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
$782M
should match the line above
Disclosure lag
55 d
quarter end to filing
Top 5 concentration
20.3%
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$35M7,007,449,93467066G104
APPLE INCCOMMON STOCK$22.3M6,446,426,607037833100
BLUE OWL CAPITAL CORPCOMMON STOCK$16.4M178,765,06369121K104
AMAZON COM INCCOMMON STOCK$14.7M3,502,857,478023135106
MICROSOFT CORPCOMMON STOCK$10.7M3,994,123,587594918104
ATT INCCOMMON STOCK$10.7M221,126,79800206R102
BANK OF AMERICA CORPCOMMON STOCK$10.3M586,149,556060505104
PFIZER INCCOMMON STOCK$9.1M217,981,455717081103
ALPHABET INC CL ACOMMON STOCK$8.8M3,160,882,97202079K305
ALPHABET INC CL CCOMMON STOCK$7M2,475,927,46902079K107
BROADCOM INCCOMMON STOCK$6.8M2,578,637,84711135F101
INTEL CORPCOMMON STOCK$6.7M931,579,105458140100
WALMART INCCOMMON STOCK$6.7M755,604,916931142103
NETFLIX INCCOMMON STOCK$6.4M458,934,71064110L106
VERIZON COMMUNICATIONS INCCOMMON STOCK$6.4M271,369,76292343V104
FORD MOTOR COCOMMON STOCK$6M83,893,103345370860
CISCO SYSTEMS INCCOMMON STOCK$6M706,130,05317275R102
COCA COLA CO THECOMMON STOCK$6M487,509,960191216100
COMCAST CORP CLASS ACOMMON STOCK$5.7M139,632,22520030N101
EXXON MOBIL CORPCOMMON STOCK$5.1M696,207,63530231G102
WELLS FARGO COCOMMON STOCK$4.7M384,483,013949746101
TESLA INCCOMMON STOCK$4.3M1,797,248,19588160R101
JPMORGAN CHASE COCOMMON STOCK$4.1M1,332,841,93446625H100
MERCK CO INCCOMMON STOCK$3.8M484,720,24758933Y105
JOHNSON JOHNSONCOMMON STOCK$3.7M943,488,645478160104
P G E CORPCOMMON STOCK$3.7M61,519,70569331C108
WARNER BROS DISCOVERY INCCOMMON STOCK$3.6M96,581,582934423104
GRAB HOLDINGS LTD CL ACOMMON STOCK$3.6M13,488,683G4124C109
PROCTER GAMBLE CO/THECOMMON STOCK$3.5M516,914,798742718109
ISHARES CORE S P 500 ETFISHARES CORE S+P 500 ETF$3.4M2,569,965,813464287200
KINDER MORGAN INCCOMMON STOCK$3.4M108,532,04449456B101
META PLATFORMS INC CLASS ACOMMON STOCK$3.3M1,878,304,58730303M102
PALANTIR TECHNOLOGIES INC ACOMMON STOCK$3.3M383,800,66569608A108
BRISTOL MYERS SQUIBB COCOMMON STOCK$3.2M185,255,963110122108
SLB LTDCOMMON STOCK$3.1M145,176,833806857108
KENVUE INCCOMMON STOCK$3M56,438,84349177J102
HUNTINGTON BANCSHARES INCCOMMON STOCK$2.9M50,838,045446150104
CSX CORPCOMMON STOCK$2.9M135,990,650126408103
UBER TECHNOLOGIES INCCOMMON STOCK$2.8M199,496,27890353T100
WALT DISNEY CO THECOMMON STOCK$2.7M261,941,488254687106
ABBOTT LABORATORIESCOMMON STOCK$2.7M246,828,861002824100
ABBVIE INCCOMMON STOCK$2.7M679,435,54900287Y109
ORACLE CORPCOMMON STOCK$2.6M382,756,94568389X105
CHEVRON CORPCOMMON STOCK$2.6M432,663,934166764100
CITIGROUP INCCOMMON STOCK$2.6M360,205,535172967424
VISA INC CLASS A SHARESCOMMON STOCK$2.6M879,320,45792826C839
NEXTERA ENERGY INCCOMMON STOCK$2.5M222,175,18565339F101
SCHWAB CHARLES CORPCOMMON STOCK$2.5M233,364,947808513105
