ASHFORD CAPITAL MANAGEMENT INC - Q2 2020 holdings

$772 Million is the total value of ASHFORD CAPITAL MANAGEMENT INC's 98 reported holdings in Q2 2020. The portfolio turnover from Q1 2020 to Q2 2020 was 16.4% .

 Value Shares↓ Weighting
CHGG SellCHEGG INC.$40,563,000
+58.1%
603,074
-15.9%
5.25%
+16.1%
LVGO SellLIVONGO HEALTH, INC.$36,909,000
+73.5%
490,880
-34.2%
4.78%
+27.3%
MKTX SellMARKETAXESS HOLDINGS INC$28,563,000
+41.5%
57,022
-6.0%
3.70%
+3.9%
TTD SellTHE TRADE DESK - CL A$27,764,000
+56.6%
68,299
-25.7%
3.60%
+14.9%
TWLO SellTWILIO INC. - CLASS A$27,313,000
+117.3%
124,477
-11.4%
3.54%
+59.5%
AXON SellAXON ENTERPRISE, INC.$26,189,000
+18.0%
266,882
-14.9%
3.39%
-13.4%
INCY SellINCYTE CORP$25,575,000
+25.7%
245,984
-11.4%
3.31%
-7.7%
HQY SellHEALTHEQUITY, INC.$23,486,000
+2.5%
400,315
-11.6%
3.04%
-24.7%
CSGP SellCOSTAR GROUP INC$21,680,000
+16.6%
30,507
-3.7%
2.81%
-14.4%
SHOP SellSHOPIFY, INC. - CLASS A$20,825,000
+71.9%
21,940
-24.5%
2.70%
+26.2%
CPRT SellCOPART INC$17,662,000
+11.7%
212,104
-8.1%
2.29%
-18.0%
UPLD SellUPLAND SOFTWARE INC.$16,352,000
+16.7%
470,420
-10.0%
2.12%
-14.4%
TYL SellTYLER TECHNOLOGIES, INC$15,852,000
+11.1%
45,698
-5.1%
2.05%
-18.5%
PS SellPLURALSIGHT INC$14,337,000
-17.0%
794,320
-49.5%
1.86%
-39.1%
QTRX SellQUANTERIX CORP$12,804,000
+6.8%
467,453
-28.4%
1.66%
-21.6%
NVEE SellNV5 GLOBAL, INC.$12,740,000
+5.6%
250,630
-14.2%
1.65%
-22.5%
FNV SellFRANCO-NEVADA CORP$12,342,000
+18.4%
88,387
-15.6%
1.60%
-13.1%
APPN SellAPPIAN CORP$9,495,000
+24.7%
185,260
-2.1%
1.23%
-8.4%
VSAT SellVIASAT INC.$9,033,000
-30.7%
235,409
-35.1%
1.17%
-49.1%
LMNR SellLIMONEIRA CO.$8,697,000
-34.0%
600,225
-40.4%
1.13%
-51.6%
EQIX SellEQUINIX INC$6,890,000
-12.2%
9,811
-21.9%
0.89%
-35.5%
CVCO SellCAVCO INDUSTRIES, INC.$6,289,000
-41.7%
32,612
-56.2%
0.81%
-57.2%
XLP SellCONSUMER STAPLES SELECT SECTOR SPDR FUND$5,370,000
+4.9%
91,574
-2.6%
0.70%
-23.0%
EBIX SellEBIX INC.$4,426,000
-5.1%
197,955
-35.6%
0.57%
-30.4%
HACK SellPUREFUNDS ISE CYBER SECURITY ETF$3,945,000
+21.9%
88,689
-2.2%
0.51%
-10.5%
ROP SellROPER TECHNOLOGIES, INC$3,038,000
+6.0%
7,824
-14.9%
0.39%
-22.3%
EFAV SellISHARES EDGE MSCI MIN VOL EAFE ETF$2,852,000
-15.0%
43,171
-20.2%
0.37%
-37.7%
KMI SellKINDER MORGAN HOLDCO LLC$2,713,000
+1.8%
178,860
-6.6%
0.35%
-25.3%
XOM SellEXXON MOBIL CORP$1,335,000
+10.0%
29,853
-6.6%
0.17%
-19.2%
BRKB SellBERKSHIRE HATHAWAY B$1,242,000
-19.9%
6,959
-17.9%
0.16%
-41.0%
INFO SellIHS MARKIT LTD$1,178,000
-4.8%
15,602
-24.4%
0.15%
-29.8%
SIVB SellSVB FINANCIAL GROUP$1,174,000
-82.7%
5,447
-87.9%
0.15%
-87.3%
DHR SellDANAHER CORPORATION$1,107,000
-10.0%
6,259
-29.6%
0.14%
-34.1%
TER SellTERADYNE INC.$928,000
+27.1%
10,981
-18.6%
0.12%
-7.0%
KO SellCOCA-COLA CO$868,000
-5.3%
19,428
-6.3%
0.11%
-30.9%
BCPC SellBALCHEM CORP$711,000
-9.4%
7,500
-5.7%
0.09%
-33.3%
LGND SellLIGAND PHARMACEUTICALS - CL B$631,000
+22.3%
5,640
-20.6%
0.08%
-9.9%
WWD SellWOODWARD INC$516,000
+15.4%
6,648
-11.6%
0.07%
-15.2%
BX SellBLACKSTONE GROUP$499,000
+1.4%
8,800
-18.5%
0.06%
-25.3%
MORN SellMORNINGSTAR INC$464,000
-31.8%
3,293
-43.7%
0.06%
-50.0%
GOOG SellALPHABET INC - CL C$379,000
+2.4%
268
-15.7%
0.05%
-24.6%
MRK SellMERCK & CO$363,000
-11.0%
4,700
-11.3%
0.05%
-34.7%
ENV SellENVESTNET INC$355,000
-49.9%
4,821
-63.4%
0.05%
-63.2%
UDR SellUDR INC.$324,000
-29.6%
8,666
-31.1%
0.04%
-48.1%
VZ SellVERIZON COMMUNICATIONS INC$326,000
-63.0%
5,913
-64.0%
0.04%
-73.1%
TROW SellT ROWE PRICE GROUP INC.$242,000
+18.0%
1,959
-6.8%
0.03%
-13.9%
AM ExitANTERO MIDSTREAM CORP$0-20,000
-100.0%
-0.01%
LKQ ExitLKQ CORP$0-10,800
-100.0%
-0.04%
EPD ExitENTERPRISE PRODUCTS PARTNERS$0-16,000
-100.0%
-0.04%
PZA ExitPOWERSHARES NATIONAL AMT-FREE MUNICIPAL BOND PORTF$0-8,980
-100.0%
-0.04%
PG ExitPROCTOR & GAMBLE COMPANY$0-2,216
-100.0%
-0.04%
ULTA ExitULTA SALON COSMETICS AND FRAGRANCE, INC.$0-2,564
-100.0%
-0.08%
CG ExitCARLYLE GROUP$0-25,000
-100.0%
-0.10%
TLRA ExitTELARIA, INC.$0-1,992,902
-100.0%
-2.11%
CASH ExitMETA FINANCIAL GROUP INC$0-582,485
-100.0%
-2.23%
Original filings

