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Summary portfolio of investments continued

CREF Equity Index Account ■ December 31, 2019


Value % of net
Shares Company (000) assets
HEALTH CARE EQUIPMENT & SERVICES
1,091,399 Abbott Laboratories $ 94,799 0.4%
855,335 Medtronic plc 97,038 0.5
599,008 UnitedHealth Group, Inc 176,096 0.9
Other 915,339 4.5
1,283,272 6.3
HOUSEHOLD & PERSONAL PRODUCTS
1,566,609 Procter & Gamble Co 195,669 0.9
Other 136,283 0.7
331,952 1.6
INSURANCE
1,241,538 * Berkshire Hathaway, Inc (Class B) 281,208 1.4
Other 526,399 2.6
807,607 4.0
MATERIALS 575,729 2.8
MEDIA & ENTERTAINMENT
190,157 * Alphabet, Inc (Class A) 254,694 1.3
190,028 * Alphabet, Inc (Class C) 254,071 1.3
2,859,886 Comcast Corp (Class A) 128,609 0.6
1,514,645 * Facebook, Inc 310,881 1.5
266,930 * NetFlix, Inc 86,371 0.4
1,109,453 Walt Disney Co 160,460 0.8
Other 319,246 1.6
1,514,332 7.5
PHARMACEUTICALS, BIOTECHNOLOGY & LIFE SCIENCES
939,906 AbbVie, Inc 83,219 0.4
381,424 Amgen, Inc 91,950 0.5
1,485,408 Bristol-Myers Squibb Co 95,348 0.5
1,683,637 Johnson & Johnson 245,592 1.2
1,614,337 Merck & Co, Inc 146,824 0.7
3,534,967 Pfizer, Inc 138,500 0.7
252,685 Thermo Fisher Scientific, Inc 82,090 0.4
Other 670,261 3.3
1,553,784 7.7
REAL ESTATE 800,371 3.9
RETAILING
262,129 * Amazon.com, Inc 484,372 2.4
696,940 Home Depot, Inc 152,198 0.8
Other 511,313 2.5
1,147,883 5.7
SEMICONDUCTORS & SEMICONDUCTOR EQUIPMENT
2,759,123 Intel Corp 165,133 0.8
370,774 NVIDIA Corp 87,243 0.5
Other 548,003 2.7
800,379 4.0

See notes to financial statements College Retirement Equities Fund ■ 2019 Annual Report 59

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