ADVANCED MICRO DEVICESCOMMON STOCK$2.5M1,436,775,740007903107
HALLIBURTON COCOMMON STOCK$2.4M82,808,973406216101
US BANCORPCOMMON STOCK$2.4M142,640,580902973304
BOSTON SCIENTIFIC CORPCOMMON STOCK$2.3M96,909,037101137107
FREEPORT MCMORAN INCCOMMON STOCK$2.3M142,181,96435671D857
WILLIAMS COS INCCOMMON STOCK$2.2M162,591,616969457100
BAKER HUGHES COCOMMON STOCK$2.2M120,855,35705722G100
BERKSHIRE HATHAWAY INC CL BCOMMON STOCK$2.1M1,075,395,655084670702
PEPSICO INCCOMMON STOCK$2.1M285,677,210713448108
KEURIG DR PEPPER INCCOMMON STOCK$2.1M68,048,91049271V100
EXELON CORPCOMMON STOCK$2.1M96,812,07130161N101
MONDELEZ INTERNATIONAL INC ACOMMON STOCK$2.1M118,967,163609207105
RTX CORPCOMMON STOCK$2.1M389,832,16075513E101
HEWLETT PACKARD ENTERPRISECOMMON STOCK$2.1M92,484,61242824C109
MEDTRONIC PLCCOMMON STOCK$2M158,124,578G5960L103
KLA CORPCOMMON STOCK$2M599,111,883482480100
CHIPOTLE MEXICAN GRILL INCCOMMON STOCK$2M66,453,578169656105
TRUIST FINANCIAL CORPCOMMON STOCK$1.9M97,097,18789832Q109
GILEAD SCIENCES INCCOMMON STOCK$1.9M241,168,657375558103
LAM RESEARCH CORPCOMMON STOCK$1.9M821,470,614512807306
AMPHENOL CORP CL ACOMMON STOCK$1.9M331,555,831032095101
CVS HEALTH CORPCOMMON STOCK$1.9M193,320,429126650100
NIKE INC CL BCOMMON STOCK$1.8M75,611,801654106103
NU HOLDINGS LTD CAYMAN ISL ACOMMON STOCK$1.8M24,115,896G6683N103
VICI PROPERTIES INCREIT$1.8M47,561,405925652109
MORGAN STANLEYCOMMON STOCK$1.8M374,314,131617446448
FASTENAL COCOMMON STOCK$1.8M84,371,948311900104
STARBUCKS CORPCOMMON STOCK$1.8M179,138,252855244109
SOFI TECHNOLOGIES INCCOMMON STOCK$1.7M31,201,06983406F102
MICRON TECHNOLOGY INCCOMMON STOCK$1.7M1,977,753,560595112103
TJX COMPANIES INCCOMMON STOCK$1.7M258,776,847872540109
NEWMONT CORPCOMMON STOCK$1.7M155,311,124651639106
CORTEVA INCCOMMON STOCK$1.7M139,830,30422052L104
QUALCOMM INCCOMMON STOCK$1.6M301,278,659747525103
COEUR MINING INCCOMMON STOCK$1.6M26,468,951192108504
HP INCCOMMON STOCK$1.6M35,563,90640434L105
KRAFT HEINZ CO THECOMMON STOCK$1.6M38,073,220500754106
ARISTA NETWORKS INCCOMMON STOCK$1.6M272,793,984040413205
GENERAL ELECTRICCOMMON STOCK$1.6M594,835,395369604301
SERVICENOW INCCOMMON STOCK$1.6M154,496,06181762P102
PLUG POWER INCCOMMON STOCK$1.5M4,140,82972919P202
REALTY INCOME CORPREIT$1.5M94,014,077756109104
HOME DEPOT INCCOMMON STOCK$1.5M525,674,125437076102
CARNIVAL CORP LTDCOMMON STOCK$1.5M42,423,964G2004J103
COPART INCCOMMON STOCK$1.4M40,541,392217204106
INTL BUSINESS MACHINES CORPCOMMON STOCK$1.4M400,522,341459200101
CONOCOPHILLIPSCOMMON STOCK$1.4M147,873,74420825C104
FIFTH THIRD BANCORPCOMMON STOCK$1.4M79,618,735316773100
PROLOGIS INCREIT$1.4M189,453,84774340W103
GENERAL MOTORS COCOMMON STOCK$1.4M107,671,89637045V100
AURORA INNOVATION INCCOMMON STOCK$1.4M9,461,447051774107
