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
701Avnet Inc 36,7742.3K $
702Hancock Whitney Corp 35,6412.3K $
703Armstrong World Industries Inc 13,7312.3K $
704Globe Life Inc 16,2592.3K $
705Black Hills Corp 32,5682.3K $
706NewMarket Corp 3,5252.3K $
707Paylocity Holding Corp 20,8242.3K $
708ONE Gas Inc 25,9362.2K $
709Boyd Gaming Corp 27,0552.2K $
710Primoris Services Corp 15,5262.2K $
711Viavi Solutions Inc 66,1322.2K $
712StandardAero Inc 85,0582.2K $
713Molina Healthcare Inc 16,4762.2K $
714Cleveland-Cliffs Inc 259,8182.2K $
715Celanese Corp 33,3592.2K $
716Bank OZK 47,7942.2K $
717Universal Health Services Inc 12,1842.2K $
718Lantheus Holdings Inc 28,6902.2K $
719Travel + Leisure Co 31,4302.2K $
720Grand Canyon Education Inc 12,7792.2K $
721Argan Inc 3,9782.2K $
722Vail Resorts Inc 16,8562.2K $
723FormFactor Inc 22,2862.2K $
724Domino's Pizza Inc 6,0192.2K $
725Brunswick Corp/DE 29,5992.2K $
726Gentex Corp 98,5192.2K $
727Generac Holdings Inc 11,0082.2K $
728Jackson Financial Inc 20,2822.1K $
729Home BancShares Inc/AR 79,2622.1K $
730UiPath Inc 191,3692.1K $
731Trade Desk Inc/The 93,2322.1K $
732KBR Inc 57,3522.1K $
733Coupang Inc 111,7412.1K $
734Fortune Brands Innovations Inc 54,0872.1K $
735Mattel Inc 145,0472.1K $
736Jack Henry & Associates Inc 13,2952.1K $
737ESCO Technologies Inc 7,4432.1K $
738Sabra Health Care REIT Inc 108,5582.1K $
739Assurant Inc 9,5622.1K $
740Natera Inc 10,4122.1K $
741Align Technology Inc 12,1392.1K $
742Healthpeak Properties Inc 126,4042.1K $
743Louisiana-Pacific Corp 28,4922.1K $
744Lyft Inc 155,5242.1K $
745Wingstop Inc 13,3142.1K $
746Qorvo Inc 26,5082.1K $
747SM Energy Co 65,6062K $
748Sealed Air Corp 48,5622K $
749Valvoline Inc 60,5692K $
750Semtech Corp 26,4312K $
751Stanley Black & Decker Inc 28,5132K $
752Sanmina Corp 15,6122K $
753AES Corp/The 143,0072K $
754Lincoln National Corp 56,7322K $
755Knife River Corp 24,5142K $
756Selective Insurance Group Inc 25,9992K $
757MSC Industrial Direct Co Inc 21,2282K $
758Gen Digital Inc 103,9832K $
759Strategy Inc 15,6562K $
760Everus Construction Group Inc 16,5432K $
761Thor Industries Inc 24,4412K $
762Belden Inc 16,9862K $
763SLM Corp 91,0461.9K $
764LPL Financial Holdings Inc 6,4611.9K $
765DigitalOcean Holdings Inc 22,5021.9K $
766Solventum Corp 29,5521.9K $
767Science Applications International Corp 20,3211.9K $
768Alaska Air Group Inc 52,1661.9K $
769Paycom Software Inc 15,7821.9K $
770UDR Inc 56,7761.9K $
771Veeva Systems Inc 10,8961.9K $
772Zurn Elkay Water Solutions Corp 42,6651.9K $
773JBT Marel Corp 14,9341.9K $
774Krystal Biotech Inc 7,3791.9K $
775Post Holdings Inc 19,2521.9K $
776Hamilton Lane Inc 19,1381.9K $
777Zebra Technologies Corp 9,0931.9K $
778Vornado Realty Trust 72,8441.9K $
779Federal Signal Corp 17,4401.9K $
780Lumen Technologies Inc 271,1061.9K $
781Crocs Inc 22,6041.9K $
782Duolingo Inc 19,0191.9K $
783Dropbox Inc 82,2431.9K $
784Envista Holdings Corp 73,6751.9K $
785Hims & Hers Health Inc 89,9551.9K $
786MarketAxess Holdings Inc 11,3051.9K $
787Brink's Co/The 17,9791.9K $
788Camden Property Trust 19,0451.9K $
789J M Smucker Co/The 19,2881.9K $
790Option Care Health Inc 68,6551.8K $
791Terreno Realty Corp 29,8351.8K $
792Associated Banc-Corp 70,8191.8K $
793Ryan Specialty Holdings Inc 54,2651.8K $
794H&R Block Inc 57,6231.8K $
795Universal Display Corp 19,8761.8K $
796Essential Properties Realty Trust Inc 59,8811.8K $
797Texas Capital Bancshares Inc 19,1401.8K $
798Abercrombie & Fitch Co 19,8481.8K $
799Appfolio Inc 11,4781.8K $
800Morningstar Inc 10,7151.8K $