Instuitional Investor - Lynwood Capital Management Inc.

Fund Profile
Filing Period:
Fund Name: Lynwood Capital Management Inc.
Portfolio Value $22,712,922
Fund Holdings Sector Distribution
Filing Period:
No. Security Ticker Shares Value % Port
1.
Briacell Therapeutics Corp
1,580,645 $9,246,773 40.71%
2. USAS 9,800,000 $2,438,113 10.73%
3. DG 10,000 $1,359,500 5.98%
4.
Proshares Tr
50,000 $1,105,500 4.86%
5. NOA 40,000 $833,813 3.67%