PUBLIC INVESTMENT FUNDPUBLIC INVESTMENT FUND

Institutional investor · Portfolio as of Q2 2021

SEC EDGAR SourceSEC Filings

Top Holdings13 positions

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Activity:
Stock
Shares
Value
Weight
Avg Buy
Est. P&L
Held
Conviction

UBER TECHNOLOGIES INC

72.8M$3.7B22.9%$46.38+9.44%
9 qtrssince 2019-Q2
Unchanged
0

ACTIVISION BLIZZARD INC

37.9M$3.6B22.7%
3 qtrssince 2020-Q4
Increased
73
XLUXLU
ETF

UTILITIES SELECT SECTOR SPDR

33M$2.1B13.1%$23.73+16.39%
5 qtrssince 2020-Q2
Unchanged
0

ELECTRONIC ARTS INC

14.2M$2B12.8%$134.83+4.31%
3 qtrssince 2020-Q4
Unchanged
0

CARNIVAL CORP LTD

50.8M$1.3B8.4%$13.98+85.61%
6 qtrssince 2020-Q1
Unchanged
0

LIVE NATION ENTERTAINMENT IN

12.6M$1.1B6.9%$44.97+96.73%
6 qtrssince 2020-Q1
Unchanged
0

TAKE-TWO INTERACTIVE SOFTWRE

5.6M$998.4M6.3%$197.70-9.91%
3 qtrssince 2020-Q4
Unchanged
0
MPLNMPLNDelisted

MULTIPLAN CORPORATION

51.3M$487.9M3.1%
3 qtrssince 2020-Q4
Unchanged
0

AUTOMATIC DATA PROCESSING

1.5M$294.3M1.8%$127.14+41.50%
6 qtrssince 2020-Q1
Unchanged
0

NOVAGOLD RESOURCES INC

16.1M$129.3M0.8%$11.45-30.23%
4 qtrssince 2020-Q3
Unchanged
0

COUPANG INC

2.9M$119.5M0.7%$48.75-13.52%
2 qtrssince 2021-Q1
Unchanged
0
CPUH/UCPUH/UDelisted

COMPUTE HEALTH ACQUISITIN CO

7.5M$73.7M0.5%
2 qtrssince 2021-Q1
Unchanged
0
??MULTIPLAN CORPORATIONDelisted
Warrant
2.5M$5.7M0.0%
3 qtrssince 2020-Q4
Unchanged
0
$15.9B
AUM
13
Positions
Q2 2021
Filing
Rating · 3.0
Quarterly Portfolio Change
+4%Q2'20$10.1B-30%Q3'20$7B+81%Q4'20$12.8B+21%Q1'21$15.4B+3%Q2'21$15.9B
Activity profile
$ moved · Q2'21
New0%Increased100%Decreased0%Exited0%
Composition
Equity vs derivatives
Equity100%Puts0%Calls0%
Holding period
Avg 3.2 quarters
<1Q0%1-4Q62%1-2Y31%2Y+8%

PUBLIC INVESTMENT FUND manages $15.9B across 13 positions as of Q2 2021. Top holdings: UBER (22.9%), ATVI (22.7%), XLU (13.1%). Fund DNA: Concentrated Value. HoldingsIntel Rating: 3/5.0.

Q2 2021 Summary

Increased 1. Top move: ATVI (INCREASED, conviction 73). Portfolio: $15.9B across 13 positions.

Top holdings by portfolio weight

Total AUM$16B
UBER22.90%
ATVI22.67%
XLU13.08%
EA12.82%
CCL8.40%
LYV6.90%
TTWO6.26%
MPLN3.06%
ADP1.85%
NG0.81%
Other0.75%

Portfolio allocation by GICS sector

Sectors5
Unknown39.29%
Communication Services25.99%
Technology24.75%
Consumer Cyclical9.16%
Basic Materials0.81%

Behavioral investing profile

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Concentrated Value- primarily Unknown, Communication Services, Technology
Compare DNA across all funds
7-dimension quality assessment
Solid(3.0 / 5.0)
Track Record60
Conviction39
Concentration100
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Position Outcomes

Best and worst performing positions by estimated return

Cost basis estimates based on full filing history using quarter-end prices. Actual transaction prices are not disclosed in 13F filings.

Similar Funds

Funds with similar investing DNA

Accumulation Streaks

Positions with 2+ consecutive quarters of increases - persistent directional conviction.

No active accumulation streaks detected for this filer.

Streaks require 2+ consecutive quarters of increased positions in the most recent period.

Data sourced from SEC EDGAR 13F filings. Not financial advice. Full disclaimer

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