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NEW MEXICO EDUCATIONAL RETIREMENT BOARD

910 holdingsFiling period: 2026-03-31Current AUM: $3.71Bestimated from latest prices
#TickerCompanySharesReported ValueCurrent Value% PortfolioChangeDate
1NVDANVIDIA CORP COM1.12M$194.6M$224.1M6.03%--2026-03-31
2AAPLAPPLE INC COM STK680.4K$172.7M$210.2M5.66%+3.3K2026-03-31
3MSFTMICROSOFT CORP COM341.9K$126.6M$158.9M4.28%--2026-03-31
4AMZNAMAZON COM INC COM447.9K$93.3M$121.6M3.27%+3.4K2026-03-31
5GOOGLALPHABET INC CAPITAL STOCK USD0001 CL A266.6K$76.7M$95.0M2.56%--2026-03-31
6AVGOBROADCOM INC COM216.6K$67.0M$84.3M2.27%--2026-03-31
7GOOGALPHABET INC CAP STK USD0001 CL C211.7K$60.7M$75.5M2.03%--2026-03-31
8METAMETA PLATFORMS INC COM USD0000006 CL A100.0K$57.2M$55.7M1.50%--2026-03-31
9TSLATESLA INC COM USD0001128.8K$47.9M$40.1M1.08%--2026-03-31
10BRK-BBERKSHIRE HATHAWAY INC COM84.5K$40.5M$40.5M1.09%--2026-03-31
11JPMJPMORGAN CHASE CO COM126.7K$37.3M$44.6M1.20%--2026-03-31
12XOMEXXON MOBIL CORP COM197.7K$33.5M$30.7M0.83%--2026-03-31
13XOMEXXON MOBIL CORP COM197.7K$33.5M$30.7M0.83%--2026-03-31
14LLYELI LILLY CO COM NPV36.4K$33.5M$41.8M1.13%--2026-03-31
15JNJJOHNSON JOHNSON COM USD1111.7K$27.3M$28.6M0.77%--2026-03-31
16WMTWALMART INC COM201.5K$25.0M$22.4M0.60%--2026-03-31
17VVISA INC COM CL A STK78.6K$23.8M$28.8M0.78%--2026-03-31
18COSTCOSTCO WHOLESALE CORP NEW COM20.2K$20.1M$19.2M0.52%--2026-03-31
19MAMASTERCARD INCORPORATED COM USD00001 CL37.9K$18.9M$21.7M0.58%--2026-03-31
20NFLXNETFLIX INC COM STK192.2K$18.5M$13.8M0.37%--2026-03-31
21CVXCHEVRON CORP COM87.6K$18.1M$17.2M0.46%--2026-03-31
22MUMICRON TECHNOLOGY INC COMMON STOCK52.9K$17.9M$43.5M1.17%--2026-03-31
23ABBVABBVIE INC COM USD00181.3K$17.7M$20.4M0.55%--2026-03-31
24PGPROCTER GAMBLE COM NPV107.5K$15.5M$15.5M0.42%--2026-03-31
25CATCATERPILLAR INC COMMON STOCK NO PAR21.9K$15.5M$17.8M0.48%--2026-03-31
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