Arkolith/Funds/Azzad Asset Management Inc

Azzad Asset Management Inc

CIK 1121914
Holdings as of Jun 30, 2026·disclosed Jul 29, 2026·~29-day 13F lag·13F-HR
Active Filer

Azzad Asset Management Inc holds a diversified book of 351 reported positions worth $1.1B as of Q2 2026 (disclosed Jul 29, 2026, a ~29-day 13F lag). This quarter Fedex Freight Holding Co first appears in 13F filings, a listing rather than a purchase; they opened Analog Devices Inc and trimmed Apple Inc. Their largest long position is Nvidia Corp at 5% of the reported non-option book. Cloning the disclosed picks since 2025 would be +12% (+14.5%/yr). That is a simulation of the disclosed long book, not audited returns.

Opened
51
bought for the first time
+48 more · largest first
1 newly reportable · first quarter we see the security in 13F filings, a listing not a purchase
Added to
152
already held, bought more
+149 more · largest first
Trimmed
141
sold some, still holds it
+138 more · largest first
Sold out
32
exited the position entirely
+29 more · largest first, by prior value

Growth of $10,000: cloning the disclosed book

If you'd copied them
+12.2%
+14.5%/yr · since Nov '25
Their reported book
+9.2%
held from quarter-end
S&P 500
+13.7%
same window
$9K$10K$10K$11K$12KNov '25Jan '26Mar '26May '26Jul '26Sep '26
Azzad Asset Management Inc (copied at disclosure) S&P 500

Following at the filing date actually beat the quarter-end book by 3.0 points over this window.

Growth of $10,000 cloning Azzad Asset Management Inc's disclosed long 13F book, rebalanced on each filing date (so it reflects each quarter's actual reporting lag, ~29 days for the latest filing, with no look-ahead), total-return basis (dividends reinvested), derived from end-of-day prices. “Their reported book” values the same picks from quarter-end, before they were public. S&P 500 is SPY total return over the same window. Excludes shorts, cash, options and non-13F holdings. Not investment advice.

How much sits in the biggest positions

Top-heavy: diversified book

Top 5 holdings
16%
Top 10 holdings
23%
Top 20 holdings
32%

Share of the disclosed book in its largest positions. A higher top-5 share means a more concentrated, higher-conviction portfolio.

Where the money is, by sector

100% mapped to company sectors

Information Technology
42%
Industrials
15%
Materials
11%
Health Care
10%
Consumer Discretionary
8%
Real Estate
5%
Energy
3%
Financials
3%

+4 sectors below the cut, 4% together

Direct operating-company sectors from our SIC-based security master. ETF/fund and unclassified holdings stay visible separately; this is not ETF look-through exposure.

Biggest moves: latest quarter

Estimated $ traded · quarter-end prices (an exit at the prior quarter-end), no cost basis

Bought
Trimmed / exited
Newly reportable· first quarter we see the security in 13F filings · position value, not a trade

Funds with the most overlap

Other tracked managers holding the same core names as Azzad Asset Management Inc

Manager / fundShared namesTheir $ in those
Evelyn Partners Group Ltd62 / 80$43.5B
Uhlmann Price Securities, LLC32 / 80$2.4B
Ninety One SA (PTY) Ltd18 / 80$1.8B
Ketron Financial19 / 80$247.0M
Howard Hughes Medical Institute15 / 80$328.9M
Lynch Asset Management, Inc.21 / 80$268.5M
Private Capital Advisors, Inc.14 / 80$827.2M
Carroll Investors, Inc12 / 80$169.2M

Ranked by the share of each fund's own book sitting in the names it shares with Azzad Asset Management Inc: only funds sharing at least a tenth of the book qualify. Index giants, bank custody books and market makers are excluded. They hold everything, so their overlap says nothing.

Holdings: largest first

Bars show each position's share of the portfolio. Click a row for its position history.

