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
801West BanCorp Inc 19,830471.8K $
802Latham Group Inc 87,493469.8K $
803BioCryst Pharmaceuticals Inc 48,900465.5K $
804Amerant Bancorp Inc 21,114465.4K $
805NET Lease Office Properties 40,304464.3K $
806Snap Inc 100,168460.8K $
807ONE Gas Inc 5,320458.2K $
808Samsara Inc 14,447457.8K $
809Bassett Furniture Industries Inc 32,303457.1K $
810TransMedics Group Inc 4,590456.3K $
811Starbucks Corp 5,068454K $
812Illumina Inc 3,678453.4K $
813CME Group Inc 1,533452.8K $
814Clorox Co/The 4,350450.8K $
815ATN International Inc 16,497449K $
816Qualys Inc 5,105448.5K $
817Sally Beauty Holdings Inc 32,220446.2K $
818Jefferson Capital Inc 23,180445.8K $
819Nu Skin Enterprises Inc 61,195445.5K $
820Mercantile Bank Corp 8,720440.4K $
821Alphatec Holdings Inc 40,446440.1K $
822Williams-Sonoma Inc 2,398437.2K $
823Warby Parker Inc 20,708436.3K $
824Warner Music Group Corp 16,928432.3K $
825American Healthcare REIT Inc 9,159431.9K $
826Phinia Inc 6,290430.5K $
827Crowdstrike Holdings Inc 1,102430.2K $
828Marcus & Millichap Inc 16,111428.4K $
829Investar Holding Corp 15,706428.3K $
830FVCBankcorp Inc 28,182428.1K $
831FB Financial Corp 8,196425.7K $
832Terns Pharmaceuticals Inc 7,994421.4K $
833Magnite Inc 35,325419.7K $
834Monte Rosa Therapeutics Inc 25,331416.7K $
835Schrodinger Inc/United States 36,606415.8K $
836Otter Tail Corp 4,714413.7K $
837Boston Scientific Corp 6,588413.4K $
838Lightbridge Corp 38,695412.5K $
839Willdan Group Inc 5,373411.4K $
840NeuroPace Inc 30,993407.6K $
841Mondelez International Inc 7,002403.6K $
842Life360 Inc 9,875403.1K $
843Simon Property Group Inc 2,157402.3K $
844Frontdoor Inc 7,569400.1K $
845Mammoth Energy Services Inc 163,259400K $
846ArriVent Biopharma Inc 17,308399.3K $
847Sila Realty Trust Inc 16,859399.2K $
848Clearfield Inc 15,002397.1K $
849Pediatrix Medical Group Inc 18,539396.5K $
850Kymera Therapeutics Inc 4,730394K $
851Myriad Genetics Inc 87,180392.3K $
852Encore Capital Group Inc 5,574390.8K $
853Great Southern Bancorp Inc 6,158388.8K $
854CVB Financial Corp 19,986387.5K $
855LCI Industries 3,135385.5K $
856Waste Management Inc 1,675384.9K $
857NACCO Industries Inc 7,354382.2K $
858IRhythm Holdings Inc 3,235381.8K $
859California BanCorp 21,520381.3K $
860Red Violet Inc 10,975379.7K $
861ITT Inc 1,975376.3K $
862Farmers & Merchants Bancorp Inc/Archbold OH 14,650376.1K $
863Plumas Bancorp 7,692375.5K $
864Park-Ohio Holdings Corp 15,478372.1K $
865BJ's Restaurants Inc 10,563370.8K $
866SIGA Technologies Inc 69,082369.6K $
867Core Laboratories Inc 22,001369.4K $
868Automatic Data Processing Inc 1,805366.7K $
869Southwest Airlines Co 9,716365K $
870Xencor Inc 30,263365K $
871Columbia Banking System Inc 13,236363.1K $
872OppFi Inc 46,880361.4K $
873ePlus Inc 4,802361.4K $
874WW Grainger Inc 330360K $
875Southern First Bancshares Inc 6,586358.9K $
876Evolv Technologies Holdings Inc 59,202358.2K $
877Crinetics Pharmaceuticals Inc 9,821356.7K $
878Terawulf Inc 24,533354K $
879EOG Resources Inc 2,408348.1K $
880Eastman Kodak Co 38,447347.9K $
881Editas Medicine Inc 140,428346.9K $
882Annexon Inc 62,073343.9K $
883M-Tron Industries Inc 5,125342.6K $
884Septerna Inc 14,214341.6K $
885Wabash National Corp 39,611341.4K $
886Vera Therapeutics Inc 8,456340.2K $
8873D Systems Corp 180,090338.6K $
888Cipher Digital Inc 26,278338.2K $
889Kopin Corp 149,832337.1K $
890Cannae Holdings Inc 29,635337K $
891O'Reilly Automotive Inc 3,641336.1K $
892Illinois Tool Works Inc 1,291336K $
893Innovative Industrial Properties Inc 6,676334.9K $
894Motorola Solutions Inc 770334.2K $
895Revolve Group Inc 14,776334.1K $
896Asana Inc 52,160333.8K $
897Franklin Street Properties Corp 501,423333.2K $
898Independent Bank Corp 4,424332.7K $
899Western New England Bancorp Inc 25,592330.9K $
900Sherwin-Williams Co/The 1,029329.8K $