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STOCK TICKER:

MAJOR GURUS:
David Einhorn
Bill Ackman
Bill Miller
Steven Cohen
Jim Simons

CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM INSTITUTION : CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM
CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM Buys/Sells In Portfolio (reported on 2019-11-14)
Company Ticker Current
Holdings
Previous
Holdings
Sells/Buys % of change
PAYSIGN INC    (COMMON STOCK)45,8471
Added45,846
4584600.00%
SPDR SSGA GENDER DIVERSITY IND    (1,675,64323,870
Added1,651,773
6919.87%
WORLDPAY INC CLASS A    (COMMON STO511,53111,856
Added499,675
4214.53%
QURATE RETAIL INC    (COMMON STOCK)687,40216,228
Added671,174
4135.90%
PURE STORAGE INC CLASS A    (COMM363,64211,005
Added352,637
3204.33%
VEREIT INC    (REIT)1,820,51274,520
Added1,745,992
2342.98%
SITEONE LANDSCAPE SUPPLY INC    (CO62,9283,374
Added59,554
1765.08%
VISTRA ENERGY CORP    (COMMON STOCK676,11037,936
Added638,174
1682.23%
SQUARE INC A    (COMMON STOCK)550,41230,950
Added519,462
1678.39%
TPI COMPOSITES INC    (COMMON STOCK44,4692,732
Added41,737
1527.70%
SRC ENERGY INC    (COMMON STOCK)372,69324,420
Added348,273
1426.17%
TELLURIAN INC    (COMMON STOCK)145,39010,163
Added135,227
1330.58%
PRESIDIO INC    (COMMON STOCK)71,0115,660
Added65,351
1154.61%
PARTY CITY HOLDCO INC    (COMMON ST83,0516,666
Added76,385
1145.88%
OKTA INC    (COMMON STOCK)167,93313,508
Added154,425
1143.21%
WEC ENERGY GROUP INC    (COMMON STO508,18345,188
Added462,995
1024.59%
SPRINT CORP    (COMMON STOCK)984,66193,307
Added891,354
955.29%
RMR GROUP INC THE A    (COMMON ST11,0051,072
Added9,933
926.58%
REXNORD CORP    (COMMON STOCK)162,13716,065
Added146,072
909.25%
SVMK INC    (COMMON STOCK)129,19213,149
Added116,043
882.52%
SITE CENTERS CORP    (REIT)222,03723,295
Added198,742
853.15%
VICI PROPERTIES INC    (REIT)710,24079,598
Added630,642
792.28%
RITE AID CORP    (COMMON STOCK)109,50012,603
Added96,897
768.84%
TAPESTRY INC    (COMMON STOCK)496,15058,047
Added438,103
754.73%
WIDEOPENWEST INC    (COMMON STOCK)37,9364,452
Added33,484
752.11%
EW SCRIPPS CO THE A    (COMMON STOC84,24010,181
Added74,059
727.42%
SLEEP NUMBER CORP    (COMMON STOCK)45,7075,547
Added40,160
723.99%
SELECT ENERGY SERVICES INC A    (CO91,23711,217
Added80,020
713.38%
WELBILT INC    (COMMON STOCK)199,96825,722
Added174,246
677.42%
TIVITY HEALTH INC    (COMMON STOCK)73,08610,225
Added62,861
614.77%
PARETEUM CORP    (COMMON STOCK)165,38524,140
Added141,245
585.10%
WARRIOR MET COAL INC    (COMMON STO79,59811,713
Added67,885
579.56%
PLURALSIGHT INC A    (COMMON STOC99,03014,671
Added84,359
575.00%
