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Krane Funds Advisors LLC

All holdings · as of Dec 31, 2025

159 positions

CompanyClassValueShares% of portfolio
LifeStance Health Group, Inc.LFSTCommon Stock$71.4K10,1470.0%
EVgo Inc$77.9K26,7810.0%
PELOTON INTERACTIVE, INC.$80.4K13,0540.0%
Teladoc Health, Inc.$113.5K16,2200.0%
Microvast Holdings, Inc.MVSTCommon Stock$120.3K42,9760.0%
Solid Power, Inc.$127.7K30,0450.0%
Northwest Bancshares, Inc.$159.0K13,2470.0%
Ralph Lauren Corp$206.9K5850.0%
DT Midstream, Inc.$208.2K1,7400.0%
Consolidated Edison Inc$221.8K2,2330.0%
Morgan Stanley$232.2K1,3080.0%
American Homes 4 Rent$236.2K7,3590.0%
FLOWERS FOODS INC$237.1K21,7920.0%
KINDER MORGAN, INC.$245.1K8,9160.0%
CUMMINS INC$247.6K4850.0%
Main Street Capital CORPMAINCommon Stock$254.4K4,2130.0%
Snap-on Inc$255.3K7410.0%
SOUTHERN COPPER CORPSCCOCommon Stock$258.5K1,8020.0%
CHEVRON CORP$267.5K1,7550.0%
NU HLDGS LTD$281.8K16,8340.0%
DLOCAL LTD$288.0K20,3670.0%
Lucid Group, Inc.LCIDCommon Stock$289.3K27,3720.0%
Regions Financial Corp$321.5K11,8620.0%
Comcast Corp.$323.7K10,8290.0%
Union Pacific Corp$340.5K1,4720.0%
BEST BUY CO INC$345.6K5,1630.0%
Tuya Inc.TUYAADR$347.8K164,8450.0%
MSC Industrial Direct Co., Inc.$352.0K4,1850.0%
Cal-Maine Foods Inc$359.9K4,5230.0%
VERIZON COMMUNICATIONS INC$362.4K8,8980.0%
ALTRIA GROUP, INC.$366.3K6,3530.0%
WeRide Inc.$369.9K42,6120.0%
WP Carey Inc$384.5K5,9740.0%
ILLINOIS TOOL WORKS INC$394.6K1,6020.0%
Philip Morris International Inc.$395.7K2,4670.0%
UPBOUND GROUP, INC.$396.8K22,5980.0%
BRISTOL MYERS SQUIBB CO$397.8K7,3740.0%
Public Storage$404.3K1,5580.0%
VICI PROPERTIES INC.$408.6K14,5310.0%
PAYCHEX INC$412.0K3,6730.0%
T Rowe Price Group Inc$416.5K4,0680.0%
Simon Property Group Inc$428.7K2,3160.0%
Alphabet Inc.$436.2K1,3900.0%
PFIZER INC$437.1K17,5540.0%
PRUDENTIAL FINANCIAL INC$437.7K3,8780.0%
Energizer Holdings, Inc.$439.8K22,1120.0%
FORD MOTOR CO$446.6K34,0380.0%
AbbVie Inc.$449.2K1,9660.0%
Plug Power Inc$469.9K238,5170.0%
Western Union Co/The$472.0K50,6940.0%
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