Titelia

Holdings of Invenomic Capital Management LP

131 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 29.1 % of the equity sleeve

Sector breakdown

  • Technology 8.7 %
  • Financials 3.2 %
  • Materials 2.3 %
  • Communication 1.9 %
  • Energy 1.5 %
  • Health care 1.1 %
  • Industrials 0.3 %
  • Real estate 0.3 %
  • Unattributed 80.7 %

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 99.8 %
  • GB 0.2 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US1301.9B $99.83 %
2GB13.1M $0.17 %

Positions

RankCompanySharesValueWeight
1Chord Energy Corp 515,08473.2M $
2Workday Inc 559,95572.7M $
3Global Payments Inc 914,50561.5M $
4PVH Corp 763,27953.2M $
5Teleflex Inc 436,12552.2M $
6DENTSPLY SIRONA Inc 4,390,09350.9M $
7Fidelity National Information Services Inc 1,034,18948.5M $
8Akamai Technologies Inc 405,63246.6M $
9Viatris Inc 3,229,11243.6M $
10Salesforce Inc 223,54241.7M $
11BILL Holdings Inc 1,033,29639.6M $
12Lyft Inc 2,926,93838.9M $
13Haemonetics Corp 664,72937.5M $
14Fiserv Inc 624,99134.9M $
15Omnicom Group Inc 447,07533.7M $
16Universal Health Services Inc 185,10933.1M $
17CONMED Corp 934,60133M $
18Ingram Micro Holding Corp 1,379,00732.1M $
19RingCentral Inc 812,30830.2M $
20Iovance Biotherapeutics Inc 8,495,55129.8M $
21Ingredion Inc 260,67129.4M $
22Acadia Healthcare Co Inc 1,182,33127.7M $
23LiveRamp Holdings Inc 1,011,15626.8M $
24Solventum Corp 401,15626.2M $
25Six Flags Entertainment Corp 1,426,16725.3M $
26Snap Inc 5,260,79424.2M $
27Sonoco Products Co 439,72523.8M $
28Penn Entertainment Inc 1,544,76723.2M $
29Tennant Co 349,39223.2M $
30ABM Industries Inc 559,19621.5M $
31Leggett & Platt Inc 2,158,53321.3M $
32Upwork Inc 1,914,50121M $
33Coursera Inc 3,550,72620.7M $
34Enovis Corp 903,46220.6M $
35ConocoPhillips 146,22019.3M $
36Owens Corning 175,93519M $
37Macy's Inc 1,051,32319M $
38Regal Rexnord Corp 97,10518.2M $
39UiPath Inc 1,636,90218.2M $
40Mativ Holdings Inc 1,933,42916.8M $
41Legalzoom.com Inc 2,924,60116.6M $
42Vestis Corp 2,012,98915.8M $
43Zimmer Biomet Holdings Inc 169,70615.3M $
44SPS Commerce Inc 264,09514.7M $
45Central Garden & Pet Co 451,32814.6M $
46Ryerson Holding Corp 644,28414.5M $
47Shutterstock Inc 859,63714.3M $
48Five9 Inc 936,78814.2M $
49Vail Resorts Inc 110,54314.2M $
50Prudential Financial, Inc. 119,65111.7M $
51Caleres Inc 1,104,01311.6M $
52United Parks & Resorts Inc 353,78211.6M $
53Ziff Davis Inc 260,39210.9M $
54Lazard Inc 256,75010.9M $
55Edgewell Personal Care Co 494,74810.6M $
56Fulgent Genetics Inc 610,3189.7M $
57Maplebear Inc 255,0439.6M $
58Integra LifeSciences Holdings Corp 1,011,3159.5M $
59Flowers Foods Inc 1,150,3399.4M $
60Paylocity Holding Corp 85,9389.3M $
61Ovintiv Inc 153,4639.1M $
62BlackLine Inc 235,0128.7M $
63WisdomTree Inc 581,5438.5M $
64Accendra Health Inc 3,368,9757.7M $
65AdvanSix Inc 313,5497.7M $
66Gibraltar Industries Inc 183,0727.3M $
67PRA Group Inc 407,3987.1M $
68PayPal Holdings Inc 154,8197M $
69Lovesac Co/The 466,7486.9M $
70Quanterix Corp 1,932,3866.8M $
71Manhattan Associates Inc 50,6796.7M $
72Mistras Group Inc 452,6146.7M $
73Sprout Social Inc 1,157,4536.6M $
74Udemy Inc 1,386,0986.4M $
75HubSpot Inc 26,2186.4M $
76Pinterest Inc 343,1046.3M $
77First Foundation Inc 1,051,8786.2M $
78Crane NXT Co 148,1816M $
79M&T Bank Corp 28,9886M $
80WesBanco Inc 172,5526M $
81Wealthfront Corp 643,3286M $
82John B Sanfilippo & Son Inc 73,8865.9M $
83United Community Banks Inc/GA 179,2955.6M $
84Sprouts Farmers Market Inc 70,1745.4M $
85Ecovyst Inc 418,2655.4M $
86Miller Industries Inc/TN 114,8965.2M $
87HealthStream Inc 240,3705M $
88Gen Digital Inc 262,9355M $
89Otis Worldwide Corp 64,0524.9M $
90IQVIA Holdings Inc 28,8594.9M $
91Polaris Inc 87,7684.8M $
92Oxford Industries Inc 123,7404.8M $
93AvalonBay Communities, Inc. 29,1524.8M $
94Eastman Chemical Co 59,2434.5M $
95Etsy Inc 87,6794.4M $
96Clearwater Paper Corp 304,1504.4M $
97Sally Beauty Holdings Inc 284,9663.9M $
98Dauch Corporation 556,8763.3M $
99Belden Inc 28,4403.3M $
100Forestar Group Inc 130,6423.2M $