13F Filings for Alamar Capital Management, LLC (CIK: 1846995)

View the most recent portfolio holdings disclosed by Alamar Capital Management, LLC in their 13F filing.

HoldingSharesValuePortfolio PercentChange StatusChange Amount
VOO - VANGUARD INDEX FDS(Class: SP 500 ETF SHS)35.78K $20.39M 11.05%Increased 6.01K (20.0%, $5.09M)
EFA - ISHARES TR(Class: MSCI EAFE ETF)86.89K $7.77M 4.21%Increased 16.69K (23.0%, $2.03M)
PGR - PROGRESSIVE CORP(Class: COM)23.63K $6.31M 3.42%Decreased 749 (3.0%, $593.87K)
SHY - ISHARES TR(Class: 1 3 YR TREAS BD)75.37K $6.25M 3.38%Increased 12.54K (19.0%, $1.05M)
AGG - ISHARES TR(Class: CORE US AGGBD ET)62.24K $6.17M 3.35%Increased 5.85K (10.0%, $595.90K)
FTNT - FORTINET INC(Class: COM)53.34K $5.64M 3.06%Decreased 1.96K (3.0%, $315.97K)
TW - TRADEWEB MKTS INC(Class: CL A)36.17K $5.29M 2.87%Decreased 1.14K (3.0%, $243.63K)
PANW - PALO ALTO NETWORKS INC(Class: COM)24.04K $4.92M 2.67%Decreased 520 (2.0%, $728.56K)
NOW - SERVICENOW INC(Class: COM)4.74K $4.87M 2.64%Decreased 103 (2.0%, $1.02M)
NFLX - NETFLIX INC(Class: COM)3.58K $4.79M 2.60%Decreased 145 (3.0%, $1.32M)
APPF - APPFOLIO INC(Class: COM CL A)18.30K $4.21M 2.28%Increased 6.92K (60.0%, $1.71M)
INTA - INTAPP INC(Class: COM)81.08K $4.19M 2.27%Decreased 2.61K (3.0%, $700.47K)
PCTY - PAYLOCITY HLDG CORP(Class: COM)22.89K $4.15M 2.25%Decreased 502 (2.0%, $234.82K)
OKTA - OKTA INC(Class: CL A)40.78K $4.08M 2.21%Decreased 810 (1.0%, $299.32K)
SKWD - SKYWARD SPECIALTY INS GROUP(Class: COM)69.94K $4.04M 2.19%Increased 4.46K (6.0%, $576.34K)
ABNB - AIRBNB INC(Class: COM CL A)30.36K $4.02M 2.18%Decreased 705 (2.0%, $306.75K)
MDB - MONGODB INC(Class: CL A)18.58K $3.90M 2.11%Decreased 230 (1.0%, $602.34K)
VTV - VANGUARD INDEX FDS(Class: VALUE ETF)21.90K $3.89M 2.11%Increased 4.80K (28.0%, $937.87K)
WRB - BERKLEY W R CORP(Class: COM)52.58K $3.86M 2.09%Increased 3.23K (6.0%, $351.56K)
MGM - MGM RESORTS INTERNATIONAL(Class: COM)110.53K $3.80M 2.06%Increased 6.86K (6.0%, $728.18K)
APH - AMPHENOL CORP NEW(Class: CL A)38.31K $3.79M 2.05%Increased 25 (0.0%, $1.27M)
HCA - HCA HEALTHCARE INC(Class: COM)9.80K $3.75M 2.03%Decreased 3.21K (24.0%, $740.01K)
MKTX - MARKETAXESS HLDGS INC(Class: COM)16.75K $3.74M 2.03%Decreased 262 (1.0%, $60.39K)
WK - WORKIVA INC(Class: COM CL A)54.47K $3.73M 2.02%Increased 6.75K (14.0%, $106.45K)
WDAY - WORKDAY INC(Class: CL A)15.06K $3.62M 1.96%Decreased 260 (1.0%, $36.75K)