People / Temasek (Singapore)

Temasek (Singapore)

Singapore · sovereign fund

$37,253,810,301disclosed portfolio (13F)
176holdings
0disclosed trades
Portfolio allocation · all 176 holdings — drag the scrollbar ↕

All holdings (176)

top 10 = 53% of disclosed value · scroll for the full list ↓

#HoldingValue% of portfolioShares
1 Blackrock Inc $4,995,462,857 13.4% 5,195,165
2 Alphabet Inc $3,235,545,206 8.7% 9,076,378
3 Visa Inc $2,263,438,151 6.1% 6,597,214
4 Nvidia Corporation $1,727,721,725 4.6% 8,634,723
5 Space Exploration Techn Corp $1,679,886,123 4.5% 9,831,945
6 Mastercard Incorporated $1,671,049,987 4.5% 3,253,602
7 Broadcom Inc $1,413,077,001 3.8% 3,740,773
8 Amazon Com Inc $1,089,257,655 2.9% 4,570,184
9 Microsoft Corp $985,699,009 2.6% 2,642,483
10 Icici Bank Limited $847,553,755 2.3% 29,195,789
11 Ge Vernova Inc $679,496,729 1.8% 578,364
12 Doordash Inc $638,750,780 1.7% 3,461,501
13 S&P Global Inc $613,705,388 1.6% 1,506,913
14 Thermo Fisher Scientific Inc $611,423,059 1.6% 1,219,529
15 Sea Ltd $550,503,772 1.5% 5,744,587
16 Intapp Inc $432,270,954 1.2% 17,146,805
17 Lam Research Corp $429,951,759 1.2% 992,204
18 Roblox Corp $422,954,589 1.1% 7,777,760
19 Tpg Inc $412,112,286 1.1% 10,163,065
20 Hdfc Bank Ltd $395,334,143 1.1% 15,305,232
21 Ermenegildo Zegna N V $354,694,434 1.0% 27,242,276
22 Teck Resources Ltd $337,904,538 0.9% 5,685,453
23 Kkr & Co Inc $336,771,933 0.9% 3,669,339
24 Airbnb Inc $317,995,961 0.9% 2,222,194
25 Booking Holdings Inc $312,448,125 0.8% 1,752,963
26 Transdigm Group Inc $303,863,633 0.8% 228,119
27 J P Morgan Exchange Traded F $299,348,812 0.8% 5,919,494
28 Pdd Holdings Inc $276,360,304 0.7% 3,622,972
29 Marvell Technology Inc $256,471,970 0.7% 860,962
30 Cadence Design System Inc $252,389,939 0.7% 672,466
31 Linde Plc $247,726,907 0.7% 477,371
32 Sterling Infrastructure Inc $247,127,729 0.7% 294,424
33 Comfort Sys Usa Inc $246,625,930 0.7% 124,436
34 Beone Medicines Ltd $241,007,393 0.6% 845,729
35 Apollo Global Mgmt Inc $240,097,722 0.6% 2,029,395
36 Asml Hldg Nv $234,712,142 0.6% 117,979
37 Ge Aerospace $226,118,983 0.6% 605,033
38 Unity Software Inc $220,090,093 0.6% 7,700,843
39 Meta Platforms Inc $219,411,594 0.6% 389,518
40 Intuitive Surgical Inc $196,401,824 0.5% 493,869
41 Eli Lilly & Co $181,681,260 0.5% 151,473
42 Netflix Inc. $180,380,962 0.5% 2,526,344
43 Denali Therapeutics Inc $180,373,691 0.5% 7,012,974
44 Wells Fargo & Co $179,870,340 0.5% 2,176,553
45 Ftai Aviation Ltd $179,516,945 0.5% 663,575
46 Msci Inc $171,679,702 0.5% 306,549
47 Ishares Inc $171,574,216 0.5% 849,798
48 Vertiv Holdings Co $165,231,996 0.4% 493,495
49 Ge Healthcare Technologies I $161,010,306 0.4% 2,515,393
50 Unitedhealth Group Inc $154,566,978 0.4% 371,886
51 Invesco Exch Traded Fd Tr Ii $154,370,603 0.4% 1,660,256
52 Guardant Health Inc $153,619,768 0.4% 1,023,927
53 Micron Technology Inc $153,527,496 0.4% 133,006
54 Caterpillar Inc $149,802,678 0.4% 140,673
