Titelia

Holdings of MANUFACTURERS LIFE INSURANCE COMPANY, THE

· Original filing · Compare with another fund · Report an error

Net assets
-
Positions
2,426 in 20 countries
Top ten
27.5 % of the equity sleeve
Filed on
Mar 31, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
2,301MBIA Inc 12,74475.3K $
2,302Puma Biotechnology Inc 11,76575.2K $
2,303Standard BioTools Inc 81,55375K $
2,304Anavex Life Sciences Corp 24,35174.8K $
2,305Petco Health & Wellness Co Inc 26,87974.7K $
2,306ACCO Brands Corp 24,65074K $
2,307Enel Chile SA 18,65373.5K $
2,3083D Systems Corp 38,49772.4K $
2,309Radiant Logistics Inc 10,01970.6K $
2,310Newsmax Inc 13,52870.6K $
2,311Protara Therapeutics Inc 13,54870.6K $
2,312Evolent Health Inc 30,66769.9K $
2,313Perspective Therapeutics Inc 16,68169.6K $
2,314Cadiz Inc 14,14069.4K $
2,315EW Scripps Co/The 18,65869.4K $
2,316Ready Capital Corp 42,72969.2K $
2,317ProFrac Holding Corp 11,01568.3K $
2,318Frontier Group Holdings Inc 19,34468.3K $
2,319RxSight Inc 11,05168.1K $
2,320Editas Medicine Inc 27,38867.6K $
2,321Oncology Institute Inc/The 21,89467.2K $
2,322Evolus Inc 16,21966.7K $
2,323Holley Inc 21,64966.5K $
2,324James River Group Holdings Inc 10,35265.2K $
2,325Bumble Inc 19,88264.8K $
2,326Niagen Bioscience Inc 14,59764.4K $
2,327AerSale Corp 10,29064K $
2,328Candel Therapeutics Inc 12,99363.7K $
2,329OraSure Technologies Inc 21,12563.4K $
2,330Autolus Therapeutics PLC 45,74963.1K $
2,331Elme Communities 31,36163K $
2,332Eledon Pharmaceuticals Inc 20,43462.9K $
2,333Claros Mortgage Trust Inc 26,34762.7K $
2,334Hudson Technologies Inc 10,65862.7K $
2,335Aspen Aerogels Inc 18,29862.6K $
2,336Rezolute Inc 20,51262.6K $
2,337SIGA Technologies Inc 11,64262.3K $
2,338Playtika Holding Corp 22,39862.3K $
2,339Acacia Research Corp 12,64860.8K $
2,3408x8 Inc 36,46660.5K $
2,341Larimar Therapeutics Inc 13,44560.5K $
2,342Paysign Inc 10,19160.1K $
2,343National CineMedia Inc 19,56459.7K $
2,344Telos Corp 14,21759.6K $
2,345EVgo Inc 34,42159.2K $
2,346Ribbon Communications Inc 27,70458.7K $
2,347Service Properties Trust 43,11558.4K $
2,348Abeona Therapeutics Inc 12,90157.8K $
2,349Citizens Inc/TX 11,46457.7K $
2,350Backblaze Inc 16,40956.6K $
2,351Alector Inc 26,14856.2K $
2,352Hyliion Holdings Corp 31,64655.7K $
2,353Commerce.com Inc 20,60255K $
2,354Innventure Inc 13,99054.7K $
2,355Conduent Inc 41,20152.7K $
2,356Ranpak Holdings Corp 14,74652.6K $
2,357MicroVision Inc 81,55752.3K $
2,358Voyager Therapeutics Inc 13,35851.6K $
2,359Cia Energetica de Minas Gerais 21,35651K $
2,360Cricut Inc 13,52550.6K $
2,361Westrock Coffee Co 11,85650.4K $
2,362Octave Specialty Group Inc 10,83250.4K $
2,363Repay Holdings Corp 19,27550.1K $
2,364Oportun Financial Corp 10,83349.9K $
2,365Accendra Health Inc 21,83649.8K $
2,366Organogenesis Holdings Inc 20,67349K $
2,367Entravision Communications Corp 16,48649K $
2,368Inhibikase Therapeutics Inc 28,77348.3K $
2,369NexPoint Diversified Real Estate Trust 10,19547.6K $
2,370Coherus Oncology Inc 28,06647.4K $
2,371Blaize Holdings Inc 25,57546.5K $
2,372Evolution Petroleum Corp 10,04346K $
2,373OmniAb Inc 28,94345.4K $
2,374Vuzix Corp 19,63145.3K $
2,375Xerox Holdings Corp 34,99545.1K $
2,376Codexis Inc 27,43944.7K $
2,377AlTi Global Inc 12,25544.4K $
2,378Rimini Street Inc 13,39543.9K $
2,379Sight Sciences Inc 11,61143.8K $
2,380LifeMD Inc 11,75742.4K $
2,381Protalix BioTherapeutics Inc 19,52842.4K $
2,382Information Services Group Inc 10,58740.7K $
2,383loanDepot Inc 28,32240.2K $
2,384Quanterix Corp 11,41240.2K $
2,385Funko Inc 12,42739.1K $
2,386Unisys Corp 18,86739.1K $
2,387Open Lending Corp 30,91238.6K $
2,388Fate Therapeutics Inc 32,11738.5K $
2,389Braemar Hotels & Resorts Inc 16,08638K $
2,390Resources Connection Inc 10,03237.4K $
2,391Heron Therapeutics Inc 45,98836.8K $
2,392Quantum-Si Inc 47,45336.7K $
2,393CuriosityStream Inc 12,25936.3K $
2,394Stereotaxis Inc 19,26735.5K $
2,395ZipRecruiter Inc 19,19135.3K $
2,396Douglas Elliman Inc 20,62533.8K $
2,397JELD-WEN Holding Inc 25,85832.1K $
2,398Domo Inc 10,19731.2K $
2,399New Fortress Energy Inc 51,93830.6K $
2,400Nkarta Inc 14,38430.4K $