SMART SAND INC    (COMMON STOCK)34,4745,250
Added29,224
556.64%
UNITI GROUP INC    (REIT)284,97653,681
Added231,295
430.86%
TWO HARBORS INVESTMENT CORP    (REI431,37984,556
Added346,823
410.16%
US XPRESS ENTERPRISES INC A    (CO33,6207,267
Added26,353
362.63%
WYNDHAM HOTELS RESORTS INC    (CO152,23236,131
Added116,101
321.33%
TERRAFORM POWER INC A    (COMMON 112,82626,991
Added85,835
318.01%
SPIRIT MTA REIT    (REIT)66,39316,752
Added49,641
296.32%
SBA COMMUNICATIONS CORP    (REIT)186,47847,227
Added139,251
294.85%
SUNRUN INC    (COMMON STOCK)170,33044,469
Added125,861
283.03%
PERSPECTA INC    (COMMON STOCK)220,72858,325
Added162,403
278.44%
RESIDEO TECHNOLOGIES INC    (COMMON200,45354,925
Added145,528
264.95%
ONESPAN INC    (COMMON STOCK)50,43714,245
Added36,192
254.06%
TRANSUNION    (COMMON STOCK)311,88690,878
Added221,008
243.19%
PQ GROUP HOLDINGS INC    (COMMON ST58,32517,314
Added41,011
236.86%
SWITCH INC A    (COMMON STOCK)93,30727,960
Added65,347
233.71%
REPLIMUNE GROUP INC    (COMMON STOC18,1785,494
Added12,684
230.87%
R1 RCM INC    (COMMON STOCK)157,60348,026
Added109,577
228.16%
POLARITYTE INC    (COMMON STOCK)21,6056,601
Added15,004
227.29%
WILLSCOT CORP    (COMMON STOCK)79,52724,471
Added55,056
224.98%
SUMMIT MATERIALS INC CL A    (COMM173,27553,352
Added119,923
224.77%
SNAP INC A    (COMMON STOCK)50,77815,775
Added35,003
221.88%
NEXTGEN HEALTHCARE INC    (COMMON S83,22325,937
Added57,286
220.86%
SYNEOS HEALTH INC    (COMMON STOCK)95,88330,854
Added65,029
210.76%
SELECT INTERIOR CONCEPTS A    (COMM32,94210,717
Added22,225
207.38%
RED ROCK RESORTS INC CLASS A    (CO107,50435,372
Added72,132
203.92%
OLLIE S BARGAIN OUTLET HOLDI    (CO83,71527,823
Added55,892
200.88%
STRATEGIC EDUCATION INC    (COMMON 32,84011,329
Added21,511
189.87%
QUOTIENT TECHNOLOGY INC    (COMMON 122,12144,319
Added77,802
175.54%
STITCH FIX INC CLASS A    (COMMON S64,57123,573
Added40,998
173.91%
TIDEWATER INC    (COMMON STOCK)58,04722,051
Added35,996
163.23%
WESTERN NEW ENGLAND BANCORP    (COM37,10814,690
Added22,418
152.60%
OFFICE PROPERTIES INCOME TRU    (RE73,46529,760
Added43,705
146.85%
TELADOC HEALTH INC    (COMMON STOCK109,98345,224
Added64,759
143.19%
SMARTSHEET INC CLASS A    (COMMON S135,48156,006
Added79,475
141.90%
SIMPLY GOOD FOODS CO THE    (COMMON109,21947,302
Added61,917
130.89%
OOMA INC    (COMMON STOCK)29,87213,450
Added16,422
122.09%
UNDER ARMOUR INC CLASS C    (COMMON333,077151,653
Added181,424
119.63%
VERSUM MATERIALS INC    (COMMON STO173,60780,766
Added92,841
114.95%
READY CAPITAL CORP    (REIT)48,02623,025
Added25,001
108.58%
PETIQ INC    (COMMON STOCK)29,07214,110
Added14,962
106.03%
SCHNEIDER NATIONAL INC CL B    (COM88,03743,416
