NEW YORK STATE COMMON RETIREMENT FUNDNEW YORK STATE COMMON RETIREMENT FUND

Institutional investor · Portfolio as of Q1 2024

SEC EDGAR SourceSEC Filings

Top Holdings3,233 positions

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Activity:
Stock
Shares
Value
Weight
Avg Buy
Est. P&L
Held
Conviction

MICROSOFT CORP

11.3M$4.8B6.3%$96.91+328.57%
22 qtrssince 2018-Q4
Decreased
0

APPLE INC

21.1M$3.6B4.8%$92.18+84.03%
22 qtrssince 2018-Q4
Decreased
0

NVIDIA CORP

3.4M$3.1B4.1%$16.08+461.58%
22 qtrssince 2018-Q4
Decreased
0

AMAZON.COM INC

14.1M$2.5B3.4%$107.29+68.13%
22 qtrssince 2018-Q4
Decreased
0

META PLATFORMS INC-CLASS A

3.2M$1.5B2.0%$133.65+261.17%
22 qtrssince 2018-Q4
Decreased
0

ALPHABET INC-CL A

8.9M$1.3B1.8%$94.28+58.90%
22 qtrssince 2018-Q4
Decreased
0

ALPHABET INC-CL C

7.5M$1.1B1.5%$94.68+59.63%
22 qtrssince 2018-Q4
Decreased
0

BERKSHIRE HATHAWAY INC-CL B

2.4M$1B1.3%$203.42+106.73%
22 qtrssince 2018-Q4
Decreased
0

ELI LILLY & CO

1.2M$965.8M1.3%$115.55+561.93%
22 qtrssince 2018-Q4
Decreased
0

JPMORGAN CHASE & CO

4.1M$820.2M1.1%$80.50+138.38%
22 qtrssince 2018-Q4
Decreased
0

BROADCOM INC

592,379$785.1M1.0%$22.72+470.77%
22 qtrssince 2018-Q4
Decreased
0

UNITEDHEALTH GROUP INC

1.4M$702.5M0.9%$224.77+112.32%
22 qtrssince 2018-Q4
Decreased
0

MASTERCARD INC - A

1.4M$651.2M0.9%$193.03+146.65%
22 qtrssince 2018-Q4
Decreased
0

TESLA INC

3.7M$649M0.9%$218.29-19.47%
22 qtrssince 2018-Q4
Decreased
0

VISA INC-CLASS A SHARES

2.3M$641.9M0.8%$134.03+104.33%
22 qtrssince 2018-Q4
Decreased
0

EXXON MOBIL CORP

5M$578.7M0.8%$50.23+116.41%
22 qtrssince 2018-Q4
Decreased
0

JOHNSON & JOHNSON

3.5M$558.9M0.7%$106.90+40.23%
22 qtrssince 2018-Q4
Decreased
0

HOME DEPOT INC

1.4M$550.9M0.7%$145.86+151.97%
22 qtrssince 2018-Q4
Decreased
0

PROCTER & GAMBLE CO/THE

3.4M$547.8M0.7%$75.70+100.57%
22 qtrssince 2018-Q4
Decreased
0

MERCK & CO. INC.

4M$531.3M0.7%$58.10+114.43%
22 qtrssince 2018-Q4
Decreased
0
$75.8B
AUM
3,233
Positions
Q1 2024
Filing
Rating · 3.5
Quarterly Portfolio Change
+6%Q4'22$73B+2%Q1'23$74.6B+5%Q2'23$78.1B-11%Q3'23$69.6B+4%Q4'23$72.2B+5%Q1'24$75.8B
Activity profile
$ moved · Q1'24
New4%Increased15%Decreased79%Exited2%
Composition
Equity vs derivatives
Equity100%Puts0%Calls0%
Holding period
Avg 4.2 years
<1Q1%1-4Q6%1-2Y6%2Y+87%

NEW YORK STATE COMMON RETIREMENT FUND manages $75.8B across 3233 positions as of Q1 2024. Top holdings: MSFT (6.3%), AAPL (4.8%), NVDA (4.1%). Fund DNA: Balanced Allocator. HoldingsIntel Rating: 3.5/5.0.

Q1 2024 Summary

Active quarter - 65 new positions, 76 exits, 832 increased. No standout high-conviction moves this quarter. Portfolio: $75.8B across 3233 positions.

Top holdings by portfolio weight

Total AUM$76B
MSFT6.29%
AAPL4.78%
NVDA4.10%
AMZN3.36%
META2.04%
GOOGL1.77%
GOOG1.52%
BRK/B1.35%
LLY1.27%
JPM1.08%
Other1.04%

Portfolio allocation by GICS sector

Sectors11
Technology29.98%
Healthcare13.27%
Financial Services12.53%
Consumer Cyclical10.53%
Industrials9.11%
Communication Services8.12%
Consumer Defensive5.36%
Energy3.33%
Real Estate2.16%
Basic Materials2.02%
Other3.59%

Behavioral investing profile

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Balanced Allocator- primarily Technology, Healthcare, Financial Services
Compare DNA across all funds
7-dimension quality assessment
Strong(3.5 / 5.0)
Track Record59
Conviction39
Concentration49
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Position Outcomes

Best and worst performing positions by estimated return

Cost basis estimates based on full filing history using quarter-end prices. Actual transaction prices are not disclosed in 13F filings.

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Data sourced from SEC EDGAR 13F filings. Not financial advice. Full disclaimer

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