Titelia

Portfolio von ROYAL BANK OF CANADA

4711 gemeldete Positionen · zum 31.03.2026

Originalmeldung · Zehn größte Positionen: 27 % des Aktienteils

Aufteilung nach Branche

  • Technologie 21,1 %
  • Finanzen 10,1 %
  • Kommunikation 7,4 %
  • Gesundheit 7,3 %
  • Zyklischer Konsum 7,2 %
  • Fonds 6,8 %
  • Industrie 6,7 %
  • Basiskonsum 4,5 %
  • Energie 2,5 %
  • Versorger 2,1 %
  • Rohstoffe 1,4 %
  • Immobilien 1,0 %
  • Nicht zugeordnet 21,9 %

Einstufung von Titelia, Gesellschaft für Gesellschaft. Der nicht zugeordnete Anteil bleibt sichtbar.

Aufteilung nach Währung

  • USD 100,0 %

Die gemeldete Notierungswährung jeder Position.

Länderaufteilung

  • US 97,9 %
  • TW 0,6 %
  • GB 0,5 %
  • IN 0,3 %
  • NL 0,3 %
  • MX 0,2 %
  • DK 0,0 %
  • FR 0,0 %
  • IE 0,0 %
  • DE 0,0 %
  • AU 0,0 %
  • JP 0,0 %
  • Weitere Länder 0,1 %

Anteile berechnet auf den Aktienteil.

RangLandPositionenWertAnteil
1US4.525379,1 Mrd. $97,88 %
2TW42,1 Mrd. $0,55 %
3GB251,8 Mrd. $0,46 %
4IN51,2 Mrd. $0,31 %
5NL61,1 Mrd. $0,28 %
6MX10716 Mio. $0,18 %
7DK3171,5 Mio. $0,04 %
8FR5153,9 Mio. $0,04 %
9IE1152,2 Mio. $0,04 %
10DE3124,4 Mio. $0,03 %
11AU792,7 Mio. $0,02 %
12JP678,7 Mio. $0,02 %

