Instuitional Investor - Gardner Lewis Asset Management L P

Fund Profile
Filing Period:
Fund Name: Gardner Lewis Asset Management L P
Portfolio Value $412,571,424
Filing Period:
No. Security Ticker Shares Value % Port
1. NVDA 276,066 $37,072,903 8.98%
2. HTLF 297,825 $18,258,162 4.42%
3. SPY 30,400 $17,816,832 4.31%
4. PFC 586,567 $14,998,518 3.63%
5. AMZN 67,937 $14,904,698 3.61%