Chan Yu Eleanor

Chan Yu Eleanor Portfolio

Invests via Pinpoint Asset Management (Singapore) Pte. Ltd. | Managed by Chan Yu Eleanor
Invests via Pinpoint Asset Management (Singapore) Pte. Ltd.
Managed by Chan Yu Eleanor
Automatically Tracked
Tracking: 0 Updated: 8 hours ago

Based in Asia, Chan Yu Eleanor is a seasoned growth investor focused on technology and consumer sectors, with experience across venture and growth equity investing. She combines deal sourcing and portfolio operational support with board-level governance and strategic exits. Prior roles span investment and operating positions at leading financial and corporate firms, and she holds graduate business training. Market-facing strengths include cross-border capital mobilisation, sector diligence, and scaling companies toward liquidity events.

Based in Asia, Chan Yu Eleanor is a seasoned growth investor focused on technology and consumer sectors, with experience across venture and growth equity investing. She combines deal sourcing and portfolio operational support with board-level governance and strategic exits. Prior roles span investment and operating positions at leading financial and corporate firms, and she holds graduate business training. Market-facing strengths include cross-border capital mobilisation, sector diligence, and scaling companies toward liquidity events.

Investment Philosophy & Strategy

Operationally-minded growth investor concentrating on technology and consumer companies across Asia and cross-border markets. Prefers concentrated, stage-agnostic allocations that back high-growth teams with clear unit economics and scalable distribution; emphasis on diligence, hands-on portfolio support and board governance to accelerate exit readiness. Capital deployment balances early venture upside with selective growth equity to preserve optionality while managing downside via milestone-based follow-on reserves, active capital mobilisation and disciplined exit timing.

Operationally-minded growth investor concentrating on technology and consumer companies across Asia and cross-border markets. Prefers concentrated, stage-agnostic allocations that back high-growth teams with clear unit economics and scalable distribution; emphasis on diligence, hands-on portfolio support and board governance to accelerate exit readiness. Capital deployment balances early venture upside with selective growth equity to preserve optionality while managing downside via milestone-based follow-on reserves, active capital mobilisation and disciplined exit timing.

Disclaimer: This Portfolio is derived from and computed based on publicly available data from SEC filings.
Gain and growth charts are calculated per selected timeframe:
9.33%
Gain +1.39%
Monthly
0.64%
Yearly
7.92%
Drawdown
13.18%
$462.17M
Equity
Holdings
$462.17M
Investment
$470.62M
$46.78M
Profit +$9.14M
Realized
$55.23M
Unrealized
-$8.45M
Dividends
$3.51M

