Back to NEW YORK STATE TEACHERS RETIREMENT SYSTEM

NEW YORK STATE TEACHERS RETIREMENT SYSTEM

Q2 2026 13F filing

Updated 50 days ago

1,631 disclosed positions worth $54.2B

Portfolio value
$54.2B
Total holdings
1,631
New positions
82
Closed positions
67
Increased
576
Decreased
897
Turnover
9.1%
Filed
2026-07-23

Full holdings

Every line item disclosed in Q2 2026

N

NVIDIA CORP

-5.1%
Value
$3.8B
Shares
18.81M
% Port
6.95%
A

APPLE INC

-4.8%
Value
$3.3B
Shares
11.35M
% Port
6.06%
M

MICROSOFT CORP

-4.9%
Value
$2.2B
Shares
5.77M
% Port
3.98%
A

AMAZON.COM INC

-4.1%
Value
$1.8B
Shares
7.54M
% Port
3.32%
G

ALPHABET INC CL A

-4.4%
Value
$1.6B
Shares
4.52M
% Port
2.98%
A

BROADCOM INC

-4.3%
Value
$1.4B
Shares
3.66M
% Port
2.56%
G

ALPHABET INC CL C

-4.2%
Value
$1.3B
Shares
3.64M
% Port
2.37%
M
8.MU

MICRON TECHNOLOGY INC

-4.9%
Value
$1B
Shares
879.4K
% Port
1.87%
M

META PLATFORMS INC CLASS A

-4.0%
Value
$957.3M
Shares
1.70M
% Port
1.77%
T
10.TSLA

TESLA INC

-4.6%
Value
$909M
Shares
2.16M
% Port
1.68%
L
11.LLY

ELI LILLY CO

-4.0%
Value
$741.4M
Shares
618.1K
% Port
1.37%
A
12.AMD

ADVANCED MICRO DEVICES

-3.1%
Value
$731.3M
Shares
1.26M
% Port
1.35%
B

BERKSHIRE HATHAWAY INC CL B

-5.0%
Value
$702.2M
Shares
1.40M
% Port
1.30%
J

JPMORGAN CHASE CO

-6.5%
Value
$668.7M
Shares
2.04M
% Port
1.23%
I
15.INTC

INTEL CORP

+0.3%
Value
$500.3M
Shares
3.58M
% Port
0.92%
J
16.JNJ

JOHNSON JOHNSON

-5.2%
Value
$478M
Shares
1.88M
% Port
0.88%
A
17.AMAT

APPLIED MATERIALS INC

-2.3%
Value
$446.5M
Shares
617.5K
% Port
0.82%
L
18.LRCX

LAM RESEARCH CORP

-5.1%
Value
$440.9M
Shares
1.02M
% Port
0.81%
X
19.XOM

EXXON MOBIL CORP

-6.4%
Value
$440.3M
Shares
3.22M
% Port
0.81%
V
20.V

VISA INC CLASS A SHARES

-7.3%
Value
$427.1M
Shares
1.24M
% Port
0.79%
C
21.CAT

CATERPILLAR INC

-4.0%
Value
$378.5M
Shares
355.4K
% Port
0.70%
W
22.WMT

WALMART INC

-4.9%
Value
$377.3M
Shares
3.33M
% Port
0.70%
C
23.CSCO

CISCO SYSTEMS INC

-4.5%
Value
$356.5M
Shares
3.04M
% Port
0.66%
A
24.ABBV

ABBVIE INC

-5.3%
Value
$343.9M
Shares
1.37M
% Port
0.64%
M
25.MA

MASTERCARD INC A

-7.0%
Value
$318.8M
Shares
620.8K
% Port
0.59%
C
26.COST

COSTCO WHOLESALE CORP

-4.8%
Value
$317.3M
Shares
339.2K
% Port
0.59%
K
27.KLAC

KLA CORP

+859.2%
Value
$312.5M
Shares
1.04M
% Port
0.58%
B

BANK OF AMERICA CORP

-5.1%
Value
$291.7M
Shares
5.12M
% Port
0.54%
G
29.GE

GENERAL ELECTRIC

-6.0%
Value
$291.6M
Shares
780.2K
% Port
0.54%
U
30.UNH

UNITEDHEALTH GROUP INC

-5.1%
Value
$283.3M
Shares
681.7K
% Port
0.52%
S
31.SNDK

SANDISK CORP

-1.2%
Value
$261.6M
Shares
115.0K
% Port
0.48%
G
32.GEV

GE VERNOVA INC

-0.7%
Value
$255.8M
Shares
217.7K
% Port
0.47%
H
33.HD

HOME DEPOT INC

-5.3%
Value
$255.6M
Shares
724.7K
% Port
0.47%
P
34.PG

PROCTER GAMBLE CO/THE

-7.3%
Value
$249.8M
Shares
1.70M
% Port
0.46%
M
35.MRK

MERCK CO. INC.

-6.7%
Value
$246.7M
Shares
1.92M
% Port
0.46%
C
36.CVX

CHEVRON CORP

-6.7%
Value
$239.7M
Shares
1.45M
% Port
0.44%
N
37.NFLX

NETFLIX INC

-4.8%
Value
$233.1M
Shares
3.26M
% Port
0.43%
K
38.KO

COCA COLA CO/THE

-4.9%
Value
$229.9M
Shares
2.83M
% Port
0.42%
G

GOLDMAN SACHS GROUP INC

-5.8%
Value
$228.7M
Shares
226.1K
% Port
0.42%
P
40.PM

PHILIP MORRIS INTERNATIONAL

-7.7%
Value
$213.3M
Shares
1.18M
% Port
0.39%
P
41.PLTR

PALANTIR TECHNOLOGIES INC A

-4.4%
Value
$205.9M
Shares
1.76M
% Port
0.38%
P
42.PANW

PALO ALTO NETWORKS INC

-1.3%
Value
$205.8M
Shares
603.5K
% Port
0.38%
R
43.RTX

RTX CORP

-3.6%
Value
$203.5M
Shares
1.07M
% Port
0.38%
T
44.TXN

TEXAS INSTRUMENTS INC

-4.2%
Value
$201.3M
Shares
675.2K
% Port
0.37%
I
45.IBM

INTL BUSINESS MACHINES CORP

-4.2%
Value
$195.8M
Shares
696.2K
% Port
0.36%
M

MORGAN STANLEY

-6.5%
Value
$192.5M
Shares
920.9K
% Port
0.36%
O

ORACLE CORP

-3.2%
Value
$188.1M
Shares
1.28M
% Port
0.35%
C
48.C-PR

CITIGROUP INC

-7.4%
Value
$187.9M
Shares
1.34M
% Port
0.35%
W

WELLS FARGO CO

-9.2%
Value
$187.8M
Shares
2.27M
% Port
0.35%
M
50.MRVL

MARVELL TECHNOLOGY INC

Value
$185.5M
Shares
622.7K
% Port
0.34%