Stocks/Funds/CIK 2053290

Baring Fintech Manager Holding Ltd

long-term holderconcentrated
Quarterly 13F filings · Latest period 2026-03-31 · CIK 2053290
Assets
$1.34B
-20.2% YoY
Holdings
1
Lifetime alpha vs market
-25.28% annual
Average hold time
1.5 yr
median 1.5 yr

Quarterly history

Cum return -22% vs S&P +13% · α -34% lifetimeAUM $1.3B · peak $1.7BFlow $0M (+0%)2024-122025-032025-062025-092025-122026-03
AUM ($B)fundS&P 500(gap = α)/ Flow in/out

Behavior signals (lifetime)

Dip response
when a holding falls −10%+
Middle response
+0.00%
baseline attrition
Rally response
when a holding rises +10%+

Top positions · 1

Ticker$ value% portYoYHold time
KSPIJoint Stock Company Kasp$1.34B100.0%-20.2%1.5 yr

Portfolio composition (YoY)

Industry mix
Software - Infrastructure100.0%+0.0pp$1.34B
Country
KZ100.0%+0.0pp
Top 5: 100.0% · Top 10: 100.0% · Top 25: 100.0%

Winners

TickerPrev $PnLYoY %
KSPI$1.68B-0.34B-20.2%

Losers

TickerPrev $PnLYoY %
KSPI$1.68B-0.34B-20.2%

Top buys this quarter · 0

No buys this quarter

Top sells this quarter · 0

No sells this quarter

Quarterly history (TTM returns)

PeriodAUM# PosReturn (1yr)SPY (1yr)Alpha (1yr)Flow
2026-03-31$1.34B1-20.23%+17.59%-37.82%+0.00B
2025-12-31$1.41B1-17.51%+17.72%-35.22%+0.00B
2025-09-30$1.47B1-3.78%+8.12%-11.90%+0.00B
2025-06-30$1.53B1-8.57%+10.78%-19.35%-0.00B
2025-03-31$1.68B1-1.96%-4.27%+2.30%-0.00B
2024-12-31$1.71B1