Instuitional Investor - Minneapolis Portfolio Management Group, Llc

Fund Profile
Filing Period:
Fund Name: Minneapolis Portfolio Management Group, Llc
Portfolio Value $809,300,379
Filing Period:
No. Security Ticker Shares Value % Port
1. GLW 900,323 $47,347,968 5.85%
2. ORCL 210,047 $45,922,642 5.67%
3. BPOP 374,316 $41,253,381 5.1%
4. SONY 1,578,273 $41,082,454 5.08%
5. CSCO 563,868 $39,121,191 4.83%