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
301Sysco Corp 24,1841.7M $
302Insmed Inc 10,4841.7M $
303Microchip Technology Inc 26,4511.7M $
304Keurig Dr Pepper Inc 64,2091.7M $
305Eastman Chemical Co 22,1131.7M $
306Halliburton Co 43,2561.7M $
307Agilent Technologies Inc 14,4891.7M $
308Kenvue Inc 95,0601.6M $
309ResMed Inc 7,2791.6M $
310Block Inc 27,1481.6M $
311Axon Enterprise Inc 3,8441.6M $
312EMCOR Group Inc 2,2051.6M $
313GE HealthCare Technologies Inc 22,8141.6M $
314Kimberly-Clark Corp 16,8031.6M $
315Hewlett Packard Enterprise Co 67,5191.6M $
316M&T Bank Corp 7,6811.6M $
317Rocket Lab Corp 24,7161.6M $
318Huntington Bancshares Inc/OH 100,6691.6M $
319Ingersoll Rand Inc 19,6151.6M $
320Devon Energy Corp 31,1881.6M $
321Hershey Co/The 7,4671.6M $
322DTE Energy Co 10,6021.6M $
323Ameren Corp 13,8301.5M $
324Fiserv Inc 27,1151.5M $
325United Airlines Holdings Inc 16,3471.5M $
326Iron Mountain Inc 14,7031.5M $
327Element Solutions Inc 43,6411.5M $
328NRG Energy Inc 10,1741.5M $
329Otis Worldwide Corp 19,2071.5M $
330Cognizant Technology Solutions Corp. 23,9961.5M $
331Waters Corp 4,9431.5M $
332Paychex Inc 15,9771.5M $
333Copart Inc 44,0931.5M $
334LKQ Corp 49,4581.5M $
335VICI Properties Inc 53,0641.4M $
336Xylem Inc/NY 12,1271.4M $
337Cboe Global Markets Inc 5,1151.4M $
338IQVIA Holdings Inc 8,4191.4M $
339Interactive Brokers Group Inc 21,3821.4M $
340Dow Inc 34,3911.4M $
341Match Group Inc 46,6281.4M $
342Extra Space Storage Inc 10,9191.4M $
343Teledyne Technologies Inc 2,3521.4M $
344PPL Corp 37,1851.4M $
345Tapestry Inc 10,0511.4M $
346Texas Pacific Land Corp 2,9281.4M $
347Celanese Corp 21,0661.4M $
348Dover Corp 6,6391.4M $
349Workday Inc 10,6351.4M $
350Armstrong World Industries Inc 8,3491.4M $
351Jabil Inc 5,1641.4M $
352FirstEnergy Corp 26,9121.4M $
353Molina Healthcare Inc 10,1631.4M $
354Coterra Energy Inc 38,3901.3M $
355Expedia Group Inc 5,8341.3M $
356Verisk Analytics Inc 7,0231.3M $
357Northern Trust Corp 9,4881.3M $
358Casey's General Stores Inc 1,8121.3M $
359Air Lease Corp 20,2351.3M $
360Dollar General Corp 11,0461.3M $
361Natera Inc 6,5111.3M $
362Biogen Inc 7,0951.3M $
363Citizens Financial Group Inc 21,6781.3M $
364United Therapeutics Corp 2,1891.3M $
365Mettler-Toledo International Inc 1,0271.3M $
366Qorvo Inc 16,7261.3M $
367Veeva Systems Inc 7,3601.3M $
368Raymond James Financial Inc 8,8861.3M $
369Hubbell Inc 2,6081.3M $
370Curtiss-Wright Corp 1,8741.3M $
371Fair Isaac Corp 1,1781.3M $
372ON Semiconductor Corp 20,0781.2M $
373Coupang Inc 65,8081.2M $
374Steel Dynamics Inc 6,8861.2M $
375Synchrony Financial 18,0891.2M $
376Expand Energy Corp 11,1821.2M $
377Fidelity National Information Services Inc 26,0571.2M $
378Everus Construction Group Inc 10,3351.2M $
379Lincoln National Corp 33,8531.2M $
380PPG Industries Inc 11,1771.2M $
381Dexcom Inc 19,0041.2M $
382CMS Energy Corp 15,3691.2M $
383Sealed Air Corp 28,3101.2M $
384MarketAxess Holdings Inc 7,1471.2M $
385Cincinnati Financial Corp 7,4871.2M $
386Tractor Supply Co 25,9681.2M $
387Qnity Electronics Inc 10,1721.2M $
388Markel Group Inc 6131.2M $
389Live Nation Entertainment Inc 7,6921.2M $
390Regions Financial Corp 44,8031.2M $
391Omnicom Group Inc 15,5261.2M $
392LPL Financial Holdings Inc 3,8731.2M $
393CarMax Inc 27,9031.2M $
394iShares Core S&P Small-Cap ETF 9,3301.2M $
395Paycom Software Inc 9,5051.2M $
396Ulta Beauty Inc 2,1981.1M $
397Veralto Corp 12,9551.1M $
398Lamb Weston Holdings Inc 26,8821.1M $
399XPO Inc 5,8211.1M $
400Quest Diagnostics Inc 5,7741.1M $