Myriad Asset Management Ltd.

13F Portfolio Filings

Most recent 13F
Q1 2022
Location
North Point, Hong Kong
CIK
0001541349
All SEC filings
View on sec.gov
Holdings Value
Quarter Holdings Value ($000) Top Holdings Form Type Date Filed Filing ID
Q1 2022 88 721,829 PLUG PWR INC, AMERICAN AIRLINES GROUP INC, ENVISTA HOLDINGS CORPORATION, MICROSTRATEGY INC 13F-HR 5/16/2022 000154134922000004
Q4 2021 149 922,629 PLUG PWR INC, AMERICAN AIRLINES GROUP INC, BILIBILI INC, TSLA 13F-HR 2/14/2022 000154134922000001
Q3 2021 159 971,518 PLUG POWER INC, NCL CORP LTD, AMERICAN AIRLINES GROUP INC, IQIYI INC 13F-HR 11/15/2021 000154134921000006
Q2 2021 139 1,341,566 PLUG POWER INC, BILIBILI INC, NCL CORP LTD, IQIYI INC 13F-HR 8/16/2021 000154134921000004
Q1 2021 124 963,612 AMERICAN AIRLS GROUP INC, IQIYI INC, BIDU, BILIBILI INC 13F-HR 5/13/2021 000154134921000003
Q4 2020 83 488,147 PLTR, IQIYI INC, AMERICAN AIRLS GROUP INC, BILIBILI INC 13F-HR 2/11/2021 000154134921000002
Q3 2020 59 460,018 TESLA INC, PLTR, PALO ALTO NETWORKS INC, NIO 13F-HR 11/12/2020 000154134920000007
Q2 2020 53 539,444 TESLA INC, BILIBILI INC, HDB, MRNA 13F-HR 8/11/2020 000154134920000006
Q1 2020 98 668,689 BABA, MICROCHIP TECHNOLOGY INC, TESLA INC, GDS HLDGS LTD 13F-HR 5/5/2020 000154134920000004
Q4 2019 95 825,779 BABA, ZTO, 0XWG.IL, NIO 13F-HR 2/11/2020 000154134920000003
Q3 2019 95 974,676 BABA, UBER, 49BA.SG, ZTO 13F-HR 11/13/2019 000154134919000006
Q2 2019 96 1,068,432 BABA, UBER, 49BA.SG, ALLEGHENY TECHNOLOGIES INC NEW HOLDINGS 11/6/2019 000154134919000005
Q2 2019 95 929,227 BABA, 49BA.SG, ALLEGHENY TECHNOLOGIES INC, AEROJET ROCKETDYNE HLDGS INC 13F-HR 8/7/2019 000154134919000004
Q1 2019 93 1,112,850 BABA, EWZ, MICROCHIP TECHNOLOGY INC, PYPL 13F-HR 5/7/2019 000154134919000003
Q4 2018 64 469,315 QIAGEN NV, ALLEGHENY TECHNOLOGIES INC, MICROCHIP TECHNOLOGY INC, RHT 13F-HR 2/13/2019 000154134919000002
Q3 2018 72 693,278 ALLEGHENY TECHNOLOGIES INC, MSFT, QIAGEN NV, TSM 13F-HR 11/14/2018 000154134918000007
Q2 2018 72 720,268 QIAGEN NV, ALLEGHENY TECHNOLOGIES INC, TTM TECHNOLOGIES INC, MICROCHIP TECHNOLOGY INC 13F-HR 8/13/2018 000154134918000006
Q1 2018 83 1,117,663 MANDATORY EXCHANGEABLE TRUST, MICROCHIP TECHNOLOGY INC, BABA, BIDU 13F-HR 5/11/2018 000154134918000004
Q4 2017 78 1,013,172 MANDATORY EXCHANGEABLE TRUST CONV PFD, MICROCHIP TECHNOLOGY INC, J2 GLOBAL INC, COMM 13F-HR 2/12/2018 000154134918000003
Q3 2017 73 1,029,182 MANDATORY EXCHANGEABLE TRUST CONV PFD, MICROCHIP TECHNOLOGY INC, GOOGL, J2 GLOBAL INC 13F-HR 11/14/2017 000154134917000005
Q2 2017 66 1,432,818 MANDATORY EXCHANGEABLE TRUST CONV PFD, TAL ED GROUP, MICROCHIP TECHNOLOGY INC, J2 GLOBAL INC 13F-HR 8/10/2017 000154134917000004
Q1 2017 63 1,348,142 TAL ED GROUP, MICROCHIP TECHNOLOGY INC, ADVANCED MICRO DEVICES INC, GOOGL 13F-HR 5/12/2017 000154134917000003
Q4 2016 52 1,443,440 NVIDIA CORP, TAL ED GROUP, MICROCHIP TECHNOLOGY INC, ADVANCED MICRO DEVICES INC 13F-HR 2/13/2017 000154134917000002
Q3 2016 61 1,573,000 NVIDIA CORP, GOOGL, MICROCHIP TECHNOLOGY INC, CTRIP COM INTL LTD 13F-HR 11/14/2016 000154134916000013
Q2 2016 45 1,152,206 NVIDIA CORP, TAL ED GROUP, MICROCHIP TECHNOLOGY INC, PRICELINE GRP INC 13F-HR 8/12/2016 000154134916000012
Q1 2016 53 1,039,281 TAL ED GROUP, PRICELINE GRP INC, NVIDIA CORP, QIHOO 360 TECHNOLOGY CO LTD 13F-HR 5/13/2016 000154134916000010
Q4 2015 53 1,016,798 BABA, PRICELINE GRP INC, TAL ED GROUP, NVIDIA CORP 13F-HR 2/5/2016 000154134916000009
Q3 2015 43 785,015 BABA, JARDEN CORP, PRICELINE GRP INC, MOLINA HEALTHCARE INC 13F-HR 11/13/2015 000154134915000006
Q2 2015 51 879,021 VIPSHOP HLDGS LTD, WELLPOINT INC, JARDEN CORP, META 13F-HR 8/14/2015 000154134915000005
Q1 2015 49 1,035,340 JBLU, WELLPOINT INC, JARDEN CORP, TESLA MTRS INC 13F-HR 5/15/2015 000154134915000004
Q4 2014 25 561,184 SANDISK CORP, NOVELLUS SYS INC, TESLA MTRS INC, BABA 13F-HR 2/13/2015 000154134915000003
Q3 2014 28 910,290 BABA, TESLA MTRS INC, BIDU, AAPL 13F-HR 11/13/2014 000154134914000009
Q2 2014 29 284,306 AAPL, BIDU, LVLT, TESLA MTRS INC 13F-HR 8/12/2014 000154134914000006
Q1 2014 37 502,083 TESLA MTRS INC, GOOGL, TCOM, LVS 13F-HR 5/14/2014 000154134914000005
Q4 2013 33 387,470 GOOGL, LVS, MICRON TECHNOLOGY INC, AAPL 13F-HR 2/10/2014 000154134914000002