Goals

Avg. 48.5% completed goals
Yearly
Gain > 5%
2026
0%
Yearly
Gain < 20%
2026
97%
Today
Compared To Yesterday
Gain
1.39%
Profit
$9.14M
Win %
59%
This Week
Compared To Last Week
Gain
2.01%
Profit
$9.14M
Win %
59%
This Month
Compared to last month
Gain
2.93%
Profit
$13.23M
Win %
59%
This Year
Compared to last year
Gain
-0.64%
Profit
-$3.03M
Win %
60%
Bloom Energy Corporation logo
BE Bloom Energy Corporation
+5.6%
+$131.3
Onto Innovation Inc. logo
ONTO Onto Innovation Inc.
+4.2%
+$56,956.05
Frontline plc logo
FRO Frontline plc
+4.19%
+$852,895.08
NetEase, Inc. American Depositary Receipt logo
NTES NetEase, Inc. American Depositary Receipt
+4.03%
+$188,185.2
Cabot Corporation logo
CBT Cabot Corporation
+3.56%
+$22,695.4
Seadrill Limited logo
SDRL Seadrill Limited
+3.47%
+$77,222.88
New Oriental Education & Technology Group Inc. logo
EDU New Oriental Education & Technology Group Inc.
+3.44%
+$50,956.08
Rambus Inc. logo
RMBS Rambus Inc.
+3.34%
+$3.25
Vishay Intertechnology Inc. logo
VSH Vishay Intertechnology Inc.
+3.13%
+$55,274.96
Aya Gold & Silver Inc. logo
AYASF Aya Gold & Silver Inc.
+2.78%
+$6,581.54
5657
565788AB2
+2.23%
+$47,333.25
Advanced Micro Devices, Inc. logo
AMD Advanced Micro Devices, Inc.
+2.21%
+$63.78
Adecoagro S.A. logo
AGRO Adecoagro S.A.
+2.04%
+$11,097.52
8855
88557WAB7
+2.02%
+$367,500
Seagate Technology Holdings plc logo
STX Seagate Technology Holdings plc
+1.82%
+$763,859.32
QUALCOMM Incorporated logo
QCOM QUALCOMM Incorporated
+1.82%
+$18,435.56
Full Truck Alliance Co. Ltd. American Depositary Receipt logo
YMM Full Truck Alliance Co. Ltd. American Depositary Receipt
+1.78%
+$163,702.52
Antero Resources Corporation logo
AR Antero Resources Corporation
+1.69%
+$1,738.26
Energy Transfer L.P. logo
ET Energy Transfer L.P.
+1.62%
+$722.7
Veeco Instruments Inc. logo
VECO Veeco Instruments Inc.
+1.59%
+$10,370.64
Baker Hughes Company logo
BKR Baker Hughes Company
+1.58%
+$18,442.12
DHT Holdings Inc. logo
DHT DHT Holdings Inc.
+1.51%
+$10,414.98
Ke Holdings Inc. ADR logo
BEKE Ke Holdings Inc. ADR
+1.48%
+$96.5
JD.com Inc. logo
JD JD.com Inc.
+1.32%
+$3,115.35
KLA Corporation logo
KLAC KLA Corporation
+1.26%
+$19,186.6
ZTO Express (Cayman) Inc. logo
ZTO ZTO Express (Cayman) Inc.
+1.22%
+$5,093.27
TTM Technologies, Inc. logo
TTMI TTM Technologies, Inc.
+1.17%
+$1.54
Newmont Corporation logo
NEM Newmont Corporation
+1.09%
+$14,584.02
Howmet Aerospace Inc. logo
HWM Howmet Aerospace Inc.
+1%
+$4,890.15
H World Group Limited American Depositary Receipt logo
HTHT H World Group Limited American Depositary Receipt
+0.94%
+$4,687.6
