Titelia

Holdings of PNC FINANCIAL SERVICES GROUP, INC.

4213 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 45.7 % of the equity sleeve

Sector breakdown

  • Health care 31.3 %
  • Funds 12.7 %
  • Technology 9.6 %
  • Financials 5.0 %
  • Industrials 3.4 %
  • Communication 3.1 %
  • Consumer discretionary 3.0 %
  • Consumer staples 2.6 %
  • Energy 1.4 %
  • Utilities 1.0 %
  • Materials 0.4 %
  • Real estate 0.2 %
  • Unattributed 26.3 %

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 99.6 %
  • TW 0.2 %
  • GB 0.1 %
  • NL 0.0 %
  • DE 0.0 %
  • JP 0.0 %
  • DK 0.0 %
  • IN 0.0 %
  • KR 0.0 %
  • ES 0.0 %
  • FR 0.0 %
  • KY 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US3,772170B $99.57 %
2TW3360M $0.21 %
3GB44149.1M $0.09 %
4NL1968.6M $0.04 %
5DE2924.4M $0.01 %
6JP7318.1M $0.01 %
7DK1018M $0.01 %
8IN514.3M $0.01 %
9KR810.7M $0.01 %
10ES109.5M $0.01 %
11FR308M $0.00 %
12KY257.5M $0.00 %

Positions

RankCompanySharesValueWeight
1,901Sunrun Inc 18,193246.7K $
1,902ZoomInfo Technologies Inc 41,171246.2K $
1,903First Watch Restaurant Group Inc 23,479246.1K $
1,904iShares Trust 4,080244.6K $
1,905California Water Service Group 5,392244.5K $
1,906iShares Core 80/20 Aggressive 2,762244.4K $
1,907Grayscale Bitcoin Mini Trust E 8,128243.8K $
1,908Pediatrix Medical Group Inc 11,335242.5K $
1,909Harley-Davidson Inc 11,983242.3K $
1,910Siemens Energy AG 1,436242.3K $
1,911Terex Corp 4,082241.2K $
1,912Univest Financial Corp 7,039241.2K $
1,913BlackRock Health Sciences Trust 6,250240.7K $
1,914Ducommun Inc 1,966239.9K $
1,915Leonardo DRS Inc 5,387239.8K $
1,916First Trust Exchange-Traded Fund III 13,510239.8K $
1,917Liquidia Corp 6,339239.2K $
1,918Albertsons Cos Inc 13,931237.4K $
1,919New York Life Investments ETF Trust 6,937236.7K $
1,920Apollo Commercial Real Estate Finance, Inc. 22,407236.6K $
1,921Artivion Inc 6,460236.6K $
1,922Park Hotels & Resorts Inc 22,417236.1K $
1,923Trex Co Inc 6,477235.9K $
1,924StandardAero Inc 9,105235.2K $
1,925AMN Healthcare Services Inc 12,782234.4K $
1,926ISHARES TRUST 6,431234.2K $
1,927LiveRamp Holdings Inc 8,829234.1K $
1,928York Space Systems Inc 10,560234.1K $
1,929Clear Secure Inc 4,828233.7K $
1,930Franklin Templeton ETF Trust 7,028233.5K $
1,931Dimensional ETF Trust 6,350233.4K $
1,932Western Midstream Partners LP 5,662233.1K $
1,933Cass Information Systems Inc 5,289232.8K $
1,934Power Integrations Inc 4,530231.9K $
1,935MGE Energy Inc 2,996231.6K $
1,936Ultragenyx Pharmaceutical Inc 11,050231.5K $
1,937MVB Financial Corp 9,316231.3K $
1,938GLOBAL X FUNDS 12,557231K $
1,939DNOW Inc 19,331230.2K $
1,940Fresenius Medical Care AG 10,193229.9K $
1,941Tidewater Inc 2,737228.7K $
1,942Mercury General Corp 2,574226.9K $
1,943Liberty Energy Inc 7,855226.2K $
1,944Americold Realty Trust Inc 19,719226K $
1,945Universal Health Realty Income Trust 5,583225.9K $
1,946Boise Cascade Co 2,977225.8K $
1,947Sensient Technologies Corp 2,611225.7K $
1,948Opera Ltd 15,800225.3K $
1,949Dimensional International Smal 6,685225.1K $
1,950H2O America 3,812223.7K $
1,951PDF Solutions Inc 6,814222.9K $
1,952BlackRock Science and Technology Term Trust 10,029222.1K $
1,953F&G Annuities & Life Inc 8,770222.1K $
1,954ICF International Inc 3,398221.9K $
1,955MCCORMICK & COMPANY, INCORPORATED 4,400221.7K $
1,956RingCentral Inc 5,945221.1K $
1,957Napco Security Technologies Inc 5,612221.1K $
1,958John Wiley & Sons Inc 5,798220.9K $
1,959Duolingo Inc 2,240220.8K $
1,960SL Green Realty Corp 5,969220.5K $
1,961NPK International Inc 15,199220.2K $
1,962New Oriental Education & Technology Group Inc 3,872219.3K $
1,963Citizens Financial Services Inc 3,578218.8K $
1,964Cannae Holdings Inc 19,224218.6K $
1,965SPDR Series Trust 7,098218.5K $
1,966Royce Small Cap Trust Inc 13,146218.2K $
1,967Cinemark Holdings Inc 7,613217.1K $
1,968Nuvalent Inc 2,110216.2K $
1,969CSG Systems International Inc 2,696215.5K $
1,970Penn Entertainment Inc 14,298214.9K $
1,971Post Holdings Inc 2,172214.7K $
1,972TAL Education Group 18,878214.6K $
1,973GEO Group Inc/The 12,756214.4K $
1,974US Physical Therapy Inc 2,846213.3K $
1,975Invesco RAFI US 1500 Small-Mid ETF 4,648213.2K $
1,976Privia Health Group Inc 10,361213.1K $
1,977PTC Therapeutics Inc 3,128213.1K $
1,978EAGLE POINT CREDIT CO 56,624212.9K $
1,979Blue Foundry Bancorp 16,062212.7K $
1,980Doximity Inc 9,112212.3K $
1,981Bristow Group Inc 4,509211.4K $
1,982HA Sustainable Infrastructure Capital Inc 5,744211.1K $
1,983Dropbox Inc 9,278210.8K $
1,984Riot Platforms Inc 17,001210.1K $
1,985Invesco Exchange-Traded Fund Trust 1,944209.2K $
1,986iShares Trust 4,110208.1K $
1,987Broadstone Net Lease Inc 11,301206.5K $
1,988Lasertec Corp 4,715206.2K $
1,989Pathward Financial Inc 2,310206.1K $
1,990abrdn Physical Gold Shares ETF 4,619206.1K $
1,991Getty Realty Corp 6,481206.1K $
1,992FIDELITY COVINGTON TRUST 2,927206K $
1,993WISDOMTREE TR 2,015205.7K $
1,994Brighthouse Financial Inc 3,427205.2K $
1,995Koppers Holdings Inc 5,290204.6K $
1,996Adaptive Biotechnologies Corp 14,737204.6K $
1,997H World Group Ltd 4,062204.3K $
1,998J.P. MORGAN EXCHANGE-TRADED FUND TRUST 2,817204K $
1,999SPS Commerce Inc 3,642202.8K $
2,000Silgan Holdings Inc 5,212202.2K $