New York State Common Retirement Fund
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New York State Common Retirement Fund’s Accenture ACN Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$237M Buy
793,792
+20,798
+3% +$6.22M 0.32% 52
2025
Q1
$241M Sell
772,994
-104,515
-12% -$32.6M 0.35% 42
2024
Q4
$309M Sell
877,509
-8,932
-1% -$3.14M 0.41% 32
2024
Q3
$313M Sell
886,441
-100,095
-10% -$35.4M 0.42% 33
2024
Q2
$299M Sell
986,536
-112,642
-10% -$34.2M 0.39% 36
2024
Q1
$381M Buy
1,099,178
+89,557
+9% +$31M 0.5% 29
2023
Q4
$354M Sell
1,009,621
-47,496
-4% -$16.7M 0.49% 29
2023
Q3
$325M Sell
1,057,117
-99,613
-9% -$30.6M 0.47% 32
2023
Q2
$357M Sell
1,156,730
-111,134
-9% -$34.3M 0.46% 35
2023
Q1
$362M Sell
1,267,864
-25,125
-2% -$7.18M 0.49% 32
2022
Q4
$345M Buy
1,292,989
+39,020
+3% +$10.4M 0.47% 36
2022
Q3
$323M Sell
1,253,969
-84,787
-6% -$21.8M 0.47% 33
2022
Q2
$372M Sell
1,338,756
-46,504
-3% -$12.9M 0.49% 33
2022
Q1
$467M Sell
1,385,260
-24,809
-2% -$8.37M 0.5% 31
2021
Q4
$585M Sell
1,410,069
-21,384
-1% -$8.86M 0.59% 21
2021
Q3
$458M Sell
1,431,453
-29,422
-2% -$9.41M 0.49% 29
2021
Q2
$431M Sell
1,460,875
-47,756
-3% -$14.1M 0.45% 34
2021
Q1
$417M Sell
1,508,631
-28,215
-2% -$7.79M 0.46% 37
2020
Q4
$401M Sell
1,536,846
-2,428
-0.2% -$634K 0.45% 35
2020
Q3
$348M Sell
1,539,274
-67,735
-4% -$15.3M 0.43% 41
2020
Q2
$345M Sell
1,607,009
-134,049
-8% -$28.8M 0.44% 38
2020
Q1
$284M Sell
1,741,058
-27,924
-2% -$4.56M 0.43% 44
2019
Q4
$372M Buy
1,768,982
+8,088
+0.5% +$1.7M 0.44% 37
2019
Q3
$339M Buy
1,760,894
+3,101
+0.2% +$596K 0.43% 38
2019
Q2
$325M Sell
1,757,793
-47,618
-3% -$8.8M 0.41% 41
2019
Q1
$318M Buy
1,805,411
+14,194
+0.8% +$2.5M 0.41% 42
2018
Q4
$253M Sell
1,791,217
-74,197
-4% -$10.5M 0.37% 50
2018
Q3
$317M Sell
1,865,414
-45,146
-2% -$7.68M 0.38% 49
2018
Q2
$313M Sell
1,910,560
-31,808
-2% -$5.2M 0.39% 45
2018
Q1
$298M Buy
1,942,368
+95,679
+5% +$14.7M 0.37% 50
2017
Q4
$283M Buy
1,846,689
+7,144
+0.4% +$1.09M 0.34% 49
2017
Q3
$248M Buy
1,839,545
+2,608
+0.1% +$352K 0.32% 58
2017
Q2
$227M Sell
1,836,937
-101,621
-5% -$12.6M 0.3% 60
2017
Q1
$232M Buy
1,938,558
+63,036
+3% +$7.56M 0.31% 59
2016
Q4
$220M Sell
1,875,522
-18,191
-1% -$2.13M 0.31% 58
2016
Q3
$231M Buy
1,893,713
+28,951
+2% +$3.54M 0.33% 53
2016
Q2
$211M Buy
1,864,762
+106,365
+6% +$12.1M 0.31% 58
2016
Q1
$203M Buy
1,758,397
+118,200
+7% +$13.6M 0.31% 57
2015
Q4
$171M Sell
1,640,197
-53,798
-3% -$5.62M 0.26% 69
2015
Q3
$166M Buy
1,693,995
+9,916
+0.6% +$974K 0.26% 72
2015
Q2
$163M Sell
1,684,079
-53,110
-3% -$5.14M 0.24% 81
2015
Q1
$163M Sell
1,737,189
-8,126
-0.5% -$761K 0.24% 84
2014
Q4
$156M Sell
1,745,315
-47,782
-3% -$4.27M 0.23% 93
2014
Q3
$146M Sell
1,793,097
-133,982
-7% -$10.9M 0.22% 95
2014
Q2
$156M Hold
1,927,079
0.23% 86
2014
Q1
$154M Sell
1,927,079
-34,800
-2% -$2.77M 0.24% 81
2013
Q4
$161M Sell
1,961,879
-157,800
-7% -$13M 0.25% 78
2013
Q3
$156M Sell
2,119,679
-35,869
-2% -$2.64M 0.26% 71
2013
Q2
$155M Buy
+2,155,548
New +$155M 0.27% 69