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
1,301Easterly Government Properties Inc 3677.9K $
1,302Loar Holdings Inc 1377.8K $
1,303RingCentral Inc 2117.8K $
1,304PagerDuty Inc 1,2627.8K $
1,305Dream Finders Homes Inc 5627.8K $
1,306Lennar Corp 937.8K $
1,307Adeia Inc 3247.8K $
1,308Patrick Industries Inc 707.8K $
1,309One Liberty Properties Inc 3627.8K $
1,310Macerich Co/The 4117.8K $
1,311FMC Corp 4507.7K $
1,312Dana Inc 2307.7K $
1,313American Healthcare REIT Inc 1647.7K $
1,314Trex Co Inc 2127.7K $
1,315Avanos Medical Inc 5517.7K $
1,316Tarsus Pharmaceuticals Inc 1107.7K $
1,317Chemours Co/The 3487.7K $
1,318Kohl's Corp 5947.7K $
1,319Callaway Golf Co 5517.6K $
1,320MYR Group Inc 277.6K $
1,321York Water Co/The 2507.6K $
1,322Organon & Co 1,2687.6K $
1,323Crane NXT Co 1877.6K $
1,324Versant Media Group Inc 2057.6K $
1,325Atlantic Union Bankshares Corp 2127.6K $
1,326National Beverage Corp 2257.6K $
1,327Pacira BioSciences Inc 3357.6K $
1,328H2O America 1297.6K $
1,329Brinker International Inc 537.6K $
1,330Maximus Inc 1187.6K $
1,331Ashland Inc 1367.6K $
1,332Cheesecake Factory Inc/The 1387.6K $
1,333Harrow Inc 2147.5K $
1,334Option Care Health Inc 2807.5K $
1,335HBT Financial Inc 2827.5K $
1,336Employers Holdings Inc 1837.5K $
1,337PROCEPT BIOROBOTICS CORP 3007.5K $
1,338LiveRamp Holdings Inc 2807.4K $
1,339Aramark 1837.4K $
1,340Alpha Metallurgical Resources Inc 367.4K $
1,341ICU Medical Inc 577.4K $
1,342STAG Industrial Inc 2047.4K $
1,343Orthofix Medical Inc 6417.4K $
1,344Lifecore Biomedical Inc 1,9667.3K $
1,345Palomar Holdings Inc 617.3K $
1,346LCI Industries 597.3K $
1,347Dropbox Inc 3197.2K $
1,348Simply Good Foods Co/The 5057.2K $
1,349Cars.com Inc 8887.2K $
1,350YETI Holdings Inc 1967.2K $
1,351Dine Brands Global Inc 2737.2K $
1,352Alpine Income Property Trust Inc 3977.1K $
1,353Catalyst Pharmaceuticals Inc 2887.1K $
1,354Crown Holdings Inc 717.1K $
1,355Park National Corp 437K $
1,356Americold Realty Trust Inc 6127K $
1,357Customers Bancorp Inc 1017K $
1,358Lithia Motors Inc 287K $
1,359Travere Therapeutics Inc 2357K $
1,360Grand Canyon Education Inc 417K $
1,361Capital Group Growth ETF 1726.9K $
1,362Gladstone Land Corp 6766.9K $
1,363Forward Air Corp 4126.9K $
1,364Esperion Therapeutics Inc 2,5006.9K $
1,365Boyd Gaming Corp 836.8K $
1,366Atmus Filtration Technologies Inc 1206.8K $
1,367Empire State Realty Trust Inc 1,3106.8K $
1,368Vestis Corp 8636.8K $
1,369Sezzle Inc 1066.7K $
1,370Kontoor Brands Inc 956.7K $
1,371Univest Financial Corp 1946.6K $
1,372EyePoint Inc 5156.6K $
1,373UFP Industries Inc 726.6K $
1,374DoubleVerify Holdings Inc 6976.6K $
1,375PubMatic Inc 8086.6K $
1,376Sable Offshore Corp 4006.6K $
1,377Mosaic Co/The 2596.6K $
1,378SLM Corp 3086.6K $
1,379Enphase Energy Inc 1746.6K $
1,380Xeris Biopharma Holdings Inc 1,1346.6K $
1,381iShares Trust 206.6K $
1,382Amicus Therapeutics Inc 4536.6K $
1,383Commvault Systems Inc 846.5K $
1,384Sun Country Airlines Holdings Inc 3956.5K $
1,385Vishay Precision Group Inc 1506.5K $
1,386Avista Corp 1626.5K $
1,387Stepan Co 1306.5K $
1,388Horace Mann Educators Corp 1526.5K $
1,389ESCO Technologies Inc 236.5K $
1,390FrontView REIT Inc 4186.5K $
1,391MSC Industrial Direct Co Inc 706.5K $
1,392Cleveland-Cliffs Inc 7636.4K $
1,393Unitil Corp 1236.4K $
1,394Oxford Industries Inc 1666.4K $
1,395Graham Holdings Co 66.3K $
1,396Reynolds Consumer Products Inc 2996.3K $
1,397Arvinas Inc 5956.3K $
1,398Astronics Corp 946.3K $
1,399Nuvation Bio Inc 1,4606.3K $
1,400Teradata Corp 2446.3K $