Titelia

Holdings of MEEDER ASSET MANAGEMENT INC

822 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 40 % of the equity sleeve

Sector breakdown

  • Technology 28.4 %
  • Health care 10.7 %
  • Financials 10.3 %
  • Industrials 9.9 %
  • Communication 9.3 %
  • Consumer discretionary 3.9 %
  • Energy 3.2 %
  • Real estate 1.6 %
  • Materials 1.2 %
  • Funds 0.9 %
  • Utilities 0.6 %
  • Consumer staples 0.4 %
  • Unattributed 19.5 %

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
1US8221.7B $100.00 %

Positions

RankCompanySharesValueWeight
101Phinia Inc 35,7212.4M $
102Costco Wholesale Corp 2,4382.4M $
103AECOM 28,6332.4M $
104Universal Health Services Inc 13,2702.4M $
105Skyworks Solutions Inc 44,2312.4M $
106V2X Inc 33,5702.3M $
107Consolidated Edison Inc 19,8142.2M $
108KLA Corp 1,5162.2M $
109Tesla Inc 5,9312.2M $
110Avnet Inc 33,5272.1M $
111United Parcel Service Inc 20,8982.1M $
112SM Energy Co 65,3742M $
113EverQuote Inc 128,1162M $
114Alphabet Inc 6,7431.9M $
115Wintrust Financial Corp 13,9211.9M $
116Southwest Airlines Co 50,7921.9M $
117CDW Corp/DE 15,3711.9M $
118Capital One Financial Corp 10,1601.9M $
119ScanSource Inc 50,8981.8M $
120Hubbell Inc 3,7011.8M $
121Lincoln Electric Holdings Inc 7,2731.8M $
122iShares MSCI Japan ETF 20,3231.7M $
123BorgWarner Inc 31,5611.7M $
124Cigna Group/The 6,4111.7M $
125Deckers Outdoor Corp 16,9971.7M $
126Viasat Inc 35,2791.6M $
127Devon Energy Corp 31,4961.6M $
128Vertex Pharmaceuticals Inc 3,4241.5M $
129Champion Homes Inc 20,4501.5M $
130New York Times Co/The 18,1181.5M $
131Southern Copper Corp 8,7871.5M $
132Phillips 66 8,1761.5M $
133EnerSys 8,3981.5M $
134AMETEK Inc 6,5311.4M $
135Kroger Co/The 18,9341.4M $
136Amkor Technology Inc 30,1391.4M $
137Coeur Mining Inc 69,2531.3M $
138United Bankshares Inc/WV 30,3171.3M $
139NVR Inc 1861.2M $
140Ciena Corp 3,1551.2M $
141PACCAR Inc 10,4581.2M $
142Acuity Inc 4,0891.1M $
143Everpure Inc 19,2831.1M $
144Frontdoor Inc 21,5271.1M $
145Nucor Corp 6,6031.1M $
146Valmont Industries Inc 2,7931.1M $
147Jones Lang LaSalle Inc 3,6591.1M $
148Graco Inc 12,9231.1M $
149iShares Trust 23,8051.1M $
150Walmart Inc 8,4701.1M $
151Ulta Beauty Inc 1,9971M $
152Visa Inc 3,4021M $
153Texas Roadhouse Inc 6,2061M $
154Bristol-Myers Squibb Co 16,8531M $
155Marathon Petroleum Corp 4,1231M $
156Verizon Communications Inc 20,0141M $
157Calix Inc 19,934976.6K $
158General Motors Co 13,106976.4K $
159TTM Technologies Inc 9,710945.9K $
160Alcoa Corp 14,176940.3K $
161NRG Energy Inc 6,427939.2K $
162iShares MSCI Canada ETF 16,939928.1K $
163Pathward Financial Inc 10,091900.4K $
164Flowserve Corp 12,181895.4K $
165Mohawk Industries Inc 9,073893.3K $
166United Therapeutics Corp 1,503891.3K $
167Stewart Information Services Corp 14,357884.1K $
168American Public Education Inc 15,481880.6K $
169Abercrombie & Fitch Co 9,564873.9K $
170Blue Bird Corp 15,372873K $
171Brinker International Inc 5,945848.8K $
172BWX Technologies Inc 4,138846.2K $
173Encompass Health Corp 8,701841.6K $
174Kaiser Aluminum Corp 6,954838K $
175Walt Disney Co/The 8,550824K $
176Lear Corp 6,802823.6K $
177CBL & Associates Properties Inc 21,372821.3K $
178RTX Corp 4,111793K $
179Global Payments Inc 11,653784.2K $
180iShares MSCI Taiwan ETF 10,758763K $
181Valero Energy Corp 3,025747.4K $
182Commercial Metals Co 11,770723K $
183Howmet Aerospace Inc 3,100714.4K $
184United Rentals Inc 976711.1K $
185Expedia Group Inc 2,972686.2K $
186Generac Holdings Inc 3,490681.7K $
187Advanced Micro Devices Inc 3,327676.8K $
188Ishares Inc 24,026667K $
189PepsiCo Inc 4,292666.5K $
190SkyWest Inc 7,071649.3K $
191Steel Dynamics Inc 3,551639.2K $
192Sandisk Corp/DE 986626.4K $
193Dropbox Inc 27,554626K $
194Citizens Financial Group Inc 10,431625.5K $
195Edison International 8,365612.2K $
196Teradata Corp 23,646606K $
197Kite Realty Group Trust 23,889586.5K $
198IDT Corp 11,860582.3K $
199Crown Holdings Inc 5,722573.6K $
200AT&T Inc 19,579567.6K $