13F Filings for Oasis Management Co Ltd. (CIK: 1317904)

View the most recent portfolio holdings disclosed by Oasis Management Co Ltd. in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
MTN - VAIL RESORTS INC(Class: COM)1.52M* $238.39M* 27.28%New 1.52M ($238.39M)
IWM - ISHARES TR(Class: RUSSELL 2000 ETF)1.10M* $237.37M* 27.16%New 1.10M ($237.37M)
QQQ - INVESCO QQQ TR(Class: UNIT SER 1)100K* $55.16M* 6.31%Decreased 150K (60.0%, $62.07M)
IBIT - ISHARES BITCOIN TRUST ETF(Class: SHS BEN INT)400K* $24.48M* 2.80%New 400K ($24.48M)
VNET - VNET GROUP INC(Class: SPONSORED ADS A)3.49M $24.07M 2.75%Increased 4K (0.0%, $4.50M)
USO - UNITED STS OIL FD LP(Class: UNITS)300K* $21.93M* 2.51%New 300K ($21.93M)
STRS - STRATUS PPTYS INC(Class: COM NEW)1.14M $21.46M 2.46%Decreased 80 (0.0%, $1.28M)
SQNS - SEQUANS COMMUNICATIONS S A(Class: SPONSORED ADS)14.11M $20.75M 2.37%New 14.11M ($20.75M)
RBA - RB GLOBAL INC(Class: COM)183.24K $19.46M 2.23%Unchanged
RLX - RLX TECHNOLOGY INC(Class: SPONSORED ADS)6.04M $13.34M 1.53%Increased 314.37K (5.0%, $2.58M)
EWY - ISHARES INC(Class: MSCI STH KOR ETF)172.50K* $12.38M* 1.42%N/A -
TBPH - THERAVANCE BIOPHARMA INC(Class: COM)1.12M $12.34M 1.41%Unchanged
QFIN - QIFU TECHNOLOGY INC(Class: AMERICAN DEP)249.18K $10.80M 1.24%Unchanged
APLD - APPLIED DIGITAL CORP(Class: COM NEW)1.03M $10.40M 1.19%Decreased 7.70M (88.0%, $38.68M)
MSOS - ADVISORSHARES TR(Class: PURE US CANNABIS)4.09M $9.85M 1.13%Unchanged
ACMR - ACM RESH INC(Class: COM CL A)376.76K $9.76M 1.12%Increased 23.05K (6.0%, $1.50M)
ATHM - AUTOHOME INC(Class: SP ADS RP CL A)367.98K $9.49M 1.09%Unchanged
KT - KT CORP(Class: SPONSORED ADR)400K $8.31M 0.95%New 400K ($8.31M)
EDU - NEW ORIENTAL ED TECHNOLOGY(Class: SPON ADR)150.42K $8.12M 0.93%Increased 2.55K (1.0%, $1.05M)
SY - SO YOUNG INTERNATIONAL INC(Class: SPONSORED ADS)2.51M $7.77M 0.89%Unchanged
HTHT - H WORLD GROUP LTD(Class: SPONSORED ADS)209.88K $7.12M 0.81%Unchanged
TAL - TAL EDUCATION GROUP(Class: SPONSORED ADS)686.80K $7.02M 0.80%Increased 48K (7.0%, $1.42M)
GCT - GIGACLOUD TECHNOLOGY INC(Class: CLASS A ORD)313K $6.19M 0.71%Decreased 29.18K (8.0%, $1.33M)
SE - SEA LTD(Class: SPONSORD ADS)37K $5.92M 0.68%Unchanged
HUT - HUT 8 CORP(Class: COM)307.81K $5.73M 0.66%New 307.81K ($5.73M)