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State of New Jersey Common Pension Fund D

13F filer · CIK 0001483066
Reported Aug 4, 2026
Net seller this quarter
13F portfolio value$29.3BU.S. long equity reported on 13F
Positions1,683187 new · 25 closed
Net flow last quarter-$1.48BBuys minus sells
Top 10 positions weight25.3%Concentration

Holdings

13F · last 4 quarters free
Scroll for earlier quarters
CompanyValue% of portfolio% of companyPOSITION CHANGE qoq %First reported
Q2 2026Reported Aug 4, 20261,683 positions
NVDANvidia Corp$1.49B5.10%0.03%-10.1%Q2 2014
AAPLApple Inc.$1.37B4.69%0.03%-5.5%Q2 2014
MSFTMicrosoft Corp$851M2.91%0.03%-5.4%Q2 2014
AMZNAmazon Com Inc$746M2.55%0.03%-4.8%Q2 2014
GOOGLAlphabet Inc.$673M2.30%0.02%-5.2%Q2 2019
AVGOBroadcom Inc.$549M1.88%0.03%-5.6%Q1 2016
GOOGAlphabet Inc.$528M1.80%Not reported-10.4%Q4 2015
MUMicron Technology Inc$421M1.44%0.03%-5.3%Q2 2014
METAMeta Platforms, Inc.$400M1.37%Not reported-4.6%Q2 2014
TSLATesla, Inc.$383M1.31%0.02%-5.8%Q2 2015
LLYELI LILLY & Co$311M1.06%0.03%-5.5%Q2 2014
AMDAdvanced Micro Devices Inc$306M1.05%0.03%-5.4%Q3 2016
SCZNXG NextGen Infrastructure Income Fund$305M1.04%Not reportedNot reportedQ2 2015
JPMJPMorgan Chase & Co$284M0.97%0.03%-7.1%Q2 2014
BRK.BBerkshire Hathaway Inc$226M0.77%Not reported-4.6%Q2 2014
INTCIntel Corp$198M0.68%0.03%-8.2%Q2 2014
JNJJohnson & Johnson$198M0.68%0.03%-5.4%Q2 2014
VVisa Inc.$187M0.64%0.03%-5.9%Q2 2014
AMATApplied Materials Inc$186M0.63%0.03%-5.9%Q2 2014
XOMExxonMobil Holdings Corp$184M0.63%0.03%-7.0%Q2 2014
LRCXLam Research Corp$175M0.60%0.03%-6.8%Q2 2014
WMTWalmart Inc.$161M0.55%0.02%-5.9%Q2 2014
CATCaterpillar Inc$160M0.55%0.03%-6.6%Q4 2015
CSCOCisco Systems, Inc.$150M0.51%0.03%-5.6%Q2 2014
ABBVAbbVie Inc.$144M0.49%0.03%-5.3%Q2 2014
MAMastercard Inc$136M0.46%0.02%-9.0%Q2 2014
COSTCostco Wholesale Corp$134M0.46%0.03%-5.8%Q2 2014
KLACKla Corp$128M0.44%0.03%-6.3%Q2 2014
GEGeneral Electric Co$126M0.43%0.03%-6.8%Q3 2021
BACBank of America Corp$125M0.43%0.03%-6.8%Q2 2014
UNHUnitedhealth Group Inc$122M0.42%0.03%-4.9%Q2 2014
WELLWelltower Inc.$118M0.40%0.07%-1.2%Q3 2015
HDHome Depot, Inc.$114M0.39%0.03%-5.7%Q2 2014
PGPROCTER & GAMBLE Co$111M0.38%0.03%-5.9%Q2 2014
SNDKSandisk Corp$106M0.36%0.03%-2.4%Q2 2014
MRKMerck & Co., Inc.$103M0.35%0.03%-5.8%Q2 2014
GEVGE Vernova Inc.$102M0.35%0.03%-6.4%Q2 2024
KOCoca Cola Co$102M0.35%0.03%-10.7%Q2 2014
PLDPrologis, Inc.$99.5M0.34%0.08%-1.6%Q2 2014
CVXChevron Corp$99.4M0.34%0.03%-8.7%Q2 2014
NFLXNetflix Inc$97.3M0.33%0.03%-6.1%Q4 2014
GSGoldman Sachs Group Inc$96.7M0.33%0.03%-7.4%Q2 2014
PMPhilip Morris International Inc.$91.3M0.31%0.03%-5.6%Q2 2014
PANWPalo Alto Networks Inc$89.5M0.31%0.03%-5.1%Q2 2014
