Ahara Advisors Llc Portfolio Stock Holdings

Ahara Advisors Llc disclosed 53 stock positions valued at approximately $119.6 million in its latest SEC 13F filing. The largest holdings include VANGUARD INDEX FDS, ALPHABET INC, and ALPHABET INC. The filing reflects positions held as of March 31, 2026 and was filed on May 15, 2026.

Report Period
March 31, 2026
No. of Stocks
53
Portfolio Value
$119.6M
Holdings by Sector
Ahara Advisors Llc Portfolio Holdings in Q1 2026

51 holdings in the latest reporting period.

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CompanySymbolSectorPortfolio %SharesChange (Shares)Change %Value
VANGUARD INDEX FDSVTIOther13.74%51,216+10,125+24.64%$16,430,548
ALPHABET INCGOOGCommunication Services8.95%37,310+150+0.40%$10,702,795
ALPHABET INCGOOGLCommunication Services7.39%30,720+10,375+51.00%$8,833,964
UBER TECHNOLOGIES INCUBERTechnology5.77%95,895+32,430+51.10%$6,897,727
AIRBNB INCABNBConsumer Cyclical5.32%50,427+4,264+9.24%$6,367,922
BERKSHIRE HATHAWAY INC DELBRK-BFinancial Services4.74%11,827+20+0.17%$5,667,683
NVIDIA CORPORATIONNVDATechnology4.74%32,486+7,977+32.55%$5,665,545
AMAZON COM INCAMZNConsumer Cyclical4.01%23,028+1,191+5.45%$4,796,042
APPLE INCAAPLTechnology3.82%17,999+730+4.23%$4,568,085
MICROSOFT CORPMSFTTechnology3.77%12,183+5,249+75.70%$4,509,946
EXPEDIA GROUP INCEXPEConsumer Cyclical2.98%15,425+816+5.59%$3,561,363
ROBLOX CORPRBLXCommunication Services2.91%61,555-7-0.01%$3,481,551
RINGCENTRAL INCRNGTechnology2.62%84,169+9,315+12.44%$3,130,227
MARQETA INCMQTechnology1.88%550,264+185,609+50.90%$2,245,077
DISNEY WALT CODISCommunication Services1.82%22,549+3,438+17.99%$2,173,275
STATE STR SPDR S&P 500 ETF TSPYOther1.76%3,229-152-4.50%$2,099,662
FIRST SOLAR INCFSLRTechnology1.34%8,104+276+3.53%$1,598,496
ADVANCED MICRO DEVICES INCAMDTechnology1.28%7,533+4,075+117.84%$1,532,438
SALESFORCE INCCRMTechnology1.21%7,762+1,246+19.12%$1,448,878
TESLA INCTSLAConsumer Cyclical1.15%3,690-2,106-36.34%$1,371,758
TAIWAN SEMICONDUCTOR MANUFACTSMTechnology1.06%3,760+255+7.28%$1,270,583
ETSY INCETSYConsumer Cyclical0.96%22,910-147-0.64%$1,145,045
OKTA INCOKTATechnology0.85%12,912+4,178+47.84%$1,016,264
REDDIT INCRDDTCommunication Services0.85%7,535+3,277+76.96%$1,014,588
NETFLIX INC.NFLXCommunication Services0.76%9,510+9,510+100.00%$914,387
BOOKING HOLDINGS INCBKNGConsumer Cyclical0.76%217+39+21.91%$913,639
INTUITINTUTechnology0.68%1,884+1,884+100.00%$814,604
PINTEREST INCPINSCommunication Services0.60%39,378+12,927+48.87%$722,193
BROADCOM INCAVGOTechnology0.59%2,297+2,297+100.00%$710,922
ASML HLDG NVASMLOther0.58%529+16+3.12%$698,938
META PLATFORMS INCMETACommunication Services0.57%1,189-355-22.99%$680,280
DUOLINGO INCDUOLTechnology0.57%6,883+5,535+410.61%$678,457
ISHARES TRIVVOther0.57%1,038-141-11.96%$678,137
ISHARES TRIEUROther0.49%8,343--$586,263
HARROW INCHROWHealthcare0.48%16,342+3,441+26.67%$576,219
INVESCO QQQ TRQQQOther0.48%986+97+10.91%$568,948
MERCADOLIBRE INCMELIConsumer Cyclical0.47%325--$562,153
SENTINELONE INCSTechnology0.45%42,248+17,920+73.66%$544,154
BLEND LABS INCBLNDTechnology0.42%297,071+103,248+53.27%$505,021
PROGRESSIVE CORPPGRFinancial Services0.37%2,243+2,243+100.00%$444,652
WELLS FARGO & COWFCFinancial Services0.34%5,070-232-4.38%$403,611
ISHARES TRFXIOther0.32%10,759--$386,248
FACTSET RESH SYS INCFDSFinancial Services0.32%1,773+63+3.68%$384,723
LYFT INCLYFTTechnology0.32%28,873--$384,010
ZOOM COMMUNICATIONS INCZMTechnology0.29%4,279+6+0.14%$344,024
VANGUARD INDEX FDSVOOOther0.24%483+29+6.39%$288,647
EXXON MOBIL CORPXOMEnergy0.23%1,593-479-23.12%$270,268
SCHWAB STRATEGIC TRSCHFOther0.20%9,499-3,066-24.40%$235,100
ARM HOLDINGS PLCARMTechnology0.19%1,501+1,501+100.00%$227,071
VANGUARD INTL EQUITY INDEX FVWOOther0.17%3,858-593-13.32%$208,509
UIPATH INCPATHTechnology0.12%13,240-40-0.30%$146,968