Instuitional Investor - Ranmore Fund Management Ltd

Fund Profile
Filing Period:
Fund Name: Ranmore Fund Management Ltd
Portfolio Value $107,895,211
Filing Period:
No. Security Ticker Shares Value % Port
1. PBR 1,126,000 $13,331,840 12.35%
2. MAT 740,000 $13,120,200 12.16%
3. SKX 151,000 $10,153,240 9.41%
4. KR 156,000 $9,539,400 8.84%
5. TAP 164,341 $9,420,026 8.73%