Titelia

Portefeuille d'Acuitas Small Cap Active ETF

Series Portfolios Trust · 271 positions déclarées · au 31 mars 2026

Document d'origine · Actif net 73,3 M $ · Dix premières lignes : 11.6 % de la poche actions

Répartition par secteur

  • Non attribué 100,0 %

Classification Titelia, société par société. La part non attribuée reste affichée.

Répartition par devise

  • USD 100,0 %

Devise de cotation de chaque ligne, telle que déclarée.

Répartition par pays

  • US 95,2 %
  • BM 1,3 %
  • IL 1,0 %
  • KY 1,0 %
  • CA 0,7 %
  • BE 0,3 %
  • SG 0,3 %
  • CH 0,2 %

Parts calculées sur la poche actions.

PaysLignesValeurPart
US25668,1 M $95,19 %
BM3919,7 k $1,29 %
IL3722 k $1,01 %
KY3691,3 k $0,97 %
CA3522,7 k $0,73 %
BE1227,1 k $0,32 %
SG1198,5 k $0,28 %
CH1157 k $0,22 %

Positions

SociétéTitresValeurPoids
LeMaitre Vascular Inc 8 680947,6 k $1,29 %
Adeia Inc 38 823932,9 k $1,27 %
Triumph Financial Inc 14 690876,4 k $1,20 %
StoneX Group Inc 10 383837,4 k $1,14 %
Coastal Financial Corp/WA 10 987836,1 k $1,14 %
Douglas Dynamics Inc 19 290811,9 k $1,11 %
Ligand Pharmaceuticals Inc 3 941786,8 k $1,07 %
Metropolitan Bank Holding Corp 9 404783,3 k $1,07 %
Phibro Animal Health Corp 13 902768,9 k $1,05 %
iRadimed Corp 7 515723,4 k $0,99 %
Preformed Line Products Co 2 566694,7 k $0,95 %
Business First Bancshares Inc 25 567691,3 k $0,94 %
Atmus Filtration Technologies Inc 12 144689,4 k $0,94 %
Kodiak Gas Services Inc 11 631678,3 k $0,93 %
Mesa Laboratories Inc 7 608672,7 k $0,92 %
Perella Weinberg Partners 36 428661,5 k $0,90 %
UFP Technologies Inc 3 403658,8 k $0,90 %
Karat Packaging Inc 23 353652 k $0,89 %
International General Insurance Holdings Ltd 25 944628,5 k $0,86 %
PDF Solutions Inc 19 211628,4 k $0,86 %
Modine Manufacturing Co 2 795605,7 k $0,83 %
Koppers Holdings Inc 15 383595 k $0,81 %
Digi International Inc 12 198587,9 k $0,80 %
Veeco Instruments Inc 17 338587,1 k $0,80 %
Ryman Hospitality Properties Inc 5 945548,5 k $0,75 %
Astrana Health Inc 22 286546,5 k $0,75 %
NPK International Inc 37 589544,7 k $0,74 %
Covenant Logistics Group Inc 19 748536,2 k $0,73 %
Red Rock Resorts Inc 10 021534,7 k $0,73 %
Palomar Holdings Inc 4 471534,3 k $0,73 %
Oil-Dri Corp of America 8 150530,5 k $0,72 %
Grand Canyon Education Inc 3 095526,2 k $0,72 %
Chesapeake Utilities Corp 4 013507,1 k $0,69 %
Talkspace Inc 97 190503 k $0,69 %
Ducommun Inc 4 074497 k $0,68 %
Mama's Creations Inc 31 981490,6 k $0,67 %
Bank OZK 10 528483,1 k $0,66 %
Terawulf Inc 32 922475,1 k $0,65 %
CNX Resources Corp 12 183469,7 k $0,64 %
AtriCure Inc 16 392467,7 k $0,64 %
Lincoln Educational Services Corp 11 417464,4 k $0,63 %
Magnolia Oil & Gas Corp 14 092444,9 k $0,61 %
Argan Inc 815443,9 k $0,61 %
Northeast Bank 3 890437,1 k $0,60 %
Pennant Group Inc/The 14 169431,9 k $0,59 %
Photronics Inc 10 515424,9 k $0,58 %
Black Hills Corp 6 108424 k $0,58 %
Perdoceo Education Corp 11 262419,1 k $0,57 %
Astronics Corp 6 149410,3 k $0,56 %
Merit Medical Systems Inc 5 928408,6 k $0,56 %
Green Brick Partners Inc 6 270404,1 k $0,55 %
