Dark
Light
System
Institutional Investment Manager
NEW YORK STATE COMMON RETIREMENT FUND
NEW YORK STATE COMMON RETIREMENT FUND (CIK: 0000810265) incorporated in New York, located at Office Of The State Comptroller, Albany, NY. Institutional holdings reported to the SEC.

Institutional Holdings (2014Q2)
Portfolio Summary: 2,000 holdings with a total value of $67,696,955,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 Neo Performance Materials 7,500 19,000 0.00%
2 JD COM INC 1,805 51,000 0.00%
3 YINGLI GREEN ENERGY HLDG CO 23,300 87,000 0.00%
4 NIPPON TELEG TEL CORPORATION SPONSORED ADR 3,000 94,000 0.00%
5 TRINA SOLAR ADR REPTG 50 ORD 9,600 123,000 0.00%
6 BLYTH INC 25,550 199,000 0.00%
7 NXSTAGE MED INC COM 14,493 208,000 0.00%
8 LANNET INC COM NEW 5,500 273,000 0.00%
9 HOLLYSYS AUTOMATION TECHNOLO 12,090 296,000 0.00%
10 HIGHER ONE HLDGS INC COM 79,900 304,000 0.00%
11 ISHARES TR 15,300 310,000 0.00%
12 MONARCH CASINO & RESORT INC COM 21,246 322,000 0.00%
13 QUINSTREET INC COM USD0.001 59,483 328,000 0.00%
14 HUNTSMAN CORP 11,700 329,000 0.00%
15 TATA MTRS LTD 8,439 330,000 0.00%
16 CHINA XD PLASTICS CO LTD 41,639 349,000 0.00%
17 VICOR CORP COM 41,750 350,000 0.00%
18 ELECTRO SCIENTIFIC INDS 53,790 366,000 0.00%
19 Ryanair Hldgs Plc Adr 6,600 368,000 0.00%
20 ZOES KITCHEN INC 10,825 372,000 0.00%
21 INTEVAC INC COM 46,756 375,000 0.00%
22 CROSS CTRY HEALTHCARE INC COM 62,710 409,000 0.00%
23 AUDIOVOX CORP CL A 44,100 415,000 0.00%
24 DSP GROUP INC 49,965 424,000 0.00%
25 CASTLE A M & CO 38,474 425,000 0.00%
26 NTELOS HLDGS CORPCOM NEW 34,230 427,000 0.00%
27 PERICOM SEMICONDUCTOR CORP 48,650 440,000 0.00%
28 KOPIN CORP 136,080 444,000 0.00%
29 DEL FRISCOS RESTAURANT GROUP COM 16,280 449,000 0.00%
30 Alliance One Int 182,780 457,000 0.00%
31 MODEL N INCORPORATED 41,527 459,000 0.00%
32 AGILYSYS INC COM 32,720 461,000 0.00%
33 ALMOST FAMILY INC COM 20,990 463,000 0.00%
34 CHESAPEAKE LODGING TRUSTSH BEN INT 15,400 466,000 0.00%
35 SWS GROUP INC 64,100 467,000 0.00%
36 PERRY ELLIS INTL INC 27,265 476,000 0.00%
37 CHINA BIOLOGIC PRODS INC 10,800 480,000 0.00%
38 PROCERA NETWORKS INC 47,800 482,000 0.00%
39 C D I CORP 33,457 482,000 0.00%
40 CRYOLIFE INC 54,090 484,000 0.00%
41 OPHTHOTECH CORP 11,490 486,000 0.00%
42 SWIFT TRANSN CO 19,435 490,000 0.00%
43 BIG 5 SPORTING GOODS CORP 40,457 496,000 0.00%
44 ALKERMES PLC 9,880 497,000 0.00%
45 Sizmek Inc 53,800 513,000 0.00%
46 RIGNET INC 9,630 518,000 0.00%
47 CENCOSUD S A 53,625 533,000 0.00%
48 DIGI INTL INC COM 56,930 536,000 0.00%
49 MILLENNIAL MEDIA INC 108,200 540,000 0.00%
50 COHU INC 50,580 541,000 0.00%
Page 1 of 40

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000810265-14-000004, filed 2014.08.05).

From 2023-01-03 onward, the SEC requires values to be reported in nearest dollars. Earlier filings reported values in thousands; therefore, positions shown as $0 in older filings may represent actual values between $0–$999.