Core Viewpoint - Jinglin Asset has reduced its holdings in Nvidia while increasing its positions in Google and Pinduoduo, reflecting a strategic shift in its investment focus towards companies with strong growth potential in the AI sector [1][9]. Holdings Summary - As of December 31, 2025, Jinglin Asset's total market value in US stocks was $4.045 billion, down 8.92% from $4.441 billion at the end of the previous quarter [2][10]. - The company made one new purchase, added to five stocks, sold out of three stocks, and reduced holdings in ten stocks during the fourth quarter [2][10]. - The top ten holdings accounted for 82.85% of the total portfolio, indicating a concentrated investment strategy [2][11]. Major Adjustments - Significant reductions included 1.5409 million shares of Nvidia, which represented over 60% of its previous holdings, and 229,100 shares of Meta, dropping it from the top position to the second [3][11]. - Conversely, Jinglin Asset increased its stake in Alphabet (Google) by 929,700 shares, making it the largest holding [4][11]. - The firm also initiated a position in Broadcom, acquiring 245,800 shares, highlighting its focus on companies closely tied to AI technology [3][11]. Sector Focus - The AI industry remains a core focus for Jinglin Asset, with the belief that the penetration and transformation of AI across various sectors are just beginning [7][8]. - The company continues to express confidence in the Chinese consumer and e-commerce sectors, as evidenced by the increased holdings in Pinduoduo, which saw an addition of 611,300 shares [6][15]. - In the transportation sector, there was a notable reduction in holdings, including a significant cut in shares of the autonomous driving company WeRide and a complete exit from Uber, indicating a cautious stance in this area [6][15]. Investment Strategy - Jinglin Asset emphasizes a balanced investment approach, focusing on companies with strong customer loyalty, pricing power, and product differentiation [17]. - The firm aims to build a globally diversified investment portfolio by selecting companies with reliable valuations and cash flows, adapting to the high volatility in the market [8][17].
千亿私募巨头,第一大重仓股变了!