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
1,501Insight Enterprises Inc 5,770386.6K $
1,502Zymeworks Inc 15,340384.1K $
1,503Day One Biopharmaceuticals Inc 17,880383.3K $
1,504QCR Holdings Inc 4,467381.7K $
1,505Westamerica BanCorp 7,314381.4K $
1,506ProAssurance Corp 15,424381.3K $
1,507Lakeland Financial Corp 6,630380.4K $
1,508AtriCure Inc 13,299379.4K $
1,509PROG Holdings Inc 13,219379.3K $
1,510Baldwin Insurance Group Inc/The 17,199377.3K $
1,511Leggett & Platt Inc 38,139376.8K $
1,512Blue Bird Corp 6,582373.8K $
1,513Select Water Solutions Inc 24,341372.4K $
1,514Simply Good Foods Co/The 25,929372.1K $
1,515Freshworks Inc 46,260371.5K $
1,516MaxLinear Inc 21,299370.4K $
1,517Masterbrand Inc 44,533370.1K $
1,518Erie Indemnity Co 1,472369.9K $
1,519Kennedy-Wilson Holdings Inc 34,174369.8K $
1,520Triumph Financial Inc 6,193369.5K $
1,521ConnectOne Bancorp Inc 13,730367.6K $
1,522Sable Offshore Corp 22,221367.1K $
1,523United Parks & Resorts Inc 11,225366.6K $
1,524CBIZ Inc 13,619365.7K $
1,525Payoneer Global Inc 75,660365.4K $
1,526Ardelyx Inc 60,780364.1K $
1,527NETSTREIT Corp 19,262362.7K $
1,528Kosmos Energy Ltd 130,370362.4K $
1,529Wolverine World Wide Inc 22,191362.2K $
1,530U-Haul Holding Co 7,575361.9K $
1,531Monarch Casino & Resort Inc 3,783361.7K $
1,532Plug Power Inc 158,884359.1K $
1,533Tandem Diabetes Care Inc 18,552355.6K $
1,534Amprius Technologies Inc 21,040354.7K $
1,535Braze Inc 14,960353.2K $
1,536Astec Industries Inc 6,504350.2K $
1,537Enact Holdings Inc 8,580350.2K $
1,538Gibraltar Industries Inc 8,776349.9K $
1,539Ziff Davis Inc 8,265346.8K $
1,540United States Lime & Minerals Inc 2,654346.6K $
1,541Origin Bancorp Inc 8,330345.4K $
1,542Immunome Inc 15,740344.2K $
1,543Life Time Group Holdings Inc 12,760343.8K $
1,544TriNet Group Inc 9,406342.7K $
1,545Enovis Corp 15,003341.3K $
1,546TripAdvisor Inc 31,974340.8K $
1,547Universal Technical Institute Inc 9,390339K $
1,548Dime Community Bancshares Inc 9,986337.7K $
1,549Energizer Holdings Inc 20,460336K $
1,550Tidewater Inc 4,017335.6K $
1,551German American Bancorp Inc 8,006334.6K $
1,552Redwood Trust Inc 59,631334.5K $
1,553Donnelley Financial Solutions Inc 7,079333.7K $
1,554Tennant Co 5,013332.9K $
1,555T1 Energy Inc 75,626332K $
1,556Oruka Therapeutics Inc 6,687328K $
1,557Collegium Pharmaceutical Inc 9,890327.1K $
1,558GATX Corp 1,914326.8K $
1,559PROCEPT BIOROBOTICS CORP 13,050326.4K $
1,560Arcus Biosciences Inc 15,072325.6K $
1,561PennyMac Financial Services Inc 3,713324.5K $
1,5621st Source Corp 4,675323.6K $
1,563GeneDx Holdings Corp 5,014322K $
1,564Flywire Corp 27,620321.5K $
1,565Peoples Bancorp Inc/OH 9,667317.8K $
1,566Live Oak Bancshares Inc 9,604317.6K $
1,567Progress Software Corp 12,376317.4K $
1,568Two Harbors Investment Corp 27,773317.2K $
1,569Interparfums Inc 3,487316.8K $
1,570Ladder Capital Corp 32,337315.9K $
1,571Group 1 Automotive Inc 955315.8K $
1,572Employers Holdings Inc 7,670315.5K $
1,573Harmony Biosciences Holdings Inc 11,265315.5K $
1,574MillerKnoll Inc 21,688313.6K $
1,575Visteon Corp 3,441313.5K $
1,576Array Technologies Inc 43,255312.7K $
1,577SunCoke Energy Inc 47,982312.4K $
1,578Bristow Group Inc 6,660312.3K $
1,579Edgewell Personal Care Co 14,631312.2K $
1,580Archer Aviation Inc 60,040310.4K $
1,581ANI Pharmaceuticals Inc 3,995307.2K $
1,582AnaptysBio Inc 5,526306.5K $
1,583Climb Global Solutions Inc 15,388305K $
1,584Limbach Holdings Inc 3,895304K $
1,585Soleno Therapeutics Inc 9,041302.7K $
1,586Scholastic Corp 7,738302.2K $
1,587Five9 Inc 19,887301.7K $
1,588OceanFirst Financial Corp 16,638300.2K $
1,589Papa John's International Inc 9,258300.1K $
1,590Astrana Health Inc 12,230299.9K $
1,591Alumis Inc 13,604299.7K $
1,592Skyward Specialty Insurance Group Inc 6,810297.5K $
1,593NuScale Power Corp 27,425297.3K $
1,594Sonic Automotive Inc 4,322296.4K $
1,595Stoke Therapeutics Inc 9,089295.9K $
1,596CBL & Associates Properties Inc 7,680295.1K $
1,597Harrow Inc 8,360294.8K $
1,598PennyMac Mortgage Investment Trust 25,236294.3K $
1,599PDF Solutions Inc 8,987294K $
1,600Pacira BioSciences Inc 13,002293.8K $