Titelia

Holdings of Maryland State Retirement & Pension System

1264 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 26.2 % of the equity sleeve

Sector breakdown

  • Technology 21.8 %
  • Utilities 9.5 %
  • Energy 9.4 %
  • Financials 8.1 %
  • Communication 7.1 %
  • Consumer discretionary 6.6 %
  • Health care 6.5 %
  • Industrials 5.8 %
  • Real estate 4.0 %
  • Consumer staples 3.5 %
  • Materials 1.1 %
  • Funds 0.2 %
  • Unattributed 16.5 %

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 99.3 %
  • BR 0.3 %
  • MX 0.3 %
  • NL 0.1 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US1,2604.1B $99.26 %
2BR113M $0.32 %
3MX212.5M $0.30 %
4NL15M $0.12 %

Positions

RankCompanySharesValueWeight
1,001Cleanspark Inc 37,075315.5K $
1,002Alarm.com Holdings Inc 7,281314.5K $
1,003MP Materials Corp 6,509314.1K $
1,004Voya Financial Inc 4,595313.9K $
1,005Corebridge Financial Inc 13,133313.4K $
1,006Chefs' Warehouse Inc/The 5,269313.2K $
1,007CSG Systems International Inc 3,913312.8K $
1,008ZoomInfo Technologies Inc 52,235312.4K $
1,009ADMA Biologics Inc 34,602311.8K $
1,010Rayonier Inc 15,055310.4K $
1,011Amneal Pharmaceuticals Inc 24,965310.3K $
1,012Hexcel Corp 3,803307.8K $
1,013Vita Coco Co Inc/The 6,422307.7K $
1,014Starwood Property Trust Inc 17,849307.4K $
1,015Hormel Foods Corp 13,551306.9K $
1,016Repligen Corp 2,604306.8K $
1,017SPS Commerce Inc 5,511306.8K $
1,018Lithia Motors Inc 1,225305.9K $
1,019Lear Corp 2,525305.7K $
1,020FB Financial Corp 5,886305.7K $
1,021ACM Research Inc 7,764305.5K $
1,022STAG Industrial Inc 8,457305K $
1,023Timken Co/The 3,020303.7K $
1,024Chemed Corp 804303.7K $
1,025StandardAero Inc 11,746303.4K $
1,026Insight Enterprises Inc 4,524303.2K $
1,027Clearway Energy Inc 7,719302.4K $
1,028Banner Corp 4,972301.7K $
1,029Hanover Insurance Group Inc/The 1,739301.5K $
1,030Organon & Co 49,930299.1K $
1,031National Vision Holdings Inc 11,523298.4K $
1,032Commerce Bancshares Inc/MO 6,052297.8K $
1,033Neogen Corp 31,945296.8K $
1,034Veeco Instruments Inc 8,733295.7K $
1,035Eagle Materials Inc 1,555294.6K $
1,036Planet Fitness Inc 3,950293.8K $
1,037Extreme Networks Inc 19,436293.1K $
1,038Churchill Downs Inc 3,256292.5K $
1,039First American Financial Corp 4,850292.4K $
1,040Celsius Holdings Inc 8,231292K $
1,041Maplebear Inc 7,772291.1K $
1,042Benchmark Electronics Inc 5,163289.4K $
1,043Amkor Technology Inc 6,420289.1K $
1,044Newell Brands Inc 84,094288.4K $
1,045Talos Energy Inc 18,284288.2K $
1,046National HealthCare Corp 1,803287.9K $
1,047Green Brick Partners Inc 4,467287.9K $
1,048Wyndham Hotels & Resorts Inc 3,539287.5K $
1,049DaVita Inc 1,859285.7K $
1,050ePlus Inc 3,782284.6K $
1,051GXO Logistics Inc 5,486284.4K $
1,052MSA Safety Inc 1,730283.6K $
1,053WEX Inc 1,852283.4K $
1,054Chewy Inc 10,479282.9K $
1,055Enerpac Tool Group Corp 7,754282.8K $
1,056Pathward Financial Inc 3,169282.8K $
1,057Callaway Golf Co 20,359282.6K $
1,058DiamondRock Hospitality Co 30,134282.4K $
1,059Prosperity Bancshares Inc 4,193281.7K $
1,060Kaiser Aluminum Corp 2,332281K $
1,061Healthcare Realty Trust Inc 16,530280.8K $
1,062Gap Inc/The 11,557279.7K $
1,063Strategic Education Inc 3,361278.8K $
1,064FTI Consulting Inc 1,572277.9K $
1,065ManpowerGroup Inc 9,385276.5K $
1,066Hyatt Hotels Corp 1,916275.5K $
1,067CoreCivic Inc 14,475273.7K $
1,068ARMOUR Residential REIT Inc 16,371273.1K $
1,069Blue Owl Capital Inc 29,649270.7K $
1,070Northwest Bancshares Inc 21,308270.4K $
1,071Stewart Information Services Corp 4,378269.6K $
1,072BlackLine Inc 7,276269.2K $
1,073Bentley Systems Inc 7,650268.7K $
1,074Arcus Biosciences Inc 12,381267.4K $
1,075Global Net Lease Inc 28,568267.4K $
1,076First Commonwealth Financial Corp 15,171266.7K $
1,077Inspire Medical Systems Inc 5,116263.9K $
1,078Innospec Inc 3,612263.7K $
1,079Digi International Inc 5,467263.5K $
1,080Agilysys Inc 3,703263.4K $
1,081Landstar System Inc 1,642263.2K $
1,082Select Medical Holdings Corp 16,143263K $
1,083Schneider National Inc 9,963262.6K $
1,084Pediatrix Medical Group Inc 12,269262.4K $
1,085Ollie's Bargain Outlet Holdings Inc 2,849262.2K $
1,086Marriott Vacations Worldwide Corp 4,017261.6K $
1,087LTC Properties Inc 7,028261.2K $
1,088AAON Inc 3,149260.6K $
1,089DoubleVerify Holdings Inc 27,380260.1K $
1,090Six Flags Entertainment Corp 14,654260.1K $
1,091Rogers Corp 2,419259.6K $
1,092Liberty Broadband Corp 5,157259.4K $
1,093Alamo Group Inc 1,570259K $
1,094DXP Enterprises Inc/TX 1,852258.8K $
1,095Nexstar Media Group Inc 1,426257.9K $
1,096Werner Enterprises Inc 8,710256.2K $
1,097Avnet Inc 4,153255.9K $
1,098National Bank Holdings Corp 6,527255.6K $
1,099Esab Corp 2,643255.5K $
1,100TPG Inc 6,293254.9K $