People / Saudi Public Investment Fund

Saudi Public Investment Fund

Saudi Arabia PIF · sovereign fund

$23,813,131,505disclosed portfolio (13F)
56holdings
0disclosed trades
Portfolio allocation · all 56 holdings — drag the scrollbar ↕

All holdings (56)

top 10 = 84% of disclosed value · scroll for the full list ↓

#HoldingValue% of portfolioShares
1 Uber Technologies Inc $6,796,022,475 28.5% 72,840,541
2 Electronic Arts Inc $3,961,826,740 16.6% 24,807,932
3 Lucid Group Inc $3,736,575,123 15.7% 1,770,888,684
4 Take-Two Interactive Softwar $2,772,055,038 11.6% 11,414,680
5 Arm Holdings Plc $1,450,371,102 6.1% 8,967,300
6 Cummins Inc $358,801,795 1.5% 1,095,578
7 Unitedhealth Group Inc $309,599,028 1.3% 992,400
8 Eli Lilly & Co $274,628,419 1.2% 352,300
9 Linde Plc $204,726,693 0.9% 436,350
10 Nvidia Corporation $191,231,096 0.8% 1,210,400
11 Vertex Pharmaceuticals Inc $190,233,960 0.8% 427,300
12 Mastercard Incorporated $188,418,482 0.8% 335,300
13 Schwab Charles Corp $186,923,388 0.8% 2,048,700
14 Pdd Holdings Inc $157,565,525 0.7% 1,505,499
15 Home Depot Inc $154,135,456 0.6% 420,400
16 Merck & Co Inc $150,316,924 0.6% 1,898,900
17 Nextera Energy Inc $133,522,428 0.6% 1,923,400
18 Advanced Micro Devices Inc $133,073,820 0.6% 937,800
19 Alphabet Inc $131,626,187 0.6% 746,900
20 Apple Inc $131,431,902 0.6% 640,600
21 Servicenow Inc $127,687,536 0.5% 124,200
22 Progressive Corp $122,008,392 0.5% 457,200
23 Amazon Com Inc $119,128,770 0.5% 543,000
24 Booking Holdings Inc $117,521,572 0.5% 20,300
25 Mercadolibre Inc $111,079,275 0.5% 42,500
26 Adobe Inc $108,519,840 0.5% 280,500
27 The Cigna Group $97,785,564 0.4% 295,800
28 Bank America Corp $94,654,196 0.4% 2,000,300
29 Gilead Sciences Inc $93,197,322 0.4% 840,600
30 Broadcom Inc $88,318,260 0.4% 320,400
31 Netflix Inc $77,535,627 0.3% 57,900
32 Air Prods & Chems Inc $75,638,620 0.3% 268,165
33 Astrazeneca Plc $70,921,212 0.3% 1,014,900
34 Visa Inc $69,838,335 0.3% 196,700
35 Chubb Limited $68,518,780 0.3% 236,500
36 Applied Matls Inc $66,838,857 0.3% 365,100
37 Citigroup Inc $62,571,712 0.3% 735,100
38 Asml Holding N V $59,783,694 0.3% 74,600
39 Claritev Corporation $57,822,813 0.2% 1,281,250
40 Beone Medicines Ltd $54,992,736 0.2% 227,177
41 Analog Devices Inc $49,341,546 0.2% 207,300
42 Microsoft Corp $46,507,835 0.2% 93,500
43 Avery Dennison Corp $40,649,731 0.2% 231,662
44 Salesforce Inc $40,412,658 0.2% 148,200
45 Hca Healthcare Inc $40,033,950 0.2% 104,500
46 Kkr & Co Inc $38,006,671 0.2% 285,700
47 Bloom Energy Corp $36,090,663 0.2% 1,508,807
48 Jpmorgan Chase & Co. $33,542,587 0.1% 115,700
49 Coca Cola Co $32,736,025 0.1% 462,700
50 Mckesson Corp $24,328,296 0.1% 33,200
51 Walmart Inc $24,220,106 0.1% 247,700
52 Cme Group Inc $23,345,014 0.1% 84,700
53 Intercontinental Exchange In $18,640,552 0.1% 101,600
54 Pinterest Inc $7,530,313 0.0% 209,992
55 Prologis Inc. $260,803 0.0% 2,481
56 Allurion Technologies Inc $36,061 0.0% 1,148,436

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

CategoryItemValueYearSource
asset13F equity portfolio (disclosed long positions) $23,813,131,505 2025 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.