New York State Common Retirement Fund
TMO icon

New York State Common Retirement Fund’s Thermo Fisher Scientific TMO Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$199M Sell
489,825
-27,687
-5% -$11.2M 0.26% 68
2025
Q1
$258M Sell
517,512
-24,448
-5% -$12.2M 0.38% 39
2024
Q4
$282M Sell
541,960
-2,381
-0.4% -$1.24M 0.38% 35
2024
Q3
$337M Sell
544,341
-38,340
-7% -$23.7M 0.46% 30
2024
Q2
$322M Sell
582,681
-116,972
-17% -$64.7M 0.42% 33
2024
Q1
$407M Sell
699,653
-13,425
-2% -$7.8M 0.54% 26
2023
Q4
$378M Sell
713,078
-29,443
-4% -$15.6M 0.52% 26
2023
Q3
$376M Sell
742,521
-29,433
-4% -$14.9M 0.54% 26
2023
Q2
$403M Sell
771,954
-37,654
-5% -$19.6M 0.52% 25
2023
Q1
$467M Buy
809,608
+987
+0.1% +$569K 0.63% 22
2022
Q4
$445M Sell
808,621
-13,805
-2% -$7.6M 0.61% 26
2022
Q3
$417M Sell
822,426
-34,284
-4% -$17.4M 0.6% 25
2022
Q2
$465M Buy
856,710
+23,296
+3% +$12.7M 0.61% 23
2022
Q1
$492M Sell
833,414
-26,284
-3% -$15.5M 0.53% 26
2021
Q4
$574M Sell
859,698
-47,941
-5% -$32M 0.58% 24
2021
Q3
$519M Sell
907,639
-33,396
-4% -$19.1M 0.55% 25
2021
Q2
$475M Buy
941,035
+23,908
+3% +$12.1M 0.49% 28
2021
Q1
$419M Sell
917,127
-23,000
-2% -$10.5M 0.46% 35
2020
Q4
$438M Sell
940,127
-50,027
-5% -$23.3M 0.49% 31
2020
Q3
$437M Sell
990,154
-76,546
-7% -$33.8M 0.53% 31
2020
Q2
$387M Sell
1,066,700
-66,479
-6% -$24.1M 0.49% 35
2020
Q1
$321M Sell
1,133,179
-18,520
-2% -$5.25M 0.48% 35
2019
Q4
$374M Buy
1,151,699
+6,785
+0.6% +$2.2M 0.44% 36
2019
Q3
$333M Sell
1,144,914
-14,877
-1% -$4.33M 0.42% 39
2019
Q2
$341M Sell
1,159,791
-47,775
-4% -$14M 0.43% 38
2019
Q1
$331M Sell
1,207,566
-38,554
-3% -$10.6M 0.42% 39
2018
Q4
$279M Sell
1,246,120
-162,912
-12% -$36.5M 0.4% 41
2018
Q3
$344M Sell
1,409,032
-20,000
-1% -$4.88M 0.41% 42
2018
Q2
$296M Sell
1,429,032
-35,900
-2% -$7.44M 0.37% 47
2018
Q1
$302M Sell
1,464,932
-28,000
-2% -$5.78M 0.38% 48
2017
Q4
$283M Buy
1,492,932
+23,895
+2% +$4.54M 0.34% 48
2017
Q3
$278M Buy
1,469,037
+17,482
+1% +$3.31M 0.36% 47
2017
Q2
$253M Buy
1,451,555
+82,775
+6% +$14.4M 0.33% 53
2017
Q1
$210M Buy
1,368,780
+4,101
+0.3% +$630K 0.28% 65
2016
Q4
$193M Buy
1,364,679
+125,612
+10% +$17.7M 0.27% 70
2016
Q3
$197M Buy
1,239,067
+64,655
+6% +$10.3M 0.28% 65
2016
Q2
$174M Buy
1,174,412
+34,770
+3% +$5.14M 0.25% 71
2016
Q1
$161M Buy
1,139,642
+5,840
+0.5% +$827K 0.25% 76
2015
Q4
$161M Sell
1,133,802
-42,964
-4% -$6.09M 0.25% 76
2015
Q3
$144M Buy
1,176,766
+4,950
+0.4% +$605K 0.23% 86
2015
Q2
$152M Sell
1,171,816
-32,368
-3% -$4.2M 0.22% 90
2015
Q1
$162M Sell
1,204,184
-4,914
-0.4% -$660K 0.24% 85
2014
Q4
$151M Sell
1,209,098
-87,484
-7% -$11M 0.22% 97
2014
Q3
$158M Buy
1,296,582
+99,376
+8% +$12.1M 0.24% 90
2014
Q2
$141M Hold
1,197,206
0.21% 98
2014
Q1
$144M Buy
1,197,206
+73,420
+7% +$8.83M 0.22% 90
2013
Q4
$125M Sell
1,123,786
-32,870
-3% -$3.66M 0.2% 101
2013
Q3
$107M Sell
1,156,656
-36,819
-3% -$3.39M 0.18% 108
2013
Q2
$101M Buy
+1,193,475
New +$101M 0.18% 113