Instuitional Investor - Oracle Investment Management Inc

Fund Profile
Filing Period:
Fund Name: Oracle Investment Management Inc
Portfolio Value $160,065,372
Filing Period:
No. Security Ticker Shares Value % Port
1. WGS 889,954 $95,883,644 59.9%
2. BHVN 739,986 $11,107,190 6.94%
3. ARDX 1,503,826 $8,286,081 5.18%
4. NVAX 635,000 $5,505,450 3.44%
5. TDOC 705,416 $5,452,866 3.41%