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VOL. XII · NO. 117Established MMXIV · George Town, Grand CaymanAtlantic Edition · $4.50

The Cayman Journal

Finance · Business · Technology · Caribbean & Global Affairs
13F HOLDINGS REPORT

Supplemental Annuity Collective Trust of NJ

Quarter ended Q1 2025 · Filed May 9, 2025 · Accession 0001085146-25-002862

Total Value
$318.5M
Positions
209
Other Managers
0
Confidential Omitted
No
View on SEC.gov

Holdings (209)

#IssuerTicker / CUSIPSharesValue% of Filing
1APPLE INCAAPL113,000$25.1M7.88%
2MICROSOFT CORPMSFT55,700$20.9M6.57%
3NVIDIA CORPORATIONNVDA161,300$17.5M5.49%
4AMAZON COM INCAMZN71,000$13.5M4.24%
5ALPHABET INCGOOG77,100$12.0M3.78%
6META PLATFORMS INCMETA15,800$9.1M2.86%
7JPMORGAN CHASE & CO.VYLD29,700$7.3M2.29%
8ELI LILLY & COLLY7,800$6.4M2.02%
9BERKSHIRE HATHAWAY INC DELBRK-A11,250$6.0M1.88%
10VISA INCV13,600$4.8M1.50%
11EXXON MOBIL CORPXOM37,102$4.4M1.39%
12JOHNSON & JOHNSONJNJ24,773$4.1M1.29%
13BROADCOM INCAVGO24,400$4.1M1.28%
14MASTERCARD INCORPORATEDMA5,900$3.2M1.02%
15WALMART INCWMT35,500$3.1M0.98%
16BANK AMERICA CORP06050510474,000$3.1M0.97%
17PROCTER AND GAMBLE CO74271810918,000$3.1M0.96%
18MERCK & CO INCMRK34,000$3.1M0.96%
19COSTCO WHSL CORP NEW22160K1053,000$2.8M0.89%
20GOLDMAN SACHS GROUP INCGSCE5,000$2.7M0.86%
21HOWMET AEROSPACE INCHWM20,900$2.7M0.85%
22CHENIERE ENERGY INCLNG11,500$2.7M0.84%
23NRG ENERGY INCNRG25,000$2.4M0.75%
24PHILIP MORRIS INTL INC71817210915,000$2.4M0.75%
25ORACLE CORPORCL-PD17,000$2.4M0.75%
26AT&T INCT-PC82,200$2.3M0.73%
27WELLS FARGO CO NEW94974610132,200$2.3M0.73%
28GE AEROSPACE36960430111,250$2.3M0.71%
29NETFLIX INCNFLX2,300$2.1M0.67%
30UNITED RENTALS INCURI3,400$2.1M0.67%
31HOME DEPOT INCHD5,800$2.1M0.67%
32RTX CORPORATIONRTX15,604$2.1M0.65%
33CISCO SYS INCCSCO33,300$2.1M0.65%
34PALO ALTO NETWORKS INCPANW12,000$2.0M0.64%
35CHEVRON CORP NEWCVX12,000$2.0M0.63%
36INTERNATIONAL BUSINESS MACHSINTR8,000$2.0M0.62%
37THE CIGNA GROUP1255231006,000$2.0M0.62%
38SALESFORCE INCCRM7,000$1.9M0.59%
39CITIGROUP INCC-PR26,100$1.9M0.58%
40ABBOTT LABSABLZF13,900$1.8M0.58%
41DISNEY WALT CO25468710617,000$1.7M0.53%
42PEPSICO INCPEP11,100$1.7M0.52%
43MACOM TECH SOLUTIONS HLDGS I55405Y10016,400$1.6M0.52%
44UNITEDHEALTH GROUP INCUNH3,000$1.6M0.49%
45ADVANCED MICRO DEVICES INCAMD15,000$1.5M0.48%
46LOWES COS INC5486611076,600$1.5M0.48%
