Titelia

Holdings of Inspire Investing, LLC

300 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 30.9 % of the equity sleeve

Sector breakdown

  • Technology 29.6 %
  • Industrials 14.9 %
  • Consumer discretionary 6.3 %
  • Energy 6.2 %
  • Financials 5.7 %
  • Materials 4.7 %
  • Real estate 4.5 %
  • Utilities 4.2 %
  • Health care 2.1 %
  • Consumer staples 1.2 %
  • Communication 0.4 %
  • Unattributed 20.2 %

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 100.0 %
  • BR 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US299482M $100.00 %
2BR164 $0.00 %

Positions

RankCompanySharesValueWeight
1Broadcom Inc 223,09069M $
2Home Depot Inc/The 46,78415.4M $
3Palantir Technologies Inc 91,52113.4M $
4Caterpillar Inc 18,82713.3M $
5KLA Corp 5,0137.4M $
6Arista Networks Inc 54,2296.7M $
7Amphenol Corp 49,4386.2M $
8QUALCOMM Inc 47,1076.1M $
9Welltower Inc 28,8245.7M $
10Prologis Inc 42,7015.6M $
11Progressive Corp/The 27,9885.5M $
12Southern Copper Corp 31,8785.5M $
13Parker-Hannifin Corp 5,7545.2M $
14Newmont Corp 44,6904.8M $
15AppLovin Corp 11,6274.6M $
16Freeport-McMoRan Inc 78,0054.6M $
17Interactive Brokers Group Inc 68,3414.6M $
18Intercontinental Exchange Inc 26,7874.2M $
19Waste Management Inc 18,1054.2M $
20United Parcel Service Inc 38,9123.8M $
21Automatic Data Processing Inc 18,6483.8M $
22EOG Resources Inc 25,9803.8M $
23MSCI Inc 6,9063.7M $
24Roper Technologies Inc 10,0163.5M $
25Vertiv Holdings Co 14,0113.5M $
26O'Reilly Automotive Inc 37,9663.5M $
27Mondelez International Inc 58,8033.4M $
28Western Digital Corp 12,2733.3M $
29Valero Energy Corp 12,9973.2M $
30CSX Corp 76,9893.2M $
31Kinder Morgan, Inc. 94,0283.2M $
32Republic Services Inc 14,0963.1M $
33Cintas Corp 18,0453.1M $
34Marvell Technology Inc 30,7753M $
35Devon Energy Corp 59,0003M $
36Occidental Petroleum Corp 42,9652.8M $
37PACCAR Inc 23,8282.8M $
38Simon Property Group Inc 14,4022.7M $
39Norfolk Southern Corp 9,3132.7M $
40Digital Realty Trust Inc 14,7202.7M $
41IQVIA Holdings Inc 15,4192.6M $
42Baker Hughes Co 41,8772.6M $
43AutoZone Inc 7512.5M $
44Aflac Inc 23,0622.5M $
45ONEOK Inc 27,9662.5M $
46Diamondback Energy Inc 12,5772.5M $
47Fastenal Co 51,0792.4M $
48Targa Resources Corp 9,3272.3M $
49Snowflake Inc 15,4312.3M $
50AMETEK Inc 10,5042.3M $
51Monolithic Power Systems Inc 2,0522.2M $
52Vistra Corp 14,6812.2M $
53Public Storage 8,1032.2M $
54United Rentals Inc 2,9522.2M $
55Entergy Corp 18,8292.1M $
56IDEXX Laboratories Inc 3,7062.1M $
57Ciena Corp 5,2082M $
58DR Horton Inc 14,6322M $
59Old Dominion Freight Line Inc 10,2092M $
60Comfort Systems USA Inc 1,3891.9M $
61Ubiquiti Inc 2,4221.9M $
62Coinbase Global Inc 10,8731.9M $
63Nucor Corp 11,0291.9M $
64Teradyne Inc 6,2661.9M $
65TKO Group Holdings Inc 8,9131.8M $
66Datadog Inc 15,1611.8M $
67Consolidated Edison Inc 15,6611.8M $
68EQT Corp 26,1371.7M $
69Archer-Daniels-Midland Co 22,7211.7M $
70Strategy Inc 13,1691.6M $
71Ventas Inc 20,0351.6M $
72Microchip Technology Inc 24,9971.6M $
73Paychex Inc 17,3901.6M $
74Martin Marietta Materials Inc 2,7131.6M $
75Vulcan Materials Co 5,8161.6M $
76Copart Inc 47,4871.6M $
77WEC Energy Group Inc 13,6051.6M $
78Crown Castle Inc 19,1891.6M $
79ResMed Inc 6,7741.5M $
80Texas Pacific Land Corp 3,0311.4M $
81EMCOR Group Inc 1,9311.4M $
82Ingersoll Rand Inc 17,4721.4M $
83Dover Corp 6,6121.4M $
84Halliburton Co 34,1511.3M $
85Extra Space Storage Inc 10,0421.3M $
86DTE Energy Co 8,9241.3M $
87Verisk Analytics Inc 6,8761.3M $
88Dexcom Inc 20,6081.3M $
89Atmos Energy Corp 6,9841.3M $
90Cboe Global Markets Inc 4,5141.3M $
91Edison International 17,2051.3M $
92American Water Works Co Inc 9,2321.3M $
93FirstEnergy Corp 24,7351.3M $
94Dollar General Corp 10,5071.2M $
95Mettler-Toledo International Inc 9891.2M $
96Jabil Inc 4,6661.2M $
97Veeva Systems Inc 7,0481.2M $
98Coterra Energy Inc 34,9301.2M $
99CenterPoint Energy Inc 28,3661.2M $
100Align Technology Inc 7,0351.2M $