Titelia

Holdings of SPIRIT OF AMERICA MANAGEMENT CORP/NY

279 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 24.1 % of the equity sleeve

Sector breakdown

  • Energy 21.2 %
  • Technology 14.0 %
  • Utilities 12.0 %
  • Real estate 8.2 %
  • Industrials 6.2 %
  • Financials 4.8 %
  • Communication 4.6 %
  • Health care 2.9 %
  • Consumer discretionary 2.8 %
  • Consumer staples 2.4 %
  • Materials 0.5 %
  • Funds 0.1 %
  • Unattributed 20.2 %

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 99.3 %
  • GB 0.6 %
  • TW 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US276484.1M $99.30 %
2GB23.1M $0.63 %
3TW1354.8K $0.07 %

Positions

RankCompanySharesValueWeight
101Cisco Systems, Inc. 17,4501.4M $
102CSX Corp 32,6001.3M $
103Gaming and Leisure Properties Inc 28,8851.3M $
104Plains GP Holdings LP 51,0001.2M $
105Bank of America Corp 25,3501.2M $
106Regency Centers Corp 16,3001.2M $
107Mastercard Inc 2,4501.2M $
108Brixmor Property Group Inc 41,4751.2M $
109Equity Residential 20,1151.2M $
110CenterPoint Energy Inc 27,5001.2M $
111ITT Inc 6,1501.2M $
112Essex Property Trust Inc 4,8361.2M $
113Southern Co/The 12,1001.2M $
114NRG Energy Inc 7,9501.2M $
115Halliburton Co 29,0001.1M $
116Corning Inc 8,3001.1M $
117Sun Communities Inc 8,9501.1M $
118Merck & Co Inc 8,9501.1M $
119Equity LifeStyle Properties Inc 17,0501.1M $
120Atmos Energy Corp 5,6001M $
121Federal Realty Investment Trust 9,7001M $
122IDACORP Inc 7,2001M $
123Alphabet Inc 3,5501M $
124Expand Energy Corp 9,050993.5K $
125Edison International 13,458984.9K $
126Palantir Technologies Inc 6,600965.4K $
127UDR Inc 28,350957.7K $
128Clearway Energy Inc 24,076945.9K $
129Palo Alto Networks Inc 5,900945.9K $
130CareTrust REIT Inc 25,000916.3K $
131Portland General Electric Co 16,900891.8K $
132Altria Group, Inc. 12,650834.8K $
133CF Industries Holdings Inc 6,300818K $
134Procter & Gamble Co/The 5,615811K $
135McDonald's Corp. 2,580801.8K $
136Philip Morris International Inc. 4,800793.6K $
137NNN REIT Inc 17,750746K $
138Quest Diagnostics Inc 3,800744.7K $
139Waste Management Inc 3,200735.3K $
140Lowe's Cos Inc 3,100732.5K $
141Antero Midstream Corp 31,500718.2K $
142DigitalBridge Group Inc 46,000709.3K $
143Host Hotels & Resorts Inc 35,900687.8K $
144ServiceNow Inc 6,500679.6K $
145CubeSmart 18,450676.2K $
146Chesapeake Utilities Corp 5,350676.1K $
147Northwest Natural Holding Co 12,450662.6K $
148International Business Machines Corp. 2,668646.7K $
149FedEx Corp 1,800641.1K $
150New Jersey Resources Corp 11,650639.8K $
151Viper Energy Inc 13,600639.1K $
152Lockheed Martin Corp 1,050634.6K $
153WP Carey Inc 9,200625.2K $
154Camden Property Trust 6,300615.3K $
155Mid-America Apartment Communities, Inc. 5,022613.3K $
156Agree Realty Corp 8,100610.6K $
157Corteva Inc 7,233605.5K $
158Coca-Cola Co/The 7,600578K $
159Black Stone Minerals LP 37,999574.5K $
160Newmont Corp 5,300573.7K $
161Northwestern Energy Group Inc 8,700573.7K $
162Alliant Energy Corp 7,750556.1K $
163SUNOCO LP 8,500552.2K $
164Kimco Realty Corp 24,569552.1K $
165American Tower Corp 3,170547.1K $
166Thermo Fisher Scientific Inc 1,090535.8K $
167QUALCOMM Inc 4,050521.6K $
168Morgan Stanley 3,000493.7K $
169AES Corp/The 34,500486.1K $
170American Homes 4 Rent 17,300483K $
171Republic Services Inc 2,200481.8K $
172Ovintiv Inc 8,000474.9K $
173CME Group Inc 1,604473.7K $
174Dominion Energy Inc 7,600469.8K $
175Gen Digital Inc 24,700465.1K $
176VANGUARD DIVIDEND APPRECIATION VANGUARD DIVIDEND APPREC ETF 1,988443.9K $
177National Fuel Gas Co 4,650436.9K $
178CNX Resources Corp 11,000424.1K $
179Southwest Gas Holdings Inc 4,800417.1K $
180Microchip Technology Inc 6,450416.7K $
181Tanger Inc 12,000407.8K $
182RTX Corp 2,100405.1K $
183Pinnacle West Capital Corp. 4,000403K $
184KKR & Co Inc 4,350402.4K $
185Starbucks Corp 4,450398.7K $
186Ryman Hospitality Properties Inc 4,305397.2K $
187COPT Defense Properties 12,000367.2K $
188BXP Inc 6,915358.9K $
189iShares Trust 3,719355.1K $
190Taiwan Semiconductor Manufacturing Co Ltd 1,050354.8K $
191Rexford Industrial Realty Inc 10,500343.7K $
192PepsiCo Inc 2,200341.6K $
193Healthpeak Properties Inc 20,217332.2K $
194TXNM Energy Inc 5,600327.4K $
195Crown Castle Inc 3,990324.4K $
196California Water Service Group 7,150324.2K $
197EastGroup Properties Inc 1,750323.9K $
198Abbott Laboratories 3,100318.3K $
199American Water Works Co Inc 2,250306.2K $
200iShares Trust 1,735294.3K $