Filer Name: FENGHE FUND MANAGEMENT PTE. LTD.
CIK: 1660531
Period: 2024-12-31
Filed At: 2025-01-31
Number of Holdings: 15
Portfolio Value: $0.34B

Fenghe Fund Management Pte. Ltd. Top Holdings

Ticker Exchange Security Shares Value % of Portfolio Position Change Put/Call
TSM US TAIWAN SEMICONDUCTOR-SP ADR 447,100 $88M 26.05% 1.9% -
AMD US ADVANCED MICRO DEVICES 435,700 $53M 15.53% 553.2% -
BABA US ALIBABA GROUP HOLDING-SP ADR 497,400 $42M 12.44% 100.0% -
TAL US TAL EDUCATION GROUP- ADR 3,879,504 $39M 11.47% 29.8% -
NTES US NETEASE INC-ADR 342,600 $31M 9.02% 100.0% -
GLW US CORNING INC 581,800 $28M 8.16% 28.1% -
TER US TERADYNE INC 115,400 $15M 4.29% 100.0% -
BTDR US BITDEER TECHNOLOGIES GROUP-A 478,900 $10M 3.06% 100.0% -
NVDA US NVIDIA CORP 57,885 $8M 2.29% -67.9% -
MSFT US MICROSOFT CORP 17,700 $7M 2.20% 52.6% -
DQ US DAQO NEW ENERGY CORP-ADR 256,076 $5M 1.47% -51.6% -
U US UNITY SOFTWARE INC 218,100 $5M 1.45% -31.3% -
DIS US WALT DISNEY CO/THE 37,800 $4M 1.24% -50.1% -
VSCO US VICTORIA'S SECRET & CO 58,800 $2M 0.72% 100.0% -
PDD US PDD HOLDINGS INC 21,300 $2M 0.61% 100.0% -
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