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
801Brunswick Corp/DE 58,9914.3K $
802SkyWest Inc 46,5204.3K $
803Genworth Financial Inc 525,2634.3K $
804Southwest Gas Holdings Inc 49,0434.3K $
805Home BancShares Inc/AR 157,5614.2K $
806Equitable Holdings Inc 113,9924.2K $
807Kontoor Brands Inc 60,1594.2K $
808Brown-Forman Corp 159,8624.2K $
809Spire Inc 46,4734.2K $
810Fortune Brands Innovations Inc 107,3284.2K $
811Graham Holdings Co 3,9544.2K $
812Maplebear Inc 111,4854.2K $
813Corcept Therapeutics Inc 103,5214.2K $
814PBF Energy Inc 86,6514.1K $
815DigitalOcean Holdings Inc 47,9864.1K $
816Millrose Properties Inc 146,6284.1K $
817Commerce Bancshares Inc/MO 83,2664.1K $
818Meritage Homes Corp 65,7674.1K $
819Krystal Biotech Inc 15,6374K $
820Supernus Pharmaceuticals Inc 78,0724K $
821Integer Holdings Corp 45,8044K $
822NMI Holdings Inc 105,7994K $
823M/I Homes Inc 32,4014K $
824Powell Industries Inc 7,2943.9K $
825Cal-Maine Foods Inc 49,8053.9K $
826Texas Capital Bancshares Inc 41,4323.9K $
827Campbell's Company/The 173,9713.9K $
828HA Sustainable Infrastructure Capital Inc 105,1153.9K $
829EPR Properties 77,1563.9K $
830TG Therapeutics Inc 116,0213.9K $
831Bread Financial Holdings Inc 51,3953.8K $
832AeroVironment Inc 20,8843.8K $
833Four Corners Property Trust Inc 161,2323.8K $
834Cheesecake Factory Inc/The 69,4523.8K $
835Commvault Systems Inc 48,8153.8K $
836Grand Canyon Education Inc 22,3603.8K $
837Bath & Body Works Inc 203,0473.8K $
838Sonoco Products Co 69,8983.8K $
839Phinia Inc 54,5953.7K $
840Mercury Systems Inc 50,8853.7K $
841Universal Display Corp 40,4153.7K $
842First Financial Bancorp 132,6483.7K $
843Vicor Corp 22,9363.7K $
844Trex Co Inc 101,2553.7K $
845Brighthouse Financial Inc 61,4813.7K $
846NCR Atleos Corp 84,3993.7K $
847Silgan Holdings Inc 94,7423.7K $
848Andersons Inc/The 51,2033.7K $
849Cleveland-Cliffs Inc 434,6313.7K $
850Urban Edge Properties 181,7183.6K $
851Victoria's Secret & Co 77,5343.6K $
852Catalyst Pharmaceuticals Inc 143,2593.5K $
853ICU Medical Inc 27,2913.5K $
854Duolingo Inc 35,7243.5K $
855HB Fuller Co 56,8153.5K $
856Mercury General Corp 39,7083.5K $
857Axos Financial Inc 40,9533.5K $
858LCI Industries 28,2383.5K $
859Hims & Hers Health Inc 166,8803.5K $
860Adeia Inc 143,8843.5K $
861Olin Corp 116,2383.5K $
862Helmerich & Payne Inc 95,4973.4K $
863Ally Financial Inc 87,6063.4K $
864Western Union Co/The 393,4173.4K $
865Teradata Corp 133,9123.4K $
866American Homes 4 Rent 122,8443.4K $
867Northwest Natural Holding Co 64,0503.4K $
868Ormat Technologies Inc 30,3043.4K $
869Alaska Air Group Inc 91,8683.4K $
870United Natural Foods Inc 74,7953.4K $
871National Storage Affiliates Trust 89,1683.4K $
872Chemours Co/The 152,6633.4K $
873Century Aluminum Co 57,1843.4K $
874Autoliv Inc 31,7573.3K $
875Par Pacific Holdings Inc 53,3113.3K $
876Valley National Bancorp 269,1043.3K $
877Kilroy Realty Corp 117,0643.3K $
878DiamondRock Hospitality Co 352,1143.3K $
879LXP Industrial Trust 71,2753.3K $
880ESCO Technologies Inc 11,6813.3K $
881FormFactor Inc 33,8133.3K $
882Macerich Co/The 172,1663.3K $
883ABM Industries Inc 83,6603.2K $
884Cousins Properties Inc 142,7273.2K $
885Acadia Realty Trust 167,4093.2K $
886MARA Holdings Inc 392,0413.2K $
887Paramount Skydance Corp. 354,4713.2K $
888United Community Banks Inc/GA 101,3233.2K $
889AZZ Inc 25,4953.2K $
890Benchmark Electronics Inc 56,7213.2K $
891IPG Photonics Corp 27,6193.2K $
892Trinity Industries Inc 97,7253.1K $
893OSI Systems Inc 11,7963.1K $
894Haemonetics Corp 55,1173.1K $
895Ingevity Corp 43,3383.1K $
896Iridium Communications Inc 111,2123.1K $
897Clear Secure Inc 63,6093.1K $
898SL Green Realty Corp 83,1603.1K $
899PTC Therapeutics Inc 44,9533.1K $
900Shake Shack Inc 34,2683K $