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
401HP Inc 749,43314.4K $
402DuPont de Nemours Inc 313,54414.4K $
403Applied Industrial Technologies Inc 53,95714.3K $
404Huntington Ingalls Industries, Inc. 37,47614.2K $
405Twilio Inc 113,02714.2K $
406Alcoa Corp 213,79214.2K $
407NVR Inc 2,14214.1K $
408Evercore Inc 46,90914K $
409Tyson Foods Inc 217,64513.9K $
410Dick's Sporting Goods Inc 70,11713.9K $
411US Foods Holding Corp 150,16313.8K $
412Pinnacle Financial Partners Inc 160,15613.8K $
413Medpace Holdings Inc 28,70313.8K $
414Omega Healthcare Investors Inc 314,44213.8K $
415Textron Inc 156,16913.7K $
416Rollins Inc 254,13713.6K $
417F5 Inc 46,79513.5K $
418Moderna Inc 266,39913.5K $
419Fortive Corp 244,09013.5K $
420Five Below Inc 58,89013.5K $
421Essex Property Trust Inc 55,55613.4K $
422Weyerhaeuser Co 549,68913.4K $
423Host Hotels & Resorts Inc 696,53913.3K $
424Ares Management Corp 121,53613.3K $
425New York Times Co/The 157,95813.2K $
426BJ's Wholesale Club Holdings Inc 134,21213.2K $
427TD SYNNEX Corp 78,20113.2K $
428Wintrust Financial Corp 93,73113K $
429CoStar Group Inc 322,75613K $
430Kraft Heinz Co/The 577,67013K $
431Advanced Energy Industries Inc 40,17213K $
432Viatris Inc 959,57013K $
433CACI International Inc 23,76212.9K $
434Nordson Corp 48,45612.9K $
435Insulet Corp 61,33012.9K $
436Graco Inc 151,55012.8K $
437Expeditors International of Washington Inc 89,15612.8K $
438EchoStar Corp 108,59512.7K $
439RPM International Inc 127,76212.7K $
440Royal Gold Inc 49,85212.7K $
441Best Buy Co Inc 197,34912.7K $
442Coca-Cola Consolidated Inc 66,02712.7K $
443Invitation Homes Inc 503,08212.5K $
444Brown & Brown Inc 191,55212.5K $
445Jacobs Solutions Inc 97,61112.4K $
446Estee Lauder Cos Inc/The 172,19012.4K $
447Carlisle Cos Inc 36,95912.3K $
448Lennox International Inc 26,56512.3K $
449Watsco Inc 33,87712.3K $
450Ralph Lauren Corp 35,73212.3K $
451Globe Life Inc 88,30612.3K $
452Burlington Stores Inc 37,56312.2K $
453DT Midstream Inc 90,62112.2K $
454Tyler Technologies Inc 35,50412.2K $
455Unum Group 166,45212.2K $
456Penumbra Inc 36,96712.1K $
457Lamar Advertising Co 95,41712.1K $
458Jack Henry & Associates Inc 76,24412.1K $
459Solstice Advanced Materials Inc 157,13212K $
460Texas Roadhouse Inc 71,72911.8K $
461Neurocrine Biosciences Inc 89,71011.8K $
462Somnigroup International Inc 159,45711.8K $
463Cooper Cos Inc/The 164,82411.8K $
464Dycom Industries Inc 34,74111.8K $
465Regal Rexnord Corp 62,30011.7K $
466Trimble Inc 178,60611.7K $
467Ovintiv Inc 196,09411.6K $
468Masco Corp 192,79111.6K $
469Centene Corp 354,87311.6K $
470Annaly Capital Management Inc 548,54811.6K $
471Essential Utilities Inc 287,77811.6K $
472Exelixis Inc 269,79211.6K $
473CDW Corp/DE 95,58511.6K $
474OGE Energy Corp 240,82811.6K $
475Domino's Pizza Inc 31,97911.5K $
476Oshkosh Corp 77,24211.4K $
477HF Sinclair Corp 181,82811.3K $
478Regency Centers Corp 149,44511.3K $
479BorgWarner Inc 207,36211.3K $
480Hologic Inc 148,49011.2K $
481Genuine Parts Co 105,37411.1K $
482Flowserve Corp 151,46811.1K $
483Pinnacle West Capital Corp. 110,09011.1K $
484Mid-America Apartment Communities, Inc. 90,68311.1K $
485Range Resources Corp 244,40311K $
486Ball Corp 185,74911K $
487International Paper Co 306,08910.9K $
488Moog Inc 37,03910.8K $
489First Horizon Corp 475,91810.8K $
490Onto Innovation Inc 52,39710.7K $
491Crane Co 62,41710.7K $
492Hecla Mining Co 562,10610.5K $
493News Corp 416,08910.4K $
494Antero Resources Corp 243,51310.3K $
495WP Carey Inc 152,02710.3K $
496SPX Technologies Inc 51,62910.3K $
497Clorox Co/The 98,56910.2K $
498AECOM 120,32710.2K $
499IDEX Corp 53,75910.2K $
500Brixmor Property Group Inc 353,69810.2K $