PUBLIC EMPLOYEES RETIREMENT SYSTEM OF OHIO Q2 2023 Filing

Filed August 15, 2023

Portfolio Value

$23.4B

Holdings

1,987

Report Date

Q2 2023

Filing Type

13F-HR

All Holdings (1,987 positions)

StockValue
LPGDorian Lpg Ltd
$1.0M
Necessity Retail Reit I
$1.0M
AJRDEURAerojet Rocketdyne Hold
$1.0M
ZGZillow Group Inc - A
$1.0M
MSGSMadison Square Garden S
$1.0M
CRCrane Co
$1.0M
PAGPenske Automotive Group
$1.0M
NWSNews Corp - Class B
$1.0M
PDMPiedmont Office Realty
$1.0M
AMEDAmedisys Inc
$1.0M
RAMPLiveramp Holdings Inc
$1.0M
AATAmerican Assets Trust I
$1.0M
AYXEURAlteryx Inc - Class A
$1.0M
RYIRyerson Holding Corp
$1.0M
SIRIEURSirius Xm Holdings Inc
$1.0M
AWNAdvance Auto Parts Inc
$1.0M
DCHAmerican Axle & Mfg Hol
$1.0M
ALGMAllegro Microsystems In
$1.0M
S9QSpirit Aerosystems Hold
$1.0M
PQ3Provident Financial Ser
$1.0M
AWIArmstrong World Industr
$1.0M
BF/ABrown-Forman Corp-Class
$1.0M
LAZLazard Ltd-Cl A
$1.0M
RRyder System Inc
$1.0M
LTCLtc Properties Inc
$1.0M
VYXNcr Corporation
$1.0M
8DTSquarespace Inc - Class
$1.0M
CXTCrane Nxt Co
$1.0M
CABOCable One Inc
$1.0M
AMCAmc Entertainment Hlds-
$1.0M
7SUSummit Materials Inc -C
$1.0M
WENWendy'S Co/The
$1.0M
PSNParsons Corp
$1.0M
CUBICustomers Bancorp Inc
$1.0M
SMGScotts Miracle-Gro Co
$1.0M
HPOService Properties Trus
$1.0M
ASBAssociated Banc-Corp
$1.0M
OGSOne Gas Inc
$1.0M
SSBUSDSouthstate Corp
$1.0M
TCBITexas Capital Bancshare
$1.0M
CRNCCerence Inc
$1.0M
CRCCalifornia Resources Co
$1.0M
HEHawaiian Electric Inds
$1.0M
SCHN1EURSchnitzer Steel Inds In
$1.0M
TNLTravel Leisure Co
$1.0M
4DHDana Inc
$1.0M
RUNSunrun Inc
$1.0M
6PMParamount Group Inc
$998K
TRNTrinity Industries Inc
$997K
CERTCertara Inc
$984K
PEGAPegasystems Inc
$954K
UMBFUmb Financial Corp
$951K
INNSummit Hotel Properties
$948K
PTCTPtc Therapeutics Inc
$941K
TGNATegna Inc
$926K
CVLGCovenant Logistics Grou
$917K
ANFAbercrombie & Fitch Co-
$916K
SNDRSchneider National Inc-
$913K
Avid Technology Inc
$896K
INFA1EURInformatica Inc - Class
$883K
ADEAAdeia Inc
$881K
JELDJeld-Wen Holding Inc
$879K
DHCDiversified Healthcare
$878K
TPGTpg Inc
$869K
TRIPTripadvisor Inc
$861K
NRIXNurix Therapeutics Inc
$859K
TVTXTravere Therapeutics In
$857K
Diversey Holdings Ltd
$856K
SHCSotera Health Co
$842K
LENLennar Corp - B Shs
$841K
CLDTChatham Lodging Trust
$839K
GDOTGreen Dot Corp-Class A
$830K
DNLIDenali Therapeutics Inc
$827K
EIGEmployers Holdings Inc
$817K
SXCSuncoke Energy Inc
$810K
GPROGopro Inc-Class A
$805K
UHTUniversal Health Rlty I
$803K
PRIMPrimoris Services Corp
$802K
NWNNorthwest Natural Holdi
$796K
PRLBProto Labs Inc
$793K
ANDEAndersons Inc/The
$787K
NFENew Fortress Energy Inc
$785K
GAPGap Inc/The
$785K
NVRIEnviri Corp
$770K
AGIOAgios Pharmaceuticals I
$765K
Reliance Worldwide Corp
$762K
DRVNDriven Brands Holdings
$761K
GTESGates Industrial Corp P
$756K
GMREUSDGlobal Medical Reit Inc
$747K
HPPHudson Pacific Properti
$747K
MRTXEURMirati Therapeutics Inc
$746K
CUKCarnival Plc
$739K
DISHDish Network Corp-A
$738K
BURBurford Capital Ltd
$734K
LM05Liberty Media Corp-Libe
$733K
BCBEURPrimo Water Corp
$731K
EBSEmergent Biosolutions I
$728K
VIRTVirtu Financial Inc-Cla
$722K
TNDMTandem Diabetes Care In
$715K
ONCBeigene Ltd
$715K
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