Instuitional Investor - Prescott General Partners Llc

Fund Profile
Filing Period:
Fund Name: Prescott General Partners Llc
Portfolio Value $1,358,926,249
Filing Period:
No. Security Ticker Shares Value % Port
1. CACC 1,552,428 $728,802,849 53.63%
2. CMPR 3,612,560 $259,092,803 19.06%
3. WRLD 2,037,495 $229,095,938 16.85%
4. W 2,922,401 $129,520,812 9.53%
5. BTI 220,100 $7,994,032 0.58%