Back to Harvest Fund Management Co., Ltd

Harvest Fund Management Co., Ltd

Q2 2026 13F filing

Updated 21 days ago

456 disclosed positions worth $3B

Portfolio value
$3B
Total holdings
456
New positions
0
Closed positions
0
Increased
0
Decreased
0
Turnover
Filed
2026-08-20

Full holdings

Every line item disclosed in Q2 2026

N

NVIDIA Corp

Value
$193.6M
Shares
969.0K
% Port
6.41%
A

Apple Inc

Value
$177.1M
Shares
612.6K
% Port
5.86%
M
3.MU

Micron Technology Inc

Value
$147.2M
Shares
127.9K
% Port
4.87%
A
4.AMD

Advanced Micro Devices Inc

Value
$126.4M
Shares
217.9K
% Port
4.19%
A

Broadcom Inc

Value
$112.9M
Shares
299.4K
% Port
3.74%
M

Microsoft Corp

Value
$110.1M
Shares
295.3K
% Port
3.64%
G

Alphabet Inc

Value
$104.1M
Shares
291.5K
% Port
3.45%
A

Amazon.com Inc

Value
$102.6M
Shares
430.6K
% Port
3.40%
T

Tesla Inc

Value
$77.8M
Shares
185.1K
% Port
2.58%
I
10.INTC

Intel Corp

Value
$75.5M
Shares
541.6K
% Port
2.50%
K
11.KLAC

KLA Corp

Value
$73.5M
Shares
244.1K
% Port
2.43%
G

Alphabet Inc

Value
$73M
Shares
206.7K
% Port
2.42%
A
13.AMAT

Applied Materials Inc

Value
$71.3M
Shares
98.6K
% Port
2.36%
L
14.LRCX

Lam Research Corp

Value
$60.5M
Shares
139.6K
% Port
2.00%
M
15.META

Meta Platforms Inc

Value
$60.5M
Shares
107.4K
% Port
2.00%
T

TSMC

Value
$51.7M
Shares
108.5K
% Port
1.71%
M
17.MRVL

Marvell Technology Inc

Value
$47M
Shares
158.3K
% Port
1.56%
Q
18.QCOM

QUALCOMM Inc

Value
$46.6M
Shares
252.1K
% Port
1.54%
W
19.WMT

Walmart Inc

Value
$42.2M
Shares
372.4K
% Port
1.40%
W
20.WDC

WESTERN DIGITAL CORP.

Value
$42M
Shares
65.8K
% Port
1.39%
C
21.COST

Costco Wholesale Corp

Value
$40.9M
Shares
43.8K
% Port
1.36%
M
22.MPWR

Monolithic Power Systems Inc

Value
$38.7M
Shares
28.1K
% Port
1.28%
P
23.PDD

Pinduoduo Inc

Value
$37.8M
Shares
496.1K
% Port
1.25%
A

ASML Holding NV

Value
$35.9M
Shares
18.1K
% Port
1.19%
C
25.CSCO

Cisco Systems Inc/Delaware

Value
$34.9M
Shares
297.1K
% Port
1.15%
U
26.USO

United States Oil Fund LP

Value
$33.1M
Shares
311.1K
% Port
1.10%
K
27.KOLD

PROSHARES TR

Value
$32.7M
Shares
688.2K
% Port
1.08%
?
28.N/A

United States Brent Oil Fund L

Value
$32.4M
Shares
796.1K
% Port
1.07%
S
29.STX

Seagate Technology Holdings PL

Value
$30.9M
Shares
32.1K
% Port
1.02%
P
30.PLTR

Palantir Technologies Inc

Value
$28.5M
Shares
244.2K
% Port
0.94%
N
31.NFLX

Netflix Inc

Value
$27.7M
Shares
388.0K
% Port
0.92%
L
32.LITE

LUMENTUM HLDGS INC

Value
$26M
Shares
30.3K
% Port
0.86%
S
33.SNDK

SANDISK CORP

Value
$25.8M
Shares
11.3K
% Port
0.85%
T
34.TXN

Texas Instruments Inc

Value
$23.6M
Shares
79.3K
% Port
0.78%
P
35.PANW

Palo Alto Networks Inc

Value
$20.7M
Shares
60.7K
% Port
0.68%
L
36.LLY

Eli Lilly & Co

Value
$19.8M
Shares
16.5K
% Port
0.65%
A
37.AMGN

Amgen Inc

Value
$18.3M
Shares
50.5K
% Port
0.61%
A
38.ARM

ARM Holdings PLC

Value
$18.3M
Shares
51.5K
% Port
0.60%
L
39.LIN

Linde PLC

Value
$17.8M
Shares
34.4K
% Port
0.59%
C
40.CRWD

Crowdstrike Holdings Inc

Value
$16.4M
Shares
21.5K
% Port
0.54%
T
41.TER

Teradyne Inc

Value
$16M
Shares
33.2K
% Port
0.53%
A
42.ADI

Analog Devices Inc

Value
$15.7M
Shares
39.5K
% Port
0.52%
P
43.PEP

PepsiCo Inc

Value
$14.5M
Shares
106.8K
% Port
0.48%
A
44.APP

AppLovin Corp

Value
$14.4M
Shares
27.9K
% Port
0.48%
G
45.GEV

GE VERNOVA LLC

Value
$13.8M
Shares
11.8K
% Port
0.46%
T

T-Mobile US Inc

Value
$13.5M
Shares
80.4K
% Port
0.45%
G
47.GILD

Gilead Sciences Inc

Value
$13.3M
Shares
105.3K
% Port
0.44%
I
48.ISRG

Intuitive Surgical Inc

Value
$11.8M
Shares
29.8K
% Port
0.39%
C
49.COHR

Coherent Corp

Value
$10.9M
Shares
27.7K
% Port
0.36%
B
50.BKNG

Booking Holdings Inc

Value
$10.8M
Shares
60.9K
% Port
0.36%