People / Mubadala (Abu Dhabi)

Mubadala (Abu Dhabi)

UAE · sovereign fund

$20,491,642,156disclosed portfolio (13F)
71holdings
0disclosed trades
Portfolio allocation · all 71 holdings — drag the scrollbar ↕

All holdings (71)

top 10 = 98% of disclosed value · scroll for the full list ↓

#HoldingValue% of portfolioShares
1 Globalfoundries Inc $18,816,942,543 91.8% 423,042,773
2 Ishares Bitcoin Trust Etf $565,616,051 2.8% 14,721,917
3 Blue Owl Technology Fin Corp $360,926,783 1.8% 29,130,491
4 Arm Holdings Plc $208,306,509 1.0% 1,376,960
5 Nextdecade Corp $108,820,840 0.5% 14,206,376
6 Klarna Group Plc $39,160,803 0.2% 2,991,658
7 Aris Mining Corporation $32,295,644 0.2% 1,739,130
8 Micron Technology Inc $14,910,569 0.1% 44,135
9 Bristol-Myers Squibb Co $14,157,954 0.1% 233,437
10 Ionq Inc $12,354,232 0.1% 428,520
11 Broadcom Inc $12,241,121 0.1% 39,550
12 Keycorp $12,027,915 0.1% 599,896
13 Western Digital Corp $11,896,150 0.1% 43,980
14 Evotec Ag $11,494,253 0.1% 4,597,701
15 Quantum Computing Inc $10,873,348 0.1% 1,587,350
16 Texas Instrs Inc $10,760,986 0.1% 55,429
17 D-Wave Quantum Inc $10,748,041 0.1% 744,840
18 Palantir Technologies Inc $9,968,397 0.0% 68,146
19 Lam Research Corp $9,865,751 0.0% 46,175
20 Shopify Inc $9,762,663 0.0% 82,302
21 Asml Hldg Nv $9,735,838 0.0% 7,371
22 Apple Inc $9,652,649 0.0% 38,034
23 Rigetti Computing Inc $8,698,510 0.0% 619,552
24 Aercap Holdings Nv $8,050,957 0.0% 58,689
25 Kinross Gold Corp $7,730,380 0.0% 253,289
26 Barrick Mng Corp $6,941,071 0.0% 170,166
27 Chime Finl Inc $6,779,361 0.0% 361,952
28 Gdev Inc $5,265,581 0.0% 3,809,794
29 Gilead Sciences Inc $5,155,714 0.0% 36,993
30 Fedex Corp $5,101,210 0.0% 14,322
31 Merck & Co Inc $4,742,313 0.0% 39,424
32 Cummins Inc $4,426,291 0.0% 8,227
33 Newmont Corp $4,361,284 0.0% 40,289
34 Abbvie Inc $4,306,737 0.0% 19,802
35 The Cigna Group $4,141,827 0.0% 15,527
36 Match Group Inc New $4,132,768 0.0% 134,574
37 General Dynamics Corp $4,112,805 0.0% 11,983
38 United Parcel Svcs Inc $4,102,249 0.0% 41,698
39 Us Bancorp $3,951,876 0.0% 75,983
40 Cvs Health Corp $3,935,736 0.0% 54,800
41 Medtronic Plc $3,820,918 0.0% 44,096
42 Invesco Ltd $3,790,090 0.0% 156,035
43 American Intl Group Inc $3,744,139 0.0% 49,756
44 Zebra Technologies Corporati $3,605,166 0.0% 17,243
45 Skyworks Solutions Inc $3,564,395 0.0% 66,562
46 Solventum Corp $3,474,482 0.0% 53,208
47 Enersys $3,443,999 0.0% 19,825
48 Universal Hlth Svcs Inc $3,438,372 0.0% 19,212
49 Envista Holdings Corporation $3,351,529 0.0% 132,106
50 Msc Indl Direct Inc $3,318,583 0.0% 35,966
51 Janus Henderson Group Plc $3,274,735 0.0% 63,748
52 United Bankshares Inc West V $3,240,866 0.0% 78,244
53 Federated Hermes Inc $3,217,215 0.0% 56,731
54 Aptiv Plc $3,211,693 0.0% 54,599
55 Alcoa Corp $3,164,472 0.0% 47,708
56 Gen Digital Inc $3,107,251 0.0% 165,016
57 Salesforce Inc $3,066,055 0.0% 16,425
58 Sensata Technologies Hldg Pl $3,049,172 0.0% 86,575
59 Associated Banc-Corp $2,974,909 0.0% 115,039
60 Travel Plus Leisure Co $2,865,504 0.0% 41,415
61 Newmarket Corp $2,811,848 0.0% 4,387
62 Affiliated Managers Group $2,784,155 0.0% 10,062
63 Pinnacle Finl Partners Inc $2,701,867 0.0% 31,366
64 Science Applications Intl Co $2,686,141 0.0% 28,299
65 Brinks Co $2,656,037 0.0% 25,630
66 Amkor Technology Inc $2,594,043 0.0% 57,607
67 Ally Finl Inc $2,568,113 0.0% 65,463
68 Commercial Metals Co $2,543,018 0.0% 41,397
69 Maximus Inc $2,184,143 0.0% 34,074
70 Zoominfo Technologies Inc $1,781,508 0.0% 297,911
71 Dell Technologies Inc $1,152,028 0.0% 7,019

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

CategoryItemValueYearSource
asset13F equity portfolio (disclosed long positions) $20,491,642,156 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.