 |
Size ($ in 1000's)
At 09/30/2025: $4,760,159 At 06/30/2025: $4,565,475Maryland State Retirement & Pension System AUM history
Maryland State Retirement & Pension System holdings changes, total fund size, and other information presented on HoldingsChannel.com was derived from Maryland State Retirement & Pension System 13F filings.
Link to 13F filings: SEC filings
|
|
 |
As of 09/30/2025, below is a summary of the Maryland State Retirement & Pension System top holdings by largest position size, as per the latest 13f filing made by Maryland State Retirement & Pension System.
In the Maryland State Retirement & Pension System-top-holdings-table below, each of the top holdings by name is presented in the first column, followed by the amount of shares
held by Maryland State Retirement & Pension System in that top holding, then the share count change between reporting periods, and finally the Maryland State Retirement & Pension System top holding position size
for that row.
| Entity | Amount | Change
06/30/2025 to 09/30/2025 |
Position Size
($ in 1000's) |
NVIDIA CORPORATION |
1,163,850 |
+29,485 |
$217,151 | | NVDA | 1,163,850 | +29,485 | $217,151 | MICROSOFT CORP |
368,856 |
+9,378 |
$191,049 | | MSFT | 368,856 | +9,378 | $191,049 | APPLE INC |
725,203 |
+10,712 |
$184,658 | | AAPL | 725,203 | +10,712 | $184,658 | ENBRIDGE INC |
2,872,841 |
+12,669 |
$144,891 | | ENB | 2,872,841 | +12,669 | $144,891 | AMAZON COM INC |
477,069 |
+12,018 |
$104,750 | | AMZN | 477,069 | +12,018 | $104,750 | AMERICAN TOWER CORP NEW |
457,275 |
+12,661 |
$87,943 | | AMT | 457,275 | +12,661 | $87,943 | META PLATFORMS INC |
108,632 |
+2,808 |
$79,777 | | META | 108,632 | +2,808 | $79,777 | BROADCOM INC |
229,798 |
+5,824 |
$75,813 | | AVGO | 229,798 | +5,824 | $75,813 | WILLIAMS COS INC |
1,192,703 |
+33,156 |
$75,558 | | WMB | 1,192,703 | +33,156 | $75,558 | TC ENERGY CORP |
1,370,075 |
+6,026 |
$74,473 | | TRP | 1,370,075 | +6,026 | $74,473 | ALPHABET INC |
289,221 |
+7,289 |
$70,310 | | GOOGL | 289,221 | +7,289 | $70,310 | TESLA INC |
139,977 |
+3,559 |
$62,251 | | TSLA | 139,977 | +3,559 | $62,251 | ALPHABET INC |
235,506 |
+5,906 |
$57,357 | | GOOG | 235,506 | +5,906 | $57,357 | SEMPRA |
637,124 |
+17,671 |
$57,328 | | SRE | 637,124 | +17,671 | $57,328 | KINDER MORGAN INC DEL |
1,908,654 |
+71,982 |
$54,034 | | KMI | 1,908,654 | +71,982 | $54,034 | CHENIERE ENERGY INC |
214,619 |
+4,029 |
$50,431 | | LNG | 214,619 | +4,029 | $50,431 | ENERGY TRANSFER L P |
2,927,436 |
+144,037 |
$50,235 | | ET | 2,927,436 | +144,037 | $50,235 | BERKSHIRE HATHAWAY INC DEL |
|
|
$46,139 | | BRK.B | 91,776 | +2,329 | $46,139 | ONEOK INC NEW |
614,673 |
+21,391 |
$44,853 | | OKE | 614,673 | +21,391 | $44,853 | EXELON CORP |
987,350 |
+28,443 |
$44,441 | | EXC | 987,350 | +28,443 | $44,441 | JPMORGAN CHASE & CO. |
