Instuitional Investor - Crystalline Management Inc.

Fund Profile
Filing Period:
Fund Name: Crystalline Management Inc.
Portfolio Value $78,960,912
Fund Holdings Sector Distribution
Filing Period:
No. Security Ticker Shares Value % Port
1. PENN 6,033,000 $7,864,099 9.95%
2. SPLK 5,000,000 $4,853,750 6.14%
3. NFYS 400,000 $4,268,000 5.4%
4.
Monterey Cap Acquisition Cor
360,502 $3,915,052 4.95%
5. ALTR 3,000,000 $3,894,833 4.93%