55 Progressive Corp $146,792,939 0.4% 671,975
56 Apple Inc $145,974,886 0.4% 504,475
57 Biontech Se $140,135,812 0.4% 1,506,027
58 Descartes Sys Group Inc $139,065,021 0.4% 2,011,165
59 Credo Technology Group Holdi $138,506,311 0.4% 509,308
60 Alibaba Group Hldg Ltd $126,046,887 0.3% 1,313,262
61 Arista Networks Inc $113,661,951 0.3% 669,072
62 Flywire Corporation $108,466,374 0.3% 6,173,385
63 Merck & Co Inc $104,868,979 0.3% 816,101
64 Astrazeneca Plc $103,548,008 0.3% 554,410
65 Boston Scientific Corp $102,407,502 0.3% 2,399,426
66 Palo Alto Networks Inc $101,466,409 0.3% 297,538
67 Ishares Tr $99,842,037 0.3% 1,973,943
68 Kla Corp $97,714,818 0.3% 323,870
69 H World Group Ltd $96,340,450 0.3% 2,309,215
70 Zto Express Cayman Inc $92,817,134 0.2% 4,147,325
71 Cameco Corp $91,617,162 0.2% 899,442
72 Netease Com Inc $90,737,728 0.2% 708,114
73 Makemytrip Limited Mauritius $90,670,590 0.2% 1,701,456
74 Trip Com Group Ltd $89,228,493 0.2% 2,239,671
75 Home Depot Inc $89,158,915 0.2% 252,804
76 Deere & Co $86,615,224 0.2% 136,546
77 Cerebras Systems Inc $83,670,600 0.2% 378,600
78 Pepsico Inc $78,480,413 0.2% 579,619
79 Yum China Hldgs Inc $78,328,132 0.2% 1,916,519
80 Amer Sports Inc $78,130,773 0.2% 2,308,829
81 Walmart Inc $77,551,727 0.2% 684,723
82 Applied Aerospace & Defense $74,035,000 0.2% 3,250,000
83 Tjx Cos Inc New $72,646,220 0.2% 479,513
84 Vaneck Etf Trust $68,418,060 0.2% 906,800
85 Alcoa Corp $67,815,735 0.2% 1,300,647
86 Arxis Inc $63,387,178 0.2% 1,373,801
87 Applovin Corp $61,119,159 0.2% 118,625
88 Kanzhun Limited $55,932,055 0.2% 4,345,925
89 Marsh & Mclennan Cos Inc $54,331,087 0.1% 325,980
90 Danaher Corp Del $53,670,407 0.1% 281,764
91 Southern Copper Corp $47,569,321 0.1% 272,979
92 Freeport Mcmoran Inc $42,088,944 0.1% 669,247
93 Ke Hldgs Inc $42,081,074 0.1% 2,896,151
94 Teradyne Inc $39,310,065 0.1% 81,246
95 Global E Online Ltd $38,045,117 0.1% 1,095,454
96 Qualcomm Inc $36,105,379 0.1% 195,386
97 Atour Lifestyle Hldgs Ltd $34,234,449 0.1% 1,076,555
98 Global X Fds $32,851,874 0.1% 426,814
99 Snowflake Inc $30,201,770 0.1% 118,671
100 Hudbay Minerals Inc $29,867,535 0.1% 1,269,125
101 Sandisk Corp $29,699,461 0.1% 13,062
102 Cognizant Technology Solutio $28,463,761 0.1% 734,928
103 Vnet Group Inc $28,344,570 0.1% 3,525,444
104 Nexgen Energy Ltd $26,084,199 0.1% 2,777,870
105 York Space Systems Inc $25,303,796 0.1% 1,027,774
106 Spdr Gold Tr $25,234,030 0.1% 68,500
107 Genpact Limited $24,108,480 0.1% 876,672
108 Western Digital Corp $23,584,097 0.1% 36,924
109 Corning Inc $22,690,613 0.1% 88,833
110 Dpc Holdings Plc $22,077,000 0.1% 450,000
111 Seagate Technology Hldngs Pl $21,657,495 0.1% 22,443
112 Tencent Music Entmt Group $21,388,842 0.1% 2,561,538
113 Lumentum Hldgs Inc $18,898,772 0.1% 22,025
114 Ero Copper Corp $16,299,522 0.0% 612,491
115 Denison Mines Corp $14,824,990 0.0% 4,844,768
116 Advanced Micro Devices Inc $14,582,003 0.0% 25,102
