Fund HoldingsIllinois Municipal Retirement Fund

Total Portfolio Value
$8.87B
Total Bought
$1.53B
Total Sold
$1.06B
Net Transaction
+$475.80M
Filing Period:
Securities
SharesValue ($K)
Q1 2026
Q2 2026
Change
Q1 2026
Q2 2026
Weight (%)
Change
NVIDIA CORPORATION(NVDA)1,737,7701,740,823+3,053303,067348,3213.93%+45,254
MICRON TECHNOLOGY INC(MU)40,89747,882+6,98513,81755,2700.62%+41,453
APPLE INC(AAPL)1,154,9681,127,449-27,519293,119326,2393.68%+33,119
APPLIED MATLS INC98,32290,591-7,73133,60565,4970.74%+31,892
AMAZON COM INC(AMZN)0742,644+742,6440177,0022.00%+177,002
LAM RESEARCH CORP(LRCX)134,889125,071-9,81828,82054,1970.61%+25,377
ALPHABET INC(GOOG)370,241372,340+2,099106,207131,5591.48%+25,352
BROADCOM INC(AVGO)0308,271+308,2710116,4491.31%+116,449
ADVANCED MICRO DEVICES INC(AMD)058,251+58,251033,8390.38%+33,839
KLA CORP(KLAC)10,707114,790+104,08315,76534,6330.39%+18,868
TAKE-TWO INTERACTIVE SOFTWAR(TTWO)082,506+82,506020,6250.23%+20,625
F5 INC(FFIV)062,973+62,973026,1940.30%+26,194
CARNIVAL CORP LTD
COMMON SHARES
0571,883+571,883016,3390.18%+16,339
SANDISK CORP(SNDK)8,5399,449+9105,42521,4840.24%+16,059
VALERO ENERGY CORP(VLO)46,240105,195+58,95511,42527,3970.31%+15,972
AMGEN INC(AMGN)15,29558,766+43,4715,38221,2800.24%+15,899
ELI LILLY & CO(LLY)056,045+56,045067,2220.76%+67,222
HUMANA INC(HUM)062,275+62,275024,7370.28%+24,737
CISCO SYS INC(CSCO)0410,054+410,054048,1650.54%+48,165
TEXAS INSTRS INC(TXN)42,70075,420+32,7208,29022,4800.25%+14,191
FLEX LTD(FLEX)0111,296+111,296018,0380.20%+18,038
OLD DOMINION FREIGHT LINE IN(ODFL)064,432+64,432013,9560.16%+13,956
BANK OF AMER CORP0596,189+596,189033,9710.38%+33,971
US BANCORP(USB)0303,097+303,097018,3070.21%+18,307
TAPESTRY INC(TPR)114,384201,141+86,75716,14129,4430.33%+13,302
CITIGROUP INC(C)0225,546+225,546031,5670.36%+31,567
CIENA CORP(CIEN)49,51365,862+16,34919,22232,3090.36%+13,087
JABIL INC(JBL)042,094+42,094016,2260.18%+16,226
ASTERA LABS INC(ALAB)027,561+27,561013,3130.15%+13,313
CASEYS GEN STORES INC(CASY)20,51934,673+14,15414,93527,5580.31%+12,623
EVERPURE INC(P)0204,843+204,843016,1400.18%+16,140
MONGODB INC(MDB)036,729+36,729012,3370.14%+12,337
CATERPILLAR INC(CAT)27,03829,437+2,39919,15531,3470.35%+12,192
NATERA INC(NTRA)057,375+57,375015,5740.18%+15,574
DEVON ENERGY CORP NEW(DVN)194,773528,120+333,3479,80121,8220.25%+12,021
SEAGATE TECHNOLOGY HLDNGS PL
ORD SHS
18,15019,605+1,4557,11018,9190.21%+11,808
TRAVELERS COMPANIES INC(TRV)0111,909+111,909036,9430.42%+36,943
CITIZENS FINL GROUP INC(CFG)0163,828+163,828011,4790.13%+11,479
ADOBE INC(ADBE)0139,858+139,858028,6740.32%+28,674
CREDO TECHNOLOGY GROUP HOLDI
ORDINARY SHARES
043,165+43,165011,7390.13%+11,739
GENERAL MTRS CO(GM)0185,913+185,913014,3300.16%+14,330
PNC FINL SVCS GROUP INC(PNC)055,470+55,470013,6580.15%+13,658
TERADYNE INC(TER)99,20382,098-17,10529,41039,7220.45%+10,313
AIRBNB INC0136,749+136,749019,5690.22%+19,569
TARGET CORP(TGT)166,945230,312+63,36720,23430,0810.34%+9,847
ALPHABET INC(GOOG)0504,653+504,6530180,3482.03%+180,348
TESLA INC(TSLA)0153,300+153,300064,4780.73%+64,478
