Krane Funds Advisors Llc Portfolio Stock Holdings

According to the SEC 13F filed on August 14, 2026, Krane Funds Advisors Llc disclosed 181 stock positions valued at approximately $2.82B as of quarter-end June 30, 2026. The largest holdings include PDD HOLDINGS INC, FULL TRUCK ALLIANCE CO LTD, and TENCENT MUSIC ENTMT GROUP.

Report Period
June 30, 2026
No. of Stocks
181
Portfolio Value
$2.82B
Holdings by Sector
Krane Funds Advisors Llc Portfolio Holdings in Q2 2026
CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
PDD HOLDINGS INCPDDConsumer Cyclical15.63%5,780,324+47,140+0.82%$440,923,115
FULL TRUCK ALLIANCE CO LTDYMMTechnology8.16%28,352,796-248,133-0.87%$230,224,704
TENCENT MUSIC ENTMT GROUPTMECommunication Services6.67%22,543,908+4,659,757+26.06%$188,241,632
KANZHUN LIMITEDBZCommunication Services6.30%13,815,013-412,554-2.90%$177,799,217
TAL ED GROUPTALConsumer Defensive5.88%17,323,005-1,656,039-8.73%$165,781,158
VIPSHOP HLDGS LTDVIPSConsumer Cyclical4.85%10,317,325-1,105,783-9.68%$136,807,730
KRANESHARES TRUSTKWEBOther3.70%4,548,900+387,700+9.32%$104,242,200
STATE STR SPDR S&P 500 ETF TSPYOther3.58%135,100+14,100+11.65%$100,888,627
JOYY INCYYCommunication Services2.53%1,081,062-94,797-8.06%$71,339,281
QFIN HOLDINGS INCQFINFinancial Services1.92%3,427,863-1,645,050-32.43%$54,194,514
AUTOHOME INCATHMCommunication Services1.67%2,477,283-288,317-10.43%$47,142,695
NVIDIA CORPORATIONNVDATechnology1.53%215,758+131,676+156.60%$43,171,018
TESLA INCTSLAConsumer Cyclical1.14%76,460+43,642+132.98%$32,159,076
ALPHABET INCGOOGLCommunication Services0.99%78,073+57,633+281.96%$27,900,948
ADVANCED MICRO DEVICES INCAMDTechnology0.98%47,825+26,901+128.57%$27,782,021
MICROSOFT CORPMSFTTechnology0.98%74,010+49,600+203.20%$27,607,210
ASTERA LABS INCALABTechnology0.91%53,168+34,685+187.66%$25,681,207
META PLATFORMS INCMETACommunication Services0.91%45,508+34,355+308.03%$25,634,201
WEIBO CORPWBCommunication Services0.91%3,522,391-297,904-7.80%$25,572,559
AMAZON COM INCAMZNConsumer Cyclical0.89%105,551+72,825+222.53%$25,157,025
APPLE INCAAPLTechnology0.86%83,806+59,949+251.28%$24,250,104
BROADCOM INCAVGOTechnology0.78%58,002+36,917+175.09%$21,910,256
SNOWFLAKE INCSNOWTechnology0.70%78,007+61,885+383.85%$19,852,782
TEXAS INSTRS INCTXNTechnology0.67%63,100+44,190+233.69%$18,808,217
NEBIUS GROUP N.V.NBISOther0.64%65,175+33,249+104.14%$17,999,380
ARM HOLDINGS PLCARMTechnology0.61%48,236+30,786+176.42%$17,103,039
MICRON TECHNOLOGY INCMUTechnology0.59%14,468+8,703+150.96%$16,700,268
DATADOG INCDDOGTechnology0.58%62,319+39,416+172.10%$16,225,375
PALO ALTO NETWORKS INCPANWTechnology0.55%45,554+26,810+143.03%$15,534,825
PALANTIR TECHNOLOGIES INCPLTRTechnology0.49%119,238+93,209+358.10%$13,911,497
Showing 30 of 181 holdings in the latest reporting period.