Instuitional Investor - Qsm Asset Management Ltd

Fund Profile
Filing Period:
Fund Name: Qsm Asset Management Ltd
Portfolio Value $108,549,816
Filing Period:
No. Security Ticker Shares Value % Port
1. VTRS 1,177,250 $10,542,274 9.71%
2. ZBH 111,500 $10,174,375 9.37%
3. INTC 396,652 $8,928,634 8.23%
4. PYPL 108,478 $8,063,170 7.43%
5. NWL 1,472,105 $7,927,286 7.3%