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H&H International Investment

H&H International Investment

H&H International Investment (Duan Yongping) latest 13F portfolio: 18 holdings worth $19.1B as of Q2 2026.

Backtested since 2020: mirroring H&H International Investment's reported 13F equity holdings each quarter would have returned +261.1% versus +186.6%for the S&P 500 (+22.4% annualized). See the Performance tab for the full equity curve.

Investor:  Duan Yongping

Number of Assets:  18

Reporting Period:   Q2 - 2026

Holdings at Report:   $19,100,584,155

Return $ Since Report:   +$1,655,364,416

Return % Since Report:   +8.67%

13F Holdings

Company
Position
Activity
Shares
Port. %
Rep. Price
Curr. Price
Rep. Value
Curr. Value
Return Value
Return %
Alibaba Group Holding Limited (BABA)
Equity
+100%
301,400
0.15%
$95.98
$116.31
$28,928,372
$35,055,834
+$6,127,462
+21.18%
Berkshire Hathaway Inc. (BRK-B)
Equity
+0.90%
9,229,696
24.18%
$500.39
$503.49
$4,618,447,581
$4,647,059,639
+$28,612,058
+0.62%
Microsoft Corp. (MSFT)
Equity
-25.78%
754,100
1.47%
$373.02
$498.00
$281,294,382
$375,541,800
+$94,247,418
+33.50%
Snowflake Inc. (SNOW)
Equity
0%
10,000
0.01%
$254.50
$336.59
$2,545,000
$3,365,900
+$820,900
+32.26%
Apple Inc. (AAPL)
Equity
-6.38%
27,098,707
41.05%
$289.36
$339.75
$7,841,281,858
$9,206,785,703
+$1,365,503,845
+17.41%
Innodata Inc. (INOD)
Equity
0%
10,000
0.00%
$75.58
$69.97
$755,800
$699,700
-$56,100
-7.42%
Occidental Petroleum Corp. (OXY)
Equity
0%
10,261,500
2.61%
$48.57
$56.31
$498,401,055
$577,825,065
+$79,424,010
+15.94%
PDD Holdings Inc. (PDD)
Equity
+26.71%
25,022,094
9.99%
$76.28
$80.35
$1,908,685,330
$2,010,525,253
+$101,839,923
+5.34%
The Walt Disney Company (DIS)
Equity
+12.89%
1,706,600
0.86%
$96.25
$103.82
$164,260,250
$177,179,212
+$12,918,962
+7.86%
Palantir Technologies Inc. (PLTR)
Equity
0%
60,000
0.04%
$116.67
$184.99
$7,000,200
$11,099,400
+$4,099,200
+58.56%
Tesla Inc. (TSLA)
Equity
-0.84%
3,380,400
7.44%
$420.60
$378.90
$1,421,796,240
$1,280,833,560
-$140,962,680
-9.91%
Alphabet Inc. (GOOG)
Equity
-46.88%
1,968,600
3.64%
$353.33
$347.41
$695,565,438
$683,911,326
-$11,654,112
-1.68%
Nvidia Corp. (NVDA)
Equity
-54.63%
6,280,675
6.58%
$200.09
$228.87
$1,256,700,261
$1,437,458,087
+$180,757,826
+14.38%
Synopsys Inc. (SNPS)
Equity
0%
10,000
0.02%
$446.07
$409.24
$4,460,700
$4,092,400
-$368,300
-8.26%
Circle Internet Group (CRCL)
Equity
0%
200,000
0.07%
$62.63
$94.59
$12,526,000
$18,918,000
+$6,392,000
+51.03%
Credo Technology Group Holding Ltd (CRDO)
Equity
-6.66%
701,200
1.00%
$271.95
$192.56
$190,691,340
$135,023,072
-$55,668,268
-29.19%
Tempus Ai Inc. (TEM)
Equity
0%
20,000
0.01%
$57.93
$77.19
$1,158,600
$1,543,800
+$385,200
+33.25%
UnitedHealth Group Inc. (UNH)
Equity
-33.56%
399,600
0.87%
$415.63
$372.95
$166,085,748
$149,030,820
-$17,054,928
-10.27%