State of Tennessee, Department of Treasury Q4 2022 Filing

Filed February 15, 2023

Portfolio Value

$20.2B

Holdings

1,624

Report Date

Q4 2022

Filing Type

13F-HR

All Holdings (1,624 positions)

StockValue
NARIUSDInari Medical Inc
$1.0M
PLXSPlexus Corp
$1.0M
XRAYDENTSPLY SIRONA Inc
$1.0M
MASMasco Corp
$1.0M
MTCHMatch Group Inc
$1.0M
RUNSunrun Inc
$1.0M
PNRPentair PLC
$1.0M
MSMMSC Industrial Direct Co Inc
$1.0M
ADNTAdient PLC
$1.0M
CHRWCH Robinson Worldwide Inc
$1.0M
MANManpowerGroup Inc
$1.0M
HXLHexcel Corp
$1.0M
STXSeagate Technology Holdings PL
$1.0M
AEMAgnico Eagle Mines Ltd
$1.0M
BCOBrink's Co/The
$1.0M
AGOAssured Guaranty Ltd
$1.0M
HELEHelen of Troy Ltd
$1.0M
IAA-WUSDIAA Inc
$1.0M
TFXTeleflex Inc
$1.0M
SEMSelect Medical Holdings Corp
$1.0M
CMCCommercial Metals Co
$1.0M
BBWIBath & Body Works Inc
$1.0M
IVZInvesco Ltd
$1.0M
LITELumentum Holdings Inc
$1.0M
CECelanese Corp
$1.0M
PTCPTC Inc
$1.0M
FLSFlowserve Corp
$1.0M
KSSKohl's Corp
$1.0M
GNTXGentex Corp
$1.0M
TDOCTeladoc Health Inc
$1.0M
FFIVF5 Inc
$1.0M
Logitech International SA
$1.0M
TQJSignature Bank/New York NY
$1.0M
MTDRMatador Resources Co
$1.0M
HRLHormel Foods Corp
$1.0M
BF/BBrown-Forman Corp
$1.0M
WERNWerner Enterprises Inc
$1.0M
AIZAssurant Inc
$1.0M
4DHDana Inc
$1.0M
W3UWestern Union Co/The
$1.0M
KMXCarMax Inc
$1.0M
PRGOPerrigo Co PLC
$1.0M
TDCXTDCX Inc
$1.0M
CCLCarnival Corp
$1.0M
CRLCharles River Laboratories Int
$1.0M
1GSNNovanta Inc
$1.0M
RCLRoyal Caribbean Cruises Ltd
$1.0M
CCChemours Co/The
$1.0M
CNMDCONMED Corp
$1.0M
AVNTAvient Corp
$1.0M
SRCLStericycle Inc
$1.0M
TECHBio-Techne Corp
$1.0M
AALAmerican Airlines Group Inc
$1.0M
VETVermilion Energy Inc
$1.0M
DAYCeridian HCM Holding Inc
$1.0M
STAASTAAR Surgical Co
$1.0M
LYVLive Nation Entertainment Inc
$1.0M
OGSONE Gas Inc
$1.0M
BROBrown & Brown Inc
$1.0M
HNMOrmat Technologies Inc
$1.0M
AWNAdvance Auto Parts Inc
$1.0M
WHRWhirlpool Corp
$1.0M
VACMarriott Vacations Worldwide C
$1.0M
SRSpire Inc
$1.0M
SPWRQSunPower Corp
$1.0M
UTZUtz Brands Inc
$1.0M
QRVOQorvo Inc
$1.0M
DXCDXC Technology Co
$1.0M
AMKRAmkor Technology Inc
$1.0M
ATDATI Inc
$1.0M
JWNUSDNordstrom Inc
$1.0M
PNWPinnacle West Capital Corp
$1.0M
MMSMaximus Inc
$1.0M
HSTHost Hotels & Resorts Inc
$1.0M
COSCNO Financial Group Inc
$1.0M
SWKStanley Black & Decker Inc
$1.0M
BENFranklin Resources Inc
$1.0M
NVSTEnvista Holdings Corp
$1.0M
HASHasbro Inc
$1.0M
NTAPNetApp Inc
$1.0M
NEUNewMarket Corp
$1.0M
OGNOrganon & Co
$1.0M
GOGrocery Outlet Holding Corp
$1.0M
0VVBParamount Global
$1.0M
SESea Ltd
$1.0M
AAONAAON Inc
$1.0M
WENWendy's Co/The
$1.0M
NSANational Storage Affiliates Tr
$1.0M
BRBRBellRing Brands Inc
$1.0M
CPBCampbell Soup Co
$1.0M
PEBPebblebrook Hotel Trust
$1.0M
AYIAcuity Brands Inc
$1.0M
VFCVF Corp
$1.0M
HSICHenry Schein Inc
$1.0M
NWSANews Corp
$1.0M
VMIValmont Industries Inc
$1.0M
ENSEnerSys
$1.0M
CLHClean Harbors Inc
$1.0M
POOLPool Corp
$1.0M
TTEKTetra Tech Inc
$1.0M
PreviousPage 11 of 17Next