Ariose Capital Management Ltd holdings history

122 is the total number of securities Ariose Capital Management Ltd has owned. The longest Ariose Capital Management Ltd has owned a single stock is 18 quarters.

Ariose Capital Management Ltd historical holdings. Includes current and past holdings.
Period Weighting Quarter
TickerNameLongestShortestMin.Avg.Max.FirstLatest↓ Count
TAL TAL EDUCATION GROUP1110.37%22.81%67.42%Q4 2015Q4 202218
BABA ALIBABA GROUP HLDG LTD514.54%22.12%76.75%Q1 2016Q3 202317
JD JD.COM INC512.50%15.24%39.92%Q4 2015Q2 202313
NTES NETEASE INC514.10%20.96%36.95%Q2 2016Q3 202312
TSLA TESLA INC413.04%10.43%33.26%Q3 2017Q3 20238
DQ DAQO NEW ENERGY CORP313.56%18.24%39.81%Q4 2020Q3 20237
BGNE BEIGENE LTD510.34%4.08%12.36%Q3 2016Q4 20197
SINA SINA CORP310.42%11.52%27.26%Q2 2016Q4 20206
NVDA NVIDIA CORPORATION212.80%7.31%19.68%Q3 2017Q4 20216
NOC NORTHROP GRUMMAN CORP211.75%9.82%22.00%Q4 2019Q4 20225
BIDU BAIDU INC213.13%7.75%18.92%Q3 2016Q4 20205
EDU NEW ORIENTAL ED & TECH...212.90%7.30%12.37%Q3 2017Q4 20215
WB WEIBO CORP210.80%7.12%20.90%Q3 2016Q1 20235
CAN CANAAN INC210.34%23.58%38.32%Q1 2021Q2 20234
CTRP CTRIP COM INTL LTD117.13%22.83%41.44%Q4 2015Q4 20184
HTHT CHINA LODGING GROUP LTD4419.07%21.74%26.98%Q2 2017Q1 20184
CBPO CHINA BIOLOGIC PRODS INC227.56%10.61%16.97%Q4 2015Q4 20164
NFLX NETFLIX INC210.48%10.61%27.15%Q1 2020Q1 20224
NEW ORIENTAL ED & TECH...446.84%8.80%11.60%Q2 2022Q1 20234
TCOM TRIP COM GROUP LTD313.28%8.65%18.18%Q1 2020Q3 20234
NOAH NOAH HLDGS LTD441.91%5.29%7.54%Q4 2015Q3 20164
MOMO MOMO INC110.87%4.42%7.70%Q3 2016Q1 20204
ACMR ACM RESH INC440.92%4.23%7.69%Q4 2022Q3 20234
BILI BILIBILI INC214.82%19.08%29.04%Q2 2018Q2 20203
MU MICRON TECHNOLOGY INC215.10%13.53%24.31%Q4 2020Q2 20233
EL LAUDER ESTEE COS INC111.38%7.27%12.73%Q1 2020Q4 20213
MSFT MICROSOFT CORP212.61%4.70%5.96%Q1 2020Q4 20203
NFH NEW FRONTIER HEALTH CORP331.81%2.46%2.88%Q1 2020Q3 20203
FENG PHOENIX NEW MEDIA LTD330.28%2.38%4.85%Q1 2021Q3 20213
ICON ICONIX BRAND GROUP INC330.86%1.60%2.73%Q2 2016Q4 20163
COE CHINA ONLINE ED GROUP330.50%1.28%1.74%Q2 2016Q4 20163
LI LI AUTO INC1124.72%36.85%48.98%Q2 2022Q1 20232
YUMC YUM CHINA HLDGS INC2224.80%25.50%26.20%Q2 2019Q3 20192
AMAT APPLIED MATLS INC1111.60%22.09%32.58%Q1 2019Q4 20222
GLD SPDR GOLD TRUST113.52%16.01%28.51%Q3 2019Q1 20202
PDD PINDUODUO INC118.55%13.26%17.98%Q3 2018Q2 20202
RBLX ROBLOX CORP116.95%11.71%16.47%Q2 2021Q4 20212
BEKE KE HLDGS INC222.61%8.40%14.19%Q4 2022Q1 20232
