Titelia

Holdings of WELLS FARGO & COMPANY/MN

4936 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 20.6 % of the equity sleeve

Sector breakdown

  • Technology 15.1 %
  • Funds 8.6 %
  • Financials 7.1 %
  • Industrials 5.8 %
  • Health care 5.5 %
  • Communication 4.8 %
  • Consumer discretionary 4.6 %
  • Consumer staples 3.3 %
  • Utilities 1.9 %
  • Energy 1.8 %
  • Materials 0.9 %
  • Real estate 0.7 %
  • Unattributed 39.8 %

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 98.9 %
  • TW 0.3 %
  • GB 0.2 %
  • NL 0.2 %
  • DK 0.0 %
  • FR 0.0 %
  • JP 0.0 %
  • DE 0.0 %
  • BR 0.0 %
  • ES 0.0 %
  • KY 0.0 %
  • MX 0.0 %
  • Other countries 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US4,737471.8B $98.94 %
2TW41.6B $0.33 %
3GB261.2B $0.25 %
4NL61.1B $0.24 %
5DK4177.7M $0.04 %
6FR8165.7M $0.03 %
7JP6142.9M $0.03 %
8DE3124.5M $0.03 %
9BR19113.9M $0.02 %
10ES383.6M $0.02 %
11KY3458.2M $0.01 %
12MX943.8M $0.01 %

Positions

RankCompanySharesValueWeight
2,801Arcus Biosciences Inc 35,725771.7K $
2,802Scholastic Corp 19,729770.6K $
2,803Excelerate Energy Inc 23,049770.3K $
2,804Agios Pharmaceuticals Inc 22,763770.1K $
2,805Eaton Vance Floating-Rate ETF 15,978769.8K $
2,806PC Connection Inc 13,167769.7K $
2,807Clough Global 129,967769.4K $
2,808KKR Real Estate Finance Trust Inc 125,523768.2K $
2,809Werner Enterprises Inc 26,081767K $
2,810MSC Industrial Direct Co Inc 8,307766.5K $
2,811Central Securities C 15,428766.2K $
2,812SentinelOne Inc 59,419765.3K $
2,813Spectrum Brands Holdings Inc 10,323760.8K $
2,814Dorchester Minerals LP 28,035759.7K $
2,815RCM Technologies Inc 39,284751.9K $
2,816Tenable Holdings Inc 44,361750.4K $
2,817WisdomTree Trust 10,421747.5K $
2,818HBT Financial Inc 27,938746.5K $
2,819Brainsway Ltd 56,156746.3K $
2,820State Street Income Allocation ETF 22,105740.7K $
2,821John Hancock Diversified Income Fund 67,978738.2K $
2,822BILL Holdings Inc 19,248737.2K $
2,823Dimensional ETF Trust 21,748736.4K $
2,824Flaherty & Crumrine Total Return Fund Inc 44,246734.5K $
2,825Pitney Bowes Inc 66,431734.1K $
2,826AXT Inc 12,881734K $
2,827Voya Asia Pacific High Dividend Equity Income Fund 99,482733.2K $
2,828Pennant Group Inc/The 24,023732.2K $
2,829Enact Holdings Inc 17,873729.4K $
2,830Oruka Therapeutics Inc 14,831727.5K $
2,831Recursion Pharmaceuticals Inc 236,916727.3K $
2,832Farmers National Banc Corp 55,198726.4K $
2,833Palvella Therapeutics Inc 5,824725.9K $
2,834AirJoule Technologies Corp 288,308723.7K $
2,835Chime Financial Inc 38,558722.2K $
2,836Westamerica BanCorp 13,846722K $
2,837Masterbrand Inc 86,669720.2K $
2,838DiamondRock Hospitality Co 76,426716.1K $
2,839Phreesia Inc 85,018712.5K $
2,840Nelnet Inc 5,520711.8K $
2,841Evolv Technologies Holdings Inc 117,074708.3K $
2,842Select Medical Holdings Corp 43,438707.6K $
2,843Mineralys Therapeutics Inc 26,081706.5K $
2,844La-Z-Boy Inc 21,816701.2K $
2,845Ziff Davis Inc 16,695700.5K $
2,846BlackSky Technology Inc 27,833700.3K $
2,847TechTarget Inc 180,057698.6K $
2,848T1 Energy Inc 158,749696.9K $
2,849Skyward Specialty Insurance Group Inc 15,934696K $
2,850Soleno Therapeutics Inc 20,751694.7K $
2,851Amalgamated Financial Corp 17,871694.6K $
2,852CNA Financial Corp 15,117694.2K $
2,853Olema Pharmaceuticals Inc 46,433692.3K $
2,854Alliance Resource Partners LP 24,990691K $
2,855Dime Community Bancshares Inc 20,323687.3K $
2,856AH Realty Trust Inc 124,845686.6K $
2,857Geron Corp 460,729686.5K $
2,858Stellar Bancorp Inc 18,718685.3K $
2,859Xenia Hotels & Resorts Inc 46,003682.2K $
2,860Gevo Inc 249,739681.8K $
2,861NIO Inc 112,587678.9K $
2,862Direxion Shares ETF Trust 5,700675.4K $
2,863TriCo Bancshares 14,119671.2K $
2,864GLOBAL SELF STORAGE INC 130,919669K $
2,865York Water Co/The 21,970669K $
2,866Proto Labs Inc 11,723668.4K $
2,867First Community Bankshares Inc 16,089668K $
2,868ASGN Inc 17,083661.3K $
2,869FIDELITY COVINGTON TRUST 11,462660.6K $
2,870Eaton Vance National Municipal Opportunities Trust 38,555660.1K $
2,871Freshworks Inc 82,065659K $
2,872Guardian Pharmacy Services Inc 17,486658.5K $
2,873Cohen & Steers Select Preferred and Income Fund, Inc. 33,958658.4K $
2,874LendingClub Corp 45,831656.3K $
2,875Century Communities Inc 11,412654.8K $
2,876Jumia Technologies AG 94,827654.3K $
2,877Capricor Therapeutics Inc 21,424651.3K $
2,878NextDecade Corp 84,777649.4K $
2,879NPK International Inc 44,721648K $
2,880Stoke Therapeutics Inc 19,869646.9K $
2,881Delek Logistics Partners LP 12,999646.8K $
2,882John Wiley & Sons Inc 16,931645.1K $
2,883Babcock & Wilcox Enterprises Inc 43,851644.2K $
2,884Innoviva Inc 27,558642.1K $
2,885Diversified Healthcare Trust 95,049631.1K $
2,886Hingham Institution For Savings The 2,201629.1K $
2,887NYLI Merger Arbitrage ETF 17,296628.7K $
2,888Graham Corp 7,965628.6K $
2,889Unitil Corp 12,025628.2K $
2,890Cardinal Infrastructure Group Inc 15,738624.1K $
2,891iShares Trust 8,412624.1K $
2,892Kemper Corp 20,373622.6K $
2,893Ares Commercial Real Estate Corp 129,640622.3K $
2,894LifeStance Health Group Inc 97,679622.2K $
2,895Ishares Inc 17,547622K $
2,896Paymentus Holdings Inc 24,450621K $
2,897Blackrock Income Trust Inc. 58,572619.1K $
2,898Navient Corp 75,371616.5K $
2,899Sally Beauty Holdings Inc 44,264613.1K $
2,900Hope Bancorp Inc 54,517609K $