Titelia

Holdings of MERCER GLOBAL ADVISORS INC /ADV

2726 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 38.9 % of the equity sleeve

Sector breakdown

  • Funds 13.7 %
  • Technology 9.1 %
  • Financials 3.2 %
  • Communication 2.4 %
  • Consumer discretionary 2.2 %
  • Health care 2.1 %
  • Industrials 2.0 %
  • Consumer staples 1.4 %
  • Energy 0.9 %
  • Utilities 0.5 %
  • Materials 0.4 %
  • Real estate 0.3 %
  • Unattributed 61.8 %

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 99.5 %
  • GB 0.1 %
  • TW 0.1 %
  • NL 0.1 %
  • ES 0.0 %
  • JP 0.0 %
  • DE 0.0 %
  • AU 0.0 %
  • DK 0.0 %
  • LU 0.0 %
  • FR 0.0 %
  • BE 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2,63563.8B $99.54 %
2GB1876.5M $0.12 %
3TW357.9M $0.09 %
4NL543.8M $0.07 %
5ES226.8M $0.04 %
6JP625M $0.04 %
7DE19.6M $0.01 %
8AU28.7M $0.01 %
9DK46.8M $0.01 %
10LU26.7M $0.01 %
11FR24.5M $0.01 %
12BE14.3M $0.01 %

Positions

RankCompanySharesValueWeight
1,601Victoria's Secret & Co 12,902598.2K $
1,602Blue Bird Corp 10,518597.3K $
1,603Praxis Precision Medicines Inc 1,850596.1K $
1,604Woori Financial Group Inc 8,913593.6K $
1,605Flexshares Trust 18,734593.3K $
1,606Capitol Federal Financial Inc 83,176593K $
1,607QuinStreet Inc 49,353592.7K $
1,608American Assets Trust Inc 32,117591.3K $
1,609nCino Inc 39,466591.2K $
1,610FB Financial Corp 11,346589.3K $
1,611BOK Financial Corp 4,597588.6K $
1,612BlackRock Enhanced Equity Dividend Trust 67,752584K $
1,613National Storage Affiliates Trust 15,445582.9K $
1,614Clearwater Analytics Holdings Inc 24,618582.2K $
1,615Royce Small Cap Trust Inc 34,992580.9K $
1,616Ziff Davis Inc 13,837580.6K $
1,617Westamerica BanCorp 11,073577.5K $
1,618California Water Service Group 12,667574.3K $
1,619Xenia Hotels & Resorts Inc 38,710574.1K $
1,620JD.COM INC 19,367572.7K $
1,621Universal Display Corp 6,243572.2K $
1,622Thor Industries Inc 7,144570.7K $
1,623Vanguard Ultra Short Bond ETF 11,449570K $
1,624Freshpet Inc 9,661569.6K $
1,625Greif Inc 8,474568.3K $
1,626Innovator U.S. Equity Power Bu 13,368568.1K $
1,627Tompkins Financial Corp 7,201567.7K $
1,628Kosmos Energy Ltd 203,499565.7K $
1,629RLI Corp 9,912565.4K $
1,630UniFirst Corp/MA 2,245564.8K $
1,631Fortrea Holdings Inc 59,867563.9K $
1,632Vanguard Admiral Funds Inc. 4,502562.9K $
1,633NuScale Power Corp 51,835561.9K $
1,634American Eagle Outfitters Inc 33,566560.6K $
1,635Vanguard Scottsdale Funds 2,444559.8K $
1,636Semtech Corp 7,248557.3K $
1,637Four Corners Property Trust Inc 23,488555.5K $
1,638ASGN Inc 14,267552.3K $
1,639Syndax Pharmaceuticals Inc 23,637552.2K $
1,640Utah Medical Products Inc 8,878550.4K $
1,641ICU Medical Inc 4,260550.2K $
1,642iShares MSCI All Country Asia 5,705549.3K $
1,643Enovis Corp 24,115548.6K $
1,644Wendy's Co/The 78,851548K $
1,645Campbell's Company/The 24,600547.9K $
1,646LiveRamp Holdings Inc 20,585545.9K $
1,647Atlanta Braves Holdings Inc 11,574545.7K $
1,648Baxter International Inc 32,459545.3K $
1,649Avantis International Small Cap Value ETF 5,454544.6K $
1,650Warby Parker Inc 25,815543.9K $
1,651ABM Industries Inc 14,104543.3K $
1,652J P Morgan Exchange Traded Fund Trust 11,844542.8K $
1,653Gulfport Energy Corp 2,558541.2K $
1,654CSG Systems International Inc 6,764540.7K $
1,655Zeta Global Holdings Corp 33,966540.7K $
1,656Associated Banc-Corp 20,882540K $
1,657Shinhan Financial Group Co Ltd 8,800539.6K $
1,658iShares Core MSCI Pacific ETF 7,036538.3K $
1,659ASE Technology Holding Co Ltd 24,773537.1K $
1,660iShares Core 60/40 Balanced Al 8,340536.7K $
1,661iShares Core 80/20 Aggressive 6,064536.6K $
1,662Vitesse Energy Inc 29,319532.4K $
1,663TFS Financial Corp 37,855531.9K $
1,664State Street SPDR S&P Emerging Markets Small Cap ETF 8,025530.6K $
1,665Global X Lithium & Battery Tec 7,116529.1K $
1,666California Resources Corp 7,638528.7K $
1,667Rush Street Interactive Inc 24,242527.3K $
1,668Enterprise Financial Services Corp 9,715525.7K $
1,669Silicon Laboratories Inc 2,524525.4K $
1,670Cheniere Energy Partners LP 8,127525.3K $
1,671Banc of California Inc 29,660521.4K $
1,672Aegon Ltd 71,787521.2K $
1,673Amneal Pharmaceuticals Inc 41,647517.7K $
1,674Graham Holdings Co 488516.1K $
1,675Varonis Systems Inc 24,000515.3K $
1,676Regal Rexnord Corp 2,750514.9K $
1,677Diodes Inc 7,541514.7K $
1,678Diageo PLC 6,893513.2K $
1,679Pacer Funds Trust 11,096513.1K $
1,680Grupo Cibest SA 7,019511K $
1,681Franklin Electric Co Inc 5,536510.2K $
1,682WisdomTree International SmallCap Dividend Fund 6,256509.8K $
1,683Guardant Health Inc 5,518509.7K $
1,684World Acceptance Corp 3,772509.4K $
1,685Kennametal Inc 14,067508.3K $
1,686Bread Financial Holdings Inc 6,759506.2K $
1,687JBG SMITH Properties 34,560504.9K $
1,688Coca-Cola Femsa SAB de CV 5,169504.2K $
1,689Byline Bancorp Inc 15,950503.5K $
1,690WesBanco Inc 14,553501.9K $
1,691Marriott Vacations Worldwide Corp 7,707501.9K $
1,692Ultra Clean Holdings Inc 8,068501.7K $
1,693Ethereum Investment Trust 29,347501K $
1,694Beacon Financial Corp 16,683500.5K $
1,695Mueller Water Products Inc 18,203500.4K $
1,696Klaviyo Inc 25,703500.2K $
1,697National Bank Holdings Corp 12,737498.8K $
1,698Omnicell Inc 14,920497.9K $
1,699TKO Group Holdings Inc 2,464496.8K $
1,700Trustmark Corp 11,701493.1K $