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BSN CAPITAL PARTNERS Ltd

13F filer · CIK 0001911876
Reported Aug 12, 2026
13F portfolio value$2.21BU.S. long equity reported on 13F
Positions24Not reported new · Not reported closed
Net flow last quarterNot reportedBuys minus sells
Top 10 positions weight57.4%Concentration

Holdings

13F · last 4 quarters free
Scroll for earlier quarters
CompanyValue% of portfolio% of companyPOSITION CHANGE qoq %First reported
Q2 2026Reported Aug 12, 202624 positions
NVDANvidia Corp$274M12.41%0.01%Not reportedQ4 2020
GSGoldman Sachs Group Inc$218M9.87%0.07%NewQ2 2026
AAPLApple Inc.$169M7.62%0.00%Not reportedQ4 2020
AVGOBroadcom Inc.$138M6.25%0.01%Not reportedQ3 2024
GOOGAlphabet Inc.$120M5.43%Not reportedNot reportedQ4 2018
GOOGLAlphabet Inc.$94.9M4.29%0.00%Not reportedQ3 2021
IBNIcici Bank Ltd$87.7M3.97%Not reportedNewQ2 2026
VALEVale S.A.$69.7M3.15%0.14%NewQ2 2026
LRCXLam Research Corp$49.8M2.25%0.01%NewQ2 2026
COSTCostco Wholesale Corp$48.1M2.17%0.01%NewQ2 2026
SNDKSandisk Corp$47.3M2.14%0.01%NewQ2 2026
CCitigroup Inc$43.1M1.95%0.02%Not reportedQ4 2020
INTCIntel Corp$39.5M1.79%0.01%NewQ2 2026
APHAmphenol Corp$35.8M1.62%0.02%Not reportedQ3 2024
AMZNAmazon Com Inc$34.2M1.55%0.00%Not reportedQ4 2018
MSMorgan Stanley$34.2M1.55%0.01%NewQ2 2026
JPMJPMorgan Chase & Co$33.3M1.51%0.00%NewQ2 2026
QCOMQualcomm Inc$29.7M1.34%0.01%NewQ2 2026
AMATApplied Materials Inc$29.4M1.33%0.01%NewQ2 2026
TXNTexas Instruments Inc$24.2M1.10%0.01%NewQ2 2026
HCAHCA Healthcare, Inc.$21M0.95%0.02%NewQ2 2026
ECLEcolab Inc.$20.1M0.91%0.03%Not reportedQ3 2024
DELLDell Technologies Inc.$16.5M0.75%0.01%Not reportedQ3 2024
TSLATesla, Inc.$5.07M0.23%0.00%Not reportedQ4 2021
Q3 2025Reported Nov 7, 202516 positions
AMZNAmazon Com Inc$384M30.13%0.02%Not reportedQ4 2018
MSFTMicrosoft Corp$269M21.14%0.01%Not reportedQ4 2020
BRK.BBerkshire Hathaway Inc$264M20.74%Not reportedNot reportedQ4 2018
IBITiShares Bitcoin Trust ETF$167M13.10%0.21%Not reportedQ1 2025
NFLXNetflix Inc$80.2M6.29%0.02%Not reportedQ4 2023
TSLATesla, Inc.$55.2M4.33%0.01%Not reportedQ4 2021
AMDAdvanced Micro Devices Inc$38.5M3.02%0.02%Not reportedQ4 2022
ISRGIntuitive Surgical Inc$14.9M1.17%0.01%Not reportedQ1 2025
ACGLArch Capital Group Ltd.$100K0.01%0.00%Not reportedQ2 2025
WBAWalgreens Boots Alliance, Inc.$100K0.01%0.00%Not reportedQ2 2025
AMPAmeriprise Financial Inc$99.9K0.01%0.00%Not reportedQ2 2025
EAElectronic Arts Inc.$99.9K0.01%Not reportedNot reportedQ2 2025
NDSNNordson Corp$99.9K0.01%0.00%Not reportedQ2 2025
DASHDoorDash, Inc.$99.9K0.01%Not reportedNot reportedQ2 2025
SPGIS&P Global Inc.$99.8K0.01%0.00%Not reportedQ2 2025
MCOMoodys Corp$99.8K0.01%0.00%Not reportedQ2 2025
Q2 2025Reported Jul 25, 202516 positions
AMZNAmazon Com Inc$384M30.13%0.02%-35.2%Q4 2018
MSFTMicrosoft Corp$269M21.14%0.01%-32.3%Q4 2020
BRK.BBerkshire Hathaway Inc$264M20.74%Not reported-45.5%Q4 2018
IBITiShares Bitcoin Trust ETF$167M13.10%0.26%Not reportedQ1 2025
NFLXNetflix Inc$80.2M6.29%0.02%-57.5%Q4 2023
TSLATesla, Inc.$55.2M4.33%0.01%-66.7%Q4 2021
AMDAdvanced Micro Devices Inc$38.5M3.02%0.02%-25.0%Q4 2022
ISRGIntuitive Surgical Inc$14.9M1.17%0.01%-68.3%Q1 2025
ACGLArch Capital Group Ltd.$100K0.01%0.00%NewQ2 2025
WBAWalgreens Boots Alliance, Inc.$100K0.01%0.00%NewQ2 2025
AMPAmeriprise Financial Inc$99.9K0.01%0.00%NewQ2 2025
EAElectronic Arts Inc.$99.9K0.01%Not reportedNewQ2 2025
NDSNNordson Corp$99.9K0.01%0.00%NewQ2 2025
DASHDoorDash, Inc.$99.9K0.01%Not reportedNewQ2 2025
SPGIS&P Global Inc.$99.8K0.01%0.00%NewQ2 2025
MCOMoodys Corp$99.8K0.01%0.00%NewQ2 2025
Q1 2025Reported May 14, 20259 positions
AMZNAmazon Com Inc$557M27.13%0.03%+48.5%Q4 2018
BRK.BBerkshire Hathaway Inc$522M25.41%Not reported-27.5%Q4 2018
MSFTMicrosoft Corp$322M15.69%0.01%Not reportedQ4 2020
NFLXNetflix Inc$149M7.23%0.04%+70.8%Q4 2023
AAPLApple Inc.$140M6.80%0.00%-73.7%Q4 2020
TSLATesla, Inc.$139M6.77%0.02%-23.3%Q4 2021
IBITiShares Bitcoin Trust ETF$133M6.48%0.28%NewQ1 2025
ISRGIntuitive Surgical Inc$49.4M2.41%0.02%NewQ1 2025
AMDAdvanced Micro Devices Inc$42.6M2.07%0.02%+92.3%Q4 2022
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