Titelia

Holdings of ARIZONA STATE RETIREMENT SYSTEM

1931 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 33.4 % of the equity sleeve

Sector breakdown

  • Technology 29.8 %
  • Financials 10.8 %
  • Communication 9.7 %
  • Consumer discretionary 9.1 %
  • Health care 8.6 %
  • Industrials 7.7 %
  • Consumer staples 4.6 %
  • Energy 3.0 %
  • Utilities 2.3 %
  • Materials 1.5 %
  • Real estate 1.4 %
  • Unattributed 11.4 %

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 100.0 %
  • CA 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US1,93016.5B $100.00 %
2CA1207K $0.00 %

Positions

RankCompanySharesValueWeight
1,401Horace Mann Educators Corp 11,177477K $
1,402Ducommun Inc 3,905476.4K $
1,403Addus HomeCare Corp 5,076475.4K $
1,404Quaker Chemical Corp 3,818474.3K $
1,405Peloton Interactive Inc 110,412473.7K $
1,406Select Water Solutions Inc 30,956473.6K $
1,407City Holding Co 3,958473.1K $
1,408Six Flags Entertainment Corp 26,526470.8K $
1,409Magnite Inc 39,456468.7K $
1,410Alamo Group Inc 2,828466.5K $
1,411Hycroft Mining Holding Corp 13,248466.3K $
1,412Pitney Bowes Inc 42,030464.4K $
1,413LiveRamp Holdings Inc 17,483463.6K $
1,414Sable Offshore Corp 27,978462.2K $
1,415CorVel Corp 8,446461.6K $
1,416Worthington Enterprises Inc 8,846461.2K $
1,417Smartstop Self Storage REIT Inc 15,202460.3K $
1,418Edgewise Therapeutics Inc 14,540458K $
1,419A10 Networks Inc 19,701455.5K $
1,420Ziff Davis Inc 10,852455.4K $
1,421Greif Inc 6,786455.1K $
1,422Innoviva Inc 19,510454.6K $
1,423Thermon Group Holdings Inc 9,018454.5K $
1,424ASGN Inc 11,735454.3K $
1,425Central Garden & Pet Co 14,004454K $
1,426LendingClub Corp 31,689453.8K $
1,427Hilltop Holdings Inc 12,638452.7K $
1,428Rogers Corp 4,203451.1K $
1,429Liberty Live Holdings Inc 4,922451.1K $
1,430Hillman Solutions Corp 54,191450.9K $
1,431Spectrum Brands Holdings Inc 6,104449.9K $
1,432Flowers Foods Inc 55,161449.6K $
1,433Sunstone Hotel Investors Inc 49,656447.4K $
1,434Vericel Corp 13,891446.9K $
1,435Greenbrier Cos Inc/The 8,486446.8K $
1,436Seaboard Corp 79446.7K $
1,437V2X Inc 6,503445.5K $
1,438O-I Glass Inc 42,221443.7K $
1,439Eos Energy Enterprises Inc 89,022441.5K $
1,440S&T Bancorp Inc 10,498439.1K $
1,441Skyward Specialty Insurance Group Inc 10,008437.1K $
1,442Adaptive Biotechnologies Corp 31,450436.5K $
1,443Freshworks Inc 54,273435.8K $
1,444John Wiley & Sons Inc 11,428435.4K $
1,445Veris Residential Inc 23,071435.4K $
1,446ZoomInfo Technologies Inc 72,750435K $
1,447Douglas Emmett Inc 45,998433.3K $
1,448NETSTREIT Corp 22,974432.6K $
1,449Baldwin Insurance Group Inc/The 19,699432.2K $
1,450German American Bancorp Inc 10,298430.4K $
1,451Turning Point Brands Inc 4,951429.7K $
1,452Encore Capital Group Inc 6,127429.6K $
1,453RXO Inc 29,281428.1K $
1,454Organon & Co 71,412427.8K $
1,455Disc Medicine Inc 6,684427.4K $
1,456Acadian Asset Management Inc 7,846427K $
1,457nCino Inc 28,352424.7K $
1,458Buckle Inc/The 8,431424.6K $
1,459Day One Biopharmaceuticals Inc 19,742423.3K $
1,460Vera Therapeutics Inc 10,518423.1K $
1,461BigBear.ai Holdings Inc 120,200423.1K $
1,462Trump Media & Technology Group Corp 45,569422.9K $
1,463American Superconductor Corp 12,411420.1K $
1,464Soleno Therapeutics Inc 12,540419.8K $
1,465Axogen Inc 12,638418.7K $
1,466Century Communities Inc 7,258416.5K $
1,467Arbor Realty Trust Inc 53,905415.6K $
1,468Walker & Dunlop Inc 9,358415.3K $
1,469PACS Group Inc 12,911414.7K $
1,470Arlo Technologies Inc 29,113414.3K $
1,471Albany International Corp 7,884411.6K $
1,472Omnicell Inc 12,327411.5K $
1,473United States Lime & Minerals Inc 3,146410.9K $
1,474Marqeta Inc 100,673410.7K $
1,475Navitas Semiconductor Corp 46,828410.7K $
1,476Capricor Therapeutics Inc 13,448408.8K $
1,477National Bank Holdings Corp 10,387406.8K $
1,478Blackbaud Inc 10,512405.9K $
1,479Columbia Sportswear Co 7,402405.7K $
1,480Intapp Inc 15,753404.7K $
1,481EZCORP Inc 15,909403.8K $
1,482Artivion Inc 11,025403.7K $
1,483TriCo Bancshares 8,483403.3K $
1,484Ecovyst Inc 31,319402.8K $
1,485Lakeland Financial Corp 7,012402.3K $
1,486Schneider National Inc 15,206400.8K $
1,487Uniti Group Inc 42,674400.3K $
1,488Ardelyx Inc 66,740399.8K $
1,489Interface Inc 16,038399.7K $
1,490Inspire Medical Systems Inc 7,729398.7K $
1,491Sonos Inc 29,725398.3K $
1,492Kohl's Corp 30,833397.7K $
1,493Yelp Inc 16,054397.2K $
1,494MaxLinear Inc 22,799396.5K $
1,495QCR Holdings Inc 4,626395.3K $
1,496Newell Brands Inc 115,144394.9K $
1,497Pebblebrook Hotel Trust 31,203394.1K $
1,498Cohu Inc 12,825392.7K $
1,499Enviri Corp 19,936391.1K $
1,500Alumis Inc 17,751391.1K $