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VIRGINIA RETIREMENT SYSTEMS ET Al

13F filer · CIK 0001005354
Reported Feb 4, 2026
Net buyer this quarter
13F portfolio value$16.7BU.S. long equity reported on 13F
Positions947140 new · 119 closed
Net flow last quarter+$722MBuys minus sells
Top 10 positions weight32.7%Concentration

Holdings

13F · last 4 quarters free
Scroll for earlier quarters
CompanyValue% of portfolio% of companyPOSITION CHANGE qoq %First reported
Q4 2025Reported Feb 4, 2026947 positions
AAPLApple Inc.$1.05B6.28%0.03%+12.9%Q2 2013
NVDANvidia Corp$938M5.58%0.02%-5.3%Q2 2013
MSFTMicrosoft Corp$845M5.03%0.02%+2.2%Q2 2013
AMZNAmazon Com Inc$642M3.82%0.03%+52.6%Q2 2013
GOOGLAlphabet Inc.$526M3.13%0.01%+35.4%Q4 2015
METAMeta Platforms, Inc.$435M2.59%Not reported+16.5%Q2 2013
AVGOBroadcom Inc.$334M1.99%0.02%+32.4%Q2 2016
GOOGAlphabet Inc.$329M1.95%Not reported+5.6%Q4 2015
JNJJohnson & Johnson$240M1.43%0.05%Not reportedQ2 2013
TSLATesla, Inc.$158M0.94%0.01%+5.1%Q1 2014
WMTWalmart Inc.$146M0.87%0.02%+246.3%Q2 2013
MRKMerck & Co., Inc.$143M0.85%0.05%-10.0%Q2 2013
GILDGilead Sciences, Inc.$142M0.84%0.09%-9.7%Q2 2013
JPMJPMorgan Chase & Co$140M0.83%0.02%+5.1%Q2 2013
VVisa Inc.$137M0.82%0.02%+15.2%Q2 2013
HCAHCA Healthcare, Inc.$135M0.80%0.13%-2.9%Q2 2013
BMYBristol Myers Squibb Co$121M0.72%0.11%Not reportedQ2 2013
DGDollar General Corp$120M0.72%0.41%-0.1%Q2 2013
VZVerizon Communications Inc$118M0.70%0.07%+4.5%Q2 2013
MOAltria Group, Inc.$115M0.68%0.12%-6.0%Q2 2013
YUMYum Brands Inc$114M0.68%0.27%+23.5%Q2 2013
MUMicron Technology Inc$114M0.68%0.04%+68.0%Q2 2013
ABTAbbott Laboratories$113M0.67%0.05%+9.4%Q2 2013
TAt&T Inc.$112M0.66%0.06%Not reportedQ2 2013
UHSUniversal Health Services Inc$103M0.61%Not reported+17.7%Q2 2013
LLYELI LILLY & Co$102M0.61%0.01%+21.2%Q2 2013
GSGoldman Sachs Group Inc$102M0.61%0.04%-12.3%Q2 2013
CLColgate Palmolive Co$100M0.60%0.16%-4.8%Q2 2013
LRCXLam Research Corp$99.6M0.59%0.05%-2.7%Q2 2013
BRK.BBerkshire Hathaway Inc$98.5M0.59%Not reported-7.5%Q2 2013
PCARPaccar Inc$89.1M0.53%0.15%-14.5%Q2 2013
KRKroger Co$87.3M0.52%0.22%-13.4%Q2 2013
TXTTextron Inc$81.7M0.49%0.53%Not reportedQ2 2013
CBOECboe Global Markets, Inc.$81.1M0.48%0.31%Not reportedQ2 2013
CTSHCognizant Technology Solutions Corp$79.8M0.47%0.20%+18.2%Q2 2013
GEGeneral Electric Co$79.6M0.47%0.02%-5.7%Q1 2022
FOXAFox Corp$79.4M0.47%108630000.00%+11.8%Q4 2019
EBAYEbay Inc$79.1M0.47%0.20%-15.9%Q2 2013
CCitigroup Inc$79.1M0.47%0.04%-38.2%Q2 2013
SPGSimon Property Group Inc.$78.6M0.47%5310.38%-2.3%Q2 2013
IBMInternational Business Machines Corp$77.2M0.46%0.03%+424.6%Q2 2013
MSMorgan Stanley$76.7M0.46%0.03%-34.0%Q2 2013
INCYIncyte Corp$75.9M0.45%0.39%Not reportedQ1 2014
NFLXNetflix Inc$75.2M0.45%0.02%-12.2%Q2 2013
BKNGBooking Holdings Inc.$74.8M0.44%0.04%+5.4%Q1 2018
ABBVAbbVie Inc.$74.3M0.44%0.02%+10.9%Q2 2013
