HoldingsChannel.com
New York Life Investment Management LLC Top Holdings
As of  09/30/2022, below is a summary of the New York Life Investment Management LLC top holdings by largest position size, as per the latest 13f filing made by New York Life Investment Management LLC. In the New York Life Investment Management LLC-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 York Life Investment Management LLC in that top holding, then the share count change between reporting periods, and finally the New York Life Investment Management LLC top holding position size for that row.

   EntityAmountChange
 06/30/2022 to 09/30/2022
Position Size
($ in 1000's)
APPLE INC 2,388,048 -47,536 $330,028
     AAPL2,388,048-47,536$330,028
INDEXIQ ETF TR (IQSU) 9,561,623 -580,892 $293,400
     IQSU9,561,623-580,892$293,400
MICROSOFT CORP 1,179,795 -3,142 $274,773
     MSFT1,179,795-3,142$274,773
INDEXIQ ETF TR (CLRG) 8,970,677 -324,697 $254,578
     CLRG8,970,677-324,697$254,578
INDEXIQ ETF TR (CSML) 6,172,348 +573,927 $178,320
     CSML6,172,348+573,927$178,320
INDEXIQ ACTIVE ETF TR (ESGB) 8,636,192 +611,246 $177,903
     ESGB8,636,192+611,246$177,903
INDEXIQ ETF TR (IQIN) 6,658,182 +449,421 $161,191
     IQIN6,658,182+449,421$161,191
INDEXIQ ETF TR (IQSI) 7,622,048 +497,965 $160,504
     IQSI7,622,048+497,965$160,504
AMAZON COM INC 1,398,047 +11,206 $157,978
     AMZN1,398,047+11,206$157,978
VANGUARD SCOTTSDALE FDS (VCSH) 1,543,249 -84,106 $114,632
     VCSH1,543,249-84,106$114,632
INDEXIQ ETF TR (HFXI) 5,752,656 +45,392 $110,847
     HFXI5,752,656+45,392$110,847
TESLA INC 417,575 +284,788 $110,761
     TSLA417,575+284,788$110,761
ALPHABET INC 973,245 +924,367 $93,091
     GOOGL973,245+924,367$93,091
ALPHABET INC 842,131 +799,033 $80,972
     GOOG842,131+799,033$80,972
UNITEDHEALTH GROUP INC 139,086 -333 $70,245
     UNH139,086-333$70,245
SPDR SER TR (CWB) 1,091,755 -39,929 $69,109
     CWB1,091,755-39,929$69,109
SSGA ACTIVE ETF TR (SRLN) 1,680,080 -197,763 $68,664
     SRLN1,680,080-197,763$68,664
BERKSHIRE HATHAWAY INC DEL      $67,735
     BRK.B253,672+108$67,735
EXXON MOBIL CORP 712,430 +55,803 $62,202
     XOM712,430+55,803$62,202
JOHNSON & JOHNSON 375,138 +933 $61,283
     JNJ375,138+933$61,283
INDEXIQ ACTIVE ETF TR (ULTR) 1,281,158 -1,000,222 $60,650
     ULTR1,281,158-1,000,222$60,650
ISHARES TR (IGSB) 1,135,787 -158,730 $55,972
     IGSB1,135,787-158,730$55,972
VANGUARD WORLD FD (MGC) 417,667 +47,870 $52,133
     MGC417,667+47,870$52,133
NVIDIA CORPORATION 392,733 -6,183 $47,672
     NVDA392,733-6,183$47,672
PROCTER AND GAMBLE CO 376,648 -3,400 $47,551
     PG376,648-3,400$47,551
HOME DEPOT INC 171,998 -2,274 $47,461
     HD171,998-2,274$47,461
INVESCO EXCH TRADED FD TR II (BKLN) 2,295,215 -222,374 $46,340
     BKLN2,295,215-222,374$46,340
META PLATFORMS INC 339,817 -1,041 $46,107
     FB339,817-1,041$46,107
VISA INC 257,206 -2,906 $45,694
     V257,206-2,906$45,694
VANGUARD SCOTTSDALE FDS (VGIT) 754,009 +314,217 $43,967
     VGIT754,009+314,217$43,967
NIELSEN HLDGS PLC 1,565,659 +7,360 $43,400
     NLSN1,565,659+7,360$43,400
JPMORGAN CHASE & CO 415,176 +568 $43,388
     JPM415,176+568$43,388
ISHARES TR (IEFA) 804,092 -217,537 $42,351
     IEFA804,092-217,537$42,351
ZENDESK INC 549,392 +549,392 $41,808
     ZEN549,392+549,392$41,808
LILLY ELI & CO 126,449 -562 $40,887
     LLY126,449-562$40,887
CHEVRON CORP NEW 282,612 -25,301 $40,602
     CVX282,612-25,301$40,602
MASTERCARD INCORPORATED 134,311 -1,545 $38,190
     MA134,311-1,545$38,190
PFIZER INC 867,050 +1,403 $37,942
     PFE867,050+1,403$37,942
ABBVIE INC 270,217 -762 $36,265
     ABBV270,217-762$36,265
1LIFE HEALTHCARE INC 2,083,640 +2,083,640 $35,734
     ONEM2,083,640+2,083,640$35,734
PEPSICO INC 216,603 -1,906 $35,363
     PEP216,603-1,906$35,363
MERCK & CO INC 404,665 -1,914 $34,849
     MRK404,665-1,914$34,849
COCA COLA CO 612,544 -4,493 $34,314
     KO612,544-4,493$34,314
BK OF AMERICA CORP 1,103,304 -19,488 $33,319
     BAC1,103,304-19,488$33,319
ISHARES TR (IWD) 242,181 +65,155 $32,934
     IWD242,181+65,155$32,934
COSTCO WHSL CORP NEW 69,543 -358 $32,842
     COST69,543-358$32,842
ISHARES TR (FLOT) 649,183 -140,367 $32,634
     FLOT649,183-140,367$32,634
ACTIVISION BLIZZARD INC 430,382 +61,047 $31,995
     ATVI430,382+61,047$31,995
THERMO FISHER SCIENTIFIC INC 61,458 -2 $31,170
     TMO61,458-2$31,170
ISHARES TR (IEI) 269,975 +22,956 $30,853
     IEI269,975+22,956$30,853

See Full List: All Stocks Held By New York Life Investment Management LLC
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By New York Life Investment Management LLC

Size ($ in 1000's)
At 09/30/2022: $8,266,302
At 06/30/2022: $8,623,591

Combined Holding Report Includes:
NEW YORK LIFE INVESTMENT MANAGEMENT LLC
AMERICAN CENTURY INVESTMENT MANAGEMENT INC
Newton Investment Management North America Ltd
Candriam S.C.A.
CBRE INVESTMENT MANAGEMENT LISTED REAL ASSETS LLC
CUSHING ASSET MANAGEMENT LP
Brown Advisory LLC
Epoch Investment Partners Inc.
FIAM LLC
JANUS HENDERSON INVESTORS US LLC
MACKAY SHIELDS LLC
NYL Investors LLC
PACIFIC INVESTMENT MANAGEMENT CO LLC
SEGALL BRYANT & HAMILL LLC
Wellington Management Co LLP
Winslow Capital Management LLC
IndexIQ Advisors LLC
INDEXIQ LLC

New York Life Investment Management LLC holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from New York Life Investment Management LLC 13F filings. Link to 13F filings: SEC filings

New York Life Investment Management LLC Top Holdings 13F Filings | www.HoldingsChannel.com

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