Ranking by valuation of known public assets
NVIDIA CORPORATION | 86,752,723 | 78 386 M |
SPOTIFY TECHNOLOGY SA | 209,597,620 | 55 313 M |
SPOTIFY TECHNOLOGY SA | 21,476,145 | 5 668 M |
PDD HOLDINGS INC. CLASS A | 1,409,744,080 | 40 971 M |
SHENZHEN FRD SCIENCE & TECHNOLOGY CO., LTD. CLASS A | 42,987,729 | 102 M |
SPOTIFY TECHNOLOGY SA | 134,244,070 | 35 427 M |
SPOTIFY TECHNOLOGY SA | 13,424,407 | 3 543 M |
ESSILORLUXOTTICA SA | 144,685,679 | 32 768 M |
ASSICURAZIONI GENERALI S.P.A. | 152,341,799 | 3 860 M |
UNICREDIT S.P.A. | 43,056,324 | 1 636 M |
AMAZON.COM, INC. | 200,795,547 | 36 220 M |
BLACKSTONE INC. | 231,924,793 | 30 468 M |
PJT Partners Holdings LP | 4,600,074 | 434 M |
PJT PARTNERS, INC. CLASS A | 1,175,663 | 111 M |
PJT PARTNERS, INC. | 7 | 660 |
NETEASE INC | 1,450,300,000 | 30 168 M |
YOUDAO, INC. | 29,424,222 | 118 M |
YOUDAO, INC. | 1,175,000 | 5 M |
SOFTBANK GROUP CORP. | 499,827,532 | 29 598 M |
WDI CORPORATION | 36,000 | 824 210 |
VOLVO CAR AB CLASS B | 2,343,396,227 | 8 894 M |
MERCEDES-BENZ GROUP AG | 103,619,340 | 8 260 M |
GEELY AUTOMOBILE HOLDINGS LIMITED | 4,160,858,000 | 4 912 M |
VOLVO AB CLASS A | 88,474,625 | 2 439 M |
VOLVO AB CLASS B | 49,465,849 | 1 342 M |
LIFAN TECHNOLOGY (GROUP) CO., LTD. | 900,000,000 | 396 M |
ASTON MARTIN LAGONDA GLOBAL HOLDINGS PLC | 132,530,859 | 284 M |
ZHEJIANG QIANJIANG MOTORCYCLE CO., LTD. CLASS A | 135,000,000 | 258 M |
HONBRIDGE HOLDINGS LIMITED | 6,071,568,675 | 209 M |
HANMA TECHNOLOGY GROUP CO., LTD. CLASS A | 183,255,152 | 129 M |
ZHEJIANG QIANJIANG MOTORCYCLE CO., LTD. | 58,000,000 | 111 M |
HUNAN CORUN NEW ENERGY CO. LTD. CLASS A | 173,257,906 | 100 M |
FARASIS ENERGY (GAN ZHOU) CO. LTD. CLASS A | 42,800,000 | 70 M |
XIAO-I CORP. | 1,444,752 | 8 M |
CONTEMPORARY AMPEREX TECHNOLOGY CO., LTD. CLASS A | 1,025,064,949 | 26 970 M |
JIANGSU LEADMICRO NANO TECHNOLOGY CO., LTD. CLASS A | 5,424,368 | 27 M |
PT BAYAN RESOURCES TBK | 20,329,002,070 | 24 361 M |
METIS ENERGY LIMITED | 551,491,527 | 9 M |
FAST RETAILING CO., LTD. | 72,501,000 | 22 582 M |
WIPRO LIMITED | 3,808,420,449 | 21 921 M |
TENARIS S.A. | 713,605,187 | 14 115 M |
TERNIUM S.A. | 1,303,757,332 | 5 426 M |
MIDEA GROUP CO. LTD. CLASS A | 2,169,178,713 | 19 274 M |
GUANGZHOU SIE CONSULTING CO., LTD. CLASS A | 21,990,400 | 56 M |
STAR LAKE BIOSCIENCE CO., INC. ZHAOQING GUANGDONG | 0 | - |
INVESTOR AB CLASS A | 671,561,423 | 16 719 M |
SKF AB CLASS B | 52,767,539 | 1 078 M |
STORA ENSO OYJ CLASS A | 63,123,386 | 883 M |
SKF AB CLASS A | 15,550,000 | 318 M |
STORA ENSO OYJ CLASS R | 17,000,000 | 237 M |
INVESTOR AB CLASS B | 2,538,402 | 64 M |
ROCHE HOLDING LTD | 69,318,000 | 18 701 M |
MOGU, INC. CLASS B | 303,234,004 | 17 193 M |
MOGU, INC. CLASS A | 279,522,923 | 2 M |
GREAT WALL MOTOR CO., LTD. CLASS A | 5,115,000,000 | 16 164 M |
GREAT WALL MOTOR CO., LTD. CLASS H | 37,998,500 | 42 M |
CK HUTCHISON HOLDINGS LTD | 1,162,632,010 | 5 615 M |
CK ASSET HOLDINGS LIMITED | 1,160,195,710 | 4 773 M |
CENOVUS ENERGY INC. | 231,194,699 | 4 622 M |
CK INFRASTRUCTURE HOLDINGS LIMITED | 5,655,000 | 33 M |
CHROMADEX CORPORATION | 3,467,778 | 12 M |
HUTCHISON TELECOMMUNICATIONS HONG KONG HOLDINGS LIMITED | 153,280 | 19 781 |
PING AN INSURANCE (GROUP) COMPANY OF CHINA, LTD. CLASS H | 1,040,539,341 | 4 394 M |
CP AXTRA PUBLIC COMPANY LIMITED | 4,334,434,945 | 3 712 M |
ITOCHU CORPORATION | 78,000,000 | 3 332 M |
CHAROEN POKPHAND FOODS PUBLIC CO. LTD. | 2,898,125,385 | 1 469 M |
TRUE CORPORATION PUBLIC COMPANY LIMITED | 5,738,007,500 | 1 195 M |
CP ALL PUBLIC COMPANY LIMITED | 96,204,000 | 144 M |
HONMA GOLF LTD. | 181,296,500 | 75 M |
CP TOWER GROWTH LEASEHOLD PROPERTY FUND | 301,333,300 | 43 M |
DON MUANG TOLLWAY PUBLIC COMPANY LIMITED | 30,452,000 | 10 M |
GENERATION PASS CO. LTD. | 325,600 | 524 936 |
S.F. HOLDING CO., LTD. CLASS A | 2,676,927,139 | 13 482 M |
CHONGQING HONGJIU FRUIT CO. LTD. | 8,493,237 | 2 M |
CONTEMPORARY AMPEREX TECHNOLOGY CO., LTD. | 349,515,982 | 9 196 M |
CONTEMPORARY AMPEREX TECHNOLOGY CO., LTD. CLASS A | 116,505,328 | 3 065 M |
NIO, INC. (CHINA) | 148,500,000 | 5 346 M |
UXIN LTD SENIOR CONVERTIBLE PREFERRED SHARES | 918,189,006 | 644 M |
NIO INC. CLASS A | 16,967,776 | 81 M |
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