Titelia

Holdings of 3Chopt Investment Partners, LLC

216 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 42.5 % of the equity sleeve

Sector breakdown

  • Technology 20.6 %
  • Funds 14.0 %
  • Financials 8.2 %
  • Health care 7.6 %
  • Communication 6.4 %
  • Consumer staples 6.0 %
  • Consumer discretionary 5.3 %
  • Industrials 4.6 %
  • Energy 3.3 %
  • Utilities 2.7 %
  • Materials 1.1 %
  • Real estate 0.7 %
  • Unattributed 19.5 %

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 99.9 %
  • MX 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US215423M $99.94 %
2MX1244.6K $0.06 %

Positions

RankCompanySharesValueWeight
101Danaher Corp 3,950750.5K $
102Synchrony Financial 10,887740.5K $
103UnitedHealth Group Inc 2,709733.1K $
104Lowe's Cos Inc 3,086729.3K $
105Invesco S&P 500 Equal Weight ETF 3,799729.1K $
106Southern Co/The 7,343708.7K $
107Mondelez International Inc 12,174707.8K $
108iShares Core S&P Small-Cap ETF 5,600696.1K $
109GE Vernova Inc 796695.2K $
110eBay Inc 7,617693.3K $
111Blackrock Inc 702675.2K $
112Truist Financial Corp 14,687675.2K $
113International Business Machines Corp. 2,749666.3K $
114Corteva Inc 7,785651.7K $
115L3Harris Technologies Inc 1,867644.4K $
116JPMorgan ActiveBuilders Emerging Markets Equity ETF 12,385644.4K $
117EQT Corp 10,120644K $
118Ameriprise Financial Inc 1,387616.4K $
119Abbott Laboratories 5,954611.3K $
120Walt Disney Co/The 6,335610.6K $
121VICI Properties Inc 21,458596K $
122Zoom Communications Inc 7,370592.5K $
123Air Products and Chemicals Inc 2,032590.2K $
124Target Corp 4,745575.1K $
125Dell Technologies Inc 3,491573K $
126Adobe Inc 2,337568.1K $
127Kimberly-Clark Corp 5,800567K $
128Jones Lang LaSalle Inc 1,776540.5K $
129J.P. MORGAN EXCHANGE-TRADED FUND TRUST 8,243538K $
130Netflix Inc 5,565535.1K $
131Salesforce Inc 2,863534.4K $
132General Dynamics Corp 1,542529.2K $
133Vanguard International Equity Index Funds 9,624520.2K $
134iShares Core MSCI Emerging Markets ETF 7,428518.1K $
135Cummins Inc 943507.4K $
136Verizon Communications Inc 9,906497.3K $
137HCA Healthcare Inc 1,044494.1K $
138Amgen Inc 1,348474.3K $
139PNC Financial Services Group Inc/The 2,156448.6K $
140American Electric Power Co Inc 3,360440.4K $
141FedEx Corp 1,185423.7K $
142Starbucks Corp 4,668418.2K $
143Universal Corp/VA 7,800411.1K $
144Paychex Inc 4,447409.6K $
145Incyte Corp 4,280402.8K $
146Palantir Technologies Inc 2,732399.6K $
147Vanguard Whitehall Funds 4,144390.5K $
148Fastenal Co 8,414390.4K $
149Advanced Micro Devices Inc 1,919390.4K $
150Thermo Fisher Scientific Inc 789388.2K $
151NiSource Inc 8,279386.3K $
152Huntington Ingalls Industries, Inc. 1,004381.4K $
153Textron Inc 4,284375.2K $
154S&P Global Inc 877373K $
155Roku Inc 3,780357.7K $
156Allstate Corp/The 1,639341.3K $
157iShares U.S. Technology ETF 1,810328.4K $
158Kinder Morgan, Inc. 9,725326.1K $
159Travelers Cos Inc/The 1,112324.3K $
160Emerson Electric Co. 2,414316.3K $
161Intuit Inc 729315.2K $
162Medpace Holdings Inc 646310.2K $
163Waste Management Inc 1,319303.1K $
164Constellation Energy Corp. 1,071299.1K $
165Pfizer Inc 10,467293.9K $
166RPM International Inc 2,928291K $
167Western Digital Corp 1,068288.9K $
168ENERGOUS CORP 18,000282.4K $
169Chipotle Mexican Grill Inc 8,665277.4K $
170Cincinnati Financial Corp 1,725272.9K $
171Invesco QQQ Trust Series 1 471271.9K $
172Enterprise Products Partners LP 7,116269.3K $
173Mueller Industries Inc 2,325257.6K $
1743M Co 1,770257.1K $
175Snap-on Inc 700254.3K $
176Colgate-Palmolive Co 2,955251.9K $
177T-Mobile US Inc 1,186249.1K $
178Westinghouse Air Brake Technologies Corp 984245.9K $
179America Movil SAB de CV 9,600244.6K $
180J.P. MORGAN EXCHANGE-TRADED FUND TRUST 2,820241.5K $
181Intel Corp 5,470241.4K $
182Union Pacific Corp 993240.9K $
183iShares Trust 1,116238.5K $
184Ecolab Inc 891237.6K $
185Coherent Corp 992236.3K $
186AT&T Inc 8,051233.4K $
187Post Holdings Inc 2,283225.7K $
188American International Group Inc 2,991225.1K $
189Cadence Design Systems Inc 809224.8K $
190ConocoPhillips 1,635215.8K $
191Ferguson Enterprises Inc 910213.1K $
192Intuitive Surgical Inc 462213K $
193Arista Networks Inc 1,725211.8K $
194Plug Power Inc 92,860209.9K $
195Uber Technologies Inc 2,888207.7K $
196Elevance Health Inc 708207.3K $
197Parker-Hannifin Corp 225201.4K $
198Welltower Inc 1,016200.9K $
199Vanguard Total World Stock ETF 1,398193.3K $
200J.P. MORGAN EXCHANGE-TRADED FUND TRUST 2,468183.2K $