Instuitional Investor - North Point Portfolio Managers Corp

Fund Profile
Filing Period:
Fund Name: North Point Portfolio Managers Corp
Portfolio Value $574,710,286
Filing Period:
No. Security Ticker Shares Value % Port
1. COST 30,008 $27,494,985 4.78%
2. APH 386,934 $26,872,560 4.67%
3. FI 124,785 $25,633,331 4.46%
4. V 74,590 $23,573,316 4.1%
5. AMZN 102,943 $22,584,665 3.92%