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
801National Fuel Gas Co 4,956465.7K $
802Acuity Inc 1,661465.4K $
803ICU Medical Inc 3,587463.3K $
804Palomar Holdings Inc 3,874462.9K $
805Advance Auto Parts Inc 8,760462.1K $
806Par Pacific Holdings Inc 7,356460.8K $
807Booz Allen Hamilton Holding Corp 5,894459.9K $
808Charles River Laboratories International Inc 2,664459.5K $
809Oshkosh Corp 3,117458.9K $
810Sunrun Inc 33,688456.8K $
811Century Aluminum Co 7,757455.3K $
812Diodes Inc 6,663454.8K $
813Victory Capital Holdings Inc 6,939454.4K $
814DXC Technology Co 36,123454.1K $
815Sphere Entertainment Co 3,867454K $
816MARA Holdings Inc 55,502452.9K $
817OPENLANE Inc 15,487451.4K $
818Flowserve Corp 6,137451.1K $
819SOUTHSTATE BANK CORP 4,874450.9K $
820HF Sinclair Corp 7,226450.8K $
821Globus Medical Inc 5,232450.8K $
822Integer Holdings Corp 5,120450.6K $
823Docusign Inc 9,496450.2K $
824Community Financial System Inc 7,674450.1K $
825Solventum Corp 6,891450K $
826Standex International Corp 1,764449.6K $
827Advanced Drainage Systems Inc 3,276449.2K $
828Toro Co/The 4,796448.1K $
829SolarEdge Technologies Inc 8,769447.7K $
830Encompass Health Corp 4,625447.4K $
831Northern Oil & Gas Inc 15,288446.9K $
832Medical Properties Trust Inc 96,422446.4K $
833News Corp 17,786443.4K $
834Core & Main Inc 8,967443K $
835Blackstone Mortgage Trust Inc 23,090442.2K $
836Viper Energy Inc 9,404441.9K $
837Builders FirstSource Inc 5,355440.9K $
838Old Republic International Corp 11,046440.7K $
839American Homes 4 Rent 15,779440.6K $
840Materion Corp 3,017436.4K $
841Owens Corning 4,032436.3K $
842Bio-Techne Corp 8,314434.5K $
843Zions Bancorp NA 7,533434.1K $
844LCI Industries 3,525433.5K $
845Calix Inc 8,813431.7K $
846Supernus Pharmaceuticals Inc 8,351431.7K $
847Bank of Hawaii Corp 5,801430.7K $
848Q2 Holdings Inc 9,076429.3K $
849Seacoast Banking Corp of Florida 14,168429.1K $
850American Financial Group Inc/OH 3,354428.3K $
851Cinemark Holdings Inc 14,976427.1K $
852First Interstate BancSystem Inc 12,771426.6K $
853Murphy USA Inc 862425.8K $
854Sarepta Therapeutics Inc 19,543425.3K $
855First Financial Bancorp 15,216424.2K $
856Baxter International Inc 25,215423.6K $
857Dorman Products Inc 4,056423.3K $
858Agree Realty Corp 5,594421.7K $
859Wintrust Financial Corp 3,032421.3K $
860Knight-Swift Transportation Holdings Inc 7,313421.1K $
861Axcelis Technologies Inc 4,517420.4K $
862Federal Realty Investment Trust 3,945419K $
863Catalyst Pharmaceuticals Inc 16,871417.7K $
864Power Integrations Inc 8,137416.6K $
865Littelfuse Inc 1,224415.4K $
866Griffon Corp 5,701414.3K $
867NMI Holdings Inc 11,038414K $
868FMC Corp 24,024413.7K $
869Arrow Electronics Inc 2,883413.5K $
870Ultra Clean Holdings Inc 6,632412.4K $
871Wynn Resorts Ltd 4,059412.2K $
872Acadia Healthcare Co Inc 17,611411.9K $
873Simmons First National Corp 21,175411.9K $
874MGE Energy Inc 5,321411.3K $
875Boise Cascade Co 5,412410.5K $
876Chord Energy Corp 2,872408.3K $
877Penn Entertainment Inc 27,115407.5K $
878Prestige Consumer Healthcare Inc 6,872407.3K $
879ACADIA Pharmaceuticals Inc 18,286407K $
880FactSet Research Systems Inc 1,873406.4K $
881Columbia Banking System Inc 14,809406.2K $
882Waystar Holding Corp 16,789404.8K $
883Provident Financial Services Inc 19,105404.3K $
884Cargurus Inc 11,866404K $
885Conagra Brands Inc 25,682403.7K $
886Impinj Inc 3,929403.5K $
887Kennametal Inc 11,145402.7K $
888SEI Investments Co 5,131402.6K $
889Skyworks Solutions Inc 7,507402K $
890WD-40 Co 1,959399.5K $
891United Natural Foods Inc 8,865399.5K $
892LXP Industrial Trust 8,621398.8K $
893Ryder System Inc 1,943397.8K $
894MGM Resorts International 10,704396.2K $
895Halozyme Therapeutics Inc 6,107394.7K $
896Primerica Inc 1,574394.3K $
897Cognex Corp 8,033393.5K $
898Henry Schein Inc 5,324392.4K $
899Cava Group Inc 4,850392.4K $
900Western Alliance Bancorp 5,528391.7K $