Instuitional Investor - Orchard Capital Managment, Llc

Fund Profile
Filing Period:
Fund Name: Orchard Capital Managment, Llc
Portfolio Value $115,218,953
Filing Period:
No. Security Ticker Shares Value % Port
1. SPY 60,000 $40,915,200 35.51%
2. TBBK 106,079 $7,162,454 6.22%
3. HBM 285,674 $5,670,629 4.92%
4. FIP 815,038 $3,757,325 3.26%
5. ACA 34,150 $3,630,828 3.15%