Titelia

Holdings of TRIGLAV INVESTMENTS, D.O.O.

131 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 51.4 % of the equity sleeve

Sector breakdown

  • Technology 36.6 %
  • Communication 13.5 %
  • Health care 12.6 %
  • Consumer discretionary 12.1 %
  • Financials 9.8 %
  • Industrials 6.1 %
  • Consumer staples 3.6 %
  • Real estate 1.1 %
  • Funds 0.8 %
  • Utilities 0.5 %
  • Materials 0.1 %
  • Unattributed 3.3 %

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 96.5 %
  • TW 2.7 %
  • KY 0.5 %
  • IN 0.3 %
  • IL 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US1241.3B $96.48 %
2TW237.5M $2.75 %
3KY26.4M $0.47 %
4IN23.6M $0.27 %
5IL1395.2K $0.03 %

Positions

RankCompanySharesValueWeight
1NVIDIA Corp 800,737139.6M $
2Amazon.com Inc 455,54294.9M $
3Microsoft Corp 240,78289.1M $
4Apple Inc 326,44382.8M $
5Alphabet Inc 229,67166M $
6Broadcom Inc 170,73052.8M $
7Meta Platforms Inc 86,60749.5M $
8Eli Lilly & Co 49,21245.3M $
9JPMorgan Chase & Co 141,67541.7M $
10Walmart Inc 311,51838.7M $
11Goldman Sachs Group Inc/The 43,72337M $
12Taiwan Semiconductor Manufacturing Co Ltd 105,34235.6M $
13Alphabet Inc 120,14034.5M $
14Micron Technology Inc 84,60228.6M $
15Tesla Inc 76,17228.3M $
16Johnson & Johnson 113,51827.7M $
17Merck & Co Inc 192,68823.2M $
18Netflix Inc 219,43121.1M $
19Visa Inc 57,30017.3M $
20Caterpillar Inc 19,25013.6M $
21Quanta Services Inc 24,24913.3M $
22Ralph Lauren Corp 38,55013.3M $
23Mastercard Inc 26,16413.1M $
24RTX Corp 65,00012.5M $
25Emerson Electric Co. 84,57111.1M $
26Home Depot Inc/The 32,52010.7M $
27Uber Technologies Inc 144,87410.4M $
28McDonald's Corp. 33,25210.3M $
29Thermo Fisher Scientific Inc 21,00010.3M $
30Cencora Inc 31,80010M $
31Pfizer Inc 316,7008.9M $
32Honeywell International Inc 38,8608.8M $
33KLA Corp 5,9108.7M $
34Lam Research Corp 40,2208.6M $
35Lowe's Cos Inc 34,6328.2M $
36CVS Health Corp 112,9508.1M $
37Walt Disney Co/The 82,3607.9M $
38Advanced Micro Devices Inc 37,1367.6M $
39Cisco Systems, Inc. 97,2007.5M $
40State Street SPDR S&P 500 ETF Trust 11,3787.4M $
41Alibaba Group Holding Ltd 54,2306.8M $
42NextEra Energy Inc 71,0516.6M $
43Sandisk Corp/DE 10,2766.5M $
44Vertiv Holdings Co 25,1136.3M $
45Applied Materials Inc 17,6646M $
46Progressive Corp/The 28,8005.7M $
47ISHARES TRUST 83,6205.7M $
48Prologis Inc 42,8875.7M $
49Tencent Holdings Ltd 86,8685.5M $
50Bank of America Corp 111,8205.5M $
51AbbVie Inc 23,6005.1M $
52Western Digital Corp 18,7005.1M $
53iShares Core S&P 500 ETF 7,4054.8M $
54Equinix Inc 4,5004.4M $
55Citigroup Inc 35,6834M $
56McKesson Corp 4,2003.6M $
57Intel Corp 77,8003.4M $
58First Solar Inc 17,2583.4M $
59Sea Ltd 40,2793.3M $
60Morgan Stanley 20,1513.3M $
61Coca-Cola Co/The 38,8913M $
62Lumentum Holdings Inc 4,1912.9M $
63Welltower Inc 14,8662.9M $
64General Motors Co 39,0242.9M $
65Texas Instruments Inc 14,9002.9M $
66Oracle Corp 18,5002.7M $
67Costco Wholesale Corp 2,7002.7M $
68American Tower Corp 15,2682.6M $
69Abbott Laboratories 24,0002.5M $
70Regeneron Pharmaceuticals, Inc. 3,0002.3M $
71UnitedHealth Group Inc 8,5002.3M $
72Biogen Inc 12,4282.3M $
73Gilead Sciences Inc 16,0002.2M $
74Dell Technologies Inc 13,0002.1M $
75ICICI Bank Ltd 81,3792.1M $
76Intuitive Surgical Inc 4,5202.1M $
77FedEx Corp 5,8462.1M $
78Wells Fargo & Co 26,0002.1M $
79United Therapeutics Corp 3,4002M $
80HCA Healthcare Inc 4,2482M $
81Marvell Technology Inc 20,0002M $
82Darling Ingredients Inc 31,0001.9M $
83QUALCOMM Inc 14,8881.9M $
84ASE Technology Holding Co Ltd 87,5271.9M $
85DuPont de Nemours Inc 40,7221.9M $
86Boston Scientific Corp 29,5001.9M $
87Palantir Technologies Inc 11,9001.7M $
88Deere & Co 2,8131.6M $
89Vertex Pharmaceuticals Inc 3,4501.5M $
90HDFC Bank Ltd 60,7701.5M $
91TJX Cos Inc/The 9,2001.5M $
92Edwards Lifesciences Corp 18,0601.4M $
93ResMed Inc 6,4001.4M $
94Amgen Inc 4,0501.4M $
95Avery Dennison Corp 7,9801.4M $
96Invesco QQQ Trust Series 1 2,0631.2M $
97Neurocrine Biosciences Inc 9,0001.2M $
98Elevance Health Inc 4,0001.2M $
99Dexcom Inc 18,5001.2M $
100Norfolk Southern Corp 4,0001.1M $