Titelia

Holdings of LOS ANGELES CAPITAL MANAGEMENT LLC

2199 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 38.1 % of the equity sleeve

Sector breakdown

  • Technology 35.0 %
  • Communication 9.3 %
  • Financials 8.8 %
  • Health care 7.3 %
  • Consumer discretionary 6.7 %
  • Industrials 5.7 %
  • Energy 4.9 %
  • Materials 3.1 %
  • Utilities 2.6 %
  • Real estate 1.4 %
  • Consumer staples 1.3 %
  • Unattributed 14.0 %

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 %
  • KY 0.0 %
  • PE 0.0 %
  • CA 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2,19623.9B $99.98 %
2KY12.6M $0.01 %
3PE11.9M $0.01 %
4CA19.1K $0.00 %

Positions

RankCompanySharesValueWeight
301Envista Holdings Corp 199,3185.1M $
302Woodward Inc 13,9045M $
303Riley Exploration Permian Inc 134,9954.9M $
304Bloom Energy Corp 36,1524.9M $
305PTC Therapeutics Inc 71,6604.9M $
306Sanmina Corp 37,1944.8M $
307Morgan Stanley 29,1544.8M $
308Napco Security Technologies Inc 121,4524.8M $
309IonQ Inc 162,8504.7M $
310Las Vegas Sands Corp 87,0324.7M $
311Harmony Biosciences Holdings Inc 166,1984.7M $
312Hanover Insurance Group Inc/The 26,8054.6M $
313Associated Banc-Corp 178,0704.6M $
314Knowles Corp 179,1944.6M $
315Global Payments Inc 68,2824.6M $
316SEI Investments Co 58,3574.6M $
317AECOM 53,4324.5M $
318OGE Energy Corp 94,1884.5M $
319Franklin Resources Inc 190,5774.5M $
320Home BancShares Inc/AR 162,8874.4M $
321Macy's Inc 242,4794.4M $
322American Express Co 14,3894.4M $
323Western Digital Corp 15,6744.2M $
324Crane Co 24,7914.2M $
325Ameren Corp 38,5204.2M $
326Kontoor Brands Inc 60,1774.2M $
327EPAM Systems Inc 31,2344.2M $
328Moog Inc 14,4344.2M $
329Sandisk Corp/DE 6,5424.2M $
330Carpenter Technology Corp 10,5394.2M $
331Darling Ingredients Inc 66,9434.1M $
332Howard Hughes Holdings Inc 65,2704.1M $
333International Business Machines Corp. 16,8274.1M $
334ROBLOX Corp 72,0684.1M $
335NIKE Inc 76,7614.1M $
336CNX Resources Corp 104,7344M $
337HubSpot Inc 16,4004M $
338ESCO Technologies Inc 13,9553.9M $
339SiTime Corp 11,2723.9M $
340Plexus Corp 19,0953.9M $
341East West Bancorp Inc 35,5143.8M $
342Duke Energy Corp 28,7733.8M $
343Atmos Energy Corp 20,3123.8M $
344Comcast Corp 130,4033.7M $
345Scotts Miracle-Gro Co/The 61,3573.7M $
346Fox Corp 63,8123.7M $
347Arcutis Biotherapeutics Inc 154,4223.6M $
348Broadridge Financial Solutions Inc 22,3163.6M $
349Booz Allen Hamilton Holding Corp 45,5493.6M $
350Sterling Infrastructure Inc 8,5983.5M $
351General Mills, Inc. 93,0933.5M $
352Apellis Pharmaceuticals Inc 85,9133.5M $
353Semtech Corp 44,6263.4M $
354Invitation Homes Inc 137,9893.4M $
355AZZ Inc 27,3733.4M $
356Cactus Inc 72,2403.4M $
357Harley-Davidson Inc 168,9423.4M $
358Aveanna Healthcare Holdings Inc 527,7563.4M $
359Gold.com Inc 84,5553.4M $
360S&P Global Inc 7,9183.4M $
361ServisFirst Bancshares Inc 46,0953.4M $
362Host Hotels & Resorts Inc 171,9113.3M $
363Amkor Technology Inc 72,2323.3M $
364Dime Community Bancshares Inc 94,0693.2M $
365MYR Group Inc 11,1903.2M $
366Urban Outfitters Inc 49,5043.1M $
367McKesson Corp 3,5993.1M $
368Intel Corp 70,0743.1M $
369Catalyst Pharmaceuticals Inc 124,3573.1M $
370Liberty Media Corp-Liberty Formula One 36,0183.1M $
371Nutex Health Inc 32,0593M $
372Emerson Electric Co. 23,1593M $
373AppLovin Corp 7,6163M $
374Humana Inc 17,4273M $
375Omnicom Group Inc 39,8993M $
376Moelis & Co 52,2443M $
377Nextpower Inc 24,5793M $
378Edwards Lifesciences Corp 36,8092.9M $
379Veracyte Inc 91,4012.9M $
380Tetra Tech Inc 96,0852.9M $
381Lennox International Inc 6,1102.8M $
382Boot Barn Holdings Inc 19,1392.8M $
383Piper Sandler Cos 36,3522.8M $
384Sun Communities Inc 22,0032.8M $
385Generac Holdings Inc 14,1832.8M $
386NVE Corp 42,2212.8M $
387Primoris Services Corp 19,2752.8M $
388Welltower Inc 13,8232.7M $
389Lincoln Electric Holdings Inc 10,9622.7M $
390Roku Inc 28,6282.7M $
391Ranger Energy Services Inc 157,8412.7M $
392Duolingo Inc 27,2312.7M $
393Exponent Inc 41,0842.7M $
394Kimberly-Clark Corp 27,5322.7M $
395Tidewater Inc 31,4252.6M $
396Coca-Cola Consolidated Inc 13,6622.6M $
397PDD Holdings Inc 25,1232.6M $
398SPX Technologies Inc 12,7642.6M $
399NerdWallet Inc 245,0822.5M $
400TTM Technologies Inc 25,8962.5M $