Instuitional Investor - Randolph Co Inc

Fund Profile
Filing Period:
Fund Name: Randolph Co Inc
Portfolio Value $1,042,882,740
Filing Period:
No. Security Ticker Shares Value % Port
1. AVGO 295,970 $102,435,217 9.82%
2.
Spdr Series Trust
967,116 $88,375,052 8.47%
3. GLW 769,763 $67,400,448 6.46%
4. JPM 171,680 $55,318,716 5.3%
5. GOOGL 163,485 $51,170,845 4.91%