CIK 93751
STATE STREET CORP
Institutional 13F holdings & portfolio
Holdings
4,288
Portfolio Value
$2980.91B
Latest Report
Dec 31, 2025
Report Periods
2
Holdings
13F filings as of Dec 31, 2025 · Showing 1301–1350 of 4,288
| Ticker | Company | Shares | Value | Type |
|---|---|---|---|---|
| DVAX | DYNAVAX TECHNOLOGIES CORP | 7.2M | $110.18M | SH |
| HRI | HERC HLDGS INC | 742K | $110.06M | SH |
| UNF | UNIFIRST CORP MASS | 566K | $109.38M | SH |
| RCUS | ARCUS BIOSCIENCES INC | 4.6M | $109.07M | SH |
| NTR | NUTRIEN LTD | 1.7M | $108.94M | SH |
| WSC | WILLSCOT HLDGS CORP | 5.8M | $108.74M | SH |
| BA-PA | BOEING CO | 1.6M | $108.65M | SH |
| PK | PARK HOTELS & RESORTS INC | 10.1M | $108.40M | SH |
| BCC | BOISE CASCADE CO DEL | 1.5M | $108.34M | SH |
| HNI | HNI CORP | 2.6M | $108.33M | SH |
| VRDN | VIRIDIAN THERAPEUTICS INC | 3.5M | $107.88M | SH |
| ITGR | INTEGER HLDGS CORP | 1.4M | $107.59M | SH |
| CRGY | CRESCENT ENERGY COMPANY | 12.8M | $107.46M | SH |
| PFSI | PENNYMAC FINL SVCS INC NEW | 814K | $107.34M | SH |
| LRN | STRIDE INC | 1.6M | $107.03M | SH |
| WK | WORKIVA INC | 1.2M | $106.91M | SH |
| DEI | DOUGLAS EMMETT INC | 9.5M | $106.71M | SH |
| LMND | LEMONADE INC | 1.5M | $106.47M | SH |
| PAC | GRUPO AEROPUERTO DEL PACIFIC | 404K | $106.43M | SH |
| NATL | NCR ATLEOS CORPORATION | 2.8M | $106.41M | SH |
| FLO | FLOWERS FOODS INC | 9.7M | $105.61M | SH |
| SXI | STANDEX INTL CORP | 486K | $105.54M | SH |
| WTM | WHITE MTNS INS GROUP LTD | 51K | $105.28M | SH |
| SHC | SOTERA HEALTH CO | 6.0M | $105.23M | SH |
| HUBG | HUB GROUP INC | 2.5M | $105.11M | SH |
| PRK | PARK NATL CORP | 689K | $104.88M | SH |
| CPRI | CAPRI HOLDINGS LIMITED | 4.3M | $104.69M | SH |
| MCY | MERCURY GENL CORP NEW | 1.1M | $104.24M | SH |
| CORZ | CORE SCIENTIFIC INC NEW | 7.2M | $104.20M | SH |
| PCH | POTLATCHDELTIC CORPORATION | 2.6M | $103.98M | SH |
| CRK | COMSTOCK RES INC | 4.5M | $103.92M | SH |
| CORT | CORCEPT THERAPEUTICS INC | 3.0M | $103.91M | SH |
| CIVI | CIVITAS RESOURCES INC | 3.8M | $103.78M | SH |
| RXRX | RECURSION PHARMACEUTICALS IN | 25.3M | $103.62M | SH |
| RYN | RAYONIER INC | 4.8M | $103.47M | SH |
| DNLI | DENALI THERAPEUTICS INC | 6.3M | $103.41M | SH |
| BOKF | BOK FINL CORP | 873K | $103.37M | SH |
| YETI | YETI HLDGS INC | 2.3M | $103.34M | SH |
| WLK | WESTLAKE CORPORATION | 1.4M | $103.27M | SH |
| ALRM | ALARM COM HLDGS INC | 2.0M | $103.17M | SH |
| IE | IVANHOE ELECTRIC INC | 6.5M | $103.10M | SH |
| VC | VISTEON CORP | 1.1M | $102.89M | SH |
| LAUR | LAUREATE EDUCATION INC | 3.1M | $102.87M | SH |
| SPSB | SPDR SERIES TRUST | 3.4M | $102.67M | SH |
| FBNC | FIRST BANCORP N C | 2.0M | $102.66M | SH |
| PVH | PVH CORPORATION | 1.5M | $102.56M | SH |
| WDFC | WD 40 CO | 520K | $102.34M | SH |
| RIG | TRANSOCEAN LTD | 24.7M | $102.12M | SH |
| MNDY | MONDAY COM LTD | 689K | $101.63M | SH |
| NSA | NATIONAL STORAGE AFFILIATES | 3.6M | $101.54M | SH |