H&H International Investment

Duan Yongping

$14.7B Portfolio Value
11 Stocks
-4.13% YTD Return
Nov 14, 2025 Last Updated
Portfolio Value Over Time

Current Holdings for H&H International Investment

Stock Click to search
Shares Value % of Portfolio Change Est. Return
AAPL|APPLE INC
34.8M $8.9B
60.42%
TRIM -0.8%
BRK-B|BERKSHIRE HATHAWAY INC DEL
5.2M $2.6B
17.78%
ADD +53.5%
PDD|PDD HOLDINGS INC
8.6M $1.1B
7.72%
TRIM -1.0% -13.25%
OXY|OCCIDENTAL PETE CORP
13.6M $640.5M
4.36%
-22.24%
BABA|ALIBABA GROUP HLDG LTD
2.8M $496.4M
3.38%
TRIM -25.9% +42.14%
GOOG|ALPHABET INC
1.8M $440.9M
3.00%
TRIM -6.9%
MSFT|MICROSOFT CORP
279.2K $144.6M
0.98%
+11.45%
NVDA|NVIDIA CORPORATION
597.8K $111.5M
0.76%
TRIM -38.0% +45.93%
DIS|DISNEY WALT CO
723.0K $82.8M
0.56%
-16.94%
ASML|ASML HOLDING N V
80.0K $77.4M
0.53%
ADD NEW +76.32%
TSM|TAIWAN SEMICONDUCTOR MFG LTD
260.0K $72.6M
0.49%
+70.01%

Trading Activity for H&H International Investment

Stock Click to search
Action Change Shares After Value Est. Return
2025-Q3
AAPL|APPLE INC
SELL -0.82% 34.8M $8.9B
BRK-B|BERKSHIRE HATHAWAY INC DEL
BUY +53.53% 5.2M $2.6B
PDD|PDD HOLDINGS INC
SELL -1.02% 8.6M $1.1B -3.2%
BABA|ALIBABA GROUP HLDG LTD
SELL -25.86% 2.8M $496M -2.7%
GOOG|ALPHABET INC
SELL -6.93% 1.8M $441M
NVDA|NVIDIA CORPORATION
SELL -38.04% 597.8K $112M +37.0%
ASML|ASML HOLDING N V
BUY NEW 80.0K $77M
2025-Q2
AAPL|APPLE INC
BUY +2.61% 35.1M $7.2B
PDD|PDD HOLDINGS INC
BUY +11.72% 8.7M $907M
OXY|OCCIDENTAL PETE CORP
SELL -1.95% 13.6M $569M -25.3%
BABA|ALIBABA GROUP HLDG LTD
SELL -5.92% 3.7M $425M -4.6%
GOOG|ALPHABET INC
BUY +75.17% 1.9M $345M
NVDA|NVIDIA CORPORATION
BUY +49.56% 964.8K $152M
MSFT|MICROSOFT CORP
SELL -6.68% 279.2K $139M +9.9%
TSM|TAIWAN SEMICONDUCTOR MFG LTD
SELL -4.34% 260.0K $59M -4.5%
MRNA|MODERNA INC
SELL EXIT -82.2%
2025-Q1
AAPL|APPLE INC
SELL -16.25% 34.2M $7.6B
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -6.62% 3.4M $1.8B
PDD|PDD HOLDINGS INC
BUY +7.27% 7.8M $918M
GOOG|ALPHABET INC
SELL -70.51% 1.1M $174M
OXY|OCCIDENTAL PETE CORP
BUY +1.83% 13.8M $682M
BABA|ALIBABA GROUP HLDG LTD
SELL -26.94% 4.0M $527M +0.1%
MSFT|MICROSOFT CORP
BUY NEW 299.2K $112M
DIS|DISNEY WALT CO
SELL -3.08% 723.0K $71M -20.0%
NVDA|NVIDIA CORPORATION
BUY NEW 645.1K $70M
TSM|TAIWAN SEMICONDUCTOR MFG LTD
BUY NEW 271.8K $45M
MRNA|MODERNA INC
SELL -49.08% 83.0K $2M -77.0%
2024-Q4
AAPL|APPLE INC
SELL -22.56% 40.9M $10.2B
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -4.26% 3.6M $1.6B
GOOG|ALPHABET INC
SELL -25.66% 3.8M $717M
PDD|PDD HOLDINGS INC
