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New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value 3D SYSTEMS CORP 177,866 7,109,304 3M CO 730,059 145,011,619 8X8 INC 162,885 4,521,688 AAON INC 16,594 1,038,618 AAR CORP 69,072 2,676,540 AARON S CO INC/THE 46,777 1,496,396 ABBOTT LABORATORIES 2,275,778 263,830,944 ABBVIE INC 2,320,271 261,355,325 ABERCROMBIE + FITCH CO CL A 99,508 4,620,156 ABIOMED INC 54,033 16,864,240 ABM INDUSTRIES INC 121,938 5,407,950 ACADIA HEALTHCARE CO INC 55,526 3,484,257 ACADIA REALTY TRUST 159,828 3,509,823 ACCENTURE PLC CL A 832,129 245,303,308 ACI WORLDWIDE INC 140,333 5,211,968 ACRES COMMERCIAL REALTY 80,000 2,000,000 ACTIVISION BLIZZARD INC 891,796 85,113,010 ACUITY BRANDS INC 45,962 8,596,273 ADAPTHEALTH CORP 2,100 57,561 ADDUS HOMECARE CORP 9,210 803,480 ADIENT PLC 85,066 3,844,983 ADOBE INC 611,428 358,076,694 ADTALEM GLOBAL EDUCATION INC 69,107 2,462,973 ADTRAN INC 108,535 2,241,248 ADVANCE AUTO PARTS INC 70,628 14,488,628 ADVANCED ENERGY INDUSTRIES 71,588 8,068,683 1,527,834 143,509,448 ADVANSIX INC 60,150 1,796,079 AECOM 136,212 8,624,944 AEROJET ROCKETDYNE HOLDINGS 104,828 5,062,144 AEROVIRONMENT INC 18,567 1,859,485 AES CORP 854,564 22,278,483 AFFILIATED MANAGERS GROUP 53,358 8,228,337 AFLAC INC 822,313 44,125,316 AGCO CORP 78,897 10,286,591 AGILENT TECHNOLOGIES INC 373,672 55,232,458 AGILYSYS INC 40,475 2,301,813 AGREE REALTY CORP 97,795 6,893,570 AIR PRODUCTS + CHEMICALS INC 238,045 68,480,786 AIRBNB INC CLASS A 2,410 369,067 AKAMAI TECHNOLOGIES INC 189,963 22,149,686 ALAMO GROUP INC 4,582 699,580 ALARM.COM HOLDINGS INC 41,347 3,502,091 ALASKA AIR GROUP INC 137,126 8,270,069 ALBANY INTL CORP CL A 53,675 4,791,031 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value ALBEMARLE CORP 139,538 23,506,571 ALBERTSONS COS INC CLASS A 3,800 74,708 ALEXANDER + BALDWIN INC 154,761 2,835,222 ALEXANDER S INC 200 53,590 ALEXANDRIA REAL ESTATE EQUIT 227,418 41,376,431 ALEXION PHARMACEUTICALS INC 258,438 47,477,645 ALIGN TECHNOLOGY INC 86,939 53,119,729 ALLEGHANY CORP 18,300 12,207,381 ALLEGHENY TECHNOLOGIES INC 183,041 3,816,405 ALLEGIANCE BANCSHARES INC 5,895 226,604 ALLEGIANT TRAVEL CO 21,391 4,149,854 ALLEGION PLC 100,982 14,066,793 ALLETE INC 82,560 5,777,549 ALLIANCE DATA SYSTEMS CORP 62,215 6,482,181 ALLIANT ENERGY CORP 310,529 17,315,097 ALLSCRIPTS HEALTHCARE SOLUTI 255,178 4,723,345 ALLSTATE CORP 408,484 53,282,653 ALPHA + OMEGA SEMICONDUCTOR 1,800 54,702 ALPHABET INC CL A 380,423 928,913,077 ALPHABET INC CL C 370,450 928,466,244 ALTRIA GROUP INC 2,379,667 113,462,523 AMALGAMATED FINANCIAL CORP 1,100 17,193 AMAZON.COM INC 544,192 1,872,107,551 AMBAC FINANCIAL GROUP INC 14,430 225,974 AMC NETWORKS INC A 55,220 3,688,696 AMCOR PLC 1,650,421 18,913,825 AMEDISYS INC 42,237 10,345,108 AMEREN CORPORATION 361,442 28,929,818 AMERICA S CAR MART INC 2,895 410,279 AMERICAN AIRLINES GROUP INC 642,397 13,625,240 AMERICAN ASSETS TRUST INC 26,346 982,442 AMERICAN AXLE + MFG HOLDINGS 141,281 1,462,258 AMERICAN CAMPUS COMMUNITIES 167,800 7,839,616 AMERICAN EAGLE OUTFITTERS 157,988 5,929,290 AMERICAN ELECTRIC POWER 534,742 45,233,826 AMERICAN EQUITY INVT LIFE HL 55,340 1,788,589 AMERICAN EXPRESS CO 765,059 126,410,699 AMERICAN FINANCE TRUST 435,435 11,636,678 AMERICAN FINANCIAL GROUP INC 86,864 10,833,678 AMERICAN HOMES 4 RENT 936,536 24,679,829 AMERICAN HOMES 4 RENT A 149,035 5,790,010 AMERICAN INTERNATIONAL GROUP 1,125,569 53,577,084 AMERICAN PUBLIC EDUCATION 13,623 386,076 AMERICAN STATES WATER CO 72,645 5,779,636 AMERICAN TOWER CORP 603,523 163,035,703 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value AMERICAN VANGUARD CORP 37,161 650,689 AMERICAN WATER WORKS CO INC 194,979 30,052,113 AMERICAN WOODMARK CORP 10,870 887,970 AMERICOLD REALTY TRUST 1,097,213 41,529,512 AMERIPRISE FINANCIAL INC 142,485 35,461,667 AMERIS BANCORP 30,429 1,540,620 AMERISAFE INC 12,408 740,634 AMERISOURCEBERGEN CORP 169,611 19,418,763 AMETEK INC 248,275 33,144,713 AMGEN INC 740,445 180,483,469 AMKOR TECHNOLOGY INC 43,329 1,025,597 AMN HEALTHCARE SERVICES INC 71,042 6,889,653 AMPHASTAR PHARMACEUTICALS IN 20,327 409,792 AMPHENOL CORP CL A 724,234 49,544,848 INC 406,507 69,984,245 ANDERSONS INC/THE 65,715 2,006,279 ANGIODYNAMICS INC 12,038 326,591 ANI PHARMACEUTICALS INC 22,180 777,409 ANIKA THERAPEUTICS INC 15,695 679,437 ANSYS INC 97,489 33,834,532 ANTERO CORP 380,232 3,950,610 CORP 14,300 214,929 ANTHEM INC 372,679 142,288,842 AON PLC CLASS A 245,471 58,608,656 APA CORP 462,468 10,003,183 APARTMENT INCOME REIT CO 1,099,170 52,133,633 APOGEE ENTERPRISES INC 61,065 2,487,177 APOLLO COMMERCIAL REAL ESTAT 135,512 2,161,416 APOLLO GLOBAL MANAGEMENT INC 14,400 895,680 APOLLO MEDICAL HOLDINGS INC 3,401 213,617 APPLE INC 19,965,222 2,734,436,805 APPLIED INDUSTRIAL TECH INC 81,831 7,451,531 APPLIED MATERIALS INC 1,055,629 150,321,570 APPLIED OPTOELECTRONICS INC 23,008 194,878 APTARGROUP INC 62,946 8,865,315 APTIV PLC 326,184 51,318,529 ARBOR REALTY TRUST INC 143,600 3,646,004 ARCBEST CORP 55,130 3,208,015 ARCH CAPITAL GROUP LTD 622,985 24,259,036 ARCHER DANIELS MIDLAND CO 650,474 39,418,724 ARCHROCK INC 175,562 1,564,257 ARCONIC CORP 142,002 5,058,111 ARCOSA INC 96,661 5,677,867 ARGAN INC 1,300 62,127 ARISTA NETWORKS INC 60,192 21,808,164 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value ARLO TECHNOLOGIES INC 146,084 988,989 ARMADA HOFFLER PROPERTIE 463,468 12,402,404 ARMADA HOFFLER PROPERTIES IN 98,538 1,309,570 ARMOUR RESIDENTIAL REIT INC 29,553 337,495 ARROW ELECTRONICS INC 100,997 11,496,489 ARROWHEAD PHARMACEUTICALS IN 119,372 9,886,389 ARTESIAN RESOURCES CORP CL A 700 25,739 ARTHUR J GALLAGHER + CO 175,034 24,518,763 ARTISAN PARTNERS ASSET MA A 4,900 249,018 ASBURY AUTOMOTIVE GROUP 16,628 2,849,540 ASGN INC 77,363 7,498,796 ASHFORD HOSPITALITY TRUS 50,381 1,348,699 ASHLAND GLOBAL HOLDINGS INC 63,140 5,524,750 ASPEN TECHNOLOGY INC 41,446 5,700,483 ASSOCIATED BANC CORP 291,997 5,980,099 ASSURANT INC 69,743 10,892,462 ASSURED GUARANTY LTD 39,095 1,856,231 ASTEC INDUSTRIES INC 52,192 3,284,964 ASTRAZENECA PLC SPONS ADR 105,800 6,337,420 AT+T INC 8,751,155 251,858,241 ATKORE INC 4,000 284,000 ATLANTIC CAPITAL BANCSHARES 1,700 43,282 ATLAS AIR WORLDWIDE HOLDINGS 35,215 2,398,494 ATMOS ENERGY CORP 118,088 11,349,438 ATN INTERNATIONAL INC 14,183 645,185 AUTODESK INC 267,330 78,033,627 AUTOMATIC DATA PROCESSING 467,532 92,861,206 AUTONATION INC 77,607 7,357,920 AUTOZONE INC 27,314 40,758,497 AVALONBAY COMMUNITIES INC 164,863 34,405,259 AVANOS MEDICAL INC 83,140 3,023,802 AVANTOR INC 589,444 20,931,156 AVERY DENNISON CORP 106,397 22,368,905 AVIENT CORP 132,620 6,519,599 AVIS BUDGET GROUP INC 55,200 4,299,528 AVISTA CORP 114,235 4,874,407 AVNET INC 101,390 4,063,711 AXCELIS TECHNOLOGIES INC 10,667 431,160 AXON ENTERPRISE INC 70,557 12,474,478 AXOS FINANCIAL INC 25,421 1,179,280 AXSOME THERAPEUTICS INC 366,472 24,722,201 AZ. BGP HOLDINGS 2,079,459 55,362 AZZ INC 20,467 1,059,781 B. RILEY FINANCIAL INC 9,010 680,255 B+G FOODS INC 83,951 2,753,593 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value BADGER METER INC 13,734 1,347,580 CO 1,515,492 34,659,302 BALCHEM CORP 55,222 7,248,440 BALL CORP 571,497 46,302,687 BANC OF CALIFORNIA INC 13,969 245,016 BANCFIRST CORP 5,937 370,647 BANCORP INC/THE 16,330 375,753 BANCORPSOUTH BANK 151,000 4,277,830 BANK OF AMERICA CORP 9,679,441 399,083,352 BANK OF HAWAII CORP 79,868 6,726,483 BANK OF NEW YORK MELLON CORP 1,045,057 53,538,270 BANK OZK 117,808 4,966,785 BANKUNITED INC 39,588 1,690,012 BANNER CORPORATION 17,467 946,886 BARNES + NOBLE EDUCATION INC 58,548 422,131 BARNES GROUP INC 87,587 4,488,834 BAXTER INTERNATIONAL INC 570,652 45,937,486 BEACON ROOFING SUPPLY INC 335,780 17,880,285 BECTON DICKINSON AND CO 364,863 88,731,033 BED BATH + BEYOND INC 159,440 5,307,758 BEL FUSE INC CL B 25,003 360,043 BELDEN INC 52,333 2,646,480 ELECTRONICS INC 86,742 2,468,677 BERKSHIRE HATHAWAY INC CL B 2,412,663 670,527,301 BERKSHIRE HILLS BANCORP INC 15,977 437,930 BERRY CORP 5,800 38,976 BERRY GLOBAL GROUP INC 11,600 756,552 BEST BUY CO INC 292,385 33,618,427 BIG LOTS INC 54,690 3,610,087 BIO RAD LABORATORIES A 19,912 12,829,102 BIO TECHNE CORP 44,709 20,130,674 BIOGEN INC 197,078 68,242,199 BJ S RESTAURANTS INC 28,924 1,421,325 BJ S WHOLESALE CLUB