Titelia

Holdings of MassMutual Private Wealth & Trust, FSB

2101 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 31.4 % of the equity sleeve

Sector breakdown

  • Technology 19.5 %
  • Financials 9.9 %
  • Consumer discretionary 7.2 %
  • Health care 7.0 %
  • Communication 6.9 %
  • Industrials 6.8 %
  • Consumer staples 4.3 %
  • Funds 3.4 %
  • Utilities 1.6 %
  • Energy 1.6 %
  • Materials 1.2 %
  • Real estate 0.5 %
  • Unattributed 30.1 %

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 %
  • BM 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2,0993.5B $100.00 %
2IL153.1K $0.00 %
3BM124.3K $0.00 %

Positions

RankCompanySharesValueWeight
1,101Acadia Realty Trust 71913.7K $
1,102Brandywine Realty Trust 4,98213.5K $
1,103StandardAero Inc 52213.5K $
1,104LKQ Corp 45813.5K $
1,105TPG Inc 33113.4K $
1,106National Presto Industries Inc 9713.3K $
1,107Walker & Dunlop Inc 29913.3K $
1,108Northern Oil & Gas Inc 45313.2K $
1,109TriNet Group Inc 36313.2K $
1,110Acushnet Holdings Corp 14113.2K $
1,111Protagonist Therapeutics Inc 12513.2K $
1,112National Storage Affiliates Trust 34613.1K $
1,113Intuitive Machines Inc 70013K $
1,114Capital Group Dividend Value ETF 30513K $
1,115Zillow Group Inc 31313K $
1,116City Holding Co 10812.9K $
1,117Abercrombie & Fitch Co 14112.9K $
1,118Dycom Industries Inc 3812.9K $
1,119Tri Pointe Homes Inc 27512.9K $
1,120Hamilton Lane Inc 12912.8K $
1,121CubeSmart 34812.8K $
1,122Exponent Inc 19512.7K $
1,123VSE Corp 6912.7K $
1,124Stride Inc 14412.7K $
1,125Magnolia Oil & Gas Corp 40112.7K $
1,126CAPITAL GROUP MUNICIPAL INCOME ETF 46612.7K $
1,127Procore Technologies Inc 22012.5K $
1,128Arcosa Inc 11812.5K $
1,129Vanguard Admiral Funds Inc. 10012.5K $
1,130Core Natural Resources Inc 11912.5K $
1,131Monarch Casino & Resort Inc 13012.4K $
1,132Samsara Inc 39212.4K $
1,133Comstock Resources Inc 58612.4K $
1,134Boot Barn Holdings Inc 8412.3K $
1,135American Public Education Inc 21612.3K $
1,136EquipmentShare.com Inc 60012.2K $
1,137Sterling Infrastructure Inc 3012.2K $
1,138Chewy Inc 45212.2K $
1,139Select Sector Spdr Trust 7512.1K $
1,140Independent Bank Corp 16112.1K $
1,141HealthStream Inc 58112K $
1,142Lincoln National Corp 33812K $
1,143OGE Energy Corp 25012K $
1,144Grayscale Bitcoin Trust ETF 22712K $
1,145Intapp Inc 46511.9K $
1,146Zscaler Inc 8511.9K $
1,147Scotts Miracle-Gro Co/The 19611.9K $
1,148Cargurus Inc 35011.9K $
1,149Allegiant Travel Co 14711.9K $
1,150NexPoint Residential Trust Inc 47511.9K $
1,151Sphere Entertainment Co 10111.9K $
1,152Avantor Inc 1,51111.8K $
1,153State Street SPDR Portfolio Developed World ex-US ETF 25911.8K $
1,154FNB Corp/PA 70611.8K $
1,155Blue Foundry Bancorp 89111.8K $
1,156DraftKings Inc 54211.7K $
1,157Freshworks Inc 1,45511.7K $
1,158Toast Inc 43911.6K $
1,159Schwab U.S. Small-Cap ETF 40011.6K $
1,160Clearway Energy Inc 29311.5K $
1,161National Fuel Gas Co 12111.4K $
1,162Interparfums Inc 12511.4K $
1,163Bright Horizons Family Solutions Inc 13811.3K $
1,164Lazard Inc 26611.3K $
1,165Sunrun Inc 83211.3K $
1,166Timken Co/The 11211.3K $
1,167J & J Snack Foods Corp 14211.3K $
1,168Unum Group 15411.2K $
1,169Redwood Trust Inc 2,00011.2K $
1,170Glacier Bancorp Inc 25111.2K $
1,171QXO Inc 57711.2K $
1,172Under Armour Inc 1,93211.2K $
1,173Jackson Financial Inc 10511.1K $
1,174Gitlab Inc 51211.1K $
1,175Pathward Financial Inc 12411.1K $
1,176Leonardo DRS Inc 24811K $
1,177Doximity Inc 47311K $
1,178HNI Corp 32811K $
1,179Eastman Chemical Co 14310.9K $
1,180Texas Capital Bancshares Inc 11510.9K $
1,181CAPITAL GROUP MUNICIPAL HIGH-INCOME ETF 43010.9K $
1,182Shake Shack Inc 12310.9K $
1,183Howard Hughes Holdings Inc 17210.9K $
1,184CACI International Inc 2010.9K $
1,185Hertz Global Holdings Inc 2,34110.8K $
1,186Atlassian Corp 15810.8K $
1,187Benchmark Electronics Inc 19210.8K $
1,188Ionis Pharmaceuticals Inc 14310.7K $
1,189Clear Secure Inc 22110.7K $
1,190Urban Edge Properties 53010.6K $
1,191Envista Holdings Corp 41610.6K $
1,192EastGroup Properties Inc 5710.6K $
1,193Capital Group Global Growth Equity ETF 31510.5K $
1,194Seacoast Banking Corp of Florida 34710.5K $
1,195Ingram Micro Holding Corp 45010.5K $
1,196Verra Mobility Corp 73210.5K $
1,197Granite Construction Inc 8710.4K $
1,198Wyndham Hotels & Resorts Inc 12810.4K $
1,199Under Armour Inc 1,75110.3K $
1,200Etsy Inc 20710.3K $