Titelia

Holdings of MetLife Investment Management, LLC

2546 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 28.9 % of the equity sleeve

Sector breakdown

  • Technology 25.7 %
  • Financials 8.7 %
  • Communication 7.9 %
  • Consumer discretionary 7.6 %
  • Health care 6.9 %
  • Industrials 6.6 %
  • Consumer staples 3.7 %
  • Energy 2.2 %
  • Utilities 1.9 %
  • Materials 1.4 %
  • Real estate 1.2 %
  • Funds 0.4 %
  • Unattributed 25.9 %

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 %
  • HK 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2,54418.8B $99.98 %
2IL13.3M $0.02 %
3HK1752.2K $0.00 %

Positions

RankCompanySharesValueWeight
1,601Employers Holdings Inc 12,618519.1K $
1,602PennyMac Mortgage Investment Trust 44,411517.8K $
1,603Weis Markets Inc 7,571517.8K $
1,604Cogent Communications Holdings Inc 27,376515.8K $
1,605ADTRAN Holdings Inc 40,837513.7K $
1,606RLJ Lodging Trust 69,143513K $
1,607Sun Country Airlines Holdings Inc 31,009512.3K $
1,608Unitil Corp 9,805512.2K $
1,609MillerKnoll Inc 35,361511.3K $
1,610Harmonic Inc 56,784509.9K $
1,611RealReal Inc/The 56,095509.3K $
1,612CareDx Inc 29,021503.8K $
1,613First Mid Bancshares Inc 12,163501K $
1,614Rapport Therapeutics Inc 15,996500.5K $
1,615Redwire Corp 58,502497.3K $
1,616Amalgamated Financial Corp 12,664492.3K $
1,617Cadre Holdings Inc 16,022491.6K $
1,618Teladoc Health Inc 90,016490.6K $
1,619T1 Energy Inc 111,613490K $
1,620Virtus Investment Partners Inc 3,634488.2K $
1,621Life360 Inc 11,903485.9K $
1,622NeoGenomics Inc 65,315484.6K $
1,623Corvus Pharmaceuticals Inc 33,100484.3K $
1,624Heritage Financial Corp/WA 18,566482.7K $
1,625Amerant Bancorp Inc 21,845481.5K $
1,626NB Bancorp Inc 22,806480.5K $
1,627Burke & Herbert Financial Services Corp 7,704479.9K $
1,628Xencor Inc 39,715479K $
1,629Vertex Inc 40,248478.5K $
1,630MBX Biosciences Inc 16,018478.1K $
1,631Gentherm Inc 17,200477.8K $
1,632Limbach Holdings Inc 6,111477K $
1,633NANO Nuclear Energy Inc 23,284476.9K $
1,634Azenta Inc 22,550476.5K $
1,635Hanmi Financial Corp 18,035475.4K $
1,636Winnebago Industries Inc 15,330475.1K $
1,637Allient Inc 8,013473.5K $
1,638Ameresco Inc 18,515472.1K $
1,639Capitol Federal Financial Inc 66,094471.3K $
1,640National Beverage Corp 13,966470K $
1,641Guardian Pharmacy Services Inc 12,472469.7K $
1,642Scholastic Corp 11,998468.6K $
1,643BlackSky Technology Inc 18,508465.7K $
1,644Tootsie Roll Industries Inc 10,890465.2K $
1,645Excelerate Energy Inc 13,908464.8K $
1,646Graham Corp 5,880464.1K $
1,647ScanSource Inc 12,775463.7K $
1,648Business First Bancshares Inc 17,131463.2K $
1,649Peakstone Realty Trust 21,999459.6K $
1,650Driven Brands Holdings Inc 36,437459.5K $
1,651CNB Financial Corp/PA 15,842458.8K $
1,652Evolv Technologies Holdings Inc 75,830458.8K $
1,653Metallus Inc 28,076458.8K $
1,654Mercantile Bank Corp 9,078458.4K $
1,655Camden National Corp 9,631457K $
1,656Horizon Bancorp Inc/IN 27,551456.5K $
1,657Vir Biotechnology Inc 50,546452.9K $
1,658Metropolitan Bank Holding Corp 5,432452.4K $
1,659ORIC Pharmaceuticals Inc 35,689452.2K $
1,660Compass Minerals International Inc 19,363452.1K $
1,661IDT Corp 9,208452.1K $
1,662Pursuit Attractions and Hospitality Inc 12,302450.6K $
1,663Coursera Inc 77,167449.1K $
1,664LSB Industries Inc 30,005447.1K $
1,665Northeast Bank 3,965445.5K $
1,666Myers Industries Inc 21,021445.2K $
1,667Xeris Biopharma Holdings Inc 76,763445.2K $
1,668NCR Voyix Corp 70,277444.9K $
1,669United Fire Group Inc 11,991444.4K $
1,670LGI Homes Inc 11,234444.1K $
1,671Central Pacific Financial Corp 13,877443.5K $
1,672Matthews International Corp 17,155442.9K $
1,673Piedmont Realty Trust Inc 67,249441.8K $
1,674iShares Trust 8,404441.7K $
1,675Procore Technologies Inc 7,706439.2K $
1,676Quanex Building Products Corp 24,415438.7K $
1,677Cullinan Therapeutics Inc 30,816437.9K $
1,678KalVista Pharmaceuticals Inc 21,688436.6K $
1,679SoFi Technologies Inc 27,380434.8K $
1,680BioLife Solutions Inc 22,777434.6K $
1,681Butterfly Network Inc 107,516434.4K $
1,682Maze Therapeutics Inc 14,542434.1K $
1,683Koppers Holdings Inc 11,217433.9K $
1,684Esquire Financial Holdings Inc 4,020432.2K $
1,685iRadimed Corp 4,458429.1K $
1,686TrustCo Bank Corp NY 9,774427.9K $
1,687Safehold Inc 31,504426.2K $
1,688Daktronics Inc 21,793426.1K $
1,689BrightView Holdings Inc 36,012424.6K $
1,690Gold.com Inc 10,512421.3K $
1,691Equity Bancshares Inc 9,423418.5K $
1,692Core Laboratories Inc 24,895418K $
1,693Montrose Environmental Group Inc 18,975415.4K $
1,694First Financial Corp 6,532412.8K $
1,695Standard Motor Products Inc 11,874412.5K $
1,696Whitestone REIT 25,457411.1K $
1,697Castle Biosciences Inc 16,722410.5K $
1,698NWPX Infrastructure Inc 5,259409.5K $
1,699Talkspace Inc 78,878408.2K $
1,700Omeros Corp 38,634408K $