HOLDINGS 147,935 7,038,747 BLACK HILLS CORP 91,561 6,009,148 BLACKBAUD INC 60,438 4,627,738 BLACKROCK INC 166,156 145,381,515 BLOOMIN BRANDS INC 78,186 2,121,968 BLUCORA INC 111,115 1,923,401 BLUEPRINT MEDICINES CORP 3,200 281,472 BLUEROCK RSDTL GR REIT 74,147 1,901,348 BM TECHNOLOGIES INC 5,016 62,399 BOEING CO/THE 680,730 163,075,679 BOISE CASCADE CO 34,108 1,990,202 BOK FINANCIAL CORPORATION 2,700 233,820 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value BONANZA CREEK ENERGY INC 11,635 547,659 BOOKING HOLDINGS INC 51,986 113,750,047 BOOT BARN HOLDINGS INC 25,137 2,112,765 BOOZ ALLEN HAMILTON HOLDINGS 11,700 996,606 BORGWARNER INC 298,435 14,486,035 BOSTON BEER COMPANY INC A 11,493 11,732,054 BOSTON PRIVATE FINL HOLDING 189,834 2,800,052 BOSTON PROPERTIES INC 258,511 29,622,775 BOSTON SCIENTIFIC CORP 1,586,209 67,826,297 BOTTOMLINE TECHNOLOGIES (DE) 55,401 2,054,269 BOWX ACQUISITION CORP CL A 709,111 8,154,777 BOYD GAMING CORP 591,482 36,370,228 BRADY CORPORATION CL A 91,420 5,123,177 BRANDYWINE REALTY TRUST 107,507 1,473,921 BRIDGEBIO PHARMA INC 160,196 9,765,548 BRIGHTCOVE 3,400 48,790 BRIGHTHOUSE FINANCIAL INC 105,479 4,803,514 BRIGHTSPHERE INVESTMENT GROU 37,423 876,821 BRINK S CO/THE 59,800 4,595,032 BRINKER INTERNATIONAL INC 81,783 5,058,279 BRISTOL MYERS SQUIBB CO 2,774,928 185,420,689 BRISTOW GROUP INC 23,416 599,684 BRIXMOR PROPERTY GROUP INC 290,950 6,659,846 BROADCOM INC 525,996 250,815,933 BROADRIDGE FINANCIAL SOLUTIO 132,290 21,368,804 BROOKFIELD PPTY REIT INC 268,695 6,779,175 BROOKLINE BANCORP INC 180,080 2,692,196 BROOKS AUTOMATION INC 90,076 8,582,441 BROWN + BROWN INC 263,436 13,998,989 BROWN FORMAN CORP CLASS B 204,531 15,327,553 BRUNSWICK CORP 101,763 10,137,630 BUCKLE INC/THE 49,314 2,453,372 BUILDERS FIRSTSOURCE INC 182,370 7,779,904 BURLINGTON STORES INC 9,859 3,174,499 BYLINE BANCORP INC 2,100 47,523 C.H. ROBINSON WORLDWIDE INC 143,038 13,398,369 CABLE ONE INC 6,102 11,671,967 CABOT CORP 87,576 4,985,702 CABOT OIL + GAS CORP 503,322 8,788,002 CACI INTERNATIONAL INC CL A 35,396 9,030,228 CADENCE BANCORP 103,217 2,155,171 CADENCE DESIGN SYS INC 341,492 46,722,935 CAESARS ENTERTAINMENT INC 481,245 49,929,169 CAL MAINE FOODS INC 23,109 836,777 CALAMP CORP 11,943 151,915 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value CALAVO GROWERS INC 38,389 2,434,630 CALERES INC 65,021 1,774,423 CALIFORNIA WATER SERVICE GRP 57,442 3,190,329 CALLAWAY GOLF COMPANY 107,061 3,611,168 CALLON CO 70,941 4,092,586 CAMDEN NATIONAL CORP 1,300 62,088 CAMDEN PROPERTY TRUST 280,085 37,158,877 CAMPBELL SOUP CO 211,778 9,654,959 CAMPING WORLD HOLDINGS INC A 2,800 114,772 CAPITAL ONE FINANCIAL CORP 636,089 98,396,607 CAPITOL FEDERAL FINANCIAL IN 40,644 478,786 CAPRI HOLDINGS LTD 163,046 9,324,601 CAPSTAR FINANCIAL HOLDINGS I 1,400 28,700 CAPSTEAD MORTGAGE CORP 35,999 221,034 CARA THERAPEUTICS INC 16,944 241,791 CARDINAL HEALTH INC 364,608 20,815,471 CARDIOVASCULAR SYSTEMS INC 30,382 1,295,792 CARETRUST REIT INC 184,655 4,289,536 CARLISLE COS INC 69,695 13,338,229 CARMAX INC 184,823 23,869,890 CARNIVAL CORP 801,928 21,138,822 CARPENTER TECHNOLOGY 85,111 3,423,164 CARRIER GLOBAL CORP 930,643 45,229,250 CARROLS RESTAURANT GROUP INC 2,900 17,429 CARTER S INC 55,220 5,697,047 CASEY S GENERAL STORES INC 47,131 9,173,578 CATALENT INC 164,362 17,770,819 CATERPILLAR INC 650,385 141,543,288 CATHAY GENERAL BANCORP 156,872 6,174,482 CATO CORP CLASS A 44,778 755,405 CAVCO INDUSTRIES INC 2,686 596,802 CBOE GLOBAL MARKETS INC 144,268 17,175,105 CBRE GROUP INC A 508,384 43,583,760 CDK GLOBAL INC 156,434 7,773,205 CDW CORP/DE 202,872 35,431,595 CEDAR REALTY TRUST INC 166,432 4,187,429 CELANESE CORP 147,919 22,424,520 CELSIUS HOLDINGS INC 49,309 3,751,922 CENTENE CORP 752,869 54,906,736 CENTERPOINT ENERGY INC 593,956 14,563,801 CENTERSPACE 156,597 4,623,299 CENTRAL GARDEN + PET CO 5,418 286,775 CENTRAL GARDEN AND PET CO A 98,762 4,770,205 CENTRAL PACIFIC FINANCIAL CO 25,153 655,487 CENTURY ALUMINUM COMPANY 100,605 1,296,798 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value CENTURY COMMUNITIES INC 17,922 1,192,530 CERIDIAN HCM HOLDING INC 101,684 9,753,529 CERNER CORP 371,667 29,049,493 CEVA INC 50,747 2,400,333 CF INDUSTRIES HOLDINGS INC 283,473 14,584,686 CHAMPIONX CORP 673,975 17,287,459 CHANNELADVISOR CORP 2,400 58,824 CHARLES RIVER LABORATORIES 103,332 38,224,573 CHART INDUSTRIES INC 48,126 7,041,796 CHARTER COMMUNICATIONS INC A 177,688 128,193,008 CHATHAM LODGING 390,000 10,140,000 CHATHAM LODGING TRUST 32,922 423,706 CHEESECAKE FACTORY INC/THE 67,890 3,678,280 CHEFS WAREHOUSE INC/THE 42,302 1,346,473 CHEMED CORP 20,931 9,931,760 CHEMOURS CO/THE 203,027 7,065,340 CHESAPEAKE UTILITIES CORP 5,657 680,707 CHEVRON CORP 2,448,247 256,429,391 CHICO S FAS INC 212,603 1,398,928 CHILDREN S PLACE INC/THE 22,952 2,135,913 CHIPOTLE MEXICAN GRILL INC 38,530 59,734,600 CHOICE HOTELS INTL INC 8,800 1,045,968 CHUBB LTD 536,687 85,301,032 CHURCH + DWIGHT CO INC 275,682 23,493,620 CHURCHILL DOWNS INC 25,900 5,134,934 CHUY S HOLDINGS INC 20,512 764,277 CIENA CORP 191,324 10,884,422 CIGNA CORP 464,658 110,156,472 CIMAREX ENERGY CO 130,892 9,483,125 CINCINNATI BELL INC 109,293 1,685,298 CINCINNATI FINANCIAL CORP 175,164 20,427,626 CINEMARK HOLDINGS INC 75,600 1,659,420 CINTAS CORP 103,927 39,700,114 CIRCOR INTERNATIONAL INC 18,953 617,868 CIRRUS LOGIC INC 87,926 7,484,261 CISCO SYSTEMS INC 5,379,851 285,132,103 CIT GROUP INC 52,600 2,713,634 CITIGROUP INC 2,712,870 191,935,553 CITIZENS FINANCIAL GROUP 663,458 30,432,818 CITRIX SYSTEMS INC 164,431 19,282,823 CITY HOLDING CO 35,719 2,687,498 CITY OFFICE REIT 231,518 6,033,359 CLARIVATE PLC 37,705 1,038,019 CLEAN HARBORS INC 57,500 5,355,550 CLEARWATER PAPER CORP 40,824 1,182,671 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value CLEVELAND CLIFFS INC 961,346 20,726,620 CLOROX COMPANY 145,288 26,138,764 CMC MATERIALS INC 36,132 5,446,538 CME GROUP INC 417,829 88,863,872 CMS ENERGY CORP 350,216 20,690,761 CNO FINANCIAL GROUP INC 143,621 3,392,328 CNX RESOURCES CORP 259,996 3,551,545 COCA COLA CO/THE 4,750,623 257,056,211 COCA COLA CONSOLIDATED INC 9,344 3,757,503 COGENT COMMUNICATIONS HOLDIN 58,455 4,494,605 COGNEX CORP 184,487 15,506,132 COGNIZANT TECH SOLUTIONS A 675,335 46,773,702 COHERENT INC 16,100 4,255,874 COHERUS BIOSCIENCES INC 34,154 472,350 COHU INC 57,422 2,112,555 COLFAX CORP 12,737 583,482 COLGATE PALMOLIVE CO 1,051,706 85,556,283 COLLEGIUM PHARMACEUTICAL INC 13,157 311,031 COLONY CAPITAL INC 175,354 4,513,612 COLUMBIA BANKING SYSTEM INC 123,192 4,750,284 COLUMBIA SPORTSWEAR CO 300 29,508 COMCAST CORP CLASS A 5,897,314 336,264,844 COMERICA INC 179,971 12,839,131 COMFORT SYSTEMS USA INC 27,616 2,175,865 COMMERCE BANCSHARES INC 146,541 10,926,097 COMMERCIAL METALS CO 174,230 5,352,346 COMMUNITY BANK SYSTEM INC 113,956 8,620,771 COMMUNITY HEALTH SYSTEMS INC 192,013 2,964,681 COMMUNITY HEALTHCARE TRUST I 56,512 2,682,060 COMMVAULT SYSTEMS INC 58,956 4,608,591 COMPASS MINERALS INTERNATION 29,800 1,765,948 COMPUTER PROGRAMS + SYSTEMS 10,751 357,256 COMTECH TELECOMMUNICATIONS 59,820 1,445,251 CONAGRA BRANDS INC 622,951 22,662,957 CONCENTRIX CORP 55,182 8,873,266 CONDUENT INC 14,200 106,500 CONMED CORP 46,026 6,325,353 CONN S INC 16,650 424,575 CONNECTONE BANCORP INC 1,700 44,489 CONOCOPHILLIPS 1,790,826 109,061,303 CONSOL ENERGY INC 60,446 1,116,438 CONSOLIDATED COMMUNICATIONS 64,915 570,603 CONSOLIDATED EDISON INC 383,493 27,504,118 CONSTELLATION BRANDS INC A 206,835 48,376,638 CONTAINER STORE GROUP INC/TH 2,700 35,208 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value COOPER COS INC/THE 62,402 24,728,041 COOPER STANDARD HOLDING 11,564 335,356 COPART INC 244,471 32,228,612 CORCEPT THERAPEUTICS INC 153,480 3,376,560 CORE LABORATORIES N.V. 26,346 1,026,177 CORE MARK HOLDING CO INC 13,724 617,717 CORECIVIC INC 154,358 1,616,128 CORESITE REALTY CORP 136,248 18,338,981 CORNING INC 852,719 34,876,207 CORPORATE OFFICE PROPERTIES 134,538 3,765,719 CORTEVA INC 838,619 37,192,753 CORVEL CORP 10,024 1,346,223 COSTAR GROUP INC 12,000 993,840 COSTCO WHOLESALE CORP 552,758 218,709,758 COTY INC CL A 325,332 3,038,601 COUSINS PROPERTIES INC 157,415 5,789,724 COVETRUS INC 138,920 3,750,840 COWEN INC A 2,200 90,310 CRA INTERNATIONAL INC 600 51,360 CRACKER BARREL OLD