Instuitional Investor - Raleigh Capital Management Inc.

Fund Profile
Filing Period:
Fund Name: Raleigh Capital Management Inc.
Portfolio Value $238,452,544
Filing Period:
No. Security Ticker Shares Value % Port
1.
Ssga Active Tr
453,825 $11,726,844 4.92%
2. SPY 13,039 $8,055,864 3.38%
3.
Ssga Active Tr
130,338 $7,158,175 3%
4.
Spdr Series Trust
258,307 $6,612,655 2.77%
5. MSFT 10,753 $5,348,704 2.24%