47QUALCOMM INCQCOM10,000$1.5M0.48%
48BRISTOL-MYERS SQUIBB COCELG-RI25,000$1.5M0.48%
49COMCAST CORP NEWCCZ40,000$1.5M0.46%
50MORGAN STANLEYMS-PQ12,600$1.5M0.46%
51PRUDENTIAL FINL INCPUKPF13,000$1.5M0.46%
52CORTEVA INCCTVA23,000$1.4M0.45%
53NEXTERA ENERGY INCNEE-PW20,400$1.4M0.45%
54DEERE & CODE3,000$1.4M0.44%
55CONOCOPHILLIPSCOP13,300$1.4M0.44%
56ONEOK INC NEWOKE14,000$1.4M0.44%
57BOOKING HOLDINGS INCBKNG300$1.4M0.43%
58STRYKER CORPORATIONSYK3,700$1.4M0.43%
59VERIZON COMMUNICATIONS INCVZ30,000$1.4M0.43%
60MCKESSON CORPMCK2,000$1.3M0.42%
61TJX COS INC NEW87254010910,700$1.3M0.41%
62TEXTRON INCTXT18,000$1.3M0.41%
63THERMO FISHER SCIENTIFIC INCTMO2,600$1.3M0.41%
64CROWN CASTLE INCCCI12,000$1.3M0.39%
65MEDTRONIC PLCMDT13,000$1.2M0.37%
66ABBVIE INCABBV5,562$1.2M0.37%
67LABCORP HOLDINGS INCLH5,000$1.2M0.37%
68ACCENTURE PLC IRELANDACN3,700$1.2M0.36%
69AMGEN INCAMGN3,700$1.2M0.36%
70METLIFE INCMET-PF14,000$1.1M0.35%
71T-MOBILE US INCTMUSZ4,102$1.1M0.34%
72AMERICAN ELEC PWR CO INC02553710110,000$1.1M0.34%
73AMERICAN TOWER CORP NEW03027X1005,000$1.1M0.34%
74PPL CORPPPLC30,000$1.1M0.34%
75PNC FINL SVCS GROUP INC6934751056,000$1.1M0.33%
76FEDEX CORPFDX4,300$1.0M0.33%
77AUTODESK INCADSK4,000$1.0M0.33%
78GENERAL MTRS CO37045V10022,000$1.0M0.32%
79PFIZER INCPFE40,000$1.0M0.32%
80KBR INCKBR20,000$996,2000.31%
81CATERPILLAR INCCAT3,000$989,4000.31%
82LENNAR CORPLEN-B9,000$981,6300.31%
83OSI SYSTEMS INCOSIS5,000$971,7000.31%
84EPR PPTYS26884U10918,000$946,9800.30%
85PTC INCPTC6,000$929,7000.29%
86KINDER MORGAN INC DELEP-PC32,000$912,9600.29%
87THOR INDS INC88516010112,000$909,7200.29%
88CONAGRA BRANDS INCCAG34,000$906,7800.28%
89FREEPORT-MCMORAN INCFCX23,900$904,8540.28%
90CAPITAL ONE FINL CORP14040H1055,000$896,5000.28%
91MONDELEZ INTL INC60920710513,000$882,0500.28%
92UNITED PARCEL SERVICE INCUPS8,000$879,9200.28%
93MICRON TECHNOLOGY INCMU10,000$868,9000.27%
94CANADIAN PACIFIC KANSAS CITYCP12,304$863,8640.27%
95GE VERNOVA INCGEV2,812$858,4470.27%
96BLACKSTONE INCBX6,000$838,6800.26%
97DOVER CORPDOV4,700$825,6960.26%
98EATON CORP PLCETN3,000$815,4900.26%
99CVS HEALTH CORPCVS12,000$813,0000.26%
100BRIGHTHOUSE FINL INC10922N10314,000$811,8600.25%
101CONSTELLATION ENERGY CORPCEG4,000$806,5200.25%
102NISOURCE INCNI20,000$801,8000.25%
103ASTRAZENECA PLCAZN10,621$780,6440.25%
104DUKE ENERGY CORP NEWDUKB6,000$731,8200.23%
