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American Express Company shares owned by New York State Common Retirement Fund

Quarter-by-quarter ownership of American Express Company (AXP) shares owned by New York State Common Retirement Fund from 13F filings

Historical chart of New York State Common Retirement Fund investment in American Express Company

Tip: Access up to 7 years of quarterly data

All positions including American Express Company held by New York State Common Retirement Fund consolidated in one spreadsheet with up to 7 years of data

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Quarterly reported holdings in American Express Company by New York State Common Retirement Fund

Quarter filed Position value Share count Share price at filing
2023-12-31 $155M 827k 187.34
2023-09-30 $137M 915k 149.19
2023-06-30 $217M 1.2M 174.20
2023-03-31 $212M 1.3M 164.95
2022-12-31 $199M 1.3M 147.75
2022-09-30 $182M 1.3M 134.91
2022-06-30 $195M 1.4M 138.62
2022-03-31 $284M 1.5M 187.00
2021-12-31 $247M 1.5M 163.60
2021-09-30 $266M 1.6M 167.53
2021-06-30 $270M 1.6M 165.23
2021-03-31 $225M 1.6M 141.44
2020-12-31 $205M 1.7M 120.91
2020-09-30 $177M 1.8M 100.25
2020-06-30 $155M 1.6M 95.20
2020-03-31 $134M 1.6M 85.61
2019-12-31 $199M 1.6M 124.49
2019-09-30 $193M 1.6M 118.28
2019-06-30 $213M 1.7M 123.44
2019-03-31 $187M 1.7M 109.30
2018-12-31 $163M 1.7M 95.32
2018-09-30 $188M 1.8M 106.49
2018-06-30 $175M 1.8M 98.00
2018-03-31 $176M 1.9M 93.28
2017-12-31 $196M 2.0M 99.31
2017-09-30 $190M 2.1M 90.46
2017-06-30 $174M 2.1M 84.24
2017-03-31 $173M 2.2M 79.11
2016-12-31 $162M 2.2M 74.08
2016-09-30 $145M 2.3M 64.04
2016-06-30 $140M 2.3M 60.76
2016-03-31 $145M 2.4M 61.40
2015-12-31 $171M 2.5M 69.55
2015-09-30 $188M 2.5M 74.13
2015-06-30 $198M 2.6M 77.72
2015-03-31 $208M 2.7M 78.12
2014-12-31 $252M 2.7M 93.04
2014-09-30 $243M 2.8M 87.54
2014-06-30 $265M 2.8M 94.87
2014-03-31 $255M 2.8M 90.03
2013-12-31 $261M 2.9M 90.73
2013-09-30 $230M 3.1M 75.52
2013-06-30 $237M 3.2M 74.76
2013-03-31 $216M 3.2M 67.46
2012-12-31 $206M 3.6M 57.48
2012-09-30 $210M 3.7M 56.86
2012-06-30 $216M 3.7M 58.21
2011-12-31 $194M 4.1M 47.17
2011-06-30 $211M 4.1M 51.70