Titelia

Portfolio von Quent Capital, LLC

1371 gemeldete Positionen · zum 31.03.2026

Originalmeldung · Zehn größte Positionen: 43.6 % des Aktienteils

Aufteilung nach Branche

  • Fonds 12,9 %
  • Technologie 9,2 %
  • Finanzen 3,4 %
  • Kommunikation 2,5 %
  • Zyklischer Konsum 2,1 %
  • Gesundheit 2,1 %
  • Industrie 1,8 %
  • Basiskonsum 1,1 %
  • Energie 0,6 %
  • Versorger 0,4 %
  • Rohstoffe 0,4 %
  • Immobilien 0,1 %
  • Nicht zugeordnet 63,6 %

Einstufung von Titelia, Gesellschaft für Gesellschaft. Der nicht zugeordnete Anteil bleibt sichtbar.

Aufteilung nach Währung

  • USD 100,0 %

Die gemeldete Notierungswährung jeder Position.

Länderaufteilung

  • US 99,6 %
  • MX 0,2 %
  • KY 0,1 %
  • GB 0,0 %
  • TW 0,0 %
  • BE 0,0 %
  • NO 0,0 %
  • NL 0,0 %
  • DK 0,0 %
  • CA 0,0 %
  • BR 0,0 %
  • FI 0,0 %

Anteile berechnet auf den Aktienteil.

RangLandPositionenWertAnteil
1US1.3491,2 Mrd. $99,57 %
2MX12,8 Mio. $0,23 %
3KY4960.621 $0,08 %
4GB7487.841 $0,04 %
5TW1381.521 $0,03 %
6BE1215.255 $0,02 %
7NO1213.900 $0,02 %
8NL236.951 $0,00 %
9DK235.373 $0,00 %
10CA14217 $0,00 %
11BR12752 $0,00 %
12FI1795 $0,00 %

Positionen

RangGesellschaftStückeWertGewicht
201Duke Energy Corp 3.448451.498 $
202Generac Holdings Inc 2.304450.040 $
203Shake Shack Inc 5.080449.428 $
204Northrop Grumman Corp 654446.443 $
205iShares Russell 2000 ETF 1.798445.904 $
206MetLife Inc 6.281444.185 $
207Kinsale Capital Group Inc 1.300444.158 $
208iShares MSCI USA Momentum Factor ETF 1.839441.432 $
209Ubiquiti Inc 558441.373 $
210Pfizer Inc 15.691440.612 $
211Lumentum Holdings Inc 623437.819 $
212Colgate-Palmolive Co 5.133437.515 $
213Coursera Inc 75.000436.500 $
214ServiceNow Inc 4.139432.732 $
215BILL Holdings Inc 11.167427.696 $
216nLight Inc 7.500427.650 $
217Cloudflare Inc 2.063425.679 $
218Cummins Inc 788424.128 $
219Stryker Corp 1.285422.216 $
220Crocs Inc 5.050419.251 $
221HCA Healthcare Inc 875413.912 $
222Welltower Inc 2.084412.028 $
223ConocoPhillips 3.089407.704 $
224L3Harris Technologies Inc 1.177406.236 $
225Element Solutions Inc 11.891405.958 $
226Penske Automotive Group Inc 2.717403.677 $
2273M Co 2.759400.705 $
228Garrett Motion Inc 22.000399.740 $
229DR Horton Inc 2.905398.646 $
230Marathon Petroleum Corp 1.632398.548 $
231Sprinklr Inc 65.737394.422 $
232Unum Group 5.305387.448 $
233Smith Douglas Homes Corp 30.000384.000 $
234American Electric Power Co Inc 2.916382.174 $
235Taiwan Semiconductor Manufacturing Co Ltd 1.129381.521 $
236S&P Global Inc 895380.562 $
237Northern Trust Corp 2.715378.905 $
238State Street SPDR S&P International Small Cap ETF 8.888375.329 $
239Salesforce Inc 2.008374.888 $
240Southern Co/The 3.880374.492 $
241Savers Value Village Inc 50.000372.000 $
242Grayscale Bitcoin Trust ETF 7.151371.350 $
243Mondelez International Inc 6.345365.731 $
244Automatic Data Processing Inc 1.798365.224 $
245Karman Holdings Inc 4.527362.386 $
246Ranpak Holdings Corp 101.500362.355 $
247WW Grainger Inc 330359.841 $
248Consolidated Edison Inc 3.136354.939 $
249Goodyear Tire & Rubber Co/The 53.520354.838 $
250Fortinet Inc 4.317352.785 $
251Arista Networks Inc 2.847349.555 $
252Exelon Corp 7.048345.491 $
253Verizon Communications Inc 6.868344.753 $
254Charles Schwab Corp/The 3.634341.560 $
255Scholastic Corp 8.700339.822 $
256Match Group Inc 11.036338.917 $
257PulteGroup Inc 2.866337.108 $
258Silicon Motion Technology Corp 3.000336.870 $
259Phillips 66 1.827332.861 $
260Deere & Co 590332.519 $
261Waste Management Inc 1.447332.497 $
262Dream Finders Homes Inc 23.836331.797 $
263Travelers Cos Inc/The 1.134330.694 $
264Via Transportation Inc 22.000330.000 $
265Hilton Worldwide Holdings Inc 1.078327.798 $
266Ally Financial Inc 8.348327.492 $
267Green Plains Inc 19.900327.355 $
268KLA Corp 220323.930 $
269General Motors Co 4.338323.162 $
270TripAdvisor Inc 30.000319.800 $
271Hawaiian Electric Industries Inc 21.631319.128 $
272Figma Inc 15.000317.100 $
273Warby Parker Inc 15.000316.050 $
274eBay Inc 3.461315.049 $
275Chipotle Mexican Grill Inc 9.837314.882 $
276iShares Trust 2.745310.487 $
277Diodes Inc 4.500307.170 $
278Circle Internet Group Inc 3.196304.930 $
279LightPath Technologies Inc 30.000300.900 $
280iShares MSCI Japan Small-Cap ETF 3.000291.240 $
281Ingersoll Rand Inc 3.631290.921 $
282Marriott International Inc/MD 889290.746 $
283MasTec Inc 891286.670 $
284Regeneron Pharmaceuticals, Inc. 366282.442 $
285Affiliated Managers Group Inc 1.009279.239 $
286Mettler-Toledo International Inc 221278.725 $
287Ciena Corp 716277.973 $
288BP PLC 5.830274.031 $
289Starbucks Corp 3.026271.104 $
290Evergy Inc 3.304270.631 $
291Altria Group, Inc. 4.071268.626 $
292Ecolab Inc 1.005267.420 $
293Corteva Inc 3.182266.403 $
294Schwab International Equity ETF 10.686264.475 $
295First Watch Restaurant Group Inc 25.000262.000 $
296Hartford Insurance Group Inc/The 1.900256.968 $
297Cigna Group/The 958255.605 $
298Figure Technology Solutions Inc 7.526255.508 $
299Vanguard Value ETF 1.298254.686 $
300Palo Alto Networks Inc 1.586254.268 $