105PITNEY BOWES INCPBI-PB80,000$724,0000.23%
106BOSTON SCIENTIFIC CORPBSX7,000$706,1600.22%
107ROCKWELL AUTOMATION INCROK2,700$697,6260.22%
108ADOBE INCADBE1,800$690,3540.22%
109GILEAD SCIENCES INCGILD6,100$683,5050.21%
110DISCOVER FINL SVCS2547091084,000$682,8000.21%
111BOEING COBA-PA4,000$682,2000.21%
112CARLISLE COS INC1423391002,000$681,0000.21%
113DOLLAR TREE INCDLTR9,000$675,6300.21%
114PATRICK INDS INC7033431037,950$672,2520.21%
115KOPPERS HOLDINGS INCKOP24,000$672,0000.21%
116PAYPAL HLDGS INCPYPL10,100$659,0250.21%
117CENTENE CORP DELCNC10,800$655,6680.21%
118EQUINIX INCEQIX800$652,2800.20%
119CENCORA INCCOR2,300$639,6070.20%
120SYNCHRONY FINANCIALSYF-PB12,000$635,2800.20%
121NIKE INCNKE10,000$634,8000.20%
122COHERENT CORPCOHR9,649$626,6060.20%
123PROLOGIS INC.PLDGP5,600$626,0240.20%
124MARTIN MARIETTA MATLS INC5732841061,270$607,2250.19%
125ANALOG DEVICES INCADI3,000$605,0100.19%
126GENERAL DYNAMICS CORPGD2,200$599,6760.19%
127MGM RESORTS INTERNATIONALMGM20,000$592,8000.19%
128SLM CORPSLMBP20,000$587,4000.18%
129AUTOMATIC DATA PROCESSING INADP1,900$580,5070.18%
130AUTOZONE INCAZO150$571,9170.18%
131COLGATE PALMOLIVE COCL6,000$562,2000.18%
132TYSON FOODS INCTSN8,800$561,5280.18%
133US BANCORP DELUSB-PS13,271$560,3020.18%
134EXELON CORPEXC12,000$552,9600.17%
135INTUITINTU900$552,5910.17%
136SIMON PPTY GROUP INC NEW8288061093,300$548,0640.17%
137CARRIER GLOBAL CORPORATIONCARR8,600$545,2400.17%
138L3HARRIS TECHNOLOGIES INCLHX2,600$544,2060.17%
139TRUIST FINL CORP89832Q10913,123$540,0110.17%
140CME GROUP INCCME2,000$530,5800.17%
141LUMENTUM HLDGS INCLITE8,500$529,8900.17%
142ROYALTY PHARMA PLCRPRX17,000$529,2100.17%
143TARGET CORPTGT5,000$521,8000.16%
144ECOLAB INCECL2,000$507,0400.16%
145SOUTHWEST AIRLS CO84474110815,000$503,7000.16%
146INTEL CORPINTC21,500$488,2650.15%
147DELTA AIR LINES INC DELDAL10,900$475,2400.15%
148AECOMACM5,000$463,6500.15%
149KULICKE & SOFFA INDS INC50124210114,000$461,7200.14%
150DUPONT DE NEMOURS INCDD5,949$444,2710.14%
151OTIS WORLDWIDE CORPOTIS4,300$443,7600.14%
152TESLA INCTSLA1,690$437,9800.14%
153LCI INDS50189K1035,000$437,1500.14%
154XPO INCXPO4,000$430,3200.14%
155AVALONBAY CMNTYS INCAWX2,000$429,2400.13%
156HUMANA INCHUM1,600$423,3600.13%
157MONSTER BEVERAGE CORP NEWMNST7,200$421,3440.13%
158WESTERN DIGITAL CORPWDC10,400$420,4720.13%
159MASTEC INCMTZ3,600$420,1560.13%
