Titelia

Holdings of Cedar Mountain Advisors, LLC

1045 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 71.9 % of the equity sleeve

Sector breakdown

  • Funds 24.3 %
  • Technology 1.6 %
  • Industrials 1.6 %
  • Consumer discretionary 0.9 %
  • Financials 0.5 %
  • Consumer staples 0.3 %
  • Health care 0.2 %
  • Communication 0.2 %
  • Energy 0.2 %
  • Utilities 0.2 %
  • Materials 0.1 %
  • Unattributed 70.0 %

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 100.0 %
  • NL 0.0 %
  • ZA 0.0 %
  • TW 0.0 %
  • GB 0.0 %
  • KY 0.0 %
  • FI 0.0 %
  • BM 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US1,035492.8M $99.98 %
2NL126.4K $0.01 %
3ZA122.7K $0.00 %
4TW220.5K $0.00 %
5GB34.9K $0.00 %
6KY11.3K $0.00 %
7FI1740 $0.00 %
8BM115 $0.00 %

Positions

RankCompanySharesValueWeight
101General Electric Co 30285.7K $
102AbbVie Inc 38784.1K $
103ATI Inc 53577.8K $
104First Horizon Corp 3,40577.5K $
105Vanguard Bond Index Funds 99977.1K $
106Weyerhaeuser Co 2,93871.8K $
107Westinghouse Air Brake Technologies Corp 28170.2K $
108iShares Russell 2000 Value ETF 36970K $
109Bank of America Corp 1,42769.6K $
110Cisco Systems, Inc. 88068.3K $
111Allstate Corp/The 32567.4K $
112GE Vernova Inc 7767.3K $
113Entergy Corp 59667K $
114Consolidated Edison Inc 58666.3K $
115Casey's General Stores Inc 9065.5K $
116Eli Lilly & Co 6963.6K $
117Cencora Inc 20263.5K $
118Ameren Corp 57663.3K $
119Ingredion Inc 55062K $
120WESCO International Inc 22361K $
121Snap-on Inc 16660.3K $
122iShares Trust 27059K $
1233M Co 40458.7K $
124PIMCO ETF Trust 63458.5K $
125Parker-Hannifin Corp 6558.2K $
126Charles Schwab Corp/The 61657.9K $
127Reinsurance Group of America Inc 28157.4K $
128iShares Trust 47756.6K $
129Ameriprise Financial Inc 12656K $
130ConocoPhillips 42155.6K $
131iShares Trust 67355.6K $
132Webster Financial Corp 79955.5K $
133State Street Health Care Select Sector SPDR ETF 37855.4K $
134BorgWarner Inc 1,02155.4K $
135iShares S&P Small-Cap 600 Growth ETF 38155.1K $
136CenterPoint Energy Inc 1,26754.7K $
137iShares Russell 2000 Growth ETF 17454.6K $
138Blackrock Inc 5654.2K $
139Palantir Technologies Inc 36753.7K $
140Dover Corp 25352.7K $
141Walt Disney Co/The 54352.3K $
142Wells Fargo & Co 65552.1K $
143iShares Morningstar Small-Cap Value ETF 72750.5K $
144Microchip Technology Inc 77650.1K $
145Viavi Solutions Inc 1,49549.8K $
146JPMorgan Limited Duration Bond ETF 95149.6K $
147American International Group Inc 65849.5K $
148iShares Trust 50949.5K $
149Valero Energy Corp 20049.4K $
150Evercore Inc 16549.3K $
151Travelers Cos Inc/The 16648.4K $
152FirstEnergy Corp 95448.3K $
153Permian Resources Corp 2,25148K $
154Darling Ingredients Inc 76647.4K $
155PepsiCo Inc 30447.2K $
156Akamai Technologies Inc 40947K $
157American Electric Power Co Inc 35646.7K $
158Packaging Corp of America 21645.8K $
159Pfizer Inc 1,63145.8K $
160Agree Realty Corp 60645.7K $
161Bloom Energy Corp 33445.3K $
162Leidos Holdings Inc 28644.5K $
163Altria Group, Inc. 67144.3K $
164KLA Corp 3044.2K $
165Norfolk Southern Corp 15043.1K $
166Valvoline Inc 1,25942.4K $
167WEC Energy Group Inc 36241.9K $
168DTE Energy Co 28541.7K $
169Teledyne Technologies Inc 6841.1K $
170Evergy Inc 49340.4K $
171Marathon Petroleum Corp 16440K $
172Viatris Inc 2,95439.9K $
173Quanta Services Inc 7239.5K $
174Xcel Energy Inc 49539.3K $
175Macy's Inc 2,17339.3K $
176Vanguard S&P 500 ETF 6438K $
177Gilead Sciences Inc 27137.8K $
178Dutch Bros Inc 74137.5K $
179Hexcel Corp 46337.5K $
180Hasbro Inc 39537K $
181Hartford Insurance Group Inc/The 27236.8K $
182Caterpillar Inc 5136.4K $
183PTC Inc 25536.3K $
184Sandisk Corp/DE 5736.2K $
185TJX Cos Inc/The 22636.1K $
186iShares MSCI EAFE Growth ETF 32235.9K $
187Labcorp Holdings Inc 13335.5K $
188Oracle Corp 24135.4K $
189Host Hotels & Resorts Inc 1,83035.1K $
190iShares Trust 46634.7K $
191Comcast Corp 1,19634.3K $
192Ford Motor Co 2,94033.9K $
193FedEx Corp 9433.4K $
194Thermo Fisher Scientific Inc 6733K $
195Texas Instruments Inc 17033K $
196Citigroup Inc 29133K $
197Constellation Brands Inc 22033K $
198Sterling Infrastructure Inc 8133K $
199Kroger Co/The 45532.9K $
200Vanguard Real Estate ETF 37032.8K $