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
201Xcel Energy Inc 33,7102.7M $
202Occidental Petroleum Corp 40,9212.7M $
203Edwards Lifesciences Corp 33,1302.7M $
204Teradyne Inc 8,9322.6M $
205Electronic Arts Inc 12,8352.6M $
206United Rentals Inc 3,5872.6M $
207Ford Motor Co 223,2312.6M $
208IDEXX Laboratories Inc 4,5582.6M $
209MetLife Inc 36,0682.6M $
210Becton Dickinson & Co 16,2082.5M $
211Carvana Co 8,0612.5M $
212Republic Services Inc 11,5252.5M $
213Carrier Global Corp 44,8122.5M $
214Yum! Brands Inc 15,9272.5M $
215Delta Air Lines Inc 36,9822.5M $
216Westinghouse Air Brake Technologies Corp 9,7892.4M $
217Public Storage 9,0122.4M $
218Kroger Co/The 33,2212.4M $
219Fifth Third Bancorp 51,3412.4M $
220Chipotle Mexican Grill Inc 74,0652.4M $
221PayPal Holdings Inc 52,3672.4M $
222eBay Inc 25,7772.3M $
223Consolidated Edison Inc 20,5982.3M $
224American International Group Inc 30,8002.3M $
225Ameriprise Financial Inc 5,2062.3M $
226Public Service Enterprise Group Inc 28,5502.3M $
227Rockwell Automation Inc 6,4052.3M $
228EQT Corp 35,7312.3M $
229Prudential Financial, Inc. 23,2182.3M $
230MSCI Inc 4,1852.3M $
231CBRE Group Inc 16,5782.2M $
232Ventas Inc 27,1632.2M $
233Coinbase Global Inc 12,6902.2M $
234PG&E Corp 125,6082.2M $
235Datadog Inc 18,6922.2M $
236Nucor Corp 13,0072.2M $
237Diamondback Energy Inc 11,0632.2M $
238Nasdaq Inc 25,6602.2M $
239Roper Technologies Inc 6,0952.2M $
240WEC Energy Group Inc 18,4562.1M $
241DR Horton Inc 15,3562.1M $
242Vulcan Materials Co 7,5052M $
243Keurig Dr Pepper Inc 77,5832M $
244Old Dominion Freight Line Inc 10,4262M $
245Martin Marietta Materials Inc 3,4302M $
246Crown Castle Inc 24,8102M $
247State Street Corp 15,8852M $
248Archer-Daniels-Midland Co 27,4352M $
249Microchip Technology Inc 30,8052M $
250Take-Two Interactive Software Inc 9,9322M $
251Sysco Corp 27,3191.9M $
252Axon Enterprise Inc 4,4901.9M $
253Kenvue Inc 109,6111.9M $
254EMCOR Group Inc 2,5591.9M $
255Block Inc 31,1691.9M $
256ResMed Inc 8,3411.9M $
257Halliburton Co 47,7521.9M $
258Agilent Technologies Inc 16,1011.8M $
259Huntington Bancshares Inc/OH 117,1291.8M $
260Kimberly-Clark Corp 18,8171.8M $
261M&T Bank Corp 8,7281.8M $
262Hewlett Packard Enterprise Co 75,0591.8M $
263Devon Energy Corp 35,4031.8M $
264NRG Energy Inc 12,1251.8M $
265Atmos Energy Corp 9,5381.8M $
266Hershey Co/The 8,4511.8M $
267Ameren Corp 15,9191.7M $
268DTE Energy Co 11,8121.7M $
269Iron Mountain Inc 16,8791.7M $
270Fiserv Inc 30,6961.7M $
271United Airlines Holdings Inc 18,5611.7M $
272Interactive Brokers Group Inc 25,4671.7M $
273Otis Worldwide Corp 22,0631.7M $
274Dow Inc 40,5451.7M $
275Cboe Global Markets Inc 6,0071.7M $
276Copart Inc 50,8421.7M $
277Paychex Inc 18,2071.7M $
278Waters Corp 5,6231.7M $
279VICI Properties Inc 61,2211.7M $
280Cognizant Technology Solutions Corp. 27,2091.7M $
281Xylem Inc/NY 13,8871.7M $
282IQVIA Holdings Inc 9,7201.7M $
283Ingersoll Rand Inc 20,3481.6M $
284Tapestry Inc 11,5341.6M $
285PPL Corp 42,4221.6M $
286Teledyne Technologies Inc 2,6781.6M $
287CenterPoint Energy Inc 37,5361.6M $
288Dover Corp 7,7111.6M $
289Edison International 21,8791.6M $
290Jabil Inc 6,0111.6M $
291Extra Space Storage Inc 12,0481.6M $
292Texas Pacific Land Corp 3,3131.6M $
293Workday Inc 12,0891.6M $
294Expedia Group Inc 6,6921.5M $
295Biogen Inc 8,4011.5M $
296Coterra Energy Inc 43,6701.5M $
297American Water Works Co Inc 11,1381.5M $
298Verisk Analytics Inc 7,9141.5M $
299Expand Energy Corp 13,6481.5M $
300FirstEnergy Corp 29,5291.5M $