Titelia

Holdings of ROYCE & ASSOCIATES LP

703 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 10.1 % of the equity sleeve

Sector breakdown

  • Technology 1.2 %
  • Industrials 0.6 %
  • Financials 0.5 %
  • Materials 0.3 %
  • Health care 0.2 %
  • Consumer staples 0.1 %
  • Energy 0.1 %
  • Unattributed 97.0 %

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 %
  • ZA 0.2 %
  • KY 0.1 %
  • GB 0.1 %
  • IL 0.0 %
  • AU 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US6968.9B $99.56 %
2ZA114.8M $0.16 %
3KY112M $0.13 %
4GB28.6M $0.10 %
5IL22.9M $0.03 %
6AU11.4M $0.02 %

Positions

RankCompanySharesValueWeight
1Arcosa Inc 1,252,310132.9M $
2Quaker Chemical Corp 823,903102.4M $
3JBT Marel Corp 790,054101M $
4ESCO Technologies Inc 341,98896.2M $
5MKS Inc 403,67092.8M $
6Esab Corp 813,58578.6M $
7SEI Investments Co 996,45678.2M $
8UFP Industries Inc 824,38675.9M $
9LCI Industries 609,76975M $
10Interparfums Inc 822,96074.8M $
11Exponent Inc 1,144,87374.7M $
12Littelfuse Inc 216,82573.6M $
13Cirrus Logic Inc 503,15672.8M $
14IES Holdings Inc 149,02971M $
15Kadant Inc 237,94669.6M $
16RBC Bearings Inc 123,92067.3M $
17Element Solutions Inc 1,964,88667.1M $
18Onto Innovation Inc 317,10965M $
19Advance Auto Parts Inc 1,223,90264.6M $
20Dorman Products Inc 616,65664.4M $
21Ingevity Corp 883,52762.9M $
22Cohu Inc 2,027,71762.1M $
23Valvoline Inc 1,804,79460.8M $
24Enpro Inc 237,64059.6M $
25Academy Sports & Outdoors Inc 1,041,03858.8M $
26Korn Ferry 835,77052.6M $
27Brady Corp 640,67152M $
28Catalyst Pharmaceuticals Inc 2,089,90651.7M $
29Cognex Corp 1,029,76350.4M $
30CECO Environmental Corp 827,78149.3M $
31RLI Corp 864,40149.3M $
32Simpson Manufacturing Co Inc 285,80749.1M $
33Ultra Clean Holdings Inc 759,49747.2M $
34Valmont Industries Inc 117,99947.1M $
35Knowles Corp 1,807,13746.4M $
36Vontier Corp 1,274,76245.2M $
37M/I Homes Inc 369,25645.2M $
38Transcat Inc 614,25345.1M $
39Atmus Filtration Technologies Inc 777,73544.2M $
40Brunswick Corp/DE 605,72444.1M $
41Digi International Inc 910,49043.9M $
42FormFactor Inc 451,86343.8M $
43Lincoln Electric Holdings Inc 173,96443.3M $
44BankUnited Inc 958,92043.3M $
45Lazard Inc 974,98641.4M $
46Standard Motor Products Inc 1,168,51740.6M $
47Barrett Business Services Inc 1,372,89840.1M $
48KBR Inc 1,086,53840M $
49Healthcare Services Group Inc 2,143,23739.8M $
50Bio-Techne Corp 759,71239.7M $
51Reliance Inc 129,71339.4M $
52ADTRAN Holdings Inc 3,127,40339.3M $
53AAON Inc 472,48239.1M $
54Kulicke & Soffa Industries Inc 587,14738.6M $
55Hackett Group Inc/The 2,963,48238.6M $
56Andersen Group Inc 1,408,71538.3M $
57Victory Capital Holdings Inc 583,38938.2M $
58Evercore Inc 126,61737.8M $
59J & J Snack Foods Corp 474,69137.6M $
60nLight Inc 654,51937.3M $
61Universal Technical Institute Inc 1,030,58237.2M $
62Landstar System Inc 230,58537M $
63WD-40 Co 180,84736.9M $
64MSC Industrial Direct Co Inc 387,32535.7M $
65Graham Corp 448,75835.4M $
66Artisan Partners Asset Management Inc 973,22735.4M $
67Origin Bancorp Inc 847,22735.1M $
68Hingham Institution For Savings The 118,28733.8M $
69Visteon Corp 361,67133M $
70Ameresco Inc 1,249,90831.9M $
71Select Water Solutions Inc 2,080,39631.8M $
72NWPX Infrastructure Inc 404,68831.5M $
73Seacoast Banking Corp of Florida 1,006,26530.5M $
74Home BancShares Inc/AR 1,122,09930.2M $
75NPK International Inc 2,071,01030M $
76Limbach Holdings Inc 380,76429.7M $
77Morningstar Inc 174,27529.5M $
78API Group Corp 726,82929.5M $
79Silgan Holdings Inc 758,54829.4M $
80PACS Group Inc 907,71829.2M $
81Matson Inc 173,98228.5M $
82Movado Group Inc 1,164,33428.4M $
83LSI Industries Inc 1,518,34928.2M $
84Timken Co/The 274,09927.6M $
85Walker & Dunlop Inc 620,91827.6M $
86Towne Bank/Portsmouth VA 795,15526.8M $
87Lindsay Corp 223,60126.6M $
88TTM Technologies Inc 273,07626.6M $
89YETI Holdings Inc 716,43926.2M $
90Macy's Inc 1,390,00025.1M $
91Commercial Metals Co 404,75124.9M $
92Envista Holdings Corp 978,44724.8M $
93Innoviva Inc 1,061,44824.7M $
94H&R Block Inc 776,71624.7M $
95Merchants Bancorp/IN 567,26724.3M $
96TransMedics Group Inc 244,38224.3M $
97Astronics Corp 363,38324.2M $
98Woodward Inc 66,93024M $
99Maximus Inc 372,54223.9M $
100Champion Homes Inc 320,80923.9M $