Tsai Capital Corp
CIK 1574850 · Holdings on Jun 30, 2026 · First reported Aug 13, 2026
Top ten holdings
Q2 2026- TSLA21.94%
- QXO14.74%
- AAPL10.37%
- AMZN8.60%
- BN6.21%
- CSGP6.16%
- NVDA5.22%
- MSFT5.12%
- SPCX4.93%
- GOOG4.24%
Share classes counted separately87.53%
Portfolio value by quarter
What changed this quarter?
Within preview · weight change- QXOWeight decreased · -4.08 pp18.82% → 14.74%Shares -148.70K (-11.42%)
- TSLAWeight increased · +2.40 pp19.54% → 21.94%Shares -64 (-0.09%)
- MSFTWeight increased · +2.36 pp2.76% → 5.12%Shares +8.52K (+84.90%)
Weight = security value ÷ total reported holdings value. Changes are in percentage points; price moves also affect weights, so they are not trade sizes.
Top 10 holdings 17
USD · B = billion · M = million; expand a row for exact values| # | Security | Value | Weight | Quantity | Weight / quantity change | Activity | |
|---|---|---|---|---|---|---|---|
| 01 | TSLATESLA INC View history and evidence | $29.68M | 21.94% | 70.57K shares | 19.54% → 21.94%+2.40 pp -64 (-0.09%) | Reduced | ▾ |
| 02 | QXOQXO INCCOM NEW View history and evidence | $19.94M | 14.74% | 1.15M shares | 18.82% → 14.74%-4.08 pp -148.70K (-11.42%) | Reduced | ▾ |
| 03 | AAPLAPPLE INC View history and evidence | $14.03M | 10.37% | 48.49K shares | 9.23% → 10.37%+1.14 pp -389 (-0.80%) | Reduced | ▾ |
| 04 | AMZNAMAZON.COM INC View history and evidence | $11.64M | 8.60% | 48.83K shares | 7.66% → 8.60%+0.94 pp -593 (-1.20%) | Reduced | ▾ |
| 05 | BNBROOKFIELD CORPCL A LTD VT SH View history and evidence | $8.40M | 6.21% | 197.16K shares | 7.47% → 6.21%-1.26 pp -50.95K (-20.54%) | Reduced | ▾ |
| 06 | CSGPCOSTAR GROUP INC View history and evidence | $8.33M | 6.16% | 294.21K shares | 6.81% → 6.16%-0.65 pp +67.48K (+29.77%) | Added | ▾ |
| 07 | NVDANVIDIA CORP View history and evidence | $7.06M | 5.22% | 35.29K shares | 3.27% → 5.22%+1.95 pp +10.13K (+40.26%) | Added | ▾ |
| 08 | MSFTMICROSOFT CORP View history and evidence | $6.92M | 5.12% | 18.56K shares | 2.76% → 5.12%+2.36 pp +8.52K (+84.90%) | Added | ▾ |
| 09 | SPCXSPACE EXPLORATION TECHN-CL ACLASS A COM STK View history and evidence | $6.67M | 4.93% | 39.01K shares | Prior unavailable +39.01K | New | ▾ |
| 10 | GOOGALPHABET INC-CL CCAP STK CL C View history and evidence | $5.73M | 4.24% | 16.23K shares | 3.45% → 4.24%+0.79 pp +72 (+0.45%) | Added | ▾ |
Options overlay 0
No options reported this quarter.
Exited positions 3
| Security | Type | Shares out | Value out | Previous filing | This filing |
|---|---|---|---|---|---|
| BRK.B BERKSHIRE HATHAWAY INC-CL B | Non-derivative | -13,819 | -$6.62M | SEC filing ↗ | SEC filing ↗ |
| IDXX IDEXX LABORATORIES INC | Non-derivative | -4,782 | -$2.69M | SEC filing ↗ | SEC filing ↗ |
| TYL TYLER TECHNOLOGIES INC | Non-derivative | -6,943 | -$2.38M | SEC filing ↗ | SEC filing ↗ |
3 / 3 preview exits. Up to 30 exit records are previewed. Exit means absent from the current filing; execution date, price and proceeds are unknown.
Every number has a source.
CIK 1574850 · Period 2026-06-30
Data loaded 2026-09-23 · First reported 2026-08-13
Amendments and versions
{
"amendments_merged": null,
"prior_versions": null,
"cover_table_value": 135308633
}Take these holdings further.
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