State of New Jersey Common Pension Fund D Q3 2021 Filing

Filed October 27, 2021

Portfolio Value

$32.3B

Holdings

1,728

Report Date

Q3 2021

Filing Type

13F-HR

All Holdings (1,728 positions)

StockValue
VYXNCR CORP NEW
$3.1M
SYBTSTOCK YDS BANCORP INC
$3.1M
WKWORKIVA INC
$3.1M
WHDCACTUS INC
$3.1M
AMEDAMEDISYS INC
$3.1M
SILKSILK RD MED INC
$3.1M
WSFSWSFS FINL CORP
$3.1M
VSCOVICTORIAS SECRET AND CO
$3.1M
TGNATEGNA INC
$3.1M
S9QSPIRIT AEROSYSTEMS HLDGS INC
$3.0M
SABRSABRE CORP
$3.0M
OVEROVERSTOCK COM INC DEL
$3.0M
PRKSSEAWORLD ENTMT INC
$3.0M
SYU1SYNOVUS FINL CORP
$3.0M
STERLING BANCORP DEL
$3.0M
UNMUNUM GROUP
$3.0M
IIPRINNOVATIVE INDL PPTYS INC
$3.0M
MGNIMAGNITE INC
$3.0M
BYDBOYD GAMING CORP
$3.0M
CALXCALIX INC
$3.0M
WBSWEBSTER FINL CORP CONN
$3.0M
RHPRYMAN HOSPITALITY PPTYS INC
$3.0M
R1 RCM INC
$3.0M
CUBICUSTOMERS BANCORP INC
$3.0M
RLRALPH LAUREN CORP
$3.0M
PACBPACIFIC BIOSCIENCES CALIF IN
$3.0M
TENBTENABLE HLDGS INC
$3.0M
RRXREGAL BELOIT CORP
$3.0M
SAICSCIENCE APPLICATIONS INTL CO
$3.0M
ASOACADEMY SPORTS & OUTDOORS IN
$3.0M
DENEURDENBURY INC
$3.0M
PACWUSDPACWEST BANCORP DEL
$3.0M
K6BKBR INC
$3.0M
NMRKNEWMARK GROUP INC
$3.0M
CMCOCOLUMBUS MCKINNON CORP N Y
$3.0M
MTSIMACOM TECH SOLUTIONS HLDGS I
$3.0M
PINCPREMIER INC
$3.0M
CAKECHEESECAKE FACTORY INC
$3.0M
ENOVCOLFAX CORP
$3.0M
SUPNSUPERNUS PHARMACEUTICALS INC
$3.0M
ADPTADAPTIVE BIOTECHNOLOGIES COR
$3.0M
AMRSEURAMYRIS INC
$3.0M
RRYDER SYS INC
$3.0M
SLMSLM CORP
$3.0M
HPHELMERICH & PAYNE INC
$3.0M
CDKCDK GLOBAL INC
$3.0M
LECOLINCOLN ELEC HLDGS INC
$3.0M
WKCWORLD FUEL SVCS CORP
$3.0M
RDFNREDFIN CORP
$3.0M
SSTKSHUTTERSTOCK INC
$3.0M
BFHALLIANCE DATA SYSTEMS CORP
$3.0M
UEOWESTLAKE CHEM CORP
$3.0M
WIREEURENCORE WIRE CORP
$3.0M
WF2WINTRUST FINL CORP
$3.0M
VLRSCONTROLADORA VUELA COMP DE A
$3.0M
ISBCUSDINVESTORS BANCORP INC NEW
$3.0M
EVREVERCORE INC
$3.0M
EXPEAGLE MATLS INC
$3.0M
INGRINGREDION INC
$3.0M
SEMSELECT MED HLDGS CORP
$3.0M
VICRVICOR CORP
$2.9M
HXLHEXCEL CORP NEW
$2.9M
CHNGUSDCHANGE HEALTHCARE INC
$2.9M
NATINATIONAL INSTRS CORP
$2.9M
NBHCNATIONAL BK HLDGS CORP
$2.9M
IBKRINTERACTIVE BROKERS GROUP IN
$2.9M
PFBCPREFERRED BK LOS ANGELES CA
$2.9M
PRFTUSDPERFICIENT INC
$2.9M
WCCWESCO INTL INC
$2.9M
SIXEURSIX FLAGS ENTMT CORP NEW
$2.9M
VSATVIASAT INC
$2.9M
COLUMBIA PPTY TR INC
$2.9M
LPROOPEN LENDING CORP
$2.9M
MRVIMARAVAI LIFESCIENCES HLDGS I
$2.9M
CWEN/ACLEARWAY ENERGY INC
$2.9M
CHHCHOICE HOTELS INTL INC
$2.9M
TNLTRAVEL PLUS LEISURE CO
$2.9M
HHYATT HOTELS CORP
$2.9M
NYCBEURNEW YORK CMNTY BANCORP INC
$2.9M
ISIIONIS PHARMACEUTICALS INC
$2.9M
SSBUSDSOUTHSTATE CORPORATION
$2.9M
SPAQUSDFISKER INC
$2.9M
THSTREEHOUSE FOODS INC
$2.9M
TCBKTRICO BANCSHARES
$2.9M
MLABMESA LABS INC
$2.9M
IHRTIHEARTMEDIA INC
$2.9M
07WAMR COOPER GROUP INC
$2.9M
BCPCBALCHEM CORP
$2.9M
HOMBHOME BANCSHARES INC
$2.9M
ZLABZAI LAB LTD
$2.9M
SFBSSERVISFIRST BANCSHARES INC
$2.9M
NEOGNEOGEN CORP
$2.9M
BDCBELDEN INC
$2.9M
TLRYEURTILRAY INC
$2.9M
XHRXENIA HOTELS & RESORTS INC
$2.9M
STAASTAAR SURGICAL CO
$2.9M
OPCHOPTION CARE HEALTH INC
$2.9M
SG7SAGE THERAPEUTICS INC
$2.9M
AGIOAGIOS PHARMACEUTICALS INC
$2.9M
NVTNVENT ELECTRIC PLC
$2.9M
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