CIK 810265
NEW YORK STATE COMMON RETIREMENT FUND
Institutional 13F holdings & portfolio
Holdings
3,177
Portfolio Value
$74.93B
Latest Report
Dec 31, 2025
Report Periods
13
Holdings
13F filings as of Dec 31, 2025 · Showing 1901–1950 of 3,177
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| BLBD | BLUE BIRD CORP | 13K | $596K | SH |
| DX | DYNEX CAPITAL INC | 42K | $594K | SH |
| FVRR | FIVERR INTERNATIONAL LTD | 30K | $592K | SH |
| OFG | OFG BANCORP | 14K | $592K | SH |
| AVPT | AVEPOINT INC | 42K | $590K | SH |
| VAC | MARRIOTT VACATIONS WORLDW | 10K | $588K | SH |
| TXG | 10X GENOMICS INC | 36K | $587K | SH |
| MQ | MARQETA INC | 123K | $587K | SH |
| BFS | SAUL CENTERS INC | 19K | $586K | SH |
| LBTYK | LIBERTY GLOBAL LTD | 53K | $586K | SH |
| TPB | TURNING POINT BRANDS INC | 5K | $585K | SH |
| NIC | NICOLET BANKSHARES INC | 5K | $584K | SH |
| SYBT | STOCK YARDS BANCORP INC | 9K | $583K | SH |
| THR | THERMON GROUP HOLDINGS | 16K | $583K | SH |
| NWN | NORTHWEST NATURAL HOLDING | 12K | $580K | SH |
| EFC | ELLINGTON FINANCIAL INC | 43K | $579K | SH |
| PPTA | PERPETUA RESOURCES CORP | 24K | $578K | SH |
| COTY | COTY INC-CL A | 187K | $577K | SH |
| AGM | FEDERAL AGRIC MTGE CORP-C | 3K | $575K | SH |
| INVA | INNOVIVA INC | 29K | $574K | SH |
| AVDL | AVADEL PHARMACEUTICALS | 27K | $573K | SH |
| UHAL | U-HAUL HOLDING COMPANY | 11K | $573K | SH |
| HOV | HOVNANIAN ENTERPRISES CLA | 6K | $570K | SH |
| SMR | NUSCALE POWER CORP | 40K | $569K | SH |
| WOR | WORTHINGTON ENTERPRISES | 11K | $565K | SH |
| VCEL | VERICEL CORP | 16K | $561K | SH |
| DRH | DIAMONDROCK HOSPITALIT CO | 63K | $561K | SH |
| CNS | COHEN & STEERS INC | 9K | $560K | SH |
| HTO | H2O AMERICA | 11K | $557K | SH |
| TILE | INTERFACE INC | 20K | $555K | SH |
| MNKD | MANNKIND CORP | 96K | $547K | SH |
| DEI | DOUGLAS EMMETT INC | 50K | $545K | SH |
| HTH | HILLTOP HOLDINGS INC | 16K | $543K | SH |
| IMAX | IMAX CORP | 15K | $543K | SH |
| BRSL | BRIGHTSTAR LOTTERY PLC | 35K | $542K | SH |
| ARCB | ARCBEST CORP | 7K | $542K | SH |
| PACS | PACS GROUP INC | 14K | $541K | SH |
| IE | IVANHOE ELECTRIC INC | 34K | $536K | SH |
| SFD | SMITHFIELD FOODS INC | 24K | $536K | SH |
| NWG | NATWEST GROUP PLC ADR | 31K | $535K | SH |
| NWBI | NORTHWEST BANCSHARES INC | 45K | $535K | SH |
| SNDX | SYNDAX PHARMACEUTICALS IN | 25K | $533K | SH |
| GHM | GRAHAM CORP | 8K | $533K | SH |
| ALKT | ALKAMI TECHNOLOGY INC | 23K | $532K | SH |
| CLVT | CLARIVATE PLC | 158K | $528K | SH |
| BUR | BURFORD CAPITAL LTD | 59K | $524K | SH |
| GFI | GOLD FIELDS LTD -SPON ADR | 12K | $523K | SH |
| TALO | TALOS ENERGY INC | 47K | $521K | SH |
| COLM | COLUMBIA SPORTSWEAR COMPA | 9K | $518K | SH |
| AI | C3.AI INC | 38K | $516K | SH |