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
301Public Storage 2,179590.2K $
302Illumina Inc 4,725582.4K $
303Comfort Systems USA Inc 420579.2K $
304American Tower Corp 3,290567.8K $
305Broadridge Financial Solutions Inc 3,487566.6K $
306iShares MBS ETF 5,953565.2K $
307Dick's Sporting Goods Inc 2,826560.4K $
308General Mills, Inc. 14,838552.3K $
309Autodesk Inc 2,304551.6K $
310Watsco Inc 1,510549.3K $
311Incyte Corp 5,704536.9K $
312Ciena Corp 1,371532.3K $
313Omnicom Group Inc 7,054531.2K $
314Synchrony Financial 7,781529.3K $
315NetApp Inc 5,131525.4K $
316XPO Inc 2,699525.1K $
317WP Carey Inc 7,651520K $
318Northern Trust Corp 3,711517.9K $
319Baker Hughes Co 8,483517.9K $
320Burlington Stores Inc 1,577513.1K $
321Blackstone Inc 4,431509.5K $
322Williams-Sonoma Inc 2,782507.2K $
323Fidelity National Financial Inc 10,812501.5K $
324Monolithic Power Systems Inc 457499.7K $
325Tractor Supply Co 10,928495K $
326Ball Corp 8,338492.9K $
327Intel Corp 11,166492.8K $
328Woodward Inc 1,373491.4K $
329Hilton Worldwide Holdings Inc 1,610489.6K $
330Electronic Arts Inc 2,397488.7K $
331General Motors Co 6,542487.4K $
332Twilio Inc 3,832482.1K $
333Snowflake Inc 3,136473K $
334US Foods Holding Corp 5,088469.2K $
335Intercontinental Exchange Inc 2,906457.1K $
336MasTec Inc 1,415455.3K $
337ATI Inc 3,129455.1K $
338Quest Diagnostics Inc 2,322455.1K $
339Equitable Holdings Inc 12,216453.3K $
340Teledyne Technologies Inc 749453.2K $
341Carpenter Technology Corp 1,147452.1K $
342Entegris Inc 3,849451.3K $
343W R Berkley Corp 6,804451K $
344Darden Restaurants Inc 2,286448.1K $
345BioMarin Pharmaceutical Inc 7,780439.5K $
346BWX Technologies Inc 2,109431.3K $
347Principal Financial Group Inc 4,718425.1K $
348Gaming and Leisure Properties Inc 9,550423.7K $
349NVR Inc 64421.7K $
350DoorDash Inc 2,775416.7K $
351Nextpower Inc 3,425412.9K $
352Alliant Energy Corp 5,706409.5K $
353Snap-on Inc 1,109402.8K $
354Kraft Heinz Co/The 17,854401.5K $
355Evergy Inc 4,870399K $
356Sun Communities Inc 3,164398.5K $
357Phillips 66 2,182397.5K $
358Alcoa Corp 5,974396.3K $
359RBC Bearings Inc 729395.9K $
360Entergy Corp 3,479390.9K $
361Invitation Homes Inc 15,689389.9K $
362Allstate Corp/The 1,854384.4K $
363Tenet Healthcare Corp 2,027382.5K $
364Ovintiv Inc 6,406380.3K $
365Packaging Corp of America 1,783378.4K $
366ITT Inc 1,984378K $
367Annaly Capital Management Inc 17,868377.9K $
368CDW Corp/DE 3,060370.3K $
369HP Inc 19,215369.1K $
370Moody's Corp 846369.1K $
371Fortinet Inc 4,500367.7K $
372Cadence Design Systems Inc 1,322367.3K $
373Targa Resources Corp 1,464367.1K $
374ON Semiconductor Corp 5,894365K $
375Permian Resources Corp 17,080364.1K $
376Genuine Parts Co 3,440363.8K $
377API Group Corp 8,852358.7K $
378Somnigroup International Inc 4,843358K $
379Masco Corp 5,912356.9K $
380Graco Inc 4,208356.2K $
381MKS Inc 1,550356.2K $
382Extra Space Storage Inc 2,700354.1K $
383Lennar Corp 4,057352.3K $
384IDEX Corp 1,852351K $
385VeriSign Inc 1,393346K $
386East West Bancorp Inc 3,174338.9K $
387Kimco Realty Corp 15,036337.9K $
388TransUnion 4,881337.7K $
389Okta Inc 4,281337K $
390TALEN ENERGY CORP 1,054336.5K $
391Workday Inc 2,576334.7K $
392Teradyne Inc 1,122332.6K $
393Clean Harbors Inc 1,159332.3K $
394Jones Lang LaSalle Inc 1,089331.4K $
395MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC 1,488330.4K $
396Pinnacle Financial Partners Inc 3,813328.5K $
397DT Midstream Inc 2,346315.9K $
398Carlyle Group Inc/The 6,513315.2K $
399Regeneron Pharmaceuticals, Inc. 404312.1K $
400New York Times Co/The 3,727312.1K $