Titelia

Holdings of MANGROVE PARTNERS IM, LLC

315 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 53.8 % of the equity sleeve

Sector breakdown

  • Energy 4.7 %
  • Utilities 4.5 %
  • Industrials 3.9 %
  • Consumer staples 3.8 %
  • Technology 3.4 %
  • Financials 0.2 %
  • Health care 0.1 %
  • Unattributed 79.3 %

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 99.0 %
  • BR 0.7 %
  • JE 0.2 %
  • KY 0.1 %
  • FR 0.0 %
  • DE 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US308935.7M $99.00 %
2BR16.3M $0.66 %
3JE11.8M $0.19 %
4KY3955.9K $0.10 %
5FR1269.1K $0.03 %
6DE1167.1K $0.02 %

Positions

RankCompanySharesValueWeight
101Etsy Inc 12,188609.2K $
102BlackSky Technology Inc 24,005604K $
103SLR Investment Corp 42,008601.1K $
104SM Energy Co 18,335571.7K $
105Teladoc Health Inc 104,420569.1K $
106Postal Realty Trust Inc 30,564567.3K $
107PENNANTPARK INVESTMENT CORPORATION 126,100566.2K $
108Tenable Holdings Inc 33,273562.8K $
109Brown-Forman Corp 21,285562.8K $
110Dave Inc 3,216559.9K $
111Privia Health Group Inc 27,153558.5K $
112TriMas Corp 15,279549.1K $
113Planet Labs PBC 19,541546.2K $
114MGE Energy Inc 6,932535.8K $
115Bio-Techne Corp 10,243535.3K $
116StepStone Group Inc 11,135531.4K $
117Thermo Fisher Scientific Inc 1,075528.4K $
118United Community Banks Inc/GA 16,694525.7K $
119Sanmina Corp 4,042524K $
120Apogee Enterprises Inc 15,620523.9K $
121Akebia Therapeutics Inc 375,954522.6K $
122ON Semiconductor Corp 8,433522.2K $
123Lineage Inc 15,910521.2K $
124Calavo Growers Inc 20,061517.4K $
125NRG Energy Inc 3,540517.3K $
126Repligen Corp 4,390517.2K $
127Avista Corp 12,843515.5K $
128Ooma Inc 35,260513K $
129Strattec Security Corp 6,528511.4K $
130Prosperity Bancshares Inc 7,595510.2K $
131Korn Ferry 8,094509.5K $
132Expand Energy Corp 4,636508.9K $
133Wayfair Inc 6,736506.6K $
134Daqo New Energy Corp 23,529500.5K $
135Relmada Therapeutics Inc 71,705499.1K $
136Guardian Pharmacy Services Inc 13,249499K $
137Suro Capital Corp 46,579498.9K $
138Insteel Industries Inc 14,838498.7K $
139Synaptics Inc 7,039493K $
140PennyMac Mortgage Investment Trust 42,052490.3K $
141Kelly Services Inc 55,237488.8K $
142First Watch Restaurant Group Inc 45,829480.3K $
143M&T Bank Corp 2,299475.2K $
144Extra Space Storage Inc 3,613473.8K $
145Surgery Partners Inc 39,525471.1K $
146Clearwater Paper Corp 32,562468.2K $
147Tencent Music Entertainment Group 50,150465.4K $
148CareTrust REIT Inc 12,604461.9K $
149Bankwell Financial Group Inc 9,474459.7K $
150Encompass Health Corp 4,592444.2K $
151Organon & Co 73,164438.3K $
152Atlanta Braves Holdings Inc 10,228436.7K $
153CONMED Corp 12,224432.2K $
154TWFG Inc 22,498413.7K $
155Vitesse Energy Inc 22,731412.8K $
156CO2 ENERGY TRANSITION CORP 39,200406.5K $
157Clearfield Inc 15,187402K $
158Zumiez Inc 17,567389.3K $
159Third Coast Bancshares Inc 10,195385.7K $
160National Research Corp 22,649384.6K $
161Pediatrix Medical Group Inc 17,977384.5K $
162FB Financial Corp 7,272377.7K $
163Cargurus Inc 11,057376.5K $
164Inhibrx Biosciences Inc 5,531371.8K $
165Acadian Asset Management Inc 6,832371.8K $
166American Coastal Insurance Corp 32,863369.7K $
167FMC Corp 21,062362.7K $
168Fossil Group Inc 84,069362.3K $
169Paymentus Holdings Inc 14,201360.7K $
170Axos Financial Inc 4,213358.5K $
171Yext Inc 93,085357.4K $
172Ziff Davis Inc 8,243345.9K $
173Virtu Financial Inc 7,822344K $
174Immersion Corp 62,012338.6K $
175Albertsons Cos Inc 19,678335.3K $
176NextDecade Corp 43,464332.9K $
177Diversified Healthcare Trust 49,854331K $
178Andersons Inc/The 4,508323.6K $
179LightPath Technologies Inc 31,922320.2K $
180Magnolia Oil & Gas Corp 10,032316.7K $
181Allegiant Travel Co 3,807308.5K $
182Chord Energy Corp 2,167308.1K $
183Celcuity Inc 2,683306.2K $
184Remitly Global Inc 19,162300.3K $
185Flushing Financial Corp 19,429298.4K $
186Bumble Inc 90,947296.5K $
187American Superconductor Corp 8,719295.1K $
188Ormat Technologies Inc 2,616292.8K $
189Gladstone Commercial Corp 25,366289.9K $
190Babcock & Wilcox Enterprises Inc 19,696289.3K $
191Heritage Insurance Holdings Inc 11,010289K $
192Chewy Inc 10,545284.7K $
193Skyward Specialty Insurance Group Inc 6,397279.4K $
194Rush Street Interactive Inc 12,813278.7K $
195Middlesex Water Co 5,289275.3K $
196Sezzle Inc 4,344274.9K $
197Sphere Entertainment Co 2,328273.3K $
198Post Holdings Inc 2,760272.9K $
199Q2 Holdings Inc 5,712270.2K $
200Criteo SA 15,009269.1K $