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Latest ASHFORD CAPITAL MANAGEMENT INC Stock Portfolio

$739Million

Equity Portfolio Value
Last Reported on: 15 May, 2024

About ASHFORD CAPITAL MANAGEMENT INC and it’s 13F Hedge Fund Stock Holdings

In it's latest 13F Holdings report, ASHFORD CAPITAL MANAGEMENT INC reported an equity portfolio of $739.3 Millions as of 31 Mar, 2024.

The top stock holdings of ASHFORD CAPITAL MANAGEMENT INC are CPRT, , CSGP. The fund has invested 4.7% of it's portfolio in COPART INC and 4.3% of portfolio in ODDITY TECH, LTD. - CL A.

The fund managers got completely rid off TWILIO INC. - CLASS A (TWLO), CSG SYSTEMS INTERNATIONAL INC (CSGS) and AMERESCO INC. (AMRC) stocks. They significantly reduced their stock positions in VIASAT INC. (VSAT), VICOR CORP (VICR) and NVE CORPORATION (NVEC). ASHFORD CAPITAL MANAGEMENT INC opened new stock positions in LIGAND PHARMACEUTICALS - CL B (LGND), FACEBOOK INC - A (META) and VANGUARD REIT ETF (VOO). The fund showed a lot of confidence in some stocks as they added substantially to GLOBALSTAR INC. (GSAT), ENERGY TRANSFER LP (ET) and VANECK VIETNAM ETF (AFK).

New Buys

Ticker$ Bought
LIGAND PHARMACEUTICALS - CL B14,366,700
FACEBOOK INC - A3,916,200
VANGUARD REIT ETF2,914,720
AMPLIFY CYBERSECURITY ETF764,191
NVIDIA CORP271,068
CORNING INC202,243

New stocks bought by ASHFORD CAPITAL MANAGEMENT INC

Additions

Ticker% Inc.
GLOBALSTAR INC.1,551
ENERGY TRANSFER LP281
VANECK VIETNAM ETF59.66
NU HOLDINGS LTD/CAYMAN ISL51.66
ENTERPRISE PRODUCTS PARTNERS50.45
BIO-TECHNE CORP27.92
VANGUARD LONG-TERM TREASURY INDEX FUND ETF25.49
CELLEBRITE DI LTD/ISRAEL23.48

Additions to existing portfolio by ASHFORD CAPITAL MANAGEMENT INC

Reductions

Ticker% Reduced
VIASAT INC.-79.48
VICOR CORP-71.16
NVE CORPORATION-66.56
ADOBE SYSTEMS-65.86
PIMCO 25 YEAR ZERO COUPON US TREASURY INDEX ETF-60.00
BROOKFIELD REAL ASSETS INCOME FUND INC-34.06
MERCADO LIBRE-29.94
CYBERARK SOFTWARE LTD/ISRAEL-26.4

ASHFORD CAPITAL MANAGEMENT INC reduced stake in above stock

Sold off

Ticker$ Sold
CSG SYSTEMS INTERNATIONAL INC-9,536,830
TWILIO INC. - CLASS A-13,438,200
AMERESCO INC.-5,535,600
SKYWORKS SOLUTIONS INC-1,506,760
PUREFUNDS ISE CYBER SECURITY ETF-744,493
UNITED HEALTH GROUP-4,082,780
BALCHEM CORP-685,143
HOME DEPOT INC-206,890

