Titelia

Holdings of FRONTIER CAPITAL MANAGEMENT CO LLC

265 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 15.4 % of the equity sleeve

Sector breakdown

  • Technology 8.0 %
  • Health care 6.0 %
  • Industrials 3.7 %
  • Materials 2.4 %
  • Consumer discretionary 1.2 %
  • Energy 0.9 %
  • Financials 0.5 %
  • Utilities 0.3 %
  • Communication 0.3 %
  • Consumer staples 0.2 %
  • Unattributed 76.5 %

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 99.6 %
  • KY 0.4 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2648.7B $99.65 %
2KY130.6M $0.35 %

Positions

RankCompanySharesValueWeight
101WaFd Inc 1,074,55233.7M $
102Hope Bancorp Inc 3,019,09733.7M $
103Align Technology Inc 196,51233.7M $
104Fair Isaac Corp 31,47133.6M $
105Cheniere Energy Inc 117,98933.5M $
106Knife River Corp 409,48733.4M $
107Silgan Holdings Inc 858,49733.3M $
108Celsius Holdings Inc 936,06233.2M $
109Cloudflare Inc 157,29932.5M $
110TransMedics Group Inc 320,47131.9M $
111Dexcom Inc 505,62831.8M $
112BJ's Wholesale Club Holdings Inc 319,22031.4M $
113Fluor Corp 671,77731.3M $
114Mueller Industries Inc 282,44331.3M $
115Quanta Services Inc 56,89731.2M $
116Donnelley Financial Solutions Inc 653,81830.8M $
117Silicon Motion Technology Corp 272,35630.6M $
118Seacoast Banking Corp of Florida 999,24630.3M $
119Merit Medical Systems Inc 430,61829.7M $
120RBC Bearings Inc 53,19328.9M $
121QuidelOrtho Corp 1,752,61328.8M $
122Vistra Corp 191,00728.7M $
123Voyager Technologies Inc 1,227,18728.7M $
124Unitil Corp 548,78028.7M $
125Better Home & Finance Holding Co 793,93428.3M $
126COPT Defense Properties 903,87627.7M $
127Gibraltar Industries Inc 688,27227.4M $
128Coherent Corp 112,90626.9M $
129Interface Inc 1,062,10826.5M $
130Rocket Lab Corp 403,74025.9M $
131Life Time Group Holdings Inc 936,59725.2M $
132Cooper Cos Inc/The 352,33525.2M $
133L3Harris Technologies Inc 72,03224.9M $
134LGI Homes Inc 628,92924.9M $
135CACI International Inc 45,56424.8M $
136Mattel Inc 1,691,42324.6M $
137Baldwin Insurance Group Inc/The 1,102,45224.2M $
138Applied Optoelectronics Inc 284,14624M $
139Neptune Insurance Holdings Inc 986,84823.9M $
140Trevi Therapeutics Inc 1,994,29223.8M $
141Revolution Medicines Inc 243,80423.7M $
142Chemed Corp 62,72623.7M $
143ROBLOX Corp 410,66523.2M $
144Domino's Pizza Inc 62,73322.5M $
145Citizens Financial Group Inc 373,38422.4M $
146BankUnited Inc 492,64622.2M $
147Vera Therapeutics Inc 551,49322.2M $
148API Group Corp 546,80722.2M $
149Rollins Inc 407,47221.8M $
150TriNet Group Inc 576,08921M $
151Murphy USA Inc 42,45521M $
152IDEXX Laboratories Inc 35,36419.9M $
153Dolby Laboratories Inc 319,59319.2M $
154EnerSys 106,50718.5M $
155TETRA Technologies Inc 2,147,23018.3M $
156WESCO International Inc 65,65118M $
157M/I Homes Inc 144,69817.7M $
158Praxis Precision Medicines Inc 53,36517.2M $
159Church & Dwight Co Inc 182,40117M $
160Everus Construction Group Inc 143,49916.9M $
161Mettler-Toledo International Inc 13,33316.8M $
162Arista Networks Inc 136,94716.8M $
163ACV Auctions Inc 3,929,32116.7M $
164QXO Inc 853,48216.6M $
165Revvity Inc 188,72216.5M $
166Tractor Supply Co 362,57416.4M $
167Carlyle Group Inc/The 332,30616.1M $
168HealthEquity Inc 192,40016.1M $
169Avantor Inc 2,024,01015.9M $
170Curtiss-Wright Corp 23,19215.8M $
171Evercore Inc 52,89015.8M $
172Amphenol Corp 124,75715.8M $
173OPENLANE Inc 540,27815.7M $
174MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 70,32815.6M $
175AGCO Corp 134,35015.6M $
176Cheesecake Factory Inc/The 278,98115.3M $
177PROCEPT BIOROBOTICS CORP 609,85715.3M $
178Dyne Therapeutics Inc 821,84914.9M $
179Workday Inc 114,31514.9M $
180ResMed Inc 65,22414.6M $
181Lithia Motors Inc 55,24013.8M $
182AeroVironment Inc 73,96313.5M $
183Acadia Healthcare Co Inc 575,24313.5M $
184Range Resources Corp 297,52113.4M $
185Caesars Entertainment Inc 503,39613.3M $
186MP Materials Corp 273,49513.2M $
187Qorvo Inc 169,99113.2M $
188Symbotic Inc 245,05413M $
189Applied Industrial Technologies Inc 49,04613M $
190Synaptics Inc 184,94613M $
191Reddit Inc 96,03012.9M $
192Deckers Outdoor Corp 128,61612.9M $
193Equifax Inc 70,23012.6M $
194Commvault Systems Inc 161,11512.5M $
195Chipotle Mexican Grill Inc 390,55512.5M $
196Solstice Advanced Materials Inc 162,33812.4M $
197Procore Technologies Inc 216,87612.4M $
198Hubbell Inc 25,06812.3M $
199Varex Imaging Corp 1,150,00712.2M $
200Agilent Technologies Inc 105,56812M $