Institutions / Employees Provident Fund Board / Activity

Activity — Employees Provident Fund Board

299 moves.

BiggestNew positionsBiggest addsExits
InsidersInstitutions
DateActionCompanyValueShares ΔPosition afterImpact
Q4 2018
as of
NewServiceNow Inc
Common stock
$43.76M+246K
245,764
0.32% of portfolio
medium
Q1 2022
as of
NewTractor Supply Co /De
Common stock
$43.27M+185K
185,400
0.32% of portfolio
medium
Q4 2018
as of
NewSalesforce Inc
Common stock
$42.89M+313K
313,143
0.32% of portfolio
medium
Q3 2024
as of
NewQuanta Services Inc
Common stock
$42.81M+144K
143,589
0.31% of portfolio
medium
Q3 2021
as of
NewSCCO
Southern Copper Corp
Common Stock
$42.53M+758K
757,560
0.31% of portfolio
medium
Q3 2023
as of
NewLyft, Inc.
Common stock
$41.97M+4.0M
3,981,503
0.31% of portfolio
medium
Q3 2021
as of
NewSlb LIMITED/NV
Common stock
$41.71M+1.4M
1,407,294
0.31% of portfolio
medium
Q1 2025
as of
NewVistra Corp.
Common stock
$41.10M+350K
350,000
0.30% of portfolio
medium
Q2 2024
as of
NewARM
Arm Holdings PLC /Uk
ADR
$40.91M+250K
250,000
0.30% of portfolio
medium
Q3 2023
as of
NewNetflix Inc
Common stock
$40.46M+107K
107,159
0.30% of portfolio
medium
Q1 2023
as of
New78464A870
Common stock
$40.31M+529K
528,991
0.30% of portfolio
medium
Q2 2024
as of
New92189H607
Common stock
$39.46M+125K
124,794
0.29% of portfolio
medium
Q2 2017
as of
New015102010
Common stock
$39.13M+301K
301,338
0.29% of portfolio
medium
Q4 2023
as of
NewMongoDB, Inc.
Common stock
$38.78M+95K
94,861
0.29% of portfolio
medium
Q1 2020
as of
NewSkyworks Solutions, Inc.
Common stock
$38.75M+434K
433,545
0.28% of portfolio
medium
Q1 2025
as of
NewLinde PLC
Common stock
$36.48M+78K
78,345
0.27% of portfolio
medium
Q1 2024
as of
NewApplied Materials Inc /De
Common stock
$36.19M+175K
175,491
0.27% of portfolio
medium
Q2 2019
as of
NewDuPont de Nemours, Inc.
Common stock
$36.04M+480K
480,076
0.26% of portfolio
medium
Q1 2021
as of
NewLam Research Corp
Common stock
$35.71M+60K
60,000
0.26% of portfolio
medium
Q2 2025
as of
NewTJX Cos Inc/The
Common stock
$35.07M+284K
284,000
0.26% of portfolio
medium
Q2 2022
as of
NewBaker Hughes Co
Common stock
$34.64M+1.2M
1,200,000
0.25% of portfolio
medium
Q4 2017
as of
New73755L107
Common stock
$34.62M+1.3M
1,343,014
0.25% of portfolio
medium
Q1 2021
as of
NewAir Products & Chemicals, Inc.
Common stock
$34.52M+123K
122,707
0.25% of portfolio
medium
Q4 2024
as of
NewStryker Corp
Common stock
$34.33M+95K
95,350
0.25% of portfolio
medium
Q3 2023
as of
New81369Y209
Common stock
$34.32M+267K
266,576
0.25% of portfolio
medium
Q3 2021
as of
New512807108
Common stock
$34.15M+60K
60,000
0.25% of portfolio
medium
Q2 2019
as of
New3M Co
Common stock
$33.74M+195K
194,643
0.25% of portfolio
medium
Q2 2023
as of
NewWaste Management Inc
Common stock
$33.72M+194K
194,442
0.25% of portfolio
medium
Q2 2020
as of
NewNewmont Corp
Common stock
$33.42M+541K
541,275
0.25% of portfolio
medium
Q4 2019
as of
NewElectronic Arts Inc.
Common stock
$32.79M+305K
305,019
0.24% of portfolio
medium
Q1 2019
as of
New44919P508
Common stock
$31.96M+152K
152,120
0.23% of portfolio
medium
Q1 2021
as of
NewClorox Co /De
Common stock
$31.72M+164K
164,477
0.23% of portfolio
medium
Q4 2020
as of
NewMorgan Stanley
Common stock
$30.84M+450K
450,000
0.23% of portfolio
medium
Q1 2020
as of
NewStryker Corp
Common stock
$30.58M+184K
183,668
0.22% of portfolio
medium
Q1 2022
as of
New03662Q105
Common stock
$30.56M+96K
96,193
0.22% of portfolio
medium
Q2 2020
as of
NewNextera Energy Inc
Common stock
$30.02M+125K
125,000
0.22% of portfolio
medium
Q4 2018
as of
NewHoneywell International Inc
Common stock
$29.56M+224K
223,740
0.22% of portfolio
medium
Q1 2022
as of
NewKla Corp
Common stock
$29.16M+80K
79,652
0.21% of portfolio
medium
Q1 2021
as of
NewBioMarin Pharmaceutical Inc
Common stock
$29.04M+385K
384,634
0.21% of portfolio
medium
Q4 2018
as of
NewS&P Global Inc.
Common stock
$28.41M+167K
167,177
0.21% of portfolio
medium
Q4 2021
as of
NewAdvanced Micro Devices Inc
Common stock
$28.35M+197K
197,000
0.21% of portfolio
medium
Q1 2024
as of
NewSnowflake Inc.
Common stock
$28.27M+175K
174,942
0.21% of portfolio
medium
Q3 2020
as of
NewTesla Inc
Common stock
$27.59M+64K
64,306
0.20% of portfolio
medium
Q4 2019
as of
NewFTS
Fortis Inc.
Common Stock
$27.48M+510K
510,000
0.20% of portfolio
medium
Q1 2020
as of
NewANET
Arista Networks, Inc.
Common Stock
$27.37M+135K
135,139
0.20% of portfolio
medium
Q1 2018
as of
NewWaste Connections Inc
Common stock
$27.27M+295K
295,056
0.20% of portfolio
medium
Q4 2024
as of
NewEmerson Electric Co
Common stock
$26.91M+217K
217,101
0.20% of portfolio
medium
Q4 2018
as of
NewElectronic Arts Inc.
Common stock
$26.40M+335K
334,587
0.19% of portfolio
medium
Q1 2021
as of
New03662Q105
Common stock
$26.00M+77K
76,569
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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