BUY +84.99% 7.2M $701M
OXY|OCCIDENTAL PETE CORP
BUY +47.20% 13.6M $671M
BABA|ALIBABA GROUP HLDG LTD
BUY +0.13% 5.5M $462M
DIS|DISNEY WALT CO
SELL -0.33% 746.0K $83M -24.8%
MRNA|MODERNA INC
BUY +66.84% 163.0K $7M
2024-Q3
AAPL|APPLE INC
SELL -17.45% 52.8M $12.3B
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -3.00% 3.8M $1.7B
GOOG|ALPHABET INC
BUY +0.80% 5.1M $847M
BABA|ALIBABA GROUP HLDG LTD
SELL -13.69% 5.4M $578M -35.6%
PDD|PDD HOLDINGS INC
BUY NEW 3.9M $527M
OXY|OCCIDENTAL PETE CORP
BUY +497.74% 9.2M $475M
MRNA|MODERNA INC
SELL -30.56% 97.7K $7M -54.4%
BAC|BANK AMERICA CORP
SELL EXIT +36.8%
2024-Q2
AAPL|APPLE INC
SELL -1.02% 63.9M $13.5B
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -4.72% 3.9M $1.6B
GOOG|ALPHABET INC
SELL -1.95% 5.0M $922M
BABA|ALIBABA GROUP HLDG LTD
BUY +7.90% 6.3M $454M
OXY|OCCIDENTAL PETE CORP
BUY +35.97% 1.5M $97M
DIS|DISNEY WALT CO
SELL -0.16% 748.5K $74M -22.8%
PDD|PDD HOLDINGS INC
SELL -6.36% 103.0K $14M +8.1%
BAC|BANK AMERICA CORP
SELL -1.64% 107.9K $4M +32.0%
2024-Q1
AAPL|APPLE INC
BUY +8.14% 64.6M $11.1B
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -13.78% 4.1M $1.7B
GOOG|ALPHABET INC
SELL -4.65% 5.1M $780M
BABA|ALIBABA GROUP HLDG LTD
BUY +17.87% 5.8M $423M
OXY|OCCIDENTAL PETE CORP
BUY +157.87% 1.1M $74M
MRNA|MODERNA INC
BUY +0.14% 140.7K $15M
PDD|PDD HOLDINGS INC
BUY NEW 110.0K $13M
JOYY|JOYY INC
SELL EXIT -60.6%
2023-Q4
AAPL|APPLE INC
SELL -2.13% 59.7M $11.5B
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -5.19% 4.7M $1.7B
BABA|ALIBABA GROUP HLDG LTD
BUY +63.11% 5.0M $384M
DIS|DISNEY WALT CO
SELL -6.25% 749.7K $68M -33.8%
OXY|OCCIDENTAL PETE CORP
BUY NEW 440.1K $26M
PDD|PDD HOLDINGS INC
SELL EXIT +32.0%
MRNA|MODERNA INC
BUY +35.10% 140.5K $14M
JOYY|JOYY INC
SELL -0.86% 299.9K $12M -51.2%
BAC|BANK AMERICA CORP
BUY +52.15% 109.7K $4M
2023-Q3
AAPL|APPLE INC
BUY +0.64% 61.0M $10.4B
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -11.62% 5.0M $1.8B
GOOG|ALPHABET INC
SELL -3.58% 5.4M $709M
BABA|ALIBABA GROUP HLDG LTD
SELL -13.32% 3.0M $264M -45.6%
DIS|DISNEY WALT CO
SELL -13.71% 799.7K $65M -37.1%
MRNA|MODERNA INC
SELL -25.71% 104.0K $11M -46.0%
PDD|PDD HOLDINGS INC
BUY NEW 150.0K $15M
OXY|OCCIDENTAL PETE CORP
SELL EXIT +1.2%
BAC|BANK AMERICA CORP
BUY NEW 72.1K $2M
2023-Q2
AAPL|APPLE INC
SELL -4.16% 60.6M $11.8B
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -0.39% 5.7M $1.9B
GOOG|ALPHABET INC
SELL -8.37% 5.6M $675M
BABA|ALIBABA GROUP HLDG LTD
BUY +12.53% 3.5M $292M
OXY|OCCIDENTAL PETE CORP
SELL -49.97% 199.9K $12M -4.8%
