PDD Holdings Inc. - SPONSORED ADS (PDD)

Historical Holders from Q3 2018 to Q4 2025

Type / Class
Equity / SPONSORED ADS
Symbol
PDD on Nasdaq
Price per share
$113.39
All holders as of 30 Sep 2025
Q3 2025
Total 13F shares
408,168,466
Total reported value
$53,884,211,431
% of total 13F portfolios
0.11%
Share change
+1,805,293
Value change
+$877,557,700
Number of holders
553
Reported Shares, Excluding Options vs Price
Reported Value, Excluding Options
Total Investors
As of 30 Sep 2025, PDD Holdings Inc. - SPONSORED ADS (PDD) has 553 institutional shareholders filing 13F forms. They hold 408,168,466 shares. .

Institutional Holders of PDD Holdings Inc. - SPONSORED ADS (PDD) across Reporting Periods

Period Reported Shares, Excl. Options Value, Excl. Options Value Change Price Investors
2025 Q4 10,080,535 $1,142,078,859 +$911,299,884 $113.39 9
2025 Q3 408,168,466 $53,884,211,431 +$877,557,700 $132.17 553
2025 Q2 409,792,682 $42,876,534,046 -$11,293,042 $104.66 528
2025 Q1 408,390,860 $48,078,111,692 +$1,411,991,174 $118.35 574
2024 Q4 386,348,640 $37,469,024,004 -$845,141,300 $96.99 576
2024 Q3 404,073,449 $54,232,338,253 -$3,480,499,612 $134.81 603
2024 Q2 434,156,110 $57,685,576,653 +$8,219,896,252 $132.95 642
2024 Q1 371,905,727 $43,267,010,062 -$1,668,988,947 $116.25 570
2023 Q4 1,142,916 $167,199,675 +$39,258,274 $146.31 10
2023 Q3 351,441,338 $34,464,633,930 +$2,571,727,362 $98.07 452
2023 Q2 328,066,114 $22,767,970,768 -$1,052,686,456 $69.14 433
2023 Q1 336,254,813 $25,490,412,475 +$1,316,629,973 $75.90 449
2022 Q4 318,550,051 $25,977,546,720 +$1,352,111,718 $81.55 434
2022 Q3 304,960,527 $19,079,524,590 +$1,474,987,463 $62.58 386
2022 Q2 284,967,015 $17,559,942,798 +$819,173,308 $61.80 373
2022 Q1 273,167,649 $10,953,905,305 -$68,379,716 $40.11 330
2021 Q4 269,425,500 $15,697,680,429 -$629,569,010 $58.30 345
2021 Q3 271,567,355 $24,608,162,947 +$1,654,271,577 $90.67 381
2021 Q2 249,317,093 $31,633,071,730 +$360,553,909 $127.02 402
2021 Q1 237,310,683 $31,692,523,436 -$2,777,579,443 $133.88 429
2020 Q4 265,310,926 $47,126,371,220 +$5,670,026,528 $177.67 397
2020 Q3 231,200,146 $17,132,439,909 -$407,173,185 $74.15 279
2020 Q2 234,299,917 $20,117,351,951 +$1,452,962,758 $85.84 255
2020 Q1 224,280,589 $8,081,819,870 +$1,637,744,784 $36.03 194
2019 Q4 178,744,874 $6,760,362,248 -$222,400,730 $37.82 195
2019 Q3 171,572,497 $5,525,310,441 +$974,693,344 $32.22 179
2019 Q2 146,632,524 $3,025,139,728 +$666,850,362 $20.63 171
2019 Q1 116,470,446 $2,886,093,137 +$984,255,155 $24.80 184
2018 Q4 75,979,368 $1,704,767,537 +$108,213,146 $22.44 103
2018 Q3 66,709,172 $1,753,606,413 +$1,744,390,281 $26.29 81