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
1,001Dutch Bros Inc 41,3262.1K $
1,002CTS Corp 43,6982.1K $
1,003Pebblebrook Hotel Trust 163,8392.1K $
1,004Innovative Industrial Properties Inc 40,8002K $
1,005Erie Indemnity Co 8,0932K $
1,006Rogers Corp 18,7892K $
1,007Impinj Inc 19,6262K $
1,008Blackbaud Inc 52,1882K $
1,009Starwood Property Trust Inc 116,8932K $
1,010Floor & Decor Holdings Inc 39,3972K $
1,011Minerals Technologies Inc 28,2052K $
1,012Hub Group Inc 55,4132K $
1,013WaFd Inc 63,4942K $
1,014ExlService Holdings Inc 65,3892K $
1,015Zoom Communications Inc 24,7132K $
1,016Marriott Vacations Worldwide Corp 30,4892K $
1,017DXC Technology Co 157,8492K $
1,018EZCORP Inc 77,9002K $
1,019Flagstar Bank NA 149,7682K $
1,020Crane NXT Co 48,4122K $
1,021Mueller Water Products Inc 71,2952K $
1,022Donnelley Financial Solutions Inc 41,2611.9K $
1,023O-I Glass Inc 185,0061.9K $
1,024Arcus Biosciences Inc 89,6251.9K $
1,025OPENLANE Inc 66,4041.9K $
1,026Voya Financial Inc 28,3301.9K $
1,027Xenia Hotels & Resorts Inc 130,5171.9K $
1,028Doximity Inc 82,9161.9K $
1,029Visteon Corp 21,0751.9K $
1,030La-Z-Boy Inc 59,7151.9K $
1,031Encore Capital Group Inc 27,2801.9K $
1,032Moelis & Co 33,5671.9K $
1,033Deluxe Corp 69,4171.9K $
1,034ASGN Inc 49,3381.9K $
1,035Apollo Commercial Real Estate Finance, Inc. 180,6191.9K $
1,036First Industrial Realty Trust Inc 32,9281.9K $
1,037John Wiley & Sons Inc 49,9751.9K $
1,038Tri Pointe Homes Inc 40,7171.9K $
1,039Arbor Realty Trust Inc 243,6901.9K $
1,040Acadia Healthcare Co Inc 79,8891.9K $
1,041Progress Software Corp 72,8141.9K $
1,042J & J Snack Foods Corp 23,5101.9K $
1,043Portland General Electric Co 35,1131.9K $
1,044Albany International Corp 35,2401.8K $
1,045DNOW Inc 152,5481.8K $
1,046Magnolia Oil & Gas Corp 57,5001.8K $
1,047Insight Enterprises Inc 27,0521.8K $
1,048Omnicell Inc 54,1211.8K $
1,049Academy Sports & Outdoors Inc 31,9041.8K $
1,050Callaway Golf Co 129,4941.8K $
1,051ANI Pharmaceuticals Inc 23,2681.8K $
1,052Ultra Clean Holdings Inc 28,5911.8K $
1,053Kodiak Gas Services Inc 30,2961.8K $
1,054Uniti Group Inc 188,0841.8K $
1,055Greif Inc 25,8911.7K $
1,056Armstrong World Industries Inc 10,5311.7K $
1,057GEO Group Inc/The 103,0861.7K $
1,058Sonic Automotive Inc 25,2541.7K $
1,059Stride Inc 19,4091.7K $
1,060ADMA Biologics Inc 189,0841.7K $
1,061Radian Group Inc 51,4881.7K $
1,062Harley-Davidson Inc 84,1441.7K $
1,063Pegasystems Inc 39,9141.7K $
1,064BGC Group Inc 173,1781.7K $
1,065Worthington Enterprises Inc 32,3821.7K $
1,066HCI Group Inc 10,8381.7K $
1,067CONMED Corp 47,1701.7K $
1,068Mirion Technologies Inc 89,7171.7K $
1,069Simply Good Foods Co/The 115,8511.7K $
1,070Clearway Energy Inc 42,1091.7K $
1,071Kemper Corp 53,9511.6K $
1,072Werner Enterprises Inc 55,8771.6K $
1,073Energizer Holdings Inc 99,9211.6K $
1,074RH INC 11,7101.6K $
1,075Pediatrix Medical Group Inc 76,3361.6K $
1,076Kennedy-Wilson Holdings Inc 150,8241.6K $
1,077Boise Cascade Co 21,4941.6K $
1,078RXO Inc 111,3391.6K $
1,079SOUTHSTATE BANK CORP 17,6001.6K $
1,080Badger Meter Inc 10,6801.6K $
1,081Ziff Davis Inc 38,6271.6K $
1,082Hawkins Inc 10,4861.6K $
1,083Worthington Steel Inc 53,0061.6K $
1,084PROG Holdings Inc 55,9471.6K $
1,085Blackstone Mortgage Trust Inc 83,3651.6K $
1,086UiPath Inc 142,5921.6K $
1,087Alarm.com Holdings Inc 36,5641.6K $
1,088Sylvamo Corp 37,3251.6K $
1,089PJT Partners Inc 11,1761.6K $
1,090Amkor Technology Inc 34,6741.6K $
1,091Western Alliance Bancorp 22,0381.6K $
1,092Rush Enterprises Inc 23,5601.6K $
1,093Prestige Consumer Healthcare Inc 26,2391.6K $
1,094PennyMac Mortgage Investment Trust 133,2601.6K $
1,095Monarch Casino & Resort Inc 16,2411.6K $
1,096ZoomInfo Technologies Inc 258,6421.5K $
1,097FMC Corp 89,7091.5K $
1,098Franklin Electric Co Inc 16,7291.5K $
1,099NBT Bancorp Inc 36,2171.5K $
1,100Cohu Inc 50,3281.5K $