TEXAS INSTRUMENTS INCCOMMON STOCK$1.4M412,312,183882508104
TECHNIPFMC PLCCOMMON STOCK$1.4M91,624,346G87110105
ONEOK INCCOMMON STOCK$1.4M119,843,399682680103
UNITEDHEALTH GROUP INCCOMMON STOCK$1.4M567,446,75491324P102
KEYCORPCOMMON STOCK$1.4M31,165,167493267108
VIATRIS INCCOMMON STOCK$1.3M21,386,40692556V106
ANNALY CAPITAL MANAGEMENT INREIT$1.3M29,412,858035710839
AGNC INVESTMENT CORPREIT$1.3M14,332,73700123Q104
SOUTHERN CO THECOMMON STOCK$1.3M125,596,883842587107
PAYPAL HOLDINGS INCCOMMON STOCK$1.3M55,904,11070450Y103
MARVELL TECHNOLOGY INCCOMMON STOCK$1.3M385,108,617573874104
RIVIAN AUTOMOTIVE INC ACOMMON STOCK$1.3M22,267,09476954A103
DEVON ENERGY CORPCOMMON STOCK$1.3M52,787,08525179M103
TEVA PHARMACEUTICAL SP ADRADR$1.3M43,270,486881624209
O REILLY AUTOMOTIVE INCCOMMON STOCK$1.3M117,184,89367103H107
SNAP INC ACOMMON STOCK$1.3M5,623,31883304A106
MASTERCARD INC ACOMMON STOCK$1.2M637,466,45357636Q104
REGIONS FINANCIAL CORPCOMMON STOCK$1.2M37,003,8497591EP100
PALO ALTO NETWORKS INCCOMMON STOCK$1.2M417,760,413697435105
ELI LILLY COCOMMON STOCK$1.2M1,460,379,190532457108
CORNING INCCOMMON STOCK$1.2M308,768,637219350105
BOOKING HOLDINGS INCCOMMON STOCK$1.2M214,651,58009857L108
APPLIED MATERIALS INCCOMMON STOCK$1.2M870,192,678038222105
SALESFORCE INCCOMMON STOCK$1.2M188,085,05679466L302
CNH INDUSTRIAL NVCOMMON STOCK$1.2M13,390,776N20944109
COLGATE PALMOLIVE COCOMMON STOCK$1.2M107,033,741194162103
BOEING CO THECOMMON STOCK$1.1M245,894,334097023105
ROBINHOOD MARKETS INC ACOMMON STOCK$1.1M113,132,988770700102
MCDONALD S CORPCOMMON STOCK$1.1M302,891,546580135101
MONSTER BEVERAGE CORPCOMMON STOCK$1.1M107,690,92661174X109
TRANSOCEAN LTDCOMMON STOCK$1.1M5,469,974H8817H100
CARRIER GLOBAL CORPCOMMON STOCK$1.1M81,575,32214448C104
BLACKSTONE INCCOMMON STOCK$1.1M130,414,13209260D107
LUMEN TECHNOLOGIES INCCOMMON STOCK$1.1M8,472,745550241103
PUBLIC SERVICE ENTERPRISE GPCOMMON STOCK$1.1M89,498,622744573106
BANK OF NEW YORK MELLON CORPCOMMON STOCK$1.1M156,304,900064058100
WELLTOWER INCREIT$1.1M244,081,49595040Q104
WEYERHAEUSER COREIT$1.1M25,524,804962166104
OPENDOOR TECHNOLOGIES INCCOMMON STOCK$1.1M4,851,508683712103
ROCKET COS INC CLASS ACOMMON STOCK$1M16,438,88977311W101
UNITED PARCEL SERVICE CL BCOMMON STOCK$1M112,070,470911312106
DOMINION ENERGY INCCOMMON STOCK$1M69,835,26625746U109
SEMPRACOMMON STOCK$996.1K92,350,656816851109
CARVANA COCOMMON STOCK$970.3K63,866,397146869102
DANAHER CORPCOMMON STOCK$969K184,571,691235851102
OPKO HEALTH INCCOMMON STOCK$961.5K1,442,22668375N103
GENERAL MILLS INCCOMMON STOCK$960.2K33,413,498370334104
KIMCO REALTY CORPREIT$957.6K24,275,05949446R109
FORTINET INCCOMMON STOCK$944.5K145,097,77734959E109
INVITATION HOMES INCREIT$944.3K28,526,72946187W107
ACCENTURE PLC CL ACOMMON STOCK$932.4K116,033,331G1151C101
