Titelia

Holdings of Fulton Bank, N.A.

511 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 34.3 % of the equity sleeve

Sector breakdown

  • Technology 17.0 %
  • Funds 10.0 %
  • Financials 6.5 %
  • Communication 5.7 %
  • Health care 5.2 %
  • Consumer discretionary 5.1 %
  • Industrials 5.0 %
  • Consumer staples 2.9 %
  • Energy 1.5 %
  • Utilities 1.4 %
  • Real estate 0.6 %
  • Materials 0.6 %
  • Unattributed 38.5 %

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 99.1 %
  • GB 0.4 %
  • FR 0.2 %
  • TW 0.1 %
  • JP 0.0 %
  • CH 0.0 %
  • NL 0.0 %
  • SG 0.0 %
  • HK 0.0 %
  • DE 0.0 %
  • DK 0.0 %
  • SE 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US4831.8B $99.06 %
2GB97.3M $0.41 %
3FR54.3M $0.24 %
4TW11.9M $0.11 %
5JP3768.9K $0.04 %
6CH2749.7K $0.04 %
7NL2699.4K $0.04 %
8SG1222.5K $0.01 %
9HK1208.3K $0.01 %
10DE1206.3K $0.01 %
11DK1165.8K $0.01 %
12SE195.2K $0.01 %

Positions

RankCompanySharesValueWeight
301Emerson Electric Co. 5,121671K $
302Howmet Aerospace Inc 2,896667.4K $
303Entergy Corp 5,902663.1K $
304Labcorp Holdings Inc 2,484662.8K $
305EOG Resources Inc 4,577661.7K $
306Textron Inc 7,521658.5K $
307Trimble Inc 10,040654.9K $
308Progressive Corp/The 3,285651.2K $
309SPDR Series Trust 6,607646.9K $
310BJ's Wholesale Club Holdings Inc 6,524642.1K $
311Community Financial System Inc 10,892638.8K $
312Deckers Outdoor Corp 6,311631.7K $
313AT&T Inc 21,704629.2K $
314Intel Corp 14,213627.2K $
315iShares Trust 5,534626K $
316SPDR Index Shares Funds 17,000622K $
317Neurocrine Biosciences Inc 4,652612.9K $
318Corning Inc 4,495611.2K $
319TD SYNNEX Corp 3,619610.6K $
320Analog Devices Inc 1,915609.2K $
321Electronic Arts Inc 2,973606.1K $
322FIDELITY 42,119596K $
323Schwab S&P 500 Index Fund 35,483595.1K $
324M&T Bank Corp 2,856590.4K $
325State Street SPDR S&P Dividend ETF 4,039589.5K $
326Marsh & McLennan Cos Inc 3,353581.6K $
327Alps International Sector Dividend Dogs Etf 13,833576.2K $
328iShares S&P Small-Cap 600 Growth ETF 3,952571.9K $
329SPDR Series Trust 11,720566.3K $
330Clearway Energy Inc 14,363564.3K $
331MFS Value Fund 11,034553.3K $
332West Pharmaceutical Services Inc 2,185547.6K $
333HealthEquity Inc 6,526545.4K $
334YETI Holdings Inc 14,853543.5K $
335Casey's General Stores Inc 743540.8K $
336Roche Holding AG 11,013539.1K $
337Prudential Financial, Inc. 5,423529.8K $
338Bristol-Myers Squibb Co 8,694527.3K $
339Vanguard Index Funds 2,824520.4K $
340Take-Two Interactive Software Inc 2,624518.2K $
341Vanguard Value ETF 2,636517.2K $
342RadNet Inc 9,235516.1K $
343Energy Transfer LP 26,719515.7K $
344Alnylam Pharmaceuticals Inc 1,549512.5K $
345Schwab Strategic Trust 16,779511.8K $
346Affiliated Managers Group Inc 1,840509.1K $
347Commercial Metals Co 8,279508.6K $
348Ishares Gold Trust 5,742506.2K $
349Invesco S&P 500 Equal Weight ETF 2,633505.3K $
350Republic Services Inc 2,298503.3K $
351CenterPoint Energy Inc 11,640502.4K $
352Automatic Data Processing Inc 2,454498.6K $
353Planet Fitness Inc 6,694497.9K $
354OneMain Holdings Inc 9,249494.7K $
355Federal Signal Corp 4,546491.6K $
356York Water Co/The 16,092490K $
357Primo Brands Corp 26,018489.9K $
358FNB Corp/PA 29,183487.9K $
359Vanguard Russell 1000 1,646485.8K $
360American Electric Power Co Inc 3,702485.3K $
361United Airlines Holdings Inc 5,265484.7K $
362United Parcel Service Inc 4,912483.2K $
363Vanguard World Fund 1,771482.3K $
364Commerce Bancshares Inc/MO 9,652474.9K $
365Corpay Inc 1,605467K $
366Ralph Lauren Corp 1,353465.4K $
367S&P Global Inc 1,094465.3K $
368Jack Henry & Associates Inc 2,943465.1K $
369Packaging Corp of America 2,172460.9K $
370Natera Inc 2,298459.6K $
371Avantis US Large Cap Value ETF 5,693458.9K $
372Twilio Inc 3,643458.4K $
373Tapestry Inc 3,224454.9K $
374Woodward Inc 1,266453.1K $
375State Street Corp 3,571451.9K $
376CMS Energy Corp 5,813451K $
377Marvell Technology Inc 4,543450K $
378DoorDash Inc 2,990448.9K $
379iShares Russell 2000 Value ETF 2,362447.8K $
380ASML Holding NV 338446.4K $
381ON Semiconductor Corp 7,178444.5K $
382DigitalBridge Group Inc 27,622425.9K $
383Graco Inc 5,021425K $
384iShares Trust 3,518416.7K $
385Argan Inc 762415K $
386iShares Russell Mid-Cap Value 2,839413.8K $
387Pool Corp 2,043413.4K $
388iShares Trust 1,931407.7K $
389Edwards Lifesciences Corp 5,080406.8K $
390NRG Energy Inc 2,768404.5K $
391Vertex Pharmaceuticals Inc 905404.1K $
392Freshpet Inc 6,841403.3K $
393Academy Sports & Outdoors Inc 7,013395.9K $
394iShares MSCI EAFE Growth ETF 3,501389.9K $
395Landstar System Inc 2,426388.9K $
396Interactive Brokers Group Inc 5,771387.1K $
397Air Products and Chemicals Inc 1,328385.8K $
398Synopsys Inc 955378.6K $
399Bio-Techne Corp 7,239378.3K $
400NIKE Inc 7,119376K $