Titelia

Holdings of Temasek Holdings (Private) Ltd

111 declared positions · as of Mar 31, 2026

Original filing · Ten largest lines: 56.9 % of the equity sleeve

Sector breakdown

  • Financials 41.2 %
  • Technology 17.8 %
  • Consumer discretionary 9.6 %
  • Communication 7.8 %
  • Health care 5.0 %
  • Industrials 3.7 %
  • Consumer staples 2.0 %
  • Materials 0.2 %
  • Utilities 0.2 %
  • Unattributed 12.6 %

Titelia classification, company by company. The unattributed share stays visible.

Currency breakdown

  • USD 100.0 %

The quoted currency of each line, as declared.

Country breakdown

  • US 92.3 %
  • IN 3.8 %
  • KY 2.2 %
  • CN 0.8 %
  • DE 0.5 %
  • SG 0.4 %

Shares computed on the equity sleeve.

RankCountryLinesValueShare
1US10026B $92.33 %
2IN21.1B $3.79 %
3KY5631.2M $2.24 %
4CN2215.5M $0.77 %
5DE1133.9M $0.48 %
6SG1111.5M $0.40 %

Positions

RankCompanySharesValueWeight
1Blackrock Inc 5,330,4925.1B $
2Visa Inc 6,671,6282B $
3Mastercard Inc 3,218,7111.6B $
4NVIDIA Corp 8,902,8081.6B $
5Alphabet Inc 4,702,7361.4B $
6Broadcom Inc 3,540,6301.1B $
7Microsoft Corp 2,667,081987.3M $
8Amazon.com Inc 4,484,072933.9M $
9ICICI Bank Ltd 29,195,789756.2M $
10S&P Global Inc 1,396,452594M $
11Thermo Fisher Scientific Inc 1,195,799587.8M $
12DoorDash Inc 3,461,501519.7M $
13PDD Holdings Inc 4,926,061503.3M $
14GE Vernova Inc 538,128469.7M $
15Intapp Inc 17,146,805440.5M $
16ROBLOX Corp 7,777,760439.9M $
17Sea Ltd 5,282,861437.5M $
18TPG Inc 10,028,107406.2M $
19KKR & Co Inc 3,522,797325.9M $
20HDFC Bank Ltd 12,559,656312.5M $
21JPMorgan Ultra-Short Income ETF 5,919,494299.6M $
22Airbnb Inc 2,222,194280.6M $
23Apollo Global Management Inc 2,368,162263.9M $
24BEONE MEDICINES LTD 862,643256.2M $
25TransDigm Group Inc 218,885253.7M $
26Booking Holdings Inc 56,071236.1M $
27GE HealthCare Technologies Inc 3,261,309232.1M $
28MSCI Inc 425,863229.5M $
29Cadence Design Systems Inc 749,113208.2M $
30Netflix Inc 2,068,447198.9M $
31Progressive Corp/The 993,588197M $
32General Electric Co 603,418171.2M $
33Alibaba Group Holding Ltd 1,313,262164.8M $
34Lam Research Corp 760,335162.5M $
35Eli Lilly & Co 173,259159.4M $
36Salesforce Inc 809,900151.2M $
37Boston Scientific Corp 2,399,426150.6M $
38Marvell Technology Inc 1,516,386150.2M $
39Meta Platforms Inc 242,312138.6M $
40Denali Therapeutics Inc 7,012,974134.6M $
41BioNTech SE 1,506,027133.9M $
42Yum China Holdings Inc 2,717,548132.6M $
43Wells Fargo & Co 1,661,772132.3M $
44Apple Inc 513,063130.2M $
45Comfort Systems USA Inc 94,356130.1M $
46Workday Inc 889,318115.5M $
47Trip.com Group Ltd 2,239,671111.5M $
48H World Group Ltd 2,210,391111.2M $
49Intuitive Surgical Inc 227,211104.7M $
50UnitedHealth Group Inc 385,856104.4M $
51ZTO Express Cayman Inc 4,147,325104.4M $
52Vertiv Holdings Co 411,631103.1M $
53Onestream Inc 4,266,714102.4M $
54Unity Software Inc 4,582,843100.5M $
55iShares Ultra Short Duration B 1,973,94399.9M $
56Guardant Health Inc 985,57191M $
57PepsiCo Inc 579,61990M $
58Invesco KBW Bank ETF 1,104,86287.4M $
59Alcoa Corp 1,300,64786.3M $
60iShares MSCI South Korea ETF 667,05682.1M $
61NetEase Inc 708,11479.3M $
62Palo Alto Networks Inc 464,11874.4M $
63KraneShares CSI China Internet ETF 2,553,47472.6M $
64Flywire Corp 6,173,38571.9M $
65Kanzhun Ltd 4,345,92558.2M $
66Danaher Corp 306,77658.2M $
67Home Depot Inc/The 163,25253.7M $
68AppLovin Corp 131,82252.5M $
69Bloom Energy Corp 359,35448.7M $
70KLA Corp 32,38747.7M $
71Southern Copper Corp 270,27746.5M $
72KE Holdings Inc 3,047,35745.6M $
73NextEra Energy Inc 459,16542.6M $
74Cognizant Technology Solutions Corp. 675,02841.4M $
75iShares MSCI Brazil ETF 1,076,81541.3M $
76Marsh & McLennan Cos Inc 229,08739.7M $
77Freeport-McMoRan Inc 669,24739.3M $
78Deere & Co 66,14137.3M $
79Caterpillar Inc 52,55337.2M $
80Intuit Inc 85,10036.8M $
81ServiceNow Inc 342,23035.8M $
82Payoneer Global Inc 6,725,23132.5M $
83Snowflake Inc 203,75030.7M $
84Synopsys Inc 71,67628.4M $
85Walmart Inc 213,66226.6M $
86Teradyne Inc 89,49026.5M $
87NIKE Inc 471,98424.9M $
88Sterling Infrastructure Inc 58,95024M $
89Tencent Music Entertainment Group 2,561,53823.8M $
90Micron Technology Inc 66,87022.6M $
91Western Digital Corp 83,09222.5M $
92XPeng Inc 1,194,53820.4M $
93Sandisk Corp/DE 30,48419.4M $
94Firefly Aerospace Inc 663,15518.9M $
95Lumentum Holdings Inc 25,92618.2M $
96Ciena Corp 44,43717.3M $
97Analog Devices Inc 51,16016.3M $
98Argan Inc 29,43616M $
99Cummins Inc 23,01912.4M $
100Vnet Group Inc 1,446,00012.1M $