Titelia

Holdings of JACOBS LEVY EQUITY MANAGEMENT, INC

899 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 26 % of the equity sleeve

Sector breakdown

  • Technology 22.9 %
  • Consumer discretionary 7.7 %
  • Communication 6.7 %
  • Financials 5.8 %
  • Industrials 5.0 %
  • Health care 4.4 %
  • Energy 2.2 %
  • Consumer staples 1.7 %
  • Materials 1.2 %
  • Utilities 0.5 %
  • Real estate 0.1 %
  • Unattributed 41.7 %

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 100.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US89922.9B $100.00 %

Positions

RankCompanySharesValueWeight
601Unity Bancorp Inc 28,0221.5M $
602Foghorn Therapeutics Inc 303,7571.5M $
603Conduent Inc 1,131,0251.4M $
604Rimini Street Inc 441,3291.4M $
605Editas Medicine Inc 582,3091.4M $
606Inseego Corp 128,1661.4M $
607Petco Health & Wellness Co Inc 500,6421.4M $
608Evolent Health Inc 610,1021.4M $
609Aviat Networks Inc 61,4651.4M $
610Comstock Resources Inc 65,8531.4M $
611OGE Energy Corp 28,8411.4M $
612S&T Bancorp Inc 32,9851.4M $
613Aveanna Healthcare Holdings Inc 211,2721.4M $
614HomeTrust Bancshares Inc 31,8551.4M $
615Benchmark Electronics Inc 24,0721.3M $
616Aldeyra Therapeutics Inc 796,8161.3M $
617United Therapeutics Corp 2,2681.3M $
618CRA International Inc 8,1841.3M $
619Maravai LifeSciences Holdings Inc 458,9011.3M $
620Ennis Inc 60,5101.3M $
621RBB Bancorp 59,7281.3M $
622MacroGenics Inc 441,1431.3M $
623Stoneridge Inc 263,6791.3M $
624Spok Holdings Inc 116,8101.3M $
625H2O America 21,6681.3M $
626Four Corners Property Trust Inc 53,4271.3M $
627Vertiv Holdings Co 5,0091.3M $
628Central Garden & Pet Co 38,5711.3M $
629Magnolia Oil & Gas Corp 39,2861.2M $
630Everpure Inc 20,9461.2M $
631Angi Inc 180,4841.2M $
632Sight Sciences Inc 327,9121.2M $
633Enterprise Financial Services Corp 22,4601.2M $
634BJ's Restaurants Inc 34,1631.2M $
635Neptune Insurance Holdings Inc 48,9941.2M $
636Finance Of America Cos Inc 70,6791.2M $
637Academy Sports & Outdoors Inc 20,5591.2M $
638Flywire Corp 99,1011.2M $
639Beta Bionics Inc 114,7191.1M $
640Methode Electronics Inc 207,2931.1M $
641Cytek Biosciences Inc 257,2921.1M $
642Sleep Number Corp 624,2871.1M $
643Atlanticus Holdings Corp 20,9121.1M $
644TPG Mortgage Investment Trust Inc 148,1991.1M $
645Oil States International Inc 92,8041.1M $
646Highwoods Properties Inc 50,2941.1M $
647Zymeworks Inc 42,7861.1M $
648LENZ Therapeutics Inc 117,0111.1M $
649Boot Barn Holdings Inc 7,2971.1M $
650Cactus Inc 22,4111.1M $
651Hudson Technologies Inc 178,9331.1M $
652DXC Technology Co 83,5331.1M $
653Amplify Energy Corp 167,6531M $
654Worthington Steel Inc 34,4511M $
655Charles Schwab Corp/The 10,7131M $
656Columbus McKinnon Corp/NY 68,710998.4K $
657MasterCraft Boat Holdings Inc 48,667998.2K $
6581stdibs.com Inc 180,408992.2K $
659Amerant Bancorp Inc 44,999991.8K $
660WaFd Inc 31,529990K $
661Core Molding Technologies Inc 44,138988.7K $
662Diebold Nixdorf Inc 13,098988.1K $
663Expedia Group Inc 4,236978.1K $
664Republic Bancorp Inc/KY 13,721968K $
665Healthcare Services Group Inc 52,182968K $
666Albany International Corp 18,535967.7K $
667Bumble Inc 296,649967.1K $
668Agios Pharmaceuticals Inc 28,530965.2K $
669GeneDx Holdings Corp 14,944959.7K $
670Open Lending Corp 764,484955.6K $
6718x8 Inc 572,931951.1K $
672Business First Bancshares Inc 35,153950.5K $
673Vestis Corp 120,206944.8K $
674Braemar Hotels & Resorts Inc 392,817927K $
675Alto Ingredients Inc 190,974924.3K $
676Sotera Health Co 64,398923.5K $
677Symbotic Inc 17,338922.4K $
678Zebra Technologies Corp 4,374914.5K $
679Jones Lang LaSalle Inc 2,981907.2K $
680Novavax Inc 111,267905.7K $
681Pliant Therapeutics Inc 718,543905.4K $
682Arq, Inc. 351,188899K $
683JAKKS Pacific Inc 44,772891.9K $
684Freshpet Inc 15,067888.4K $
685Whirlpool Corp 16,348881.5K $
686SkyWest Inc 9,580879.7K $
687Hain Celestial Group Inc/The 1,250,424872.5K $
688ATN International Inc 32,033871.9K $
689RE/MAX Holdings Inc 150,770868.4K $
690Equity LifeStyle Properties Inc 13,814862.3K $
691GCM Grosvenor Inc 87,853861K $
692DXP Enterprises Inc/TX 6,087850.5K $
693Innospec Inc 11,622848.6K $
694Arrow Electronics Inc 5,903846.5K $
695Par Pacific Holdings Inc 13,449842.4K $
696Hayward Holdings Inc 62,492836.1K $
697iRadimed Corp 8,684835.9K $
698Radiant Logistics Inc 117,139825.8K $
699Annexon Inc 148,941825.1K $
700TScan Therapeutics Inc 808,356816.4K $