Titelia

Holdings of Deseret Mutual Benefit Administrators

480 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 33.5 % of the equity sleeve

Sector breakdown

  • Technology 20.1 %
  • Health care 13.0 %
  • Funds 11.7 %
  • Industrials 9.5 %
  • Financials 8.7 %
  • Consumer discretionary 8.6 %
  • Communication 5.6 %
  • Consumer staples 4.8 %
  • Energy 4.1 %
  • Materials 2.0 %
  • Utilities 1.6 %
  • Real estate 0.8 %
  • Unattributed 9.4 %

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 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US480268.5M $100.00 %

Positions

RankCompanySharesValueWeight
301Corebridge Financial Inc 3,67687.7K $
302Fox Corp 1,49087K $
303Regions Financial Corp 3,31186.5K $
304United Rentals Inc 11886K $
305Intuitive Surgical Inc 18585.3K $
306Edwards Lifesciences Corp 1,06385.1K $
307International Paper Co 2,34983.9K $
308Lear Corp 69283.8K $
309EQT Corp 1,30483K $
310Arrow Electronics Inc 57882.9K $
311Stanley Black & Decker Inc 1,16482.7K $
312ON Semiconductor Corp 1,33382.5K $
313TD SYNNEX Corp 48281.3K $
314Robert Half Inc 3,19281.1K $
315Boston Scientific Corp 1,29181K $
316Quanta Services Inc 14780.7K $
317Huntington Bancshares Inc/OH 5,10679.9K $
318Evergy Inc 97579.9K $
319US Foods Holding Corp 86579.8K $
320Ecolab Inc 29779K $
321Northern Trust Corp 56478.7K $
322DTE Energy Co 53778.5K $
323Eastman Chemical Co 1,02077.8K $
324Ventas Inc 93976.8K $
325Macy's Inc 4,19875.9K $
326Ameren Corp 68675.4K $
327Cincinnati Financial Corp 47975.4K $
328Boeing Co/The 37674.8K $
329Constellation Energy Corp. 26574K $
330CenterPoint Energy Inc 1,68472.7K $
331IQVIA Holdings Inc 42472.3K $
332Zimmer Biomet Holdings Inc 77670.2K $
333VICI Properties Inc 2,55569.8K $
334Agilent Technologies Inc 60869.3K $
335Waters Corp 23168.8K $
336Textron Inc 77868.1K $
337Roper Technologies Inc 19067.2K $
338Ball Corp 1,12466.4K $
339Quest Diagnostics Inc 33866.2K $
340Rockwell Automation Inc 18466K $
341Kohl's Corp 5,11466K $
342Estee Lauder Cos Inc/The 89464.2K $
343Baxter International Inc 3,79363.7K $
344AMETEK Inc 29663.5K $
345Equity Residential 1,06663.1K $
346WESCO International Inc 23062.9K $
347Universal Health Services Inc 35162.8K $
348Huntington Ingalls Industries, Inc. 16562.7K $
349Olin Corp 2,09062.1K $
350Loews Corp 58061.9K $
351LKQ Corp 2,09061.4K $
352Markel Group Inc 3261.3K $
353Jones Lang LaSalle Inc 20161.2K $
354Akamai Technologies Inc 53261.1K $
355Dover Corp 29361.1K $
356Illumina Inc 49360.8K $
357Solventum Corp 92860.6K $
358Knight-Swift Transportation Holdings Inc 1,04360.1K $
359Performance Food Group Co 69259.3K $
360CMS Energy Corp 76459.3K $
361Conagra Brands Inc 3,76159.1K $
362Hologic Inc 77758.7K $
363Atmos Energy Corp 31257.6K $
364Packaging Corp of America 27057.3K $
365Genuine Parts Co 53656.7K $
366Advance Auto Parts Inc 1,05455.6K $
367OneMain Holdings Inc 1,03855.5K $
368Qorvo Inc 71555.3K $
369Leidos Holdings Inc 35455.1K $
370NiSource Inc 1,17955K $
371Snap-on Inc 15154.8K $
372Cleveland-Cliffs Inc 6,44954.5K $
373Avnet Inc 88254.3K $
374AES Corp/The 3,84954.2K $
375Host Hotels & Resorts Inc 2,82554.1K $
376Republic Services Inc 24653.9K $
377Cadence Design Systems Inc 19353.6K $
378Franklin Resources Inc 2,26053.4K $
379Synopsys Inc 13453.1K $
380KKR & Co Inc 57152.8K $
381AvalonBay Communities, Inc. 32352.8K $
382Annaly Capital Management Inc 2,49352.7K $
383American Water Works Co Inc 38652.5K $
384Ryder System Inc 25552.2K $
385Raymond James Financial Inc 36052.1K $
386Old Republic International Corp 1,30151.9K $
387Ingersoll Rand Inc 64651.8K $
388Toll Brothers Inc 37951.7K $
389Huntsman Corp 3,84951.2K $
390Hilton Worldwide Holdings Inc 16851.1K $
391Martin Marietta Materials Inc 8650.6K $
392Teledyne Technologies Inc 8350.2K $
393Owens Corning 46450.2K $
394American Financial Group Inc/OH 39350.2K $
395Zions Bancorp NA 86750K $
396Alliant Energy Corp 69649.9K $
397AGCO Corp 42949.7K $
398Arista Networks Inc 40449.6K $
399Vulcan Materials Co 18149.3K $
400First Citizens BancShares Inc/NC 2649K $