Instuitional Investor - Pembroke Management, Ltd

Fund Profile
Filing Period:
Fund Name: Pembroke Management, Ltd
Portfolio Value $1,007,798,230
Filing Period:
No. Security Ticker Shares Value % Port
1. REZI 1,470,131 $63,480,257 6.3%
2. PSTG 666,649 $55,871,853 5.54%
3. AAON 553,149 $51,686,243 5.13%
4. MPWR 53,936 $49,655,639 4.93%
5. CNM 909,216 $48,943,097 4.86%