Fund HoldingsASHFORD CAPITAL MANAGEMENT INC

Total Portfolio Value
$809.20M
Total Bought
$140.70M
Total Sold
$173.36M
Net Transaction
-$32.66M
Filing Period:
Securities
SharesValue ($K)
Q4 2025
Q1 2026
Change
Q4 2025
Q1 2026
Weight (%)
Change
LANDBRIDGE COMPANY, LLC(LB)0248,540+248,540017,1622.12%+17,162
CLEAR SECURE, INC. -CLASS A(YOU)270,050533,268+263,2189,47325,8163.19%+16,342
VIPER ENERGY, INC.(VNOM)0342,680+342,680016,1031.99%+16,103
STONEX GROUP, INC.(SNEX)0466,630+466,630037,6344.65%+37,634
INTERDIGITAL INC.(IDCC)29,40855,724+26,3169,36316,8292.08%+7,466
ABACUS GLOBAL MANAGEMENT, INC(ABX)0864,900+864,90006,8150.84%+6,815
PALO ALTO NETWORKS, INC.(PANW)033,471+33,47105,3660.66%+5,366
EQUINIX INC(EQIX)23,42423,375-4917,94722,9132.83%+4,967
VOX ROYALTY CORP.3,152,3703,586,900+434,53014,94218,7952.32%+3,853
ADMA BIOLOGICS, INC.0361,500+361,50003,2570.40%+3,257
SUPERNUS PHARMACEUTICALS INC.(SUPN)612,538645,381+32,84330,44333,3604.12%+2,917
ALPHABET INC. CLASS A(GOOG)11,38120,006+8,6253,5625,7530.71%+2,191
INCYTE CORP(INCY)139,080165,247+26,16713,73715,5531.92%+1,816
FRANCO-NEVADA CORP(FNV)081,621+81,621020,1642.49%+20,164
VERIZON COMMUNICATIONS INC(VZ)029,770+29,77001,4940.18%+1,494
ISHARES FALLEN ANGELS USD BOND ETF
FALN ANGLS USD
239,038294,018+54,9806,5267,8560.97%+1,330
PORCH GROUP INC(PRCH)0696,180+696,18004,9920.62%+4,992
LIGAND PHARMACEUTICALS - CL B(LGND)0207,565+207,565041,4405.12%+41,440
KINDER MORGAN HOLDCO LLC(KMI)71,70887,493+15,7851,9712,9340.36%+962
ENTERPRISE PRODUCTS PARTNERS(EPD)144,610146,610+2,0004,6365,5480.69%+912
EXXON MOBIL CORP18,43618,43602,2193,1280.39%+909
SPDR EURO STOXX 50 FUND
ST STR EU 50 ETF
123,501141,178+17,6777,9528,7641.08%+812
ENERGY TRANSFER LP(ET)184,623195,153+10,5303,0443,7660.47%+722
ATLAS ENERGY SOLUTIONS, INC.(AESI)0162,440+162,44002,1310.26%+2,131
ORACLE CORPORATION(ORCL)6,82812,440+5,6121,3311,8300.23%+499
UNION PACIFIC CORP(UNP)41,34541,34509,56410,0311.24%+467
ISHARES CORE MSCI EUROPE ETF
CORE MSCI EURO
101,876108,972+7,0967,2317,6570.95%+426
RBC BEARINGS INC.(RBC)4,3824,38201,9652,3800.29%+415
EVERPURE, INC.(P)24,56834,132+9,5641,6462,0150.25%+369
THE TRAVELERS COMPANIES(TRV)7,7648,833+1,0692,2522,5760.32%+324
VERTEX PHARMACEUTICALS INC.(VRTX)8,2459,078+8333,7384,0540.50%+316
MERCADO LIBRE(MELI)9551,294+3391,9242,2370.28%+314
AEROVIRONMENT INC.01,670+1,67003060.04%+306
CORNING INC(GLW)6,1366,13605378340.10%+297
ISHARES CHINA LARGE-CAP ETF138,817156,078+17,2615,3155,6030.69%+288
MORGAN STANLEY(MS)2,7904,570+1,7804957520.09%+257
KINSALE CAPITAL GROUP INC.(KNSL)38,14544,360+6,21514,91915,1561.87%+237
DOW INC.(DOW)05,282+5,28202200.03%+220
CHEVRON CORPORATION(CVX)2,9962,99604576200.08%+163
AMPLIFY CYBERSECURITY ETF33,40137,526+4,1252,6842,8180.35%+133
WAL-MART STORES INC(WMT)9,6819,68101,0791,2030.15%+125
BERKSHIRE HATHAWAY B7,0717,671+6003,5543,6760.45%+122
FURY GOLD MINES LTD3,650,0153,730,015+80,0002,1542,2720.28%+118
VERTIV HOLDINGS CO.(VRT)1,3001,30002113260.04%+115
ISHARES MSCI UNITED KINGDOM ETF
MSCI UK ETF NEW
4,6246,843+2,2192033120.04%+108
MILLER INDUSTRIES RSUS9,1209,12003414150.05%+75
JOHNSON & JOHNSON(JNJ)1,7001,70003524160.05%+64
