Titelia

Holdings of DeDora Capital, Inc.

108 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 52.5 % of the equity sleeve

Sector breakdown

  • Technology 12.6 %
  • Funds 10.3 %
  • Consumer discretionary 5.7 %
  • Communication 5.1 %
  • Health care 4.6 %
  • Financials 4.5 %
  • Industrials 3.5 %
  • Consumer staples 2.7 %
  • Utilities 0.6 %
  • Energy 0.1 %
  • Real estate 0.1 %
  • Materials 0.1 %
  • Unattributed 50.0 %

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 %
  • JP 0.1 %
  • FI 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US106367.3M $99.82 %
2JP1469.9K $0.13 %
3FI1206.7K $0.06 %

Positions

RankCompanySharesValueWeight
1Vanguard High Dividend Yield E 210,14731.1M $
2Vanguard Growth ETF 65,93428.8M $
3Fidelity Total Bond ETF 571,15126.1M $
4iShares Core S&P 500 ETF 35,65223.3M $
5Vanguard Small-Cap ETF 79,56220.8M $
6Capital Group International Focus Equity ETF 603,96617.8M $
7Vanguard S&P 500 ETF 23,91314.3M $
8Apple Inc 54,42113.8M $
9Invesco S&P 500 Equal Weight ETF 46,5388.9M $
10NVIDIA Corp 47,9448.4M $
11J P Morgan Exchange Traded Fund Trust 141,4768M $
12Amazon.com Inc 36,5887.6M $
13Microsoft Corp 18,7837M $
14Tesla Inc 18,3566.8M $
15Alphabet Inc 22,9446.6M $
16Broadcom Inc 21,0916.5M $
17SPDR Gold MiniShares Trust 68,5616.4M $
18Alphabet Inc 20,5095.9M $
19Invesco QQQ Trust Series 1 9,7205.6M $
20JPMorgan Chase & Co 18,6085.5M $
21J P Morgan Exchange Traded Fund Trust 75,3124.8M $
22State Street SPDR Portfolio Developed World ex-US ETF 104,8374.8M $
23Home Depot Inc/The 13,7114.5M $
24Costco Wholesale Corp 4,2384.2M $
25RTX Corp 20,9884M $
26Chevron Corp 17,0943.5M $
27Walmart Inc 25,9653.2M $
28AppLovin Corp 8,0673.2M $
29AbbVie Inc 14,6993.2M $
30Eli Lilly & Co 3,4003.1M $
31Meta Platforms Inc 5,3313M $
32Berkshire Hathaway Inc 42.9M $
33Visa Inc 9,3202.8M $
34iShares California Muni Bond ETF 49,0422.8M $
35Union Pacific Corp 11,0852.7M $
36Amgen Inc 7,3822.6M $
37Netflix Inc 26,4632.5M $
38Vanguard Mid-Cap ETF 8,0732.3M $
39Mastercard Inc 4,5262.3M $
40UnitedHealth Group Inc 7,7602.1M $
41SPDR Gold Shares 4,8122.1M $
42ProShares Trust 45,0641.9M $
43Procter & Gamble Co/The 12,7911.8M $
44Advanced Micro Devices Inc 8,5111.7M $
45Ensign Group Inc/The 7,9851.6M $
46Vanguard Total International S 19,9301.5M $
47Johnson & Johnson 6,2431.5M $
48Xcel Energy Inc 17,4781.4M $
49Uber Technologies Inc 18,8861.4M $
50Salesforce Inc 7,1701.3M $
51Merck & Co Inc 10,1601.2M $
52Abbott Laboratories 11,7191.2M $
53Lockheed Martin Corp 1,9041.2M $
54Berkshire Hathaway Inc 2,3141.1M $
55PIMCO Enhanced Short Maturity 9,441949.4K $
56McDonald's Corp. 2,981926.6K $
57McKesson Corp 968837.7K $
58Oracle Corp 5,503809.6K $
59General Electric Co 2,814798.4K $
60NextEra Energy Inc 7,992742.3K $
61iShares Bitcoin Trust ETF 19,196737.5K $
62Lam Research Corp 3,148672.6K $
63Caterpillar Inc 935662.2K $
64WW Grainger Inc 602656.7K $
65First Trust NASDAQ Cybersecuri 10,257642.9K $
66Calvert Ultra-Short Investment Grade Etf 12,522633.7K $
67State Street SPDR S&P 500 ETF Trust 971631.5K $
68Moody's Corp 1,376600.3K $
69Thermo Fisher Scientific Inc 1,137559.1K $
70Exxon Mobil Corp 3,046516.8K $
71Walt Disney Co/The 5,150496.4K $
72Toyota Motor Corp 2,280469.9K $
73PepsiCo Inc 2,878447K $
74CME Group Inc 1,429422.1K $
75iShares Trust 4,994412.4K $
76Gilead Sciences Inc 2,890402.8K $
77Micron Technology Inc 1,186400.8K $
78Palantir Technologies Inc 2,719397.7K $
79Coinbase Global Inc 2,163377.7K $
80Crowdstrike Holdings Inc 952371.7K $
81Digital Realty Trust Inc 1,997359.9K $
82Verizon Communications Inc 7,142358.5K $
83QUALCOMM Inc 2,646340.7K $
84Carrier Global Corp 5,741323.3K $
85Danaher Corp 1,666315.9K $
86Bank of New York Mellon Corp/The 2,626311.5K $
87Arista Networks Inc 2,528310.4K $
88Automatic Data Processing Inc 1,414287.4K $
89United Rentals Inc 394287.1K $
90ServiceNow Inc 2,610272.9K $
91Starbucks Corp 3,039272.3K $
92CAPITAL GROUP MUNICIPAL INCOME ETF 10,006271.7K $
93American Express Co 876265K $
94Avantor Inc 33,237260.6K $
95Coca-Cola Co/The 3,426260.5K $
96Boeing Co/The 1,291256.9K $
97United Parcel Service Inc 2,604256.1K $
98Lowe's Cos Inc 1,081255.4K $
99Synopsys Inc 623247K $
100Quanta Services Inc 444243.8K $