WS MANAGEMENT LLLP 13F Portfolio

EntityCategoryQoQ AUM ChangeAUM (13F)# of HoldingsPerformance RankEquities Trend
WM
WS MANAGEMENT LLLP
Institutional Filer 11.31%$465.1M26

Current Portfolio Holdings

Showing all 26 reported positions by value

#StockCompany NameSectorShares HeldMarket Value% of Portfolio
1BRKABERKSHIRE HATHAWAY INC DEL125$89.8M19.30%
2BRKBBERKSHIRE HATHAWAY INC DEL139K$66.6M14.33%
3AMZNAmazon.com, Inc.Consumer Cyclical152K$31.6M6.80%
4LHLabcorp Holdings Inc.Healthcare114K$30.3M6.51%
5NVDANVIDIA CorporationTechnology157K$27.4M5.88%
6GOOGLAlphabet Inc.Technology95K$27.4M5.88%
7TJXThe TJX Companies, Inc.Consumer Cyclical122K$19.6M4.20%
8XBISPDR SERIES TRUST150K$19.2M4.12%
9IWMiShares Russell 2000 ETF75K$18.6M4.00%
10RHPRyman Hospitality Properties, Inc.Real Estate159K$14.7M3.16%
11ASTSAST SpaceMobile, Inc.Technology165K$13.7M2.94%
12LAMRLamar Advertising CompanyReal Estate102K$12.9M2.77%
13CROXCrocs, Inc.Consumer Cyclical150K$12.5M2.68%
14KNXKnight-Swift Transportation Holdings Inc.Industrials206K$11.9M2.55%
15SNSharkNinja, Inc.Consumer Cyclical90K$9.5M2.05%
Showing 1 to 15 of 26 holdings
WS MANAGEMENT LLLP 13F Portfolio Holdings & Trades (Q1 2026) | VCP Scanner