Titelia

Holdings of Apollon Wealth Management, LLC

1192 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 25.1 % of the equity sleeve

Sector breakdown

  • Technology 18.3 %
  • Funds 10.9 %
  • Financials 6.5 %
  • Industrials 5.1 %
  • Communication 4.7 %
  • Consumer discretionary 4.5 %
  • Health care 4.5 %
  • Consumer staples 3.4 %
  • Energy 1.3 %
  • Utilities 1.1 %
  • Materials 0.4 %
  • Real estate 0.2 %
  • Unattributed 39.0 %

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 99.2 %
  • NL 0.3 %
  • TW 0.2 %
  • GB 0.1 %
  • ES 0.0 %
  • DK 0.0 %
  • JP 0.0 %
  • FR 0.0 %
  • DE 0.0 %
  • IL 0.0 %
  • BE 0.0 %
  • KY 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US1,1575.7B $99.18 %
2NL318.6M $0.32 %
3TW212.8M $0.22 %
4GB136.9M $0.12 %
5ES12.5M $0.04 %
6DK12.1M $0.04 %
7JP41.8M $0.03 %
8FR1698.8K $0.01 %
9DE2642.9K $0.01 %
10IL2563.1K $0.01 %
11BE1380.8K $0.01 %
12KY1291.7K $0.01 %

Positions

RankCompanySharesValueWeight
1,101Terawulf Inc 14,878214.7K $
1,102Independence Realty Trust Inc 14,415214.6K $
1,103Franklin Resources Inc 9,078214.4K $
1,104SPDR Series Trust 1,674213.9K $
1,105iShares U.S. Financial Services ETF 2,581213.8K $
1,106Revvity Inc 2,436213.4K $
1,107Mueller Industries Inc 1,926213.4K $
1,108Republic Bancorp Inc/KY 3,019213K $
1,109Haleon PLC 21,271212.9K $
1,110INVESCO DB MULTI-SECTOR COMMODITY TRUST 7,702210.4K $
1,111Vanguard US Quality Factor ETF 1,410210.4K $
1,112TRP DIVIDEND GROWTH ETF 4,697209.6K $
1,113Illumina Inc 1,688208.1K $
1,114First Trust Exchange-Traded AlphaDEX Fund II 3,803207.7K $
1,115First Trust Exchange-Traded Fund VIII 3,885207.4K $
1,116ISHARES TRUST 7,754207.2K $
1,117iShares MSCI USA Value Factor ETF 1,452206.4K $
1,118Inspire Medical Systems Inc 3,997206.2K $
1,119Healthpeak Properties Inc 12,542206.1K $
1,120Coherent Corp 862205.3K $
1,121Southern Copper Corp 1,193205.3K $
1,122iShares J.P. Morgan USD Emerging Markets Bond ETF 2,183205.1K $
1,123Hut 8 Corp 4,348204K $
1,124Nuveen Credit Strategies Income Fund 41,868203.9K $
1,125Lincoln National Corp 5,722203.1K $
1,126Wisdomtree Trust 2,982203.1K $
1,127Tandem Diabetes Care Inc 10,534201.9K $
1,128Goldman Sachs BDC, Inc. 22,070196K $
1,129ProShares Trust 16,750195K $
1,130Superior Group of Cos Inc 18,810191.1K $
1,131RiverNorth Flexible Municipal Income Fund Inc 13,500189.4K $
1,132Valley National Bancorp 15,321188.1K $
1,133Vale SA 11,201178.2K $
1,134Nuveen Global High Income Fund 14,551177.8K $
1,135Kayne Anderson Energy Infrastr 12,394177K $
1,136Community Health Systems Inc 60,071176.6K $
1,137Nuveen Preferred & Income Opportunities Fund 23,107174.2K $
1,138BlackRock Corporate High Yield Fund Inc. 20,273172.7K $
1,139Allspring Multi-Sector Income Fund 18,548167.1K $
1,140PGIM Global High Yield Fund, Inc. 13,868161.6K $
1,141One Stop Systems Inc 21,040159.3K $
1,142abrdn Income Credit Strategies Fund 31,078158.5K $
1,143CRESCENT CAPITAL BDC INC 12,998157.9K $
1,144NUVEEN INSD TAX-FREE ADVANTAGE MUN FD 13,735154.2K $
1,145TXO Partners LP 12,157152.9K $
1,146NUVEEN QUALITY MUN INCOME FD 12,050138.6K $
1,147Farmers National Banc Corp 10,514138.4K $
1,148Western Asset High Income Fund II Inc. 33,675134K $
1,149Cleanspark Inc 15,707133.7K $
1,150DoubleLine Income Solutions Fund 11,554125.1K $
1,151Navitas Semiconductor Corp 14,172124.3K $
1,152Saba Capital Income & Opportunities Fund 16,039108.1K $
1,153ProShares Bitcoin ETF 11,499107.1K $
1,154Default 10,25096.9K $
1,155Tilray Brands Inc 14,76195.5K $
1,156SoundHound AI Inc 13,06789.8K $
1,157PIMCO Income Strategy Fund 11,20089.6K $
1,158Templeton Emerging Markets Inc 14,18485.2K $
1,159New Era Energy & Digital Inc 19,03277.3K $
1,160Bridger Aerospace Group Holdings Inc 39,00077.2K $
1,161Opendoor Technologies Inc 15,99674.9K $
1,162Newsmax Inc 12,52265.4K $
1,163Blue Ridge Bankshares Inc 14,40060.5K $
1,164Filana Therapeutics Inc 35,05359.2K $
1,165Liberty All Star 10,43257.9K $
1,166Broadwind Inc 27,16156.5K $
1,167Grupo Aval Acciones y Valores SA 12,60855.5K $
1,168Hyliion Holdings Corp 30,95254.5K $
1,169GAIN THERAPEUTICS INC 26,50051.4K $
1,170Ambev SA 16,75448.9K $
1,171PENNANTPARK INVESTMENT CORPORATION 10,27746.1K $
1,172Genelux Corp 18,78445.5K $
1,173Gemini Space Station Inc 10,00044.2K $
1,174American Battery Technology Co 15,40243K $
1,175New Fortress Energy Inc 60,00035.4K $
1,176Krispy Kreme Inc 10,33935K $
1,177Venu Holding Corp 10,46334.6K $
1,178PODCASTONE INC 14,00028.6K $
1,179EVOTEC SE 11,16827.9K $
1,180Equillium Inc 13,87527.8K $
1,181Virgin Galactic Holdings Inc 10,07124.5K $
1,182Granite Point Mortgage Trust Inc 16,51523.9K $
1,183Autolus Therapeutics PLC 14,00319.3K $
1,184ODYSSEY MARINE EXPLORATION INC 22,64618.9K $
1,185Datavault AI Inc 22,00013.6K $
1,186Xerox Holdings Corp 10,00012.9K $
1,187aTyr Pharma Inc 11,9009.3K $
1,188American Bitcoin Corp 10,0019.2K $
1,189Zspace, Inc. 38,6034.4K $
1,190Nakamoto Inc 17,0003.8K $
1,191CID HOLDCO INC 14,0022.4K $
1,192Neuberger High Yield Strategie 45,583365 $