New York State Common Retirement Fund
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New York State Common Retirement Fund’s Bio-Techne TECH Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$27.7M Hold
539,258
0.04% 336
2025
Q1
$31.6M Sell
539,258
-4,800
-0.9% -$281K 0.05% 288
2024
Q4
$39.2M Buy
544,058
+22,145
+4% +$1.6M 0.05% 244
2024
Q3
$41.7M Sell
521,913
-147,371
-22% -$11.8M 0.06% 251
2024
Q2
$48M Buy
669,284
+38,408
+6% +$2.75M 0.06% 232
2024
Q1
$44.4M Sell
630,876
-12,002
-2% -$845K 0.06% 263
2023
Q4
$49.6M Buy
642,878
+26,724
+4% +$2.06M 0.07% 243
2023
Q3
$41.9M Sell
616,154
-24,053
-4% -$1.64M 0.06% 261
2023
Q2
$52.3M Sell
640,207
-5,781
-0.9% -$472K 0.07% 254
2023
Q1
$47.9M Sell
645,988
-5,500
-0.8% -$408K 0.06% 263
2022
Q4
$54M Buy
651,488
+502,014
+336% +$41.6M 0.07% 233
2022
Q3
$42.5M Sell
149,474
-807
-0.5% -$229K 0.06% 267
2022
Q2
$52.1M Sell
150,281
-23,063
-13% -$7.99M 0.07% 240
2022
Q1
$75.1M Buy
173,344
+1,620
+0.9% +$702K 0.08% 216
2021
Q4
$88.8M Sell
171,724
-2,225
-1% -$1.15M 0.09% 195
2021
Q3
$84.3M Sell
173,949
-76,155
-30% -$36.9M 0.09% 202
2021
Q2
$113M Sell
250,104
-16,402
-6% -$7.39M 0.12% 163
2021
Q1
$102M Sell
266,506
-23,560
-8% -$9M 0.11% 162
2020
Q4
$92.1M Sell
290,066
-6,400
-2% -$2.03M 0.1% 184
2020
Q3
$73.4M Sell
296,466
-8,155
-3% -$2.02M 0.09% 210
2020
Q2
$80.4M Sell
304,621
-13,855
-4% -$3.66M 0.1% 198
2020
Q1
$60.4M Sell
318,476
-804
-0.3% -$152K 0.09% 200
2019
Q4
$70.1M Sell
319,280
-9,250
-3% -$2.03M 0.08% 229
2019
Q3
$64.3M Sell
328,530
-16,980
-5% -$3.32M 0.08% 237
2019
Q2
$72M Sell
345,510
-6,646
-2% -$1.39M 0.09% 219
2019
Q1
$69.9M Buy
352,156
+900
+0.3% +$179K 0.09% 219
2018
Q4
$50.8M Sell
351,256
-35,225
-9% -$5.1M 0.07% 257
2018
Q3
$78.9M Buy
386,481
+600
+0.2% +$122K 0.09% 208
2018
Q2
$57.1M Sell
385,881
-13,600
-3% -$2.01M 0.07% 256
2018
Q1
$60.3M Sell
399,481
-71,258
-15% -$10.8M 0.08% 257
2017
Q4
$61M Sell
470,739
-200
-0% -$25.9K 0.07% 262
2017
Q3
$56.9M Sell
470,939
-5,800
-1% -$701K 0.07% 265
2017
Q2
$56M Buy
476,739
+2,799
+0.6% +$329K 0.07% 273
2017
Q1
$48.2M Sell
473,940
-30,102
-6% -$3.06M 0.06% 296
2016
Q4
$51.8M Hold
504,042
0.07% 258
2016
Q3
$55.2M Sell
504,042
-3,200
-0.6% -$350K 0.08% 247
2016
Q2
$57.2M Sell
507,242
-33,394
-6% -$3.77M 0.08% 249
2016
Q1
$51.1M Buy
540,636
+82,250
+18% +$7.77M 0.08% 257
2015
Q4
$41.3M Hold
458,386
0.06% 313
2015
Q3
$42.4M Buy
458,386
+499
+0.1% +$46.1K 0.07% 288
2015
Q2
$45.1M Buy
457,887
+6,130
+1% +$604K 0.07% 303
2015
Q1
$45.3M Sell
451,757
-8,000
-2% -$802K 0.07% 326
2014
Q4
$42.5M Buy
459,757
+44,840
+11% +$4.14M 0.06% 329
2014
Q3
$38.8M Buy
414,917
+18,576
+5% +$1.74M 0.06% 370
2014
Q2
$36.7M Sell
396,341
-7,000
-2% -$648K 0.05% 401
2014
Q1
$34.4M Buy
403,341
+32,220
+9% +$2.75M 0.05% 408
2013
Q4
$35.1M Hold
371,121
0.06% 395
2013
Q3
$29.7M Sell
371,121
-1,000
-0.3% -$80.1K 0.05% 426
2013
Q2
$25.7M Buy
+372,121
New +$25.7M 0.05% 443