Titelia

Holdings of Meeder Advisory Services, Inc.

637 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 37 % of the equity sleeve

Sector breakdown

  • Technology 22.2 %
  • Financials 8.3 %
  • Communication 6.6 %
  • Consumer discretionary 6.3 %
  • Health care 6.1 %
  • Industrials 6.0 %
  • Consumer staples 3.4 %
  • Funds 3.1 %
  • Energy 2.2 %
  • Utilities 1.8 %
  • Materials 1.0 %
  • Real estate 0.7 %
  • Unattributed 32.0 %

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 99.9 %
  • TW 0.1 %
  • NL 0.0 %
  • GB 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US6342B $99.91 %
2TW11.2M $0.06 %
3NL1408.5K $0.02 %
4GB1258.4K $0.01 %

Positions

RankCompanySharesValueWeight
101Corning Inc 22,8523.1M $
102Booking Holdings Inc 7363.1M $
103Western Digital Corp 11,4503.1M $
104Cummins Inc 5,7173.1M $
105Walt Disney Co/The 31,3993M $
106Colgate-Palmolive Co 35,2963M $
107HCA Healthcare Inc 6,3563M $
108Salesforce Inc 15,8503M $
109Progressive Corp/The 14,8823M $
110Newmont Corp 26,3112.8M $
111Marathon Petroleum Corp 11,6462.8M $
112Williams Cos Inc/The 39,0562.8M $
113Bank of New York Mellon Corp/The 23,5742.8M $
114Vertex Pharmaceuticals Inc 6,1972.8M $
115T-Mobile US Inc 13,1502.8M $
116Waste Management Inc 11,9492.7M $
117Constellation Energy Corp. 9,7112.7M $
118FedEx Corp 7,5472.7M $
119S&P Global Inc 6,3042.7M $
120QUALCOMM Inc 20,7892.7M $
121Intuit Inc 6,1392.7M $
122Vertiv Holdings Co 10,5162.6M $
123Vanguard Value ETF 13,3092.6M $
124Intel Corp 59,0562.6M $
125Starbucks Corp 29,0062.6M $
126Duke Energy Corp 19,5542.6M $
127O'Reilly Automotive Inc 27,5932.5M $
128Southern Co/The 26,0932.5M $
129PNC Financial Services Group Inc/The 11,9422.5M $
130Phillips 66 13,5962.5M $
131Quanta Services Inc 4,4872.5M $
132Hilton Worldwide Holdings Inc 8,0662.5M $
133Northrop Grumman Corp 3,5902.4M $
134Cadence Design Systems Inc 8,7572.4M $
135Emerson Electric Co. 18,5632.4M $
136CME Group Inc 8,2082.4M $
137Danaher Corp 12,7782.4M $
138Marriott International Inc/MD 7,2932.4M $
139Texas Instruments Inc 12,2512.4M $
140Boston Scientific Corp 37,6482.4M $
141Ross Stores Inc 10,7352.3M $
142Illinois Tool Works Inc 8,9242.3M $
143Aflac Inc 20,8162.3M $
144Blackstone Inc 19,1682.2M $
145General Dynamics Corp 6,4162.2M $
146Intercontinental Exchange Inc 13,9422.2M $
147General Motors Co 29,3832.2M $
148Moody's Corp 4,9862.2M $
149Comcast Corp 75,4182.2M $
150NiSource Inc 46,3012.2M $
151Ecolab Inc 8,1172.2M $
152Invesco QQQ Trust Series 1 3,7372.2M $
153Boeing Co/The 10,8052.2M $
154Motorola Solutions Inc 4,8862.1M $
155CSX Corp 51,2672.1M $
156Travelers Cos Inc/The 7,2142.1M $
157Mondelez International Inc 36,2212.1M $
158Cencora Inc 6,6432.1M $
159Adobe Inc 8,5302.1M $
160Freeport-McMoRan Inc 34,9802.1M $
161Prologis Inc 15,5032M $
162Public Service Enterprise Group Inc 25,0232M $
163Sherwin-Williams Co/The 6,2592M $
164Valero Energy Corp 8,1212M $
165Equinix Inc 2,0402M $
166American Electric Power Co Inc 14,9412M $
167Ameriprise Financial Inc 4,2791.9M $
168United Rentals Inc 2,5991.9M $
169Synopsys Inc 4,7351.9M $
170Simon Property Group Inc 10,0171.9M $
171Marsh & McLennan Cos Inc 10,7011.9M $
172Howmet Aerospace Inc 8,0401.9M $
173Fastenal Co 39,6051.8M $
174Bristol-Myers Squibb Co 30,1191.8M $
175EOG Resources Inc 12,5781.8M $
176PACCAR Inc 15,5051.8M $
177Marvell Technology Inc 18,0681.8M $
178AppLovin Corp 4,4501.8M $
1793M Co 11,9141.7M $
180Delta Air Lines Inc 25,9651.7M $
181MercadoLibre Inc 9881.7M $
182DR Horton Inc 12,4441.7M $
183Allstate Corp/The 8,1871.7M $
184Cloudflare Inc 8,1551.7M $
185Entergy Corp 14,9701.7M $
186Fifth Third Bancorp 36,0591.7M $
187L3Harris Technologies Inc 4,6961.6M $
188Air Products and Chemicals Inc 5,5651.6M $
189CVS Health Corp 22,2491.6M $
190US Bancorp 30,4921.6M $
191Sempra 16,2941.6M $
192Monolithic Power Systems Inc 1,4471.6M $
193Corteva Inc 18,7281.6M $
194Citizens Financial Group Inc 25,7791.5M $
195Vistra Corp 9,9871.5M $
196Autodesk Inc 6,2321.5M $
197Fortinet Inc 18,2061.5M $
198Cigna Group/The 5,5301.5M $
199Evergy Inc 17,8231.5M $
200iShares Trust 27,5711.4M $