Titelia

Holdings of Hillsdale Investment Management Inc.

553 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 15.2 % of the equity sleeve

Sector breakdown

  • Technology 10.4 %
  • Communication 3.6 %
  • Financials 3.2 %
  • Consumer discretionary 2.2 %
  • Health care 1.9 %
  • Industrials 1.4 %
  • Consumer staples 0.9 %
  • Materials 0.6 %
  • Energy 0.2 %
  • Unattributed 75.5 %

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 100.0 %
  • IL 0.0 %
  • DE 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US5511.7B $99.99 %
2IL1107.6K $0.01 %
3DE1100.2K $0.01 %

Positions

RankCompanySharesValueWeight
101Aveanna Healthcare Holdings Inc 927,0306M $
102Holley Inc 1,929,4615.9M $
103Terex Corp 100,1405.9M $
104Goldman Sachs Group Inc/The 6,9665.9M $
105Coeur Mining Inc 312,3205.9M $
106Ooma Inc 401,8895.8M $
107Brinker International Inc 40,2505.7M $
108Gentherm Inc 206,4465.7M $
109BorgWarner Inc 105,5005.7M $
110Ranger Energy Services Inc 329,1485.6M $
111Third Coast Bancshares Inc 148,6005.6M $
112TD SYNNEX Corp 33,2205.6M $
113Morgan Stanley 33,7205.5M $
114Salesforce Inc 29,6945.5M $
115Flowserve Corp 75,3505.5M $
116Mirum Pharmaceuticals Inc 59,7305.5M $
117Upwork Inc 502,5005.5M $
118Enanta Pharmaceuticals Inc 435,5105.5M $
119American Eagle Outfitters Inc 328,7205.5M $
120Gulfport Energy Corp 25,6405.4M $
121Hanmi Financial Corp 205,6655.4M $
122Travere Therapeutics Inc 182,3205.4M $
123Toro Co/The 57,8305.4M $
124Columbus McKinnon Corp/NY 370,7285.4M $
125Cirrus Logic Inc 37,0705.4M $
126Tenet Healthcare Corp 28,3905.4M $
127Blackbaud Inc 138,1005.3M $
128Ionis Pharmaceuticals Inc 70,9005.3M $
129DXC Technology Co 422,0005.3M $
130Sprinklr Inc 884,0005.3M $
131Box Inc 223,2505.3M $
132Roku Inc 55,4805.2M $
133Accel Entertainment Inc 480,8005.2M $
134Micron Technology Inc 15,4705.2M $
135Host Hotels & Resorts Inc 269,4005.2M $
136Bankwell Financial Group Inc 105,9005.1M $
137Applied Materials Inc 15,0005.1M $
138Lemonade Inc 80,8005.1M $
139Colony Bankcorp Inc 250,1775M $
140Advanced Micro Devices Inc 24,1004.9M $
141New York Times Co/The 58,0004.9M $
142Alto Ingredients Inc 1,000,7034.8M $
143Assurant Inc 22,0804.8M $
144AbbVie Inc 22,0984.8M $
145Sunrun Inc 352,7154.8M $
146Arlo Technologies Inc 335,5824.8M $
147Valmont Industries Inc 11,9004.8M $
148Benchmark Electronics Inc 84,5504.7M $
149RBB Bancorp 221,4004.7M $
150Consensus Cloud Solutions Inc 199,1024.7M $
151Applied Industrial Technologies Inc 17,8004.7M $
152Texas Capital Bancshares Inc 49,6904.7M $
153Match Group Inc 152,4504.7M $
154Caterpillar Inc 6,5974.7M $
155Bank of America Corp 95,6804.7M $
156Extreme Networks Inc 308,6604.7M $
157Yelp Inc 187,5164.6M $
158NWPX Infrastructure Inc 59,2004.6M $
159Belden Inc 40,1004.6M $
160Green Plains Inc 279,3754.6M $
161PepsiCo Inc 28,9654.5M $
162First Business Financial Services Inc 83,0714.5M $
163ITT Inc 23,3004.4M $
164ZoomInfo Technologies Inc 741,8154.4M $
165Arcutis Biotherapeutics Inc 188,2204.4M $
166LSB Industries Inc 296,3804.4M $
167Legalzoom.com Inc 778,4304.4M $
168Littelfuse Inc 13,0004.4M $
169Ironwood Pharmaceuticals Inc 1,236,6284.3M $
170A O Smith Corp 65,4704.3M $
171Exelixis Inc 99,8004.3M $
172API Group Corp 105,5504.3M $
173Innovage Holding Corp 529,9844.3M $
174Reinsurance Group of America Inc 20,8004.2M $
175Costco Wholesale Corp 4,2484.2M $
176Wells Fargo & Co 53,1424.2M $
177Calix Inc 86,3404.2M $
178InfuSystem Holdings Inc 452,3734.2M $
179Johnson & Johnson 17,0274.2M $
180QCR Holdings Inc 48,6934.2M $
181IRhythm Holdings Inc 34,9504.1M $
182Gentex Corp 188,4504.1M $
183EPAM Systems Inc 30,1304.1M $
184Etsy Inc 80,9504M $
185Lincoln Electric Holdings Inc 16,1004M $
186RealReal Inc/The 435,6004M $
187Cisco Systems, Inc. 50,8273.9M $
188Petco Health & Wellness Co Inc 1,396,7233.9M $
189Harmony Biosciences Holdings Inc 137,4003.8M $
190Ralph Lauren Corp 11,1003.8M $
191Bridgewater Bancshares Inc 211,9603.8M $
192Globus Medical Inc 43,5003.7M $
193Myers Industries Inc 176,7603.7M $
194Procter & Gamble Co/The 25,8313.7M $
195Q2 Holdings Inc 78,2463.7M $
196Progress Software Corp 142,5503.7M $
197ASGN Inc 94,0003.6M $
198Armstrong World Industries Inc 21,5103.5M $
199EverQuote Inc 228,4003.5M $
200Rhythm Pharmaceuticals Inc 40,3003.5M $