Telligent Fund, LP

Q4 2024 13F Holdings

  • Location
    hong kong, K3
  • Num holdings

    26

  • Value ($000)

    $105,039

  • Date Filed
    01/27/2025
  • Form type
    13F-HR
  • CIK
    0001470723
  • All SEC filings
  • Note
    Holdings aggregated across “other managers” listed in original SEC filing, see here for detailed holdings broken out by other managers
Compare Q4 2024 to
Issuer Name
Class
CUSIP
VALUE
%
Shares
Principal
Option Type
NVDA
NVDA

NVIDIA CORP

COMMON STOCK
$16.92M
16 %

126,000

AVGO
AVGO

BROADCOM INC

COMMON STOCK
$10.66M
10 %

46,000

LLY
LLY

ELI LILLY & CO

COMMON STOCK
$8.49M
8 %

11,000

MSFT
MSFT

MICROSOFT CORP

COMMON STOCK
$7.17M
7 %

17,000

META
META

META PLATFORMS INC-CLASS A

COMMON STOCK
$6.44M
6 %

11,000

AMZN
AMZN

AMAZON.COM INC

COMMON STOCK
$5.31M
5 %

24,200

MU
MU

MICRON TECHNOLOGY INC

COMMON STOCK
$4.21M
4 %

50,000

COST
COST

COSTCO WHOLESALE CORP

COMMON STOCK
$4.12M
4 %

4,500

---

ARISTA NETWORKS INC

COMMON STOCK
$3.54M
3 %

32,000

ARM
ARM

ARM HOLDINGS PLC-ADR

ADR
$3.33M
3 %

27,000

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