Titelia

Holdings of SPIRIT OF AMERICA MANAGEMENT CORP/NY

279 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 24.1 % of the equity sleeve

Sector breakdown

  • Energy 21.2 %
  • Technology 14.0 %
  • Utilities 12.0 %
  • Real estate 8.2 %
  • Industrials 6.2 %
  • Financials 4.8 %
  • Communication 4.6 %
  • Health care 2.9 %
  • Consumer discretionary 2.8 %
  • Consumer staples 2.4 %
  • Materials 0.5 %
  • Funds 0.1 %
  • Unattributed 20.2 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • US 99.3 %
  • GB 0.6 %
  • TW 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US276484.1M $99.30 %
2GB23.1M $0.63 %
3TW1354.8K $0.07 %

Positions

RankCompanySharesValueWeight
1NVIDIA Corp 162,12028.3M $
2Alphabet Inc 44,30012.7M $
3Valero Energy Corp 45,83411.3M $
4Williams Cos Inc/The 146,13210.6M $
5Marathon Petroleum Corp 39,8759.7M $
6Exxon Mobil Corp 54,8479.3M $
7Apple Inc 35,6829.1M $
8Targa Resources Corp 35,7339M $
9Phillips 66 48,4868.8M $
10Chevron Corp 42,0888.7M $
11Cheniere Energy Inc 30,2508.6M $
12Welltower Inc 41,4258.2M $
13Kinder Morgan, Inc. 237,9948M $
14Caterpillar Inc 11,1907.9M $
15Amazon.com Inc 35,9507.5M $
16Microsoft Corp 19,2997.1M $
17JPMorgan Chase & Co 23,0926.8M $
18Constellation Energy Corp. 21,6506M $
19NextEra Energy Inc 61,5255.7M $
20GE Vernova Inc 6,4505.6M $
21Vistra Corp 34,8005.2M $
22Enterprise Products Partners LP 134,8865.1M $
23Equinix Inc 5,1605.1M $
24Energy Transfer LP 255,2004.9M $
25ConocoPhillips 37,3044.9M $
26Costco Wholesale Corp 4,6814.7M $
27Oracle Corp 31,0254.6M $
28MPLX LP 79,3974.5M $
29ONEOK Inc 50,0724.5M $
30Baker Hughes Co 70,5004.3M $
31TALEN ENERGY CORP 12,8504.1M $
32Applied Materials Inc 11,9204.1M $
33Plains All American Pipeline L 182,3004.1M $
34Digital Realty Trust Inc 22,4314M $
35AbbVie Inc 18,5004M $
36McKesson Corp 4,6204M $
37Entergy Corp 35,5504M $
38Iron Mountain Inc 38,4503.9M $
39Prologis Inc 29,6513.9M $
40Hess Midstream LP 99,8373.9M $
41Western Midstream Partners LP 91,6503.8M $
42Vertiv Holdings Co 14,2003.6M $
43Walmart Inc 28,1023.5M $
44PPL Corp 86,4503.3M $
45Texas Pacific Land Corp 6,7453.2M $
46Simon Property Group Inc 16,8503.1M $
47Deere & Co 5,5603.1M $
48Duke Energy Corp 23,4003.1M $
49BP PLC 61,3612.9M $
50Diamondback Energy Inc 14,3002.8M $
51EOG Resources Inc 19,5002.8M $
52Eli Lilly & Co 3,0152.8M $
53Ventas Inc 32,3502.6M $
54WEC Energy Group Inc 21,3002.5M $
55Citigroup Inc 21,2502.4M $
56VICI Properties Inc 86,3702.4M $
57Goldman Sachs Group Inc/The 2,7652.3M $
58American Electric Power Co Inc 17,7002.3M $
59DTE Energy Co 15,7002.3M $
60Tesla Inc 6,1252.3M $
61Visa Inc 7,4502.3M $
62Oklo Inc 45,0502.2M $
63Crowdstrike Holdings Inc 5,6252.2M $
64Public Storage 7,9252.1M $
65Coterra Energy Inc 60,5002.1M $
66Berkshire Hathaway Inc 4,3952.1M $
67Netflix Inc 21,6502.1M $
68Omega Healthcare Investors Inc 47,0002.1M $
69Meta Platforms Inc 3,5802M $
70Xcel Energy Inc 25,5002M $
71Honeywell International Inc 8,8502M $
72Cummins Inc 3,6001.9M $
73Realty Income Corp 31,6331.9M $
74Sempra 19,8001.9M $
75Occidental Petroleum Corp 29,1001.9M $
76PBF Energy Inc 39,2501.9M $
77Broadcom Inc 6,0251.9M $
78Home Depot Inc/The 5,6381.9M $
79Advanced Micro Devices Inc 9,1001.9M $
80Blackstone Inc 16,0001.8M $
81Devon Energy Corp 36,4501.8M $
82Ameren Corp 16,4501.8M $
83FirstEnergy Corp 35,4501.8M $
84CMS Energy Corp 23,0001.8M $
85NiSource Inc 37,3001.7M $
86Verizon Communications Inc 34,0401.7M $
87Public Service Enterprise Group Inc 21,1001.7M $
88HF Sinclair Corp 27,1761.7M $
89Terreno Realty Corp 25,8751.6M $
90Texas Instruments Inc 8,1001.6M $
91Exelon Corp 31,3001.5M $
92American Express Co 5,0001.5M $
93EQT Corp 23,0001.5M $
94Evergy Inc 17,7501.5M $
95Extra Space Storage Inc 10,8801.4M $
96STAG Industrial Inc 38,9501.4M $
97AvalonBay Communities, Inc. 8,5901.4M $
98Walt Disney Co/The 14,5001.4M $
99Eversource Energy 20,0501.4M $
100Essential Utilities Inc 34,3501.4M $