Titelia

Holdings of WELLS FARGO & COMPANY/MN

4936 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 20.6 % of the equity sleeve

Sector breakdown

  • Technology 15.1 %
  • Funds 8.6 %
  • Financials 7.1 %
  • Industrials 5.8 %
  • Health care 5.5 %
  • Communication 4.8 %
  • Consumer discretionary 4.6 %
  • Consumer staples 3.3 %
  • Utilities 1.9 %
  • Energy 1.8 %
  • Materials 0.9 %
  • Real estate 0.7 %
  • Unattributed 39.8 %

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 98.9 %
  • TW 0.3 %
  • GB 0.2 %
  • NL 0.2 %
  • DK 0.0 %
  • FR 0.0 %
  • JP 0.0 %
  • DE 0.0 %
  • BR 0.0 %
  • ES 0.0 %
  • KY 0.0 %
  • MX 0.0 %
  • Other countries 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US4,737471.8B $98.94 %
2TW41.6B $0.33 %
3GB261.2B $0.25 %
4NL61.1B $0.24 %
5DK4177.7M $0.04 %
6FR8165.7M $0.03 %
7JP6142.9M $0.03 %
8DE3124.5M $0.03 %
9BR19113.9M $0.02 %
10ES383.6M $0.02 %
11KY3458.2M $0.01 %
12MX943.8M $0.01 %

Positions

RankCompanySharesValueWeight
2,901Capital City Bank Group Inc 13,978607.5K $
2,902Two Harbors Investment Corp 53,098606.4K $
2,903Tandem Diabetes Care Inc 31,530604.4K $
2,904Great Lakes Dredge & Dock Corp 35,282599.8K $
2,905Tompkins Financial Corp 7,607599.7K $
2,906Veris Residential Inc 31,673597.7K $
2,907Serve Robotics Inc 70,589595.8K $
2,908NeoGenomics Inc 80,285595.7K $
2,909AvePoint Inc 62,634595.6K $
2,910I3 Verticals Inc 26,626595.4K $
2,911GoodRx Holdings Inc 303,307594.5K $
2,912Hilltop Holdings Inc 16,584594K $
2,913Fortrea Holdings Inc 62,888592.4K $
2,914WisdomTree Trust 8,907590.8K $
2,915Aberdeen India Fund Inc 52,125590.1K $
2,916MaxLinear Inc 33,847588.6K $
2,917National Bank Holdings Corp 14,995587.2K $
2,918ANI Pharmaceuticals Inc 7,634587.1K $
2,919J P Morgan Exchange Traded Fund Trust 8,452582.4K $
2,920Granite Ridge Resources Inc 98,863580.3K $
2,921Acadian Asset Management Inc 10,645579.3K $
2,922Star Group LP 47,128578.7K $
2,923SkyWater Technology Inc 21,096578.2K $
2,924Dropbox Inc 25,444578.1K $
2,925Sezzle Inc 9,119577.1K $
2,926Caribou Biosciences Inc 303,655576.9K $
2,927John Hancock Preferred Income Fund III 40,475576.4K $
2,928Invesco Russell 2000 Dynamic Multifactor ETF 12,723575.9K $
2,929Enviri Corp 29,199572.9K $
2,930NexPoint Residential Trust Inc 22,911572.8K $
2,931Arlo Technologies Inc 40,241572.6K $
2,932Safehold Inc 42,268571.9K $
2,933Arvinas Inc 53,663568.8K $
2,934Lincoln Educational Services Corp 13,961567.9K $
2,935Mesabi Trust 17,992566.8K $
2,936iShares MSCI Japan Small-Cap ETF 5,831566.1K $
2,937Sila Realty Trust Inc 23,887565.6K $
2,938Enliven Therapeutics Inc 14,291560.2K $
2,939TRIPLEPOINT VENTURE GROWTH BDC CORP 112,196559.9K $
2,940Quanex Building Products Corp 31,077558.4K $
2,941SandRidge Energy Inc 34,177557.4K $
2,942Grand Canyon Education Inc 3,263554.8K $
2,943Bank First Corp 4,098553.5K $
2,944Novavax Inc 67,885552.6K $
2,945Bar Harbor Bankshares 16,959550.3K $
2,946Marqeta Inc 134,507548.8K $
2,947H World Group Ltd 10,908548.6K $
2,948Eaton Vance Short Duration Diversified Income Fund 51,305548.5K $
2,949Intapp Inc 21,256546.1K $
2,950Helix Energy Solutions Group Inc 55,193545.9K $
2,951Healthcare Services Group Inc 29,407545.5K $
2,952Chiron Real Estate Inc 16,444544K $
2,953Upbound Group Inc 30,120543.7K $
2,954Middlesex Water Co 10,442543.5K $
2,955MFS MUN INCOME TR 100,346540.9K $
2,956Dimensional ETF Trust 14,682539.7K $
2,957Harrow Inc 15,251537.8K $
2,958Willis Lease Finance Corp 3,158537.7K $
2,959Oramed Pharmaceuticals Inc 157,586535.8K $
2,960COHEN & STEERS CAPITAL MANAGEMENT INC 28,563535.3K $
2,961United States Lime & Minerals Inc 4,095534.9K $
2,962Hudson Pacific Properties Inc 90,320533.8K $
2,963LendingTree Inc 12,445533.6K $
2,964Axia Energia 48,864533.6K $
2,965Carter's Inc 14,773528.3K $
2,966Kennedy-Wilson Holdings Inc 48,809528.1K $
2,967Innovative Industrial Properties Inc 10,503526.8K $
2,968Alpine Income Property Trust Inc 29,111524K $
2,969Ryerson Holding Corp 23,292523.6K $
2,970Easterly Government Properties Inc 24,298520.7K $
2,971J.P. MORGAN EXCHANGE-TRADED FUND TRUST 7,928517.5K $
2,972REX American Resources Corp 11,343516.9K $
2,973SailPoint Inc 39,037516.9K $
2,974JPMorgan Realty Income ETF 10,749516.7K $
2,975EquipmentShare.com Inc 25,281515K $
2,976TIC Solutions Inc 78,102513.9K $
2,977CVR Energy Inc 15,241512.8K $
2,978Phathom Pharmaceuticals Inc 46,113512.3K $
2,979iShares Convertible Bond ETF 5,022511.2K $
2,980Vanguard 0-3 Month Treasury Bi 6,756511.1K $
2,981Bristow Group Inc 10,889510.6K $
2,982PROG Holdings Inc 17,782510.2K $
2,983Flywire Corp 43,723508.9K $
2,984OCCIDENTAL PETROLEUM CORP 11,811506.7K $
2,985Universal Health Realty Income Trust 12,505506.1K $
2,986Harmony Biosciences Holdings Inc 18,034505.1K $
2,987Karat Packaging Inc 18,055504.1K $
2,988iShares Trust 9,308502.2K $
2,989CNB Financial Corp/PA 17,307501.2K $
2,990Pursuit Attractions and Hospitality Inc 13,656500.2K $
2,991Dimensional ETF Trust 7,040499.2K $
2,992Progyny Inc 29,275497.1K $
2,993PubMatic Inc 60,747496.9K $
2,994Harley-Davidson Inc 24,563496.7K $
2,995ORIC Pharmaceuticals Inc 39,108495.5K $
2,996Five9 Inc 32,317490.2K $
2,997Ivanhoe Electric Inc / US 41,316488.4K $
2,998Lindsay Corp 4,100488.1K $
2,999VALNEVA SE 78,029487.7K $
3,000Compass Diversified Holdings 61,620484.3K $