HoldingsChannel.com
Illinois Municipal Retirement Fund Top Holdings
As of  06/30/2023, below is a summary of the Illinois Municipal Retirement Fund top holdings by largest position size, as per the latest 13f filing made by Illinois Municipal Retirement Fund. In the Illinois Municipal Retirement Fund-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares held by Illinois Municipal Retirement Fund in that top holding, then the share count change between reporting periods, and finally the Illinois Municipal Retirement Fund top holding position size for that row.

   EntityAmountChange
 03/31/2023 to 06/30/2023
Position Size
($ in 1000's)
APPLE INC 943,638 -124,340 $183,037
     AAPL943,638-124,340$183,037
MICROSOFT CORP 466,860 +19,661 $158,985
     MSFT466,860+19,661$158,985
AMAZON COM INC 556,840 -21,071 $72,590
     AMZN556,840-21,071$72,590
META PLATFORMS INC 222,011 +7,947 $63,713
     META222,011+7,947$63,713
ALPHABET INC 497,703 +49,930 $59,575
     GOOGL497,703+49,930$59,575
JOHNSON & JOHNSON 347,505 +94,301 $57,519
     JNJ347,505+94,301$57,519
NVIDIA CORPORATION 126,254 +1,272 $53,408
     NVDA126,254+1,272$53,408
MERCK & CO INC 444,471 +36,239 $51,288
     MRK444,471+36,239$51,288
EXXON MOBIL CORP 449,999 -121,769 $48,262
     XOM449,999-121,769$48,262
LILLY ELI & CO 85,514 +14,331 $40,104
     LLY85,514+14,331$40,104
ALPHABET INC 312,560 UNCH $37,810
     GOOG312,560UNCH$37,810
WALMART INC 234,367 +53,843 $36,838
     WMT234,367+53,843$36,838
UNITEDHEALTH GROUP INC 76,185 +17,344 $36,618
     UNH76,185+17,344$36,618
BRISTOL MYERS SQUIBB CO 520,933 +24,299 $33,314
     BMY520,933+24,299$33,314
SYNOPSYS INC 76,004 +6,263 $33,093
     SNPS76,004+6,263$33,093
CISCO SYS INC 627,544 -94,422 $32,469
     CSCO627,544-94,422$32,469
COSTCO WHSL CORP NEW 59,063 -11,852 $31,798
     COST59,063-11,852$31,798
PROCTER AND GAMBLE CO 207,137 +51,877 $31,431
     PG207,137+51,877$31,431
COLGATE PALMOLIVE CO 386,797 +124,124 $29,799
     CL386,797+124,124$29,799
VERTEX PHARMACEUTICALS INC 82,603 -7,259 $29,069
     VRTX82,603-7,259$29,069
MASTERCARD INCORPORATED 73,040 +4,042 $28,727
     MA73,040+4,042$28,727
TESLA INC 108,319 +2,029 $28,355
     TSLA108,319+2,029$28,355
VERIZON COMMUNICATIONS INC 720,675 +6,426 $26,802
     VZ720,675+6,426$26,802
PEPSICO INC 141,017 -2,991 $26,119
     PEP141,017-2,991$26,119
ADOBE SYSTEMS INCORPORATED 52,316 -6,762 $25,582
     ADBE52,316-6,762$25,582
KIMBERLY CLARK CORP 174,913 +50,163 $24,148
     KMB174,913+50,163$24,148
CHEVRON CORP NEW 152,591 -103,834 $24,010
     CVX152,591-103,834$24,010
COMCAST CORP NEW 568,738 +142,609 $23,631
     CMCSA568,738+142,609$23,631
MARATHON PETE CORP 200,939 +70,301 $23,429
     MPC200,939+70,301$23,429
BROADCOM INC 26,786 -4,393 $23,235
     AVGO26,786-4,393$23,235
GILEAD SCIENCES INC 300,631 -38,054 $23,170
     GILD300,631-38,054$23,170
AMGEN INC 100,267 +18,137 $22,261
     AMGN100,267+18,137$22,261
CVS HEALTH CORP 319,536 +126,164 $22,090
     CVS319,536+126,164$22,090
CADENCE DESIGN SYSTEM INC 93,106 -65,016 $21,835
     CDNS93,106-65,016$21,835
WELLS FARGO CO NEW 509,022 +190,763 $21,725
     WFC509,022+190,763$21,725
ELEVANCE HEALTH INC 48,789 +13,671 $21,676
     ELV48,789+13,671$21,676
VERISIGN INC 95,304 -17,991 $21,536
     VRSN95,304-17,991$21,536
KEYSIGHT TECHNOLOGIES INC 128,566 +32,374 $21,528
     KEYS128,566+32,374$21,528
PFIZER INC 585,361 -168,303 $21,471
     PFE585,361-168,303$21,471
KRAFT HEINZ CO 599,790 +173,736 $21,293
     KHC599,790+173,736$21,293
JPMORGAN CHASE & CO 145,700 UNCH $21,191
     JPM145,700UNCH$21,191
ABBVIE INC 155,587 +53,720 $20,962
     ABBV155,587+53,720$20,962
VISA INC 88,025 -684 $20,904
     V88,025-684$20,904
NUCOR CORP 126,365 +4,154 $20,721
     NUE126,365+4,154$20,721
ABBOTT LABS 187,057 -71,710 $20,393
     ABT187,057-71,710$20,393
ACCENTURE PLC IRELAND 65,579 -13,421 $20,236
     ACN65,579-13,421$20,236
GARTNER INC 56,669 +21,839 $19,852
     IT56,669+21,839$19,852
HOME DEPOT INC 63,610 UNCH $19,760
     HD63,610UNCH$19,760
APPLIED MATLS INC 136,687 -26,704 $19,757
     AMAT136,687-26,704$19,757
GRAINGER W W INC 24,884 -6,380 $19,623
     GWW24,884-6,380$19,623

See Full List: All Stocks Held By Illinois Municipal Retirement Fund
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By Illinois Municipal Retirement Fund

Size ($ in 1000's)
At 06/30/2023: $4,972,408
At 03/31/2023: $4,693,894

Illinois Municipal Retirement Fund holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Illinois Municipal Retirement Fund 13F filings. Link to 13F filings: SEC filings

Illinois Municipal Retirement Fund Top Holdings 13F Filings | www.HoldingsChannel.com

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