MRNA|MODERNA INC
SELL -6.67% 140.0K $17M -37.3%
NTES|NETEASE INC
SELL EXIT +3.8%
2023-Q1
AAPL|APPLE INC
BUY +3.32% 63.3M $10.4B
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -9.66% 5.7M $1.8B
GOOG|ALPHABET INC
BUY +1.84% 6.1M $633M
BABA|ALIBABA GROUP HLDG LTD
BUY +0.41% 3.1M $319M
MRNA|MODERNA INC
SELL -6.25% 150.0K $23M -19.6%
OXY|OCCIDENTAL PETE CORP
BUY NEW 399.6K $25M
ZM|ZOOM VIDEO COMMUNICATIONS IN
SELL EXIT -79.7%
NTES|NETEASE INC
BUY NEW 100.0K $9M
2022-Q4
AAPL|APPLE INC
BUY +23.06% 61.2M $8.0B
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -3.00% 6.3M $1.9B
GOOG|ALPHABET INC
BUY +19.02% 6.0M $530M
BABA|ALIBABA GROUP HLDG LTD
BUY +6.44% 3.1M $273M
ZM|ZOOM VIDEO COMMUNICATIONS IN
SELL -14.30% 179.8K $12M -78.2%
2022-Q3
AAPL|APPLE INC
BUY +17.07% 49.8M $6.9B
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -4.07% 6.5M $1.7B
GOOG|ALPHABET INC
BUY NEW 5.0M $483M
BABA|ALIBABA GROUP HLDG LTD
BUY +3.52% 2.9M $233M
2022-Q2
AAPL|APPLE INC
BUY +20.02% 42.5M $5.8B
GOOG|ALPHABET INC
BUY +59.52% 220.3K $482M
BABA|ALIBABA GROUP HLDG LTD
BUY +7.63% 2.8M $320M
2022-Q1
AAPL|APPLE INC
BUY +17.75% 35.4M $6.2B
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -4.11% 6.8M $2.4B
GOOG|ALPHABET INC
BUY +590.50% 138.1K $386M
BABA|ALIBABA GROUP HLDG LTD
BUY +3.45% 2.6M $285M
XOM|EXXON MOBIL CORP
SELL EXIT +15.4%
MRNA|MODERNA INC
BUY +166.67% 160.0K $28M
BAC|BK OF AMERICA CORP
SELL EXIT +62.5%
WFC|WELLS FARGO CO NEW
SELL EXIT +15.4%
GOTU|GAOTU TECHEDU INC
SELL EXIT -81.7%
2021-Q4
AAPL|APPLE INC
SELL -14.84% 30.1M $5.3B
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -5.93% 7.1M $2.1B
BABA|ALIBABA GROUP HLDG LTD
BUY +3.82% 2.5M $301M
DIS|DISNEY WALT CO
BUY +10.73% 926.8K $144M
BAC|BK OF AMERICA CORP
SELL -64.39% 552.9K $25M +60.8%
GOOG|ALPHABET INC
BUY +100.00% 20.0K $58M
MRNA|MODERNA INC
BUY NEW 60.0K $15M
2021-Q3
AAPL|APPLE INC
SELL -10.41% 35.3M $5.0B
BRK-B|BERKSHIRE HATHAWAY INC DEL
BUY +4.90% 7.5M $2.0B
BABA|ALIBABA GROUP HLDG LTD
BUY +110.20% 2.4M $361M
BAC|BK OF AMERICA CORP
BUY +180.74% 1.6M $66M
ZM|ZOOM VIDEO COMMUNICATIONS IN
BUY NEW 209.8K $55M
JOYY|JOYY INC
BUY +168.89% 302.5K $17M
GOTU|GAOTU TECHEDU INC
BUY +190.29% 152.4K $468000
2021-Q2
AAPL|APPLE INC
BUY +11.69% 39.4M $5.4B
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -7.29% 7.1M $2.0B
GOOG|ALPHABET INC
SELL -96.43% 10.0K $25M
BABA|ALIBABA GROUP HLDG LTD
BUY NEW 1.2M $263M
BAC|BK OF AMERICA CORP
SELL -64.39% 553.0K $23M +59.2%
TM|TOYOTA MOTOR CORP
SELL EXIT +19.4%
JOYY|JOYY INC
BUY +55.17% 112.5K $7M
