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
1,701Baidu Inc 4,422492.7K $
1,702Kforce Inc 16,847492.6K $
1,703Mercury General Corp 5,581492K $
1,704Harley-Davidson Inc 24,313491.6K $
1,705Appian Corp 20,353490.7K $
1,706Deluxe Corp 17,805490.4K $
1,707First Financial Bancorp 17,586490.3K $
1,708Interface Inc 19,662490K $
1,709iShares U.S. Pharmaceuticals E 5,652489.9K $
1,710Phinia Inc 7,158489.9K $
1,711FIDUS INVESTMENT CORP 28,098489.5K $
1,712Celcuity Inc 4,284489K $
1,713Victory Capital Holdings Inc 7,441487.2K $
1,714Northwest Natural Holding Co 9,152487.1K $
1,715Healthcare Services Group Inc 26,196485.9K $
1,716Warner Music Group Corp 18,996485.2K $
1,717Atlantic Union Bankshares Corp 13,573485.1K $
1,718MP Materials Corp 10,047484.9K $
1,719ProShares Ultra Silv 4,053484.4K $
1,720First Trust Nasdaq-100 Select Equal Weight ETF 3,812484K $
1,721SPDR Bloomberg Emerging Markets Local Bond ETF 23,404483.1K $
1,722Covenant Logistics Group Inc 17,768482.4K $
1,723AES Corp/The 34,213482.1K $
1,724Symbotic Inc 9,030480.4K $
1,725Strategic Education Inc 5,788480.2K $
1,726Coursera Inc 82,448479.8K $
1,727Construction Partners Inc 4,315479.4K $
1,728Booz Allen Hamilton Holding Corp 6,143479.3K $
1,729Vanguard Bond Index Funds 6,947477.8K $
1,730Oil States International Inc 40,774474.6K $
1,731Wisdomtree Trust 11,628474.4K $
1,732Cava Group Inc 5,857473.9K $
1,733Garrett Motion Inc 26,051473.3K $
1,734Cemex SAB de CV 41,333472.8K $
1,735Ionis Pharmaceuticals Inc 6,296472.8K $
1,736Ingles Markets Inc 5,222469.4K $
1,737iShares MSCI China ETF 8,308466.7K $
1,738Arcellx Inc 4,057465.8K $
1,739Schwab High Yield Bond ETF 17,913465.7K $
1,740Direxion NASDAQ-100 Equal Weighted Index ETF 4,712464.3K $
1,741SUNOCO LP 7,140463.9K $
1,742Kadant Inc 1,584463.2K $
1,743DBX ETF Trust 12,727460.2K $
1,744Knife River Corp 5,623459.1K $
1,745Stepan Co 9,185459.1K $
1,746Houlihan Lokey Inc 3,191458.3K $
1,747State Street SPDR Portfolio Ag 17,856457.5K $
1,748Heartland Express Inc 43,962457.2K $
1,749Smith & Wesson Brands Inc 31,858456.5K $
1,750WSFS Financial Corp 6,973456.5K $
1,751Olin Corp 15,314455.3K $
1,752Vanda Pharmaceuticals Inc 65,789454.6K $
1,753Heritage Commerce Corp 36,263452.6K $
1,754Arcosa Inc 4,253451.4K $
1,755H2O America 7,683450.8K $
1,756Liberty Live Holdings Inc 4,913450.2K $
1,757Atlanta Braves Holdings Inc 10,537449.9K $
1,758CNB Financial Corp/PA 15,520449.5K $
1,759Newmark Group Inc 29,983449.4K $
1,760St Joe Co/The 7,156449.4K $
1,761Supernus Pharmaceuticals Inc 8,678448.6K $
1,762United Fire Group Inc 12,103448.5K $
1,763Nuveen Preferred & Income Opportunities Fund 59,402447.9K $
1,764Axogen Inc 13,468446.2K $
1,765Dolby Laboratories Inc 7,424445.9K $
1,766INFLEQTION INC 45,370445.1K $
1,767Rigetti Computing Inc 31,669444.6K $
1,768G-III Apparel Group Ltd 16,051444.6K $
1,769Liberty Broadband Corp 8,801442K $
1,770Enova International Inc 3,251441.6K $
1,771Cipher Digital Inc 34,287441.3K $
1,772WisdomTree Trust 8,330441.1K $
1,773CAPITAL GROUP SHORT DURATION MUNICIPAL INCOME ETF 16,738439.9K $
1,774Global X SuperDividend ETF 17,408439.7K $
1,775iShares High Yield Muni Active ETF 9,159439.5K $
1,776SLM Corp 20,459438K $
1,777CTO Realty Growth Inc 23,617436.7K $
1,778SiTime Corp 1,263436.1K $
1,779PGIM ETF Trust 8,803435.7K $
1,780WisdomTree Inc 29,891435.2K $
1,781Ishares Inc 2,410433.8K $
1,782State Street SPDR Portfolio TIPS ETF 16,663433.4K $
1,783Dimensional Inflation-Protecte 10,388433.4K $
1,784Peloton Interactive Inc 100,649431.8K $
1,785Voyager Technologies Inc 18,458431.7K $
1,786Saia Inc 1,229431.7K $
1,787DigitalOcean Holdings Inc 5,025431K $
1,788IES Holdings Inc 903430.3K $
1,789Eaton Vance T/M Bu 31,455430K $
1,790SPDR Series Trust 1,692429.7K $
1,791ISHARES TRUST 5,756429.4K $
1,792Apellis Pharmaceuticals Inc 10,663429K $
1,793TALEN ENERGY CORP 1,343428.9K $
1,794CoreWeave Inc 5,522427.8K $
1,795WISDOMTREE TRUST WISDOMTREE CHINA EX-STATE-OWNED ENTERPRISES FUND 8,166427.1K $
1,796BrightView Holdings Inc 36,217427K $
1,797Sunstone Hotel Investors Inc 47,302426.2K $
1,798Diamond Hill Investment Group Inc 2,473425.6K $
1,799AdvanSix Inc 17,435425.4K $
1,800Flushing Financial Corp 27,632424.4K $