Titelia

Holdings of Inspire Advisors, LLC

556 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 19.9 % of the equity sleeve

Sector breakdown

  • Technology 5.9 %
  • Industrials 4.4 %
  • Funds 4.3 %
  • Utilities 2.4 %
  • Financials 1.8 %
  • Materials 1.7 %
  • Consumer discretionary 1.6 %
  • Consumer staples 1.6 %
  • Health care 1.5 %
  • Energy 1.5 %
  • Communication 0.9 %
  • Real estate 0.4 %
  • Unattributed 71.9 %

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 98.9 %
  • BR 0.2 %
  • IT 0.1 %
  • TW 0.1 %
  • AU 0.1 %
  • NL 0.1 %
  • IL 0.1 %
  • GB 0.1 %
  • IE 0.1 %
  • CO 0.1 %
  • KR 0.0 %
  • MX 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US532629.9M $98.89 %
2BR81.3M $0.20 %
3IT1837.1K $0.13 %
4TW2798.3K $0.13 %
5AU1765.2K $0.12 %
6NL1685.4K $0.11 %
7IL1557.3K $0.09 %
8GB1543.9K $0.09 %
9IE1479.7K $0.08 %
10CO2348.2K $0.05 %
11KR2270K $0.04 %
12MX2246K $0.04 %

Positions

RankCompanySharesValueWeight
201State Street SPDR Portfolio S& 9,815776K $
202West Pharmaceutical Services Inc 3,083772.9K $
203BHP Group Ltd 10,520765.2K $
204Atmos Energy Corp 4,087755K $
205UnitedHealth Group Inc 2,788754.3K $
206iShares Emerging Markets Equity Factor ETF 12,357746.7K $
207United Therapeutics Corp 1,256744.7K $
208United Natural Foods Inc 16,395738.8K $
209Vistance Networks Inc 40,339734.2K $
2103M Co 5,045732.7K $
211Simon Property Group Inc 3,924732K $
212Exelixis Inc 17,063731.8K $
213Trade Desk Inc/The 32,142729.3K $
214MercadoLibre Inc 420725.7K $
215Tidewater Inc 8,633721.3K $
216Public Storage 2,662721K $
217Invesco S&P 500 Equal Weight ETF 3,753720.4K $
218TTM Technologies Inc 7,327713.8K $
219Vanguard S&P 500 ETF 1,194713.2K $
220Invesco S&P 500 Momentum ETF 6,361713.1K $
221Meta Platforms Inc 1,243711.3K $
222DR Horton Inc 5,163708.4K $
223Chevron Corp 3,421707.8K $
224Select Water Solutions Inc 46,141706K $
225YETI Holdings Inc 19,227703.5K $
226Schwab International Equity ETF 28,042694K $
227Coeur Mining Inc 36,873692.1K $
228AST SpaceMobile Inc 8,331690.4K $
229STMicroelectronics NV 19,838685.4K $
230National Fuel Gas Co 7,245680.8K $
231Steel Dynamics Inc 3,776679.6K $
232UL Solutions Inc 7,913678.2K $
233Lithia Motors Inc 2,708676K $
234CH Robinson Worldwide Inc 4,070675.9K $
235Rocket Lab Corp 10,479673K $
236Hologic Inc 8,878671.1K $
237Align Technology Inc 3,862662K $
238Equifax Inc 3,673661.4K $
239Visa Inc 2,168655.1K $
240APA Corp 15,433655K $
241Wayfair Inc 8,655650.9K $
242Cal-Maine Foods Inc 8,219650.5K $
243Houlihan Lokey Inc 4,529650.5K $
244FTI Consulting Inc 3,668648.4K $
245Qualys Inc 7,375647.8K $
246Western Alliance Bancorp 9,120646.2K $
247Republic Services Inc 2,950646.1K $
248Rio Tinto PLC 6,921645.7K $
249Taiwan Semiconductor Manufacturing Co Ltd 1,902642.8K $
250Aflac Inc 5,833639.9K $
251Globus Medical Inc 7,410638.4K $
252Rambus Inc 7,383635.1K $
253Timothy Plan 17,605634.5K $
254Vanguard Index Funds 3,439633.7K $
255Jack Henry & Associates Inc 4,010633.7K $
256Mettler-Toledo International Inc 501632K $
257Home BancShares Inc/AR 23,314627.9K $
258Dillard's Inc 1,097627.4K $
259Yum China Holdings Inc 12,781623.5K $
260SEI Investments Co 7,942623.2K $
261EMCOR Group Inc 838618.5K $
262Masco Corp 10,224617.2K $
263Grand Canyon Education Inc 3,607613.4K $
264Lincoln Electric Holdings Inc 2,461613K $
265Crane Co 3,565609.6K $
266ServisFirst Bancshares Inc 8,337607.1K $
267State Street SPDR Portfolio Ag 23,650605.9K $
268SPDR SERIES TRUST 3,364599.1K $
269Insulet Corp 2,849597.8K $
270Equity Residential 10,079596.2K $
271American Century ETF Trust 5,385594.9K $
272iShares Ultra Short Duration B 11,655590K $
273Willdan Group Inc 7,694589.1K $
274Toast Inc 22,216588.9K $
275iShares MSCI USA Value Factor ETF 4,109584.3K $
276Corpay Inc 1,999581.7K $
277Vanguard Intermediate-Term Corporate Bond ETF 6,983577.9K $
278Roper Technologies Inc 1,629576.6K $
279Dexcom Inc 9,165575.6K $
280XPEL Inc 12,842568.4K $
281Docusign Inc 11,832561K $
282Norfolk Southern Corp 1,952560.2K $
283Nice Ltd 5,054557.3K $
284State Street SPDR S&P 600 Smal 5,636544.6K $
285iShares Core S&P Mid-Cap ETF 8,064544.6K $
286Cava Group Inc 6,731544.5K $
287Smith & Nephew PLC 17,116543.9K $
288UFP Industries Inc 5,903543.8K $
289Group 1 Automotive Inc 1,640542.2K $
290Wells Fargo & Co 6,786540.2K $
291iShares Silver Trust 7,871536.3K $
292iShares Trust 5,286532.4K $
293Avantis International Equity ETF 6,219527.7K $
294Neogen Corp 56,747527.2K $
295Comfort Systems USA Inc 381525.5K $
296Ollie's Bargain Outlet Holdings Inc 5,682523K $
297SPDR Series Trust 8,800521.2K $
298SELECT SECTOR SPDR TRUST (THE) 4,588508.6K $
299iShares MSCI EAFE Growth ETF 4,566508.5K $
300Day One Biopharmaceuticals Inc 23,681507.7K $