Back to CALIFORNIA STATE TEACHERS RETIREMENT SYSTEM

California State Teachers Retirement System

All holdings · as of Mar 31, 2026

2,924 positions

CompanyClassValueShares% of portfolio
THERMO FISHER SCIENTIFIC INC.$281.06M571,8110.3%
ABBOTT LABORATORIES$274.65M2,675,0570.3%
TJX Cos Inc/The$269.61M1,688,2270.3%
LINDE PLC$268.63M541,8460.3%
GILEAD SCIENCES, INC.$266.79M1,914,2920.3%
TEXAS INSTRUMENTS INC$265.82M1,369,2210.3%
Walt Disney Co$262.97M2,728,4320.3%
Salesforce Inc$262.79M1,407,7660.3%
PFIZER INC$252.87M9,005,1820.3%
Blue Owl Technology Finance Corp.OTFCommon Stock$250.56M20,222,4550.3%
AMERICAN EXPRESS CO$250.02M826,5770.3%
SLB LIMITED/NV$249.38M4,852,6610.3%
Intuitive Surgical Inc$248.61M539,2880.3%
NEXTERA ENERGY INC$245.74M2,645,7700.3%
SCHWAB CHARLES CORP$244.25M2,598,9080.3%
ANALOG DEVICES INC$240.06M754,5640.3%
AMPHENOL CORP /DE$236.91M1,875,0340.3%
The Boeing Company$235.41M1,182,7740.3%
HONEYWELL INTERNATIONAL INC$224.67M993,9670.2%
Uber Technologies, Inc$222.73M3,096,4910.2%
DEERE & CO$218.20M387,3590.2%
Booking Holdings Inc$215.51M51,1860.2%
Eaton Corp plc$213.17M596,0040.2%
BlackRock, Inc.$212.49M220,9470.2%
QUALCOMM INC/DE$211.42M1,641,6860.2%
Union Pacific Corp$204.76M843,9400.2%
Welltower, Inc.$204.69M1,035,3230.2%
S&P Global Inc.$201.71M474,2270.2%
BRISTOL MYERS SQUIBB CO$201.19M3,317,2010.2%
LOWES COMPANIES INC$198.16M838,6480.2%
LOCKHEED MARTIN CORP$196.73M325,4990.2%
Arista Networks, Inc.ANETCommon Stock$195.38M1,591,3180.2%
Palo Alto Networks Inc$189.45M1,181,7030.2%
ConocoPhillips$188.99M1,431,7460.2%
Prologis Inc$187.79M1,420,7380.2%
Baker Hughes Co$187.59M3,072,6840.2%
Chubb Ltd$185.96M570,5440.2%
Accenture plc$185.31M934,5480.2%
DANAHER CORP /DE$184.61M973,6860.2%
Newmont Corp$184.53M1,704,6670.2%
INTUIT INC.$182.95M423,1130.2%
Blue Owl Capital CorpOBDCCommon Stock$181.89M16,445,7280.2%
Medtronic plc$176.66M2,038,8300.2%
CME Group Inc$175.76M595,0890.2%
STRYKER CORP$175.32M533,5640.2%
PROGRESSIVE CORP/OH$171.00M862,5770.2%
Parker-Hannifin Corp$170.80M190,7870.2%
CAPITAL ONE FINANCIAL CORP$169.19M927,4040.2%
Comcast Corp.$167.91M5,848,3690.2%
VERTEX PHARMACEUTICALS INC / MA$166.77M373,4810.2%
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