Institutions / Employees Provident Fund Board / Activity

Activity — Employees Provident Fund Board

299 moves.

BiggestNew positionsBiggest addsExits
InsidersInstitutions
DateActionCompanyValueShares ΔPosition afterImpact
Q4 2025
as of
NewBank of America Corp /De
Common stock
$250.91M+4.6M
4,562,000
1.84% of portfolio
high
Q3 2021
as of
NewNXP Semiconductors N.V.
Common stock
$153.16M+782K
781,945
1.13% of portfolio
high
Q3 2023
as of
NewApple Inc.
Common stock
$132.26M+773K
772,500
0.97% of portfolio
high
Q2 2025
as of
New06849F108
Common stock
$132.06M+6.4M
6,356,156
0.97% of portfolio
high
Q4 2020
as of
NewSherwin Williams Co
Common stock
$114.61M+156K
155,951
0.84% of portfolio
high
Q2 2017
as of
NewGeneral Electric Co
Common stock
$113.06M+4.2M
4,186,000
0.83% of portfolio
high
Q1 2019
as of
New015102010
Common stock
$112.80M+1.2M
1,195,650
0.83% of portfolio
high
Q2 2024
as of
NewSlb LIMITED/NV
Common stock
$95.61M+2.0M
2,026,536
0.70% of portfolio
high
Q2 2018
as of
NewBroadcom Inc.
Common stock
$94.54M+390K
389,643
0.69% of portfolio
high
Q3 2019
as of
New92220P105
Common stock
$88.94M+747K
746,818
0.65% of portfolio
high
Q3 2017
as of
New369604103
Common stock
$88.39M+3.7M
3,655,435
0.65% of portfolio
high
Q4 2018
as of
New151020104
Common stock
$81.64M+1.3M
1,273,792
0.60% of portfolio
high
Q4 2019
as of
NewPeople Inc
Common stock
$77.38M+311K
310,638
0.57% of portfolio
high
Q1 2018
as of
New67077M108
Common stock
$74.11M+1.2M
1,217,061
0.54% of portfolio
high
Q2 2025
as of
New008474108
Common stock
$71.09M+598K
597,900
0.52% of portfolio
high
Q1 2024
as of
NewExxon Mobil Corp
Common stock
$70.57M+607K
607,147
0.52% of portfolio
high
Q1 2025
as of
NewOracle Corp
Common stock
$69.91M+500K
500,000
0.51% of portfolio
high
Q4 2020
as of
New136375102
Common stock
$69.28M+495K
495,082
0.51% of portfolio
high
Q4 2017
as of
NewMicrochip Technology Inc
Common stock
$68.74M+782K
782,204
0.51% of portfolio
high
Q3 2021
as of
NewBABA
Alibaba Group Holding Ltd
ADR
$68.25M+461K
460,984
0.50% of portfolio
high
Q2 2017
as of
NewBank of America Corp /De
Common stock
$64.93M+2.7M
2,676,283
0.48% of portfolio
high
Q3 2021
as of
New067901108
Common stock
$64.74M+3.6M
3,586,243
0.48% of portfolio
high
Q1 2019
as of
New026078J10
Common stock
$64.40M+1.2M
1,208,038
0.47% of portfolio
high
Q3 2024
as of
NewLam Research Corp
Common stock
$64.11M+79K
78,562
0.47% of portfolio
high
Q1 2021
as of
NewUnion Pacific Corp
Common stock
$63.35M+287K
287,419
0.47% of portfolio
high
Q1 2024
as of
NewArista Networks, Inc.
Common stock
$61.73M+213K
212,861
0.45% of portfolio
high
Q1 2024
as of
NewHoneywell International Inc
Common stock
$61.58M+300K
300,000
0.45% of portfolio
high
Q3 2017
as of
New026078J10
Common stock
$60.35M+872K
871,725
0.44% of portfolio
high
Q2 2018
as of
New026078J10
Common stock
$58.34M+885K
884,947
0.43% of portfolio
high
Q3 2019
as of
New44919P908
Common stock
$57.16M+262K
262,245
0.42% of portfolio
high
Q4 2018
as of
New26078J100
Common stock
$56.67M+1.1M
1,059,686
0.42% of portfolio
high
Q4 2020
as of
NewWestern Digital Corp
Common stock
$55.42M+1.0M
1,000,600
0.41% of portfolio
high
Q4 2020
as of
NewO Reilly Automotive Inc
Common stock
$54.37M+120K
120,143
0.40% of portfolio
high
Q1 2023
as of
NewUber Technologies, Inc
Common stock
$54.01M+1.7M
1,703,902
0.40% of portfolio
high
Q4 2019
as of
NewMastercard Inc
Common stock
$53.19M+178K
178,131
0.39% of portfolio
high
Q4 2023
as of
NewMeta Platforms Inc
Common stock
$51.06M+144K
144,248
0.38% of portfolio
high
Q2 2019
as of
New87807B107
Common stock
$50.50M+778K
777,821
0.37% of portfolio
high
Q4 2018
as of
New00507V109
Common stock
$50.40M+1.1M
1,082,284
0.37% of portfolio
high
Q4 2023
as of
NewStryker Corp
Common stock
$49.66M+166K
165,832
0.36% of portfolio
medium
Q1 2018
as of
New26078J100
Common stock
$49.34M+774K
774,490
0.36% of portfolio
medium
Q1 2018
as of
NewGeneral Electric Co
Common stock
$49.28M+3.7M
3,655,435
0.36% of portfolio
medium
Q2 2020
as of
NewPROCTER & GAMBLE Co
Common stock
$48.79M+408K
408,037
0.36% of portfolio
medium
Q1 2021
as of
NewNIKE, Inc.
Common stock
$47.80M+360K
359,709
0.35% of portfolio
medium
Q3 2020
as of
NewMatch Group, Inc.
Common stock
$47.67M+431K
430,818
0.35% of portfolio
medium
Q3 2021
as of
NewUnited Rentals Inc
Common stock
$47.59M+136K
135,608
0.35% of portfolio
medium
Q1 2024
as of
New42809H107
Common stock
$47.35M+310K
310,188
0.35% of portfolio
medium
Q3 2024
as of
NewSynopsys Inc
Common stock
$46.67M+92K
92,165
0.34% of portfolio
medium
Q2 2019
as of
NewSherwin Williams Co
Common stock
$46.16M+101K
100,729
0.34% of portfolio
medium
Q1 2024
as of
NewInsulet Corp
Common stock
$44.92M+262K
262,072
0.33% of portfolio
medium
Q2 2024
as of
NewCitigroup Inc
Common stock
$44.42M+700K
700,000
0.33% of portfolio
medium
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