Titelia

Holdings of Legato Capital Management LLC

666 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 12.3 % of the equity sleeve

Sector breakdown

  • Technology 12.2 %
  • Health care 5.0 %
  • Industrials 4.9 %
  • Financials 4.1 %
  • Consumer discretionary 4.0 %
  • Communication 2.9 %
  • Materials 1.5 %
  • Consumer staples 1.3 %
  • Energy 1.1 %
  • Utilities 1.0 %
  • Unattributed 62.1 %

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 99.5 %
  • IL 0.2 %
  • FR 0.1 %
  • KY 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US6631B $99.54 %
2IL12.6M $0.25 %
3FR11.2M $0.11 %
4KY11M $0.10 %

Positions

RankCompanySharesValueWeight
301MP Materials Corp 18,476891.7K $
302Freshpet Inc 15,055887.6K $
303Pacira BioSciences Inc 39,007881.6K $
304FreightCar America Inc 110,382879.7K $
305Exzeo Group Inc 59,930879.2K $
306S&T Bancorp Inc 20,812870.6K $
307Vishay Intertechnology Inc 48,314869.7K $
308Valley National Bancorp 70,581866.7K $
309InfuSystem Holdings Inc 93,768865.5K $
310Donnelley Financial Solutions Inc 18,310863.1K $
311PROG Holdings Inc 29,919858.4K $
312Capital One Financial Corp 4,701857.6K $
313Dana Inc 25,413855.1K $
31410X Genomics Inc 40,264854.8K $
315Identiv Inc 230,691853.6K $
316InterDigital Inc 2,811848.9K $
317Crown Holdings Inc 8,454847.5K $
318Cognizant Technology Solutions Corp. 13,758844.1K $
319Digi International Inc 17,489843K $
320Safety Insurance Group Inc 11,583841.4K $
321HeartFlow Inc 34,575841.2K $
322SI-BONE Inc 66,597841.1K $
323Laureate Education Inc 24,072838.7K $
324Cigna Group/The 3,144838.7K $
325Fulton Financial Corp 41,191837.8K $
326Bread Financial Holdings Inc 11,114832.3K $
327Associated Banc-Corp 32,165831.8K $
328AvePoint Inc 87,456831.7K $
329BioCryst Pharmaceuticals Inc 87,010828.3K $
330Texas Capital Bancshares Inc 8,689824.4K $
331Tutor Perini Corp 10,560815.1K $
332Acuity Inc 2,902813.2K $
333Terex Corp 13,678808.4K $
334Arcosa Inc 7,610807.7K $
335Axos Financial Inc 9,474806.1K $
336Strategic Education Inc 9,633799.2K $
337CareCloud Inc 218,433797.3K $
338Vertiv Holdings Co 3,146788.3K $
339Universal Insurance Holdings Inc 23,014786.2K $
340Glacier Bancorp Inc 17,412777.8K $
341FormFactor Inc 8,010776.9K $
342Applied Optoelectronics Inc 9,144773.5K $
343Gentex Corp 35,391773.3K $
344United Natural Foods Inc 17,132772K $
345American Public Education Inc 13,529769.5K $
346Intuit Inc 1,770765.3K $
347Montrose Environmental Group Inc 34,668758.9K $
348Paymentus Holdings Inc 29,829757.7K $
349NetApp Inc 7,397757.4K $
350General Electric Co 2,666756.5K $
351Rambus Inc 8,791756.3K $
352LeMaitre Vascular Inc 6,922755.7K $
353Hawaiian Electric Industries Inc 50,868754.9K $
354Materion Corp 5,206753K $
355Extreme Networks Inc 49,680749.2K $
356Cytokinetics Inc 11,334747K $
357SS&C Technologies Holdings Inc 11,041746K $
358Newmark Group Inc 49,593743.4K $
359Urban Outfitters Inc 11,734743.3K $
360Johnson & Johnson 3,006734.8K $
361Univest Financial Corp 21,389732.8K $
362LCI Industries 5,952732K $
363Sirius XM Holdings Inc 31,705731.8K $
364Independent Bank Corp 9,724731.3K $
365Berkshire Hathaway Inc 1,524730.3K $
366Unity Software Inc 33,261729.7K $
367Supernus Pharmaceuticals Inc 14,108729.2K $
368Deluxe Corp 26,468728.9K $
369Kimball Electronics Inc 30,646726K $
370Rush Enterprises Inc 10,964724.8K $
371Installed Building Products Inc 2,730723.9K $
372American Eagle Outfitters Inc 43,282722.8K $
373Clear Secure Inc 14,895721.1K $
374Aveanna Healthcare Holdings Inc 111,636718.9K $
375Firefly Aerospace Inc 25,210717.7K $
376PayPal Holdings Inc 15,808715K $
377Pediatrix Medical Group Inc 33,342713.2K $
378Trustmark Corp 16,879711.3K $
379Hinge Health Inc 18,445711.2K $
380Nelnet Inc 5,510710.6K $
381Itron Inc 7,912709.2K $
382Sonoco Products Co 13,008703.6K $
383CSG Systems International Inc 8,796703.2K $
384Hanmi Financial Corp 26,593701K $
385Tactile Systems Technology Inc 26,627695.8K $
386Adobe Inc 2,858694.7K $
387NWPX Infrastructure Inc 8,900693K $
388Scholar Rock Holding Corp 14,092692.8K $
389Proto Labs Inc 12,113690.7K $
390Northfield Bancorp Inc 50,915689.4K $
391Southern Missouri Bancorp Inc 10,728685.9K $
392Nicolet Bankshares Inc 4,604684.2K $
393Elevance Health Inc 2,331682.4K $
394Kulicke & Soffa Industries Inc 10,361680.9K $
395Astec Industries Inc 12,596678.2K $
396Washington Trust Bancorp Inc 20,106672.7K $
397Once Upon a Farm PBC 41,145672.7K $
398Riverview Bancorp Inc 122,188672K $
399WESCO International Inc 2,456672K $
400Select Water Solutions Inc 43,859671K $