Fund HoldingsNEW MEXICO EDUCATIONAL RETIREMENT BOARD

Total Portfolio Value
$3.25M
Total Bought
$59.8K
Total Sold
$15.9K
Net Transaction
+$43.9K
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
NT COLLECTIVE SHORT TERM INVT FD09,826,645+9,826,6450100.30%+10
EXXON MOBIL CORP COM197,653197,653024341.03%+10
LUMENTUM HLDGS INC COM(LITE)14,50014,900+4005100.32%+5
CHEVRON CORP COM(CVX)087,592+87,5920180.56%+18
JOHNSON JOHNSON COM USD1(JNJ)111,685111,685023270.84%+4
APPLIED MATERIALS INC COMMON STOCK35,88635,88609120.38%+3
CATERPILLAR INC COMMON STOCK NO PAR(CAT)21,90221,902013160.48%+3
MICRON TECHNOLOGY INC COMMON STOCK(MU)52,87552,875015180.55%+3
COSTCO WHOLESALE CORP NEW COM(COST)020,165+20,1650200.62%+20
GE VERNOVA LLC COM(GEV)012,319+12,3190110.33%+11
PINNACLE FINL PARTNERS INC NEW COM(PNFP)031,153+31,153030.08%+3
ADVANCED ENERGY INDS INC COM08,100+8,100030.08%+3
WALMART INC COM(WMT)201,479201,479022250.77%+3
SANDISK CORP COM(SNDK)6,4006,4000240.12%+3
LAM RESH CORP COM NEW(LRCX)57,83057,830010120.38%+2
CONOCOPHILLIPS COM(COP)057,198+57,198080.23%+8
TTM TECHNOLOGIES INC COM(TTMI)021,300+21,300020.06%+2
TECHNIPFMC PLC COM USD1(FTI)083,700+83,700060.18%+6
VERIZON COMMUNICATIONS COM(VZ)0193,571+193,5710100.30%+10
ARROWHEAD PHARMACEUTICALS INC COM(ARWR)029,000+29,000020.06%+2
CORNING INC COMMON STOCK(GLW)036,106+36,106050.15%+5
COHERENT CORP COM(COHR)32,16432,1640680.24%+2
MERCK CO INC NEW COM(MRK)114,586114,586012140.42%+2
AMERICAN HEALTHCARE REIT INC COM(AHR)036,400+36,400020.05%+2
WESTERN DIGITAL CORP COMMON STOCK(WDC)16,31416,3140340.14%+2
XPO INC COM(XPO)024,600+24,600050.15%+5
KLA CORPORATION COM USD0001(KLAC)5,8805,8800790.27%+2
LINDE PLC(LIN)021,236+21,2360110.32%+11
OVINTIV INC COM USD001(OVV)058,900+58,900030.11%+3
INTEL CORP COM(INTC)200,370200,3700790.27%+1
DUTCH BROS INC CL A CL A(BROS)027,400+27,400010.04%+1
ATT INC COM(T)0327,462+327,462090.29%+9
CASEYS GEN STORES INC COM(CASY)07,600+7,600060.17%+6
MASTEC INC COM(MTZ)012,100+12,100040.12%+4
PERMIAN RES CORP CL A(PR)0143,268+143,268030.09%+3
NEXTERA ENERGY INC COM(NEE)97,03297,0320890.28%+1
VALERO ENERGY CORP COM STK NEW(VLO)014,116+14,116030.11%+3
SEAGATE TECHNOLOGY HOLDINGS PLC
ORD SHS
09,950+9,950040.12%+4
MARATHON PETE CORP COM(MPC)014,129+14,129030.11%+3
LOCKHEED MARTIN CORP COM(LMT)09,497+9,497060.18%+6
MKS INC(MKSI)014,100+14,100030.10%+3
DEERE CO COMMON STOCK 1 PAR(DE)011,502+11,502060.20%+6
COCA COLA CO COM(KO)178,320178,320012140.42%+1
ANALOG DEVICES INC COMMON STOCK(ADI)22,98622,9860670.22%+1
STANDARDAERO INC COM USD001(SARO)039,800+39,800010.03%+1
ENTEGRIS INC COM(ENTG)030,900+30,900040.11%+4
CURTISS WRIGHT CORP COM(CW)07,800+7,800050.16%+5
NEXTPOWER INC030,000+30,000040.11%+4
EOG RESOURCES INC COM(EOG)024,958+24,958040.11%+4
