Titelia

Holdings of Meiji Yasuda Asset Management Co Ltd.

515 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 23.1 % of the equity sleeve

Sector breakdown

  • Technology 20.7 %
  • Financials 9.0 %
  • Health care 8.8 %
  • Industrials 8.6 %
  • Consumer discretionary 7.8 %
  • Communication 7.7 %
  • Consumer staples 7.7 %
  • Utilities 4.1 %
  • Energy 3.0 %
  • Materials 2.7 %
  • Real estate 2.1 %
  • Unattributed 17.8 %

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 99.5 %
  • TW 0.4 %
  • GB 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US5131.9B $99.48 %
2TW17.6M $0.39 %
3GB12.4M $0.12 %

Positions

RankCompanySharesValueWeight
1NVIDIA Corp 491,00885.6M $
2Apple Inc 277,54870.4M $
3Microsoft Corp 153,10556.7M $
4Alphabet Inc 182,12752.4M $
5Amazon.com Inc 185,29738.6M $
6Broadcom Inc 98,85430.6M $
7Exxon Mobil Corp 173,48429.4M $
8AbbVie Inc 131,87828.7M $
9Verizon Communications Inc 567,16128.5M $
10Meta Platforms Inc 43,81025.1M $
11Johnson & Johnson 100,42424.5M $
12JPMorgan Chase & Co 75,81822.3M $
13Procter & Gamble Co/The 145,90521.1M $
14Coca-Cola Co/The 271,75820.7M $
15Walmart Inc 163,55020.3M $
16Visa Inc 63,73119.3M $
17PepsiCo Inc 115,83618M $
18NextEra Energy Inc 191,31917.8M $
19Robert Half Inc 695,45017.7M $
20Edison International 238,69517.5M $
21Tesla Inc 46,70417.4M $
22Realty Income Corp 279,59017.1M $
23Home Depot Inc/The 44,33814.6M $
24Eli Lilly & Co 15,24214M $
25Target Corp 114,25813.8M $
26Best Buy Co Inc 206,84113.3M $
27Sonoco Products Co 242,09213.1M $
28Cummins Inc 23,57712.7M $
29TJX Cos Inc/The 76,97312.3M $
30Franklin Resources Inc 518,83712.3M $
31Kimberly-Clark Corp 126,23112.2M $
32Texas Instruments Inc 59,50811.6M $
33Clorox Co/The 108,33611.2M $
34Hormel Foods Corp 488,63211.1M $
35Federal Realty Investment Trust 104,16311.1M $
36Alphabet Inc 38,12910.9M $
37US Bancorp 203,49210.6M $
38T Rowe Price Group Inc 115,59810.4M $
39Blackrock Inc 10,82510.4M $
40Consolidated Edison Inc 91,96310.4M $
41Eversource Energy 150,14310.4M $
42Spire Inc 113,87110.3M $
43J M Smucker Co/The 104,77310.1M $
44Ecolab Inc 37,51110M $
45Archer-Daniels-Midland Co 134,2619.8M $
46Palantir Technologies Inc 65,5069.6M $
47CH Robinson Worldwide Inc 57,4519.5M $
48Chevron Corp 46,0329.5M $
49EOG Resources Inc 65,2779.4M $
50Westlake Corp 79,4789.3M $
51American Express Co 30,6299.3M $
52ONE Gas Inc 106,1919.1M $
53Republic Services Inc 41,5809.1M $
54Booking Holdings Inc 2,1629.1M $
55Citigroup Inc 80,2029.1M $
56Stanley Black & Decker Inc 127,7499.1M $
57Essential Utilities Inc 223,2689M $
58Essex Property Trust Inc 37,0949M $
59Air Products and Chemicals Inc 30,6748.9M $
60WW Grainger Inc 7,7888.5M $
61Colgate-Palmolive Co 98,0208.4M $
62Caterpillar Inc 11,7568.3M $
63Equity LifeStyle Properties Inc 132,8538.3M $
64Avista Corp 206,3688.3M $
65Abbott Laboratories 80,6318.3M $
66Welltower Inc 40,2588M $
67Polaris Inc 145,4167.9M $
68Illinois Tool Works Inc 30,3767.9M $
69UnitedHealth Group Inc 29,0557.9M $
70Charles Schwab Corp/The 82,7447.8M $
71Cisco Systems, Inc. 98,1797.6M $
72Philip Morris International Inc. 46,0037.6M $
73Analog Devices Inc 23,8227.6M $
74Taiwan Semiconductor Manufacturing Co Ltd 22,4027.6M $
75Merck & Co Inc 62,4477.5M $
76National Fuel Gas Co 78,9067.4M $
77Berkshire Hathaway Inc 15,2567.3M $
78QUALCOMM Inc 55,8467.2M $
79Sysco Corp 100,1117.1M $
80S&P Global Inc 16,4577M $
81Lowe's Cos Inc 29,1486.9M $
82PPG Industries Inc 63,0756.7M $
83Automatic Data Processing Inc 33,0776.7M $
84GE Vernova Inc 7,6666.7M $
85Netflix Inc 69,4856.7M $
86American States Water Co 88,2466.7M $
87Fastenal Co 142,5526.6M $
88AMETEK Inc 30,7106.6M $
89Thermo Fisher Scientific Inc 13,1616.5M $
90Aflac Inc 58,3006.4M $
91NIKE Inc 119,0056.3M $
92Lockheed Martin Corp 10,3036.2M $
93Palo Alto Networks Inc 38,1526.1M $
94Sempra 62,9266.1M $
95Keysight Technologies Inc 21,5636.1M $
96California Water Service Group 134,1166.1M $
97McDonald's Corp. 19,4826.1M $
98Badger Meter Inc 39,2856M $
99International Business Machines Corp. 24,1465.9M $
100Microchip Technology Inc 90,4385.8M $