Duan Yongping

Duan Yongping

Duan Yongping (H&H International Investment) is tracked through public portfolio filings, disclosed holdings, and institutional investment activity. This Duan Yongping (H&H International Investment) portfolio page tracks Duan Yongping (H&H International Investment) holdings, stock picks, latest portfolio moves, and historical 13F filing changes so readers can see which public companies Duan Yongping (H&H International Investment) owns and how disclosed positions change over time. Duan Yongping (H&H International Investment)'s public portfolio can help investors study position sizing, sector exposure, concentration, new buys, trims, exits, and the market themes behind reported capital allocation decisions. Top disclosed holdings and portfolio changes shown on this page include Apple Inc (AAPL), Tesla Inc (TSLA), NVIDIA Corporation - Common Stock (NVDA), Berkshire Hathaway Inc. (BRK-B), and PDD Holdings Inc. - American Depositary Shares (PDD). Investors use Duan Yongping (H&H International Investment) 13F filings to study portfolio concentration, new buys, trims, exits, sector exposure, and the market evidence behind the latest disclosed holdings.

History Trades

CompanyPortfolio ValuePortfolio ChangePosition ChangeAvg Buy PriceCurrent Price
NVIDIA Corporation - Common StockNVDA$1.3B7.2M sharesAddQ4 2025 13F$1.2B$186.14$192.53
Berkshire Hathaway Inc.BRK-B$3.6B7.2M sharesAddQ4 2025 13F$997M$497.53$498.66
Taiwan Semiconductor Manufacturing Co LtdTSM$372M1.2M sharesAddQ4 2025 13F$299M$293.42$440.83
Microsoft Corporation - Common StockMSFT$415M859k sharesAddQ4 2025 13F$271M$501.12$372.97
PDD Holdings Inc. - American Depositary SharesPDD$1.3B11.5M sharesAddQ4 2025 13F$175M$113.39$82.62
Alphabet Cl CGOOG$582M1.9M sharesAddQ4 2025 13F$141M$286.47$334.69
Alibab Group Holding Limited ADR each rep 8 ordinary shares - 25 sharesBABA$375M2.6M sharesTrimQ4 2025 13F$121M$160.95$120.07
Occidental Petroleum CorpOXY$542M13.2M sharesTrimQ4 2025 13F$99M$41.73$49.99
Apple IncAAPL$8.8B32.4M sharesTrimQ4 2025 13F$72M$268.45$283.78
ASML Holding NVASML$11M9.9k sharesTrimQ4 2025 13F$67M$1,038.72$1,749.04
CoreWeave, Inc. Class A Common StockCRWV$21M299.9k sharesOtherQ4 2025 13F$21M$122.96$100.88
Credo Technology Group Holding LtdCRDO$20M141.3k sharesOtherQ4 2025 13F$20M$138.57$221.23
Tempus AI, Inc. - Class A Common StockTEM$6.5M110k sharesOtherQ4 2025 13F$6.5M$59.05$48.59
Walt Disney CompanyDIS$81M712k sharesTrimQ4 2025 13F$1.8M$110.13$98.87
Apple IncAAPL$8.9B34.8M sharesAddQ3 2025 13F$1.7B$225.91$283.78
Berkshire Hathaway Inc.BRK-B$2.6B5.2M sharesAddQ3 2025 13F$967M$484.36$498.66
PDD Holdings Inc. - American Depositary SharesPDD$1.1B8.6M sharesAddQ3 2025 13F$227M$132.17$82.62
Alphabet Cl CGOOG$441M1.8M sharesAddQ3 2025 13F$96M$210.20$334.69
