Titelia

Holdings of RICE HALL JAMES & ASSOCIATES, LLC

220 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 28 % of the equity sleeve

Sector breakdown

  • Industrials 3.7 %
  • Technology 0.8 %
  • Health care 0.4 %
  • Financials 0.2 %
  • Materials 0.2 %
  • Consumer staples 0.1 %
  • Energy 0.1 %
  • Consumer discretionary 0.1 %
  • Unattributed 94.5 %

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 97.6 %
  • DK 2.4 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2191.4B $97.65 %
2DK133.9M $2.35 %

Positions

RankCompanySharesValueWeight
101MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 14,7003.3M $
102Ducommun Inc 26,4133.2M $
103Ensign Group Inc/The 15,8983.2M $
104Rambus Inc 37,0593.2M $
105Healthcare Services Group Inc 170,1123.2M $
106Vital Farms Inc 222,5233.1M $
107Mercury Systems Inc 42,2253.1M $
108Griffon Corp 42,2843.1M $
109Haemonetics Corp 54,1323.1M $
110Addus HomeCare Corp 31,6263M $
111Sterling Infrastructure Inc 7,2412.9M $
112SoundThinking Inc 444,0872.9M $
113Helios Technologies Inc 44,4612.9M $
114Thermon Group Holdings Inc 57,0482.9M $
115Transcat Inc 38,8702.9M $
116Latham Group Inc 522,6712.8M $
117Mama's Creations Inc 181,7562.8M $
118V2X Inc 40,6792.8M $
119Travere Therapeutics Inc 92,7572.8M $
120ADMA Biologics Inc 300,7442.7M $
121TKO Group Holdings Inc 13,3342.7M $
122Axogen Inc 81,1432.7M $
123NVIDIA Corp 15,4012.7M $
124BrightView Holdings Inc 223,1492.6M $
125Champion Homes Inc 34,7122.6M $
126Tactile Systems Technology Inc 95,5652.5M $
127Materion Corp 17,2372.5M $
128Lindblad Expeditions Holdings Inc 138,2962.4M $
129Repligen Corp 20,1512.4M $
130Spectrum Brands Holdings Inc 32,0502.4M $
131Grocery Outlet Holding Corp 327,5502.3M $
132Douglas Dynamics Inc 54,7322.3M $
133Magnite Inc 192,8082.3M $
134Cisco Systems, Inc. 29,4322.3M $
135Willdan Group Inc 29,2122.2M $
136Century Casinos Inc 1,575,1772.2M $
137ANI Pharmaceuticals Inc 26,8162.1M $
138Huron Consulting Group Inc 16,0172M $
139iShares Russell 2000 Growth ETF 6,4722M $
140PTC Inc 14,1582M $
141Pacira BioSciences Inc 88,8442M $
142Legalzoom.com Inc 352,7812M $
143Universal Display Corp 21,7132M $
144Johnson & Johnson 8,0032M $
145VF Corp 113,6921.9M $
146Omnicell Inc 57,5141.9M $
147Kratos Defense & Security Solutions, Inc. 26,6971.9M $
148Ciena Corp 4,7831.9M $
149Vishay Precision Group Inc 42,6571.9M $
150Plumas Bancorp 37,1411.8M $
151Standard Motor Products Inc 51,5481.8M $
152Azenta Inc 81,3011.7M $
153Blend Labs Inc 1,006,2891.7M $
154Smith-Midland Corp 51,3461.7M $
155Core Laboratories Inc 99,0961.7M $
156Natural Gas Services Group Inc 43,5681.6M $
157American Superconductor Corp 47,1141.6M $
158Alamo Group Inc 9,2921.5M $
159BWX Technologies Inc 7,3891.5M $
160ON Semiconductor Corp 24,0051.5M $
161Eli Lilly & Co 1,6151.5M $
162Johnson Outdoors Inc 31,8181.5M $
163First Watch Restaurant Group Inc 139,8551.5M $
164Xeris Biopharma Holdings Inc 251,0661.5M $
165Curtiss-Wright Corp 2,0531.4M $
166Tandem Diabetes Care Inc 72,8781.4M $
167US Physical Therapy Inc 17,9051.3M $
168TriMas Corp 36,1361.3M $
169Mesa Laboratories Inc 14,2221.3M $
170Energy Recovery Inc 120,5221.2M $
171Dover Corp 5,7901.2M $
172Simulations Plus Inc 101,5981.2M $
173Berkshire Hathaway Inc 2,4501.2M $
174Vulcan Materials Co 4,2991.2M $
175Petco Health & Wellness Co Inc 417,4231.2M $
176Xylem Inc/NY 9,6321.2M $
177AbbVie Inc 5,2091.1M $
178Alkami Technology Inc 64,3271M $
179Teledyne Technologies Inc 1,629985.6K $
180eBay Inc 9,165834.2K $
181Exxon Mobil Corp 4,379742.9K $
182Chevron Corp 3,557735.9K $
183Grid Dynamics Holdings Inc 127,463726.5K $
184Exelixis Inc 16,826721.7K $
185AtriCure Inc 25,210719.2K $
186Berkshire Hathaway Inc 1718.1K $
187Kirby Corp 5,126681.1K $
188Upland Software Inc 974,448649K $
189IDEX Corp 3,306626.7K $
190Abbott Laboratories 6,019618K $
191Crane Co 3,472593.7K $
192Commerce.com Inc 219,121585.1K $
193International Flavors & Fragrances Inc 8,049584K $
194JPMorgan Chase & Co 1,970579.5K $
195Apple Inc 2,265574.8K $
196Teleflex Inc 4,721564.7K $
197Corteva Inc 6,622554.3K $
198Knight-Swift Transportation Holdings Inc 9,555550.2K $
199Bio-Techne Corp 10,009523.1K $
200Edwards Lifesciences Corp 6,514521.6K $