Positionen

RangGesellschaftStückeWertGewicht
3.601Greif Inc 65257.000 $
3.602KINGSOFT CLOUD HOLDINGS LTD 4.27657.000 $
3.603loanDepot Inc 39.69057.000 $
3.604PONY AI INC 6.11457.000 $
3.605REX American Resources Corp 1.25757.000 $
3.606Swarmer Inc 1.20057.000 $
3.607Univest Financial Corp 1.64557.000 $
3.608VEON Ltd 1.22357.000 $
3.609Amerant Bancorp Inc 2.52456.000 $
3.610Controladora Vuela Cia de Aviacion SAB de CV 7.75556.000 $
3.611Guardian Pharmacy Services Inc 1.48956.000 $
3.612JPMorgan Inflation Managed Bond ETF 1.15756.000 $
3.613NANOBIOTIX SA 1.82556.000 $
3.614ProFrac Holding Corp 9.00356.000 $
3.615Carter's Inc 1.54955.000 $
3.616Innospec Inc 74555.000 $
3.617Petco Health & Wellness Co Inc 19.66955.000 $
3.618Ryerson Holding Corp 2.45155.000 $
3.619SunCoke Energy Inc 8.37755.000 $
3.620CTS Corp 1.12654.000 $
3.621Flexshares Trust 1.35854.000 $
3.622Keros Therapeutics Inc 4.86254.000 $
3.623MIND Technology Inc 6.49054.000 $
3.624Pacer Aristotle Pacific Floati 1.16954.000 $
3.625Coya Therapeutics Inc 13.39253.000 $
3.626Franklin Templeton ETF Trust 1.93353.000 $
3.627MediaAlpha Inc 5.71253.000 $
3.628Oak Valley Bancorp 1.64353.000 $
3.629OrthoPediatrics Corp 3.33353.000 $
3.630Taylor Devices Inc 92853.000 $
3.631Central Pacific Financial Corp 1.61252.000 $
3.632Clover Health Investments Corp 29.60352.000 $
3.633Geron Corp 34.38852.000 $
3.634iShares Trust 79252.000 $
3.635Neogen Corp 5.64552.000 $
3.636Ooma Inc 3.55952.000 $
3.637Princeton Bancorp Inc 1.54152.000 $
3.638VAALCO Energy Inc 8.21052.000 $
3.639Angel Oak Mortgage-Backed Secu 5.89751.000 $
3.640Barings Participation Investor 3.00051.000 $
3.641Cosan SA 12.38951.000 $
3.642DoubleLine Mortgage ETF 1.03351.000 $
3.643Shoals Technologies Group Inc 7.71751.000 $
3.644Virgin Galactic Holdings Inc 20.96451.000 $
3.645Franklin Templeton ETF Trust 1.24050.000 $
3.646Liquidia Corp 1.31750.000 $
3.647Torrid Holdings Inc 28.11450.000 $
3.648Capitol Federal Financial Inc 6.78849.000 $
3.649Vistance Networks Inc 2.70849.000 $
3.650DiamondRock Hospitality Co 5.18749.000 $
3.651Employers Holdings Inc 1.20349.000 $
3.652Investors Title Co 22549.000 $
3.653Nuveen Churchill Direct Lending Corp 3.86949.000 $
3.654Tilray Brands Inc 7.57349.000 $
3.655Horizon Bancorp Inc/IN 2.87348.000 $
3.656Kennedy-Wilson Holdings Inc 4.39648.000 $
3.657Marcus Corp/The 2.81048.000 $
3.658Saba Capital Income & Opportunities Fund 7.05748.000 $
3.659Templeton Dragon 4.45048.000 $
3.660Xencor Inc 3.91048.000 $
3.661Appian Corp 1.97747.000 $
3.662Douglas Emmett Inc 4.98447.000 $
3.663Firstsun Capital Bancorp 1.27647.000 $
3.664Gibraltar Industries Inc 1.16647.000 $
3.665Global X SuperDividend REIT ETF 2.23447.000 $
3.666Heartland Express Inc 4.54647.000 $
3.667Bank of Marin Bancorp 1.81246.000 $
3.668CENTESSA PHARMACEUTICALS PLC 1.16446.000 $
3.669First Trust Exchange-Traded AlphaDEX Fund II 73846.000 $
3.670Hilton Grand Vacations Inc 1.20046.000 $
3.671Ibotta Inc 1.54546.000 $
3.672Lineage Inc 1.39746.000 $
3.673Chiron Real Estate Inc 1.36745.000 $
3.674Jack in the Box Inc 4.63445.000 $
3.675Distribution Solutions Group Inc 1.70045.000 $
3.676Elevra Lithium Ltd 77245.000 $
3.677Stagwell Inc 7.08845.000 $
3.678GMO US Quality ETF 1.26845.000 $
3.679Kronos Worldwide Inc 6.67944.000 $
3.680Peapack-Gladstone Financial Corp 1.24044.000 $
3.681RPC Inc 6.19444.000 $
3.682SEI DBi Multi Strategy Alternative ETF 1.73344.000 $
3.683Avanos Medical Inc 3.05343.000 $
3.684Banco Santander Brasil SA 7.13643.000 $
3.685Criteo SA 2.40243.000 $
3.686El Pollo Loco Holdings Inc 3.06343.000 $
3.687Independent Bank Corp/MI 1.28243.000 $
3.688Richtech Robotics Inc 20.86343.000 $
3.689Trust For Professional Managers 1.55543.000 $
3.690USANA Health Sciences Inc 2.44343.000 $
3.691Banco Macro SA 55342.000 $
3.692EVOLUTION METALS and TECHNOLOGIES CORP 5.57242.000 $
3.693Interface Inc 1.72842.000 $
3.694Kosmos Energy Ltd 14.89542.000 $
3.695F/m US Treasury 3 Month Bill F 83442.000 $
3.696Talkspace Inc 8.11542.000 $
3.697AtaiBeckley Inc 11.55741.000 $
3.698Day One Biopharmaceuticals Inc 1.91141.000 $
3.699JAKKS Pacific Inc 2.06541.000 $
3.700Precigen Inc 10.59241.000 $