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Latest INTREPID CAPITAL MANAGEMENT INC Stock Portfolio

$154Million

Equity Portfolio Value
Last Reported on: 15 May, 2024

About INTREPID CAPITAL MANAGEMENT INC and it’s 13F Hedge Fund Stock Holdings

INTREPID CAPITAL MANAGEMENT INC is a hedge fund based in JACKSONVILLE BEACH, FL. On 14-Mar-2023, the fund reported that it had an AUM (Regulated Assets under Management) of $590.2 Millions. In it's latest 13F Holdings report, INTREPID CAPITAL MANAGEMENT INC reported an equity portfolio of $154.3 Millions as of 31 Mar, 2024.

The top stock holdings of INTREPID CAPITAL MANAGEMENT INC are BIGY, DFAC, REFI. The fund has invested 6.9% of it's portfolio in APTUS ENHNCD YLD and 6.2% of portfolio in DIMENSIONAL US HIGH PROFTBLTY ETF .

The fund managers got completely rid off W N S HOLDINGS LIMITED FSPONSORED ADR 1 ADR REPS 1 ORD SHS (WNS), ISHARES 20 PLS YEAR TREASURY BND ETF (AGG) and EXXON MOBIL CORP (XOM) stocks. They significantly reduced their stock positions in CVS HEALTH CORP (CVS), NEXTERA ENERGY INC (NEE) and TECHNOLOGY SELECT SECTORSPDR ETF (XLB). INTREPID CAPITAL MANAGEMENT INC opened new stock positions in W N S HOLDINGS LIMITED FSPONSORED ADR 1 ADR REPS 1 ORD SHS, POLARIS INC (PII) and SPROTT INC F (SII). The fund showed a lot of confidence in some stocks as they added substantially to WALMART INC (WMT), ADVISORSHARES TR PURE US CANNABIS (ACT) and LEVI STRAUSS & CO NEWCLASS A (LEVI).

New Buys

Ticker$ Bought
W N S HOLDINGS LIMITED FSPONSORED ADR 1 ADR REPS 1 ORD SHS3,299,750
TURNING PT BRANDS INC2,947,570
PELOTON INTERACTIVE INC2,358,090
POLARIS INC1,522,920
SPROTT INC F 1,411,540
LIBERTY LATIN AMER2 24FDUE 07/15/241,023,840
SIMPLY GOOD FOODS CO/THE686,998
ISHARES CORE DIVIDEND GROWTH ETF434,231

New stocks bought by INTREPID CAPITAL MANAGEMENT INC

Additions to existing portfolio by INTREPID CAPITAL MANAGEMENT INC

Reductions

Ticker% Reduced
CVS HEALTH CORP -82.54
NEXTERA ENERGY INC -56.24
TECHNOLOGY SELECT SECTORSPDR ETF -32.72
ACCENTURE PLC FCLASS A -24.89
ARMSTRONG WORLD INDUSTRIES INC-24.49
DOLLAR GENERAL CORP -23.18
DROPBOX INC -19.73
ACUITY BRANDS INC -14.67

INTREPID CAPITAL MANAGEMENT INC reduced stake in above stock

Sold off

Ticker$ Sold
HERBALIFE LTD-2,968,640
ENERGY TRANSFER 5.87524DUE 01/15/24 -2,233,980
W N S HOLDINGS LIMITED FSPONSORED ADR 1 ADR REPS 1 ORD SHS-4,438,600
NAUTILUS INC -11,550
ISHARES 20 PLS YEAR TREASURY BND ETF -1,274,660
EXXON MOBIL CORP -796,941
CLEVELAND-CLIFFS INC -122,520
FIRST TRUST VALUEDIVIDEND INDEX ETF -175,138

