Fund HoldingsAPEIRON CAPITAL Ltd

Total Portfolio Value
$106.92M
Total Bought
$40.92M
Total Sold
$4.45M
Net Transaction
+$36.47M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
MICRON TECHNOLOGY INC(MU)021,900+21,90007,3996.92%+7,399
UNITY SOFTWARE INC(U)0250,600+250,60005,4985.14%+5,498
AMAZON.COM INC(AMZN)024,500+24,50005,1034.77%+5,103
TRIP.COM GROUP LTD-ADR(TCOM)070,000+70,00003,4853.26%+3,485
TAIWAN SEMICONDUCTOR-SP ADR(TSM)08,800+8,80002,9742.78%+2,974
FTAI AVIATION LTD(FTAI)011,000+11,00002,6952.52%+2,695
SYNOPSYS INC(SNPS)06,000+6,00002,3792.22%+2,379
SUMMIT THERAPEUTICS INC(SMMT)1,309,2411,309,141-10022,89924,82123.22%+1,923
ROBINHOOD MARKETS INC - A(HOOD)026,000+26,00001,8021.69%+1,802
PDD HOLDINGS INC(PDD)(Call)083,000+83,00004+4
KRANESH CSI CHINA INTERNET125,000125,00004,2563,5543.32%-702
VERTIV HOLDINGS CO-A(VRT)15,6000-15,6002,5270-2,527
ON HOLDING AG-CLASS A(ONON)795,852996,052+200,20036,99133,88631.69%-3,106
QFIN HOLDINGS INC-ADR(QFIN)1,027,4551,032,055+4,60019,79913,32412.46%-6,475
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