New York State Common Retirement Fund
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New York State Common Retirement Fund’s Marsh & McLennan MMC Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$137M Sell
626,229
-2,690
-0.4% -$588K 0.18% 103
2025
Q1
$153M Sell
628,919
-41,969
-6% -$10.2M 0.23% 90
2024
Q4
$143M Sell
670,888
-7,294
-1% -$1.55M 0.19% 94
2024
Q3
$151M Sell
678,182
-79,079
-10% -$17.6M 0.2% 92
2024
Q2
$160M Sell
757,261
-7,829
-1% -$1.65M 0.21% 86
2024
Q1
$158M Sell
765,090
-7,978
-1% -$1.64M 0.21% 90
2023
Q4
$146M Sell
773,068
-67,138
-8% -$12.7M 0.2% 101
2023
Q3
$160M Sell
840,206
-54,561
-6% -$10.4M 0.23% 90
2023
Q2
$168M Sell
894,767
-26,102
-3% -$4.91M 0.22% 97
2023
Q1
$153M Sell
920,869
-40,327
-4% -$6.72M 0.21% 100
2022
Q4
$159M Sell
961,196
-10,483
-1% -$1.73M 0.22% 96
2022
Q3
$145M Sell
971,679
-59,396
-6% -$8.87M 0.21% 94
2022
Q2
$160M Sell
1,031,075
-14,890
-1% -$2.31M 0.21% 92
2022
Q1
$178M Sell
1,045,965
-8,561
-0.8% -$1.46M 0.19% 100
2021
Q4
$183M Sell
1,054,526
-11,870
-1% -$2.06M 0.18% 103
2021
Q3
$161M Sell
1,066,396
-48,246
-4% -$7.31M 0.17% 115
2021
Q2
$157M Sell
1,114,642
-31,885
-3% -$4.49M 0.16% 124
2021
Q1
$140M Sell
1,146,527
-20,323
-2% -$2.48M 0.15% 133
2020
Q4
$137M Sell
1,166,850
-60,153
-5% -$7.04M 0.15% 132
2020
Q3
$141M Sell
1,227,003
-57,512
-4% -$6.6M 0.17% 117
2020
Q2
$138M Sell
1,284,515
-43,900
-3% -$4.71M 0.18% 112
2020
Q1
$115M Sell
1,328,415
-1,300
-0.1% -$112K 0.17% 120
2019
Q4
$148M Sell
1,329,715
-19,699
-1% -$2.19M 0.18% 109
2019
Q3
$135M Sell
1,349,414
-14,505
-1% -$1.45M 0.17% 117
2019
Q2
$136M Sell
1,363,919
-34,500
-2% -$3.44M 0.17% 111
2019
Q1
$131M Buy
1,398,419
+4,291
+0.3% +$403K 0.17% 114
2018
Q4
$111M Sell
1,394,128
-20,152
-1% -$1.61M 0.16% 129
2018
Q3
$117M Sell
1,414,280
-11,583
-0.8% -$958K 0.14% 145
2018
Q2
$117M Sell
1,425,863
-76,937
-5% -$6.31M 0.15% 136
2018
Q1
$124M Sell
1,502,800
-48,700
-3% -$4.02M 0.15% 131
2017
Q4
$126M Sell
1,551,500
-500
-0% -$40.7K 0.15% 138
2017
Q3
$130M Buy
1,552,000
+3,200
+0.2% +$268K 0.17% 121
2017
Q2
$121M Sell
1,548,800
-19,101
-1% -$1.49M 0.16% 136
2017
Q1
$116M Sell
1,567,901
-2,299
-0.1% -$170K 0.16% 133
2016
Q4
$106M Sell
1,570,200
-27,300
-2% -$1.85M 0.15% 139
2016
Q3
$107M Sell
1,597,500
-34,800
-2% -$2.34M 0.15% 134
2016
Q2
$112M Buy
1,632,300
+99,500
+6% +$6.81M 0.16% 123
2016
Q1
$93.2M Buy
1,532,800
+145,900
+11% +$8.87M 0.14% 143
2015
Q4
$76.9M Sell
1,386,900
-49,000
-3% -$2.72M 0.12% 167
2015
Q3
$75M Buy
1,435,900
+2,525
+0.2% +$132K 0.12% 164
2015
Q2
$81.3M Sell
1,433,375
-56,384
-4% -$3.2M 0.12% 167
2015
Q1
$83.6M Sell
1,489,759
-6,299
-0.4% -$353K 0.12% 174
2014
Q4
$85.6M Sell
1,496,058
-52,699
-3% -$3.02M 0.13% 169
2014
Q3
$81.1M Sell
1,548,757
-3,802
-0.2% -$199K 0.12% 172
2014
Q2
$80.5M Hold
1,552,559
0.12% 181
2014
Q1
$76.5M Sell
1,552,559
-8,000
-0.5% -$394K 0.12% 179
2013
Q4
$75.5M Sell
1,560,559
-48,500
-3% -$2.35M 0.12% 178
2013
Q3
$70.1M Sell
1,609,059
-49,200
-3% -$2.14M 0.12% 175
2013
Q2
$66.2M Buy
+1,658,259
New +$66.2M 0.12% 180