Titelia

Holdings of Russell Investments Group, Ltd.

3564 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 28.3 % of the equity sleeve

Sector breakdown

  • Technology 26.6 %
  • Financials 9.8 %
  • Communication 8.5 %
  • Consumer discretionary 8.4 %
  • Health care 8.0 %
  • Industrials 5.9 %
  • Real estate 3.7 %
  • Consumer staples 3.4 %
  • Utilities 3.2 %
  • Energy 2.7 %
  • Materials 1.6 %
  • Funds 0.1 %
  • Unattributed 18.0 %

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 96.3 %
  • TW 1.5 %
  • BR 0.4 %
  • GB 0.3 %
  • IN 0.3 %
  • KY 0.2 %
  • MX 0.2 %
  • NL 0.1 %
  • SG 0.1 %
  • ZA 0.1 %
  • CN 0.1 %
  • IE 0.1 %
  • Other countries 0.4 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US3,41581.6B $96.35 %
2TW31.3B $1.51 %
3BR14334M $0.39 %
4GB19249.8M $0.30 %
5IN4213.7M $0.25 %
6KY27168.6M $0.20 %
7MX8128.6M $0.15 %
8NL597.9M $0.12 %
9SG195.5M $0.11 %
10ZA464.5M $0.08 %
11CN554.7M $0.06 %
12IE150M $0.06 %

Positions

RankCompanySharesValueWeight
2,201Schrodinger Inc/United States 35,022397.8K $
2,202Caleres Inc 37,689397.2K $
2,203iShares Russell 2000 Growth ETF 1,265397.1K $
2,204WaFd Inc 12,605395.8K $
2,205Bicara Therapeutics Inc 19,893395.7K $
2,206ACV Auctions Inc 93,318395.7K $
2,207HBT Financial Inc 14,799395.4K $
2,208BlueLinx Holdings Inc 7,255393.1K $
2,209Maravai LifeSciences Holdings Inc 138,743392.6K $
2,210Aspen Aerogels Inc 114,386391.2K $
2,211VanEck Semiconductor ETF 1,017389.9K $
2,212Lemonade Inc 6,207389.1K $
2,213Vanguard World Fund 1,429389.1K $
2,214Funko Inc 122,290385.2K $
2,215Dakota Gold Corp 76,080384.2K $
2,216Vanguard Mid-Cap Growth ETF 1,491383.7K $
2,217iShares MSCI USA Momentum Factor ETF 1,597383.3K $
2,218Cia Paranaense de Energia - Copel 31,980381.8K $
2,219Ultrapar Participacoes SA 69,292381.8K $
2,220Chatham Lodging Trust 47,816376.3K $
2,221Shift4 Payments Inc 8,554374.1K $
2,222BILL Holdings Inc 9,748373.4K $
2,223iShares S&P Mid-Cap 400 Growth ETF 3,698372.1K $
2,224Crawford & Co 37,010369K $
2,225Cohu Inc 12,050369K $
2,226Bruker Corp 10,123365.6K $
2,227Global Industrial Co 11,564364.5K $
2,228Sensient Technologies Corp 4,215364.4K $
2,229Vanguard S&P 500 Growth ETF 893364.1K $
2,230Amicus Therapeutics Inc 25,140363.5K $
2,231Banco Santander Chile 10,859362.7K $
2,232Angi Inc 52,751361.3K $
2,233AAR Corp 3,301361.3K $
2,234Lennar Corp 4,294361.2K $
2,235Arhaus Inc 53,229360.9K $
2,236Waterstone Financial Inc 19,941359.5K $
2,237Diversified Energy Co 20,593359.1K $
2,238Avis Budget Group Inc 2,459358.6K $
2,239Energy Recovery Inc 35,311355.6K $
2,240BigBear.ai Holdings Inc 100,888355.1K $
2,241CVB Financial Corp 18,206353K $
2,242Northwest Natural Holding Co 6,632353K $
2,243Coca-Cola Femsa SAB de CV 3,613352.4K $
2,244PJT Partners Inc 2,519352K $
2,245Vanguard Large-Cap ETF 1,174351K $
2,246Hello Group Inc 61,448350.3K $
2,247Axia Energia 31,986349.3K $
2,248Vanguard Scottsdale Funds 3,486349.2K $
2,249Editas Medicine Inc 141,082348.5K $
2,250ARMOUR Residential REIT Inc 20,875348.2K $
2,251HireQuest Inc 34,845347.8K $
2,252First Internet Bancorp 17,029347K $
2,253Reynolds Consumer Products Inc 16,381347K $
2,254MARA Holdings Inc 42,468346.5K $
2,255Vanguard Admiral Funds Inc. 2,767346K $
2,256Cass Information Systems Inc 7,856345.8K $
2,257Impinj Inc 3,363345.4K $
2,258Forward Air Corp 20,628344.7K $
2,259Summit Therapeutics Inc 17,986341K $
2,260Medical Properties Trust Inc 73,769340.6K $
2,261Quad/Graphics Inc 51,297339.1K $
2,262Palomar Holdings Inc 2,837339K $
2,263SPDR Series Trust 5,987338.7K $
2,264Ardelyx Inc 56,286337.2K $
2,265iShares Core MSCI Total International Stock ETF 3,882336.3K $
2,266Up Fintech Holding Ltd 53,178335K $
2,267Select Sector Spdr Trust 5,459334.4K $
2,268Weave Communications Inc 72,330334.2K $
2,269Kadant Inc 1,141333.9K $
2,270SoundHound AI Inc 48,542333.5K $
2,271One Liberty Properties Inc 15,304328.4K $
2,272Flagstar Bank NA 24,913328.1K $
2,273ADTRAN Holdings Inc 25,926326.2K $
2,274Proto Labs Inc 5,704325.2K $
2,275QCR Holdings Inc 3,805325.1K $
2,276ICU Medical Inc 2,517325.1K $
2,277Alexander's Inc 1,366322.8K $
2,278First Business Financial Services Inc 5,961321.5K $
2,279Sky Harbour Group Corp 33,094318.7K $
2,280D-MARKET Elektronik Hizmetler ve Ticaret AS 121,305317.8K $
2,281Schwab Strategic Trust 10,417317.7K $
2,282Trustmark Corp 7,509316.4K $
2,283MannKind Corp 127,860313.3K $
2,284iShares S&P Mid-Cap 400 Value ETF 2,363313.1K $
2,285Paysign Inc 52,968312.5K $
2,286Nexpoint Real Estate Finance Inc 23,181312.3K $
2,287Evolent Health Inc 136,941312.2K $
2,288Citi Trends Inc 7,206312.2K $
2,289Invesco Mortgage Capital Inc 38,510311.2K $
2,290Clearwater Paper Corp 21,530309.6K $
2,291Vanguard Russell 1000 Growth ETF 2,811308.3K $
2,292Atlanticus Holdings Corp 5,836306.2K $
2,293Perimeter Solutions Inc 12,531306K $
2,294Trupanion Inc 11,931305.6K $
2,295SPDR Series Trust 3,981304.7K $
2,296Adeia Inc 12,667304.4K $
2,297Nicolet Bankshares Inc 2,046304.1K $
2,298TTEC Holdings Inc 121,230303.1K $
2,299Dynex Capital Inc 23,699302.4K $
2,300Aehr Test Systems 8,125301.3K $