DOSSIER · 13F Holders · Q2 2026Technology · Services-Prepackaged Software
YMM

FULL TRUCK ALLIANCE CO LTD

254 institutions still hold FULL TRUCK ALLIANCE CO LTD as of Q2 2026. Tracked across SEC 13F-HR filings, with insider and 13D/G activity surfaced alongside.

CUSIP 35969L108·Services-Prepackaged Software·254 13F holders·last filed Jun 30, 2026
Market cap
13F value held
$4.6B
visible holders
Holders
254
filers reporting
Concentration
16.37%
First Beijing Investment Ltd #1
top holder share
AI Holders Summary · Q2 2026

254 institutions reported YMM in Q2 2026. First Beijing Investment Ltd leads at 16.4% of the visible book.

Top holders

Sorted by position value. Source: SEC EDGAR 13F-HR filings.

#HolderValueShares% port.Quarter
01
First Beijing Investment Ltd
CIK 0001701717
$745M91.8M30.50%Q2 2026
02
Invesco Ltd.
CIK 0000914208
$504M62.1M0.04%Q2 2026
03
FIL Ltd
CIK 0000318989
$491M60.5M0.35%Q2 2026
04
Greenwoods Asset Management Hong Kong Ltd.
CIK 0001848138
$320M39.5M14.66%Q2 2026
05
BlackRock, Inc.
CIK 0002012383
$261M32.1M0.00%Q2 2026
06
Krane Funds Advisors LLC
CIK 0001536592
$230M28.4M8.16%Q2 2026
07
DAVIS SELECTED ADVISERS
CIK 0001036325
$224M27.6M0.96%Q2 2026
08
VANGUARD CAPITAL MANAGEMENT LLC
CIK 0002100119· Index
$191M23.5M0.00%Q2 2026
09
JPMORGAN CHASE & CO
CIK 0000019617
$187M23.2M0.01%Q2 2026
10
Mitsubishi UFJ Trust & Banking Corp
CIK 0001462160
$182M22.5M0.40%Q2 2026
11
Aspex Management (HK) Ltd
CIK 0001768375
$181M21.8M2.62%Q1 2026
12
All-Stars Investment Ltd
CIK 0001633603
$178M21.9M89.45%Q2 2026
13
Alpine Investment Management Ltd
CIK 0001964631
$140M17.2M33.99%Q2 2026
14
WFM ASIA (BVI) Ltd
CIK 0001632574
$122M14.7M19.24%Q1 2026
15
SCHRODER INVESTMENT MANAGEMENT GROUP
CIK 0001086619
$112M13.8M0.08%Q2 2026
16
SC US (TTGP), LTD.
CIK 0001607841
$106M13.1M0.33%Q2 2026
17
North of South Capital LLP
CIK 0002033334
$105M12.9M7.73%Q2 2026
18
Pinpoint Asset Management Ltd
CIK 0001803237
$99M7.7M17.14%Q1 2025
19
MORGAN STANLEY
CIK 0000895421
$87M10.7M0.00%Q2 2026
20
OLP CAPITAL MANAGEMENT Ltd
CIK 0001738126
$87M10.7M21.75%Q2 2026
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