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Institutional

TANAKA CAPITAL MANAGEMENT INC

CIK 0000816788
$59,887
Reported AUM
43
Positions
Q1 2026
Period
2026-05-18
Filed

The Brief · TANAKA CAPITAL MANAGEMENT INC · Q1 2026

AI · grounded in 13F

TANAKA CAPITAL MANAGEMENT INC increased its position in PEP by 140.92%. The fund also accumulated shares of IJR by 132.15% and Cameco by 31.64%. Conversely, the manager trimmed its holding in Philip Morris International by 55%.

Portfolio · Q1 2026

UAMY$5,377NXE$5,095CORT$4,469NVDA$4,322AURA$4,087NUVB$3,869AAPL$3,263IJRCPRXONTOAMATCCJOther$16,489TI

Top holdings

#StockIssuerPriceDay %1Y Gr.5Y Gr.Value% of bookΔ shares (QoQ)Status
1UAMYUnited States Antimony$5.226.31%76.35%455.32%$5K8.98%HELD
2NXENexGen Energy$9.324.37%42.15%95.75%$5K8.51%HELD
3CORTCorcept Therapeutics71.48%456.02%$4K7.46%HELD
4NVDANvidia$195.042.65%12.42%774.16%$4K7.22%HELD
5Aura Minerals, Inc.$4K6.82%HELD
6NUVBNuvation Bio Inc.$6.701.67%200.45%-27.41%$4K6.46%HELD
7AAPLApple Computing$333.43-1.41%65.41%124.96%$3K5.45%HELD
8IJRiShares Core SP Small Cap$145.500.82%35.90%40.20%$3K4.74%HELD
9CPRXCatalyst Pharmaceuticals0.00%$3K4.69%HELD
10ONTOOnto Innovation$250.5214.75%165.66%237.95%$3K4.26%HELD
11AMATApplied Materials$501.7714.97%179.14%284.62%$2K3.97%HELD
12CCJCameco$88.234.33%21.28%382.58%$2K3.91%HELD
13SYMSymbotic$42.946.45%-15.56%340.86%$2K3.83%HELD
14AFLAFLAC Inc.$127.36-1.02%32.61%150.35%$2K3.67%HELD
15ELVAElectrovaya$8.5611.60%76.13%148.12%$2K3.32%HELD
16SFStifel Financial Corp.$82.630.87%12.61%94.71%$1K2.36%HELD
17The Carlyle Group$1K2.33%HELD
18AMZNAmazon.com Inc.$235.503.90%9.66%35.70%$1K2.10%HELD
19QCOMQUALCOMM$151.60-2.62%4.46%15.13%$1K1.96%HELD
20PEPPepsiCo, Inc.$140.20-2.30%4.65%5.03%$1K1.84%HELD
21UECUranium Energy Corp.$9.747.74%12.34%288.05%$1K1.73%HELD
22MAMastercard$577.352.49%3.76%71.76%$9461.58%HELD
23PMPhilip Morris International$192.00-3.25%22.25%135.79%$4710.79%HELD
24METAMeta Platforms$539.03-7.95%-27.89%43.33%$4590.77%HELD
25ASML Holding N V ADR$2960.49%HELD
26ACNAccenture plc$163.29-5.71%-34.80%-47.34%$1000.17%HELD
27IWBiShares Russell 1000$405.801.64%20.01%69.99%$840.14%HELD
28IWFiShares Russell 1000 Growth$117.432.96%9.16%66.32%$640.11%HELD
29JPMJPMorgan Chase and Co.$350.851.78%23.57%148.58%$550.09%HELD
30BYSIBeyondSpring Inc$1.13-1.74%-45.41%-96.39%$430.07%HELD
31IWDiShares Russell 1000 Value$250.710.48%$260.04%HELD
32CLColgate-Palmolive Co.$91.60-2.02%$220.04%HELD
33MDLZMondelez International, Inc.$63.08-2.94%$110.02%HELD
34EFAiShares MSCI EAFE$106.242.78%$100.02%HELD
35BMYBristol-Myers Squibb$64.862.79%$100.02%HELD
36EFGiShares MSCI EAFE Growth$122.363.21%$90.02%HELD
37PGProcter And Gamble$143.96-1.46%$90.02%HELD
38INTCIntel Corp.$91.1311.30%$80.01%HELD
39Kraft Heinz Company$60.01%HELD
40CHDChurch and Dwight Co. Inc.$97.68-2.18%$20.00%HELD
41TRVTravelers Group$375.99-3.35%$20.00%HELD
42JNJJohnson and Johnson$255.82-3.66%$20.00%HELD
43Fuelnation, Inc.HELD

Source: SEC EDGAR · accession 0000816788-26-000002. 13F discloses long positions only — shorts, foreign equities, and options are excluded.