Titelia

Holdings of Peapod Lane Capital LLC

62 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 30.9 % of the equity sleeve

Sector breakdown

  • Funds 1.7 %
  • Unattributed 98.3 %

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 97.1 %
  • IL 2.4 %
  • GB 0.5 %

Shares computed on the equity sleeve.

CountryLinesValueShare
US60118.4M $97.12 %
IL13M $2.43 %
GB1550.2K $0.45 %

Positions

CompanySharesValueWeight
Alico Inc 133,6925.5M $
Acacia Research Corp 1,091,3365.3M $
KVH Industries Inc 414,7383.7M $
Hurco Cos Inc 244,8683.6M $
Chatham Lodging Trust 450,0213.5M $
Fulgent Genetics Inc 220,6273.5M $
Limoneira Co 248,3433.3M $
Commercial Vehicle Group Inc 927,5303.1M $
Seneca Foods Corp 20,2923.1M $
AerSale Corp 496,8743.1M $
Clearwater Paper Corp 214,5213.1M $
Johnson Outdoors Inc 65,6793.1M $
Star Holdings 405,9733M $
OraSure Technologies Inc 1,018,4763M $
Nano Dimension Ltd 1,760,5433M $
Vera Bradley Inc 834,1072.6M $
Hooker Furnishings Corp 192,1602.5M $
TrueBlue Inc 640,0102.4M $
Saga Communications Inc 206,5522.4M $
Medifast Inc 219,0632.2M $
4D Molecular Therapeutics Inc 241,4802.2M $
Cato Corp/The 766,8252.2M $
FONAR Corp 113,6622.1M $
Unifi Inc 572,8032M $
iShares Trust 20,0012M $
Intrepid Potash Inc 46,0862M $
Arq, Inc. 775,3492M $
Seaport Entertainment Group Inc 92,5062M $
Resources Connection Inc 528,4112M $
Universal Electronics Inc 455,4911.9M $
Standard BioTools Inc 2,028,5271.9M $
Alto Ingredients Inc 406,3851.8M $
Gaia Inc 630,7951.7M $
Twin Disc Inc 108,1071.6M $
Inogen Inc 258,6451.6M $
Pliant Therapeutics Inc 1,288,5781.6M $
Mammoth Energy Services Inc 599,8051.5M $
Kelly Services Inc 169,9491.5M $
Atea Pharmaceuticals Inc 272,8201.4M $
Clarus Corp 530,8711.4M $
Nkarta Inc 676,2121.4M $
Hoyne Bancorp Inc 96,6881.4M $
Identiv Inc 376,7301.4M $
Westwood Holdings Group Inc 78,8591.3M $
AMREP Corp 46,0621.3M $
AstroNova Inc 130,9781.2M $
FB Bancorp Inc 88,1981.2M $
Northern Technologies International Corp 142,6421.2M $
Lake Shore Bancorp Inc/MD 68,9431M $
Lakeland Industries Inc 128,1181M $
MaxCyte Inc 1,332,193925.8K $
Kezar Life Sciences Inc 126,692924.5K $
Zentalis Pharmaceuticals Inc 366,868834.6K $
Methode Electronics Inc 140,642773.7K $
Climb Bio Inc 108,878739.8K $
Seer Inc 438,581735.9K $
DocGo Inc 1,129,194697.5K $
METAGENOMI THERAPEUTICS INC 516,761682.9K $
FUEL TECH INC 478,842582.1K $
Bicycle Therapeutics PLC 121,106550.2K $
Kyverna Therapeutics Inc 40,404336.5K $
AN2 Therapeutics Inc 59,854206.9K $