Instuitional Investor - Sharp Capital Gestora De Recursos Ltda.

Fund Profile
Filing Period:
Fund Name: Sharp Capital Gestora De Recursos Ltda.
Portfolio Value $191,970,451
Filing Period:
No. Security Ticker Shares Value % Port
1. NU 6,648,600 $95,433,680 49.71%
2. MELI 21,555 $37,227,403 19.39%
3. INTR 3,752,622 $29,837,511 15.54%
4. STNE 1,751,289 $24,700,584 12.87%
5. EEM 91,451 $3,962,714 2.06%