
E FUND MANAGEMENT (HONG KONG) CO., LTD.
Latest 13F filing data - Q3 2025
Holdings (Top positions)
| Stock | Ticker | ||
|---|---|---|---|
![]() | CTSH | 603 | $40.44K |
![]() | ASML | 569 | $550.84K |
![]() | PANW | 538 | $109.55K |
![]() | MCHP | 517 | $33.20K |
![]() | BE | 501 | $42.37K |
![]() | AZN | 466 | $35.75K |
![]() | NOW | 464 | $427.01K |
![]() | CCEP | 446 | $40.32K |
![]() | AMGN | 439 | $123.89K |
![]() | ADI | 421 | $103.44K |
![]() | APP | 406 | $291.73K |
![]() | CTAS | 389 | $79.85K |
![]() | LIN | 389 | $184.78K |
![]() | COST | 380 | $351.74K |
![]() | PCAR | 371 | $36.48K |
![]() | GFS | 370 | $13.26K |
![]() | AEP | 370 | $41.63K |
![]() | TRI | 369 | $57.32K |
![]() | HD | 369 | $149.51K |
![]() | ADBE | 352 | $124.17K |

Cognizant Technology Solutions Corporation
CTSH
Shares Held
603
Value
$40.44K

ASML Holding N.V.
ASML
Shares Held
569
Value
$550.84K

Palo Alto Networks, Inc.
PANW
Shares Held
538
Value
$109.55K

Microchip Technology Incorporated
MCHP
Shares Held
517
Value
$33.20K

Bloom Energy Corporation
BE
Shares Held
501
Value
$42.37K

AstraZeneca PLC
AZN
Shares Held
466
Value
$35.75K

ServiceNow, Inc.
NOW
Shares Held
464
Value
$427.01K

Coca-Cola Europacific Partners PLC
CCEP
Shares Held
446
Value
$40.32K

Amgen Inc.
AMGN
Shares Held
439
Value
$123.89K

Analog Devices, Inc.
ADI
Shares Held
421
Value
$103.44K

AppLovin Corporation
APP
Shares Held
406
Value
$291.73K

Cintas Corporation
CTAS
Shares Held
389
Value
$79.85K

Linde plc
LIN
Shares Held
389
Value
$184.78K

Costco Wholesale Corporation
COST
Shares Held
380
Value
$351.74K

PACCAR Inc
PCAR
Shares Held
371
Value
$36.48K

GLOBALFOUNDRIES Inc.
GFS
Shares Held
370
Value
$13.26K

American Electric Power Company, Inc.
AEP
Shares Held
370
Value
$41.63K

Thomson Reuters Corporation
TRI
Shares Held
369
Value
$57.32K

The Home Depot, Inc.
HD
Shares Held
369
Value
$149.51K

Adobe Inc.
ADBE
Shares Held
352
Value
$124.17K
