Ranking by valuation of known public assets
NVIDIA CORPORATION | 9,34,63,791 | 80 755 M |
SPOTIFY TECHNOLOGY SA | 20,95,97,620 | 60 578 M |
SPOTIFY TECHNOLOGY SA | 2,14,76,145 | 6 207 M |
PDD HOLDINGS INC. CLASS A | 1,40,97,44,080 | 44 333 M |
SHENZHEN FRD SCIENCE & TECHNOLOGY CO., LTD. CLASS A | 4,29,87,729 | 90 M |
SPOTIFY TECHNOLOGY SA | 13,42,44,070 | 38 799 M |
SPOTIFY TECHNOLOGY SA | 1,34,24,407 | 3 880 M |
ESSILORLUXOTTICA SA | 14,46,85,679 | 31 065 M |
ASSICURAZIONI GENERALI S.P.A. | 15,23,41,799 | 3 730 M |
UNICREDIT S.P.A. | 4,30,56,324 | 1 592 M |
AMAZON.COM, INC. | 20,07,95,547 | 35 139 M |
BLACKSTONE INC. | 23,19,24,793 | 28 610 M |
PJT Partners Holdings LP | 46,00,074 | 438 M |
PJT PARTNERS, INC. CLASS A | 11,76,706 | 112 M |
CONTEMPORARY AMPEREX TECHNOLOGY CO., LTD. CLASS A | 1,02,50,64,949 | 28 679 M |
JIANGSU LEADMICRO NANO TECHNOLOGY CO., LTD. CLASS A | 54,24,368 | 24 M |
MERCEDES-BENZ GROUP AG | 10,36,19,340 | 7 860 M |
VOLVO CAR AB CLASS B | 2,34,33,96,227 | 7 458 M |
GEELY AUTOMOBILE HOLDINGS LIMITED | 4,16,08,58,000 | 5 070 M |
VOLVO AB CLASS A | 8,84,74,625 | 2 360 M |
ZEEKR Intelligent Technology Holding Ltd. | 58,20,00,000 | 1 645 M |
VOLVO AB CLASS B | 4,94,65,849 | 1 277 M |
POLESTAR AUTOMOTIVE HOLDING UK PLC | 77,81,21,162 | 910 M |
LIFAN TECHNOLOGY (GROUP) CO., LTD. | 90,00,00,000 | 399 M |
ZHEJIANG QIANJIANG MOTORCYCLE CO., LTD. CLASS A | 13,50,00,000 | 321 M |
ASTON MARTIN LAGONDA GLOBAL HOLDINGS PLC | 13,25,30,859 | 246 M |
HONBRIDGE HOLDINGS LIMITED | 6,07,15,68,675 | 198 M |
ZHEJIANG QIANJIANG MOTORCYCLE CO., LTD. | 5,80,00,000 | 138 M |
HANMA TECHNOLOGY GROUP CO., LTD. CLASS A | 18,32,55,152 | 122 M |
HUNAN CORUN NEW ENERGY CO. LTD. CLASS A | 17,32,57,906 | 105 M |
FARASIS ENERGY (GAN ZHOU) CO. LTD. CLASS A | 4,28,00,000 | 73 M |
XIAO-I CORP. | 14,44,752 | 6 M |
NETEASE INC | 1,45,03,00,000 | 27 870 M |
YOUDAO, INC. | 2,94,24,222 | 106 M |
YOUDAO, INC. | 11,75,000 | 4 M |
SOFTBANK GROUP CORP. | 49,98,27,532 | 25 140 M |
WDI CORPORATION | 36,000 | 734 344 |
PT BAYAN RESOURCES TBK | 20,32,90,02,070 | 23 692 M |
METIS ENERGY LIMITED | 55,14,91,527 | 20 M |
WIPRO LIMITED | 3,80,84,20,449 | 21 102 M |
MIDEA GROUP CO. LTD. CLASS A | 2,16,91,78,713 | 20 902 M |
GUANGZHOU SIE CONSULTING CO., LTD. CLASS A | 2,19,90,400 | 53 M |
STAR LAKE BIOSCIENCE CO., INC. ZHAOQING GUANGDONG | 0 | - |
INVESTOR AB CLASS A | 67,15,61,423 | 16 569 M |
SKF AB CLASS B | 5,27,67,539 | 1 106 M |
STORA ENSO OYJ CLASS A | 6,31,23,386 | 847 M |
SKF AB CLASS A | 1,55,50,000 | 325 M |
STORA ENSO OYJ CLASS R | 1,70,00,000 | 228 M |
INVESTOR AB CLASS B | 25,38,402 | 63 M |
GREAT WALL MOTOR CO., LTD. CLASS A | 5,11,50,00,000 | 18 506 M |
GREAT WALL MOTOR CO., LTD. CLASS H | 3,79,98,500 | 58 M |
FAST RETAILING CO., LTD. | 6,93,21,852 | 18 303 M |
ROCHE HOLDING LTD | 6,93,18,000 | 18 200 M |
MOGU, INC. CLASS B | 30,32,34,004 | 17 557 M |
MOGU, INC. CLASS A | 27,95,22,923 | 2 M |
TENARIS S.A. | 71,36,05,187 | 11 960 M |
TERNIUM S.A. | 1,30,37,57,332 | 5 562 M |
CK HUTCHISON HOLDINGS LTD | 1,16,26,32,010 | 5 686 M |
CK ASSET HOLDINGS LIMITED | 1,16,01,95,710 | 4 992 M |
CENOVUS ENERGY INC. | 23,11,94,699 | 4 920 M |
CK INFRASTRUCTURE HOLDINGS LIMITED | 56,55,000 | 32 M |
HUTCHISON TELECOMMUNICATIONS HONG KONG HOLDINGS LIMITED | 1,53,280 | 20 185 |
PING AN INSURANCE (GROUP) COMPANY OF CHINA, LTD. CLASS H | 96,44,27,077 | 4 433 M |
CP AXTRA PUBLIC COMPANY LIMITED | 4,33,44,34,945 | 3 801 M |
ITOCHU CORPORATION | 7,80,00,000 | 3 537 M |
CHAROEN POKPHAND FOODS PUBLIC CO. LTD. | 2,89,81,25,385 | 1 548 M |
TRUE CORPORATION PUBLIC COMPANY LIMITED | 5,73,80,07,500 | 1 192 M |
CP ALL PUBLIC COMPANY LIMITED | 9,62,04,000 | 149 M |
HONMA GOLF LTD. | 18,12,96,500 | 77 M |
CP TOWER GROWTH LEASEHOLD PROPERTY FUND | 30,13,33,300 | 42 M |
DON MUANG TOLLWAY PUBLIC COMPANY LIMITED | 3,04,52,000 | 10 M |
GENERATION PASS CO. LTD. | 3,25,600 | 548 304 |
S.F. HOLDING CO., LTD. CLASS A | 2,67,69,27,139 | 13 400 M |
CHONGQING HONGJIU FRUIT CO. LTD. | 84,93,237 | 2 M |
CONTEMPORARY AMPEREX TECHNOLOGY CO., LTD. | 34,95,15,982 | 9 779 M |
CONTEMPORARY AMPEREX TECHNOLOGY CO., LTD. CLASS A | 11,65,05,328 | 3 260 M |
NIO, INC. (CHINA) | 14,85,00,000 | 4 906 M |
UXIN LTD SENIOR CONVERTIBLE PREFERRED SHARES | 91,81,89,006 | 644 M |
NIO INC. CLASS A | 1,69,67,776 | 78 M |
Latest movements: India
Director/Board Member
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