Instuitional Investor - Orchard Capital Managment, Llc

Fund Profile
Filing Period:
Fund Name: Orchard Capital Managment, Llc
Portfolio Value $253,710,046
Filing Period:
No. Security Ticker Shares Value % Port
1. ENVA 193,849 $18,773,107 7.39%
2. TBBK 352,557 $18,733,784 7.38%
3. CRTO 377,615 $14,833,072 5.84%
4.
Ftai Infrastructure Inc Common Stock
1,896,093 $13,405,378 5.28%
5.
Revolve Group Inc Cl A
339,709 $11,611,254 4.57%