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Sector breakdown

  • Technology 22.5 %
  • Health care 12.6 %
  • Financials 8.1 %
  • Consumer discretionary 7.8 %
  • Communication 7.8 %
  • Industrials 5.6 %
  • Energy 3.3 %
  • Consumer staples 2.6 %
  • Utilities 2.0 %
  • Funds 1.5 %
  • Real estate 1.5 %
  • Materials 1.1 %
  • Unattributed 23.7 %

Titelia assigns each company to a sector, one by one. The unassigned share stays visible, under "Unattributed".

Currency breakdown

  • USD 100.0 %

Each line is counted in its quoted currency, as the fund declares it.

Country breakdown

  • United States 98.4 %
  • Taiwan 0.9 %
  • United Kingdom 0.3 %
  • Netherlands 0.1 %
  • Cayman Islands 0.1 %
  • Ireland 0.0 %
  • Mexico 0.0 %
  • Denmark 0.0 %
  • Belgium 0.0 %
  • Israel 0.0 %
  • Brazil 0.0 %
  • Australia 0.0 %

Shares are computed on the fund's equities only.

RankCountryLinesValueShare
1United States2,37988.1B $98.44 %
2Taiwan1810M $0.90 %
3United Kingdom11249.3M $0.28 %
4Netherlands4117M $0.13 %
5Cayman Islands1077.5M $0.09 %
6Ireland141.3M $0.05 %
7Mexico220.5M $0.02 %
8Denmark220.3M $0.02 %
9Belgium112M $0.01 %
10Israel110.5M $0.01 %
11Brazil39.6M $0.01 %
12Australia29M $0.01 %
Cite this page

Titelia. "Holdings of MANUFACTURERS LIFE INSURANCE COMPANY, THE". https://titelia.com/en/funds/US13F928047