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State of New Jersey Common Pension Fund D Last Quarter Change: USA Stocks, New

State of New Jersey Common Pension Fund D quarter change: USA Stocks, New

In share positions in stocks (listed in the US), from the quarter ended 2026-03-31 to 2026-06-30, State of New Jersey Common Pension Fund D opened 185 positions, added to 87, reduced 1,143, sold out of 24 and left 231 unchanged. The largest increase in value was MU (+$290,843,814); the largest decrease was XOMXXXX (-$61,427,444).

  • HON: Country of operation United States; Class COM; Shares 2026-03-31 0; Shares 2026-06-30 102,254.
  • HONA: Country of operation United States; Class COM; Shares 2026-03-31 0; Shares 2026-06-30 102,253.
  • CCL: Country of operation United States; Class COMMON SHARES; Shares 2026-03-31 0; Shares 2026-06-30 395,813.
  • DD: Country of operation United States; Class COMMON STOCK; Shares 2026-03-31 0; Shares 2026-06-30 44,746.

Two Form 13F-HR filings compared (SEC CIK 1483066): 2026-03-31 (filed 2026-05-05) and 2026-06-30 (filed 2026-08-04). Rows for the same security, class and put/call are added together. Value change is the filed value at each quarter end, so it includes the price move; share change is the position change.

