Instuitional Investor - Mint Tower Capital Management B.v.

Fund Profile
Filing Period:
Fund Name: Mint Tower Capital Management B.v.
Portfolio Value $438,187
Filing Period:
No. Security Ticker Shares Value % Port
1.
Royal Caribbean GroupBOND
21,500,000 $56,977 13%
2. CCL 28,000,000 $53,351 12.17%
3. ON 17,330,000 $28,731 6.55%
4. MSTR 100,000,000 $17,127 3.9%
5. DOCU 15,496,000 $15,426 3.52%