COCA-COLA CO(KO)10,07510,07507047660.09%+62
VANECK RARE EARTH & METALS ETF
RARE EAR STR ETF
51,59343,970-7,6233,8143,8690.48%+56
AT&T(T)8,7708,77002182540.03%+36
GAMCO GLOBAL GOLD NATURAL RESOURCES AND INCOME TRU146,000146,00007537770.10%+23
ISHARES MSCI BRAZIL130,280108,250-22,0304,1394,1560.51%+17
AURORA INNOVATION, INC.28,50028,50001091170.01%+8
GLOBAL X NASDAQ 100 COVERED CALL ETF
NASDAQ 100 COVER
10,00010,00001771720.02%-5
VITESSE ENERGY INC.11,95011,95002302170.03%-13
ALPHABET INC - CL C(GOOG)1,4001,40004394020.05%-38
APPLE, INC.(AAPL)2,8952,89507877350.09%-52
INTERNATIONAL BUSINESS MACHINES CORP(IBM)1,1961,19603542900.04%-64
ELI LILLY & COMPANY(LLY)336317-193612920.04%-70
ISHARES RUSSELL 1000 GROWTH INDEX FUND701613-883322610.03%-70
ISHARES RUSSELL 2000 GROWTH INDEX FUND11,86211,837-253,8323,7150.46%-117
ROBLOX CORP. - CL A(RBLX)5,2105,21004222950.04%-127
TKO GROUP HOLDINGS, INC.(TKO)12,29712,037-2602,5702,4270.30%-143
ISHARES MSCI MEXICO ETF61,06054,297-6,7634,2334,0850.50%-149
AMAZON(AMZN)6,7006,70001,5461,3950.17%-151
VICI PROPERTIES(VICI)205,760205,76005,7865,6210.69%-165
INVESCO QQQ TRUST SERIES 13280-3282010-201
ISHARES GOLD TRUST(IAU)2,8500-2,8502310-231
UNIQURE NV(QURE)10,0000-10,0002390-239
CELESTICA(CLS)8700-8702570-257
RESOLUTE HOLDINGS MANAGEMENT(RHLD)1,2610-1,2612600-260
SHOPIFY, INC. - CLASS A(SHOP)4,6804,145-5357534920.06%-262
UIPATH, INC. - CLASS A(PATH)125,474156,713+31,2392,0571,7400.21%-317
DANAHER CORPORATION(DHR)9,91910,123+2042,2711,9190.24%-351
SPDR S&P 500 ETF TRUST(SPY)11,16911,16907,6167,2640.90%-353
MARKETAXESS HOLDINGS INC(MKTX)2,0000-2,0003630-362
TERADYNE INC.(TER)19,85611,693-8,1633,8433,4670.43%-377
BROADCOM INC(AVGO)2,6001,660-9409005140.06%-386
INTUITIVE SURGICAL, INC.7,1437,777+6344,0463,5850.44%-460
AFFIRM HOLDINGS - CL A.(AFRM)6,7750-6,7755040-504
UFP TECHNOLOGIES, INC.(UFPT)96,660108,010+11,35021,46120,9112.58%-551
SPORTRADAR GROUP AG(SRAD)530,280719,570+189,29012,60512,0461.49%-559
FACEBOOK INC - A(META)6,0055,825-1803,9643,3330.41%-631
REPOSITRAK, INC.01,014,028+1,014,02807,7070.95%+7,707
GLOBALSTAR INC.(GSAT)998,995907,531-91,46460,97960,2787.45%-700
VANGUARD TOTAL STOCK MARKET ETF93,82795,654+1,82731,45730,6873.79%-771
BERKSHIRE HATHAWAY A2222016,60615,7991.95%-807
CARDINAL HEALTH(CAH)6,0870-6,0871,2510-1,251
MERCK & CO(MRK)26,98313,034-13,9492,8401,5680.19%-1,272
BIO-TECHNE CORP(TECH)37,90516,008-21,8972,2298370.10%-1,393
VERISK ANALYTICS INC - CLASS A(VRSK)6,5640-6,5641,4680-1,468
DUTCH BROS INC.(BROS)156,280159,230+2,9509,5678,0671.00%-1,501
MODINE MANUFACTURING CO(MOD)14,7360-14,7361,9670-1,967
HEALTHEQUITY, INC.(HQY)271,723266,481-5,24224,89322,2702.75%-2,623
SPDR BLACKSTONE SENIOR LOAN ETF
ST STR BL LN ETF
65,9430-65,9432,7210-2,721
SKYWARD SPECIALTY INSURANCE GROUP(SKWD)387,702390,332+2,63019,81517,0502.11%-2,766
CAVCO INDUSTRIES, INC.(CVCO)028,917+28,917014,0041.73%+14,004
ROPER TECHNOLOGIES, INC(ROP)6,6700-6,6702,9690-2,969
MICROSOFT CORPORATION(MSFT)18,10914,935-3,1748,7585,5280.68%-3,229
AXON ENTERPRISE, INC.(AXON)030,955+30,955013,1461.62%+13,146
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