COUNTRY 37,179 5,519,594 CRANE CO 72,814 6,725,829 CRAWFORD + COMPANY CL A 1,400 12,698 CREE INC 318,980 31,237,711 CROCS INC 91,977 10,717,160 CROSS COUNTRY HEALTHCARE INC 66,015 1,089,908 CROWN CASTLE INTL CORP 486,877 94,989,703 CRYOLIFE INC 88,957 2,526,379 CSG SYSTEMS INTL INC 76,457 3,607,241 CSX CORP 2,703,207 86,718,881 CTO RLTY GROWTH INC NEW 180,000 4,575,600 CTS CORP 77,563 2,882,241 CUBESMART 336,325 15,578,574 CULLEN/FROST BANKERS INC 80,217 8,984,304 CUMMINS INC 199,861 48,728,110 CURTISS WRIGHT CORP 54,925 6,522,893 CUSTOMERS BANCORP INC 29,655 1,156,248 CUTERA INC 20,015 981,335 CVB FINANCIAL CORP 39,666 816,723 CVS HEALTH CORP 1,701,773 141,995,939 CYRUSONE INC 921,457 65,902,605 CYTOKINETICS INC 125,665 2,486,910 DAKTRONICS INC 74,915 493,690 DANA INC 85,385 2,028,748 DANAHER CORP 789,276 211,810,107 DANIMER SCIENTIFIC INC 254,681 6,379,759 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value DARDEN RESTAURANTS INC 150,291 21,940,983 DARLING INGREDIENTS INC 212,031 14,312,093 DASEKE INC 3,900 25,272 DAVE + BUSTER S ENTERTAINMEN 70,729 2,871,597 DAVITA INC 94,299 11,356,429 DECKERS OUTDOOR CORP 38,864 14,926,496 DEERE + CO 363,787 128,311,313 DEL TACO RESTAURANTS INC 2,600 26,026 TECHNOLOGIES C 17,900 1,784,093 DELTA AIR LINES INC 675,554 29,224,466 DELUXE CORP 76,517 3,655,217 DENTSPLY SIRONA INC 246,361 15,584,797 DESIGNER BRANDS INC CLASS A 60,588 1,002,731 CORP 758,647 22,144,906 DEXCOM INC 113,618 48,514,886 DIAMONDBACK ENERGY INC 188,324 17,681,740 DIAMONDROCK HOSPITALITY CO 374,061 3,628,392 DICK S SPORTING GOODS INC 90,756 9,092,844 DIEBOLD NIXDORF INC 116,962 1,501,792 DIGI INTERNATIONAL INC 61,223 1,231,195 DIGITAL REALTY TRUST INC 1,245,529 118,786,461 DIGITALBRIDGE GROUP INC 3,916,346 58,291,021 DILLARDS INC CL A 600 108,528 DIME COMMUNITY BANCSHARES IN 51,070 1,716,973 DINE BRANDS GLOBAL INC 30,974 2,764,430 DIODES INC 95,323 7,603,916 DISCOVER FINANCIAL SERVICES 380,413 44,999,054 DISCOVERY INC A 176,865 5,426,218 DISCOVERY INC C 392,624 11,378,244 DISH NETWORK CORP A 320,991 13,417,424 DIVERSIFIED HEALTHCARE T 122,574 2,965,065 DIVERSIFIED HEALTHCARE TRUST 476,881 1,993,363 DMC GLOBAL INC 12,325 692,788 DOLLAR GENERAL CORP 288,365 62,399,302 DOLLAR TREE INC 277,212 27,582,594 DOMINION ENERGY INC 913,504 67,206,489 DOMINO S PIZZA INC 49,266 22,982,096 DOMTAR CORP 74,710 4,106,062 DONALDSON CO INC 133,090 8,455,208 DONNELLEY FINANCIAL SOLUTION 56,762 1,873,146 DOORDASH INC A 4,009 714,925 DORIAN LPG LTD 17,964 253,652 DORMAN PRODUCTS INC 23,499 2,436,141 DOUGLAS EMMETT INC 51,812 1,741,919 DOVER CORP 187,096 28,176,658 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value DOW INC 918,796 58,141,411 DR HORTON INC 406,786 36,761,251 DRIL QUIP INC 70,169 2,373,817 DSP GROUP INC 50,592 748,762 DTE ENERGY COMPANY 263,549 34,155,950 DUKE ENERGY CORP 920,613 90,882,915 DUKE REALTY CORP 3,234,395 153,148,603 DUPONT DE NEMOURS INC 642,808 49,759,767 DXC TECHNOLOGY CO 295,832 11,519,698 DXP ENTERPRISES INC 7,062 235,165 DYCOM INDUSTRIES INC 42,766 3,187,350 EAGLE BANCORP INC 15,460 866,997 EAGLE MATERIALS INC 46,400 6,593,904 EAGLE PHARMACEUTICALS INC 18,417 788,248 EAST WEST BANCORP INC 195,159 13,990,949 EASTERLY GOVERNMENT PROPERTI 112,664 2,374,957 EASTGROUP PROPERTIES INC 114,179 18,776,737 EASTMAN CHEMICAL CO 184,923 21,589,760 EATON CORP PLC 457,735 67,827,172 EBAY INC 761,446 53,461,124 EBIX INC 31,733 1,075,749 ECHO GLOBAL LOGISTICS INC 14,259 438,322 ECOLAB INC 272,477 56,122,088 EDGEWELL PERSONAL CARE CO 87,750 3,852,225 EDISON INTERNATIONAL 416,124 24,060,290 EDWARDS LIFESCIENCES CORP 739,461 76,585,976 EHEALTH INC 43,235 2,524,924 EL POLLO LOCO HOLDINGS INC 8,693 158,995 ELANCO ANIMAL HEALTH INC 116,991 4,058,418 ELECTRONIC ARTS INC 354,884 51,042,966 ELEMENT SOLUTIONS INC 651,254 15,226,319 ELF BEAUTY INC 12,060 327,308 ELI LILLY + CO 1,056,347 242,452,763 ELLINGTON FINANCIAL INC 16,864 322,946 EMCOR GROUP INC 84,312 10,386,395 EMERGENT BIOSOLUTIONS INC 58,288 3,671,561 EMERSON ELECTRIC CO 724,817 69,756,388 EMPLOYERS HOLDINGS INC 15,261 653,171 ENANTA PHARMACEUTICALS INC 41,483 1,825,667 ENCOMPASS HEALTH CORP 42,924 3,349,360 ENCORE CAPITAL GROUP INC 42,949 2,035,353 ENCORE WIRE CORP 16,234 1,230,375 ENDO INTERNATIONAL PLC 321,333 1,503,838 ENERGIZER HOLDINGS INC 84,180 3,618,056 ENERPAC TOOL GROUP CORP 41,523 1,105,342 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value ENERSYS 51,993 5,081,276 ENOVA INTERNATIONAL INC 74,198 2,538,314 ENPHASE ENERGY INC 151,656 27,848,591 ENPRO INDUSTRIES INC 48,687 4,729,942 ENSIGN GROUP INC/THE 53,345 4,623,411 ENTERGY CORP 264,009 26,321,697 ENVISTA HOLDINGS CORP 14,847 641,539 EOG RESOURCES INC 769,649 64,219,513 EP ENERGY CORP 4,895 479,710 EPLUS INC 7,009 607,610 EPR PROPERTIES 279,416 9,482,709 EQT CORP 277,742 6,182,537 EQUIFAX INC 142,263 34,073,411 EQUINIX INC 310,377 249,108,580 EQUITABLE HOLDINGS INC 87,672 2,669,612 EQUITRANS MIDSTREAM CORP 504,985 4,297,422 EQUITY LIFESTYLE PROPERTIES 149,840 11,134,610 EQUITY RESIDENTIAL 750,623 57,797,971 ESCO TECHNOLOGIES INC 16,517 1,549,460 ESSENT GROUP LTD 89,916 4,041,724 ESSENTIAL PROPERTIES REALTY 217,256 5,874,602 ESSENTIAL UTILITIES INC 253,140 11,568,498 ESSEX PROPERTY TRUST INC 389,393 116,821,794 ESTEE LAUDER COMPANIES CL A 274,900 87,440,192 ETHAN ALLEN INTERIORS INC 52,686 1,454,134 ETSY INC 147,708 30,404,215 EVERCORE INC A 47,770 6,724,583 EVEREST RE GROUP LTD 60,055 15,134,461 EVERGY INC 311,250 18,808,838 EVERI HOLDINGS INC 1,900 47,386 EVERSOURCE ENERGY 409,127 32,828,350 EVERTEC INC 58,250 2,542,613 EW SCRIPPS CO/THE A 82,773 1,687,741 EXELIXIS INC 343,128 6,251,792 EXELON CORP 1,207,693 53,512,877 EXLSERVICE HOLDINGS INC 15,064 1,600,701 EXP WORLD HOLDINGS INC 4,300 166,711 EXPEDIA GROUP INC 148,703 24,344,168 EXPEDITORS INTL WASH INC 185,079 23,431,001 EXPONENT INC 41,633 3,714,080 EXTRA SPACE STORAGE INC 823,219 134,859,737 EXTREME NETWORKS INC 41,890 467,492 EXXON MOBIL CORP 5,262,175 331,937,999 EZCORP INC CL A 69,499 419,079 F5 NETWORKS INC 70,501 13,159,717 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value FABRINET 23,434 2,246,618 FACEBOOK INC CLASS A 3,081,113 1,071,333,801 FACTSET RESEARCH SYSTEMS INC 43,754 14,684,280 FAIR ISAAC CORP 36,345 18,269,905 FARMERS NATL BANC CORP 2,200 34,122 FARO TECHNOLOGIES INC 39,688 3,086,536 FASTENAL CO 683,838 35,559,576 FB FINANCIAL CORP 16,428 613,093 FEDERAL REALTY INVESTMEN 124,496 3,289,184 FEDERAL REALTY INVS TRUST 426,376 49,958,476 FEDERAL SIGNAL CORP 111,341 4,479,248 FEDERATED HERMES INC 139,063 4,715,626 FEDEX CORP 339,641 101,325,100 FERRARI NV 14,938 3,077,975 FERRO CORP 36,478 786,830 FIDELITY NATIONAL FINANCIAL 14,700 638,862 FIDELITY NATIONAL INFO SERV 739,700 104,793,299 FIESTA RESTAURANT GROUP 21,332 286,489 FIFTH THIRD BANCORP 1,112,076 42,514,665 FINANCIAL INSTITUTIONS INC 1,400 42,000 FIRST AMERICAN FINANCIAL 150,195 9,364,658 FIRST BANCORP PUERTO RICO 115,290 1,374,257 FIRST BANCORP/NC 9,055 370,440 FIRST BUSEY CORP 4,300 106,038 FIRST COMMONWEALTH FINL CORP 221,430 3,115,520 FIRST FINANCIAL BANCORP 165,289 3,905,779 FIRST FINANCIAL CORP/INDIANA 1,100 44,902 FIRST FINL BANKSHARES INC 242,368 11,907,540 FIRST FOUNDATION INC 3,400 76,534 FIRST HAWAIIAN INC 41,525 1,176,819 FIRST HORIZON CORP 610,906 10,556,456 FIRST INDUSTRIAL REALTY TR 100 5,223 FIRST MIDWEST BANCORP INC/IL 224,581 4,453,441 FIRST REPUBLIC BANK/CA 186,507 34,908,515 FIRST SOLAR INC 93,700 8,480,787 FIRSTCASH INC 52,229 3,992,385 FIRSTENERGY CORP 652,740 24,288,455 FISERV INC 766,049 81,882,978 FIVE BELOW 43,756 8,456,722 FLAGSTAR BANCORP INC 42,427 1,793,389 FLEETCOR TECHNOLOGIES INC 107,794 27,601,732 FLEX LTD 2,146,124 38,351,236 FLOWERS FOODS INC 220,899 5,345,756 FLOWSERVE CORP 165,374 6,667,880 FLUOR CORP 150,680 2,667,036 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value FMC CORP 154,065 16,669,833 FNB CORP 231,538 2,854,864 FOOT LOCKER INC 138,023 8,506,357 FORD MOTOR CO 5,114,223 75,997,354 FORMFACTOR INC 31,741 1,157,277 FORRESTER RESEARCH INC 5,372 246,038 FORTERRA INC 2,500 58,775 FORTINET INC 163,967 39,055,300 FORTIVE CORP 435,233 30,353,149 FORTUNE BRANDS HOME + SECURI 159,475 15,885,305 FORWARD AIR CORP 64,136 5,756,206 FOSSIL GROUP INC 78,555 1,121,765 FOUR CORNERS PROPERTY TRUST 