Instuitional Investor - Fund Resources Investment Holding Group Co Ltd

Fund Profile
Filing Period:
Fund Name: Fund Resources Investment Holding Group Co Ltd
Portfolio Value $817,028,574
Filing Period:
No. Security Ticker Shares Value % Port
1. MU 542,994 $626,772,544 76.71%
2. INTC 403,757 $56,376,590 6.9%
3. MRVL 184,000 $54,811,760 6.71%
4. AXTI 536,706 $38,685,768 4.73%
5. SNDK 13,000 $29,558,490 3.62%