Instuitional Investor - Turtle Creek Asset Management Inc.

Fund Profile
Filing Period:
Fund Name: Turtle Creek Asset Management Inc.
Portfolio Value $3,313,434,035
Filing Period:
No. Security Ticker Shares Value % Port
1. CE 5,115,365 $215,254,559 6.5%
2. MIDD 1,461,810 $194,318,403 5.86%
3. BC 2,926,223 $185,054,343 5.58%
4. WSC 8,730,347 $184,297,625 5.56%
5. BFH 3,283,546 $183,123,360 5.53%