GOTU|GAOTU TECHEDU INC
BUY NEW 52.5K $775000
2021-Q1
AAPL|APPLE INC
BUY +25.57% 35.3M $4.3B
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -13.80% 7.7M $2.0B
GOOG|ALPHABET INC
BUY +0.39% 280.0K $579M
AMZN|AMAZON COM INC
SELL EXIT
DIS|DISNEY WALT CO
SELL -19.28% 837.0K $154M +37.2%
BAC|BK OF AMERICA CORP
SELL -64.61% 1.6M $60M +32.0%
JOYY|JOYY INC
SELL -93.48% 72.5K $7M +32.0%
TM|TOYOTA MOTOR CORP
BUY +5.76% 335.9K $52M
DAL|DELTA AIR LINES INC DEL
SELL EXIT +82.6%
META|FACEBOOK INC
SELL EXIT
GE|GENERAL ELECTRIC CO
SELL EXIT
SBUX|STARBUCKS CORP
SELL EXIT
2020-Q4
AAPL|APPLE INC
BUY +1.92% 28.1M $3.7B
BRK-B|BERKSHIRE HATHAWAY INC DEL
BUY +0.85% 8.9M $2.1B
GOOG|ALPHABET INC
BUY +7.72% 278.9K $489M
DIS|DISNEY WALT CO
SELL -54.13% 1.0M $188M +4.5%
BAC|BK OF AMERICA CORP
SELL -22.86% 4.4M $133M +4.1%
JOYY|JOYY INC
BUY NEW 1.1M $89M
TM|TOYOTA MOTOR CORP
BUY +18.68% 317.6K $49M
2020-Q3
AAPL|APPLE INC
BUY +282.55% 27.6M $3.2B
BRK-B|BERKSHIRE HATHAWAY INC DEL
BUY +4.29% 8.9M $1.9B
GOOG|ALPHABET INC
BUY +44.72% 258.9K $380M
DIS|DISNEY WALT CO
SELL -0.45% 2.3M $280M -6.1%
META|FACEBOOK INC
SELL -93.65% 40.0K $10M
BAC|BK OF AMERICA CORP
BUY NEW 5.7M $137M
DAL|DELTA AIR LINES INC DEL
SELL -90.24% 400.0K $12M +17.7%
MMM|3M CO
SELL EXIT +1.8%
SOGOGBP|SOGOU INC
SELL EXIT
2020-Q2
AAPL|APPLE INC
BUY +8.26% 7.2M $2.6B
BRK-B|BERKSHIRE HATHAWAY INC DEL
BUY +393.79% 8.5M $1.5B
DIS|DISNEY WALT CO
BUY +10.24% 2.3M $253M
AMZN|AMAZON COM INC
SELL -32.20% 60.0K $166M
META|FACEBOOK INC
SELL -33.39% 630.4K $143M
DAL|DELTA AIR LINES INC DEL
BUY NEW 4.1M $115M
PDD|PINDUODUO INC
SELL EXIT -46.4%
TM|TOYOTA MOTOR CORP
BUY +138.09% 267.6K $34M
BAC|BK OF AMERICA CORP
SELL -33.33% 400.0K $10M -29.4%
BIIB|BIOGEN INC
SELL EXIT +2.0%
GILD|GILEAD SCIENCES INC
SELL EXIT +13.1%
2020-Q1
AAPL|APPLE INC
BUY +105.04% 6.7M $1.7B
BRK-B|BERKSHIRE HATHAWAY INC DEL
BUY +80.06% 1.7M $315M
AMZN|AMAZON COM INC
SELL -47.94% 88.5K $173M
GOOG|ALPHABET INC
BUY +11.81% 178.9K $208M
DIS|DISNEY WALT CO
BUY NEW 2.1M $199M
META|FACEBOOK INC
BUY +5.57% 946.4K $158M
PDD|PINDUODUO INC
BUY +112.10% 2.0M $73M
XOM|EXXON MOBIL CORP
BUY +79.94% 899.7K $34M
MMM|3M CO
BUY NEW 119.9K $16M
TM|TOYOTA MOTOR CORP
BUY NEW 112.4K $13M
BAC|BK OF AMERICA CORP
BUY NEW 600.0K $13M
BIIB|BIOGEN INC
BUY NEW 10.0K $3M
GILD|GILEAD SCIENCES INC
BUY NEW 10.5K $785000
2019-Q4
AAPL|APPLE INC
SELL -5.59% 3.2M $953M
AMZN|AMAZON COM INC
BUY +325.00% 170.0K $314M
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -20.06% 956.6K $217M
GOOG|ALPHABET INC
SELL -15.79% 160.0K $214M
