Titelia

Holdings of HENNESSY ADVISORS INC

264 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 19.8 % of the equity sleeve

Sector breakdown

  • Utilities 9.2 %
  • Energy 8.2 %
  • Financials 6.7 %
  • Consumer discretionary 5.6 %
  • Industrials 4.6 %
  • Health care 4.4 %
  • Consumer staples 3.9 %
  • Communication 2.7 %
  • Technology 1.5 %
  • Materials 0.2 %
  • Unattributed 52.8 %

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 97.9 %
  • GB 1.7 %
  • BR 0.3 %
  • LU 0.0 %
  • TW 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2552.6B $97.94 %
2GB643.8M $1.67 %
3BR19.2M $0.35 %
4LU1942.5K $0.04 %
5TW1151.5K $0.01 %

Positions

RankCompanySharesValueWeight
1MasTec Inc 205,10066M $
2Casey's General Stores Inc 88,00064.1M $
3StoneX Group Inc 706,05056.9M $
4EchoStar Corp 476,90055.8M $
5Viasat Inc 1,204,70055.2M $
6Dycom Industries Inc 143,60048.7M $
7CH Robinson Worldwide Inc 288,00047.8M $
8Primoris Services Corp 312,70044.7M $
9TD SYNNEX Corp 241,97240.8M $
10Vistance Networks Inc 2,239,00040.7M $
11Granite Construction Inc 335,20040.2M $
12Sanmina Corp 304,90039.5M $
13Crown Holdings Inc 385,50038.6M $
14Macy's Inc 2,121,70038.4M $
15ONEOK Inc 395,61435.8M $
16Cheesecake Factory Inc/The 646,70035.4M $
17Jones Lang LaSalle Inc 116,20035.4M $
18Leidos Holdings Inc 217,50033.8M $
19Cheniere Energy Inc 117,99733.5M $
20Williams Cos Inc/The 450,28232.8M $
21Jacobs Solutions Inc 250,50031.9M $
22Nexstar Media Group Inc 173,50031.4M $
23Wayfair Inc 416,50031.3M $
24Kinder Morgan, Inc. 921,73130.9M $
25American Airlines Group Inc 2,810,90030.2M $
26Autoliv Inc 285,80030.1M $
27Cal-Maine Foods Inc 346,80027.4M $
28Sempra 279,38027.1M $
29Penn Entertainment Inc 1,804,90027.1M $
30EQT Corp 423,70027M $
31Lithia Motors Inc 106,80026.7M $
32Atmos Energy Corp 143,28626.5M $
33Berkshire Hathaway Inc 3625.9M $
34Astronics Corp 377,80025.2M $
35Southern Co/The 256,10024.7M $
36AECOM 285,70024.2M $
37Verizon Communications Inc 444,68522.3M $
38Lyft Inc 1,612,30021.4M $
39BrightSpring Health Services Inc 488,30020.8M $
40DT Midstream Inc 148,08019.9M $
41Peloton Interactive Inc 4,487,40019.3M $
42Wolverine World Wide Inc 1,142,40018.6M $
43Opendoor Technologies Inc 3,734,90017.5M $
44WEC Energy Group Inc 149,14017.3M $
45NiSource Inc 358,48116.7M $
46National Grid PLC 180,94415.3M $
47CenterPoint Energy Inc 334,22814.4M $
48Merck & Co Inc 117,80014.2M $
49Chevron Corp 65,23213.5M $
50Consolidated Edison Inc 115,43613.1M $
51Cardinal Health, Inc. 60,10012.7M $
52UGI Corp 346,15212.6M $
53PriceSmart Inc 82,60012.4M $
54Procter & Gamble Co/The 86,05012.4M $
55Duke Energy Corp 94,88712.4M $
56Johnson & Johnson 50,80012.4M $
57Public Service Enterprise Group Inc 153,29012.4M $
58PG&E Corp 705,44912.4M $
59Kroger Co/The 159,86211.6M $
60CSG Systems International Inc 139,76711.2M $
61Energy Transfer LP 569,76011M $
62CMS Energy Corp 141,09810.9M $
63EZCORP Inc 430,30010.9M $
64Walmart Inc 86,90010.8M $
65Enterprise Products Partners LP 285,39010.8M $
66Pitney Bowes Inc 975,50010.8M $
67Travelers Cos Inc/The 36,90010.8M $
68Coca-Cola Co/The 139,65010.6M $
69Allstate Corp/The 50,11210.4M $
70Porch Group Inc 1,398,10010M $
71Equinor ASA 233,8009.9M $
72Fox Corp 167,4009.8M $
73Bristol-Myers Squibb Co 160,4009.7M $
74Gilead Sciences Inc 68,3009.5M $
75Graham Holdings Co 8,9879.5M $
76Telephone and Data Systems Inc 225,4009.5M $
77Live Nation Entertainment Inc 62,1959.5M $
78Virtu Financial Inc 215,4009.5M $
79Altria Group, Inc. 142,5009.4M $
80MPLX LP 162,5199.3M $
81Chefs' Warehouse Inc/The 155,5989.3M $
82ConocoPhillips 69,9249.2M $
83PepsiCo Inc 59,3009.2M $
84Petroleo Brasileiro SA - Petrobras 441,6009.2M $
85SUNOCO LP 140,2009.1M $
86Plains All American Pipeline L 403,2569M $
87Exxon Mobil Corp 53,0129M $
88Loews Corp 82,4008.8M $
89Colgate-Palmolive Co 102,7008.8M $
90Brighthouse Financial Inc 145,8478.7M $
91Horace Mann Educators Corp 203,0008.7M $
92Home Depot Inc/The 25,5508.4M $
93Brinker International Inc 58,7008.4M $
94Alignment Healthcare Inc 471,6008.3M $
95Citigroup Inc 72,3008.2M $
96Compass Inc 1,121,1008.2M $
97Xcel Energy Inc 102,1998.1M $
98UnitedHealth Group Inc 29,5008M $
99NIKE Inc 149,9507.9M $
100Southwest Gas Holdings Inc 90,4177.9M $