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Ahara Advisors LLC

Q1 2026 · 13F-HR

Ahara Advisors LLCholdings as filed

Filed 2026-05-15 · accession 0001172661-26-001981

$119.6M
Reported value
53
Positions
2026-03-31
Period end
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The Brief · Ahara Advisors LLC · Q1 2026

AI · grounded in 13F

Ahara Advisors LLC increased its position in MSFT by 75.7%. The fund also accumulated shares of UBER and GOOGL, increasing both holdings by approximately 51%. Conversely, the fund trimmed its holdings in TSLA by 36.3% and META by 23%.

Holdings as filed

CUSIPTickerIssuerValue% port.SharesClassVoting
922908769VTIVANGUARD INDEX FDS$16.4M13.7%51,216CommonNONE
02079K107GOOGALPHABET INC$10.7M8.95%37,310CommonNONE
02079K305GOOGLALPHABET INC$8.8M7.39%30,720CommonNONE
90353T100UBERUBER TECHNOLOGIES INC$6.9M5.77%95,895CommonNONE
009066101ABNBAIRBNB INC$6.4M5.32%50,427CommonNONE
084670702BRK/BBERKSHIRE HATHAWAY INC DEL$5.7M4.74%11,827CommonNONE
67066G104NVDANVIDIA CORPORATION$5.7M4.74%32,486CommonNONE
023135106AMZNAMAZON COM INC$4.8M4.01%23,028CommonNONE
037833100AAPLAPPLE INC$4.6M3.82%17,999CommonNONE
594918104MSFTMICROSOFT CORP$4.5M3.77%12,183CommonNONE
30212P303EXPEEXPEDIA GROUP INC$3.6M2.98%15,425CommonNONE
771049103RBLXROBLOX CORP$3.5M2.91%61,555CommonNONE
21873S108CRWVCOREWEAVE INC$3.3M2.74%42,264CommonNONE
76680R206RNGRINGCENTRAL INC$3.1M2.62%84,169CommonNONE
57142B104MQMARQETA INC$2.2M1.88%550,264CommonNONE
254687106DISDISNEY WALT CO$2.2M1.82%22,549CommonNONE
78462F103SPYSTATE STR SPDR S&P 500 ETF T$2.1M1.76%3,229CommonNONE
336433107FSLRFIRST SOLAR INC$1.6M1.34%8,104CommonNONE
007903107AMDADVANCED MICRO DEVICES INC$1.5M1.28%7,533CommonNONE
79466L302CRMSALESFORCE INC$1.4M1.21%7,762CommonNONE
88160R101TSLATESLA INC$1.4M1.15%3,690CommonNONE
874039100TSMTAIWAN SEMICONDUCTOR MANUFAC$1.3M1.06%3,760CommonNONE
29786A106ETSYETSY INC$1.1M0.96%22,910CommonNONE
679295105OKTAOKTA INC$1.0M0.85%12,912CommonNONE
75734B100RDDTREDDIT INC$1.0M0.85%7,535CommonNONE
86384P109STUBSTUBHUB HLDGS INC$934,6080.78%149,777CommonNONE
64110L106NFLXNETFLIX INC.$914,3870.76%9,510CommonNONE
09857L108BKNGBOOKING HOLDINGS INC$913,6390.76%217CommonNONE
461202103INTUINTUIT$814,6040.68%1,884CommonNONE
72352L106PINSPINTEREST INC$722,1930.60%39,378CommonNONE
11135F101AVGOBROADCOM INC$710,9220.59%2,297CommonNONE
N07059210ASMLASML HLDG NV$698,9380.58%529CommonNONE
30303M102METAMETA PLATFORMS INC$680,2800.57%1,189CommonNONE
26603R106DUOLDUOLINGO INC$678,4570.57%6,883CommonNONE
464287200IVVISHARES TR$678,1370.57%1,038CommonNONE
46434V738IEURISHARES TR$586,2630.49%8,343CommonNONE
415858109HROWHARROW INC$576,2190.48%16,342CommonNONE
46090E103QQQINVESCO QQQ TR$568,9480.48%986CommonNONE
58733R102MELIMERCADOLIBRE INC$562,1530.47%325CommonNONE
81730H109SSENTINELONE INC$544,1540.45%42,248CommonNONE
09352U108BLNDBLEND LABS INC$505,0210.42%297,071CommonNONE
743315103PGRPROGRESSIVE CORP$444,6520.37%2,243CommonNONE
949746101WMT2WELLS FARGO & CO$403,6110.34%5,070CommonNONE
464287184FXIISHARES TR$386,2480.32%10,759CommonNONE
303075105FDSFACTSET RESH SYS INC$384,7230.32%1,773CommonNONE
55087P104LYFTLYFT INC$384,0100.32%28,873CommonNONE
98980L101ZNGAZOOM COMMUNICATIONS INC$344,0240.29%4,279CommonNONE
922908363VOOVANGUARD INDEX FDS$288,6470.24%483CommonNONE
30231G102XOMEXXON MOBIL CORP$270,2680.23%1,593CommonNONE
808524805SCHFSCHWAB STRATEGIC TR$235,1000.20%9,499CommonNONE
042068205ARMARM HOLDINGS PLC$227,0710.19%1,501CommonNONE
922042858VWOVANGUARD INTL EQUITY INDEX F$208,5090.17%3,858CommonNONE
90364P105PATHUIPATH INC$146,9680.12%13,240CommonNONE

Source: SEC EDGAR · raw 13F holdings as filed. The Class column shows the option type when reported (Put/Call) or Common when the issuer's equity is held directly. 13F discloses long positions only.