Titelia

Holdings of STATE BOARD OF ADMINISTRATION OF FLORIDA RETIREMENT SYSTEM

1905 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 34.2 % of the equity sleeve

Sector breakdown

  • Technology 30.4 %
  • Financials 11.4 %
  • Communication 9.8 %
  • Consumer discretionary 9.2 %
  • Health care 8.8 %
  • Industrials 8.0 %
  • Consumer staples 4.7 %
  • Energy 3.1 %
  • Utilities 2.4 %
  • Materials 1.6 %
  • Real estate 1.5 %
  • Funds 0.1 %
  • Unattributed 9.1 %

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 %
  • IL 0.0 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US1,90451.6B $100.00 %
2IL11.9M $0.00 %

Positions

RankCompanySharesValueWeight
1,801Heartland Express Inc 13,381139.2K $
1,802Clean Energy Fuels Corp 56,024138.9K $
1,803Farmers National Banc Corp 10,530138.6K $
1,804Mativ Holdings Inc 15,564135.4K $
1,805Bloomin' Brands Inc 25,031135.2K $
1,806Pure Cycle Corp 13,390134.7K $
1,807Solid Power Inc 44,330133K $
1,808Amplitude Inc 19,470132.8K $
1,809Gladstone Commercial Corp 11,481131.2K $
1,810Arko Corp 23,520130.8K $
1,811SI-BONE Inc 10,330130.5K $
1,812MiMedx Group Inc 32,936130.1K $
1,813Sinclair Inc 10,053130.1K $
1,814Gamestop Corp 33,286128.5K $
1,815indie Semiconductor Inc 39,340126.7K $
1,816Janus International Group Inc 24,250124.9K $
1,817Phreesia Inc 14,729123.4K $
1,818eXp World Holdings Inc 20,353121.9K $
1,819Kronos Worldwide Inc 18,507121.6K $
1,820Community Health Systems Inc 40,916120.3K $
1,821Conduent Inc 92,933119K $
1,822Atea Pharmaceuticals Inc 22,010118.4K $
1,823Varex Imaging Corp 11,095117.7K $
1,824Wabash National Corp 13,548116.8K $
1,825GCM Grosvenor Inc 11,880116.4K $
1,826Ares Commercial Real Estate Corp 24,232116.3K $
1,827EW Scripps Co/The 31,060115.5K $
1,828Orthofix Medical Inc 10,072115.5K $
1,829Udemy Inc 24,610113.7K $
1,830Dave & Buster's Entertainment Inc 10,340112K $
1,831Gray Media Inc 24,556106.6K $
1,832Custom Truck One Source Inc 16,220106.6K $
1,833MBIA Inc 17,901105.8K $
1,834AH Realty Trust Inc 19,234105.8K $
1,835Quantum Computing Inc 15,333105K $
1,836Myriad Genetics Inc 23,057103.8K $
1,837SITE Centers Corp 19,207103.7K $
1,838Titan International Inc 14,970103.4K $
1,839OraSure Technologies Inc 34,338103K $
1,840KKR Real Estate Finance Trust Inc 16,821102.9K $
1,841PubMatic Inc 12,430101.7K $
1,842CryoPort Inc 12,238101.3K $
1,843Replimune Group Inc 12,84498.3K $
1,844B&G Foods Inc 20,30597.7K $
1,845REGENXBIO Inc 11,61597.3K $
1,846Invesco Mortgage Capital Inc 11,97496.8K $
1,847UWM Holdings Corp 26,72096.7K $
1,848Orchid Island Capital Inc 13,68096.2K $
1,849Pacific Biosciences of California Inc 71,94195K $
1,850Bumble Inc 28,90094.2K $
1,851Rapid7 Inc 17,06194K $
1,852N-able Inc/US 20,01093.4K $
1,853Bakkt Inc 12,55192.4K $
1,854Digital Turbine Inc 32,05792.3K $
1,8553D Systems Corp 48,77191.7K $
1,856Grid Dynamics Holdings Inc 15,97891.1K $
1,857Maravai LifeSciences Holdings Inc 31,62789.5K $
1,858Ridgepost Capital Inc 12,30089.3K $
1,859First Foundation Inc 14,62086.3K $
1,860Krispy Kreme Inc 25,00084.8K $
1,861Camping World Holdings Inc 11,94081.6K $
1,862Ribbon Communications Inc 37,54379.6K $
1,863Sprout Social Inc 13,60177.5K $
1,864Sana Biotechnology Inc 26,67876.8K $
1,865Gogo Inc 18,92076.1K $
1,866Service Properties Trust 54,69474.1K $
1,867Ready Capital Corp 45,73674.1K $
1,868Hudson Technologies Inc 12,57073.9K $
1,8698x8 Inc 44,10873.2K $
1,870Cerence Inc 11,51672.7K $
1,871Evolent Health Inc 31,44471.7K $
1,872Commerce.com Inc 26,18569.9K $
1,873Portillo's Inc 12,94068.5K $
1,874Xperi Inc 12,17068.2K $
1,875Alight Inc 113,69066.2K $
1,876Anavex Life Sciences Corp 20,34562.5K $
1,877Claros Mortgage Trust Inc 25,92061.7K $
1,878Blend Labs Inc 36,11061.4K $
1,879Repay Holdings Corp 23,19560.3K $
1,880Bed Bath & Beyond Inc 12,90059.9K $
1,881BigBear.ai Holdings Inc 17,00059.8K $
1,882Eos Energy Enterprises Inc 12,00859.6K $
1,883Octave Specialty Group Inc 12,63058.7K $
1,884Corsair Gaming Inc 10,58058.7K $
1,885Nextdoor Holdings Inc 41,70058.4K $
1,886AMC Entertainment Holdings Inc 56,96055.8K $
1,887Unisys Corp 26,56655K $
1,888Playtika Holding Corp 18,80552.3K $
1,889Eve Holding Inc 20,95052K $
1,890Cricut Inc 13,85051.8K $
1,891EVgo Inc 29,16050.2K $
1,892Aspen Aerogels Inc 14,61850K $
1,893Evolus Inc 11,85948.7K $
1,894Accendra Health Inc 21,20148.3K $
1,895Empire Petroleum Corp 15,53046K $
1,8961-800-Flowers.com Inc 14,25543.3K $
1,897Xerox Holdings Corp 32,77442.3K $
1,898MicroVision Inc 62,75640.2K $
1,899ZipRecruiter Inc 19,93036.7K $
1,900Open Lending Corp 28,41335.5K $