CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM

Holdings as of 2026-06-30, filed 2026-08-24

This is history, not a current position. These holdings describe 2026-06-30, and the report became public 55 days later. The portfolio has changed since.

Aggregates

computed from the positions below
Positions reported
3,002
Value reported by manager
$108.6B
Sum of our stored positions
$108.6B
should match the line above
Disclosure lag
55 d
quarter end to filing
Top 5 concentration
27.9%
of the positions shown
New positions
0
vs previous quarter
Exited
0
vs previous quarter
Option positions
0
puts and calls

Positions

200 largest shown
IssuerClassValueSharesTypeCUSIP
NVIDIA CORPCOMMON STOCK$7B35,021,49067066G104
APPLE INCCOMMON STOCK$6.4B22,278,223037833100
MICROSOFT CORPCOMMON STOCK$4B10,707,532594918104
AMAZON COM INCCOMMON STOCK$3.5B14,696,893023135106
ALPHABET INC CL ACOMMON STOCK$3.2B8,844,84702079K305
BROADCOM INCCOMMON STOCK$2.6B6,826,30811135F101
ISHARES CORE S P 500 ETFISHARES CORE S+P 500 ETF$2.6B3,431,700464287200
ALPHABET INC CL CCOMMON STOCK$2.5B7,007,40802079K107
MICRON TECHNOLOGY INCCOMMON STOCK$2B1,713,394595112103
META PLATFORMS INC CLASS ACOMMON STOCK$1.9B3,334,52530303M102
TESLA INCCOMMON STOCK$1.8B4,273,05888160R101
ELI LILLY COCOMMON STOCK$1.5B1,217,561532457108
ADVANCED MICRO DEVICESCOMMON STOCK$1.4B2,473,319007903107
JPMORGAN CHASE COCOMMON STOCK$1.3B4,071,86046625H100
BERKSHIRE HATHAWAY INC CL BCOMMON STOCK$1.1B2,149,115084670702
JOHNSON JOHNSONCOMMON STOCK$943.5M3,714,961478160104
INTEL CORPCOMMON STOCK$931.6M6,671,769458140100
VISA INC CLASS A SHARESCOMMON STOCK$879.3M2,562,94492826C839
APPLIED MATERIALS INCCOMMON STOCK$870.2M1,203,586038222105
LAM RESEARCH CORPCOMMON STOCK$821.5M1,895,716512807306
WALMART INCCOMMON STOCK$755.6M6,671,419931142103
CATERPILLAR INCCOMMON STOCK$747.3M701,786149123101
CISCO SYSTEMS INCCOMMON STOCK$706.1M6,011,66417275R102
EXXON MOBIL CORPCOMMON STOCK$696.2M5,092,21530231G102
ABBVIE INCCOMMON STOCK$679.4M2,700,03000287Y109
MASTERCARD INC ACOMMON STOCK$637.5M1,241,17357636Q104
COSTCO WHOLESALE CORPCOMMON STOCK$631.1M674,63822160K105
KLA CORPCOMMON STOCK$599.1M1,985,721482480100
GENERAL ELECTRICCOMMON STOCK$594.8M1,591,618369604301
BANK OF AMERICA CORPCOMMON STOCK$586.1M10,286,935060505104
UNITEDHEALTH GROUP INCCOMMON STOCK$567.4M1,365,26991324P102
HOME DEPOT INCCOMMON STOCK$525.7M1,490,513437076102
PROCTER GAMBLE CO/THECOMMON STOCK$516.9M3,525,060742718109
COCA COLA CO THECOMMON STOCK$487.5M5,998,646191216100
MERCK CO INCCOMMON STOCK$484.7M3,772,14258933Y105
GE VERNOVA INCCOMMON STOCK$483.3M411,39436828A101
NETFLIX INCCOMMON STOCK$458.9M6,427,65764110L106
GOLDMAN SACHS GROUP INCCOMMON STOCK$455.4M450,24038141G104
CHEVRON CORPCOMMON STOCK$432.7M2,610,183166764100
PALO ALTO NETWORKS INCCOMMON STOCK$417.8M1,225,032697435105
TEXAS INSTRUMENTS INCCOMMON STOCK$412.3M1,383,273882508104
INTL BUSINESS MACHINES CORPCOMMON STOCK$400.5M1,424,282459200101
