Titelia

Holdings of Louisiana State Employees Retirement System

1447 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 28.5 % of the equity sleeve

Sector breakdown

  • Technology 27.1 %
  • Communication 8.5 %
  • Consumer discretionary 7.9 %
  • Financials 6.4 %
  • Health care 6.2 %
  • Industrials 5.7 %
  • Consumer staples 4.5 %
  • Energy 1.8 %
  • Utilities 1.6 %
  • Materials 1.2 %
  • Real estate 0.8 %
  • Unattributed 28.2 %

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 99.8 %
  • NL 0.1 %
  • KY 0.1 %
  • GB 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US1,4445.5B $99.75 %
2NL17.7M $0.14 %
3KY14.5M $0.08 %
4GB11.4M $0.03 %

Positions

RankCompanySharesValueWeight
1,001Evergy Inc 11,700958.5K $
1,002KeyCorp 47,800958.4K $
1,003DuPont de Nemours Inc 20,900957.2K $
1,004Chefs' Warehouse Inc/The 16,100957.1K $
1,005Acadia Healthcare Co Inc 40,900956.7K $
1,006Lennar Corp 11,000955.2K $
1,007Alarm.com Holdings Inc 22,100954.5K $
1,008FMC Corp 55,400954K $
1,009ADMA Biologics Inc 105,500950.6K $
1,010International Flavors & Fragrances Inc 13,100950.4K $
1,011KB Home 18,300947K $
1,012DXC Technology Co 75,300946.5K $
1,013Exponent Inc 14,500946.1K $
1,014Snap-on Inc 2,600944.4K $
1,015Alliant Energy Corp 13,100940.1K $
1,016Southwest Airlines Co 25,000939.3K $
1,017Amneal Pharmaceuticals Inc 75,300936K $
1,018FB Financial Corp 17,900929.7K $
1,019SPS Commerce Inc 16,700929.7K $
1,020SBA Communications Corp 5,400929.4K $
1,021ACM Research Inc 23,600928.7K $
1,022PVH Corp 13,300927.8K $
1,023West Pharmaceutical Services Inc 3,700927.4K $
1,024Tyson Foods Inc 14,400922.6K $
1,025Insight Enterprises Inc 13,700918K $
1,026Loews Corp 8,600918K $
1,027Banner Corp 15,100916.3K $
1,028Qualys Inc 10,400913.6K $
1,029Zimmer Biomet Holdings Inc 10,100913.2K $
1,030National Vision Holdings Inc 35,200911.7K $
1,031Principal Financial Group Inc 10,100910.1K $
1,032Estee Lauder Cos Inc/The 12,600904.3K $
1,033Veeco Instruments Inc 26,700904.1K $
1,034Doximity Inc 38,800904K $
1,035Moderna Inc 17,700899.2K $
1,036HP Inc 46,800899K $
1,037Extreme Networks Inc 59,500897.3K $
1,038Weyerhaeuser Co 36,700896.6K $
1,039Neogen Corp 96,500896.5K $
1,040Kilroy Realty Corp 31,600891.4K $
1,041Benchmark Electronics Inc 15,800885.7K $
1,042Fortive Corp 16,000884.5K $
1,043Talos Energy Inc 55,800879.4K $
1,044National HealthCare Corp 5,500878.4K $
1,045ePlus Inc 11,600872.9K $
1,046Green Brick Partners Inc 13,500870.1K $
1,047Kyndryl Holdings Inc 66,300869.9K $
1,048PTC Inc 6,100869.2K $
1,049Pathward Financial Inc 9,700865.5K $
1,050Callaway Golf Co 62,000860.6K $
1,051Shift4 Payments Inc 19,600857.1K $
1,052Kaiser Aluminum Corp 7,100855.6K $
1,053Strategic Education Inc 10,300854.5K $
1,054Hologic Inc 11,300854.2K $
1,055Enerpac Tool Group Corp 23,400853.4K $
1,056Graphic Packaging Holding Co 85,600850.9K $
1,057Penn Entertainment Inc 56,500849.2K $
1,058DiamondRock Hospitality Co 90,300846.1K $
1,059Polaris Inc 15,500844.8K $
1,060CoreCivic Inc 44,400839.6K $
1,061F5 Inc 2,900839.1K $
1,062Akamai Technologies Inc 7,300838.4K $
1,063IPG Photonics Corp 7,300836.5K $
1,064Las Vegas Sands Corp 15,400829.8K $
1,065Parsons Corp 15,300828.8K $
1,066ARMOUR Residential REIT Inc 49,600827.3K $
1,067YETI Holdings Inc 22,600826.9K $
1,068Lululemon Athletica Inc 5,400826.7K $
1,069Stewart Information Services Corp 13,400825.2K $
1,070Northwest Bancshares Inc 64,800822.3K $
1,071BlackLine Inc 22,200821.4K $
1,072Global Net Lease Inc 87,400818.1K $
1,073Marzetti Company/The 5,900816.1K $
1,074Global Payments Inc 12,100814.3K $
1,075Arcus Biosciences Inc 37,600812.2K $
1,076Ball Corp 13,700809.8K $
1,077EchoStar Corp 6,900807.8K $
1,078JB Hunt Transport Services Inc 3,800805.2K $
1,079Digi International Inc 16,700804.9K $
1,080Agilysys Inc 11,300803.9K $
1,081Innospec Inc 11,000803.2K $
1,082Rollins Inc 15,000801.2K $
1,083Marriott Vacations Worldwide Corp 12,300801K $
1,084Incyte Corp 8,500800K $
1,085First Commonwealth Financial Corp 45,500799.9K $
1,086Six Flags Entertainment Corp 45,000798.8K $
1,087CDW Corp/DE 6,600798.7K $
1,088Essex Property Trust Inc 3,300798.6K $
1,089Pediatrix Medical Group Inc 37,300797.8K $
1,090Select Medical Holdings Corp 48,900796.6K $
1,091Kemper Corp 26,000794.6K $
1,092Rogers Corp 7,400794.2K $
1,093Viatris Inc 58,700793K $
1,094Penske Automotive Group Inc 5,300792.5K $
1,095Alamo Group Inc 4,800791.9K $
1,096Scotts Miracle-Gro Co/The 13,000790.5K $
1,097Trimble Inc 12,100789.3K $
1,098Synaptics Inc 11,200784.4K $
1,099LTC Properties Inc 21,100784.1K $
1,100National Bank Holdings Corp 20,000783.2K $