Titelia

Holdings of nVerses Capital, LLC

312 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 7.7 % of the equity sleeve

Sector breakdown

  • Industrials 6.9 %
  • Health care 6.1 %
  • Technology 5.0 %
  • Utilities 3.6 %
  • Consumer discretionary 2.5 %
  • Materials 2.3 %
  • Financials 1.8 %
  • Consumer staples 1.6 %
  • Energy 0.6 %
  • Communication 0.5 %
  • Real estate 0.4 %
  • Unattributed 68.6 %

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 99.9 %
  • CA 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US31198.4M $99.86 %
2CA1142.4K $0.14 %

Positions

RankCompanySharesValueWeight
201Sunrun Inc 17,543237.9K $
202Aveanna Healthcare Holdings Inc 36,786236.9K $
203Univest Financial Corp 6,883235.8K $
204Concentra Group Holdings Parent Inc 10,970235.3K $
205PVH Corp 3,355234K $
206Rigetti Computing Inc 16,563232.5K $
207Gentex Corp 10,574231K $
208elf Beauty Inc 3,797230.1K $
209Fortrea Holdings Inc 24,379229.7K $
210Kadant Inc 781228.3K $
211Dow Inc 5,462227.5K $
212Coursera Inc 39,049227.3K $
213Astronics Corp 3,399226.8K $
214Apogee Enterprises Inc 6,757226.6K $
215Waste Management Inc 978224.7K $
216Phinia Inc 3,247222.2K $
217Nordson Corp 835222.2K $
218Equitable Holdings Inc 5,970221.5K $
219Voya Financial Inc 3,241221.4K $
220Qnity Electronics Inc 1,913220.7K $
221Mastercard Inc 441220.4K $
222Savara Inc 39,858217.6K $
223Procore Technologies Inc 3,811217.2K $
224Carlyle Secured Lending Inc 19,664215.1K $
225First Interstate BancSystem Inc 6,436215K $
226Bain Capital Specialty Finance Inc 17,290214.4K $
227International Paper Co 5,963212.9K $
228Herc Holdings Inc 2,126211.6K $
229Ubiquiti Inc 266210.2K $
230Crane NXT Co 5,177210.1K $
231Grand Canyon Education Inc 1,235210K $
232Tempus AI Inc 4,623209.1K $
233StepStone Group Inc 4,343207.2K $
234Dick's Sporting Goods Inc 1,038205.8K $
235Autoliv Inc 1,951205.2K $
236Bank of Hawaii Corp 2,749204.1K $
237XPO Inc 1,049204.1K $
238Appian Corp 8,446203.6K $
239Fox Factory Holding Corp 12,310202.6K $
240Encore Capital Group Inc 2,887202.4K $
241ADMA Biologics Inc 22,364201.5K $
242Howmet Aerospace Inc 873201.2K $
243IAC Inc 5,021201K $
244Yum! Brands Inc 1,292200.9K $
245Sunococorp LLC 3,250200.4K $
246UWM Holdings Corp 54,702198K $
247RealReal Inc/The 21,538195.6K $
248BioCryst Pharmaceuticals Inc 20,422194.4K $
249Hope Bancorp Inc 17,326193.5K $
250Cleanspark Inc 22,656192.8K $
251SoFi Technologies Inc 11,931189.5K $
252Crescent Energy Co 13,895187.6K $
253AES Corp/The 13,109184.7K $
254SLR Investment Corp 12,454178.2K $
255Strata Critical Medical Inc 41,636174K $
256MidCap Financial Investment Corp 15,337172.4K $
257ClearPoint Neuro Inc 18,668169.9K $
258Bioventus Inc 18,484168.8K $
259Oaktree Specialty Lending Corp 14,862167.9K $
260Cytek Biosciences Inc 38,319167.5K $
261Terawulf Inc 11,503166K $
262Frontier Group Holdings Inc 46,393163.8K $
263Kayne Anderson BDC Inc 11,874162.9K $
264Capitol Federal Financial Inc 22,672161.7K $
265Navient Corp 19,579160.2K $
266Under Armour Inc 26,964159.4K $
267Uranium Energy Corp 11,571156.2K $
268New Mountain Finance Corp 19,857154.1K $
269SailPoint Inc 11,603153.6K $
270Omeros Corp 14,404152.1K $
271Ranpak Holdings Corp 42,576152K $
272Sally Beauty Holdings Inc 10,917151.2K $
273eXp World Holdings Inc 24,880149K $
274MediaAlpha Inc 15,790146.8K $
275Amplify Energy Corp 23,427146.2K $
276Gran Tierra Energy Inc 15,879142.4K $
277Aspen Aerogels Inc 40,546138.7K $
278ADT Inc 21,048138.3K $
279Dakota Gold Corp 26,701134.8K $
280Viant Technology Inc 11,959133.9K $
281Cross Country Healthcare Inc 14,075132.3K $
282Opus Genetics Inc 28,564130K $
283Certara Inc 22,747129.7K $
284B&G Foods Inc 26,471127.3K $
285TaskUS Inc 18,152121.8K $
286Byrna Technologies Inc 13,012119.5K $
287N-able Inc/US 25,572119.4K $
288STELLUS CAPITAL INVESTMENT CORP 12,933119.1K $
289Cadiz Inc 23,576115.8K $
290Ironwood Pharmaceuticals Inc 32,554114.3K $
291NextDecade Corp 13,609104.2K $
292RUNWAY GROWTH FINANCE CORP. 13,93795.7K $
2934D Molecular Therapeutics Inc 10,06993.7K $
294CryoPort Inc 10,08483.5K $
295Iovance Biotherapeutics Inc 23,42082.2K $
296Camping World Holdings Inc 11,27677K $
297RPC Inc 10,45374K $
298Gogo Inc 17,98472.3K $
299Black Diamond Therapeutics Inc 31,41166.9K $
300Annexon Inc 11,89765.9K $