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  • 13F-HR/A Filing

New York State Common Retirement Fund 13F-HR/AQuarterly holdings report by institutional manager (amended)

Filed: 18 May 23, 1:23pm
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    • 13F-HR/A Quarterly holdings report by institutional manager
    • TABLE Information Table
    New York State Common Retirement Fund similar filings
    • 7 Aug 23 Quarterly holdings report by institutional manager
    • 18 May 23 Quarterly holdings report by institutional manager (amended)
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    The Securities and Exchange Commission has not necessarily reviewed the information in this filing and has not determined if it is accurate and complete.
    The reader should not assume that the information is accurate and complete.

    UNITED STATES SECURITIES AND EXCHANGE COMMISSION
    Washington, D.C. 20549
    FORM 13F

    FORM 13F INFORMATION TABLE

    OMB APPROVAL
    OMB Number:3235-0006
    Expires:Oct 31, 2018
    Estimated average burden
    hours per response:23.8

    COLUMN 1COLUMN 2COLUMN 3COLUMN 4COLUMN 5COLUMN 6COLUMN 7COLUMN 8
    VALUESHRS ORSH/PUT/INVESTMENTOTHERVOTING AUTHORITY
    NAME OF ISSUERTITLE OF CLASSCUSIP(x$1000)PRN AMTPRNCALLDISCRETIONMANAGERSOLESHAREDNONE
    10X GENOMICS INCCommon Stock88025U10939,788713,170SH SOLE 713,17000
    1-800-FLOWERS.COM CL ACommon Stock68243Q1061089,434SH SOLE 9,43400
    1ST INTERSTATE BANCSYSTEMCommon Stock32055Y2011,43247,961SH SOLE 47,96100
    1ST SOURCE CORPCommon Stock3369011031,07024,803SH SOLE 24,80300
    1STDIBS.COM INCCommon Stock3205511044310,710SH SOLE 10,71000
    22ND CENTURY GROUP INCCommon Stock90137F10379,400SH SOLE 9,40000
    23ANDME HOLDING COCommon Stock90138Q108295129,302SH SOLE 129,30200
    2SEVENTY BIO INCCommon Stock90138410717617,256SH SOLE 17,25600
    2U INCCommon Stock90214J10128040,868SH SOLE 40,86800
    3D SYSTEMS CORPCommon Stock88554D20570265,500SH SOLE 65,50000
    3M COMPANYCommon Stock88579Y101105,4761,003,479SH SOLE 1,003,47900
    4D MOLECULAR THERAPEUTICSCommon Stock35104E10027816,161SH SOLE 16,16100
    5E ADVANCED MATERIALS INCCommon Stock33830Q1095810,646SH SOLE 10,64600
    8X8 INCCommon Stock282914100507121,649SH SOLE 121,64900
    908 DEVICES INCCommon Stock65443P10251960,402SH SOLE 60,40200
    A O SMITH CORPORATIONCommon Stock83186520932,690472,747SH SOLE 472,74700
    A X T INCCommon Stock00246W1038421,166SH SOLE 21,16600
    A.K.A. BRANDS HLDG CORPCommon Stock00152K10112,086SH SOLE 2,08600
    A10 NETWORKS INCCommon Stock0021211012,892186,724SH SOLE 186,72400
    AADI BIOSCIENCE INCCommon Stock00032Q1047310,117SH SOLE 10,11700
    AAON INCCommon Stock0003602062,31123,900SH SOLE 23,90000
    AAR CORPORATIONCommon Stock00036110528,001513,317SH SOLE 513,31700
    AARON'S COMPANY INC, THECommon Stock00258W1083,398351,762SH SOLE 351,76200
    ABBOTT LABORATORIESCommon Stock002824100305,5933,017,901SH SOLE 3,017,90100
    ABBVIE INCCommon Stock00287Y109473,0092,967,994SH SOLE 2,967,99400
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    ACADIA HEALTHCAE CO INCCommon Stock00404A10918,655258,198SH SOLE 258,19800
    ACADIA PHARMACEUTICALS INCommon Stock0042251081,18863,131SH SOLE 63,13100
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    ACUITY BRANDS INCCommon Stock00508Y10210,14055,491SH SOLE 55,49100
    ACUSHNET HOLDINGS CORPCommon Stock0050981081,34026,311SH SOLE 26,31100
    ACV AUCTIONS INC - CL ACommon Stock00091G10437,3462,892,808SH SOLE 2,892,80800
    ADAPTHEALTH CORPCommon Stock00653Q1025,094409,847SH SOLE 409,84700
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    AGILITI INCCommon Stock00848J10427317,070SH SOLE 17,07000
    AGILON HEALTH INCCommon Stock00857U1074,389184,800SH SOLE 184,80000
    AGILYSYS INCCommon Stock00847J10511,112134,672SH SOLE 134,67200
    AGIOS PHARMACEUTICALS INCCommon Stock00847X10467529,384SH SOLE 29,38400
    AGNC INVESTMENT CORPCommon Stock00123Q1046,898684,300SH SOLE 684,30000
    AGNICO EAGLE MINES LTDForeign Stock00847410865212,795SH SOLE 12,79500
    AGREE REALTY CORPCommon Stock0084921003,11545,400SH SOLE 45,40000
    AIR LEASE COMPANYCommon Stock00912X3024,244107,793SH SOLE 107,79300
