People / Mubadala (Abu Dhabi)

Mubadala (Abu Dhabi)

UAE · sovereign fund

$34,771,171,317disclosed portfolio (13F)
71holdings
0disclosed trades
Portfolio allocation · all 71 holdings — drag the scrollbar ↕

All holdings (71)

top 10 = 99% of disclosed value · scroll for the full list ↓

#HoldingValue% of portfolioShares
1 Globalfoundries Inc $32,928,873,232 94.7% 399,573,756
2 Ishares Bitcoin Trust Etf $490,092,617 1.4% 14,721,917
3 Arm Holdings Plc $319,807,957 0.9% 901,960
4 Blue Owl Technology Fin Corp $308,303,771 0.9% 29,787,804
5 Nextdecade Corp $107,116,075 0.3% 14,206,376
6 Klarna Group Plc $60,551,158 0.2% 2,991,658
7 Micron Technology Inc $52,463,635 0.2% 45,451
8 Quantinuum Inc $36,742,130 0.1% 449,500
9 Aris Mining Corporation $25,930,428 0.1% 1,739,130
10 Sandisk Corp $24,692,708 0.1% 10,860
11 Ionq Inc $22,822,975 0.1% 428,520
12 Lam Research Corp $18,861,555 0.1% 43,527
13 D-Wave Quantum Inc $17,868,712 0.1% 744,840
14 Asml Hldg Nv $16,979,870 0.0% 8,535
15 Cvs Health Corp $16,955,662 0.0% 163,902
16 Amphenol Corp $16,250,709 0.0% 92,166
17 Quantum Computing Inc $15,397,295 0.0% 1,587,350
18 Nvidia Corporation $13,071,079 0.0% 65,326
19 The Cigna Group $12,546,748 0.0% 45,512
20 Arrow Electrs Inc $12,478,510 0.0% 58,472
21 Bristol-Myers Squibb Co $12,259,289 0.0% 212,761
22 Rigetti Computing Inc $11,969,745 0.0% 619,552
23 Expand Energy Corporation $11,346,772 0.0% 124,430
24 Palantir Technologies Inc $11,160,186 0.0% 95,656
25 Intuitive Surgical Inc $8,744,586 0.0% 21,989
26 Texas Instrs Inc $8,520,927 0.0% 28,587
27 Analog Devices Inc $8,266,299 0.0% 20,813
28 Symbotic Inc $7,726,905 0.0% 171,900
29 Centene Corp Del $7,521,014 0.0% 117,168
30 Chime Finl Inc $7,412,777 0.0% 361,952
31 Barrick Mng Corp $7,303,614 0.0% 198,846
32 Anglogold Ashanti Plc $6,364,102 0.0% 78,676
33 Unitedhealth Group Inc $6,094,383 0.0% 14,663
34 Kinross Gold Corp $6,034,367 0.0% 255,477
35 Gen Digital Inc $5,332,384 0.0% 214,238
36 Biogen Inc $5,203,373 0.0% 24,083
37 Abbvie Inc $5,053,938 0.0% 20,084
38 Ford Mtr Co $4,957,282 0.0% 356,639
39 Gdev Inc $4,731,300 0.0% 3,809,794
40 Iqvia Hldgs Inc $4,697,565 0.0% 24,312
41 Expedia Group Inc $4,637,057 0.0% 18,122
42 Aptiv Plc $4,220,980 0.0% 68,768
43 Avnet Inc $4,170,099 0.0% 46,950
44 Td Synnex Corporation $4,057,687 0.0% 15,178
45 American Intl Group Inc $4,048,470 0.0% 54,320
46 Sensata Technologies Hldg Pl $4,018,133 0.0% 84,167
47 Crocs Inc $3,971,951 0.0% 32,924
48 Phillips 66 $3,956,615 0.0% 23,405
49 Gilead Sciences Inc $3,742,570 0.0% 29,623
50 Bath & Body Works Inc $3,738,039 0.0% 161,610
51 Affiliated Managers Group $3,710,894 0.0% 10,966
52 Fedex Corp $3,622,288 0.0% 11,568
53 Fidelity Natl Information Sv $3,455,382 0.0% 88,873
54 Devon Energy Corp New $3,452,699 0.0% 83,560
55 Newmont Corp $3,436,279 0.0% 36,791
56 Associated Banc-Corp $3,429,747 0.0% 111,464
57 Block H & R Inc $3,414,976 0.0% 89,679
58 Universal Hlth Svcs Inc $3,403,811 0.0% 22,892
59 First Amern Finl Corp $3,321,951 0.0% 48,432
60 Apa Corporation $3,140,693 0.0% 96,429
61 Travel Plus Leisure Co $3,131,566 0.0% 40,973
62 Envista Holdings Corporation $2,992,385 0.0% 113,563
63 Reinsurance Group Amer Inc $2,987,520 0.0% 14,049
64 Jones Lang Lasalle Inc $2,961,572 0.0% 9,555
65 Brinks Co $2,672,650 0.0% 28,285
66 Ovintiv Inc $2,596,277 0.0% 49,312
67 Cnx Res Corp $2,504,238 0.0% 73,806
68 Maximus Inc $2,473,068 0.0% 46,002
69 Murphy Oil Corp $2,288,480 0.0% 70,285
70 Blackbaud Inc $2,232,222 0.0% 75,362
71 Fedex Fght Hldg Co Inc $873,384 0.0% 5,784

Balance sheet — verifiable public data only; disclosures report value ranges

CategoryItemValueYearSource
asset13F equity portfolio (disclosed long positions) $34,771,171,317 2026 sec-13f ↗

⚠️ Built strictly from verifiable public data (SEC filings, official financial disclosures). Values shown as ranges reflect disclosure rules, not estimates. Net-worth figures, where shown, are third-party estimates — see the linked source.