Josh Tarasoff's Q1 2026 Portfolio Trends: Major Stock Increases & Decreases
Josh Tarasoff's portfolio as of March 31, 2026, shows significant increases in SGOV and NFLX, alongside decreases in BRK-A and TSLA.

As of March 31, 2026, Josh Tarasoff's portfolio at Greenlea Lane Capital Management totals approximately $344 million. The portfolio includes significant holdings in major corporations like Amazon, Brookfield Corporation, Berkshire Hathaway, Markel Group, iShares, Alphabet, Netflix, and Tesla.
Notable increases during the quarter include a 100% jump in shares of SGOV (iShares) and an 829% surge in Netflix (NFLX) holdings. Conversely, there were significant decreases in Berkshire Hathaway (BRK-A) and Tesla (TSLA) shares, with the latter experiencing an 11.86% reduction in its portfolio allocation.
Other changes observed include slight adjustments in Amazon (AMZN), Brookfield Corporation (BN), Markel Group (MKL), and Alphabet (GOOGL) positions, reflecting ongoing quarterly portfolio management activities.