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

   EntityAmountChange
 03/31/2023 to 06/30/2023
Position Size
($ in 1000's)
APPLE INC 25,171,390 -887,109 $4,882,495
     AAPL25,171,390-887,109$4,882,495
MICROSOFT CORPORATION 13,083,816 -618,455 $4,455,563
     MSFT13,083,816-618,455$4,455,563
AMAZON.COM INC 16,272,750 -10,266 $2,121,316
     AMZN16,272,750-10,266$2,121,316
NVIDIA CORPORATION 3,996,148 -81,399 $1,690,451
     NVDA3,996,148-81,399$1,690,451
ALPHABET INC CLASS A 10,873,348 -400,134 $1,301,540
     GOOGL10,873,348-400,134$1,301,540
TESLA INC 4,375,700 +77,041 $1,145,427
     TSLA4,375,700+77,041$1,145,427
ALPHABET INC CLASS C 9,369,835 -480,025 $1,133,469
     GOOG9,369,835-480,025$1,133,469
META PLATFORMS INC 3,810,743 -181,285 $1,093,607
     META3,810,743-181,285$1,093,607
BERKSHIRE HATHAWAY INC CL      $971,028
     BRK.B2,847,589-120,129$971,028
UNITEDHEALTH GROUP INC 1,777,811 -92,857 $854,487
     UNH1,777,811-92,857$854,487
JOHNSON & JOHNSON 4,473,372 -130,976 $740,433
     JNJ4,473,372-130,976$740,433
JP MORGAN CHASE & COMPANY 5,023,528 -152,389 $730,622
     JPM5,023,528-152,389$730,622
ELI LILLY & COMPANY 1,476,695 -55,655 $692,540
     LLY1,476,695-55,655$692,540
EXXON MOBIL CORPORATION 6,445,826 -482,055 $691,315
     XOM6,445,826-482,055$691,315
VISA INC CLASS A 2,785,115 -108,641 $661,409
     V2,785,115-108,641$661,409
MASTERCARD INC CLASS A 1,636,689 -104,185 $643,710
     MA1,636,689-104,185$643,710
PROCTER & GAMBLE COMPANY 4,127,360 -99,801 $626,286
     PG4,127,360-99,801$626,286
BROADCOM INC 645,864 +12,431 $560,242
     AVGO645,864+12,431$560,242
HOME DEPOT INC THE 1,727,602 -59,674 $536,662
     HD1,727,602-59,674$536,662
MERCK & COMPANY INC 4,602,024 -73,800 $531,028
     MRK4,602,024-73,800$531,028
CHEVRON CORP 2,986,014 -456,065 $469,849
     CVX2,986,014-456,065$469,849
PEPSICO INC 2,425,257 -108,499 $449,206
     PEP2,425,257-108,499$449,206
COSTCO WHOLESALE CORP 772,744 -865 $416,030
     COST772,744-865$416,030
ADOBE INC 840,948 -362 $411,215
     ADBE840,948-362$411,215
THERMO FISHER SCIENTIFIC 771,954 -37,654 $402,767
     TMO771,954-37,654$402,767
BANK OF AMERICA CORP      $402,109
     BAC13,469,426-851,342$386,438
     BAC.PRL13,373UNCH$15,671
COCA COLA COMPANY THE 6,555,027 -219,124 $394,744
     KO6,555,027-219,124$394,744
ABBVIE INC 2,899,203 -68,791 $390,610
     ABBV2,899,203-68,791$390,610
WAL MART INC 2,483,513 +9,373 $390,359
     WMT2,483,513+9,373$390,359
PFIZER INC 10,505,841 -34,735 $385,354
     PFE10,505,841-34,735$385,354
WELLS FARGO & COMPANY      $380,628
     WFC8,502,054-316,382$362,868
     WFC.PRL15,417UNCH$17,760
CISCO SYSTEMS INC 7,307,000 -237,956 $378,064
     CSCO7,307,000-237,956$378,064
MCDONALD S CORPORATION 1,266,412 -68,472 $377,910
     MCD1,266,412-68,472$377,910
COMCAST CORP CLASS A 8,978,875 -108,107 $373,072
     CMCSA8,978,875-108,107$373,072
ACCENTURE PLC CLASS A 1,156,730 -111,134 $356,944
     ACN1,156,730-111,134$356,944
SALESFORCE INC 1,604,730 -118,853 $339,015
     CRM1,604,730-118,853$339,015
ADVANCED MICRO DEVICES 2,966,443 -256,197 $337,908
     AMD2,966,443-256,197$337,908
NETFLIX INC 763,988 +9,167 $336,529
     NFLX763,988+9,167$336,529
DANAHER CORPORATION 1,390,670 +40,927 $333,761
     DHR1,390,670+40,927$333,761
TEXAS INSTRUMENTS INC 1,843,923 -56,522 $331,943
     TXN1,843,923-56,522$331,943
ORACLE CORPORATION 2,766,587 -11,270 $329,473
     ORCL2,766,587-11,270$329,473
LINDE PLC 863,459 -24,203 $329,047
     LIN863,459-24,203$329,047
APPLIED MATERIALS INC 2,249,377 -27,668 $325,125
     AMAT2,249,377-27,668$325,125
ABBOTT LABORATORIES 2,950,668 -67,233 $321,682
     ABT2,950,668-67,233$321,682
WALT DISNEY COMPANY THE 3,388,973 -84,622 $302,568
     DIS3,388,973-84,622$302,568
CONOCOPHILLIPS 2,717,436 +67,115 $281,554
     COP2,717,436+67,115$281,554
VERIZON COMMUNICATIONS 7,017,798 -191,238 $260,992
     VZ7,017,798-191,238$260,992
PHILIP MORRIS INTL INC 2,604,400 -83,100 $254,242
     PM2,604,400-83,100$254,242
TAIWAN SEMICONDUCTOR ADR 2,419,850 +69,778 $244,211
     TSM2,419,850+69,778$244,211
NIKE INC CLASS B 2,196,421 -74,052 $242,419
     NKE2,196,421-74,052$242,419

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 06/30/2023: $78,109,424
At 03/31/2023: $74,690,783

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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