Titelia

Holdings of Stanley-Laman Group, Ltd.

183 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 22.2 % of the equity sleeve

Sector breakdown

  • Technology 27.6 %
  • Industrials 12.3 %
  • Health care 6.7 %
  • Communication 5.9 %
  • Financials 5.3 %
  • Consumer discretionary 4.7 %
  • Energy 2.7 %
  • Consumer staples 2.6 %
  • Utilities 2.1 %
  • Materials 1.5 %
  • Funds 1.3 %
  • Real estate 1.2 %
  • Unattributed 26.2 %

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 92.9 %
  • NL 2.1 %
  • GB 2.1 %
  • TW 1.7 %
  • ZA 0.6 %
  • BR 0.6 %
  • CH 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US175581.5M $92.86 %
2NL113M $2.08 %
3GB212.9M $2.07 %
4TW110.6M $1.70 %
5ZA13.8M $0.61 %
6BR13.6M $0.58 %
7CH2691.1K $0.11 %

Positions

RankCompanySharesValueWeight
101Amphenol Corp 15,1021.9M $
102Realty Income Corp 29,3031.8M $
103Alibaba Group Holding Ltd 13,0001.6M $
104Corning Inc 11,5291.6M $
105Devon Energy Corp 28,6511.4M $
106Delta Air Lines Inc 20,9421.4M $
107Palo Alto Networks Inc 8,6631.4M $
108MercadoLibre Inc 8001.4M $
109Vanguard FTSE Developed Markets ETF 20,3511.3M $
110WeRide Inc 154,2811.2M $
111NextEra Energy Inc 13,2911.2M $
112Netflix Inc 11,9501.1M $
113iShares Russell 1000 Growth ETF 2,6921.1M $
114Marriott International Inc/MD 3,3901.1M $
115Sea Ltd 12,000993.7K $
116iShares Core S&P Mid-Cap ETF 14,435974.8K $
117Bank of New York Mellon Corp/The 7,361873.2K $
118Berkshire Hathaway Inc 1718.1K $
119Merck & Co Inc 5,916711.6K $
120State Street SPDR S&P 500 ETF Trust 1,086706.4K $
121MasTec Inc 2,136687.2K $
122Home Depot Inc/The 2,083685.1K $
123Keysight Technologies Inc 2,422683.9K $
124Zoetis Inc 5,387636.8K $
125Quanta Services Inc 1,103605.6K $
126AMETEK Inc 2,693577.3K $
127MSCI Inc 1,058570.3K $
128American Express Co 1,857561.7K $
129American Electric Power Co Inc 4,227554.1K $
130Southern Copper Corp 3,167544.9K $
131Vanguard Small-Cap ETF 2,036533.3K $
132State Street SPDR NYSE Technology ETF 3,906519.1K $
133ABB Ltd 6,117492.3K $
134iShares Trust 2,216473.5K $
135EMCOR Group Inc 634468.1K $
136ServiceNow Inc 4,225441.7K $
137Vanguard Large-Cap ETF 1,469439.1K $
138SPX Technologies Inc 2,176435.1K $
139iShares 0-1 Year Treasury Bond ETF 3,934434.3K $
140Rockwell Automation Inc 1,195428.9K $
141Vanguard Bond Index Funds 5,179428.5K $
142iShares Trust 3,535419.3K $
143Deere & Co 733412.9K $
144Emerson Electric Co. 3,036397.8K $
145Starbucks Corp 4,425396.4K $
146iShares Trust 4,777394.4K $
147iShares Trust 4,121393.3K $
148Hershey Co/The 1,818377.9K $
149Blackrock Inc 385370.3K $
150Constellation Energy Corp. 1,308365.3K $
151Solstice Advanced Materials Inc 4,782364.2K $
152International Business Machines Corp. 1,500363.6K $
153International Paper Co 10,093360.3K $
154S&P Global Inc 841357.7K $
155Walmart Inc 2,860355.4K $
156Vanguard International Equity Index Funds 6,390345.4K $
157Univest Financial Corp 9,884338.6K $
158Visa Inc 1,090329.4K $
159Berkshire Hathaway Inc 681326.3K $
160Vistra Corp 2,150323.2K $
161Novartis AG 2,000305.5K $
162Vanguard Mid-Cap ETF 1,046300.4K $
163CME Group Inc 987291.5K $
164iShares Core S&P Small-Cap ETF 2,264281.4K $
165Vanguard Total Stock Market ETF 867278.2K $
166Alphabet Inc 924265.1K $
167McDonald's Corp. 826256.7K $
168TALEN ENERGY CORP 802256K $
169Vertex Pharmaceuticals Inc 553246.9K $
170ProShares Trust 2,210234.3K $
171Synopsys Inc 588233.1K $
172Sensient Technologies Corp 2,667230.5K $
173Vanguard Total International S 2,986230.2K $
174Vanguard Financials ETF 1,834221.6K $
175Stryker Corp 665218.5K $
176INVESCO EXCHANGE-TRADED FUND TRUST II 891211.7K $
177Johnson & Johnson 825201.7K $
178Roche Holding AG 4,000198.8K $
179Elevance Health Inc 666195K $
180Boston Scientific Corp 2,763173.4K $
181Enterprise Products Partners LP 4,102155.2K $
182Bridger Aerospace Group Holdings Inc 28,57556.6K $
183Eagle Pharmaceuticals Inc/DE 12,0004.1K $