Titelia

Portefeuille de MetLife Investment Management, LLC

2546 positions déclarées · au 31 mars 2026

Document d'origine · Dix premières lignes : 28.9 % de la poche actions

Répartition par secteur

  • Technologie 25,7 %
  • Finance 8,7 %
  • Communication 7,9 %
  • Consommation cyclique 7,6 %
  • Santé 6,9 %
  • Industrie 6,6 %
  • Consommation de base 3,7 %
  • Énergie 2,2 %
  • Services publics 1,9 %
  • Matériaux 1,4 %
  • Immobilier 1,2 %
  • Fonds 0,4 %
  • Non attribué 25,9 %

Classification Titelia, société par société. La part non attribuée reste affichée.

Répartition par devise

  • USD 100,0 %

Devise de cotation de chaque ligne, telle que déclarée.

Répartition par pays

  • US 100,0 %
  • IL 0,0 %
  • HK 0,0 %

Parts calculées sur la poche actions.

RangPaysLignesValeurPart
1US2 54418,8 Md $99,98 %
2IL13,3 M $0,02 %
3HK1752,2 k $0,00 %

Positions

RangSociétéTitresValeurPoids
2 301Commercial Bancgroup Inc 4 202109,3 k $
2 302Sprout Social Inc 19 136109,1 k $
2 303Simulations Plus Inc 9 214108,9 k $
2 304Anavex Life Sciences Corp 35 430108,8 k $
2 305Sonida Senior Living Inc 3 371108,7 k $
2 306Seven Hills Realty Trust 13 190108,4 k $
2 307Outdoor Holding Co. 53 870108,3 k $
2 308NexPoint Diversified Real Estate Trust 23 178108,2 k $
2 309Eagle Financial Services Inc 3 083107,8 k $
2 310Aeluma Inc 8 227107,7 k $
2 311Core Molding Technologies Inc 4 772106,9 k $
2 312Ategrity Specialty Holdings LLC 5 402106,8 k $
2 313Strata Critical Medical Inc 25 493106,6 k $
2 314Abeona Therapeutics Inc 23 772106,5 k $
2 315Seaport Entertainment Group Inc 4 956106,5 k $
2 316Qorvo Inc 1 375106,4 k $
2 317Service Properties Trust 78 537106,4 k $
2 318M-Tron Industries Inc 1 591106,4 k $
2 319Meridian Corp 5 580105,8 k $
2 320Inhibikase Therapeutics Inc 62 913105,7 k $
2 321NET Lease Office Properties 9 108104,9 k $
2 322ProFrac Holding Corp 16 918104,9 k $
2 323KORU Medical Systems Inc 24 276104,9 k $
2 324Editas Medicine Inc 42 433104,8 k $
2 325Gogo Inc 26 048104,7 k $
2 326Highwoods Properties Inc 4 881104,5 k $
2 327908 Devices Inc 17 022104,2 k $
2 328Designer Brands Inc 18 306104,2 k $
2 329Xperi Inc 18 477103,5 k $
2 330Escalade Inc 6 018103,3 k $
2 331Anika Therapeutics Inc 7 122103,3 k $
2 332OneMain Holdings Inc 1 930103,2 k $
2 333Princeton Bancorp Inc 3 050103 k $
2 334Medical Properties Trust Inc 22 131102,5 k $
2 335Corsair Gaming Inc 18 441102,3 k $
2 336Bright Horizons Family Solutions Inc 1 245102,3 k $
2 337European Wax Center Inc 17 646102 k $
2 338USANA Health Sciences Inc 5 819101,7 k $
2 339Puma Biotechnology Inc 15 842101,2 k $
2 340Voyager Therapeutics Inc 26 113100,8 k $
2 341LCNB Corp 6 451100,6 k $
2 342Kelly Services Inc 11 358100,5 k $
2 343Sealed Air Corp 2 390100,5 k $
2 344CB Financial Services Inc 2 933100,3 k $
2 345Electromed Inc 4 279100,2 k $
2 346Powerfleet Inc NJ 32 496100,1 k $
2 347Benitec Biopharma Inc 9 397100,1 k $
2 348Viant Technology Inc 8 90099,7 k $
2 349American Coastal Insurance Corp 8 77998,8 k $
2 3508x8 Inc 59 47498,7 k $
2 351MarketAxess Holdings Inc 59798,5 k $
2 352Bumble Inc 30 21298,5 k $
2 353Everus Construction Group Inc 83398,3 k $
2 354Ohio Valley Banc Corp 2 23698,1 k $
2 355Webtoon Entertainment Inc 10 65197,9 k $
2 356First Capital Inc 1 97297,9 k $
2 357Innovage Holding Corp 12 18997,8 k $
2 358Methode Electronics Inc 17 63597,3 k $
2 359Accendra Health Inc 42 48396,9 k $
2 360RGC Resources Inc 4 39296,8 k $
2 361EVgo Inc 56 21596,7 k $
2 362Citizens Inc/TX 19 19896,6 k $
2 363CarMax Inc 2 32096,5 k $
2 364Byrna Technologies Inc 10 49096,3 k $
2 365Kingstone Cos Inc 6 52895,1 k $
2 366Protalix BioTherapeutics Inc 43 69794,8 k $
2 367Pioneer Bancorp Inc/NY 6 81194,8 k $
2 368Flexsteel Industries Inc 2 10894,7 k $
2 369Peoples Bancorp of North Carolina Inc 2 41294,5 k $
2 370Energy Services of America Corp 7 15593,9 k $
2 371Acacia Research Corp 19 44893,5 k $
2 372Lamb Weston Holdings Inc 2 20493,1 k $
2 373BRT Apartments Corp 6 97993,1 k $
2 374HighPeak Energy Inc 13 34092 k $
2 375Bank7 Corp 2 30692 k $
2 376Greenwich Lifesciences Inc 3 81491,6 k $
2 377AIRO Group Holdings Inc 12 01891,4 k $
2 378Inspire Medical Systems Inc 1 76290,9 k $
2 379Lineage Inc 2 77190,8 k $
2 380Shoulder Innovations Inc 6 22490,4 k $
2 381National CineMedia Inc 29 51790 k $
2 382Via Transportation Inc 5 97789,7 k $
2 383LENZ Therapeutics Inc 9 78789,6 k $
2 384Blend Labs Inc 52 65289,5 k $
2 385SEACOR Marine Holdings Inc 12 47289,3 k $
2 386Angi Inc 12 92288,5 k $
2 387First Internet Bancorp 4 32388,1 k $
2 388Greene County Bancorp Inc 3 92387,9 k $
2 389Caesars Entertainment Inc 3 32087,7 k $
2 390Versant Media Group Inc 2 37087,7 k $
2 391Eagle Bancorp Montana Inc 4 25687,6 k $
2 392Xponential Fitness Inc 14 54087,5 k $
2 393Western New England Bancorp Inc 6 71586,8 k $
2 394Teleflex Inc 72386,5 k $
2 395WillScot Holdings Corp 4 95986,1 k $
2 396OP Bancorp 6 47186,1 k $
2 397Rithm Capital Corp 9 06385,9 k $
2 398LifeMD Inc 23 77385,8 k $
2 399Oncology Institute Inc/The 27 79085,3 k $
2 400Claritev Corp 5 21185,1 k $