Cabot Corp 5 314400,2 k $0,55 %
Warby Parker Inc 18 376387,2 k $0,53 %
NVE Corp 5 911387,2 k $0,53 %
Limoneira Co 28 820386,8 k $0,53 %
Solaris Energy Infrastructure Inc 6 817385,2 k $0,53 %
Belden Inc 3 329382,3 k $0,52 %
Cushman & Wakefield Ltd 31 044380,6 k $0,52 %
United States Lime & Minerals Inc 2 907379,7 k $0,52 %
Applied Optoelectronics Inc 4 487379,6 k $0,52 %
ANI Pharmaceuticals Inc 4 935379,5 k $0,52 %
BioLife Solutions Inc 19 814378,1 k $0,52 %
Healthcare Services Group Inc 20 327377,1 k $0,51 %
MYR Group Inc 1 322373,2 k $0,51 %
I3 Verticals Inc 16 464368,1 k $0,50 %
Pathward Financial Inc 4 045360,9 k $0,49 %
Bridgewater Bancshares Inc 20 307359,4 k $0,49 %
Mirum Pharmaceuticals Inc 3 829353,7 k $0,48 %
Vita Coco Co Inc/The 7 184344,2 k $0,47 %
OneSpan Inc 32 669344 k $0,47 %
Hackett Group Inc/The 25 860336,4 k $0,46 %
Alignment Healthcare Inc 19 079336,2 k $0,46 %
Pegasystems Inc 7 892335,9 k $0,46 %
ALLOT LTD 50 093333,6 k $0,45 %
DXP Enterprises Inc/TX 2 356329,2 k $0,45 %
Tecnoglass Inc 7 355327,7 k $0,45 %
Park Aerospace Corp 11 864324,8 k $0,44 %
Graham Corp 4 095323,2 k $0,44 %
Strawberry Fields REIT Inc 27 133322,9 k $0,44 %
Provident Financial Services Inc 15 176321,1 k $0,44 %
Artivion Inc 8 755320,6 k $0,44 %
InterDigital Inc 1 056318,9 k $0,43 %
Guardian Pharmacy Services Inc 8 389315,9 k $0,43 %
Select Water Solutions Inc 20 616315,4 k $0,43 %
Carter's Inc 8 762313,3 k $0,43 %
Stagwell Inc 49 733312,8 k $0,43 %
Universal Technical Institute Inc 8 584309,9 k $0,42 %
GCI Liberty Inc 7 975296,7 k $0,40 %
Worthington Enterprises Inc 5 687296,5 k $0,40 %
Kura Sushi USA Inc 4 233295,4 k $0,40 %
Excelerate Energy Inc 8 651289,1 k $0,39 %
Cohu Inc 9 404288 k $0,39 %
Almonty Industries Inc 19 029275,5 k $0,38 %
ICF International Inc 4 172272,4 k $0,37 %
ConnectOne Bancorp Inc 10 128271,1 k $0,37 %
Aehr Test Systems 7 308271 k $0,37 %
Centerspace 4 687269,3 k $0,37 %
Xometry Inc 6 497265,3 k $0,36 %
ADMA Biologics Inc 29 225263,3 k $0,36 %
Paymentus Holdings Inc 10 196259 k $0,35 %
Merchants Bancorp/IN 5 883252,4 k $0,34 %
FTAI Infrastructure Inc 50 583249,9 k $0,34 %
Penguin Solutions Inc 14 160249,2 k $0,34 %
Knife River Corp 2 991244,2 k $0,33 %
First Financial Corp 3 861244 k $0,33 %
Axogen Inc 7 348243,4 k $0,33 %
Taseko Mines Ltd 37 572242,3 k $0,33 %
WaterBridge Infrastructure LLC 8 867237,5 k $0,32 %
Kelly Services Inc 26 771236,9 k $0,32 %
Utz Brands Inc 29 860236,5 k $0,32 %
Avanos Medical Inc 16 687233,8 k $0,32 %
Live Oak Bancshares Inc 7 031232,5 k $0,32 %
Barrett Business Services Inc 7 896230,4 k $0,31 %
Planet Labs PBC 8 220229,7 k $0,31 %
CubeSmart 6 232228,4 k $0,31 %
Titan America SA 15 159227,1 k $0,31 %
Legence Corp 3 986225 k $0,31 %
Alphatec Holdings Inc 20 605224,2 k $0,31 %
UGI Corp 6 127223,1 k $0,30 %
Ultra Clean Holdings Inc 3 548220,6 k $0,30 %
GBank Financial Holdings Inc 8 156218,3 k $0,30 %
QCR Holdings Inc 2 539217 k $0,30 %
nCino Inc 14 438216,3 k $0,29 %
Esab Corp 2 211213,7 k $0,29 %
Ennis Inc 9 956213,3 k $0,29 %
Workiva Inc 3 528210,4 k $0,29 %
