Titelia

Holdings of Inspire Investing, LLC

300 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 30.9 % of the equity sleeve

Sector breakdown

  • Technology 29.6 %
  • Industrials 14.9 %
  • Consumer discretionary 6.3 %
  • Energy 6.2 %
  • Financials 5.7 %
  • Materials 4.7 %
  • Real estate 4.5 %
  • Utilities 4.2 %
  • Health care 2.1 %
  • Consumer staples 1.2 %
  • Communication 0.4 %
  • 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 100.0 %
  • BR 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US299482M $100.00 %
2BR164 $0.00 %

Positions

RankCompanySharesValueWeight
101First Citizens BancShares Inc/NC 6321.2M $
102Fair Isaac Corp 1,1081.2M $
103NRG Energy Inc 7,9661.2M $
104Steel Dynamics Inc 6,4361.2M $
105United Therapeutics Corp 1,9341.1M $
106ON Semiconductor Corp 18,4961.1M $
107Rollins Inc 21,3621.1M $
108Casey's General Stores Inc 1,5461.1M $
109PulteGroup Inc 9,5191.1M $
110AST SpaceMobile Inc 13,3681.1M $
111Regions Financial Corp 41,5231.1M $
112Markel Group Inc 5661.1M $
113Cincinnati Financial Corp 6,8731.1M $
114W R Berkley Corp 16,2461.1M $
115Equity Residential 17,7271M $
116Expand Energy Corp 9,5371M $
117Curtiss-Wright Corp 1,5221M $
118Eversource Energy 14,8511M $
119CMS Energy Corp 13,0331M $
120Corpay Inc 3,4371M $
121Equifax Inc 5,532996.1K $
122Brown & Brown Inc 15,192990.7K $
123JB Hunt Transport Services Inc 4,675990.6K $
124Albemarle Corp 5,446977.7K $
125Loews Corp 8,944954.7K $
126MongoDB Inc 3,836938.9K $
127Zscaler Inc 6,641931.7K $
128Bloom Energy Corp 6,809922.6K $
129NiSource Inc 19,767922.3K $
130Samsara Inc 28,989918.7K $
131CF Industries Holdings Inc 6,891894.7K $
132First Solar Inc 4,441876K $
133International Paper Co 24,518875.3K $
134Expeditors International of Washington Inc 6,097873.3K $
135ATI Inc 5,948865.2K $
136NVR Inc 130856.7K $
137Packaging Corp of America 4,022853.5K $
138SoFi Technologies Inc 53,366847.5K $
139CH Robinson Worldwide Inc 5,098846.6K $
140Incyte Corp 8,968844.1K $
141Permian Resources Corp 39,106833.7K $
142Everpure Inc 14,095832.2K $
143Snap-on Inc 2,231810.3K $
144Lennox International Inc 1,733804.3K $
145CoStar Group Inc 19,908803.1K $
146Evergy Inc 9,674792.5K $
147Westlake Corp 6,740787.4K $
148Coca-Cola Consolidated Inc 4,092784.6K $
149West Pharmaceutical Services Inc 3,118781.5K $
150Deckers Outdoor Corp 7,733774K $
151Carlisle Cos Inc 2,308770K $
152Reliance Inc 2,525767.4K $
153Akamai Technologies Inc 6,680767.2K $
154Viper Energy Inc 16,139758.4K $
155Insulet Corp 3,593754K $
156BWX Technologies Inc 3,662748.8K $
157Hologic Inc 9,894747.9K $
158SS&C Technologies Holdings Inc 11,043746.2K $
159Tyler Technologies Inc 2,115724.1K $
160Somnigroup International Inc 9,753720.9K $
161Entegris Inc 6,117717.2K $
162Sun Communities Inc 5,688716.5K $
163Invitation Homes Inc 28,469707.5K $
164Alexandria Real Estate Equities, Inc. 15,159703.7K $
165Essex Property Trust Inc 2,891699.6K $
166Trimble Inc 10,719699.2K $
167Watsco Inc 1,869679.9K $
168Annaly Capital Management Inc 31,935675.4K $
169Nordson Corp 2,527672.3K $
170WP Carey Inc 9,873671K $
171Genuine Parts Co 6,342670.7K $
172Mid-America Apartment Communities, Inc. 5,485669.8K $
173Regency Centers Corp 8,522644.8K $
174Lincoln Electric Holdings Inc 2,575641.4K $
175Graco Inc 7,563640.2K $
176APA Corp 14,941634.1K $
177Erie Indemnity Co 2,490625.8K $
178RPM International Inc 6,277623.9K $
179MKS Inc 2,692618.6K $
180Reinsurance Group of America Inc 3,007613.9K $
181Host Hotels & Resorts Inc 31,879610.8K $
182Lithia Motors Inc 2,416603.3K $
183Neurocrine Biosciences Inc 4,571602.2K $
184Omega Healthcare Investors Inc 13,696600.2K $
185Medpace Holdings Inc 1,208580.1K $
186Regal Rexnord Corp 3,045570.2K $
187DT Midstream Inc 4,226569.1K $
188Jack Henry & Associates Inc 3,580565.8K $
189Bentley Systems Inc 15,894558.2K $
190Equity LifeStyle Properties Inc 8,911556.2K $
191Globus Medical Inc 6,372549K $
192BorgWarner Inc 9,884536.3K $
193Mueller Industries Inc 4,817533.7K $
194Trade Desk Inc/The 23,509533.4K $
195Pinnacle West Capital Corp. 5,290533K $
196UDR Inc 15,582526.4K $
197Lattice Semiconductor Corp 5,667525.7K $
198Five Below Inc 2,288522.8K $
199Advanced Drainage Systems Inc 3,785519K $
200HF Sinclair Corp 8,302518K $