185,279 5,115,553 FOX CORP CLASS A 423,131 15,710,854 FOX CORP CLASS B 186,721 6,572,579 FOX FACTORY HOLDING CORP 42,320 6,587,531 FRANKLIN ELECTRIC CO INC 22,242 1,793,150 FRANKLIN RESOURCES INC 326,415 10,442,016 FRANKLIN STREET PROPERTIES C 126,835 667,152 FREEPORT MCMORAN INC 1,694,693 62,890,057 FRESH DEL MONTE PRODUCE INC 21,179 696,366 FRONTDOOR INC 241,553 12,034,170 FRONTIER COMMUNICATIONS PARE 3,356 88,598 FTI CONSULTING INC 42,141 5,756,882 FULGENT GENETICS INC 26,091 2,406,373 FULTON FINANCIAL CORP 197,900 3,122,862 FUTUREFUEL CORP 10,843 104,093 G III APPAREL GROUP LTD 46,448 1,526,281 GAMESTOP CORP CLASS A 74,751 16,007,179 GAMING AND LEISURE PROPERTIE 9,100 421,603 GANNETT CO INC 135,916 746,179 GAP INC/THE 221,965 7,469,122 GARMIN LTD 118,267 17,106,139 GARTNER INC 105,748 25,612,166 GATX CORP 54,872 4,854,526 GCP APPLIED TECHNOLOGIES 14,837 345,109 GENERAC HOLDINGS INC 66,381 27,558,072 GENERAL DYNAMICS CORP 271,558 51,123,509 GENERAL ELECTRIC CO 11,851,793 159,525,134 GENERAL MILLS INC 682,567 41,588,807 GENERAL MOTORS CO 1,635,638 96,780,700 GENESCO INC 32,199 2,050,432 GENPACT LTD 105,393 4,788,004 GENTEX CORP 330,289 10,929,263 GENTHERM INC 30,796 2,188,056 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value GENUINE PARTS CO 152,751 19,318,419 GENWORTH FINANCIAL INC CL A 868,664 3,387,790 GEO GROUP INC/THE 116,738 831,175 GETTY REALTY CORP 48,423 1,508,376 GIBRALTAR INDUSTRIES INC 61,910 4,724,352 GILEAD SCIENCES INC 1,516,965 104,458,210 GLACIER BANCORP INC 149,291 8,222,948 GLADSTONE COMMER 232,000 5,899,760 GLADSTONE COMMERCIAL 48,929 1,291,236 GLADSTONE COMMERCIAL CORP 2,900 65,424 GLATFELTER CORP 13,738 191,920 GLAUKOS CORP 46,343 3,931,277 GLOBAL MEDICAL REIT INC 398,163 6,653,789 GLOBAL NET LEASE INC 483,602 12,470,371 GLOBAL PAYMENTS INC 378,180 70,923,877 GLOBE LIFE INC 115,474 10,998,899 GLOBUS MEDICAL INC A 40,200 3,116,706 GMS INC 22,815 1,098,314 GOLDMAN SACHS GROUP INC 464,082 176,133,042 GOODYEAR TIRE + RUBBER CO 282,996 4,853,381 GOPRO INC CLASS A 1,089,713 12,695,156 GRACO INC 191,510 14,497,307 GRAHAM HOLDINGS CO CLASS B 5,623 3,564,420 GRAND CANYON EDUCATION INC 41,647 3,746,981 GRANITE CONSTRUCTION INC 83,552 3,469,915 GRANITE POINT MORTGAGE TRUST 124,776 1,840,446 GREAT WESTERN BANCORP INC 22,535 738,923 GREEN DOT CORP CLASS A 63,434 2,971,883 GREEN PLAINS INC 34,054 1,144,895 GREENBRIER COMPANIES INC 13,914 606,372 GREENHILL + CO INC 36,676 570,679 GREIF INC CL A 54,672 3,310,390 GRIFFON CORP 105,352 2,700,172 GROCERY OUTLET HOLDING CORP 50,300 1,743,398 GROUP 1 AUTOMOTIVE INC 32,302 4,988,398 GROUPON INC 2,000 86,320 GUESS? INC 68,339 1,804,150 GULFPORT ENERGY CORP 3,304 213,769 GULFPORT ENERGY CORP 10 9,000 H.B. FULLER CO. 115,139 7,323,992 H+R BLOCK INC 232,497 5,459,030 HAEMONETICS CORP/MASS 59,387 3,957,550 HAIN CELESTIAL GROUP INC 95,088 3,814,931 CO 1,295,744 29,957,601 HALOZYME THERAPEUTICS INC 87,211 3,960,252 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value HANCOCK WHITNEY CORP 170,336 7,569,732 HANESBRANDS INC 410,593 7,665,771 HANGER INC 13,432 339,561 HANMI FINANCIAL CORPORATION 12,416 236,649 HANOVER INSURANCE GROUP INC/ 49,673 6,737,646 HARLEY DAVIDSON INC 164,406 7,533,083 HARMONIC INC 231,448 1,971,937 HARSCO CORP 137,972 2,817,388 HARTFORD FINANCIAL SVCS GRP 504,626 31,271,673 HASBRO INC 136,146 12,868,520 HAVERTY FURNITURE 39,398 1,684,658 HAWAIIAN ELECTRIC INDS 146,848 6,208,733 HAWAIIAN HOLDINGS INC 106,372 2,592,286 HAWKINS INC 14,938 489,220 HAYNES INTERNATIONAL INC 29,116 1,030,124 HCA HEALTHCARE INC 345,818 71,494,413 HCI GROUP INC 10,278 1,021,942 HEALTHCARE REALTY TRUST INC 109,294 3,300,679 HEALTHCARE SERVICES GROUP 97,193 3,068,383 HEALTHCARE TRUST OF AME CL A 1,188,722 31,738,877 HEALTHEQUITY INC 68,700 5,528,976 HEALTHPEAK PROPERTIES INC 3,792,990 126,268,637 HEALTHSTREAM INC 16,327 456,176 HEARTLAND EXPRESS INC 116,373 1,993,469 HEARTLAND FINANCIAL USA INC 3,000 140,970 HEIDRICK + STRUGGLES INTL 42,580 1,896,939 HELEN OF TROY LTD 23,831 5,436,328 HELIX ENERGY SOLUTIONS GROUP 279,978 1,598,674 HELMERICH + PAYNE 142,640 4,654,343 HENRY SCHEIN INC 169,505 12,575,576 HERBALIFE NUTRITION LTD 7,800 411,294 HERC HOLDINGS INC 2,100 235,347 HERITAGE FINANCIAL CORP 11,096 277,622 HERMAN MILLER INC 80,396 3,789,867 HERSHA HOSPITALITY TRUST 414,527 8,734,174 HERSHEY CO/THE 182,373 31,765,729 HESKA CORP 4,266 980,028 HESS CORP 333,654 29,134,667 HEWLETT PACKARD ENTERPRISE 1,499,959 21,869,402 HEXCEL CORP 45,300 2,826,720 HIBBETT INC 35,758 3,204,990 HIGHWOODS PROPERTIES INC 1,488,516 67,236,268 HILL ROM HOLDINGS INC 86,102 9,780,326 HILLENBRAND INC 149,020 6,568,802 HILLTOP HOLDINGS INC 40,714 1,481,990 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value HILTON GRAND VACATIONS INC 533,501 22,081,606 HILTON WORLDWIDE HOLDINGS IN 321,973 38,836,383 HNI CORP 83,817 3,685,433 HOLLYFRONTIER CORP 168,711 5,550,592 HOLOGIC INC 379,248 25,303,427 HOME BANCSHARES INC 130,428 3,218,963 HOME DEPOT INC 1,351,760 431,062,746 HOMESTREET INC 6,829 278,213 HONEYWELL INTERNATIONAL INC 890,101 195,243,654 HOOKER FURNITURE CORP 300 10,392 HOPE BANCORP INC 309,215 4,384,669 HORACE MANN EDUCATORS 95,633 3,578,587 HORMEL FOODS CORP 296,053 14,136,531 HOST HOTELS + RESORTS INC 4,665,832 79,739,069 HOULIHAN LOKEY INC 4,400 359,876 HOWMET AEROSPACE INC 445,849 15,368,415 HP INC 1,617,473 48,831,510 HUB GROUP INC CL A 68,259 4,503,729 HUBBELL INC 63,220 11,812,025 HUDSON PACIFIC PROPERTIES IN 69,569 1,935,410 HUMANA INC 156,153 69,132,056 HUNT (JB) TRANSPRT SVCS INC 104,834 17,082,700 HUNTINGTON BANCSHARES INC 2,057,302 29,357,700 HUNTINGTON INGALLS INDUSTRIE 52,404 11,044,143 IAA INC 93,079 5,076,529 ICF INTERNATIONAL INC 1,600 140,576 ICHOR HOLDINGS LTD 10,263 552,149 ICU MEDICAL INC 23,434 4,822,717 IDACORP INC 67,616 6,592,560 IDEX CORP 80,342 17,679,257 IDEXX LABORATORIES INC 112,296 70,920,539 IES HOLDINGS INC 700 35,952 IHS MARKIT LTD 408,109 45,977,560 II VI INC 121,194 8,797,472 ILLINOIS TOOL WORKS 316,361 70,725,665 ILLUMINA INC 164,127 77,666,538 INCYTE CORP 254,429 21,405,112 INDEPENDENCE REALTY TRUST IN 68,722 1,252,802 INDEPENDENT BANK CORP MICH 1,800 39,078 INDEPENDENT BANK CORP/MA 34,323 2,591,387 INDEPENDENT BANK GROUP INC 15,834 1,171,399 INDUSTRIAL LOGISTICS PROPERT 41,002 1,071,792 INGERSOLL RAND INC 383,089 18,698,574 INGEVITY CORP 61,088 4,970,120 INGREDION INC 81,144 7,343,532 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value INNOSPEC INC 14,762 1,337,585 INNOVATIVE INDUSTRIAL PROPER 41,857 7,995,524 INNOVIVA INC 70,341 943,273 INOGEN INC 31,012 2,021,052 INSIGHT ENTERPRISES INC 64,218 6,422,442 INSPERITY INC 49,678 4,489,401 INSTALLED BUILDING PRODUCTS 13,518 1,654,062 INSTEEL INDUSTRIES INC 6,087 195,697 INTEGER HOLDINGS CORP 58,002 5,463,788 INTEGRA LIFESCIENCES HOLDING 74,458 5,081,014 CORP 5,084,648 285,452,139 INTER PARFUMS INC 5,689 409,608 INTERACTIVE BROKERS GRO CL A 41,021 2,696,310 INTERCONTINENTAL EXCHANGE IN 820,900 97,440,830 INTERDIGITAL INC 27,905 2,037,902 INTERFACE INC 139,232 2,130,250 INTERNATIONAL BANCSHARES CRP 85,800 3,684,252 INTERNATIONAL PAPER CO 450,782 27,637,444 INTERPUBLIC GROUP OF COS INC 490,551 15,938,002 INTL BUSINESS MACHINES CORP 1,081,828 158,585,167 INTL FLAVORS + FRAGRANCES 249,320 37,248,408 INTUIT INC 327,342 160,453,228 INTUITIVE SURGICAL INC 143,836 132,277,339 INVACARE CORP 73,923 596,559 INVESCO LTD 527,063 14,088,394 INVESCO MORTGAGE CAPITAL 85,856 334,838 INVESTORS BANCORP INC 67,200 958,272 INVITATION HOMES INC 1,842,625 68,711,486 IPG PHOTONICS CORP 35,526 7,487,815 IQVIA HOLDINGS INC 201,568 48,843,958 IRIDIUM COMMUNICATIONS INC 61,499 2,459,345 IROBOT CORP 35,179 3,285,367 IRON MOUNTAIN INC 334,262 14,145,968 ISTAR INC 46,315 960,110 ITRON INC 67,715 6,770,146 ITT INC 102,189 9,359,491 J + J SNACK FOODS CORP 31,922 5,567,516 J2 GLOBAL INC 59,270 8,152,589 JABIL INC 193,160 11,226,459 JACK HENRY + ASSOCIATES INC 89,529 14,638,887 JACK IN THE BOX INC 31,492 3,509,468 JACOBS ENGINEERING GROUP INC 155,153 20,700,513 JAMES RIVER GROUP HOLDINGS L 18,760 703,875 JANUS HENDERSON GROUP PLC 195,184 7,575,091 JAZZ PHARMACEUTICALS PLC 30,501 5,418,198 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value JBG SMITH PROPERTIES 123,289 3,884,836 JEFFERIES FINANCIAL GROUP IN 