Five Star Bancorp 5 574210,3 k $0,29 %
Chatham Lodging Trust 26 635209,6 k $0,29 %
Caleres Inc 19 837209,1 k $0,29 %
Wabash National Corp 23 965206,6 k $0,28 %
Curbline Properties Corp 7 901203,8 k $0,28 %
Applied Digital Corp 8 567203,4 k $0,28 %
Allegiant Travel Co 2 463199,6 k $0,27 %
GigaCloud Technology Inc 4 392199,3 k $0,27 %
Ituran Location and Control Ltd 4 055198,7 k $0,27 %
KAROOOOO LTD 3 982198,5 k $0,27 %
National HealthCare Corp 1 241198,2 k $0,27 %
ATN International Inc 7 280198,2 k $0,27 %
Pitney Bowes Inc 17 855197,3 k $0,27 %
Canada Goose Holdings Inc 17 947196,9 k $0,27 %
IDT Corp 4 000196,4 k $0,27 %
Flexsteel Industries Inc 4 350195,5 k $0,27 %
Preferred Bank/Los Angeles CA 2 150195 k $0,27 %
Tactile Systems Technology Inc 7 459194,9 k $0,27 %
Designer Brands Inc 34 224194,7 k $0,27 %
Benchmark Electronics Inc 3 454193,6 k $0,26 %
Rimini Street Inc 58 472191,8 k $0,26 %
Daktronics Inc 9 764190,9 k $0,26 %
Ranger Energy Services Inc 11 132190,8 k $0,26 %
Global-e Online Ltd 6 146189,6 k $0,26 %
Utah Medical Products Inc 3 038188,3 k $0,26 %
SandRidge Energy Inc 11 531188,1 k $0,26 %
Hyster-Yale Inc 5 770187,6 k $0,26 %
Heritage Financial Corp/WA 7 207187,4 k $0,26 %
HealthStream Inc 9 041187,2 k $0,26 %
Global Industrial Co 5 900186 k $0,25 %
Energy Services of America Corp 14 081184,9 k $0,25 %
Asure Software Inc 21 490184,8 k $0,25 %
Barnes & Noble Education Inc 20 659182,4 k $0,25 %
National Research Corp 10 705181,8 k $0,25 %
Hudson Technologies Inc 30 875181,5 k $0,25 %
Emerald Holding Inc 40 055180,6 k $0,25 %
Espey Mfg. & Electronics Corp 3 191176,8 k $0,24 %
Lindsay Corp 1 482176,5 k $0,24 %
Willdan Group Inc 2 298175,9 k $0,24 %
Plumas Bancorp 3 602175,8 k $0,24 %
Helen of Troy Ltd 12 134175 k $0,24 %
Arteris Inc 10 544173,3 k $0,24 %
Natural Grocers by Vitamin Cottage Inc 6 695173,1 k $0,24 %
FS Bancorp Inc 4 477172,8 k $0,24 %
TETRA Technologies Inc 20 199172,1 k $0,23 %
Stewart Information Services Corp 2 792171,9 k $0,23 %
Proficient Auto Logistics Inc 25 356171,9 k $0,23 %
Innodata Inc 4 448171,8 k $0,23 %
Frequency Electronics Inc 3 873171,4 k $0,23 %
Bank7 Corp 4 151165,5 k $0,23 %
Ichor Holdings Ltd 3 526164,3 k $0,22 %
Consolidated Water Co Ltd 4 955164,1 k $0,22 %
Cricut Inc 43 691163,4 k $0,22 %
Boot Barn Holdings Inc 1 110162,5 k $0,22 %
Universal Logistics Holdings Inc 7 609160,9 k $0,22 %
PRA Group Inc 9 164160,4 k $0,22 %
ePlus Inc 2 112158,9 k $0,22 %
Immersion Corp 29 085158,8 k $0,22 %
Interface Inc 6 313157,3 k $0,21 %
Customers Bancorp Inc 2 265157,2 k $0,21 %
Aebi Schmidt Holding AG 16 167157 k $0,21 %
ACCO Brands Corp 51 627154,9 k $0,21 %
California BanCorp 8 717154,5 k $0,21 %
Vital Farms Inc 10 894153,8 k $0,21 %
IRhythm Holdings Inc 1 277150,7 k $0,21 %
Global Net Lease Inc 15 877148,6 k $0,20 %
Core Laboratories Inc 8 793147,6 k $0,20 %
Chiron Real Estate Inc 4 341143,6 k $0,20 %
HeartFlow Inc 5 869142,8 k $0,19 %
M-Tron Industries Inc 2 119141,7 k $0,19 %
ReposiTrak Inc 18 571141,1 k $0,19 %
Banc of California Inc 8 002140,7 k $0,19 %
