Ahara Advisors LLC — 13F Holdings & Portfolio

CIK 2116771 · latest 13F-HR filed 2026-05-15

Ahara Advisors LLC manages $119.6M in 13F-reported U.S. long-equity assets across 53 reported positions as of its 2026-03-31 13F-HR filing. Its largest disclosed positions are VTI (13.74%), GOOG (8.95%), GOOGL (7.39%). Quarter over quarter (versus its 2025-12-31 filing) the fund opened 6 new positions, exited 3, added to 16, and trimmed 21.

AUM is the long-equity portion reported on Form 13F-HR. Excludes short positions, cash, foreign holdings, and non-13F assets. For informational purposes only — not investment advice.

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AUM

$119.6M

Long-equity book

Holdings

53

Distinct positions

Period

2026-03-31

Filed 2026-05-15

Q/Q Activity

+6 / −3 / ↑16 / ↓21

vs 2025-12-31

Firm Profile & Key People
Name Title / Status Ownership Type

Top Adds (vs prior quarter)

  • VANGUARD INDEX FDS$2.7M +19.3%
  • ALPHABET INC$2.5M +38.7%
  • UBER TECHNOLOGIES INC$1.7M +33.0%
  • MICROSOFT CORP$1.2M +34.5%
  • NVIDIA CORPORATION$1.1M +23.9%
Show all 16

Top Trims

  • ROBLOX CORP-$1.5M -30.2%
  • TESLA INC-$1.2M -47.4%
  • ALPHABET INC-$958.2K -8.2%
  • EXPEDIA GROUP INC-$577.6K -14.0%
  • FIRST SOLAR INC-$446.3K -21.8%
Show all 21

New Positions

  • STUBHUB HLDGS INC$934.6K
  • NETFLIX INC.$914.4K
  • INTUIT$814.6K
  • BROADCOM INC$710.9K
  • PROGRESSIVE CORP$444.7K
Show all 6

Exited Positions

  • TARGET CORP$306.5K
  • ORACLE CORP$298.9K
  • GOLDMAN SACHS GROUP INC$213.6K
Show all 3
All Holdings

Rows tagged Call or Put are options positions, not stock. Per SEC Form 13F-HR, Value shows the notional value of the underlying (shares covered × underlying price), not the option premium. Shares is the number of underlying shares covered (divide by 100 for contract count).

# Issuer Symbol CUSIP Value Weight Shares Type
1 VANGUARD INDEX FDS VTI 922908769 $16.4M 13.74% 51,216 SH
2 ALPHABET INC GOOG 02079K107 $10.7M 8.95% 37,310 SH
3 ALPHABET INC GOOGL 02079K305 $8.8M 7.39% 30,720 SH
4 UBER TECHNOLOGIES INC UBER 90353T100 $6.9M 5.77% 95,895 SH
5 AIRBNB INC ABNB 009066101 $6.4M 5.32% 50,427 SH
6 BERKSHIRE HATHAWAY INC DEL BRK.B 084670702 $5.7M 4.74% 11,827 SH
7 NVIDIA CORPORATION NVDA 67066G104 $5.7M 4.74% 32,486 SH
8 AMAZON COM INC AMZN 023135106 $4.8M 4.01% 23,028 SH
9 APPLE INC AAPL 037833100 $4.6M 3.82% 17,999 SH
10 MICROSOFT CORP MSFT 594918104 $4.5M 3.77% 12,183 SH
11 EXPEDIA GROUP INC EXPE 30212P303 $3.6M 2.98% 15,425 SH
12 ROBLOX CORP RBLX 771049103 $3.5M 2.91% 61,555 SH
13 COREWEAVE INC CRWV 21873S108 $3.3M 2.74% 42,264 SH
14 RINGCENTRAL INC RNG 76680R206 $3.1M 2.62% 84,169 SH
15 MARQETA INC MQ 57142B104 $2.2M 1.88% 550,264 SH
16 DISNEY WALT CO DIS 254687106 $2.2M 1.82% 22,549 SH
17 STATE STR SPDR S&P 500 ETF T SPY 78462F103 $2.1M 1.76% 3,229 SH
18 FIRST SOLAR INC FSLR 336433107 $1.6M 1.34% 8,104 SH
19 ADVANCED MICRO DEVICES INC AMD 007903107 $1.5M 1.28% 7,533 SH
20 SALESFORCE INC CRM 79466L302 $1.4M 1.21% 7,762 SH
21 TESLA INC TSLA 88160R101 $1.4M 1.15% 3,690 SH
22 TAIWAN SEMICONDUCTOR MANUFAC TSM 874039100 $1.3M 1.06% 3,760 SH
23 ETSY INC ETSY 29786A106 $1.1M 0.96% 22,910 SH
24 OKTA INC OKTA 679295105 $1.0M 0.85% 12,912 SH
25 REDDIT INC RDDT 75734B100 $1.0M 0.85% 7,535 SH
26 STUBHUB HLDGS INC STUB 86384P109 $934.6K 0.78% 149,777 SH
27 NETFLIX INC. NFLX 64110L106 $914.4K 0.76% 9,510 SH
28 BOOKING HOLDINGS INC BKNG 09857L108 $913.6K 0.76% 217 SH
29 INTUIT INTU 461202103 $814.6K 0.68% 1,884 SH
30 PINTEREST INC PINS 72352L106 $722.2K 0.60% 39,378 SH
31 BROADCOM INC AVGO 11135F101 $710.9K 0.59% 2,297 SH
32 ASML HLDG NV ASML N07059210 $698.9K 0.58% 529 SH
33 META PLATFORMS INC META 30303M102 $680.3K 0.57% 1,189 SH
34 DUOLINGO INC DUOL 26603R106 $678.5K 0.57% 6,883 SH
35 ISHARES TR IVV 464287200 $678.1K 0.57% 1,038 SH
36 ISHARES TR IEUR 46434V738 $586.3K 0.49% 8,343 SH
37 HARROW INC HROW 415858109 $576.2K 0.48% 16,342 SH
38 INVESCO QQQ TR QQQ 46090E103 $568.9K 0.48% 986 SH
39 MERCADOLIBRE INC MELI 58733R102 $562.2K 0.47% 325 SH
40 SENTINELONE INC S 81730H109 $544.2K 0.45% 42,248 SH
41 BLEND LABS INC BLND 09352U108 $505.0K 0.42% 297,071 SH
42 PROGRESSIVE CORP PGR 743315103 $444.7K 0.37% 2,243 SH
43 WELLS FARGO & CO WFC 949746101 $403.6K 0.34% 5,070 SH
44 ISHARES TR FXI 464287184 $386.2K 0.32% 10,759 SH
45 FACTSET RESH SYS INC FDS 303075105 $384.7K 0.32% 1,773 SH
46 LYFT INC LYFT 55087P104 $384.0K 0.32% 28,873 SH
47 ZOOM COMMUNICATIONS INC ZM 98980L101 $344.0K 0.29% 4,279 SH
48 VANGUARD INDEX FDS VOO 922908363 $288.6K 0.24% 483 SH
49 EXXON MOBIL CORP XOM 30231G102 $270.3K 0.23% 1,593 SH
50 SCHWAB STRATEGIC TR SCHF 808524805 $235.1K 0.20% 9,499 SH
Filing History
Period Filed AUM Holdings Accession
2026-03-31 2026-05-15 $119.6M 53 0001172661-26-001981
2025-12-31 2026-04-02 $110.0M 50 0001172661-26-001366