278,872 9,537,422 JETBLUE AIRWAYS CORP 321,406 5,393,193 JM SMUCKER CO/THE 126,830 16,433,363 JOHN B. SANFILIPPO + SON INC 5,329 471,990 JOHN BEAN TECHNOLOGIES CORP 51,278 7,313,268 JOHNSON + JOHNSON 3,295,600 542,917,144 JOHNSON CONTROLS INTERNATION 778,424 53,423,239 JOINT CORP/THE 3,777 316,966 JONES LANG LASALLE INC 243,599 47,613,861 JPMORGAN CHASE + CO 3,788,475 589,259,402 JUNIPER NETWORKS INC 320,789 8,773,579 KAISER ALUMINUM CORP 5,027 620,784 KAMAN CORP 55,955 2,820,132 KANSAS CITY SOUTHERN 99,138 28,092,735 KAR AUCTION SERVICES INC 30,000 526,500 KATAPULT HOLDINGS INC 737,560 7,973,024 KB HOME 124,695 5,077,580 KBR INC 169,457 6,464,785 KELLOGG CO 255,872 16,460,246 KELLY SERVICES INC A 63,306 1,517,445 KEMPER CORP 85,875 6,346,163 KENNAMETAL INC 105,998 3,807,448 KEURIG DR PEPPER INC 82,752 2,916,180 KEYCORP 1,265,568 26,133,979 KEYSIGHT TECHNOLOGIES IN 211,534 32,662,965 KFORCE INC 1,700 106,981 KILROY REALTY CORP 362,756 25,262,328 KIMBALL ELECTRONICS INC 2,000 43,480 KIMBERLY CLARK CORP 386,343 51,684,967 KIMCO REALTY CORP 3,153,525 69,420,376 KINDER MORGAN INC 2,168,628 39,534,088 KINSALE CAPITAL GROUP INC 17,200 2,834,044 KIRBY CORP 74,035 4,489,482 KITE REALTY GROUP TRUST 190,501 4,192,927 KKR + CO INC 289,279 17,136,888 KKR REAL ESTATE FIN 100,000 2,734,000 KKR REAL ESTATE FINANCE TRUS 11,468 248,053 KLA CORP 185,424 60,116,315 KNIGHT SWIFT TRANSPORTATION 167,052 7,594,184 KNOWLES CORP 188,710 3,725,135 KOHLS CORP 176,229 9,711,980 KONTOOR BRANDS INC 69,465 3,918,521 KOPPERS HOLDINGS INC 42,911 1,388,171 KORN FERRY 93,931 6,814,694 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value KRAFT HEINZ CO/THE 757,199 30,878,575 KRATON CORP 41,596 1,343,135 KROGER CO 1,065,661 40,825,473 KULICKE + SOFFA INDUSTRIES 93,115 5,698,638 L BRANDS INC 292,038 21,044,258 L3HARRIS TECHNOLOGIES INC 339,480 73,378,602 LA Z BOY INC 111,594 4,133,442 LABORATORY CRP OF AMER HLDGS 250,258 69,033,669 LAM RESEARCH CORP 169,691 110,417,934 LAMAR ADVERTISING CO A 117,572 12,276,868 LAMB WESTON HOLDINGS INC 167,248 13,490,224 LANCASTER COLONY CORP 29,225 5,655,330 LANDS END INC 600 24,630 LANDSTAR SYSTEM INC 52,814 8,345,668 LANTHEUS HOLDINGS INC 71,649 1,980,378 INC 11,490 1,066,157 LAS VEGAS SANDS CORP 376,171 19,820,450 CORP 72,030 4,046,645 LAZARD LTD CL A 8,700 393,675 LCI INDUSTRIES 50,974 6,699,003 LEAR CORP 27,848 4,881,197 LEGGETT + PLATT INC 157,572 8,163,805 LEIDOS HOLDINGS INC 175,995 17,793,095 LEMAITRE VASCULAR INC 8,289 505,795 LENDINGTREE INC 10,800 2,288,304 LENNAR CORP A 357,205 35,488,317 LENNOX INTERNATIONAL INC 36,421 12,776,487 LEXINGTON REALTY TRUST 580,611 9,425,106 LGI HOMES INC 22,769 3,687,212 LHC GROUP INC 31,403 6,288,765 LIBERTY BROADBAND C 21,800 3,785,788 LIFE STORAGE INC 94,167 10,108,827 LIGAND PHARMACEUTICALS 22,700 2,978,013 LINCOLN ELECTRIC HOLDINGS 69,812 9,194,939 LINCOLN NATIONAL CORP 245,218 15,409,499 LINDE PLC 650,454 188,046,251 LINDSAY CORP 25,048 4,139,933 LIQUIDITY SERVICES INC 48,887 1,244,174 LITHIA MOTORS INC 74,461 25,587,778 LITTELFUSE INC 36,199 9,223,143 LIVANOVA PLC 55,256 4,647,582 LIVE NATION ENTERTAINMENT IN 156,010 13,664,916 LIVENT CORP 214,942 4,161,277 LIVEPERSON INC 96,665 6,113,095 LIVERAMP HOLDINGS INC 75,780 3,550,293 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value LKQ CORP 373,817 18,399,273 LOCKHEED MARTIN CORP 320,484 121,255,121 LOEWS CORP 249,524 13,636,487 LOUISIANA PACIFIC CORP 145,126 8,749,647 LOWE S COS INC 931,659 180,713,896 LPL FINANCIAL HOLDINGS INC 109,467 14,775,856 LTC PROPERTIES INC 102,897 3,950,216 LULULEMON ATHLETICA INC 4,800 1,751,856 LUMBER LIQUIDATORS HOLDINGS 48,757 1,028,773 LUMEN TECHNOLOGIES INC 1,143,783 15,544,011 LUMENTUM HOLDINGS INC 92,986 7,627,642 LUMINEX CORP 28,218 1,038,422 LYDALL INC 39,287 2,377,649 LYFT INC A 370,719 22,421,085 LYONDELLBASELL INDU CL A 313,266 32,225,673 M + T BANK CORP 162,475 23,609,242 M/I HOMES INC 66,091 3,877,559 MACERICH CO/THE 129,304 2,359,798 MACK CALI REALTY CORP 468,765 8,039,320 MACY S INC 445,074 8,438,603 MAGELLAN HEALTH INC 39,175 3,690,285 MAGNA INTERNATIONAL INC 23,700 2,195,568 MAGNOLIA OIL + GAS CORP A 10,600 165,678 MANHATTAN ASSOCIATES INC 74,056 10,726,271 MANPOWERGROUP INC 70,841 8,423,703 MANTECH INTERNATIONAL CORP A 55,380 4,792,585 CORP 912,651 12,430,307 MARATHON PETROLEUM CORP 731,822 44,216,685 MARCUS + MILLICHAP INC 30,558 1,187,789 MARCUS CORPORATION 54,007 1,145,488 MARINEMAX INC 51,311 2,500,898 MARKETAXESS HOLDINGS INC 44,777 20,758,169 MARRIOTT INTERNATIONAL CL A 319,015 43,551,928 MARRIOTT VACATIONS WORLD 55,815 8,891,330 MARSH + MCLENNAN COS 556,176 78,242,840 MARTEN TRANSPORT LTD 28,593 471,499 MARTIN MARIETTA MATERIALS 68,924 24,248,152 MARVELL TECHNOLOGY INC 1,616 94,261 MASCO CORP 303,891 17,902,219 MASIMO CORP 59,580 14,445,171 MASONITE INTERNATIONAL CORP 2,100 234,759 MASTEC INC 28,319 3,004,646 MASTERCARD INC A 1,107,697 404,409,098 MATADOR RESOURCES CO 136,951 4,931,606 MATERION CORP 41,263 3,109,167 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value MATRIX SERVICE CO 61,053 641,057 MATSON INC 86,503 5,536,192 MATTEL INC 360,604 7,248,140 MATTHEWS INTL CORP CLASS A 66,604 2,395,080 MAXIM INTEGRATED PRODUCTS 273,959 28,864,320 MAXIMUS INC 91,013 8,006,414 MAXLINEAR INC 63,537 2,699,687 MAYVILLE ENGINEERING CO INC 600 12,066 MCCORMICK + CO NON VTG SHRS 273,116 24,121,605 MCDONALD S CORP 923,124 213,232,413 MCKESSON CORP 192,611 36,834,928 MDC HOLDINGS INC 121,035 6,124,371 MDU RESOURCES GROUP INC 280,333 8,785,636 MEDICAL PROPERTIES TRUST INC 1,656,685 33,299,369 MEDIFAST INC 18,986 5,372,658 MEDNAX INC 133,948 4,038,532 MEDPACE HOLDINGS INC 29,748 5,254,389 MEDTRONIC PLC 1,636,847 203,181,818 MERCER INTERNATIONAL INC 21,336 272,034 MERCHANTS BANCORP/IN 700 27,468 MERCK + CO. INC. 3,213,124 249,884,654 MERCURY GENERAL CORP 50,614 3,287,379 MERCURY SYSTEMS INC 49,404 3,274,497 MEREDITH CORP 71,997 3,127,550 MERIDIAN BIOSCIENCE INC 89,647 1,988,370 MERIT MEDICAL SYSTEMS INC 76,312 4,934,334 MERITAGE HOMES CORP 71,136 6,692,475 MERITOR INC 30,880 723,210 MESA LABORATORIES INC 1,559 422,754 META FINANCIAL GROUP INC 35,859 1,815,541 METHODE ELECTRONICS INC 95,946 4,721,503 METLIFE INC 995,840 59,601,024 METROCITY BANKSHARES INC 1,500 26,265 METROPOLITAN BANK HOLDING CO 600 36,132 METTLER TOLEDO INTERNATIONAL 28,638 39,673,367 MGIC INVESTMENT CORP 288,572 3,924,579 MGM RESORTS INTERNATIONAL 496,733 21,185,662 MGP INGREDIENTS INC 11,080 749,451 INC 319,451 47,834,593 MICRON TECHNOLOGY INC 1,315,599 111,799,603 CORP 9,590,133 2,597,967,030 MICROSTRATEGY INC CL A 10,201 6,778,565 MID AMERICA APARTMENT COMM 253,420 42,680,996 MIDDLEBY CORP 44,600 7,727,396 MIDLAND STATES BANCORP INC 1,800 47,286 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value MINERALS TECHNOLOGIES INC 66,794 5,254,684 MISTRAS GROUP INC 300 2,949 MKS INSTRUMENTS INC 63,533 11,305,697 MODERNA INC 2,100 493,458 MODIVCARE INC 12,807 2,178,086 MOELIS + CO CLASS A 4,500 256,005 MOHAWK INDUSTRIES INC 68,140 13,095,827 MOLINA HEALTHCARE INC 146,145 36,983,454 MOLSON COORS BEVERAGE CO B 225,293 12,095,981 MONARCH CASINO + RESORT INC 31,281 2,069,864 MONDELEZ INTERNATIONAL INC A 1,721,042 107,461,863 MONMOUTH REIT 911,047 23,022,158 MONOLITHIC POWER SYSTEMS INC 39,317 14,682,934 MONRO INC 27,674 1,757,576 MONSTER BEVERAGE CORP 473,319 43,237,691 MOODY S CORP 172,868 62,642,177 MOOG INC CLASS A 57,372 4,822,690 MORGAN STANLEY 1,902,104 174,403,916 MORNINGSTAR INC 100 25,711 MOSAIC CO/THE 434,146 13,853,599 MOTORCAR PARTS OF AMERICA IN 43,550 977,262 MOTOROLA SOLUTIONS INC 196,099 42,524,068 MOVADO GROUP INC 40,005 1,258,957 MOWI ASA SPON ADR 10,200 259,080 MR COOPER GROUP INC 137,252 4,537,551 MSA SAFETY INC 46,534 7,705,100 MSC INDUSTRIAL DIRECT CO A 59,517 5,340,460 MSCI INC 93,163 49,663,332 MUELLER INDUSTRIES INC 141,126 6,112,167 MURPHY OIL CORP 174,470 4,061,662 MURPHY USA INC 31,585 4,212,491 MVB FINANCIAL CORP 800 34,128 MYERS INDUSTRIES INC 74,879 1,572,459 MYR GROUP INC/DELAWARE 10,558 959,933 MYRIAD GENETICS INC 68,298 2,088,553 N B T BANCORP INC 40,526 1,457,720 NABORS INDUSTRIES LTD 10,223 1,167,876 NASDAQ INC 128,406 22,573,775 NATIONAL BANK HOLD CL A 9,406 354,982 NATIONAL BEVERAGE CORP 21,095 996,317 NATIONAL ENERGY SERVICES REU 1,100 15,675 NATIONAL