HoldingsChannel.com
California State Teachers Retirement System Top Holdings
As of  06/30/2020

   EntityAmountChange
 03/31/2020 to 06/30/2020
Position Size
($ in 1000's)
MICROSOFT CORP 14,602,157 -235,460 $2,971,685
     MSFT14,602,157-235,460$2,971,685
APPLE INC 8,089,962 -178,393 $2,951,218
     AAPL8,089,962-178,393$2,951,218
AMAZONCOM INC 823,131 +6,907 $2,270,870
     AMZN823,131+6,907$2,270,870
FACEBOOK INC CLASS A 4,682,927 -13,423 $1,063,352
     FB4,682,927-13,423$1,063,352
ALPHABET INC CL A 592,822 -65,325 $840,651
     GOOGL592,822-65,325$840,651
ALPHABET INC CL C 567,199 +42,989 $801,798
     GOOG567,199+42,989$801,798
JOHNSON JOHNSON 5,285,722 -57,918 $743,331
     JNJ5,285,722-57,918$743,331
BERKSHIRE HATHAWAY INC CL B      $651,950
     BRK.B3,652,176-68,617$651,950
VISA INC CLASS A SHARES (V) 3,324,541 -11,210 $642,202
     V3,324,541-11,210$642,202
PROCTER GAMBLE COTHE 4,666,526 -38,477 $557,977
     PG4,666,526-38,477$557,977
UNITEDHEALTH GROUP INC 1,859,858 -33,855 $548,565
     UNH1,859,858-33,855$548,565
JPMORGAN CHASE CO 5,752,504 -263,240 $541,081
     JPM5,752,504-263,240$541,081
HOME DEPOT INC 2,111,413 -8,496 $528,930
     HD2,111,413-8,496$528,930
INTEL CORP 8,416,208 -320,395 $503,542
     INTC8,416,208-320,395$503,542
MASTERCARD INC A 1,702,043 -20,455 $503,294
     MA1,702,043-20,455$503,294
VERIZON COMMUNICATIONS INC 8,195,128 -123,190 $451,797
     VZ8,195,128-123,190$451,797
NVIDIA CORP 1,145,856 +84,215 $435,322
     NVDA1,145,856+84,215$435,322
ATT INC 14,383,713 -552,910 $434,820
     T14,383,713-552,910$434,820
PAYPAL HOLDINGS INC 2,353,657 +73,687 $410,078
     PYPL2,353,657+73,687$410,078
ADOBE INC 925,528 -8,291 $402,892
     ADBE925,528-8,291$402,892
MERCK CO INC 5,172,244 -127,277 $399,970
     MRK5,172,244-127,277$399,970
WALT DISNEY COTHE 3,499,040 +127,667 $390,178
     DIS3,499,040+127,667$390,178
CISCO SYSTEMS INC 8,270,109 -327,427 $385,718
     CSCO8,270,109-327,427$385,718
NETFLIX INC 841,454 +24,237 $382,895
     NFLX841,454+24,237$382,895
PEPSICO INC 2,713,105 -24,108 $358,835
     PEP2,713,105-24,108$358,835
EXXON MOBIL CORP 7,929,111 -107,347 $354,590
     XOM7,929,111-107,347$354,590
PFIZER INC 10,765,699 -186,079 $352,038
     PFE10,765,699-186,079$352,038
COMCAST CORP CLASS A 9,008,150 -152,183 $351,138
     CMCSA9,008,150-152,183$351,138
BANK OF AMERICA CORP 14,664,032 -775,062 $348,271
     BAC14,664,032-775,062$348,271
COCA COLA COTHE 7,555,806 +64,977 $337,593
     KO7,555,806+64,977$337,593
ABBVIE INC 3,427,433 +527,027 $336,505
     ABBV3,427,433+527,027$336,505
WALMART INC 2,743,818 -169,161 $328,655
     WMT2,743,818-169,161$328,655
CHEVRON CORP 3,620,008 +5,635 $323,013
     CVX3,620,008+5,635$323,013
SALESFORCECOM INC 1,653,263 +26,641 $309,706
     CRM1,653,263+26,641$309,706
TESLA INC 286,380 +24,846 $309,236
     TSLA286,380+24,846$309,236
ABBOTT LABORATORIES 3,287,328 -44,899 $300,560
     ABT3,287,328-44,899$300,560
ELI LILLY CO 1,676,881 -35,665 $275,310
     LLY1,676,881-35,665$275,310
THERMO FISHER SCIENTIFIC INC 753,202 -19,817 $272,915
     TMO753,202-19,817$272,915
ACCENTURE PLC CL A 1,262,519 -17,068 $271,088
     ACN1,262,519-17,068$271,088
AMGEN INC 1,142,090 +59,316 $269,373
     AMGN1,142,090+59,316$269,373
BRISTOL MYERS SQUIBB CO 4,478,438 +21,620 $263,332
     BMY4,478,438+21,620$263,332
MCDONALD S CORP 1,416,769 -42,904 $261,351
     MCD1,416,769-42,904$261,351
COSTCO WHOLESALE CORP 854,413 -11,669 $259,067
     COST854,413-11,669$259,067
MEDTRONIC PLC 2,630,878 -40,092 $241,252
     MDT2,630,878-40,092$241,252
TEXAS INSTRUMENTS INC 1,871,422 -24,930 $237,614
     TXN1,871,422-24,930$237,614
BROADCOM INC 751,881 -324 $237,301
     AVGO751,881-324$237,301
NIKE INC CL B 2,362,898 +49,343 $231,682
     NKE2,362,898+49,343$231,682
NEXTERA ENERGY INC 927,154 +62,807 $222,675
     NEE927,154+62,807$222,675
ORACLE CORP 3,847,986 -139,198 $212,678
     ORCL3,847,986-139,198$212,678
UNION PACIFIC CORP 1,234,890 -130,906 $208,783
     UNP1,234,890-130,906$208,783

See Full List: All Stocks Held By California State Teachers Retirement System
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By California State Teachers Retirement System

Size ($ in 1000's)
At 06/30/2020: $56,793,195
At 03/31/2020: $46,438,381

California State Teachers Retirement System holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from California State Teachers Retirement System 13F filings. Link to 13F filings: SEC filings

California State Teachers Retirement System Top Holdings 13F Filings | www.HoldingsChannel.com

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