Titelia

Holdings of ING GROEP NV

459 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 38.4 % of the equity sleeve

Sector breakdown

  • Technology 34.8 %
  • Communication 10.8 %
  • Consumer discretionary 8.8 %
  • Health care 8.4 %
  • Industrials 8.2 %
  • Financials 6.9 %
  • Consumer staples 4.9 %
  • Materials 1.4 %
  • Energy 1.0 %
  • Utilities 0.9 %
  • Real estate 0.5 %
  • Unattributed 13.3 %

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 99.9 %
  • TW 0.0 %
  • NL 0.0 %
  • KY 0.0 %
  • GB 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US45515.6B $99.93 %
2TW16.8M $0.04 %
3NL13.2M $0.02 %
4KY1672.1K $0.00 %
5GB1624.3K $0.00 %

Positions

RankCompanySharesValueWeight
101Gilead Sciences Inc 196,62827.4M $
102T-Mobile US Inc 127,75426.8M $
103Salesforce Inc 140,64926.3M $
104KLA Corp 17,25125.4M $
105Otis Worldwide Corp 327,43425.2M $
106Five Below Inc 109,90025.1M $
107Bio-Rad Laboratories Inc 90,00025.1M $
108Caesars Entertainment Inc 931,60024.6M $
109Sealed Air Corp 583,50024.5M $
110SolarEdge Technologies Inc 480,00024.5M $
111Regeneron Pharmaceuticals, Inc. 31,19124.1M $
112Synopsys Inc 60,60224M $
113Liberty Broadband Corp 477,60024M $
114RTX Corp 122,31623.6M $
115GoDaddy Inc 283,02923.4M $
116Airbnb Inc 181,60822.9M $
117Booz Allen Hamilton Holding Corp 292,31222.8M $
118Ecolab Inc 85,17622.7M $
119Pfizer Inc 799,84222.5M $
120Palo Alto Networks Inc 139,01522.3M $
121Stryker Corp 67,73722.3M $
122Natural Resource Partners L.P. 180,40021.8M $
123General Motors Co 288,78521.5M $
124Westinghouse Air Brake Technologies Corp 83,92321M $
125Lowe's Cos Inc 87,44720.7M $
126Consolidated Edison Inc 180,23820.4M $
127Cadence Design Systems Inc 71,88520M $
128Waste Management Inc 84,98219.5M $
129Citigroup Inc 168,13919.1M $
130Tyson Foods Inc 296,39219M $
131Corning Inc 138,79118.9M $
132Six Flags Entertainment Corp 1,046,00018.6M $
133Dollar Tree Inc 169,35118.5M $
134Penumbra Inc 55,84118.3M $
135MasTec Inc 56,87018.3M $
136Autodesk Inc 76,33918.3M $
137Intercontinental Exchange Inc 115,99218.2M $
138Chipotle Mexican Grill Inc 565,05418.1M $
139Welltower Inc 90,78717.9M $
140Keysight Technologies Inc 63,32117.9M $
141Freeport-McMoRan Inc 302,13717.8M $
142Solstice Advanced Materials Inc 220,90016.8M $
143Armstrong World Industries Inc 100,68316.6M $
144Rubrik Inc 334,10016.4M $
145WW Grainger Inc 14,64216M $
146Hasbro Inc 167,03815.6M $
147Integer Holdings Corp 175,00015.4M $
148Eversource Energy 221,42015.3M $
149Roper Technologies Inc 42,71115.1M $
150Netflix Inc 155,42014.9M $
151Quanta Services Inc 26,93214.8M $
152Hewlett Packard Enterprise Co 614,07714.6M $
153Alliance Resource Partners LP 517,00014.3M $
154Mach Natural Resources LP 1,012,00014.2M $
155Howmet Aerospace Inc 60,80914M $
156L3Harris Technologies Inc 39,68913.7M $
157Ashland Inc 245,00013.6M $
158Xcel Energy Inc 168,04413.3M $
159Comcast Corp 462,93813.3M $
160Emerson Electric Co. 101,02913.2M $
161Parker-Hannifin Corp 14,77513.2M $
162CBRE Group Inc 97,07413.1M $
163Trade Desk Inc/The 575,18813.1M $
164Ford Motor Co 1,121,05412.9M $
165Liberty Live Holdings Inc 139,00012.7M $
166Motorola Solutions Inc 29,16512.7M $
167Dover Corp 60,39412.6M $
168Deere & Co 22,31312.6M $
169Equinix Inc 12,67212.4M $
170Goldman Sachs Group Inc/The 14,60512.4M $
171FedEx Corp 34,55312.3M $
172Docusign Inc 255,90112.1M $
173Warner Music Group Corp 460,00011.7M $
174Northrop Grumman Corp 17,20611.7M $
175Marriott International Inc/MD 35,73511.7M $
176QUALCOMM Inc 90,48511.7M $
177General Dynamics Corp 32,73111.2M $
178Nutanix Inc 293,70011.2M $
179Black Stone Minerals LP 728,60011M $
180Veeva Systems Inc 61,90010.9M $
181PG&E Corp 615,17310.8M $
182Hilton Worldwide Holdings Inc 35,51010.8M $
183Las Vegas Sands Corp 199,89410.8M $
184SUNOCO LP 164,00010.7M $
185MongoDB Inc 42,65510.4M $
186NRG Energy Inc 70,99010.4M $
187Expedia Group Inc 44,49110.3M $
188EOG Resources Inc 69,97910.1M $
189Prologis Inc 76,05110.1M $
190Monster Beverage Corp 138,59510M $
191Zoetis Inc 84,84210M $
192Revolution Medicines Inc 103,00010M $
193Jabil Inc 37,61910M $
194American Express Co 32,8369.9M $
195Wells Fargo & Co 123,3569.8M $
196Phillips 66 51,9659.5M $
197Deckers Outdoor Corp 93,9079.4M $
198Uber Technologies Inc 130,3449.4M $
199Unity Software Inc 420,1009.2M $
200Cigna Group/The 33,9799.1M $