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
101Adobe Inc 23,4295.7M $
102T-Mobile US Inc 27,0235.7M $
103Equinix Inc 5,6045.5M $
104Vertiv Holdings Co 21,8005.5M $
105Sandisk Corp/DE 8,4275.4M $
106Boston Scientific Corp 84,5335.3M $
107Howmet Aerospace Inc 22,8685.3M $
108Western Digital Corp 19,3315.2M $
109CVS Health Corp 72,4605.2M $
110Northrop Grumman Corp 7,6045.2M $
111Williams Cos Inc/The 70,0315.1M $
112Intercontinental Exchange Inc 32,3885.1M $
113General Dynamics Corp 14,4835M $
114Constellation Energy Corp. 17,7475M $
115Waste Management Inc 21,1854.9M $
116Freeport-McMoRan Inc 81,8564.8M $
117PNC Financial Services Group Inc/The 23,0304.8M $
118Marsh & McLennan Cos Inc 27,5784.8M $
119Quanta Services Inc 8,5234.7M $
120Bank of New York Mellon Corp/The 39,4294.7M $
121Automatic Data Processing Inc 22,8974.7M $
122US Bancorp 88,6624.6M $
123American Tower Corp 26,6354.6M $
124EOG Resources Inc 30,8474.5M $
125Regeneron Pharmaceuticals, Inc. 5,7524.4M $
126O'Reilly Automotive Inc 48,0634.4M $
127FedEx Corp 12,3104.4M $
1283M Co 30,0114.4M $
129CSX Corp 105,9594.3M $
130Synopsys Inc 10,9064.3M $
131Cadence Design Systems Inc 15,5454.3M $
132Valero Energy Corp 17,3974.3M $
133Cummins Inc 7,8684.2M $
134HCA Healthcare Inc 8,9384.2M $
135Sherwin-Williams Co/The 13,1394.2M $
136Mondelez International Inc 73,0614.2M $
137Emerson Electric Co. 32,0684.2M $
138Phillips 66 22,9144.2M $
139United Parcel Service Inc 41,9824.1M $
140Marriott International Inc/MD 12,5464.1M $
141Marathon Petroleum Corp 16,7964.1M $
142Motorola Solutions Inc 9,4414.1M $
143American Electric Power Co Inc 30,8134M $
144Cigna Group/The 15,0274M $
145Ross Stores Inc 18,4434M $
146Hilton Worldwide Holdings Inc 13,1114M $
147Colgate-Palmolive Co 46,1583.9M $
148Warner Bros Discovery Inc 141,5263.9M $
149Ecolab Inc 14,5953.9M $
150Illinois Tool Works Inc 14,8643.9M $
151General Motors Co 51,5923.8M $
152Moody's Corp 8,7383.8M $
153Kinder Morgan, Inc. 112,1523.8M $
154TransDigm Group Inc 3,2243.7M $
155Elevance Health Inc 12,5843.7M $
156Air Products and Chemicals Inc 12,6723.7M $
157Norfolk Southern Corp 12,7893.7M $
158L3Harris Technologies Inc 10,6263.7M $
159Travelers Cos Inc/The 12,4353.6M $
160KKR & Co Inc 39,1663.6M $
161Sempra 37,1453.6M $
162NIKE Inc 67,8883.6M $
163Cencora Inc 11,0853.5M $
164PACCAR Inc 29,9733.5M $
165Simon Property Group Inc 18,5173.5M $
166Baker Hughes Co 56,3543.4M $
167Digital Realty Trust Inc 18,4383.3M $
168Cintas Corp 19,3513.3M $
169Truist Financial Corp 71,0753.3M $
170ONEOK Inc 35,9463.2M $
171Aflac Inc 29,5813.2M $
172Corteva Inc 38,4543.2M $
173Realty Income Corp 52,3873.2M $
174DoorDash Inc 21,3273.2M $
175AutoZone Inc 9463.2M $
176Arthur J Gallagher & Co 14,6403.2M $
177Ciena Corp 8,0503.1M $
178Target Corp 25,7463.1M $
179Robinhood Markets Inc 44,8793.1M $
180Allstate Corp/The 14,9093.1M $
181Targa Resources Corp 12,2783.1M $
182Airbnb Inc 24,1073M $
183Fastenal Co 65,5113M $
184Monolithic Power Systems Inc 2,7743M $
185Dominion Energy Inc 48,5343M $
186Monster Beverage Corp 40,8743M $
187Apollo Global Management Inc 26,5013M $
188Fortinet Inc 36,1003M $
189Entergy Corp 25,8812.9M $
190Autodesk Inc 12,0932.9M $
191Lumentum Holdings Inc 4,0712.9M $
192Exelon Corp 58,0622.8M $
193Zoetis Inc 24,0302.8M $
194Cardinal Health, Inc. 13,4412.8M $
195AMETEK Inc 13,1692.8M $
196Dell Technologies Inc 16,9352.8M $
197Comfort Systems USA Inc 2,0082.8M $
198Keysight Technologies Inc 9,7812.8M $
199Vistra Corp 18,1472.7M $
200WW Grainger Inc 2,4952.7M $