Titelia

Holdings of Avanza Fonder AB

425 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 40.3 % of the equity sleeve

Sector breakdown

  • Technology 33.5 %
  • Consumer discretionary 12.4 %
  • Communication 12.3 %
  • Health care 11.9 %
  • Financials 11.5 %
  • Consumer staples 6.1 %
  • Industrials 5.2 %
  • Real estate 1.9 %
  • Materials 1.6 %
  • Utilities 0.8 %
  • Unattributed 2.8 %

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
1US4253.3B $100.00 %

Positions

RankCompanySharesValueWeight
301Texas Instruments Inc 4,365847.4K $
302Palantir Technologies Inc 5,618821.8K $
303Realty Income Corp 13,422821.2K $
304Interactive Brokers Group Inc 12,093811.1K $
305Pinterest Inc 43,283793.8K $
306Wells Fargo & Co 9,961793K $
307Invitation Homes Inc 31,743788.8K $
308Atlassian Corp 11,537787.4K $
309Sun Communities Inc 6,213782.6K $
310Markel Group Inc 406777.1K $
311Equitable Holdings Inc 20,637765.8K $
312American Tower Corp 4,412761.4K $
313Sherwin-Williams Co/The 2,349753K $
314Best Buy Co Inc 11,672749.3K $
315Dynatrace Inc 20,153745.3K $
316AbbVie Inc 3,329724K $
317Gen Digital Inc 38,340721.9K $
318Fidelity National Financial Inc 15,516719.6K $
319Cloudflare Inc 3,423706.3K $
320Raymond James Financial Inc 4,790693.5K $
321VeriSign Inc 2,678665.1K $
322Zillow Group Inc 15,101624.9K $
323Corpay Inc 2,143623.6K $
324Block Inc 10,158611.3K $
325Twilio Inc 4,737596K $
326Coinbase Global Inc 3,185556.1K $
327Fiserv Inc 9,714542K $
328Roper Technologies Inc 1,469519.8K $
329NextEra Energy Inc 5,508511.6K $
330Entegris Inc 4,346509.5K $
331AppLovin Corp 1,277508.2K $
332Super Micro Computer Inc 22,294507.6K $
333SS&C Technologies Holdings Inc 7,476505.2K $
334CoStar Group Inc 11,766474.6K $
335Fox Corp 8,898472.5K $
336Trade Desk Inc/The 20,448464K $
337SoFi Technologies Inc 28,995460.4K $
338Robinhood Markets Inc 6,514451.4K $
339Intel Corp 9,279409.5K $
340Fair Isaac Corp 375400.3K $
341ON Semiconductor Corp 6,127379.4K $
342Pure Cycle Corp 33,571337.7K $
343Monster Beverage Corp 4,607333.8K $
344First Citizens BancShares Inc/NC 163307.2K $
345Corteva Inc 3,616302.7K $
346HealthEquity Inc 3,469289.9K $
347Everpure Inc 4,861287K $
348McDonald's Corp. 885275K $
349Air Products and Chemicals Inc 919267K $
350Strategy Inc 2,122264.8K $
351OSI Systems Inc 960254.9K $
352Corebridge Financial Inc 10,298245.7K $
353Steel Dynamics Inc 1,340241.2K $
354Nucor Corp 1,408238.1K $
355Weyerhaeuser Co 9,588234.2K $
356Fortive Corp 3,943218K $
357Kraft Heinz Co/The 9,482213.3K $
358Rockwell Automation Inc 590211.7K $
359News Corp 7,352209.6K $
360Uber Technologies Inc 2,805201.8K $
361Astera Labs Inc 1,560171K $
362Maximus Inc 2,398153.7K $
363Clean Harbors Inc 534153.1K $
364Archer-Daniels-Midland Co 2,052149.2K $
365Entergy Corp 1,287144.6K $
366Palomar Holdings Inc 1,197143K $
367Laureate Education Inc 4,072141.9K $
368CryoPort Inc 16,785139K $
369DTE Energy Co 943137.9K $
370Grand Canyon Education Inc 809137.6K $
371Zillow Group Inc 3,309137K $
372Consolidated Edison Inc 1,205136.4K $
373American Electric Power Co Inc 1,040136.3K $
374CenterPoint Energy Inc 3,128135K $
375Liberty Media Corp-Liberty Formula One 1,729135K $
376Duke Energy Corp 1,028134.6K $
377PG&E Corp 7,592133.4K $
378Southern Co/The 1,373132.5K $
379Alnylam Pharmaceuticals Inc 399132K $
380Ameren Corp 1,198131.7K $
381Weave Communications Inc 28,478131.6K $
382WEC Energy Group Inc 1,134131.3K $
383HCA Healthcare Inc 277131.1K $
384PPL Corp 3,413130.4K $
385Cummins Inc 240129.1K $
386FirstEnergy Corp 2,480125.6K $
387Evergy Inc 1,530125.3K $
388Dominion Energy Inc 2,023125.1K $
389NiSource Inc 2,662124.2K $
390GXO Logistics Inc 2,359122.3K $
391Alliant Energy Corp 1,702122.1K $
392Alarm.com Holdings Inc 2,789120.5K $
393Vistra Corp 773116.2K $
394PACCAR Inc 995114.9K $
395NRG Energy Inc 776113.4K $
396General Motors Co 1,495111.4K $
397Darling Ingredients Inc 1,769109.4K $
398Global Water Resources Inc 14,025106.5K $
399Montrose Environmental Group Inc 4,700102.9K $
400Ford Motor Co 8,849102.1K $