Titelia

Holdings of Accent Capital Management, LLC

284 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 70.3 % of the equity sleeve

Sector breakdown

  • Technology 36.2 %
  • Communication 18.4 %
  • Consumer discretionary 11.0 %
  • Financials 8.7 %
  • Consumer staples 5.4 %
  • Industrials 4.3 %
  • Funds 4.1 %
  • Health care 2.9 %
  • Materials 0.2 %
  • Energy 0.1 %
  • Unattributed 8.6 %

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 98.5 %
  • GB 0.2 %
  • JP 0.2 %
  • CH 0.2 %
  • FR 0.2 %
  • NL 0.1 %
  • KY 0.1 %
  • TW 0.1 %
  • CN 0.1 %
  • DE 0.1 %
  • SE 0.1 %
  • CL 0.0 %
  • Other countries 0.1 %

Shares computed on the equity sleeve.

CountryLinesValueShare
US241200.6M $98.50 %
GB10424.2K $0.21 %
JP6405.4K $0.20 %
CH3381.8K $0.19 %
FR4345.3K $0.17 %
NL3279.8K $0.14 %
KY3258.2K $0.13 %
TW1244.4K $0.12 %
CN2195.3K $0.10 %
DE4169.7K $0.08 %
SE2124.8K $0.06 %
CL180.7K $0.04 %

Positions

CompanySharesValueWeight
Alphabet Inc 87,78625.2M $
NVIDIA Corp 141,46024.7M $
Apple Inc 94,33223.9M $
Microsoft Corp 43,67016.2M $
Meta Platforms Inc 20,75611.9M $
Amazon.com Inc 53,91511.2M $
State Street SPDR S&P 500 ETF Trust 15,86910.3M $
Vanguard S&P 500 ETF 14,0548.4M $
Costco Wholesale Corp 6,1236.1M $
Eli Lilly & Co 5,6225.2M $
JPMorgan Chase & Co 15,2804.5M $
Honeywell International Inc 18,5564.2M $
Broadcom Inc 13,0444M $
Tesla Inc 10,6023.9M $
Mastercard Inc 6,8463.4M $
Visa Inc 10,9183.3M $
Lam Research Corp. 13,9073M $
Walmart Inc 21,1262.6M $
American Express Co 8,1532.5M $
Vanguard Total Stock Market ETF 6,9022.2M $
Bank of America Corp 31,4021.5M $
TJX Cos Inc/The 9,0641.4M $
Berkshire Hathaway Inc 21.4M $
Vanguard Growth ETF 13,4291.4M $
PepsiCo Inc 8,7701.4M $
Williams-Sonoma Inc 7,2971.3M $
Vertiv Holdings Co 5,2261.3M $
Lowe's Cos Inc 5,2551.2M $
Home Depot Inc/The 3,5771.2M $
Deere & Co 1,750988.6K $
Uber Technologies Inc 12,894927.5K $
Booking Holdings Inc 200842.1K $
Coca-Cola Consolidated Inc 3,340640.4K $
QUALCOMM Inc 4,487577.8K $
Expedia Group Inc 2,500577.2K $
Goldman Sachs Group Inc/The 550465.3K $
Old Dominion Freight Line Inc 2,000390.8K $
Snowflake Inc 2,524380.7K $
Coca-Cola Co/The 4,800367.6K $
Nestle SA 3,018299.1K $
United Rentals Inc 408297.3K $
VANGUARD DIVIDEND APPRECIATION VANGUARD DIVIDEND APPREC ETF 1,240266.7K $
Taiwan Semiconductor Manufacturing Co Ltd 722244.4K $
Johnson & Johnson 934228.3K $
Schwab U.S. Large-Cap ETF 7,500192.3K $
ASTRAZENECA PLC USD 905178.5K $
BYD Co Ltd 11,873161.8K $
FedEx Corp 450160.9K $
Tencent Holdings Ltd 2,523159.5K $
ASML Holding NV 115151.9K $
Interactive Brokers Group Inc 1,920128.8K $
ServiceNow Inc 300127.9K $
Safran SA 1,545126.7K $
Lumentum Holdings Inc 180126.5K $
Argenx SE 167122K $
Intercontinental Exchange Inc 750118K $
Vanguard Value ETF 600117.7K $
Vanguard High Dividend Yield E 719106.5K $
Otsuka Holdings Co Ltd 2,966105K $
Swedbank AB 2,787102.8K $
Sumitomo Electric Industries Ltd 1,77598K $
Intel Corp 2,09797.6K $
Baidu Inc 84694.3K $
First Citizens BancShares Inc/NC 5094.2K $
Sherwin-Williams Co/The 29193.3K $
State Street SPDR Portfolio Developed World ex-US ETF 2,00091.3K $
Parker-Hannifin Corp 10190.4K $
Mitsubishi Electric Corp 1,38689.9K $
Sony Group Corp 4,17486.4K $
Schneider Electric SE 1,55084.4K $
Sociedad Quimica y Minera de Chile SA 99780.7K $
L'Oreal SA 98480.6K $
Lonza Group AG 1,19976.6K $
NatWest Group PLC 4,90475.6K $
Hannover Rueck SE 1,38672.2K $
Solstice Advanced Materials Inc 94071.6K $
Rocket Lab Usa Inc 1,10170.7K $
Novartis AG 45469.3K $
Shell PLC 74569.3K $
Huntington Bancshares Inc/OH 4,35068.8K $
PDD Holdings Inc 65066.4K $
Stryker Corp 20065.9K $
Alibaba Group Holding Ltd 50863.7K $
Casey's General Stores Inc 8763.3K $
Advantest Corp 46463K $
NIKE Inc 1,11659.4K $
Oracle Corp 40058.8K $
Advanced Micro Devices Inc 28858.6K $
Erste Group Bank AG 1,00554.7K $
Freeport-McMoRan Inc 84254.4K $
Caterpillar Inc 7653.8K $
Air Liquide SA 1,29253.6K $
Cencora Inc 16752.5K $
Merck & Co Inc 42050.9K $
Netflix Inc 49047.1K $
Citigroup Inc 41246.7K $
McDonald's Corp. 15046.6K $
ConocoPhillips 34145K $
Rolls-Royce Holdings PLC 2,86644.2K $
Anglo American PLC 2,03143.9K $