Added44,621
102.77%
RBB BANCORP    (COMMON STOCK)24,99312,597
Added12,396
98.40%
SEASPINE HOLDINGS CORP    (COMMON S24,42012,353
Added12,067
97.68%
WASHINGTON PRIME GROUP INC    (REIT288,366152,232
Added136,134
89.42%
ORIGIN BANCORP INC    (COMMON STOCK29,76015,967
Added13,793
86.38%
SCHOLAR ROCK HOLDING CORP    (COMMO23,87013,192
Added10,678
80.94%
TRADE DESK INC THE CLASS A    (COM60,30233,612
Added26,690
79.40%
PLAYAGS INC    (COMMON STOCK)40,96523,347
Added17,618
75.46%
NOVANTA INC    (COMMON STOCK)51,85529,872
Added21,983
73.59%
REGENXBIO INC    (COMMON STOCK)51,39630,367
Added21,029
69.24%
WHITING PETROLEUM CORP    (COMMON S140,09583,223
Added56,872
68.33%
TOPBUILD CORP    (COMMON STOCK)52,25532,239
Added20,016
62.08%
US WELL SERVICES INC    (COMMON STO30,90019,849
Added11,051
55.67%
ORTHOPEDIATRICS CORP    (COMMON STO13,5088,737
Added4,771
54.60%
VAPOTHERM INC    (COMMON STOCK)7,2674,748
Added2,519
53.05%
SENSEONICS HOLDINGS INC    (COMMON 164,265109,219
Added55,046
50.39%
SAVARA INC    (COMMON STOCK)48,90832,982
Added15,926
48.28%
REDFIN CORP    (COMMON STOCK)135,93691,883
Added44,053
47.94%
PARK HOTELS RESORTS INC    (REIT)324,602220,728
Added103,874
47.05%
SAILPOINT TECHNOLOGIES HOLDI    (CO132,02991,237
Added40,792
44.70%
UNIVAR INC    (COMMON STOCK)250,828173,607
Added77,221
44.48%
TANDEM DIABETES CARE INC    (COMMON85,45660,302
Added25,154
41.71%
PRINCIPIA BIOPHARMA INC    (COMMON 20,62114,659
Added5,962
40.67%
ROSEHILL RESOURCES INC    (COMMON S16,06511,463
Added4,602
40.14%
TRANSLATE BIO INC    (COMMON STOCK)45,22432,737
Added12,487
38.14%
PARSONS CORP    (COMMON STOCK)28,76321,126
Added7,637
36.14%
REV GROUP INC    (COMMON STOCK)41,81830,950
Added10,868
35.11%
REATA PHARMACEUTICALS INC A    (COM30,95022,969
Added7,981
34.74%
NORTHWEST NATURAL HOLDING CO    (CO44,32833,095
Added11,233
33.94%
TAILORED BRANDS INC    (COMMON STOC76,07057,004
Added19,066
33.44%
VBI VACCINES INC    (COMMON STOCK)129,18899,909
Added29,279
29.30%
SOLID BIOSCIENCES INC    (COMMON ST23,29518,087
Added5,208
28.79%
TELARIA INC    (COMMON STOCK)67,18152,255
Added14,926
28.56%
TPG RE FINANCE TRUST INC    (REIT)76,33467,181
Added9,153
13.62%
PEOPLE S UTAH BANCORP    (COMMON ST24,14021,605
Added2,535
11.73%
OPTINOSE INC    (COMMON STOCK)38,37135,748
Added2,623
7.33%
OP BANCORP    (COMMON STOCK)19,78418,451
Added1,333
7.22%
SYROS PHARMACEUTICALS INC    (COMMO53,35250,845
Added2,507
4.93%
RAFAEL HOLDINGS INC CLASS B    (COM16,22815,829
Added399
2.52%
RIMINI STREET INC    (COMMON STOCK)30,36729,665
Added702
2.36%
ROKU INC    (COMMON STOCK)130,331129,192
Added1,139
0.88%
PDVWIRELESS INC    (COMMON STOCK)14,24514,355
Reduced110