ASML Holding NVASML$77M80k sharesOtherQ3 2025 13F$77M$959.81$1,749.04
Alibab Group Holding Limited ADR each rep 8 ordinary shares - 25 sharesBABA$496M2.8M sharesAddQ3 2025 13F$72M$178.73$120.07
Occidental Petroleum CorpOXY$641M13.6M sharesAddQ3 2025 13F$71M$45.19$49.99
NVIDIA Corporation - Common StockNVDA$112M597.8k sharesTrimQ3 2025 13F$41M$174.31$192.53
Taiwan Semiconductor Manufacturing Co LtdTSM$73M260k sharesAddQ3 2025 13F$14M$244.54$440.83
Walt Disney CompanyDIS$83M723k sharesTrimQ3 2025 13F$6.9M$117.78$98.87
Microsoft Corporation - Common StockMSFT$145M279.2k sharesAddQ3 2025 13F$5.7M$510.13$372.97
Apple IncAAPL$7.2B35.1M sharesTrimQ2 2025 13F$397M$202.27$283.78
Alphabet Cl CGOOG$345M1.9M sharesAddQ2 2025 13F$172M$165.11$334.69
Berkshire Hathaway Inc.BRK-B$1.6B3.4M sharesTrimQ2 2025 13F$158M$508.26$498.66
Occidental Petroleum CorpOXY$569M13.6M sharesTrimQ2 2025 13F$113M$41.92$49.99
Alibab Group Holding Limited ADR each rep 8 ordinary shares - 25 sharesBABA$425M3.7M sharesTrimQ2 2025 13F$102M$113.41$120.07
NVIDIA Corporation - Common StockNVDA$152M964.8k sharesAddQ2 2025 13F$83M$125.57$192.53
Microsoft Corporation - Common StockMSFT$139M279.2k sharesAddQ2 2025 13F$27M$433.34$372.97
Walt Disney CompanyDIS$90M723k sharesAddQ2 2025 13F$18M$103.82$98.87
Taiwan Semiconductor Manufacturing Co LtdTSM$59M260k sharesAddQ2 2025 13F$14M$184.95$440.83
PDD Holdings Inc. - American Depositary SharesPDD$907M8.7M sharesTrimQ2 2025 13F$11M$104.66$82.62
Moderna, Inc.MRNA$-2.4MExitQ2 2025 13F$2.4M--$47.61
Apple IncAAPL$7.6B34.2M sharesTrimQ1 2025 13F$2.6B$231.67$283.78
Alphabet Cl CGOOG$174M1.1M sharesTrimQ1 2025 13F$544M$183.12$334.69
PDD Holdings Inc. - American Depositary SharesPDD$918M7.8M sharesAddQ1 2025 13F$217M$118.35$82.62
Berkshire Hathaway Inc.BRK-B$1.8B3.4M sharesAddQ1 2025 13F$159M$486.15$498.66
Microsoft Corporation - Common StockMSFT$112M299.2k sharesOtherQ1 2025 13F$112M$407.71$372.97
NVIDIA Corporation - Common StockNVDA$70M645.1k sharesOtherQ1 2025 13F$70M$126.74$192.53
Alibab Group Holding Limited ADR each rep 8 ordinary shares - 25 sharesBABA$527M4M sharesAddQ1 2025 13F$64M$142.74$120.07
Taiwan Semiconductor Manufacturing Co LtdTSM$45M271.8k sharesOtherQ1 2025 13F$45M$194.34$440.83
Walt Disney CompanyDIS$71M723k sharesTrimQ1 2025 13F$12M$107.47$98.87
Occidental Petroleum CorpOXY$682M13.8M sharesAddQ1 2025 13F$12M$48.82$49.99
Moderna, Inc.MRNA$2.4M83k sharesTrimQ1 2025 13F$4.4M$28.35$47.61
Apple IncAAPL$10B40.9M sharesTrimQ4 2024 13F$2.1B$235.68$283.78
Occidental Petroleum CorpOXY$671M13.6M sharesAddQ4 2024 13F$195M$50.51$49.99
PDD Holdings Inc. - American Depositary SharesPDD$701M7.2M sharesAddQ4 2024 13F$174M$96.99$82.62
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