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
101T-Mobile US Inc 381,46280.1K $
102CME Group Inc 271,08380.1K $
103Starbucks Corp 882,53679.1K $
104Western Digital Corp 285,54977.2K $
105Crowdstrike Holdings Inc 197,18977K $
106Northrop Grumman Corp 112,49676.7K $
107Howmet Aerospace Inc 328,97775.8K $
108Boston Scientific Corp 1,205,24975.6K $
109General Dynamics Corp 218,23174.9K $
110Vertiv Holdings Co 298,59274.8K $
111FedEx Corp 209,11274.5K $
112Sandisk Corp/DE 116,43674K $
113CVS Health Corp 1,020,27073.3K $
114Constellation Energy Corp. 253,08770.7K $
115Equinix Inc 71,17869.8K $
116HCA Healthcare Inc 146,71269.4K $
117EOG Resources Inc 471,30568.1K $
118US Bancorp 1,302,53667.7K $
119Intercontinental Exchange Inc 423,09666.5K $
120Regeneron Pharmaceuticals, Inc. 86,12666.5K $
121Quanta Services Inc 120,84166.3K $
122Williams Cos Inc/The 894,62165.1K $
123General Motors Co 870,86464.9K $
124Freeport-McMoRan Inc 1,071,46363K $
125Marathon Petroleum Corp 257,21562.8K $
126Blackstone Inc 546,17562.8K $
127American Tower Corp 363,54362.7K $
128Cummins Inc 115,53262.2K $
129O'Reilly Automotive Inc 664,41061.3K $
130Waste Management Inc 265,54161K $
131Phillips 66 331,00560.3K $
132American Electric Power Co Inc 459,12560.2K $
133Automatic Data Processing Inc 295,98360.1K $
134PNC Financial Services Group Inc/The 286,40259.6K $
135Cadence Design Systems Inc 213,80159.4K $
136Marsh & McLennan Cos Inc 341,67659.3K $
137United Parcel Service Inc 593,62858.4K $
138Cigna Group/The 217,73058.1K $
139Hilton Worldwide Holdings Inc 190,26157.9K $
140CSX Corp 1,406,70057.7K $
141Marriott International Inc/MD 176,50157.7K $
142Synopsys Inc 145,14157.5K $
1433M Co 395,48057.4K $
144Emerson Electric Co. 435,57157.1K $
145Valero Energy Corp 230,10756.9K $
146Colgate-Palmolive Co 659,69256.2K $
147Travelers Cos Inc/The 192,58856.2K $
148Mondelez International Inc 948,15454.7K $
149Moody's Corp 124,55954.3K $
150Simon Property Group Inc 289,05953.9K $
151Sherwin-Williams Co/The 168,12753.9K $
152Elevance Health Inc 183,39753.7K $
153Allstate Corp/The 250,83052K $
154Target Corp 427,46351.8K $
155Ross Stores Inc 237,77551.5K $
156TransDigm Group Inc 44,37251.4K $
157Warner Bros Discovery Inc 1,866,23551.2K $
158Ecolab Inc 191,75351K $
159Baker Hughes Co 828,23650.6K $
160Motorola Solutions Inc 115,54050.1K $
161Illinois Tool Works Inc 188,20649K $
162Sempra 500,97148.7K $
163Ciena Corp 124,74648.4K $
164Kinder Morgan, Inc. 1,442,13248.4K $
165L3Harris Technologies Inc 139,26448.1K $
166Norfolk Southern Corp 166,82247.9K $
167Air Products and Chemicals Inc 161,60046.9K $
168Monster Beverage Corp 637,17546.2K $
169NIKE Inc 869,80845.9K $
170PACCAR Inc 391,53745.2K $
171Cintas Corp 266,87045.1K $
172WW Grainger Inc 40,97344.7K $
173Corteva Inc 531,90144.5K $
174ONEOK Inc 490,76044.4K $
175DoorDash Inc 293,19344K $
176Cardinal Health, Inc. 207,69143.9K $
177KKR & Co Inc 473,53243.8K $
178Cencora Inc 139,29443.8K $
179Fortinet Inc 533,42043.6K $
180Entergy Corp 386,73743.5K $
181Fastenal Co 934,92043.4K $
182Monolithic Power Systems Inc 39,40343.1K $
183Realty Income Corp 703,84643.1K $
184Zoetis Inc 362,40642.8K $
185Robinhood Markets Inc 614,15142.6K $
186Comfort Systems USA Inc 30,66542.3K $
187Autodesk Inc 176,23642.2K $
188AutoZone Inc 12,44542K $
189Dell Technologies Inc 252,83441.5K $
190Delta Air Lines Inc 622,37741.4K $
191Digital Realty Trust Inc 229,14941.3K $
192Exelon Corp 833,01540.8K $
193Lumentum Holdings Inc 58,04240.8K $
194Truist Financial Corp 881,12740.5K $
195PayPal Holdings Inc 894,67640.5K $
196United Rentals Inc 55,51640.4K $
197Dominion Energy Inc 647,30940K $
198Ameriprise Financial Inc 89,88639.9K $
199CBRE Group Inc 294,48339.9K $
200Airbnb Inc 314,29839.7K $