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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 (2015Q4)
Portfolio Summary: 3,170 holdings with a total value of $65,084,106,000.
#
Name
Shares
Value ($)
%
Options
Notes
1 APPLE INC 15,380,256 1,618,926,000 2.49%
2 MICROSOFT CORP 25,955,403 1,440,006,000 2.21%
3 EXXON MOBIL CORP 10,893,169 849,123,000 1.30%
4 JOHNSON & JOHNSON 7,766,302 797,755,000 1.23%
5 GENERAL ELECTRIC CO 25,491,500 794,060,000 1.22%
6 JPMORGAN CHASE & CO 11,721,932 773,999,000 1.19%
7 AMAZON COM INC 1,117,273 755,154,000 1.16%
8 WELLS FARGO & CO NEW 13,346,905 725,538,000 1.11%
9 ALPHABET INC 879,234 684,053,000 1.05%
10 BERKSHIRE HATHAWAY INC DEL 5,106,214 674,224,000 1.04%
11 ALPHABET INC 850,016 645,060,000 0.99%
12 FACEBOOK INC 6,142,649 642,890,000 0.99%
13 PFIZER INC 18,663,882 602,470,000 0.93%
14 PROCTER AND GAMBLE CO 7,028,000 558,093,000 0.86%
15 AT&T INC 16,174,626 556,569,000 0.86%
16 CITIGROUP INC 10,606,804 548,902,000 0.84%
17 VERIZON COMMUNICATIONS INC 11,468,266 530,063,000 0.81%
18 BANK AMER CORP 31,120,186 523,753,000 0.80%
19 DISNEY WALT CO 4,612,795 484,712,000 0.74%
20 CHEVRON CORP NEW 5,385,146 484,448,000 0.74%
21 HOME DEPOT INC 3,621,366 478,926,000 0.74%
22 INTEL CORP 13,746,758 473,576,000 0.73%
23 GILEAD SCIENCES INC 4,517,057 457,081,000 0.70%
24 VISA INC 5,793,354 449,275,000 0.69%
25 PEPSICO INC 4,470,264 446,669,000 0.69%
26 COCA COLA CO 10,149,200 436,010,000 0.67%
27 MERCK & CO INC 8,025,938 423,930,000 0.65%
28 COMCAST CORP NEW 7,093,466 400,284,000 0.62%
29 CISCO SYS INC 14,112,526 383,226,000 0.59%
30 ORACLE CORP 10,273,539 375,292,000 0.58%
31 ALLERGAN PLC 1,176,278 367,587,000 0.56%
32 AMGEN INC 2,194,830 356,287,000 0.55%
33 PHILIP MORRIS INTL INC 4,009,900 352,510,000 0.54%
34 CVS HEALTH CORP 3,556,354 347,705,000 0.53%
35 INTERNATIONAL BUSINESS MACHS 2,455,067 337,866,000 0.52%
36 UNITEDHEALTH GROUP INC 2,836,161 333,646,000 0.51%
37 BRISTOL MYERS SQUIBB CO 4,664,462 320,868,000 0.49%
38 AMERICAN INTL GROUP INC 4,909,421 304,237,000 0.47%
39 MCDONALDS CORP 2,555,865 301,950,000 0.46%
40 MEDTRONIC PLC 3,912,255 300,931,000 0.46%
41 ALTRIA GROUP INC 5,082,400 295,847,000 0.45%
42 MASTERCARD INCORPORATED 3,010,154 293,069,000 0.45%
43 BOEING CO 1,925,096 278,350,000 0.43%
44 QUALCOMM INC 5,565,711 278,202,000 0.43%
45 STARBUCKS CORP 4,299,719 258,112,000 0.40%
46 WAL-MART STORES INC 4,189,007 256,786,000 0.39%
47 ABBVIE INC 4,317,822 255,788,000 0.39%
48 CELGENE CORP 2,085,022 249,702,000 0.38%
49 3M CO 1,639,600 246,989,000 0.38%
50 NIKE INC 3,931,586 245,724,000 0.38%
Page 1 of 64

Portfolio data is normalized using SEC Form 13F filings, including the Original 13F-HR (0000810265-16-000006, filed 2016.02.05).

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.