Instuitional Investor - Gardner Lewis Asset Management L P

Fund Profile
Filing Period:
Fund Name: Gardner Lewis Asset Management L P
Portfolio Value $422,684,977
Filing Period:
No. Security Ticker Shares Value % Port
1. NVDA 241,253 $45,012,985 10.65%
2.
Invesco Qqq Oct 17 2025PUTPUT
69,000 $41,425,530 9.8%
3. VRNA 165,592 $17,670,322 4.18%
4. VBTX 492,923 $16,527,708 3.91%
5. MA 26,531 $15,091,098 3.57%