Titelia

Holdings of HARTFORD INVESTMENT MANAGEMENT CO

469 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 37.8 % of the equity sleeve

Sector breakdown

  • Technology 32.7 %
  • Financials 12.1 %
  • Communication 10.6 %
  • Consumer discretionary 9.9 %
  • Health care 9.2 %
  • Industrials 8.1 %
  • Consumer staples 5.1 %
  • Energy 3.1 %
  • Utilities 2.6 %
  • Real estate 1.6 %
  • Materials 1.6 %
  • Unattributed 3.4 %

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 %
  • IL 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US4683.1B $99.99 %
2IL1365.3K $0.01 %

Positions

RankCompanySharesValueWeight
1NVIDIA Corp 1,384,718241.5M $
2Apple Inc 836,619212.3M $
3Microsoft Corp 423,151156.6M $
4Amazon.com Inc 556,657115.9M $
5Alphabet Inc 331,85395.4M $
6Broadcom Inc 270,17283.6M $
7Alphabet Inc 266,59276.5M $
8Meta Platforms Inc 124,62571.3M $
9Tesla Inc 160,26359.6M $
10Berkshire Hathaway Inc 104,51350.1M $
11JPMorgan Chase & Co 153,68345.2M $
12Eli Lilly & Co 45,15941.5M $
13Exxon Mobil Corp 238,20840.4M $
14Johnson & Johnson 137,38533.6M $
15Walmart Inc 249,91431.1M $
16Visa Inc 95,81729M $
17Costco Wholesale Corp 25,29325.2M $
18Mastercard Inc 46,41923.2M $
19Netflix Inc 240,57323.1M $
20Chevron Corp 106,77422.1M $
21AbbVie Inc 100,70321.9M $
22Micron Technology Inc 64,13721.7M $
23Procter & Gamble Co/The 132,54419.1M $
24Palantir Technologies Inc 130,17419M $
25Advanced Micro Devices Inc 92,94718.9M $
26Caterpillar Inc 26,50918.8M $
27Home Depot Inc/The 56,71718.7M $
28Bank of America Corp 378,18118.4M $
29Cisco Systems, Inc. 225,13417.5M $
30Merck & Co Inc 141,50117M $
31General Electric Co 59,78417M $
32Coca-Cola Co/The 221,29916.8M $
33Applied Materials Inc 45,22715.5M $
34Lam Research Corp 71,15715.2M $
35RTX Corp 76,55914.8M $
36Philip Morris International Inc. 88,79414.7M $
37Goldman Sachs Group Inc/The 17,11914.5M $
38Oracle Corp 96,60914.2M $
39Wells Fargo & Co 176,16014M $
40UnitedHealth Group Inc 51,61214M $
41GE Vernova Inc 15,36313.4M $
42International Business Machines Corp. 53,27212.9M $
43McDonald's Corp. 40,58012.6M $
44PepsiCo Inc 77,85212.1M $
45Verizon Communications Inc 240,31712.1M $
46Intel Corp 267,55611.8M $
47AT&T Inc 399,32611.6M $
48Morgan Stanley 68,67911.3M $
49Citigroup Inc 99,59511.3M $
50NextEra Energy Inc 118,68611M $
51KLA Corp 7,46811M $
52Amgen Inc 30,70110.8M $
53Thermo Fisher Scientific Inc 21,41410.5M $
54Abbott Laboratories 99,07510.2M $
55TJX Cos Inc/The 63,29610.1M $
56Texas Instruments Inc 51,71410M $
57Salesforce Inc 53,39310M $
58Gilead Sciences Inc 70,7449.9M $
59Walt Disney Co/The 100,8819.7M $
60Intuitive Surgical Inc 20,2349.3M $
61American Express Co 30,5829.3M $
62ConocoPhillips 69,7999.2M $
63Pfizer Inc 323,7569.1M $
64Charles Schwab Corp/The 95,5559M $
65Boeing Co/The 44,7538.9M $
66Amphenol Corp 70,1298.9M $
67Analog Devices Inc 27,8518.9M $
68Uber Technologies Inc 117,2088.4M $
69Union Pacific Corp 33,8508.2M $
70Honeywell International Inc 36,1648.2M $
71Deere & Co 14,3568.1M $
72Blackrock Inc 8,2207.9M $
73Welltower Inc 39,7987.9M $
74QUALCOMM Inc 60,7747.8M $
75Booking Holdings Inc 1,8387.7M $
76Lowe's Cos Inc 31,9827.6M $
77S&P Global Inc 17,4347.4M $
78Palo Alto Networks Inc 46,0677.4M $
79Arista Networks Inc 58,8197.2M $
80Bristol-Myers Squibb Co 116,0417M $
81Prologis Inc 53,0067M $
82Lockheed Martin Corp 11,5297M $
83Intuit Inc 15,8506.9M $
84Danaher Corp 35,8976.8M $
85Newmont Corp 62,3806.8M $
86Progressive Corp/The 33,3806.6M $
87Capital One Financial Corp 35,4986.5M $
88Vertex Pharmaceuticals Inc 14,4896.5M $
89Parker-Hannifin Corp 7,2146.5M $
90Stryker Corp 19,6376.5M $
91Altria Group, Inc. 95,9546.3M $
92ServiceNow Inc 59,4636.2M $
93AppLovin Corp 15,4516.1M $
94CME Group Inc 20,6046.1M $
95Southern Co/The 62,8346.1M $
96Corning Inc 44,5816.1M $
97McKesson Corp 6,9846M $
98Comcast Corp 204,0355.9M $
99Starbucks Corp 64,9585.8M $
100Duke Energy Corp 44,2985.8M $