WM
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WS MANAGEMENT LLLP13F | |
WS MANAGEMENT LLLP | |
Last update 2025-05-15 | 45 Stocks (5 new) |
Value $896.00 Mil | Turnover 4 % |
WS MANAGEMENT LLLP Profile
WS Management LLLP is a hedge fund sponsor based out of Jacksonville, Florida. WS Management LLLP is a relatively small company in the open ended investment management industry. The company was originally established as WS Capital in 1997 by cofounders Gordon Stacy Smith and Reid Samuel Walker, both of whom are still with the company today acting as the company’s two principals. WS Management LLLP utilizes a fundamental methodology to make its investment decisions, allocating its assets in the public equity markets within the United States. The company utilizes a bottom up investment approach to allocate its assets, launching and managing hedge funds for its clients. WS Management LLLP invests most heavily in the finance sector, which alone makes up well over a third of its total asset allocations, and also invests in the consumer discretionary, information technology, transports, materials, health care, energy, and industrials sectors, among other sectors to a lesser degree, in order of decreasing asset allocated. The company’s current top 10 holdings include Berkshare Hathaway, both in Class A and Class B, Wells Fargo & Co., Amazon Inc., Express Scripts, Alibaba Group Holding Limited, TJX Companies Inc., CarMax Inc., Flextronics International Inc., and SPDR Gold Trust ETF, together making up approximately 56.4% of its total holdings. The company’s top holdings in Berkshire Hathaway, when its shares in Class A and Class B, respectively approximately 14.8% and 12.2%, make up over a quarter of its total asset allocations. WS Management LLLP has had a relatively high rate of turnover in the most recent quarter of approximately 51.4%. Although some of its smaller held sector allocations have experienced a much greater variety of fluctuations and volatility, its top two sector allocations, namely in finance and consumer discretionary, have stayed more or less the same ratio in terms of sector allocations.
WS MANAGEMENT LLLP Top Holdings of 2025-03-31
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Ticker | | Company | Shares | Value ($1000) | Shares Change % | Weighting % | Trade Impact % | % of Shares outstanding | 3M Change % | YTD Change % | Market Cap $Mil | Industry |
---|---|---|---|---|---|---|---|---|---|---|---|---|
BRK.A | Berkshire Hathaway Inc | 257 | 205,199.5 | 0% | 22.910 | 0% | 0.020 | -8.71% | +4.41% | 1,022,296.6 | Insurance | |
TXN
PUT
| Texas Instruments Inc | 470,000 | 84,459.0 | 0% | 9.430 | 0% | 0.050 | +47.18% | +17.37% | 196,793.2 | Semiconductors | |
BRK.B
PUT
| Berkshire Hathaway Inc | 150,000 | 79,887.0 | 0% | 8.920 | 0% | 0.010 | -8.57% | +4.53% | 1,022,296.6 | Insurance | |
TLT
CALL
| iShares 20+ Year Treasury Bond ETF | 602,500 | 54,845.6 | 0% | 6.120 | 0% | 0.110 | -1.53% | -0.28% | 47,103.6 | ||
AMZN | Amazon.com Inc | 255,906 | 48,688.7 | -10.48% | 5.440 | -0.61% | 0.000 | +31.01% | +3.07% | 2,400,675.8 | Retail - Cyclical | |
TLT | iShares 20+ Year Treasury Bond ETF | 402,118 | 36,604.8 | -44.38% | 4.090 | -2.60% | 0.070 | -1.53% | -0.28% | 47,103.6 | ||
GLD | SPDR Gold Shares ETF | 120,678 | 34,772.2 | -21.09% | 3.880 | -0.73% | 0.040 | +0.74% | +27.37% | 101,985.4 | ||
GLD
PUT
| SPDR Gold Shares ETF | 100,000 | 28,814.0 | 0% | 3.220 | 0% | 0.030 | +0.74% | +27.37% | 101,985.4 | ||
LH | Labcorp Holdings Inc | 100,000 | 23,274.0 | New Holding | 2.600 | +2.60% | 0.120 | +12.58% | +6.90% | 20,399.4 | Medical Diagnostics & Research | |
LUV | Southwest Airlines Co | 636,640 | 21,378.4 | +6.11% | 2.390 | +0.14% | 0.110 | +48.42% | +9.87% | 20,805.8 | Transportation |
WS MANAGEMENT LLLP's Historical Top Holdings Breakdowns
WS MANAGEMENT LLLP's Top Stock Picks
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Ticker | | Company | Date | Action | Impact % | Price Range | Price | Price Change from Avrg% | Comment | Current Shares | Share Change |
---|---|---|---|---|---|---|---|---|---|---|---|
TLT | iShares 20+ Year Treasury Bond ETF | 2025-03-31 | Reduce Reduce | -2.60% | 85.29 ($89.02) 92.57 | $85.24 | -4.25% | Reduce -44.38% | 402,118 | -320,865 | |
LH | Labcorp Holdings Inc | 2025-03-31 | New Buy New Buy | +2.60% | 228.19 ($242.67) 256.81 | $243.72 | 0.43% | New holding | 100,000 | 100,000 | |
ANF | Abercrombie & Fitch Co | 2025-03-31 | Sold Out Sold Out | -1.50% | 75.72 ($107.66) 160.92 | $93.47 | -13.18% | Sold Out | 0 | -107,969 | |
FCX | Freeport-McMoRan Inc | 2025-03-31 | Sold Out Sold Out | -1.01% | 34.5 ($38.26) 43.01 | $44.80 | 17.09% | Sold Out | 0 | -286,076 | |
GLD | SPDR Gold Shares ETF | 2025-03-31 | Reduce Reduce | -0.73% | 243.19 ($264.45) 288.14 | $308.39 | 16.62% | Reduce -21.09% | 120,678 | -32,262 | |
AMZN | Amazon.com Inc | 2025-03-31 | Reduce Reduce | -0.61% | 190.26 ($217) 242.06 | $226.13 | 4.21% | Reduce -10.48% | 255,906 | -29,974 | |
CROX | Crocs Inc | 2025-03-31 | New Buy New Buy | +0.59% | 88.83 ($103.63) 112.59 | $105.18 | 1.50% | New holding | 50,000 | 50,000 | |
GOOGL | Alphabet Inc | 2025-03-31 | Reduce Reduce | -0.43% | 154.33 ($181.36) 206.38 | $185.06 | 2.04% | Reduce -19.14% | 104,453 | -24,727 | |
RHP | Ryman Hospitality Properties Inc | 2025-03-31 | Reduce Reduce | -0.42% | 91.44 ($100.34) 106.54 | $99.99 | -0.35% | Reduce -21.77% | 155,835 | -43,360 | |
LAMR | Lamar Advertising Co | 2025-03-31 | Reduce Reduce | -0.41% | 110.65 ($121.77) 132.9 | $124.92 | 2.59% | Reduce -21.07% | 134,782 | -35,971 |
WS MANAGEMENT LLLP Total Holding History ($B)
WS MANAGEMENT LLLP's Asset Allocation
WS MANAGEMENT LLLP Past Portfolios
Portfolio Date | Number of Stocks | New Stocks | Total Value ($Mil) | Q/Q Turnover |
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WS MANAGEMENT LLLP's Hypothetical Growth since 2025-03-31
WS MANAGEMENT LLLP's Yearly Returns
Year | Portfolio % | % | Excess Gain % |
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WS MANAGEMENT LLLP's Holdings Heat Map
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WS MANAGEMENT LLLP's Holdings Bubble Chart
WS MANAGEMENT LLLP News
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