Instuitional Investor - Oaktop Capital Management Ii, L.p.

Fund Profile
Filing Period:
Fund Name: Oaktop Capital Management Ii, L.p.
Portfolio Value $754,294,069
Fund Holdings Sector Distribution
Filing Period:
No. Security Ticker Shares Value % Port
1. KLAC 393,120 $228,520,656 30.29%
2. LRCX 269,146 $210,811,296 27.94%
3. ADI 466,196 $92,567,878 12.27%
4. ASPN 3,194,758 $50,413,282 6.68%
5. AVGO 36,276 $40,493,086 5.36%