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
3,601Capital Bancorp Inc 4,312128.2K $
3,602Aviat Networks Inc 5,665128.1K $
3,603abrdn Australia Equity Fund Inc 10,561128K $
3,604LENZ Therapeutics Inc 13,972127.8K $
3,605Smithfield Foods Inc 4,554127.4K $
3,606Avantis US Mid Cap Value ETF 1,717127.4K $
3,607Invesco International Developed Dynamic Multifactor ETF 4,024127.3K $
3,608First Trust Exchange-Traded Fund VIII 3,100127.3K $
3,609RE/MAX Holdings Inc 22,023126.9K $
3,610PGIM ETF Trust 3,050126.6K $
3,611Telos Corp 30,133126.3K $
3,612JAKKS Pacific Inc 6,314125.8K $
3,613Genie Energy Ltd 8,873125.5K $
3,614AMC Networks Inc 18,465125.4K $
3,615Franklin Templeton ETF Trust 5,838125K $
3,616Blend Labs Inc 73,274124.6K $
3,617TPG Mortgage Investment Trust Inc 17,025124.5K $
3,618Ponce Financial Group Inc 7,432124.2K $
3,619Geospace Technologies Corp 10,178124.2K $
3,620Oncology Institute Inc/The 40,423124.1K $
3,621Outdoor Holding Co. 61,520123.7K $
3,622Invesco Semiconductors ETF 1,303123K $
3,623Avidia Bancorp Inc 6,223122.4K $
3,624Dimensional International Smal 3,629122.2K $
3,625Nextdoor Holdings Inc 87,067121.9K $
3,626Natural Grocers by Vitamin Cottage Inc 4,693121.3K $
3,627XOMA Royalty Corp 3,865121.2K $
3,628Fate Therapeutics Inc 100,975121.2K $
3,629Industrial Logistics Properties Trust 21,310121K $
3,630World Acceptance Corp 894120.7K $
3,6318x8 Inc 72,584120.5K $
3,632Plumas Bancorp 2,466120.4K $
3,633Hancock John Income Securities Trust 11,003120.4K $
3,634Principal Real Estate Income Fd 12,512120.2K $
3,635FS Specialty Lending Fund 9,551119.5K $
3,636Palladyne AI Corp 19,681119.5K $
3,637Clearfield Inc 4,504119.2K $
3,638Grayscale Bitcoin Trust ETF 2,256119K $
3,639Angi Inc 17,330118.7K $
3,640Tonix Pharmaceuticals Holding Corp 8,629118.6K $
3,641Blue Ridge Bankshares Inc 28,167118.3K $
3,642Fermi Inc 20,254118.3K $
3,643Maravai LifeSciences Holdings Inc 41,791118.3K $
3,644Radiant Logistics Inc 16,748118.1K $
3,645Aeluma Inc 9,000117.8K $
3,646Reynolds Consumer Products Inc 5,556117.7K $
3,647Regional Management Corp 3,635117.2K $
3,648Waterstone Financial Inc 6,473116.7K $
3,649HORIZON TECHNOLOGY FINANCE CORP 27,684116.6K $
3,650Guggenheim Strategic Opportunities Fund 10,567116.5K $
3,651Clear Channel Outdoor Holdings Inc 49,001116.1K $
3,652Quad/Graphics Inc 17,548116K $
3,653Sprout Social Inc 20,286115.6K $
3,654Evolent Health Inc 50,700115.6K $
3,655BayCom Corp 3,868115K $
3,656Boston Omaha Corp 9,832114.8K $
3,657OptimizeRx Corp 18,276114.8K $
3,658MediaAlpha Inc 12,325114.6K $
3,659ON24 Inc 14,151114.6K $
3,660Clough Global Opportunities Fu 20,412113.7K $
3,661Aura Biosciences Inc 16,994113.7K $
3,662Cross Country Healthcare Inc 12,039113.2K $
3,663Beyond Meat Inc 161,242113.1K $
3,664MIND Technology Inc 13,530113K $
3,665Target Hospitality Corp 12,145112.7K $
3,666Eledon Pharmaceuticals Inc 36,569112.6K $
3,667Alight Inc 192,487112.2K $
3,668Bel Fuse Inc 620111.8K $
3,669Savers Value Village Inc 15,012111.7K $
3,670Weave Communications Inc 24,151111.6K $
3,671Strata Critical Medical Inc 26,685111.5K $
3,672Northeast Community Bancorp Inc 4,671111.2K $
3,673Ingram Micro Holding Corp 4,768111.1K $
3,674Prospect Capital Corp 42,499110.9K $
3,675LCNB Corp 7,114110.9K $
3,676Groupon Inc 9,254110.1K $
3,677Microvast Holdings Inc 73,319110K $
3,678Norwood Financial Corp 3,735109.9K $
3,679Genesco Inc 3,773109.4K $
3,680Zumiez Inc 4,934109.3K $
3,681Standard BioTools Inc 118,752109.2K $
3,682MFS Multimkt In Tr 23,614109.1K $
3,683Energy Services of America Corp 8,291108.9K $
3,684Shoe Carnival Inc 6,977108.8K $
3,685Olaplex Holdings Inc 53,486108.6K $
3,686Xerox Holdings Corp 83,830108.1K $
3,687RUNWAY GROWTH FINANCE CORP. 15,729108.1K $
3,688State Street SPDR 785108K $
3,689TFS Financial Corp 7,678107.9K $
3,690Corsair Gaming Inc 19,409107.7K $
3,691Infinity Natural Resources Inc 6,079107.1K $
3,692CROSSAMERICA PARTNERS LP 5,124106.5K $
3,693Atlanticus Holdings Corp 2,012105.6K $
3,694Primis Financial Corp. 7,939105.4K $
3,695BlackRock ETF Trust II 2,025105K $
3,696Johnson Outdoors Inc 2,257105K $
3,697SITE Centers Corp 19,418104.9K $
3,698Onity Group Inc 2,670104.9K $
3,699OP Bancorp 7,875104.7K $
3,700L B Foster Co 3,754104.7K $