351 positions
#SecurityValueShares% PortLast moveHistory
1Nvidia Corporation
COM
$50.8M253.9K
4.5%
+0.9%
Added · +2K sh
2Apple Inc
COM
$40.9M141.3K
3.6%
−19%
Reduced · −33K sh
3Alphabet Inc
CAP STK CL A
$38.7M108.3K
3.4%
+25%
Added · +22K sh
4Kla Corp
COM NEW
$31.1M103.2K
2.8%
+852%
Added · +92K sh
5Meta Platforms Inc
CL A
$20.4M36.3K
1.8%
−0.7%
Reduced · −248 sh
6Broadcom Inc
COM
$19.4M51.5K
1.7%
+21%
Added · +9K sh
7Tesla Inc
COM
$19.1M45.5K
1.7%
−0.4%
Reduced · −196 sh
8Microsoft Corp
COM
$18.7M50.1K
1.7%
−29%
Reduced · −21K sh
9Lam Research Corp
COM NEW
$12.4M28.5K
1.1%
−0.9%
Reduced · −271 sh
10Merck & Co Inc
COM
$11.3M88.0K
1.0%
+2.6%
Added · +2K sh
11Procter & Gamble Co
COM
$11.1M75.4K
1.0%
+14%
Added · +9K sh
12Advanced Micro Devices Inc
COM
$11.1M19.0K
1.0%
+465%
Added · +16K sh
13Quanta Svcs Inc
COM
$10.0M13.9K
0.9%
~0%
Reduced · −3 sh
14Applied Matls Inc
COM
$10.0M13.8K
0.9%
−0.4%
Reduced · −58 sh
15Stmicroelectronics N V
NY REGISTRY
$9.9M132.5K
0.9%
−2.5%
Reduced · −3K sh
16Coherent Corp
COM
$9.2M23.4K
0.8%
+9.2%
Added · +2K sh
17Vertiv Holdings Co
COM CL A
$9.2M27.5K
0.8%
−17%
Reduced · −6K sh
18Welltower Inc
COM
$9.2M40.4K
0.8%
+0.4%
Added · +172 sh
19Texas Instrs Inc
COM
$8.4M28.1K
0.7%
+88%
Added · +13K sh
20Air Products And Chemicals I
COM
$8.0M27.4K
0.7%
+27%
Added · +6K sh
21Abbvie Inc
COM
$8.0M31.6K
0.7%
+1.4%
Added · +427 sh
22Target Corp
COM
$7.8M59.9K
0.7%
+68%
Added · +24K sh
23Mondelez Intl Inc
CL A
$7.4M127.6K
0.7%
+3.4%
Added · +4K sh
24Sharkninja Inc
COM SHS
$7.3M48.1K
0.6%
−0.2%
Reduced · −89 sh
25Fastenal Co
COM
$7.3M152.4K
0.6%
−16%
Reduced · −28K sh
26Eaton Corp PLC
SHS
$7.2M16.8K
0.6%
+2.4%
Added · +388 sh
27Kenvue Inc
COM
$7.1M373.5K
0.6%
+17%
Added · +53K sh
28Snowflake Inc
COM SHS
$7.1M28.0K
0.6%
−0.1%
Reduced · −33 sh
29ASML Hldg NV
N Y REGISTRY SHS
$7.1M3.6K
0.6%
+2.1%
Added · +74 sh
30Cadence Design System Inc
COM
$7.1M18.8K
0.6%
−1.9%
Reduced · −359 sh
31Prologis Inc.
COM
$7.0M51.4K
0.6%
+5.6%
Added · +3K sh
32Texas Pacific Land Corporati
COM
$6.8M15.5K
0.6%
+39%
Added · +4K sh
33Eli Lilly & Co
COM
$6.7M5.6K
0.6%
+1.0%
Added · +55 sh
34Medtronic PLC
SHS
$6.6M84.6K
0.6%
+25%
Added · +17K sh
35Equinix Inc
COM
$6.6M6.3K
0.6%
+4.9%
Added · +297 sh
36Analog Devices Inc
COM
$6.5M16.2K
0.6%
New
New position
37Cummins Inc
COM
$6.4M9.0K
0.6%
−8.3%
Reduced · −812 sh
38AstraZeneca PLC
ORD
$6.2M32.9K
0.6%
+0.5%
Added · +177 sh
39Monolithic PWR Sys Inc
COM
$6.2M4.5K
0.5%
−4.0%
Reduced · −189 sh
40Johnson & Johnson
COM
$6.2M24.3K
0.5%
−29%
Reduced · −10K sh
41Visa Inc
COM CL A
$6.2M18.0K
0.5%
+1.9%
Added · +340 sh
42Telefonaktiebolaget LM Erics
ADR B SEK 10
$6.1M543.4K
0.5%
+2.9%
Added · +15K sh
43Expeditors Intl Wash Inc
COM
$6.0M37.1K
0.5%
−27%
Reduced · −14K sh
44Macom Tech Solutions Hldgs I
COM
$6.0M15.8K
0.5%
−21%
Reduced · −4K sh
45Canadian Natl Ry Co
COM
$5.9M49.8K
0.5%
+2.7%
Added · +1K sh
46Arista Networks Inc
COM SHS
$5.9M34.8K
0.5%
−0.7%
Reduced · −240 sh
47Palo Alto Networks Inc
COM
$5.8M17.1K
0.5%
+7.0%
Added · +1K sh
48Mastercard Incorporated
CL A
$5.8M11.3K
0.5%
−1.0%
Reduced · −112 sh
49Anglogold Ashanti PLC
COM SHS
$5.8M71.4K
0.5%
+0.5%
Added · +348 sh
50NXP Semiconductors N V
COM
$5.8M20.5K
0.5%
+31%
Added · +5K sh
Showing 50 of 351 positions
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Filing history

As-of date vs the date the SEC received each filing

$1.1B · Q2 2026Q3 2025 · $1.0BQ2 2026 · $1.1B

Reported 13F total per quarter. Raw filing totals can include option notional.

QuarterAs ofFiledLagPositionsValueForm
Q2 2026Jun 30, 2026Jul 29, 202629d351$1.1B13F-HR
Q1 2026Mar 31, 2026Apr 30, 202630d331$989.0M13F-HR
Q4 2025Dec 31, 2025Jan 21, 202621d330$1.0B13F-HR
Q3 2025Sep 30, 2025Nov 5, 202536d327$1.0B13F-HR

Data source

Holdings from SEC EDGAR 13F-HR filings, updated quarterly, filed up to 45 days after quarter-end. Public domain. Book totals and portfolio weights cover reported non-option positions, which can include notes and warrants. Disclosed put/call options are listed separately and excluded from those totals. The performance line is a simulation of the disclosed long book, not an audited return.