Instuitional Investor - Tb Capital Gestao De Recursos Ltda.

Fund Profile
Filing Period:
Fund Name: Tb Capital Gestao De Recursos Ltda.
Portfolio Value $167,740,747
Filing Period:
No. Security Ticker Shares Value % Port
1. ABNB 224,060 $30,409,423 18.13%
2. TSM 61,251 $18,613,566 11.1%
3. APO 101,757 $14,730,343 8.78%
4. CPNG 562,173 $13,261,661 7.91%
5. DLO 923,768 $13,062,080 7.79%