Matthew Tuttle
Tuttle Capital Management, Llc
Assets Managed
$60.822M
Holdings
124
Last Quarter
2026 - Q1
Filed Date
22d ago
Growth Rate
34.51%(2Q avg: 52.84%)
Sustained Growth
8 quarters
Portfolio positions
This chart displays the top 10 holdings in Tuttle Capital Management, Llc's 2026 - Q1 portfolio, based on their 13F SEC filing, out of a total of 124 positions.
Assets under management
The assets under management (AUM) of Tuttle Capital Management, Llc over the past 10 years (40 quarters) show continuous growth in total asset value over the last 8 quarters. As of the latest 13F SEC filing for 2026 - Q1, they manage 60.822M in assets, with a quarterly growth rate of 34.51% and a 2-quarter average growth rate of 52.84%. The portfolio is managed by Matthew Tuttle, and others.
Portfolio holdings
| Investment | Portfolio % | Reported Value | Recent Activity |
|---|---|---|---|
NVDA Nvidia Corp
| 5.04% | $3.062M 17,559 shares@ $174.4 avg price | Increased 324.85% |
META Meta Platforms Inc-class A
| 4.63% | $2.816M 4,922 shares@ $572.14 avg price | Increased 320.69% |
TSLA Tesla Inc
| 3.76% | $2.287M 6,151 shares@ $371.76 avg price | New Position |
PLTR Palantir Technologies Inc-a
| 3.69% | $2.239M 15,306 shares@ $146.28 avg price | New Position |
ORCL Oracle Corp
| 2.08% | $1.26M 8,564 shares@ $147.12 avg price | New Position |
NEE Nextera Energy Inc
| 1.82% | $1.101M 11,853 shares@ $92.88 avg price | New Position |
COST Costco Wholesale Corp
| 1.73% | $1.047M 1,051 shares@ $996.44 avg price | Increased 18.23% |
XOM Exxon Mobil Corp
| 1.52% | $922,950 5,440 shares@ $169.66 avg price | New Position |
WCN Waste Connections Inc
| 1.5% | $907,065 5,584 shares@ $162.45 avg price | Increased 27.7% |
HD Home Depot Inc
| 1.49% | $905,435 2,753 shares@ $328.9 avg price | Increased 22.41% |
1-10 of 124