RTX CORPCOMMON STOCK$389.8M2,054,66875513E101
MARVELL TECHNOLOGY INCCOMMON STOCK$385.1M1,292,788573874104
WELLS FARGO COCOMMON STOCK$384.5M4,652,505949746101
PALANTIR TECHNOLOGIES INC ACOMMON STOCK$383.8M3,289,62669608A108
ORACLE CORPCOMMON STOCK$382.8M2,611,78468389X105
SANDISK CORPCOMMON STOCK$380.4M167,29980004C200
MORGAN STANLEYCOMMON STOCK$374.3M1,790,634617446448
LINDE PLCCOMMON STOCK$365.7M704,703G54950103
CITIGROUP INCCOMMON STOCK$360.2M2,573,632172967424
WESTERN DIGITAL CORPCOMMON STOCK$338.4M529,792958102105
AMPHENOL CORP CL ACOMMON STOCK$331.6M1,880,421032095101
SEAGATE TECHNOLOGY HOLDINGSCOMMON STOCK$316.7M328,233G7997R103
CORNING INCCOMMON STOCK$308.8M1,208,819219350105
MCDONALD S CORPCOMMON STOCK$302.9M1,120,534580135101
QUALCOMM INCCOMMON STOCK$301.3M1,630,384747525103
AMGEN INCCOMMON STOCK$298.3M823,638031162100
ANALOG DEVICES INCCOMMON STOCK$296.3M746,073032654105
PEPSICO INCCOMMON STOCK$285.7M2,109,876713448108
CROWDSTRIKE HOLDINGS INC ACOMMON STOCK$283.9M371,98022788C105
THERMO FISHER SCIENTIFIC INCCOMMON STOCK$282.7M563,776883556102
ARISTA NETWORKS INCCOMMON STOCK$272.8M1,605,804040413205
VERIZON COMMUNICATIONS INCCOMMON STOCK$271.4M6,409,30092343V104
AMERICAN EXPRESS COCOMMON STOCK$269.4M796,430025816109
WALT DISNEY CO THECOMMON STOCK$261.9M2,721,470254687106
TJX COMPANIES INCCOMMON STOCK$258.8M1,708,098872540109
EATON CORP PLCCOMMON STOCK$249.2M584,718G29183103
UNION PACIFIC CORPCOMMON STOCK$247.7M910,663907818108
ABBOTT LABORATORIESCOMMON STOCK$246.8M2,720,177002824100
BOEING CO THECOMMON STOCK$245.9M1,135,928097023105
WELLTOWER INCREIT$244.1M1,075,39195040Q104
GILEAD SCIENCES INCCOMMON STOCK$241.2M1,908,886375558103
DEERE COCOMMON STOCK$234.6M369,817244199105
SCHWAB CHARLES CORPCOMMON STOCK$233.4M2,529,153808513105
NEXTERA ENERGY INCCOMMON STOCK$222.2M2,531,33465339F101
ATT INCCOMMON STOCK$221.1M10,682,45400206R102
PFIZER INCCOMMON STOCK$218M9,052,386717081103
BOOKING HOLDINGS INCCOMMON STOCK$214.7M1,204,28409857L108
BLACKROCK INCCOMMON STOCK$213.8M222,36109290D101
INTUITIVE SURGICAL INCCOMMON STOCK$213.7M537,43246120E602
PROGRESSIVE CORPCOMMON STOCK$199.8M914,476743315103
UBER TECHNOLOGIES INCCOMMON STOCK$199.5M2,764,63890353T100
DELL TECHNOLOGIES CCOMMON STOCK$198.6M460,31024703L202
CVS HEALTH CORPCOMMON STOCK$193.3M1,868,733126650100
VERTEX PHARMACEUTICALS INCCOMMON STOCK$190.5M383,49192532F100
PROLOGIS INCREIT$189.5M1,398,49374340W103
SALESFORCE INCCOMMON STOCK$188.1M1,200,59479466L302
SP GLOBAL INCCOMMON STOCK$187.9M461,29978409V104
VERTIV HOLDINGS CO ACOMMON STOCK$185.5M554,03392537N108
BRISTOL MYERS SQUIBB COCOMMON STOCK$185.3M3,215,133110122108
CHUBB LTDCOMMON STOCK$184.6M541,815H1467J104
DANAHER CORPCOMMON STOCK$184.6M968,982235851102
PARKER HANNIFIN CORPCOMMON STOCK$184.2M188,273701094104
LOWE S COS INCCOMMON STOCK$182.9M829,666548661107
STARBUCKS CORPCOMMON STOCK$179.1M1,752,992855244109
BLUE OWL CAPITAL CORPCOMMON STOCK$178.8M16,445,72869121K104