160SURO CAPITAL CORPSSSSL84,007$417,5150.13%
161G III APPAREL GROUP LTDGIII15,000$410,2500.13%
162CITIZENS FINL GROUP INCCIA10,000$409,7000.13%
163ON SEMICONDUCTOR CORPON10,000$406,9000.13%
164HF SINCLAIR CORPDINO12,000$394,5600.12%
165ALTRIA GROUP INCMO6,500$390,1300.12%
166ECHOSTAR CORPSATS15,155$387,6650.12%
167CHESAPEAKE UTILS CORP1653031083,000$385,2900.12%
168SPECTRUM BRANDS HLDGS INC NESPB5,300$379,2150.12%
169ASTEC INDS INC04622410111,000$378,9500.12%
170OCCIDENTAL PETE CORP6745991057,500$370,2000.12%
171XENON PHARMACEUTICALS INCXENE11,000$369,0500.12%
172KRAFT HEINZ COKHC12,000$365,1600.11%
173ALBEMARLE CORPALB-PA5,000$360,1000.11%
174MARRIOTT INTL INC NEW5719032021,500$357,3000.11%
175AGILENT TECHNOLOGIES INCA3,000$350,9400.11%
176KEYSIGHT TECHNOLOGIES INCKEYS2,300$344,4710.11%
177SYNAPTICS INCSYNA5,200$331,3440.10%
178SIRIUSXM HOLDINGS INC82993310014,658$330,4650.10%
179EDWARDS LIFESCIENCES CORPEW4,500$326,1600.10%
180SKYWORKS SOLUTIONS INCSWKS5,000$323,1500.10%
181KNIGHT-SWIFT TRANSN HLDGS IN4990491047,400$321,8260.10%
182HEWLETT PACKARD ENTERPRISE CHPE-PC20,000$308,6000.10%
183GE HEALTHCARE TECHNOLOGIES IGEHC3,750$302,6630.10%
184GARTNER INCIT700$293,8180.09%
185WEYERHAEUSER CO MTN BEWY10,000$292,8000.09%
186ZIMMER BIOMET HOLDINGS INCZBH2,500$282,9500.09%
187SPIRIT AEROSYSTEMS HLDGS INC8485741098,000$275,6800.09%
188LIBERTY MEDIA CORP DELFWONB4,000$268,9600.08%
189AMERICAN INTL GROUP INC0268747843,000$260,8200.08%
190PATTERSON COS INC7033951038,000$249,9200.08%
191ALCOA CORPAA8,000$244,0000.08%
192FOX CORPFOX4,500$237,1950.07%
193VIATRIS INCVTRS26,363$229,6220.07%
194HECLA MNG CO42270410641,000$227,9600.07%
195DEVON ENERGY CORP NEW25179M1036,000$224,4000.07%
196PROPETRO HLDG CORPPUMP30,000$220,5000.07%
197BAKER HUGHES COMPANYBKR5,000$219,7500.07%
198WARNER BROS DISCOVERY INCWBD19,885$213,3660.07%
199DOW INCDOW6,000$209,5200.07%
200CLEVELAND-CLIFFS INC NEWCLF25,000$205,5000.06%
201BIOGEN INCBIIB1,500$205,2600.06%
202HUNTINGTON INGALLS INDS INC4464131061,000$204,0400.06%
203EXTRA SPACE STORAGE INCEXR1,350$200,4620.06%
204KEYCORP49326710810,900$174,2910.05%
205PARAMOUNT GLOBAL92556H20613,887$166,0890.05%
206ELANCO ANIMAL HEALTH INCELAN15,000$157,5000.05%
207COMMSCOPE HLDG CO INC20337X10924,000$127,4400.04%
208HAIN CELESTIAL GROUP INCHAIN27,000$112,0500.04%
209AMARIN CORP PLCAMRN25,500$11,4270.00%