Universe · entity

State of New Jersey Common Pension Fund D

Institutional manager (13F) · CIK 1483066
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $13.9B
#IssuerValueShares
1NVIDIA CORPORATION$1.4B8,306,536
2APPLE INC$1.3B5,024,674
3MICROSOFT CORP$893M2,412,562
4ISHARES INC$869M12,458,692
5VANGUARD INDEX FDS$763M8,598,869
6AMAZON COM INC$685M3,290,326
7ALPHABET INC$571M1,986,061
8ALPHABET INC$479M1,668,382
9BROADCOM INC$477M1,539,815
10META PLATFORMS INC$426M744,627
11TESLA INC$359M966,609
12ISHARES TR$296M11,787,000
13ISHARES TR$290M3,702,826
14JPMORGAN CHASE & CO$275M934,681
15ISHARES TR$265M5,656,487
16ELI LILLY & CO$253M274,628
17EXXON MOBIL CORP$246M1,447,521
18BERKSHIRE HATHAWAY INC DEL$227M473,358
19VANGUARD INTL EQUITY INDEX F$221M1,512,875
20JOHNSON & JOHNSON$201M823,394
21WALMART INC$188M1,512,800
22VISA INC$175M578,635
23COSTCO WHOLESALE CORPORATION$152M152,279
24MASTERCARD INCORPORATED$145M291,067
25NETFLIX INC.$140M1,451,942
26CHEVRON CORPORATION$136M656,841
27ABBVIE INC$131M604,016
28MICRON TECHNOLOGY INC$130M384,975
29PROCTER & GAMBLE CO$116M805,866
30BANK AMERICA CORP$115M2,357,682
31PALANTIR TECHNOLOGIES INC$114M781,318
32CATERPILLAR INC$114M160,968
33ADVANCED MICRO DEVICES INC$113M556,997
34HOME DEPOT INC$112M342,032
35COCA COLA CO$107M1,408,819
36CISCO SYS INC$105M1,352,884
37WELLTOWER INC$104M525,200
38GE AEROSPACE$103M362,451
39MERCK & CO INC$102M848,249
40ISHARES TR$100M402,418
41PROLOGIS INC.$99M745,910
42APPLIED MATLS INC$93M272,739
43LAM RESEARCH CORP$93M433,107
44PHILIP MORRIS INTL INC$88M534,456
45RTX CORPORATION$88M458,065
46GOLDMAN SACHS GROUP INC$87M103,328
47ORACLE CORP$87M589,447
48ISHARES TR$87M1,921,932
49WELLS FARGO & CO$86M1,078,514
50UNITEDHEALTH GROUP INC$84M309,110
All filings on EDGAR ↗

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