JOHNSON CONTROLS INTERNATIONCOMMON STOCK$924.2K135,035,593G51502105
PROGRESSIVE CORPCOMMON STOCK$914.5K199,767,282743315103
UNION PACIFIC CORPCOMMON STOCK$910.7K247,700,336907818108
ROBLOX CORP CLASS ACOMMON STOCK$909.3K49,445,613771049103
DUKE ENERGY CORPCOMMON STOCK$906.4K114,736,92226441C204
KKR CO INCCOMMON STOCK$902.9K82,868,16248251W104
EDWARDS LIFESCIENCES CORPCOMMON STOCK$895K80,962,06228176E108
PERMIAN RESOURCES CORP CL ACOMMON STOCK$881.6K16,229,50171424F105
AMERICAN INTERNATIONAL GROUPCOMMON STOCK$881.2K65,677,774026874784
INTERCONTINENTAL EXCHANGE INCOMMON STOCK$880.4K108,380,99645866F104
PPL CORPCOMMON STOCK$874.1K31,773,71769351T106
METLIFE INCCOMMON STOCK$871.9K73,771,29059156R108
FIDELITY NATIONAL INFO SERVCOMMON STOCK$861.2K33,481,70631620M106
CAPITAL ONE FINANCIAL CORPCOMMON STOCK$860.7K172,667,21414040H105
OCCIDENTAL PETROLEUM CORPCOMMON STOCK$860.5K41,792,348674599105
EVERSOURCE ENERGYCOMMON STOCK$854.9K61,782,25030040W108
SUPER MICRO COMPUTER INCCOMMON STOCK$854.8K25,071,72486800U302
AMCOR PLCCOMMON STOCK$846.3K36,686,845G0250X149
FISERV INCCOMMON STOCK$843.6K41,376,667337738108
DOW INCCOMMON STOCK$836.4K22,883,412260557103
LOWE S COS INCCOMMON STOCK$829.7K182,933,056548661107
EMERSON ELECTRIC COCOMMON STOCK$829.6K118,758,958291011104
AES CORPCOMMON STOCK$828.2K12,141,60300130H105
AMGEN INCCOMMON STOCK$823.6K298,255,793031162100
MICROCHIP TECHNOLOGY INCCOMMON STOCK$819.3K74,723,990595017104
PACCAR INCCOMMON STOCK$812.8K97,627,770693718108
HEALTHPEAK PROPERTIES INCREIT$808.4K17,298,77642250P103
3M COCOMMON STOCK$802.9K129,994,62588579Y101
HOST HOTELS RESORTS INCREIT$798.5K18,932,34044107P104
AMERICAN EXPRESS COCOMMON STOCK$796.4K269,392,448025816109
CONSOLIDATED EDISON INCCOMMON STOCK$794.9K87,936,136209115104
COMPASS INC CLASS ACOMMON STOCK$788.2K9,718,86420464U100
KROGER COCOMMON STOCK$788.2K43,768,080501044101
ROCKET LAB CORPCOMMON STOCK$784.5K79,740,156773121108
CRH PLCCOMMON STOCK$779.1K83,361,667G25508105
HECLA MINING COCOMMON STOCK$777.9K12,002,534422704106
BCE INCCOMMON STOCK$776.4K16,717,77805534B950
AVANTOR INCCOMMON STOCK$763.4K7,557,40305352A100
SYSCO CORPCOMMON STOCK$760.4K63,555,151871829107
CENTERPOINT ENERGY INCCOMMON STOCK$758.5K33,404,47215189T107
T MOBILE US INCCOMMON STOCK$756.9K126,953,998872590104
QXO INCCOMMON STOCK$752.1K12,995,64982846H405
ANALOG DEVICES INCCOMMON STOCK$746.1K296,317,813032654105
BLUE OWL CAPITAL INCCOMMON STOCK$740K6,474,98309581B103
AFLAC INCCOMMON STOCK$737.4K86,458,157001055102
VENTAS INCREIT$736.1K65,366,39092276F100
MARSH MCLENNAN COSCOMMON STOCK$735.9K122,656,786571748102
TRACTOR SUPPLY COMPANYCOMMON STOCK$735.9K23,260,693892356106
EDISON INTERNATIONALCOMMON STOCK$735.7K54,771,153281020107
GEN DIGITAL INCCOMMON STOCK$732.1K18,221,421668771108
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