HoldingsChannel.com
New York State Common Retirement Fund Top Holdings
As of  06/30/2019

   EntityAmountChange
 03/31/2019 to 06/30/2019
Position Size
($ in 1000's)
MICROSOFT CORPORATION 19,962,094 -458,100 $2,674,122
     MSFT19,962,094-458,100$2,674,122
APPLE INC 11,182,152 -546,980 $2,213,172
     AAPL11,182,152-546,980$2,213,172
AMAZON.COM INC 1,044,170 -5,636 $1,977,272
     AMZN1,044,170-5,636$1,977,272
FACEBOOK INC 6,492,483 -59,030 $1,253,049
     FB6,492,483-59,030$1,253,049
BERKSHIRE HATHAWAY INC CL      $1,091,360
     BRK.B5,119,669-55,755$1,091,360
ALPHABET INC CLASS C 936,208 -2,513 $1,011,957
     GOOG936,208-2,513$1,011,957
JOHNSON & JOHNSON 6,783,237 -197,774 $944,769
     JNJ6,783,237-197,774$944,769
JP MORGAN CHASE & COMPANY 7,930,171 -197,554 $886,593
     JPM7,930,171-197,554$886,593
ALPHABET INC CLASS A 796,752 -28,447 $862,723
     GOOGL796,752-28,447$862,723
VISA INC CLASS A 4,831,670 -100,001 $838,536
     V4,831,670-100,001$838,536
EXXON MOBIL CORPORATION 10,550,773 -232,904 $808,506
     XOM10,550,773-232,904$808,506
PROCTER & GAMBLE COMPANY 6,184,235 -152,390 $678,101
     PG6,184,235-152,390$678,101
MASTERCARD INC CLASS A 2,461,013 -75,554 $651,012
     MA2,461,013-75,554$651,012
PFIZER INC 14,798,635 -625,004 $641,077
     PFE14,798,635-625,004$641,077
BANK OF AMERICA CORP      $640,402
     BAC21,640,287-1,789,429$627,568
     BAC.PRL9,354UNCH$12,834
WALT DISNEY COMPANY THE 4,523,319 -406,231 $631,636
     DIS4,523,319-406,231$631,636
VERIZON COMMUNICATIONS 10,931,222 +407,343 $624,501
     VZ10,931,222+407,343$624,501
CISCO SYSTEMS INC 11,121,642 -517,497 $608,687
     CSCO11,121,642-517,497$608,687
CHEVRON CORPORATION 4,881,408 -89,512 $607,442
     CVX4,881,408-89,512$607,442
UNITEDHEALTH GROUP INC 2,479,566 -109,126 $605,039
     UNH2,479,566-109,126$605,039
WELLS FARGO & COMPANY      $599,391
     WFC12,393,639-211,504$586,467
     WFC.PRL9,474UNCH$12,924
AT&T INC 17,718,485 -127,684 $593,746
     T17,718,485-127,684$593,746
COMCAST CORP CLASS A 13,720,160 -142,889 $580,088
     CMCSA13,720,160-142,889$580,088
MERCK & COMPANY INC 6,825,762 -297,254 $572,340
     MRK6,825,762-297,254$572,340
HOME DEPOT INC THE 2,739,502 -115,608 $569,734
     HD2,739,502-115,608$569,734
CITIGROUP INC 8,135,289 -244,900 $569,714
     C8,135,289-244,900$569,714
INTEL CORPORATION 10,957,146 -305,822 $524,519
     INTC10,957,146-305,822$524,519
PEPSICO INC 3,766,264 -106,250 $493,870
     PEP3,766,264-106,250$493,870
COCA COLA COMPANY THE 9,536,625 -220,312 $485,605
     KO9,536,625-220,312$485,605
BOEING COMPANY THE 1,268,508 -5,264 $461,750
     BA1,268,508-5,264$461,750
ORACLE CORPORATION 7,926,876 -750,978 $451,594
     ORCL7,926,876-750,978$451,594
MCDONALD S CORPORATION 2,016,443 -61,697 $418,735
     MCD2,016,443-61,697$418,735
WAL MART INC 3,516,926 -87,974 $388,585
     WMT3,516,926-87,974$388,585
NETFLIX INC 1,040,227 +11,486 $382,096
     NFLX1,040,227+11,486$382,096
ADOBE INC 1,244,448 -33,900 $366,677
     ADBE1,244,448-33,900$366,677
ABBOTT LABORATORIES 4,223,395 -60,333 $355,188
     ABT4,223,395-60,333$355,188
MEDTRONIC PLC 3,559,866 -199,905 $346,695
     MDT3,559,866-199,905$346,695
THERMO FISHER SCIENTIFIC 1,159,791 -47,775 $340,607
     TMO1,159,791-47,775$340,607
TEXAS INSTRUMENTS INC 2,903,384 +21,708 $333,192
     TXN2,903,384+21,708$333,192
PAYPAL HOLDINGS INC 2,873,591 -83,899 $328,911
     PYPL2,873,591-83,899$328,911
ACCENTURE PLC CLASS A 1,757,793 -47,618 $324,787
     ACN1,757,793-47,618$324,787
HONEYWELL INTERNATIONAL 1,804,230 -39,357 $315,001
     HON1,804,230-39,357$315,001
STARBUCKS CORPORATION 3,695,229 -36,554 $309,771
     SBUX3,695,229-36,554$309,771
INTL BUSINESS MACHINES 2,204,385 -51,615 $303,985
     IBM2,204,385-51,615$303,985
UNION PACIFIC CORPORATION 1,776,100 -75,800 $300,356
     UNP1,776,100-75,800$300,356
COSTCO WHOLESALE CORP 1,120,472 -20,798 $296,096
     COST1,120,472-20,798$296,096
PHILIP MORRIS INTL INC 3,762,600 -74,700 $295,477
     PM3,762,600-74,700$295,477
NIKE INC CLASS B 3,453,506 -144,500 $289,922
     NKE3,453,506-144,500$289,922
AMGEN INC 1,559,123 -127,729 $287,315
     AMGN1,559,123-127,729$287,315
LINDE PLC 1,375,055 +13,202 $276,111
     LIN1,375,055+13,202$276,111

See Full List: All Stocks Held By New York State Common Retirement Fund
— Including:
     • Biggest new positions
     • Biggest exits
     • Biggest increased positions
     • Biggest decreased positions

See Details: Top 10 Stocks Held By New York State Common Retirement Fund

Size ($ in 1000's)
At 06/30/2019: $79,761,241
At 03/31/2019: $77,908,120

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

New York State Common Retirement Fund Top Holdings 13F Filings | www.HoldingsChannel.com

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