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
601Textron Inc 33,2682.9K $
602Wyndham Hotels & Resorts Inc 35,8602.9K $
603CDW Corp/DE 24,0602.9K $
604Trimble Inc 44,6202.9K $
605Terex Corp 49,1042.9K $
606Lear Corp 23,9612.9K $
607Autoliv Inc 27,5532.9K $
608Global Payments Inc 42,9452.9K $
609Ball Corp 48,6662.9K $
610Hanover Insurance Group Inc/The 16,5282.9K $
611Viatris Inc 212,0632.9K $
612Albertsons Cos Inc 167,8162.9K $
613Genuine Parts Co 27,0372.9K $
614Essex Property Trust Inc 11,7992.9K $
615Celsius Holdings Inc 79,7242.8K $
616Repligen Corp 23,9852.8K $
617Churchill Downs Inc 31,4292.8K $
618Centene Corp 86,1432.8K $
619MGIC Investment Corp 106,2872.8K $
620Hexcel Corp 34,4612.8K $
621Middleby Corp/The 21,0402.8K $
622ROBLOX Corp 49,2522.8K $
623First American Financial Corp 46,1162.8K $
624GXO Logistics Inc 53,6232.8K $
625Corebridge Financial Inc 116,4482.8K $
626EnerSys 15,9472.8K $
627Ralph Lauren Corp 8,0422.8K $
628Jacobs Solutions Inc 21,6482.8K $
629Kimco Realty Corp 122,5282.8K $
630Lithia Motors Inc 11,0152.8K $
631FNB Corp/PA 163,6952.7K $
632Amkor Technology Inc 60,3012.7K $
633Starwood Property Trust Inc 157,4172.7K $
634MSA Safety Inc 16,4232.7K $
635Eagle Materials Inc 14,2022.7K $
636Hyatt Hotels Corp 18,7032.7K $
637AAON Inc 32,3922.7K $
638Gap Inc/The 110,5662.7K $
639Fox Corp 45,5212.7K $
640Eastman Chemical Co 34,7922.7K $
641UL Solutions Inc 30,9722.7K $
642Healthcare Realty Trust Inc 155,9222.6K $
643GATX Corp 15,4412.6K $
644TKO Group Holdings Inc 12,9782.6K $
645Invitation Homes Inc 104,9952.6K $
646Nordson Corp 9,7952.6K $
647Insmed Inc 15,9212.6K $
648Mid-America Apartment Communities, Inc. 21,2572.6K $
649IDEX Corp 13,6602.6K $
650EchoStar Corp 22,0282.6K $
651Portland General Electric Co 48,6562.6K $
652Ollie's Bargain Outlet Holdings Inc 27,7612.6K $
653AeroVironment Inc 13,9422.6K $
654Cooper Cos Inc/The 35,6642.6K $
655Valley National Bancorp 207,1532.5K $
656VF Corp 148,9552.5K $
657Bentley Systems Inc 72,0282.5K $
658Macy's Inc 139,6872.5K $
659Rayonier Inc 122,3742.5K $
660Floor & Decor Holdings Inc 49,4042.5K $
661United Bankshares Inc/WV 60,3432.5K $
662Nexstar Media Group Inc 13,7702.5K $
663Rocket Lab Corp 38,7292.5K $
664Glacier Bancorp Inc 55,6192.5K $
665TXNM Energy Inc 42,4662.5K $
666Esab Corp 25,6662.5K $
667Avery Dennison Corp 14,2752.5K $
668Landstar System Inc 15,3322.5K $
669Taylor Morrison Home Corp 42,1962.5K $
670Hasbro Inc 26,2172.5K $
671Chemed Corp 6,3952.4K $
672Southwest Gas Holdings Inc 27,7902.4K $
673FTI Consulting Inc 13,6072.4K $
674Sonoco Products Co 44,3642.4K $
675Avantor Inc 305,7872.4K $
676New Jersey Resources Corp 43,6042.4K $
677Murphy Oil Corp 58,0392.4K $
678Element Solutions Inc 69,7492.4K $
679Host Hotels & Resorts Inc 123,7292.4K $
680WEX Inc 15,4912.4K $
681AutoNation Inc 12,1392.4K $
682Best Buy Co Inc 36,7492.4K $
683CNX Resources Corp 61,1762.4K $
684Gartner Inc 14,8942.4K $
685GoDaddy Inc 28,5072.4K $
686McCormick & Co Inc/MD 46,3972.3K $
687RLI Corp 40,9542.3K $
688Regency Centers Corp 30,7452.3K $
689Pinnacle West Capital Corp. 23,0482.3K $
690UFP Industries Inc 25,1832.3K $
691Spire Inc 25,5262.3K $
692Match Group Inc 75,1792.3K $
693LKQ Corp 78,5442.3K $
694Kite Realty Group Trust 93,6352.3K $
695Clorox Co/The 22,0952.3K $
696Air Lease Corp 35,2412.3K $
697Vontier Corp 64,5042.3K $
698Masco Corp 37,8802.3K $
699ExlService Holdings Inc 75,0902.3K $
700Bio-Rad Laboratories Inc 8,1962.3K $