FUEL GAS CO 112,281 5,866,682 NATIONAL INSTRUMENTS CORP 147,133 6,220,783 NATIONAL PRESTO INDS INC 9,573 973,095 NATIONAL RETAIL PROP INC 495,795 12,821,259 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value NATIONAL RETAIL PROPERTIES 231,549 10,855,017 NATIONAL STORAGE AFFILIA 282,168 7,618,536 NATIONAL STORAGE AFFILIATES 44,600 2,254,976 NATL HEALTH INVESTORS INC 3,700 248,085 NATUS MEDICAL INC 73,303 1,904,412 NAVIENT CORP 256,272 4,953,738 NCR CORPORATION 154,940 7,066,813 NEENAH INC 38,825 1,947,850 NEIMAN MARCUS USD COMMON STOCK 1,888 239,776 NEKTAR THERAPEUTICS 214,200 3,675,672 NEOGEN CORP 61,600 2,836,064 NEOGENOMICS INC 142,985 6,458,632 NETAPP INC 270,281 22,114,391 NETFLIX INC 572,273 302,280,321 NETGEAR INC 67,253 2,577,135 NETSCOUT SYSTEMS INC 89,630 2,558,040 NEUROCRINE BIOSCIENCES INC 39,934 3,886,377 NEW JERSEY RESOURCES CORP 137,164 5,427,579 NEW YORK COMMUNITY BANCORP 523,391 5,767,769 NEW YORK MORTGAGE TRUST INC 578,028 2,583,785 NEW YORK TIMES CO A 156,334 6,808,346 NEWELL BRANDS INC 398,524 10,947,454 NEWMARKET CORP 8,545 2,751,319 NEWMONT CORP 882,292 55,919,667 NEWPARK RESOURCES INC 7,700 26,642 NEWS CORP CLASS A 575,128 14,821,049 NEWS CORP CLASS B 13,316 324,245 NEXPOINT RESIDENTIAL 41,248 2,267,815 NEXSTAR MEDIA GROUP INC CL A 3,700 547,156 NEXTERA ENERGY INC 2,422,906 177,550,552 NEXTGEN HEALTHCARE INC 124,183 2,060,196 NIELSEN HOLDINGS PLC 402,597 9,932,068 NIKE INC CL B 1,572,870 242,992,686 NISOURCE INC 394,560 9,666,720 NMI HOLDINGS INC CLASS A 139,542 3,136,904 NORDSON CORP 55,237 12,125,074 NORDSTROM INC 113,578 4,153,547 NORFOLK SOUTHERN CORP 308,409 81,854,833 NORTHERN TRUST CORP 226,142 26,146,538 NORTHFIELD BANCORP INC 14,014 229,830 NORTHROP GRUMMAN CORP 190,094 69,085,862 NORTHWEST BANCSHARES INC 40,699 555,134 NORTHWEST NATURAL HOLDING CO 70,711 3,713,742 NORTHWESTERN CORP 63,971 3,852,334 NORTONLIFELOCK INC 1,856,028 50,521,082 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value NORWEGIAN CRUISE LINE HOLDIN 368,017 10,823,380 NOV INC 465,494 7,131,368 NOVOCURE LTD 300 66,546 NOW INC 216,450 2,054,111 NRG ENERGY INC 323,956 13,055,427 NU SKIN ENTERPRISES INC A 46,348 2,625,614 NUCOR CORP 371,212 35,610,367 NUVASIVE INC 34,200 2,318,076 NVENT ELECTRIC PLC 197,607 6,173,243 CORP 777,076 621,738,508 NVR INC 4,133 20,554,649 NXP SEMICONDUCTORS NV 289,699 59,596,878 O I GLASS INC 251,397 4,105,313 O REILLY AUTOMOTIVE INC 84,413 47,795,485 INC 6,853 689,069 CORP 905,500 28,314,985 OCEANEERING INTL INC 188,178 2,929,931 ODP CORP/THE 83,530 4,010,275 OFFICE PPTY INCOME TRST 25,000 673,000 OFFICE PROPERTIES INCOME TRU 64,031 1,876,749 OFG BANCORP 24,785 548,244 OGE ENERGY CORP 216,436 7,283,071 OIL STATES INTERNATIONAL INC 104,200 817,970 OLD DOMINION FREIGHT LINE 117,954 29,936,725 OLD NATIONAL BANCORP 300,256 5,287,508 OLD REPUBLIC INTL CORP 416,990 10,387,221 OLIN CORP 121,641 5,627,113 OLLIE S BARGAIN OUTLET HOLDI 49,900 4,198,087 OLYMPIC STEEL INC 21,969 645,669 OMEGA HEALTHCARE INVESTORS 296,467 10,758,787 OMNICELL INC 69,719 10,558,943 OMNICOM GROUP 237,224 18,975,548 ONE GAS INC 63,401 4,699,282 ONEOK INC 511,429 28,455,910 ONESPAN INC 33,922 866,368 ONTO INNOVATION INC 80,975 5,914,414 OPENDOOR TECHNOLOGIES INC 41,319 732,586 OPPENHEIMER HOLDINGS CL A 800 40,672 ORACLE CORP 2,315,901 180,269,734 ORASURE TECHNOLOGIES INC 93,048 943,507 ORGANOGENESIS HOLDINGS INC 53,799 894,139 ORGANON + CO 298,509 9,032,882 ORTHOFIX MEDICAL INC 6,264 251,249 OSHKOSH CORP 96,112 11,979,400 OSI SYSTEMS INC 15,114 1,536,187 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value OTIS WORLDWIDE CORP 501,206 40,983,615 OTTER TAIL CORP 3,500 170,835 OVINTIV INC 6,000 188,820 OWENS + MINOR INC 108,253 4,582,349 OWENS CORNING 43,382 4,247,098 OXFORD INDUSTRIES INC 36,437 3,601,433 P.A.M. TRANSPORTATION SVCS 200 10,550 PACCAR INC 436,422 38,950,664 PACIFIC PREMIER BANCORP INC 29,745 1,257,916 PACIRA BIOSCIENCES INC 35,709 2,166,822 PACKAGING CORP OF AMERICA 117,912 15,967,643 PACWEST BANCORP 94,346 3,883,281 PAE INC 5,100 45,390 PALOMAR HOLDINGS INC 20,473 1,544,893 PAPA JOHN S INTL INC 39,550 4,130,602 PAR PACIFIC HOLDINGS INC 87,426 1,470,505 PARK AEROSPACE CORP 43,086 641,981 PARK HOTELS + RESORTS INC 1,171,896 24,152,777 PARK NATIONAL CORP 4,477 525,689 PARKER HANNIFIN CORP 171,589 52,696,698 PATRICK INDUSTRIES INC 27,089 1,977,497 PATTERSON COS INC 111,612 3,391,889 PATTERSON UTI ENERGY INC 298,417 2,966,265 PAYCHEX INC 338,313 36,300,985 PAYCOM SOFTWARE INC 57,541 20,914,427 PAYLOCITY HOLDING CORP 29,576 5,643,101 PAYPAL HOLDINGS INC 1,457,859 424,936,741 PBF ENERGY INC CLASS A 138,600 2,120,580 PC CONNECTION INC 5,888 272,438 PDC ENERGY INC 180,729 8,275,581 PDF SOLUTIONS INC 9,256 168,274 PEBBLEBROOK HOTEL TRUST 1,110,864 28,554,015 PENN NATIONAL GAMING INC 175,795 13,446,560 PENN REAL ESTATE INVEST 278,976 3,230,133 PENN VIRGINIA CORP 32,554 768,600 PENNANT GROUP INC/THE 51,492 2,106,023 PENNYMAC MORTGAGE INVESTMENT 148,414 3,125,599 PENTAIR PLC 165,299 11,156,030 PENUMBRA INC 29,676 8,133,005 PEOPLE S UNITED FINANCIAL 594,989 10,198,111 PEPSICO INC 1,776,191 263,178,221 PERDOCEO EDUCATION CORP 160,480 1,969,090 PERFICIENT INC 70,627 5,679,823 PERKINELMER INC 147,591 22,789,526 PERRIGO CO PLC 169,341 7,764,285 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value PETMED EXPRESS INC 47,391 1,509,403 PFIZER INC 6,858,711 268,587,123 PGT INNOVATIONS INC 28,572 663,728 PHIBRO ANIMAL HEALTH CORP A 6,453 186,363 PHILIP MORRIS INTERNATIONAL 2,028,714 201,065,845 469,260 40,271,893 PHOTRONICS INC 26,374 348,401 PHYSICIANS REALTY TRUST 151,356 2,795,545 PIEDMONT OFFICE REALTY TRU A 10,700 197,629 PILGRIM S PRIDE CORP 13,048 289,405 PINNACLE FINANCIAL PARTNERS 110,254 9,734,326 PINNACLE WEST CAPITAL 147,187 12,064,918 PIONEER NATURAL RESOURCES CO 235,758 38,315,390 PIPER SANDLER COS 36,302 4,703,287 PITNEY BOWES INC 259,051 2,271,877 PJT PARTNERS INC A 2,000 142,760 PLANTRONICS INC 59,116 2,466,911 PLAYA HOTELS + RESORTS NV 629,405 4,676,479 PLAYTIKA HOLDING CORP 34,942 833,017 PLEXUS CORP 60,558 5,535,607 PNC FINANCIAL SERVICES GROUP 514,517 98,149,263 PNM RESOURCES INC 97,661 4,762,927 POLARIS INC 74,371 10,185,852 POOL CORP 46,053 21,122,669 PORTLAND GENERAL ELECTRIC CO 7,700 354,816 POST HOLDINGS INC 374,577 40,630,367 POTLATCHDELTIC CORP 203,339 10,807,468 POWELL INDUSTRIES INC 6,562 203,094 POWER INTEGRATIONS INC 36,171 2,968,192 PPG INDUSTRIES INC 275,810 46,824,264 PPL CORP 831,381 23,253,727 PRA GROUP INC 87,825 3,378,628 PRA HEALTH SCIENCES INC 42,800 7,070,988 PRECIGEN INC 1,074,460 7,005,479 PREFERRED APARTMENT COMMUNIT 4,100 39,975 PREFERRED BANK/LOS ANGELES 13,165 832,950 PREFORMED LINE PRODUCTS CO 300 22,260 PRESTIGE CONSUMER HEALTHCARE 66,890 3,484,969 PRICESMART INC 7,744 704,781 PRIMERICA INC 11,791 1,805,674 PRIMORIS SERVICES CORP 4,100 120,663 PRINCIPAL FINANCIAL GROUP 362,066 22,878,951 PRIORITY TECHNOLOGY HOLDINGS 605 4,622 PROASSURANCE CORP 100,393 2,283,941 PROCTER + GAMBLE CO/THE 3,055,541 412,284,147 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value PROG HOLDINGS INC 77,036 3,707,743 PROGENIC PHARMACEUTICALS INC. 138,663 52,193 PROGRESS SOFTWARE CORP 100,128 4,630,920 PROGRESSIVE CORP 744,657 73,132,764 PROGYNY INC 500 29,500 PROLOGIS INC 2,108,488 252,027,571 PROPETRO HOLDING CORP 102,111 935,337 PROSPERITY BANCSHARES INC 102,394 7,351,889 PROTO LABS INC 24,945 2,289,951 PROVIDENT FINANCIAL SERVICES 22,982 526,058 PRUDENTIAL FINANCIAL INC 446,570 45,760,028 PS BUSINESS PARKS INC 994,103 26,599,163 PS BUSINESS PARKS INC/CA 41,367 6,125,625 PTC INC 125,215 17,687,871 PUBLIC SERVICE ENTERPRISE GP 668,870 39,958,294 PUBLIC STORAGE 1,230,417 246,453,282 PULTEGROUP INC 374,552 20,439,303 PVH CORP 81,433 8,761,376 QCR HOLDINGS INC 1,300 62,517 QORVO INC 293,068 57,338,754 QTS REALTY TRUST INC 190,349 4,909,101 QTS REALTY TRUST INC CL A 5,500 425,150 QUAKER CHEMICAL CORP 23,558 5,587,722 INC 1,505,222 215,141,381 QUALYS INC 8,900 896,141 QUANEX BUILDING PRODUCTS 80,336 1,995,546 QUANTA SERVICES INC 215,534 19,520,914 QUEST DIAGNOSTICS INC 155,177 20,478,709 QUIDEL CORP 53,180 6,813,422 QUINSTREET INC 33,110 615,184 R1 RCM INC 63,400 1,410,016 RADIANT LOGISTICS INC 3,400 23,562 RADNET INC 17,955 604,904 RAFAEL HOLDINGS INC CLASS B 800 