Titelia

Holdings of GOLDMAN SACHS GROUP INC

4149 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 25.2 % of the equity sleeve

Sector breakdown

  • Technology 22.1 %
  • Financials 8.3 %
  • Communication 7.1 %
  • Consumer discretionary 7.0 %
  • Health care 6.5 %
  • Industrials 6.0 %
  • Funds 5.0 %
  • Consumer staples 3.3 %
  • Energy 2.4 %
  • Utilities 1.8 %
  • Materials 1.5 %
  • Real estate 1.1 %
  • Unattributed 27.8 %

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 97.6 %
  • GB 0.5 %
  • TW 0.5 %
  • NL 0.2 %
  • KY 0.2 %
  • BR 0.2 %
  • AU 0.1 %
  • ES 0.1 %
  • JP 0.1 %
  • DE 0.1 %
  • CN 0.1 %
  • IN 0.1 %
  • Other countries 0.3 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US3,951687.6B $97.62 %
2GB263.4B $0.49 %
3TW33.4B $0.48 %
4NL51.5B $0.22 %
5KY471.5B $0.21 %
6BR181.1B $0.16 %
7AU6782M $0.11 %
8ES3753.6M $0.11 %
9JP6737.7M $0.10 %
10DE4575.9M $0.08 %
11CN5409.8M $0.06 %
12IN5375.4M $0.05 %

