Titelia

Holdings of NYLI Epoch Global Equity Yield Fund

NEW YORK LIFE INVESTMENTS FUNDS TRUST ·112 declared positions · as of Apr 30, 2026

Original filing · Net assets 933.7M $ · Ten largest lines: 21.4 % of the equity sleeve

Sector breakdown

  • Technology 25.8 %
  • Financials 10.4 %
  • Health care 10.4 %
  • Consumer staples 7.3 %
  • Communication 6.3 %
  • Industrials 6.0 %
  • Utilities 4.9 %
  • Consumer discretionary 3.1 %
  • Real estate 1.7 %
  • Energy 1.6 %
  • Materials 0.6 %
  • Unattributed 21.9 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 73.1 %
  • EUR 10.3 %
  • GBP 7.8 %
  • CAD 3.3 %
  • CHF 2.2 %
  • JPY 1.3 %
  • NOK 1.2 %
  • HKD 0.9 %

The quoted currency of each line, as declared.

Country breakdown

  • US 67.5 %
  • GB 7.9 %
  • FR 5.2 %
  • CA 4.2 %
  • DE 3.4 %
  • TW 2.4 %
  • CH 2.2 %
  • IT 1.7 %
  • KR 1.3 %
  • JP 1.3 %
  • NO 1.2 %
  • HK 0.9 %
  • Other countries 0.8 %

Shares computed on the equity sleeve.

CountryLinesValueShare
US72617.2M $67.53 %
GB1171.9M $7.87 %
FR647.3M $5.18 %
CA538.7M $4.24 %
DE530.7M $3.36 %
TW122M $2.41 %
CH319.9M $2.18 %
IT215.8M $1.73 %
KR112.3M $1.34 %
JP211.4M $1.25 %
NO210.8M $1.18 %
HK18.6M $0.94 %

