Instuitional Investor - Ranmore Fund Management Ltd

Fund Profile
Filing Period:
Fund Name: Ranmore Fund Management Ltd
Portfolio Value $369,196,996
Filing Period:
No. Security Ticker Shares Value % Port
1. SBH 2,200,000 $35,816,000 9.7%
2. MAT 2,100,000 $35,343,000 9.57%
3. PBR 2,800,000 $33,096,000 8.96%
4. EXPE 154,000 $32,917,500 8.92%
5. UHS 154,000 $31,483,760 8.53%