0.76%
PENNYMAC FINANCIAL SERVICES    (COM38,46140,965
Reduced2,504
6.11%
PROTAGONIST THERAPEUTICS INC    (CO23,34724,993
Reduced1,646
6.58%
SOLARWINDS CORP    (COMMON STOCK)71,38376,565
Reduced5,182
6.76%
PACIFIC CITY FINANCIAL CORP    (COM19,06120,868
Reduced1,807
8.65%
WINGSTOP INC    (COMMON STOCK)45,18849,960
Reduced4,772
9.55%
RPT REALTY    (REIT)120,267135,936
Reduced15,669
11.52%
SPECTRUM BRANDS HOLDINGS INC    (CO56,00664,571
Reduced8,565
13.26%
RTW RETAILWINDS INC    (COMMON STOC44,31951,396
Reduced7,077
13.76%
ROAN RESOURCES INC    (COMMON STOCK54,92564,486
Reduced9,561
14.82%
ORGANOGENESIS HOLDINGS INC    (COMM16,22019,061
Reduced2,841
14.90%
SPIRIT REALTY CAPITAL INC    (REIT)138,015170,330
Reduced32,315
18.97%
TRIBUNE PUBLISHING CO    (COMMON ST26,99133,620
Reduced6,629
19.71%
TWIST BIOSCIENCE CORP    (COMMON ST32,73741,091
Reduced8,354
20.33%
UPWORK INC    (COMMON STOCK)84,556106,898
Reduced22,342
20.90%
PJT PARTNERS INC A    (COMMON STO35,74845,847
Reduced10,099
22.02%
SPX FLOW INC    (COMMON STOCK)64,48684,240
Reduced19,754
23.44%
NI HOLDINGS INC    (COMMON STOCK)14,69019,784
Reduced5,094
25.74%
OPTIMIZERX CORP    (COMMON STOCK)18,45124,885
Reduced6,434
25.85%
ODONATE THERAPEUTICS INC    (COMMON11,94316,220
Reduced4,277
26.36%
NOVAVAX INC    (COMMON STOCK)36,13150,437
Reduced14,306
28.36%
TYME TECHNOLOGIES INC    (COMMON ST90,878129,188
Reduced38,310
29.65%
TARGET HOSPITALITY CORP    (COMMON 50,84573,086
Reduced22,241
30.43%
RAMACO RESOURCES INC    (COMMON STO12,59718,178
Reduced5,581
30.70%
SHAKE SHACK INC CLASS A    (COMMO43,41662,928
Reduced19,512
31.00%
OCH ZIFF CAPITAL MANAGE A    (COMMO25,93738,371
Reduced12,434
32.40%
TWILIO INC A    (COMMON STOCK)188,520284,976
Reduced96,456
33.84%
RHYTHM PHARMACEUTICALS INC    (COMM35,37253,799
Reduced18,427
34.25%
RA PHARMACEUTICALS INC    (COMMON S48,21274,072
Reduced25,860
34.91%
SEACOR MARINE HOLDINGS INC    (COMM29,66548,908
Reduced19,243
39.34%
PIERIS PHARMACEUTICALS INC    (COMM71,258123,059
Reduced51,801
42.09%
SUTRO BIOPHARMA INC    (COMMON STOC16,75230,033
Reduced13,281
44.22%
VERRICA PHARMACEUTICALS INC    (COM19,84937,167
Reduced17,318
46.59%
VIRTU FINANCIAL INC CLASS A    (COM74,520140,095
Reduced65,575
46.80%
SECUREWORKS CORP A    (COMMON STO13,14924,757
Reduced11,608
46.88%
SHOCKWAVE MEDICAL INC    (COMMON ST10,18119,596
Reduced9,415
48.04%
PENUMBRA INC    (COMMON STOCK)50,01899,030
Reduced49,012
49.49%
RESTORBIO INC    (COMMON STOCK)23,02545,785
Reduced22,760
49.71%
VIKING THERAPEUTICS INC    (COMMON 99,909199,968
Reduced100,059
50.03%
XBIOTECH INC    (COMMON STOCK)25,72251,855
Reduced26,133
50.39%
PARKER DRILLING CO POST BANK    (CO14,35529,072
