Titelia

Holdings of Police & Firemen's Retirement System of New Jersey

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Net assets
-
Positions
2,750 in 10 countries
Top ten
29.0 % of the equity sleeve
Filed on
Mar 31, 2026
Portfolio shape

Positions

RankCompanySharesValueWeight
2,001Zevra Therapeutics Inc 14,964139.5K $
2,002Heartland Express Inc 13,408139.4K $
2,003Third Coast Bancshares Inc 3,683139.3K $
2,004AMC Entertainment Holdings Inc 141,949139.1K $
2,005Root Inc/OH 3,145138.9K $
2,006HeartFlow Inc 5,679138.2K $
2,007LSI Industries Inc 7,398137.6K $
2,008SmartFinancial Inc 3,518137.5K $
2,009Vital Farms Inc 9,706137K $
2,010Compass Diversified Holdings 17,320136.1K $
2,011BETA TECHNOLOGIES INC 9,258136.1K $
2,012CorMedix Inc 20,031136K $
2,013Kearny Financial Corp/MD 17,980135.7K $
2,014MarineMax Inc 5,008135.5K $
2,015Malibu Boats Inc 5,220135.3K $
2,016ACNB Corp 2,825135.2K $
2,017Bar Harbor Bankshares 4,164135.1K $
2,018Firstsun Capital Bancorp 3,705135.1K $
2,019Midland States Bancorp Inc 6,053135K $
2,020Arteris Inc 8,168134.3K $
2,021Energy Recovery Inc 13,301133.9K $
2,022SI-BONE Inc 10,585133.7K $
2,023Summit Hotel Properties Inc 30,242133.7K $
2,024Cardinal Infrastructure Group Inc 3,355133K $
2,025Cooper-Standard Holdings Inc 4,772133K $
2,026Aeva Technologies Inc 10,088132.8K $
2,027Monro Inc 8,264132.6K $
2,028Phathom Pharmaceuticals Inc 11,925132.5K $
2,029Bioventus Inc 14,502132.4K $
2,030Cars.com Inc 16,277132.2K $
2,031LendingTree Inc 3,073131.8K $
2,032Mativ Holdings Inc 15,146131.8K $
2,033Cable One Inc 1,440131.3K $
2,034Phreesia Inc 15,645131.1K $
2,035Hippo Holdings Inc 5,027131K $
2,036MiMedx Group Inc 33,081130.7K $
2,037Bandwidth Inc 7,309130.2K $
2,038Varex Imaging Corp 12,209129.5K $
2,039JADE BIOSCIENCES INC 9,218129.5K $
2,040Forestar Group Inc 5,287129.2K $
2,041Brandywine Realty Trust 47,599129K $
2,042Cytek Biosciences Inc 29,469128.8K $
2,043Build-A-Bear Workshop Inc 3,432128.5K $
2,044Greif Inc 1,460127.8K $
2,045Diamond Hill Investment Group Inc 742127.7K $
2,046Navan Inc 9,634127.6K $
2,047Sana Biotechnology Inc 44,245127.4K $
2,048Northrim BanCorp Inc 5,556127.1K $
2,049Cass Information Systems Inc 2,882126.9K $
2,050Red River Bancshares Inc 1,400126.6K $
2,051Covenant Logistics Group Inc 4,662126.6K $
2,052Chiron Real Estate Inc 3,826126.6K $
2,053NerdWallet Inc 12,164126.3K $
2,054Dakota Gold Corp 24,859125.5K $
2,055Solid Biosciences Inc 17,389125.2K $
2,056Carter Bankshares Inc 5,367125.2K $
2,057Bloomin' Brands Inc 23,146125K $
2,058Flushing Financial Corp 8,119124.7K $
2,059ZENAS BIOPHARMA INC 6,363124.4K $
2,060Septerna Inc 5,175124.4K $
2,061Global Industrial Co 3,942124.3K $
2,062Calavo Growers Inc 4,809124K $
2,063Udemy Inc 26,835124K $
2,064Nutex Health Inc 1,304123.9K $
2,065AH Realty Trust Inc 22,386123.1K $
2,066Flowco Holdings Inc 5,962122.8K $
2,067Niu Technologies 42,415122.6K $
2,068Consensus Cloud Solutions Inc 5,160122.5K $
2,069International Money Express Inc 7,745122.4K $
2,070Orthofix Medical Inc 10,658122.2K $
2,071Citizens & Northern Corp 5,462122K $
2,072Dine Brands Global Inc 4,640121.8K $
2,073Southern First Bancshares Inc 2,232121.6K $
2,074ARS Pharmaceuticals Inc 15,148121.6K $
2,075Community Healthcare Trust Inc 7,632121.3K $
2,076CEVA Inc 6,457120.6K $
2,077Entrada Therapeutics Inc 9,471119.5K $
2,078Sierra Bancorp 3,500118.7K $
2,079Ibotta Inc 3,954118.5K $
2,080Tiptree Inc 7,000118.4K $
2,081Anteris Technologies Global Corp 21,263118K $
2,082EverQuote Inc 7,650118K $
2,083Lufax Holding Ltd 62,992117.8K $
2,084Mesa Laboratories Inc 1,331117.7K $
2,085Community West Bancshares 5,050117.7K $
2,086Solid Power Inc 39,126117.4K $
2,087Anterix Inc 3,069117.2K $
2,088OPKO Health, Inc. 102,397116.7K $
2,089Ambiq Micro Inc 4,581116.4K $
2,090Dream Finders Homes Inc 8,350116.2K $
2,091Idaho Strategic Resources Inc 3,610116K $
2,092Kura Sushi USA Inc 1,660115.9K $
2,093Park Aerospace Corp 4,216115.4K $
2,094Manitowoc Co Inc/The 9,894115.3K $
2,095Aquestive Therapeutics Inc 27,700115K $
2,096Grindr Inc 9,491114.7K $
2,097Saul Centers Inc 3,505114.2K $
2,098Aveanna Healthcare Holdings Inc 17,707114K $
2,099Orion Group Holdings Inc 10,455114K $
2,100Allogene Therapeutics Inc 46,557113.6K $