40,840 RALPH LAUREN CORP 55,038 6,484,027 RAMBUS INC 56,179 1,332,004 RANGE RESOURCES CORP 363,918 6,099,266 RAVEN INDUSTRIES INC 12,590 728,332 RAYMOND JAMES FINANCIAL INC 164,972 21,429,863 RAYONIER ADVANCED MATERIALS 94,659 633,269 RAYONIER INC 157,140 5,646,040 RAYTHEON TECHNOLOGIES CORP 1,807,055 154,159,862 RBB BANCORP 1,400 33,908 RE/MAX HOLDINGS INC CL A 39,193 1,306,303 READY CAPITAL CORP 107,490 1,705,866 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value REALOGY HOLDINGS CORP 173,832 3,167,219 REALTY INCOME CORP 412,549 27,533,520 RED ROBIN GOURMET BURGERS 32,900 1,089,319 REDFIN CORP 8,400 532,644 REDWOOD TRUST INC 156,204 1,885,382 REGAL BELOIT CORP 57,811 7,718,347 REGENCY CENTERS CORP 184,765 11,837,894 REGENERON PHARMACEUTICALS 131,114 73,232,414 REGENXBIO INC 45,131 1,753,339 REGIONS FINANCIAL CORP 1,325,478 26,748,146 REGIS CORP 55,807 522,354 REINSURANCE GROUP OF AMERICA 86,955 9,912,870 RELIANCE STEEL + ALUMINUM 80,193 12,101,124 RENAISSANCERE HOLDINGS LTD 61,771 9,192,760 RENASANT CORP 17,746 709,840 RENEWABLE ENERGY GROUP INC 60,685 3,783,103 RENT A CENTER INC 94,248 5,001,741 REPLIGEN CORP 50,480 10,076,818 REPUBLIC SERVICES INC 210,878 23,198,689 RESIDEO TECHNOLOGIES INC 821,547 24,646,410 RESMED INC 176,982 43,629,603 RESOURCES CONNECTION INC 16,750 240,530 RESTAURANT BRANDS INTERN 321,990 20,749,036 RETAIL OPPORTUNITY INVESTMEN 203,849 3,599,973 RETAIL PROPERTIES OF AME A 169,752 1,943,660 REX AMERICAN RESOURCES CORP 1,918 172,965 REXFORD INDUSTRIAL REALT 663,118 17,391,407 REXFORD INDUSTRIAL REALTY IN 73,120 4,164,184 RH 15,920 10,809,680 RLI CORP 53,148 5,558,749 RLJ LODGING TRUST 300,000 8,568,000 RMR GROUP INC/THE A 1,300 50,232 ROBERT HALF INTL INC 142,093 12,642,014 ROCKWELL AUTOMATION INC 124,026 35,473,917 ROCKY BRANDS INC 600 33,360 ROGERS CORP 30,778 6,180,222 ROLLINS INC 236,812 8,098,970 ROPER TECHNOLOGIES INC 130,373 61,301,385 ROSS STORES INC 424,951 52,693,924 ROYAL CARIBBEAN CRUISES LTD 223,656 19,073,384 ROYAL GOLD INC 60,356 6,886,620 RPC INC 18,189 90,036 RPM INTERNATIONAL INC 149,997 13,301,734 RPT REALTY 37,148 922,481 RUTH S HOSPITALITY GROUP INC 73,398 1,690,356 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value RYDER SYSTEM INC 64,152 4,768,418 RYMAN HOSPITALITY PROPERTIES 85,815 6,775,952 S + T BANCORP INC 58,417 1,828,452 S+P GLOBAL INC 275,916 113,249,722 SABRA HEALTH CARE REIT INC 298,288 5,428,842 SABRE CORP 264,085 3,295,781 SAFEHOLD INC 31,406 2,465,371 SAFETY INSURANCE GROUP INC 32,835 2,570,324 SAGE THERAPEUTICS INC 2,700 153,387 SAIA INC 27,496 5,760,137 SAILPOINT TECHNOLOGIES HOLDI 53,100 2,711,817 SALESFORCE.COM INC 1,166,988 285,060,159 SALLY BEAUTY HOLDINGS INC 71,454 1,576,990 SANDERSON FARMS INC 27,535 5,175,754 SANMINA CORP 45,545 1,774,433 SANOFI ADR 63,100 3,322,846 SAUL CENTERS INC 308,062 8,518,932 SBA COMMUNICATIONS CORP 126,087 40,183,927 SCANSOURCE INC 57,071 1,605,407 LTD 1,518,426 48,604,816 SCHOLASTIC CORP 52,015 1,970,848 SCHWAB (CHARLES) CORP 1,805,361 131,448,334 SCHWEITZER MAUDUIT INTL INC 72,478 2,926,662 SCIENCE APPLICATIONS INTE 75,352 6,610,631 SCIENTIFIC GAMES CORP 60,995 4,723,453 SCOTTS MIRACLE GRO CO 48,385 9,286,049 SEACOAST BANKING CORP/FL 17,430 595,235 HOLDINGS 248,967 21,891,668 SEAGEN INC 7,100 1,120,948 SEALED AIR CORP 238,636 14,139,183 SEI INVESTMENTS COMPANY 146,589 9,084,120 SELECT MEDICAL HOLDINGS CORP 75,347 3,184,164 SELECTIVE INSURANCE GROUP 85,793 6,962,102 SELECTQUOTE INC 17,075 328,865 SEMPRA ENERGY 390,513 51,735,162 SEMTECH CORP 91,321 6,282,885 SENECA FOODS CORP CL A 4,087 208,764 SENSIENT TECHNOLOGIES CORP 57,188 4,950,193 SERVICE CORP INTERNATIONAL 205,471 11,011,191 SERVICE PROPERTIES TRUST 258,708 3,259,721 SERVICENOW INC 225,852 124,116,967 SERVISFIRST BANCSHARES INC 19,603 1,332,612 SHAKE SHACK INC CLASS A 36,517 3,908,049 SHENANDOAH TELECOMMUNICATION 73,019 3,542,152 SHERWIN WILLIAMS CO/THE 303,972 82,817,171 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value SHOE CARNIVAL INC 12,215 874,472 SHUTTERSTOCK INC 12,564 1,233,408 SIGNATURE BANK 76,123 18,699,615 SIGNET JEWELERS LTD 81,282 6,566,773 SILGAN HOLDINGS INC 102,501 4,253,792 SILICON LABORATORIES INC 59,544 9,125,118 SIMMONS FIRST NATL CORP CL A 90,089 2,643,211 SIMON PROPERTY GROUP INC 1,625,403 212,082,583 SIMPLY GOOD FOODS CO/THE 61,519 2,246,059 SIMPSON MANUFACTURING CO INC 60,444 6,675,435 SIMULATIONS PLUS INC 6,118 335,939 SIRIUSPOINT LTD 40,237 405,187 SITE CENTERS CORP 1,910,514 33,780,261 SIX FLAGS ENTERTAINMENT CORP 59,585 2,578,839 SKECHERS USA INC CL A 193,197 9,627,007 SKYWEST INC 100,426 4,325,348 SKYWORKS SOLUTIONS INC 217,007 41,611,092 SL GREEN REALTY CORP 258,726 11,735,297 SLEEP NUMBER CORP 41,464 4,558,967 SLM CORP 463,407 9,703,743 SM ENERGY CO 159,011 3,916,441 SMART GLOBAL HOLDINGS INC 7,891 376,243 SMITH (A.O.) CORP 147,810 10,651,189 SNAP ON INC 73,155 16,345,022 SNOWFLAKE INC CLASS A 2,237 540,907 SOLAREDGE TECHNOLOGIES INC 54,511 15,065,205 SONIC AUTOMOTIVE INC CLASS A 47,388 2,120,139 SONOCO PRODUCTS CO 91,789 6,140,684 SOUTH JERSEY INDUSTRIES 179,985 4,667,011 SOUTHERN CO/THE 1,339,985 81,082,492 SOUTHSIDE BANCSHARES INC 9,410 359,744 SOUTHWEST AIRLINES CO 633,797 33,648,283 SOUTHWEST GAS HOLDINGS INC 79,708 5,275,873 SOUTHWESTERN ENERGY CO 857,536 4,862,229 SPARTANNASH CO 89,102 1,720,560 SPECTRUM BRANDS HOLDINGS INC 3,600 306,144 SPECTRUM PHARMACEUTICALS INC 255,500 958,125 SPIRE INC 63,545 4,592,397 SPIRIT OF BANCSHARES I 1,100 25,124 SPIRIT REALTY CAPITAL IN 542,728 14,219,474 SPIRIT REALTY CAPITAL INC 878,113 42,008,926 SPLUNK INC 191,386 27,670,588 SPOK HOLDINGS INC 40,850 392,977 SPROUTS FARMERS MARKET INC 86,589 2,151,737 SPS COMMERCE INC 11,228 1,121,116 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value SPX CORP 82,130 5,016,500 SPX FLOW INC 67,730 4,418,705 ST JOE CO/THE 10,002 446,189 STAAR SURGICAL CO 42,326 6,454,715 STAG INDUSTRIAL INC 6,900 258,267 STAMPS.COM INC 28,512 5,710,668 STANDARD MOTOR PRODS 47,896 2,076,292 STANDEX INTERNATIONAL CORP 28,333 2,689,085 STANLEY BLACK + DECKER INC 201,242 41,252,598 STARBUCKS CORP 1,476,879 165,129,841 STARTEK INC 1,500 10,695 STATE STREET CORP 414,026 34,066,059 STEEL DYNAMICS INC 272,615 16,247,854 STEPAN CO 42,333 5,091,390 STERICYCLE INC 93,920 6,719,976 STERIS PLC 118,358 24,417,255 STERLING BANCORP/DE 280,358 6,950,075 STERLING CONSTRUCTION CO 2,400 57,912 STEVEN MADDEN LTD 81,664 3,573,617 STEWART INFORMATION SERVICES 59,512 3,373,735 STIFEL FINANCIAL CORP 166,185 10,778,759 STONEX GROUP INC 20,911 1,268,670 STORE CAPITAL CORP 236,400 8,158,164 STRATEGIC EDUCATION INC 34,505 2,624,450 STRYKER CORP 389,709 101,219,119 STURM RUGER + CO INC 21,273 1,914,145 SUMMIT HOTEL PROPERTIES 334,556 8,686,724 SUMMIT HOTEL PROPERTIES INC 133,366 1,244,305 SUN COMMUNITIES INC 363,474 62,299,444 SUNCOKE ENERGY INC 45,304 323,471 SUNRUN INC 162,922 9,087,789 SUNSTONE HOTEL INVESTORS 356,911 9,992,367 SUPERNUS PHARMACEUTICALS INC 95,973 2,955,009 SURMODICS INC 31,826 1,726,561 SVB FINANCIAL GROUP 64,322 35,790,690 SYKES ENTERPRISES INC 89,337 4,797,397 SYNAPTICS INC 48,264 7,508,913 SYNCHRONY FINANCIAL 713,231 34,605,968 SYNEOS HEALTH INC 50,970 4,561,305 SYNNEX CORP 62,100 7,561,296 INC 185,383 51,126,778 SYNOVUS FINANCIAL CORP 61,383 2,693,486 SYSCO CORP 581,244 45,191,721 T MOBILE US INC 701,372 101,579,707 T ROWE PRICE GROUP INC 266,469 52,752,868 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value TABULA RASA HEALTHCARE INC 25,225 1,261,250 TACTILE SYSTEMS TECHNOLOGY I 18,410 957,320 TAKE TWO INTERACTIVE SOFTWRE 140,755 24,916,450 TALOS ENERGY INC 8,212 128,436 TANGER FACTORY OUTLET CENTER 158,023 2,978,734 TAPESTRY INC 327,834 14,254,222 TARGA RESOURCES CORP 123,670 5,497,132 TARGET CORP 635,255 153,566,544 TAYLOR MORRISON HOME CORP 73,210 1,934,208 TE CONNECTIVITY LTD 366,035 49,491,592 TEAM INC 9,773 65,479 TECHTARGET 14,122 1,094,314 TECK RESOURCES LTD CLS B 1,182,654 27,248,348 TEGNA INC 316,211 5,932,118 TELEDYNE TECHNOLOGIES INC 61,996 25,965,785 TELEFLEX INC 54,939 22,073,941 TELEPHONE AND DATA SYSTEMS 128,448 2,910,632 TEMPUR SEALY INTERNATIONAL I 261,783 10,259,276 TENET HEALTHCARE CORP 126,441 8,470,283 TENNANT CO 10,495 838,026 TENNECO INC CLASS A 4,400 85,008 TERADATA CORP 122,211 6,106,884 TERADYNE INC 