Reduced14,717
50.62%
RIBBON COMMUNICATIONS INC    (COMMO91,883186,478
Reduced94,595
50.72%
SPIRIT OF TEXAS BANCSHARES I    (CO18,08737,004
Reduced18,917
51.12%
SURGERY PARTNERS INC    (COMMON STO37,00476,334
Reduced39,330
51.52%
SPERO THERAPEUTICS INC    (COMMON S15,77532,840
Reduced17,065
51.96%
PDL COMMUNITY BANCORP    (COMMON ST13,45028,763
Reduced15,313
53.23%
VOYAGER THERAPEUTICS INC    (COMMON37,16779,527
Reduced42,360
53.26%
SPIRE INC    (COMMON STOCK)76,565173,275
Reduced96,710
55.81%
PAGERDUTY INC    (COMMON STOCK)15,96738,461
Reduced22,494
58.48%
PULSE BIOSCIENCES INC    (COMMON ST17,31441,818
Reduced24,504
58.59%
RUBIUS THERAPEUTICS INC    (COMMON 53,799132,029
Reduced78,230
59.25%
SYNDAX PHARMACEUTICALS INC    (COMM30,95076,070
Reduced45,120
59.31%
NEXTCURE INC    (COMMON STOCK)4,45211,943
Reduced7,491
62.72%
VIEWRAY INC    (COMMON STOCK)106,898288,366
Reduced181,468
62.92%
RAPID7 INC    (COMMON STOCK)74,072200,453
Reduced126,381
63.04%
SHOTSPOTTER INC    (COMMON STOCK)12,35334,474
Reduced22,121
64.16%
SAFEHOLD INC    (REIT)11,46332,942
Reduced21,479
65.20%
SOLARIS OILFIELD INFRAST A    (COMM47,302138,015
Reduced90,713
65.72%
NINE ENERGY SERVICE INC    (COMMON 24,47173,465
Reduced48,994
66.69%
ONCOCYTE CORP    (COMMON STOCK)33,09599,626
Reduced66,531
66.78%
TURNING POINT THERAPEUTICS I    (CO10,22530,900
Reduced20,675
66.90%
PHUNWARE INC    (COMMON STOCK)6,66620,621
Reduced13,955
67.67%
OVERSEAS SHIPHOLDING GROUP A    (CO99,626324,602
Reduced224,976
69.30%
PROTECTIVE INSURANCE CORP B    (CO14,67148,212
Reduced33,541
69.56%
PCSB FINANCIAL CORP    (COMMON STOC24,88583,051
Reduced58,166
70.03%
PHASEBIO PHARMACEUTICALS INC    (CO21,12671,011
Reduced49,885
70.24%
NLIGHT INC    (COMMON STOCK)49,960167,933
Reduced117,973
70.25%
PENN VIRGINIA CORP    (COMMON STOCK20,86871,258
Reduced50,390
70.71%
SHARPSPRING INC    (COMMON STOCK)13,19245,707
Reduced32,515
71.13%
SANDRIDGE ENERGY INC    (COMMON STO47,227164,265
Reduced117,038
71.24%
SYNLOGIC INC    (COMMON STOCK)23,57385,456
Reduced61,883
72.41%
TALOS ENERGY INC    (COMMON STOCK)30,854112,826
Reduced81,972
72.65%
TABULA RASA HEALTHCARE INC    (COMM30,033109,983
Reduced79,950
72.69%
STERLING BANCORP INC MI    (COMMON 26,13095,883
Reduced69,753
72.74%
WRAP TECHNOLOGIES INC    (COMMON ST11,71344,328
Reduced32,615
73.57%
RH    (COMMON STOCK)28,062107,504
Reduced79,442
73.89%
VERRA MOBILITY CORP    (COMMON STOC151,653676,110
Reduced524,457
77.56%
SILK ROAD MEDICAL INC    (COMMON ST10,71750,778
Reduced40,061
78.89%
PURPLE INNOVATION INC    (COMMON ST5,66028,062
Reduced22,402
79.83%
SOUTH PLAINS FINANCIAL INC    (COMM5,25026,130
Reduced20,880
79.90%
