Titelia

Holdings of Inspire Investing, LLC

300 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 30.9 % of the equity sleeve

Sector breakdown

  • Technology 29.6 %
  • Industrials 14.9 %
  • Consumer discretionary 6.3 %
  • Energy 6.2 %
  • Financials 5.7 %
  • Materials 4.7 %
  • Real estate 4.5 %
  • Utilities 4.2 %
  • Health care 2.1 %
  • Consumer staples 1.2 %
  • Communication 0.4 %
  • Unattributed 20.2 %

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 %
  • BR 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US299482M $100.00 %
2BR164 $0.00 %

Positions

RankCompanySharesValueWeight
201CACI International Inc 949516.1K $
202Super Micro Computer Inc 22,616515K $
203Evercore Inc 1,694505.7K $
204Coursera Inc 86,863505.5K $
205Builders FirstSource Inc 6,120503.9K $
206Modine Manufacturing Co 2,297497.8K $
207Healthpeak Properties Inc 30,137495.2K $
208Essential Utilities Inc 12,184490.7K $
209Camden Property Trust 5,021490.4K $
210American Homes 4 Rent 17,559490.2K $
211Docusign Inc 10,219484.5K $
212Exelixis Inc 11,069474.7K $
213Hecla Mining Co 25,232470.1K $
214Allison Transmission Holdings Inc 4,006468.9K $
215Hess Midstream LP 12,036467.8K $
216Nutanix Inc 12,172462.7K $
217Applied Industrial Technologies Inc 1,741461.9K $
218Knight-Swift Transportation Holdings Inc 7,937457K $
219SEI Investments Co 5,746450.9K $
220Flowserve Corp 6,129450.5K $
221Saia Inc 1,276448.2K $
222Crane Co 2,609446.1K $
223Donaldson Co Inc 5,223443.3K $
224Toro Co/The 4,738442.7K $
225Watts Water Technologies Inc 1,524442.4K $
226Range Resources Corp 9,766441.2K $
227EastGroup Properties Inc 2,383441.1K $
228Pilgrim's Pride Corp 11,680441K $
229Masimo Corp 2,459437.4K $
230Encompass Health Corp 4,506435.9K $
231Sprouts Farmers Market Inc 5,635434.6K $
232Murphy USA Inc 874431.7K $
233Old Republic International Corp 10,698426.9K $
234A O Smith Corp 6,373420.2K $
235Chart Industries Inc 2,025418.7K $
236Federal Realty Investment Trust 3,938418.3K $
237Baxter International Inc 24,485411.3K $
238OGE Energy Corp 8,564410.7K $
239AGCO Corp 3,487404K $
240Old National Bancorp/IN 18,251403.3K $
241Brixmor Property Group Inc 13,984402.7K $
242Celsius Holdings Inc 11,289400.5K $
243AptarGroup Inc 3,094389.9K $
244Manhattan Associates Inc 2,909387.2K $
245CubeSmart 10,473383.8K $
246Columbia Banking System Inc 13,993383.8K $
247Tetra Tech Inc 12,697382.4K $
248Acuity Inc 1,362381.7K $
249BXP Inc 7,323380.1K $
250Procore Technologies Inc 6,625377.6K $
251Simpson Manufacturing Co Inc 2,197377K $
252Ryder System Inc 1,825373.6K $
253Dillard's Inc 652373K $
254Installed Building Products Inc 1,402371.7K $
255MP Materials Corp 7,699371.6K $
256EPAM Systems Inc 2,731369.8K $
257Pool Corp 1,825369.3K $
258Western Alliance Bancorp 5,196368.1K $
259Cognex Corp 7,496367.2K $
260Rexford Industrial Realty Inc 11,211366.9K $
261UGI Corp 10,054366.2K $
262Conagra Brands Inc 23,095363.1K $
263CareTrust REIT Inc 9,785358.6K $
264National Fuel Gas Co 3,790356.1K $
265Brinker International Inc 2,493355.9K $
266Skyworks Solutions Inc 6,582352.5K $
267First Industrial Realty Trust Inc 6,072351.3K $
268Arrow Electronics Inc 2,421347.2K $
269AutoNation Inc 1,768345.2K $
270Valmont Industries Inc 863344.8K $
271Affiliated Managers Group Inc 1,238342.6K $
272Bio-Rad Laboratories Inc 1,228342.3K $
273Fluor Corp 7,085330.5K $
274Zurn Elkay Water Solutions Corp 7,366330.3K $
275IDACORP Inc 2,294328K $
276Air Lease Corp 5,046327.7K $
277Campbell's Company/The 14,700327.4K $
278HealthEquity Inc 3,827319.8K $
279Armstrong World Industries Inc 1,938319.4K $
280Commercial Metals Co 5,172317.7K $
281Jackson Financial Inc 3,005317.7K $
282Federal Signal Corp 2,840307.1K $
283InterDigital Inc 1,012305.6K $
284Mohawk Industries Inc 3,043299.6K $
285JBT Marel Corp 2,336298.7K $
286Molina Healthcare Inc 2,229297.1K $
287Taylor Morrison Home Corp 4,852282.6K $
288UWM Holdings Corp 77,433280.3K $
289MGIC Investment Corp 10,330271.2K $
290Appfolio Inc 1,695267.5K $
291AAON Inc 3,202265K $
292Lamb Weston Holdings Inc 6,241263.7K $
293Louisiana-Pacific Corp 3,530256.8K $
294Chemed Corp 668252.3K $
295ExlService Holdings Inc 7,298222.2K $
296Trex Co Inc 5,969217.4K $
297Oklo Inc 4,339215.2K $
298Commvault Systems Inc 1,938151K $
299Wheels Up Experience Inc 52,70327.2K $
300Cia de Saneamento Basico do Estado de Sao Paulo SABESP 264 $