Holdings Channel



Size ($ in 1000's)
At 12/31/2023: $44,775,918
At 09/30/2023: $41,408,857

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

New York State Teachers Retirement System Top Holdings
As of  12/31/2023, below is a summary of the New York State Teachers Retirement System top holdings by largest position size, as per the latest 13f filing made by New York State Teachers Retirement System. In the New York State Teachers Retirement System-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 Teachers Retirement System in that top holding, then the share count change between reporting periods, and finally the New York State Teachers Retirement System top holding position size for that row.

   EntityAmountChange
 09/30/2023 to 12/31/2023
Position Size
($ in 1000's)
APPLE INC 15,151,072 -553,271 $2,917,036
     AAPL15,151,072-553,271$2,917,036
MICROSOFT CORP 7,707,610 -238,747 $2,898,370
     MSFT7,707,610-238,747$2,898,370
AMAZON.COM INC 9,403,296 -265,135 $1,428,737
     AMZN9,403,296-265,135$1,428,737
NVIDIA CORP 2,566,991 -67,567 $1,271,225
     NVDA2,566,991-67,567$1,271,225
ALPHABET INC CL A 6,148,685 -209,160 $858,910
     GOOGL6,148,685-209,160$858,910
META PLATFORMS INC CLASS A 2,308,642 -75,101 $817,167
     META2,308,642-75,101$817,167
ALPHABET INC CL C 5,192,875 -224,360 $731,832
     GOOG5,192,875-224,360$731,832
TESLA INC 2,857,915 -78,617 $710,135
     TSLA2,857,915-78,617$710,135
BERKSHIRE HATHAWAY INC CL B      $670,253
     BRK.B1,879,249-56,386$670,253
BROADCOM INC 457,563 +10,398 $510,755
     AVGO457,563+10,398$510,755
UNITEDHEALTH GROUP INC 951,055 -31,083 $500,702
     UNH951,055-31,083$500,702
JPMORGAN CHASE CO 2,923,149 -107,624 $497,228
     JPM2,923,149-107,624$497,228
ELI LILLY CO 832,468 -28,178 $485,262
     LLY832,468-28,178$485,262
VISA INC CLASS A SHARES (V) 1,637,555 -58,443 $426,337
     V1,637,555-58,443$426,337
EXXON MOBIL CORP 4,136,627 -148,651 $413,580
     XOM4,136,627-148,651$413,580
JOHNSON JOHNSON 2,489,662 -77,868 $390,230
     JNJ2,489,662-77,868$390,230
MASTERCARD INC A 867,115 -26,116 $369,833
     MA867,115-26,116$369,833
PROCTER GAMBLE CO THE 2,416,841 -85,830 $354,164
     PG2,416,841-85,830$354,164
HOME DEPOT INC 1,021,882 -33,979 $354,133
     HD1,021,882-33,979$354,133
COSTCO WHOLESALE CORP 447,984 -14,526 $295,705
     COST447,984-14,526$295,705
ADOBE INC 482,743 -17,538 $288,004
     ADBE482,743-17,538$288,004
ABBVIE INC 1,852,909 -52,587 $287,145
     ABBV1,852,909-52,587$287,145
MERCK CO. INC. 2,626,697 -94,193 $286,363
     MRK2,626,697-94,193$286,363
CHEVRON CORP 1,815,801 -81,393 $270,845
     CVX1,815,801-81,393$270,845
SALESFORCE INC 999,184 -23,624 $262,925
     CRM999,184-23,624$262,925
BANK OF AMERICA CORP 7,278,648 -138,693 $245,072
     BAC7,278,648-138,693$245,072
ADVANCED MICRO DEVICES 1,646,096 -58,642 $242,651
     AMD1,646,096-58,642$242,651
WALMART INC 1,532,317 -40,054 $241,570
     WMT1,532,317-40,054$241,570
PEPSICO INC 1,383,404 -56,176 $234,957
     PEP1,383,404-56,176$234,957
COCA COLA CO THE 3,948,964 -135,441 $232,712
     KO3,948,964-135,441$232,712
ACCENTURE PLC CL A 640,975 -60,793 $224,925
     ACN640,975-60,793$224,925
NETFLIX INC 455,071 -21,902 $221,565
     NFLX455,071-21,902$221,565
CISCO SYSTEMS INC 4,297,081 -87,459 $217,089
     CSCO4,297,081-87,459$217,089
INTEL CORP 4,219,622 -96,141 $212,036
     INTC4,219,622-96,141$212,036
THERMO FISHER SCIENTIFIC INC 397,577 -18,153 $211,030
     TMO397,577-18,153$211,030
MCDONALD S CORP 705,046 -32,837 $209,053
     MCD705,046-32,837$209,053
LINDE PLC 492,864 -17,551 $202,424
     LIN492,864-17,551$202,424
ABBOTT LABORATORIES 1,813,246 -87,863 $199,584
     ABT1,813,246-87,863$199,584
WELLS FARGO CO 3,895,232 -154,634 $191,723
     WFC3,895,232-154,634$191,723
COMCAST CORP CLASS A 4,329,053 -135,110 $189,829
     CMCSA4,329,053-135,110$189,829
ORACLE CORP 1,646,069 -24,708 $173,545
     ORCL1,646,069-24,708$173,545
VERIZON COMMUNICATIONS INC 4,576,526 -91,745 $172,535
     VZ4,576,526-91,745$172,535
QUALCOMM INC 1,190,775 -33,677 $172,222
     QCOM1,190,775-33,677$172,222
INTUIT INC 274,617 -9,782 $171,644
     INTU274,617-9,782$171,644
WALT DISNEY CO THE 1,842,499 -56,317 $166,359
     DIS1,842,499-56,317$166,359
PFIZER INC 5,680,508 -362,381 $163,542
     PFE5,680,508-362,381$163,542
CATERPILLAR INC 540,667 -17,206 $159,859
     CAT540,667-17,206$159,859
AMGEN INC 554,997 -11,405 $159,850
     AMGN554,997-11,405$159,850
GENERAL ELECTRIC CO 1,210,556 +859 $154,503
     GE1,210,556+859$154,503
DANAHER CORP 665,218 -21,502 $153,892
     DHR665,218-21,502$153,892

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

See Details: Top 10 Stocks Held By New York State Teachers Retirement System

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