ANNALY CAPITAL MANAGEMENT IN0624,366+624,366013,9610.16%+13,961
ROYALTY PHARMA PLC(RPRX)0198,895+198,895011,1520.13%+11,152
TJX COS INC NEW(TJX)0330,835+330,835050,1220.57%+50,122
CSX CORP(CSX)0189,572+189,57209,0100.10%+9,010
DUPONT DE NEMOURS INC066,156+66,15608,9730.10%+8,973
MONSTER BEVERAGE CORP NEW(MNST)0372,635+372,635035,8180.40%+35,818
EQUITY RESIDENTIAL(EQR)0166,646+166,646011,3200.13%+11,320
INVITATION HOMES INC(INVH)0276,646+276,64608,3570.09%+8,357
PRICE T ROWE GROUP INC(TROW)0147,778+147,778016,8010.19%+16,801
CURTISS WRIGHT CORP(CW)016,318+16,318012,3650.14%+12,365
VIASAT INC(VSAT)0126,198+126,198011,3340.13%+11,334
NISOURCE INC(NI)0188,471+188,47108,9620.10%+8,962
KEYCORP(KEY)0388,788+388,78808,9620.10%+8,962
UNITED THERAPEUTICS CORP DEL(UTHR)22,26939,042+16,77313,20521,1540.24%+7,949
PEPSICO INC(PEP)0255,999+255,999034,6620.39%+34,662
COEUR MNG INC(CDE)0461,447+461,44707,5310.08%+7,531
WORKDAY INC(WDAY)079,939+79,93909,7860.11%+9,786
UNITEDHEALTH GROUP INC(UNH)056,649+56,649023,5450.27%+23,545
QNITY ELECTRONICS INC(Q)044,831+44,83107,3210.08%+7,321
HALLIBURTON CO(HAL)0249,475+249,47508,4700.10%+8,470
ILLINOIS TOOL WKS INC(ITW)083,342+83,342022,5420.25%+22,542
MODERNA INC(MRNA)0103,005+103,00507,2130.08%+7,213
REDDIT INC(RDDT)075,254+75,254013,0630.15%+13,063
MID-AMER APT CMNTYS INC(MAA)051,292+51,29207,1270.08%+7,127
TELEDYNE TECHNOLOGIES INC(TDY)023,599+23,599015,7380.18%+15,738
MATCH GROUP INC NEW(MTCH)0343,761+343,761013,0800.15%+13,080
ABBVIE INC(ABBV)0179,402+179,402045,1450.51%+45,145
ILLUMINA INC(ILMN)0107,966+107,966018,9840.21%+18,984
CHUBB LIMITED
COM
060,220+60,220020,5190.23%+20,519
DELL TECHNOLOGIES INC(DELL)22,31024,533+2,2233,66210,5850.12%+6,923
RBC BEARINGS INC(RBC)010,599+10,59906,8260.08%+6,826
TRUIST FINL CORP(TFC)0136,933+136,93306,8220.08%+6,822
WW GRAINGER INC(GWW)014,500+14,500019,7260.22%+19,726
CENTENE CORP DEL(CNC)0210,689+210,689013,5240.15%+13,524
ARGAN INC08,302+8,30206,6300.07%+6,630
COPART INC(CPRT)0330,595+330,59509,3190.11%+9,319
EDISON INTL(EIX)0191,441+191,441014,2530.16%+14,253
MAXLINEAR INC(MXL)055,471+55,47107,1020.08%+7,102
TWILIO INC(TWLO)088,284+88,284018,2160.21%+18,216
DOMINION ENERGY INC(D)0137,194+137,19409,3690.11%+9,369
JPMORGAN CHASE & CO(JPM)235,809230,826-4,98369,36675,5560.85%+6,191
D R HORTON INC(DHI)065,391+65,391010,6510.12%+10,651
AVALONBAY CMNTYS INC032,627+32,62706,1560.07%+6,156
COMCAST CORP NEW(CCZ)0860,691+860,691021,1300.24%+21,130
SALESFORCE INC(CRM)0122,889+122,889019,2520.22%+19,252
KIMBERLY-CLARK CORP(KMB)0143,238+143,238015,7230.18%+15,723
ELEVANCE HEALTH INC FORMERLY(ELV)062,400+62,400024,1320.27%+24,132
ON SEMICONDUCTOR CORP(ON)0119,989+119,989011,3440.13%+11,344
WOODWARD INC(WWD)013,786+13,78605,8650.07%+5,865
NUCOR CORP(NUE)025,648+25,64805,7130.06%+5,713
INSMED INC(INSM)052,668+52,66805,6150.06%+5,615
INCYTE CORP(INCY)0260,338+260,338029,5120.33%+29,512
LAS VEGAS SANDS CORP(LVS)0118,058+118,05805,4530.06%+5,453
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