ASHFORD CAPITAL MANAGEMENT INC got rid off the above stocks

Current Stock Holdings of ASHFORD CAPITAL MANAGEMENT INC

Last Reported on: 15 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE, INC.0.094,031691,236REDUCED-7.99
ACGLARCH CAPITAL GROUP LTD0.4435,4523,277,180ADDED1.34
ACTXGLOBAL X S&P 500 COVERED CALL ETF0.1019,000775,010UNCHANGED0.00
ACWFISHARES CORE MSCI EUROPE ETF0.7090,0915,211,760ADDED6.06
ADBEADOBE SYSTEMS0.182,7141,369,480REDUCED-65.86
AFKVANECK VIETNAM ETF0.26138,9991,932,090ADDED59.66
AGGISHARES BARCLAY 7-10 YEAR TREASURY BOND FUND1.44112,17310,618,300ADDED16.22
AGGISHARES LATIN AMERICA 40 ETF0.50131,2983,734,120ADDED18.61
AGGISHARES BARCLAYS 20 YEAR TREASURY BOND FUND0.3930,6352,898,680ADDED2.27
AGGISHARES RUSSELL 1000 GROWTH INDEX FUND0.051,127379,855REDUCED-9.48
AIEQPUREFUNDS ISE CYBER SECURITY ETF0.000.000.00SOLD OFF-100
AKAMAKAMAI TECHNOLOGIES INC0.2013,3591,452,920REDUCED-19.37
AMLXAMPLIFY CYBERSECURITY ETF0.1011,920764,191NEW
AMRCAMERESCO INC.0.000.000.00SOLD OFF-100
AMZNAMAZON0.176,8001,226,580REDUCED-1.45
AXONAXON ENTERPRISE, INC.4.1698,32630,764,200REDUCED-17.18
BCPCBALCHEM CORP0.000.000.00SOLD OFF-100
BNDWVANGUARD LONG-TERM TREASURY INDEX FUND ETF0.4859,6533,533,840ADDED25.49
BONDPIMCO 25 YEAR ZERO COUPON US TREASURY INDEX ETF0.087,477592,552REDUCED-60.00
BXMTBLACKSTONE MORTGAGE TRUST INC0.0934,000676,940UNCHANGED0.00
CAHCARDINAL HEALTH0.2516,4151,836,840REDUCED-1.3
CLBTCELLEBRITE DI LTD/ISRAEL2.761,841,24020,400,900ADDED23.48
CPRTCOPART INC4.65593,92634,400,200REDUCED-3.41
CSGPCOSTAR GROUP INC4.20321,41031,048,200REDUCED-1.16
CSGSCSG SYSTEMS INTERNATIONAL INC0.000.000.00SOLD OFF-100
CVCOCAVCO INDUSTRIES, INC.3.1458,18023,217,300ADDED0.54
CVXCHEVRON CORPORATION0.062,996472,589UNCHANGED0.00
CWISPDR EURO STOXX 50 FUND0.74104,4005,486,220ADDED11.14
CYBRCYBERARK SOFTWARE LTD/ISRAEL2.5871,69519,044,300REDUCED-26.4
DDOGDATADOG, INC.0.095,184640,742UNCHANGED0.00
DHRDANAHER CORPORATION0.247,2171,802,230ADDED12.38
DVDOUBLEVERIFY HOLDINGS, INC.2.38499,92017,577,200REDUCED-11.96
EPDENTERPRISE PRODUCTS PARTNERS0.3999,3002,897,570ADDED50.45
EQIXEQUINIX INC0.232,0801,716,690ADDED8.33
ETENERGY TRANSFER LP0.33155,9432,452,980ADDED281
FNVFRANCO-NEVADA CORP1.90118,09414,072,100ADDED3.72
FURYFURY GOLD MINES LTD0.172,991,0201,255,630ADDED1.39
GLWCORNING INC0.036,136202,243NEW
GOOGALPHABET INC. CLASS A0.136,420968,971REDUCED-7.23
GOOGALPHABET INC - CL C0.052,450373,037REDUCED-12.5
GSATGLOBALSTAR INC.1.407,027,95010,331,100ADDED1,551
GSHDGOOSEHEAD INSURANCE INC-CL A1.63180,59012,030,900REDUCED-10.79
HDHOME DEPOT INC0.000.000.00SOLD OFF-100
HQYHEALTHEQUITY, INC.3.77341,51227,877,600REDUCED-16.44
IAUISHARES GOLD TRUST0.059,493398,801UNCHANGED0.00
IBMINTERNATIONAL BUSINESS MACHINES CORP0.041,492284,912REDUCED-5.33
INCYINCYTE CORP2.69348,84519,873,700REDUCED-6.42
