Full Truck Alliance Co. Ltd. (NYSE:YMM) appears in 249 institutional 13F filings for the quarter ending June 2026.
| # | Institution | CIK | Shares Held | % of Outstanding | Change (QoQ) | Change (%) | Value (USD) |
|---|---|---|---|---|---|---|---|
| 1 | First Beijing Investment Ltd | 0001701717 | 91,790,875 | 8.81% | ▲1,789,980 | +1.99% | $745.34Mn |
| 2 | Invesco Ltd. | 0000914208 | 62,128,513 | 5.96% | ▲2,067,672 | +3.44% | $504.48Mn |
| 3 | FIL Ltd | 0000318989 | 60,524,375 | 5.81% | ▼2,687,196 | -4.25% | $491.46Mn |
| 4 | Greenwoods Asset Management Hong Kong Ltd. | 0001848138 | 39,452,419 | 3.79% | ▼1,505,100 | -3.67% | $320.35Mn |
| 5 | BlackRock, Inc. | 0002012383 | 32,143,971 | 3.08% | ▲31,145,847 | +3,120.44% | $261.01Mn |
| 6 | Krane Funds Advisors LLC | 0001536592 | 28,352,796 | 2.72% | ▼248,133 | -0.87% | $230.22Mn |
| 7 | DAVIS SELECTED ADVISERS | 0001036325 | 27,639,082 | 2.65% | ▼1,124,109 | -3.91% | $224.43Mn |
| 8 | VANGUARD CAPITAL MANAGEMENT LLC | 0002100119 | 23,530,788 | 2.26% | ▼359,254 | -1.50% | $191.07Mn |
| 9 | Jpmorgan Chase & Co | 0000019617 | 23,155,263 | 2.22% | ▲1,081,406 | +4.90% | $187.09Mn |
| 10 | Mitsubishi UFJ Trust & Banking Corp | 0001462160 | 22,471,443 | 2.16% | ▲3,160,527 | +16.37% | $182.47Mn |
| 11 | All-Stars Investment Ltd | 0001633603 | 21,947,164 | 2.11% | ▼148,000 | -0.67% | $178.21Mn |
| 12 | Alpine Investment Management Ltd | 0001964631 | 17,210,388 | 1.65% | ▲6,160,388 | +55.75% | $139.75Mn |
| 13 | WFM ASIA (BVI) Ltd | 0001632574 | 14,210,686 | 1.36% | ▼439,976 | -3.00% | $115.39K |
| 14 | SCHRODER INVESTMENT MANAGEMENT GROUP | 0001086619 | 13,781,521 | 1.32% | ▼20,983,953 | -60.36% | $111.91Mn |
| 15 | SC US (TTGP), LTD. | 0001607841 | 13,057,904 | 1.25% | 0 | 0.00% | $106.03Mn |
| 16 | North of South Capital LLP | 0002033334 | 12,936,046 | 1.24% | ▲1,817,923 | +16.35% | $105.04Mn |
| 17 | Morgan Stanley | 0000895421 | 10,736,456 | 1.03% | ▲1,223,819 | +12.87% | $87.18Mn |
| 18 | OLP CAPITAL MANAGEMENT Ltd | 0001738126 | 10,716,590 | 1.03% | ▼3,051,179 | -22.16% | $87.02Mn |
| 19 | Goldman Sachs Group Inc | 0000886982 | 10,502,067 | 1.01% | ▲2,925,202 | +38.61% | $85.28Mn |
| 20 | BRILLIANCE ASSET MANAGEMENT LTD | 0001665751 | 10,127,735 | 0.97% | ▲3,605,355 | +55.28% | $82.24Mn |