New York State Common Retirement Fund
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New York State Common Retirement Fund’s McKesson MCK Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$148M Sell
202,630
-37,332
-16% -$27.4M 0.2% 97
2025
Q1
$161M Sell
239,962
-128
-0.1% -$86.1K 0.24% 85
2024
Q4
$137M Sell
240,090
-7,471
-3% -$4.26M 0.18% 97
2024
Q3
$122M Sell
247,561
-9,070
-4% -$4.48M 0.17% 113
2024
Q2
$150M Sell
256,631
-14,204
-5% -$8.3M 0.2% 93
2024
Q1
$145M Sell
270,835
-21,426
-7% -$11.5M 0.19% 99
2023
Q4
$135M Sell
292,261
-30,038
-9% -$13.9M 0.19% 105
2023
Q3
$140M Sell
322,299
-15,179
-4% -$6.6M 0.2% 102
2023
Q2
$144M Buy
337,478
+18,024
+6% +$7.7M 0.18% 106
2023
Q1
$114M Sell
319,454
-22,732
-7% -$8.09M 0.15% 123
2022
Q4
$128M Sell
342,186
-1,221
-0.4% -$458K 0.18% 117
2022
Q3
$117M Sell
343,407
-11,534
-3% -$3.92M 0.17% 117
2022
Q2
$116M Buy
354,941
+25,776
+8% +$8.41M 0.15% 132
2022
Q1
$101M Sell
329,165
-41,343
-11% -$12.7M 0.11% 166
2021
Q4
$92.1M Sell
370,508
-1,283
-0.3% -$319K 0.09% 189
2021
Q3
$74.1M Sell
371,791
-1,415
-0.4% -$282K 0.08% 230
2021
Q2
$71.4M Buy
373,206
+14,249
+4% +$2.72M 0.07% 241
2021
Q1
$70M Sell
358,957
-15,926
-4% -$3.11M 0.08% 235
2020
Q4
$65.2M Sell
374,883
-39,107
-9% -$6.8M 0.07% 256
2020
Q3
$61.7M Sell
413,990
-34,400
-8% -$5.12M 0.08% 241
2020
Q2
$68.8M Sell
448,390
-52,776
-11% -$8.1M 0.09% 214
2020
Q1
$67.8M Sell
501,166
-38,527
-7% -$5.21M 0.1% 184
2019
Q4
$74.7M Sell
539,693
-18,761
-3% -$2.6M 0.09% 211
2019
Q3
$76.3M Sell
558,454
-93,589
-14% -$12.8M 0.1% 205
2019
Q2
$87.6M Sell
652,043
-70,311
-10% -$9.45M 0.11% 189
2019
Q1
$84.6M Sell
722,354
-3,114
-0.4% -$365K 0.11% 181
2018
Q4
$80.1M Sell
725,468
-34,554
-5% -$3.82M 0.12% 173
2018
Q3
$101M Sell
760,022
-5,144
-0.7% -$682K 0.12% 167
2018
Q2
$102M Buy
765,166
+12,151
+2% +$1.62M 0.13% 162
2018
Q1
$106M Sell
753,015
-6,456
-0.9% -$909K 0.13% 152
2017
Q4
$118M Sell
759,471
-5,007
-0.7% -$781K 0.14% 148
2017
Q3
$117M Sell
764,478
-43,118
-5% -$6.62M 0.15% 142
2017
Q2
$133M Buy
807,596
+33,812
+4% +$5.56M 0.18% 116
2017
Q1
$115M Buy
773,784
+4,435
+0.6% +$658K 0.15% 136
2016
Q4
$108M Buy
769,349
+181,749
+31% +$25.5M 0.15% 134
2016
Q3
$98M Sell
587,600
-5,000
-0.8% -$834K 0.14% 149
2016
Q2
$111M Sell
592,600
-10,672
-2% -$1.99M 0.16% 124
2016
Q1
$94.9M Sell
603,272
-51,256
-8% -$8.06M 0.14% 140
2015
Q4
$129M Sell
654,528
-30,715
-4% -$6.06M 0.2% 98
2015
Q3
$127M Sell
685,243
-2,025
-0.3% -$375K 0.2% 97
2015
Q2
$155M Sell
687,268
-21,465
-3% -$4.83M 0.23% 88
2015
Q1
$160M Buy
708,733
+1,334
+0.2% +$302K 0.23% 90
2014
Q4
$147M Sell
707,399
-32,107
-4% -$6.66M 0.22% 99
2014
Q3
$144M Buy
739,506
+6,273
+0.9% +$1.22M 0.22% 97
2014
Q2
$137M Hold
733,233
0.2% 101
2014
Q1
$129M Hold
733,233
0.2% 103
2013
Q4
$118M Sell
733,233
-26,700
-4% -$4.31M 0.19% 105
2013
Q3
$97.5M Sell
759,933
-55,300
-7% -$7.09M 0.16% 124
2013
Q2
$93.3M Buy
+815,233
New +$93.3M 0.16% 127