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Changes: All | New | Increased | Decreased | Sold Out Portfolio as of:
NameTickerClassSharesChangeValueChangeDate
FIRST CITIZENS BANCSHARES INC /DE/ FCNCACommon39,40739,40726,229,00026,229,00003/31/2022
SouthState Corp SSBCOM295,000295,00024,069,00024,069,00003/31/2022
DIAMOND OFFSHORE DRILLING, INC. DOCOM1,268,7741,268,7749,046,0009,046,00003/31/2022
BRINKER INTERNATIONAL, INC EATCommon221,450221,4508,451,0008,451,00003/31/2022
SiriusPoint Ltd SPNTCommon910,000910,0006,807,0006,807,00003/31/2022
Telesat Corp TSATCommon330,200330,2005,448,0005,448,00003/31/2022
Chord Energy Corp OASCOM32,50032,5004,755,0004,755,00003/31/2022
Activision Blizzard, Inc. ATVISTOCK48,00048,0003,845,0003,845,00003/31/2022
EQRx, Inc. EQRXCommon895,600895,6003,699,0003,699,00003/31/2022
Athira Pharma, Inc. ATHACommon200,000200,0002,700,0002,700,00003/31/2022
AMARIN CORP PLC AMRNSPONS ADR NEW795,000795,0002,616,0002,616,00003/31/2022
Ponce Financial Group, Inc. PDLBCommon195,534195,5342,030,0002,030,00003/31/2022
STANDARD BIOTOOLS INC. FLDMCOM65,00065,000233,000233,00003/31/2022
Ginkgo Bioworks Holdings, Inc. DNACommon50,00050,000202,000202,00003/31/2022
Invitae Corp NVTACOM25,00025,000199,000199,00003/31/2022
EQRx, Inc. EQRXW*W EXP 12/17/202100,000100,00087,00087,00003/31/2022
Catalyst Bancorp, Inc. Employee Stock Ownership Plan CLSTCommon5,6235,62377,00077,00003/31/2022
Sharecare, Inc. SHCRW*W EXP 07/01/20226,66626,6668,0008,00003/31/2022
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