Dear Valued Visitor,

We have noticed that you are using an ad blocker software.

Although advertisements on the web pages may degrade your experience, our business certainly depends on them and we can only keep providing you high-quality research based articles as long as we can display ads on our pages.

To view this article, you can disable your ad blocker and refresh this page or simply login.

We only allow registered users to use ad blockers. You can sign up for free by clicking here or you can login if you are already a member.

Instuitional Investor - Myriad Asset Management Ltd.

Fund Profile
Filing Period:
Fund Name: Myriad Asset Management Ltd.
Portfolio Value $700,478,000
Fund Holdings Sector Distribution
Top 13F Holdings
Filing Period:
No. Security Ticker Shares Value (x$1000) % Port
Qiagen NvBOND
38,600,000 $49,356 6.85%
2. ATI 20,000,000 $37,940 5.26%
3. TTMI 19,915,000 $37,296 5.17%
4. MCHP 20,000,000 $35,333 4.9%
5. CSCO 700,000 $30,121 4.18%