New York State Common Retirement Fund
TYL icon

New York State Common Retirement Fund’s Tyler Technologies TYL Stock Holding History

Quarter Market Value Status Shares Shares
Change %
Trade Value Portfolio Weight Portfolio Position
2025
Q2
$76.7M Sell
129,333
-1,122
-0.9% -$665K 0.1% 167
2025
Q1
$75.8M Sell
130,455
-27,490
-17% -$16M 0.11% 164
2024
Q4
$91.1M Sell
157,945
-14,179
-8% -$8.18M 0.12% 150
2024
Q3
$100M Sell
172,124
-81,937
-32% -$47.8M 0.14% 143
2024
Q2
$128M Buy
254,061
+2,171
+0.9% +$1.09M 0.17% 108
2024
Q1
$107M Sell
251,890
-2,390
-0.9% -$1.02M 0.14% 134
2023
Q4
$106M Sell
254,280
-5,490
-2% -$2.3M 0.15% 129
2023
Q3
$100M Sell
259,770
-7,360
-3% -$2.84M 0.14% 133
2023
Q2
$111M Sell
267,130
-2,305
-0.9% -$960K 0.14% 134
2023
Q1
$95.6M Buy
269,435
+11,886
+5% +$4.22M 0.13% 146
2022
Q4
$83M Buy
257,549
+6,226
+2% +$2.01M 0.11% 166
2022
Q3
$87.3M Buy
251,323
+40,532
+19% +$14.1M 0.13% 155
2022
Q2
$70.1M Sell
210,791
-1,224
-0.6% -$407K 0.09% 196
2022
Q1
$94.3M Sell
212,015
-997
-0.5% -$444K 0.1% 177
2021
Q4
$115M Sell
213,012
-13,147
-6% -$7.07M 0.12% 161
2021
Q3
$104M Sell
226,159
-95,747
-30% -$43.9M 0.11% 162
2021
Q2
$146M Sell
321,906
-6,887
-2% -$3.12M 0.15% 130
2021
Q1
$140M Buy
328,793
+3,606
+1% +$1.53M 0.15% 134
2020
Q4
$142M Sell
325,187
-15,007
-4% -$6.55M 0.16% 122
2020
Q3
$119M Sell
340,194
-7,500
-2% -$2.61M 0.15% 140
2020
Q2
$121M Sell
347,694
-14,097
-4% -$4.89M 0.15% 125
2020
Q1
$107M Sell
361,791
-43,100
-11% -$12.8M 0.16% 127
2019
Q4
$121M Sell
404,891
-21,591
-5% -$6.48M 0.14% 141
2019
Q3
$112M Sell
426,482
-354
-0.1% -$92.9K 0.14% 144
2019
Q2
$92.2M Buy
426,836
+6,937
+2% +$1.5M 0.12% 174
2019
Q1
$85.8M Buy
419,899
+7,450
+2% +$1.52M 0.11% 178
2018
Q4
$76.6M Sell
412,449
-1,682
-0.4% -$313K 0.11% 180
2018
Q3
$101M Sell
414,131
-15,380
-4% -$3.77M 0.12% 165
2018
Q2
$95.4M Sell
429,511
-700
-0.2% -$155K 0.12% 175
2018
Q1
$90.8M Sell
430,211
-50,866
-11% -$10.7M 0.11% 181
2017
Q4
$85.2M Buy
481,077
+4,288
+0.9% +$759K 0.1% 200
2017
Q3
$83.1M Sell
476,789
-655
-0.1% -$114K 0.11% 195
2017
Q2
$83.9M Buy
477,444
+5,874
+1% +$1.03M 0.11% 189
2017
Q1
$72.9M Buy
471,570
+8,436
+2% +$1.3M 0.1% 203
2016
Q4
$66.1M Buy
463,134
+12,190
+3% +$1.74M 0.09% 212
2016
Q3
$77.2M Sell
450,944
-14,509
-3% -$2.48M 0.11% 186
2016
Q2
$77.6M Sell
465,453
-52
-0% -$8.67K 0.11% 179
2016
Q1
$59.9M Buy
465,505
+56,472
+14% +$7.26M 0.09% 221
2015
Q4
$71.3M Sell
409,033
-41,966
-9% -$7.32M 0.11% 179
2015
Q3
$67.3M Sell
450,999
-92,812
-17% -$13.9M 0.11% 188
2015
Q2
$70.4M Buy
543,811
+11,733
+2% +$1.52M 0.1% 196
2015
Q1
$64.1M Sell
532,078
-10,161
-2% -$1.22M 0.09% 233
2014
Q4
$59.3M Sell
542,239
-5,531
-1% -$605K 0.09% 246
2014
Q3
$48.4M Sell
547,770
-204
-0% -$18K 0.07% 293
2014
Q2
$50M Buy
547,974
+56,499
+11% +$5.15M 0.07% 282
2014
Q1
$41.1M Sell
491,475
-1,810
-0.4% -$151K 0.06% 344
2013
Q4
$50.4M Sell
493,285
-17,526
-3% -$1.79M 0.08% 261
2013
Q3
$44.7M Buy
510,811
+29,791
+6% +$2.61M 0.08% 297
2013
Q2
$33M Buy
+481,020
New +$33M 0.06% 368