DOSSIER · 13F-HR · Q2 2026

Yong Rong (HK) Asset Management Ltd

$119M in tracked AUM across 15 positions as of Q2 2026.

YR
CIK 0001738071 · last filed Jun 30, 2026
Total AUM
$119M
as of Q2 2026
Holdings
15
positions
Whale Score
71
71
strong
Activity
no data
changes this Q
AI Analysis · Q2 2026

Yong Rong (HK) Asset Management Ltd filed its latest 13F-HR for Q2 2026. See the latest holdings and position changes below.

Quarter at a glance — Q2 2026

Position-change comparison pending.

No quarter-over-quarter changes available.

Top 10 holdings

By portfolio weight as of Q2 2026.

#HoldingValueSharesWeight
01
TSM
TAIWAN SEMICONDUCTOR MFG LTD
$74M155K62.4%
02
CRCL
CIRCLE INTERNET GROUP INC
$17M266K14.0%
03
PDD
PINDUODUO INC
$13M170K10.9%
04
GDX
VANECK VECTORS ETF TR
$8M100K6.4%
05
G3932F106
SUNRISE NEW ENERGY CO LTD
$4M7.0M3.6%
06
ISPR
ISPIRE TECHNOLOGY INC
$2M1.5M1.4%
07
345370900
FORD MTR CO
$455K122K0.4%
08
67066G904
NVIDIA CORPORATION
$292K11K0.2%
09
722304902
PINDUODUO INC
$288K41K0.2%
10
02079K907
ALPHABET INC
$220K10K0.2%

Filing history

2026Q2Jun 30
$119M 47.7%
15 positionsView →
2026Q1Mar 31
$227M 31.2%
10 positionsView →
2025Q4Dec 31
$330M 23.3%
23 positionsView →
2025Q3Sep 30
$430M 3.7%
17 positionsView →
2025Q2Jun 30
$415M 50.8%
18 positionsLocked
2025Q1Mar 31
$275M 19.2%
19 positionsLocked
2024Q4Dec 31
$231M 33.3%
24 positionsLocked
2024Q3Sep 30
$346M 18.7%
23 positionsLocked
2024Q2Jun 30
$291M 22.5%
17 positionsLocked
2024Q1Mar 31
$376M 41.1%
20 positionsLocked
2023Q4Dec 31
$266M 145.1%
16 positionsLocked
2023Q3Sep 30
$109M 52.3%
14 positionsLocked
Showing 12 of 33