INTREPID CAPITAL MANAGEMENT INC got rid off the above stocks

Current Stock Holdings of INTREPID CAPITAL MANAGEMENT INC

Last Reported on: 15 May, 2024
TickerNamesorted ascending% PortfolioShares Held$ ValueType% ChangeOptions
AAPLAPPLE INC 0.908,1401,395,840ADDED1.11
ABBVABBVIE INC 0.141,205219,431ADDED26.98
ACNACCENTURE PLC FCLASS A 0.743,3161,149,360REDUCED-24.89
ACTADVISORSHARES TR PURE US CANNABIS1.22187,5961,877,840ADDED334
ACWFISHARES CORE DIVIDEND GROWTH ETF0.287,479434,231NEW
AGGISHARES CORE S&P 500ETF 0.19552290,203REDUCED-0.54
AGGISHARES 20 PLS YEAR TREASURY BND ETF 0.000.000.00SOLD OFF-100
AIRRFIRST TRST DORSEY WRIGHTFOCUS 5 ETF 0.000.000.00SOLD OFF-100
AMDADVANCED MICRO DEVICES INC0.413,472626,668ADDED9.42
AMGNAMGEN INC. 0.191,050298,536ADDED15.01
AMZNAMAZON.COM INC 0.887,5541,362,610ADDED4.95
AOAISHARES RUSSELL TOP 200GRW ETF IV 0.272,112412,051REDUCED-3.91
ASMLASML HLDGS NV FSPONSORED ADR 1 ADR REPS 1 ORD SHS0.19309299,875ADDED4.04
AVGOBROADCOM INC 0.20236312,803UNCHANGED0.00
AWIARMSTRONG WORLD INDUSTRIES INC0.9912,2581,522,690REDUCED-24.49
AYIACUITY BRANDS INC 2.3013,1823,542,400REDUCED-14.67
BABINVESCO S&P ULTRADIVIDEND REVENUE ETF 0.000.000.00SOLD OFF-100
BIGYAPTUS ENHNCD YLD 6.93457,72910,701,700REDUCED-9.38
BJBJ'S WHOLESALE CLUB HOLDINGS INC0.9118,6301,409,360REDUCED-1.95
BKBANK OF NY MELLON CO 0.4010,826623,794UNCHANGED0.00
CATCATERPILLAR INC 0.17733268,593UNCHANGED0.00
CEFSPROTT PHYSICAL GOLD & S 3.01228,0364,638,250ADDED0.61
CGCARLYLE GROUP INC 0.3812,483585,578ADDED3.14
CIVICIVITAS RES INC 2.7355,5484,216,650REDUCED-2.06
CLFCLEVELAND-CLIFFS INC 0.000.000.00SOLD OFF-100
CMCSACOMCAST CORPCLASS A 0.000.000.00SOLD OFF-100
CMECME GROUP INC COM0.302,183469,978UNCHANGED0.00
CNDTCONDUENT INC 0.92421,0581,423,180ADDED0.49
COSTCOSTCO WHOLESALE CO 0.000.000.00SOLD OFF-100
CPRTCOPART INC 2.4264,5183,736,900UNCHANGED0.00
CRICARTERS INC 1.3624,8582,104,980REDUCED-6.2
CSXCSX CORP 0.4920,228749,852UNCHANGED0.00
CVSCVS HEALTH CORP 0.183,414272,301REDUCED-82.54
CVXCHEVRON CORP 0.000.000.00SOLD OFF-100
DBXDROPBOX INC 2.08132,0973,209,960REDUCED-19.73
DEDEERE & CO0.000.000.00SOLD OFF-100
DFACDIMENSIONAL US HIGH PROFTBLTY ETF 6.18301,7739,539,050ADDED5.5
DFACDIMENSIONAL INTERN HIGH PROFIT ETF 0.4525,607689,863ADDED8.27
DFACDIMENSIONAL U S SMALL CAP ETF 0.000.000.00SOLD OFF-100
DGDOLLAR GENERAL CORP 0.434,233660,602REDUCED-23.18
DLTRDOLLAR TREE INC 0.000.000.00SOLD OFF-100
ETENERGY TRANSFER 5.87524DUE 01/15/24 0.000.000.00SOLD OFF-100
EZPWEZCORP, INC. 2.87524CONV BONDS DUE 07/01/24 0.70933,0001,079,130UNCHANGED0.00
FCFRANKLIN COVEY CO 1.8874,0242,906,180ADDED2.87
FCXFREEPORT-MCMORAN INC 0.8929,1461,370,440ADDED20.47
FNFABRINET F1.3811,2632,128,930ADDED3.01
FNDASCHWAB US LARGE CAP ETF 0.8621,4411,330,640ADDED0.00
FRPHFRP HOLDINGS INC 3.8797,3495,977,230REDUCED-2.39
FVDFIRST TRUST VALUEDIVIDEND INDEX ETF 0.000.000.00SOLD OFF-100
GMEDGLOBUS MEDICAL INCCLASS A 0.9928,5091,529,220UNCHANGED0.00
GOOGALPHABET INC.CLASS A 2.1021,4823,242,280ADDED2.86
GRMNGARMIN LTD F 1.7317,8922,663,580UNCHANGED0.00
HDHOME DEPOT INC 0.000.000.00SOLD OFF-100
HLIOHELIOS TECHNOLOGIES INC 0.5619,203858,182REDUCED-4.53
IACIAC INC1.4441,5512,216,330ADDED10.39
IAUISHARES GOLD ETF 1.6761,1932,570,720REDUCED-4.4
IBMIBM CORP 0.000.000.00SOLD OFF-100
