Titelia

Holdings of AdvisorNet Financial, Inc

1804 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 22.9 % of the equity sleeve

Sector breakdown

  • Funds 11.6 %
  • Technology 6.6 %
  • Industrials 3.1 %
  • Financials 2.9 %
  • Health care 2.4 %
  • Consumer discretionary 1.8 %
  • Consumer staples 1.6 %
  • Communication 1.5 %
  • Utilities 1.1 %
  • Energy 1.0 %
  • Materials 0.4 %
  • Real estate 0.1 %
  • Unattributed 66.0 %

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 99.1 %
  • TW 0.4 %
  • GB 0.3 %
  • NL 0.0 %
  • ES 0.0 %
  • BR 0.0 %
  • KY 0.0 %
  • DE 0.0 %
  • IL 0.0 %
  • ZA 0.0 %
  • FI 0.0 %
  • LU 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US1,7551.7B $99.13 %
2TW27M $0.42 %
3GB114.7M $0.28 %
4NL4625.6K $0.04 %
5ES2558.6K $0.03 %
6BR4343.1K $0.02 %
7KY2226.6K $0.01 %
8DE2190.3K $0.01 %
9IL2186.7K $0.01 %
10ZA3135.3K $0.01 %
11FI1126K $0.01 %
12LU2110.8K $0.01 %

Positions

RankCompanySharesValueWeight
1,301Artesian Resources Corp 2257.2K $
1,302Fox Corp 1227.1K $
1,303H&R Block Inc 2247.1K $
1,304Alexandria Real Estate Equities, Inc. 1527.1K $
1,305FMC Corp 4087K $
1,306Nuveen S&P 500 Dynamic Overwrite Fund 4347K $
1,307AvalonBay Communities, Inc. 426.9K $
1,308Dollar General Corp 586.9K $
1,309First Trust Nasdaq-100 Select Equal Weight ETF 546.9K $
1,310Lloyds Banking Group PLC 1,3686.9K $
1,311FIDELITY COVINGTON TRUST 1066.8K $
1,312Astera Labs Inc 626.8K $
1,313BLACKROCK MUNIYIELD QUALITY FD INC 6126.7K $
1,314Amentum Holdings Inc 2576.7K $
1,315Summit Therapeutics Inc 3536.7K $
1,316HCI Group Inc 436.7K $
1,317Haemonetics Corp 1186.7K $
1,318Omega Healthcare Investors Inc 1516.6K $
1,319Penn Entertainment Inc 4406.6K $
1,320iShares Trust 646.5K $
1,321Praxis Precision Medicines Inc 206.4K $
1,322Hilton Worldwide Holdings Inc 216.4K $
1,323SPDR Index Shares Funds 1746.4K $
1,324IRhythm Holdings Inc 536.3K $
1,325Eni SpA 1106.2K $
1,326Autodesk Inc 266.2K $
1,327Sasol Ltd 4806.2K $
1,328Bain Capital Specialty Finance Inc 5006.2K $
1,329HubSpot Inc 256.1K $
1,330Power Solutions International Inc 1006.1K $
1,331VanEck Biotech ETF 326K $
1,332FRANKLIN TEMPLETON ETF TRUST 1666K $
1,333iShares ESG Optimized MSCI USA ETF 466K $
1,334LPL Financial Holdings Inc 206K $
1,335iShares Global Clean Energy ETF 3286K $
1,336Power Integrations Inc 1165.9K $
1,337MFS Multimkt In Tr 1,2825.9K $
1,338America Movil SAB de CV 2325.9K $
1,339Easterly Government Properties Inc 2735.9K $
1,340Generac Holdings Inc 305.9K $
1,341Becton Dickinson & Co 375.8K $
1,342Jabil Inc 225.8K $
1,343Vodafone Group PLC 3895.8K $
1,344Cia Energetica de Minas Gerais 2,4135.8K $
1,345Celsius Holdings Inc 1605.7K $
1,346Blue Owl Capital Corp 5125.7K $
1,347Invesco Variable Rate Preferred ETF 2325.6K $
1,348Petroleo Brasileiro SA - Petrobras 2685.6K $
1,349Principal Exchange-Traded Funds 2955.5K $
1,350West Pharmaceutical Services Inc 225.5K $
1,351Deluxe Corp 2005.5K $
1,352Phillips Edison & Co Inc 1475.5K $
1,353Microchip Technology Inc 845.4K $
1,354Brinker International Inc 385.4K $
1,355iShares Trust 1155.4K $
1,356ChipMOS Technologies Inc 1505.4K $
1,357IperionX Ltd 2065.4K $
1,358Hormel Foods Corp 2375.4K $
1,359Wolfspeed Inc 3285.4K $
1,360WisdomTree Trust 785.3K $
1,361Brown-Forman Corp 1965.2K $
1,362Brown-Forman Corp 1905.1K $
1,363Apogee Enterprises Inc 1495K $
1,364Kymera Therapeutics Inc 605K $
1,365Moderna Inc 985K $
1,366Red Cat Holdings Inc 3805K $
1,367Thor Industries Inc 625K $
1,368WisdomTree International SmallCap Dividend Fund 604.9K $
1,369Zscaler Inc 354.9K $
1,370VanEck Preferred Securities ex 2794.9K $
1,371Ferguson Enterprises Inc 214.9K $
1,372Arcellx Inc 424.8K $
1,373Braskem SA 1,3134.8K $
1,374VanEck Bitcoin ETF/US 2504.8K $
1,375Atkore Inc 814.8K $
1,376Bright Horizons Family Solutions Inc 584.8K $
1,377Federal Signal Corp 444.8K $
1,378Vistance Networks Inc 2604.7K $
1,379Ollie's Bargain Outlet Holdings Inc 514.7K $
1,380Moog Inc 164.7K $
1,381Pitney Bowes Inc 4114.5K $
1,382Annaly Capital Management Inc 2144.5K $
1,383Vanguard Scottsdale Funds 814.5K $
1,384American Airlines Group Inc 4144.4K $
1,385Spire Inc 494.4K $
1,386Elanco Animal Health Inc 1854.4K $
1,387Chord Energy Corp 314.4K $
1,388Hycroft Mining Holding Corp 1254.4K $
1,389Crinetics Pharmaceuticals Inc 1204.4K $
1,390Sila Realty Trust Inc 1844.4K $
1,391Keurig Dr Pepper Inc 1624.3K $
1,392iShares Trust 844.3K $
1,393Brookfield Real Assets Income 3304.2K $
1,394First Bancorp Inc/The 1504.2K $
1,395Palomar Holdings Inc 354.2K $
1,396CNX Resources Corp 1084.2K $
1,397Humana Inc 244.2K $
1,398Brown & Brown Inc 634.1K $
1,399PIMCO Income Strategy Fund 5104.1K $
1,400ResMed Inc 184K $