ETF 5,571296.5K $
1,628CF Bankshares Inc 10,530293.9K $
1,629Bicycle Therapeutics PLC 63,305293.7K $
1,630Gen Digital Inc 15,594293.6K $
1,631Precigen Inc 75,439291.9K $
1,632Proto Labs Inc 5,114291.6K $
1,633Astec Industries Inc 5,372289.2K $
1,634Bowman Consulting Group Ltd 10,090287K $
1,635Septerna Inc 11,858284.9K $
1,636LuxExperience BV 35,616284.9K $
1,637Trinity Capital Inc 19,361284.8K $
1,638Tidewater Inc 3,392283.4K $
1,639Caleres Inc 26,878283.3K $
1,640Sagimet Biosciences Inc 53,777281K $
1,641Tanger Inc 8,228279.6K $
1,642RPC Inc 39,129277K $
1,643Mineralys Therapeutics Inc 10,139274.7K $
1,644Global Business Travel Group I 48,897272.8K $
1,645Evolus Inc 66,243272.3K $
1,646QuinStreet Inc 22,530270.6K $
1,6474D Molecular Therapeutics Inc 28,983269.8K $
1,648Black Rock Coffee Bar Inc 20,793268.6K $
1,649Omega Healthcare Investors Inc 6,062265.6K $
1,650Virtu Financial Inc 5,932260.9K $
1,651J Jill Inc 22,577258.7K $
1,652Iovance Biotherapeutics Inc 73,082256.5K $
1,653First Internet Bancorp 12,570256.2K $
1,654Natural Gas Services Group Inc 6,774255.7K $
1,655Northern Oil & Gas Inc 8,739255.4K $
1,656Sociedad Quimica y Minera de Chile SA 3,143254.4K $
1,657EPR Properties 5,091254.3K $
1,658Newmark Group Inc 16,873252.9K $
1,659Melco Resorts & Entertainment Ltd 44,300251.6K $
1,660Farmers & Merchants Bancorp Inc/Archbold OH 9,653247.8K $
1,661OptimizeRx Corp 38,941244.5K $
1,662Vail Resorts Inc 1,895243.2K $
1,663Victory Capital Holdings Inc 3,700242.3K $
1,664Cerence Inc 38,350242K $
1,665iShares Trust 2,970239.7K $
1,666LendingClub Corp 16,679238.8K $
1,667Maximus Inc 3,683236.1K $
1,668Service Corp International/US 2,829233.4K $
1,669Civista Bancshares Inc 10,225233K $
1,670Powerfleet Inc NJ 75,279231.9K $
1,671BETA TECHNOLOGIES INC 15,723231.1K $
1,672Myers Industries Inc 10,866230.1K $
1,673Community Healthcare Trust Inc 14,452229.6K $
1,674MGM Resorts International 6,199229.4K $
1,675First Community Corp/SC 7,732226K $
1,676HealthStream Inc 10,892225.6K $
1,677Chiron Real Estate Inc 6,805225.1K $
1,678Coty Inc 111,909224.9K $
1,679Lovesac Co/The 15,182224.2K $
1,680Biglari Holdings Inc 128223.1K $
1,681Blend Labs Inc 130,522221.9K $
1,682Evolent Health Inc 96,877220.9K $
1,683Peoples Bancorp Inc/OH 6,719220.9K $
1,684Mesa Laboratories Inc 2,477219K $
1,685Energy Services of America Corp 16,676219K $
1,686Travere Therapeutics Inc 7,356218.5K $
1,687Gorman-Rupp Co/The 3,461215K $
1,688Ormat Technologies Inc 1,921215K $
1,689Modiv Industrial Inc 14,931213.8K $
1,690National Storage Affiliates Trust 5,644213K $
1,691ATRenew Inc 44,200207.3K $
1,692Alphatec Holdings Inc 18,971206.4K $
1,693Metropolitan Bank Holding Corp 2,466205.4K $
1,694AIRO Group Holdings Inc 26,703203.1K $
1,695Omada Health Inc 16,024201.4K $
1,696Farmers National Banc Corp 14,583191.9K $
1,697Upstream Bio Inc 21,154190.4K $
1,698Optex Systems Holdings Inc 14,109186.6K $
1,699Freshworks Inc 22,359179.5K $
1,700Absci Corp 59,761179.3K $