13F

Investor

Ahara Advisors LLC

CIK 0002116771 · filed 2026-05-15 · SEC filing

13F book

$119.6M

Positions

53

6 new · 3 sold

Largest name

13.7%

Vanguard Index Fds

Est. mark

−$10.8M

Price effect on 47 names still held. Flow $20.4M.
NameTickerSharesValueWeightEst. markChange
Vanguard Index Fds51.2K$16.4M13.7%−$594.4KAdded$2.65M
Alphabet Inc37.3K$10.7M8.9%−$1MAdded−$958.2K
Alphabet Inc30.7K$8.83M7.4%−$517.6KAdded$2.47M
Uber Technologies, IncUBER95.9K$6.9M5.8%−$620.7KAdded$1.71M
Airbnb, Inc.ABNB50.4K$6.37M5.3%−$435.8KAdded$102.7K
Berkshire Hathaway Inc Del11.8K$5.67M4.7%−$276.9KAdded−$267.3K
Nvidia CorpNVDA32.5K$5.67M4.7%−$296.6KAdded$1.09M
Amazon Com IncAMZN23K$4.8M4.0%−$492.4KAdded−$244.4K
Apple Inc.AAPL18K$4.57M3.8%−$311.9KAdded−$126.6K
Microsoft CorpMSFT12.2K$4.51M3.8%−$786.4KAdded$1.16M
Expedia Group, Inc.EXPE15.4K$3.56M3.0%−$766KAdded−$577.6K
Roblox CorpRBLX61.6K$3.48M2.9%−$1.51MCut−$1.51M
CoreWeave, Inc.CRWV42.3K$3.27M2.7%$198.3KAdded$851.1K
RingCentral, Inc.RNG84.2K$3.13M2.6%$622KAdded$968.5K
Marqeta, Inc.MQ550.3K$2.25M1.9%−$244.3KAdded$513K
Disney Walt Co22.5K$2.17M1.8%−$332.3KAdded−$979
Spdr S&P 500 Etf Tr3.23K$2.1M1.8%−$102.3KCut−$205.9K
First Solar, Inc.FSLR8.1K$1.6M1.3%−$500.8KAdded−$446.3K
Advanced Micro Devices IncAMD7.53K$1.53M1.3%−$37KAdded$792K
Salesforce, Inc.CRM7.76K$1.45M1.2%−$509.9KAdded−$277.3K
Tesla, Inc.TSLA3.69K$1.37M1.1%−$287.6KCut−$1.23M
Taiwan Semiconductor Mfg Ltd3.76K$1.27M1.1%$119.4KAdded$205.5K
Etsy IncETSY22.9K$1.15M1.0%−$125.1KCut−$133.2K
Okta, Inc.OKTA12.9K$1.02M0.9%−$67.8KAdded$261.1K
Reddit, Inc.RDDT7.54K$1.01M0.8%−$405.4KAdded$35.8K
Stubhub Hldgs Inc149.8K$934.6K0.8%New
Netflix IncNFLX9.51K$914.4K0.8%New
Booking Holdings Inc.BKNG217$913.6K0.8%−$203.8KAdded−$39.6K
Intuit Inc.INTU1.88K$814.6K0.7%New
Pinterest, Inc.PINS39.4K$722.2K0.6%−$199.7KAdded$37.4K
Broadcom Inc.AVGO2.3K$710.9K0.6%New
Asml Holding N V529$698.9K0.6%$129.5KAdded$150.6K
Meta Platforms, Inc.META1.19K$680.3K0.6%−$104.5KCut−$338.8K
Duolingo, Inc.DUOL6.88K$678.5K0.6%−$103.7KAdded$441.9K
Ishares Tr1.04K$678.1K0.6%−$32.9KCut−$129.5K
Ishares Tr8.34K$586.3K0.5%−$5.92KHeld
Harrow, Inc.HROW16.3K$576.2K0.5%−$177.3KAdded−$55.9K
Invesco Qqq Tr986$568.9K0.5%−$33KAdded$23K
Mercadolibre IncMELI325$562.2K0.5%−$92.7KHeld
SentinelOne, Inc.S42.2K$544.2K0.5%−$51.6KAdded$179.2K
Blend Labs, Inc.BLND297.1K$505K0.4%−$259.7KAdded−$84.2K
Progressive Corp2.24K$444.7K0.4%New
Wells Fargo Co New5.07K$403.6K0.3%−$68.9KCut−$90.5K
Ishares Tr10.8K$386.2K0.3%−$25.7KHeld
Factset Resh Sys Inc1.77K$384.7K0.3%−$125KAdded−$111.4K
Lyft, Inc.LYFT28.9K$384K0.3%−$175.3KHeld
Zoom Communications, Inc.ZM4.28K$344K0.3%−$25.2KAdded−$24.7K
Vanguard Index Fds483$288.6K0.2%−$13.6KAdded$3.74K
Exxon Mobil Corp1.59K$270.3K0.2%$78.6KCut$20.9K
Schwab Strategic Tr9.5K$235.1K0.2%$6.75KCut−$67K
Arm Holdings Plc1.5K$227.1K0.2%New
Vanguard Intl Equity Index F3.86K$208.5K0.2%$1.12KCut−$30.8K
UiPath, Inc.PATH13.2K$147K0.1%−$70KCut−$70.7K

Positions as of Q1 2026. 13F filings arrive up to 45 days after quarter-end and omit shorts. Values are quarter-end marks, as filed. Estimated mark is the price effect on shares still held — not realized P&L or investment advice.