VRSNVerisign Inc$73.1M0.43%0.33%-32.7%Q2 2013
SNASnap-on Inc$73M0.43%0.41%+16.4%Q2 2013
WELLWelltower Inc.$72.2M0.43%0.06%+16.1%Q3 2015
PSAPublic Storage$70.6M0.42%0.16%-15.3%Q2 2013
Q3 2025Reported Oct 20, 2025926 positions
NVDANvidia Corp$991M6.43%0.02%Not reportedQ2 2013
MSFTMicrosoft Corp$886M5.75%0.02%Not reportedQ2 2013
AAPLApple Inc.$875M5.68%0.02%Not reportedQ2 2013
METAMeta Platforms, Inc.$416M2.69%Not reportedNot reportedQ2 2013
AMZNAmazon Com Inc$400M2.60%0.02%Not reportedQ2 2013
GOOGLAlphabet Inc.$302M1.96%0.01%Not reportedQ4 2015
GOOGAlphabet Inc.$241M1.57%Not reportedNot reportedQ4 2015
AVGOBroadcom Inc.$241M1.56%0.02%Not reportedQ2 2016
JNJJohnson & Johnson$215M1.39%0.05%Not reportedQ2 2013
TSLATesla, Inc.$149M0.97%0.01%Not reportedQ1 2014
GILDGilead Sciences, Inc.$142M0.92%0.10%Not reportedQ2 2013
MOAltria Group, Inc.$140M0.91%0.13%Not reportedQ2 2013
JPMJPMorgan Chase & Co$130M0.85%0.02%Not reportedQ2 2013
TAt&T Inc.$127M0.82%0.06%Not reportedQ2 2013
HCAHCA Healthcare, Inc.$127M0.82%0.13%Not reportedQ2 2013
MRKMerck & Co., Inc.$127M0.82%0.06%Not reportedQ2 2013
VRSNVerisign Inc$125M0.81%0.48%Not reportedQ2 2013
VZVerizon Communications Inc$121M0.79%0.07%Not reportedQ2 2013
VVisa Inc.$116M0.75%0.02%Not reportedQ2 2013
VICIVici Properties Inc.$113M0.73%0.32%Not reportedQ1 2018
CCitigroup Inc$111M0.72%0.06%Not reportedQ2 2013
ABTAbbott Laboratories$111M0.72%0.05%Not reportedQ2 2013
NFLXNetflix Inc$110M0.71%0.02%Not reportedQ2 2013
KRKroger Co$109M0.71%0.24%Not reportedQ2 2013
CLColgate Palmolive Co$107M0.69%0.17%Not reportedQ2 2013
BRK.BBerkshire Hathaway Inc$106M0.69%Not reportedNot reportedQ2 2013
GSGoldman Sachs Group Inc$105M0.68%0.04%Not reportedQ2 2013
MSMorgan Stanley$104M0.67%0.04%Not reportedQ2 2013
BMYBristol Myers Squibb Co$101M0.65%0.11%Not reportedQ2 2013
EBAYEbay Inc$98.2M0.64%0.24%Not reportedQ2 2013
DGDollar General Corp$93.7M0.61%0.41%Not reportedQ2 2013
PCARPaccar Inc$93.6M0.61%0.18%Not reportedQ2 2013
PSAPublic Storage$92.8M0.60%0.18%Not reportedQ2 2013
YUMYum Brands Inc$92.5M0.60%0.22%Not reportedQ2 2013
CMECme Group Inc.$84.1M0.55%0.09%Not reportedQ2 2013
GEGeneral Electric Co$82.4M0.53%0.03%Not reportedQ1 2022
UHSUniversal Health Services Inc$82.3M0.53%Not reportedNot reportedQ2 2013
SPGSimon Property Group Inc.$81.6M0.53%5432.88%Not reportedQ2 2013
LRCXLam Research Corp$80.1M0.52%0.05%Not reportedQ2 2013
TXTTextron Inc$79.2M0.51%0.53%Not reportedQ2 2013
CBOECboe Global Markets, Inc.$79.2M0.51%0.31%Not reportedQ2 2013
PMPhilip Morris International Inc.$72.7M0.47%0.03%Not reportedQ2 2013
ANETArista Networks, Inc.$72.6M0.47%0.04%Not reportedQ2 2016
EWEdwards Lifesciences Corp$71.8M0.47%0.16%Not reportedQ2 2013
BKNGBooking Holdings Inc.$71.5M0.46%0.04%Not reportedQ1 2018
KMBKimberly Clark Corp$70.6M0.46%0.17%Not reportedQ2 2013
