Universe · entity

Louisiana State Employees Retirement System

Institutional manager (13F) · CIK 1537191
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $2.6B
#IssuerValueShares
1NVIDIA CORPORATION$317M1,816,600
2APPLE INC$279M1,097,600
3MICROSOFT CORP$205M555,100
4AMAZON COM INC$157M753,200
5ALPHABET INC$125M435,200
6BROADCOM INC$110M354,400
7ALPHABET INC$105M367,700
8META PLATFORMS INC$104M181,700
9TESLA INC$97M262,100
10WALMART INC$68M544,500
11COSTCO WHOLESALE CORPORATION$52M51,800
12SPDR SERIES TRUST$51M672,500
13NETFLIX INC.$47M492,600
14BERKSHIRE HATHAWAY INC DEL$45M93,400
15MICRON TECHNOLOGY INC$44M131,300
16JPMORGAN CHASE & CO$40M137,400
17PALANTIR TECHNOLOGIES INC$39M266,900
18ADVANCED MICRO DEVICES INC$39M190,200
19ELI LILLY & CO$37M40,400
20EXXON MOBIL CORP$36M213,000
21CISCO SYS INC$36M460,900
22APPLIED MATLS INC$32M92,500
23LAM RESEARCH CORP$31M145,600
24JOHNSON & JOHNSON$30M122,800
25LINDE PLC$27M54,200
26INVESCO QQQ TR$26M45,800
27VISA INC$26M85,700
28INTEL CORP$25M567,400
29PEPSICO INC$25M159,400
30KLA CORP$23M15,300
31AMGEN INC$22M62,800
32MASTERCARD INCORPORATED$21M41,500
33TEXAS INSTRS INC$21M105,900
34T-MOBILE US INC$20M96,500
35GILEAD SCIENCES INC$20M144,800
36CHEVRON CORPORATION$20M95,500
37ABBVIE INC$20M90,100
38INTUITIVE SURGICAL INC$19M41,400
39ANALOG DEVICES INC$18M57,000
40PROCTER & GAMBLE CO$17M118,400
41CATERPILLAR INC$17M23,700
42HONEYWELL INTL INC$17M74,200
43HOME DEPOT INC$17M50,700
44BANK AMERICA CORP$16M338,200
45QUALCOMM INC$16M124,500
46BOOKING HOLDINGS INC$16M3,700
47MERCK & CO INC$15M126,500
48PALO ALTO NETWORKS INC$15M94,800
49GE AEROSPACE$15M53,400
50COCA COLA CO$15M197,300
All filings on EDGAR ↗

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