JAMFJAMF HOLDING CORP1.12451,7088,288,840REDUCED-17.3
JNJJOHNSON & JOHNSON0.042,100332,199UNCHANGED0.00
KNSLKINSALE CAPITAL GROUP INC.2.8940,68621,349,600REDUCED-16.15
KOCOCA-COLA CO0.0910,926668,453REDUCED-0.9
LGNDLIGAND PHARMACEUTICALS - CL B1.94196,53514,366,700NEW
LLYELI LILLY & COMPANY0.05508395,204REDUCED-11.81
LNTHLANTHEUS HOLDINGS, INC.1.08127,7607,951,780REDUCED-0.3
MELIMERCADO LIBRE0.231,1231,697,930REDUCED-29.94
METAFACEBOOK INC - A0.538,0653,916,200NEW
MKTXMARKETAXESS HOLDINGS INC2.2074,27716,285,200REDUCED-4.6
MLRMILLER INDUSTRIES RSUS0.069,120456,912UNCHANGED0.00
MOHMOLINA HEALTHCARE INC.0.386,8372,808,840REDUCED-11.46
MORNMORNINGSTAR INC0.266,1711,902,950REDUCED-21.74
MRKMERCK & CO0.9553,2157,021,720ADDED10.26
MSFTMICROSOFT CORPORATION1.1820,6938,705,960ADDED6.33
NUNU HOLDINGS LTD/CAYMAN ISL0.58357,0004,259,010ADDED51.66
NVDANVIDIA CORP0.04300271,068NEW
NVECNVE CORPORATION0.129,795883,313REDUCED-66.56
NVEENV5 GLOBAL, INC.1.82137,36013,462,700ADDED1.76
PGNYPROGYNY INC1.61311,94311,900,600ADDED5.86
QQQINVESCO QQQ TRUST SERIES 10.559,0984,039,600REDUCED-6.37
QTRXQUANTERIX CORP2.65831,53519,591,000REDUCED-0.04
RDVTRED VIOLET INC2.881,087,94021,269,200REDUCED-1.74
REGNREGENERON PHARMACEUTICALS INC0.201,5721,513,030REDUCED-3.56
ROPROPER TECHNOLOGIES, INC0.597,7614,352,680REDUCED-6.36
SHOPSHOPIFY, INC. - CLASS A0.043,600277,812REDUCED-21.74
SNEXSTONEX GROUP, INC.3.07322,72022,674,300REDUCED-2.15
SPGIS&P GLOBAL INC.0.274,6441,975,790REDUCED-1.57
SPTSPROUT SOCIAL INC1.44177,62510,606,000ADDED2.47
SPYSPDR S&P 500 ETF TRUST0.9212,9846,791,540REDUCED-2.46
SUPNSUPERNUS PHARMACEUTICALS INC.3.52763,46526,041,800REDUCED-7.63
SWKSSKYWORKS SOLUTIONS INC0.000.000.00SOLD OFF-100
TECHBIO-TECHNE CORP0.2223,2301,635,160ADDED27.92
TERTERADYNE INC.0.2314,9751,689,630ADDED8.25
TTDTHE TRADE DESK - CL A2.46208,48918,226,100ADDED1.94
TWLOTWILIO INC. - CLASS A0.000.000.00SOLD OFF-100
TYLTYLER TECHNOLOGIES, INC3.1554,77623,280,300ADDED0.99
UNHUNITED HEALTH GROUP0.000.000.00SOLD OFF-100
UNPUNION PACIFIC CORP1.3841,34510,168,000REDUCED-0.9
VICIVICI PROPERTIES0.54134,0603,993,650ADDED8.5
VICRVICOR CORP0.1325,230964,795REDUCED-71.16
VOOVANGUARD TOTAL STOCK MARKET ETF3.1288,89123,102,800REDUCED-3.68
VOOVANGUARD REIT ETF0.3933,7042,914,720NEW
VRTXVERTEX PHARMACEUTICALS INC.0.488,4003,511,280REDUCED-10.22
VSATVIASAT INC.0.36144,9202,621,600REDUCED-79.48
XOMEXXON MOBIL CORP0.3018,8112,186,590REDUCED-1.78
ODDITY TECH, LTD. - CL A4.31733,48031,869,700ADDED1.84
SKYWARD SPECIALTY INSURANCE GROUP3.82755,42028,260,300ADDED0.04
BERKSHIRE HATHAWAY A1.8922.0013,957,700UNCHANGED0.00
BERKSHIRE HATHAWAY B0.488,5353,589,140REDUCED-0.47
GAMCO GLOBAL GOLD NATURAL RESOURCES AND INCOME TRU0.08146,000563,560REDUCED-14.62
BROOKFIELD REAL ASSETS INCOME FUND INC0.0210,400134,368REDUCED-34.06