Universe · entity

CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM

Institutional manager (13F) · CIK 1081019
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $52.3B
#IssuerValueShares
1NVIDIA CORP$6.4B36,688,762
2APPLE INC$5.7B22,272,610
3MICROSOFT CORP$4.0B10,715,663
4AMAZON COM INC$3.0B14,562,158
5ALPHABET INC CL A$2.5B8,867,713
6BROADCOM INC$2.1B6,816,811
7ALPHABET INC CL C$2.1B7,293,285
8ISHARES CORE S P 500 ETF$1.9B2,956,300
9META PLATFORMS INC CLASS A$1.9B3,291,945
10TESLA INC$1.6B4,278,032
11JPMORGAN CHASE CO$1.2B4,132,836
12ELI LILLY CO$1.1B1,214,622
13BERKSHIRE HATHAWAY INC CL B$993M2,071,999
14JOHNSON JOHNSON$915M3,743,432
15WALMART INC$832M6,693,281
16EXXON MOBIL CORP$830M4,890,283
17VISA INC CLASS A SHARES$776M2,566,187
18COSTCO WHOLESALE CORP$685M687,142
19MASTERCARD INC A$643M1,286,652
20NETFLIX INC$619M6,438,286
21ABBVIE INC$583M2,680,188
22MICRON TECHNOLOGY INC$576M1,704,599
23PROCTER GAMBLE CO THE$518M3,583,969
24BANK OF AMERICA CORP$509M10,437,623
25PALANTIR TECHNOLOGIES INC A$504M3,445,257
26ADVANCED MICRO DEVICES$501M2,461,412
27CATERPILLAR INC$500M706,389
28COCA COLA CO THE$497M6,530,473
29HOME DEPOT INC$494M1,503,048
30CISCO SYSTEMS INC$467M6,022,626
31MERCK CO INC$461M3,835,612
32CHEVRON CORP$458M2,215,894
33GENERAL ELECTRIC$457M1,612,065
34APPLIED MATERIALS INC$418M1,224,298
35LAM RESEARCH CORP$411M1,922,942
36RTX CORP$396M2,051,858
37GOLDMAN SACHS GROUP INC$386M456,064
38ORACLE CORP$382M2,597,356
39WELLS FARGO CO$380M4,773,587
40UNITEDHEALTH GROUP INC$367M1,355,931
41GE VERNOVA INC$363M415,974
42MCDONALD S CORP$347M1,116,171
43INTL BUSINESS MACHINES CORP$345M1,421,892
44VERIZON COMMUNICATIONS INC$331M6,593,058
45PEPSICO INC$326M2,100,135
46ATT INC$317M10,945,219
47CITIGROUP INC$316M2,784,913
48INTEL CORP$304M6,888,990
49KLA CORP$296M200,858
50MORGAN STANLEY$295M1,790,507
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.