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 1951–2000 of 3,177
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| HLMN | HILLMAN SOLUTIONS CORP - | 59K | $515K | SH |
| BLSH | BULLISH | 14K | $511K | SH |
| VECO | VEECO INSTRUMENTS INC | 18K | $510K | SH |
| WKC | WORLD KINECT CORP | 22K | $509K | SH |
| LEN.B | LENNAR CORP-CLASS B | 5K | $508K | SH |
| SAFE | SAFEHOLD INC | 37K | $507K | SH |
| FCF | FIRST COMMONWLTH FNL CORP | 30K | $507K | SH |
| PBI | PITNEY BOWES INC | 48K | $506K | SH |
| ADNT | ADIENT PLC | 26K | $506K | SH |
| LNN | LINDSAY CORPORATION | 4K | $505K | SH |
| IMNM | IMMUNOME INC | 24K | $505K | SH |
| ELME | ELME COMMUNITIES | 29K | $504K | SH |
| LGN | LEGENCE CORP CLASS A | 12K | $504K | SH |
| SPB | SPECTRUM BRANDS HLDGS INC | 8K | $501K | SH |
| ICFI | ICF INTERNATIONAL INC | 6K | $500K | SH |
| NSP | INSPERITY INC | 13K | $499K | SH |
| FTRE | FORTREA HOLDINGS INC | 29K | $499K | SH |
| CNA | CNA FINANCIAL CORP | 10K | $497K | SH |
| APPN | APPIAN CORP - CLASS A | 14K | $494K | SH |
| MUFG | MITSUBISHI UFJ FINANCIAL | 31K | $493K | SH |
| GABC | GERMAN AMERICAN BANCORP | 13K | $493K | SH |
| CBK | COMMERCIAL BANCGROUP INC | 20K | $492K | SH |
| FRPH | FRP HOLDINGS INC | 22K | $491K | SH |
| REYN | REYNOLDS CONSUMER PROD | 21K | $490K | SH |
| LION2 | LIONSGATE STUDIOS CORP | 54K | $489K | SH |
| BHP | BHP GROUP LTD-SPONS ADR | 8K | $489K | SH |
| GNL | GLOBAL NET LEASE INC | 56K | $484K | SH |
| USLM | UNITED STATES LIME & MINE | 4K | $482K | SH |
| ZD | ZIFF DAVIS INC | 14K | $481K | SH |
| SHO | SUNSTONE HOTEL INVESTORS | 54K | $479K | SH |
| QCRH | QCR HOLDINGS INC | 6K | $478K | SH |
| STOK | STOKE THERAPEUTICS INC | 15K | $477K | SH |
| BHE | BENCHMARK ELECTRONICS INC | 11K | $475K | SH |
| HOUS | ANYWHERE REAL ESTATE INC | 34K | $475K | SH |
| HSTM | HEALTHSTREAM INC | 21K | $473K | SH |
| ALGT | ALLEGIANT TRAVEL CO | 6K | $472K | SH |
| NEOG | NEOGEN CORP | 67K | $472K | SH |
| ENOV | ENOVIS CORP | 18K | $467K | SH |
| STEL | STELLAR BANCORP INC | 15K | $467K | SH |
| COLL | COLLEGIUM PHARMACEUTICAL | 10K | $467K | SH |
| WT | WISDOMTREE INVESTMENTS IN | 38K | $466K | SH |
| NN | NEXTNAV INC | 28K | $464K | SH |
| PAR | PAR TECHNOLOGY CORP | 13K | $462K | SH |
| IIPR | INNOVATIVE INDUST PROP | 10K | $461K | SH |
| XHR | XENIA HOTELS & RESORTS | 32K | $459K | SH |
| BF.A | BROWN-FORMAN CORP - CL A | 17K | $459K | SH |
| ALEX | ALEXANDER & BALDWIN INC | 22K | $458K | SH |
| ZYME | ZYMEWORKS INC | 17K | $457K | SH |
| CTS | CTS CORPORATION | 11K | $457K | SH |
| WLDN | WILLDAN GROUP INC | 4K | $457K | SH |