Instuitional Investor - Monolith Management Ltd

Fund Profile
Filing Period:
Fund Name: Monolith Management Ltd
Portfolio Value $282,749,118
Filing Period:
No. Security Ticker Shares Value % Port
1. MRVL 304,200 $23,545,080 8.33%
2. TAL 2,124,031 $21,707,597 7.68%
3. SNPS 42,220 $21,645,350 7.66%
4. PDD 193,008 $20,200,217 7.14%
5. RBRK 211,050 $18,907,970 6.69%