Meta Platforms Inc Class A logo
META Meta Platforms Inc Class A
+0.9%
+$49,305.71
Robinhood Markets, Inc. logo
HOOD Robinhood Markets, Inc.
+0.77%
+$68.16
Atrenew Inc. logo
RERE Atrenew Inc.
+0.69%
+$3,915.36
Modine Manufacturing Company logo
MOD Modine Manufacturing Company
+0.67%
+$2,339.66
Real Brokerage Inc. logo
REAX Real Brokerage Inc.
+0.58%
+$33.67
Apple Inc. logo
AAPL Apple Inc.
+0.45%
+$43,365.65
Alphabet Inc logo
GOOG Alphabet Inc
+0.43%
+$7,985.6
Woodward Inc. logo
WWD Woodward Inc.
+0.1%
+$700.85
GDS Holdings Ltd. - ADR logo
GDS GDS Holdings Ltd. - ADR
+0.09%
+$10,772.46
JOYY Inc. American Depositary Shares logo
JOYY JOYY Inc. American Depositary Shares
+0.08%
+$5,368.02
Fiserv, Inc. logo
FISV Fiserv, Inc.
+0.03%
+$5.52
Aaon Inc. logo
AAON Aaon Inc.
0%
$0
Applied Optoelectronics, Inc. logo
AAOI Applied Optoelectronics, Inc.
0%
$0
Acm Research Inc. logo
ACMR Acm Research Inc.
0%
$0
Applied Materials, Inc. logo
AMAT Applied Materials, Inc.
0%
$0
ASML Holding N.V. New York Registry Shares logo
ASML ASML Holding N.V. New York Registry Shares
0%
$0
AXT, Inc. logo
AXTI AXT, Inc.
0%
$0
Bank of America Corporation logo
BAC Bank of America Corporation
0%
$0
BeiGene Ltd. logo
BEIGF BeiGene Ltd.
0%
$0
Citigroup Inc. logo
C Citigroup Inc.
0%
$0
Caterpillar Inc. logo
CAT Caterpillar Inc.
0%
$0
Chubb Limited logo
CB Chubb Limited
0%
$0
Cadence Design Systems, Inc. logo
CDNS Cadence Design Systems, Inc.
0%
$0
Celestica Inc. logo
CLS Celestica Inc.
0%
$0
Cummins Inc. logo
CMI Cummins Inc.
0%
$0
Capital One Financial Corporation logo
COF Capital One Financial Corporation
0%
$0
Coherent Corp. logo
COHR Coherent Corp.
0%
$0
Canadian Solar Inc. logo
CSIQ Canadian Solar Inc.
0%
$0
China Yuchai International Ltd logo
CYD China Yuchai International Ltd
0%
$0
D.R. Horton, Inc. logo
DHI D.R. Horton, Inc.
0%
$0
Ford Motor Company logo
F Ford Motor Company
0%
$0
Freeport-McMoRan Inc. logo
FCX Freeport-McMoRan Inc.
0%
$0
Corning Incorporated logo
GLW Corning Incorporated
0%
$0
Generac Holdings Inc. logo
GNRC Generac Holdings Inc.
0%
$0
Garrett Motion Inc. logo
GTX Garrett Motion Inc.
0%
$0
Huya Inc. logo
HUYA Huya Inc.
0%
$0
Cheniere Energy Inc. logo
LNG Cheniere Energy Inc.
0%
$0
MKS Instruments Inc. logo
MKSI MKS Instruments Inc.
0%
$0
Marathon Petroleum Corporation logo
MPC Marathon Petroleum Corporation
0%
$0
Microsoft Corp. logo
MSFT Microsoft Corp.
0%
$0
Materion Corporation logo
MTRN Materion Corporation
0%
$0
MACOM Technology Solutions Holdings, Inc. logo
MTSI MACOM Technology Solutions Holdings, Inc.
0%
$0
MaxLinear Inc. logo
MXL MaxLinear Inc.
