Hedge Fund · CIK 0001709323

Li Lu

Himalaya Capital
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Li Lu runs Himalaya Capital, a hedge fund overseeing $3.57B in disclosed equity holdings (SEC CIK 0001709323). The latest 13F filing (2025Q4) discloses 9 positions across 5 sectors, with the largest positions in GOOG, GOOGL and BAC. On a mark-to-market basis the tracked portfolio has returned 50.9% over the past year. OpenStocks tracks 33 consecutive 13F filings for this manager — every position change, new entry, and exit is logged below.

Portfolio
$3.57B
Positions
9
Quarter
2025Q4
Filings tracked
33
1Y+50.9%5Y+283.9%Full performance →

Holdings

Sorted by value · 2025Q4
9 positions
1
GOOGALPHABET INC
Communication Services·Internet Content & Information
22.31%
of portfolio
Avg buy
$95.78
2020Q2
Current
$332.77
Return
+247.4%
Last action
Added 3.8%
2025Q4
2,543,300 sh
$796.05M
2
GOOGLALPHABET INC
Communication Services·Internet Content & Information
21.55%
of portfolio
Avg buy
$40.70
2022Q2
Current
$336.02
Return
+725.5%
Last action
Trimmed 3.6%
2025Q4
2,451,300 sh
$769.22M
3
BACBK OF AMERICA CORP
Financial Services·Banks - Diversified
16.08%
of portfolio
Avg buy
$20.00
2020Q1
Current
$53.51
Return
+167.6%
Last action
Trimmed 24.7%
2025Q2
10,431,387 sh
$573.73M
4
PDDPINDUODUO INCADR
Consumer Cyclical·Internet Retail
14.64%
of portfolio
Avg buy
$110.41
2020Q4
Current
Return
Last action
New holding
2025Q2
4,608,000 sh
$522.50M
5
BRK.BBERKSHIRE HATHAWAY INC DEL
12.64%
of portfolio
Avg buy
$272.94
2021Q3
Current
Return
Last action
New holding
2021Q3
897,749 sh
$451.25M
6
EWBCEAST WEST BANCORP INC
Financial Services·Banks - Regional
8.74%
of portfolio
Avg buy
$0.06
2023Q1
Current
Return
Last action
Added 20.9%
2023Q2
2,776,351 sh
$312.03M
7
OXYOCCIDENTAL PETE CORP
Energy·Oil & Gas E&P
1.69%
of portfolio
Avg buy
$63.03
2024Q2
Current
Return
Last action
New holding
2024Q2
1,466,500 sh
$60.30M
8
CROXCROCS INC
Consumer Cyclical·Footwear & Accessories
1.51%
of portfolio
Avg buy
$85.52
2025Q4
Current
$102.25
Return
+19.6%
Last action
New holding
2025Q4
628,159 sh
$53.72M
9
AAPLAPPLE INC
Technology·Consumer Electronics
0.84%
of portfolio
Avg buy
$132.69
2020Q4
Current
$270.23
Return
+103.7%
Last action
Trimmed 65.2%
2025Q1
110,600 sh
$30.07M

Portfolio heatmap

Box size = % of portfolio · color = return since filing

Sector exposure

Share of dollar value across the latest 13F report. Unclassified positions excluded.
(12.6% unclassified, excluded from %)