New York State Common Retirement Fund’s Aecom ACM Stock Holding History

Bought
Maintained
Sold
Quarter Market Value Status Shares Change in
Stake
Trade Value Portfolio Weight Portfolio Position
2026
Q1
$7.82M Hold
92,221
0.01% 830
2025
Q4
$8.79M Sell
92,221
-160,187
-63% -$18.8M 0.01% 789
2025
Q3
$32.9M Buy
252,408
+2,145
+0.9% +$259K 0.04% 296
2025
Q2
$28.2M Sell
250,263
-31,762
-11% -$3.3M 0.04% 329
2025
Q1
$26.2M Sell
282,025
-4,633
-2% -$470K 0.04% 332
2024
Q4
$30.6M Sell
286,658
-3,504
-1% -$383K 0.04% 316
2024
Q3
$30M Sell
290,162
-9,322
-3% -$876K 0.04% 331
2024
Q2
$26.4M Buy
299,484
+8,428
+3% +$769K 0.03% 396
2024
Q1
$28.5M Sell
291,056
-10,933
-4% -$988K 0.04% 390
2023
Q4
$27.9M Sell
301,989
-30,037
-9% -$2.55M 0.04% 401
2023
Q3
$27.6M Sell
332,026
-18,523
-5% -$1.6M 0.04% 382
2023
Q2
$29.7M Sell
350,549
-22,946
-6% -$1.88M 0.04% 414
2023
Q1
$31.5M Buy
373,495
+31,302
+9% +$2.7M 0.04% 389
2022
Q4
$29.1M Buy
342,193
+7,029
+2% +$553K 0.04% 400
2022
Q3
$22.9M Buy
335,164
+1,805
+0.5% +$128K 0.03% 471
2022
Q2
$21.7M Buy
333,359
+147,544
+79% +$10.3M 0.03% 508
2022
Q1
$14.3M Buy
185,815
+8,953
+5% +$657K 0.02% 801
2021
Q4
$13.7M Buy
176,862
+1,120
+0.6% +$78.6K 0.01% 861
2021
Q3
$11.1M Sell
175,742
-3,781
-2% -$241K 0.01% 955
2021
Q2
$11.4M Sell
179,523
-977
-0.5% -$63.9K 0.01% 948
2021
Q1
$11.6M Sell
180,500
-42,000
-19% -$2.39M 0.01% 883
2020
Q4
$11.1M Sell
222,500
-21,900
-9% -$1.05M 0.01% 885
2020
Q3
$10.2M Sell
244,400
-28,300
-10% -$1.08M 0.01% 846
2020
Q2
$10.2M Sell
272,700
-16,300
-6% -$584K 0.01% 856
2020
Q1
$8.63M Sell
289,000
-5,926
-2% -$253K 0.01% 843
2019
Q4
$12.7M Sell
294,926
-2,774
-0.9% -$115K 0.02% 862
2019
Q3
$11.2M Sell
297,700
-500
-0.2% -$18K 0.01% 900
2019
Q2
$11.3M Buy
298,200
+200
+0.1% +$6.64K 0.01% 915
2019
Q1
$8.84M Sell
298,000
-8,000
-3% -$239K 0.01% 1001
2018
Q4
$8.11M Sell
306,000
-7,500
-2% -$228K 0.01% 977
2018
Q3
$10.2M Sell
313,500
-75,800
-19% -$2.5M 0.01% 998
2018
Q2
$12.9M Buy
389,300
+51,300
+15% +$1.76M 0.02% 886
2018
Q1
$12M Sell
338,000
-6,000
-2% -$222K 0.02% 902
2017
Q4
$12.8M Sell
344,000
-35,120
-9% -$1.28M 0.02% 890
2017
Q3
$14M Buy
379,120
+43,120
+13% +$1.42M 0.02% 814
2017
Q2
$10.9M Buy
336,000
+5,999
+2% +$199K 0.01% 927
2017
Q1
$11.7M Buy
330,001
+1
+0% +$37 0.02% 886
2016
Q4
$12M Buy
330,000
+7,500
+2% +$249K 0.02% 875
2016
Q3
$9.59M Sell
322,500
-116,200
-26% -$3.75M 0.01% 942
2016
Q2
$13.9M Buy
438,700
+49,172
+13% +$1.56M 0.02% 778
2016
Q1
$12M Sell
389,528
-28,500
-7% -$791K 0.02% 822
2015
Q4
$12.6M Hold
418,028
0.02% 795
2015
Q3
$11.5M Sell
418,028
-14,314
-3% -$416K 0.02% 822
2015
Q2
$14.3M Sell
432,342
-56,232
-12% -$1.86M 0.02% 757
2015
Q1
$15.1M Buy
488,574
+40,900
+9% +$1.17M 0.02% 692
2014
Q4
$13.6M Sell
447,674
-245,172
-35% -$7.65M 0.02% 727
2014
Q3
$23.4M Buy
692,846
+411,400
+146% +$14.6M 0.03% 551
2014
Q2
$9.06M Sell
281,446
-177,151
-39% -$5.72M 0.01% 980
2014
Q1
$14.8M Buy
458,597
+86,751
+23% +$2.64M 0.02% 738
2013
Q4
$10.9M Sell
371,846
-18,000
-5% -$544K 0.02% 869
2013
Q3
$12.2M Sell
389,846
-84,425
-18% -$2.64M 0.02% 792
2013
Q2
$15.1M Buy
+474,271
New +$14.3M 0.03% 634

Other funds holding ACM