Titelia

Holdings of NEW YORK STATE TEACHERS RETIREMENT SYSTEM

1540 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 34.7 % of the equity sleeve

Sector breakdown

  • Technology 30.4 %
  • Financials 11.4 %
  • Communication 9.8 %
  • Consumer discretionary 9.1 %
  • Health care 8.7 %
  • Industrials 7.7 %
  • Consumer staples 4.7 %
  • Energy 2.9 %
  • Utilities 2.4 %
  • Materials 1.5 %
  • Real estate 1.4 %
  • Unattributed 10.0 %

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 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US1,54047.7M $100.00 %

Positions

RankCompanySharesValueWeight
901KB Home 58,5593K $
902SolarEdge Technologies Inc 59,1893K $
903Perdoceo Education Corp 81,1563K $
904AAON Inc 36,4363K $
905Materion Corp 20,7633K $
906Dana Inc 89,0603K $
907Installed Building Products Inc 11,2883K $
908Marzetti Company/The 21,6323K $
909Veeco Instruments Inc 87,8303K $
910YETI Holdings Inc 81,2883K $
911Primoris Services Corp 20,6993K $
912Scotts Miracle-Gro Co/The 48,6883K $
913Patrick Industries Inc 26,4842.9K $
914Houlihan Lokey Inc 20,4652.9K $
915American Eagle Outfitters Inc 175,3602.9K $
916TransMedics Group Inc 29,4302.9K $
917Calix Inc 59,4412.9K $
918HNI Corp 86,7982.9K $
919Synaptics Inc 41,2452.9K $
920California Water Service Group 63,0262.9K $
921Kyndryl Holdings Inc 217,5982.9K $
922LiveRamp Holdings Inc 106,6292.8K $
923Kennametal Inc 77,8162.8K $
924Polaris Inc 51,5442.8K $
925Indivior Pharmaceuticals Inc 91,0902.8K $
926elf Beauty Inc 45,7772.8K $
927Outfront Media Inc 103,7942.8K $
928Horace Mann Educators Corp 64,0212.7K $
929Digi International Inc 56,5902.7K $
930Cinemark Holdings Inc 95,0692.7K $
931Whirlpool Corp 49,8422.7K $
932Independent Bank Corp 35,6842.7K $
933Asbury Automotive Group Inc 13,7012.7K $
934Vishay Intertechnology Inc 147,9412.7K $
935WD-40 Co 13,0082.7K $
936Primerica Inc 10,5142.6K $
937LTC Properties Inc 70,8512.6K $
938Element Solutions Inc 76,8002.6K $
939Bank of Hawaii Corp 35,0982.6K $
940Avantor Inc 330,7122.6K $
941Warrior Met Coal Inc 27,8212.6K $
942WisdomTree Inc 177,6262.6K $
943Associated Banc-Corp 99,9492.6K $
944Buckle Inc/The 51,0672.6K $
945Palomar Holdings Inc 21,4642.6K $
946Robert Half Inc 100,9742.6K $
947Albertsons Cos Inc 150,0852.6K $
948Chefs' Warehouse Inc/The 42,9332.6K $
949Option Care Health Inc 94,3772.5K $
950Sunstone Hotel Investors Inc 280,7452.5K $
951ArcBest Corp 25,6812.5K $
952Boot Barn Holdings Inc 17,2442.5K $
953Interface Inc 100,9482.5K $
954Exponent Inc 38,3922.5K $
955Advance Auto Parts Inc 46,7762.5K $
956Air Lease Corp 37,8222.5K $
957Park Hotels & Resorts Inc 232,6842.5K $
958Steven Madden Ltd 71,7822.4K $
959Avis Budget Group Inc 16,6802.4K $
960Sunrun Inc 178,5292.4K $
961Cleanspark Inc 283,9862.4K $
962Chord Energy Corp 16,9942.4K $
963Medical Properties Trust Inc 517,9232.4K $
964Ameris Bancorp 30,6692.4K $
965Highwoods Properties Inc 110,8782.4K $
966Sealed Air Corp 56,3802.4K $
967Ashland Inc 42,4822.4K $
968Quaker Chemical Corp 18,9142.4K $
969CoreCivic Inc 124,0602.3K $
970Central Garden & Pet Co 71,8162.3K $
971UL Solutions Inc 27,1492.3K $
972Strategic Education Inc 27,9412.3K $
973NetScout Systems Inc 72,8082.3K $
974Enviri Corp 117,5732.3K $
975Pitney Bowes Inc 208,6932.3K $
976Shift4 Payments Inc 52,7192.3K $
977Stewart Information Services Corp 37,2142.3K $
978Planet Fitness Inc 30,7972.3K $
979Qualys Inc 25,9282.3K $
980Agilysys Inc 31,4002.2K $
981PVH Corp 31,8512.2K $
982Penn Entertainment Inc 147,5612.2K $
983Tidewater Inc 26,5402.2K $
984Dorman Products Inc 21,2262.2K $
985BILL Holdings Inc 57,7412.2K $
986WSFS Financial Corp 33,5872.2K $
987Healthcare Services Group Inc 117,4412.2K $
988Liberty Energy Inc 75,3872.2K $
989Ryman Hospitality Properties Inc 23,4972.2K $
990BellRing Brands Inc 133,9442.2K $
991Beacon Financial Corp 71,8322.2K $
992Trustmark Corp 51,0582.2K $
993RadNet Inc 38,1842.1K $
994Artivion Inc 58,1822.1K $
995Boston Beer Co Inc/The 9,2452.1K $
996Knowles Corp 82,7512.1K $
997Sarepta Therapeutics Inc 97,0982.1K $
998Walker & Dunlop Inc 47,5712.1K $
999DENTSPLY SIRONA Inc 181,8692.1K $
1,000Graphic Packaging Holding Co 212,0462.1K $