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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 (2014Q3)
Portfolio Summary: 2,041 holdings with a total value of $66,953,281,000.
#
Name
Shares
Value ($)
%
Options
Notes
201 FOOT LOCKER INC 1,295,603 72,100,000 0.11%
202 Chubb Corporation 788,748 71,839,000 0.11%
203 CME GROUP INC 893,809 71,464,000 0.11%
204 ENTERGY CORP NEW 920,035 71,146,000 0.11%
205 FRANKLIN RESOURCES INC 1,291,316 70,519,000 0.11%
206 SEMPRA ENERGY 665,546 70,135,000 0.10%
207 V F CORP 1,041,594 68,776,000 0.10%
208 SANDISK CORP 701,355 68,698,000 0.10%
209 REYNOLDS AMERICAN INC 1,164,000 68,676,000 0.10%
210 PUBLIC STORAGE 410,960 68,154,000 0.10%
211 STRYKER CORP 840,940 67,906,000 0.10%
212 BROADCOM CORP CL A 1,642,535 66,391,000 0.10%
213 ROSS STORES INC 864,322 65,325,000 0.10%
214 CBRE GROUP INC 2,189,327 65,111,000 0.10%
215 CUMMINS INC 491,148 64,822,000 0.10%
216 PPL CORP 1,961,061 64,401,000 0.10%
217 TE CONNECTIVITY LTD 1,159,231 64,094,000 0.10%
218 INTERCONTINENTAL EXCHANGE IN 327,053 63,792,000 0.10%
219 WEYERHAEUSER CO 2,002,101 63,787,000 0.10%
220 DELPHI AUTOMOTIVE PLC 1,033,503 63,395,000 0.09%
221 Mylan Inc 1,389,955 63,229,000 0.09%
222 LAUDER ESTEE COS INC 841,353 62,866,000 0.09%
223 JONES LANG LASALLE 495,465 62,597,000 0.09%
224 MEAD JOHNSON NUTRITION CO 646,498 62,206,000 0.09%
225 WASTE MGMT INC DEL 1,308,583 62,197,000 0.09%
226 CHIPOTLE MEXICAN GRILL INC 92,854 61,896,000 0.09%
227 LINEAR TECH 1,381,486 61,324,000 0.09%
228 PUBLIC SVC ENTERPRISE GRP IN 1,635,220 60,896,000 0.09%
229 CAMERON INTERNATIONAL COMPANY 911,127 60,481,000 0.09%
230 INTUITIVE SURGICAL INC 129,892 59,987,000 0.09%
231 Monster Beverage Corpo 653,176 59,877,000 0.09%
232 LORILLARD 997,567 59,764,000 0.09%
233 EQUITY RESIDENT 970,367 59,755,000 0.09%
234 PG&E CORP 1,319,256 59,419,000 0.09%
235 PERRIGO CO PLC 392,138 58,895,000 0.09%
236 COGNEX CORP 1,460,705 58,823,000 0.09%
237 STARWOOD HOTELS & RESORTS WLDWDE ORD 704,398 58,613,000 0.09%
238 CONCUR TECHNOLOGIE 452,878 57,434,000 0.09%
239 PROLOGIS INC 1,523,224 57,426,000 0.09%
240 PACCAR INC 1,006,669 57,254,000 0.09%
241 TYCO INTL LTD. 1,267,740 56,503,000 0.08%
242 WATERS CORP 565,670 56,069,000 0.08%
243 DOLLAR GEN CORP NEW 913,056 55,797,000 0.08%
244 CF INDS HLDGS INC 198,481 55,420,000 0.08%
245 VENTAS INC 891,445 55,225,000 0.08%
246 ZOETIS INC 1,491,285 55,103,000 0.08%
247 HOST HOTELS & RESORTS INC COM 2,580,207 55,036,000 0.08%
248 BOSTON PROPERTIES 473,373 54,798,000 0.08%
249 CONSTELLATION BRANDS INC 627,486 54,692,000 0.08%
250 WELLTOWER INC. 876,803 54,686,000 0.08%
Page 5 of 41

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000810265-14-000005, filed 2014.11.12).

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.