Titelia

Holdings of Laird Norton Wetherby Trust Company, LLC

859 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 36.2 % of the equity sleeve

Sector breakdown

  • Technology 25.2 %
  • Financials 11.4 %
  • Consumer discretionary 6.2 %
  • Communication 5.9 %
  • Health care 5.6 %
  • Industrials 4.7 %
  • Funds 2.8 %
  • Consumer staples 2.8 %
  • Energy 1.8 %
  • Materials 1.1 %
  • Utilities 1.1 %
  • Real estate 0.2 %
  • Unattributed 31.2 %

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 94.2 %
  • TW 1.4 %
  • GB 0.7 %
  • NL 0.7 %
  • KR 0.7 %
  • IN 0.4 %
  • JP 0.4 %
  • ES 0.2 %
  • BR 0.2 %
  • KY 0.2 %
  • DE 0.2 %
  • AU 0.1 %
  • Other countries 0.7 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US7534.1B $94.20 %
2TW360.3M $1.38 %
3GB1730.3M $0.69 %
4NL529.9M $0.69 %
5KR829.5M $0.68 %
6IN518.7M $0.43 %
7JP617.5M $0.40 %
8ES28.8M $0.20 %
9BR138.6M $0.20 %
10KY88.1M $0.19 %
11DE27M $0.16 %
12AU35.1M $0.12 %

Positions

RankCompanySharesValueWeight
201FedEx Corp 9,2653.3M $
202Novo Nordisk A/S 86,9513.3M $
203American Water Works Co Inc 24,2213.3M $
204Uber Technologies Inc 45,2963.3M $
205Keysight Technologies Inc 11,4463.2M $
206Boeing Co/The 16,0763.2M $
207Altria Group, Inc. 47,5283.2M $
208Boston Scientific Corp 50,5003.2M $
209DFA Dimensional US Marketwide Value ETF 65,3233.2M $
210Ross Stores Inc 14,6053.2M $
211AppLovin Corp 7,9193.2M $
212Ameriprise Financial Inc 6,9623.1M $
213Allstate Corp/The 14,7323.1M $
214Banco Bilbao Vizcaya Argentaria SA 141,4133.1M $
215Southern Copper Corp 17,5563M $
216SK Telecom Co Ltd 103,1113M $
217Mondelez International Inc 51,8303M $
218Marsh & McLennan Cos Inc 17,3293M $
219Wipro Ltd 1,403,9723M $
220iShares Core MSCI EAFE ETF 32,8583M $
221First Solar Inc 14,7012.9M $
222Howmet Aerospace Inc 12,5022.9M $
223Nasdaq Inc 33,8442.9M $
224Cadence Design Systems Inc 10,3212.9M $
225POSCO Holdings Inc 48,3322.8M $
226RELX PLC 85,4462.8M $
227Schwab US Broad Market ETF 112,3712.8M $
228Freeport-McMoRan Inc 47,8962.8M $
229Baker Hughes Co 45,9862.8M $
230Unilever PLC 48,4992.8M $
231Autodesk Inc 11,5832.8M $
232Constellation Energy Corp. 9,8112.7M $
233Republic Services Inc 12,3572.7M $
234British American Tobacco PLC 45,2032.7M $
235Williams Cos Inc/The 36,3542.6M $
236Bristol-Myers Squibb Co 43,2922.6M $
237HDFC Bank Ltd 105,4512.6M $
238Vanguard Extended Market ETF 12,7282.6M $
239Rio Tinto PLC 27,3352.6M $
240Chunghwa Telecom Co Ltd 61,2772.6M $
241Southern Co/The 26,7122.6M $
242Valero Energy Corp 10,3622.6M $
243Norfolk Southern Corp 8,8482.5M $
244GSK PLC 45,3332.5M $
245Monster Beverage Corp 34,7012.5M $
246AMETEK Inc 11,6012.5M $
247NRG Energy Inc 16,9702.5M $
248Duke Energy Corp 18,8622.5M $
249Crowdstrike Holdings Inc 6,2982.5M $
250SPDR Series Trust 26,6622.4M $
251Comcast Corp 84,5382.4M $
252Vanguard Mid-Cap ETF 8,4372.4M $
253Westinghouse Air Brake Technologies Corp 9,6882.4M $
254Target Corp 19,7652.4M $
255Mizuho Financial Group Inc 299,8972.4M $
256Air Products and Chemicals Inc 8,1152.4M $
257General Dynamics Corp 6,8202.3M $
258Barclays PLC 110,3622.3M $
259L3Harris Technologies Inc 6,7532.3M $
260Nokia Oyj 288,6252.3M $
261Rockwell Automation Inc 6,4222.3M $
262iShares MBS ETF 24,2662.3M $
263United Rentals Inc 3,1602.3M $
264ONEOK Inc 25,4092.3M $
265Gold Fields Ltd 50,2982.3M $
266ORIX Corp 74,2742.2M $
267Devon Energy Corp 44,1802.2M $
268Elevance Health Inc 7,4772.2M $
269Marvell Technology Inc 21,8122.2M $
270American Electric Power Co Inc 16,4292.2M $
271Hershey Co/The 10,3322.1M $
272CVS Health Corp 29,1932.1M $
273Blackstone Inc 17,8492.1M $
274Regeneron Pharmaceuticals, Inc. 2,6352M $
275MetLife Inc 28,6452M $
276Ciena Corp 5,1922M $
277iShares Core S&P Total U.S. Stock Market ETF 14,1472M $
278Hubbell Inc 4,1012M $
279iShares Core S&P Small-Cap ETF 16,1502M $
280Invesco QQQ Trust Series 1 3,4572M $
281EQT Corp 31,0812M $
282BP PLC 42,0592M $
283Sandisk Corp/DE 3,1102M $
284Verisk Analytics Inc 10,3482M $
285Vanguard High Dividend Yield E 13,1842M $
286Sempra 19,9462M $
287Yum! Brands Inc 12,4601.9M $
288Truist Financial Corp 41,9741.9M $
289Fortinet Inc 23,6061.9M $
290Electronic Arts Inc 9,3921.9M $
291Cintas Corp 11,2891.9M $
292Edwards Lifesciences Corp 23,2031.9M $
293Corteva Inc 22,1481.9M $
294Hewlett Packard Enterprise Co 76,2081.8M $
295Omnicom Group Inc 23,9031.8M $
296National Grid PLC 21,3001.8M $
297iShares Trust 13,0101.8M $
298Carrier Global Corp 31,9351.8M $
299Fastenal Co 38,4001.8M $
300Cardinal Health, Inc. 8,4111.8M $