HoldingsChannel.com
New York State Common Retirement Fund Top Holdings
As of  12/31/2019

   EntityAmountChange
 09/30/2019 to 12/31/2019
Position Size
($ in 1000's)
APPLE INC 10,876,513 -214,411 $3,193,888
     AAPL10,876,513-214,411$3,193,888
MICROSOFT CORPORATION 19,811,496 -173,435 $3,124,273
     MSFT19,811,496-173,435$3,124,273
AMAZON.COM INC 1,030,191 -14,063 $1,903,628
     AMZN1,030,191-14,063$1,903,628
FACEBOOK INC 6,287,320 -41,269 $1,290,472
     FB6,287,320-41,269$1,290,472
ALPHABET INC CLASS C 944,876 -25,096 $1,263,318
     GOOG944,876-25,096$1,263,318
BERKSHIRE HATHAWAY INC CL      $1,161,770
     BRK.B5,129,226+32,100$1,161,770
ALPHABET INC CLASS A 796,959 -11,999 $1,067,439
     GOOGL796,959-11,999$1,067,439
JP MORGAN CHASE & COMPANY 7,575,702 -375,750 $1,056,053
     JPM7,575,702-375,750$1,056,053
JOHNSON & JOHNSON 6,774,162 +226,300 $988,147
     JNJ6,774,162+226,300$988,147
VISA INC CLASS A 4,691,176 -131,007 $881,472
     V4,691,176-131,007$881,472
PROCTER & GAMBLE COMPANY 5,998,433 -103,600 $749,204
     PG5,998,433-103,600$749,204
BANK OF AMERICA CORP      $747,507
     BAC20,774,148-586,713$731,665
     BAC.PRL10,933+320$15,842
MASTERCARD INC CLASS A 2,435,491 -47,649 $727,213
     MA2,435,491-47,649$727,213
UNITEDHEALTH GROUP INC 2,470,897 +8,231 $726,394
     UNH2,470,897+8,231$726,394
EXXON MOBIL CORPORATION 10,177,552 -247,721 $710,190
     XOM10,177,552-247,721$710,190
VERIZON COMMUNICATIONS 10,960,938 -900 $673,002
     VZ10,960,938-900$673,002
AT&T INC 17,213,035 -370,430 $672,685
     T17,213,035-370,430$672,685
WELLS FARGO & COMPANY      $660,609
     WFC12,001,698-244,100$645,691
     WFC.PRL10,288+814$14,918
INTEL CORPORATION 10,542,419 -271,370 $630,964
     INTC10,542,419-271,370$630,964
WALT DISNEY COMPANY THE 4,308,034 -167,460 $623,071
     DIS4,308,034-167,460$623,071
COMCAST CORP CLASS A 13,436,089 -68,247 $604,221
     CMCSA13,436,089-68,247$604,221
MERCK & COMPANY INC 6,628,329 +18,135 $602,847
     MRK6,628,329+18,135$602,847
HOME DEPOT INC THE 2,721,956 -49,226 $594,421
     HD2,721,956-49,226$594,421
CITIGROUP INC 7,365,832 -282,523 $588,456
     C7,365,832-282,523$588,456
PFIZER INC 14,582,551 +387,844 $571,344
     PFE14,582,551+387,844$571,344
CHEVRON CORPORATION 4,638,769 -92,900 $559,018
     CVX4,638,769-92,900$559,018
CISCO SYSTEMS INC 10,776,528 -142,433 $516,842
     CSCO10,776,528-142,433$516,842
COCA COLA COMPANY THE 9,275,387 -135,800 $513,393
     KO9,275,387-135,800$513,393
PEPSICO INC 3,637,245 -24,000 $497,102
     PEP3,637,245-24,000$497,102
ADOBE INC 1,246,133 -22,100 $410,987
     ADBE1,246,133-22,100$410,987
WAL MART INC 3,453,508 -192,900 $410,415
     WMT3,453,508-192,900$410,415
MEDTRONIC PLC 3,616,146 +6,800 $410,252
     MDT3,616,146+6,800$410,252
BOEING COMPANY THE 1,191,012 -79,900 $387,984
     BA1,191,012-79,900$387,984
MCDONALD S CORPORATION 1,951,646 -42,752 $385,665
     MCD1,951,646-42,752$385,665
ORACLE CORPORATION 7,080,228 -339,520 $375,110
     ORCL7,080,228-339,520$375,110
THERMO FISHER SCIENTIFIC 1,151,699 +6,785 $374,152
     TMO1,151,699+6,785$374,152
ACCENTURE PLC CLASS A 1,768,982 +8,088 $372,495
     ACN1,768,982+8,088$372,495
NETFLIX INC 1,120,356 +44,229 $362,514
     NFLX1,120,356+44,229$362,514
TEXAS INSTRUMENTS INC 2,822,957 -41,083 $362,157
     TXN2,822,957-41,083$362,157
ABBOTT LABORATORIES 4,130,818 -112,977 $358,803
     ABT4,130,818-112,977$358,803
BRISTOL MYERS SQUIBB CO 5,495,947 +1,515,047 $352,785
     BMY5,495,947+1,515,047$352,785
NIKE INC CLASS B 3,460,492 -76,983 $350,582
     NKE3,460,492-76,983$350,582
AMGEN INC 1,434,872 -26,151 $345,905
     AMGN1,434,872-26,151$345,905
SALESFORCE.COM INC 2,113,870 -77,700 $343,800
     CRM2,113,870-77,700$343,800
COSTCO WHOLESALE CORP 1,114,759 -3,130 $327,650
     COST1,114,759-3,130$327,650
NVIDIA CORPORATION 1,376,804 -34,714 $323,962
     NVDA1,376,804-34,714$323,962
PHILIP MORRIS INTL INC 3,722,300 -51,200 $316,731
     PM3,722,300-51,200$316,731
HONEYWELL INTERNATIONAL 1,772,404 -21,196 $313,716
     HON1,772,404-21,196$313,716
UNION PACIFIC CORPORATION 1,726,400 -39,400 $312,116
     UNP1,726,400-39,400$312,116
STARBUCKS CORPORATION 3,462,219 -46,312 $304,398
     SBUX3,462,219-46,312$304,398

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 12/31/2019: $84,139,123
At 09/30/2019: $79,046,575

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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