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
401California BanCorp 37,815670.1K $
402Tidewater Inc 8,004668.7K $
403Amphastar Pharmaceuticals Inc 34,135668.7K $
404Solv Energy Inc 22,266668.6K $
405Marzetti Company/The 4,832668.4K $
406Tarsus Pharmaceuticals Inc 9,465664K $
407Snap-on Inc 1,825662.9K $
408GATX Corp 3,881662.6K $
409Devon Energy Corp 13,153661.9K $
410Red Violet Inc 19,094660.7K $
411PulteGroup Inc 5,613660.1K $
412LendingClub Corp 46,087660K $
413Regional Management Corp 20,437659.1K $
414UnitedHealth Group Inc 2,435658.9K $
415Coda Octopus Group Inc 58,212657.8K $
416Masco Corp 10,877656.6K $
417LightPath Technologies Inc 65,294654.9K $
418Investar Holding Corp 24,000654.5K $
419Provident Financial Services Inc 30,913654.1K $
420Unity Bancorp Inc 12,614653.8K $
421Victoria's Secret & Co 14,072652.4K $
422Littelfuse Inc 1,920651.6K $
423Vera Therapeutics Inc 16,193651.4K $
424O'Reilly Automotive Inc 7,036649.5K $
425CS Disco Inc 168,921645.3K $
426Southern First Bancshares Inc 11,835645K $
427Zoom Communications Inc 8,011644K $
428Metropolitan Bank Holding Corp 7,731643.9K $
429Compass Minerals International Inc 27,485641.8K $
430Mayville Engineering Co Inc 35,698640.8K $
431Lam Research Corp 2,998640.6K $
432Northrim BanCorp Inc 27,994640.5K $
433Central Pacific Financial Corp 19,944637.4K $
434iRadimed Corp 6,613636.6K $
435Badger Meter Inc 4,167634.8K $
436V2X Inc 9,262634.4K $
437Werner Enterprises Inc 21,555633.9K $
438Forum Energy Technologies Inc 10,804633.8K $
439Upwork Inc 57,814633.6K $
440Amneal Pharmaceuticals Inc 50,845632K $
441Alignment Healthcare Inc 35,850631.7K $
442Red River Bancshares Inc 6,967630.1K $
443Arrow Financial Corp 18,726628.6K $
444Primoris Services Corp 4,379626.4K $
445Armstrong World Industries Inc 3,788624.3K $
446Medpace Holdings Inc 1,300624.2K $
447Rapid Micro Biosystems Inc 274,924624.1K $
448Cogent Biosciences Inc 16,198623.5K $
449Saia Inc 1,759617.9K $
450Catalyst Pharmaceuticals Inc 24,889616.3K $
451Indivior Pharmaceuticals Inc 20,214616.1K $
452Lindblad Expeditions Holdings Inc 35,512614.4K $
453Caterpillar Inc 864612.1K $
454Granite Construction Inc 5,085609.6K $
455Gencor Industries Inc 40,578608.7K $
456Octave Specialty Group Inc 130,760608K $
457Dropbox Inc 26,738607.5K $
458Interface Inc 24,249604.3K $
459Sonos Inc 45,095604.3K $
460Globus Medical Inc 7,009603.9K $
461Albertsons Cos Inc 35,423603.6K $
462Landstar System Inc 3,742599.9K $
463Century Communities Inc 10,446599.4K $
464Vistra Corp 3,974597.4K $
465Builders FirstSource Inc 7,256597.4K $
466BIODESIX INC 41,174597K $
467Atmus Filtration Technologies Inc 10,483595.1K $
468EchoStar Corp 5,062592.6K $
469Strattec Security Corp 7,525589.5K $
470Gilead Sciences Inc 4,216587.6K $
471Bowman Consulting Group Ltd 20,647587.2K $
472CF Industries Holdings Inc 4,510585.6K $
473First Business Financial Services Inc 10,847585K $
474Third Coast Bancshares Inc 15,317579.4K $
475eGain Corp 73,244577.9K $
476Flowserve Corp 7,844576.6K $
477American Express Co 1,904575.9K $
478CuriosityStream Inc 194,505575.7K $
479Sally Beauty Holdings Inc 41,281571.7K $
480Inseego Corp 51,123568.5K $
481Legacy Education Inc 45,061564.2K $
482Lantronix Inc 106,911560.2K $
483Cheniere Energy Inc 1,965557.6K $
484US Physical Therapy Inc 7,435557.3K $
485Albany International Corp 10,552550.9K $
486Ironwood Pharmaceuticals Inc 156,059547.8K $
487Uranium Energy Corp 40,313544.2K $
488Innovage Holding Corp 67,819543.9K $
489Artisan Partners Asset Management Inc 14,891541.9K $
490Forestar Group Inc 22,160541.6K $
491Lithia Motors Inc 2,117528.7K $
492GoDaddy Inc 6,361525.9K $
493EOG Resources Inc 3,590519K $
494EverQuote Inc 33,485516.3K $
495UFP Industries Inc 5,596515.5K $
496AMC Networks Inc 75,750514.3K $
497EyePoint Inc 39,875514K $
498XPO Inc 2,639513.4K $
499Dorman Products Inc 4,917513.1K $
500CRA International Inc 3,153510.4K $