People / Temasek (Singapore)

Temasek (Singapore)

Singapore · sovereign fund

$30,484,854,533disclosed portfolio (13F)
132holdings
0disclosed trades
Portfolio allocation · all 132 holdings — drag the scrollbar ↕

All holdings (132)

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

#HoldingValue% of portfolioShares
1 Blackrock Inc $5,126,387,461 16.8% 5,330,492
2 Visa Inc $2,016,432,847 6.6% 6,671,628
3 Nvidia Corporation $1,644,802,675 5.4% 9,431,208
4 Mastercard Incorporated $1,608,261,138 5.3% 3,218,711
5 Alphabet Inc $1,351,602,452 4.4% 4,700,245
6 Broadcom Inc $1,095,860,391 3.6% 3,540,630
7 Amazon Com Inc $1,003,855,568 3.3% 4,819,972
8 Microsoft Corp $987,273,374 3.2% 2,667,081
9 Icici Bank Limited $756,170,935 2.5% 29,195,789
10 Thermo Fisher Scientific Inc $613,134,030 2.0% 1,247,399
11 S&P Global Inc $593,966,894 1.9% 1,396,452
12 Ge Vernova Inc $569,067,951 1.9% 651,928
13 Doordash Inc $519,744,375 1.7% 3,461,501
14 Pdd Holdings Inc $503,344,913 1.7% 4,926,061
15 Intapp Inc $440,501,420 1.4% 17,146,805
16 Roblox Corp $439,910,106 1.4% 7,777,760
17 Sea Ltd $437,473,719 1.4% 5,282,861
18 Tpg Inc $406,238,615 1.3% 10,028,107
19 Kkr & Co Inc $325,858,723 1.1% 3,522,797
20 Hdfc Bank Ltd $312,484,241 1.0% 12,559,656
21 J P Morgan Exchange Traded F $299,585,591 1.0% 5,919,494
22 Teck Resources Ltd $294,014,638 1.0% 5,685,453
23 Ermenegildo Zegna N V $283,864,516 0.9% 27,242,276
24 Airbnb Inc $280,618,658 0.9% 2,222,194
25 Ge Healthcare Technologies I $277,467,399 0.9% 3,898,109
26 Apollo Global Mgmt Inc $263,860,610 0.9% 2,368,162
27 Beone Medicines Ltd $256,179,092 0.8% 862,643
28 Transdigm Group Inc $253,678,960 0.8% 218,885
29 Linde Plc $241,561,043 0.8% 487,254
30 Booking Holdings Inc $241,550,269 0.8% 57,371
31 Msci Inc $229,544,416 0.8% 425,863
32 Lam Research Corp $213,133,328 0.7% 997,535
33 Cadence Design System Inc $208,156,029 0.7% 749,113
34 Meta Platforms Inc $203,170,229 0.7% 355,112
35 Netflix Inc. $198,881,179 0.7% 2,068,447
36 Progressive Corp $196,968,885 0.6% 993,588
37 Unity Software Inc $189,606,423 0.6% 8,642,043
38 Comfort Sys Usa Inc $185,275,580 0.6% 134,356
39 Ge Aerospace $171,231,926 0.6% 603,418
40 Alibaba Group Hldg Ltd $164,761,851 0.5% 1,313,262
41 Eli Lilly & Co $159,358,430 0.5% 173,259
42 Salesforce Inc $151,184,033 0.5% 809,900
43 Boston Scientific Corp $150,563,982 0.5% 2,399,426
44 Marvell Technology Inc $150,198,034 0.5% 1,516,386
45 Denali Therapeutics Inc $134,649,101 0.4% 7,012,974
46 Biontech Se $133,855,680 0.4% 1,506,027
47 Vertiv Holdings Co $132,664,820 0.4% 529,431
48 Yum China Hldgs Inc $132,561,991 0.4% 2,717,548
49 Wells Fargo & Co $132,293,669 0.4% 1,661,772
50 Apple Inc $130,210,259 0.4% 513,063
51 Ishares Inc $123,393,487 0.4% 1,743,871
52 Amer Sports Inc $120,656,968 0.4% 3,665,157
53 Workday Inc $115,540,195 0.4% 889,318
54 Trip Com Group Ltd $111,513,219 0.4% 2,239,671
55 H World Group Ltd $111,160,563 0.4% 2,210,391
56 Intuitive Surgical Inc $104,741,999 0.3% 227,211
57 Descartes Sys Group Inc $104,739,935 0.3% 1,464,165
58 Unitedhealth Group Inc $104,408,775 0.3% 385,856
59 Zto Express Cayman Inc $104,388,170 0.3% 4,147,325
60 Onestream Inc $102,401,136 0.3% 4,266,714
61 Ishares Tr $99,920,995 0.3% 1,973,943
62 Ftai Aviation Ltd $99,546,685 0.3% 406,313
63 Applovin Corp $94,891,956 0.3% 238,422
64 Guardant Health Inc $91,037,193 0.3% 985,571
