Dynamic Technology Lab Private Ltd

13F Portfolio Filings

  • Most recent 13F
    Q1 2025
  • Location
    singapore, U0
  • CIK
    0001535387
  • All SEC filings
Q1 2025
Quater
Holdings
VALUE
Top Holdings
Form Type
Date Filed
Filing Id

953

$690.90M
JNP, LVS, AMZN, SFM
13F-HR
May 16, 2025
000142050625001323

862

$622.14M
JNP, CNK, ANF, MSFT
13F-HR
Feb 13, 2025
000153538725000002

967

$944.69M
EAT, JNP, JBL, DUK
13F-HR
Nov 13, 2024
000153538724000010

900

$886.00K
JNP, AAPL, VEEV, JBL
13F-HR
Aug 15, 2024
000153538724000007

1,001

$937.00K
V, CNP, LLY, ACI
13F-HR
May 14, 2024
000153538724000005

989

$946.00K
ACI, MU, STEEL DYNAMICS INC, DRI
13F-HR
Feb 9, 2024
000153538724000003

907

$1.00M
AIY, ACI, HORIZON THERAPEUTICS PUB L, TXNM
13F-HR
Nov 14, 2023
000153538723000005

941

$794.00K
TXNM, BSX, ELV, NVDA
13F-HR
Aug 14, 2023
000153538723000004

1,024

$1.08M
CALM, PAYX, INSP, ARCH
13F-HR
May 12, 2023
000153538723000003

1,042

$1.00M
UMPQ, AAPL, ETR, PAYX
13F-HR
Feb 14, 2023
000153538723000002

1,080

$1.01B
PAYX, CIT, KO, AIG
13F-HR
Nov 14, 2022
000153538722000007

1,065

$884.84M
GIS, PAYX, TXNM, NXPI
13F-HR
Aug 12, 2022
000153538722000006

1,050

$847.90M
MU, PAYX, TXNM, RRC
13F-HR
May 16, 2022
000153538722000004

1,080

$903.32M
TXNM, DE, PSX, PSTG
13F-HR
Feb 14, 2022
000153538722000002

1,010

$834.57M
TXNM, IHS MARKIT LTD, CHWY, PPD
13F-HR
Nov 15, 2021
000153538721000007

1,078

$994.34M
TXNM, AJRD, CHNG, IHS MARKIT LTD
13F-HR
Aug 13, 2021
000153538721000004

1,092

$885.54M
TXNM, WORK, AJRD, IHS MARKIT LTD
13F-HR
May 14, 2021
000153538721000003

935

$618.69M
IHS MARKIT LTD, WORK, TIFFANY & CO NEW, MCHP
13F-HR
Feb 11, 2021
000153538721000002

940

$621.04M
TIFFANY & CO NEW, HOME, MORGAN STANLEY, ACN
13F-HR
Nov 13, 2020
000153538720000007

936

$664.64M
TIFFANY & CO NEW, KR, SUX, HD
13F-HR
Aug 14, 2020
000153538720000004

971

$512.69M
BRK.B, PAYX, CTSH, DYH
13F-HR
May 13, 2020
000153538720000003

926

$623.87M
GIS, CAG, WMT, NVDA
13F-HR
Feb 14, 2020
000153538720000002

910

$569.39M
JBL, QSR, SBUX, SUX
13F-HR
Nov 14, 2019
000153538719000005

913

$594.06M
FDS, VSAT, S9Q, CCL
13F-HR
Aug 14, 2019
000153538719000004

931

$610.06M
ECA, AJG, UAL, H
13F-HR
May 13, 2019
000153538719000003

937

$578.07M
PAYX, CCL, KMX, TRIPADVISOR INC
13F-HR
Feb 13, 2019
000153538719000001

981

$720.10M
ACN, TORONTO DOMINION BK ONT, TSN, NEWR
13F-HR
Nov 14, 2018
000153538718000007

938

$664.19M
KR, MCX, Z, KEYS
13F-HR
Aug 14, 2018
000153538718000006

1,000

$671.70M
PAYX, Z, NWS/A, PKG
RESTATEMENT
Jun 14, 2018
000153538718000004

964

$563.53M
MU, MTN, WGO, HDS
13F-HR
Feb 9, 2018
000153538718000002

1,000

$616.15M
JBL, THOR INDS INC, IHS MARKIT LTD, GIS
13F-HR
Nov 8, 2017
000153538717000005

968

$529.66M
MU, FDX, CCL, WBA
13F-HR
Aug 17, 2017
000153538717000004

927

$426.04M
DRI, CCL, PRGS, PJT
13F-HR
May 11, 2017
000153538717000002

843

$372.39M
COST, LBRDK, CUK, CAG
13F-HR
Feb 13, 2017
000153538717000001

847

$373.17M
CAG, ZG, LIBERTY GLOBAL PLC, PEP
13F-HR
