CIK 1081019
CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM
Institutional 13F holdings & portfolio
Holdings
2,957
Portfolio Value
$90.04B
Latest Report
Jun 30, 2025
Report Periods
5
Holdings
13F filings as of Jun 30, 2025 · Showing 1701–1750 of 2,957
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| VECO | VEECO INSTRUMENTS INC | 53K | $1.07M | SH |
| ACT | ENACT HOLDINGS INC | 29K | $1.06M | SH |
| NAVI | NAVIENT CORP | 75K | $1.06M | SH |
| DRVN | DRIVEN BRANDS HOLDINGS INC | 60K | $1.06M | SH |
| INVA | INNOVIVA INC | 53K | $1.06M | SH |
| QCRH | QCR HOLDINGS INC | 16K | $1.05M | SH |
| EFC | ELLINGTON FINANCIAL INC | 81K | $1.05M | SH |
| TALO | TALOS ENERGY INC | 124K | $1.05M | SH |
| BHVN | BIOHAVEN LTD | 74K | $1.05M | SH |
| USLM | UNITED STATES LIME MINERAL | 11K | $1.05M | SH |
| CLOV | CLOVER HEALTH INVESTMENTS CO | 377K | $1.05M | SH |
| KRP | KIMBELL ROYALTY PARTNERS LP | 75K | $1.05M | SH |
| ESRT | EMPIRE STATE REALTY TRUST A | 130K | $1.05M | SH |
| GO | GROCERY OUTLET HOLDING CORP | 84K | $1.05M | SH |
| IDT | IDT CORP CLASS B | 15K | $1.05M | SH |
| PLUG | PLUG POWER INC | 703K | $1.05M | SH |
| AMRX | AMNEAL PHARMACEUTICALS INC | 129K | $1.05M | SH |
| EVH | EVOLENT HEALTH INC A | 93K | $1.04M | SH |
| RDWR | RADWARE LTD | 35K | $1.04M | SH |
| RLJ | RLJ LODGING TRUST | 143K | $1.04M | SH |
| ETNB | 89BIO INC | 106K | $1.04M | SH |
| MATX | MATSON INC | 9K | $1.03M | SH |
| EVER | EVERQUOTE INC CLASS A | 43K | $1.03M | SH |
| CCB | COASTAL FINANCIAL CORP WA | 11K | $1.03M | SH |
| TXG | 10X GENOMICS INC CLASS A | 89K | $1.03M | SH |
| DCOM | DIME COMMUNITY BANCSHARES IN | 38K | $1.03M | SH |
| TWO | TWO HARBORS INVESTMENT CORP | 96K | $1.03M | SH |
| BFC | BANK FIRST CORP | 9K | $1.03M | SH |
| CIM | CHIMERA INVESTMENT CORP | 74K | $1.03M | SH |
| PFBC | PREFERRED BANK LOS ANGELES | 12K | $1.03M | SH |
| ASTH | ASTRANA HEALTH INC | 41K | $1.03M | SH |
| TARS | TARSUS PHARMACEUTICALS INC | 25K | $1.03M | SH |
| EOSE | EOS ENERGY ENTERPRISES INC | 201K | $1.03M | SH |
| HLIO | HELIOS TECHNOLOGIES INC | 31K | $1.02M | SH |
| MODG | TOPGOLF CALLAWAY BRANDS CORP | 127K | $1.02M | SH |
| ANIP | ANI PHARMACEUTICALS INC | 16K | $1.02M | SH |
| HCSG | HEALTHCARE SERVICES GROUP | 68K | $1.02M | SH |
| PCRX | PACIRA BIOSCIENCES INC | 43K | $1.02M | SH |
| ARR | ARMOUR RESIDENTIAL REIT INC | 60K | $1.01M | SH |
| EIG | EMPLOYERS HOLDINGS INC | 21K | $1.01M | SH |
| NSSC | NAPCO SECURITY TECHNOLOGIES | 34K | $1.01M | SH |
| CGON | CG ONCOLOGY INC | 39K | $1.01M | SH |
| SEDG | SOLAREDGE TECHNOLOGIES INC | 49K | $1.01M | SH |
| PRA | PROASSURANCE CORP | 44K | $1.01M | SH |
| BHLB | BERKSHIRE HILLS BANCORP INC | 40K | $1.01M | SH |
| KLG | WK KELLOGG CO | 63K | $1.01M | SH |
| CRI | CARTER S INC | 33K | $1.01M | SH |
| PEBO | PEOPLES BANCORP INC | 33K | $1.00M | SH |
| CLMT | CALUMET INC | 64K | $1.00M | SH |
| FOXF | FOX FACTORY HOLDING CORP | 39K | $1.00M | SH |