Titelia

Holdings of STATE OF WISCONSIN INVESTMENT BOARD

2090 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 29.4 % of the equity sleeve

Sector breakdown

  • Technology 24.6 %
  • Financials 10.3 %
  • Communication 9.0 %
  • Consumer discretionary 7.7 %
  • Industrials 7.5 %
  • Health care 7.2 %
  • Consumer staples 4.0 %
  • Energy 2.6 %
  • Utilities 2.1 %
  • Materials 1.5 %
  • Real estate 1.2 %
  • Funds 0.4 %
  • Unattributed 21.7 %

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 99.8 %
  • GB 0.1 %
  • BR 0.1 %
  • IL 0.0 %
  • MX 0.0 %
  • AR 0.0 %
  • HK 0.0 %
  • KY 0.0 %
  • CA 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US2,08039.6B $99.81 %
2GB128.5M $0.07 %
3BR122.1M $0.06 %
4IL110.9M $0.03 %
5MX18.7M $0.02 %
6AR33.4M $0.01 %
7HK12.4M $0.01 %
8KY1823.8K $0.00 %
9CA1264.4K $0.00 %

Positions

RankCompanySharesValueWeight
1,001Mirum Pharmaceuticals Inc 34,1063.2M $
1,002Flywire Corp 269,9303.1M $
1,003ADTRAN Holdings Inc 249,7063.1M $
1,004D-Wave Quantum Inc 216,7483.1M $
1,005iShares Russell 2000 ETF 12,6033.1M $
1,006Option Care Health Inc 115,1823.1M $
1,007Kymera Therapeutics Inc 37,1853.1M $
1,008nCino Inc 204,2813.1M $
1,009Core & Main Inc 61,7583.1M $
1,010Lithia Motors Inc 12,2163.1M $
1,011TransMedics Group Inc 30,6183M $
1,012Soleno Therapeutics Inc 90,9073M $
1,013Affiliated Managers Group Inc 10,9923M $
1,014Hayward Holdings Inc 227,2883M $
1,015Compass Inc 415,9293M $
1,016Primerica Inc 12,1323M $
1,017DaVita Inc 19,7583M $
1,018Lamb Weston Holdings Inc 71,6963M $
1,019Lumen Technologies Inc 432,9513M $
1,020EverQuote Inc 195,0823M $
1,021Urban Outfitters Inc 47,4783M $
1,022Goosehead Insurance Inc 70,3273M $
1,023ONE Gas Inc 34,8003M $
1,024Allegro MicroSystems Inc 94,9533M $
1,025Hawaiian Electric Industries Inc 201,4503M $
1,026Wealthfront Corp 322,5613M $
1,027Pacira BioSciences Inc 130,9933M $
1,028Mohawk Industries Inc 30,0573M $
1,029Silgan Holdings Inc 76,2243M $
1,030Westlake Corp 25,2522.9M $
1,031New Jersey Resources Corp 53,5122.9M $
1,032Bowhead Specialty Holdings Inc 130,8322.9M $
1,033Ryan Specialty Holdings Inc 86,6952.9M $
1,034Primo Brands Corp 154,6722.9M $
1,035Blue Bird Corp 51,1902.9M $
1,036Catalyst Pharmaceuticals Inc 117,2962.9M $
1,037Harley-Davidson Inc 143,4952.9M $
1,038Graphic Packaging Holding Co 291,6962.9M $
1,039Interparfums Inc 31,8082.9M $
1,040Rush Street Interactive Inc 132,3012.9M $
1,041Gitlab Inc 132,9662.9M $
1,042Oklo Inc 57,7232.9M $
1,043Ategrity Specialty Holdings LLC 143,2892.8M $
1,044Gap Inc/The 116,9322.8M $
1,045Black Hills Corp 40,7262.8M $
1,046PROG Holdings Inc 98,2512.8M $
1,047Valvoline Inc 83,0582.8M $
1,048Lamar Advertising Co 21,9452.8M $
1,049American Integrity Insurance Group Inc 144,1572.8M $
1,050Calix Inc 56,6082.8M $
1,051Synaptics Inc 39,4802.8M $
1,052Haemonetics Corp 49,0152.8M $
1,053Bath & Body Works Inc 147,2562.7M $
1,054FTI Consulting Inc 15,4812.7M $
1,055GCI Liberty Inc 73,7532.7M $
1,056Cogent Biosciences Inc 70,4572.7M $
1,057Owens Corning 24,9722.7M $
1,058BILL Holdings Inc 70,5592.7M $
1,059Trex Co Inc 73,9242.7M $
1,060Terns Pharmaceuticals Inc 50,9462.7M $
1,061Ligand Pharmaceuticals Inc 13,4332.7M $
1,062Duolingo Inc 27,1972.7M $
1,063IES Holdings Inc 5,6172.7M $
1,064Amentum Holdings Inc 101,9832.7M $
1,065BioCryst Pharmaceuticals Inc 279,0642.7M $
1,066Autoliv Inc 25,0192.6M $
1,067Rigetti Computing Inc 186,4642.6M $
1,068Graham Holdings Co 2,4722.6M $
1,069United Natural Foods Inc 57,8532.6M $
1,070YPF SA 56,2762.6M $
1,071iShares ESG Aware MSCI EM ETF 57,1592.6M $
1,072Tempus AI Inc 57,1142.6M $
1,073Snap Inc 561,4242.6M $
1,074Cipher Digital Inc 199,7642.6M $
1,075Papa John's International Inc 79,1742.6M $
1,076Forum Energy Technologies Inc 43,3272.5M $
1,077Sylvamo Corp 60,0952.5M $
1,078Whirlpool Corp 46,5222.5M $
1,079Remitly Global Inc 159,5112.5M $
1,080Hims & Hers Health Inc 120,2672.5M $
1,081Installed Building Products Inc 9,4142.5M $
1,082Vail Resorts Inc 19,4192.5M $
1,083BellRing Brands Inc 154,5992.5M $
1,084Doximity Inc 106,2232.5M $
1,085Green Plains Inc 149,9982.5M $
1,086Landstar System Inc 15,3782.5M $
1,087Helix Energy Solutions Group Inc 248,7592.5M $
1,088Chewy Inc 90,7102.4M $
1,089Caris Life Sciences Inc 136,3342.4M $
1,090Futu Holdings Ltd 17,7802.4M $
1,091Spire Inc 26,8532.4M $
1,092Core Natural Resources Inc 23,1302.4M $
1,093National HealthCare Corp 15,1452.4M $
1,094Kyndryl Holdings Inc 183,9832.4M $
1,095Bread Financial Holdings Inc 32,0292.4M $
1,096Phibro Animal Health Corp 43,3452.4M $
1,097Corcept Therapeutics Inc 59,4702.4M $
1,098Boise Cascade Co 31,6032.4M $
1,099Nuvalent Inc 23,2682.4M $
1,100Telephone and Data Systems Inc 56,5712.4M $