JAAAJANUS HENDERSON SHRTDRTN INM ETF 0.000.000.00SOLD OFF-100
JEFJEFFERIES FINL 2.6391,9024,052,880REDUCED-12.09
JNJJOHNSON & JOHNSON 0.282,758436,222ADDED10.23
JOBG E E GROUP INC 0.0271,42925,679UNCHANGED0.00
JPMJPMORGAN CHASE & CO 0.151,178235,953UNCHANGED0.00
LEVILEVI STRAUSS & CO NEWCLASS A 0.4736,191723,458ADDED193
LGIHLGI HOMES INC 0.658,6361,004,970REDUCED-6.77
LMTLOCKHEED MARTIN CORP 0.22755343,427ADDED32.92
LYBLYONDELLBASELL INDS FCLASS A 0.172,532258,973ADDED125
LYVLIVE NATION ENTRTMNT 1.5122,0062,327,580UNCHANGED0.00
MAMASTERCARD INCCLASS A 0.000.000.00SOLD OFF-100
MCDMCDONALDS CORP 0.000.000.00SOLD OFF-100
METAFACEBOOK INCCLASS A 0.22683331,674UNCHANGED0.00
MKLMARKEL CORP 1.131,1481,746,660ADDED9.44
MRKMERCK & CO. INC. 0.000.000.00SOLD OFF-100
MRVLMARVELL TECHNOLOGY INC0.265,610397,637UNCHANGED0.00
MSFTMICROSOFT CORP 1.003,6561,538,190ADDED3.78
NEENEXTERA ENERGY INC 0.153,657233,719REDUCED-56.24
NLSNAUTILUS INC 0.000.000.00SOLD OFF-100
NMRKNEWMARK GROUP INC CLASS A 0.1926,625295,271UNCHANGED0.00
NVDANVIDIA CORP 0.801,3581,227,130REDUCED-12.33
OPKOPKO HEALTH INC 0.08100,000120,000UNCHANGED0.00
OSAPROSOMNUS INC0.0010,8846,193NEW
OSAPROSOMNUS WARRANT0.0033,919678UNCHANGED0.00
OXYOCCIDENTAL PETROLEUM CORP0.000.000.00SOLD OFF-100
PAGSPAGSEGURO DIGITAL FCLASS A 2.39258,5623,692,260REDUCED-3.5
PGPROCTER & GAMBLE 0.000.000.00SOLD OFF-100
PIIPOLARIS INC0.9915,2111,522,920NEW
PKEPARK AEROSPACE CORP 1.63151,3972,517,730REDUCED-4.71
PTONPELOTON INTERACTIVE INC1.532,805,0002,358,090NEW
PUBMPUBMATIC INCCLASS A 0.1510,000237,200UNCHANGED0.00
QQQINVESCO QQQ TRUST 0.652,2611,004,110REDUCED-2.12
REFICHICAGO ATLANTIC REAL ES 3.93384,4126,062,180ADDED122
REGREGENCY CENTERS CORPREIT 0.4010,290623,162UNCHANGED0.00
SIISPROTT INC F 0.9238,1911,411,540NEW
SKXSKECHERS U S A INCCLASS A 1.9148,1292,948,380REDUCED-9.74
SMPLSIMPLY GOOD FOODS CO/THE0.4420,188686,998NEW
SPYSPDR S&P 500 ETF 0.14400209,228REDUCED-5.88
TA T & T INC 0.1210,722188,707ADDED6.11
TJXTJX COMPANIES INC 1.4722,3792,269,680UNCHANGED0.00
TOSTTOAST INC CLASS A 0.3018,355457,407ADDED127
TPBTURNING PT BRANDS INC1.913,000,0002,947,570NEW
TTTRANE TECHNOLOGIES PLC F 0.000.000.00SOLD OFF-100
TTWOTAKE TWO INTERACTV 1.1211,6881,735,550UNCHANGED0.00
UNHUNITEDHEALTH GRP INC 0.16488241,414ADDED9.66
VGRVECTOR GROUP LTD 0.77107,9231,182,840REDUCED-4.45
VOOVANGUARD MID CAP VALUEETF IV 0.000.000.00SOLD OFF-100
VVVVALVOLINE INC 2.4986,3033,846,520REDUCED-7.86
VZVERIZON COMMUNICATN 0.155,546232,710UNCHANGED0.00
WMTWALMART INC 0.164,086245,855ADDED368
WNSW N S HOLDINGS LIMITED FSPONSORED ADR 1 ADR REPS 1 ORD SHS0.000.000.00SOLD OFF-100
WRBW R BERKLEY CORP 1.4124,5952,175,180UNCHANGED0.00
WSOWATSCO INC CLASS A1.154,1211,780,150ADDED11.65
XLBTECHNOLOGY SELECT SECTORSPDR ETF 0.272,021420,914REDUCED-32.72
XLBSELECT SECTOR HEALTHCARE SPDR ETF 0.232,425358,245UNCHANGED0.00
XLBENERGY SELECT SECTORSPDR ETF 0.000.000.00SOLD OFF-100
XOMEXXON MOBIL CORP 0.000.000.00SOLD OFF-100
BERKSHIRE HATHAWAYCLASS B 3.1211,4644,820,850ADDED3.72
W N S HOLDINGS LIMITED FSPONSORED ADR 1 ADR REPS 1 ORD SHS2.1465,9953,299,750NEW
LIBERTY LATIN AMER2 24FDUE 07/15/240.661,038,0001,023,840NEW
CBOE GLOBAL MKTS INC 0.564,706864,634REDUCED-7.83
BGC GROUP INC CLASS A 0.2957,393445,944UNCHANGED0.00
HOWARD HUGHES CORP/THE0.183,865279,285NEW
HERBALIFE LTD0.000.000.00SOLD OFF-100