Instuitional Investor - Ranmore Fund Management Ltd

Fund Profile
Filing Period:
Fund Name: Ranmore Fund Management Ltd
Portfolio Value $582,678,130
Filing Period:
No. Security Ticker Shares Value % Port
1. CMCSA 1,623,669 $48,531,466 8.33%
2. PBR 3,980,000 $44,854,600 7.7%
3. UHS 202,000 $44,040,040 7.56%
4. MAT 2,200,000 $43,648,000 7.49%
5. TNL 590,849 $41,672,580 7.15%