13F Filings History of Myriad Asset Management Ltd.

Latest 13F report
Q1 2022 - 16 May 2022
Value $
$685,890,000
Signature - Title
Larri H Ballin - COO
Location
North Point, Hong Kong
Summary
This page shows a list of all the recent 13F filings made by Myriad Asset Management Ltd.. Form 13F is required to be filed within 45 days of the end of a calendar quarter. Myriad Asset Management Ltd. reported 85 stock holdings with total value $685,890,000 as of Q1 2022. Top holdings included PLUG PWR INC, AMERICAN AIRLINES GROUP INC, ENVISTA HOLDINGS CORPORATION, MICROSTRATEGY INC, and NIO INC.

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Holdings Value
Quarter Holdings Value $ Bought Sold Net Top Holdings Form Type Filing Time
Q1 2022 85 $685,890,000 +$250,057,461 -$490,531,474 -$240,474,013 PLUG PWR INC, AMERICAN AIRLINES GROUP INC, ENVISTA HOLDINGS CORPORATION, MICROSTRATEGY INC, NIO INC 13F-HR 13 May 2022, 20:33
Q4 2021 147 $917,779,000 +$301,850,464 -$331,306,376 -$29,455,912 PLUG PWR INC, AMERICAN AIRLINES GROUP INC, TSLA, FCX, CHEGG INC 13F-HR 11 Feb 2022, 19:28
Q3 2021 157 $960,366,000 +$262,819,252 -$521,370,780 -$258,551,528 PLUG POWER INC, NCL CORP LTD, AMERICAN AIRLINES GROUP INC, BILIBILI INC, IQIYI INC 13F-HR 15 Nov 2021, 18:57
Q2 2021 138 $1,314,495,000 +$697,277,397 -$360,063,614 +$337,213,783 PLUG POWER INC, NCL CORP LTD, BILIBILI INC, AMERICAN AIRLS GROUP INC, MRNA 13F-HR 16 Aug 2021, 06:29
Q1 2021 123 $952,164,000 +$652,784,189 -$230,112,958 +$422,671,231 AMERICAN AIRLS GROUP INC, BIDU, BILIBILI INC, PARA, PINDUODUO INC 13F-HR 13 May 2021, 21:43
Q4 2020 83 $488,147,000 +$317,049,115 -$381,907,431 -$64,858,316 PLTR, AMERICAN AIRLS GROUP INC, BILIBILI INC, JKS, IQIYI INC 13F-HR 10 Feb 2021, 20:45
Q3 2020 59 $460,018,000 +$204,017,507 -$453,440,373 -$249,422,866 TESLA INC, PLTR, PALO ALTO NETWORKS INC, NIO, WORKDAY INC 13F-HR 10 Nov 2020, 19:44
Q2 2020 53 $539,444,000 +$344,338,091 -$549,999,956 -$205,661,865 TESLA INC, BILIBILI INC, TESLA INC, HDB, MRNA 13F-HR 10 Aug 2020, 20:32
Q1 2020 98 $668,689,000 +$375,102,158 -$491,928,071 -$116,825,913 BABA, MICROCHIP TECHNOLOGY INC, TESLA INC, GDS HLDGS LTD, BILI 13F-HR 04 May 2020, 21:40
Q4 2019 93 $816,150,000 +$312,540,988 -$456,812,460 -$144,271,472 BABA, ZTO, IQ, NIO, TERADYNE INC 13F-HR 10 Feb 2020, 19:50
Q3 2019 91 $898,290,000 +$265,942,492 -$336,733,641 -$70,791,149 BABA, UBER, BGNE, ZTO, NEEPRO 13F-HR 12 Nov 2019, 20:21
Q2 2019 92 $1,020,963,000 $0 $0 $0 BABA, UBER, BGNE, ALLEGHENY TECHNOLOGIES INC, AEROJET ROCKETDYNE HLDGS INC New Holdings 05 Nov 2019, 21:29
Q2 2019 92 $1,020,963,000 +$506,986,237 -$529,055,613 -$22,069,376 BABA, UBER, BGNE, ALLEGHENY TECHNOLOGIES INC, AEROJET ROCKETDYNE HLDGS INC 13F-HR 06 Aug 2019, 20:00
Q1 2019 85 $1,016,178,000 +$732,919,482 -$221,138,361 +$511,781,121 BABA, EWZ, MICROCHIP TECHNOLOGY INC, PYPL, ALLEGHENY TECHNOLOGIES INC 13F-HR 06 May 2019, 19:54
Q4 2018 64 $469,315,000 +$237,406,873 -$425,777,537 -$188,370,664 QIAGEN NV, ALLEGHENY TECHNOLOGIES INC, MICROCHIP TECHNOLOGY INC, RHT, BGNE 13F-HR 12 Feb 2019, 19:27
Q3 2018 72 $693,083,000 +$310,394,797 -$367,251,577 -$56,856,780 ALLEGHENY TECHNOLOGIES INC, MSFT, QIAGEN NV, TSM, TTM TECHNOLOGIES INC 13F-HR 13 Nov 2018, 18:49
