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
2,101Inhibrx Biosciences Inc 49133K $
2,102GCM Grosvenor Inc 3,36232.9K $
2,103Green Dot Corp 2,90432.6K $
2,104Mitek Systems Inc 2,40932.5K $
2,105SmartFinancial Inc 82932.4K $
2,106CTO Realty Growth Inc 1,69731.4K $
2,107Tactile Systems Technology Inc 1,19631.3K $
2,108Shore Bancshares Inc 1,67131.2K $
2,109Kimball Electronics Inc 1,31631.2K $
2,110Eastman Kodak Co 3,42331K $
2,111Mama's Creations Inc 1,98830.5K $
2,112Ironwood Pharmaceuticals Inc 8,65930.4K $
2,113Alerus Financial Corp 1,27230.2K $
2,114Replimune Group Inc 3,89629.8K $
2,115Arrow Financial Corp 88129.6K $
2,116Sabre Corp 20,06229.1K $
2,117Bar Harbor Bankshares 88928.8K $
2,118BioAge Labs Inc 1,64128.7K $
2,119Compass Diversified Holdings 3,63828.6K $
2,120Carter Bankshares Inc 1,21528.3K $
2,121Ennis Inc 1,32228.3K $
2,122SandRidge Energy Inc 1,73428.3K $
2,123Universal Health Realty Income Trust 69828.2K $
2,124Vishay Precision Group Inc 64828.1K $
2,125Zevra Therapeutics Inc 3,01528.1K $
2,126Arteris Inc 1,70828.1K $
2,127Septerna Inc 1,15727.8K $
2,128Cytek Biosciences Inc 6,36227.8K $
2,129Cardinal Infrastructure Group Inc 69827.7K $
2,130Cass Information Systems Inc 62127.3K $
2,131Miller Industries Inc/TN 59827.2K $
2,132Northfield Bancorp Inc 2,00127.1K $
2,133Park Aerospace Corp 98827.1K $
2,134Northrim BanCorp Inc 1,17726.9K $
2,135Peoples Financial Services Corp 50426.9K $
2,136Flushing Financial Corp 1,74526.8K $
2,137Navan Inc 2,02426.8K $
2,138BETA TECHNOLOGIES INC 1,81626.7K $
2,139ACNB Corp 55726.7K $
2,140Bandwidth Inc 1,49626.7K $
2,141Ceribell Inc 1,44326.5K $
2,142Third Coast Bancshares Inc 69626.3K $
2,143Ingram Micro Holding Corp 1,12326.2K $
2,144Hingham Institution For Savings The 9126K $
2,145Idaho Strategic Resources Inc 80926K $
2,146Central BanCo Inc 1,08325.9K $
2,147Rigel Pharmaceuticals Inc 95325.8K $
2,148Civista Bancshares Inc 1,12725.7K $
2,149LB Pharmaceuticals Inc 1,04125.7K $
2,150Cooper-Standard Holdings Inc 91625.5K $
2,151Summit Hotel Properties Inc 5,76225.5K $
2,152Cable One Inc 27925.4K $
2,153Mativ Holdings Inc 2,92525.4K $
2,154Hippo Holdings Inc 96925.3K $
2,155Red River Bancshares Inc 27925.2K $
2,156Build-A-Bear Workshop Inc 67225.2K $
2,157Ambiq Micro Inc 98925.1K $
2,158Mesa Laboratories Inc 28425.1K $
2,159Fulcrum Therapeutics Inc 3,26325K $
2,160Postal Realty Trust Inc 1,34825K $
2,161Intrepid Potash Inc 58324.9K $
2,162Midland States Bancorp Inc 1,11624.9K $
2,163Monro Inc 1,54824.8K $
2,164Flowco Holdings Inc 1,20324.8K $
2,165Satellogic Inc 4,54724.7K $
2,166Dakota Gold Corp 4,84724.5K $
2,167JADE BIOSCIENCES INC 1,73424.4K $
2,168Consensus Cloud Solutions Inc 1,02024.2K $
2,169Orthofix Medical Inc 2,10024.1K $
2,170Anteris Technologies Global Corp 4,32824K $
2,171York Water Co/The 78023.8K $
2,172Farmland Partners Inc 2,10423.6K $
2,173Varex Imaging Corp 2,22123.6K $
2,174Community Healthcare Trust Inc 1,48123.5K $
2,175Aquestive Therapeutics Inc 5,65423.5K $
2,176International Money Express Inc 1,48523.5K $
2,177Jefferson Capital Inc 1,22023.5K $
2,178Emergent BioSolutions Inc 2,82323.4K $
2,179Diamond Hill Investment Group Inc 13623.4K $
2,180Kearny Financial Corp/MD 3,09923.4K $
2,181Clean Energy Fuels Corp 9,40923.3K $
2,182Anterix Inc 60923.3K $
2,183First Business Financial Services Inc 43023.2K $
2,184AngioDynamics Inc 2,02923.1K $
2,185Southern First Bancshares Inc 42223K $
2,186Solid Biosciences Inc 3,19023K $
2,187Colony Bankcorp Inc 1,14722.9K $
2,188Chiron Real Estate Inc 69222.9K $
2,189Bioventus Inc 2,49622.8K $
2,190Omada Health Inc 1,81022.8K $
2,1914D Molecular Therapeutics Inc 2,42922.6K $
2,192Sierra Bancorp 66322.5K $
2,193Home Bancorp Inc 36922.4K $
2,194Columbus McKinnon Corp/NY 1,53222.3K $
2,195Orion Group Holdings Inc 2,04122.2K $
2,196Absci Corp 7,38122.1K $
2,197Altimmune Inc 7,12421.9K $
2,198CryoPort Inc 2,64421.9K $
2,199McGraw Hill Inc 1,59421.8K $
2,200Manitowoc Co Inc/The 1,86921.8K $