PHILLIPS 66 COM(PSX)018,528+18,528030.10%+3
EQUINIX INC COM USD0001(EQIX)04,532+4,532040.14%+4
UIPATH INC CL A CL A(PATH)087,100+87,100010.03%+1
GILEAD SCIENCES INC(GILD)57,52657,5260780.25%+1
UNITED THERAPEUTICS CORP DEL COM STK(UTHR)08,800+8,800050.16%+5
HONEYWELL INTL INC COM STK(HON)028,986+28,986070.20%+7
SLB LIMITED COM(SLB)068,651+68,651040.11%+4
ATI INC COM(ATI)28,80028,8000340.13%+1
QUANTA SVCS INC COM06,932+6,932040.12%+4
TEXAS INSTRUMENTS INC COM(TXN)041,954+41,954080.25%+8
DARLING INGREDIENTS INC COMSTK(DAR)032,700+32,700020.06%+2
MACOM TECHNOLOGY SOLUTIONS HOLDINGS INC(MTSI)12,20013,200+1,000230.09%+1
AMCOR PLC COM USD001
COM NEW
021,030+21,030010.03%+1
CARPENTER TECHNOLOGY CORP COM(CRS)10,50010,5000340.13%+1
PFIZER INC COM(PFE)0262,000+262,000070.23%+7
US FOODS HLDG CORP COM(USFD)047,436+47,436040.13%+4
OCCIDENTAL PETROLEUM CORP(OXY)033,359+33,359020.07%+2
TERADYNE INC COM(TER)07,400+7,400020.07%+2
PEPSICO INC COM(PEP)062,685+62,6850100.30%+10
WILLIAMS COMPANY INC COMMON STOCK 1 PAR(WMB)056,428+56,428040.13%+4
COMFORT SYS USA INC COM(FIX)01,600+1,600020.07%+2
BAKER HUGHES CO(BKR)045,142+45,142030.08%+3
NORTHROP GRUMMAN CORP COM(NOC)06,222+6,222040.13%+4
EATON CORP PLC COM USD050(ETN)017,760+17,760060.20%+6
WOODWARD INC COM(WWD)12,20012,2000440.13%+1
COM ALCOA CORPORATION COM USD001(AA)51,20051,2000330.10%+1
FEDEX CORP COM(FDX)9,9869,9860340.11%+1
TEREX CORP NEW COM(TEX)023,800+23,800010.04%+1
TARGA RES CORP COM(TRGP)09,900+9,900020.08%+2
ALTRIA GROUP INC COM(MO)076,595+76,595050.16%+5
STERLING INFRASTRUCTURE INC COM STK(STRL)6,3006,3000230.08%+1
REGAL REXNORD CORPORATION COM STK(RRX)013,500+13,500030.08%+3
KEYSIGHT TECHNOLOGIES INC COM(KEYS)07,950+7,950020.07%+2
CHORD ENERGY CORPORATION COM USD001(CHRD)012,700+12,700020.06%+2
BRISTOL MYERS SQUIBB CO COMMON STOCK(BMY)93,03493,0340560.17%+1
AMGEN INC COMMON STOCK(AMGN)24,79524,7950890.27%+1
RBC BEARINGS INC COM(RBC)06,400+6,400030.11%+3
DOW INC(DOW)032,364+32,364010.04%+1
RAYONIER INC REIT(RYN)063,181+63,181010.04%+1
VALARIS LTD COM USD040(VAL)012,300+12,300010.04%+1
RTX CORPORATION COMSTK(RTX)61,27661,276011120.36%+1
BWX TECHNOLOGIES INC COM(BWXT)018,300+18,300040.12%+4
NVENT ELECTRIC PLC COM USD001 WI(NVT)034,000+34,000040.12%+4
KINDER MORGAN INC DEL COM(KMI)090,180+90,180030.09%+3
LATTICE SEMICONDUCTOR CORP COMMON STOCK(LSCC)028,300+28,300030.08%+3
CLEAN HBRS INC COM(CLH)010,300+10,300030.09%+3
ROYAL GOLD INC COM STK USD001(RGLD)16,70016,7000440.13%+1
ROSS STORES INC COM(ROST)014,690+14,690030.10%+3
FREEPORTMCMORAN INC(FCX)66,88066,8800340.12%+1
ROIVANT SCIENCES LTD COM(ROIV)88,97088,9700220.08%+1
HF SINCLAIR CORPORATION COM USD001(DINO)032,500+32,500020.06%+2
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