CRSP CRISPR THERAPEUTICS AG226.78%8.04%9.30%Q4 2021Q1 20222
EHIC EHI CAR SVCS LTD227.43%7.47%7.51%Q4 2015Q1 20162
WYNN WYNN RESORTS LTD112.49%7.40%12.30%Q1 2016Q1 20202
CSIQ CANADIAN SOLAR INC115.15%6.23%7.31%Q4 2021Q1 20232
LMT LOCKHEED MARTIN CORP114.51%5.96%7.40%Q4 2019Q3 20232
IQ IQIYI INC110.76%5.50%10.24%Q1 2018Q2 20192
AMZN AMAZON COM INC220.47%5.45%10.43%Q1 2020Q2 20202
BZUN BAOZUN INC112.20%5.24%8.29%Q3 2017Q1 20182
SDC SMILEDIRECTCLUB INC222.90%5.05%7.19%Q2 2020Q3 20202
SPLK SPLUNK INC113.01%4.81%6.61%Q2 2020Q4 20202
NKE NIKE INC111.56%4.17%6.77%Q1 2020Q4 20212
MBBYF MOBILEYE N V AMSTELVEEN223.09%3.89%4.69%Q1 2016Q2 20162
LULU LULULEMON ATHLETICA INC111.04%3.75%6.46%Q1 2020Q2 20212
H HYATT HOTELS CORP112.53%2.87%3.20%Q1 2020Q3 20202
CAT CATERPILLAR INC110.84%2.77%4.70%Q3 2022Q1 20232
ISRG INTUITIVE SURGICAL INC221.09%2.29%3.48%Q1 2020Q2 20202
VIPS VIPSHOP HLDGS LTD110.63%1.71%2.78%Q3 2016Q1 20172
MRNA MODERNA INC221.05%1.55%2.06%Q1 2020Q2 20202
HOLI HOLLYSYS AUTOMATION TC...220.67%0.75%0.84%Q2 2023Q3 20232
ATOUR LIFESTYLE HOLDIN...220.62%0.69%0.76%Q2 2023Q3 20232
ESV ENSCO PLC1158.65%58.65%58.65%Q3 2018Q3 20181
EXP EAGLE MATLS INC1129.68%29.68%29.68%Q1 2021Q1 20211
INMD INMODE LTD1120.40%20.40%20.40%Q2 2021Q2 20211
NEM NEWMONT CORP1117.96%17.96%17.96%Q2 2021Q2 20211
QQQ INVESCO QQQ TR1117.94%17.94%17.94%Q1 2020Q1 20201
GDS GDS HLDGS LTD1117.02%17.02%17.02%Q2 2021Q2 20211
HTHT HUAZHU GROUP LTD1116.71%16.71%16.71%Q2 2018Q2 20181
QCOM QUALCOMM INC1115.12%15.12%15.12%Q4 2021Q4 20211
HUYA HUYA INC1112.93%12.93%12.93%Q2 2018Q2 20181
AZN ASTRAZENECA PLC1112.56%12.56%12.56%Q4 2019Q4 20191
DDOG DATADOG INC119.75%9.75%9.75%Q2 2020Q2 20201
YY YY INC119.13%9.13%9.13%Q4 2018Q4 20181
FB FACEBOOK INC118.01%8.01%8.01%Q4 2019Q4 20191
WBAI 500 COM LTD117.40%7.40%7.40%Q4 2015Q4 20151
U UNITY SOFTWARE INC116.28%6.28%6.28%Q2 2023Q2 20231
TRMB TRIMBLE INC115.70%5.70%5.70%Q4 2016Q4 20161
SOHU SOHU COM LTD115.04%5.04%5.04%Q3 2019Q3 20191
GDX VANECK VECTORS ETF TR114.92%4.92%4.92%Q1 2018Q1 20181
LRCX LAM RESEARCH CORP114.57%4.57%4.57%Q4 2022Q4 20221
CUK CARNIVAL PLC114.21%4.21%4.21%Q3 2020Q3 20201
ALGN ALIGN TECHNOLOGY INC113.58%3.58%3.58%Q1 2020Q1 20201
MYL MYLAN N V113.56%3.56%3.56%Q3 2019Q3 20191
INTC INTEL CORP113.51%3.51%3.51%Q3 2020Q3 20201
SE SEA LTD113.41%3.41%3.41%Q3 2020Q3 20201
LU LUFAX HOLDING LTD113.36%3.36%3.36%Q4 2022Q4 20221
KC KINGSOFT CLOUD HLDGS LTD113.35%3.35%3.35%Q2 2020Q2 20201
CYOU CHANGYOU COM LTD113.34%3.34%3.34%Q3 2016Q3 20161
