Titelia

Holdings of Ameritas Investment Partners, Inc.

2855 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 20.7 % of the equity sleeve

Sector breakdown

  • Technology 19.8 %
  • Communication 6.2 %
  • Consumer discretionary 5.9 %
  • Industrials 5.1 %
  • Health care 4.7 %
  • Funds 4.3 %
  • Financials 4.1 %
  • Consumer staples 3.7 %
  • Utilities 1.5 %
  • Energy 1.5 %
  • Materials 1.2 %
  • Real estate 0.4 %
  • Unattributed 41.8 %

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 99.8 %
  • NL 0.1 %
  • KY 0.1 %
  • GB 0.0 %
  • JP 0.0 %
  • TW 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2,8463B $99.76 %
2NL24.2M $0.14 %
3KY12.5M $0.08 %
4GB4776K $0.03 %
5JP1206 $0.00 %
6TW118 $0.00 %

Positions

RankCompanySharesValueWeight
1,901Tactile Systems Technology Inc 1,94550.8K $
1,902Esperion Therapeutics Inc 18,51250.7K $
1,903Daily Journal Corp 10550.6K $
1,904NETGEAR Inc 2,31750.6K $
1,905Green Dot Corp 4,48350.3K $
1,906Heritage Insurance Holdings Inc 1,91550.3K $
1,907Great Southern Bancorp Inc 79650.3K $
1,908Metallus Inc 3,06750.1K $
1,909DaVita Inc 32650.1K $
1,910Invesco Mortgage Capital Inc 6,18950K $
1,911Firefly Aerospace Inc 1,74549.7K $
1,912Inhibrx Biosciences Inc 73649.5K $
1,913Mama's Creations Inc 3,22449.5K $
1,914Republic Bancorp Inc/KY 70049.4K $
1,915Five Star Bancorp 1,30449.2K $
1,916Mitek Systems Inc 3,64349.2K $
1,917Mission Produce Inc 3,56549.1K $
1,918FTAI Infrastructure Inc 9,86448.7K $
1,919Shore Bancshares Inc 2,60548.7K $
1,920Ennis Inc 2,27148.6K $
1,921Global X Funds 62248.6K $
1,922Ironwood Pharmaceuticals Inc 13,77348.3K $
1,923Porch Group Inc 6,73248.3K $
1,924Arvinas Inc 4,55048.2K $
1,925iShares Core High Dividend ETF 35548.2K $
1,926Kimball Electronics Inc 2,03348.2K $
1,927CTO Realty Growth Inc 2,60048.1K $
1,928Peoples Financial Services Corp 90148.1K $
1,929Utz Brands Inc 6,05047.9K $
1,930Miller Industries Inc/TN 1,05047.8K $
1,931American Woodmark Corp 1,20047.8K $
1,932First Trust Exchange-Traded Fund VIII 90547.8K $
1,933Bar Harbor Bankshares 1,46647.6K $
1,934eXp World Holdings Inc 7,93547.5K $
1,935Forum Energy Technologies Inc 81047.5K $
1,936SmartFinancial Inc 1,21547.5K $
1,937Navient Corp 5,79547.4K $
1,938Replimune Group Inc 6,16747.2K $
1,939Peapack-Gladstone Financial Corp 1,33847.1K $
1,940NexPoint Residential Trust Inc 1,87947K $
1,941First Watch Restaurant Group Inc 4,46746.8K $
1,942Septerna Inc 1,94446.7K $
1,943Carter Bankshares Inc 1,99846.6K $
1,944Eastman Kodak Co 5,14746.6K $
1,945Alerus Financial Corp 1,96446.6K $
1,946Asana Inc 7,23746.3K $
1,947SunCoke Energy Inc 7,09846.2K $
1,948First Trust Exchange-Traded Fund VIII 86546.2K $
1,949Rush Enterprises Inc 71646.1K $
1,950SEMrush Holdings Inc 3,83845.8K $
1,951Janux Therapeutics Inc 3,28945.7K $
1,952Hertz Global Holdings Inc 9,86945.5K $
1,953Oxford Industries Inc 1,18145.5K $
1,954Accel Entertainment Inc 4,15245.3K $
1,955Beazer Homes USA Inc 2,35245.3K $
1,956Mesa Laboratories Inc 50945K $
1,957WisdomTree Trust 85544.9K $
1,958Sweetgreen Inc 8,65244.9K $
1,959Energy Recovery Inc 4,45244.8K $
1,960Vitesse Energy Inc 2,46444.7K $
1,961PAR Technology Corp 3,35144.7K $
1,962Compass Diversified Holdings 5,68144.7K $
1,963CorMedix Inc 6,56244.6K $
1,964Cass Information Systems Inc 1,01244.5K $
1,965Arteris Inc 2,70344.4K $
1,966Arrow Financial Corp 1,32344.4K $
1,967PagerDuty Inc 7,13644.3K $
1,968Gladstone Commercial Corp 3,86844.2K $
1,969Forestar Group Inc 1,80844.2K $
1,970Hovnanian Enterprises Inc 39844.1K $
1,971Flushing Financial Corp 2,86944.1K $
1,972TPG RE Finance Trust Inc 5,63544K $
1,973Sabre Corp 30,30943.9K $
1,974Vishay Precision Group Inc 1,01143.9K $
1,975Kforce Inc 1,49943.8K $
1,976Cannae Holdings Inc 3,84243.7K $
1,977Universal Health Realty Income Trust 1,07843.6K $
1,978Golden Entertainment Inc 1,63243.6K $
1,979Riley Exploration Permian Inc 1,18943.3K $
1,980First Trust Exchange-Traded Fund VIII 77543.3K $
1,981Embecta Corp 4,89043.2K $
1,982Ethan Allen Interiors Inc 1,94143.2K $
1,983BioAge Labs Inc 2,47043.2K $
1,984I3 Verticals Inc 1,92843.1K $
1,985Aeva Technologies Inc 3,27143K $
1,986Diamond Hill Investment Group Inc 25043K $
1,987Cytek Biosciences Inc 9,82342.9K $
1,988MarineMax Inc 1,58542.9K $
1,989Serve Robotics Inc 5,07542.8K $
1,990York Water Co/The 1,40642.8K $
1,991Zevra Therapeutics Inc 4,59142.8K $
1,992Strive Inc 4,26542.7K $
1,993Campbell's Company/The 1,91442.6K $
1,994Alexander's Inc 18042.5K $
1,995HealthStream Inc 2,04842.4K $
1,996Root Inc/OH 96042.4K $
1,997South Plains Financial Inc 1,01242.4K $
1,998Power Solutions International Inc 69542.3K $
1,999GCM Grosvenor Inc 4,31642.3K $
2,000Hallador Energy Co 2,59342.2K $