Instuitional Investor - Ion Fund Management Ltd

Fund Profile
Filing Period:
Fund Name: Ion Fund Management Ltd
Portfolio Value $857,378,031
Filing Period:
No. Security Ticker Shares Value % Port
1. TEVA 4,050,000 $126,400,500 14.74%
2. DK 1,767,601 $52,427,046 6.11%
3. CHKP 254,122 $47,154,878 5.5%
4. ILMN 332,000 $43,545,120 5.08%
5. DAC 419,815 $39,538,177 4.61%