Instuitional Investor - Trivest Advisors Ltd

Fund Profile
Filing Period:
Fund Name: Trivest Advisors Ltd
Portfolio Value $2,203,293,804
Filing Period:
No. Security Ticker Shares Value % Port
1. META 367,000 $214,882,170 9.75%
2. AMZN 790,000 $173,318,100 7.86%
3. MSFT 365,000 $153,847,500 6.98%
4. TSLA 283,500 $114,488,640 5.19%
5. TCOM 1,657,000 $113,769,620 5.16%