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Employees Provident Fund Board

Q2 2026 13F filing

Updated 29 days ago

68 disclosed positions worth $17.4B

Portfolio value
$17.4B
Total holdings
68
New positions
0
Closed positions
0
Increased
0
Decreased
0
Turnover
Filed
2026-08-12

Full holdings

Every line item disclosed in Q2 2026

M

MICROSOFT CORP

Value
$1.4B
Shares
3.74M
% Port
8.00%
N

NVIDIA CORPORATION

Value
$1.4B
Shares
6.85M
% Port
7.86%
M
3.MU

MICRON TECHNOLOGY INC

Value
$1B
Shares
878.0K
% Port
5.82%
G

ALPHABET INC

Value
$962.9M
Shares
2.69M
% Port
5.53%
A

BROADCOM INC

Value
$813.8M
Shares
2.15M
% Port
4.67%
M

META PLATFORMS INC

Value
$702.1M
Shares
1.25M
% Port
4.03%
A

APPLIED MATLS INC

Value
$635.4M
Shares
878.8K
% Port
3.65%
L
8.LLY

ELI LILLY & CO

Value
$621.6M
Shares
518.3K
% Port
3.57%
A

APPLE INC

Value
$567.6M
Shares
1.96M
% Port
3.26%
C
10.CRWD

CROWDSTRIKE HLDGS INC

Value
$563M
Shares
737.7K
% Port
3.23%
P
11.PWR

QUANTA SVCS INC

Value
$533.6M
Shares
741.0K
% Port
3.06%
A
12.AMZN

AMAZON COM INC

Value
$533M
Shares
2.24M
% Port
3.06%
P
13.PANW

PALO ALTO NETWORKS INC

Value
$506M
Shares
1.48M
% Port
2.90%
N
14.NOW

SERVICENOW INC

Value
$414.2M
Shares
4.17M
% Port
2.38%
D
15.DDOG

DATADOG INC

Value
$364.5M
Shares
1.40M
% Port
2.09%
N

NEXTERA ENERGY INC

Value
$359.9M
Shares
4.10M
% Port
2.07%
M
17.MA

MASTERCARD INCORPORATED

Value
$355.1M
Shares
691.4K
% Port
2.04%
A
18.AEM

AGNICO EAGLE MINES LTD

Value
$354M
Shares
2.28M
% Port
2.03%
L
19.LIN

LINDE PLC

Value
$339.1M
Shares
653.5K
% Port
1.95%
S
20.SNPS

SYNOPSYS INC

Value
$320.6M
Shares
718.8K
% Port
1.84%
A
21.ARM

ARM HOLDINGS PLC

Value
$319.1M
Shares
900.0K
% Port
1.83%
J

JPMORGAN CHASE & CO

Value
$294.6M
Shares
900.0K
% Port
1.69%
N
23.NFLX

NETFLIX INC.

Value
$285.6M
Shares
4.00M
% Port
1.64%
I
24.ISRG

INTUITIVE SURGICAL INC

Value
$235.3M
Shares
591.6K
% Port
1.35%
U
25.UBER

UBER TECHNOLOGIES INC

Value
$234.2M
Shares
3.25M
% Port
1.34%
N
26.NKE

NIKE INC

Value
$233M
Shares
5.68M
% Port
1.34%
B

BANK OF AMER CORP

Value
$213.7M
Shares
3.75M
% Port
1.23%
C

BRISTOL-MYERS SQUIBB CO

Value
$209.8M
Shares
3.64M
% Port
1.20%
G
29.GEV

GE VERNOVA INC

Value
$195.6M
Shares
166.5K
% Port
1.12%
D
30.DIS

DISNEY WALT CO

Value
$192.5M
Shares
2.00M
% Port
1.10%
M
31.MDB

MONGODB INC

Value
$190.1M
Shares
565.9K
% Port
1.09%
B
32.BIIB

BIOGEN INC

Value
$152.1M
Shares
704.2K
% Port
0.87%
S
33.STLA

STELLANTIS N.V

Value
$148.3M
Shares
26.07M
% Port
0.85%
D
34.DXCM

DEXCOM INC

Value
$147.5M
Shares
2.19M
% Port
0.85%
B
35.BSX

BOSTON SCIENTIFIC CORP

Value
$143.3M
Shares
3.36M
% Port
0.82%
C
36.CRM

SALESFORCE INC

Value
$140.1M
Shares
894.1K
% Port
0.80%
U
37.UNH

UNITEDHEALTH GROUP INC

Value
$124.7M
Shares
300.0K
% Port
0.72%
A
38.ANET

ARISTA NETWORKS INC

Value
$98.1M
Shares
577.2K
% Port
0.56%
R

RESMED INC

Value
$91.2M
Shares
468.0K
% Port
0.52%
T
40.TER

TERADYNE INC

Value
$87.2M
Shares
180.2K
% Port
0.50%
Q
41.QCOM

QUALCOMM INC

Value
$79.3M
Shares
428.9K
% Port
0.45%
M
42.MRK

MERCK & CO INC

Value
$68.8M
Shares
535.5K
% Port
0.39%
J
43.JNJ

JOHNSON & JOHNSON

Value
$67.6M
Shares
266.0K
% Port
0.39%
D
44.DG

DOLLAR GEN CORP

Value
$67.4M
Shares
585.9K
% Port
0.39%
G
45.GILD

GILEAD SCIENCES INC

Value
$61.7M
Shares
488.7K
% Port
0.35%
T
46.TJX

TJX COS INC NEW

Value
$59.7M
Shares
394.3K
% Port
0.34%
C
47.CMI

CUMMINS INC

Value
$55M
Shares
77.1K
% Port
0.32%
D
48.DOV

DOVER CORP

Value
$49.4M
Shares
220.4K
% Port
0.28%
F
49.FSLR

FIRST SOLAR INC

Value
$42.2M
Shares
178.8K
% Port
0.24%
A
50.ABBV

ABBVIE INC

Value
$41M
Shares
163.1K
% Port
0.24%