MayTech Global Investments, LLC

MayTech Global Investments, LLC latest Q4_2020 13F filings reported $421,082,000 in market value on this 2021-02-10 report date . The portfolio quarterly return is 12.50%. This fund has 58 securities concentrations of 100% weights.

MayTech Global Investments, LLC largest holding is Facebook Inc. Class A with weight of 10.67% and $44,915,000 in market value. The portfolio return is computed based on the amount invested in the new quarter. The following shows the portfolio details.

Portfolio Performance History

FILE DATEREPORT PERIODQTR YEARFILE TYPENOS. OF STOCKSREPORTED VALUERETURN
2021-02-102020-12-31Q4_202013F-HR58$421,082,00012.50%
2020-11-092020-09-30Q3_202013F-HR54$374,296,00017.59%
2020-08-122020-06-30Q2_202013F-HR55$318,314,00045.43%
2020-05-122020-03-31Q1_202013F-HR54$218,879,000-4.84%
2020-02-122019-12-31Q4_201913F-HR53$230,002,00013.41%
2019-11-142019-09-30Q3_201913F-HR50$202,803,0001.79%
2019-08-122019-06-30Q2_201913F-HR47$199,235,0005.16%
2019-05-092019-03-31Q1_201913F-HR46$189,455,00021.67%
2019-02-122018-12-31Q4_201813F-HR46$155,711,000-24.29%
2018-11-132018-09-30Q3_201813F-HR46$205,664,00014.81%
2018-08-102018-06-30Q2_201813F-HR45$179,135,0004.64%