117 Formfactor Inc $14,105,346 0.0% 88,197
118 Celestica Inc $12,887,654 0.0% 35,328
119 Analog Devices Inc $12,605,779 0.0% 31,739
120 Nokia Corp $12,440,531 0.0% 936,787
121 Argan Inc $12,166,708 0.0% 15,236
122 Firefly Aerospace Inc $11,760,000 0.0% 400,000
123 Uranium Energy Corp $11,504,251 0.0% 1,079,198
124 Energy Fuels Inc $11,328,676 0.0% 781,288
125 Camtek Ltd $10,745,530 0.0% 65,875
126 Kraneshares Trust $10,349,587 0.0% 422,950
127 Bank Of Amer Corp $9,912,925 0.0% 173,972
128 Morgan Stanley $9,699,874 0.0% 46,402
129 Jpmorgan Chase & Co $9,685,040 0.0% 29,588
130 Goldman Sachs Group Inc $9,337,979 0.0% 9,233
131 Coherent Corp $8,402,211 0.0% 21,300
132 Macom Tech Solutions Hldgs I $8,086,286 0.0% 21,259
133 Blacksky Technology Inc $8,059,080 0.0% 288,649
134 Cisco Sys Inc $7,954,156 0.0% 67,718
135 Carpenter Technology Corp $6,682,228 0.0% 10,833
136 Ciena Corp $6,506,788 0.0% 13,264
137 Natera Inc $6,263,980 0.0% 23,076
138 Hinge Health Inc $6,243,758 0.0% 75,226
139 Fabrinet $6,144,659 0.0% 10,932
140 Synopsys Inc $5,923,810 0.0% 13,280
141 Tempus Ai Inc $5,753,376 0.0% 99,316
142 Radnet Inc $5,363,687 0.0% 86,974
143 Wix Com Ltd $5,230,344 0.0% 115,282
144 State Str Corp $5,188,064 0.0% 30,590
145 Citigroup Inc $5,175,301 0.0% 36,977
146 Hca Healthcare Inc $5,105,220 0.0% 13,094
147 Fifth Third Bancorp $5,021,214 0.0% 89,076
148 Pnc Finl Svcs Group Inc $5,008,361 0.0% 20,341
149 Us Bancorp $4,887,568 0.0% 80,920
150 Bank Of Ny Mellon Corp $4,874,080 0.0% 33,705
151 Mckesson Corp $4,793,526 0.0% 6,344
152 M & T Bk Corp $4,768,054 0.0% 20,033
153 Huntington Bancshares Inc $4,760,026 0.0% 268,473
154 Capital One Finl Corp $4,667,023 0.0% 23,263
155 Heartflow Inc $4,625,275 0.0% 157,644
156 Trekor Metals Ltd $4,558,653 0.0% 663,312
157 Truist Finl Corp $4,545,128 0.0% 91,231
158 Northern Tr Corp $4,432,572 0.0% 25,498
159 Citizens Finl Group Inc $4,084,170 0.0% 58,287
160 Bloom Energy Corp $3,700,810 0.0% 12,226
161 Regions Financial Corp New $3,561,063 0.0% 117,916
162 Keycorp $3,444,638 0.0% 149,442
163 Keurig Dr Pepper Inc $3,266,618 0.0% 99,805
164 Ses Ai Corporation $3,034,916 0.0% 3,160,712
165 East West Bancorp Inc $2,437,219 0.0% 18,880
166 Unilever Plc $2,340,231 0.0% 38,926
167 Pinnacle Finl Partners Inc $2,097,800 0.0% 20,795
168 First Horizon Corporation $1,685,215 0.0% 65,726
169 Zions Bancorporation Natl As $1,402,966 0.0% 20,277
170 Magnum Ice Cream Co Nv $1,372,455 0.0% 79,000
171 Figure Technology Solutio $1,279,839 0.0% 41,675
172 Western Alliance Bancorp $1,237,768 0.0% 15,058
173 Blaize Hldgs Inc $1,182,957 0.0% 857,215
174 Eldorado Gold Corp New $1,039,285 0.0% 33,506
175 Caris Life Sciences Inc $218,028 0.0% 12,235
176 Pony Ai Inc $100,845 0.0% 14,510

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

CategoryItemValueYearSource
asset13F equity portfolio (disclosed long positions) $37,253,810,301 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.