Titelia

Holdings of EMERALD MUTUAL FUND ADVISERS TRUST

188 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 22.7 % of the equity sleeve

Sector breakdown

  • Industrials 3.6 %
  • Materials 1.4 %
  • Health care 0.4 %
  • Financials 0.1 %
  • Technology 0.1 %
  • Unattributed 94.4 %

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
1US1881.9B $100.00 %

Positions

RankCompanySharesValueWeight
101Black Rock Coffee Bar Inc 453,7345.9M $
102Visteon Corp 61,9705.6M $
103Lumexa Imaging Holdings Inc 653,3425.6M $
104Mid Penn Bancorp Inc 162,4115.2M $
105D-Wave Quantum Inc 358,6405.2M $
106SkyWater Technology Inc 183,2635M $
107United Therapeutics Corp 8,3845M $
108Flowco Holdings Inc 231,2874.8M $
109Axcelis Technologies Inc 47,4124.4M $
110RXO Inc 275,9324M $
111Metallus Inc 237,9103.9M $
112Once Upon a Farm PBC 212,2473.5M $
113Latham Group Inc 642,5543.5M $
114American Integrity Insurance Group Inc 171,4293.3M $
115HeartFlow Inc 131,2623.2M $
116GBank Financial Holdings Inc 118,0003.2M $
117Power Integrations Inc 61,2943.1M $
118WesBanco Inc 90,8983.1M $
119Byrna Technologies Inc 320,1512.9M $
120Enova International Inc 19,9022.7M $
121ICU Medical Inc 19,5202.5M $
122Bowman Consulting Group Ltd 77,5332.2M $
123Northeast Bank 18,1552M $
124Neptune Insurance Holdings Inc 82,8792M $
125Esquire Financial Holdings Inc 18,5132M $
126Metropolitan Bank Holding Corp 23,0691.9M $
127Pathward Financial Inc 21,4501.9M $
128Ceribell Inc 88,3541.6M $
129Integer Holdings Corp 16,5931.5M $
130Globus Medical Inc 16,2581.4M $
131Robinhood Markets Inc 19,8761.4M $
132Insmed Inc 8,2301.3M $
133Waystar Holding Corp 55,1551.3M $
134Pinnacle Financial Partners Inc 14,3431.2M $
135Wintrust Financial Corp 8,7331.2M $
136Xeris Biopharma Holdings Inc 207,5431.2M $
137QCR Holdings Inc 13,1101.1M $
138Figure Technology Solutions Inc 27,860945.8K $
139Mechanics Bancorp 60,462891.8K $
140Lumentum Holdings Inc 1,243873.5K $
141Finwise Bancorp 54,364862.2K $
142Twist Bioscience Corp 17,850848.2K $
143Western Alliance Bancorp 11,471812.7K $
144Rocket Cos Inc 54,049770.2K $
145Norwood Financial Corp 25,000735.5K $
146Third Coast Bancshares Inc 19,108722.9K $
147Korro Bio Inc 62,855711.5K $
148MVB Financial Corp 27,293677.7K $
149East West Bancorp Inc 6,314674.1K $
150Biogen Inc 3,117571.4K $
151Invivyd Inc 428,847557.5K $
152MasTec Inc 1,703547.9K $
153Take-Two Interactive Software Inc 2,683529.9K $
154BWX Technologies Inc 2,435497.9K $
155Broadcom Inc 1,539476.3K $
156Remitly Global Inc 28,159441.3K $
157Dave Inc 2,478431.4K $
158Bank7 Corp 10,435416.1K $
159Porch Group Inc 56,315403.8K $
160Fair Isaac Corp 365389.7K $
161Five Star Bancorp 10,289388.1K $
162ACADIA Pharmaceuticals Inc 16,576369K $
163MongoDB Inc 1,463358.1K $
164Matthews International Corp 13,503348.6K $
165Ameris Bancorp 4,442346.4K $
166Starbucks Corp 3,813341.6K $
167indie Semiconductor Inc 104,624336.9K $
168MP Materials Corp 6,966336.2K $
169NeoGenomics Inc 43,071319.6K $
170Boeing Co/The 1,573313.1K $
171Affirm Holdings Inc 6,520298.7K $
172Chime Financial Inc 15,488290.1K $
173Unity Software Inc 12,180267.2K $
174United Bankshares Inc/WV 6,277260K $
175Private Bancorp Of America Inc 3,676249.9K $
176BitMine Immersion Technologies Inc 11,558228.6K $
177Coinbase Global Inc 1,251218.4K $
178Circle Internet Group Inc 2,282217.7K $
179PIXELWORKS INC 37,237201.1K $
180Bowhead Specialty Holdings Inc 8,914199.9K $
181Kinsale Capital Group Inc 533182.1K $
182First Busey Corp 7,000176.9K $
183CNB Financial Corp/PA 5,156149.3K $
184Ategrity Specialty Holdings LLC 7,410146.5K $
185Miami International Holdings Inc 2,50097.3K $
186TWFG Inc 4,90090.1K $
187Sable Offshore Corp 5,34488.3K $
188Opendoor Technologies Inc 16,57677.6K $