Portfolio Details

Stock NameTickersValueCurrent Value (x1000)Change Value %WeightComputed PriceShares Change %Current Shares
FACEBOOK INCFBINCR$44,9150.03%10.67%$273.16-0.01%164,429
AMAZON COM INCAMZNINCR$36,7410.04%8.73%$3256.890.01%11,281
MERCADOLIBRE INCMELIINCR$28,9190.46%6.87%$1675.20-0.05%17,263
NVIDIA CORPORATIONNVDADECR$26,538-0.07%6.30%$522.21-0.03%50,819
APPLE INCAAPLINCR$26,2440.14%6.23%$132.690.00%197,784
PAYPAL HLDGS INCPYPLINCR$25,2330.20%5.99%$234.200.01%107,740
SEA LTDSEINCR$24,1500.30%5.74%$199.050.00%121,325
TELADOC HEALTH INCTDOCINCR$21,4220.28%5.09%$199.960.40%107,129
MASTERCARD INCORPORATEDMAINCR$21,3940.06%5.08%$356.940.00%59,937
PINDUODUO INCPDDINCR$20,5682.39%4.88%$177.670.41%115,765
SALESFORCE.COMCRMDECR$18,907-0.10%4.49%$222.530.01%84,962
ALPHABET INCGOOGINCR$17,3890.19%4.13%$1751.860.00%9,926
INTUITIVE SURGICAL INCISRGINCR$15,1520.16%3.60%$818.100.01%18,521
SERVICENOW INCNOWINCR$14,8130.14%3.52%$550.440.01%26,911
DEXCOM INCDXCMDECR$14,136-0.08%3.36%$369.710.03%38,235
ALPHABET INC USD 0.001 CLS AGOOGLINCR$9,5400.21%2.27%$1752.710.01%5,443
WORKDAY INCWDAYINCR$9,4100.13%2.23%$239.620.01%39,271
CME GROUP INCCMEDECR$7,702-0.22%1.83%$182.05-0.28%42,306
BOOKING HOLDINGS INCBKNGINCR$6,9090.31%1.64%$2227.270.01%3,102
ILLUMINA INCILMNINCR$6,3170.91%1.50%$370.000.60%17,073
STRYKER CORPORATIONSYKINCR$6,2440.20%1.48%$245.050.02%25,480
ISHARES TRMUBINCR$3,1410.25%0.75%$117.200.24%26,800
SELECT SECTOR SPDR TRXLUINCR$3,1350.06%0.74%$62.700.00%50,000
VANGUARD UTILITIES INDEX FUNDVPUINCR$2,8270.35%0.67%$137.230.27%20,600
ISHARES INTERNATIONAL SELECT DIVIDEND ETFIDVBUY$1,8860.00%0.45%$29.470.00%64,000
ISHARES MSCI EAFE VALUE ETFEFVBUY$1,6520.00%0.39%$47.200.00%35,000
WEC ENERGY GROUP INCWECDECR$1,604-0.05%0.38%$92.010.00%17,432
VANGUARD BD INDEX FDSBNDDECR$1,5010.00%0.36%$88.170.00%17,024
ISHARES TRAGGDECR$650-0.65%0.15%$118.18-0.65%5,500
AMERICAN EXPRESS COMPANYAXPINCR$3470.21%0.08%$121.070.00%2,866
VANGUARD INDEX FDSVTVDECR$274-0.84%0.07%$119.13-0.86%2,300
SPDR SER TRFLRNBUY$2030.00%0.05%$30.520.00%6,652
ISHARES TRLQDINCR$1520.03%0.04%$138.180.00%1,100
VANGUARD INTL EQUITY INDEX FVWOBUY$1630.00%0.04%$50.030.00%3,258
MICROSOFT CORPMSFTINCR$1170.06%0.03%$222.860.00%525
ADOBE SYSTEMS INCORPORATEDADBEINCR$880.02%0.02%$502.860.00%175
BRISTOL MYERS SQUIBB COBMYINCR$800.03%0.02%$62.060.00%1,289
ISHARES INCEWDBUY$650.00%0.02%$39.760.00%1,635
THERMO FISHER SCIENTIFIC INCTMOINCR$840.06%0.02%$466.670.00%180
ABBVIE INCABBVINCR$530.23%0.01%$108.160.00%490
ALEXION PHARMACEUTICALS INCALXNINCR$310.35%0.01%$155.000.00%200
BIOMARIN PHARMACEUTICAL INCBMRNINCR$310.15%0.01%$88.570.00%350
IDEXX LABS INCIDXXINCR$250.25%0.01%$500.000.00%50
ISHARES INCSCJBUY$410.00%0.01%$79.770.00%514
ISHARES TRIJRBUY$590.00%0.01%$91.330.00%646
J P MORGAN CHASE & CO COMJPMINCR$480.33%0.01%$128.000.00%375
NETFLIX INCNFLXDECR$52-0.47%0.01%$541.67-0.51%96
VISA INCVINCR$600.09%0.01%$218.180.00%275
ALIBABA GROUP HOLDINGBABADECR$2-0.33%0.00%$200.000.00%10
BERKSHIRE HATHAWAY INC NEWBRK/BINCR$30.50%0.00%$200.000.50%15
BRISTOL-MYERS SQUIBB COBMYBUY$10.00%0.00%$0.780.00%1,289
EXXON MOBIL CORPXOMINCR$50.25%0.00%$38.760.00%129
NETEASE INCNTESNA$20.00%0.00%$100.004.00%20
PACIRA BIOSCIENCES INCPCRXBUY$180.00%0.00%$60.000.00%300
PTC THERAPEUTICS INCPTCTINCR$90.29%0.00%$62.070.00%145
REGENERON PHARMACEUTICALSREGNNA$20.00%0.00%$500.000.00%4
SELECT SECTOR SPDR TRXLFINCR$150.25%0.00%$30.000.00%500
VANGUARD INTL EQUITY INDEX FVGKBUY$130.00%0.00%$60.470.00%215
ISHARES CORE HIGH DIVIDEND ETFHDVSOLD$00.00%-100.00%$0.000.00%0
ENERGY FUELS INCUUUUSOLD$00.00%-100.00%$0.000.00%0
ISHARES TRSHVSOLD$00.00%-100.00%$0.000.00%0
BLUEBIRD BIO INCBLUESOLD$00.00%-100.00%$0.000.00%0
LIVONGO HEALTH INCLVGOSOLD$00.00%-100.00%$0.000.00%0