Security Name: TAIWAN SEMICONDUCTOR-SP ADR
Ticker: TSM
Security Type: ADR
Exchange: US
CUSIP: 874039100

Historical Stats

Period Total Value Value Change Total Holders Holder Change
2024-06-30 $145.53B - 2,062 -
2024-09-30 $140.88B -3.2% 2,140 +3.8%
2024-12-31 $161.10B +14.4% 1,869 -12.7%

Current Major Holders for Period: 2024-12-31

Institution Value Shares % of Portfolio
CONSOLIDATED PRESS INTERNATIONAL HOLDINGS LTD $400.2M 2,026K 60.3%
FENGHE FUND MANAGEMENT PTE. LTD. $88.3M 447K 26.1%
LANSDOWNE PARTNERS LLP $328.2M 1,662K 23.9%
TOMS CAPITAL INVESTMENT MANAGEMENT LP $596.7M 3,021K 21.7%
PINNACLE INVESTMENT MANAGEMENT LTD $26.7M 135K 19.5%
TIGER PACIFIC CAPITAL LP $70.0M 354K 18.7%
NOKED ISRAEL LTD $92.4M 467K 18.2%
KEYWISE CAPITAL MANAGEMENT LTD $204.9M 1,037K 16.8%
CREDIT CAPITAL INVESTMENTS LLC $12.2M 61K 15.8%
ALBAR CAPITAL PARTNERS LLP $65.7M 332K 15.8%
HIMENSION CAPITAL PTE. LTD. $219.9M 1,113K 15.2%
MARTIN CURRIE LTD $379.8M 1,923K 14.0%
AMS CAPITAL LTDA $25.5M 129K 12.8%
NORTH OF SOUTH CAPITAL LLP $102.0M 516K 12.4%
LIGHT STREET CAPITAL MANAGEMENT, LLC $67.4M 341K 12.4%
TOTEM POINT MANAGEMENT, LLC $11.5M 58K 12.1%
PELHAM CAPITAL LTD. $20.7M 105K 12.1%
SANDERS CAPITAL, LLC $8270.4M 41,877K 12.1%
BIGLARI, SARDAR $5.3M 26K 12.0%
MARCHO PARTNERS LLP $44.1M 223K 11.8%
IN-DEPTH PARTNERS, LLC $10.7M 54K 11.3%
VOYAGER GLOBAL MANAGEMENT LP $271.5M 1,375K 10.8%
LIGHT STREET CAPITAL MANAGEMENT, LLC $58.8M 297K 10.8%
TALOS ASSET MANAGEMENT LP $44.0M 223K 10.4%
VALUE STAR ASSET MANAGEMENT LTD $3.2M 16K 10.0%

Similar Securities

Ticker Exchange Security Similarity Score Common Holders Total Holders
SMI US VANECK HIP SUSTAINABLE MUNI 0.200 2 10
UNCRY US UNICREDIT SPA-ADR 0.182 2 11
EADSY US AIRBUS SE - UNSP ADR 0.143 2 14
AXAHY US AXA -SPONS ADR 0.133 2 15
APTV US APTIV PLC 0.091 2 22
TCEHY US TENCENT HOLDINGS LTD-UNS ADR 0.080 2 25
SDZNY US SANDOZ GROUP AG-ADR 0.074 2 27
LVMUY US LVMH MOET HENNESSY-UNSP ADR 0.073 3 41
MSFT US MICROSOFT CORP 0.072 301 4177
AMZN US AMAZON.COM INC 0.068 272 3975
META US META PLATFORMS INC-CLASS A 0.067 223 3331
BNTC US BENITEC BIOPHARMA INC 0.067 2 30
KMI 4.75 03/31/28 NEW YORK EL PASO ENERGY CAP TRST 0.065 2 31
NVDA US NVIDIA CORP 0.064 234 3653
GOOGL US ALPHABET INC-CL A 0.064 225 3527
BTDR US BITDEER TECHNOLOGIES GROUP-A 0.061 7 114
RERE US ATRENEW INC 0.060 3 50
PDD US PDD HOLDINGS INC 0.058 30 513
AVGO US BROADCOM INC 0.057 158 2753
YMM US FULL TRUCK ALLIANCE -SPN ADR 0.056 10 177
BEKE US KE HOLDINGS INC-ADR 0.056 15 266
AAPL US APPLE INC 0.056 223 3956
HDB US HDFC BANK LTD-ADR 0.056 29 520
HTHT 3 05/01/26 TRACE H WORLD GROUP LTD 0.056 2 36
VINP US VINCI PARTNERS INVESTMENTS-A 0.056 2 36
SmartTypes

Empowering investors with intelligent data analytics and market insights.

Quick Links
Connect With Us