Titelia

Portfolio von ARMSTRONG ADVISORY GROUP, INC

837 gemeldete Positionen · zum 31.03.2026

Originalmeldung · Zehn größte Positionen: 62.6 % des Aktienteils

Aufteilung nach Branche

  • Fonds 21,3 %
  • Technologie 3,3 %
  • Industrie 1,6 %
  • Zyklischer Konsum 1,5 %
  • Finanzen 1,4 %
  • Gesundheit 1,0 %
  • Basiskonsum 0,6 %
  • Kommunikation 0,6 %
  • Versorger 0,5 %
  • Energie 0,4 %
  • Immobilien 0,1 %
  • Rohstoffe 0,1 %
  • Nicht zugeordnet 67,6 %

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 99,9 %
  • TW 0,1 %
  • GB 0,0 %
  • MX 0,0 %
  • NL 0,0 %
  • AU 0,0 %
  • BE 0,0 %
  • FI 0,0 %
  • DK 0,0 %
  • IL 0,0 %
  • KY 0,0 %
  • IT 0,0 %

Anteile berechnet auf den Aktienteil.

RangLandPositionenWertAnteil
1US8071,4 Mrd. $99,88 %
2TW11 Mio. $0,07 %
3GB10366.721 $0,03 %
4MX1121.846 $0,01 %
5NL494.664 $0,01 %
6AU324.301 $0,00 %
7BE119.979 $0,00 %
8FI18040 $0,00 %
9DK14227 $0,00 %
10IL12802 $0,00 %
11KY12716 $0,00 %
12IT12435 $0,00 %

Positionen

RangGesellschaftStückeWertGewicht
401iShares iBonds Dec 2026 Term C 1.67040.481 $
402RPM International Inc 40340.076 $
403Hasbro Inc 42840.061 $
404Vanguard FTSE Developed Markets ETF 62439.986 $
405United States Copper Index Fun 1.16139.974 $
406Ennis Inc 1.86039.842 $
407INVESCO EXCHANGE-TRADED FUND TRUST II 16739.683 $
408iShares MSCI USA Value Factor ETF 27939.672 $
409Omega Healthcare Investors Inc 90039.438 $
410VANGUARD MATERIALS ETF VANGUARD MATERIALS ETF 17539.435 $
411Paychex Inc 42439.059 $
412Clorox Co/The 37639.015 $
413iShares Trust 10938.866 $
414Diamondback Energy Inc 19538.570 $
415Ameren Corp 35038.472 $
416Edison International 52438.347 $
417Fastenal Co 79937.074 $
418Carrier Global Corp 65236.693 $
419Tri-Continental Corp 1.15936.598 $
420Mondelez International Inc 63136.371 $
421Qnity Electronics Inc 31536.345 $
422HighPeak Energy Inc 5.22936.082 $
423Prologis Inc 26935.557 $
424BlackRock Science and Technology Term Trust 1.60035.439 $
425UniFirst Corp/MA 14035.223 $
426STMicroelectronics NV 1.00034.550 $
427iShares iBoxx USD Investment Grade Corporate Bond ETF 31634.449 $
428abrdn Global Dynamic Dividend 3.15034.019 $
429Koninklijke Philips NV 1.24033.976 $
430First Trust NASDAQ Cybersecuri 54233.968 $
431Coinbase Global Inc 19333.700 $
432iShares Intermediate Governmen 31433.498 $
433Automatic Data Processing Inc 16433.322 $
434Zimmer Biomet Holdings Inc 36833.277 $
435Fox Corp 56733.113 $
436State Street Corp 26032.878 $
437Rayonier Inc 1.57032.374 $
438Public Storage 11831.964 $
439iShares Biotechnology ETF 18731.575 $
440Illinois Tool Works Inc 11830.715 $
441EQT Corp 48030.548 $
442Teradata Corp 1.18230.295 $
443iShares Trust 37729.995 $
444First American Financial Corp 49429.784 $
445Vanguard FTSE All World ex-US 20029.158 $
446DuPont de Nemours Inc 63328.992 $
447Vicor Corp 18028.980 $
448Western Midstream Partners LP 70028.819 $
449Independent Bank Corp 37928.496 $
450Welltower Inc 14328.273 $
451Marvell Technology Inc 28428.131 $
452Vanguard U.S. Minimum Volatility ETF 21027.979 $
453Fifth Third Bancorp 60127.923 $
454S&P Global Inc 6527.648 $
455American States Water Co 36227.375 $
456Flotek Industries Inc 1.60927.305 $
457Central Securities C 54326.986 $
458Charter Communications, Inc. 12526.985 $
459W R Berkley Corp 40526.866 $
460Cardinal Health, Inc. 12726.837 $
461Brown & Brown Inc 40026.084 $
462Northrop Grumman Corp 3825.926 $
463Cloudflare Inc 12525.793 $
464MSC Industrial Direct Co Inc 27625.467 $
465Rigetti Computing Inc 1.79625.216 $
466Independence Realty Trust Inc 1.69325.209 $
467Boston Beer Co Inc/The 10925.114 $
468ASML Holding NV 1925.096 $
469Fidelity National Financial Inc 53624.860 $
470Axos Financial Inc 29224.847 $
471Harley-Davidson Inc 1.22724.810 $
472Boyd Gaming Corp 30024.654 $
473Vanguard World Fund 12324.372 $
474Schwab Fundamental International Equity Etf 49424.173 $
475MKS Inc 10524.131 $
476Ulta Beauty Inc 4624.045 $
477AST SpaceMobile Inc 29024.033 $
478Adobe Inc 9823.822 $
479Reinsurance Group of America Inc 11623.683 $
480Watsco Inc 6523.647 $
481Expedia Group Inc 10223.551 $
482Unum Group 32223.516 $
483General Mills, Inc. 62423.226 $
484US Foods Holding Corp 25023.053 $
485Avery Dennison Corp 13322.967 $
486Devon Energy Corp 45022.644 $
487Global Partners LP/MA 53722.608 $
488Huntington Bancshares Inc/OH 1.44322.583 $
489Deluxe Corp 81922.556 $
490CME Group Inc 7522.152 $
491Eaton Vance Enhanced Equity Income Fund II 1.06821.853 $
492iShares U.S. Financials ETF 18521.768 $
493Vistra Corp 14421.648 $
494Monster Beverage Corp 29821.594 $
495KKR & Co Inc 23221.460 $
496American Water Works Co Inc 15721.367 $
497Beacon Financial Corp 70921.270 $
498General Motors Co 28020.860 $
499Halliburton Co 53520.860 $
500PPG Industries Inc 19520.842 $