PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO Q1 2021 Filing
Filed May 14, 2021
Portfolio Value
$25.2B
Holdings
1,974
Report Date
Q1 2021
Filing Type
13F-HR
All Holdings (1,974 positions)
| Stock | Value |
|---|---|
CLWClearwater Paper Corp | $929K |
—Kraton Corp | $927K |
BHCBausch Health Cos Inc | $924K |
SXCSuncoke Energy Inc | $922K |
ATRAGBXAtara Biotherapeutics I | $916K |
TILEInterface Inc | $913K |
ASIXAdvansix Inc | $912K |
—Neophotonics Corp | $906K |
ACCOAcco Brands Corp | $903K |
ATGEAdtalem Global Educatio | $900K |
DARDarling Ingredients Inc | $900K |
LGF/BEURLions Gate Entertainmen | $896K |
NRIXNurix Therapeutics Inc | $895K |
SNDRSchneider National Inc- | $890K |
ADTNEURAdtran Inc | $883K |
ADTAdt Inc | $881K |
NSPInsperity Inc | $880K |
INSWInternational Seaways I | $868K |
NXQuanex Building Product | $866K |
AMZNAmazon.Com Inc | $859K |
FSPFranklin Street Propert | $858K |
SPHRMadison Square Garden E | $843K |
TCBKTrico Bancshares | $841K |
BURBurford Capital Ltd | $828K |
EIGEmployers Holdings Inc | $825K |
PARRPar Pacific Holdings In | $822K |
ANDEAndersons Inc/The | $821K |
SRGSeritage Growth Prop- A | $812K |
BEPCBrookfield Renewable Co | $807K |
ATROAstronics Corp | $801K |
—Mts Systems Corp | $788K |
CLDTChatham Lodging Trust | $786K |
INOInovio Pharmaceuticals | $784K |
JAMFJamf Holding Corp | $780K |
REYNReynolds Consumer Produ | $775K |
SWCHEURSwitch Inc - A | $762K |
CNACna Financial Corp | $761K |
TBBKBancorp Inc/The | $747K |
VRTVEURVeritiv Corp | $740K |
WNCWabash National Corp | $740K |
HSIHeidrick & Struggles In | $725K |
LHCGUSDLhc Group Inc | $724K |
TXRHTexas Roadhouse Inc | $719K |
FW2NBanner Corporation | $715K |
VVXVectrus Inc | $712K |
SATSEchostar Corp-A | $701K |
KELYAKelly Services Inc -A | $690K |
LENLennar Corp - B Shs | $686K |
—Del Taco Restaurants In | $678K |
BLIUSDBerkeley Lights Inc | $663K |
GOSSGossamer Bio Inc | $651K |
RADEURRite Aid Corp | $648K |
—Hexion Holdings Corp - | $640K |
KBALUSDKimball International-B | $629K |
ALGMAllegro Microsystems In | $625K |
WOOFPetco Health And Wellne | $619K |
SAIASaia Inc | $619K |
CERTCertara Inc | $611K |
51AAmerican Public Educati | $605K |
MESAMesa Air Group Inc | $603K |
HAFCHanmi Financial Corpora | $602K |
7S3Us Xpress Enterprises I | $599K |
AOSLAlpha & Omega Semicondu | $595K |
HCIHci Group Inc | $593K |
UFIUnifi Inc | $587K |
SMCIUSDSuper Micro Computer In | $584K |
STARIstar Inc | $582K |
JXC1J2 Global Inc | $574K |
RYIRyerson Holding Corp | $571K |
BLDRBuilders Firstsource In | $567K |
GTESGates Industrial Corp P | $566K |
—Diversified Energy Co P | $565K |
CNGOCengage Learning Holdin | $560K |
AELUSDAmerican Equity Invt Li | $559K |
LPGDorian Lpg Ltd | $555K |
—New Senior Investment G | $548K |
OISOil States Internationa | $547K |
AIC3.Ai Inc-A | $545K |
SPRYSilverback Therapeutics | $545K |
CRCCalifornia Resources Co | $540K |
UFCSUnited Fire Group Inc | $535K |
AMWLAmerican Well Corp-Clas | $529K |
TFSLTfs Financial Corp | $528K |
ACHOwens & Minor Inc | $528K |
HTEURHersha Hospitality Trus | $527K |
LGFEURLions Gate Entertainmen | $526K |
QCRHQcr Holdings Inc | $523K |
ANFAbercrombie & Fitch Co- | $523K |
MTUSTimkensteel Corp | $522K |
LM05Liberty Media Corp-Libe | $520K |
OFIXOrthofix Medical Inc | $511K |
CLFCleveland-Cliffs Inc | $506K |
CTBICommunity Trust Bancorp | $504K |
ARVNArvinas Inc | $503K |
SEBSeaboard Corp | $498K |
5TCTruecar Inc | $497K |
DRVNDriven Brands Holdings | $496K |
ARLOArlo Technologies Inc | $495K |
GNKGenco Shipping & Tradin | $495K |
CZRCaesars Entertainment I | $491K |