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
1,201Astrana Health Inc 42,2591K $
1,202Veris Residential Inc 54,3491K $
1,203AdaptHealth Corp 86,1561K $
1,204Tompkins Financial Corp 12,9971K $
1,205Freshpet Inc 17,3131K $
1,206Shenandoah Telecommunications Co 65,9121K $
1,207Matthews International Corp 39,1911K $
1,208MaxLinear Inc 58,1731K $
1,209National Presto Industries Inc 7,3851K $
1,210Provident Financial Services Inc 47,4641K $
1,211StandardAero Inc 38,8751K $
1,212Bristow Group Inc 21,3681K $
1,213Envista Holdings Corp 39,017990 $
1,214Talos Energy Inc 61,900976 $
1,215STAAR Surgical Co 52,126975 $
1,216Penske Automotive Group Inc 6,445964 $
1,217Atlantic Union Bankshares Corp 26,904962 $
1,218Apple Hospitality REIT Inc 83,459961 $
1,219Under Armour Inc 165,619959 $
1,220Harmony Biosciences Holdings Inc 34,043954 $
1,221Artisan Partners Asset Management Inc 25,967945 $
1,222Six Flags Entertainment Corp 53,026941 $
1,223Centerspace 16,280935 $
1,224Douglas Emmett Inc 99,180934 $
1,225Choice Hotels International Inc 8,986930 $
1,226Casella Waste Systems Inc 11,556917 $
1,227Green Brick Partners Inc 14,070907 $
1,228Sotera Health Co 63,090905 $
1,229WillScot Holdings Corp 51,939902 $
1,230Payoneer Global Inc 186,180899 $
1,231QuidelOrtho Corp 54,594897 $
1,232Interparfums Inc 9,801890 $
1,233Allegro MicroSystems Inc 28,178888 $
1,234XPEL Inc 20,038887 $
1,235Concentra Group Holdings Parent Inc 41,244885 $
1,236Verra Mobility Corp 61,907885 $
1,237ServisFirst Bancshares Inc 12,032876 $
1,238CSW Industrials Inc 3,358875 $
1,239Standard Motor Products Inc 25,082871 $
1,240DoubleVerify Holdings Inc 90,990864 $
1,241Trupanion Inc 33,455857 $
1,242Banc of California Inc 47,490835 $
1,243Curbline Properties Corp 32,083827 $
1,244United Fire Group Inc 22,195823 $
1,245Carter's Inc 22,978822 $
1,246Xencor Inc 68,187822 $
1,247Pathward Financial Inc 9,202821 $
1,248Lyft Inc 61,605819 $
1,249Redwood Trust Inc 146,055819 $
1,250Dauch Corporation 136,135807 $
1,251Morningstar Inc 4,738801 $
1,252LeMaitre Vascular Inc 7,315799 $
1,253NexPoint Residential Trust Inc 31,803795 $
1,254Select Medical Holdings Corp 47,618776 $
1,255Hyatt Hotels Corp 5,385774 $
1,256Affirm Holdings Inc 16,877773 $
1,257Dolby Laboratories Inc 12,862772 $
1,258Upwork Inc 68,872755 $
1,259Easterly Government Properties Inc 35,141753 $
1,260G-III Apparel Group Ltd 27,110751 $
1,261Dime Community Bancshares Inc 22,053746 $
1,262Leggett & Platt Inc 74,956741 $
1,263AMN Healthcare Services Inc 40,364740 $
1,264St Joe Co/The 11,777740 $
1,265Apellis Pharmaceuticals Inc 18,299736 $
1,266Northern Oil & Gas Inc 25,098734 $
1,267Virtus Investment Partners Inc 5,462734 $
1,268Addus HomeCare Corp 7,816732 $
1,269Coty Inc 364,319732 $
1,270Fortrea Holdings Inc 77,699732 $
1,271Parsons Corp 13,370724 $
1,272FB Financial Corp 13,811717 $
1,273Red Rock Resorts Inc 13,430717 $
1,274Under Armour Inc 121,325717 $
1,275Toast Inc 26,984715 $
1,276Sally Beauty Holdings Inc 50,607701 $
1,277Clearway Energy Inc 17,460684 $
1,278Kadant Inc 2,327680 $
1,279Oxford Industries Inc 17,643679 $
1,280Grocery Outlet Holding Corp 95,402673 $
1,281Apogee Enterprises Inc 19,989670 $
1,282Hawaiian Electric Industries Inc 45,140670 $
1,283Navient Corp 81,437666 $
1,284Proto Labs Inc 11,536658 $
1,285Integra LifeSciences Holdings Corp 69,575655 $
1,286Kaiser Aluminum Corp 5,420653 $
1,287Adamas Trust Inc 88,319650 $
1,288PRA Group Inc 36,917646 $
1,289SPS Commerce Inc 11,591645 $
1,290Avanos Medical Inc 45,890643 $
1,291Renasant Corp 17,668638 $
1,292Chesapeake Utilities Corp 5,021635 $
1,293National Beverage Corp 18,819633 $
1,294Innospec Inc 8,651632 $
1,295StepStone Group Inc 13,219631 $
1,296Cactus Inc 13,249628 $
1,297Bentley Systems Inc 17,663620 $
1,298Winnebago Industries Inc 20,019620 $
1,299Marcus & Millichap Inc 22,935610 $
1,300First Hawaiian Inc 24,694608 $