Titelia

Holdings of Marble Wealth, LLC

206 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 44.1 % of the equity sleeve

Sector breakdown

  • Funds 17.3 %
  • Technology 16.6 %
  • Financials 7.3 %
  • Consumer staples 4.9 %
  • Consumer discretionary 4.7 %
  • Communication 4.5 %
  • Industrials 4.5 %
  • Health care 2.4 %
  • Energy 1.8 %
  • Utilities 1.3 %
  • Materials 0.5 %
  • Real estate 0.1 %
  • Unattributed 34.2 %

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 100.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US206546.1M $100.00 %

Positions

RankCompanySharesValueWeight
101Waste Management Inc 3,245745.8K $
102Diamondback Energy Inc 3,542700.7K $
103Ameriprise Financial Inc 1,557691.9K $
104iShares Trust 30,054688.5K $
105Lamar Advertising Co 5,379681.3K $
106TJX Cos Inc/The 4,172666.3K $
107Oracle Corp 4,317635.1K $
108AptarGroup Inc 5,000630.1K $
109iShares Core S&P Total U.S. Stock Market ETF 4,332616.9K $
110Ishares Gold Trust 6,957613.3K $
111Wells Fargo & Co 7,587604K $
112Colgate-Palmolive Co 7,030599.2K $
113NextEra Energy Inc 6,432597.4K $
114Labcorp Holdings Inc 2,238597.1K $
115Koppers Holdings Inc 15,085583.5K $
116CSX Corp 14,050576.7K $
117Vanguard Scottsdale Funds 5,731574K $
118HCA Healthcare Inc 1,181559K $
119Blackrock Inc 563541.1K $
120Philip Morris International Inc. 3,191527.6K $
121Intuitive Surgical Inc 1,107510.3K $
122Mastercard Inc 993496K $
123QUALCOMM Inc 3,814491.2K $
124PepsiCo Inc 3,160490.7K $
125Sherwin-Williams Co/The 1,520487.4K $
126ServisFirst Bancshares Inc 6,484472.2K $
127SELECT SECTOR SPDR TRUST (THE) 3,504465.7K $
128Adobe Inc 1,871454.8K $
129Nucor Corp 2,649448K $
130Netflix Inc 4,542436.7K $
131Occidental Petroleum Corp 6,709436.1K $
132Deere & Co 769433.2K $
133Advanced Micro Devices Inc 2,096426.4K $
134Phillips 66 2,319422.5K $
135Gray Media Inc 94,298409.3K $
136Union Pacific Corp 1,672405.8K $
137Vanguard Russell 1000 1,363402.4K $
138FS KKR Capital Corp 39,472401.8K $
139Parker-Hannifin Corp 448401.1K $
140iShares Ultra Short Duration B 7,895399.6K $
141JPMorgan Ultra-Short Income ETF 7,896399.6K $
142Verizon Communications Inc 7,880395.6K $
143iShares Russell 1000 Growth ETF 911388.5K $
144American Electric Power Co Inc 2,962388.3K $
145T-Mobile US Inc 1,827383.7K $
146Reinsurance Group of America Inc 1,871381.9K $
147Mid-America Apartment Communities, Inc. 2,962361.7K $
148Danaher Corp 1,898359.8K $
149Palo Alto Networks Inc 2,239359K $
150Realty Income Corp 5,844357.6K $
151Amgen Inc 1,016357.4K $
152iShares Silver Trust 5,195354K $
153Honeywell International Inc 1,541348.4K $
154Walt Disney Co/The 3,599346.9K $
155MercadoLibre Inc 200345.8K $
156Analog Devices Inc 1,076342.3K $
157AT&T Inc 11,802342.1K $
158Monster Beverage Corp 4,703340.8K $
159CME Group Inc 1,117329.9K $
160State Street Health Care Select Sector SPDR ETF 2,248329.6K $
161Vanguard Intermediate-Term Corporate Bond ETF 3,848318.4K $
162Construction Partners Inc 2,857317.4K $
163iShares MSCI EAFE ETF 3,240314.7K $
164Target Corp 2,567311.1K $
165Fidelity Wise Origin Bitcoin Fund 5,224308.4K $
166Bristol-Myers Squibb Co 5,039305.6K $
167eBay Inc 3,304300.7K $
168Cencora Inc 955299.9K $
169Schwab Strategic Trust 9,636293.9K $
170Howmet Aerospace Inc 1,264291.3K $
171Altria Group, Inc. 4,394290K $
172Dimensional ETF Trust 4,064288.2K $
173M&T Bank Corp 1,373283.8K $
174iShares Trust 2,505283.4K $
175iShares MSCI USA Min Vol Factor ETF 3,028280.8K $
176Gilead Sciences Inc 1,951271.9K $
177Amphenol Corp 2,129269K $
178WisdomTree Trust 4,961260.6K $
179Western Digital Corp 958259.1K $
180Pinnacle West Capital Corp. 2,539255.8K $
181Comcast Corp 8,817253.1K $
182Select Sector Spdr Trust 4,051248.2K $
183PIMCO Enhanced Short Maturity 2,449246.3K $
184Targa Resources Corp 968242.8K $
185U-Haul Holding Co 5,395241K $
186Entergy Corp 2,092235.1K $
187Progressive Corp/The 1,175233K $
188Boston Scientific Corp 3,688231.4K $
189PNC Financial Services Group Inc/The 1,109230.7K $
190Lowe's Cos Inc 948223.9K $
191APA Corp 5,226221.8K $
192TransDigm Group Inc 186215.7K $
193International Business Machines Corp. 884214.3K $
194SPDR Series Trust 2,330213.5K $
195Texas Instruments Inc 1,099213.4K $
196Vanguard FTSE Developed Markets ETF 3,289210.8K $
197Alpha Architect 1-3 Month Box 1,800209.3K $
198Vertex Pharmaceuticals Inc 467208.3K $
199Constellation Energy Corp. 744207.9K $
200DFA Dimensional US Marketwide Value ETF 4,243205.6K $