Titelia

Holdings of Emerald Growth Fund

FINANCIAL INVESTORS TRUST · 128 declared positions · as of Apr 30, 2026

Original filing · Net assets 1.4B $ · Ten largest lines: 24.7 % of the equity sleeve

Sector breakdown

  • Industrials 4.8 %
  • Technology 1.8 %
  • Materials 1.0 %
  • Unattributed 92.3 %

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 96.5 %
  • KY 1.8 %
  • CA 0.9 %
  • BS 0.7 %
  • SG 0.2 %

Shares computed on the equity sleeve.

CountryLinesValueShare
US1241.3B $96.48 %
KY124.9M $1.80 %
CA112.1M $0.88 %
BS19.6M $0.69 %
SG12.2M $0.16 %

Positions

CompanySharesValueWeight
F/m Emerald Life Sciences Inno 1,997,03575.9M $5.40 %
Bloom Energy Corp 182,54851.7M $3.68 %
TTM Technologies Inc 244,65338.7M $2.75 %
Modine Manufacturing Co 143,13336.4M $2.59 %
Credo Technology Group Holding Ltd 165,95928.9M $2.05 %
Fabrinet 36,36724.9M $1.77 %
Applied Optoelectronics Inc 145,36023.9M $1.70 %
Argan Inc 31,07420.8M $1.48 %
VSE Corp 118,80720.4M $1.45 %
Guardant Health Inc 233,23820.3M $1.44 %
Axos Financial Inc 209,53820.2M $1.44 %
AAR Corp 178,14019.7M $1.40 %
ESCO Technologies Inc 60,10819.5M $1.38 %
Kratos Defense & Security Solutions, Inc. 305,42919.3M $1.37 %
Semtech Corp 173,13118.2M $1.29 %
Kulicke & Soffa Industries Inc 211,56018.1M $1.29 %
Rambus Inc 156,95818.1M $1.28 %
nLight Inc 257,33118M $1.28 %
Mercury Systems Inc 225,09417.8M $1.26 %
CECO Environmental Corp 237,40617.6M $1.25 %
Travere Therapeutics Inc 406,28217.1M $1.22 %
Rush Street Interactive Inc 594,56916.7M $1.19 %
Plexus Corp 65,37716.4M $1.16 %
Ollie's Bargain Outlet Holdings Inc 177,46815.4M $1.09 %
Cohu Inc 323,26315.3M $1.09 %
Sterling Infrastructure Inc 29,66515.3M $1.09 %
IPG Photonics Corp 117,00613.9M $0.99 %
American Superconductor Corp 256,89713.8M $0.98 %
Cogent Biosciences Inc 382,34413.7M $0.97 %
SiTime Corp 24,06913.5M $0.96 %
Moelis & Co 207,35813.5M $0.96 %
Boot Barn Holdings Inc 78,41713.4M $0.96 %
National Vision Holdings Inc 577,47413.4M $0.95 %
AeroVironment Inc 67,52613.2M $0.94 %
InterDigital Inc 42,58512.6M $0.90 %
SPX Technologies Inc 57,38312.6M $0.89 %
Solaris Energy Infrastructure Inc 166,84612.3M $0.88 %
Freshpet Inc 180,94112.2M $0.87 %
Axcelis Technologies Inc 87,31012.1M $0.86 %
Astronics Corp 169,69112.1M $0.86 %
IMAX Corp 318,48512.1M $0.86 %
Piper Sandler Cos 137,31612M $0.85 %
PDF Solutions Inc 278,41211.9M $0.85 %
Evolv Technologies Holdings Inc 1,619,63211.7M $0.83 %
Spyre Therapeutics Inc 153,48511.4M $0.81 %
Palomar Holdings Inc 94,38611.4M $0.81 %
UMB Financial Corp 89,17611.3M $0.80 %
Cardinal Infrastructure Group Inc 208,00911M $0.78 %
LivaNova PLC 180,57210.9M $0.77 %
Bancorp Inc/The 179,56610.7M $0.76 %
Mirion Technologies Inc 532,51610.5M $0.75 %
Mirum Pharmaceuticals Inc 105,24310.2M $0.73 %
Arlo Technologies Inc 727,84310.2M $0.73 %
Bridgebio Pharma Inc 142,05710.1M $0.72 %
VeraDermics Inc 101,30610M $0.71 %
Onto Innovation Inc 33,95110M $0.71 %
Customers Bancorp Inc 129,0649.8M $0.70 %
Impinj Inc 67,7649.8M $0.70 %
Allegiant Travel Co 127,4869.6M $0.69 %
Synaptics Inc 102,7669.6M $0.68 %
OneSpaWorld Holdings Ltd 387,6709.6M $0.68 %
Varonis Systems Inc 344,6469.1M $0.64 %
Diodes Inc 83,5389M $0.64 %
Nektar Therapeutics 104,7218.9M $0.63 %
Skyward Specialty Insurance Group Inc 192,9728.8M $0.62 %
TETRA Technologies Inc 919,7808.8M $0.62 %
Perella Weinberg Partners 365,2138.3M $0.59 %
Agilysys Inc 128,1478.2M $0.58 %
ATI Inc 52,3538.1M $0.58 %
RadNet Inc 141,8048M $0.57 %
Seacoast Banking Corp of Florida 254,6858M $0.57 %
LendingClub Corp 464,5767.9M $0.56 %
IonQ Inc 172,2677.8M $0.55 %
BJ's Restaurants Inc 198,5377.6M $0.54 %
TransMedics Group Inc 74,9207.6M $0.54 %
Trevi Therapeutics Inc 525,1127.2M $0.51 %
Commvault Systems Inc 72,7937.2M $0.51 %
Herc Holdings Inc 56,4387.2M $0.51 %
KalVista Pharmaceuticals Inc 260,1176.9M $0.49 %
LendingTree Inc 136,9116.8M $0.48 %
Palvella Therapeutics Inc 52,0706.7M $0.47 %
Five Below Inc 28,0006.6M $0.47 %
First Advantage Corp 514,7276.6M $0.47 %
Hinge Health Inc 141,1296.3M $0.45 %
Q2 Holdings Inc 123,5986.3M $0.45 %
Aevex Corp 206,6216.3M $0.44 %
Alphatec Holdings Inc 633,5366.2M $0.44 %
Coastal Financial Corp/WA 81,2186.1M $0.44 %
Compass Inc 800,3376.1M $0.43 %
RXO Inc 300,5316M $0.43 %
Excelerate Energy Inc 170,8136M $0.42 %
Slide Insurance Holdings Inc 317,8005.9M $0.42 %
Carpenter Technology Corp 13,7405.9M $0.42 %
Axsome Therapeutics Inc 28,1255.8M $0.42 %
Trinity Capital Inc 338,7915.6M $0.40 %
First Watch Restaurant Group Inc 425,7105.6M $0.40 %
Life Time Group Holdings Inc 200,3255.4M $0.38 %
Mid Penn Bancorp Inc 158,0385.2M $0.37 %
BOBS DISCOUNT FURNITURE INC 433,9994.7M $0.33 %
Billiontoone Inc 61,0814.6M $0.33 %