Instuitional Investor - Carmignac Gestion

Fund Profile
Filing Period:
Fund Name: Carmignac Gestion
Portfolio Value $6,274,983,942
Filing Period:
No. Security Ticker Shares Value % Port
1. AMZN 2,483,863 $544,969,728 8.68%
2. MSFT 882,565 $372,074,464 5.92%
3. NVDA 2,412,975 $324,091,872 5.16%
4. CNC 4,948,528 $299,781,824 4.77%
5. SLB 7,296,500 $279,747,808 4.45%