Titelia

Holdings of CANADA LIFE ASSURANCE Co

· Original filing · Compare with another fund · Report an error

Net assets
-
Positions
1,717 in 15 countries
Top ten
32.4 % of the equity sleeve
Filed on
Mar 31, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
601Masco Corp 101,5436.1K $
602Americold Realty Trust Inc 533,9906.1K $
603Medical Properties Trust Inc 1,319,0266.1K $
604Highwoods Properties Inc 284,8936.1K $
605Sanmina Corp 46,9896.1K $
606ESCO Technologies Inc 21,5126.1K $
607Flowserve Corp 82,6416.1K $
608Match Group Inc 196,9466.1K $
609Armstrong World Industries Inc 36,6666K $
610TTM Technologies Inc 61,7126K $
611Applied Industrial Technologies Inc 22,4516K $
612Domino's Pizza Inc 16,5806K $
613Semtech Corp 77,4226K $
614Rapid7 Inc 1,079,6075.9K $
615Dycom Industries Inc 17,4955.9K $
616Darling Ingredients Inc 95,4295.9K $
617Vanguard FTSE Developed Markets ETF 91,8165.9K $
618Onto Innovation Inc 28,6575.9K $
619Lamb Weston Holdings Inc 138,3845.9K $
620SM Energy Co 186,5845.8K $
621Encompass Health Corp 59,8205.8K $
622OneSpan Inc 549,7925.8K $
623Molina Healthcare Inc 43,3135.8K $
624American States Water Co 75,8685.8K $
625Air Lease Corp 88,1875.7K $
626Sabra Health Care REIT Inc 296,4075.7K $
627TopBuild Corp 16,1965.7K $
628Plug Power Inc 2,503,3715.6K $
629Q2 Holdings Inc 118,6675.6K $
630OGE Energy Corp 116,9815.6K $
631Federal Signal Corp 51,8075.6K $
632Hasbro Inc 59,6995.6K $
633MarketAxess Holdings Inc 33,9095.6K $
634SEI Investments Co 71,1365.6K $
635JBT Marel Corp 43,4955.6K $
636RingCentral Inc 149,1145.6K $
637Houlihan Lokey Inc 38,5625.5K $
638Krystal Biotech Inc 21,4135.5K $
639Globus Medical Inc 64,0145.5K $
640Lincoln National Corp 154,8235.5K $
641Lear Corp 45,1635.5K $
642GameStop Corp 235,8875.4K $
643Ryder System Inc 26,5125.4K $
644Sealed Air Corp 128,9085.4K $
645Rocket Cos Inc 378,7935.4K $
646First Citizens BancShares Inc/NC 2,8695.4K $
647Littelfuse Inc 15,9675.4K $
648Northwestern Energy Group Inc 81,5275.4K $
649Chart Industries Inc 25,8895.4K $
650Saia Inc 15,2515.4K $
651Wintrust Financial Corp 38,5295.4K $
652Viasat Inc 116,7935.4K $
653Generac Holdings Inc 27,3115.4K $
654Rambus Inc 62,1305.3K $
655Old Republic International Corp 133,2075.3K $
656Silicon Laboratories Inc 25,4805.3K $
657Rithm Capital Corp 559,0175.3K $
658Appfolio Inc 33,5765.3K $
659InterDigital Inc 17,4395.3K $
660Mosaic Co/The 205,8885.3K $
661Cullen/Frost Bankers Inc 38,3115.3K $
662Lyft Inc 394,3045.3K $
663Zions Bancorp NA 91,0395.3K $
664Western Alliance Bancorp 74,0425.2K $
665National Fuel Gas Co 55,5885.2K $
666Main Street Capital Corp. 97,6055.2K $
667Archrock Inc 149,0215.2K $
668Brinker International Inc 36,1585.2K $
669Glaukos Corp 47,9135.2K $
670Columbia Banking System Inc 187,5515.1K $
671TAL Education Group 451,2015.1K $
672UGI Corp 140,4035.1K $
673Autoliv Inc 48,3815.1K $
674Arrowhead Pharmaceuticals Inc 80,8075.1K $
675Enphase Energy Inc 133,7505.1K $
676Old National Bancorp/IN 228,1965K $
677Moog Inc 17,1665K $
678Acuity Inc 17,8835K $
679News Corp 200,6535K $
680CarMax Inc 120,3195K $
681Installed Building Products Inc 18,8225K $
682SPS Commerce Inc 90,0035K $
683Protagonist Therapeutics Inc 47,4405K $
684BlackLine Inc 134,9755K $
685Arrow Electronics Inc 34,6405K $
686Sprouts Farmers Market Inc 63,4384.9K $
687OneMain Holdings Inc 91,0584.9K $
688Universal Health Services Inc 27,1504.9K $
689Affiliated Managers Group Inc 17,4404.8K $
690Textron Inc 54,9274.8K $
691AptarGroup Inc 38,1004.8K $
692Valmont Industries Inc 11,9654.8K $
693Watts Water Technologies Inc 16,4354.8K $
694Madison Square Garden Sports Corp 14,7754.8K $
695Magnolia Oil & Gas Corp 150,0094.7K $
696BILL Holdings Inc 123,5144.7K $
697Moelis & Co 82,6934.7K $
698Masimo Corp 26,4434.7K $
699StoneX Group Inc 58,2374.7K $
700AeroVironment Inc 25,6104.7K $

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Sector breakdown

  • Technology 29.3 %
  • Financials 10.9 %
  • Communication 10.1 %
  • Consumer discretionary 9.8 %
  • Health care 9.6 %
  • Industrials 4.9 %
  • Consumer staples 3.9 %
  • Real estate 3.7 %
  • Energy 2.9 %
  • Utilities 2.7 %
  • Materials 1.6 %
  • Unattributed 10.7 %

Titelia assigns each company to a sector, one by one. The unassigned share stays visible, under "Unattributed".

Currency breakdown

  • USD 100.0 %

Each line is counted in its quoted currency, as the fund declares it.

Country breakdown

  • United States 98.9 %
  • Taiwan 0.7 %
  • Ireland 0.1 %
  • Cayman Islands 0.1 %
  • Brazil 0.1 %
  • Israel 0.1 %
  • Chile 0.0 %
  • Mexico 0.0 %
  • Netherlands 0.0 %
  • China 0.0 %
  • Hong Kong SAR China 0.0 %
  • Peru 0.0 %

Shares are computed on the fund's equities only.

RankCountryLinesValueShare
1United States1,69451.6M $98.86 %
2Taiwan1344.5K $0.66 %
3Ireland159.8K $0.11 %
4Cayman Islands459.6K $0.11 %
5Brazil538.7K $0.07 %
6Israel235.9K $0.07 %
7Chile121.7K $0.04 %
8Mexico210.3K $0.02 %
9Netherlands18.5K $0.02 %
10China17.6K $0.01 %
11Hong Kong SAR China14.4K $0.01 %
12Peru13K $0.01 %
Cite this page

Titelia. "Holdings of CANADA LIFE ASSURANCE Co". https://titelia.com/en/funds/US13F1046192