META|FACEBOOK INC
SELL -14.33% 896.5K $184M
PDD|PINDUODUO INC
BUY +100.40% 957.5K $36M
XOM|EXXON MOBIL CORP
BUY +8.70% 500.0K $35M
BAC|BANK AMER CORP
SELL EXIT +14.7%
WFC|WELLS FARGO CO NEW
SELL -43.33% 136.0K $7M +14.6%
SOGOGBP|SOGOU INC
BUY +76.47% 240.0K $1M
2019-Q3
AAPL|APPLE INC
SELL -11.32% 3.4M $770M
BRK-B|BERKSHIRE HATHAWAY INC DEL
BUY +34.45% 1.2M $249M
GOOG|ALPHABET INC
BUY +11.37% 190.0K $232M
META|FACEBOOK INC
BUY +15.20% 1.0M $186M
AMZN|AMAZON COM INC
BUY +33.33% 40.0K $69M
XOM|EXXON MOBIL CORP
BUY +76.92% 460.0K $32M
BAC|BANK AMER CORP
SELL -28.25% 409.6K $12M +2.0%
PDD|PINDUODUO INC
BUY +2.14% 477.8K $15M
WFC|WELLS FARGO CO NEW
BUY +4.39% 240.0K $1M
SOGOGBP|SOGOU INC
SELL -43.33% 136.0K $7M
2019-Q2
AAPL|APPLE INC
BUY +43.66% 3.9M $785M
BRK-B|BERKSHIRE HATHAWAY INC DEL
SELL -6.32% 890.0K $190M
GOOG|ALPHABET INC
BUY +143.71% 170.6K $184M
META|FACEBOOK INC
BUY +1.36% 908.4K $175M
AMZN|AMAZON COM INC
BUY +200.00% 30.0K $57M
XOM|EXXON MOBIL CORP
BUY NEW 260.0K $20M
BAC|BANK AMER CORP
BUY NEW 570.9K $17M
WFC|WELLS FARGO CO NEW
BUY NEW 229.9K $11M
PDD|PINDUODUO INC
BUY +17.98% 467.8K $10M
SOGOGBP|SOGOU INC
BUY +118.18% 240.0K $984000

Closed Positions for H&H International Investment

Stock Click to search
Held Period Cost Basis Sale Proceeds Realized Gain Return CAGR
MRNA|MODERNA INC
2021-Q4 → 2025-Q2 (3.5y) $39.0M $15.5M $-23.5M -60.1% -23.2%
JOYY|JOYY INC
2020-Q4 → 2024-Q1 (3.2y) $108.7M $126.4M $+17.7M +16.3% +4.8%
PDD|PDD HOLDINGS INC
2023-Q3 → 2023-Q4 (0.2y) $12.6M $16.6M $+4.0M +32.0% +32.0%
OXY|OCCIDENTAL PETE CORP
2023-Q1 → 2023-Q3 (0.5y) $24.8M $24.4M $-439.2K -1.8% -3.5%
NTES|NETEASE INC
2023-Q1 → 2023-Q2 (0.2y) $8.6M $9.0M $+327.0K +3.8% +3.8%
ZM|ZOOM VIDEO COMMUNICATIONS IN
2021-Q3 → 2023-Q1 (1.5y) $73.1M $15.0M $-58.1M -79.5% -65.4%
BAC|BK OF AMERICA CORP
2023-Q3 → 2022-Q1 (2.0y) $193.1M $248.4M $+55.3M +28.6% +13.4%
XOM|EXXON MOBIL CORP
2019-Q2 → 2022-Q1 (2.7y) $61.1M $70.5M $+9.4M +15.4% +5.4%
WFC|WELLS FARGO CO NEW
2019-Q2 → 2022-Q1 (2.7y) $11.2M $12.8M $+1.7M +15.1% +5.2%
GOTU|GAOTU TECHEDU INC
2021-Q2 → 2022-Q1 (0.7y) $1.6M $288.0K $-1.3M -81.7% -89.7%
TM|TOYOTA MOTOR CORP
2020-Q1 → 2021-Q2 (1.2y) $44.5M $53.1M $+8.6M +19.4% +15.3%
DAL|DELTA AIR LINES INC DEL
2020-Q2 → 2021-Q1 (0.7y) $99.7M $123.6M $+23.9M +24.0% +33.4%
MMM|3M CO
2020-Q1 → 2020-Q3 (0.5y) $15.9M $16.2M $+278.7K +1.8% +3.5%
BIIB|BIOGEN INC
2020-Q1 → 2020-Q2 (0.2y) $3.0M $3.0M $+59.8K +2.0% +2.0%
GILD|GILEAD SCIENCES INC
2020-Q1 → 2020-Q2 (0.2y) $711.5K $804.8K $+93.3K +13.1% +13.1%