Titelia

Holdings of UniSuper Management Pty Ltd

615 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 40.7 % of the equity sleeve

Sector breakdown

  • Technology 35.7 %
  • Financials 12.9 %
  • Communication 10.2 %
  • Industrials 8.3 %
  • Consumer discretionary 7.6 %
  • Health care 6.8 %
  • Utilities 4.8 %
  • Consumer staples 3.2 %
  • Real estate 2.8 %
  • Energy 2.1 %
  • Materials 1.7 %
  • Unattributed 3.9 %

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 %
  • IL 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US61414.8B $100.00 %
2IL1698.8K $0.00 %

Positions

RankCompanySharesValueWeight
401T Rowe Price Group Inc 26,8192.4M $
402Expeditors International of Washington Inc 16,8202.4M $
403Mirion Technologies Inc 129,5022.4M $
404Tyson Foods Inc 37,5422.4M $
405W R Berkley Corp 36,2662.4M $
406Snap-on Inc 6,5822.4M $
407Principal Financial Group Inc 26,3822.4M $
408Evergy Inc 28,8862.4M $
409Loews Corp 22,1262.4M $
410Kraft Heinz Co/The 104,8512.4M $
411West Pharmaceutical Services Inc 9,4002.4M $
412NVR Inc 3572.4M $
413Brown & Brown Inc 35,9812.3M $
414General Mills, Inc. 62,9522.3M $
415CH Robinson Worldwide Inc 14,0542.3M $
416Charter Communications, Inc. 10,7852.3M $
417Casella Waste Systems Inc 29,1852.3M $
418Leidos Holdings Inc 14,8472.3M $
419Broadridge Financial Solutions Inc 14,1082.3M $
420Lennar Corp 26,1912.3M $
421EchoStar Corp 19,3372.3M $
422JB Hunt Transport Services Inc 10,6542.3M $
423Zimmer Biomet Holdings Inc 24,9442.3M $
424Fortive Corp 40,6182.2M $
425Hologic Inc 29,5042.2M $
426Albemarle Corp 12,3502.2M $
427Skyworks Solutions Inc 41,0312.2M $
428Louisiana-Pacific Corp 29,9672.2M $
429CoStar Group Inc 53,6672.2M $
430APA Corp 50,9192.2M $
431Lululemon Athletica Inc 14,0632.2M $
432Ball Corp 36,3942.2M $
433Incyte Corp 22,5502.1M $
434EPAM Systems Inc 15,6132.1M $
435Global Payments Inc 31,2102.1M $
436Centene Corp 63,3872.1M $
437Deckers Outdoor Corp 20,7322.1M $
438Textron Inc 23,6982.1M $
439Jacobs Solutions Inc 16,2872.1M $
440Genuine Parts Co 19,3852M $
441EastGroup Properties Inc 11,0002M $
442Estee Lauder Cos Inc/The 28,2202M $
443IDEX Corp 10,6612M $
444Lennox International Inc 4,3452M $
445Cooper Cos Inc/The 28,0332M $
446Nordson Corp 7,5212M $
447Avery Dennison Corp 11,5082M $
448American Homes 4 Rent 71,1002M $
449Best Buy Co Inc 30,6472M $
450Insulet Corp 9,2901.9M $
451Southwest Airlines Co 50,7211.9M $
452Masco Corp 31,5291.9M $
453Moderna Inc 36,8501.9M $
454Viatris Inc 135,6651.8M $
455Brixmor Property Group Inc 63,4211.8M $
456Jack Henry & Associates Inc 11,2971.8M $
457McCormick & Co Inc/MD 35,1741.8M $
458TKO Group Holdings Inc 8,7941.8M $
459Domino's Pizza Inc 4,9401.8M $
460Ralph Lauren Corp 5,1501.8M $
461Agree Realty Corp 23,5001.8M $
462Huntington Ingalls Industries, Inc. 4,6021.7M $
463Solventum Corp 26,6491.7M $
464Universal Health Services Inc 9,7141.7M $
465American Healthcare REIT Inc 36,8001.7M $
466CubeSmart 47,2001.7M $
467Hasbro Inc 18,2881.7M $
468CareTrust REIT Inc 46,6001.7M $
469Align Technology Inc 9,8711.7M $
470Pinnacle West Capital Corp. 16,7501.7M $
471Globe Life Inc 12,0191.7M $
472NNN REIT Inc 39,5001.7M $
473Doximity Inc 71,1331.7M $
474Assurant Inc 7,5821.7M $
475Builders FirstSource Inc 19,4971.6M $
476Stanley Black & Decker Inc 22,4351.6M $
477AES Corp/The 112,8881.6M $
478Trade Desk Inc/The 69,8071.6M $
479Rexford Industrial Realty Inc 48,3001.6M $
480Generac Holdings Inc 8,0801.6M $
481Revvity Inc 17,9911.6M $
482Wynn Resorts Ltd 15,3151.6M $
483FactSet Research Systems Inc 7,1631.6M $
484First Industrial Realty Trust Inc 26,7001.5M $
485Erie Indemnity Co 6,1431.5M $
486Charles River Laboratories International Inc 8,9251.5M $
487Hormel Foods Corp 67,0711.5M $
488Fox Corp 25,7911.5M $
489J M Smucker Co/The 15,4361.5M $
490Bio-Techne Corp 28,1541.5M $
491Progress Software Corp 57,2891.5M $
492MGM Resorts International 39,0931.4M $
493Baxter International Inc 85,9591.4M $
494News Corp 57,8811.4M $
495A O Smith Corp 21,7871.4M $
496Brown-Forman Corp 54,3201.4M $
497Pool Corp 7,0271.4M $
498Henry Schein Inc 19,2081.4M $
499Molson Coors Beverage Co 32,8131.4M $
500STAG Industrial Inc 38,9001.4M $