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Front Row Advisors LLC

hedge fundUpdated 28 days ago

Managed by Front Row Advisors Llc • Latest filing Q2 2026

Portfolio value
$345.5M
Q2 2026
Filings
13
Quarterly 13F history
Top-10 concentration
100.0%
Weight of largest holdings
Annualized return
Implied from 13F holdings

Portfolio value history

13F-disclosed portfolio value over 14 quarters

Show data table
PeriodPortfolio value
Q1 2023$208.5M
Q2 2023$224.8M
Q3 2023$217M
Q4 2023$217.7M
Q1 2024$269.7M
Q2 2024$287.6M
Q3 2024$280.3M
Q4 2024$289.5M
Q1 2025$260.2M
Q2 2025$287.5M
Q3 2025$297.6M
Q4 2025$299.9M
Q1 2026$295.6M
Q2 2026$345.5M

Top holdings

576 positions as of Q2 2026

View filing
N

NVIDIA CORPORATION COM

Value
$52.1M
Shares
239.5K
% Port
15.08%
A

APPLE INC COM

Value
$37.3M
Shares
122.5K
% Port
10.81%
A

BROADCOM INC COM

Value
$19.5M
Shares
46.8K
% Port
5.63%
M

MICROSOFT CORP COM

Value
$13.1M
Shares
26.1K
% Port
3.80%
T

TAIWAN SEMICONDUCTOR MANUFACT SPONSORED ADS

Value
$10.2M
Shares
24.2K
% Port
2.95%
F

FORTINET INC COM

Value
$9.9M
Shares
61.1K
% Port
2.86%
A

ASML HLDG NV N Y REGISTRY SHS

Value
$8.1M
Shares
4.5K
% Port
2.34%
A

ABB LTD SPONSORED ADR

Value
$7.5M
Shares
74.2K
% Port
2.18%
D

DELL TECHNOLOGIES INC CL C

Value
$7.2M
Shares
16.4K
% Port
2.09%
G
10.GLW

CORNING INC COM

Value
$6.6M
Shares
41.3K
% Port
1.90%
A
11.ABBV

ABBVIE INC COM

Value
$6.1M
Shares
24.2K
% Port
1.75%
S
12.SFM

SPROUTS FMRS MKT INC COM

Value
$5.1M
Shares
60.9K
% Port
1.49%
T
13.TJX

TJX COS INC NEW COM

Value
$4.9M
Shares
31.6K
% Port
1.43%
C
14.COST

COSTCO WHOLESALE CORPORATION COM

Value
$4.9M
Shares
5.2K
% Port
1.42%
M
15.MEDP

MEDPACE HLDGS INC COM

Value
$4.6M
Shares
7.6K
% Port
1.33%
A
16.ADI

ANALOG DEVICES INC COM

Value
$4.6M
Shares
11.9K
% Port
1.33%
D
17.DOV

DOVER CORP COM

Value
$4.2M
Shares
19.9K
% Port
1.20%
V
18.V

VISA INC COM CL A

Value
$4.1M
Shares
11.2K
% Port
1.17%
A
19.AMZN

AMAZON COM INC COM

Value
$4M
Shares
14.6K
% Port
1.15%
G

ALPHABET INC CAP STK CL C

Value
$3.9M
Shares
11.3K
% Port
1.12%

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