Institutions / Employees Provident Fund Board / Activity

Activity — Employees Provident Fund Board

299 moves.

BiggestNew positionsBiggest addsExits
InsidersInstitutions
DateActionCompanyValueShares ΔPosition afterImpact
Q2 2020
as of
New351858105
Common stock
$12.87M+68K
67,873
0.09% of portfolio
medium
Q1 2021
as of
NewAdobe Inc.
Common stock
$12.95M+27K
27,233
0.10% of portfolio
medium
Q3 2023
as of
NewTesla Inc
Common stock
$12.96M+52K
51,787
0.10% of portfolio
medium
Q3 2022
as of
NewMatch Group, Inc.
Common stock
$13.02M+273K
272,768
0.10% of portfolio
medium
Q2 2018
as of
New866796105
Common stock
$13.21M+250K
250,000
0.10% of portfolio
medium
Q1 2024
as of
NewAkamai Technologies Inc
Common stock
$13.25M+122K
121,800
0.10% of portfolio
medium
Q4 2024
as of
NewEQT Corp
Common stock
$14.00M+304K
303,602
0.10% of portfolio
medium
Q2 2019
as of
NewCorteva, Inc.
Common stock
$14.20M+480K
480,076
0.10% of portfolio
medium
Q3 2024
as of
NewFerguson Enterprises Inc. /DE
Common stock
$14.20M+72K
71,500
0.10% of portfolio
medium
Q1 2022
as of
NewZoetis Inc.
Common stock
$14.49M+77K
76,814
0.11% of portfolio
medium
Q2 2023
as of
NewUnited Rentals Inc
Common stock
$14.70M+33K
33,000
0.11% of portfolio
medium
Q3 2019
as of
NewArista Networks, Inc.
Common stock
$14.72M+62K
61,600
0.11% of portfolio
medium
Q4 2019
as of
NewBiogen Inc.
Common stock
$14.84M+50K
50,000
0.11% of portfolio
medium
Q1 2020
as of
NewInternational Flavors & Fragrances Inc
Common stock
$14.92M+146K
146,145
0.11% of portfolio
medium
Q4 2024
as of
NewFirst Solar Inc
Common stock
$15.07M+86K
85,529
0.11% of portfolio
medium
Q4 2019
as of
New81369Y506
Common stock
$15.10M+252K
251,551
0.11% of portfolio
medium
Q1 2022
as of
NewMicron Technology Inc
Common stock
$15.58M+200K
200,000
0.11% of portfolio
medium
Q4 2024
as of
NewColgate Palmolive Co
Common stock
$15.66M+172K
172,300
0.12% of portfolio
medium
Q1 2022
as of
NewAdobe Inc.
Common stock
$15.87M+35K
34,826
0.12% of portfolio
medium
Q2 2025
as of
New03073E108
Common stock
$16.19M+54K
54,000
0.12% of portfolio
medium
Q1 2025
as of
NewAccenture plc
Common stock
$16.31M+52K
52,277
0.12% of portfolio
medium
Q1 2024
as of
New81369Y886
Common stock
$16.41M+250K
250,000
0.12% of portfolio
medium
Q1 2022
as of
NewRollins Inc
Common stock
$18.65M+532K
532,146
0.14% of portfolio
medium
Q1 2025
as of
New464288778
Common stock
$18.65M+400K
400,000
0.14% of portfolio
medium
Q1 2022
as of
NewMarvell Technology, Inc.
Common stock
$19.51M+272K
272,052
0.14% of portfolio
medium
Q4 2018
as of
New3M Co
Common stock
$19.78M+104K
103,829
0.15% of portfolio
medium
Q2 2019
as of
NewDow Inc.
Common stock
$19.86M+403K
402,679
0.15% of portfolio
medium
Q3 2025
as of
NewCencora Inc
Common stock
$20.00M+64K
64,000
0.15% of portfolio
medium
Q1 2025
as of
NewCummins Inc
Common stock
$20.22M+65K
64,500
0.15% of portfolio
medium
Q2 2024
as of
NewUnitedhealth Group Inc
Common stock
$20.37M+40K
40,000
0.15% of portfolio
medium
Q1 2022
as of
NewO Reilly Automotive Inc
Common stock
$20.44M+30K
29,836
0.15% of portfolio
medium
Q3 2021
as of
NewElanco Animal Health Inc
Common stock
$20.73M+650K
649,994
0.15% of portfolio
medium
Q4 2022
as of
New878742204
Common stock
$20.77M+550K
550,000
0.15% of portfolio
medium
Q4 2022
as of
NewCrowdStrike Holdings, Inc.
Common stock
$21.06M+200K
200,000
0.15% of portfolio
medium
Q3 2024
as of
NewVertiv Holdings Co
Common stock
$21.09M+212K
212,000
0.16% of portfolio
medium
Q4 2017
as of
NewNewmont Corp
Common stock
$21.36M+569K
569,286
0.16% of portfolio
medium
Q4 2022
as of
NewOccidental Petroleum Corp /De
Common stock
$21.42M+340K
340,000
0.16% of portfolio
medium
Q1 2022
as of
NewSynopsys Inc
Common stock
$21.83M+65K
65,491
0.16% of portfolio
medium
Q3 2018
as of
NewSnap-on Inc
Common stock
$22.03M+120K
119,972
0.16% of portfolio
medium
Q4 2022
as of
NewDatadog, Inc.
Common stock
$22.05M+300K
300,000
0.16% of portfolio
medium
Q2 2022
as of
NewAlign Technology, Inc.
Common stock
$22.92M+97K
96,863
0.17% of portfolio
medium
Q2 2023
as of
NewUnitedhealth Group Inc
Common stock
$23.03M+48K
47,921
0.17% of portfolio
medium
Q3 2023
as of
NewPalo Alto Networks Inc
Common stock
$23.06M+98K
98,360
0.17% of portfolio
medium
Q4 2024
as of
NewBoston Scientific Corp
Common stock
$23.31M+261K
260,966
0.17% of portfolio
medium
Q2 2023
as of
NewDexcom Inc
Common stock
$23.38M+182K
181,926
0.17% of portfolio
medium
Q1 2025
as of
NewDOVER Corp
Common stock
$23.55M+134K
134,061
0.17% of portfolio
medium
Q2 2022
as of
NewCheniere Energy, Inc.
Common stock
$24.21M+182K
182,000
0.18% of portfolio
medium
Q3 2021
as of
NewYMM
Full Truck Alliance Co. Ltd.
ADR
$25.03M+1.6M
1,632,873
0.18% of portfolio
medium
Q4 2018
as of
New92220P105
Common stock
$25.45M+225K
224,642
0.19% of portfolio
medium
Q4 2018
as of
NewPeople Inc
Common stock
$25.63M+140K
140,000
0.19% of portfolio
medium
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