CALIFORNIA PUBLIC EMPLOYEES RETIREMENT SYSTEM Q2 2021 Filing

Filed August 13, 2021

Portfolio Value

$133.3M

Holdings

1,529

Report Date

Q2 2021

Filing Type

13F-HR

All Holdings (1,529 positions)

StockValue
SAICSCIENCE APPLICATNS INTL CP N
$11.6M
INSPINSPIRE MED SYS INC
$11.6M
JTKWYJUST EAT TAKEAWAY COM
$11.5M
AWIARMSTRONG WORLD INDUSTRIES
$11.5M
QVCAUSDQURATE RETAIL INC
$11.5M
MEDPMEDPACE HLDGS INC
$11.5M
NVROEURNEVRO CORP
$11.5M
2L9BLUEPRINT MEDICINES CORP
$11.5M
NVTNVENT ELECTRIC PLC
$11.5M
BYDBOYD GAMING CORP
$11.4M
CHNGUSDCHANGE HEALTHCARE INC
$11.4M
VMIVALMONT INDUSTRIES
$11.4M
ESNTESSENT GROUP LTD
$11.4M
CITUSDCIT GROUP INC
$11.4M
CLHCLEAN HARBORS INC
$11.4M
STERLING BANCORP DEL
$11.4M
DISCAUSDDISCOVERY COMMUNICATIONS A
$11.3M
IDAIDACORP INC
$11.3M
ASGNASGN INC
$11.3M
APY1EURCHAMPIONX CORPORATION
$11.3M
TNLTRAVEL PLUS LEISURE CO
$11.3M
IARTINTEGRA LIFESCIENCES HOLDING
$11.2M
CYBRCYBERARK SOFTWARE LTD
$11.2M
RYNRAYONIER INC
$11.2M
CWCURTISS WRIGHT CORP
$11.2M
QTWOQ2 HLDGS INC
$11.1M
HIWHIGHWOODS PROPERTIES INC
$11.1M
ASHASHLAND GLOBAL HLDGS INC
$11.1M
SIGISELECTIVE INSURANCE GROUP
$11.1M
S9QSPIRIT AEROSYSTEMS HOLD
$11.1M
TGTXTG THERAPEUTICS INC
$11.0M
PWIPOWER INTEGRATIONS INC
$11.0M
HFCUSDHOLLYFRONTIER CORP
$11.0M
WSCWILLSCOT MOBIL MINI HLDNG CO
$11.0M
WCCWESCO INTERNATIONAL INC
$11.0M
RBCRBC BEARINGS INC
$11.0M
QDELUSDQUIDEL CORP
$11.0M
KRNTKORNIT DIGITAL LTD
$10.9M
THGHANOVER INSURANCE GROUP INC/
$10.9M
FEYECHFFIREEYE INC
$10.9M
PKPARK HOTELS RESORTS INC
$10.9M
PACWUSDPACWEST BANCORP
$10.8M
MTGMGIC INVESTMENT CORP
$10.8M
SSDSIMPSON MANUFACTURING CO INC
$10.8M
CR1USDCRANE CO
$10.8M
ENSGENSIGN GROUP INC/THE
$10.8M
IRDMIRIDIUM COMMUNICATIONS INC
$10.8M
WBSWEBSTER FINANCIAL CORP
$10.8M
JBLUJETBLUE AIRWAYS CORP
$10.8M
RITMNEW RESIDENTIAL INVT CORP
$10.8M
VRMUSDVROOM INC
$10.7M
CRICARTER S INC
$10.7M
WINGWINGSTOP INC
$10.6M
LBTYBLIBERTY GLOBAL PLC
$10.6M
FCNFTI CONSULTING INC
$10.5M
LAZLAZARD LTD
$10.5M
BVNCOMPANIA DE MINAS BUENAVENTU
$10.5M
UI2KEMPER CORP
$10.5M
PSTGPURE STORAGE INC
$10.5M
BHVNBIOHAVEN PHARMACTL HLDG CO L
$10.5M
FLOFLOWERS FOODS INC
$10.4M
HCQAMN HEALTHCARE SERVICES INC
$10.4M
NEONEOGENOMICS INC
$10.4M
1GSNNOVANTA INC
$10.4M
RPDRAPID7 INC
$10.4M
CDNACAREDX INC
$10.4M
ALAIR LEASE CORP
$10.4M
EXPOEXPONENT INC
$10.3M
EVBGEUREVERBRIDGE INC
$10.3M
NFGNATIONAL FUEL GAS CO
$10.3M
HEHAWAIIAN ELECTRIC INDS
$10.3M
RDNRADIAN GROUP INC
$10.3M
AYXEURALTERYX INC
$10.2M
WKWORKIVA INC
$10.2M
UBSIUNITED BANKSHARES INC
$10.2M
SAILEURSAILPOINT TECHNLGIES HLDGS I
$10.2M
AZEKAZEK CO INC
$10.2M
UFPIUFP INDUSTRIES INC
$10.2M
BXMTBLACKSTONE MTG TR INC
$10.1M
AVNTAVIENT CORPORATION
$10.1M
WF2WINTRUST FINANCIAL CORP
$10.1M
ADNTADIENT PLC
$10.0M
IIPRINNOVATIVE INDL PPTYS INC
$10.0M
HRBH R BLOCK INC
$10.0M
JBTJOHN BEAN TECHNOLOGIES CORP
$10.0M
TGNATEGNA INC
$10.0M
IQIQIYI INC
$9.9M
PORPORTLAND GENERAL ELECTRIC CO
$9.9M
CACCCREDIT ACCEPTANCE CORP
$9.9M
SMTCSEMTECH CORP
$9.9M
NEOGNEOGEN CORP
$9.9M
ALSNALLISON TRANSMISSION HOLDING
$9.9M
CCMPCMC MATERIALS INC
$9.9M
DDD3D SYSTEMS CORP
$9.9M
ADCAGREE REALTY CORP
$9.9M
LPROOPEN LENDING CORP
$9.9M
AEISADVANCED ENERGY INDUSTRIES
$9.9M
NOMDNOMAD FOODS LTD
$9.9M
TRNOTERRENO REALTY CORP
$9.8M
ITRIITRON INC
$9.8M
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