HoldingsChannel.com
New Mexico Educational Retirement Board Top Holdings
As of  06/30/2023, below is a summary of the New Mexico Educational Retirement Board top holdings by largest position size, as per the latest 13f filing made by New Mexico Educational Retirement Board. In the New Mexico Educational Retirement Board-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 New Mexico Educational Retirement Board in that top holding, then the share count change between reporting periods, and finally the New Mexico Educational Retirement Board top holding position size for that row.

   EntityAmountChange
 03/31/2023 to 06/30/2023
Position Size
($ in 1000's)
APPLE INC 719,264 +27,300 $139,516
     AAPL719,264+27,300$139,516
MICROSOFT CORP 361,647 +16,700 $123,155
     MSFT361,647+16,700$123,155
AMAZON.COM INC 433,100 +22,400 $56,459
     AMZN433,100+22,400$56,459
NVIDIA CORP 119,528 +4,300 $50,563
     NVDA119,528+4,300$50,563
ALPHABET INC CL A 289,320 +12,900 $34,632
     GOOGL289,320+12,900$34,632
TESLA INC 130,700 +6,500 $34,213
     TSLA130,700+6,500$34,213
META PLATFORMS INC CLASS A 108,050 +4,000 $31,008
     META108,050+4,000$31,008
ALPHABET INC CL C 248,580 +3,600 $30,071
     GOOG248,580+3,600$30,071
BERKSHIRE HATHAWAY INC CL B      $29,857
     BRK.B87,557+4,200$29,857
UNITEDHEALTH GROUP INC 45,420 +2,200 $21,831
     UNH45,420+2,200$21,831
EXXON MOBIL CORP 200,030 +9,500 $21,453
     XOM200,030+9,500$21,453
JOHNSON JOHNSON 126,993 +6,000 $21,020
     JNJ126,993+6,000$21,020
JPMORGAN CHASE CO 142,550 +6,800 $20,732
     JPM142,550+6,800$20,732
VISA INC CLASS A SHARES (V) 78,934 +3,300 $18,745
     V78,934+3,300$18,745
ELI LILLY CO 38,308 +1,800 $17,966
     LLY38,308+1,800$17,966
BROADCOM INC 20,346 +1,600 $17,649
     AVGO20,346+1,600$17,649
PROCTER GAMBLE CO THE 114,568 +4,900 $17,385
     PG114,568+4,900$17,385
MASTERCARD INC A 41,010 +1,700 $16,129
     MA41,010+1,700$16,129
HOME DEPOT INC 49,492 +2,100 $15,374
     HD49,492+2,100$15,374
MERCK CO. INC. 123,186 +5,900 $14,214
     MRK123,186+5,900$14,214
CHEVRON CORP 86,416 +4,100 $13,598
     CVX86,416+4,100$13,598
PEPSICO INC 66,885 +3,100 $12,388
     PEP66,885+3,100$12,388
COSTCO WHOLESALE CORP 21,565 +1,100 $11,610
     COST21,565+1,100$11,610
ABBVIE INC 85,955 +4,100 $11,581
     ABBV85,955+4,100$11,581
COCA COLA CO THE 189,120 +9,000 $11,389
     KO189,120+9,000$11,389
ADOBE INC 22,218 +700 $10,864
     ADBE22,218+700$10,864
WALMART INC 68,093 +2,800 $10,703
     WMT68,093+2,800$10,703
MCDONALD S CORP 35,619 +1,700 $10,629
     MCD35,619+1,700$10,629
CISCO SYSTEMS INC 199,574 +9,600 $10,326
     CSCO199,574+9,600$10,326
SALESFORCE INC 48,586 +2,300 $10,264
     CRM48,586+2,300$10,264
PFIZER INC 272,700 +12,900 $10,003
     PFE272,700+12,900$10,003
THERMO FISHER SCIENTIFIC INC 19,062 +900 $9,946
     TMO19,062+900$9,946
BANK OF AMERICA CORP 339,054 +16,100 $9,727
     BAC339,054+16,100$9,727
NETFLIX INC 21,621 +1,000 $9,524
     NFLX21,621+1,000$9,524
ACCENTURE PLC CL A 30,550 +1,400 $9,427
     ACN30,550+1,400$9,427
ABBOTT LABORATORIES 84,702 +4,000 $9,234
     ABT84,702+4,000$9,234
LINDE PLC 23,936 +1,100 $9,122
     LIN23,936+1,100$9,122
ADVANCED MICRO DEVICES 78,350 +3,700 $8,925
     AMD78,350+3,700$8,925
ORACLE CORP 74,590 +3,500 $8,883
     ORCL74,590+3,500$8,883
COMCAST CORP CLASS A 204,416 +4,800 $8,493
     CMCSA204,416+4,800$8,493
TEXAS INSTRUMENTS INC 44,054 +2,100 $7,931
     TXN44,054+2,100$7,931
WALT DISNEY CO THE 88,755 +4,400 $7,924
     DIS88,755+4,400$7,924
WELLS FARGO CO 185,116 +8,800 $7,901
     WFC185,116+8,800$7,901
DANAHER CORP 31,835 +1,500 $7,640
     DHR31,835+1,500$7,640
VERIZON COMMUNICATIONS INC 204,071 +9,700 $7,589
     VZ204,071+9,700$7,589
PHILIP MORRIS INTERNATIONAL 75,311 +3,600 $7,352
     PM75,311+3,600$7,352
NEXTERA ENERGY INC 96,532 +4,600 $7,163
     NEE96,532+4,600$7,163
RAYTHEON TECHNOLOGIES CORP 71,176 +3,200 $6,972
     RTX71,176+3,200$6,972
HONEYWELL INTERNATIONAL INC 32,486 +1,400 $6,741
     HON32,486+1,400$6,741
INTEL CORP 200,970 +10,000 $6,720
     INTC200,970+10,000$6,720

See Full List: All Stocks Held By New Mexico Educational Retirement Board
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By New Mexico Educational Retirement Board

Size ($ in 1000's)
At 06/30/2023: $2,275,947
At 03/31/2023: $1,982,207

New Mexico Educational Retirement Board holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from New Mexico Educational Retirement Board 13F filings. Link to 13F filings: SEC filings

New Mexico Educational Retirement Board Top Holdings 13F Filings | www.HoldingsChannel.com

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