RDNRadian Group Inc$70.1M0.45%1.43%Not reportedQ2 2014
QCOMQualcomm Inc$70M0.45%0.04%Not reportedQ2 2013
MLIMueller Industries Inc$69.8M0.45%0.62%Not reportedQ2 2013
ACIAlbertsons Companies, Inc.$68.6M0.45%0.70%Not reportedQ3 2023
Q3 2023Reported Jan 2, 2024925 positions
AAPLApple Inc.$586M5.78%0.02%Not reportedQ2 2013
MSFTMicrosoft Corp$487M4.81%0.02%Not reportedQ2 2013
AVGOBroadcom Inc.$179M1.77%0.05%Not reportedQ2 2016
NVDANvidia Corp$176M1.74%0.02%Not reportedQ2 2013
GOOGLAlphabet Inc.$170M1.68%0.01%Not reportedQ4 2015
AMZNAmazon Com Inc$167M1.65%0.01%Not reportedQ2 2013
METAMeta Platforms, Inc.$139M1.37%Not reportedNot reportedQ2 2013
CSCOCisco Systems, Inc.$132M1.30%0.06%Not reportedQ2 2013
GOOGAlphabet Inc.$125M1.24%Not reportedNot reportedQ4 2015
MRKMerck & Co., Inc.$125M1.23%0.05%Not reportedQ2 2013
BRK.BBerkshire Hathaway Inc$123M1.22%Not reportedNot reportedQ2 2013
REGNRegeneron Pharmaceuticals, Inc.$106M1.04%0.14%Not reportedQ2 2013
VRTXVertex Pharmaceuticals Inc / Ma$104M1.02%0.12%Not reportedQ2 2013
GILDGilead Sciences, Inc.$101M0.99%0.11%Not reportedQ2 2013
KLACKla Corp$96.5M0.95%0.15%Not reportedQ2 2013
ADMArcher-Daniels-Midland Co$88.7M0.88%0.22%Not reportedQ2 2013
TSLATesla, Inc.$88.4M0.87%0.01%Not reportedQ1 2014
VVisa Inc.$87.7M0.87%0.02%Not reportedQ2 2013
JPMJPMorgan Chase & Co$87.4M0.86%0.02%Not reportedQ2 2013
PLDPrologis, Inc.$83.6M0.83%0.08%Not reportedQ2 2013
KRKroger Co$83.4M0.82%0.26%Not reportedQ2 2013
LMTLockheed Martin Corp$82.9M0.82%0.08%Not reportedQ2 2013
PCARPaccar Inc$81.3M0.80%0.18%Not reportedQ2 2013
OCOwens Corning$81M0.80%0.67%Not reportedQ4 2013
PGPROCTER & GAMBLE Co$77.9M0.77%0.02%Not reportedQ2 2013
UNHUnitedhealth Group Inc$73M0.72%0.02%Not reportedQ2 2013
PSAPublic Storage$72.3M0.71%0.16%Not reportedQ2 2013
TXTTextron Inc$71.3M0.70%0.46%Not reportedQ2 2013
WMTWalmart Inc.$70.6M0.70%0.02%Not reportedQ2 2013
ADBEAdobe Inc.$69.1M0.68%0.03%Not reportedQ2 2013
NBIXNeurocrine Biosciences Inc$67.6M0.67%0.61%Not reportedQ2 2018
BMYBristol Myers Squibb Co$66.5M0.66%0.05%Not reportedQ2 2013
EGEverest Group, Ltd.$66.2M0.65%0.24%Not reportedQ2 2013
KOCoca Cola Co$65.1M0.64%0.03%Not reportedQ2 2013
LLYELI LILLY & Co$64.2M0.63%0.01%Not reportedQ2 2013
CASYCaseys General Stores Inc$63M0.62%0.62%Not reportedQ1 2015
HCAHCA Healthcare, Inc.$62.4M0.62%0.09%Not reportedQ2 2013
JNJJohnson & Johnson$61.1M0.60%0.02%Not reportedQ2 2013
NUENucor Corp$58M0.57%0.15%Not reportedQ2 2013
KMBKimberly Clark Corp$57.8M0.57%0.14%Not reportedQ2 2013
MUSAMurphy USA Inc.$57.2M0.56%0.79%Not reportedQ3 2013
MOAltria Group, Inc.$55.4M0.55%0.07%Not reportedQ2 2013
MEDPMedpace Holdings, Inc.$55.3M0.55%0.74%Not reportedQ2 2017
CMCSAComcast Corp$54.3M0.54%0.03%Not reportedQ2 2013
AMATApplied Materials Inc$53M0.52%0.05%Not reportedQ2 2013
BKNGBooking Holdings Inc.$51.4M0.51%0.05%Not reportedQ1 2018