0%
$0
Nucor Corporation logo
NUE Nucor Corporation
0%
$0
Navitas Semiconductor Corporation logo
NVTS Navitas Semiconductor Corporation
0%
$0
Power Solutions International, Inc. logo
PSIX Power Solutions International, Inc.
0%
$0
Quanta Services Inc. logo
PWR Quanta Services Inc.
0%
$0
Qifu Technology, Inc. American Depositary Shares logo
QFIN Qifu Technology, Inc. American Depositary Shares
0%
$0
Transocean Ltd. logo
RIG Transocean Ltd.
0%
$0
Regal Rexnord Corporation logo
RRX Regal Rexnord Corporation
0%
$0
Sanmina Corporation logo
SANM Sanmina Corporation
0%
$0
Silicon Motion Technology Corp. American Depositary Receipt logo
SIMO Silicon Motion Technology Corp. American Depositary Receipt
0%
$0
SharkNinja, Inc. logo
SN SharkNinja, Inc.
0%
$0
Synopsys, Inc. logo
SNPS Synopsys, Inc.
0%
$0
Sempra logo
SRE Sempra
0%
$0
Trip.com Group Limited American Depositary Receipt logo
TCOM Trip.com Group Limited American Depositary Receipt
0%
$0
Teradyne, Inc. logo
TER Teradyne, Inc.
0%
$0
Taiwan Semiconductor Manufacturing Company Limited logo
TSMWF Taiwan Semiconductor Manufacturing Company Limited
0%
$0
Valero Energy Corporation logo
VLO Valero Energy Corporation
0%
$0
VNET Group Inc. American Depositary Receipt logo
VNET VNET Group Inc. American Depositary Receipt
0%
$0
Vistra Corp logo
VST Vistra Corp
0%
$0
Western Digital Corporation logo
WDC Western Digital Corporation
0%
$0
The Williams Companies, Inc. logo
WMB The Williams Companies, Inc.
0%
$0
Wolfspeed, Inc. logo
WOLF Wolfspeed, Inc.
0%
$0
SPDR Gold Shares logo
GLD SPDR Gold Shares
0%
$0
iShares Bitcoin Trust logo
IBIT iShares Bitcoin Trust
0%
$0
ASTERA LABS INC COMMON STOCK (Ticker: 1ALAB) logo
ALAB ASTERA LABS INC COMMON STOCK (Ticker: 1ALAB)
0%
$0
SanDisk Corporation logo
SNDK SanDisk Corporation
0%
$0
Circle Internet Group, Inc. logo
CRCL Circle Internet Group, Inc.
0%
$0
Miami International Holdings, Inc. logo
MIAX Miami International Holdings, Inc.
0%
$0
1926
19260QAF4
0%
$0
5657
565788AF3
0%
$0
9282
928298AR9
0%
$0
3181
31810TAB7
0%
$0
Voyager Technologies, Inc. logo
VOYG Voyager Technologies, Inc.
-29.37%
-$95,288.4
NE
NE
-23.99%
-$243,027.24
Nebius Group N.V. logo
NBIS Nebius Group N.V.
-10.11%
-$66,921.15
TALEN ENERGY CORP NEW logo
TLNE TALEN ENERGY CORP NEW
-9.14%
-$65,856.96
Bullish Inc. logo
BLSH Bullish Inc.
-8.6%
-$1,420.65
8967
89677QAB3
-6.55%
-$1.56M
Himax Technologies Inc. logo
HIMX Himax Technologies Inc.
-6.07%
-$0.81
Block, Inc. logo
XYZ Block, Inc.
-5.39%
-$1,280.28
Lithium Argentina AG logo
LAR Lithium Argentina AG
-5.35%
-$12,653.1
Futu Holdings Limited - ADR logo