Q2 2018 72 $720,268,000 +$338,788,967 -$735,677,250 -$396,888,283 QIAGEN NV, ALLEGHENY TECHNOLOGIES INC, TTM TECHNOLOGIES INC, MICROCHIP TECHNOLOGY INC, CSCO 13F-HR 13 Aug 2018, 06:49
Q1 2018 83 $1,117,663,000 +$463,649,514 -$421,031,505 +$42,618,009 MANDATORY EXCHANGEABLE TRUST, MICROCHIP TECHNOLOGY INC, BABA, BIDU, EDU 13F-HR 10 May 2018, 22:00
Q4 2017 78 $1,013,005,000 +$364,303,060 -$359,403,098 +$4,899,962 MANDATORY EXCHANGEABLE TRUST CONV PFD, MICROCHIP TECHNOLOGY INC, J2 GLOBAL INC, COMM, TAL 13F-HR 12 Feb 2018, 07:24
Q3 2017 73 $1,029,182,000 +$275,499,661 -$787,610,431 -$512,110,770 MANDATORY EXCHANGEABLE TRUST CONV PFD, MICROCHIP TECHNOLOGY INC, GOOGL, J2 GLOBAL INC, EA 13F-HR 13 Nov 2017, 18:17
Q2 2017 66 $1,432,818,000 +$603,334,308 -$574,994,938 +$28,339,370 MANDATORY EXCHANGEABLE TRUST CONV PFD, TAL ED GROUP, MICROCHIP TECHNOLOGY INC, J2 GLOBAL INC, WRIGHT MED GROUP N V 13F-HR 09 Aug 2017, 21:43
Q1 2017 63 $1,347,632,000 +$507,944,010 -$759,491,314 -$251,547,304 TAL ED GROUP, MICROCHIP TECHNOLOGY INC, ADVANCED MICRO DEVICES INC, GOOGL, TAKE-TWO INTERACTIVE SOFTWAR 13F-HR 11 May 2017, 21:56
Q4 2016 52 $1,443,440,000 +$303,104,457 -$537,038,148 -$233,933,691 NVIDIA CORP, TAL ED GROUP, MICROCHIP TECHNOLOGY INC, ADVANCED MICRO DEVICES INC, GOOGL 13F-HR 13 Feb 2017, 11:28
Q3 2016 61 $1,573,000,000 +$592,938,980 -$308,097,037 +$284,841,943 NVIDIA CORP, GOOGL, MICROCHIP TECHNOLOGY INC, TAL ED GROUP, PRICELINE GRP INC 13F-HR 14 Nov 2016, 10:27
Q2 2016 45 $1,152,206,000 +$412,412,158 -$327,082,912 +$85,329,246 NVIDIA CORP, TAL ED GROUP, MICROCHIP TECHNOLOGY INC, PRICELINE GRP INC, WUBA 13F-HR 12 Aug 2016, 06:40
Q1 2016 53 $1,039,281,000 +$408,282,197 -$381,810,613 +$26,471,584 TAL ED GROUP, PRICELINE GRP INC, NVIDIA CORP, MICROCHIP TECHNOLOGY INC, MOLINA HEALTHCARE INC 13F-HR 12 May 2016, 21:36
Q4 2015 53 $1,016,516,000 +$394,599,879 -$247,527,134 +$147,072,745 BABA, PRICELINE GRP INC, TAL ED GROUP, NVIDIA CORP, MOLINA HEALTHCARE INC 13F-HR 04 Feb 2016, 21:07
Q3 2015 43 $785,015,000 +$355,406,300 -$389,612,798 -$34,206,498 BABA, JARDEN CORP, PRICELINE GRP INC, MOLINA HEALTHCARE INC, META 13F-HR 13 Nov 2015, 13:29
Q2 2015 51 $879,021,000 +$357,737,414 -$523,183,012 -$165,445,598 VIPSHOP HLDGS LTD, WELLPOINT INC, JARDEN CORP, META, ILLUMINA INC 13F-HR 14 Aug 2015, 06:20
Q1 2015 49 $1,035,340,000 +$601,327,604 -$126,093,238 +$475,234,366 JBLU, WELLPOINT INC, JARDEN CORP, TESLA MTRS INC, LVLT 13F-HR 15 May 2015, 12:18
Q4 2014 25 $561,184,000 +$369,385,500 -$818,648,627 -$449,263,127 SANDISK CORP, NOVELLUS SYS INC, TESLA MTRS INC, BABA, GREENBRIER COS INC 13F-HR 12 Feb 2015, 21:27
Q3 2014 28 $910,290,000 +$740,209,241 -$113,603,417 +$626,605,824 BABA, TESLA MTRS INC, BIDU, AAPL, STERLITE INDS INDIA LTD 13F-HR 13 Nov 2014, 13:01
Q2 2014 29 $284,306,000 +$140,532,185 -$334,391,893 -$193,859,708 AAPL, BIDU, LVLT, TESLA MTRS INC, OZM 13F-HR 11 Aug 2014, 20:06
Q1 2014 37 $502,083,000 +$249,747,718 -$129,239,344 +$120,508,374 TESLA MTRS INC, GOOGL, CTRP, LVS, AAPL 13F-HR 13 May 2014, 19:51
Q4 2013 33 $387,470,000 $0 $0 $0 GOOGL, LVS, MICRON TECHNOLOGY INC, AAPL, OZM 13F-HR 10 Feb 2014, 08:54