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Fosun International Ltd

Q3 2025 · 13F-HR

Fosun International Ltdholdings as filed

Filed 2025-11-14 · accession 0001104659-25-111706

$267.4M
Reported value
46
Positions
2025-09-30
Period end
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The Brief · Fosun International Ltd · Q3 2025

AI · grounded in 13F

Fosun International Ltd established a new position in LANV valued at $187.9M. The fund also added new holdings in BFLY for $20.7M and ASHR for $17.2M. Other new entries include GOOGL, JG, and HSAI.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
G5380J100LANVLANVIN GROUP HOLDINGS LIMITED$187.9M70.3%90,334,215CommonSHARED
124155102BFLYBUTTERFLY NETWORK INC$20.7M7.73%10,716,630CommonSHARED
233051879ASHRDBX ETF TR$17.2M6.42%520,270CommonSHARED
02079K305GOOGLALPHABET INC$3.8M1.41%15,535CommonSHARED
051857209JGAURORA MOBILE LTD$3.3M1.25%405,199CommonSHARED
428050108HSAIHESAI GROUP$3.1M1.17%111,608CommonSHARED
594918104MSFTMICROSOFT CORP$2.8M1.06%5,450CommonSHARED
44916K106HYPRHYPERFINE INC$2.5M0.94%1,742,020CommonSHARED
91324P102UNHUNITEDHEALTH GROUP INC$2.5M0.92%7,131CommonSHARED
67066G104NVDANVIDIA CORPORATION$2.4M0.90%12,935CommonSHARED
37940XAU6GPN 1.5 03/01/31GLOBAL PMTS INC$1.8M0.68%2,000,000CommonSHARED
00724F101ADBEADOBE INC$1.6M0.61%4,661CommonSHARED
74765K105QSIQUANTUM SI INC$1.0M0.39%743,935CommonSHARED
871607107SNPSSYNOPSYS INC$989,2470.37%2,005CommonSHARED
92826C839VVISA INC$954,1570.36%2,795CommonSHARED
883556102TMOTHERMO FISHER SCIENTIFIC INC$837,1270.31%1,726CommonSHARED
023135106AMZNAMAZON COM INC$807,7980.30%3,679CommonSHARED
639027101NATRNATURES SUNSHINE PRODS INC$741,2040.28%47,758CommonSHARED
548661107LOWLOWES COS INC$644,8610.24%2,566CommonSHARED
573874104MRVLMARVELL TECHNOLOGY INC$643,9770.24%7,660CommonSHARED
363576109AJGGALLAGHER ARTHUR J & CO$642,7110.24%2,075CommonSHARED
037833100AAPLAPPLE INC$636,5750.24%2,500CommonSHARED
15743P104CHACHAGEE HLDGS LTD$635,4700.24%38,397CommonSHARED
G0403H108AONAON PLC$597,9850.22%1,677CommonSHARED
01609W102BABAALIBABA GROUP HLDG LTD$577,2980.22%3,230CommonSHARED
H1467J104CBCHUBB LIMITED$551,5170.21%1,954CommonSHARED
G0260P102ASAMER SPORTS INC$538,6250.20%15,500CommonSHARED
94106L109WMWASTE MGMT INC DEL$530,2130.20%2,401CommonSHARED
30303M102METAMETA PLATFORMS INC$514,0660.19%700CommonSHARED
871829107SYYSYSCO CORP$512,4840.19%6,224CommonSHARED
11135F101AVGOBROADCOM INC$502,4530.19%1,523CommonSHARED
78409V104SPGIS&P GLOBAL INC$479,4090.18%985CommonSHARED
075887109BDXBECTON DICKINSON & CO$471,6680.18%2,520CommonSHARED
00287Y109ABBVABBVIE INC$469,3320.18%2,027CommonSHARED
674599105OXYOCCIDENTAL PETE CORP$415,6580.16%8,797CommonSHARED
G54950103LINLINDE PLC$408,5000.15%860CommonSHARED
032654105ADIANALOG DEVICES INC$327,5180.12%1,333CommonSHARED
872590104TMUST-MOBILE US INC$321,4870.12%1,343CommonSHARED
79466L302CRMSALESFORCE INC$308,5740.12%1,302CommonSHARED
459506101IFFINTERNATIONAL FLAVORS&FRAGRA$267,5140.10%4,347CommonSHARED
244199105DEDEERE & CO$250,1220.09%547CommonSHARED
874039100TSMTAIWAN SEMICONDUCTOR MFG LTD$238,7930.09%855CommonSHARED
235851102DHRDANAHER CORPORATION$237,9120.09%1,200CommonSHARED
878742204TECKTECK RESOURCES LTD$222,3470.08%5,066CommonSHARED
65339F101NEENEXTERA ENERGY INC$207,5220.08%2,749CommonSHARED
191216100KOCOCA COLA CO$200,0210.07%3,016CommonSHARED

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.