Titelia

Holdings of Hills Bank & Trust Co

305 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 60.2 % of the equity sleeve

Sector breakdown

  • Technology 8.4 %
  • Financials 4.1 %
  • Industrials 3.2 %
  • Communication 2.8 %
  • Health care 2.6 %
  • Consumer discretionary 2.6 %
  • Consumer staples 2.1 %
  • Funds 1.2 %
  • Utilities 0.7 %
  • Energy 0.6 %
  • Materials 0.3 %
  • Real estate 0.2 %
  • Unattributed 71.0 %

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 99.8 %
  • NL 0.1 %
  • GB 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US3021.7B $99.83 %
2NL11.5M $0.09 %
3GB21.3M $0.08 %

Positions

RankCompanySharesValueWeight
201Kinsale Capital Group Inc 1,054360.1K $
202ConocoPhillips 2,682354K $
203Lockheed Martin Corp 578349.3K $
204Micron Technology Inc 1,026346.6K $
205Sherwin-Williams Co/The 1,056338.5K $
206iShares ESG Aware MSCI USA Small-Cap ETF 7,149336.1K $
207iShares iBonds Dec 2029 Term C 14,430335.6K $
2083M Co 2,277330.7K $
209VANGUARD DIVIDEND APPRECIATION VANGUARD DIVIDEND APPREC ETF 1,531329.3K $
210FedEx Corp 914325.5K $
211PayPal Holdings Inc 7,090320.7K $
212Zimmer Biomet Holdings Inc 3,540320.1K $
213iShares Trust 13,868317.8K $
214Casey's General Stores Inc 435316.6K $
215Halliburton Co 7,905308.2K $
216Roper Technologies Inc 869307.5K $
217eBay Inc 3,193290.6K $
218Altria Group, Inc. 4,398290.2K $
219iShares Short-Term National Muni Bond ETF 2,702287.8K $
220Rockwell Automation Inc 787282.4K $
221Dover Corp 1,350281.4K $
222Vanguard Tax-Exempt Bond Index ETF 5,614280.1K $
223Howard Hughes Holdings Inc 4,421279.7K $
224iShares Trust 12,370277.5K $
225Waters Corp 925275.5K $
226United Rentals Inc 377274.7K $
227iShares iBonds Dec 2032 Term C 10,537266.3K $
228T-Mobile US Inc 1,259264.4K $
229Clorox Co/The 2,542263.4K $
230Quest Diagnostics Inc 1,334261.4K $
231iShares Core S&P 500 ETF 399260.6K $
232iShares MSCI Emerging Markets ETF 4,479254.4K $
233iShares Trust 1,146242K $
234UnitedHealth Group Inc 889240.6K $
235Trimble Inc 3,677239.9K $
236American Electric Power Co Inc 1,817238.2K $
237BP PLC 4,988234.4K $
238iShares Core U.S. Aggregate Bond ETF 2,346232.9K $
239Lam Research Corp 1,087232.2K $
240iShares Select Dividend ETF 1,510228.6K $
241Dimensional ETF Trust 5,841227K $
242Akamai Technologies Inc 1,953224.3K $
243Fortive Corp 4,044223.6K $
244Palantir Technologies Inc 1,519222.2K $
245Novartis AG 1,412215.7K $
246Expeditors International of Washington Inc 1,495214.1K $
247JPMorgan Ultra-Short Income ETF 4,174211.2K $
248Williams Cos Inc/The 2,854207.7K $
249Synopsys Inc 514203.8K $
250Texas Instruments Inc 1,014196.9K $
251WEC Energy Group Inc 1,686195.2K $
252Goldman Sachs Group Inc/The 226191.2K $
253Verisk Analytics Inc 993188.4K $
254Pool Corp 930188.2K $
255State Street SPDR Portfolio Developed World ex-US ETF 4,055185.1K $
256Waste Management Inc 804184.8K $
257Vanguard Information Technology ETF 262182.8K $
258JPMorgan Ultra-Short Municipal Income ETF 3,574182.2K $
259Manhattan Associates Inc 1,337178K $
260iShares Core MSCI EAFE ETF 1,964177.8K $
261Quanta Services Inc 321176.2K $
262Nicolet Bankshares Inc 1,132168.2K $
263Principal Financial Group Inc 1,854167.1K $
264Intuit Inc 385166.5K $
265iShares Trust 1,283164.4K $
266Consolidated Edison Inc 1,375155.6K $
267iShares Trust 725154.9K $
268Qnity Electronics Inc 1,331153.6K $
269iShares Trust 3,266148.2K $
270Grayscale Bitcoin Mini Trust E 4,880146.4K $
271Carrier Global Corp 2,590145.8K $
272Hormel Foods Corp 6,167139.7K $
273Vanguard Short-term Bond Etf 1,777139.3K $
274Cintas Corp 823139.2K $
275Hershey Co/The 660137.2K $
276Bloom Energy Corp 1,000135.5K $
277Vanguard Intermediate-Term Corporate Bond ETF 1,574130.2K $
278SEI Investments Co 1,648129.3K $
279Constellation Brands Inc 856128.4K $
280CH Robinson Worldwide Inc 732121.6K $
281Kinder Morgan, Inc. 3,606120.9K $
282iShares Trust 5,878119.9K $
283KKR & Co Inc 1,293119.6K $
284Adobe Inc 489118.9K $
285Vanguard Large-Cap ETF 395118K $
286MetLife Inc 1,630115.3K $
287Genuine Parts Co 1,075113.7K $
288ONEOK Inc 1,254113.3K $
289Marathon Petroleum Corp 460112.3K $
290MDU Resources Group Inc 5,407112K $
291Starbucks Corp 1,249111.9K $
292American Water Works Co Inc 815110.9K $
293DTE Energy Co 758110.8K $
294Gilead Sciences Inc 795110.8K $
295Sempra 1,139110.7K $
296Target Corp 912110.5K $
297iShares National Muni Bond ETF 1,039110.3K $
298LKQ Corp 3,652107.3K $
299Darden Restaurants Inc 537105.3K $
300Constellation Energy Corp. 373104.2K $