StockCountry of operationClassShares 2026-03-31Shares 2026-06-30Share changeValue 2026-03-31Value 2026-06-30Value change
HON
HONEYWELL INTL INC
United StatesCOM0102,254+102,254$0$22,894,559+$22,894,559
HONA
HONEYWELL AEROSPACE INC
United StatesCOM0102,253+102,253$0$22,606,093+$22,606,093
CCL
CARNIVAL CORP LTD
United StatesCOMMON SHARES0395,813+395,813$0$11,308,377+$11,308,377
DD
DUPONT DE NEMOURS INC
United StatesCOMMON STOCK044,746+44,746$0$6,069,347+$6,069,347
FDXF
FEDEX FGHT HLDG CO INC
United StatesCOMMON STOCK038,145+38,145$0$5,759,895+$5,759,895
MDLN
MEDLINE INC
United StatesCOM CL A0113,771+113,771$0$4,487,128+$4,487,128
SN
SHARKNINJA INC
United StatesCOM SHS025,101+25,101$0$3,822,129+$3,822,129
TIGO
MILLICOM INTL CELLULAR S A
COM STK040,000+40,000$0$3,630,400+$3,630,400
AAOI
APPLIED OPTOELECTRONICS INC
United StatesCOM023,860+23,860$0$3,535,098+$3,535,098
MXL
MAXLINEAR INC
United StatesCOM027,501+27,501$0$3,520,953+$3,520,953
CRCL
CIRCLE INTERNET GROUP INC
United StatesCOM CL A047,772+47,772$0$2,991,960+$2,991,960
OSCR
OSCAR HEALTH INC
United StatesCL A074,091+74,091$0$2,113,075+$2,113,075
UCTT
ULTRA CLEAN HLDGS INC
United StatesCOM014,341+14,341$0$2,044,883+$2,044,883
NWL
NEWELL BRANDS INC
United StatesCOM0319,699+319,699$0$1,962,952+$1,962,952
VSH
VISHAY INTERTECHNOLOGY INC
United StatesCOM036,150+36,150$0$1,944,147+$1,944,147
WIX
WIX COM LTD
SHS042,115+42,115$0$1,910,758+$1,910,758
ACLS
AXCELIS TECHNOLOGIES INC
United StatesCOM NEW09,936+9,936$0$1,882,375+$1,882,375
HNGE
HINGE HEALTH INC
United StatesCL A021,724+21,724$0$1,803,092+$1,803,092
SEZL
SEZZLE INC
United StatesCOM010,465+10,465$0$1,796,108+$1,796,108
TXG
10X GENOMICS INC
United StatesCL A COM046,747+46,747$0$1,792,280+$1,792,280
GTX
GARRETT MOTION INC
COM049,266+49,266$0$1,784,907+$1,784,907
DAVE
DAVE INC
United StatesCLASS A COM NEW04,616+4,616$0$1,719,875+$1,719,875
OUST
OUSTER INC
United StatesCOM NEW026,954+26,954$0$1,685,164+$1,685,164
IRDM
IRIDIUM COMMUNICATIONS INC
United StatesCOM029,984+29,984$0$1,644,622+$1,644,622
MGNI
MAGNITE INC
United StatesCOM086,600+86,600$0$1,643,668+$1,643,668
FPS
FORGENT POWER SOLUTIONS INC
United StatesCOM SHS CL A028,200+28,200$0$1,575,252+$1,575,252
MARA
MARA HOLDINGS INC
United StatesCOM0110,709+110,709$0$1,537,748+$1,537,748
AGYS
AGILYSYS INC
United StatesCOM014,523+14,523$0$1,517,654+$1,517,654
SPHR
SPHERE ENTERTAINMENT CO
United StatesCL A08,580+8,580$0$1,484,597+$1,484,597
VECO
VEECO INSTRS INC DEL
United StatesCOM019,527+19,527$0$1,480,147+$1,480,147
VAC
MARRIOTT VACATIONS WORLDWIDE
United StatesCOM014,428+14,428$0$1,469,925+$1,469,925
POWI
POWER INTEGRATIONS INC
United StatesCOM017,498+17,498$0$1,465,632+$1,465,632
ACHC
ACADIA HEALTHCARE COMPANY IN
United StatesCOM048,996+48,996$0$1,446,852+$1,446,852
CHEF
CHEFS WHSE INC
United StatesCOM014,970+14,970$0$1,438,617+$1,438,617
MBC
MASTERBRAND INC
United StatesCOMMON STOCK0139,336+139,336$0$1,433,767+$1,433,767
NSIT
INSIGHT ENTERPRISES INC
United StatesCOM011,498+11,498$0$1,400,456+$1,400,456
YOU
CLEAR SECURE INC
United StatesCOM CL A024,909+24,909$0$1,388,179+$1,388,179
BELFB
BEL FUSE INC
United StatesCL B04,166+4,166$0$1,387,445+$1,387,445
ASTH
ASTRANA HEALTH INC
United StatesCOM NEW029,863+29,863$0$1,385,942+$1,385,942
EXTR
EXTREME NETWORKS INC
United StatesCOM042,330+42,330$0$1,370,222+$1,370,222
RH
RH
United StatesCOM08,312+8,312$0$1,369,236+$1,369,236
WRBY
WARBY PARKER INC
United StatesCL A COM045,116+45,116$0$1,368,819+$1,368,819
DK
DELEK US HLDGS INC NEW
United StatesCOM026,922+26,922$0$1,367,907+$1,367,907
XMTR
XOMETRY INC
United StatesCLASS A COM014,078+14,078$0$1,358,809+$1,358,809
LGN
LEGENCE CORP
United StatesCL A015,932+15,932$0$1,357,884+$1,357,884
MD
PEDIATRIX MEDICAL GROUP INC
United StatesCOM053,382+53,382$0$1,352,166+$1,352,166
AXTI
AXT INC
United StatesCOM018,665+18,665$0$1,345,373+$1,345,373
ADEA
ADEIA INC
United StatesCOM040,740+40,740$0$1,341,568+$1,341,568
CHYM
CHIME FINL INC
United StatesCOM SHS CL A065,319+65,319$0$1,337,733+$1,337,733
CNK
CINEMARK HLDGS INC
United StatesCOM042,158+42,158$0$1,337,673+$1,337,673
