Instuitional Investor - Q Fund Management (hong Kong) Ltd

Fund Profile
Filing Period:
Fund Name: Q Fund Management (hong Kong) Ltd
Portfolio Value $109,548,369
Filing Period:
No. Security Ticker Shares Value % Port
1. MRVL 65,400 $19,482,006 17.78%
2. INTC 116,840 $16,314,369 14.89%
3. SNDK 6,600 $15,006,618 13.7%
4. ALAB 28,500 $13,766,070 12.57%
5. MU 10,600 $12,235,474 11.17%