201,357 26,973,784 TEREX CORP 93,670 4,460,565 TERMINIX GLOBAL HOLDINGS INC 577,843 27,568,890 TESLA INC 956,960 650,445,712 TETRA TECH INC 68,977 8,417,953 TEXAS CAPITAL BANCSHARES INC 70,200 4,456,998 INC 1,201,000 230,952,300 TEXAS ROADHOUSE INC 94,771 9,116,970 TEXTRON INC 321,793 22,129,705 THERMO FISHER SCIENTIFIC INC 520,508 262,580,671 THOR INDUSTRIES INC 63,643 7,191,659 TILLY S INC CLASS A SHRS 1,900 30,362 TIMKEN CO 104,176 8,395,544 TIMKENSTEEL CORP 77,436 1,095,719 TITAN INTERNATIONAL INC 20,076 170,244 TITAN MACHINERY INC 1,700 52,598 TIVITY HEALTH INC 68,150 1,793,027 TJX COMPANIES INC 1,341,913 90,471,774 TOLL BROTHERS INC 496,965 28,729,547 TOMPKINS FINANCIAL CORP 27,682 2,147,016 TOOTSIE ROLL INDS 6,924 234,793 TOPBUILD CORP 42,438 8,393,388 TORO CO 124,151 13,641,712 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value TOTALENERGIES SE SPON ADR 38,684 1,750,838 TPG RE FINANCE TRUST INC 75,000 1,881,750 TRACTOR SUPPLY COMPANY 130,573 24,294,412 TRADEWEB MARKETS INC CLASS A 6,473 547,357 TRANE TECHNOLOGIES PLC 257,257 47,371,304 TRANSDIGM GROUP INC 60,373 39,078,839 LTD 17,200 77,744 TRANSUNION 5,800 636,898 TRAVEL LEISURE CO 558,367 33,194,918 TRAVELERS COS INC/THE 288,272 43,157,201 TREDEGAR CORP 59,341 817,126 TREEHOUSE FOODS INC 63,591 2,831,071 TREX COMPANY INC 111,814 11,428,509 TRI POINTE HOMES INC 52,256 1,119,846 TRIMBLE INC 304,888 24,948,985 TRINET GROUP INC 3,500 253,680 TRINITY INDUSTRIES INC 95,440 2,566,382 TRINSEO SA 26,508 1,586,239 TRIPADVISOR INC 103,962 4,189,669 TRIUMPH BANCORP INC 7,321 543,584 TRIUMPH GROUP INC 90,581 1,879,556 TRUEBLUE INC 85,396 2,400,482 TRUIST FINANCIAL CORP 1,580,931 87,741,671 TRUPANION INC 34,767 4,001,682 TRUSTCO BANK CORP NY 43,995 1,512,548 TRUSTMARK CORP 69,200 2,131,360 TTEC HOLDINGS INC 12,957 1,335,737 TTM TECHNOLOGIES 127,342 1,820,991 TUPPERWARE BRANDS CORP 81,212 1,928,785 TURTLE BEACH CORP 1,200 38,304 TUTOR PERINI CORP 2,900 40,165 TWITTER INC 894,698 61,564,169 TWO HARBORS INVESTMENT CORP 79,306 599,553 TYLER TECHNOLOGIES INC 45,320 20,501,408 TYSON FOODS INC CL A 417,752 30,813,388 U.S. PHYSICAL THERAPY INC 4,986 577,728 UDR INC 2,411,872 118,133,491 UFP INDUSTRIES INC 122,092 9,076,319 UGI CORP 260,349 12,056,762 ULTA BEAUTY INC 66,657 23,047,991 ULTRA CLEAN HOLDINGS INC 45,442 2,441,144 UMB FINANCIAL CORP 68,385 6,363,908 UMH PROPERTIES INC 574,011 15,046,072 UMPQUA HOLDINGS CORP 271,838 5,015,411 UNDER ARMOUR INC CLASS A 208,663 4,413,222 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value UNDER ARMOUR INC CLASS C 206,563 3,835,875 UNIFI INC 5,361 130,594 UNIFIRST CORP/MA 27,472 6,446,030 UNION PACIFIC CORP 821,030 180,569,128 UNISYS CORP 45,475 1,150,972 UNITED AIRLINES HOLDINGS INC 375,283 19,623,548 UNITED BANKSHARES INC 110,897 4,047,741 UNITED COMMUNITY BANKS/GA 101,107 3,236,435 UNITED FIRE GROUP INC 46,852 1,299,206 UNITED INSURANCE HOLDINGS CO 13,720 78,204 UNITED NATURAL FOODS INC 98,977 3,660,169 UNITED PARCEL SERVICE CL B 905,622 188,342,207 UNITED RENTALS INC 97,866 31,220,233 STEEL CORP 244,929 5,878,296 UNITED THERAPEUTICS CORP 55,503 9,957,793 UNITEDHEALTH GROUP INC 1,171,371 469,063,803 UNITI GROUP INC 312,457 3,308,920 UNITIL CORP 4,241 224,646 UNIVAR SOLUTIONS INC 895,985 21,844,114 UNIVERSAL CORP/VA 49,115 2,798,082 UNIVERSAL DISPLAY CORP 36,950 8,215,094 UNIVERSAL ELECTRONICS INC 29,380 1,424,930 UNIVERSAL HEALTH RLTY INCOME 25,023 1,540,166 UNIVERSAL HEALTH SERVICES B 109,535 16,039,210 UNIVERSAL INSURANCE HOLDINGS 52,933 734,710 UNIVERSAL LOGISTICS HOLDINGS 700 16,310 UNUM GROUP 291,377 8,275,107 URBAN EDGE PROPERTIES 141,922 2,710,710 URBAN OUTFITTERS INC 96,034 3,958,521 URSTADT BIDDLE CLASS A 60,711 1,176,579 URSTADT BIDDLE PROPERTIE 302,417 7,924,089 US BANCORP 1,663,481 94,768,513 US CONCRETE INC 19,406 1,432,163 US ECOLOGY INC 10,568 396,511 US SILICA HOLDINGS INC 98,018 1,133,088 USANA HEALTH SCIENCES INC 16,011 1,640,007 VALERO ENERGY CORP 453,552 35,413,340 VALLEY NATIONAL BANCORP 202,081 2,713,948 VALMONT INDUSTRIES 28,360 6,694,378 VALVOLINE INC 223,068 7,240,787 VANDA PHARMACEUTICALS INC 33,960 730,480 VAREX IMAGING CORP 77,366 2,074,956 VECTOR GROUP LTD 139,748 1,976,037 VEECO INSTRUMENTS INC 103,984 2,499,775 VENTAS INC 1,715,186 97,937,121 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value VERA BRADLEY INC 28,563 353,896 VEREIT INC 1,754,242 71,687,399 VERICEL CORP 45,000 2,362,500 VERISIGN INC 124,486 28,344,217 VERISK ANALYTICS INC 172,859 30,201,924 VERITEX HOLDINGS INC 19,086 675,835 VERITIV CORP 23,329 1,432,867 VERIZON COMMUNICATIONS INC 5,262,068 294,833,670 VERTEX PHARMACEUTICALS INC 356,123 71,805,080 VERTIV HOLDINGS CO 17,400 475,020 VF CORP 367,346 30,137,066 VIACOMCBS INC CLASS B 715,698 32,349,550 VIAD CORP 44,528 2,219,721 VIASAT INC 59,223 2,951,674 VIATRIS INC 2,637,014 37,682,930 VIAVI SOLUTIONS INC 357,477 6,313,044 VICI PROPERTIES INC 1,295,239 40,178,314 VICOR CORP 45,588 4,820,475 VIRTU FINANCIAL INC CLASS A 5,500 151,965 VIRTUS INVESTMENT PARTNERS 6,249 1,735,785 VISA INC CLASS A SHARES 2,136,162 499,477,399 INC 229,068 5,165,483 VISTA OUTDOOR INC 62,785 2,905,690 VISTEON CORP 99,290 12,008,133 VONAGE HOLDINGS CORP 250,457 3,609,085 VONTIER CORP 157,249 5,123,172 VORNADO REALTY TRUST 1,269,605 37,516,001 VOYA FINANCIAL INC 8,900 547,350 VULCAN MATERIALS CO 156,831 27,299,572 WABASH NATIONAL CORP 46,937 750,992 WABTEC CORP 202,066 16,630,032 WALGREENS BOOTS ALLIANCE INC 896,026 47,139,928 WALKER + DUNLOP INC 53,591 5,593,829 WALMART INC 1,782,850 251,417,507 WALT DISNEY CO/THE 2,236,631 393,132,631 WARRIOR MET COAL INC 23,576 405,507 WASHINGTON FEDERAL INC 146,503 4,655,865 WASHINGTON REIT 26,079 599,817 WASTE CONNECTIONS INC 28,700 3,427,641 WASTE MANAGEMENT INC 397,657 55,715,722 WATERS CORP 72,363 25,009,376 WATSCO INC 37,767 10,825,533 WATTS WATER TECHNOLOGIES A 44,774 6,532,974 WD 40 CO 22,645 5,803,687 WEBSTER FINANCIAL CORP 140,506 7,494,590 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value WEC ENERGY GROUP INC 350,024 31,134,635 WEINGARTEN REALTY INVESTORS 168,496 5,403,667 WELLS FARGO + CO 5,376,345 243,494,665 WELLTOWER INC 1,629,715 135,429,317 WENDY S CO/THE 206,003 4,824,590 WERNER ENTERPRISES INC 75,094 3,343,185 WESCO INTERNATIONAL INC 4,100 421,562 WEST PHARMACEUTICAL SERVICES 86,077 30,910,251 WESTAMERICA BANCORPORATION 56,284 3,266,161 CORP 346,024 24,626,528 WESTERN UNION CO 507,345 11,653,715 WESTLAKE CHEMICAL CORP 3,222 290,270 WESTROCK CO 314,185 16,720,926 WEX INC 49,383 9,575,364 WEYERHAEUSER CO 1,672,630 57,571,925 WHIRLPOOL CORP 81,798 17,833,600 WHITESTONE REIT 104,652 863,379 WHITING PETROLEUM CORP 4,931 268,986 WILEY (JOHN) + SONS CLASS A 55,626 3,347,573 WILLIAMS COS INC 1,363,331 36,196,438 WILLIAMS SONOMA INC 93,284 14,892,791 WILLIS TOWERS WATSON PLC 143,648 33,041,913 WINGSTOP INC 29,878 4,709,669 WINNEBAGO INDUSTRIES 71,677 4,871,169 WINTRUST FINANCIAL CORP 80,421 6,082,240 WISDOMTREE INVESTMENTS INC 197,042 1,221,660 WOLVERINE WORLD WIDE INC 133,711 4,498,038 WOODWARD INC 68,826 8,457,339 WORKDAY INC CLASS A 14,200 3,390,108 WORLD ACCEPTANCE CORP 8,971 1,437,513 WORLD FUEL SERVICES CORP 107,975 3,426,047 WORLD WRESTLING ENTERTAIN A 48,786 2,824,222 WORTHINGTON INDUSTRIES 64,327 3,935,526 WP CAREY INC 15,000 1,119,300 WR BERKLEY CORP 158,374 11,787,777 WSFS FINANCIAL CORP 24,103 1,122,959 WW GRAINGER INC 54,887 24,040,506 WW INTERNATIONAL INC 41,045 1,483,366 WYNDHAM HOTELS + RESORTS INC 107,793 7,792,356 WYNN RESORTS LTD 281,891 34,475,269 XCEL ENERGY INC 563,775 37,141,497 XENCOR INC 60,326 2,080,644 XENIA HOTELS + RESORTS INC 509,223 9,537,747 XEROX HOLDINGS CORP 183,952 4,321,032 INC 297,735 43,064,390 New York State Teachers' Retirement System Domestic Equity Holdings As of June 30, 2021

Security Name Shares Market Value XPERI HOLDING CORP 141,228 3,140,911 XPO LOGISTICS INC 94,504 13,220,165 XYLEM INC 202,968 24,348,041 YELP INC 22,314 891,667 YETI HOLDINGS INC 67,947 6,238,894 YUM BRANDS INC 355,523 40,895,811 ZEBRA TECHNOLOGIES CORP CL A 62,948 33,330,337 ZIMMER BIOMET HOLDINGS INC 236,515 38,036,342 ZIONS BANCORP NA 254,074 13,430,352 ZOETIS INC 599,515 111,725,615 ZOOM VIDEO COMMUNICATIONS A 10,600 4,102,518 ZUMIEZ INC 53,238 2,608,130 ZYNEX INC 39,952 620,455 ZYNGA INC CL A 1,618,184 17,201,296