Titelia

Holdings of AMALGAMATED BANK

1526 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 32.9 % of the equity sleeve

Sector breakdown

  • Technology 29.2 %
  • Financials 10.1 %
  • Communication 9.1 %
  • Consumer discretionary 8.7 %
  • Health care 8.2 %
  • Industrials 7.5 %
  • Consumer staples 4.3 %
  • Energy 2.7 %
  • Utilities 2.1 %
  • Materials 1.6 %
  • Real estate 1.3 %
  • Unattributed 15.1 %

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
1US1,52612.6M $100.00 %

Positions

RankCompanySharesValueWeight
301Lincoln Electric Holdings Inc 25,0396.2K $
302ResMed Inc 27,7726.2K $
303Tapestry Inc 44,0846.2K $
304Carlisle Cos Inc 18,6246.2K $
305Performance Food Group Co 72,5046.2K $
306TD SYNNEX Corp 36,7646.2K $
307DT Midstream Inc 45,9946.2K $
308Kimberly-Clark Corp 64,0416.2K $
309Okta Inc 78,3236.2K $
310Copart Inc 185,5516.2K $
311New York Times Co/The 73,5176.2K $
312Penumbra Inc 18,6786.1K $
313Guidewire Software Inc 40,8016.1K $
314Reinsurance Group of America Inc 29,7296.1K $
315Interactive Brokers Group Inc 90,3346.1K $
316Hewlett Packard Enterprise Co 253,6616K $
317Dollar General Corp 50,7436K $
318Lattice Semiconductor Corp 64,8866K $
319Dick's Sporting Goods Inc 30,2816K $
320TransUnion 86,6806K $
321Toll Brothers Inc 43,8526K $
322Kenvue Inc 346,0626K $
323GE HealthCare Technologies Inc 83,7536K $
324BJ's Wholesale Club Holdings Inc 60,5266K $
325Five Below Inc 26,0596K $
326Hershey Co/The 28,5855.9K $
327Agilent Technologies Inc 51,8515.9K $
328Omega Healthcare Investors Inc 134,2225.9K $
329DTE Energy Co 40,0275.9K $
330Pinnacle Financial Partners Inc 67,6475.8K $
331M&T Bank Corp 28,1675.8K $
332Huntington Bancshares Inc/OH 371,3275.8K $
333Texas Pacific Land Corp 12,1305.8K $
334Workday Inc 44,2365.7K $
335Mueller Industries Inc 51,8065.7K $
336Ameren Corp 52,1635.7K $
337Atmos Energy Corp 31,0135.7K $
338RPM International Inc 57,5705.7K $
339Watsco Inc 15,7055.7K $
340Gaming and Leisure Properties Inc 127,6155.7K $
341Antero Resources Corp 133,2775.7K $
342Carlyle Group Inc/The 116,8395.7K $
343United Airlines Holdings Inc 61,3875.7K $
344Fiserv Inc 101,2735.7K $
345Paychex Inc 61,2655.6K $
346Solstice Advanced Materials Inc 73,7475.6K $
347Waters Corp 18,8215.6K $
348Elanco Animal Health Inc 233,9025.6K $
349Regal Rexnord Corp 29,8535.6K $
350BorgWarner Inc 103,0135.6K $
351Kratos Defense & Security Solutions, Inc. 79,2535.6K $
352CACI International Inc 10,2615.6K $
353Steel Dynamics Inc 30,9865.6K $
354Cboe Global Markets Inc 19,6235.5K $
355Cognizant Technology Solutions Corp. 89,7505.5K $
356VICI Properties Inc 201,1445.5K $
357Otis Worldwide Corp 71,0095.5K $
358Biogen Inc 29,7625.5K $
359Exelixis Inc 127,1735.5K $
360Equity LifeStyle Properties Inc 87,3415.5K $
361Iron Mountain Inc 53,2675.4K $
362Fidelity National Financial Inc 116,9495.4K $
363IQVIA Holdings Inc 31,7265.4K $
364Sterling Infrastructure Inc 13,2535.4K $
365Dow Inc 129,5435.4K $
366Xylem Inc/NY 45,1425.4K $
367CenterPoint Energy Inc 124,8005.4K $
368Hecla Mining Co 288,6245.4K $
369Ingersoll Rand Inc 66,2775.3K $
370PPL Corp 138,8065.3K $
371Lamar Advertising Co 41,8485.3K $
372Coterra Energy Inc 150,5575.3K $
373Medpace Holdings Inc 11,0145.3K $
374Verisk Analytics Inc 27,8005.3K $
375Texas Roadhouse Inc 31,9385.3K $
376Dynatrace Inc 142,5575.3K $
377Cloudflare Inc 25,5345.3K $
378Crown Holdings Inc 52,5575.3K $
379Advanced Energy Industries Inc 16,3175.3K $
380Evercore Inc 17,6155.3K $
381Teledyne Technologies Inc 8,6255.2K $
382Dover Corp 24,9575.2K $
383Coca-Cola Consolidated Inc 27,0965.2K $
384Essential Utilities Inc 129,0005.2K $
385FirstEnergy Corp 102,5025.2K $
386Service Corp International/US 62,9305.2K $
387Unum Group 70,8675.2K $
388Fair Isaac Corp 4,8395.2K $
389Live Nation Entertainment Inc 33,7925.2K $
390Tractor Supply Co 113,6505.1K $
391Edison International 70,1095.1K $
392Webster Financial Corp 73,7525.1K $
393Stifel Financial Corp 69,1745.1K $
394Ally Financial Inc 130,1465.1K $
395Dexcom Inc 81,2395.1K $
396Equitable Holdings Inc 137,0005.1K $
397Pinterest Inc 276,9145.1K $
398Extra Space Storage Inc 38,6125.1K $
399First Horizon Corp 222,2755.1K $
400Ensign Group Inc/The 24,8885K $