Instuitional Investor - Oracle Investment Management Inc

Fund Profile
Filing Period:
Fund Name: Oracle Investment Management Inc
Portfolio Value $198,208,397
Filing Period:
No. Security Ticker Shares Value % Port
1. WGS 969,954 $85,903,976 43.34%
2. SWTX 531,351 $23,448,520 11.83%
3.
Spdr Series TrustCALLCALL
280,000 $22,708,000 11.46%
4.
Biohaven Ltd
665,945 $16,009,318 8.08%
5. ARDX 2,404,438 $11,805,791 5.96%