SO

STRS Ohio Portfolio holdings

AUM $26.8B
1-Year Return 24.25%
This Quarter Return
+14.69%
1 Year Return
+24.25%
3 Year Return
+105.97%
5 Year Return
+185.64%
10 Year Return
+428.63%
AUM
$26.8B
AUM Growth
+$2.91B
Cap. Flow
+$476M
Cap. Flow %
1.78%
Top 10 Hldgs %
30.26%
Holding
2,338
New
416
Increased
946
Reduced
559
Closed
143

Sector Composition

1 Technology 31.26%
2 Financials 14.66%
3 Consumer Discretionary 9.76%
4 Communication Services 9.36%
5 Healthcare 8.67%
Name Market Value Portfolio Weight Shares or Principal Shares
Change %
Capital Flow
STHO icon
2226
Star Holdings Shares of Beneficial Interest
STHO
$114M
-2,477
Closed -$21.1K
STRO icon
2227
Sutro Biopharma
STRO
$86.5M
-152,800
Closed -$99.4K
SWTX
2228
DELISTED
SpringWorks Therapeutics
SWTX
-21,700
Closed -$958K
TRN icon
2229
Trinity Industries
TRN
$2.31B
-900
Closed -$25.3K
ACRV icon
2230
Acrivon Therapeutics
ACRV
$40.9M
-800
Closed -$1.62K
ADUS icon
2231
Addus HomeCare
ADUS
$2.06B
-6,600
Closed -$653K
AGEN
2232
Agenus
AGEN
$137M
-142,516
Closed -$214K
ALKT icon
2233
Alkami Technology
ALKT
$2.6B
-22,600
Closed -$593K
ALXO icon
2234
ALX Oncology
ALXO
$57.8M
-4,100
Closed -$2.55K
AMPY icon
2235
Amplify Energy
AMPY
$161M
-9,700
Closed -$36.3K
ARCT icon
2236
Arcturus Therapeutics
ARCT
$455M
-8,400
Closed -$89K
BUSE icon
2237
First Busey Corp
BUSE
$2.21B
-21,300
Closed -$460K
BBBY
2238
Bed Bath & Beyond, Inc.
BBBY
$503M
-26,100
Closed -$151K
BYRN icon
2239
Byrna Technologies
BYRN
$430M
-6,700
Closed -$113K
CCOI icon
2240
Cogent Communications
CCOI
$1.8B
-1,700
Closed -$104K
CDNA icon
2241
CareDx
CDNA
$697M
-26,000
Closed -$462K
CHGG icon
2242
Chegg
CHGG
$181M
-87,800
Closed -$56.1K
CLFD icon
2243
Clearfield
CLFD
$456M
-4,400
Closed -$131K
COOK icon
2244
Traeger
COOK
$190M
-400,000
Closed -$672K
CRD.A icon
2245
Crawford & Co Class A
CRD.A
$546M
-2,800
Closed -$32K
CVGI icon
2246
Commercial Vehicle Group
CVGI
$61.8M
-169,800
Closed -$195K
DESP
2247
DELISTED
Despegar.com
DESP
-36,400
Closed -$684K
DFS
2248
DELISTED
Discover Financial Services
DFS
-7,089
Closed -$1.21M
DLHC icon
2249
DLH Holdings
DLHC
$85.7M
-45,600
Closed -$185K
EBF icon
2250
Ennis
EBF
$479M
-25,900
Closed -$520K