APPLOVIN CORP CLASS ACOMMON STOCK$178M345,51103831W108
CAPITAL ONE FINANCIAL CORPCOMMON STOCK$172.7M860,66814040H105
HOWMET AEROSPACE INCCOMMON STOCK$163.6M608,459443201108
STRYKER CORPCOMMON STOCK$163.4M518,979863667101
QUANTA SERVICES INCCOMMON STOCK$163.1M226,55374762E102
LOCKHEED MARTIN CORPCOMMON STOCK$163M320,001539830109
WILLIAMS COS INCCOMMON STOCK$162.6M2,187,135969457100
TRANE TECHNOLOGIES PLCCOMMON STOCK$162M329,856G8994E103
MEDTRONIC PLCCOMMON STOCK$158.1M2,021,278G5960L103
BANK OF NEW YORK MELLON CORPCOMMON STOCK$156.3M1,080,872064058100
NEWMONT CORPCOMMON STOCK$155.3M1,662,860651639106
EQUINIX INCREIT$155.3M148,97129444U700
CADENCE DESIGN SYS INCCOMMON STOCK$155M412,897127387108
SERVICENOW INCCOMMON STOCK$154.5M1,556,16581762P102
PNC FINANCIAL SERVICES GROUPCOMMON STOCK$154.2M626,279693475105
CUMMINS INCCOMMON STOCK$148.2M207,850231021106
CONOCOPHILLIPSCOMMON STOCK$147.9M1,422,41020825C104
SLB LTDCOMMON STOCK$145.2M3,122,754806857108
FORTINET INCCOMMON STOCK$145.1M944,52434959E109
VALERO ENERGY CORPCOMMON STOCK$143.8M552,20591913Y100
US BANCORPCOMMON STOCK$142.6M2,361,599902973304
FREEPORT MCMORAN INCCOMMON STOCK$142.2M2,260,80435671D857
MCKESSON CORPCOMMON STOCK$141.2M186,93358155Q103
AUTOMATIC DATA PROCESSINGCOMMON STOCK$141M629,479053015103
CORTEVA INCCOMMON STOCK$139.8M1,651,08422052L104
COMCAST CORP CLASS ACOMMON STOCK$139.6M5,687,66720030N101
CSX CORPCOMMON STOCK$136M2,861,154126408103
JOHNSON CONTROLS INTERNATIONCOMMON STOCK$135M924,205G51502105
SHERWIN WILLIAMS CO/THECOMMON STOCK$133.3M386,995824348106
CME GROUP INCCOMMON STOCK$131.2M594,31712572Q105
BLACKSTONE INCCOMMON STOCK$130.4M1,108,30409260D107
3M COCOMMON STOCK$130M802,88288579Y101
ECOLAB INCCOMMON STOCK$129.3M464,016278865100
MARATHON PETROLEUM CORPCOMMON STOCK$128.8M503,81656585A102
SNOWFLAKE INCCOMMON STOCK$127.3M500,356833445109
T MOBILE US INCCOMMON STOCK$127M756,895872590104
GENERAL DYNAMICS CORPCOMMON STOCK$126.4M356,870369550108
ADOBE INCCOMMON STOCK$125.7M612,90700724F101
SOUTHERN CO THECOMMON STOCK$125.6M1,312,265842587107
ELEVANCE HEALTH INCCOMMON STOCK$124M320,688036752103
BLOOM ENERGY CORP ACOMMON STOCK$123.5M408,083093712107
MARSH MCLENNAN COSCOMMON STOCK$122.7M735,926571748102
WASTE MANAGEMENT INCCOMMON STOCK$121.9M546,79894106L109
SYNOPSYS INCCOMMON STOCK$121.4M272,251871607107
DATADOG INC CLASS ACOMMON STOCK$121.2M465,46923804L103
BAKER HUGHES COCOMMON STOCK$120.9M2,177,57405722G100
MERCADOLIBRE INCCOMMON STOCK$119.9M70,61658733R102
ONEOK INCCOMMON STOCK$119.8M1,378,461682680103
MONDELEZ INTERNATIONAL INC ACOMMON STOCK$119M2,056,832609207105
EMERSON ELECTRIC COCOMMON STOCK$118.8M829,612291011104
CONSTELLATION ENERGYCOMMON STOCK$118.7M477,82821037T109
ROYAL CARIBBEAN CRUISES LTDCOMMON STOCK$118.5M373,187V7780T103
O REILLY AUTOMOTIVE INCCOMMON STOCK$117.2M1,272,50467103H107
AMERICAN TOWER CORPREIT$117M715,36903027X100
ACCENTURE PLC CL ACOMMON STOCK$116M932,444G1151C101