The following EDGAR filing(s) were analyzed to create this report:

  • View 13F-HR filed 2020-08-17
Signatures

The EDGAR filing(s) were signed by:

Top long-term holdings
NameQuarters ownedLatest quarter ownedMax weighting
COPART INC42Q3 20235.1%
VIASAT INC.42Q3 20235.3%
MARKETAXESS HOLDINGS INC42Q3 20235.2%
INCYTE CORP42Q3 20235.6%
COSTAR GROUP INC42Q3 20234.5%
TYLER TECHNOLOGIES, INC42Q3 20233.1%
FRANCO-NEVADA CORP42Q3 20232.2%
BERKSHIRE HATHAWAY A42Q3 20231.7%
UNION PACIFIC CORP42Q3 20231.3%
ROPER TECHNOLOGIES, INC42Q3 20230.8%

View ASHFORD CAPITAL MANAGEMENT INC's complete holdings history.

Latest significant ownerships (13-D/G)
ASHFORD CAPITAL MANAGEMENT INC Q2 2020 significant holdings filed using form 13D/G when ownership exceeds 5% of a company's total stock issue.
FiledShares Percentage
Oportun Financial CorpFebruary 08, 2023367,1901.1%
ARGAN INCFebruary 14, 2022460,0432.9%
Great Lakes Dredge & Dock CORPFebruary 14, 20223,267,5935.0%
Limoneira COFebruary 16, 2021292,5701.7%
REMARK HOLDINGS, INC.Sold outFebruary 10, 202000.0%
VICOR CORPFebruary 12, 2019743,8002.6%
SITO MOBILE, LTD.Sold outFebruary 12, 201800.0%
Remark Media, Inc.February 14, 20171,915,1888.8%
SITO MOBILE, LTD.February 14, 20171,752,8698.5%
Standard Metals Processing, Inc.February 12, 2016975,0000.9%

View ASHFORD CAPITAL MANAGEMENT INC's complete significant-ownership history.

Latest filings
TypeFiled
13F-HR2024-02-15
SC 13G/A2024-02-12
13F-HR2023-11-15
13F-HR2023-08-14
13F-HR2023-05-15
13F-HR2023-02-15
SC 13G/A2023-02-08
SC 13G2023-02-08
13F-HR2022-11-16
13F-HR2022-08-15

View ASHFORD CAPITAL MANAGEMENT INC's complete filings history.

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