Long Corridor Asset Management Ltd
Annual return '25
+1.6%
SPY '25
+17.7%
Alpha
-16.1ptsvs SPY
Invested
$411.3M
Holdings
38
Trades YTD
0
Performance · Fund vs SPY
Cumulative return · quarterly snapshotsCoverage 100%. 4 quarters of 2025 measured against SPY adj-close benchmark.
Top holdings · current snapshot
Source: 13F-HR01
$GOOGL
ALPHABET INC
Held since at least Q1 2024
10.1%
02
$AMZN
AMAZON COM INC
Held since at least Q1 2024
8.6%
03
$META
META PLATFORMS INC
Held since at least Q1 2024
7.4%
04
$AXP
AMERICAN EXPRESS CO
Held since at least Q1 2024
7.2%
05
$MSFT
MICROSOFT CORP
Held since at least Q1 2024
6.8%
06
$MSTR 0 03/01/30
STRATEGY INC
Held since at least Q1 2024
6.4%
07
$UBER
UBER TECHNOLOGIES INC
Held since at least Q1 2024
4.7%
08
$IQ 4.625 03/15/3
IQIYI INC
Held since at least Q1 2024
4.6%
09
$MSTR 2.25 06/15/
STRATEGY INC
Held since at least Q1 2024
3.7%
10
$MARA 0 06/01/31
MARA HOLDINGS INC
Held since at least Q1 2024
3.6%
Recent trades · Last 90 days
No Form 4 / 13D / 13G trade events on file in the recent window. 13F filers report position snapshots quarterly rather than per-trade events, so this section is most useful for managers who also file Form 4 or 13D/G.
Source data: SEC EDGAR · 13F-HR filings · Performance through 2025-12-31 · Last refreshed 14:48 UTC.