NEW YORK STATE COMMON RETIREMENT FUND Q3 2020 Filing

Filed November 5, 2020

Portfolio Value

$81.8M

Holdings

3,225

Report Date

Q3 2020

Filing Type

13F-HR

All Holdings (3,225 positions)

StockValue
FFINFIRST FINL BANKSHARES INC
$4.2M
HHC*HOWARD HUGHES CORP/THE
$4.2M
NEWREURNEW RELIC INC
$4.2M
AQUAUSDEVOQUA WATER TECHNOLOGIES
$4.2M
PLURALSIGHT INC
$4.1M
NKTREURNEKTAR THERAPEUTICS
$4.1M
SAILEURSAILPOINT TECHNOLOGIES HO
$4.1M
AFYAAFYA LTD - CLASS A
$4.1M
PLUNPLUG POWER INC
$4.1M
HFCUSDHOLLYFRONTIER CORP
$4.1M
HQYHEALTHEQUITY INC
$4.1M
RBCRBC BEARINGS INC
$4.1M
TRGPTARGA RESOURCES CORP
$4.1M
MRO*MARATHON OIL CORPORATION
$4.1M
CNACNA FINANCIAL CORP
$4.1M
WPX ENERGY INC
$4.1M
LM03LIBERTY SIRIUSXM GROUP- A
$4.1M
MMSMAXIMUS INC
$4.1M
CGTHE CARLYLE GROUP INC
$4.1M
PBVPRESTIGE CONSUMER HEALTH
$4.1M
UEOWESTLAKE CHEMICAL CORP
$4.1M
GENMARK DIAGNOSTICS INC
$4.0M
LSPDEURLIGHTSPEED POS INC
$4.0M
ROCKGIBRALTER INDUSTRIES INC
$4.0M
MEDPMEDPACE HOLDINGS INC
$4.0M
UIUBIQUITI INC
$4.0M
CAKECHEESECAKE FACTORY (THE)
$4.0M
ARNAEURARENA PHARMACEUTICALS INC
$4.0M
IM8NINSMED INC
$4.0M
CRNCCERENCE INC
$4.0M
A3IAMERISAFE INC
$4.0M
OMCLOMNICELL INC
$4.0M
CPACOPA HLDGS SA - CL A
$4.0M
OUTOUTFRONT MEDIA INC
$3.9M
CHENIERE ENERGY INC
$3.9M
MERITOR INC
$3.9M
ENSGENSIGN GROUP INC/THE
$3.9M
WERNWERNER ENTERPRISES INC
$3.9M
PCRXPACIRA BIOSCIENCES INC
$3.9M
CYRXCRYOPORT INC
$3.9M
INTERDIGITAL INC
$3.9M
NVTNVENT ELECTRIC PLC
$3.9M
SPBSPECTRUM BRANDS HLDGS INC
$3.9M
HAINHAIN CELESTIAL GROUP INC
$3.9M
NUSNU SKIN ENTERPRISES INC
$3.9M
CSGSCSG SYSTEMS INTL INC
$3.9M
VMIVALMONT INDUSTRIES INC
$3.8M
JBLUJETBLUE AIRWAYS CORP
$3.8M
ALKSALKERMES PLC
$3.8M
8X8 INC
$3.8M
MARRIOTT VACATIONS WORLD
$3.8M
MBTGBPMOBILE TELESYSTEMS-SP ADR
$3.8M
HRUSDHEALTHCARE REALTY TRUST
$3.8M
EHTHE HEALTH INC
$3.7M
FEYECHFFIREEYE INC
$3.7M
EXPOEXPONENT INC
$3.7M
BHFBRIGHTHOUSE FINANCIAL INC
$3.7M
BHVNBIOHAVEN PHARM HLDG CO
$3.7M
BEPCBROOKFIELD RENEWABLE
$3.7M
INTERCEPT PHARMAS
$3.7M
BKHBLACK HILLS CORPORATION
$3.7M
OZKBANK OZK
$3.7M
FULTFULTON FINANCIAL CORP
$3.6M
OMFONEMAIN HOLDINGS INC
$3.6M
COLMCOLUMBIA SPORTSWEAR COMPA
$3.6M
KTOSKRATOS DEFENSE & SECURITY
$3.6M
$3.6M
FNBF N B CORP
$3.6M
UMPQUSDUMPQUA HOLDINGS CORP
$3.6M
STERLING BANCORP
$3.6M
CR1USDCRANE COMPANY
$3.6M
WEINGARTEN REALTY INVESTR
$3.6M
CLBCORE LABORATORIES NV
$3.6M
MOMOUSDMOMO INC - SPONS ADR
$3.6M
STAYUSDEXTENDED STAY AMERICA INC
$3.6M
APLEAPPLE HOSPITALITY REIT IN
$3.5M
WRIGHT MEDICAL GROUP NV
$3.5M
MDMEDNAX INC
$3.5M
KBHKB HOME
$3.5M
MUSAMURPHY USA INC
$3.5M
UAAUNDER ARMOUR INC - CL A
$3.5M
BXMTBLACKSTONE MORTGAGE TRU-C
$3.5M
BFHALLIANCE DATA SYSTEMS
$3.5M
RETAEURREATA PHARMACEUTICALS INC
$3.5M
PLURALSIGHT INC - CL A
$3.4M
KTK T CORP-SP ADR
$3.4M
GBCIGLACIER BANCORP INC
$3.4M
SFMSPROUTS FARMERS MKT INC
$3.4M
RUSHARUSH ENTERPRISES INC CL A
$3.4M
CDNACAREDX INC
$3.4M
MTRNMATERION CORP
$3.4M
AM6AMICUS THERAPEUTICS INC
$3.4M
JXC1J2 GLOBAL INC
$3.4M
EPREPR PROPERTIES
$3.3M
BMC STOCK HOLDINGS INC
$3.3M
TMETENCENT MUSIC ENT
$3.3M
RLJRLJ LODGING TRUST
$3.3M
CARSCARS.COM
$3.3M
VTYVERINT SYSTEMS INC
$3.3M
PACIRA PHARMACEUTICALS IN
$3.3M
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