Institutions / Employees Provident Fund Board / Activity

Activity — Employees Provident Fund Board

299 moves.

BiggestNew positionsBiggest addsExits
InsidersInstitutions
DateActionCompanyValueShares ΔPosition afterImpact
Q1 2023
as of
NewPaccar Inc
Common stock
$5.63M+77K
76,968
0.04% of portfolio
medium
Q1 2023
as of
NewLincoln Electric Holdings Inc
Common stock
$5.75M+34K
34,000
0.04% of portfolio
medium
Q3 2017
as of
NewBrighthouse Financial, Inc.
Common stock
$5.92M+97K
97,363
0.04% of portfolio
medium
Q1 2023
as of
NewELI LILLY & Co
Common stock
$6.33M+18K
18,437
0.05% of portfolio
medium
Q1 2023
as of
NewRepublic Services, Inc.
Common stock
$6.36M+47K
47,000
0.05% of portfolio
medium
Q2 2021
as of
NewTesla Inc
Common stock
$6.37M+9K
9,365
0.05% of portfolio
medium
Q1 2022
as of
NewNetflix Inc
Common stock
$6.49M+17K
17,326
0.05% of portfolio
medium
Q1 2022
as of
NewResmed Inc
Common stock
$6.58M+27K
27,117
0.05% of portfolio
medium
Q2 2023
as of
NewAbbVie Inc.
Common stock
$6.60M+49K
48,950
0.05% of portfolio
medium
Q2 2023
as of
NewHershey Co
Common stock
$6.74M+27K
27,000
0.05% of portfolio
medium
Q2 2023
as of
NewIntuitive Surgical Inc
Common stock
$7.07M+21K
20,677
0.05% of portfolio
medium
Q2 2022
as of
NewPlug Power Inc
Common stock
$7.28M+440K
439,596
0.05% of portfolio
medium
Q4 2018
as of
NewMiddleby Corp
Common stock
$7.38M+72K
71,848
0.05% of portfolio
medium
Q2 2025
as of
NewGE Vernova Inc.
Common stock
$7.41M+14K
14,000
0.05% of portfolio
medium
Q2 2021
as of
NewOrganon & Co.
Common stock
$7.60M+251K
251,044
0.06% of portfolio
medium
Q2 2025
as of
NewConstellation Energy Corp
Common stock
$7.75M+24K
24,026
0.06% of portfolio
medium
Q1 2023
as of
NewBristol Myers Squibb Co
Common stock
$8.00M+115K
115,409
0.06% of portfolio
medium
Q1 2023
as of
NewAmgen Inc
Common stock
$8.00M+33K
33,100
0.06% of portfolio
medium
Q1 2020
as of
NewAmgen Inc
Common stock
$8.09M+40K
39,898
0.06% of portfolio
medium
Q4 2018
as of
NewAmerican Tower Corp
Common stock
$8.41M+53K
53,151
0.06% of portfolio
medium
Q4 2020
as of
NewViatris Inc
Common stock
$8.81M+470K
470,148
0.06% of portfolio
medium
Q1 2023
as of
NewEdison International
Common stock
$9.12M+129K
129,224
0.07% of portfolio
medium
Q1 2023
as of
NewCencora Inc
Common stock
$9.33M+58K
58,300
0.07% of portfolio
medium
Q4 2021
as of
New008474108
Common stock
$9.36M+176K
175,885
0.07% of portfolio
medium
Q4 2018
as of
NewMastercard Inc
Common stock
$9.43M+50K
50,000
0.07% of portfolio
medium
Q3 2024
as of
NewCigna Group
Common stock
$10.13M+29K
29,237
0.07% of portfolio
medium
Q2 2024
as of
NewL8681T102
Common stock
$10.20M+33K
32,500
0.07% of portfolio
medium
Q4 2018
as of
NewCharter Communications, Inc.
Common stock
$10.25M+36K
35,953
0.08% of portfolio
medium
Q2 2020
as of
NewMoody's Corp
Common stock
$10.46M+38K
38,070
0.08% of portfolio
medium
Q2 2021
as of
New92719V100
Common stock
$10.78M+220K
219,989
0.08% of portfolio
medium
Q1 2020
as of
NewFreeport-McMoran Inc
Common stock
$10.85M+1.6M
1,607,697
0.08% of portfolio
medium
Q1 2020
as of
NewEstee Lauder Cos Inc/The
Common stock
$10.95M+69K
68,714
0.08% of portfolio
medium
Q1 2019
as of
NewTesla Inc
Common stock
$11.00M+39K
39,288
0.08% of portfolio
medium
Q3 2018
as of
New092220P15
Common stock
$11.00M+98K
98,270
0.08% of portfolio
medium
Q4 2017
as of
NewElectronic Arts Inc.
Common stock
$11.03M+105K
104,988
0.08% of portfolio
medium
Q4 2022
as of
NewMercadoLibre, Inc.
Common stock
$11.06M+13K
13,075
0.08% of portfolio
medium
Q3 2018
as of
NewInternational Flavors & Fragrances Inc
Common stock
$11.13M+80K
80,000
0.08% of portfolio
medium
Q1 2025
as of
NewThe PNC Financial Services Group, Inc.
Common stock
$11.30M+64K
64,296
0.08% of portfolio
medium
Q1 2020
as of
NewJohnson & Johnson
Common stock
$11.30M+86K
86,190
0.08% of portfolio
medium
Q2 2017
as of
NewNIKE, Inc.
Common stock
$11.37M+193K
192,661
0.08% of portfolio
medium
Q4 2019
as of
NewWaste Management Inc
Common stock
$11.40M+100K
100,000
0.08% of portfolio
medium
Q3 2020
as of
NewBooking Holdings Inc
Common stock
$11.40M+7K
6,665
0.08% of portfolio
medium
Q4 2024
as of
NewEquifax Inc
Common stock
$11.40M+45K
44,750
0.08% of portfolio
medium
Q3 2020
as of
NewInternational Business Machines Corp
Common stock
$11.56M+95K
95,000
0.08% of portfolio
medium
Q3 2019
as of
NewGilead Sciences, Inc.
Common stock
$11.63M+183K
183,436
0.09% of portfolio
medium
Q3 2018
as of
NewANET
Arista Networks, Inc.
Common Stock
$11.94M+45K
44,928
0.09% of portfolio
medium
Q4 2022
as of
NewPlug Power Inc
Common stock
$12.37M+1.0M
1,000,000
0.09% of portfolio
medium
Q1 2022
as of
NewG7258M108
Common stock
$12.42M+1.8M
1,800,000
0.09% of portfolio
medium
Q3 2021
as of
NewOccidental Petroleum Corp /De
Common stock
$12.69M+429K
429,147
0.09% of portfolio
medium
Q1 2022
as of
NewUnity Software Inc.
Common stock
$12.77M+129K
128,712
0.09% of portfolio
medium
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