Titelia

Portfolio von Kennebec Savings Bank

230 gemeldete Positionen · zum 31.03.2026

Originalmeldung · Zehn größte Positionen: 35.1 % des Aktienteils

Aufteilung nach Branche

  • Technologie 22,5 %
  • Finanzen 12,8 %
  • Industrie 9,7 %
  • Gesundheit 9,3 %
  • Zyklischer Konsum 8,8 %
  • Basiskonsum 7,8 %
  • Kommunikation 6,8 %
  • Energie 5,3 %
  • Immobilien 1,9 %
  • Versorger 1,8 %
  • Rohstoffe 1,7 %
  • Fonds 1,0 %
  • Nicht zugeordnet 10,6 %

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 %
  • NL 0,1 %
  • DK 0,0 %
  • GB 0,0 %

Anteile berechnet auf den Aktienteil.

RangLandPositionenWertAnteil
1US227106 Mio. $99,89 %
2NL163.400 $0,06 %
3DK132.781 $0,03 %
4GB123.973 $0,02 %

Positionen

RangGesellschaftStückeWertGewicht
101Supernus Pharmaceuticals Inc 1.978102.243 $
102UnitedHealth Group Inc 370100.118 $
103Amphenol Corp 77998.427 $
104Broadridge Financial Solutions Inc 60097.488 $
105Edwards Lifesciences Corp 1.20096.096 $
106Entergy Corp 85495.955 $
107Southern Co/The 95892.466 $
108Tractor Supply Co 2.02591.733 $
109Texas Instruments Inc 43584.451 $
110Vanguard High Dividend Yield E 51476.123 $
111Colgate-Palmolive Co 87374.406 $
112Stanley Black & Decker Inc 1.00071.060 $
113Applied Materials Inc 19365.965 $
114Church & Dwight Co Inc 69164.484 $
115TJX Cos Inc/The 40063.880 $
116ASML Holding NV 4863.400 $
117Casey's General Stores Inc 8763.324 $
118Becton Dickinson & Co 39061.320 $
119L3Harris Technologies Inc 17560.401 $
120Masco Corp 1.00060.370 $
121US Bancorp 1.15960.280 $
122Coca-Cola Co/The 79060.080 $
123Pinnacle West Capital Corp. 58458.838 $
124Curtiss-Wright Corp 8658.576 $
125Schwab US Dividend Equity ETF 1.84356.543 $
126Sysco Corp 78956.279 $
127Travelers Cos Inc/The 17952.211 $
128iShares ESG Aware MSCI USA Small-Cap ETF 1.09951.675 $
129Walt Disney Co/The 53251.274 $
130SPDR Series Trust 1.67850.457 $
131iShares MSCI EAFE ETF 51550.022 $
132Schwab Short-Term U.S. Treasury ETF 1.90046.113 $
133Pfizer Inc 1.60044.928 $
134Regions Financial Corp 1.70044.404 $
135Amgen Inc 12644.333 $
136Aflac Inc 40043.884 $
137iShares Trust 80942.521 $
138Emerson Electric Co. 32342.319 $
139Cardinal Health, Inc. 18639.304 $
140TopBuild Corp 11138.994 $
141Labcorp Holdings Inc 14638.954 $
142CSX Corp 91737.643 $
143WisdomTree US SmallCap Dividen 1.03037.018 $
144Booz Allen Hamilton Holding Corp 46035.894 $
145LKQ Corp 1.21035.538 $
146iShares Core S&P 500 ETF 5435.273 $
147Waters Corp 11634.545 $
148Waste Management Inc 15034.469 $
149Essential Utilities Inc 84834.149 $
150Novo Nordisk A/S 89232.781 $
151Sonoco Products Co 60032.454 $
152McCormick & Co Inc/MD 59730.113 $
153Conagra Brands Inc 1.80028.296 $
154AT&T Inc 97328.207 $
155Bank of America Corp 55026.813 $
156Lamb Weston Holdings Inc 60025.356 $
157iShares Russell 2000 ETF 10024.800 $
158United Parcel Service Inc 24624.201 $
159Avery Dennison Corp 13924.003 $
160British American Tobacco PLC 41023.973 $
161Equity LifeStyle Properties Inc 38223.844 $
162iShares ESG MSCI KLD 400 ETF 18922.905 $
163Fidelity National Information Services Inc 46922.001 $
164Stryker Corp 6320.701 $
165Charles River Laboratories International Inc 11419.665 $
166U-Haul Holding Co 41118.359 $
167CVS Health Corp 25218.099 $
168GE Vernova Inc 2017.458 $
169iShares iBoxx USD Investment Grade Corporate Bond ETF 15617.002 $
170Baxter International Inc 1.00016.800 $
171Comcast Corp 58416.767 $
172iShares iBonds Dec 2026 Term C 66516.120 $
173Cigna Group/The 5815.472 $
174General Dynamics Corp 4515.445 $
175Advanced Micro Devices Inc 7415.054 $
176Valmont Industries Inc 3714.784 $
177iShares ESG Aware MSCI USA ETF 10214.425 $
178iShares Trust 21414.178 $
179Palantir Technologies Inc 9413.750 $
180General Mills, Inc. 35713.288 $
181Vertiv Holdings Co 5213.030 $
182Lam Research Corp 6012.820 $
183Kratos Defense & Security Solutions, Inc. 17512.339 $
184Fiserv Inc 22012.276 $
185iShares Core S&P Mid-Cap ETF 17011.480 $
186Cummins Inc 2111.298 $
187Consolidated Edison Inc 9410.639 $
188Dominion Energy Inc 1609891 $
189American Express Co 298772 $
190TALEN ENERGY CORP 278619 $
191iShares Global Clean Energy ETF 4287828 $
192Dell Technologies Inc 426893 $
193Vistra Corp 446615 $
194Moderna Inc 1216147 $
195Leidos Holdings Inc 385910 $
196AeroVironment Inc 315675 $
197Schwab Intermediate-Term U.S. Treasury ETF 2235555 $
198Polaris Inc 1005450 $
199Western Digital Corp 195139 $
200Hancock John Tax-Advantaged Dividend Income Fund 2004954 $