UPST
UPSTART HLDGS INC
United StatesCOM037,587+37,587$0$1,331,707+$1,331,707
CACC
CREDIT ACCEP CORP MICH
United StatesCOM02,085+2,085$0$1,327,603+$1,327,603
PGNY
PROGYNY INC
United StatesCOM045,945+45,945$0$1,324,594+$1,324,594
VIRT
VIRTU FINL INC
United StatesCL A022,176+22,176$0$1,321,024+$1,321,024
MSGE
MADISON SQUARE GARDEN ENTMT
United StatesCOM CL A016,311+16,311$0$1,319,397+$1,319,397
CENT
CENTRAL GARDEN & PET CO
United StatesCOM029,686+29,686$0$1,316,277+$1,316,277
BLBD
BLUE BIRD CORP
United StatesCOM016,625+16,625$0$1,312,710+$1,312,710
CAC
CAMDEN NATL CORP
United StatesCOM024,160+24,160$0$1,309,955+$1,309,955
RSI
RUSH STREET INTERACTIVE INC
United StatesCOM044,029+44,029$0$1,309,422+$1,309,422
PBI
PITNEY BOWES INC
United StatesCOM074,205+74,205$0$1,300,072+$1,300,072
MMI
MARCUS & MILLICHAP INC
United StatesCOM041,266+41,266$0$1,286,261+$1,286,261
AXGN
AXOGEN INC
United StatesCOM027,766+27,766$0$1,282,512+$1,282,512
NHC
NATIONAL HEALTHCARE CORP
United StatesCOM06,057+6,057$0$1,280,208+$1,280,208
BHE
BENCHMARK ELECTRS INC
United StatesCOM012,930+12,930$0$1,275,803+$1,275,803
ARCB
ARCBEST CORP
United StatesCOM08,888+8,888$0$1,275,784+$1,275,784
HBT
HBT FINL INC.
United StatesCOM039,852+39,852$0$1,274,865+$1,274,865
RXO
RXO INC
United StatesCOMMON STOCK046,037+46,037$0$1,270,161+$1,270,161
PDM
PIEDMONT REALTY TRUST INC
United StatesCOM CL A0137,834+137,834$0$1,261,181+$1,261,181
GT
GOODYEAR TIRE & RUBR CO
United StatesCOM0190,865+190,865$0$1,259,709+$1,259,709
NGVT
INGEVITY CORP
United StatesCOM016,794+16,794$0$1,254,008+$1,254,008
FMBH
FIRST MID BANCSHARES INC
United StatesCOM025,986+25,986$0$1,249,667+$1,249,667
MBWM
MERCANTILE BK CORP
United StatesCOM021,761+21,761$0$1,249,517+$1,249,517
CTBI
COMMUNITY TR BANCORP INC
United StatesCOM017,066+17,066$0$1,234,896+$1,234,896
HFWA
HERITAGE FINL CORP WASH
United StatesCOM041,685+41,685$0$1,234,710+$1,234,710
TRN
TRINITY INDS INC
United StatesCOM035,687+35,687$0$1,234,056+$1,234,056
LB
LANDBRIDGE COMPANY LLC
United StatesCL A015,570+15,570$0$1,233,767+$1,233,767
CBT
CABOT CORP
United StatesCOM013,583+13,583$0$1,233,608+$1,233,608
USAR
USA RARE EARTH INC
United StatesCOM057,088+57,088$0$1,231,959+$1,231,959
UTI
UNIVERSAL TECHNICAL INST INC
United StatesCOM028,794+28,794$0$1,231,519+$1,231,519
ICHR
ICHOR HOLDINGS
United StatesSHS010,954+10,954$0$1,229,915+$1,229,915
SPSC
SPS COMM INC
United StatesCOM021,492+21,492$0$1,228,698+$1,228,698
SEI
SOLARIS ENERGY INFRAS INC
United StatesCOM CL A015,270+15,270$0$1,228,624+$1,228,624
EQBK
EQUITY BANCSHARES INC
United StatesCOM CL A024,982+24,982$0$1,223,868+$1,223,868
CLMT
CALUMET INC
United StatesCOM033,880+33,880$0$1,220,358+$1,220,358
FUN
SIX FLAGS ENTERTAINMENT CORP
United StatesCOM057,259+57,259$0$1,219,617+$1,219,617
SXT
SENSIENT TECHNOLOGIES CORP
United StatesCOM09,849+9,849$0$1,214,283+$1,214,283
DHC
DIVERSIFIED HEALTHCARE TR
United StatesCOM SH BEN INT0130,489+130,489$0$1,213,548+$1,213,548
KALU
KAISER ALUMINIUM CORPORATION
United StatesCOM PAR $0.0106,203+6,203$0$1,213,493+$1,213,493
IBCP
INDEPENDENT BK CORP MICH
United StatesCOM NEW033,496+33,496$0$1,208,201+$1,208,201
NVTS
NAVITAS SEMICONDUCTOR CORP
United StatesCOM067,162+67,162$0$1,203,543+$1,203,543
FSLY
FASTLY INC
United StatesCL A065,393+65,393$0$1,200,615+$1,200,615
LION
LIONSGATE STUDIOS CORP
COM078,134+78,134$0$1,196,232+$1,196,232
TDC
TERADATA CORP DEL
United StatesCOM034,521+34,521$0$1,196,153+$1,196,153
LINE
LINEAGE INC
United StatesCOM027,593+27,593$0$1,193,397+$1,193,397
SAFT
SAFETY INS GROUP INC
United StatesCOM015,925+15,925$0$1,192,146+$1,192,146
PTON
PELOTON INTERACTIVE INC
United StatesCL A COM0199,465+199,465$0$1,178,838+$1,178,838
VGNT
VERSIGENT PLC
ORDINARY SHARES028,003+28,003$0$1,176,406+$1,176,406
CECO
CECO ENVIRONMENTAL CORP
United StatesCOM012,806+12,806$0$1,162,016+$1,162,016
CLSK
CLEANSPARK INC
United StatesCOM NEW079,717+79,717$0$1,159,882+$1,159,882
DBRG
DIGITALBRIDGE GROUP INC
United StatesCL A NEW073,353+73,353$0$1,157,510+$1,157,510

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