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
201Vistra Corp 257,32438.7K $
202Aflac Inc 351,85238.6K $
203State Street Corp 303,91938.5K $
204Kroger Co/The 530,09938.4K $
205Arthur J Gallagher & Co 176,61938.3K $
206Fifth Third Bancorp 814,01837.8K $
207Ford Motor Co 3,275,48337.8K $
208IDEXX Laboratories Inc 67,15437.7K $
209Consolidated Edison Inc 330,73237.4K $
210Teradyne Inc 125,61237.2K $
211Targa Resources Corp 147,50937K $
212EMCOR Group Inc 49,70736.7K $
213Electronic Arts Inc 179,04236.5K $
214Keysight Technologies Inc 128,13836.2K $
215EQT Corp 563,14135.8K $
216Public Service Enterprise Group Inc 442,52035.8K $
217Hartford Insurance Group Inc/The 263,18135.6K $
218PG&E Corp 2,025,32035.6K $
219Yum! Brands Inc 222,49734.6K $
220Apollo Global Management Inc 309,96634.5K $
221eBay Inc 377,54934.4K $
222AMETEK Inc 160,30334.4K $
223Becton Dickinson & Co 216,88234.1K $
224Edwards Lifesciences Corp 424,21134K $
225Chipotle Mexican Grill Inc 1,055,57533.8K $
226Curtiss-Wright Corp 49,31633.6K $
227Carvana Co 105,61833.2K $
228Xcel Energy Inc 416,86633.1K $
229Diamondback Energy Inc 167,12533.1K $
230MetLife Inc 465,71732.9K $
231Carrier Global Corp 583,11632.8K $
232DR Horton Inc 238,81332.8K $
233Coherent Corp 137,12332.7K $
234MSCI Inc 59,92332.3K $
235Devon Energy Corp 638,19832.1K $
236Occidental Petroleum Corp 491,66532K $
237Old Dominion Freight Line Inc 163,29931.9K $
238American International Group Inc 422,50831.8K $
239Public Storage 116,46231.5K $
240Republic Services Inc 142,24031.2K $
241Archer-Daniels-Midland Co 427,31931.1K $
242Nucor Corp 182,43230.8K $
243Rockwell Automation Inc 85,43430.7K $
244Westinghouse Air Brake Technologies Corp 121,88930.5K $
245M&T Bank Corp 143,42529.6K $
246Sysco Corp 413,23229.5K $
247Cognizant Technology Solutions Corp. 477,55429.3K $
248United Therapeutics Corp 49,33429.3K $
249Datadog Inc 247,69929.2K $
250Roper Technologies Inc 81,74328.9K $
251Casey's General Stores Inc 39,61328.8K $
252United Airlines Holdings Inc 312,83328.8K $
253Fiserv Inc 504,44128.1K $
254WEC Energy Group Inc 242,07628K $
255Huntington Bancshares Inc/OH 1,784,22727.9K $
256Coinbase Global Inc 159,65527.9K $
257Northern Trust Corp 199,03427.8K $
258Edison International 379,00527.7K $
259ResMed Inc 122,82027.6K $
260VICI Properties Inc 1,005,72627.5K $
261Prudential Financial, Inc. 280,09427.4K $
262Nasdaq Inc 322,28327.4K $
263NRG Energy Inc 183,98826.9K $
264Ameren Corp 242,83026.7K $
265Expedia Group Inc 113,96626.3K $
266Block Inc 436,51126.3K $
267Take-Two Interactive Software Inc 132,63926.2K $
268PulteGroup Inc 221,98126.1K $
269Jabil Inc 97,91926K $
270Agilent Technologies Inc 226,27825.8K $
271Kenvue Inc 1,494,09925.8K $
272Raymond James Financial Inc 177,01625.6K $
273Microchip Technology Inc 396,18325.6K $
274Vulcan Materials Co 93,69325.5K $
275Ventas Inc 310,32725.4K $
276Coterra Energy Inc 720,34925.3K $
277Halliburton Co 645,50225.2K $
278Crown Castle Inc 308,27625.1K $
279Hewlett Packard Enterprise Co 1,051,98825K $
280Cboe Global Markets Inc 88,68924.9K $
281Axon Enterprise Inc 58,40824.8K $
282Teledyne Technologies Inc 40,70324.6K $
283Synchrony Financial 361,99024.6K $
284Paychex Inc 266,38324.5K $
285Tapestry Inc 173,77724.5K $
286Ingersoll Rand Inc 303,81024.3K $
287Martin Marietta Materials Inc 41,22724.3K $
288GE HealthCare Technologies Inc 340,45624.2K $
289Dover Corp 115,87524.2K $
290Extra Space Storage Inc 183,42924.1K $
291PPL Corp 628,66124K $
292Ulta Beauty Inc 45,59523.8K $
293Dollar General Corp 199,99323.7K $
294Citizens Financial Group Inc 393,91823.6K $
295Kimberly-Clark Corp 244,31723.6K $
296Atmos Energy Corp 126,58423.4K $
297Iron Mountain Inc 227,87623.3K $
298Hershey Co/The 111,49623.2K $
299IQVIA Holdings Inc 135,75223.2K $
300Darden Restaurants Inc 116,21922.8K $