TXNTexas Instruments Inc$87.7M0.30%0.03%-5.2%Q2 2014
IBMInternational Business Machines Corp$85.2M0.29%0.03%-5.2%Q2 2014
RTXRTX Corp$82.7M0.28%0.03%-4.9%Q2 2020
PLTRPalantir Technologies Inc.$82.1M0.28%0.03%-9.9%Q2 2021
MRVLMarvell Technology, Inc.$82.1M0.28%0.03%-5.5%Q2 2017
ORCLOracle Corp$81.9M0.28%0.02%-5.2%Q2 2014
Q1 2026Reported May 5, 20261,519 positions
NVDANvidia Corp$1.45B5.59%0.03%+0.1%Q2 2014
AAPLApple Inc.$1.28B4.92%0.03%-0.9%Q2 2014
MSFTMicrosoft Corp$893M3.44%0.03%+0.1%Q2 2014
AMZNAmazon Com Inc$685M2.64%0.03%+0.3%Q2 2014
GOOGLAlphabet Inc.$571M2.20%0.02%Not reportedQ2 2019
GOOGAlphabet Inc.$479M1.85%Not reported-0.1%Q4 2015
AVGOBroadcom Inc.$477M1.84%0.03%+0.5%Q1 2016
METAMeta Platforms, Inc.$426M1.64%Not reported+0.5%Q2 2014
TSLATesla, Inc.$359M1.39%0.03%+0.1%Q2 2015
SCZNXG NextGen Infrastructure Income Fund$290M1.12%Not reportedNot reportedQ2 2015
JPMJPMorgan Chase & Co$275M1.06%0.03%-0.8%Q2 2014
LLYELI LILLY & Co$253M0.97%0.03%-0.2%Q2 2014
XOMExxonMobil Holdings Corp$246M0.95%0.03%-0.9%Q2 2014
BRK.BBerkshire Hathaway Inc$227M0.87%Not reportedNot reportedQ2 2014
JNJJohnson & Johnson$201M0.78%0.03%-0.6%Q2 2014
WMTWalmart Inc.$188M0.73%0.02%-0.1%Q2 2014
VVisa Inc.$175M0.67%0.03%-0.9%Q2 2014
COSTCostco Wholesale Corp$152M0.59%0.03%+0.1%Q2 2014
MAMastercard Inc$145M0.56%0.02%-0.9%Q2 2014
NFLXNetflix Inc$140M0.54%0.03%-0.1%Q4 2014
CVXChevron Corp$136M0.52%0.03%-0.8%Q2 2014
ABBVAbbVie Inc.$131M0.51%0.03%0.0%Q2 2014
MUMicron Technology Inc$130M0.50%0.03%+0.3%Q2 2014
PGPROCTER & GAMBLE Co$116M0.45%0.03%+0.4%Q2 2014
BACBank of America Corp$115M0.44%0.03%-2.3%Q2 2014
PLTRPalantir Technologies Inc.$114M0.44%0.03%+0.6%Q2 2021
CATCaterpillar Inc$114M0.44%0.03%Not reportedQ4 2015
AMDAdvanced Micro Devices Inc$113M0.44%0.03%+0.4%Q3 2016
HDHome Depot, Inc.$112M0.43%0.03%Not reportedQ2 2014
KOCoca Cola Co$107M0.41%0.03%Not reportedQ2 2014
CSCOCisco Systems, Inc.$105M0.40%0.03%0.0%Q2 2014
WELLWelltower Inc.$104M0.40%0.07%+4.4%Q3 2015
GEGeneral Electric Co$103M0.40%0.03%0.0%Q3 2021
MRKMerck & Co., Inc.$102M0.39%0.03%-1.4%Q2 2014
PLDPrologis, Inc.$98.6M0.38%0.08%Not reportedQ2 2014
AMATApplied Materials Inc$93.2M0.36%0.03%+0.2%Q2 2014
LRCXLam Research Corp$92.5M0.36%0.03%+0.1%Q2 2014
PMPhilip Morris International Inc.$88.4M0.34%0.03%Not reportedQ2 2014
RTXRTX Corp$88.4M0.34%0.03%0.0%Q2 2020
GSGoldman Sachs Group Inc$87.4M0.34%0.04%-0.7%Q2 2014
ORCLOracle Corp$86.7M0.33%0.02%+0.8%Q2 2014
WFCWells Fargo & Company$85.9M0.33%0.04%-1.6%Q2 2014
UNHUnitedhealth Group Inc$83.6M0.32%0.03%Not reportedQ2 2014
GEVGE Vernova Inc.$81.3M0.31%0.03%-0.3%Q2 2024
LINLinde PLC$79.1M0.31%0.03%-1.4%Q4 2018
