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
101Life Time Group Holdings Inc 265,2667.1M $
102Braze Inc 297,6507M $
103Varonis Systems Inc 326,1537M $
104Benchmark Electronics Inc 124,3497M $
105Cytokinetics Inc 103,6266.8M $
106AvePoint Inc 715,1256.8M $
107Adaptive Biotechnologies Corp 486,6416.8M $
108Nutanix Inc 176,0766.7M $
109Edgewise Therapeutics Inc 208,6726.6M $
110Matador Resources Co 103,4736.5M $
111BioLife Solutions Inc 341,8476.5M $
112Privia Health Group Inc 316,7186.5M $
113Phinia Inc 94,9776.5M $
114Q2 Holdings Inc 137,3146.5M $
115Ceribell Inc 348,2196.4M $
116Dave Inc 36,6456.4M $
117Trevi Therapeutics Inc 530,4516.3M $
118Ryan Specialty Holdings Inc 186,3986.3M $
119Vericel Corp 194,9156.3M $
120Herc Holdings Inc 62,6186.2M $
121Ocular Therapeutix Inc 720,4626.1M $
122Liberty Energy Inc 206,4565.9M $
123Montrose Environmental Group Inc 268,7815.9M $
124Baldwin Insurance Group Inc/The 266,9105.9M $
125GATX Corp 34,2865.9M $
126PVH Corp 83,2605.8M $
127V2X Inc 84,4285.8M $
128Pennant Group Inc/The 188,2405.7M $
129TransMedics Group Inc 57,1845.7M $
130Columbia Banking System Inc 207,1505.7M $
131AdaptHealth Corp 467,7045.6M $
132Astec Industries Inc 103,0865.6M $
133ADMA Biologics Inc 611,8265.5M $
134StoneX Group Inc 67,7655.5M $
135Rush Enterprises Inc 82,4015.4M $
136Cabot Corp 72,2195.4M $
137Chesapeake Utilities Corp 42,9555.4M $
138Andersons Inc/The 75,4065.4M $
139Atlantic Union Bankshares Corp 151,3405.4M $
140SI-BONE Inc 428,0615.4M $
141Ameris Bancorp 69,2875.4M $
142Sezzle Inc 85,1635.4M $
143StandardAero Inc 207,8845.4M $
144New Jersey Resources Corp 97,4665.4M $
145CNX Resources Corp 138,8245.4M $
146Renasant Corp 146,7715.3M $
147United Community Banks Inc/GA 167,9845.3M $
148WesBanco Inc 151,6215.2M $
149Southwest Gas Holdings Inc 59,5705.2M $
150Banner Corp 85,1455.2M $
151Crescent Energy Co 381,9905.2M $
152Northern Oil & Gas Inc 175,0495.1M $
153First Bancorp/Southern Pines NC 90,3365.1M $
154A10 Networks Inc 219,6195.1M $
155Texas Capital Bancshares Inc 53,2855.1M $
156SLM Corp 236,0805.1M $
157HB Fuller Co 81,5105M $
158Associated Banc-Corp 192,3505M $
159Chiron Real Estate Inc 150,2845M $
160Nicolet Bankshares Inc 33,2304.9M $
161Terreno Realty Corp 80,3694.9M $
162Upbound Group Inc 273,3704.9M $
163nCino Inc 328,8484.9M $
164SentinelOne Inc 382,3934.9M $
165Ryder System Inc 23,9344.9M $
166Avista Corp 121,9024.9M $
167Outfront Media Inc 184,5484.9M $
168Gulfport Energy Corp 23,0584.9M $
169Scotts Miracle-Gro Co/The 79,0004.8M $
170National Bank Holdings Corp 122,4664.8M $
171Curbline Properties Corp 185,5674.8M $
172Smartstop Self Storage REIT Inc 157,9944.8M $
173Seacoast Banking Corp of Florida 156,8904.8M $
174FB Financial Corp 91,2774.7M $
175ServisFirst Bancshares Inc 64,9804.7M $
176Amerant Bancorp Inc 213,3774.7M $
177First Merchants Corp 121,2554.7M $
178Structure Therapeutics Inc 97,1174.7M $
179Centerspace 81,4654.7M $
180Dauch Corporation 789,1084.7M $
181Asbury Automotive Group Inc 23,8624.7M $
182Vail Resorts Inc 35,8904.6M $
183GeneDx Holdings Corp 71,5724.6M $
184Tennant Co 69,0654.6M $
185Bruker Corp 126,6304.6M $
186Enterprise Financial Services Corp 84,3354.6M $
187Simmons First National Corp 233,8764.5M $
188CNO Financial Group Inc 110,4594.5M $
189Penn Entertainment Inc 300,8594.5M $
190Omnicell Inc 134,8944.5M $
191SM Energy Co 141,6614.4M $
192Ryman Hospitality Properties Inc 47,5724.4M $
193Hanover Insurance Group Inc/The 25,0804.3M $
194Urban Outfitters Inc 68,6204.3M $
195Boyd Gaming Corp 52,4294.3M $
196Taylor Morrison Home Corp 73,9714.3M $
197Independence Realty Trust Inc 287,9314.3M $
198Black Rock Coffee Bar Inc 331,7024.3M $
199Safehold Inc 316,2904.3M $
200Park Hotels & Resorts Inc 405,9324.3M $