BIIBBiogen Inc.$51.1M0.50%0.14%Not reportedQ2 2013
PRUPrudential Financial Inc$49.9M0.49%0.14%Not reportedQ2 2013
RDNRadian Group Inc$49.3M0.49%1.26%Not reportedQ2 2014
ACNAccenture plc$49.2M0.49%0.03%Not reportedQ2 2013
Q4 2022Reported May 17, 20231,097 positions
AAPLApple Inc.$467M4.86%0.02%+7.1%Q2 2013
MSFTMicrosoft Corp$421M4.38%0.02%+0.1%Q2 2013
PLDPrologis, Inc.$137M1.43%0.13%+28.2%Q2 2013
BRK.BBerkshire Hathaway Inc$132M1.38%Not reportedNot reportedQ2 2013
MRKMerck & Co., Inc.$132M1.38%0.05%+0.3%Q2 2013
XOMExxonMobil Holdings Corp$131M1.37%Not reported+27.4%Q2 2013
JNJJohnson & Johnson$119M1.24%0.03%-0.6%Q2 2013
AVGOBroadcom Inc.$117M1.22%0.05%+2.4%Q2 2016
AMZNAmazon Com Inc$115M1.20%0.01%-1.6%Q2 2013
UNHUnitedhealth Group Inc$115M1.20%0.02%-5.9%Q2 2013
GOOGLAlphabet Inc.$112M1.16%0.01%-20.5%Q4 2015
GOOGAlphabet Inc.$111M1.16%Not reported+1.2%Q4 2015
PFEPfizer Inc$108M1.13%0.04%-1.8%Q2 2013
PSAPublic Storage$96.8M1.01%0.20%-1.6%Q2 2013
ACNAccenture plc$96M1.00%0.06%Not reportedQ2 2013
BMYBristol Myers Squibb Co$90M0.94%0.06%-0.2%Q2 2013
LMTLockheed Martin Corp$84.7M0.88%0.07%+25.3%Q2 2013
VRTXVertex Pharmaceuticals Inc / Ma$78M0.81%0.11%-1.6%Q2 2013
WMTWalmart Inc.$77.6M0.81%0.02%+7.1%Q2 2013
GILDGilead Sciences, Inc.$76.7M0.80%0.07%+31.4%Q2 2013
KLACKla Corp$76.1M0.79%0.14%+0.2%Q2 2013
NOCNorthrop Grumman Corp$74.6M0.78%0.09%+26.8%Q2 2013
VVisa Inc.$73.5M0.77%0.02%-38.6%Q2 2013
PCARPaccar Inc$69.8M0.73%0.20%-0.1%Q2 2013
ADMArcher-Daniels-Midland Co$69.2M0.72%0.14%+3.1%Q2 2013
MAMastercard Inc$65.4M0.68%0.02%+8.2%Q2 2013
VZVerizon Communications Inc$64.5M0.67%0.04%0.0%Q2 2013
JPMJPMorgan Chase & Co$61.8M0.64%0.02%+1.2%Q2 2013
PRUPrudential Financial Inc$61.3M0.64%0.17%+0.6%Q2 2013
SPGSimon Property Group Inc.$60.9M0.63%6475.96%+3.1%Q2 2013
KEYSKeysight Technologies, Inc.$60.6M0.63%0.20%-1.8%Q4 2014
ABBVAbbVie Inc.$60.5M0.63%0.02%-6.6%Q2 2013
KRKroger Co$60.1M0.63%0.19%+6.9%Q2 2013
HDHome Depot, Inc.$58.3M0.61%0.02%-41.9%Q2 2013
QCOMQualcomm Inc$58M0.60%0.05%-19.5%Q2 2013
COSTCostco Wholesale Corp$54.9M0.57%0.03%-40.4%Q2 2013
MCDMcdonalds Corp$54.8M0.57%0.03%+0.5%Q2 2013
REGNRegeneron Pharmaceuticals, Inc.$54.2M0.56%0.08%+11.1%Q2 2013
ELVElevance Health, Inc.$54M0.56%0.04%+0.3%Q4 2014
AJGArthur J. Gallagher & Co.$53M0.55%0.13%-30.7%Q2 2014
TSLATesla, Inc.$52M0.54%0.01%+1.3%Q1 2014
FTNTFortinet, Inc.$51.4M0.54%0.13%+113.2%Q3 2018
WMWaste Management Inc$51.3M0.53%0.08%Not reportedQ2 2013
XELXcel Energy Inc$49.9M0.52%0.13%Not reportedQ2 2013
METAMeta Platforms, Inc.$49.7M0.52%Not reported-3.1%Q2 2013
EQIXEquinix Inc$49.6M0.52%0.08%-1.3%Q2 2013
CSCOCisco Systems, Inc.$48.8M0.51%0.02%+72.8%Q2 2013
TAt&T Inc.$48.1M0.50%0.04%+99.1%Q2 2013
WPCW. P. Carey Inc.$48.1M0.50%0.29%-13.0%Q4 2013
WECWec Energy Group, Inc.$47.8M0.50%0.16%Not reportedQ2 2015
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