    AIR PRODUCTS & CHEMICALSCommon Stock009158106105,627367,770SH SOLE 367,77000
    AIR TRANSPORT SVCS GROUPCommon Stock00922R10563330,396SH SOLE 30,39600
    AIRBNB INCConvertible Debt009066AB77,3208,370,000SH SOLE 8,370,00000
    AIRNBNB INC - CLASS ACommon Stock00906610187,733705,252SH SOLE 705,25200
    AIRSCULPT TECHNOLOGIESCommon Stock009496100234,606SH SOLE 4,60600
    AKAMAI TECHNOLOGIES INCConvertible Debt00971TAL56,3656,931,000SH SOLE 6,931,00000
    AKAMAI TECHNOLOGIES INCCommon Stock00971T10116,693213,188SH SOLE 213,18800
    AKERO THERAPEUTICS INCCommon Stock00973Y1081,05927,682SH SOLE 27,68200
    AKOUSTIS TECHNOLOGIES INCommon Stock00973N1028427,252SH SOLE 27,25200
    AKOYA BIOSCIENCES INCCommon Stock00974H1049611,732SH SOLE 11,73200
    ALAMO GROUP INCCommon Stock0113111073,25717,683SH SOLE 17,68300
    ALARM.COM HOLDINGS INCCommon Stock01164210540,768810,823SH SOLE 810,82300
    ALASKA AIR GROUP INCCommon Stock0116591095,029119,857SH SOLE 119,85700
    ALBANY INTL CORP CLASS ACommon Stock01234810826,637298,084SH SOLE 298,08400
    ALBEMARLE CORPORATIONCommon Stock01265310134,162154,549SH SOLE 154,54900
    ALBERTSONS COS INCCommon Stock0130911036,214299,036SH SOLE 299,03600
    ALCOA CORPCommon Stock01387210612,087284,010SH SOLE 284,01000
    ALCON INCForeign StockH013011286,02785,445SH SOLE 85,44500
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    ALERUS FINANCIAL CORPCommon Stock01446U10316410,235SH SOLE 10,23500
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    ALIGN TECHNOLOGY INCCommon Stock01625510128,19384,374SH SOLE 84,37400
    ALIGNMENT HEALTHCARE INCCommon Stock01625V10428244,276SH SOLE 44,27600
    ALKAMI TECHNOLOGY INCCommon Stock01644J10823118,219SH SOLE 18,21900
    ALKERMES PLCForeign StockG017671054,519160,307SH SOLE 160,30700
    ALLBIRDS INCCommon Stock01675A1094336,122SH SOLE 36,12200
    ALLEGIANT TRAVEL COCommon Stock01748X1027548,200SH SOLE 8,20000
    ALLEGION PLCForeign StockG0176J10912,893120,800SH SOLE 120,80000
    ALLEGRO MICROSYSTEMS INCCommon Stock01749D10528,985603,984SH SOLE 603,98400
    ALLETE INCCommon Stock0185223001,94330,191SH SOLE 30,19100
    ALLIANT ENERGY CORPCommon Stock01880210812,126227,082SH SOLE 227,08200
    ALLIED MOTION TECHNOLOGIECommon Stock0193301092717,017SH SOLE 7,01700
    ALLISON TRANSMISSION HLDGCommon Stock01973R10111,719259,043SH SOLE 259,04300
    ALLOGENE THERAPEUTICS INCCommon Stock01977010613727,781SH SOLE 27,78100
    ALLOVIR INCCommon Stock019818103297,274SH SOLE 7,27400
    ALLSTATE CORPORATION/THECommon Stock02000210139,675358,047SH SOLE 358,04700
    ALLY FINANCIAL INCCommon Stock02005N1008,363328,100SH SOLE 328,10000
    ALNYLAM PHARMACEUTICALSCommon Stock02043Q10729,665148,088SH SOLE 148,08800
    ALPHA & OMEGA SEMICONDUCTForeign StockG6331P10462523,200SH SOLE 23,20000
    ALPHA TEKNOVA INCCommon Stock02080L102175,657SH SOLE 5,65700
    ALPHABET INC - CLASS ACommon Stock02079K3051,169,39811,273,482SH SOLE 11,273,48200
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    ALPHATEC HOLDINGS INCCommon Stock02081G20115,157971,611SH SOLE 971,61100
    ALPINE IMMUNE SCIENCES INCommon Stock02083G100425,505SH SOLE 5,50500
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    ALTAIR ENGINEERING INC-ACommon Stock02136910310,346143,473SH SOLE 143,47300
    ALTERYX INCConvertible Debt02156BAF09,59111,384,000SH SOLE 11,384,00000
    ALTERYX INC - CLASS ACommon Stock02156B10315,777268,134SH SOLE 268,13400
    ALTICE USA INCCommon Stock02156K103709207,173SH SOLE 207,17300
    ALTO INGREDIENTS INCCommon Stock021513106149,328SH SOLE 9,32800
    ALTRIA GROUP INCCommon Stock02209S103143,0073,205,000SH SOLE 3,205,00000
    ALTUS POWER INCCommon Stock02217A10220236,884SH SOLE 36,88400
    ALX ONCOLOGY HOLDINGS INCCommon Stock00166B1055812,883SH SOLE 12,88300
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    AMARIN CORP PLC - ADRForeign Stock02311120610368,927SH SOLE 68,92700
    A-MARK PRECIOUS METALS INCommon Stock00181T1073359,660SH SOLE 9,66000
    AMAZON.COM INCCommon Stock0231351061,681,87316,283,016SH SOLE 16,283,01600
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    AMERICAN REALTY INVESTORSCommon Stock029174109732,786SH SOLE 2,78600
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