Titelia

Holdings of CHIRON CAPITAL MANAGEMENT, LLC

111 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 38.4 % of the equity sleeve

Sector breakdown

  • Health care 23.7 %
  • Technology 23.1 %
  • Communication 7.3 %
  • Consumer discretionary 6.6 %
  • Financials 6.1 %
  • Consumer staples 5.6 %
  • Industrials 3.5 %
  • Real estate 3.1 %
  • Energy 2.6 %
  • Materials 2.1 %
  • Funds 1.0 %
  • Utilities 0.4 %
  • Unattributed 14.8 %

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 95.9 %
  • DE 1.6 %
  • GB 1.4 %
  • DK 0.4 %
  • FR 0.4 %
  • JE 0.2 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US10592M $95.95 %
2DE11.5M $1.61 %
3GB21.3M $1.36 %
4DK1416.8K $0.43 %
5FR1414.4K $0.43 %
6JE1208.3K $0.22 %

Positions

RankCompanySharesValueWeight
1Bristol-Myers Squibb Co 191,28811.6M $
2NVIDIA Corp 25,4914.4M $
3Microsoft Corp 11,0264.1M $
4Adobe Inc 12,6403.1M $
5Apple Inc 10,4852.7M $
6Aflac Inc 23,2582.6M $
7Crown Castle Inc 29,6742.4M $
8Enterprise Products Partners LP 54,6792.1M $
9NIKE Inc 38,0882M $
10FIRST TRUST EXCHANGE-TRADED FUND VII 67,4121.9M $
11FIRST TRUST EXCHANGE-TRADED FUND VIII 82,4481.8M $
12Pfizer Inc 59,1261.7M $
13Verizon Communications Inc 31,1561.6M $
14Meta Platforms Inc 2,7211.6M $
15Amazon.com Inc 7,4621.6M $
16UnitedHealth Group Inc 5,7261.5M $
17SAP SE 9,0091.5M $
18Salesforce Inc 7,8581.5M $
19Alphabet Inc 4,3991.3M $
20Raymond James Financial Inc 8,4501.2M $
21Tesla Inc 3,1701.2M $
22Advanced Micro Devices Inc 5,4681.1M $
23Gilead Sciences Inc 7,9161.1M $
24Kraft Heinz Co/The 47,2161.1M $
25Merck & Co Inc 8,5391M $
26Humana Inc 5,8021M $
27Sherwin-Williams Co/The 3,015966.5K $
28Danaher Corp 5,002948.4K $
29Vanguard S&P 500 ETF 1,549925.5K $
30PayPal Holdings Inc 20,420923.6K $
31Comcast Corp 31,217896.2K $
32Diageo PLC 11,806879K $
33United Parcel Service Inc 8,728858.7K $
34Devon Energy Corp 17,054858.2K $
35Thermo Fisher Scientific Inc 1,700835.6K $
36PepsiCo Inc 5,333828.2K $
37Exxon Mobil Corp 4,804815K $
38Energy Transfer LP 39,610764.5K $
39Atlassian Corp 11,101757.6K $
40Kimberly-Clark Corp 7,813753.7K $
41ServiceNow Inc 6,755706.2K $
42Lennar Corp 7,911687K $
43General Mills, Inc. 18,121674.5K $
44First Trust Exchange-Traded Fund IV 11,122664.9K $
45Palantir Technologies Inc 4,188612.6K $
46Teladoc Health Inc 109,970599.3K $
47Extra Space Storage Inc 4,501590.2K $
48Mondelez International Inc 10,208588.4K $
49Home Depot Inc/The 1,699558.9K $
50McKesson Corp 639553K $
51Caterpillar Inc 769544.8K $
52Constellation Brands Inc 3,501525.2K $
53Conagra Brands Inc 32,601512.5K $
54Fiserv Inc 8,902496.7K $
55Automatic Data Processing Inc 2,302467.7K $
56Broadcom Inc 1,430442.6K $
57Elevance Health Inc 1,502439.7K $
58Ford Motor Co 37,803436.2K $
59BP PLC 9,095427.5K $
60MP Materials Corp 8,802424.8K $
61Novo Nordisk A/S 11,342416.8K $
62Sanofi SA 8,602414.4K $
63Netflix Inc 4,291412.6K $
64Duke Energy Corp 2,976389.7K $
65Zoetis Inc 3,201378.4K $
66Berkshire Hathaway Inc 787377.1K $
67Palo Alto Networks Inc 2,312370.7K $
68Phillips 66 2,005365.3K $
69Becton Dickinson & Co 2,305362.4K $
70AT&T Inc 12,382358.9K $
71Oracle Corp 2,415355.3K $
72First Trust Exchange-Traded Fund IV 6,993348.3K $
73Charter Communications, Inc. 1,606346.7K $
74Intuit Inc 800345.9K $
75HubSpot Inc 1,400341.7K $
76JPMorgan Chase & Co 1,109326.2K $
77Realty Income Corp 5,223319.5K $
78Walmart Inc 2,505311.3K $
79Campbell's Company/The 13,901309.6K $
80T-Mobile US Inc 1,426299.5K $
81Chipotle Mexican Grill Inc 9,353299.4K $
82Target Corp 2,412292.3K $
83Coca-Cola Co/The 3,823290.7K $
84Costco Wholesale Corp 290289K $
85Workday Inc 2,200285.8K $
86Walt Disney Co/The 2,911280.6K $
87Boeing Co/The 1,387276.1K $
88SBA Communications Corp 1,600275.4K $
89IQVIA Holdings Inc 1,600272.9K $
90Otis Worldwide Corp 3,500269.8K $
91Skyworks Solutions Inc 5,026269.1K $
92Procter & Gamble Co/The 1,860268.7K $
93RTX Corp 1,350260.4K $
94Qnity Electronics Inc 2,200253.8K $
95Clorox Co/The 2,401248.8K $
96SPDR Series Trust 1,947248.7K $
97Pinterest Inc 12,900236.6K $
98Global Payments Inc 3,500235.6K $
99QUALCOMM Inc 1,809233K $
100First Trust Exchange-Traded Fund VIII 4,992217.6K $