Positions

CompanySharesValueWeight
Broadcom Inc 54,33022.7M $2.43 %
Cisco Systems, Inc. 244,24922.3M $2.39 %
Taiwan Semiconductor Manufacturing Co Ltd 55,60422M $2.36 %
Dell Technologies Inc 103,20421.6M $2.31 %
Hewlett Packard Enterprise Co 716,76520.6M $2.21 %
Analog Devices Inc 48,88019.7M $2.11 %
Texas Instruments Inc 65,56418.4M $1.97 %
Microsoft Corp 42,01217.1M $1.83 %
Microchip Technology Inc 179,98616.7M $1.79 %
AbbVie Inc 66,93614.1M $1.51 %
International Business Machines Corp. 60,19013.9M $1.49 %
American Electric Power Co Inc 94,42212.9M $1.39 %
Manulife Financial Corp 329,00512.9M $1.39 %
CVS Health Corp 152,65712.7M $1.36 %
Samsung Electronics Co Ltd 3,27512.3M $1.31 %
Hasbro Inc 125,40512M $1.29 %
Orange SA 549,42711.5M $1.23 %
BAE Systems PLC 375,41710.4M $1.12 %
MSC Industrial Direct Co Inc 101,06010.3M $1.11 %
AT&T Inc 390,60510.2M $1.09 %
Iron Mountain Inc 80,90110.2M $1.09 %
Snam SpA 1,274,66810.1M $1.08 %
MetLife Inc 122,4579.8M $1.05 %
Entergy Corp 82,5759.7M $1.04 %
AXA SA 201,7619.7M $1.04 %
Alphabet Inc 25,2619.6M $1.03 %
Bank of America Corp 176,6759.4M $1.01 %
Restaurant Brands International Inc 116,4809.4M $1.01 %
Apple Inc 34,5369.4M $1.00 %
Novartis AG 63,0509.4M $1.00 %
Chevron Corp 48,1329.3M $1.00 %
JPMorgan Chase & Co 29,2539.2M $0.98 %
NextEra Energy Inc 92,9019.1M $0.97 %
Philip Morris International Inc. 54,8009M $0.97 %
Nutrien Ltd 115,6828.8M $0.94 %
Coca-Cola Co/The 110,9478.7M $0.94 %
AIA Group Ltd 791,2008.6M $0.92 %
Sanofi SA 91,5618.6M $0.92 %
Imperial Brands PLC 222,1228.5M $0.91 %
Verizon Communications Inc 172,5408.3M $0.89 %
US Bancorp 143,4148.1M $0.87 %
NetApp Inc 71,3727.9M $0.85 %
GSK PLC 300,9087.9M $0.85 %
Coca-Cola Europacific Partners PLC 82,3537.8M $0.83 %
Johnson & Johnson 33,6347.7M $0.83 %
Merck & Co Inc 70,3137.7M $0.82 %
McDonald's Corp. 25,8147.6M $0.81 %
TotalEnergies SE 81,3677.6M $0.81 %
NiSource Inc 156,7167.6M $0.81 %
Allianz SE 16,3827.5M $0.80 %
DCC PLC 95,3727.2M $0.77 %
Home Depot Inc/The 21,6687.1M $0.76 %
ONEOK Inc 76,1527M $0.75 %
Deutsche Post AG 118,0467M $0.75 %
Pinnacle West Capital Corp. 65,8736.8M $0.73 %
Intertek Group PLC 105,1386.8M $0.73 %
Meta Platforms Inc 10,6556.5M $0.70 %
Bristol-Myers Squibb Co 107,0686.5M $0.69 %
Equinor ASA 157,5966.3M $0.68 %
Royal Bank of Canada 34,9296.3M $0.67 %
Astellas Pharma Inc 438,6006.3M $0.67 %
Siemens AG 20,8396.2M $0.66 %
Watsco Inc 14,0386.1M $0.66 %
Regions Financial Corp 204,0655.8M $0.62 %
Schroders PLC 734,4395.8M $0.62 %
Columbia Banking System Inc 195,2315.8M $0.62 %
Terna - Rete Elettrica Nazionale 479,2275.8M $0.62 %
VICI Properties Inc 196,1785.7M $0.61 %
Truist Financial Corp 111,2285.7M $0.61 %
Eaton Corp PLC 13,1125.7M $0.61 %
Scotts Miracle-Gro Co/The 90,2785.7M $0.61 %
Pfizer Inc 211,6535.7M $0.61 %
Omnicom Group Inc 73,2455.6M $0.60 %
Lazard Inc 113,9415.5M $0.59 %
Roche Holding AG 13,5425.5M $0.59 %
Rogers Communications Inc 151,3335.5M $0.59 %
Mondelez International Inc 89,5945.5M $0.59 %
Vinci SA 36,4555.5M $0.59 %
Deutsche Telekom AG 168,6195.5M $0.58 %
Medtronic PLC 67,2175.4M $0.58 %
Blackrock Inc 5,0465.4M $0.58 %
Lloyds Banking Group PLC 3,939,4795.3M $0.57 %
PepsiCo Inc 33,5165.3M $0.57 %
Linde PLC 10,5695.3M $0.57 %
Nexstar Media Group Inc 25,3455.3M $0.57 %
United Parcel Service Inc 48,1015.2M $0.56 %
Bank of Nova Scotia/The 67,0955.2M $0.56 %
Toyota Motor Corp. 268,7005.2M $0.56 %
General Dynamics Corp 14,8985.1M $0.55 %
Unilever PLC 87,7175.1M $0.55 %
Accenture PLC 28,6905.1M $0.55 %
Kimberly-Clark Corp 51,9615.1M $0.55 %
Hormel Foods Corp 237,6755.1M $0.55 %
Nestle SA 49,8945M $0.54 %
Duke Energy Corp 38,9515M $0.54 %
Segro PLC 530,1385M $0.54 %
McCormick & Co Inc/MD 97,8645M $0.53 %
Honeywell International Inc 23,1065M $0.53 %
NNN REIT Inc 110,8204.9M $0.52 %
Croda International PLC 122,3394.7M $0.51 %