EQIXEquinix Inc$77.9M0.30%0.08%Not reportedQ4 2016
IBMInternational Business Machines Corp$77.4M0.30%0.03%+0.3%Q2 2014
MCDMcdonalds Corp$75.8M0.29%0.03%-0.1%Q2 2014
PEPPepsico Inc$73.2M0.28%0.03%Not reportedQ2 2014
VZVerizon Communications Inc$72M0.28%0.03%Not reportedQ2 2014
Q4 2025Reported Jan 30, 20261,443 positions
NVDANvidia Corp$1.55B5.59%0.03%-2.5%Q2 2014
AAPLApple Inc.$1.38B4.98%0.03%-2.7%Q2 2014
MSFTMicrosoft Corp$1.17B4.21%0.03%-2.1%Q2 2014
AMZNAmazon Com Inc$757M2.74%0.03%-1.6%Q2 2014
GOOGLAlphabet Inc.$622M2.25%0.02%-2.1%Q2 2019
AVGOBroadcom Inc.$530M1.92%0.03%-1.7%Q1 2016
GOOGAlphabet Inc.$524M1.89%Not reported-2.6%Q4 2015
METAMeta Platforms, Inc.$489M1.77%Not reported-2.1%Q2 2014
TSLATesla, Inc.$434M1.57%0.03%-4.5%Q2 2015
JPMJPMorgan Chase & Co$303M1.10%0.03%-3.1%Q2 2014
LLYELI LILLY & Co$296M1.07%0.03%-2.2%Q2 2014
SCZNXG NextGen Infrastructure Income Fund$287M1.04%Not reportedNot reportedQ2 2015
BRK.BBerkshire Hathaway Inc$238M0.86%Not reported-0.2%Q2 2014
VVisa Inc.$205M0.74%0.03%-2.6%Q2 2014
XOMExxonMobil Holdings Corp$176M0.64%0.03%-3.3%Q2 2014
JNJJohnson & Johnson$171M0.62%0.03%-1.5%Q2 2014
WMTWalmart Inc.$169M0.61%0.02%-2.1%Q2 2014
MAMastercard Inc$168M0.61%0.02%-2.2%Q2 2014
PLTRPalantir Technologies Inc.$138M0.50%0.03%-1.7%Q2 2021
ABBVAbbVie Inc.$138M0.50%0.03%-2.1%Q2 2014
NFLXNetflix Inc$136M0.49%0.03%-2.3%Q4 2014
BACBank of America Corp$133M0.48%0.03%-3.6%Q2 2014
COSTCostco Wholesale Corp$131M0.47%0.03%-2.1%Q2 2014
AMDAdvanced Micro Devices Inc$119M0.43%0.03%-2.0%Q3 2016
HDHome Depot, Inc.$118M0.43%0.03%-2.3%Q2 2014
PGPROCTER & GAMBLE Co$115M0.42%0.03%-3.0%Q2 2014
ORCLOracle Corp$114M0.41%0.02%-1.3%Q2 2014
GEGeneral Electric Co$112M0.40%0.03%-2.5%Q3 2021
MUMicron Technology Inc$110M0.40%0.03%-1.7%Q2 2014
CSCOCisco Systems, Inc.$104M0.38%0.03%-2.9%Q2 2014
WFCWells Fargo & Company$102M0.37%0.04%-2.5%Q2 2014
UNHUnitedhealth Group Inc$102M0.37%0.03%-2.7%Q2 2014
CVXChevron Corp$101M0.36%0.03%-3.8%Q2 2014
KOCoca Cola Co$98.5M0.36%0.03%-2.7%Q2 2014
PLDPrologis, Inc.$95.2M0.34%0.08%-1.1%Q2 2014
IBMInternational Business Machines Corp$94.4M0.34%0.03%-1.7%Q2 2014
WELLWelltower Inc.$93.4M0.34%0.07%+3.8%Q3 2015
CATCaterpillar Inc$92.2M0.33%0.03%-2.8%Q4 2015
GSGoldman Sachs Group Inc$91.5M0.33%0.04%-3.5%Q2 2014
MRKMerck & Co., Inc.$90.5M0.33%0.03%-2.1%Q2 2014
HDBHDFC Bank Ltd$87.1M0.31%0.02%+0.6%Q1 2014
CRMSalesforce, Inc.$86.1M0.31%0.03%-2.9%Q4 2014
PMPhilip Morris International Inc.$85.7M0.31%0.03%-2.1%Q2 2014
RTXRTX Corp$84M0.30%0.03%-1.9%Q2 2020
TMOThermo Fisher Scientific Inc.$74.9M0.27%0.03%-2.3%Q2 2014
ABTAbbott Laboratories$74.9M0.27%0.03%-1.7%Q2 2014
MCDMcdonalds Corp$74.7M0.27%0.03%-2.2%Q2 2014
