Universe · entity

Employees Provident Fund Board

Institutional manager (13F) · CIK 1600177
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $12.9B
#IssuerValueShares
1MICROSOFT CORP$1.2B3,278,441
2NVIDIA CORPORATION$1.2B6,756,198
3ALPHABET INC$730M2,540,176
4META PLATFORMS INC$707M1,236,600
5MICRON TECHNOLOGY INC$601M1,778,313
6ELI LILLY & CO$482M524,361
7BROADCOM INC$464M1,500,410
8APPLE INC$450M1,771,437
9AMAZON COM INC$437M2,100,000
10AGNICO EAGLE MINES LTD$374M1,851,210
11JPMORGAN CHASE & CO$332M1,130,000
12PALO ALTO NETWORKS INC$302M1,884,458
13APPLIED MATLS INC$293M857,351
14SERVICENOW INC$283M2,705,845
15BANK AMERICA CORP$283M5,800,000
16MASTERCARD INCORPORATED$266M533,000
17QUANTA SVCS INC$237M432,138
18DATADOG INC$236M2,000,000
19UBER TECHNOLOGIES INC$233M3,245,686
20NEXTERA ENERGY INC$232M2,500,000
21CROWDSTRIKE HLDGS INC$231M590,450
22MERCK & CO INC$228M1,895,165
23ARM HOLDINGS PLC$212M1,400,000
24INTUITIVE SURGICAL INC$197M427,033
25SYNOPSYS INC$196M494,344
26ZOETIS INC$182M1,537,130
27EXXON MOBIL CORP$172M1,013,354
28DISNEY WALT CO$167M1,734,806
29SALESFORCE INC$167M894,097
30NIKE INC$154M2,920,713
31BRISTOL-MYERS SQUIBB CO$152M2,509,000
32MONGODB INC$143M584,559
33DEXCOM INC$138M2,190,029
34SLB LIMITED$134M2,606,632
35BOSTON SCIENTIFIC CORP$134M2,134,591
36BIOGEN INC$129M704,196
37BARRICK MNG CORP$114M2,799,957
38WESTERN DIGITAL CORP$110M405,167
39RESMED INC$97M429,899
40UNITEDHEALTH GROUP INC$81M300,000
41NETFLIX INC.$72M750,000
42DOLLAR GEN CORP$70M585,851
43TJX COS INC NEW$48M303,208
44GILEAD SCIENCES INC$48M346,000
45JOHNSON & JOHNSON$45M182,381
46CUMMINS INC$43M80,523
47STRYKER CORPORATION$37M113,560
48ABBVIE INC$32M145,134
49DOVER CORP$30M142,000
50FIRST SOLAR INC$29M146,500
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.