Nov 14, 2016
000153538716000029

823

$369.61M
VOYA, HRB, FINL, VVC
13F-HR
Aug 10, 2016
000153538716000028

877

$370.91M
WEA, FE, AFG, DISH
13F-HR
May 18, 2016
000153538716000027

273

$98.14M
SLG, SJM, WSO, UPS
NEW HOLDINGS
Mar 1, 2016
000153538716000026

578

$233.51M
CCL, DISCK, SIVBQ, FE
13F-HR
Feb 11, 2016
000153538716000009

308

$110.94M
SIVBQ, FDS, NEE, SJM
NEW HOLDINGS
Mar 1, 2016
000153538716000025

471

$183.62M
CALM, IG5, APC, JBL
13F-HR
Nov 16, 2015
000153538715000008

312

$115.19M
SIVBQ, APD, INTU, ROP
NEW HOLDINGS
Mar 1, 2016
000153538716000024

409

$172.47M
CHV, CMC, LOW, LNT
13F-HR
Aug 13, 2015
000153538715000006

271

$98.19M
SIVBQ, AMP, EVEREST RE GROUP LTD, CVS
NEW HOLDINGS
Mar 1, 2016
000153538716000023

364

$133.22M
MLKN, GPC, TEG, FBIN
13F-HR
May 12, 2015
000153538715000005

257

$84.72M
CSL, ECL, CVS, FDS
NEW HOLDINGS
Feb 24, 2016
000153538716000022

364

$112.38M
ECLIPSE RES CORP, CIT, U S SILICA HLDGS INC, ITW
13F-HR
Feb 12, 2015
000161418715000001

297

$99.39M
9980328D, 9999945D, ROK, CFR
NEW HOLDINGS
Feb 24, 2016
000153538716000021

310

$106.64M
LNT, PRGS, CNR, 1712605D
13F-HR
Nov 12, 2014
000161418714000014

238

$77.40M
PPG, MPC, WBC, ANSS
NEW HOLDINGS
Feb 24, 2016
000153538716000020

404

$133.02M
NDSN, LEA, YRI, PZZA
13F-HR
Aug 12, 2014
000161418714000003

267

$87.31M
AMG, AMP, ULTI, MPC
NEW HOLDINGS
Feb 24, 2016
000153538716000019

282

$82.38M
RAI, CALM, MW, CBS1EUR
13F-HR
Aug 18, 2014
000161418714000004

196

$60.43M
CPEUR, DHR, JNJ, BRSWQ
NEW HOLDINGS
Feb 22, 2016
000153538716000018

319

$85.73M
CRI, CAG, PAYX, BMO
13F-HR
Aug 18, 2014
000161418714000005

191

$58.31M
9980328D, FI, DE, TRAVELERS COMPANIES INC
NEW HOLDINGS
Feb 22, 2016
000153538716000017

259

$66.14M
SCG, ADI, DTE, ALS
13F-HR
Aug 18, 2014
000161418714000006

160

$46.30M
ZBH, IFF, VRTS, PPG
NEW HOLDINGS
Feb 22, 2016
000153538716000016

216

$49.88M
AEP, XEL, NJR, RTN
13F-HR
Aug 18, 2014
000161418714000007

185

$55.57M
CM, AMP, ALTISOURCE PORTFOLIO SOLNS S, EATON CORP PLC
NEW HOLDINGS
Feb 22, 2016
000153538716000015

283

$69.65M
EIX, CMS, DIS, 1964632D
13F-HR
Aug 18, 2014
000161418714000008

189

$59.61M
CLX, SY9, MTB, NEE
NEW HOLDINGS
Feb 17, 2016
000153538716000014

266

$73.76M
DUK, AUDP, BOH, MDU
13F-HR
Aug 18, 2014
000161418714000009

165

$50.97M
OIS, EVEREST RE GROUP LTD, BLK, VALSPAR CORP
NEW HOLDINGS
Feb 17, 2016
000153538716000013

250

$71.00M
MCX, GREAT PLAINS ENERGY INC, CRS, AIT
13F-HR
Aug 18, 2014
000161418714000010

137

$38.81M
VFC, PCP, DYH, TDY
NEW HOLDINGS
Feb 17, 2016
000153538716000012

287

$69.39M
SO, ROSS STORES INC, CNH GLOBAL NV, SHOO
13F-HR
Aug 18, 2014
000161418714000011

154

$41.67M
CNQR, 1091188D, AMT, INTERCONTINENTALEXCHANGE INC
NEW HOLDINGS
Feb 17, 2016
000153538716000011

303

$75.12M
HSY, DTE, DRC, RUDDICK CORP
13F-HR
Aug 18, 2014
000161418714000012

109

$30.68M
ARG, MLM, MELI, MATV
NEW HOLDINGS
Feb 17, 2016
000153538716000010

282

$60.19M
CQB, POM, 9876641D, COLFAX CORP
13F-HR
Aug 18, 2014
000161418714000013