Fund HoldingsHarvest Fund Management Co., Ltd

Total Portfolio Value
$2.35M
Total Bought
$250.4K
Total Sold
$577.0K
Net Transaction
-$326.5K
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
Walmart Inc(WMT)62,634372,561+309,9276461.97%+41
PROSHARES TR
K-1 FREE CRD OIL
0574,511+574,5110311.32%+31
KLA Corp(KLAC)14,07920,380+6,30117301.28%+13
Lam Research Corp(LRCX)156,451184,149+27,69827391.67%+13
Applied Materials Inc66,12582,731+16,60617281.20%+11
Costco Wholesale Corp(COST)40,23443,699+3,46535441.85%+9
United States Brent Oil Fund L(BNO)337,192337,192010180.75%+8
SELECT SECTOR SPDR TR
ST STR ENERG ETF
0119,228+119,228070.31%+7
Yum China Holdings Inc(YUMC)0163,558+163,558080.34%+8
Marvell Technology Inc(MRVL)187,705218,119+30,41416220.92%+6
Intel Corp(INTC)488,277532,108+43,83118231.00%+5
Micron Technology Inc(MU)145,135138,377-6,75841471.99%+5
ASML Holding NV
N Y REGISTRY SHS
14,54115,151+61016200.85%+4
NetEase Inc(NTES)039,000+39,000040.19%+4
GE VERNOVA LLC(GEV)011,980+11,9800100.44%+10
Seagate Technology Holdings PL29,44731,627+2,1808120.53%+4
WESTERN DIGITAL CORP.(WDC)86,26465,586-20,67814180.75%+4
United States Oil Fund LP(USO)239,149161,313-77,83617210.87%+3
SPDR Gold Shares(GLD)28,26133,582+5,32111140.61%+3
Aberdeen Standard Physical Gol(SGOL)247,904299,180+51,27610130.57%+3
ISHARES GOLD TR(IAU)123,632149,269+25,63710130.56%+3
Comfort Systems USA Inc(FIX)03,149+3,149040.18%+4
Monolithic Power Systems Inc(MPWR)13,54613,685+13912150.64%+3
Analog Devices Inc(ADI)37,58739,375+1,78810130.53%+2
Linde PLC(LIN)34,89234,255-63715170.72%+2
Caterpillar Inc(CAT)3,8695,911+2,042240.18%+2
Amgen Inc(AMGN)48,41250,413+2,00116180.75%+2
Lockheed Martin Corp(LMT)02,985+2,985020.08%+2
ARM Holdings PLC42,33042,315-15560.27%+2
Honeywell International Inc(HON)47,72648,608+8829110.47%+2
PepsiCo Inc(PEP)104,035106,560+2,52515170.70%+2
Advanced Micro Devices Inc(AMD)182,687200,160+17,47339411.73%+2
THOMSON REUTERS CORP.065,828+65,828060.25%+6
Gilead Sciences Inc(GILD)106,526104,748-1,77813150.62%+2
AT&T Inc(T)049,327+49,327010.06%+1
Pinduoduo Inc(PDD)0482,241+482,2410492.10%+49
Netflix Inc(NFLX)0405,859+405,8590391.66%+39
Baker Hughes Co(BKR)073,165+73,165040.19%+4
COMPANIA DE MINAS BUENAVENTU(BVN)27,90651,532+23,626120.08%+1
LUMENTUM HLDGS INC(LITE)4,0183,573-445130.11%+1
Coherent Corp(COHR)36,72332,667-4,056780.33%+1
Cheniere Energy Inc(LNG)05,131+5,131010.06%+1
Corning Inc(GLW)011,048+11,048020.06%+2
TOWER SEMICONDUCTOR LTD(TSEM)18,86614,218-4,648220.11%+1
Ross Stores Inc(ROST)24,28324,596+313450.23%+1
Diamondback Energy Inc(FANG)021,078+21,078040.18%+4
Merck & Co Inc(MRK)07,708+7,708010.04%+1
Cardinal Health Inc(CAH)07,751+7,751020.07%+2
Southern Copper Corp(SCCO)5,3749,448+4,074120.07%+1
McKesson Corp(MCK)03,294+3,294030.12%+3
Chevron Corp(CVX)06,446+6,446010.06%+1
Phillips 66(PSX)04,338+4,338010.03%+1
Iridium Communications Inc(IRDM)024,198+24,198010.03%+1
Colgate-Palmolive Co(CL)07,772+7,772010.03%+1
MasTec Inc(MTZ)04,451+4,451010.06%+1
American Electric Power Co Inc39,93840,009+71550.22%+1
Mosaic Co/The(MOS)024,460+24,460010.03%+1
Johnson & Johnson(JNJ)04,507+4,507010.05%+1
CSX Corp(CSX)139,034137,350-1,684560.24%+1
Boeing Co/The(BA)03,082+3,082010.03%+1
Old Dominion Freight Line Inc(ODFL)015,395+15,395030.13%+3
APA Corp(APA)016,574+16,574010.03%+1
Alcoa Corp(AA)13,45319,055+5,602110.05%+1
Teradyne Inc(TER)22,79416,687-6,107450.21%+1
Howmet Aerospace Inc(HWM)011,809+11,809030.12%+3
AstraZeneca PLC(AZN)02,579+2,579010.02%+1
Fastenal Co(FAST)084,818+84,818040.17%+4
Targa Resources Corp(TRGP)01,854+1,854000.02%0
Starbucks Corp(SBUX)85,03885,054+16780.32%0
Raytheon Technologies Corp(RTX)8,26310,210+1,947220.08%0
Marathon Petroleum Corp(MPC)05,533+5,533010.06%+1
Occidental Petroleum Corp(OXY)07,017+7,017000.02%0
NOVARTIS AG(NVS)02,900+2,900000.02%0
Texas Pacific Land Corp(TPL)0916+916000.02%0
Akamai Technologies Inc(AKAM)03,705+3,705000.02%0
Exelon Corp(EXC)075,713+75,713040.16%+4
Archer-Daniels-Midland Co05,626+5,626000.02%0
ConocoPhillips(COP)03,064+3,064000.02%0
Cloudflare Inc(NET)07,508+7,508020.07%+2
Exxon Mobil Corp03,308+3,308010.02%+1
Tenet Healthcare Corp(THC)02,118+2,118000.02%0
Valero Energy Corp(VLO)04,342+4,342010.05%+1
Verizon Communications Inc(VZ)010,407+10,407010.02%+1
Bloom Energy Corp05,452+5,452010.03%+1
Darling Ingredients Inc(DAR)06,106+6,106000.02%0
EMCOR Group Inc(EME)0848+848010.03%+1
Quanta Services Inc2,7762,785+9120.07%0
BIONTECH SE(BNTX)04,100+4,100000.02%0
Illinois Tool Works Inc(ITW)01,319+1,319000.01%0
ECHOSTAR CORP(ECHO)6,8609,304+2,444110.05%0
Interactive Brokers Group Inc(IBKR)010,186+10,186010.03%+1
Northrop Grumman Corp(NOC)0502+502000.01%0
Eaton Corp PLC(ETN)01,002+1,002000.02%0
DaVita Inc(DVA)02,115+2,115000.01%0
POWELL INDS INC(POWL)0599+599000.01%0
TRAVEL PLUS LEISURE CO(TNL)010,011+10,011010.03%+1
TE CONNECTIVITY LTD(TEL)01,520+1,520000.01%0
Dell Technologies Inc(DELL)01,872+1,872000.01%0
Corpay Inc(CPAY)01,048+1,048000.01%0
HASBRO INC(HAS)010,749+10,749010.04%+1
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