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
501Ameriprise Financial Inc 4,7002.1M $
502Phillips Edison & Co Inc 55,8002.1M $
503Kirby Corp 15,7002.1M $
504Consolidated Edison Inc 18,4002.1M $
505HA Sustainable Infrastructure Capital Inc 56,6002.1M $
506Ralliant Corp 50,0002.1M $
507Laureate Education Inc 59,5002.1M $
508HealthEquity Inc 24,8002.1M $
509Liberty Energy Inc 71,9002.1M $
510Ingredion Inc 18,3002.1M $
511Resideo Technologies Inc 61,1002.1M $
512Simpson Manufacturing Co Inc 12,0002.1M $
513American Airlines Group Inc 191,5002.1M $
514Public Service Enterprise Group Inc 25,4002.1M $
515American International Group Inc 27,3002.1M $
516Rockwell Automation Inc 5,7002M $
517EQT Corp 31,8002M $
518Mirion Technologies Inc 108,5002M $
519AGCO Corp 17,4002M $
520CBRE Group Inc 14,8002M $
521TG Therapeutics Inc 60,3002M $
522Silicon Laboratories Inc 9,6002M $
523STAG Industrial Inc 55,4002M $
524Maplebear Inc 53,3002M $
525Badger Meter Inc 13,1002M $
526MSCI Inc 3,7002M $
527Coinbase Global Inc 11,4002M $
528Radian Group Inc 60,1002M $
529MetLife Inc 28,1002M $
530CoStar Group Inc 49,2002M $
531Ventas Inc 24,2002M $
532Nucor Corp 11,7002M $
533Commercial Metals Co 32,2002M $
534Jefferies Financial Group Inc 47,9002M $
535Boot Barn Holdings Inc 13,5002M $
536Ormat Technologies Inc 17,6002M $
537Prosperity Bancshares Inc 29,3002M $
538PG&E Corp 112,0002M $
539NOV Inc 104,5002M $
540Commerce Bancshares Inc/MO 39,7002M $
541Terex Corp 33,0002M $
542MYR Group Inc 6,9001.9M $
543Nasdaq Inc 22,9001.9M $
544WEC Energy Group Inc 16,6001.9M $
545Hartford Insurance Group Inc/The 14,2001.9M $
546UL Solutions Inc 22,4001.9M $
547Millrose Properties Inc 68,4001.9M $
548Mueller Water Products Inc 69,4001.9M $
549Clear Secure Inc 39,3001.9M $
550CSW Industrials Inc 7,3001.9M $
551AAR Corp 17,3001.9M $
552MP Materials Corp 39,1001.9M $
553DR Horton Inc 13,7001.9M $
554MDU Resources Group Inc 90,6001.9M $
555ACI Worldwide Inc 45,7001.9M $
556Moelis & Co 32,8001.9M $
557Chewy Inc 69,2001.9M $
558Voya Financial Inc 27,3001.9M $
559Dutch Bros Inc 36,8001.9M $
560EnerSys 10,7001.9M $
561Timken Co/The 18,4001.9M $
562Telephone and Data Systems Inc 43,6001.8M $
563OSI Systems Inc 6,9001.8M $
564Meritage Homes Corp 29,6001.8M $
565Albertsons Cos Inc 107,3001.8M $
566Apellis Pharmaceuticals Inc 45,4001.8M $
567Martin Marietta Materials Inc 3,1001.8M $
568Vulcan Materials Co 6,7001.8M $
569Champion Homes Inc 24,5001.8M $
570Itron Inc 20,3001.8M $
571Life Time Group Holdings Inc 67,5001.8M $
572Merit Medical Systems Inc 26,3001.8M $
573Crown Castle Inc 22,2001.8M $
574Repligen Corp 15,3001.8M $
575State Street Corp 14,2001.8M $
576Planet Fitness Inc 24,1001.8M $
577Hanover Insurance Group Inc/The 10,3001.8M $
578Archer-Daniels-Midland Co 24,5001.8M $
579Hexcel Corp 22,0001.8M $
580Lear Corp 14,7001.8M $
581Wyndham Hotels & Resorts Inc 21,9001.8M $
582Amentum Holdings Inc 68,2001.8M $
583First American Financial Corp 29,5001.8M $
584Rush Enterprises Inc 26,9001.8M $
585Middleby Corp/The 13,4001.8M $
586Peabody Energy Corp 53,9001.8M $
587GATX Corp 10,4001.8M $
588Corebridge Financial Inc 74,0001.8M $
589Covista Inc 15,3001.8M $
590Tri Pointe Homes Inc 37,5001.8M $
591Lithia Motors Inc 7,0001.7M $
592Sysco Corp 24,4001.7M $
593MSA Safety Inc 10,6001.7M $
594Starwood Property Trust Inc 100,9001.7M $
595Ligand Pharmaceuticals Inc 8,7001.7M $
596Tanger Inc 51,0001.7M $
597FNB Corp/PA 103,6001.7M $
598Prudential Financial, Inc. 17,7001.7M $
599RadNet Inc 30,9001.7M $
600Hyatt Hotels Corp 12,0001.7M $