Titelia

Holdings of Canada Post Corp Registered Pension Plan

493 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 32.8 % of the equity sleeve

Sector breakdown

  • Technology 27.4 %
  • Financials 13.5 %
  • Health care 13.1 %
  • Communication 10.1 %
  • Consumer discretionary 9.0 %
  • Industrials 8.7 %
  • Consumer staples 4.0 %
  • Energy 3.5 %
  • Utilities 2.1 %
  • Materials 1.3 %
  • Real estate 0.7 %
  • Funds 0.6 %
  • Unattributed 6.0 %

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 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US4932.5B $100.00 %

Positions

RankCompanySharesValueWeight
201L3Harris Technologies Inc 5,8502M $
202Regeneron Pharmaceuticals, Inc. 2,5752M $
203FirstEnergy Corp 39,2202M $
204O'Reilly Automotive Inc 21,3252M $
205AMETEK Inc 9,1212M $
206Kinder Morgan, Inc. 58,2032M $
207WW Grainger Inc 1,7731.9M $
208T-Mobile US Inc 8,9401.9M $
209Yum! Brands Inc 11,9731.9M $
210ONEOK Inc 20,3841.8M $
211Leidos Holdings Inc 11,7061.8M $
212Paychex Inc 19,5861.8M $
213Jabil Inc 6,7101.8M $
214Targa Resources Corp 7,0401.8M $
215Norfolk Southern Corp 6,0971.7M $
216Blackstone Inc 15,2101.7M $
217Equinix Inc 1,7761.7M $
218Ecolab Inc 6,4351.7M $
219State Street Corp 13,3561.7M $
220Cadence Design Systems Inc 5,9051.6M $
221Mondelez International Inc 28,3341.6M $
222American Electric Power Co Inc 12,4581.6M $
223Regions Financial Corp 60,9411.6M $
224Fastenal Co 33,2401.5M $
225Occidental Petroleum Corp 23,5751.5M $
226Marriott International Inc/MD 4,6751.5M $
227PACCAR Inc 13,1871.5M $
228TransDigm Group Inc 1,3071.5M $
229Yum China Holdings Inc 29,9321.5M $
230KKR & Co Inc 15,5401.4M $
231Corteva Inc 17,0591.4M $
232Graco Inc 16,6831.4M $
233Cencora Inc 4,4821.4M $
234Cintas Corp 7,9981.4M $
235Skyworks Solutions Inc 25,2371.4M $
236Crown Holdings Inc 13,4351.3M $
237Devon Energy Corp 26,6981.3M $
238DoorDash Inc 8,8501.3M $
239NRG Energy Inc 9,0281.3M $
240Republic Services Inc 5,9981.3M $
241Las Vegas Sands Corp 24,3401.3M $
242Monster Beverage Corp 18,0241.3M $
243Fox Corp 24,5101.3M $
244Allstate Corp/The 6,2281.3M $
245Nucor Corp 7,5921.3M $
246Pool Corp 6,3401.3M $
247Monolithic Power Systems Inc 1,1701.3M $
248Biogen Inc 6,9731.3M $
249Lumentum Holdings Inc 1,8001.3M $
250Cardinal Health, Inc. 5,9461.3M $
251Eastman Chemical Co 16,3501.2M $
252Kroger Co/The 17,1591.2M $
253Entergy Corp 11,0041.2M $
254Aflac Inc 11,2391.2M $
255Air Products and Chemicals Inc 4,2441.2M $
256Robinhood Markets Inc 17,6201.2M $
257Tapestry Inc 8,6021.2M $
258Comfort Systems USA Inc 8801.2M $
259Vistra Corp 8,0501.2M $
260Illumina Inc 9,7831.2M $
261Target Corp 9,9401.2M $
262Arthur J Gallagher & Co 5,3291.2M $
263Fortinet Inc 13,9901.1M $
264Coherent Corp 4,7401.1M $
265Teradyne Inc 3,7901.1M $
266Apollo Global Management Inc 9,9501.1M $
267Expedia Group Inc 4,7851.1M $
268Xcel Energy Inc 13,5221.1M $
269Airbnb Inc 8,5001.1M $
270Keysight Technologies Inc 3,7701.1M $
271Electronic Arts Inc 5,2001.1M $
272Digital Realty Trust Inc 5,8561.1M $
273Dominion Energy Inc 17,0071.1M $
274Ulta Beauty Inc 2,0011M $
275MSCI Inc 1,9281M $
276Cognizant Technology Solutions Corp. 16,8631M $
277Realty Income Corp 16,8711M $
278VeriSign Inc 4,1411M $
279APA Corp 23,7881M $
280American International Group Inc 13,3181M $
281Northern Trust Corp 7,110992.3K $
282Carrier Global Corp 17,464983.4K $
283Nasdaq Inc 11,397967.5K $
284Cheniere Energy Inc 3,397963.9K $
285Ciena Corp 2,480962.8K $
286IDEXX Laboratories Inc 1,702956.3K $
287DR Horton Inc 6,953954.1K $
288Vulcan Materials Co 3,470944.9K $
289Ventas Inc 11,475938.4K $
290Carvana Co 2,950927.4K $
291Coinbase Global Inc 5,280921.9K $
292Westinghouse Air Brake Technologies Corp 3,679919.4K $
293PayPal Holdings Inc 20,108909.5K $
294Humana Inc 5,189899.7K $
295Dollar General Corp 7,571898.9K $
296Dollar Tree Inc 8,089885.8K $
297Martin Marietta Materials Inc 1,487875.4K $
298Chipotle Mexican Grill Inc 27,290873.6K $
299Archer-Daniels-Midland Co 12,008872.9K $
300Coupang Inc 46,120870.7K $