Titelia

Holdings of HOWLAND CAPITAL MANAGEMENT LLC

237 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 41.4 % of the equity sleeve

Sector breakdown

  • Technology 19.9 %
  • Health care 9.5 %
  • Communication 9.5 %
  • Consumer discretionary 9.2 %
  • Financials 9.2 %
  • Consumer staples 4.5 %
  • Industrials 4.2 %
  • Funds 3.1 %
  • Materials 2.3 %
  • Energy 1.3 %
  • Utilities 1.2 %
  • Real estate 0.8 %
  • Unattributed 25.4 %

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 99.9 %
  • GB 0.1 %
  • NL 0.0 %
  • TW 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2332.4B $99.90 %
2GB21.6M $0.07 %
3NL1475.5K $0.02 %
4TW1376.5K $0.02 %

Positions

RankCompanySharesValueWeight
101Simon Property Group Inc 10,6022M $
102Broadcom Inc 6,3332M $
103Vanguard Small-Cap ETF 7,4562M $
104Union Pacific Corp 7,6761.9M $
105Bank of America Corp 38,1481.9M $
106iShares Trust 86,2611.8M $
107Brinker International Inc 12,1461.7M $
108Pfizer Inc 61,1501.7M $
109Vanguard FTSE Developed Markets ETF 26,0001.7M $
110Intel Corp 36,9941.6M $
111Paychex Inc 17,6701.6M $
112Cintas Corp 9,5091.6M $
113Gilead Sciences Inc 11,3781.6M $
114Vistance Networks Inc 82,7001.5M $
115Sysco Corp 20,7401.5M $
116Hershey Co/The 7,0961.5M $
117Service Corp International/US 17,8141.5M $
118Invesco QQQ Trust Series 1 2,5281.5M $
119GE HealthCare Technologies Inc 20,1311.4M $
120Corning Inc 10,3811.4M $
121Alnylam Pharmaceuticals Inc 4,2341.4M $
122iShares Trust 13,4701.4M $
123iShares Core U.S. Aggregate Bond ETF 13,8321.4M $
124Bristol-Myers Squibb Co 22,5261.4M $
125SELECT SECTOR SPDR TRUST (THE) 9,6671.3M $
126Cigna Group/The 4,5861.2M $
127Shell PLC 13,1491.2M $
128Air Products and Chemicals Inc 4,1951.2M $
129Amgen Inc 3,2961.2M $
130iShares Core S&P Small-Cap ETF 9,3181.2M $
131iShares Core S&P Mid-Cap ETF 15,8651.1M $
132Masco Corp 16,7711M $
133Crowdstrike Holdings Inc 2,5791M $
134Coupang Inc 52,040982.5K $
135Applied Materials Inc 2,812961.1K $
136NextEra Energy Inc 10,280954.8K $
137iShares Trust 11,949950.7K $
138Waste Management Inc 4,106943.5K $
139Vanguard Value ETF 4,692920.6K $
140L3Harris Technologies Inc 2,648914K $
1413M Co 6,257908.7K $
142CSX Corp 21,887898.5K $
143Phillips 66 4,874888K $
144Vertex Pharmaceuticals Inc 1,975881.9K $
145SoFi Technologies Inc 53,347847.2K $
146Oracle Corp 5,642830K $
147Analog Devices Inc 2,557813.5K $
148Blackrock Inc 840807.8K $
149Equifax Inc 4,470804.9K $
150Tesla Inc 2,152800K $
151Deere & Co 1,400790.9K $
152CACI International Inc 1,400761.4K $
153Starbucks Corp 8,460757.9K $
154Altria Group, Inc. 11,303757.9K $
155Honeywell International Inc 3,280741.4K $
156FedEx Corp 2,024723.8K $
157Weyerhaeuser Co 29,458719.7K $
158Salesforce Inc 3,716693.7K $
159VANGUARD DIVIDEND APPRECIATION VANGUARD DIVIDEND APPREC ETF 3,212690.8K $
160iShares ESG Aware MSCI EM ETF 15,092686.2K $
161American Express Co 2,205667K $
162Darden Restaurants Inc 3,400666.5K $
163State Street SPDR S&P MidCap 400 ETF Trust 1,077665.9K $
164Yum! Brands Inc 4,227657.2K $
165Norfolk Southern Corp 2,277653.5K $
166Verizon Communications Inc 12,433624.1K $
167Grayscale Bitcoin Trust ETF 11,600612K $
168Eastern Bankshares Inc 31,270611.6K $
169Lowe's Cos Inc 2,543601K $
170Fiserv Inc 10,583590.5K $
171Becton Dickinson & Co 3,640572.3K $
172Philip Morris International Inc. 3,382564.2K $
173iShares MSCI EAFE ETF 5,781561.5K $
174Fortinet Inc 6,800555.7K $
175Palo Alto Networks Inc 3,459554.5K $
176Corteva Inc 6,290526.5K $
177General Mills, Inc. 14,048522.9K $
178Texas Instruments Inc 2,674519.1K $
179Kimberly-Clark Corp 5,295518K $
180Church & Dwight Co Inc 5,441507.8K $
181iShares Russell 2000 ETF 2,044506.9K $
182VanEck Gold Miners ETF/USA 5,468501.8K $
183Cummins Inc 910489.6K $
184Walt Disney Co/The 4,950477.1K $
185ASML Holding NV 360475.5K $
186Schwab US Dividend Equity ETF 15,326470.2K $
187Moody's Corp 1,045455.9K $
188Travelers Cos Inc/The 1,509440.1K $
189NIKE Inc 8,250438.8K $
190Micron Technology Inc 1,297438.4K $
191United Parcel Service Inc 4,359428.8K $
192Adobe Inc 1,763428.6K $
193Iron Mountain Inc 4,147425.1K $
194KLA Corp 288424.1K $
195Palantir Technologies Inc 2,850416.9K $
196Qnity Electronics Inc 3,604415.8K $
197Comcast Corp 14,318411.1K $
198Ross Stores Inc 1,896410.7K $
199Vanguard Extended Market ETF 1,991409.7K $
200Cboe Global Markets Inc 1,449407.3K $