New-York-State-Teachers-Retirement-System

Filing Details

13F-HR2025-03-31
Report Date
2025-03-31
Filing Date
2025-04-25
Total Holdings
1,634
Total Value
43356986
Accession Number
0000314969-25-000005
Form Type
13F-HR
Manager Name
New-York-State-Teachers-Retirement-System
Data Enrichment
99% identified
1,616 identified18 unidentified

Holdings

1,634 positions • $43.4M total value
Manager:
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PROCTER & GAMBLE Co
Shares:1.9M
Value:$323.5M
% of Portfolio:746.2% ($323.5M/$43.4M)
AbbVie Inc.
Shares:1.5M
Value:$319.7M
% of Portfolio:737.4% ($319.7M/$43.4M)
HOME DEPOT, INC.
Shares:806.4K
Value:$295.5M
% of Portfolio:681.7% ($295.5M/$43.4M)
CHEVRON CORP
Shares:1.4M
Value:$236.7M
% of Portfolio:545.8% ($236.7M/$43.4M)
Salesforce, Inc.
Shares:845.5K
Value:$226.9M
% of Portfolio:523.3% ($226.9M/$43.4M)
BANK OF AMERICA CORP /DE/
Shares:5.4M
Value:$226.6M
% of Portfolio:522.5% ($226.6M/$43.4M)
COCA COLA CO
Shares:3.1M
Value:$220.1M
% of Portfolio:507.6% ($220.1M/$43.4M)
Philip Morris International Inc.
Shares:1.3M
Value:$211.2M
% of Portfolio:487.2% ($211.2M/$43.4M)
WELLS FARGO & COMPANY/MN
Shares:2.9M
Value:$205.3M
% of Portfolio:473.5% ($205.3M/$43.4M)
ABBOTT LABORATORIES
Shares:1.5M
Value:$204.2M
% of Portfolio:471.0% ($204.2M/$43.4M)
CISCO SYSTEMS, INC.
Shares:3.2M
Value:$199.1M
% of Portfolio:459.2% ($199.1M/$43.4M)
Merck & Co., Inc.
Shares:2.2M
Value:$194.9M
% of Portfolio:449.6% ($194.9M/$43.4M)
ORACLE CORP
Shares:1.4M
Value:$190.7M
% of Portfolio:439.9% ($190.7M/$43.4M)
AT&T INC.
Shares:6.6M
Value:$185.9M
% of Portfolio:428.7% ($185.9M/$43.4M)
INTERNATIONAL BUSINESS MACHINES CORP
Shares:741.0K
Value:$184.3M
% of Portfolio:425.0% ($184.3M/$43.4M)
GENERAL ELECTRIC CO
Shares:914.9K
Value:$183.1M
% of Portfolio:422.3% ($183.1M/$43.4M)
LINDE PLC
Shares:385.2K
Value:$179.4M
% of Portfolio:413.7% ($179.4M/$43.4M)
PEPSICO INC
Shares:1.2M
Value:$175.7M
% of Portfolio:405.2% ($175.7M/$43.4M)
MCDONALDS CORP
Shares:562.3K
Value:$175.6M
% of Portfolio:405.1% ($175.6M/$43.4M)
Accenture plc
Shares:541.7K
Value:$169.0M
% of Portfolio:389.8% ($169.0M/$43.4M)