138,246 |
+3,557 |
$43,607 | | JPM | 138,246 | +3,557 | $43,607 | ENTERPRISE PRODS PARTNERS L |
1,344,771 |
+35,201 |
$42,051 | | EPD | 1,344,771 | +35,201 | $42,051 | CROWN CASTLE INC |
425,178 |
+11,661 |
$41,025 | | CCI | 425,178 | +11,661 | $41,025 | CONSOLIDATED EDISON INC |
352,620 |
+10,408 |
$35,445 | | ED | 352,620 | +10,408 | $35,445 | TARGA RES CORP |
209,915 |
+3,981 |
$35,169 | | TRGP | 209,915 | +3,981 | $35,169 | FERROVIAL SE |
587,062 |
-10,973 |
$33,616 | | FER | 587,062 | -10,973 | $33,616 | PG&E CORP |
2,147,028 |
+59,949 |
$32,377 | | PCG | 2,147,028 | +59,949 | $32,377 | FORTIS INC |
610,493 |
-384 |
$30,957 | | FTS | 610,493 | -384 | $30,957 | ELI LILLY & CO |
39,879 |
+1,040 |
$30,428 | | LLY | 39,879 | +1,040 | $30,428 | VISA INC |
84,843 |
+2,207 |
$28,964 | | V | 84,843 | +2,207 | $28,964 | PEMBINA PIPELINE CORP |
704,228 |
-3,185 |
$28,466 | | PBA | 704,228 | -3,185 | $28,466 | ATMOS ENERGY CORP |
156,492 |
+5,660 |
$26,721 | | ATO | 156,492 | +5,660 | $26,721 | AMERICAN WTR WKS CO INC NEW |
190,317 |
+5,109 |
$26,490 | | AWK | 190,317 | +5,109 | $26,490 | SHOPIFY INC |
177,574 |
+12,229 |
$26,374 | | SHOP | 177,574 | +12,229 | $26,374 | EVERSOURCE ENERGY |
361,870 |
+12,931 |
$25,743 | | ES | 361,870 | +12,931 | $25,743 | NETFLIX INC |
21,105 |
+556 |
$25,303 | | NFLX | 21,105 | +556 | $25,303 | CENTERPOINT ENERGY INC |
636,856 |
+16,958 |
$24,710 | | CNP | 636,856 | +16,958 | $24,710 | EXXON MOBIL CORP |
215,892 |
+5,573 |
$24,342 | | XOM | 215,892 | +5,573 | $24,342 | ORACLE CORP |
82,481 |
+2,149 |
$23,197 | | ORCL | 82,481 | +2,149 | $23,197 | MASTERCARD INCORPORATED |
40,530 |
+1,087 |
$23,054 | | MA | 40,530 | +1,087 | $23,054 | AGNICO EAGLE MINES LTD |
132,906 |
+4,557 |
$22,379 | | AEM | 132,906 | +4,557 | $22,379 | WALMART INC |
216,773 |
+5,507 |
$22,341 | | WMT | 216,773 | +5,507 | $22,341 | JOHNSON & JOHNSON |
119,924 |
+3,108 |
$22,236 | | JNJ | 119,924 | +3,108 | $22,236 | ROYAL BK CDA |
148,514 |
+15,247 |
$21,883 | | RY | 148,514 | +15,247 | $21,883 | EDISON INTL |
375,358 |
+10,833 |
$20,750 | | EIX | 375,358 | +10,833 | $20,750 | COSTCO WHSL CORP NEW |
22,111 |
+587 |
$20,467 | | COST | 22,111 | +587 | $20,467 | ABBVIE INC |
88,302 |
+2,345 |
$20,445 | | ABBV | 88,302 | +2,345 | $20,445 | SBA COMMUNICATIONS CORP NEW |
104,940 |
+2,887 |
$20,290 | | SBAC | 104,940 | +2,887 | $20,290 | HOME DEPOT INC |
49,615 |
+1,371 |
$20,104 | | HD | 49,615 | +1,371 | $20,104 | NISOURCE INC |
459,338 |
+12,279 |
$19,889 | | NI | 459,338 | +12,279 | $19,889 |
See Full List: All Stocks Held By Maryland State Retirement & Pension System
— Including: Biggest new positions Biggest exits Biggest increased positions Biggest decreased positions
See Details: Top 10 Stocks Held By Maryland State Retirement & Pension System
|
 |