FUTU Futu Holdings Limited - ADR
-5.13%
-$60,822.25
4721
47215PAJ5
-4.43%
-$231,750
MasTec, Inc. Common Stock logo
MTZ MasTec, Inc. Common Stock
-3.04%
-$2,338.56
Reddit Inc Class A logo
RDDT Reddit Inc Class A
-2.81%
-$11,427.49
Kulicke & Soffa Industries, Inc. logo
KLIC Kulicke & Soffa Industries, Inc.
-2.16%
-$2.02
Tradeweb Markets Inc. logo
TW Tradeweb Markets Inc.
-1.8%
-$414
GE Vernova Inc. logo
GEV GE Vernova Inc.
-1.74%
-$28,520.93
LPL Financial Holdings Inc. logo
LPLA LPL Financial Holdings Inc.
-1.73%
-$211.48
BHP Group Ltd. logo
BHP BHP Group Ltd.
-1.66%
-$296
Vale S.A. logo
VALE Vale S.A.
-1.47%
-$5,377.9
Alphabet Inc logo
GOOGL Alphabet Inc
-1.29%
-$529,498.75
Intel Corporation logo
INTC Intel Corporation
-1.24%
-$24,876.21
Nio Inc. logo
NIO Nio Inc.
-1.07%
-$474.3
UP Fintech Holding Ltd logo
TIGR UP Fintech Holding Ltd
-1.04%
-$4,347.4
Vertiv Holdings Co logo
VRT Vertiv Holdings Co
-1%
-$3,407.1
General Motors Company logo
GM General Motors Company
-0.95%
-$5,309.95
Southern Copper Corporation logo
SCCO Southern Copper Corporation
-0.93%
-$780.16
British American Tobacco p.l.c. ADR logo
BTI British American Tobacco p.l.c. ADR
-0.91%
-$2,106
FirstEnergy Corp. logo
FE FirstEnergy Corp.
-0.88%
-$4,110.12
Elbit Systems Ltd. logo
ESLT Elbit Systems Ltd.
-0.83%
-$10,844.46
S&P Global Inc. logo
SPGI S&P Global Inc.
-0.77%
-$876.06
Tesla, Inc. logo
TSLA Tesla, Inc.
-0.63%
-$1,892.73
Invesco Ltd. logo
IVZ Invesco Ltd.
-0.55%
-$92.05
INNIO N.V. logo
INIO INNIO N.V.
-0.54%
-$1,464.96
Sollensys Corp logo
SOLS Sollensys Corp
-0.51%
-$1,382.4
4626
46267XAK4
-0.41%
-$75,000
The Coca-Cola Company logo
KO The Coca-Cola Company
-0.31%
-$243
Constellation Energy Corporation logo
CEG Constellation Energy Corporation
-0.24%
-$107.07
Marvell Technology, Inc. logo
MRVL Marvell Technology, Inc.
-0.23%
-$0.48
Vicor Corporation logo
VICR Vicor Corporation
-0.16%
-$1,337.05
Amazon.com Inc logo
AMZN Amazon.com Inc
-0.14%
-$24,620.07
Dt Midstream Inc. logo
DTM Dt Midstream Inc.
-0.14%
-$296.48
Air Products and Chemicals, Inc. logo
APD Air Products and Chemicals, Inc.
-0.13%
-$1,247.18
Interactive Brokers Group Inc. logo
IBKR Interactive Brokers Group Inc.
-0.12%
-$29.48
NVIDIA Corporation logo
NVDA NVIDIA Corporation
-0.1%
-$487.14
PDD Holdings Inc. American Depositary Shares logo
PDD PDD Holdings Inc. American Depositary Shares
-0.1%
-$5,026.59
Cadeler A/S logo
CDLR Cadeler A/S
-0.09%
-$295.5
Monolithic Power Systems, Inc. logo
MPWR Monolithic Power Systems, Inc.
0%
-$0.31
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Dividends

