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
301MarketAxess Holdings Inc 14,6862.4M $
302Dexcom Inc 38,2902.4M $
303SPX Technologies Inc 12,0062.4M $
304Garrett Motion Inc 132,0102.4M $
305Insulet Corp 11,2972.4M $
306Gulfport Energy Corp 11,1692.4M $
307Artisan Partners Asset Management Inc 64,9282.4M $
308Bath & Body Works Inc 126,5412.4M $
309FNB Corp/PA 140,8752.4M $
310California Resources Corp 33,5112.3M $
311Verisk Analytics Inc 12,1752.3M $
312TKO Group Holdings Inc 11,4332.3M $
313JB Hunt Transport Services Inc 10,8702.3M $
314United Bankshares Inc/WV 55,5142.3M $
315Armstrong World Industries Inc 13,8112.3M $
316Kimberly-Clark Corp 23,5252.3M $
317Hess Midstream LP 58,2592.3M $
318Stifel Financial Corp 30,4042.2M $
319Jack Henry & Associates Inc 14,1882.2M $
320Tenet Healthcare Corp 11,8712.2M $
321W R Berkley Corp 33,5672.2M $
322NiSource Inc 47,5832.2M $
323iShares Core MSCI Emerging Markets ETF 31,8002.2M $
324Rambus Inc 25,6912.2M $
325ExlService Holdings Inc 72,4772.2M $
326Ingersoll Rand Inc 27,5032.2M $
327Selective Insurance Group Inc 29,2242.2M $
328Kontoor Brands Inc 31,2092.2M $
329Indivior Pharmaceuticals Inc 71,9582.2M $
330Datadog Inc 18,5432.2M $
331Terex Corp 36,9892.2M $
332United Community Banks Inc/GA 69,3582.2M $
333Halliburton Co 55,5052.2M $
334Home BancShares Inc/AR 79,1952.1M $
335Avery Dennison Corp 12,3442.1M $
336Globus Medical Inc 24,6502.1M $
337Columbia Banking System Inc 77,3772.1M $
338GoDaddy Inc 25,1502.1M $
339BioMarin Pharmaceutical Inc 36,7662.1M $
340PTC Inc 14,5472.1M $
341Lennar Corp 23,6682.1M $
342Exelixis Inc 46,8792M $
343Molson Coors Beverage Co 46,5892M $
344CDW Corp/DE 16,5262M $
345Frontdoor Inc 37,8262M $
346PJT Partners Inc 14,2962M $
347Autoliv Inc 18,9542M $
348Dollar Tree Inc 18,1802M $
349Gartner Inc 12,5252M $
350Kraft Heinz Co/The 88,0872M $
351Raymond James Financial Inc 13,6422M $
352Fidelity National Financial Inc 42,4882M $
353EnerSys 11,3272M $
354Portland General Electric Co 37,2752M $
355Etsy Inc 39,1312M $
356American Eagle Outfitters Inc 116,1861.9M $
357SoFi Technologies Inc 122,1431.9M $
358Mueller Water Products Inc 69,9091.9M $
359Donaldson Co Inc 22,2101.9M $
360Rush Enterprises Inc 28,4761.9M $
361DR Horton Inc 13,6751.9M $
362Black Hills Corp 26,9581.9M $
363DuPont de Nemours Inc 40,7201.9M $
364Best Buy Co Inc 29,0001.9M $
365Urban Outfitters Inc 29,3011.9M $
366Antero Midstream Corp 81,2421.9M $
367SM Energy Co 59,3861.9M $
368A O Smith Corp 28,0001.8M $
369Kinder Morgan, Inc. 54,5061.8M $
370Crown Holdings Inc 18,2181.8M $
371Kroger Co/The 25,0751.8M $
372Avista Corp 45,0721.8M $
373Versant Media Group Inc 48,5471.8M $
374Federated Hermes Inc 31,6261.8M $
375Teradata Corp 68,2881.8M $
376Commvault Systems Inc 22,3441.7M $
377Paycom Software Inc 14,3131.7M $
378Docusign Inc 36,4971.7M $
379Chewy Inc 63,6551.7M $
380Korn Ferry 27,1881.7M $
381Upwork Inc 155,8111.7M $
382Granite Construction Inc 14,2271.7M $
383EQT Corp 26,7411.7M $
384Blackbaud Inc 43,5911.7M $
385Voya Financial Inc 24,5471.7M $
386Graco Inc 19,6171.7M $
387Brown-Forman Corp 62,3431.6M $
388Interactive Brokers Group Inc 24,2881.6M $
389Covista Inc 14,1171.6M $
390Wayfair Inc 21,3771.6M $
391Fidelity National Information Services Inc 34,0601.6M $
392UL Solutions Inc 18,5961.6M $
393Workday Inc 12,2411.6M $
394American States Water Co 20,9171.6M $
395ONE Gas Inc 18,3621.6M $
396Estee Lauder Cos Inc/The 21,4801.5M $
397Radian Group Inc 46,4771.5M $
398PulteGroup Inc 12,9311.5M $
399Toro Co/The 16,2191.5M $
400New Jersey Resources Corp 27,5061.5M $