65 Pepsico Inc $90,009,035 0.3% 579,619
66 Invesco Exch Traded Fd Tr Ii $87,416,681 0.3% 1,104,862
67 Alcoa Corp $86,271,916 0.3% 1,300,647
68 Netease Com Inc $79,266,281 0.3% 708,114
69 Bloom Energy Corp $75,705,579 0.2% 558,754
70 Palo Alto Networks Inc $74,407,398 0.2% 464,118
71 Kraneshares Trust $72,595,266 0.2% 2,553,474
72 Flywire Corporation $71,858,201 0.2% 6,173,385
73 Astrazeneca Plc $70,886,530 0.2% 365,554
74 Cameco Corp $70,850,865 0.2% 652,342
75 Intuit $65,202,904 0.2% 150,800
76 Makemytrip Limited Mauritius $63,447,294 0.2% 1,701,456
77 Kanzhun Limited $58,191,936 0.2% 4,345,925
78 Danaher Corp Del $58,164,730 0.2% 306,776
79 Global E Online Ltd $55,751,596 0.2% 1,807,183
80 Home Depot Inc $53,691,950 0.2% 163,252
81 Kla Corp $47,686,943 0.2% 32,387
82 Southern Copper Corp $46,503,861 0.2% 270,277
83 Ke Hldgs Inc $45,618,934 0.1% 3,047,357
84 Nextera Energy Inc $42,647,245 0.1% 459,165
85 Cognizant Technology Solutio $41,412,968 0.1% 675,028
86 Marsh & Mclennan Cos Inc $39,735,140 0.1% 229,087
87 Freeport Mcmoran Inc $39,338,339 0.1% 669,247
88 Deere & Co $37,257,225 0.1% 66,141
89 Caterpillar Inc $37,231,698 0.1% 52,553
90 Servicenow Inc $35,780,147 0.1% 342,230
91 Payoneer Global Inc $32,482,866 0.1% 6,725,231
92 Snowflake Inc $30,729,575 0.1% 203,750
93 Firefly Aerospace Inc $30,268,023 0.1% 1,063,155
94 Genpact Limited $30,036,612 0.1% 806,352
95 Synopsys Inc $28,418,100 0.1% 71,676
96 Nexgen Energy Ltd $28,263,064 0.1% 2,436,471
97 Walmart Inc $26,553,913 0.1% 213,662
98 Teradyne Inc $26,530,205 0.1% 89,490
99 Nike Inc $24,930,195 0.1% 471,984
100 Sterling Infrastructure Inc $24,008,567 0.1% 58,950
101 Hudbay Minerals Inc $23,774,254 0.1% 1,138,071
102 Tencent Music Entmt Group $23,771,073 0.1% 2,561,538
103 Seagate Technology Hldngs Pl $22,762,823 0.1% 58,104
104 Micron Technology Inc $22,591,361 0.1% 66,870
105 Western Digital Corp $22,475,555 0.1% 83,092
106 Xpeng Inc $20,438,545 0.1% 1,194,538
107 Sandisk Corp $19,367,705 0.1% 30,484
108 Lumentum Hldgs Inc $18,219,756 0.1% 25,926
109 Ciena Corp $17,251,777 0.1% 44,437
110 Analog Devices Inc $16,276,042 0.1% 51,160
111 Argan Inc $16,032,317 0.1% 29,436
112 Ero Copper Corp $15,396,418 0.1% 579,162
113 Denison Mines Corp $13,163,345 0.0% 3,728,993
114 Cummins Inc $12,384,682 0.0% 23,019
115 Vnet Group Inc $12,131,940 0.0% 1,446,000
116 Celestica Inc $10,832,286 0.0% 38,456
117 Uranium Energy Corp $10,386,617 0.0% 769,379
118 Wix Com Ltd $10,383,450 0.0% 115,282
119 Energy Fuels Inc $10,182,642 0.0% 557,953
120 York Space Systems Inc $9,976,500 0.0% 450,000
121 Blaize Hldgs Inc $4,721,560 0.0% 2,594,264
122 Carpenter Technology Corp $4,269,827 0.0% 10,833
123 Asml Hldg Nv $3,290,188 0.0% 2,491
124 Ses Ai Corporation $3,040,605 0.0% 3,160,712
125 Atour Lifestyle Hldgs Ltd $2,880,162 0.0% 78,244
126 Taseko Mines Ltd $2,738,964 0.0% 423,901
127 Keurig Dr Pepper Inc $2,627,866 0.0% 99,805
128 Figure Technology Solutio $1,414,866 0.0% 41,675
129 Magnum Ice Cream Co Nv $1,150,637 0.0% 79,000
130 Caris Life Sciences Inc $218,762 0.0% 12,235
131 Pony Ai Inc $136,974 0.0% 14,510
132 Rapid Micro Biosystems Inc $49,527 0.0% 21,818

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

CategoryItemValueYearSource
asset13F equity portfolio (disclosed long positions) $30,484,854,533 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.