Titelia

Holdings of PEREGRINE CAPITAL MANAGEMENT LLC

265 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 26.3 % of the equity sleeve

Sector breakdown

  • Technology 14.6 %
  • Financials 6.3 %
  • Communication 5.1 %
  • Health care 5.1 %
  • Consumer discretionary 4.8 %
  • Industrials 2.0 %
  • Materials 0.9 %
  • Consumer staples 0.4 %
  • Unattributed 60.8 %

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 100.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2652.5B $100.00 %

Positions

RankCompanySharesValueWeight
1Amazon.com Inc 513,122106.9M $
2Alphabet Inc 358,728103.2M $
3Cloudflare Inc 401,84982.9M $
4Ares Management Corp 584,71663.8M $
5ServiceNow Inc 530,30655.4M $
6Crowdstrike Holdings Inc 141,49655.2M $
7Uber Technologies Inc 690,94749.7M $
8Visa Inc 160,02648.4M $
9Intuitive Surgical Inc 99,73946M $
10Mastercard Inc 91,83745.9M $
11Procore Technologies Inc 803,42545.8M $
12Snowflake Inc 295,23044.5M $
13Eli Lilly & Co 46,14142.4M $
14Dexcom Inc 616,54038.7M $
15Veeva Systems Inc 207,31836.4M $
16Reddit Inc 215,27929M $
17CoStar Group Inc 699,15228.2M $
18DraftKings Inc 1,196,95125.9M $
19Planet Fitness Inc 346,30725.8M $
20Netflix Inc 258,72224.9M $
21Cadence Design Systems Inc 81,03822.5M $
22Workday Inc 161,38121M $
23Advanced Energy Industries Inc 61,64119.9M $
24Synopsys Inc 46,45218.4M $
25SPX Technologies Inc 90,80518.2M $
26Element Solutions Inc 523,97617.9M $
27Modine Manufacturing Co 74,86916.2M $
28ESCO Technologies Inc 57,31516.1M $
29Patrick Industries Inc 136,25015.1M $
30Synaptics Inc 212,79014.9M $
31MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 66,61014.8M $
32Stifel Financial Corp 195,01714.4M $
33Kirby Corp 103,16113.7M $
34MYR Group Inc 48,28513.6M $
35Steel Dynamics Inc 75,72213.6M $
36Burlington Stores Inc 41,78113.6M $
37DigitalOcean Holdings Inc 157,72413.5M $
38Boise Cascade Co 176,25513.4M $
39FormFactor Inc 131,09612.7M $
40Artivion Inc 342,79512.6M $
41Legence Corp 219,28212.4M $
42FirstCash Holdings Inc 65,56412.3M $
43Viavi Solutions Inc 367,44112.2M $
44Flowserve Corp 164,58212.1M $
45Construction Partners Inc 106,17611.8M $
46Ollie's Bargain Outlet Holdings Inc 127,22011.7M $
47Arcosa Inc 110,24011.7M $
48Evercore Inc 38,79811.6M $
49Champion Homes Inc 154,34511.5M $
50Advanced Drainage Systems Inc 82,62811.3M $
51Kratos Defense & Security Solutions, Inc. 159,03911.2M $
52JBT Marel Corp 87,46011.2M $
53Glacier Bancorp Inc 246,35811M $
54Skyward Specialty Insurance Group Inc 246,89410.8M $
55Triumph Financial Inc 179,92210.7M $
56Coastal Financial Corp/WA 139,60710.6M $
57HealthEquity Inc 126,23110.5M $
58Twist Bioscience Corp 220,07910.5M $
59Boot Barn Holdings Inc 71,17110.4M $
60AAON Inc 123,80710.2M $
61Performance Food Group Co 116,41610M $
62Mercury Systems Inc 136,1759.9M $
63Waystar Holding Corp 407,4429.8M $
64Agilysys Inc 137,9579.8M $
65Dycom Industries Inc 28,9269.8M $
66Itron Inc 108,7329.7M $
67Evolv Technologies Holdings Inc 1,606,9829.7M $
68AAR Corp 87,9889.6M $
69Flowco Holdings Inc 458,5239.4M $
70CSW Industrials Inc 35,5109.3M $
71CECO Environmental Corp 154,3079.2M $
72Knight-Swift Transportation Holdings Inc 157,3269.1M $
73PTC Inc 63,3489M $
74KBR Inc 240,0758.8M $
75Generac Holdings Inc 45,2808.8M $
76Zeta Global Holdings Corp 550,1128.8M $
77Academy Sports & Outdoors Inc 152,7508.6M $
78Mirion Technologies Inc 462,3838.6M $
79Palomar Holdings Inc 71,8268.6M $
80Regal Rexnord Corp 45,7098.6M $
81Zurn Elkay Water Solutions Corp 189,2518.5M $
82SS&C Technologies Holdings Inc 125,2968.5M $
83Virtu Financial Inc 190,6918.4M $
84BioMarin Pharmaceutical Inc 146,9238.3M $
85Allegro MicroSystems Inc 259,7648.2M $
86Everpure Inc 138,4738.2M $
87Axsome Therapeutics Inc 47,2968M $
88Valvoline Inc 236,3968M $
89Darling Ingredients Inc 127,3477.9M $
90YETI Holdings Inc 214,0937.8M $
91Atlassian Corp 114,5457.8M $
92IRhythm Holdings Inc 65,8757.8M $
93Cogent Biosciences Inc 201,9597.8M $
94FTI Consulting Inc 43,1657.6M $
95Guardian Pharmacy Services Inc 201,6037.6M $
96Astronics Corp 113,5207.6M $
97Celsius Holdings Inc 211,8677.5M $
98Chemours Co/The 334,1177.4M $
99Arcutis Biotherapeutics Inc 306,2727.2M $
100Scholar Rock Holding Corp 146,6067.2M $