13F Filings for PBCay One RSC Ltd (CIK: 2013737)

View the most recent portfolio holdings disclosed by PBCay One RSC Ltd in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
QQQ - Invesco QQQ Trust Series 1(Class: UNIT SER 1)1.01M $474.60M -New 1.01M ($474.60M)
MSFT - Microsoft Corp(Class: COM)420.60K $157.89M -New 420.60K ($157.89M)
AMZN - Amazon.com Inc(Class: Com)751.30K $142.94M -New 751.30K ($142.94M)
SHW - Sherwin-Williams Co(Class: COM)249.50K $87.12M -New 249.50K ($87.12M)
TSM - Taiwan Semiconductor Manufacturing Co Ltd(Class: ADR)446.38K $74.10M -New 446.38K ($74.10M)
AVGO - Broadcom Inc(Class: Com)398.67K $66.75M -New 398.67K ($66.75M)
INTU - Intuit Inc(Class: COM)99.02K $60.80M -New 99.02K ($60.80M)
DHR - Danaher Corp(Class: Com)271.90K $55.74M -New 271.90K ($55.74M)
SPGI - SP Global Inc(Class: COM)78.90K $40.09M -New 78.90K ($40.09M)
FICO - Fair Isaac Corp(Class: Com)21.40K $39.47M -New 21.40K ($39.47M)
META - Meta Platforms Inc(Class: CL A)65K $37.46M -New 65K ($37.46M)
GEV - GE Vernova Inc(Class: Com)91.20K $27.84M -New 91.20K ($27.84M)
MELI - MercadoLibre Inc(Class: ADR)9.34K $18.22M -New 9.34K ($18.22M)
NVDA - NVIDIA Corp(Class: COM)146.70K $15.90M -New 146.70K ($15.90M)
N/A - n/a(Class: na)0 $0 -N/A -