Instuitional Investor - Pembroke Management, Ltd

Fund Profile
Filing Period:
Fund Name: Pembroke Management, Ltd
Portfolio Value $685,774,501
Filing Period:
No. Security Ticker Shares Value % Port
1. GMED 533,429 $39,047,003 5.69%
2. CLBT 1,819,628 $35,355,372 5.16%
3. IBP 172,222 $29,529,184 4.31%
4. CNM 602,797 $29,121,123 4.25%
5. SITE 206,664 $25,097,276 3.66%