PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO Q3 2021 Filing
Filed November 15, 2021
Portfolio Value
$28.1B
Holdings
1,988
Report Date
Q3 2021
Filing Type
13F-HR
All Holdings (1,988 positions)
| Stock | Value |
|---|---|
—American Finance Trust | $1.0M |
FDPFresh Del Monte Produce | $997K |
AGLAgilon Health Inc | $996K |
MCHBHomestreet Inc | $989K |
GNKGenco Shipping & Tradin | $989K |
PINGUSDPing Identity Holding C | $988K |
PRAProassurance Corp | $979K |
SKYWSkywest Inc | $975K |
PPCPilgrim'S Pride Corp | $968K |
CLWClearwater Paper Corp | $966K |
ANDEAndersons Inc/The | $957K |
37MMrc Global Inc | $954K |
DNOWNow Inc | $951K |
CMTLComtech Telecommunicati | $939K |
MCYMercury General Corp | $936K |
ACCOAcco Brands Corp | $930K |
PRIMPrimoris Services Corp | $919K |
AMZNAmazon.Com Inc | $916K |
GMREUSDGlobal Medical Reit Inc | $888K |
UISUnisys Corp | $886K |
AIC3.Ai Inc-A | $885K |
VRSUSDVerso Corp - A | $884K |
GOSSGossamer Bio Inc | $884K |
BURBurford Capital Ltd | $881K |
CNGOCengage Learning Holdin | $880K |
TG7Triumph Group Inc | $879K |
BHCBausch Health Cos Inc | $877K |
DRVNDriven Brands Holdings | $867K |
GTESGates Industrial Corp P | $864K |
NRIXNurix Therapeutics Inc | $863K |
INSWInternational Seaways I | $863K |
—Inovalon Holdings Inc - | $846K |
OISOil States Internationa | $846K |
—Mcafee Corp - Class A | $841K |
TPCTutor Perini Corp | $837K |
ADUs Cellular Corp | $830K |
FIXXEURHomology Medicines Inc | $830K |
REYNReynolds Consumer Produ | $829K |
SNDRSchneider National Inc- | $819K |
—Blucora Inc | $816K |
ADTAdt Inc | $812K |
BANCBanc Of California Inc | $792K |
—Qad Inc-A | $787K |
FIGSFigs Inc-Class A | $785K |
CCXIEURChemocentryx Inc | $781K |
TCBKTrico Bancshares | $771K |
GPORGulfport Energy Corp | $769K |
OCFCOceanfirst Financial Co | $762K |
FW2NBanner Corporation | $750K |
GCOGenesco Inc | $748K |
CNACna Financial Corp | $745K |
CPSCooper-Standard Holding | $726K |
SMSm Energy Co | $724K |
ALGMAllegro Microsystems In | $716K |
FREQFrequency Therapeutics | $711K |
UHTUniversal Health Rlty I | $709K |
51AAmerican Public Educati | $705K |
NXQuanex Building Product | $703K |
WNCWabash National Corp | $692K |
TSPHTusimple Holdings Inc - | $690K |
—Cornerstone Ondemand In | $687K |
FSPFranklin Street Propert | $686K |
LHCGUSDLhc Group Inc | $682K |
LENLennar Corp - B Shs | $678K |
—Diversified Energy Co P | $678K |
LM05Liberty Media Corp-Libe | $674K |
VVXVectrus Inc | $671K |
CLDTChatham Lodging Trust | $667K |
ESPREsperion Therapeutics I | $667K |
—Neophotonics Corp | $656K |
NGMUSDNgm Biopharmaceuticals | $652K |
WOOFPetco Health And Wellne | $652K |
AMCAmc Entertainment Hlds- | $650K |
JXC1Ziff Davis Inc | $649K |
FLXNFlexion Therapeutics In | $636K |
SGFYGBPSignify Health Inc -Cla | $629K |
BBTBerkshire Hills Bancorp | $627K |
ARVNArvinas Inc | $625K |
HAFCHanmi Financial Corpora | $624K |
SAIASaia Inc | $623K |
INOInovio Pharmaceuticals | $605K |
—Corepoint Lodging Inc | $599K |
PRDOPerdoceo Education Corp | $594K |
—Del Taco Restaurants In | $592K |
SMCIUSDSuper Micro Computer In | $586K |
SRGSeritage Growth Prop- A | $579K |
ATROAstronics Corp | $578K |
SEBSeaboard Corp | $574K |
QCRHQcr Holdings Inc | $570K |
HYHyster-Yale Materials | $557K |
OMCLOmnicell Inc | $552K |
GOOGLAlphabet Inc-Cl A | $545K |
AELUSDAmerican Equity Invt Li | $543K |
SNAPSnap Inc - A | $533K |
—Hexion Holdings Corp - | $530K |
LPGDorian Lpg Ltd | $524K |
TFSLTfs Financial Corp | $524K |
1S4Harborone Bancorp Inc | $517K |
KELYAKelly Services Inc -A | $512K |
CNMCore & Main Inc-Class A | $512K |