Titelia

Holdings of Pier Capital, LLC

107 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 19.8 % of the equity sleeve

Sector breakdown

  • Technology 2.8 %
  • Industrials 2.5 %
  • Materials 1.1 %
  • Energy 0.1 %
  • Health care 0.1 %
  • Unattributed 93.4 %

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 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US107528.8M $100.00 %

Positions

RankCompanySharesValueWeight
1Mirion Technologies Inc 703,81113.1M $
2Hexcel Corp 159,37712.9M $
3Fulton Financial Corp 533,64410.9M $
4DigitalOcean Holdings Inc 122,46610.5M $
5Applied Industrial Technologies Inc 39,50710.5M $
6Saia Inc 28,76410.1M $
7Alignment Healthcare Inc 537,0509.5M $
8Semtech Corp 122,9629.5M $
9Flowserve Corp 123,2329.1M $
10AngioDynamics Inc 796,6969.1M $
11CECO Environmental Corp 150,2459M $
12Advanced Drainage Systems Inc 63,8608.8M $
13AZZ Inc 69,7168.7M $
14Glacier Bancorp Inc 192,6668.6M $
15Lattice Semiconductor Corp 89,6838.3M $
16ESCO Technologies Inc 29,4698.3M $
17Houlihan Lokey Inc 56,1458.1M $
18Onto Innovation Inc 39,0598M $
19Cognex Corp 162,9668M $
20National Vision Holdings Inc 307,6428M $
21Moelis & Co 138,8227.9M $
22ArcBest Corp 79,7197.8M $
23Interparfums Inc 85,9917.8M $
24SiteOne Landscape Supply Inc 58,4127.8M $
25Seacoast Banking Corp of Florida 252,8807.7M $
26Universal Technical Institute Inc 210,4437.6M $
27Kodiak Gas Services Inc 128,1947.5M $
28Valmont Industries Inc 18,6957.5M $
29nLight Inc 129,1787.4M $
30Powell Industries Inc 13,3587.2M $
31Belden Inc 62,9147.2M $
32Allegro MicroSystems Inc 226,5667.1M $
33Commvault Systems Inc 91,1027.1M $
34MSA Safety Inc 42,0706.9M $
35Herc Holdings Inc 67,8936.8M $
36Cavco Industries Inc 13,8396.7M $
37RadNet Inc 118,8896.6M $
38Viavi Solutions Inc 199,1386.6M $
39Modine Manufacturing Co 30,2866.6M $
40Vita Coco Co Inc/The 135,6416.5M $
41Sensient Technologies Corp 74,3096.4M $
42Champion Homes Inc 86,2986.4M $
43Repligen Corp 53,1196.3M $
44Shoals Technologies Group Inc 948,7496.2M $
45SiTime Corp 17,8956.2M $
46BWX Technologies Inc 29,6766.1M $
47SI-BONE Inc 476,8056M $
48Advanced Energy Industries Inc 18,5596M $
49Fluence Energy Inc 431,9515.9M $
50Ollie's Bargain Outlet Holdings Inc 59,8605.5M $
51Addus HomeCare Corp 56,7645.3M $
52Boot Barn Holdings Inc 36,2185.3M $
53Century Communities Inc 89,5675.1M $
54FormFactor Inc 51,0615M $
55Sterling Infrastructure Inc 11,9544.9M $
56Omnicell Inc 143,0864.8M $
57Perella Weinberg Partners 260,1844.7M $
58Aehr Test Systems 126,9914.7M $
59IPG Photonics Corp 40,9204.7M $
60Cytokinetics Inc 69,5834.6M $
61HA Sustainable Infrastructure Capital Inc 119,6564.4M $
62ATI Inc 28,7214.2M $
63Centrus Energy Corp 23,7274.1M $
64Mercury Systems Inc 56,0064.1M $
65Procore Technologies Inc 69,6714M $
66Cogent Biosciences Inc 101,3043.9M $
67Surgery Partners Inc 322,2463.8M $
68Vertex Inc 312,2273.7M $
69MP Materials Corp 75,4313.6M $
70Cohu Inc 112,8743.5M $
71Lindblad Expeditions Holdings Inc 192,0103.3M $
72Privia Health Group Inc 158,6413.3M $
73Installed Building Products Inc 12,2693.3M $
74Glaukos Corp 29,2613.2M $
75Shake Shack Inc 35,5733.1M $
76Guardant Health Inc 33,3303.1M $
77Planet Labs PBC 106,2633M $
78Compass Inc 378,5132.8M $
79elf Beauty Inc 45,0642.7M $
80Alphatec Holdings Inc 223,1592.4M $
81Structure Therapeutics Inc 47,5512.3M $
82Olema Pharmaceuticals Inc 136,1082M $
83Carpenter Technology Corp 4,4181.7M $
84Quanterix Corp 492,3681.7M $
85Capricor Therapeutics Inc 44,4011.3M $
86Comfort Systems USA Inc 9381.3M $
87Huntington Ingalls Industries, Inc. 2,9801.1M $
88Tradeweb Markets Inc 8,156959.6K $
89Teledyne Technologies Inc 1,488900.3K $
90Dynatrace Inc 23,016851.1K $
91Evercore Inc 2,493744.2K $
92Monolithic Power Systems Inc 450492K $
93Cheniere Energy Inc 1,421403.2K $
94Dexcom Inc 5,968374.8K $
95Shift4 Payments Inc 1315.7K $
96MSCI Inc 94.9K $
97West Pharmaceutical Services Inc 184.5K $
98Five Below Inc 173.9K $
99Texas Roadhouse Inc 233.8K $
100Entegris Inc 283.3K $