Titelia

Holdings of Elo Mutual Pension Insurance Co

555 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 37.8 % of the equity sleeve

Sector breakdown

  • Technology 29.6 %
  • Communication 10.7 %
  • Health care 10.1 %
  • Financials 9.3 %
  • Consumer discretionary 8.3 %
  • Funds 6.0 %
  • Industrials 4.5 %
  • Consumer staples 3.2 %
  • Energy 1.7 %
  • Utilities 1.5 %
  • Materials 1.2 %
  • Real estate 0.2 %
  • Unattributed 13.7 %

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 99.7 %
  • TW 0.3 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US5545.9B $99.73 %
2TW115.8M $0.27 %

Positions

RankCompanySharesValueWeight
201Maplebear Inc 118,4014.4M $
202CH Robinson Worldwide Inc 26,5384.4M $
203Fox Corp 75,0974.4M $
204AECOM 51,6664.4M $
205Tapestry Inc 31,0474.4M $
206Cintas Corp 25,5544.3M $
207Cognizant Technology Solutions Corp. 68,3824.2M $
208Advanced Drainage Systems Inc 30,4784.2M $
209Arthur J Gallagher & Co 18,9614.1M $
210Teradyne Inc 13,7564.1M $
211NetApp Inc 39,7754.1M $
212Waters Corp 13,6294.1M $
213Expand Energy Corp 36,8194M $
214Marriott International Inc/MD 12,1874M $
215ROBLOX Corp 70,0294M $
216Insmed Inc 24,1253.9M $
217Southern Co/The 39,9793.9M $
218Vistra Corp 25,6593.9M $
219MetLife Inc 53,9793.8M $
220Leidos Holdings Inc 24,2913.8M $
221Zoom Communications Inc 46,9723.8M $
222PG&E Corp 214,6343.8M $
223Natera Inc 18,7623.8M $
224Zimmer Biomet Holdings Inc 41,4193.7M $
225Aflac Inc 34,1363.7M $
226Dynatrace Inc 101,0923.7M $
227US Foods Holding Corp 40,3833.7M $
228Veeva Systems Inc 20,9413.7M $
229F5 Inc 12,7033.7M $
230Astera Labs Inc 32,9953.6M $
231RingCentral Inc 97,1523.6M $
232Fastenal Co 77,7553.6M $
233Clorox Co/The 34,7923.6M $
234Coeur Mining Inc 191,8383.6M $
235Veralto Corp 40,6753.6M $
236Edison International 48,3983.5M $
237Incyte Corp 37,2333.5M $
238Match Group Inc 113,6613.5M $
239Scotts Miracle-Gro Co/The 56,6673.4M $
240Flowserve Corp 46,8003.4M $
241InterDigital Inc 11,3863.4M $
242Pegasystems Inc 80,1273.4M $
243Omnicom Group Inc 45,2453.4M $
244ONEOK Inc 37,3473.4M $
245Illumina Inc 27,1713.3M $
246UiPath Inc 301,2243.3M $
247Macy's Inc 184,1333.3M $
248GE HealthCare Technologies Inc 46,7733.3M $
249Fortive Corp 59,9913.3M $
250General Mills, Inc. 88,4103.3M $
251KKR & Co Inc 35,4463.3M $
252BorgWarner Inc 60,3493.3M $
253Biogen Inc 17,7273.2M $
254Principal Financial Group Inc 35,9523.2M $
255Howmet Aerospace Inc 13,9493.2M $
256Hasbro Inc 34,3113.2M $
257Fifth Third Bancorp 68,1293.2M $
258Abercrombie & Fitch Co 34,5853.2M $
259Mondelez International Inc 54,7843.2M $
260Humana Inc 17,9473.1M $
261Dominion Energy Inc 50,1853.1M $
262TD SYNNEX Corp 18,2583.1M $
263Zurn Elkay Water Solutions Corp 68,2593.1M $
264H&R Block Inc 96,0333M $
265Public Service Enterprise Group Inc 37,3183M $
266HP Inc 155,9253M $
267Moelis & Co 52,5293M $
268ADT Inc 452,3833M $
269Reinsurance Group of America Inc 14,5053M $
270Cognex Corp 59,9352.9M $
271Everpure Inc 49,0822.9M $
272Laureate Education Inc 83,0532.9M $
273Dolby Laboratories Inc 48,0572.9M $
274Mueller Industries Inc 25,9052.9M $
275Jabil Inc 10,7652.9M $
276Clear Secure Inc 57,4782.8M $
277Atlassian Corp 40,7122.8M $
278Prosperity Bancshares Inc 41,1262.8M $
279API Group Corp 67,4302.7M $
280Gen Digital Inc 144,5122.7M $
281Halozyme Therapeutics Inc 41,8862.7M $
282FirstEnergy Corp 53,1652.7M $
283Dollar General Corp 22,6392.7M $
284Assurant Inc 12,2222.7M $
285Crocs Inc 31,9102.6M $
286Reddit Inc 19,3182.6M $
287News Corp 102,7902.6M $
288Centene Corp 77,9272.6M $
289UGI Corp 69,9942.5M $
290Globe Life Inc 18,3042.5M $
291International Flavors & Fragrances Inc 34,8662.5M $
292Victory Capital Holdings Inc 38,5072.5M $
293Delta Air Lines Inc 37,8132.5M $
294Virtu Financial Inc 56,7102.5M $
295Nasdaq Inc 29,3412.5M $
296Albertsons Cos Inc 145,0612.5M $
297OGE Energy Corp 51,1632.5M $
298Broadridge Financial Solutions Inc 15,0922.5M $
299Northern Trust Corp 17,4612.4M $
300Constellation Brands Inc 16,1782.4M $