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Disclosed positions
Nan Shan Life Insurance Co., Ltd.: source evidence dated 2026-08-15T03:59:59.999Z.
- Issuer
- ALPHABET INC
- Ticker
- GOOGL
- Class
- CAP STK CL A
- Reported value
- $220,023,417
- Reported amount
- 615,674
- Unit
- SH
- Option
- None
The displayed owner or issuer and source fields identify the receipt to verify; keep reporting and availability dates separate.
What was reported for this quarter?
13F positions are dated quarter-end holdings, with later publication and possible amendments. Read report period and availability before calling them current.
SEC 13F-HR: 0000950103-26-012364Open the effective filing receipt and inspect shares, value and any put/call classification separately.
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Open the effective filing receipt and inspect shares, value and any put/call classification separately.
Browse institutional filingsKeep reporting dates and units beside the answer, and inspect its original citations.
Disclosed positions
See the complete disclosed positions
| ALPHABET INC | GOOGL | CAP STK CL A | $220,023,417 | 615,674 | SH | None |
| APPLE INC | AAPL | COM | $146,313,727 | 505,646 | SH | None |
| NVIDIA CORPORATION | NVDA | COM | $130,570,530 | 652,559 | SH | None |
| MICROSOFT CORP | MSFT | COM | $129,396,162 | 346,888 | SH | None |
| ADVANCED MICRO DEVICES INC | AMD | COM | $127,898,955 | 220,170 | SH | None |
| QUALCOMM INC | QCOM | COM | $119,201,561 | 645,065 | SH | None |
| AMAZON COM INC | AMZN | COM | $112,497,195 | 472,003 | SH | None |
| META PLATFORMS INC | META | CL A | $88,749,156 | 157,555 | SH | None |
| EATON CORP PLC | ETN | SHS | $86,726,925 | 203,527 | SH | None |
| BROADCOM INC | AVGO | COM | $85,184,892 | 225,506 | SH | None |
| PFIZER INC | PFE | COM | $79,611,081 | 3,306,108 | SH | None |
| KINDER MORGAN INC DEL | KMI | COM | $77,075,546 | 2,410,871 | SH | None |
| COSTCO WHOLESALE CORPORATION | COST | COM | $68,187,344 | 72,891 | SH | None |
| JPMORGAN CHASE & CO | JPM | COM | $65,107,574 | 198,905 | SH | None |
| VISA INC | V | COM CL A | $61,500,255 | 179,254 | SH | None |
| DISNEY WALT CO | DIS | COM | $60,684,566 | 630,489 | SH | None |
| INVESCO QQQ TR | QQQ | UNIT SER 1 | $60,495,260 | 82,150 | SH | None |
| VERIZON COMMUNICATIONS INC | VZ | COM | $58,083,282 | 1,371,830 | SH | None |
| BANK OF AMER CORP | BAC | COM | $55,916,867 | 981,342 | SH | None |
| WALMART INC | WMT | COM | $55,564,903 | 490,596 | SH | None |
| BRISTOL-MYERS SQUIBB CO | BMY | COM | $54,148,914 | 939,759 | SH | None |
| EDWARDS LIFESCIENCES CORP | EW | COM | $49,953,912 | 552,221 | SH | None |
| NETFLIX INC. | NFLX | COM | $47,491,139 | 665,142 | SH | None |
| EXXON MOBIL CORP | XOM | COM | $45,325,688 | 331,522 | SH | None |
| TEXAS INSTRS INC | TXN | COM | $44,531,956 | 149,401 | SH | None |
| CME GROUP INC | CME | COM | $44,218,337 | 200,237 | SH | None |
| S&P GLOBAL INC | SPGI | COM | $43,770,269 | 107,475 | SH | None |
| PROCTER & GAMBLE CO | PG | COM | $42,843,516 | 292,168 | SH | None |
| BLOCK INC | XYZ | CL A | $41,922,740 | 551,615 | SH | None |
| VANGUARD INDEX FDS | VOO | S&P 500 ETF SHS | $41,230,578 | 60,032 | SH | None |
| NEWMONT CORP | NEM | COM | $40,620,968 | 434,914 | SH | None |
| VANECK ETF TRUST | SMH | SEMICONDUCTR ETF | $40,585,817 | 61,879 | SH | None |
| MICRON TECHNOLOGY INC | MU | COM | $35,308,577 | 30,589 | SH | None |
| SLB LIMITED | SLB | COM STK | $34,241,931 | 736,544 | SH | None |
| INTUITIVE SURGICAL INC | ISRG | COM NEW | $34,225,136 | 86,062 | SH | None |
| SELECT SECTOR SPDR TR | XLV | ST STR CARE ETF | $30,982,649 | 195,277 | SH | None |
| APTIV PLC | APTV | COM SHS | $30,507,210 | 497,022 | SH | None |
| LENNAR CORP | LEN | CL A | $29,680,720 | 328,000 | SH | None |
| VANGUARD WORLD FD | VPU | UTILITIES ETF | $29,431,724 | 150,369 | SH | None |
| MARVELL TECHNOLOGY INC | MRVL | COM | $28,693,063 | 96,321 | SH | None |
| CORNING INC | GLW | COM | $28,520,037 | 111,655 | SH | None |
| VANECK ETF TRUST | OIH | OIL SERVICES ETF | $27,235,572 | 73,208 | SH | None |
| ISHARES TR | VLUE | MSCI USA VALUE | $25,771,494 | 128,980 | SH | None |
| ANALOG DEVICES INC | ADI | COM | $24,742,499 | 62,297 | SH | None |
| FREEPORT MCMORAN INC | FCX | CL B | $24,634,013 | 391,700 | SH | None |
| SELECT SECTOR SPDR TR | XLK | ST STR TECHN ETF | $23,795,948 | 124,900 | SH | None |
| INTEL CORP | INTC | COM | $23,610,316 | 169,092 | SH | None |
| CVS HEALTH CORP | CVS | COM | $23,127,799 | 223,565 | SH | None |
| UBER TECHNOLOGIES INC | UBER | COM | $22,753,852 | 315,325 | SH | None |
| SELECT SECTOR SPDR TR | XLE | ST STR ENERG ETF | $22,746,960 | 428,299 | SH | None |
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Largest 50 positions by reported value; the filing may contain more positions.
How amendments affect these holdings
This view uses 1 effective filing version(s). A restatement replaces the previous book; a new-holdings amendment adds positions. 0 positions lack a resolved ticker and 0 positions are put or call entries.
A 13F is a delayed quarterly snapshot of disclosed holdings. It is not a complete trade ledger and does not reveal every position in a manager's portfolio. Option values refer to the reported underlying position rather than a traded option premium.
Quarter end and public filing date
Use the filing's public availability date when constructing a historical observation. The quarter-end report period is earlier and cannot be substituted for when the public learned the holdings.