TERADYNE INCCOMMON STOCK$115.6M238,919880770102
DUKE ENERGY CORPCOMMON STOCK$114.7M906,43826441C204
CLOUDFLARE INC CLASS ACOMMON STOCK$114.6M467,06718915M107
MARRIOTT INTERNATIONAL CL ACOMMON STOCK$114.5M309,075571903202
ROBINHOOD MARKETS INC ACOMMON STOCK$113.1M1,128,171770700102
TRANSDIGM GROUP INCCOMMON STOCK$112.4M84,346893641100
UNITED PARCEL SERVICE CL BCOMMON STOCK$112.1M1,042,516911312106
COHERENT CORPCOMMON STOCK$110.8M280,77319247G107
TRAVELERS COS INC THECOMMON STOCK$110.7M335,30589417E109
UNITED RENTALS INCCOMMON STOCK$110.3M97,346911363109
HONEYWELL INTERNATIONAL INCCOMMON STOCK$110.2M492,130438516205
ILLINOIS TOOL WORKSCOMMON STOCK$109.5M404,963452308109
HONEYWELL AEROSPACE INCCOMMON STOCK$108.8M492,13043849R105
KINDER MORGAN INCCOMMON STOCK$108.5M3,394,80949456B101
INTERCONTINENTAL EXCHANGE INCOMMON STOCK$108.4M880,35945866F104
INTUIT INCCOMMON STOCK$108.3M415,105461202103
HILTON WORLDWIDE HOLDINGS INCOMMON STOCK$108.1M327,12843300A203
MONSTER BEVERAGE CORPCOMMON STOCK$107.7M1,120,38061174X109
GENERAL MOTORS COCOMMON STOCK$107.7M1,396,88537045V100
NORFOLK SOUTHERN CORPCOMMON STOCK$107.5M341,574655844108
COLGATE PALMOLIVE COCOMMON STOCK$107M1,167,471194162103
MOTOROLA SOLUTIONS INCCOMMON STOCK$106.7M256,825620076307
THE CIGNA GROUPCOMMON STOCK$106.6M386,852125523100
NXP SEMICONDUCTORS NVCOMMON STOCK$106.6M379,360N6596X109
PHILLIPS 66COMMON STOCK$106.1M627,773718546104
NORTHROP GRUMMAN CORPCOMMON STOCK$105.7M207,625666807102
SIMON PROPERTY GROUP INCREIT$105.3M470,733828806109
CIENA CORPCOMMON STOCK$104.7M213,528171779309
SPACE EXPLORATION TECHN CL ACOMMON STOCK$104.1M609,38284615Q103
DOORDASH INC ACOMMON STOCK$103.5M560,97225809K105
COMFORT SYSTEMS USA INCCOMMON STOCK$103M51,984199908104
CHENIERE ENERGY INCCOMMON STOCK$102.6M429,31916411R208
ROSS STORES INCCOMMON STOCK$102.4M480,889778296103
AON PLC CLASS ACOMMON STOCK$101.8M306,798G0403H108
MOODY S CORPCOMMON STOCK$100.4M221,766615369105
ASTERA LABS INCCOMMON STOCK$100.2M207,35904626A103
FEDEX CORPCOMMON STOCK$98.4M314,34831428X106
REGENERON PHARMACEUTICALSCOMMON STOCK$97.7M156,72475886F107
PACCAR INCCOMMON STOCK$97.6M812,752693718108
TRUIST FINANCIAL CORPCOMMON STOCK$97.1M1,948,96089832Q109
ALLSTATE CORPCOMMON STOCK$97.1M407,900020002101
BOSTON SCIENTIFIC CORPCOMMON STOCK$96.9M2,270,596101137107
EXELON CORPCOMMON STOCK$96.8M2,076,62130161N101
WARNER BROS DISCOVERY INCCOMMON STOCK$96.6M3,622,715934423104
MONOLITHIC POWER SYSTEMS INCCOMMON STOCK$96M69,420609839105
TEXAS PACIFIC LAND CORPCOMMON STOCK$94.5M215,83288262P102
REALTY INCOME CORPREIT$94M1,517,335756109104
TARGA RESOURCES CORPCOMMON STOCK$93.3M347,79987612G101
Values are shown exactly as filed. Before 2023 managers reported in thousands of dollars and afterwards in whole dollars; the reporting unit is not always determinable from the document, so nothing is converted automatically.

Source: U.S. Securities and Exchange Commission, Form 13F · as of 2026-08-24