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H&H International Investment

H&H International Investment

H&H International Investment (Duan Yongping) latest 13F portfolio: 19 holdings worth $20.0B as of Q1 2026.

Backtested since 2020: mirroring H&H International Investment's reported 13F equity holdings each quarter would have returned +247.6% versus +180.1%for the S&P 500 (+22.2% annualized). See the Performance tab for the full equity curve.

Investor:  Duan Yongping

Number of Assets:  19

Reporting Period:   Q1 - 2026

Holdings at Report:   $20,003,996,234

Return $ Since Report:   +$2,310,514,296

Return % Since Report:   +11.55%

13F Holdings

Company
Position
Activity
Shares
Port. %
Rep. Price
Curr. Price
Rep. Value
Curr. Value
Return Value
Return %
Alphabet Inc. (GOOG)
Equity
+99.74%
3,706,000
5.31%
$286.86
$372.47
$1,063,103,160
$1,380,373,820
+$317,270,660
+29.84%
Apple Inc. (AAPL)
Equity
-10.55%
28,945,607
36.72%
$253.79
$303.42
$7,346,105,601
$8,782,676,076
+$1,436,570,475
+19.56%
Berkshire Hathaway Inc. (BRK-B)
Equity
+27.47%
9,147,796
21.91%
$479.20
$513.14
$4,383,623,843
$4,694,100,039
+$310,476,196
+7.08%
Circle Internet Group (CRCL)
Equity
+100%
200,000
0.10%
$95.41
$60.35
$19,082,000
$12,070,000
-$7,012,000
-36.75%
Credo Technology Group Holding Ltd (CRDO)
Equity
+431.63%
751,200
0.35%
$93.87
$218.35
$70,515,144
$164,024,520
+$93,509,376
+132.61%
Innodata Inc. (INOD)
Equity
+100%
10,000
0.00%
$38.62
$63.26
$386,200
$632,600
+$246,400
+63.80%
Nvidia Corp. (NVDA)
Equity
+91.29%
13,843,775
12.07%
$174.40
$206.64
$2,414,354,360
$2,860,677,666
+$446,323,306
+18.49%
Tempus Ai Inc. (TEM)
Equity
-81.82%
20,000
0.00%
$45.22
$46.05
$904,400
$921,000
+$16,600
+1.84%
Tesla Inc. (TSLA)
Equity
+100%
3,408,900
6.34%
$371.75
$322.08
$1,267,258,575
$1,097,938,512
-$169,320,063
-13.36%
UnitedHealth Group Inc. (UNH)
Equity
+100%
601,400
0.81%
$270.59
$415.36
$162,732,826
$249,797,504
+$87,064,678
+53.50%
CrowdStrike Holdings Inc. (CRWD)
Equity
+100%
10,000
0.02%
$390.41
$202.54
$3,904,100
$2,025,400
-$1,878,700
-48.12%
The Walt Disney Company (DIS)
Equity
+112.33%
1,511,800
0.73%
$96.38
$98.14
$145,707,284
$148,368,052
+$2,660,768
+1.83%
Microsoft Corp. (MSFT)
Equity
+18.28%
1,016,000
1.88%
$370.17
$487.65
$376,092,720
$495,452,400
+$119,359,680
+31.74%
Occidental Petroleum Corp. (OXY)
Equity
-22.10%
10,261,500
3.33%
$65.00
$55.47
$666,997,500
$569,205,405
-$97,792,095
-14.66%
Palantir Technologies Inc. (PLTR)
Equity
+100%
60,000
0.04%
$146.28
$125.65
$8,776,800
$7,539,000
-$1,237,800
-14.10%
PDD Holdings Inc. (PDD)
Equity
+71.18%
19,748,294
10.09%
$102.18
$90.15
$2,017,880,681
$1,780,308,704
-$237,571,977
-11.77%
Snowflake Inc. (SNOW)
Equity
+100%
10,000
0.01%
$150.82
$307.53
$1,508,200
$3,075,300
+$1,567,100
+103.91%
Synopsys Inc. (SNPS)
Equity
+100%
10,000
0.02%
$396.48
$392.07
$3,964,800
$3,920,700
-$44,100
-1.11%
Taiwan Semiconductor Manufacturing Company Limited (TSM)
Equity
-87.65%
151,200
0.26%
$337.95
$406.11
$51,098,040
$61,403,832
+$10,305,792
+20.17%