Instuitional Investor - New Mountain Vantage Advisers, L.l.c.

Fund Profile
Filing Period:
Fund Name: New Mountain Vantage Advisers, L.l.c.
Portfolio Value $861,039,000
Fund Holdings Sector Distribution
Top 13F Holdings
Filing Period:
No. Security Ticker Shares Value (x$1000) % Port
1. AVTR 28,000,000 $788,200 91.54%
2. LKQ 1,035,076 $36,476 4.23%
3. BLPH 1,009,231 $6,732 0.78%
4. FISV 58,060 $6,611 0.76%
5. STRZA 113,573 $4,905 0.56%