Instuitional Investor - Oracle Investment Management Inc

Fund Profile
Filing Period:
Fund Name: Oracle Investment Management Inc
Portfolio Value $164,436,955
Filing Period:
No. Security Ticker Shares Value % Port
1.
Biohaven Ltd
716,427 $30,663,076 18.64%
2. PACB 1,787,100 $17,531,451 10.66%
3. TDOC 639,600 $13,783,380 8.38%
4. PACB 1,376,795 $13,506,359 8.21%
5.
Quidelortho Corp
176,544 $13,011,293 7.91%