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
601Permian Resources Corp 60012.8K $
602Copart Inc 38112.6K $
603RPM International Inc 12612.5K $
604Timken Co/The 12412.5K $
605Digital Turbine Inc 4,28212.3K $
606J & J Snack Foods Corp 15512.3K $
607AZZ Inc 9812.3K $
608Travelers Cos Inc/The 4212.3K $
609Truist Financial Corp 26612.2K $
610Illumina Inc 9712K $
611Xylem Inc/NY 9911.8K $
612Performance Food Group Co 13611.7K $
613APA Corp 27311.6K $
614Curtiss-Wright Corp 1711.6K $
615Avery Dennison Corp 6711.6K $
616Home BancShares Inc/AR 42511.4K $
617Ionis Pharmaceuticals Inc 15211.4K $
618Elanco Animal Health Inc 47411.3K $
619Moody's Corp 2611.3K $
620Moderna Inc 22311.3K $
621NOV Inc 59611.2K $
622KKR & Co Inc 12111.2K $
623Aflac Inc 10211.2K $
624Otis Worldwide Corp 14511.2K $
625TrustCo Bank Corp NY 25511.2K $
626Envista Holdings Corp 44011.2K $
627Incyte Corp 11811.1K $
628McCormick & Co Inc/MD 22011.1K $
629BioAge Labs Inc 63111K $
630Corvus Pharmaceuticals Inc 75411K $
631Eastman Chemical Co 14310.9K $
632Genuine Parts Co 10210.8K $
633Nuvalent Inc 10510.8K $
634Lifecore Biomedical Inc 2,87310.7K $
635Axon Enterprise Inc 2510.6K $
636MasTec Inc 3310.6K $
637Associated Banc-Corp 40910.6K $
638Hartford Insurance Group Inc/The 7810.5K $
639Burlington Stores Inc 3210.4K $
640Murphy USA Inc 2110.4K $
641Revolution Medicines Inc 10610.3K $
642Privia Health Group Inc 50110.3K $
643Neurocrine Biosciences Inc 7810.3K $
644Central Pacific Financial Corp 32110.3K $
645HEICO Corp 3710.1K $
646Align Technology Inc 5910.1K $
647Veralto Corp 11410.1K $
648Chord Energy Corp 7010K $
649Arthur J Gallagher & Co 459.7K $
650Byline Bancorp Inc 3089.7K $
651Masco Corp 1619.7K $
652Dick's Sporting Goods Inc 499.7K $
653Bumble Inc 2,9499.6K $
654Bridgebio Pharma Inc 1299.6K $
655Somnigroup International Inc 1299.5K $
656Castle Biosciences Inc 3879.5K $
657AST SpaceMobile Inc 1149.4K $
658DT Midstream Inc 709.4K $
659MarketWise Inc 5029.4K $
660Cytokinetics Inc 1429.4K $
661Verisk Analytics Inc 499.3K $
662SS&C Technologies Holdings Inc 1379.3K $
663Amylyx Pharmaceuticals Inc 6619.2K $
664Zumiez Inc 4129.1K $
665First Business Financial Services Inc 1699.1K $
666Rent the Runway Inc 1,8939K $
667Hanover Insurance Group Inc/The 529K $
668Solstice Advanced Materials Inc 1189K $
669Madrigal Pharmaceuticals Inc 178.9K $
670Leidos Holdings Inc 578.9K $
671TopBuild Corp 258.8K $
672EchoStar Corp 758.8K $
673XPO Inc 458.8K $
674Watsco Inc 248.7K $
675API Group Corp 2158.7K $
676Fortive Corp 1568.6K $
677Exelixis Inc 2018.6K $
678Definitive Healthcare Corp 7,0018.6K $
679Robinhood Markets Inc 1248.6K $
680Fifth Third Bancorp 1838.5K $
681Tactile Systems Technology Inc 3238.4K $
682MetLife Inc 1198.4K $
683ITT Inc 448.4K $
684Ideaya Biosciences Inc 2518.4K $
685Apollo Global Management Inc 758.4K $
686Lennox International Inc 188.4K $
687Broadridge Financial Solutions Inc 518.3K $
688Toro Co/The 878.1K $
689Covenant Logistics Group Inc 2958K $
690Owens Corning 748K $
691Las Vegas Sands Corp 1488K $
692AptarGroup Inc 637.9K $
693First Hawaiian Inc 3217.9K $
694Expeditors International of Washington Inc 557.9K $
695Woodward Inc 227.9K $
696Vaxcyte Inc 1337.7K $
697Element Solutions Inc 2257.7K $
698Nasdaq Inc 907.6K $
699Core & Main Inc 1547.6K $
700Annaly Capital Management Inc 3587.6K $