Fund HoldingsMaytree Asset Management Ltd

Total Portfolio Value
$44.23M
Total Bought
$18.53M
Total Sold
$25.91M
Net Transaction
-$7.38M
Filing Period:
Securities
SharesValue ($K)
Q3 2024
Q4 2024
Change
Q3 2024
Q4 2024
Weight (%)
Change
PDD HOLDINGS INC(PDD)011,500,000+11,500,000011,04024.96%+11,040
ADVANCED MICRO DEVICES INC(AMD)09,100+9,10001,0992.48%+1,099
MONGODB INC(MDB)04,640+4,64001,0802.44%+1,080
META PLATFORMS INC(META)2301,930+1,7001321,1302.55%+998
MICROSOFT CORP(MSFT)02,300+2,30009692.19%+969
ORACLE CORP(ORCL)05,100+5,10008501.92%+850
MAXEON SOLAR TECHNOLOGIES LT
SHS NEW
089,882+89,88206781.53%+678
UNITY SOFTWARE INC(U)024,013+24,01305401.22%+540
PROSHARES TR II(AGQ)010,748+10,74804841.09%+484
KE HLDGS INC(BEKE)022,524+22,52404150.94%+415
COUCHBASE INC024,100+24,10003760.85%+376
TRIP COM GROUP LTD(TCOM)31,99931,99901,9022,1974.97%+295
VICARIOUS SURGICAL INC17,82817,82801012350.53%+133
MAXEON SOLAR TECHNOLOGIES ORD8,988,3780-8,988,3788690-869
SALESFORCE ORD(CRM)6,9000-6,9001,8890-1,889
ISHARES BITCOIN ETF(IBIT)82,3000-82,3002,9730-2,973
PDD HOLDINGS INC(PDD)4,000,0000-4,000,0004,0430-4,043
KRANESHARES CSI CHINA INTERNET ETF126,6000-126,6004,3070-4,307
PDD HOLDINGS INC(PDD)259,392238,592-20,80034,96923,14152.32%-11,828
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