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Sector breakdown

  • Technology 26.4 %
  • Financials 9.6 %
  • Communication 8.3 %
  • Consumer discretionary 8.0 %
  • Health care 7.8 %
  • Industrials 7.7 %
  • Consumer staples 4.2 %
  • Energy 2.7 %
  • Utilities 2.1 %
  • Materials 1.6 %
  • Real estate 1.3 %
  • Unattributed 20.3 %

Titelia assigns each company to a sector, one by one. The unassigned share stays visible, under "Unattributed".

Currency breakdown

  • USD 100.0 %

Each line is counted in its quoted currency, as the fund declares it.

Country breakdown

  • United States 99.8 %
  • Cayman Islands 0.1 %
  • Israel 0.0 %
  • China 0.0 %
  • Hong Kong SAR China 0.0 %
  • Peru 0.0 %
  • South Africa 0.0 %
  • United Kingdom 0.0 %
  • Mexico 0.0 %
  • Luxembourg 0.0 %

Shares are computed on the fund's equities only.

RankCountryLinesValueShare
1United States2,72310.7B $99.81 %
2Cayman Islands1711.4M $0.11 %
3Israel14.5M $0.04 %
4China31.3M $0.01 %
5Hong Kong SAR China1979.1K $0.01 %
6Peru1704.3K $0.01 %
7South Africa1306.6K $0.00 %
8United Kingdom1296.7K $0.00 %
9Mexico1221.8K $0.00 %
10Luxembourg195.7K $0.00 %
Cite this page

Titelia. "Holdings of Police & Firemen's Retirement System of New Jersey". https://titelia.com/en/funds/US13F2040686