Titelia

Holdings of CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM

2689 declared positions · as of Mar 31, 2026

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

Sector breakdown

  • Technology 29.8 %
  • Financials 10.9 %
  • Communication 9.7 %
  • Consumer discretionary 9.1 %
  • Health care 8.7 %
  • Industrials 7.7 %
  • Consumer staples 4.1 %
  • Energy 2.6 %
  • Funds 2.1 %
  • Utilities 2.1 %
  • Materials 1.6 %
  • Real estate 1.4 %
  • Unattributed 10.3 %

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 99.9 %
  • IL 0.0 %
  • KY 0.0 %
  • HK 0.0 %
  • CN 0.0 %
  • PE 0.0 %
  • GB 0.0 %
  • CA 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2,68191B $99.90 %
2IL137.5M $0.04 %
3KY237.2M $0.04 %
4HK18.9M $0.01 %
5CN12.7M $0.00 %
6PE11.9M $0.00 %
7GB1857.4K $0.00 %
8CA1654.1K $0.00 %

Positions

RankCompanySharesValueWeight
1,101Standex International Corp 14,6043.7M $
1,102Brady Corp 45,8013.7M $
1,103Qualys Inc 42,3173.7M $
1,104OPENLANE Inc 127,3043.7M $
1,105Parsons Corp 68,4563.7M $
1,106Advance Auto Parts Inc 70,2603.7M $
1,107Archer Aviation Inc 716,0663.7M $
1,108Terns Pharmaceuticals Inc 70,2193.7M $
1,109WillScot Holdings Corp 212,6383.7M $
1,110Scholar Rock Holding Corp 74,9163.7M $
1,111Garrett Motion Inc 202,5553.7M $
1,112Brookdale Senior Living Inc 268,3793.7M $
1,113Workiva Inc 61,5663.7M $
1,114AXT Inc 64,4063.7M $
1,115Herc Holdings Inc 36,6323.6M $
1,116Penske Automotive Group Inc 24,3843.6M $
1,117Vanguard S&P 500 ETF 6,0783.6M $
1,118PVH Corp 51,9923.6M $
1,119Sunrun Inc 267,1623.6M $
1,120Zeta Global Holdings Corp 227,5213.6M $
1,121Palomar Holdings Inc 30,2803.6M $
1,122Ondas Inc 400,1783.6M $
1,123NCR Atleos Corp 82,9663.6M $
1,124WesBanco Inc 104,5103.6M $
1,125Integer Holdings Corp 40,7923.6M $
1,126Seacoast Banking Corp of Florida 118,3243.6M $
1,127Sotera Health Co 248,6423.6M $
1,128Materion Corp 24,6123.6M $
1,129ICU Medical Inc 27,5123.6M $
1,130Sphere Entertainment Co 30,2553.6M $
1,131Life360 Inc 86,6353.5M $
1,132Plug Power Inc 1,560,3053.5M $
1,133Whirlpool Corp 65,1953.5M $
1,134American States Water Co 46,4603.5M $
1,135Kyndryl Holdings Inc 267,2653.5M $
1,136Freshpet Inc 59,4653.5M $
1,137Supernus Pharmaceuticals Inc 67,6863.5M $
1,138Simmons First National Corp 179,6823.5M $
1,139Alignment Healthcare Inc 198,2003.5M $
1,140LCI Industries 28,3423.5M $
1,141CG oncology Inc 51,4993.5M $
1,142Catalyst Pharmaceuticals Inc 140,7163.5M $
1,143Marzetti Company/The 25,1873.5M $
1,144First Financial Bancorp 124,9143.5M $
1,145Impinj Inc 33,9023.5M $
1,146Cinemark Holdings Inc 121,6643.5M $
1,147YETI Holdings Inc 94,8033.5M $
1,148Victory Capital Holdings Inc 52,6993.5M $
1,149Hawkins Inc 22,4343.4M $
1,150Q2 Holdings Inc 72,7243.4M $
1,151Polaris Inc 63,0343.4M $
1,152Cargurus Inc 100,7923.4M $
1,153Choice Hotels International Inc 33,0823.4M $
1,154WD-40 Co 16,7753.4M $
1,155IPG Photonics Corp 29,7443.4M $
1,156Dianthus Therapeutics Inc 40,5843.4M $
1,157Centrus Energy Corp 19,6063.4M $
1,158Cathay General Bancorp 68,2583.4M $
1,159SolarEdge Technologies Inc 66,5893.4M $
1,160Prestige Consumer Healthcare Inc 57,3103.4M $
1,161Waystar Holding Corp 140,7293.4M $
1,162Axcelis Technologies Inc 36,4203.4M $
1,163Acushnet Holdings Corp 35,9713.4M $
1,164MARA Holdings Inc 412,0523.4M $
1,165Power Integrations Inc 65,6413.4M $
1,166Paramount Skydance Corp. 372,2163.4M $
1,167Doximity Inc 144,0013.4M $
1,168Gitlab Inc 154,6993.3M $
1,169Western Union Co/The 383,2233.3M $
1,170Twist Bioscience Corp 70,3483.3M $
1,171NMI Holdings Inc 88,9623.3M $
1,172Community Financial System Inc 56,8053.3M $
1,173IAC Inc 83,1763.3M $
1,174Hayward Holdings Inc 247,7773.3M $
1,175Erasca Inc 204,4493.3M $
1,176Boise Cascade Co 43,4193.3M $
1,177Scotts Miracle-Gro Co/The 54,0433.3M $
1,178LXP Industrial Trust 71,0153.3M $
1,179DigitalBridge Group Inc 213,0063.3M $
1,180National Storage Affiliates Trust 86,8663.3M $
1,181Banc of California Inc 186,2463.3M $
1,182Remitly Global Inc 208,4093.3M $
1,183Griffon Corp 44,9103.3M $
1,184Towne Bank/Portsmouth VA 96,8473.3M $
1,185Graphic Packaging Holding Co 327,3973.3M $
1,186TAL Education Group 285,2623.2M $
1,187Acadia Realty Trust 169,6263.2M $
1,188Ideaya Biosciences Inc 96,6553.2M $
1,189Northern Oil & Gas Inc 110,0163.2M $
1,190Delek US Holdings Inc 71,3463.2M $
1,191Apogee Therapeutics Inc 38,1613.2M $
1,192Ultra Clean Holdings Inc 51,6433.2M $
1,193Synaptics Inc 45,7913.2M $
1,194Phinia Inc 46,8343.2M $
1,195United Natural Foods Inc 71,0853.2M $
1,196Apple Hospitality REIT Inc 278,1853.2M $
1,197Euronet Worldwide Inc 48,1233.2M $
1,198PennyMac Financial Services Inc 36,4743.2M $
1,199Red Rock Resorts Inc 59,7353.2M $
1,200Trinity Industries Inc 98,1093.2M $