Instuitional Investor - Pembroke Management, Ltd

Fund Profile
Filing Period:
Fund Name: Pembroke Management, Ltd
Portfolio Value $826,658,709
Filing Period:
No. Security Ticker Shares Value % Port
1. CNM 718,337 $43,351,638 5.24%
2. PSTG 720,114 $41,464,164 5.02%
3. MPWR 54,969 $40,203,227 4.86%
4. IBP 210,960 $38,040,307 4.6%
5. FSS 355,556 $37,838,270 4.58%