Instuitional Investor - Ion Fund Management Ltd

Fund Profile
Filing Period:
Fund Name: Ion Fund Management Ltd
Portfolio Value $706,674,787
Filing Period:
No. Security Ticker Shares Value % Port
1. TEVA 3,859,443 $116,246,423 16.45%
2. DK 1,370,000 $61,745,900 8.74%
3. SEDG 1,103,690 $56,343,375 7.97%
4. ILMN 390,200 $48,096,052 6.81%
5. DAC 381,122 $42,929,582 6.07%