Institution Information
Reportee Signature Date Report period Total Entries Total Value($)
TIAA CREF INVESTMENT MANAGEMENT LLC 05-14-2019 03-31-2019 3004 141,235,901,000
Institutional Holdings
Issuer Class Position Value Shares Portfolio Percentage (%) Previous Percentage (%) Shares Delta Shares Delta(%)
Microsoft Corp CS 1 $5,080,138,000 43,073,917 3.60 3.71 -3,084,239 -6.68
Apple Inc CS 2 $4,768,856,000 25,105,851 3.38 3.05 687,717 2.82
Amazon.com Inc CS 3 $4,384,196,000 2,461,994 3.10 2.96 -28,269 -1.14
Alphabet Inc CS 4 $2,833,423,000 2,414,897 2.01 1.86 152,131 6.72
Facebook Inc CS 5 $2,686,717,000 16,118,045 1.90 1.51 1,591,772 10.96
Visa Inc CS 6 $2,010,912,000 12,874,781 1.42 1.40 -478,166 -3.58
Alphabet Inc CS 7 $1,834,960,000 1,559,160 1.30 1.39 -119,465 -7.12
salesforce.com Inc CS 8 $1,725,468,000 10,895,170 1.22 1.17 150,273 1.40
Mastercard Inc CS 9 $1,542,670,000 6,552,005 1.09 0.95 206,839 3.26
Johnson & Johnson CS 10 $1,447,864,000 10,357,422 1.03 1.03 258,893 2.56
Cisco Systems Inc CS 11 $1,438,871,000 26,650,687 1.02 1.00 -2,624,999 -8.97
PayPal Holdings Inc CS 12 $1,394,767,000 13,431,885 0.99 0.90 -25,310 -0.19
Merck & Co Inc CS 13 $1,327,009,000 15,955,385 0.94 0.91 872,971 5.79
Procter & Gamble Co/The CS 14 $1,317,942,000 12,666,432 0.93 0.94 -211,870 -1.65
Berkshire Hathaway Inc CS 15 $1,291,130,000 6,427,052 0.91 1.03 81,518 1.28
Boeing Co/The CS 16 $1,277,111,000 3,348,307 0.90 0.88 -98,881 -2.87
UnitedHealth Group Inc CS 17 $1,239,473,000 5,012,831 0.88 1.12 -661,119 -11.65
Bank of America Corp CS 18 $1,238,315,000 44,882,758 0.88 0.76 6,184,051 15.98
Home Depot Inc/The CS 19 $1,199,478,000 6,250,865 0.85 0.99 -1,029,980 -14.15
JPMorgan Chase & Co CS 20 $1,142,370,000 11,284,898 0.81 1.24 -4,787,519 -29.79
Chevron Corp CS 21 $1,113,679,000 9,041,071 0.79 0.81 -379,550 -4.03
Comcast Corp CS 22 $1,060,331,000 26,521,542 0.75 0.71 108,674 0.41
Intuit Inc CS 23 $1,057,478,000 4,045,285 0.75 0.63 33,438 0.83
Intel Corp CS 24 $1,033,871,000 19,252,720 0.73 0.73 -488,618 -2.48
Union Pacific Corp CS 25 $980,403,000 5,863,653 0.69 0.64 47,028 0.81
Coca-Cola Co/The CS 26 $971,327,000 20,728,277 0.69 0.71 1,795,987 9.49
Exxon Mobil Corp CS 27 $962,744,000 11,915,145 0.68 0.64 98,867 0.84
Wells Fargo & Co CS 28 $954,680,000 19,757,448 0.68 0.69 827,173 4.37
Walt Disney Co/The CS 29 $950,118,000 8,557,306 0.67 0.60 1,646,440 23.82
Honeywell International Inc CS 30 $934,512,000 5,880,390 0.66 0.67 -495,077 -7.77
Costco Wholesale Corp CS 31 $921,809,000 3,806,926 0.65 0.53 542,027 16.60
Pfizer Inc CS 32 $885,082,000 20,840,158 0.63 0.76 -1,273,364 -5.76
Netflix Inc CS 33 $836,058,000 2,344,788 0.59 0.43 317,444 15.66
Verizon Communications Inc CS 34 $827,655,000 13,997,204 0.59 0.65 -586,933 -4.02
NIKE Inc CS 35 $818,354,000 9,718,014 0.58 0.47 1,732,610 21.70
Intuitive Surgical Inc CS 36 $730,851,000 1,280,892 0.52 0.42 161,723 14.45
ServiceNow Inc CS 37 $724,756,000 2,940,307 0.51 0.47 -413,731 -12.34
Broadcom Inc CS 38 $704,567,000 2,343,012 0.50 0.46 79,832 3.53
Linde PLC CS 39 $696,312,000 3,957,890 0.49 0.42 581,801 17.23
Abbott Laboratories CS 40 $682,558,000 8,538,378 0.48 0.62 -2,204,736 -20.52
Adobe Inc CS 41 $661,485,000 2,482,212 0.47 0.55 -560,137 -18.41
AT&T Inc CS 42 $660,846,000 21,072,888 0.47 0.48 -53,778 -0.25
McDonald's Corp CS 43 $652,289,000 3,434,907 0.46 0.45 199,997 6.18
Walmart Inc CS 44 $626,684,000 6,425,551 0.44 0.51 -450,347 -6.55
Zoetis Inc CS 45 $610,476,000 6,064,131 0.43 0.43 -311,656 -4.89
PepsiCo Inc CS 46 $608,282,000 4,963,544 0.43 0.39 510,755 11.47
Eli Lilly & Co CS 47 $588,707,000 4,536,891 0.42 0.44 -314,313 -6.48
EOG Resources Inc CS 48 $573,197,000 6,022,245 0.41 0.43 -243,456 -3.89
Alibaba Group Holding Ltd DR 49 $572,078,000 3,135,533 0.41 0.41 -680,446 -17.83
Edwards Lifesciences Corp CS 50 $555,324,000 2,902,442 0.39 0.40 -393,289 -11.93
Illumina Inc CS 51 $538,182,000 1,732,216 0.38 0.34 318,944 22.57
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