Titelia

Holdings of EMERALD ADVISERS, LLC

232 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 21.4 % of the equity sleeve

Sector breakdown

  • Industrials 4.0 %
  • Materials 1.7 %
  • Technology 1.1 %
  • Communication 0.4 %
  • Consumer discretionary 0.3 %
  • Health care 0.2 %
  • Energy 0.1 %
  • Financials 0.1 %
  • Unattributed 92.1 %

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 %
  • IL 0.0 %

Shares computed on the equity sleeve.

CountryLinesValueShare
US2312.9B $99.96 %
IL11M $0.04 %

Positions

CompanySharesValueWeight
Modine Manufacturing Co 378,11881.9M $
Guardant Health Inc 841,91777.8M $
Bloom Energy Corp 541,78773.4M $
TTM Technologies Inc 750,41773.1M $
Cogent Biosciences Inc 1,588,13261.1M $
Kratos Defense & Security Solutions, Inc. 835,92958.9M $
VSE Corp 314,78958M $
Argan Inc 95,27251.9M $
AAR Corp 445,69348.8M $
Travere Therapeutics Inc 1,557,19646.3M $
ESCO Technologies Inc 162,65345.8M $
Mercury Systems Inc 595,31443.4M $
nLight Inc 746,67442.6M $
Rambus Inc 493,23642.4M $
Axos Financial Inc 496,23242.2M $
National Vision Holdings Inc 1,502,64438.9M $
Bridgebio Pharma Inc 515,36138.3M $
Kulicke & Soffa Industries Inc 568,99637.4M $
Applied Optoelectronics Inc 433,88236.7M $
Mirum Pharmaceuticals Inc 397,26336.7M $
Palomar Holdings Inc 298,35935.7M $
Semtech Corp 457,01835.1M $
IPG Photonics Corp 304,91634.9M $
Rush Street Interactive Inc 1,573,50034.2M $
TransMedics Group Inc 342,79134.1M $
Plexus Corp 166,53233.7M $
Solaris Energy Infrastructure Inc 594,68733.6M $
AeroVironment Inc 179,87432.9M $
Sterling Infrastructure Inc 79,83632.5M $
Ollie's Bargain Outlet Holdings Inc 347,12531.9M $
InterDigital Inc 104,06531.4M $
Moelis & Co 548,07731.2M $
CECO Environmental Corp 523,01731.2M $
Spyre Therapeutics Inc 613,36530.9M $
Boot Barn Holdings Inc 208,42530.5M $
UMB Financial Corp 267,43830.2M $
Astronics Corp 449,12630M $
SPX Technologies Inc 147,25029.4M $
Arlo Technologies Inc 2,018,92928.7M $
Nektar Therapeutics 394,60428.4M $
Freshpet Inc 480,70328.3M $
PDF Solutions Inc 860,81928.2M $
Piper Sandler Cos 360,57827.6M $
Skyward Specialty Insurance Group Inc 627,90827.4M $
Allegiant Travel Co 338,03327.4M $
Bancorp Inc/The 491,34026.4M $
ATI Inc 181,48526.4M $
Evolv Technologies Holdings Inc 4,333,05526.2M $
Mirion Technologies Inc 1,381,57425.7M $
American Superconductor Corp 757,40425.6M $
KalVista Pharmaceuticals Inc 1,264,02325.4M $
Carpenter Technology Corp 62,10024.5M $
Onto Innovation Inc 118,42324.3M $
Cohu Inc 780,09923.9M $
Customers Bancorp Inc 343,20923.8M $
Synaptics Inc 329,91623.1M $
Agilysys Inc 323,51123M $
Cardinal Infrastructure Group Inc 578,60022.9M $
SiTime Corp 65,76222.7M $
TETRA Technologies Inc 2,661,52722.7M $
Trevi Therapeutics Inc 1,839,56621.9M $
RadNet Inc 381,76421.3M $
Palvella Therapeutics Inc 161,50020.1M $
Madrigal Pharmaceuticals Inc 37,65419.7M $
Alphatec Holdings Inc 1,807,30719.7M $
Compass Inc 2,658,46619.4M $
Five Below Inc 83,35119M $
Billiontoone Inc 239,56218.9M $
Varonis Systems Inc 869,02118.7M $
Impinj Inc 181,61518.7M $
BJ's Restaurants Inc 530,99918.6M $
Perella Weinberg Partners 1,019,86918.5M $
Savara Inc 3,371,28518.4M $
Axsome Therapeutics Inc 107,61018.2M $
Life Time Group Holdings Inc 656,50817.7M $
Coastal Financial Corp/WA 221,18216.8M $
BOBS DISCOUNT FURNITURE INC 1,345,05015.8M $
Commvault Systems Inc 197,14115.4M $
Seacoast Banking Corp of Florida 504,36315.3M $
Q2 Holdings Inc 320,58015.2M $
LendingTree Inc 339,66914.6M $
First Advantage Corp 1,147,86513.5M $
Collegium Pharmaceutical Inc 402,75213.3M $
LendingClub Corp 927,59613.3M $
Cytokinetics Inc 198,81113.1M $
IonQ Inc 447,72912.9M $
Arhaus Inc 1,836,72412.5M $
Diodes Inc 181,05312.4M $
Trinity Capital Inc 766,19011.3M $
Aveanna Healthcare Holdings Inc 1,690,45710.9M $
Hinge Health Inc 278,89010.8M $
EverQuote Inc 691,26610.7M $
Excelerate Energy Inc 315,66510.5M $
Visteon Corp 110,50210.1M $
Corvus Pharmaceuticals Inc 686,21610M $
First Watch Restaurant Group Inc 947,1109.9M $
Black Rock Coffee Bar Inc 749,6269.7M $
Soleno Therapeutics Inc 274,1389.2M $
NVIDIA Corp 51,9219.1M $
Axcelis Technologies Inc 96,2389M $