Instuitional Investor - Randolph Co Inc

Fund Profile
Filing Period:
Fund Name: Randolph Co Inc
Portfolio Value $854,455,459
Filing Period:
No. Security Ticker Shares Value % Port
1. AVGO 392,103 $65,649,805 7.68%
2.
Spdr Ser Tr
661,660 $60,694,041 7.1%
3. BX 319,822 $44,704,746 5.23%
4. JPM 170,507 $41,825,420 4.89%
5. COST 39,381 $37,245,762 4.36%