SONOS INC    (COMMON STOCK)107,394550,412
Reduced443,018
80.48%
TACTILE SYSTEMS TECHNOLOGY I    (CO27,960145,390
Reduced117,430
80.76%
TENABLE HOLDINGS INC    (COMMON STO57,004311,886
Reduced254,882
81.72%
SI BONE INC    (COMMON STOCK)24,757135,481
Reduced110,724
81.72%
SMARTFINANCIAL INC    (COMMON STOCK19,596107,394
Reduced87,798
81.75%
PROPETRO HOLDING CORP    (COMMON ST123,059687,402
Reduced564,343
82.09%
RETAIL VALUE INC    (REIT)22,969130,331
Reduced107,362
82.37%
PALOMAR HOLDINGS INC    (COMMON STO8,73750,018
Reduced41,281
82.53%
TOCAGEN INC    (COMMON STOCK)31,829188,520
Reduced156,691
83.11%
ORTHOFIX MEDICAL INC    (COMMON STO27,823165,385
Reduced137,562
83.17%
WAITR HOLDINGS INC    (COMMON STOCK80,766511,531
Reduced430,765
84.21%
UBER TECHNOLOGIES INC    (COMMON ST287,0981,820,512
Reduced1,533,414
84.22%
SILVERBOW RESOURCES INC    (COMMON 11,21771,383
Reduced60,166
84.28%
SERES THERAPEUTICS INC    (COMMON S32,982222,037
Reduced189,055
85.14%
RELIANT BANCORP INC    (COMMON STOC15,829109,500
Reduced93,671
85.54%
SB ONE BANCORP    (COMMON STOCK)12,60388,037
Reduced75,434
85.68%
NORTHEAST BANK    (COMMON STOCK)11,85683,715
Reduced71,859
85.83%
TWIN RIVER WORLDWIDE HOLDING    (CO32,239250,828
Reduced218,589
87.14%
VINCE HOLDING CORP    (COMMON STOCK4,74837,108
Reduced32,360
87.20%
ROCKET PHARMACEUTICALS INC    (COMM45,785372,693
Reduced326,908
87.71%
QUANTERIX CORP    (COMMON STOCK)14,659120,267
Reduced105,608
87.81%
TRICIDA INC    (COMMON STOCK)33,612287,098
Reduced253,486
88.29%
VERSO CORP A    (COMMON STOCK)53,681508,183
Reduced454,502
89.43%
TCR2 THERAPEUTICS INC    (COMMON ST2,73231,829
Reduced29,097
91.41%
PRIORITY TECHNOLOGY HOLDINGS    (CO10,091122,121
Reduced112,030
91.73%
TTEC HOLDINGS INC    (COMMON STOCK)22,051333,077
Reduced311,026
93.37%
UNITY BIOTECHNOLOGY INC    (COMMON 41,091710,240
Reduced669,149
94.21%
SOLITON INC    (COMMON STOCK)3,37466,393
Reduced63,019
94.91%
PROVIDENT BANCORP INC    (COMMON ST6,601157,603
Reduced151,002
95.81%
PRECISION BIOSCIENCES INC    (COMMO14,110363,642
Reduced349,532
96.11%
TRANSMEDICS GROUP INC    (COMMON ST10,163431,379
Reduced421,216
97.64%
SYNTHORX INC    (COMMON STOCK)11,329496,150
Reduced484,821
97.71%
RED RIVER BANCSHARES INC    (COMMON1,072162,137
Reduced161,065
99.33%
SONIM TECHNOLOGIES INC    (COMMON S5,547984,661
Reduced979,114
99.43%
ROADRUNNER TRANSPORTATION SY    (CO5,4941,675,643
Reduced1,670,149
99.67%
PIER 1 IMPORTS INC    (COMMON STOCK110,091
Reduced10,090
99.99%
* Portfolios do not reflect changes after reporting
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John Paulson
George Soros

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