Dividend Analysis

Yearly
$
Trades
583
Longs Won
309/583 53%
Profit Factor
1.45
Profitability
Shorts Won
0/0 0%
Standard Deviation
$1.94M
Average Win
$454,545.27
Best Trade
(Aug 18) $27.51M
Sharpe Ratio
-121
Average Loss
-$353,040.53
Worst Trade
(Aug 17) -$45.75M
Z-Score
-0.33 (25.75%)
Commissions
$0
Avg. Trade Length
5m 2d
Expectancy
$80,236.91
Loss Size 100% 90% 80% 70% 60% 50% 40% 30% 20% 10%
Probability of Loss <0.01% <0.01% <0.01% <0.01% <0.01% <0.01% <0.01% 0.09% 1.25% 12.65%
Consecutive Losing Trades 1,309 1,178 1,047 916 785 654 524 393 262 131
Hover over the desired column for a detailed explanation.

Returns

Overall, Monthly
Symbol Quantity Cost Value Comm. Profit (&#36;) Gain (%) Change
1926
19260QAF4
5M $6.55M $6.55M - - -
0.0
3181
31810TAB7
15M $13.19M $13.19M - - -
0.0
4626
46267XAK4
20M $18.26M $18.23M - -$33,750 -0.18%
-0.41%
4721
47215PAJ5
5M $5.31M $4.99M - -$310,108.25 -5.85%
-4.434%
5657
565788AB2
2.25M $2.14M $2.17M - $21,037 0.98%
+2.235%
5657
565788AF3
2M $1.59M $1.59M - - -
0.0
8855
88557WAB7
21M $18.22M $18.53M - $315,000 1.73%
+2.023%
8967
89677QAB3
21.5M $25.11M $22.3M - -$2.81M -11.17%
-6.554%
9282
928298AR9
6M $11.91M $11.91M - - -
0.0
Applied Optoelectronics, Inc. logo
AAOI Applied Optoelectronics, Inc.
1,705 $76,204.8 $219,194.8 - $142,990 187.64%
0.0
Aaon Inc. logo
AAON Aaon Inc.
3,319 $421,048 $309,164.85 - -$111,883.15 -26.57%
0.0
Apple Inc. logo
AAPL Apple Inc.
30,756 $8.9M $9.61M - $708,925.96 7.97%
+0.453%
Acm Research Inc. logo
ACMR Acm Research Inc.
1 $39.45 $79.9 - $40.45 102.53%
0.0
Adecoagro S.A. logo
AGRO Adecoagro S.A.
58,408 $744,990.13 $553,707.84 - -$191,282.29 -25.68%
+2.045%
ASTERA LABS INC COMMON STOCK (Ticker: 1ALAB) logo
ALAB ASTERA LABS INC COMMON STOCK (Ticker: 1ALAB)
3 $499.08 $955.29 - $456.21 91.41%
0.0
Applied Materials, Inc. logo
AMAT Applied Materials, Inc.
2,828 $2.04M $1.51M - -$533,295.05 -26.09%
0.0
Advanced Micro Devices, Inc. logo
AMD Advanced Micro Devices, Inc.
6 $2,730.33 $2,956.08 - $225.75 8.27%
+2.205%
Amazon.com Inc logo
AMZN Amazon.com Inc
63,130 $15.05M $17.19M - $2.14M 14.23%
-0.143%
Air Products and Chemicals, Inc. logo
APD Air Products and Chemicals, Inc.
3,282 $962,217 $967,238.19 - $5,021.19 0.52%
-0.129%
Antero Resources Corporation logo
AR Antero Resources Corporation
2,997 $105,315 $104,625.27 - -$689.73 -0.65%
+1.689%
No Data
Option values are updated at end of day.
No Data
No Data
Option values are updated at end of day.
No Data
No Data
No Data
No Data
FAQ
Which stocks have generated the highest profits for Chan Yu Eleanor?
The largest contributions to the portfolio's profits come from the following stocks: Lumentum Holdings Inc - $13.81M, Alphabet Inc - $12.03M, SanDisk Corporation - $7.31M, 55024UAF6 - $7.2M, and China Yuchai International Ltd - $3.48M. These positions have been the main drivers of growth and have significantly impacted the investor's overall performance.
Which stocks have generated the largest losses for this investor?
The largest losses in the portfolio are associated with the following stocks: Trip.com Group Limited American Depositary Receipt - $4.56M, PDD Holdings Inc. American Depositary Shares - $2.98M, Full Truck Alliance Co. Ltd. American Depositary Receipt - $2.61M, Amer Sports, Inc - $2.05M, and Infosys Limited - $1.19M. These positions have had the most negative impact on overall performance and highlight the weaker areas of the portfolio.
What dividends does Chan Yu Eleanor's portfolio generate?
The portfolio generates substantial dividend income, with a total of $3.51M earned over time. The largest contributors to dividend income include Frontline plc - $1.27M, Full Truck Alliance Co. Ltd. American Depositary Receipt - $631,900.68, JOYY Inc. American Depositary Shares - $257,429.19, Infosys Limited - $244,879.36, and DHT Holdings Inc - $113,686.2. This indicates that dividends play a meaningful role in the investor's overall strategy.
How stable are Chan Yu Eleanor's monthly returns?
Chan Yu Eleanor's monthly returns show a mixed pattern. Some months are relatively calm, while others are noticeably stronger or weaker, which suggests that performance is not fully consistent over time. This points to a strategy that may offer attractive upside but can also experience uneven short-term results.
Can Chan Yu Eleanor's strategy be considered aggressive or moderate?
Chan Yu Eleanor's strategy leans toward a moderately conservative profile. While there is still some exposure to market fluctuations, the overall structure and risk levels suggest a focus on maintaining stability rather than pursuing aggressive growth.
Should beginners follow Chan Yu Eleanor's strategy?
Chan Yu Eleanor's strategy may be suitable for beginners, but with some caution. While the overall approach is not overly complex, it still involves a certain level of risk and variability. Beginners should be prepared for occasional fluctuations and ensure they understand the strategy before trying to follow it.
Account USV