Brandywine Realty Trust 51 266138,9 k $0,19 %
Ridgepost Capital Inc 18 654135,4 k $0,18 %
Thermon Group Holdings Inc 2 624132,2 k $0,18 %
American Coastal Insurance Corp 11 744132,1 k $0,18 %
J Jill Inc 11 525132,1 k $0,18 %
Crawford & Co 13 059130,2 k $0,18 %
DMC Global Inc 24 918129,8 k $0,18 %
McGrath RentCorp 1 177129,8 k $0,18 %
Adaptive Biotechnologies Corp 9 278128,8 k $0,18 %
Matrix Service Co 11 079127,2 k $0,17 %
Orion Group Holdings Inc 11 427124,6 k $0,17 %
Edgewell Personal Care Co 5 777123,3 k $0,17 %
PC Connection Inc 2 031118,7 k $0,16 %
Ashland Inc 2 103116,9 k $0,16 %
Kestra Medical Technologies Ltd 5 833116,3 k $0,16 %
AZZ Inc 914114,4 k $0,16 %
Jefferson Capital Inc 5 900113,5 k $0,15 %
Fortune Brands Innovations Inc 2 911113,4 k $0,15 %
Perma-Fix Environmental Services Inc 10 390111,1 k $0,15 %
Ribbon Communications Inc 50 192106,4 k $0,15 %
Monro Inc 6 628106,3 k $0,15 %
Standard Motor Products Inc 3 035105,4 k $0,14 %
Agilysys Inc 1 440102,4 k $0,14 %
Zumiez Inc 4 572101,3 k $0,14 %
Silvaco Group Inc 14 305101,3 k $0,14 %
National CineMedia Inc 33 030100,7 k $0,14 %
Mistras Group Inc 6 65498,3 k $0,13 %
Alexandria Real Estate Equities, Inc. 2 03794,6 k $0,13 %
SiTime Corp 26691,9 k $0,13 %
First Watch Restaurant Group Inc 8 72091,4 k $0,12 %
Vericel Corp 2 74088,1 k $0,12 %
Concrete Pumping Holdings Inc 12 31687,9 k $0,12 %
Heartland Express Inc 8 40087,4 k $0,12 %
Core Molding Technologies Inc 3 89287,2 k $0,12 %
CRA International Inc 53786,9 k $0,12 %
Century Communities Inc 1 51186,7 k $0,12 %
Transcat Inc 1 17186 k $0,12 %
Silvercrest Asset Management Group Inc 6 38685,8 k $0,12 %
LSI Industries Inc 4 57785,1 k $0,12 %
First Western Financial Inc 3 45785 k $0,12 %
SI-BONE Inc 6 69384,5 k $0,12 %
Evolv Technologies Holdings Inc 13 92084,2 k $0,11 %
Centrus Energy Corp 48484 k $0,11 %
Zeta Global Holdings Corp 4 81676,7 k $0,10 %
Bloomin' Brands Inc 13 95875,4 k $0,10 %
TransMedics Group Inc 73172,7 k $0,10 %
Burke & Herbert Financial Services Corp 1 14971,6 k $0,10 %
American Eagle Outfitters Inc 4 17669,7 k $0,10 %
Once Upon a Farm PBC 4 20768,8 k $0,09 %
Knowles Corp 2 64067,8 k $0,09 %
Helios Technologies Inc 1 04767,8 k $0,09 %
MVB Financial Corp 2 72367,6 k $0,09 %
Allient Inc 1 07963,8 k $0,09 %
TrueBlue Inc 16 05362,8 k $0,09 %
JFrog Ltd 1 33162,5 k $0,09 %
Enerpac Tool Group Corp 1 68161,3 k $0,08 %
Janus International Group Inc 11 63459,9 k $0,08 %
Columbus McKinnon Corp/NY 4 08159,3 k $0,08 %
Billiontoone Inc 73558 k $0,08 %
BOK Financial Corp 45358 k $0,08 %
Rocky Brands Inc 1 46856,8 k $0,08 %
Cimpress PLC 77656,6 k $0,08 %
Limbach Holdings Inc 64850,6 k $0,07 %
BIOHARVEST SCIENCES INC 11 57650,2 k $0,07 %
Marten Transport Ltd 3 51646,2 k $0,06 %
Miller Industries Inc/TN 1 01246,1 k $0,06 %
Johnson Outdoors Inc 95744,5 k $0,06 %
Hurco Cos Inc 3 02544,5 k $0,06 %
Alight Inc 72 66942,3 k $0,06 %
Resources Connection Inc 10 94240,8 k $0,06 %
Owlet Inc 7 79340,1 k $0,05 %
York Space Systems Inc 1 44131,9 k $0,04 %
M Tron Industries Inc. 1 8603,9 k $0,01 %