SEC 13F Intelligence

Harvest Fund Management Co., Ltd / MU

Harvest Fund Management Co., Ltd’s Micron Technology Inc Position

Does Harvest Fund Management Co., Ltd own Micron Technology Inc (MU)? Yes138.4K shares worth $47M (+1.99% of its 13F portfolio) as of Q1 2026, down from 145.1K shares the prior filed quarter.

Position Value
$47M
Q1 2026
Shares
138.4K
% of Portfolio
+1.99%
Quarters Held
29
currently held

Position History MU

Reported value by quarter
Q1 ’19: $202,000Q1 ’19Q2 ’19: $21,000Q3 ’19: $163,000Q4 ’19: $3MQ1 ’20: $219,000Q1 ’20Q2 ’20: $138,000Q3 ’20: $30,000Q4 ’20: $141,000Q1 ’21: $207,000Q1 ’21Q2 ’21: $188,000Q3 ’21: $27,000Q4 ’21: $267,000Q1 ’22: $150,000Q1 ’22Q2 ’22: $107,000Q3 ’22: $64,000Q4 ’22: $83,000Q1 ’23: $412,000Q1 ’23Q2 ’23: $771,000Q3 ’23: $909,000Q4 ’23: $2MQ1 ’24: $7MQ1 ’24Q2 ’24: $14MQ3 ’24: $5MQ4 ’24: $12MQ1 ’25: $14MQ1 ’25Q2 ’25: $15MQ3 ’25: $19MQ4 ’25: $41MQ1 ’26: $47MQ1 ’26filingsflow.com
QuarterSharesValue% of Portfolio
Q1 2026138.4K$47M+1.99%
Q4 2025145.1K$41M+1.56%
Q3 2025111.8K$19M+0.79%
Q2 2025124.1K$15M+0.72%
Q1 2025163.0K$14M+0.70%
Q4 2024142.6K$12M+0.56%
Q3 202451.7K$5M+0.32%
Q2 2024108.7K$14M+1.03%
Q1 202463.1K$7M+0.67%
Q4 202317.9K$2M+0.24%
Q3 202313.4K$909,000+0.16%
Q2 202312.2K$771,000+0.16%
Q1 20236.8K$412,000+0.09%
Q4 20221.7K$83,000+0.02%
Q3 20221.3K$64,000+0.02%
Q2 20221.9K$107,000+0.03%
Q1 20221.9K$150,000+0.03%
Q4 20212.8K$267,000+0.05%
Q3 2021384$27,000+0.01%
Q2 20212.4K$188,000+0.02%
Q1 20212.4K$207,000+0.02%
Q4 20201.9K$141,000+0.01%
Q3 2020643$30,0000.00%
Q2 20202.8K$138,000+0.01%
Q1 20205.4K$219,000+0.03%
Q4 20193.0K$3M+0.27%
Q3 20193.8K$163,000+0.02%
Q2 2019551$21,0000.00%
Q1 20194.9K$202,000+0.03%

Common-stock position only; options are excluded. Quarters where the fund filed no 13F or reported no position are absent. See Harvest Fund Management Co., Ltd’s full portfolio or all institutional holders of MU.