Positions

RankCompanySharesValueWeight
3,901Brand Engagement Network Inc 6,008227.7K $
3,902Wisdom Tree Trust - WisdomTree Emerging Markets SmallCap Dividend Fund 3,760226K $
3,903Hartford Strategic Income ETF 6,502225.7K $
3,904Nuveen NASDAQ 100 Dynamic Overwrite Fund 8,421224.6K $
3,905SKYX Platforms Corp 199,766223.7K $
3,906PGIM Rock ETF Trust 7,767223.5K $
3,907Capital Group Core Bond ETF 8,433221.5K $
3,908KATAPULT HOLDINGS INC 31,356221.4K $
3,909aTyr Pharma Inc 283,236220.9K $
3,910Fidelity Covington Trust 7,031219.9K $
3,911Cardiff Oncology Inc 135,598219.7K $
3,912Ramaco Resources Inc 21,484219.1K $
3,913Strawberry Fields REIT Inc 18,379218.7K $
3,914Precision BioSciences Inc 39,752218.6K $
3,915Optex Systems Holdings Inc 16,454217.6K $
3,916Dimensional ETF Trust 5,910217.3K $
3,917Schwab International Small-Cap Equity ETF 4,549212.6K $
3,918Airgain Inc 38,639212.5K $
3,919Universal Logistics Holdings Inc 10,028212K $
3,920Nano Dimension Ltd 124,588211.8K $
3,921Elevra Lithium Ltd 3,593211.6K $
3,922Innovator U.S. Equity Power Bu 4,908211.6K $
3,923State Street SPDR S&P Global Infrastructure ETF 2,745208.7K $
3,924Maui Land & Pineapple Co Inc 13,399206.2K $
3,925Provident Financial Holdings Inc 12,727205.2K $
3,926Carlsmed Inc 22,638204.9K $
3,927JOHN HANCOCK GLOBAL SENIOR LOA JH GLOBAL SENIOR LOAN ETF 8,407204.8K $
3,928PGIM Rock ETF Trust 6,400204.2K $
3,929Shoulder Innovations Inc 14,016203.7K $
3,930HF Foods Group Inc 109,529202.6K $
3,931Westwood Holdings Group Inc 12,270202.1K $
3,932BARK Inc 392,503198.8K $
3,933BlackRock ESG Capital Allocation Term Trust 14,582198K $
3,934Public Policy Holding Co Inc 15,134198K $
3,935Orion Properties Inc 91,971197.7K $
3,936Tuya Inc 85,393197.3K $
3,937Rent the Runway Inc 41,249197.2K $
3,938Aadi Bioscience Inc 56,912196.3K $
3,939NEOVOLTA INC 63,643196K $
3,940Minerva Neurosciences Inc 32,012192.9K $
3,941AirJoule Technologies Corp 76,500192K $
3,942inTEST Corp 13,969190.7K $
3,943Cartesian Therapeutics Inc 30,927190.2K $
3,944GoPro Inc 246,809190K $
3,945Eightco Holdings Inc 198,767185.3K $
3,946Gaia Inc 66,699184.8K $
3,947Commercial Vehicle Group Inc 53,953184K $
3,948BlackRock Capital Allocation T 12,800180.9K $
3,949Unicycive Therapeutics Inc 27,093178.3K $
3,950BLACKROCK MUNIHOLDINGS CALIF QUALITY FD INC 17,112178K $
3,951Patriot National Bancorp Inc 137,330177.2K $
3,952Lument Finance Trust Inc 139,816176.2K $
3,953VanEck ETF Trust 10,000173.1K $
3,954Amarin Corp PLC 11,918172.3K $
3,955Playstudios Inc 366,211171.8K $
3,956Noah Holdings Ltd 17,335171.6K $
3,957GENASYS INC 93,569170.3K $
3,958Five Point Holdings LLC 35,114170K $
3,959BingEx Ltd 62,983166.9K $
3,960IMMUNIC INC 149,770166.2K $
3,961Broadwind Inc 79,735165.8K $
3,962Paramount Gold Nevada Corp 98,753163.9K $
3,963Rapid Micro Biosystems Inc 71,912163.2K $
3,964IONEER LTD 38,228162.7K $
3,965Creative Realities Inc 46,979161.6K $
3,966Granite Point Mortgage Trust Inc 111,071161.1K $
3,967Franklin Universal Trust 20,061160.7K $
3,968Autolus Therapeutics PLC 116,413160.7K $
3,969WidePoint Corp 32,009159.7K $
3,970BlackRock Enhanced Equity Dividend Trust 18,517159.6K $
3,971XEROX HOLDINGS CORP 1,748,412158.2K $
3,972Arena Group Holdings Inc/The 71,946156.1K $
3,973Red Robin Gourmet Burgers Inc 53,122155.6K $
3,974Surf Air Mobility Inc 134,672154.9K $
3,975Empery Digital Inc 36,578154.7K $
3,976Full House Resorts Inc 66,817150.3K $
3,977QuickLogic Corp 15,909149.2K $
3,978TRON INC 64,082145.5K $
3,979Livewire Group Inc 86,334143.3K $
3,980Saga Communications Inc 12,238143.2K $
3,981PMV Pharmaceuticals Inc 114,864142.4K $
3,982IZEA Worldwide Inc 40,483142.1K $
3,983BLACKROCK MUNIYIELD QUALITY FD III INC 12,949136.1K $
3,984Biote Corp 100,609135.8K $
3,985GLOBAL SELF STORAGE INC 26,541135.6K $
3,986Teads Holding Co. 202,321133.2K $
3,987VirTra Inc 35,002129.9K $
3,988Jerash Holdings US Inc 44,828129.6K $
3,989Empire Petroleum Corp 43,721129.4K $
3,990Chicago Atlantic Real Estate Finance Inc 11,341128.4K $
3,991XCF Global Inc 348,647127.4K $
3,992Nuveen Preferred & Income Opportunities Fund 16,828126.9K $
3,993Eagle Nuclear Energy Corp 16,463126.4K $
3,994FTC Solar Inc 33,363126.1K $
3,995TuHURA Biosciences Inc 70,246125.7K $
3,996Ispire Technology Inc 67,317123.9K $
3,997Zedge Inc 42,180123.6K $
3,998BEELINE HOLDINGS INC 51,637121.3K $
3,999CARPARTS COM INC 148,210116.5K $
4,000BIOMEA FUSION INC 75,739115.9K $