LRCXLam Research Corp$74.1M0.27%0.03%-4.0%Q2 2014
MSMorgan Stanley$73.4M0.27%0.03%-2.1%Q2 2014
CCitigroup Inc$73.4M0.27%0.04%-2.3%Q2 2014
Q3 2025Reported Nov 7, 20251,432 positions
NVDANvidia Corp$1.59B5.84%0.04%+3.6%Q2 2014
AAPLApple Inc.$1.33B4.88%0.04%+3.0%Q2 2014
MSFTMicrosoft Corp$1.28B4.69%0.03%+3.6%Q2 2014
AMZNAmazon Com Inc$732M2.69%0.03%+3.7%Q2 2014
METAMeta Platforms, Inc.$556M2.05%Not reported+2.7%Q2 2014
AVGOBroadcom Inc.$514M1.89%0.03%+3.7%Q1 2016
GOOGLAlphabet Inc.$493M1.81%0.02%+3.4%Q2 2019
TSLATesla, Inc.$450M1.65%0.03%+3.8%Q2 2015
GOOGAlphabet Inc.$417M1.54%Not reported+2.9%Q4 2015
JPMJPMorgan Chase & Co$306M1.13%0.04%+2.9%Q2 2014
SCZNXG NextGen Infrastructure Income Fund$284M1.05%Not reported+4.0%Q2 2015
BRK.BBerkshire Hathaway Inc$238M0.88%Not reported+5.2%Q2 2014
LLYELI LILLY & Co$215M0.79%0.03%+3.5%Q2 2014
VVisa Inc.$205M0.75%0.03%+2.7%Q2 2014
NFLXNetflix Inc$178M0.66%0.04%+3.2%Q4 2014
MAMastercard Inc$171M0.63%0.02%+8.5%Q2 2014
XOMExxonMobil Holdings Corp$170M0.63%0.04%+2.9%Q2 2014
ORCLOracle Corp$167M0.61%0.02%+4.5%Q2 2014
WMTWalmart Inc.$159M0.59%0.02%+3.5%Q2 2014
JNJJohnson & Johnson$156M0.57%0.03%+3.2%Q2 2014
PLTRPalantir Technologies Inc.$144M0.53%0.03%+9.5%Q2 2021
COSTCostco Wholesale Corp$144M0.53%0.04%+3.5%Q2 2014
ABBVAbbVie Inc.$143M0.53%0.03%+3.7%Q2 2014
HDHome Depot, Inc.$142M0.52%0.04%+4.3%Q2 2014
BACBank of America Corp$129M0.48%0.03%+3.5%Q2 2014
PGPROCTER & GAMBLE Co$127M0.47%0.04%+3.6%Q2 2014
GEGeneral Electric Co$112M0.41%0.04%+3.2%Q3 2021
UNHUnitedhealth Group Inc$110M0.40%0.04%+2.7%Q2 2014
CVXChevron Corp$107M0.39%0.03%+22.1%Q2 2014
KOCoca Cola Co$96M0.35%0.03%+4.7%Q2 2014
CSCOCisco Systems, Inc.$95.3M0.35%0.04%+3.7%Q2 2014
WFCWells Fargo & Company$94.1M0.35%0.04%+1.9%Q2 2014
AMDAdvanced Micro Devices Inc$91.6M0.34%0.03%+3.8%Q3 2016
IBMInternational Business Machines Corp$91.5M0.34%0.03%+4.0%Q2 2014
PMPhilip Morris International Inc.$88.6M0.33%0.04%+3.9%Q2 2014
WELLWelltower Inc.$86.4M0.32%0.07%+3.5%Q3 2015
PLDPrologis, Inc.$86.4M0.32%0.08%+1.9%Q2 2014
GSGoldman Sachs Group Inc$85.8M0.32%0.04%+2.5%Q2 2014
ABTAbbott Laboratories$81.4M0.30%0.04%+3.5%Q2 2014
HDBHDFC Bank Ltd$80.9M0.30%0.02%+1.2%Q1 2014
CRMSalesforce, Inc.$79.3M0.29%0.04%+3.6%Q4 2014
CATCaterpillar Inc$79.1M0.29%0.04%+2.5%Q4 2015
LINLinde PLC$78.3M0.29%0.04%+3.1%Q4 2018
RTXRTX Corp$78.1M0.29%0.03%+3.6%Q2 2020
MCDMcdonalds Corp$75.9M0.28%0.04%+3.4%Q2 2014
MRKMerck & Co., Inc.$73.7M0.27%0.04%+3.4%Q2 2014
MELIMercadolibre Inc$72.5M0.27%0.06%+2.0%Q1 2014
DISWalt Disney Co$72M0.26%0.03%+3.1%Q2 2014
TAt&T Inc.$70.7M0.26%0.04%+4.8%Q2 2014
UBERUber Technologies, Inc$68.1M0.25%0.03%+9.3%Q3 2019
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