SOXX ISHARES TR113.20%3.20%3.20%Q1 2020Q1 20201
MAR MARRIOTT INTL INC NEW113.17%3.17%3.17%Q3 2020Q3 20201
AAPL APPLE INC112.95%2.95%2.95%Q4 2020Q4 20201
PYPL PAYPAL HLDGS INC112.94%2.94%2.94%Q2 2020Q2 20201
YY JOYY INC112.90%2.90%2.90%Q2 2020Q2 20201
GILD GILEAD SCIENCES INC112.88%2.88%2.88%Q1 2020Q1 20201
SFUN SOUFUN HLDGS LTD112.80%2.80%2.80%Q2 2016Q2 20161
CLDT CHATHAM LODGING TR112.74%2.74%2.74%Q1 2017Q1 20171
GS GOLDMAN SACHS GROUP INC112.53%2.53%2.53%Q1 2020Q1 20201
BHP BHP GROUP LTD112.48%2.48%2.48%Q1 2023Q1 20231
JKS JINKOSOLAR HLDG CO LTD112.47%2.47%2.47%Q1 2023Q1 20231
IGV ISHARES TR112.38%2.38%2.38%Q2 2020Q2 20201
BAC BK OF AMERICA CORP112.37%2.37%2.37%Q1 2020Q1 20201
RLX RLX TECHNOLOGY INC112.34%2.34%2.34%Q4 2022Q4 20221
SBUX STARBUCKS CORP112.24%2.24%2.24%Q1 2020Q1 20201
MGM MGM RESORTS INTERNATIONAL112.22%2.22%2.22%Q1 2020Q1 20201
MLCO MELCO CROWN ENTMT LTD112.02%2.02%2.02%Q3 2016Q3 20161
BEDU BRIGHT SCHOLAR ED HLDG...111.58%1.58%1.58%Q4 2017Q4 20171
C CITIGROUP INC111.46%1.46%1.46%Q1 2020Q1 20201
URI UNITED RENTALS INC111.05%1.05%1.05%Q1 2020Q1 20201
AMD ADVANCED MICRO DEVICES...111.05%1.05%1.05%Q1 2020Q1 20201
MO ALTRIA GROUP INC111.02%1.02%1.02%Q1 2020Q1 20201
OI O-I GLASS INC111.00%1.00%1.00%Q1 2020Q1 20201
BK BANK NEW YORK MELLON CORP110.99%0.99%0.99%Q1 2020Q1 20201
RTN RAYTHEON CO110.98%0.98%0.98%Q1 2020Q1 20201
EMR EMERSON ELEC CO110.96%0.96%0.96%Q1 2020Q1 20201
VIAC VIACOMCBS INC110.95%0.95%0.95%Q1 2020Q1 20201
AXTA AXALTA COATING SYS LTD110.95%0.95%0.95%Q1 2020Q1 20201
REGN REGENERON PHARMACEUTICALS110.94%0.94%0.94%Q1 2020Q1 20201
IQV IQVIA HLDGS INC110.92%0.92%0.92%Q1 2020Q1 20201
OLED UNIVERSAL DISPLAY CORP110.92%0.92%0.92%Q1 2020Q1 20201
ST SENSATA TECHNOLOGIES H...110.90%0.90%0.90%Q1 2020Q1 20201
MS MORGAN STANLEY110.89%0.89%0.89%Q1 2020Q1 20201
SOGO SOGOU INC110.86%0.86%0.86%Q4 2017Q4 20171
COTY COTY INC110.86%0.86%0.86%Q1 2020Q1 20201
WEX WEX INC110.85%0.85%0.85%Q1 2020Q1 20201
THC TENET HEALTHCARE CORP110.66%0.66%0.66%Q1 2020Q1 20201

The securities at the top of the list , including TAL EDUCATION GROUP, ALIBABA GROUP HLDG LTD, and JD.COM INC, are the highest-conviction holdings of Ariose Capital Management Ltd.

The conviction is calculated by counting the number of quarters a security has been reported by Ariose Capital Management Ltd. The higher the number, the higher the conviction and longer the holding period.

This page lists all the securities that Ariose Capital Management Ltd owns currently or has owned in the past.