Universe · entity

Harvest Fund Management Co., Ltd

Institutional manager (13F) · CIK 1694126
13F holdings · as of 2026-03-31 · top 50 · reported portfolio $2M
#IssuerValueShares
1NVIDIA Corp$195k1,117,612
2Apple Inc$163k642,013
3Microsoft Corp$116k312,639
4Alphabet Inc$90k313,883
5Broadcom Inc$87k281,751
6Amazon.com Inc$87k417,361
7Tesla Inc$73k196,982
8Meta Platforms Inc$67k116,331
9Alphabet Inc$66k228,803
10Pinduoduo Inc$49k482,241
11Micron Technology Inc$47k138,377
12Walmart Inc$46k372,561
13Costco Wholesale Corp$44k43,699
14Advanced Micro Devices Inc$41k200,160
15Lam Research Corp$39k184,149
16Netflix Inc$39k405,859
17Palantir Technologies Inc$36k247,524
18PROSHARES TR$31k574,511
19KLA Corp$30k20,380
20Applied Materials Inc$28k82,731
21TSMC$24k69,702
22Intel Corp$23k532,108
23Texas Instruments Inc$23k119,781
24Cisco Systems Inc/Delaware$23k295,919
25Marvell Technology Inc$22k218,119
26United States Oil Fund LP$21k161,313
27ASML Holding NV$20k15,151
28WESTERN DIGITAL CORP.$18k65,586
29Amgen Inc$18k50,413
30United States Brent Oil Fund L$18k337,192
31T-Mobile US Inc$17k81,389
32Linde PLC$17k34,255
33PepsiCo Inc$17k106,560
34Eli Lilly & Co$15k16,480
35Monolithic Power Systems Inc$15k13,685
36Gilead Sciences Inc$15k104,748
37SPDR Gold Shares$14k33,582
38Intuitive Surgical Inc$13k28,951
39Aberdeen Standard Physical Gol$13k299,180
40ISHARES GOLD TR$13k149,269
41Analog Devices Inc$13k39,375
42Seagate Technology Holdings PL$12k31,627
43AppLovin Corp$12k30,666
44Synopsys Inc$11k28,532
45Honeywell International Inc$11k48,608
46TAL Education Group$11k965,568
47Shopify Inc$11k90,557
48Booking Holdings Inc$11k2,519
49GE VERNOVA LLC$10k11,980
50Alibaba Group Holding Ltd$10k82,260
All filings on EDGAR ↗

Source: sec_edgar_13f · public regulatory · retrieved 2026-06-29. Public SEC data; no contact information.